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Hey Steve,
I appreciate you sharing your experience in the Forum. I am glad to hear that the 1:1 session was useful as well.
So here is my feedback:
1. I would add the reverse option because it is just logical if there is an opposite signal for the current trade to be closed and a new one to be opened (in the opposite direction).
2. I can’t really say about the 40-40 SL and TP because I always leave it on the reactor but give it a try…
3. I am not a fan of Full Data Optimization. Normalizer is alright…check a video I recorded about it:
4. For Robustness I would use just the Monte Carl. For me, that is enough. With randomize Indicator parameters.
If you remember in the call I shared with you that I run the Reactor using 100k bars and then I recalculate the collection with the 200k bars so I see which strategies are performing well in the ”unknown” data. That is a trick that guarantees you are using unknown data, which is a great robustness test.
Let me know if I was useful or if I missed something.
Cheers,