TYO
RINA

EA 11

RINA

  • Symbol XAUUSD
  • Timeframe M5
  • Strategy Type Japan Original Scalping
  • Risk Level High
Live BACKTEST VERIFIED

TYO SCORE

55/100

Limited

  • Profitability 15.9/16
  • Drawdown control 2.2/16
  • Consistency 14.2/16
  • Sample size 7.1/16
  • Robustness 15.7/16
  • Evidence quality 8/20

Subtotal 63, capped at 55 because maximum drawdown reached 56.05. No level of profitability offsets a drawdown of that size.

A measure of how well-evidenced this backtest is — not a prediction of future results. See the scoring model for how each component is calculated.

03 Performance snapshot

  • Profit Factor 3.89
  • Maximal Drawdown 56.05%
  • Total Trades 687
  • Win Rate 91.85%
  • Sharpe Ratio —
  • Expected Payoff —

04 Equity curve

Account balance through the backtest. The dashed line is the running peak. 2006–2026

05 Drawdown analysis

Reported maximum drawdown
56.05%Balance (closed trades only)
Closed-trade drawdown
13.07%
Worst window
2008-08-12 → 2008-08-14
Recovered
2026-01-096357 days
Longest losing streak
3

This report states drawdown on a balance basis, which counts only closed trades. A position held at a loss does not appear until it is closed, so the real peak-to-trough dip on this account was larger than the figure above.

06 Monthly returns

Monthly return by year, percent of the balance at the start of each month
Year JanFebMarAprMayJunJulAugSepOctNovDec Year
2006 Not publishedNot publishedNot publishedNot published 14 Not published 82 Not publishedNot publishedNot publishedNot publishedNot published +108%
2008 8 Not published 1 4 Not published 15 Not published -5 33 24 33 7 +189%
2009 23 9 8 Not publishedNot publishedNot publishedNot publishedNot publishedNot publishedNot published 1 2 +48%
2010 Not publishedNot publishedNot publishedNot published 0 5 Not publishedNot publishedNot published 3 Not publishedNot published +8%
2011 Not publishedNot publishedNot publishedNot publishedNot publishedNot publishedNot published 34 11 3 7 5 +70%
2012 Not publishedNot published 4 3 Not published 0 Not publishedNot published 0 Not published 4 1 +13%
2013 1 3 Not published 3 2 2 Not published 0 1 Not published 0 Not published +13%
2014 Not publishedNot publishedNot publishedNot publishedNot published 1 Not publishedNot publishedNot publishedNot published 2 Not published +2%
2015 0 0 1 Not publishedNot publishedNot publishedNot publishedNot publishedNot publishedNot publishedNot publishedNot published +2%
2016 Not published 1 3 Not publishedNot published 0 Not published 0 Not publishedNot published 3 Not published +8%
2018 Not publishedNot publishedNot publishedNot publishedNot publishedNot publishedNot publishedNot publishedNot published 0 Not publishedNot published +0%
2019 Not publishedNot publishedNot publishedNot publishedNot published 0 0 0 1 Not publishedNot publishedNot published +1%
2020 0 Not published -3 -1 2 Not published -1 5 2 -2 0 0 +3%
2021 2 0 2 Not publishedNot published 2 Not published 0 1 1 0 Not published +7%
2022 0 3 0 0 Not published 1 1 Not published 0 0 2 Not published +9%
2023 Not published 1 2 Not published 1 0 Not published 0 Not published -1 Not published -0 +3%
2024 Not publishedNot published 0 3 2 0 0 1 Not published -4 -1 -1 +0%
2025 0 3 Not published -3 0 -2 3 3 6 1 2 3 +16%
2026 2 Not publishedNot publishedNot publishedNot publishedNot publishedNot publishedNot publishedNot publishedNot publishedNot publishedNot published +2%

Each cell is that month’s return as a percentage of the balance it started with. Green is a gain, red a loss. Empty cells had no closed trades.

07 Yearly performance

Year Return Total Trades Win Rate
2006 +107.7% 5 100%
2008 +189.1% 47 91.49%
2009 +47.6% 30 100%
2010 +7.7% 12 100%
2011 +70.4% 89 94.38%
2012 +13.4% 28 100%
2013 +13.1% 31 90.32%
2014 +2.4% 12 100%
2015 +2.1% 9 100%
2016 +7.6% 20 100%
2018 +0.3% 1 100%
2019 +1.0% 9 100%
2020 +2.7% 46 86.96%
2021 +7.5% 39 97.44%
2022 +8.6% 50 94%
2023 +3.4% 30 80%
2024 +0.4% 48 85.42%
2025 +15.9% 168 88.1%
2026 +2.2% 13 84.62%

08 Trade statistics

Direction

Long trades
351
Short trades
336
Closed trades
687

Outcome

Win rate
91.84%
Loss rate
8.16%
Longest winning streak
63
Longest losing streak
3

Size

Average win
218,183.77
Average loss
-631,368.29
Largest win
819,597.29
Largest loss
-1,328,966.04
Payoff ratio
0.35

Amounts are shown in the account currency of the test, which this report does not state. Ratios and counts are unaffected.

09 Risk profile

High drawdown

This system drew down 56.05% from its peak during the test. A decline of that size is survivable only with capital and a holding period sized for it. Read the risk disclosure before considering this system.

Observed in backtest

Measured from the trade record, not declared by the developer.

Maximum concurrent positions
8
Entries opened while another was live
412
Closed by stop loss
90.39%
Longest losing streak
3

Declared by the developer

Not yet published. Martingale, grid, averaging and position-scaling behaviour will be stated here once documented.

10 Parameters

Parameter Default Description
Slippage 30
MaxSpread 5
maxposition 2
UseCompoundLot false
BaseLot 3
BaseEquity 200000
MinLot 0.01
MaxLot 200
GMT 2
Summertime 0
MagicNumber 2525565
MagicNumber2 252549
MagicNumber3 252546
MagicNumber4 25250101
MagicNumber5 25254646

14 Research transparency

Data Source
GOLD (GOLD)
Backtest Period
2006.01.02 – 2026.02.05
Broker / Server
XMTrading-Real 37
Modeling Method
Every tick
Modeling Quality
99.90% · 650,474,669 ticks · 1,447,274 bars
Spread
Variable (as recorded in the tick data)

Every figure on this page comes from the MetaTrader Strategy Tester report for this system. Nothing is modelled, smoothed or estimated. Fields the report does not state are left blank rather than filled in.

15 Evidence

Evidence

8/20

How far this system’s verification actually goes. A stage is marked verified only when the underlying data exists in this repository.

  • Backtest Verified
  • Out of sample Pending
  • Walk forward Pending
  • Monte Carlo Verified
  • Shadow forward Pending
  • Forward test Pending
  • Live Pending

The optimisation window of this system is not documented, so no period can be proven out-of-sample. The split-stability analysis in the Research Log is a stability check, not OOS validation.

Research timeline

  1. EXP-000212 RINA — 70/30 split stability of the monthly profile Inconclusive 20 Aug 2026

AHow to access this EA

Commercial status RESEARCH ONLY
Required plan —
Research status Shown in the evidence sections above — research status and commercial status are kept separate.

TYO has not assigned this strategy to an access plan. The research and evidence above are complete regardless; where the strategy is published on MQL5, that remains the way to obtain it.

The account and download layer is not live yet, so nothing is downloadable from this site.

17Disclaimer

Trading foreign exchange, CFDs and cryptocurrency carries a high level of risk and may not be suitable for every investor. You can lose more than your initial deposit. Leverage magnifies both gains and losses.

TYO develops and publishes automated trading software. We do not provide investment advice, portfolio management or trading signals, and nothing on this site is a recommendation to buy or sell any instrument.

No Expert Advisor, algorithm or optimisation guarantees profit. Any performance figure shown on this site is historical and does not guarantee, imply or predict future results.

Backtest results are simulations. Live results differ due to spread, slippage, commission, liquidity, execution speed, requotes, broker conditions and market regime changes.

You are solely responsible for evaluating whether any system is appropriate for your circumstances, and for any decision you take using it. Seek independent licensed advice where appropriate.