I had a play around with lot size which is based on the formula ( [net liquidation x risk %] / [stop loss x pip value per lot] ) and got me intrigued with @RickM multiple entry multiple exit strategy because the result changed dramatically when I entered the position based on the above formula.
The result is again based on the coarse model I made yesterday (using the same timeframe M30 and a period of 1 year) while I'm waiting for the support team to get back to me. Drawdown is absolutely trash although the reward is delightful to see.
@RickM if you don't mind could you please share how do you execute your MEME strategy? I'd love to play around with it to see some interesting result.