Only stopped for optimization - code bugs. Ran for months aiming to know the limits of my V1 version and counter-trend approach. Using single engine and multi grid logic I was able to sustain buy and sell.
Smart progression algorithm 100% automatic with above average results,
not using deposit load (deposits are equivalent to withdraws - never reducing initial deposit).
Aggressive compounding to use as much margin as possible. Stress test means I'm willing to risk the account. If not I'm not adding proper stress under real conditions.
Many hedge funds and investors got margin called during this period. My V1 managed my money auto with no issues.
Max DD around 30-35% compounded. By the time I got my highest DD, my balance was already doubled and I was using double my initial risk. MQL tracks 10% and real exposure was max 35%.