Start Capital: $1,000.00 # of Calendar Days Traded: 26 (Start = 01/04/12) Profit: -$183.89 Float: -$10.88 NAV: -$194.77 Percent: -19.48% Margin Used: $23.61 Well I have concluded that putting these 4 EA's together requires a risk setting of no more than 1% (not 5%). The Drawdown is just a little too much for me. I am very conservative with how much I tolerate for DD. Many Forex traders state that 30% is tolerable. Well this Combo EA has surpassed that during this test. I did not catch the screenshots in time to report it, but it has. So I am concluding this thread. If anybody wants to test further...it is all here for you to check out. Be careful ok? ES