My BT was from jan til now on GU H4 data using Bars only. Any further back and the BT is not profitable but more so breakeven at best.
The exit logic was based on RR, and preset TP, I was using about 50 pips for the TP while using Equity 1% gain to close the trades within a basket with a max loss of 1%. Therefore RR was 1:1. Now after looking at more of these trades, I can see that it does have a closing logic which I can add to close stragglers.
My first step is always entry logic, then I can use other methods to improve the strategy once a stable RR is found.