Trial period: 8 weeks
Profit: +$10,012.5 before commissions (+200.25 pts)
Total trades: 111 (46 wins, 60 losses, 5 b/evens)
ROI: 9.21%
Maximum drawdown: around -1.43% of equity.
I will carry on with this test in my private journal. Thank you to all for your participation.

I don't see how your strategy has anything to do with roulette. The numbers don't match at all. Betting black or red in roulette would give you a 47.4% win percentage with a 1:1 payout. Obviously a losing proposition.
Your strategy has a 41.4% win percentage with a huge payout (Avg win/Avg loss). Totally different.
Maybe, but that still wouldn't match what you are doing imo. Betting strategy always has to do with exploiting winning/losing streaks using position sizing. And you just trade 1 contract straight up every time. So you don't use any betting strategy.
Not sure I understand. Do you mean that after a loss your total account size drops and therefore the next 1 contract trade is a bigger bet relative to the account size ?