Past results
Hello Halcyonn.
Do you have any live or demo acc statements to show here in order to take a look at the past results of your system?
Thanks,
ZioB
Ascension Path
HI ZioB,hope you are all well...
here is a trading update for the Ascension signal.it launches on Thursday most probably.
Summary:
Deposit/Withdrawal: 5 000.00 Credit Facility: 0.00
Closed Trade P/L: 918.13 Floating P/L: -131.42 Margin: 239.79
Balance: 5 918.13 Equity: 5 786.71 Free Margin: 5 546.92
Details:
Gross Profit: 1 189.43 Gross Loss: 271.30 Total Net Profit: 918.13
Profit Factor: 4.38 Expected Payoff: 20.40
Absolute Drawdown: 0.00 Maximal Drawdown: 154.33 (2.93%) Relative Drawdown: 2.93% (154.33)
Total Trades: 45 Short Positions (won %): 23 (78.26%) Long Positions (won %): 22 (86.36%)
Profit Trades (% of total): 37 (82.22%) Loss trades (% of total): 8 (17.78%)
Largest profit trade: 129.20 loss trade: -69.51
Average profit trade: 32.15 loss trade: -33.91
Maximum consecutive wins ($): 10 (441.81) consecutive losses ($): 2 (-78.36)
Maximal consecutive profit (count): 441.81 (10) consecutive loss (count): -78.36 (2)
Average consecutive wins: 5 consecutive losses: 1
update
Total Profit 615 pips
1,235.61 USD
Last week Profit 615 pips
1,235.61 USD
Open Positions/Pending Orders 2 / 1
Number of Trades 69
Winning/losing Trades 58 (84.1%) / 11 (15.9%) = 5.27
Max open positions 12
Average win/lose 28.81 USD / 38.77 USD = 0.74
Max/Min Lot size 0.55 / 0.01
Balance Max drawdown 117.27 USD
Average profit per week 615 pips
1,235.61 USD
Largest losing trade -29 pips (-69.51 USD)
Details
Largest winning trade 67 pips (130.07 USD)
Details
Max consecutive winning trades 11 (192.47 USD)
Max consecutive losing trades 3 (-85.06 USD)
24 percent gain over 6 trading sessions!
Deposit/Withdrawal: 5 000.00 Credit Facility: 0.00
Closed Trade P/L: 1 240.27 Floating P/L: -92.56 Margin: 77.99
Balance: 6 240.27 Equity: 6 147.71 Free Margin: 6 069.72
Details:
Gross Profit: 1 675.60 Gross Loss: 435.33 Total Net Profit: 1 240.27
Profit Factor: 3.85 Expected Payoff: 16.54
Absolute Drawdown: 0.00 Maximal Drawdown: 154.33 (2.93%) Relative Drawdown: 2.93% (154.33)
Total Trades: 75 Short Positions (won %): 42 (83.33%) Long Positions (won %): 33 (84.85%)
Profit Trades (% of total): 63 (84.00%) Loss trades (% of total): 12 (16.00%)
Largest profit trade: 129.20 loss trade: -69.51
Average profit trade: 26.60 loss trade: -36.28
Maximum consecutive wins ($): 11 (468.03) consecutive losses ($): 2 (-78.36)
Maximal consecutive profit (count): 468.03 (11) consecutive loss (count): -78.36 (2)
Average consecutive wins: 6 consecutive losses: 1
very good work
hi ras,i saw your perfomence is very good,pl help me how to do it
with regards
ravi india
Ravi,the signal launches today or tomm.
you can sign up by subscribing at Rentasignal.com by using this link.then all trades in my Signal Ascension will be traded in your broker account.The link is here: AsCencion | Rent a Signal
its now up 29 %.drawdown same at a low 2.93 %
The Signal has Launched Today!
Upon launch it has appeared on the first page of the provider's grid.
here is the update:
Deposit/Withdrawal: 5 000.00 Credit Facility: 0.00
Closed Trade P/L: 1 704.72 Floating P/L: -149.97 Margin: 72.63
Balance: 6 704.72 Equity: 6 554.75 Free Margin: 6 482.12
Details:
Gross Profit: 2 182.49 Gross Loss: 477.77 Total Net Profit: 1 704.72
Profit Factor: 4.57 Expected Payoff: 13.86
Absolute Drawdown: 0.00 Maximal Drawdown: 154.33 (2.93%) Relative Drawdown: 2.93% (154.33)
Total Trades: 123 Short Positions (won %): 70 (84.29%) Long Positions (won %): 53 (83.02%)
Profit Trades (% of total): 103 (83.74%) Loss trades (% of total): 20 (16.26%)
Largest profit trade: 129.20 loss trade: -69.51
Average profit trade: 21.19 loss trade: -23.89
Maximum consecutive wins ($): 18 (180.93) consecutive losses ($): 2 (-78.36)
Maximal consecutive profit (count): 468.03 (11) consecutive loss (count): -78.36 (2)
Average consecutive wins: 6 consecutive losses: 1
42 percent profit so far!
after a small setback late last week the trading signal is now on a steady path of profits growing progressively.
Deposit/Withdrawal: 5 000.00 Credit Facility: 0.00
Closed Trade P/L: 2 065.17 Floating P/L: -61.84 Margin: 50.84
Balance: 7 065.17 Equity: 7 003.33 Free Margin: 6 952.49
Details:
Gross Profit: 4 308.21 Gross Loss: 2 243.04 Total Net Profit: 2 065.17
Profit Factor: 1.92 Expected Payoff: 9.43
Absolute Drawdown: 0.00 Maximal Drawdown: 1 242.22 (18.29%) Relative Drawdown: 18.29% (1 242.22)
Total Trades: 219 Short Positions (won %): 112 (81.25%) Long Positions (won %): 107 (79.44%)
Profit Trades (% of total): 176 (80.37%) Loss trades (% of total): 43 (19.63%)
Largest profit trade: 171.66 loss trade: -275.03
Average profit trade: 24.48 loss trade: -52.16
Maximum consecutive wins ($): 24 (273.92) consecutive losses ($): 15 (-1 242.22)
Maximal consecutive profit (count): 536.66 (22) consecutive loss (count): -1 242.22 (15)
Average consecutive wins: 7 consecutive losses: 2
here a gif for the statement!
this is over last 5 trading sessions....about 22 percent gain!
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Happily among Top Three at RAS!
The multi ea signal "Ascension" is based on breakout trading,day/night scalping and night scalping.It is Marked by low drawdown strategies.right now max drawdown is a mere 18 %.Net Profit at 86 %.
AsCencion | Rent a Signal
EurUsd and EurGbp are main night scalping pairs with EA that can propel accounts to 100 percent gains over a quarter.
GbpUsd AudJpy and UsdJpy are currently the main breakout pairs...more might be added.
Day and Night Scalping pairs are AudUsd,NzdUsd,NzdJpy,EurJpy and GbpUsd.
---------------------------------
My lot size is .01 and account size is 5000 at ALPARI UK.
For 100 percent similar results multiplier of 1 is advised.
I will visit the thread every day to reply to any questions that potential subscribers might have.
=================================
23rd Sept 2010 to 15th October 2010
Deposit/Withdrawal: 5 000.00 Credit Facility: 0.00
Closed Trade P/L: 4 299.50 Floating P/L: 0.00 Margin: 0.00
Balance: 9 299.50 Equity: 9 299.50 Free Margin: 9 299.50
Details:
Gross Profit: 8 477.12 Gross Loss: 4 177.62 Total Net Profit: 4 299.50
Profit Factor: 2.03 Expected Payoff: 11.14
Absolute Drawdown: 0.00 Maximal Drawdown: 1 242.22 (18.29%) Relative Drawdown: 18.29% (1 242.22)
Total Trades: 386 Short Positions (won %): 174 (79.89%) Long Positions (won %): 212 (82.55%)
Profit Trades (% of total): 314 (81.35%) Loss trades (% of total): 72 (18.65%)
Largest profit trade: 171.66 loss trade: -275.03
Average profit trade: 27.00 loss trade: -58.02
Maximum consecutive wins ($): 24 (273.92) consecutive losses ($): 15 (-1 242.22)
Maximal consecutive profit (count): 536.66 (22) consecutive loss (count): -1 242.22 (15)
Average consecutive wins: 6 consecutive losses: 1
===
have a look at strong numbers for the FOMC QE2 week!
Summary:
Deposit/Withdrawal: 0.00 Credit Facility: 0.00
Closed Trade P/L: 474.86 Floating P/L: -254.96 Margin: 253.25
Balance: 11 451.75 Equity: 11 196.79 Free Margin: 10 943.54
Details:
Gross Profit: 880.50 Gross Loss: 405.64 Total Net Profit: 474.86
Profit Factor: 2.17 Expected Payoff: 16.37
Absolute Drawdown: 180.00 Maximal Drawdown: 180.00 (1.64%) Relative Drawdown: 1.64% (180.00)
Total Trades: 29 Short Positions (won %): 10 (100.00%) Long Positions (won %): 19 (84.21%)
Profit Trades (% of total): 26 (89.66%) Loss trades (% of total): 3 (10.34%)
Largest profit trade: 114.52 loss trade: -180.00
Average profit trade: 33.87 loss trade: -135.21
Maximum consecutive wins ($): 12 (504.65) consecutive losses ($): 1 (-180.00)
Maximal consecutive profit (count): 504.65 (12) consecutive loss (count): -180.00 (1)
Average consecutive wins: 9 consecutive losses: 1