- Equity
- Drawdown
Trades:
109
Profit Trades:
87 (79.81%)
Loss Trades:
22 (20.18%)
Best trade:
34.43 EUR
Worst trade:
-14.25 EUR
Gross Profit:
279.38 EUR
(39 926 pips)
Gross Loss:
-66.75 EUR
(8 969 pips)
Maximum consecutive wins:
17 (38.49 EUR)
Maximal consecutive profit:
79.29 EUR (15)
Sharpe Ratio:
0.36
Trading activity:
81.25%
Max deposit load:
17.00%
Latest trade:
14 hours ago
Trades per week:
5
Avg holding time:
12 days
Recovery Factor:
12.79
Long Trades:
48 (44.04%)
Short Trades:
61 (55.96%)
Profit Factor:
4.19
Expected Payoff:
1.95 EUR
Average Profit:
3.21 EUR
Average Loss:
-3.03 EUR
Maximum consecutive losses:
3 (-7.23 EUR)
Maximal consecutive loss:
-16.63 EUR (2)
Monthly growth:
2.13%
Annual Forecast:
25.84%
Algo trading:
99%
Drawdown by balance:
Absolute:
0.00 EUR
Maximal:
16.63 EUR (1.46%)
Relative drawdown:
By Balance:
1.46% (16.63 EUR)
By Equity:
8.21% (93.07 EUR)
Distribution
Symbol | Deals | Sell | Buy | |
---|---|---|---|---|
AUDNZD.r | 21 | |||
AUDNZD.p | 18 | |||
AUDCAD.p | 17 | |||
NZDCAD.p | 17 | |||
AUDCAD.r | 16 | |||
NZDCAD.r | 11 | |||
EURCAD.p | 3 | |||
EURNZD.p | 2 | |||
USDCHF.r | 1 | |||
NZDCHF.r | 1 | |||
NZDCHF.p | 1 | |||
CADCHF.p | 1 | |||
5
10
15
20
25
30
|
5
10
15
20
25
30
|
5
10
15
20
25
30
|
Symbol | Gross Profit, USD | Loss, USD | Profit, USD | |
---|---|---|---|---|
AUDNZD.r | 13 | |||
AUDNZD.p | 18 | |||
AUDCAD.p | 27 | |||
NZDCAD.p | 26 | |||
AUDCAD.r | 43 | |||
NZDCAD.r | 10 | |||
EURCAD.p | 7 | |||
EURNZD.p | 40 | |||
USDCHF.r | 39 | |||
NZDCHF.r | 7 | |||
NZDCHF.p | 0 | |||
CADCHF.p | 12 | |||
20
40
60
80
|
20
40
60
80
|
20
40
60
80
|
Symbol | Gross Profit, pips | Loss, pips | Profit, pips | |
---|---|---|---|---|
AUDNZD.r | 2.6K | |||
AUDNZD.p | 1.9K | |||
AUDCAD.p | 2.9K | |||
NZDCAD.p | 4.2K | |||
AUDCAD.r | 5.9K | |||
NZDCAD.r | 1.6K | |||
EURCAD.p | 1K | |||
EURNZD.p | 6.1K | |||
USDCHF.r | 3K | |||
NZDCHF.r | 682 | |||
NZDCHF.p | 211 | |||
CADCHF.p | 914 | |||
2K
4K
6K
8K
10K
|
2K
4K
6K
8K
10K
|
2K
4K
6K
8K
10K
|
- Deposit load
- Drawdown
Best trade:
+34.43
EUR
Worst trade:
-14
EUR
Maximum consecutive wins:
15
Maximum consecutive losses:
2
Maximal consecutive profit:
+38.49
EUR
Maximal consecutive loss:
-7.23
EUR
The average slippage based on execution statistics on real accounts of various brokers is specified in pips. It depends on the difference between the provider's quotes from "Pepperstone-Edge14" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.
No data
Developed and optimized from 2006 to 2015, this strategy has proven its effectiveness in forward tests and real trading since February 2015. With an average monthly return exceeding 1%, supported by 12 systems across multiple currencies, this strategy aims to deliver consistent and quality results.
Key Features:
- Proven Success: Optimized and backtested from 2006 to 2015, with ongoing positive performance in forward/real tests until August 2023.
- Diversification with 12 Systems: Built on the implementation of 12 systems, ensuring effective diversification and long-term stability. Each system is designed to provide consistent results, contributing to the overall performance of the strategy.
- Sustainable Profitability: Targeting an average monthly return exceeding 1%, this strategy aims to maintain stability and minimize risks, with an annual goal of achieving a 10% to 15% return.
- Quality in Every Trade: Committed to maintaining high standards of quality in each operation. The strategy focuses on precise execution and informed decision-making, backed by experience in fund management and work in financial firms.
Key Features:
- Proven Success: Optimized and backtested from 2006 to 2015, with ongoing positive performance in forward/real tests until August 2023.
- Diversification with 12 Systems: Built on the implementation of 12 systems, ensuring effective diversification and long-term stability. Each system is designed to provide consistent results, contributing to the overall performance of the strategy.
- Sustainable Profitability: Targeting an average monthly return exceeding 1%, this strategy aims to maintain stability and minimize risks, with an annual goal of achieving a 10% to 15% return.
- Quality in Every Trade: Committed to maintaining high standards of quality in each operation. The strategy focuses on precise execution and informed decision-making, backed by experience in fund management and work in financial firms.
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Signal
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