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- Equità
- Drawdown
Trade:
36 353
Profit Trade:
26 416 (72.66%)
Loss Trade:
9 937 (27.33%)
Best Trade:
883.81 EUR
Worst Trade:
-1 936.21 EUR
Profitto lordo:
144 155.54 EUR
(3 562 522 pips)
Perdita lorda:
-100 099.71 EUR
(2 546 557 pips)
Vincite massime consecutive:
72 (85.75 EUR)
Massimo profitto consecutivo:
2 262.43 EUR (6)
Indice di Sharpe:
0.03
Attività di trading:
100.00%
Massimo carico di deposito:
17.39%
Ultimo trade:
7 minuti fa
Trade a settimana:
617
Tempo di attesa medio:
1 giorno
Fattore di recupero:
6.22
Long Trade:
18 873 (51.92%)
Short Trade:
17 480 (48.08%)
Fattore di profitto:
1.44
Profitto previsto:
1.21 EUR
Profitto medio:
5.46 EUR
Perdita media:
-10.07 EUR
Massime perdite consecutive:
67 (-322.58 EUR)
Massima perdita consecutiva:
-6 009.00 EUR (29)
Crescita mensile:
4.44%
Previsione annuale:
53.86%
Algo trading:
99%
Drawdown per saldo:
Assoluto:
0.02 EUR
Massimale:
7 078.08 EUR (86.51%)
Drawdown relativo:
Per saldo:
28.03% (7 078.08 EUR)
Per equità:
49.53% (8 490.94 EUR)
Distribuzione
Simbolo | Operazioni | Sell | Buy | |
---|---|---|---|---|
EURUSD | 16457 | |||
NZDCAD | 4428 | |||
AUDCAD | 3755 | |||
GBPUSD | 2929 | |||
AUDNZD | 1852 | |||
GBPCAD | 1209 | |||
NZDCHF | 611 | |||
EURGBP | 556 | |||
USDCAD | 537 | |||
USDJPY | 534 | |||
AUDUSD | 494 | |||
GBPAUD | 443 | |||
XAUUSD | 436 | |||
AUDCHF | 381 | |||
EURJPY | 277 | |||
USDCHF | 241 | |||
EURSGD | 232 | |||
NZDUSD | 199 | |||
GBPCHF | 137 | |||
GBPNZD | 108 | |||
EURNZD | 101 | |||
EURCAD | 94 | |||
CADCHF | 91 | |||
EURCHF | 46 | |||
AUDJPY | 42 | |||
EURAUD | 41 | |||
GBPJPY | 40 | |||
XAUAUD | 29 | |||
XAUEUR | 21 | |||
CADJPY | 10 | |||
XAUJPY | 9 | |||
NZDJPY | 7 | |||
CHFJPY | 4 | |||
US30 | 1 | |||
US500 | 1 | |||
2.5K
5K
7.5K
10K
13K
15K
18K
20K
|
2.5K
5K
7.5K
10K
13K
15K
18K
20K
|
2.5K
5K
7.5K
10K
13K
15K
18K
20K
|
Simbolo | Profitto lordo, USD | Perdita, USD | Profitto, USD | |
---|---|---|---|---|
EURUSD | 18K | |||
NZDCAD | 9.1K | |||
AUDCAD | 12K | |||
GBPUSD | 4.6K | |||
AUDNZD | 5.5K | |||
GBPCAD | -765 | |||
NZDCHF | 691 | |||
EURGBP | 684 | |||
USDCAD | 1.3K | |||
USDJPY | -4.4K | |||
AUDUSD | 769 | |||
GBPAUD | 1.1K | |||
XAUUSD | -346 | |||
AUDCHF | 627 | |||
EURJPY | -169 | |||
USDCHF | 69 | |||
EURSGD | 329 | |||
NZDUSD | -374 | |||
GBPCHF | 143 | |||
GBPNZD | 256 | |||
EURNZD | 52 | |||
EURCAD | 208 | |||
CADCHF | 152 | |||
EURCHF | -79 | |||
AUDJPY | -23 | |||
EURAUD | 470 | |||
GBPJPY | -106 | |||
XAUAUD | 14 | |||
XAUEUR | 26 | |||
CADJPY | 42 | |||
XAUJPY | 3 | |||
NZDJPY | 6 | |||
CHFJPY | 3 | |||
US30 | -4 | |||
US500 | -43 | |||
25K
50K
75K
100K
125K
150K
175K
200K
|
25K
50K
75K
100K
125K
150K
175K
200K
|
25K
50K
75K
100K
125K
150K
175K
200K
|
Simbolo | Profitto lordo, pips | Perdita, pips | Profitto, pips | |
---|---|---|---|---|
EURUSD | 121K | |||
NZDCAD | 219K | |||
AUDCAD | 325K | |||
GBPUSD | 67K | |||
AUDNZD | 60K | |||
GBPCAD | 11K | |||
NZDCHF | 62K | |||
EURGBP | 33K | |||
USDCAD | 32K | |||
USDJPY | -82K | |||
AUDUSD | 30K | |||
GBPAUD | 57K | |||
XAUUSD | 9.6K | |||
AUDCHF | 35K | |||
EURJPY | -4.4K | |||
USDCHF | 3.8K | |||
EURSGD | 18K | |||
NZDUSD | -9.3K | |||
GBPCHF | 1.2K | |||
GBPNZD | 8.4K | |||
EURNZD | 8.3K | |||
EURCAD | 9K | |||
CADCHF | 5.2K | |||
EURCHF | -361 | |||
AUDJPY | 2.1K | |||
EURAUD | 8.5K | |||
GBPJPY | -3.1K | |||
XAUAUD | -275 | |||
XAUEUR | -397 | |||
CADJPY | 4.3K | |||
XAUJPY | 202 | |||
NZDJPY | 528 | |||
CHFJPY | 497 | |||
US30 | -350 | |||
US500 | -4K | |||
250K
500K
750K
1M
1.3M
1.5M
1.8M
2M
|
250K
500K
750K
1M
1.3M
1.5M
1.8M
2M
|
250K
500K
750K
1M
1.3M
1.5M
1.8M
2M
|
- Carico di deposito
- Drawdown
Best Trade:
+883.81
EUR
Worst Trade:
-1 936
EUR
Vincite massime consecutive:
6
Massime perdite consecutive:
29
Massimo profitto consecutivo:
+85.75
EUR
Massima perdita consecutiva:
-322.58
EUR
Lo slippage medio basato sulle statistiche di esecuzione sugli account reale dei vari broker è specificato in pip. Dipende dalla differenza tra le quotazioni del fornitore da "ICMarketsSC-Live32" e le quotazioni dell'abbonato, nonché dai ritardi nell'esecuzione dell'ordine. Valori più bassi indicano una migliore qualità di copiatura.
ICMarketsSC-Live06
|
0.00 × 1 | |
DooPrime-Live 2
|
0.00 × 1 | |
Exness-Real25
|
0.00 × 2 | |
Tickmill-Live08
|
0.00 × 1 | |
FPMarkets-Live
|
0.06 × 62 | |
Exness-Real21
|
0.07 × 15 | |
Tickmill-Live04
|
0.49 × 1073 | |
ICTrading-Live29
|
0.54 × 300 | |
FusionMarkets-Demo
|
0.57 × 88 | |
ICMarketsSC-Live26
|
0.67 × 822 | |
ICMarketsSC-Live05
|
0.67 × 6 | |
ICMarketsSC-Live27
|
0.84 × 746 | |
ICMarketsSC-Live25
|
0.86 × 63 | |
Exness-Real7
|
1.00 × 1 | |
ICMarketsSC-Live19
|
1.10 × 453 | |
RoboForex-ECN-3
|
1.21 × 39 | |
FXOpen-ECN Live Server
|
1.22 × 37 | |
ICMarketsSC-Live02
|
1.22 × 122 | |
RoboForex-Prime
|
1.47 × 218 | |
FPMarkets-Live2
|
1.53 × 2511 | |
ICMarketsSC-Live11
|
1.59 × 6545 | |
ICMarketsSC-Live16
|
1.64 × 690 | |
ICMarketsSC-Live33
|
1.76 × 3909 | |
Exness-Real20
|
1.76 × 270 | |
Exness-Real17
|
1.79 × 231 | |
The strategy is designed based on a combination of technical investment methods. The strategy counts and acts with the help of indicators that make the investment safer when exposed to high volatility.
Bollinger Bands Period:
BB Period is a technical analysis tool to generate oversold or overbought levels of stock assets that help identify price direction trends of such financial instruments.
RSI Period:
The Relative Strength Index or RSI indicator (acronym for Relative Strength Index) measures the force with which stock prices rise or fall. This indicator provides investors with information about the market trend and helps them identify signs of trend reversal.
This indicator is used to filter trades with little potential.
EMA Period: (Exponential Moving Average)
This indicator focuses more on recent price movements, which means that it tends to respond more quickly to price changes than the SMA (Simple Moving Average).
The three indicators are used to establish the entry points of the buy and sell positions of the financial instruments that we focus on in this strategy. Our market entry points are when there are divergences and/or crosses between the mentioned indicators.
We apply the strategy in at least 12 financial instruments that present positive and negative evidence between them algorithmically and with small purchase lots (micro lots) but massively to generate returns and thus diversify funds to reduce risks.
TP (Take Profit and Stop Loss) limits are also used on each position.
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