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Strategy Settings
MoneyManagement true Leverage 5 Lot3Rules "If MM is ...
LotSize 0 FixStopLoss 25 Magic_Number 20122
Files:
Forward test: AceFXTrader.com
  • Info
  • Statistiky
  • Hlavní
  • Zisk: +3.28M%
  • Denní: 0.21%
  • Měsíční: 6.59%
  • Max. propad: 21.32%
  • Zůstatek: $32775.1K
  • Nejvyšší: (Oct 08) $34412.7K
  • Profit: $32774094.79
  • Vklady: $1000.00
  • Test Started:Jan 03, 2000
  • Test Ended:Oct 14, 2010
  • Timeframe:15 Minutes
  • Model Type:Every Tick
  • Added:Apr 20 2012 at 22:55
Více
  • Chart
  • Růst
  • Zůstatek
  • Profit
  • Pokročilá statistika
  • Obchody
  • Shrnutí
  • Hodinově
  • Denní
  • Risk Of Ruin
  • Délka
Obchody: 7900
Ziskovost:
Pipy: 65066.3
Průměrná výhra: 65.72 pips / $31205.22
Průměrná ztráta: -22.20 pips / -$10178.54
Loty(ů): 357,594.43
Provize: 0
Výhry Longu: (1440/4037) 35%
Vyhrané Shorty: (1295/3863) 33%
Nejlepší obchod($): (Oct 05) 1687424.85
Nejhorší obchod($): (Sep 23) -573117.50
Nejlepší obchod (pipů): (Dec 15) 923.0
Nejhorší obchod (pipů): (Jan 03) -25.0
Průměrná délka obchodu: 14h 35m
Ziskový Faktor: 1.62
Standardní odchylka: $84311.50
Rizikový poměr: 0.0600
Z-Scóre (Probability): -25.42 (99.99%)
Očekávání: 8.2 Pipy / $4148.62
AHPR: 0.16%
GHPR: 0.13%
Měna Longy Shorty Celkem
Obchody Pipy Profit Obchody Pipy Profit Obchody Pipy Profit Výhra (%) Ztráta (%)
EURUSD 4037 37522.5 23164368.84 3863 27543.8 9609727.21 7900 65066.3 32774096.05 2735 (35%) 5165 (65%)
Obchodní aktivita (7900)
Datum otevření Datum zavření Pár Akce Loty(ů) SL TP Otevírací cena Zavírací cena Pipy Profit Délka Změna
10.14.2010 02:15 10.14.2010 03:14 EURUSD Buy 1663.72 1.40208 - 1.40458 1.40208 -25.0 -415930.00 59m -1.25%
10.13.2010 17:45 10.14.2010 01:39 EURUSD Sell 1663.72 1.39797 - 1.39547 1.39797 -25.0 -421847.63 7h 54m -1.26%
10.13.2010 17:15 10.13.2010 17:41 EURUSD Buy 1663.72 1.39577 - 1.39827 1.39577 -25.0 -415930.00 26m -1.22%
10.08.2010 05:45 10.08.2010 07:59 EURUSD Buy 1535.47 1.39348 - 1.39598 1.39348 -25.0 -383867.50 2h 14m -1.12%
10.08.2010 05:00 10.08.2010 05:45 EURUSD Sell 128.25 1.40479 - 1.40229 1.39598 63.1 80773.69 45m 0.24%
10.07.2010 15:00 10.08.2010 05:00 EURUSD Sell 1792.48 1.40479 - 1.40229 1.39570 65.9 1094754.42 14h 0m 3.29%
10.07.2010 16:15 10.08.2010 04:39 EURUSD Sell 1664.23 1.39575 - 1.39325 1.39575 -25.0 -418030.65 12h 24m -1.24%
10.07.2010 16:45 10.08.2010 04:26 EURUSD Sell 1664.23 1.39511 - 1.39261 1.39511 -25.0 -418030.65 11h 41m -1.23%
10.07.2010 09:15 10.07.2010 15:00 EURUSD Buy 1535.98 1.39550 - 1.39800 1.40229 42.9 658935.42 5h 45m 1.97%
10.07.2010 09:45 10.07.2010 10:51 EURUSD Buy 1535.98 1.39645 - 1.39895 1.39645 -25.0 -383995.00 1h 6m -1.14%
10.07.2010 09:00 10.07.2010 10:45 EURUSD Buy 1535.98 1.39523 - 1.39773 1.39677 -9.6 -147454.08 1h 45m -0.43%
10.06.2010 09:15 10.06.2010 16:46 EURUSD Sell 34.74 1.38898 - 1.38648 1.38898 -25.0 -8685.00 7h 31m -0.03%
10.05.2010 20:00 10.06.2010 12:01 EURUSD Sell 34.74 1.38807 - 1.38557 1.38807 -25.0 -8726.19 16h 1m -0.03%
10.05.2010 10:45 10.06.2010 09:15 EURUSD Buy 1501.24 1.37600 - 1.37850 1.38648 79.8 1196475.92 22h 30m 3.65%
10.05.2010 10:15 10.05.2010 20:00 EURUSD Buy 1501.24 1.37414 - 1.37664 1.38557 89.3 1340607.32 9h 45m 4.27%
10.05.2010 10:30 10.05.2010 17:00 EURUSD Buy 1501.24 1.37552 - 1.37802 1.38376 57.4 861711.76 6h 30m 2.82%
10.05.2010 10:00 10.05.2010 17:00 EURUSD Buy 1501.24 1.37432 - 1.37682 1.38376 69.4 1041860.56 7h 0m 3.53%
10.05.2010 09:45 10.05.2010 09:55 EURUSD Sell 1486.57 1.37725 - 1.37475 1.37725 -25.0 -371642.50 10m -1.24%
10.05.2010 07:45 10.05.2010 09:45 EURUSD Buy 14.67 1.36778 - 1.37028 1.37475 44.7 6557.49 2h 0m 0.02%
10.04.2010 11:00 10.05.2010 09:44 EURUSD Sell 151.48 1.37481 - 1.37231 1.37481 -25.0 -38049.60 22h 44m -0.13%

Více
  • Měsíční analýzy
  • 2000
  • 2001
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  • 2003
  • 2004
  • 2005
  • 2006
  • 2007
  • 2008
  • 2009
  • 2010


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Rightmove House Price Index (YoY) (21h 13min)
UK exporters look beyond sluggish EU(2h 45min ago)
EURUSD 1.28332 GBPUSD 1.5166
USDJPY 103.172 USDCAD 1.02742
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HIGH RISK WARNING: Foreign exchange trading carries a high level of risk that may not be suitable for all investors. Leverage creates additional risk and loss exposure. Before you decide to trade foreign exchange, carefully consider your investment objectives, experience level, and risk tolerance. You could lose some or all of your initial investment; do not invest money that you cannot afford to lose. Educate yourself on the risks associated with foreign exchange trading, and seek advice from an independent financial or tax advisor if you have any questions. Any data and information is provided 'as is' solely for informational purposes, and is not intended for trading purposes or advice.