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Gintauskas strategy


Joined
Mar 09, 2014
Connections
0
Experience
More than 5 years
Real (EUR),
Admiral Markets
, Manual , 1:100
, MetaTrader 4
+18.15% | |
+14.92% |
0.00% | |
18.15% | |
Drawdown: | 6.48% |
Balance: | €478.76 |
Equity: | (100.00%) €478.76 |
Highest: | (Mar 13) €964.03 |
Profit: | €128.37 |
Interest: | €0.00 |
Deposits: | €860.39 |
Withdrawals: | €510.00 |
Updated | Mar 18, 2014 at 13:06 |
Tracking | 0 |
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Gain (Difference) | Profit (Difference) | Pips (Difference) | Win% (Difference) | Trades (Difference) | Lots (Difference) | |
---|---|---|---|---|---|---|
Today | - | - | - | - | - | - |
This Week | - | - | - | - | - | - |
This Month | - | - | - | - | - | - |
This Year | - | - | - | - | - | - |
Data is private.
Trades: | 11 |
Profitability: |
|
Pips: | 49.7 |
Average Win: | 9.00 pips / €15.78 |
Average Loss: | -40.30 pips / -€29.41 |
Lots : | 2.18 |
Commissions: | -€10.08 |
Longs Won: | (5/5) 100% |
Shorts Won: | (5/6) 83% |
Best Trade (€): | (Mar 13) 49.26 |
Worst Trade (€): | (Mar 14) -29.41 |
Best Trade (Pips): | (Mar 17) 20.1 |
Worst Trade (Pips): | (Mar 14) -40.3 |
Avg. Trade Length: | 1h 33m |
Profit Factor: | 5.36 |
Standard Deviation: | €23.086 |
Sharpe Ratio | 0.50 |
Z-Score (Probability): | 1.77 (92.32%) |
Expectancy | 4.5 Pips / €11.67 |
AHPR: | 1.59% |
GHPR: | 1.27% |
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Data includes last 200 transactions based on the analysed history.
Data includes last 200 transactions based on the analysed history.
Forecast New
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Other Systems by Gintauskas
Name | Gain | Drawdown | Pips | Trading | Leverage | Type |
---|---|---|---|---|---|---|
House of investment | 79.55% | 51.37% | 2,310.5 | - | 1:100 | Real |