This account uses a custom start date - for full history analysis use the 'Custom Analysis' tool.
Correlated Risk Portfolio
Real (USD), IBFX , Technical , Automated , 1:400 , MetaTrader 4
+19.72%
+19.72%

0.00%
6.70%
Drawdown: 54.21%

Balance:
Equity: (59.62%)
Highest:
Profit:
Interest:

Deposits:
Withdrawals:

Updated Dec 26, 2012 at 11:00
Tracking 1
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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: 1,360
Profitability:
Pips: -2,433.4
Average Win: 33.11 pips /
Average Loss: -53.98 pips /
Lots :
Commissions:
Longs Won: (444/689) 64%
Shorts Won: (371/671) 55%
Best Trade ($):
Worst Trade ($):
Best Trade (Pips): (Dec 13) 168.0
Worst Trade (Pips): (Nov 28) -479.2
Avg. Trade Length: 2d
Profit Factor: 1.45
Standard Deviation:
Sharpe Ratio 0.03
Z-Score (Probability): -12.47 (99.99%)
Expectancy -1.8 Pips /
AHPR: 0.01%
GHPR: 0.01%
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Data includes last 200 transactions based on the analysed history.
Data includes last 200 transactions based on the analysed history.

Other Systems by moodyman

Name Gain Drawdown Pips Trading Leverage Type
High Risk Grid 106.64% 54.74% 2,273.0 Automated 1:400 Demo
Walk Forward Portfolio 81.04% 55.42% -4,491.2 Automated 1:400 Demo
Averaged Risk Portfolio 42.64% 39.62% -2,915.1 Automated 1:400 Real
Account USV