A Simple Breakout

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Real (USD), XM , Technical , Manual , 1:200 , MetaTrader 5
+421.90%
+55.05%

0.11%
3.27%
Drawdown: 76.04%

Balance: $178,332.82
Equity: (99.96%) $178,268.16
Highest: (Oct 10) $185,028.74
Profit: $106,522.52
Interest: -$30.97

Deposits: $193,710.14
Withdrawals: $121,700.82

Updated Yesterday at 14:35
Tracking 2
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Gain (Difference) Profit (Difference) Pips (Difference) Win% (Difference) Trades (Difference) Lots (Difference)
Today - - - - - -
This Week +3.10% (+5.05%) $5,355.85 (+$8,809.17) +7,051.5 (+4,504.4) 100% (+84%) 7 (+1) 511.50 (+152.00)
This Month +1.08% (-1.30%) $1,902.53 (-$2,193.39) +9,598.6 (-8,228.1) 61% (-4%) 13 (-10) 871.00 (+116.50)
This Year +27.63% (-19.31%) $40,828.93 (-$175.44) +51,409.1 (+41,100.6) 56% (+4%) 408 (-148) 13,818.50 (-9,014.00)
Daily
/$goalsList.size()
% progress
No Daily Goals.
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Weekly
/$goalsList.size()
% progress
No Weekly Goals.
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Monthly
/$goalsList.size()
% progress
No Monthly Goals.
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Yearly
/$goalsList.size()
% progress
No Yearly Goals.
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Trades: 1,824
Profitability:
Pips: 124,195.6
Average Win: 1,035.25 pips / $375.24
Average Loss: -1145.34 pips / -$339.12
Lots : 47,686.50
Commissions: $0.00
Longs Won: (566/965) 58%
Shorts Won: (449/859) 52%
Best Trade ($): (Mar 13) 3,499.00
Worst Trade ($): (Mar 12) -3,668.00
Best Trade (Pips): (May 04) 4,577.0
Worst Trade (Pips): (May 28) -4,462.0
Avg. Trade Length: 2d
Profit Factor: 1.39
Standard Deviation: $710.398
Sharpe Ratio 0.05
Z-Score (Probability): -12.42 (99.99%)
Expectancy 68.1 Pips / $58.40
AHPR: 0.17%
GHPR: 0.02%
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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

$
% Yearly
Open Date Symbol Action Lots Open Price SL
(Pips)
TP
(Pips)
Profit
(USD)
Pips Swap Gain
12.11.2025 16:55 GBPJPY Sell 16.00 207.98 -98.5 88.7 -64.85 0.0 0.0 -0.04%
Total: 16.00 -$64.85 0.0 0.00 -0.04%
Account USV