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Strategy Settings

TakeProfit
1700
StopLoss
300
LotSize
5
useTakeProfit
true
useStopLoss
false
TrailingStopOnlyPro...
false
TrailingStop
0
useTimeFilter
false
startTradeTime
6
endTradeTime
24
MegaPeriod
576
MegaMode
1
BDistance
40
BPeriod
20
Deviation
2
+734.55%

102.84%
163879116708.22%
Drawdown: 69.12%

Balance: $12,512.80
Highest: (Jan 09) $12,512.80
Profit: $11,012.80
Deposits: $1,500.00

Test Started: Jan 06, 2015
Test Ended: Jan 09, 2015
Timeframe: 1 Hour

Model Type: Every Tick
Added: Feb 08, 2020 at 13:24
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Trades: 2
Profitability:
Pips: 219.7
Average Win: 109.85 pips / $5,506.40
Average Loss: 0.00 pips / $0.00
Lots: 10.00
Commissions: 0
Longs Won: (0/0) 0%
Shorts Won: (2/2) 100%
Best Trade ($): (Jan 08) 8,562.80
Worst Trade ($): -
Best Trade (Pips): (Jan 08) 170.0
Worst Trade (Pips): -
Avg. Trade Length: 1d
Profit Factor: -
Standard Deviation: $0.00
Sharpe Ratio 0.00
Z-Score (Probability): 0.00 (0.00%)
Expectancy 109.9 Pips / $5,506.40
AHPR: -100.00%
GHPR: 188.82%
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Loss Size 100% 90% 80% 70% 60% 50% 40% 30% 20% 10%
Probability of Loss <0.01% <0.01% <0.01% <0.01% <0.01% <0.01% <0.01% <0.01% <0.01% <0.01%
Consecutive Losing Trades
Hover over the desired column for a detailed explanation.
Data includes last 200 transactions based on the analysed history.

Trading Activity (2)

Open Date Close date Symbol Action Lots SL TP Open Price Close Price Pips Profit Duration Change
01.09.2015 11:53 01.09.2015 15:44 EURUSD Sell 5.00 - 1.2 1.18191 1.17694 49.7 2,450.00 3h 51m 24.35%
01.06.2015 08:41 01.08.2015 10:59 EURUSD Sell 5.00 - 1.2 1.19643 1.17943 170.0 8,562.80 2d 570.85%

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