Vantage - Algorithmic - Strategy Model A

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Demo (USD), Vantage Markets , Tehniskā , Manuāli , 1:100 , MetaTrader 5
+269.18%
+269.98%

3.41%
180.45%
Kritums (Drawdown) 71.57%

Bilance $368,874.34
Kapitāls (104.36%) $384,963.34
Augstākais (May 08) $375,574.34
Peļņa $269,174.34
Interese -$5,109.12

Depozīts $100,000.00
Izņemts $0.00

Atjaunots 4 stundas atpakaļ
Sekošana 0
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Pieaugums (Difference) Peļņa (Difference) Pipi Win% (Difference) Darījumi (Difference) Lotes (Difference)
Today - - - - - -
This Week - - - - - -
This Month +29.14% (-156.73%) $83,304.65 (-$102,565.04) +145.5 (-965.9) 61% (+9%) 34 (-165) 2,999.30 (-2,342.20)
This Year +269.18% ( - ) $269,174.34 ( - ) +1,256.9 ( - ) 53% ( - ) 233 ( - ) 8,340.80 ( - )
Dienas
/$goalsList.size()
% progress
No Daily Goals.
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Weekly
/$goalsList.size()
% progress
No Weekly Goals.
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Mēneša
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No Monthly Goals.
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Yearly
/$goalsList.size()
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No Yearly Goals.
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Darījumi: 233
Rentabilitāte
Pipi: 1,256.9
Average Win: 21.07 pips / $3,670.42
Vidēji zaudēts: -12.74 pips / -$1,755.82
Lotes : 8,340.80
Komisijas -$46,924.26
Sekmīga pirkšana (72/141) 51%
Sekmīga pārdošana (53/92) 57%
Labākais darījums (Apr 22) 39,514.07
Sliktākais darījums (Apr 30) -18,875.65
Labākais darījums(pipi): (Apr 13) 451.5
Sliktākais darījums(punkti): (Apr 16) -692.0
Vid. darījuma ilgums 4h 13m
Peļņas faktors 2.42
Standarta novirze $4,891.801
Šarpa koeficients 0.27
Z-Score (Probability): -5.86 (99.99%)
Gaidāms 5.4 Pipi / $1,155.25
AHPR: 0.59%
GHPR: 0.56%
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Data includes last 200 transactions based on the analysed history.
Data includes last 200 transactions based on the analysed history.

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$
% Yearly
Atvēršanas datums Simbols Darbība Lotes Atvēršanas cena SL
(Pipi)
TP
(Pipi)
Peļņa
(USD)
Pipi Swap Pieaugums
05.09.2025 19:21 EURUSD Pārdot 100.00 1.12659 -61.9 26.8 15700.00 0.0 389.0 +4.36%
Kopā: 100.00 $15700.00 0.0 389.00 +4.36%

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Account USV