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Vladimir Jovic. MEDIUM Risk x2 strategy (DD 20%)
Demo (USD),
IC Markets
, Manual , 1:500
, MetaTrader 4
+47.46% | |
+47.46% |
0.01% | |
6.44% | |
Drawdown: | 21.06% |
Balance: | $4,423.92 |
Equity: | (100.00%) $4,423.92 |
Highest: | (May 11) $4,423.92 |
Profit: | $1,423.92 |
Interest: | -$12.60 |
Deposits: | $3,000.00 |
Withdrawals: | $0.00 |
Updated | May 30, 2016 at 19:40 |
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: | 77 |
Profitability: |
|
Pips: | 2,890.0 |
Average Win: | 76.56 pips / $35.91 |
Average Loss: | -90.41 pips / -$38.59 |
Lots : | 4.12 |
Commissions: | -$28.84 |
Longs Won: | (29/42) 69% |
Shorts Won: | (30/35) 85% |
Best Trade ($): | (Feb 03) 181.82 |
Worst Trade ($): | (Feb 03) -128.53 |
Best Trade (Pips): | (Feb 03) 505.7 |
Worst Trade (Pips): | (Feb 03) -351.9 |
Avg. Trade Length: | 9d |
Profit Factor: | 3.05 |
Standard Deviation: | $47.129 |
Sharpe Ratio | 0.40 |
Z-Score (Probability): | -1.64 (90.82%) |
Expectancy | 37.5 Pips / $18.49 |
AHPR: | 0.51% |
GHPR: | 0.51% |
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Data includes last 200 transactions based on the analysed history.
Data includes last 200 transactions based on the analysed history.
No data to display
Other Systems by AktivFS
Name | Gain | Drawdown | Pips | Trading | Leverage | Type |
---|---|---|---|---|---|---|
Belgrade Capital Management (Risk x 2) | 12.23% | 29.00% | 748.3 | - | - | Real |
Belgrade Capital Management (Risk x 3) | 16.87% | 22.26% | 685.0 | Manual | 1:100 | Real |