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Cat bounce

Real (EUR), Admiral Markets , Technical , Manual , 1:30 , MetaTrader 5
+17.75%
+35.08%

0.02%
0.82%
Drawdown: 28.16%

Balance: €434.58
Equity: (121.80%) €529.30
Highest: (Sep 01) €553.43
Profit: €112.87
Interest -€37.39

Deposits: €320.00
Withdrawals: €0.00

Updated 10 hours ago
Tracking 0
Description:
No description entered.

Views: 203
Broker: Admiral Markets
Leverage: 1:30
Type: Real
System: Technical
Trading: Manual
Started: Aug 08, 2019
Added: Aug 12, 2019
Timezone: GMT +2
Gain (Difference) Profit (Difference) Pips (Difference) Win% (Difference) Trades (Difference) Lots (Difference)
Today - - - - - -
This Week - - - - - -
This Month +0.0% ( - ) €0.00 ( - ) 0.00 ( - ) 0% ( - ) 0 ( - )
This Year -9.32% (-40.88%) -€44.67 (-€199.76) -455.70 (-11404.0) 28% (-10%) 7 (-40)
Data is private.
Trades: 77
Profitability:
Pips: 8601.1
Average Win: 615.61 pips / €17.42
Average Loss: -176.24 pips / -€7.65
Lots :
Commissions: -€10.86
Longs Won: (18/50) 36%
Shorts Won: (10/27) 37%
Best Trade (€): (Mar 20) 168.41
Worst Trade (€): (Apr 21) -54.80
Best Trade (Pips): (Sep 01) 8515.4
Worst Trade (Pips): (Jan 16) -1855.0
Avg. Trade Length: 13d
Profit Factor: 1.30
Standard Deviation: €24.52
Sharpe Ratio 0.06
Z-Score (Probability): 0.21 (16.63%)
Expectancy 111.7 Pips / €1.47
AHPR: 0.42%
GHPR: 0.39%
Longs Shorts Total
Currency Trades Pips Profit(€) Trades Pips Profit(€) Trades Pips Profit(€) Won(%) Lost(%)
#AAPL 1 146.0 -1.48 0 0.0 0.00 1 146.0 -1.48 0 (0%) 1 (100%)
#RCL 3 4484.0 35.39 0 0.0 0.00 3 4484.0 35.39 2 (67%) 1 (33%)
#TEVA 2 -20.0 -4.79 0 0.0 0.00 2 -20.0 -4.79 0 (0%) 2 (100%)
#TSLA 3 -1774.0 -13.47 0 0.0 0.00 3 -1774.0 -13.47 0 (0%) 3 (100%)
AUDUSD 3 28.8 8.81 0 0.0 0.00 3 28.8 8.81 1 (33%) 2 (67%)
EURAUD 1 -244.1 -16.39 0 0.0 0.00 1 -244.1 -16.39 0 (0%) 1 (100%)
EURGBP 2 654.0 150.68 3 131.2 34.43 5 785.2 185.11 2 (40%) 3 (60%)
EURJPY 1 16.0 1.29 2 -190.6 -18.57 3 -174.6 -17.28 1 (33%) 2 (67%)
EURUSD 10 -145.4 -15.50 8 176.4 14.85 18 31.0 -0.65 9 (50%) 9 (50%)
GBPUSD 6 -208.9 -19.69 2 -467.1 -39.09 8 -676.0 -58.78 2 (25%) 6 (75%)
GOLD 8 -982.2 -8.90 1 -461.0 -4.16 9 -1443.2 -13.06 4 (44%) 5 (56%)
SILVER 0 0.0 0.00 1 -6.6 -2.69 1 -6.6 -2.69 0 (0%) 1 (100%)
USDJPY 4 39.0 -7.89 2 -166.1 -14.80 6 -127.1 -22.69 2 (33%) 4 (67%)
WTI 5 -728.0 -76.92 2 307.0 56.63 7 -421.0 -20.29 1 (14%) 6 (86%)
[SP500 1 8515.4 65.90 6 -502.7 -10.77 7 8012.7 55.13 4 (57%) 3 (43%)
Loss Size 100% 90% 80% 70% 60% 50% 40% 30% 20% 10%
Probability of Loss <0.01% 0.3% 1.71% 4.77% 9.87% 17.34% 27.49% 40.59% 56.89% 76.62%
Consecutive Losing Trades 69 62 55 48 42 35 28 21 14 7
Hover over the desired column for a detailed explanation.
Data includes last 200 transactions based on the analysed history.
Data includes last 200 transactions based on the analysed history.
Open trades are private.
Open orders are private.
History is private
Exposure is private.
Account USV