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My resume
Demo (USD), MEX Atlantic , 1:500 , MetaTrader 4
+145.34%
+145.34%

0.19%
5.77%
Drawdown: 25.46%

Balance: $220,457.61
Equity: (100.00%) $220,457.37
Highest: (Feb 27) $259,657.67
Profit: $130,600.81
Interest: -$13,902.88

Deposits: $89,856.80
Withdrawals: $0.00

Updated 1 Hour ago
Tracking 1
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Gain (Difference) Profit (Difference) Pips (Difference) Win% (Difference) Trades (Difference) Lots (Difference)
Today +0.00% (+0.00%) $0.00 (+$0.44) +0.0 (+2.0) 0% (-50%) 0 (-2) 0.00 (-0.04)
This Week -0.02% (+1.88%) -$39.91 (+$4,232.51) -1,345.0 (+217.6) 53% (+3%) 13 (-286) 10.11 (-275.71)
This Month +0.00% (+4.15%) $0.00 (+$9,552.64) +0.0 (+5,143.0) 0% (-49%) 0 (-321) 0.00 (-401.39)
This Year +19.05% (-87.03%) $35,282.43 (-$60,035.95) -590.9 (-34,003.8) 47% (-8%) 461 (-1207) 759.50 (-3,327.60)
Daily
/$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: 2,129
Profitability:
Pips: 32,822.0
Average Win: 189.57 pips / $633.09
Average Loss: -184.56 pips / -$595.22
Lots : 4,846.60
Commissions: -$13,993.17
Longs Won: (580/1,132) 51%
Shorts Won: (558/997) 55%
Best Trade ($): (Jul 06) 23,185.75
Worst Trade ($): (Mar 05) -28,151.30
Best Trade (Pips): (May 19) 5,912.0
Worst Trade (Pips): (May 19) -5,957.0
Avg. Trade Length: 11h 20m
Profit Factor: 1.22
Standard Deviation: $2,007.717
Sharpe Ratio 0.01
Z-Score (Probability): -17.81 (99.99%)
Expectancy 15.4 Pips / $61.34
AHPR: 0.05%
GHPR: 0.04%
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Data includes last 200 transactions based on the analysed history.
Data includes last 200 transactions based on the analysed history.
Open Date Symbol Action Lots Open Price SL
(Pips)
TP
(Pips)
Profit
(USD)
Pips Swap Gain
04.30.2024 02:48 XAUUSD Buy 0.01 2,333.97 - - -47.76 -4,776.0 -0.38 -0.02%
04.30.2024 02:48 XAUUSD Sell 0.01 2,333.95 - - 47.72 4,772.0 0.24 +0.02%
Total: 0.02 -$0.04 -4.0 -0.14 +0.00%
Account USV