Signal Shadow Pro - FLEX

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Nyata (USD), Scandinavian Capital Markets , Teknikal , Manual , 1:50 , MetaTrader 4
+14.27%
+14.28%

0.11%
3.18%
Drawdown: 8.81%

Baki: $114,364.91
Ekuiti: (96.58%) $110,448.24
Tertinggi: (May 27) $114,364.91
Keuntungan: $14,290.42
Faedah: -$328.84

Deposit: $100,000.00
Pengeluaran: $0.00

Dikemaskini 17 minit yang lalu
Penjejakan 0
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Keuntungan (Perbezaan) Keuntungan (Perbezaan) Pip (Perbezaan) Menang% (Perbezaan) Perdagangan (Perbezaan) Lot (Perbezaan)
Hari ini +0.50% (+0.41%) $567.37 (+$468.79) +129.9 (+113.7) 80% (-20%) 5 (+4)
Minggu ini +0.59% (-2.70%) $665.95 (-$2,951.89) +146.1 (-848.4) 83% (-4%) 6 (-26)
Bulan ini +12.54% (+10.92%) $12,741.98 (+$11,119.05) +3,191.9 (+2,871.5) 89% (+12%) 87 (+78)
Tahun ini +14.36% ( - ) $14,364.91 ( - ) +3,512.3 ( - ) 88% ( - ) 96 ( - )
Harian
/$goalsList.size()
% progress
Tiada Matlamat Harian.
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Mingguan
/$goalsList.size()
% progress
Tiada Matlamat Mingguan.
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Bulanan
/$goalsList.size()
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Tiada Matlamat Bulanan.
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Tahunan
/$goalsList.size()
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Tiada Matlamat Tahunan.
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Perdagangan: 95
Keuntungan:
Pip: 3,489.5
Kemenangan Purata: 45.98 pips / $187.33
Purata Kerugian: -33.90 pips / -$131.38
Lot :
Komisen: -$483.10
Kemenangan Panjang: (8/11) 72%
Kemenangan Pendek: (76/84) 90%
Perdagangan Terbaik ($): (May 14) 738.02
Perdagangan Terburuk ($): (May 12) -885.51
Perdagangan Terbaik (Pip): (May 14) 215.2
Perdagangan Terburuk (Pip): (May 12) -256.1
Purata Panjang Perdagangan: 2d
Faktor Keuntungan: 10.89
Sisihan piawai: $180.639
Ratio Sharpe 0
Skor-Z (Kebarangkalian): 0.54 (41.08%)
Jangkaan 36.7 Pip / $150.43
AHPR: 0.14%
GHPR: 0.14%
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Data termasuk 200 transaksi terakhir berdasarkan sejarah yang dianalisis.
Data termasuk 200 transaksi terakhir berdasarkan sejarah yang dianalisis.

Forecast New

$
% Tahunan
Perdagangan terbuka adalah peribadi.

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Account USV