Shark2.0

User Image
Demo (EUR), Key To Markets , Technical , Automated , 1:33 , MetaTrader 4
+108.57%
+85.02%

0.07%
2.08%
Drawdown: 12.27%

Balance: €37,004.13
Equity: (100.08%) €37,032.34
Highest: (May 21) €41,523.86
Profit: €17,004.13
Interest: -€3,531.65

Deposits: €20,000.00
Withdrawals: €0.00

Updated 2 hours ago
Tracking 0
Loading, please wait...
Gain (Difference) Profit (Difference) Pips (Difference) Win% (Difference) Trades (Difference) Lots (Difference)
Today - - - - - -
This Week -0.34% (+1.24%) -€125.12 (+€470.03) -72.0 (+22,722.0) 25% (+1%) 4 (-21) 4.35 (-31.15)
This Month -2.78% (-0.41%) -€1,057.34 (-€134.07) -47,235.7 (-45,301.4) 35% (-7%) 87 (-11) 98.28 (+20.95)
This Year +22.32% (-71.72%) €6,751.43 (-€4,719.22) -27,388.3 (+83,951.6) 47% (-1%) 832 (+68) 723.90 (-239.50)
Daily
/$goalsList.size()
% progress
No Daily Goals.
Loading...
Weekly
/$goalsList.size()
% progress
No Weekly Goals.
Loading...
Monthly
/$goalsList.size()
% progress
No Monthly Goals.
Loading...
Yearly
/$goalsList.size()
% progress
No Yearly Goals.
Loading...
Data is private.
Trades: 1,618
Profitability:
Pips: -143,626.4
Average Win: 946.87 pips / €120.73
Average Loss: -1026.82 pips / -€89.32
Lots : 1,702.00
Commissions: -€255.00
Longs Won: (557/1,125) 49%
Shorts Won: (212/493) 43%
Best Trade (€): (Feb 09) 3,596.12
Worst Trade (€): (Jul 26) -748.54
Best Trade (Pips): (Nov 06) 19,650.0
Worst Trade (Pips): (Jul 17) -30,615.0
Avg. Trade Length: 1d
Profit Factor: 1.22
Standard Deviation: €212.533
Sharpe Ratio 0.04
Z-Score (Probability): -2.22 (99.99%)
Expectancy -88.8 Pips / €10.51
AHPR: 0.05%
GHPR: 0.04%
Loading, please wait...
Loading, please wait...
Data includes last 200 transactions based on the analysed history.
Data includes last 200 transactions based on the analysed history.

Forecast New

$
% Yearly

Other Systems by followsignal

Name Gain Drawdown Pips Trading Leverage Type
PacPile2.0 2,904.51% 40.79% -5,770.7 Automated 1:30 Real
Account USV