Investing in developments - page 14

 

what is it

 
Mischek писал(а) >> he's got a familiar, nirobic style or I'm already glitching.

"Nirobic syndrome" ))))

 
Strategy Tester Report
AlpariUK-Demo (Build 225)

SymbolEURCHF (Euro vs Swiss Franc)
Period15 Minutes (M15) 2007.01.01 00:00 - 2010.02.12 22:59 (2007.01.01 - 2010.04.12)
ModelOpen prices only (only for Expert Advisors that explicitly control bar opening)

Bars in test77546Ticks modelled154024Modelling qualityn/a
Mismatched charts errors0







Initial deposit10000.00



Total net profit20048.82Gross profit37928.25Gross loss-17879.43
Profit factor2.12Expected payoff10.20

Absolute drawdown2432.49Maximal drawdown6382.38 (27.27%)Relative drawdown27.27% (6382.38)

Total trades1966Short positions (won %)908 (83.59%)Long positions (won %)1058 (85.44%)

Profit trades (% of total)1663 (84.59%)Loss trades (% of total)303 (15.41%)
Largestprofit trade647.62loss trade-1192.57
Averageprofit trade22.81loss trade-59.01
Maximumconsecutive wins (profit in money)62 (1881.76)consecutive losses (loss in money)10 (-1056.32)
Maximalconsecutive profit (count of wins)2581.69 (47)consecutive loss (count of losses)-2486.26 (3)
Averageconsecutive wins12consecutive losses2

 
Hi Ulterior, contact me or write your contacts
 
LeoV писал(а) >>

The best way is to negotiate a 50/50 split with some leftist brokerage house. And the money's in your pocket ))))

Yeah :))

 
Ulterior >>:
Strategy Tester Report
AlpariUK-Demo (Build 225)

SymbolEURCHF (Euro vs Swiss Franc)
Period15 Minutes (M15) 2007.01.01 00:00 - 2010.02.12 22:59 (2007.01.01 - 2010.04.12)
ModelOpen prices only (only for Expert Advisors that explicitly control bar opening)

Bars in test77546Ticks modelled154024Modelling qualityn/a
Mismatched charts errors0







Initial deposit10000.00



Total net profit20048.82Gross profit37928.25Gross loss-17879.43
Profit factor2.12Expected payoff10.20

Absolute drawdown2432.49Maximal drawdown6382.38 (27.27%)Relative drawdown27.27% (6382.38)

Total trades1966Short positions (won %)908 (83.59%)Long positions (won %)1058 (85.44%)

Profit trades (% of total)1663 (84.59%)Loss trades (% of total)303 (15.41%)
Largestprofit trade647.62loss trade-1192.57
Averageprofit trade22.81loss trade-59.01
Maximumconsecutive wins (profit in money)62 (1881.76)consecutive losses (loss in money)10 (-1056.32)
Maximalconsecutive profit (count of wins)2581.69 (47)consecutive loss (count of losses)-2486.26 (3)
Averageconsecutive wins12consecutive losses2

Why couldn't you have drawn a straighter line?

 
Investor888 >>:

How much are you willing to pay for an EA giver (at a guess):

1. 100%/year, maximum drawdown during the year being traded is 15% of the deposit at the beginning of the year

2. 100%/year, maximal drawdown within traded year - 5% from the deposit at the beginning of the year

?

 
Investor888 писал(а) >> Hi Ulterior, contact me or give me your contacts.

It's better than that. And it's totally free. ))

 
I've looked at some of Al's pamm accounts , but I didn't get into the TC (I think there's a Martin).
 
storm >>:
Посмотрел памм счета у ал. более менее один неплох, но не стал вникать в суть ТС(вроде есть Мартин)
Current yield 294.43%
Maximum relative return 294.43% (12.02.2010)
Maximum relative loss 5.34% (09.11.2009)
Maximum daily return 32.54% (02.04.2009)
Maximum daily loss 4.89% (09.11.2009)
Average daily profit 1.51%
Average daily loss 0.86%
Daily return volatility 1.36%
Recovery factor

55.14


yes there is - the depo load is sometimes high 50% or more

the account stats are blurred from a small start - really have to look from the date you accepted the offers

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this one is good too.

this one's good.

Reason: