System that analyzes and operates the correlation between different indices , mainly in DAX30 and CAC40 . The system does not require a large capital and operating Long -Short . I have reviewed the operation , and now opens up many more positions but improves coverage and benefits . Although it has a low volatility , reflected in large drawdowns statistics that do not correspond with reality as it is long-short operations , that is, a loss is covered with a profit. Performance expected from previous analyzes is 30 % to 50 % annually. Keep this in mind to make your subscription with a satisfactory profit margin .
  • Growth
  • Equity
  • Balance
  • Risks
  • Distribution
  • Slippage
  • Reviews
Trades: 440
Profit Trades: 374 (85.00%)
Loss Trades: 66 (15.00%)
Best trade: 1207.00 EUR
Worst trade: -928.13 EUR
Gross Profit: 6770.00 EUR (115326 pips)
Gross Loss: -5965.00 EUR (134325 pips)
Maximum consecutive wins: 24 (146.38 EUR)
Maximal consecutive profit: 1395.63 EUR (11)
Sharpe Ratio: 0.06
Trading activity: 77.07%
Max deposit load: 14.98%
Recovery Factor: 0.53
Long Trades: 213 (48.41%)
Short Trades: 227 (51.59%)
Profit Factor: 1.13
Expected Payoff: 1.83 EUR
Average Profit: 18.10 EUR
Average Loss: -90.38 EUR
Maximum consecutive losses: 6 (-525.00 EUR)
Maximal consecutive loss: -1451.39 EUR (5)
Monthly growth: 3.22%
Annual Forecast: 39.11%
Best trade: 1207.00 EUR
Maximum consecutive wins: 24 (146.38 EUR)
Maximal consecutive profit: 1395.63 EUR (11)
Worst trade: -928.13 EUR
Maximum consecutive losses: 6 (-525.00 EUR)
Maximal consecutive loss: -1451.39 EUR (5)
Drawdown by balance:
Absolute: 194.47 EUR
Maximal: 1527.28 EUR (66.61%)
Relative drawdown:
By Balance: 66.61% (1527.28 EUR)
By Equity: 88.85% (1798.08 EUR)

MFE and MAE Distribution Point Graphs

Maximum profit (MFE) and maximum loss (MAE) values are recorded for each open order during its lifetime. These parameters additionally characterize each closed order using the values of the maximum unrealized potential and maximum permitted risk. MFE/Profit and MAE/Profit distribution graphs display each order as a point with received profit/loss value plotted along the X-axis, while maximum displayed values of potential profit (MFE) and potential loss (MAE) are plotted along the Y-axis.

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Place your cursor over parameters/graph captions to see the best and worst trading series. Find out more about MAE and MFE distributions in the article Mathematics in Trading: How to Estimate Trade Results.

Symbol Deals Sell Buy
Ger30Mar16 104
Ger30Sep16 77
Fra40Mar16 52
Ger30Jun16 42
Fra40Feb16 27
Fra40May16 18
Fra40Apr16 17
Ger30Dec16 17
Fra40Oct16 16
Fra40Sep16 13
Esp35Feb16 11
Fra40Jun16 11
Fra40Nov16 10
Ger30Mar17 9
Fra40Jul16 7
Fra40Aug16 5
EURUSD 2
Ger30Jun17 2
255075100125150175200
255075100125150175200
255075100125150175200

The average slippage based on execution statistics on real accounts of various brokers is specified in pips. It depends on the difference between the provider's quotes from "Activtrades-5" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.

Atom8-Live
0.00 × 1
ICMarkets-Demo03
0.00 × 1
ICMarkets-Live08
0.00 × 13
AxiTrader-US03-Live
0.00 × 1
Pepperstone-Edge05
0.12 × 210
ICMarkets-Live07
0.14 × 148
Activtrades-2
0.14 × 306
AxioryAsia-02Live
0.17 × 69
ICMarkets-Live06
0.19 × 286
ForexTimeFXTM-ECN
0.23 × 234
RoboForex-ECN
0.31 × 32
QTrade-5
0.33 × 109
ICMarkets-Live03
0.33 × 6
XM.COM-Real 20
0.33 × 6
FXFS-Main Server
0.38 × 65
QTrade-3
0.39 × 41
Activtrades-5
0.39 × 1073
ViproMarkets-Live
0.45 × 412
FBS-Real
0.50 × 2
Activtrades-4
0.67 × 27
CoreSpreads-LiveBravo
0.70 × 10
AlphaFinex-Real
0.71 × 45
Karoll-Real
0.80 × 4582
EGlobal-Cent4
0.87 × 204
FTT-Live
0.89 × 111
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