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Balance

Equity

Drawdown

  • Equity
  • Drawdown
Trades:
1803
Profit Trades:
1060 (58.79%)
Loss Trades:
743 (41.21%)
Best trade:
361.98 EUR
Worst trade:
-2328.62 EUR
Gross Profit:
21546.24 EUR (794282 pips)
Gross Loss:
-16971.85 EUR (317881 pips)
Maximum consecutive wins:
14 (87.78 EUR)
Maximal consecutive profit:
690.00 EUR (6)
Sharpe Ratio:
0.06
Trading activity:
87.41%
Max deposit load:
12.74%
Recovery Factor:
1.95
Long Trades:
871 (48.31%)
Short Trades:
932 (51.69%)
Profit Factor:
1.27
Expected Payoff:
2.54 EUR
Average Profit:
20.33 EUR
Average Loss:
-22.84 EUR
Maximum consecutive losses:
12 (-6.55 EUR)
Maximal consecutive loss:
-2347.09 EUR (3)
Monthly growth:
0.14%
Annual Forecast:
1.44%
Algo trading:
0%

Distribution

Symbol Deals Sell Buy
USDCAD 649
GBPUSD 490
EURUSD 344
#Germany30 227
EURGBP 39
XAUUSD 22
#US30 14
AUDUSD 10
#Japan225 3
NZDUSD 2
#US500 2
USDCHF 1
200400600
200400600
200400600
Symbol Gross Profit, USD Loss, USD Profit, USD
USDCAD 1.7K
GBPUSD 3.2K
EURUSD 456
#Germany30 -8
EURGBP 13
XAUUSD -155
#US30 -9
AUDUSD 35
#Japan225 0
NZDUSD -63
#US500 0
USDCHF -5
2.5K5K7.5K10K13K15K18K20K
2.5K5K7.5K10K13K15K18K20K
2.5K5K7.5K10K13K15K18K20K
Symbol Gross Profit, pips Loss, pips Profit, pips
USDCAD 65K
GBPUSD 49K
EURUSD 21K
#Germany30 360K
EURGBP 367
XAUUSD 3.7K
#US30 -12709
AUDUSD 103
#Japan225 0
NZDUSD -214
#US500 90
USDCHF -243
200K400K600K800K
200K400K600K800K
200K400K600K800K
Best trade:
361.98 EUR
Maximum consecutive wins:
14 (87.78 EUR)
Maximal consecutive profit:
690.00 EUR (6)
Worst trade:
-2328.62 EUR
Maximum consecutive losses:
12 (-6.55 EUR)
Maximal consecutive loss:
-2347.09 EUR (3)
Drawdown by balance:
Absolute:
71.02 EUR
Maximal:
2347.09 EUR (83.27%)
Relative drawdown:
By Balance:
83.27% (2347.09 EUR)
By Equity:
39.56% (1338.08 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.

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 "MaxFX-Live Server" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.

FXOpen-Real2
1.74 × 112
XM.COM-AU-Real 18
3.82 × 56
FxPro.com-Real02
4.00 × 1
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Steadily and consistently growing account over 12mnth average by 3-6% monthly using technicals, PA and fundamentals on currencies, indices & commodities. Using small secure position sizes (0.5-2%) for longevity, will build a consistent result and ruggedness for lesser optimal circumstances.  The  larger drawdown occurred when I was in a trading competitions battling for first place and willingly exceeded my risk position and normal risk profile, it unfortunately didn't bring me expected result and lost my first place ending 5th place of 600 contestants. Drawdown and risk position have been modified, using more consistent and conservative strategies draw down will be reduced structurally on average not exceeding 10-15%. New more conservative and consistent strategy has been implemented since november 2017 after thorough testing period and will be active going forward.

I am providing my signal to generate enough capital to replace my job and create an alternative income and professionalize my trading.

I really intensely and deeply studied the markets >15.000 hours through a 12 month daily mentorship and learned to develop a daily rugged, consistent system and analysis routine when markets are moving using higher timeframes building longer and short term views.

Longer consolidations (like last 3 mths 2016 & first 3/6 mths 2017) and uncertainties (i.e elections), will influence the huge capital investors staying outside the markets, leaving low volumes low volatility and smaller ranges. They will always be more challenging for investors making profits, at least remaining neutral then is a positive. Eventually during the rest of a year large investors will need to step in again creating larger volume and lots of dynamics making market again for profit. Finding the right optimal circumstances then will generate the wished for positive outcome.

I wish for a similar mutually profitable trading experience for all participants.   



No reviews
2018.02.07 15:56
No trading activity detected on the Signal's account for the last 6 days
2018.01.19 16:27
Removed warning: No trading activity detected on the Signal's account for the recent period
2018.01.16 20:22
No trading activity detected on the Signal's account for the last 6 days
2018.01.04 19:31
Removed warning: No trading activity detected on the Signal's account for the recent period
2018.01.04 18:30
No trading activity detected on the Signal's account for the last 6 days
2017.08.28 11:22
Removed warning: No trading activity detected on the Signal's account for the recent period
2017.08.24 18:17
No trading activity detected on the Signal's account for the last 6 days
2017.07.25 18:26 2017.07.25 18:26:25 

Drawdown caused by over competitive activity during competition early 2016 where ego play let me to over leverage position trying to remain 1st place. Eventually ended up 5th of 600. Never the less valuable experience and lesson learned.

2017.06.24 14:00
A large drawdown may occur on the account again
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Name
Price
Growth
Subscribers
Equity
Weeks
Trades
Win %
PF
Drawdown
49
USD
79%
0
0
USD
9.1K
EUR
101
0%
1 803
58%
87%
1.26
2.54
EUR
83%
1:500
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