- Equity
- Drawdown
Distribution
Symbol | Deals | Sell | Buy | |
---|---|---|---|---|
GOLDm# | 419 | |||
US100-JUN24 | 59 | |||
GER40-JUN24 | 52 | |||
US500-JUN24 | 46 | |||
USDJPYm# | 43 | |||
US30-JUN24 | 33 | |||
EURJPYm# | 16 | |||
EURUSDm# | 12 | |||
GBPJPYm# | 11 | |||
JP225-JUN24 | 11 | |||
XAUEURm# | 3 | |||
UK100-JUN24 | 3 | |||
OILMn-JUN24 | 2 | |||
US100Cash | 2 | |||
GBPUSDm# | 1 | |||
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Symbol | Gross Profit, USD | Loss, USD | Profit, USD | |
---|---|---|---|---|
GOLDm# | 7.4K | |||
US100-JUN24 | 446 | |||
GER40-JUN24 | -460 | |||
US500-JUN24 | 457 | |||
USDJPYm# | 276 | |||
US30-JUN24 | 348 | |||
EURJPYm# | 24 | |||
EURUSDm# | -25 | |||
GBPJPYm# | -91 | |||
JP225-JUN24 | -121 | |||
XAUEURm# | -36 | |||
UK100-JUN24 | 73 | |||
OILMn-JUN24 | -148 | |||
US100Cash | -29 | |||
GBPUSDm# | -68 | |||
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Symbol | Gross Profit, pips | Loss, pips | Profit, pips | |
---|---|---|---|---|
GOLDm# | 9.1K | |||
US100-JUN24 | 47K | |||
GER40-JUN24 | -31K | |||
US500-JUN24 | 7.6K | |||
USDJPYm# | 6.8K | |||
US30-JUN24 | 33K | |||
EURJPYm# | 181 | |||
EURUSDm# | -841 | |||
GBPJPYm# | -2.2K | |||
JP225-JUN24 | 320 | |||
XAUEURm# | -319 | |||
UK100-JUN24 | 7.1K | |||
OILMn-JUN24 | -147 | |||
US100Cash | -2K | |||
GBPUSDm# | -2.4K | |||
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- Deposit load
- Drawdown
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 "XM.COM-MT5" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.
No data
This is a signal from XM micro account, I use 2 different strategies to make some profits. My main goal is to test my expert advisors.
1st Strategy : breakout of highest/lowest price of last X bars on H1 timeframe, filtered out by ADX, MA and Supertrend indicators, with trailing stop and breakeven functions.
2nd Strategy : forming a range by start and end time of current day, and trade the breakout from that range. Trades are also filtered by ADX, MA and Supertrend indicators with trailing stop and breakeven functions.
Both strategies are using Risk Management : max loss for each trade is 2.5% of account balance, and max loss for last 8 hours is max 5% of account balance.
I also plan manual trades on this account, using proper risk management.