- Equity
- Drawdown
Trades:
188
Profit Trades:
148 (78.72%)
Loss Trades:
40 (21.28%)
Best trade:
44.63 USD
Worst trade:
-7.30 USD
Gross Profit:
1 132.68 USD
(90 960 pips)
Gross Loss:
-126.11 USD
(13 448 pips)
Maximum consecutive wins:
50 (309.55 USD)
Maximal consecutive profit:
309.55 USD (50)
Sharpe Ratio:
0.67
Trading activity:
100.00%
Max deposit load:
3.30%
Latest trade:
19 hours ago
Trades per week:
39
Avg holding time:
6 days
Recovery Factor:
54.88
Long Trades:
54 (28.72%)
Short Trades:
134 (71.28%)
Profit Factor:
8.98
Expected Payoff:
5.35 USD
Average Profit:
7.65 USD
Average Loss:
-3.15 USD
Maximum consecutive losses:
4 (-7.20 USD)
Maximal consecutive loss:
-12.58 USD (3)
Monthly growth:
13.59%
Annual Forecast:
164.94%
Algo trading:
100%
Drawdown by balance:
Absolute:
0.00 USD
Maximal:
18.34 USD (0.28%)
Relative drawdown:
By Balance:
0.28% (18.34 USD)
By Equity:
4.19% (294.80 USD)
Distribution
| Symbol | Deals | Sell | Buy | |
|---|---|---|---|---|
| GBPJPY | 39 | |||
| CHFJPY | 36 | |||
| AUDJPY | 32 | |||
| EURJPY | 16 | |||
| USDCAD | 15 | |||
| CADJPY | 13 | |||
| GBPCHF | 12 | |||
| AUDNZD | 8 | |||
| NZDJPY | 7 | |||
| USDJPY | 5 | |||
| EURUSD | 3 | |||
| USDCHF | 1 | |||
| EURNZD | 1 | |||
|
10
20
30
40
|
10
20
30
40
|
10
20
30
40
|
| Symbol | Gross Profit, USD | Loss, USD | Profit, USD | |
|---|---|---|---|---|
| GBPJPY | 90 | |||
| CHFJPY | 259 | |||
| AUDJPY | 167 | |||
| EURJPY | 92 | |||
| USDCAD | 81 | |||
| CADJPY | 41 | |||
| GBPCHF | 106 | |||
| AUDNZD | 17 | |||
| NZDJPY | 63 | |||
| USDJPY | 32 | |||
| EURUSD | 39 | |||
| USDCHF | 14 | |||
| EURNZD | 5 | |||
|
25
50
75
100
125
150
175
200
225
250
275
300
|
25
50
75
100
125
150
175
200
225
250
275
300
|
25
50
75
100
125
150
175
200
225
250
275
300
|
| Symbol | Gross Profit, pips | Loss, pips | Profit, pips | |
|---|---|---|---|---|
| GBPJPY | 5.7K | |||
| CHFJPY | 21K | |||
| AUDJPY | 6.3K | |||
| EURJPY | 8.4K | |||
| USDCAD | 7.4K | |||
| CADJPY | 6.7K | |||
| GBPCHF | 7.6K | |||
| AUDNZD | 2.5K | |||
| NZDJPY | 5.8K | |||
| USDJPY | 3.2K | |||
| EURUSD | 2.5K | |||
| USDCHF | 885 | |||
| EURNZD | 788 | |||
|
2.5K
5K
7.5K
10K
13K
15K
18K
20K
23K
25K
28K
30K
|
2.5K
5K
7.5K
10K
13K
15K
18K
20K
23K
25K
28K
30K
|
2.5K
5K
7.5K
10K
13K
15K
18K
20K
23K
25K
28K
30K
|
- Deposit load
- Drawdown
Best trade:
+44.63
USD
Worst trade:
-7
USD
Maximum consecutive wins:
50
Maximum consecutive losses:
3
Maximal consecutive profit:
+309.55
USD
Maximal consecutive loss:
-7.20
USD
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 "Exness-Real24" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.
|
XMGlobal-Real 10
|
0.00 × 1 | |
|
Exness-Real26
|
0.00 × 37 | |
|
Tickmill-Live09
|
0.08 × 24 | |
|
Exness-Real25
|
0.16 × 3605 | |
|
Exness-Real9
|
0.17 × 76 | |
|
ICMarketsSC-Live15
|
0.40 × 469 | |
|
FXChoice-Pro Live
|
0.40 × 10 | |
|
ICMarketsSC-Live25
|
0.45 × 29 | |
|
Exness-Real6
|
0.75 × 151 | |
|
Axi-US05-Live
|
0.75 × 4 | |
|
XMGlobal-Real 43
|
0.76 × 41 | |
|
Exness-Real11
|
0.77 × 4234 | |
|
Exness-Real27
|
0.80 × 71955 | |
|
Exness-Real12
|
0.96 × 2050 | |
|
Exness-Real24
|
1.05 × 5358 | |
|
OctaFX-Real6
|
1.38 × 16 | |
|
DuoMarkets-Live04
|
1.54 × 63 | |
|
DuoMarkets-DemoBHS
|
1.55 × 20 | |
|
XMTrading-Real 47
|
1.63 × 75 | |
|
XMGlobal-Real 3
|
3.81 × 312 | |
|
XMGlobal-Real 16
|
3.95 × 1507 | |
|
InfinoxCapital-Live04
|
4.63 × 8 | |
|
IronFXBM-Real9
|
4.95 × 358 | |
|
RoboForex-ProCent-7
|
5.18 × 768 | |
|
VTMarkets-Live 4
|
5.50 × 10 | |
Structured Scaling Strategy Focused on High-Probability Trade Management and Efficient Basket Resolution
- Core Precision Select is built from a multi-strategy trading framework utilizing disciplined position scaling and coordinated basket-based trade management.
- The strategy emphasizes later-stage trade execution, selectively participating as positions progress into actively managed phases where the focus shifts toward profitable basket resolution.
- Rather than depending primarily on initial market entries, positions are designed to work collectively, allowing exposure to develop in a structured manner as market conditions evolve.
- Controlled scaling and coordinated position management are used to balance opportunity with risk while reducing unnecessary exposure during earlier stages of a trade sequence.
- The approach is designed around capital efficiency, disciplined execution, and consistent basket management rather than the outcome of any individual position.
Designed for steady performance through selective execution, controlled scaling, and disciplined basket management.
No reviews
Signal
Price
Growth
Subscribers
Funds
Balance
Weeks
Expert Advisors
Trades
Win %
Activity
PF
Expected Payoff
Drawdown
Leverage