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Growth

Jan
Feb
Mar
Apr
May
Jun
Jul
Aug
Sep
Oct
Nov
Dec
YTD
Total:

Balance

Equity

Drawdown

  • Equity
  • Drawdown
Trades:
593
Profit Trades:
390 (65.76%)
Loss Trades:
203 (34.23%)
Best trade:
96.97 EUR
Worst trade:
-97.34 EUR
Gross Profit:
6355.86 EUR (50146 pips)
Gross Loss:
-4649.58 EUR (29911 pips)
Maximum consecutive wins:
15 (281.98 EUR)
Maximal consecutive profit:
332.88 EUR (13)
Sharpe Ratio:
0.12
Trading activity:
20.36%
Max deposit load:
84.17%
Recovery Factor:
2.86
Long Trades:
340 (57.34%)
Short Trades:
253 (42.66%)
Profit Factor:
1.37
Expected Payoff:
2.88 EUR
Average Profit:
16.30 EUR
Average Loss:
-22.90 EUR
Maximum consecutive losses:
8 (-227.30 EUR)
Maximal consecutive loss:
-313.25 EUR (4)
Monthly growth:
7.77%
Annual Forecast:
94.23%
Algo trading:
100%

Distribution

Symbol Deals Sell Buy
GBPUSD+ 152
USDCAD+ 133
EURUSD+ 127
USDJPY+ 81
USDCHF+ 47
AUDUSD+ 27
NZDUSD+ 13
GBPJPY+ 12
EURCHF+ 1
255075100125150175200
255075100125150175200
255075100125150175200
Symbol Gross Profit, USD Loss, USD Profit, USD
GBPUSD+ 480
USDCAD+ 1.2K
EURUSD+ 107
USDJPY+ 247
USDCHF+ 375
AUDUSD+ -280
NZDUSD+ -109
GBPJPY+ -18
EURCHF+ -22
5001K1.5K2K2.5K3K3.5K4K
5001K1.5K2K2.5K3K3.5K4K
5001K1.5K2K2.5K3K3.5K4K
Symbol Gross Profit, pips Loss, pips Profit, pips
GBPUSD+ 4K
USDCAD+ 9.7K
EURUSD+ 3.6K
USDJPY+ 1.5K
USDCHF+ 2.7K
AUDUSD+ -1270
NZDUSD+ -142
GBPJPY+ 351
EURCHF+ -123
2.5K5K7.5K10K13K15K18K20K23K25K28K30K
2.5K5K7.5K10K13K15K18K20K23K25K28K30K
2.5K5K7.5K10K13K15K18K20K23K25K28K30K
Best trade:
96.97 EUR
Maximum consecutive wins:
15 (281.98 EUR)
Maximal consecutive profit:
332.88 EUR (13)
Worst trade:
-97.34 EUR
Maximum consecutive losses:
8 (-227.30 EUR)
Maximal consecutive loss:
-313.25 EUR (4)
Drawdown by balance:
Absolute:
0.00 EUR
Maximal:
596.75 EUR (16.59%)
Relative drawdown:
By Balance:
16.59% (596.75 EUR)
By Equity:
8.38% (290.20 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.

No data
No data

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

ICMarkets-Live05
0.27 × 11
ICMarkets-Live01
0.43 × 65
Valutrades-Real
0.76 × 101
JFD-Live02
2.18 × 50
OANDA-v20 Live
5.13 × 46
AtlanticPearl-Live 1
6.45 × 126
FxPro.com-Real02
8.46 × 48
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SIGNAL: i-DayTrader EA - REAL

(feat. "Drawdown Control" - free EA)
System description: https://www.mql5.com/en/blogs/post/695843


Account type: ECN
Broker: Valutrades Ltd. (London, UK)
Server location: Equinix Data Center NY4 (NYC, USA)

Please carefully read the following description:

- Max risk per position: 1.25 % of equity (since September 2017), fixed SL
- Max open positions: 2 (since September 2017)
- Max floating drawdown: 2.5 % (since September 2017)
- Expected all-time max drawdown: 15 % (since September 2017)
- Expected yearly return: +50 % (since September 2017)
- Account leverage: 1:100
- General trading time: 24/5
- No trading while NFP and key interest rate decisions: yes
- Human control and no trades over weekend: yes
- Required account type: ECN 5-digit with low spread & commission
- Optimal deposit for proper MM: +2.000 USD if minimum lot size = 0.01
- Minimum deposit to follow the system: 500 USD
  [In this case the system will use/have partially much higher risks!]

Traded symbols:
- EURUSD, USDJPY, GBPUSD
- USDCAD, USDCHF, AUDUSD
- NZDUSD, GBPJPY (maybe EURCHF, GBPCHF)

Average rating:
btoz82
136
2017.06.14 01:16 
 

Great support from Bernhard. Will update rating as performance progresses

2018.01.19 09:16
Removed warning: Low trading activity - not enough trades detected during the last month
2018.01.17 09:24 2018.01.17 09:24:59 

Dear Subscribers,

PLEASE NOTE: Trading is ACTIVATED now again on a regular basis.

Best,

Team i-DayTrader

2018.01.17 04:41
Removed warning: No trading activity detected on the Signal's account for the recent period
2018.01.17 04:41
Low trading activity - only 0 trades detected in the last month
2018.01.13 15:02
Removed warning: Low trading activity - not enough trades detected during the last month
2018.01.05 08:41
Low trading activity - only 7 trades detected in the last month
2017.12.20 14:30
No trading activity detected on the Signal's account for the last 6 days
2017.12.14 14:41 2017.12.14 14:41:09 

Dear Subscribers,

PLEASE NOTE: Trading activity will now be "paused" from mid-December to mid-January because statistics show that the system doesn't perform good in times of less liquidity in the market (causing more erratic price movements).

Best,

Team i-DayTrader

2017.11.27 17:49
Removed warning: No trading activity detected on the Signal's account for the recent period
2017.11.22 16:32
No trading activity detected on the Signal's account for the last 6 days
2017.09.15 10:59 2017.09.15 10:59:58 

Dear Subscribers,

Please note: Over the last weeks of performance stagnation we have intervened manually by reducing risk and stopping trades earlier. This didn't result in a better performance but significantly decreased the equity curve's volatility. We did so because we've learned that investors prefer stability over return. However we simultaneously run "control accounts" with the same system being "untouched" even without stopping before potential "dangerous" news events. As we can see the "original" system has passed through its valley bottom regarding the performance now so that we decided to reduce the manual control starting @ Monday (18.09.2017). The risk will be set to 1.25 % of equity per trade with max 4 open positions (1 - 2 in most cases). So if you already have allocated only 50 % of your account's equity to half the original 2.5 % risk you can set it now to 95 % (maximum possible percentage to allocate funds @ mql5.com) and will STILL have a max risk of only 1.19 % per position [95 % of 1.25 %].

Please don't forget that nevertheless we will still also have loser trades and "SLs" and maybe right at the start on Monday. Important is the average performance - nothing else.

Best,

Team i-DayTrader

2017.06.12 07:07
Removed warning: This is a newly opened account. Trading results may be of random nature
2017.06.09 13:29
Removed warning: No trading activity detected on the Signal's account for the recent period
2017.05.30 11:11
No trading activity detected on the Signal's account for the last 6 days
2017.05.23 12:32
This is a newly opened account, and the trading results may be of random nature
To see trades in realtime, please log in or register
Watch the video tutorials about trading signals on YouTube
Name
Price
Growth
Subscribers
Equity
Weeks
Trades
Win %
PF
Drawdown
25
USD
89%
1
0
USD
2.1K
EUR
47
100%
593
65%
20%
1.36
2.88
EUR
17%
1:100
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