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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:
305
Profit Trades:
174 (57.04%)
Loss Trades:
131 (42.95%)
Best trade:
208.98 USD
Worst trade:
-78.46 USD
Gross Profit:
1588.55 USD (15313 pips)
Gross Loss:
-1146.94 USD (10668 pips)
Maximum consecutive wins:
34 (36.53 USD)
Maximal consecutive profit:
230.52 USD (5)
Sharpe Ratio:
0.09
Trading activity:
97.44%
Max deposit load:
90.83%
Recovery Factor:
1.70
Long Trades:
260 (85.25%)
Short Trades:
45 (14.75%)
Profit Factor:
1.39
Expected Payoff:
1.45 USD
Average Profit:
9.13 USD
Average Loss:
-8.76 USD
Maximum consecutive losses:
11 (-60.10 USD)
Maximal consecutive loss:
-228.18 USD (5)
Monthly growth:
16.44%
Annual Forecast:
199.47%
Algo trading:
0%

Distribution

Symbol Deals Sell Buy
USDJPY 31
GBPUSD 28
US500 28
EURUSD 17
GE 13
SBUX 12
MRK 12
ABX 12
IP 10
FCX 10
PFE 8
INTC 8
HPQ 7
DBK 7
BAC 6
JNJ 6
VZ 5
MSFT 5
SIE 5
TWTR 5
VOW3 4
XOM 4
DD 4
FB 4
KO 4
GM 4
BMW 3
IBM 3
JPM 3
AAPL 3
HD 3
AA 3
AIG 3
CSCO 2
DIS 2
HSBC 2
TRV 1
AXP 1
CVX 1
T 1
FDX 1
TSM 1
RDSb 1
WMT 1
MET 1
MS 1
HON 1
GILD 1
ITUB 1
MCD 1
PG 1
PM 1
TOT 1
WFC 1
AUDUSD 1
10203040
10203040
10203040
Symbol Gross Profit, USD Loss, USD Profit, USD
USDJPY 0
GBPUSD 17
US500 129
EURUSD 18
GE -65
SBUX -14
MRK -8
ABX -37
IP 41
FCX 106
PFE 74
INTC 28
HPQ 5
DBK 6
BAC -40
JNJ -2
VZ -17
MSFT 27
SIE -18
TWTR 51
VOW3 49
XOM -20
DD -19
FB 223
KO -11
GM -35
BMW 41
IBM -6
JPM -8
AAPL -22
HD -6
AA -18
AIG -29
CSCO 7
DIS 26
HSBC -23
TRV -5
AXP 1
CVX -6
T 5
FDX -11
TSM -11
RDSb 9
WMT 8
MET -10
MS -7
HON -22
GILD 8
ITUB 8
MCD -12
PG -3
PM 0
TOT 23
WFC 20
AUDUSD -2
100200300400500
100200300400500
100200300400500
Symbol Gross Profit, pips Loss, pips Profit, pips
USDJPY -102
GBPUSD 183
US500 1.3K
EURUSD 173
GE -523
SBUX -104
MRK -70
ABX -359
IP 437
FCX 801
PFE 642
INTC 400
HPQ 56
DBK 55
BAC -394
JNJ -12
VZ -167
MSFT 283
SIE -122
TWTR 509
VOW3 503
XOM -201
DD -179
FB 2.3K
KO -105
GM -344
BMW 374
IBM -50
JPM -71
AAPL -216
HD -59
AA -180
AIG -279
CSCO 70
DIS 268
HSBC -228
TRV -51
AXP 9
CVX -56
T 48
FDX -104
TSM -112
RDSb 95
WMT 98
MET -92
MS -65
HON -215
GILD 84
ITUB 79
MCD -123
PG -25
PM 3
TOT 250
WFC 214
AUDUSD -19
1K2K3K4K5K
1K2K3K4K5K
1K2K3K4K5K
Best trade:
208.98 USD
Maximum consecutive wins:
34 (36.53 USD)
Maximal consecutive profit:
230.52 USD (5)
Worst trade:
-78.46 USD
Maximum consecutive losses:
11 (-60.10 USD)
Maximal consecutive loss:
-228.18 USD (5)
Drawdown by balance:
Absolute:
23.98 USD
Maximal:
259.84 USD (26.00%)
Relative drawdown:
By Balance:
22.40% (259.84 USD)
By Equity:
32.13% (378.90 USD)

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

UnivellBroker-Demo
0.00 × 3
FxPro.com-Real03
0.00 × 1
MaxiMarkets-Maxi Services
0.00 × 4
RoboForex-Pro
0.00 × 2
Alpari-Standard3
0.00 × 1
BCS-Real
0.00 × 16
FOG-Pacific
0.00 × 37
Alpari-Pro.ECN
0.28 × 29
MIC-Real.com
2.00 × 1
To see trades in realtime, please log in or register
Trade is handled by the author's trading system.

- only CFD for stocks and only in long

- Small stop-losses is required - low risks

- Long-term retention of profitable trades

As a rule, the profit on open transactions is much higher than the closed minus on the balance sheet.

By the end of the month, a slight loss on the balance sheet may be recorded, but equity is always growing.

Until 01.03.2017 trading on the account was conducted on another strategy for currency pairs. From 18/04/2017, trading is conducted on the current strategy, which has proved to be more effective.

The account was not replenished since the beginning of trading. Replenishments that are visible on the balance sheet are an amendment to dividends on shares.

At the time of publication of the signal Profit Factor was 2.10, if we take into account the period of trade under the new strategy.

My broker does not have the ability to copy signals, so for those who want to copy signals with minimal slippage and receive an amendment to dividends, I chose a broker with the most similar conditions and trading tools ForexOptimum.

No reviews
2018.02.20 20:27
Removed warning: High current drawdown indicates the absence of risk limitation
2018.02.20 18:25
High current drawdown in 32% indicates the absence of risk limitation
2018.02.20 15:15
Removed warning: High current drawdown indicates the absence of risk limitation
2018.02.20 14:08
High current drawdown in 31% indicates the absence of risk limitation
2018.02.13 17:35
Removed warning: High current drawdown indicates the absence of risk limitation
2018.02.13 16:34
High current drawdown in 30% indicates the absence of risk limitation
2017.12.02 14:00 2017.12.02 14:00:29 

While analyzing the last 3 months, I found out that a large number of successful transactions were skipped because StopLoss exceeded my 1% risk for the deal.

Therefore, in order to increase profitability, I increase the risk per 1 transaction to 2%.

----------------------------------------------------------------------

Анализируя последние 3 месяца, мною было выявлено, что большое количество удачных сделок пропускалось из-за того что StopLoss превышал установленный мною риск 1% на сделку.

Поэтому с целью увеличения доходности, увеличиваю риск на 1 сделку до 2%.

2017.08.04 16:05
Removed warning: No trading activity detected on the Signal's account for the recent period
2017.08.02 20:51
No trading activity detected on the Signal's account for the last 6 days
2017.07.21 12:00
Removed warning: No trading activity detected on the Signal's account for the recent period
2017.07.19 19:05
No trading activity detected on the Signal's account for the last 6 days
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