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Balance

Equity

Drawdown

  • Equity
  • Drawdown
Trades:
3199
Profit Trades:
2048 (64.02%)
Loss Trades:
1151 (35.98%)
Best trade:
31.41 EUR
Worst trade:
-22.54 EUR
Gross Profit:
6083.26 EUR (323290 pips)
Gross Loss:
-4682.55 EUR (234224 pips)
Maximum consecutive wins:
28 (110.25 EUR)
Maximal consecutive profit:
163.67 EUR (16)
Sharpe Ratio:
0.09
Trading activity:
36.91%
Max deposit load:
22.07%
Recovery Factor:
6.11
Long Trades:
1513 (47.30%)
Short Trades:
1686 (52.70%)
Profit Factor:
1.30
Expected Payoff:
0.44 EUR
Average Profit:
2.97 EUR
Average Loss:
-4.07 EUR
Maximum consecutive losses:
12 (-99.57 EUR)
Maximal consecutive loss:
-99.57 EUR (12)
Monthly growth:
1.53%
Annual Forecast:
18.51%
Algo trading:
100%

Distribution

Symbol Deals Sell Buy
EURUSD 1485
GBPUSD 1258
EURGBP 456
2505007501K1.3K1.5K1.8K2K
2505007501K1.3K1.5K1.8K2K
2505007501K1.3K1.5K1.8K2K
Symbol Gross Profit, USD Loss, USD Profit, USD
EURUSD 1.3K
GBPUSD 230
EURGBP 108
2K4K6K
2K4K6K
2K4K6K
Symbol Gross Profit, pips Loss, pips Profit, pips
EURUSD 72K
GBPUSD 15K
EURGBP 2.6K
50K100K150K200K250K300K350K400K
50K100K150K200K250K300K350K400K
50K100K150K200K250K300K350K400K
Best trade:
31.41 EUR
Maximum consecutive wins:
28 (110.25 EUR)
Maximal consecutive profit:
163.67 EUR (16)
Worst trade:
-22.54 EUR
Maximum consecutive losses:
12 (-99.57 EUR)
Maximal consecutive loss:
-99.57 EUR (12)
Drawdown by balance:
Absolute:
24.97 EUR
Maximal:
229.31 EUR (11.66%)
Relative drawdown:
By Balance:
11.66% (229.31 EUR)
By Equity:
3.02% (65.03 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 "Activtrades-3" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.

ForexTrend-Trade5
0.00 × 3
BML-Live
0.00 × 5
CIB-Brokers Server
0.00 × 1
ForexTimeFXTM-Standard-demo
0.00 × 1
FXGlobalMarketsFXGM-TNLive
0.00 × 1
NAS-Demo
0.00 × 1
PriceMarkets-Live2
0.00 × 2
FXGiantsUK-Real3
0.00 × 1
N1CapitalMarkets-Live
0.00 × 4
NetStockECN-ECN Live Server
0.00 × 1
CMXMarkets-Real
0.00 × 2
Monex-Server
0.00 × 18
Z.comTradeUKLtd-Live-UK
0.00 × 7
207.46.139.86
0.00 × 1
IKOfx-Main
0.03 × 29
ATCBrokers-Live
0.05 × 95
LMAX-LiveUK
0.07 × 14
Pepperstone-Edge08
0.10 × 167
SabaCapital-Real
0.11 × 46
XMUK-Real 15
0.13 × 53
GoldexGroup-Real
0.17 × 6
EGlobal-Cent5
0.17 × 178
TitanFX-02
0.20 × 15
ICMarkets-Live08
0.23 × 1878
EvolveMarkets-MT4 Demo Server
0.23 × 791
563 more...
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I am CFTe & ACI Dealing Certificate Holder. Accordingly, I am specialized in trading strategies that operate mainly in trend phase. Experience shows that trading in trend phases reflect the best rate of return. In sideways phase, trades are opened restricted, according to the statistical method "Value@Risk". I optimize the strategies on the premise of steady good return at low rate risk. My trading strategies are for mid-term investors (6 months +) interesting, that means: - A Max DD of not more than 15% - A target ROI per annum about 50+%, Over Performance possible - Each position has a SL / TP, the market has unpredictable moments - The trading strategies are based on the risk diversification (ie. model of Markowitz), compiled as a portfolio - I invest myself which means: we make profits and losses together and of course the target is a Top ROI As you can see, I am a technical trader with a neural touch, 4/5 of the trades are of a technical nature (both MM and SL / TP are technically defined) The neural touch means the personal experience. Based on my education & intensive study of the money market, I sometimes have a different picture of the market situation, therefore I take care of a few things, including ie. moving SL/TP to an important resistance line or the early closure of position when FED / ECB decision are imminent etc. I am very open & pls talk to me about anything. PS: Advice for Lot Size > prefer fix ratio money management which means: lot size = balance + ( delta*0,1 ), Delta means pips you prefer moving to the next lot size level. Higher Delta ( 300 - 500 ) means conservative, lower Delta means ( < 150 ) means progressive. I suggest 250 - 350.


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Signal
Price
Growth
Subscribers
Funds
Weeks
Trades
Win %
PF
Drawdown
30
USD
113%
3
6.2K
USD
2.6K
EUR
133
100%
3 199
64%
37%
1.29
0.44
EUR
12%
1:100
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