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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:
51
Profit Trades:
33 (64.70%)
Loss Trades:
18 (35.29%)
Best trade:
49.59 USD
Worst trade:
-6.63 USD
Gross Profit:
251.06 USD (102269 pips)
Gross Loss:
-77.87 USD (6701 pips)
Maximum consecutive wins:
15 (69.91 USD)
Maximal consecutive profit:
85.16 USD (5)
Sharpe Ratio:
0.35
Trading activity:
85.35%
Max deposit load:
12.57%
Recovery Factor:
6.21
Long Trades:
26 (50.98%)
Short Trades:
25 (49.02%)
Profit Factor:
3.22
Expected Payoff:
3.40 USD
Average Profit:
7.61 USD
Average Loss:
-4.33 USD
Maximum consecutive losses:
6 (-27.57 USD)
Maximal consecutive loss:
-27.57 USD (6)
Monthly growth:
93.87%
Algo trading:
0%

Distribution

Symbol Deals Sell Buy
CADJPY 8
EURUSD 8
USDCHF 7
GBPUSD 5
NZDUSD 5
USDJPY 5
EURGBP 4
AUDUSD 3
USDCAD 2
AUDCHF 2
12345678
12345678
12345678
Symbol Gross Profit, USD Loss, USD Profit, USD
CADJPY 29
EURUSD 45
USDCHF 31
GBPUSD -22
NZDUSD 19
USDJPY 28
EURGBP -13
AUDUSD -10
USDCAD 4
AUDCHF 64
204060
204060
204060
Symbol Gross Profit, pips Loss, pips Profit, pips
CADJPY 3.2K
EURUSD 3.3K
USDCHF 2.5K
GBPUSD -2194
NZDUSD 1.1K
USDJPY 2.5K
EURGBP -904
AUDUSD -970
USDCAD 508
AUDCHF 1K
1K2K3K4K5K6K
1K2K3K4K5K6K
1K2K3K4K5K6K
Best trade:
49.59 USD
Maximum consecutive wins:
15 (69.91 USD)
Maximal consecutive profit:
85.16 USD (5)
Worst trade:
-6.63 USD
Maximum consecutive losses:
6 (-27.57 USD)
Maximal consecutive loss:
-27.57 USD (6)
Drawdown by balance:
Absolute:
27.87 USD
Maximal:
27.87 USD (13.94%)
Relative drawdown:
By Balance:
13.88% (27.75 USD)
By Equity:
7.55% (14.60 USD)

MFE and MAE Distribution Point Graphs

Maximum profit (MFE) and maximum loss (MAE) values are recorded for each open position during its lifetime. These parameters additionally characterize each closed position using the values of the maximum unrealized potential and maximum permitted risk. MFE/Profit and MAE/Profit distribution graphs display each position 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 "ICMarkets-MT5" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.

XM.COM-MT5
0.60 × 10
ForexTime-MT5
1.58 × 45
ICMarkets-MT5
1.68 × 582
XMUK-MT5
2.29 × 373
HalifaxPlus-Live
3.50 × 2
FXChoice-MetaTrader 5 Pro
3.67 × 12
Alpari-MT5
5.58 × 148
XMTrading-MT5
7.85 × 164
XMGlobal-MT5
8.40 × 131
RoboForex-MetaTrader 5
9.07 × 54
To see trades in realtime, please log in or register

Hello, my name is Ronald Liboni, and i am from Brazil. I trade based on support and resistance in diary chart.

My strategy aims to provide a monthly return of 5-10%. What you can expect:

 - Only opening trades at the close of the diary candle.

 - Swing trade positions (2-5 days).

 - Only trade on the following 9 pairs (EUR / USD, USD / CHF, USD / CAD, USD / JPY, NZD / USD, GBP / USD, AUD / CHF, AUD / USD, CAD / JPY)

 - In avarage, 18 trades/month.

 - 1 to 1,5% Risk per trade 

 - I calculate my Lot Size based on distance of Stop Loss, so each position has different size that will end in a 1% to 1,5% risk per trade

 - No limit on simultaneous operations

 - Return/risk at minimum of 1:1 per trade, usually 2:1.

 - On one trade i can open until 3 orders (but never risking more than 1,5% joining all these 3 orders)

 - I trade with parcial profits, so i will always open at least two orders for trade. Minimum parcial profit is stablished on 50pips. Usually the parcial profits are almost the same size of the stop loss. Exemples: Stop loss (SL) = 20pip, take profit 1 (TP1) = 50pips. SL= 45pips, TP1=50pips. SL= 51pip, TP1= 60pips. SL= 64pips, TP1= 70pips. SL=59pips , TP1=60pips. SL=85pips, TP1=90pips.

 - Maximum drawndown of 20%.


To copy the trades and maintain the same performance of our strategy we suggest:


[1] True ECN Account | MT5 | Leverage 1: 500 

Spread and costs of Market Makers and non ECN brokers can drastically reduce the result of my trades so I suggest a True ECN broker (personally I prefer IC Markets)


[2] $ 1.000 DEPOSIT

My target is 5% to 10% monthly returns. Investments smaller than that could not have the expect net return after paying signal fee.

                                                        Mark all the option on the signals tab.

                                                                Use no more than 32% of the deposit.


WARNING:

The size of the position of each of your trades will be calculated automatically by your Metatrader when hiring the Copy Trading service and by changing the proportional risk parameters indicated by MQL5 you are at your own risk, since our strategy uses the initial parameters explained above.

No reviews
2018.05.18 03:31 2018.05.18 03:31:44 

Abril 2018:

Mês de teste. Capital total: $200, Lucro: $14,45 (7,23%)

Maio 2018: Aumentei meu capital, deixei dinheiro na renda fixa rendendo (tesouro selic e LCIs)

Capital total $941,95, capital na corretora: $214,45

Risco máximo por trade: 942*1,5%= $14,13

Stop loss mensal: 942*20%= $188,4 (se a soma dos prejuizos chegarem a esse valor, eu paro de operar neste mês e volto somente no seguinte)

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

April 2018:

Total capital: $200, Balance in broker: $200, Profit: $14,45 (7,23%)

May 2018: Increased my total capital, but i did not fund on the broker, as my monthly stop loss is 20% of the account i do not need all my capital on the broker. The rest that is not in the broker in on fixed income (i do not know, how it is called on other countrys, but here fixed income is a safe investiment)

Total capital: $941,95, Balance in broker: $214,45

Max risk per trade: 942*1,5%= $14,13

Monthly stop loss: 942*20%= $188,4 (if losses sum this amount, i stop trading in the month, and only come back in the next month)

2018.05.08 12:24
Too much growth in the last month indicates a high risk
2018.05.08 11:22
Removed warning: Too much growth in the last month indicates a high risk
2018.05.07 13:03
Removed warning: The number of deals on the account is too small to evaluate trading
2018.05.07 13:03
Too much growth in the last month indicates a high risk
2018.05.06 18:12
This is a newly opened account, and the trading results may be of random nature
2018.05.06 18:12
The number of deals on the account is too small to evaluate trading quality
To see trades in realtime, please log in or register
Watch the video tutorials about trading signals on YouTube
Signal
Price
Growth
Subscribers
Funds
Weeks
Trades
Win %
PF
Drawdown
30
USD
87%
0
0
USD
373
USD
8
0%
50
64%
85%
3.09
3.26
USD
14%
1:500
Copy