Reliability
30 weeks (since 2018)
0
0 USD
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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:
830
Profit Trades:
544 (65.54%)
Loss Trades:
286 (34.46%)
Best trade:
104.27 USD
Worst trade:
-63.79 USD
Gross Profit:
2263.95 USD (117563 pips)
Gross Loss:
-1773.21 USD (122124 pips)
Maximum consecutive wins:
25 (77.71 USD)
Maximal consecutive profit:
162.05 USD (11)
Sharpe Ratio:
0.06
Trading activity:
96.03%
Max deposit load:
37.54%
Latest trade:
2 days ago
Trades per week:
4
Avg holding time:
2 days
Recovery Factor:
1.25
Long Trades:
489 (58.92%)
Short Trades:
341 (41.08%)
Profit Factor:
1.28
Expected Payoff:
0.59 USD
Average Profit:
4.16 USD
Average Loss:
-6.20 USD
Maximum consecutive losses:
13 (-134.28 USD)
Maximal consecutive loss:
-203.43 USD (7)
Monthly growth:
1.07%
Annual Forecast:
15.88%
Algo trading:
93%

Distribution

Symbol Deals Sell Buy
AUDCAD 219
NZDCAD 199
EURGBP 111
EURCAD 64
GBPCAD 39
AUDCHF 27
AUDNZD 21
USDCAD 19
GBPNZD 19
NZDCHF 19
EURNZD 17
GBPUSD 15
CADCHF 13
GBPAUD 11
AUDUSD 8
NZDUSD 7
EURUSD 6
USDCHF 5
USDJPY 3
EURAUD-5 3
GBPJPY 2
AUDJPY 1
USDTRY 1
EURJPY 1
255075100125150175200225250275300
255075100125150175200225250275300
255075100125150175200225250275300
Symbol Gross Profit, USD Loss, USD Profit, USD
AUDCAD 230
NZDCAD 29
EURGBP 194
EURCAD 82
GBPCAD -13
AUDCHF 18
AUDNZD 4
USDCAD 20
GBPNZD 30
NZDCHF 13
EURNZD 11
GBPUSD -82
CADCHF 11
GBPAUD 15
AUDUSD -28
NZDUSD -21
EURUSD -31
USDCHF 3
USDJPY -3
EURAUD-5 3
GBPJPY 0
AUDJPY -3
USDTRY 10
EURJPY -2
2505007501K1.3K1.5K1.8K2K
2505007501K1.3K1.5K1.8K2K
2505007501K1.3K1.5K1.8K2K
Symbol Gross Profit, pips Loss, pips Profit, pips
AUDCAD 1.5K
NZDCAD -3.1K
EURGBP 14K
EURCAD -2.9K
GBPCAD -1.6K
AUDCHF -2.2K
AUDNZD 420
USDCAD 1.7K
GBPNZD -1.8K
NZDCHF -836
EURNZD -220
GBPUSD -8.9K
CADCHF 1.1K
GBPAUD 2.1K
AUDUSD -2.8K
NZDUSD -2.3K
EURUSD -3.1K
USDCHF 306
USDJPY -357
EURAUD-5 425
GBPJPY 11
AUDJPY -361
USDTRY 4.8K
EURJPY -246
10K20K30K40K50K60K
10K20K30K40K50K60K
10K20K30K40K50K60K
Best trade:
104.27 USD
Maximum consecutive wins:
25 (77.71 USD)
Maximal consecutive profit:
162.05 USD (11)
Worst trade:
-63.79 USD
Maximum consecutive losses:
13 (-134.28 USD)
Maximal consecutive loss:
-203.43 USD (7)
Drawdown by balance:
Absolute:
195.03 USD
Maximal:
394.13 USD (6.71%)
Relative drawdown:
By Balance:
6.71% (394.13 USD)
By Equity:
14.07% (811.66 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 "OANDA-v20 Live-1" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.

ICMarkets-Live11
0.00 × 4
Pepperstone-Edge03
0.03 × 33
OANDA-Japan Live
0.07 × 14
Tickmill-Live02
0.13 × 15
OANDA-GMT+2 Live
0.32 × 341
OANDA-v20 Live-1
0.55 × 637
FormaxTrader-Live
1.00 × 1
TurnkeyFX-Live
1.60 × 5
ICMarkets-Live01
2.25 × 4
OANDA-GMT-5 Live
2.40 × 5
OANDA-v20 Live-2
2.83 × 361
GlobalPrime-Live
3.00 × 2
FxPro.com-Real02
4.89 × 9
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My 718 is an EA/discretionary strategy for steady long term growth, I am using my personal available trading capitol with this strategy. I am risking %25 draw down to achieve high percentage trades to average %12-24% a year. My 718 uses cost averaging/cost deleveraging techniques. It takes trades off the O/B and O/S RSI levels along with Momentum divergence. My 718 EA has a stop loss equity draw down prevention tool, this will stop opening new orders in an unforeseen market crash. This Equity stop will be a helpful tool for preserving investments and re-entering into market. This EA is built to consistently grow my fund/strategy slow and steady for long term healthy profits. Notes: It is normal that Some trades may stay open for 2 months in a draw down before closing. This may cause slower profits, in those time periods. Hence preserving capitol for long term growth and maintaining Margin for unforeseen Market events.

My 718 signals are on VPS and, trades approximately %40-90% of the time on AUD/CAD. My system primarily buys and sells on the Overbought and Oversold areas with Oscillators RSI (Relative Strength Index), and Momentum Divergence. The Strategy is to enter market with smallest contract/position. This will help in the event another position was to be entered. If 1st order was opened to early and market goes against 1st order, EA does Cost Averaging by placing 2nd, 3rd, orders to average out positions for profit or small loss. EA has a Cost Deleveraging function that will reduce Take profit if added positions take place. Cost deleveraging helps bad trades exiting out of market quicker, so that EA can open new positions. If there are more than one position opened, all opened Positions are closed in a basket of profit.  Positions of Multiple pairs are also grouped together for a Basket of profit or loss. This helps with money management keeping draw down under control and helps creating more trading opportunities. The 718 system has a built-in money management Algorithm to protect unforeseen events. For example: if there are multiple trades open and a surprise unknown event occurs, and our trades move against us, the money management algorithm will only allow MT4 to open 1 trade per candle, or if account reaches 20% draw down, no new trades will be opened. This eliminates the need for 24 hours surveillance on account and human errors and emotions during stressful situations. Rarely, does this scenario ever happen, this strategy has been back tested since 2008 with no more than a 20% draw down. WARNING- Past results do not predict future events. The strategy and algorithm are constantly managed and adapts to market conditions to eliminate unnecessary loss of profit or increase of draw down. My 718 account, Since Sept 11, 2017 is averaging 1.0% to 2% a month.
On a 1:50 leveraged accounts I start opening positions with 0.01 lots on 5-10 currency pairs for 1st orders on a $5000.00 balance
For 1:100 leveraged accounts I use 0.01 lots  with 5-10 currency pairs on a $2500.00 balance

No reviews
2018.10.16 06:13 2018.10.16 06:13:10 

I have a journal here if you want more info, I usually take screen shots and add commentary every week. https://www.forexfactory.com/showthread.php?t=800575

2018.09.24 18:00 2018.09.24 18:00:56 

For most of the month of September, markets have been trending as expected. Historically most traders are back from summer vacation August-September. So the ranging, sideways market usually unfold into trending market conditions. My 718 is mostly counter trend, so it has been a bit slower of trade volume these past few weeks. Volume of trades has decreased a little bit to protect equity draw down from AUDCHF & NZDCHF. These two pairs are expected to close in soon, as they are technically bottoming out. In case of a fundamentally shift in the New Zealand and Australian dollar, limit orders are in place to take advantage of a long postilion with positive swap. My718 is on track for expected yearly return of %12-%16

2018.09.18 16:14
80% of trades performed within 20 days. This comprises 14% of days out of the 145 days of the signal's entire lifetime.
2018.09.18 16:14
80% of growth achieved within 4 days. This comprises 3% of days out of 145 days of the signal's entire lifetime.
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Signal
Price
Growth
Subscribers
Funds
Balance
Weeks
Expert Advisors
Trades
Win %
Activity
PF
Expected Payoff
Drawdown
Leverage
50
USD
9%
0
0
USD
5.8K
USD
30
93%
830
65%
96%
1.27
0.59
USD
14%
1:50
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