Outside the Box Medium Risk
Reliability
63 weeks (since 2017)
3
40K USD
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Growth

Balance

Equity

Drawdown

  • Equity
  • Drawdown
Trades:
620
Profit Trades:
560 (90.32%)
Loss Trades:
60 (9.68%)
Best trade:
64.00 USD
Worst trade:
-270.93 USD
Gross Profit:
4301.54 USD (54937 pips)
Gross Loss:
-2252.60 USD (28362 pips)
Maximum consecutive wins:
154 (806.71 USD)
Maximal consecutive profit:
1060.38 USD (124)
Sharpe Ratio:
0.10
Trading activity:
89.40%
Max deposit load:
9.24%
Latest trade:
8 hours ago
Trades per week:
17
Avg holding time:
20 hours
Recovery Factor:
2.57
Long Trades:
242 (39.03%)
Short Trades:
378 (60.97%)
Profit Factor:
1.91
Expected Payoff:
3.30 USD
Average Profit:
7.68 USD
Average Loss:
-37.54 USD
Maximum consecutive losses:
7 (-185.29 USD)
Maximal consecutive loss:
-470.52 USD (4)
Monthly growth:
10.39%
Annual Forecast:
126.01%
Algo trading:
95%

Distribution

Symbol Deals Sell Buy
AUDUSD 328
NZDUSD 123
GBPAUD 101
NZDJPY 26
GBPUSD 19
EURNZD 8
EURUSD 6
USDJPY 5
EURAUD 2
GBPNZD 1
GBPCHF 1
50100150200250300350400
50100150200250300350400
50100150200250300350400
Symbol Gross Profit, USD Loss, USD Profit, USD
AUDUSD 1.6K
NZDUSD 289
GBPAUD 457
NZDJPY -280
GBPUSD 172
EURNZD -2
EURUSD -241
USDJPY 48
EURAUD 15
GBPNZD 20
GBPCHF 5
2505007501K1.3K1.5K1.8K2K2.3K2.5K2.8K3K
2505007501K1.3K1.5K1.8K2K2.3K2.5K2.8K3K
2505007501K1.3K1.5K1.8K2K2.3K2.5K2.8K3K
Symbol Gross Profit, pips Loss, pips Profit, pips
AUDUSD 21K
NZDUSD 2.6K
GBPAUD 7.1K
NZDJPY -7.6K
GBPUSD 2.8K
EURNZD 112
EURUSD -1.3K
USDJPY 1.7K
EURAUD 159
GBPNZD 299
GBPCHF 43
5K10K15K20K25K30K35K40K
5K10K15K20K25K30K35K40K
5K10K15K20K25K30K35K40K
Best trade:
64.00 USD
Maximum consecutive wins:
154 (806.71 USD)
Maximal consecutive profit:
1060.38 USD (124)
Worst trade:
-270.93 USD
Maximum consecutive losses:
7 (-185.29 USD)
Maximal consecutive loss:
-470.52 USD (4)
Drawdown by balance:
Absolute:
445.26 USD
Maximal:
798.42 USD (43.08%)
Relative drawdown:
By Balance:
30.48% (798.42 USD)
By Equity:
16.65% (308.74 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 "HFMarketsSV-Live Server" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.

Pepperstone-Edge09
0.00 × 5
USGFX-Live
0.00 × 9
TurnkeyFX-Live
0.00 × 3
ForexTimeFXTM-ECN
0.00 × 14
ICMarkets-Live10
0.00 × 5
Pepperstone-Edge04
0.00 × 9
Exness-Real
0.00 × 3
RoboForex-ECN
0.00 × 1
HFMarketsEurope-Live Server2
0.00 × 3
FXChoice-Pro Live
0.00 × 2
XMTrading-Real 12
0.00 × 12
SGTMarkets-Live
0.05 × 154
ICMarkets-Live04
0.06 × 308
RoboForexEU-ECN
0.11 × 19
HFMarketsSV-Live Server 3
0.20 × 15
Pepperstone-Edge08
0.29 × 7
OANDA-v20 Live
0.53 × 66
ICMarkets-Live05
0.64 × 183
EGlobal-Cent2
1.00 × 4
RoboForex-Pro
1.00 × 1
TickmillUK-Live03
1.50 × 4
FXOpen-ECN Live Server
2.00 × 6
GemForex-Live
3.00 × 8
GKFX-Live-5
3.07 × 14
HFMarketsSV-Live Server
3.15 × 206
2 more...
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------ 50% copies off master account of Fund Manager, 50% other separate manual trades on smaller timeframes and other strategies
------ 19 months track record on Outside the Box Master Account

*Target 10 to 25% per month 
*10 to 20 pips per trade dependent on market conditions
*Max drawdown of 40% from High Water Mark 
*Max Exposure of 4 lots per $10,000 balance.

Suggest following this high risk signal with $1000 to $1500 initially AND use broker with tightest spreads (zero spread if you can find it)
Then use only profits to compound account size exponentially as we grow long term. 
After initial investment recuperated, keep invested for at least 6 months and withdraw profits only when absolutely necessary.

Scalping using MACD, RSI, Stochastic and Ichimoku indicators (2 for Mean Reversion and 2 for Trend Following entries/exits).

RISK MANAGEMENT implements a scale-in and scale-out approach, only during risk events will stop losses be utilized, setting Stop Loss to above Breakeven on a obvious winner.
No reviews
2018.10.10 12:40 2018.10.10 12:40:38 

Have been going over 6 months now.

If you like my signal, please leave a good review for me so other people can have similar confidence. Thank you all!

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Signal
Price
Growth
Subscribers
Funds
Balance
Weeks
Expert Advisors
Trades
Win %
Activity
PF
Expected Payoff
Drawdown
Leverage
69
USD
187%
3
40K
USD
2.4K
USD
63
95%
620
90%
89%
1.90
3.30
USD
30%
1:300
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