Fiabilidad
102 semanas (since 2015)
0
0 USD
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Balance

Equidad

Reducción

  • Equidad
  • Reducción
Total de Trades:
1 655
Transacciones Rentables:
929 (56.13%)
Transacciones Irrentables:
726 (43.87%)
Mejor transacción:
4 617.69 USD
Peor transacción:
-6 973.60 USD
Beneficio Bruto:
483 057.91 USD (764 063 pips)
Pérdidas Brutas:
-489 350.21 USD (746 838 pips)
Máximo de ganancias consecutivas:
22 (5 742.95 USD)
Beneficio máximo consecutivo:
11 391.51 USD (3)
Ratio de Sharpe:
0.00
Actividad comercial:
89.46%
Carga máxima del depósito:
28.86%
Factor de Recuperación:
-0.13
Transacciones Largas:
843 (50.94%)
Transacciones Cortas:
812 (49.06%)
Factor de Beneficio:
0.99
Beneficio Esperado:
-3.80 USD
Beneficio medio:
519.98 USD
Pérdidas medias:
-674.04 USD
Máximo de pérdidas consecutivas:
21 (-214.79 USD)
Pérdidas máximas consecutivas:
-10 229.77 USD (4)
Crecimiento al mes:
0.00%
Pronóstico anual:
0.00%
Trading algorítmico:
100%

Distribución

Símbolo Transacciones Sell Buy
GBPJPY 286
EURUSD 197
NZDUSD 196
AUDUSD 182
GBPUSD 174
USDJPY 144
EURGBP 135
USDCAD 112
AUDNZD 50
USDCHF 47
CHFJPY 35
EURJPY 31
EURAUD 15
GBPAUD 10
AUDCHF 10
AUDJPY 8
AUDCAD 6
CADJPY 6
GBPCAD 5
USDSGD 3
EURCHF 3
255075100125150175200225250275300
255075100125150175200225250275300
255075100125150175200225250275300
Símbolo Beneficio Bruto, USD Loss, USD Beneficio, USD
GBPJPY 4.4K
EURUSD 4.7K
NZDUSD -2.2K
AUDUSD -22K
GBPUSD 4.9K
USDJPY 233
EURGBP 2.2K
USDCAD -2.7K
AUDNZD 3.5K
USDCHF 2.7K
CHFJPY 3.4K
EURJPY -2.3K
EURAUD -2K
GBPAUD 994
AUDCHF -1.7K
AUDJPY -1.6K
AUDCAD 82
CADJPY 22
GBPCAD 58
USDSGD 458
EURCHF 262
25K50K75K100K125K150K175K200K225K250K275K300K
25K50K75K100K125K150K175K200K225K250K275K300K
25K50K75K100K125K150K175K200K225K250K275K300K
Símbolo Beneficio Bruto, pips Loss, pips Beneficio, pips
GBPJPY -7K
EURUSD 9.5K
NZDUSD 10K
AUDUSD -22K
GBPUSD -6.3K
USDJPY 912
EURGBP 12K
USDCAD 7.2K
AUDNZD 13K
USDCHF 6.4K
CHFJPY 3.2K
EURJPY -1.3K
EURAUD -7.6K
GBPAUD 3.4K
AUDCHF -2.4K
AUDJPY -4.1K
AUDCAD 865
CADJPY -2.4K
GBPCAD 783
USDSGD 2K
EURCHF 1.8K
50K100K150K200K250K300K350K400K
50K100K150K200K250K300K350K400K
50K100K150K200K250K300K350K400K
Mejor transacción:
4 617.69 USD
Máximo de ganancias consecutivas:
22 (5 742.95 USD)
Beneficio máximo consecutivo:
11 391.51 USD (3)
Peor transacción:
-6 973.60 USD
Máximo de pérdidas consecutivas:
21 (-214.79 USD)
Pérdidas máximas consecutivas:
-10 229.77 USD (4)
Reducción de balance:
Absoluto:
10 128.52 USD
Máxima:
48 405.09 USD (54.83%)
Reducción relativa:
De balance:
54.83% (48 405.09 USD)
De fondos:
14.92% (9 068.10 USD)

Gráficos punteados de distribución MFE y MAE

Durante la vida de cada orden abierta se registran los valores del beneficio máximo (MFE) y pérdida máxima (MAE). Estos índices caracterizan adicionalmente cada orden cerrada con los valores del potencial máximo no realizado y el riesgo máximo cometido. En los gráficos de distribución MFE/Profit y MAE/Profit a cada orden le corresponde un punto donde por la horizontal se da el valor del beneficio/pérdida obtenido/a, y por la vertical se dan los valores del máximo beneficio potencial (MFE) y la máxima pérdida potencial (MAE).

No hay datos
No hay datos

Sitúe el cursor sobre los índices/leyendas de los gráficos para ver las mejores y las peores series de trading. Puede encontrar más detalles sobre las distribuciones MAE y MFE en el artículo Las matemáticas en el trading. Evaluación de los resultados de las transacciones comerciales.

El deslizamiento medio a base de la estadística de ejecución en las cuentas reales de diferentes corredores se indica en puntos. Depende de la diferencia de las cotizaciones del proveedor de "AxioryAsia-04Live" y del suscriptor, así como del retardo en ejecutar las órdenes. Cuanto menos sea este valor, mejor será la calidad del copiado.

No hay datos

STP (STUFIC Progressive - automated trading system, version 14.5)

 There are no ideal periods in the markets. The trading conditions change every days, every hour. Changes occur very quickly and unexpectedly. It is practically impossible to create a universal program that would keep up with all the markets and therefore, capital protection should be the main objective of each investor. It is absolutely essential to maintain the deposit to secure a long term functionality of the system. If the rules of the capital protection are well set up then the investor can focus on the next step; generating profits. Nonetheless, a risk of potential loss against potential profits has to be taken into consideration.

STUFIC is being developed according to above mentioned rules, most importantly aimed at the protection of your investments.

STUFIC is a fully automated "portfolio" trading system based on the principle of a combination of time-tested indicators Stochastic, Commodity Channel Index (CCI), Awesome Oscillator of Bill Williams, Stochastic and others that determine the trade inputs that are more likely to generate profits based on past experience. 

STUFIC is one of the best high-profile system that can perform on 90% of currency pairs. 

  

Features:

  • Stufic is robust and it is optimised for all the currency pairs
  • Depending on the settings it using scalping, positioning, swing trading, hedging and trend catching 
  • Stufic is being developed with regard to stability
  • A combination of 30 different settings which work simultaneously in one trading system
  • Progressive weighting method in genetic algorithm applied 
  • Stufic is profitable it doesn't use Martingale technique
  • It contains successfull combinations of indicators
  • Perfect ratio of profitable trades against losses (the minimum is at least 70% to 30%)
  • The average profits are higher than the average losses (profits at least 10% higher than losses)
  • Stop Loss and Target Profits are always used
  • Protection is our main objective
  • We follow the numbers, probability and mathematical models
  • We keep updating the settings - update every week
  • 24h online monitoring

 

Levels of risk:

For MQL we use a more progressive version (STufic "P"rogressive in the name) of the system than is used by brokerage companies and therefore we would like to draw attention to the risks and expectations.

Stability is the main thing, the revenue side. So, this is our Equity Floating Plan:

Normal VolatileLimited tradingReduced tradingHard Stop
 

up to -8%

 -8% to -15% -15% to -24% -25% to 36% -38% 
 Full tradingFull trading with higher human controlSystem stop opening new positionsWe manually switch system to strict mode, where we reducing some trades with low probability (We never reached this status but plan is important)Closing of all trades

 

 

Credits:

The author Tomas Hruby has gained more 10 years of experience in trading and more than 15 years of experience in programming. He is a student of the world champion in trading Andrea Unger and he has undergone the training of the international forex provider Leverate in Israel. Last but not least, he works with many talented students and programmers, regularly tests and compares commercial trading systems that keep him often motivated to develop the precise approach to autotrading. The author works on the investment strategy in a close cooperation with other two programmers.    

 

If you have any question don't hesitate to contact us. 

If you want to see some screenshots of your online monitoring tools just follow our company profile:

https://www.mql5.com/en/users/parbest

No hay comentarios
2017.11.26 09:17
Removed warning: Low trading activity - not enough trades detected during the last month
2017.11.02 09:55
No trading activity detected on the Signal's account for the last 6 days
2017.10.22 01:53
Low trading activity - only 0 trades detected in the last month
2017.07.13 14:00
A large drawdown may occur on the account again
Autorícese o regístrese para ver la estadística detallada