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Incremento

ene.
feb.
mar.
abr.
may.
jun.
jul.
ago.
sep.
oct.
nov.
dic.
año
Total:

Balance

Equidad

Reducción

  • Equidad
  • Reducción
Total de Trades:
835
Transacciones Rentables:
509 (60.95%)
Transacciones Irrentables:
326 (39.04%)
Mejor transacción:
553.84 USD
Peor transacción:
-431.80 USD
Beneficio Bruto:
9567.91 USD (48205 pips)
Pérdidas Brutas:
-10896.12 USD (50709 pips)
Máximo de ganancias consecutivas:
26 (116.25 USD)
Beneficio máximo consecutivo:
1339.16 USD (8)
Ratio de Sharpe:
-0.04
Actividad comercial:
55.60%
Max deposit load:
293.97%
Factor de Recuperación:
-0.35
Transacciones Largas:
366 (43.83%)
Transacciones Cortas:
469 (56.17%)
Factor de Beneficio:
0.88
Beneficio Esperado:
-1.59 USD
Beneficio medio:
18.80 USD
Pérdidas medias:
-33.42 USD
Máximo de pérdidas consecutivas:
28 (-620.42 USD)
Pérdidas máximas consecutivas:
-2239.71 USD (16)
Crecimiento al mes:
0.00%
Pronóstico anual:
0.00%
Trading algorítmico:
97%

Distribución

Símbolo Transacciones Sell Buy
EURJPY 677
GBPUSD 45
EURAUD 7
GBPNZD 7
EURCAD 6
USDCAD 6
AUDUSD 5
GBPCHF 5
AUDCAD 5
AUDJPY 5
EURCHF 5
EURUSD 5
USDCHF 5
NZDJPY 5
CADCHF 4
GBPAUD 4
AUDCHF 4
CHFJPY 4
EURGBP 4
CADJPY 4
AUDNZD 4
GBPJPY 4
NZDUSD 4
USDJPY 3
NZDCHF 3
NZDCAD 3
GBPCAD 2
200400600
200400600
200400600
Símbolo Beneficio Bruto, USD Loss, USD Beneficio, USD
EURJPY -195
GBPUSD -613
EURAUD -19
GBPNZD -48
EURCAD -33
USDCAD 50
AUDUSD -24
GBPCHF 10
AUDCAD -22
AUDJPY 13
EURCHF -305
EURUSD -42
USDCHF 61
NZDJPY -123
CADCHF -75
GBPAUD -10
AUDCHF 79
CHFJPY -1
EURGBP 87
CADJPY -49
AUDNZD 5
GBPJPY -13
NZDUSD 2
USDJPY -14
NZDCHF -61
NZDCAD -4
GBPCAD 17
2.5K5K7.5K10K13K15K18K20K
2.5K5K7.5K10K13K15K18K20K
2.5K5K7.5K10K13K15K18K20K
Símbolo Beneficio Bruto, pips Loss, pips Beneficio, pips
EURJPY 4.1K
GBPUSD -2680
EURAUD -401
GBPNZD -339
EURCAD -807
USDCAD -155
AUDUSD -305
GBPCHF 667
AUDCAD -148
AUDJPY 46
EURCHF -264
EURUSD -503
USDCHF -353
NZDJPY -673
CADCHF -421
GBPAUD 433
AUDCHF 473
CHFJPY -384
EURGBP 58
CADJPY -515
AUDNZD 44
GBPJPY -133
NZDUSD 11
USDJPY -119
NZDCHF -280
NZDCAD -24
GBPCAD 210
20K40K60K80K
20K40K60K80K
20K40K60K80K
Mejor transacción:
553.84 USD
Máximo de ganancias consecutivas:
26 (116.25 USD)
Beneficio máximo consecutivo:
1339.16 USD (8)
Peor transacción:
-431.80 USD
Máximo de pérdidas consecutivas:
28 (-620.42 USD)
Pérdidas máximas consecutivas:
-2239.71 USD (16)
Reducción de balance:
Absoluto:
1351.09 USD
Máxima:
3849.30 USD (86.46%)
Reducción relativa:
De balance:
63.03% (3845.83 USD)
De fondos:
92.22% (2765.32 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).

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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 "FBS-Real-2" y del suscriptor, así como del retardo en ejecutar las órdenes. Cuanto menos sea este valor, mejor será la calidad del copiado.

Exness-Real7
0.00 × 1
GDMFX-Live
0.00 × 8
Pepperstone-01
0.00 × 2
AdvancedMarkets-Live
0.00 × 6
FXCC-Live
0.00 × 5
Alpari-Pro.ECN
0.00 × 8
ICMarkets-Live04
0.00 × 59
Darwinex-Live
0.00 × 9
FXChoice-Pro Live
0.00 × 1
Youtradefx-Real
0.00 × 5
Exness-Real5
0.00 × 12
Ava-Real 2
0.00 × 1
OANDA-Japan Live
0.00 × 14
ICMarkets-Live12
0.00 × 15
Alpari-ECN1
0.00 × 1
AxiTrader-US09-Live
0.00 × 1
TurnkeyFX-Live
0.00 × 5
AxiTrader-US07-Live
0.00 × 3
Swissquote-Live2
0.00 × 1
GlobalPrime-Live
0.00 × 10
ICMarkets-Live08
0.02 × 135
Ava-Real 4
0.03 × 31
Pepperstone-Edge09
0.07 × 114
TradersWay-Live
0.08 × 161
ICMarkets-Live06
0.08 × 37
otros 88...
Autorícese o regístrese para ver la estadística detallada

Welcome to my Signals,

If you like my statistics, we can trade together, it is really possible thanks to mql5...

Details:

-05.02.2018 Critical update to optimize a low DD. After critical update the text below will be updated. 


-Trade start time is regular in begin of Tokyo , but you have a chance to enter later to the trades. Best timing is when I have no trades open. 

-Use nice spreads, this will change the outcome in a positive way. But it does not need to be an ECN account. A spread of maksimum 1.8 is welcome. (EJ)

-You can use any broker but any spread over 2 can effect the outcome in a less profit. This example is for EJ.

-I will sometimes scalp short positions and sometimes take the time for higher profits.

-I do not plan to rollover open positions to the next day. But this can happen, so it is better to have if possible a swap free account. But it is not a must.

-I will use Sl and TP, but trades can be closed earlier manually by my order. I will trail positions as well.

-This is a Semi-Auto trading style and I will made often manual actions to profit with best outcome in any need.

-Use a minimum 300 USD for 0.01 lots is recommended. This amount is for 1 pair trading. I will start with 1 pair and later I have plans to trade with more pairs, not yet. 

-A 300 USD account trade with 1 pair and 0.01 lot size has a plan to limit DD around maks %15. 

-Lot sizing of 0.01 has a plan of minimum winning 150 USD per month. In the nature this will change always from the plan, nobody can fix the profit.

-I plan to go on with fixed lot sizes. If I will make a plan to use use different lot sizes on each trade cycle, I will also make earlier a notice about that here for all followers.  

-A program in this forum maybe existing to modify lot sizes involved with your Account Balance, I only have heard about, but never search for it. But also The MT4 default has implement a parameter for adjusting your lot size. 

-Least but not last, trading is a risky activity and previous results does not guarantee profits in the future, but I am sure everyone knows already about, perhaps more as me. My trading phylosophy is to cut bad trading positions early, before facing any huge DD. And also this is a public signal account, you will win, so do I win. I will care about.

-I am not a magican, a simple trader who has a reliable plan, I will just stick to my plan.

For additional questions please feel free to contact me.

I wish you all the Best...

Sincerely,

Kenpo_X

No hay comentarios
2018.04.04 16:59
High current drawdown in 45% indicates the absence of risk limitation
2018.04.04 07:45
Removed warning: High current drawdown indicates the absence of risk limitation
2018.04.03 21:05
High current drawdown in 38% indicates the absence of risk limitation
2018.04.03 17:55
Removed warning: High current drawdown indicates the absence of risk limitation
2018.04.03 10:32
High current drawdown in 40% indicates the absence of risk limitation
2018.04.02 16:39
Removed warning: High current drawdown indicates the absence of risk limitation
2018.04.02 11:01
High current drawdown in 50% indicates the absence of risk limitation
2018.04.02 10:00
Removed warning: High current drawdown indicates the absence of risk limitation
2018.04.02 10:00
Removed warning: This is a newly opened account. Trading results may be of random nature
2018.04.02 00:31
High current drawdown in 49% indicates the absence of risk limitation
2018.04.01 17:14
Removed warning: High current drawdown indicates the absence of risk limitation
2018.03.30 16:05
Removed warning: Too frequent deals may negatively impact copying results
2018.03.29 21:30
Too frequent deals may negatively impact copying results
2018.03.29 20:29
Too frequent deals may negatively impact copying results
2018.03.29 18:20
High current drawdown in 36% indicates the absence of risk limitation
2018.03.29 17:19
Removed warning: High current drawdown indicates the absence of risk limitation
2018.03.29 16:18
Removed warning: Too frequent deals may negatively impact copying results
2018.03.28 20:35
Removed warning: Too much growth in the last month indicates a high risk
2018.03.28 20:35
High current drawdown in 69% indicates the absence of risk limitation
2018.03.28 20:35
Too frequent deals may negatively impact copying results
Autorícese o regístrese para ver la estadística detallada
Ve el tutorial sobre señales en YouTube