Fiabilidad
16 semanas (since 2019)
0
0 USD
Autorícese o regístrese para ver la estadística detallada

Incremento

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

Balance

Equidad

Reducción

  • Equidad
  • Reducción
Total de Trades:
253
Transacciones Rentables:
169 (66.79%)
Transacciones Irrentables:
84 (33.20%)
Mejor transacción:
43.37 EUR
Peor transacción:
-41.60 EUR
Beneficio Bruto:
1 283.09 EUR (611 746 pips)
Pérdidas Brutas:
-728.63 EUR (325 904 pips)
Máximo de ganancias consecutivas:
20 (116.01 EUR)
Beneficio máximo consecutivo:
240.94 EUR (19)
Ratio de Sharpe:
0.21
Actividad comercial:
100.00%
Carga máxima del depósito:
101.54%
Último trade:
4 horas
Trades a la semana:
19
Tiempo medio de espera:
1 día
Factor de Recuperación:
4.51
Transacciones Largas:
210 (83.00%)
Transacciones Cortas:
43 (17.00%)
Factor de Beneficio:
1.76
Beneficio Esperado:
2.19 EUR
Beneficio medio:
7.59 EUR
Pérdidas medias:
-8.67 EUR
Máximo de pérdidas consecutivas:
8 (-85.47 EUR)
Pérdidas máximas consecutivas:
-85.47 EUR (8)
Crecimiento al mes:
31.84%
Pronóstico anual:
386.35%
Trading algorítmico:
0%

Distribución

Símbolo Transacciones Sell Buy
Usa500Mar19 114
LCrudeMar19 50
SoybnsMar19 21
CottonMay19 21
GOLD 14
UsaTec 10
WheatMar19 6
UsaTBJun19 6
CornMar19 4
CornJul19 2
WheatJul19 2
SILVER 1
UsaTBMar19 1
BTCUSD 1
255075100125150175200
255075100125150175200
255075100125150175200
Símbolo Beneficio Bruto, USD Loss, USD Beneficio, USD
Usa500Mar19 352
LCrudeMar19 105
SoybnsMar19 -7
CottonMay19 88
GOLD -11
UsaTec 20
WheatMar19 -7
UsaTBJun19 -15
CornMar19 -17
CornJul19 28
WheatJul19 45
SILVER 23
UsaTBMar19 22
BTCUSD 8
2505007501K1.3K1.5K1.8K2K
2505007501K1.3K1.5K1.8K2K
2505007501K1.3K1.5K1.8K2K
Símbolo Beneficio Bruto, pips Loss, pips Beneficio, pips
Usa500Mar19 103K
LCrudeMar19 1.7K
SoybnsMar19 7.1K
CottonMay19 1.9K
GOLD 2K
UsaTec 11K
WheatMar19 -983
UsaTBJun19 -147K
CornMar19 -1.6K
CornJul19 5.6K
WheatJul19 8.7K
SILVER 451
UsaTBMar19 216K
BTCUSD 79K
50K100K150K200K250K300K350K400K
50K100K150K200K250K300K350K400K
50K100K150K200K250K300K350K400K

Reducción

Mejor transacción:
43.37 EUR
Máximo de ganancias consecutivas:
20 (116.01 EUR)
Beneficio máximo consecutivo:
240.94 EUR (19)
Peor transacción:
-41.60 EUR
Máximo de pérdidas consecutivas:
8 (-85.47 EUR)
Pérdidas máximas consecutivas:
-85.47 EUR (8)
Reducción de balance:
Absoluto:
8.74 EUR
Máxima:
122.85 EUR (14.62%)
Reducción relativa:
De balance:
14.62% (122.85 EUR)
De fondos:
9.56% (74.14 EUR)

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

DestekFX-Real
0.00 × 1
ICMarkets-MT5
0.00 × 2
FxPro-MT5
0.00 × 3
ActivTrades-Server
0.08 × 409
QTrade-Server
0.18 × 84
MetisEtrade-MT5
0.43 × 7
Alpari-MT5
0.81 × 299
FXChoice-MetaTrader 5 Pro
1.21 × 33
VantageFX-Trader
3.29 × 35
ForexTime-ECN
3.79 × 24
InstaForex-Server
21.00 × 1
RoboForex-MetaTrader 5
29.53 × 116
Autorícese o regístrese para ver la estadística detallada

I have 18 years of experience, trading mainly Futures. I have discovered mql5 community when I decided to try to turn a small capital into a big capital, my next challenge. Hence, I have opened a CFD account. If you want to know more about me and my work, please visit www.iaminwallstreet.com

I work manually, no algos, I use forecasting models, timing tools and price map energies to get into the Market only when the trade has a high expectation of being successful. I still have to understand how to adapt my work to CFD (where spread, in some cases, are horrible compared to Futures; for example about Cotton and Soybeans, which are important Markets for my trading).

I do NOT trade Forex or currency. I trade Stock Indexes and Commodities.

It is an honor for me to receive your interest in my work.

I will try to make you understand my trading approach:

1- I follow the market every day, all day long, in real time; this is my job. Usually I do not set stop-loss orders in advance, but when I have to close the position, I send a closing order at the market. I do not keep positions in loss, I always try to cut the losses. It will not happen that you see a position that run in loss for days or weeks. The main purpose of my trading approach is to cut the losses and let the position to run when in profit. It is different than trading Forex, where I see most of the people keep buying when the Market goes down, and they buy and buy until the market invert... but if it does not invert, they take a huge loss. I trade maily Futures, and I apply my strategy to the CFD account. With Futures, you cannot buy and buy and buy when the market goes lower, because then you have an immense loss at certain point.

2-considering the little account, I obviously use a high exposure (but not more than 1:30 leverage); hence, if my purpose is to keep a 10-20% of profits per month, it is normale to accept at least a 15-20% of max DD; however, it may happen that I do not reach that DD, and it remains lower than 10%. A large DD may happen because of an unlucky period with several wrong trades, but not because I have a huge loss with just one trade. As I said, I never let positions in loss to run and get bigger. This is the main rule to be a decent trader.

3- I usually trade S&P500 and/or NASDAQ, T-Bonds, Gold, Corn, Soybeans, Wheat, Crude Oil and Cotton.

Please, I do not know if other Brokers have all these Markets, but the main Market for me is the S&P500 anyway. You should find out if using your Broker you can copy most of my trades, in case you want to copy my work. I am really not an expert of mql5, mt5, mt4, copy trading... If you have questions, I will be happy to reply.

Also, please, be aware that I do not trade to make some little profits every day. I work to make profits at the end of the month, hence, it can happen I do not trade for one or two weeks waiting for the right moment. And I hope to be in profit 10 months in a year. Then, of course, there is always a risk, and we must accept it. If we do not want to accept the risk, we are not ready to trade, because the entire trading work is based on the trade-off risk/reward.

If you just want to know more about my work, please visit www.iaminwallstreet.com.


Best,

Daniele

No hay comentarios
2019.04.11 21:04
Removed warning: This is a newly opened account. Trading results may be of random nature
2019.03.29 11:27
This is a newly opened account, and the trading results may be of random nature
Autorícese o regístrese para ver la estadística detallada
Señal
Precio
Incremento
Suscriptores
Fondos
Balance
Semanas
Robots comerciales
Trades
Rentables
Actividad
PF
Beneficio Esperado
Reducción
Apalancamiento
30
USD
139%
0
0
USD
955
EUR
16
0%
253
66%
100%
1.76
2.19
EUR
15%
1:30
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