トレード:
825
利益トレード:
559 (67.75%)
損失トレード:
266 (32.24%)
ベストトレード:
451.78 USD
最悪のトレード:
-856.39 USD
総利益:
10 227.92 USD
(82 087 pips)
総損失:
-7 459.94 USD
(80 642 pips)
最大連続の勝ち:
15 (83.23 USD)
最大連続利益:
918.01 USD (8)
シャープレシオ:
0.06
取引アクティビティ:
94.09%
最大入金額:
20.71%
最近のトレード:
7 時間前
1週間当たりの取引:
77
平均保有時間:
15 時間
リカバリーファクター:
0.99
長いトレード:
458 (55.52%)
短いトレード:
367 (44.48%)
プロフィットファクター:
1.37
期待されたペイオフ:
3.36 USD
平均利益:
18.30 USD
平均損失:
-28.04 USD
最大連続の負け:
11 (-2 577.99 USD)
最大連続損失:
-2 577.99 USD (11)
月間成長:
-0.49%
アルゴリズム取引:
88%
残高によるドローダウン:
絶対:
0.42 USD
最大の:
2 805.40 USD (2.68%)
比較ドローダウン:
残高による:
2.69% (2 807.65 USD)
エクイティによる:
2.83% (2 892.86 USD)
配布
| シンボル | ディール | Sell | Buy | |
|---|---|---|---|---|
| EURUSD | 129 | |||
| GBPUSD | 103 | |||
| NZDUSD | 101 | |||
| EURCAD | 98 | |||
| CHFJPY | 97 | |||
| AUDCAD | 84 | |||
| EURGBP | 43 | |||
| AUDCHF | 40 | |||
| AUDNZD | 27 | |||
| GBPCHF | 26 | |||
| CADJPY | 18 | |||
| USDCHF | 13 | |||
| GBPJPY | 12 | |||
| USDJPY | 10 | |||
| NZDCAD | 9 | |||
| GBPNZD | 7 | |||
| EURJPY | 6 | |||
| NZDCHF | 2 | |||
|
25
50
75
100
125
150
175
200
|
25
50
75
100
125
150
175
200
|
25
50
75
100
125
150
175
200
|
| シンボル | 総利益, USD | Loss, USD | 利益, USD | |
|---|---|---|---|---|
| EURUSD | 881 | |||
| GBPUSD | 872 | |||
| NZDUSD | 673 | |||
| EURCAD | 460 | |||
| CHFJPY | 671 | |||
| AUDCAD | 352 | |||
| EURGBP | 78 | |||
| AUDCHF | 339 | |||
| AUDNZD | 58 | |||
| GBPCHF | 611 | |||
| CADJPY | 192 | |||
| USDCHF | 37 | |||
| GBPJPY | -2.2K | |||
| USDJPY | 31 | |||
| NZDCAD | 52 | |||
| GBPNZD | 36 | |||
| EURJPY | -411 | |||
| NZDCHF | -3 | |||
|
250
500
750
1K
1.3K
1.5K
1.8K
2K
2.3K
2.5K
2.8K
3K
|
250
500
750
1K
1.3K
1.5K
1.8K
2K
2.3K
2.5K
2.8K
3K
|
250
500
750
1K
1.3K
1.5K
1.8K
2K
2.3K
2.5K
2.8K
3K
|
| シンボル | 総利益, pips | Loss, pips | 利益, pips | |
|---|---|---|---|---|
| EURUSD | 2K | |||
| GBPUSD | 5.1K | |||
| NZDUSD | 3.4K | |||
| EURCAD | -193 | |||
| CHFJPY | 1.1K | |||
| AUDCAD | 2.2K | |||
| EURGBP | 114 | |||
| AUDCHF | 228 | |||
| AUDNZD | 420 | |||
| GBPCHF | 989 | |||
| CADJPY | 460 | |||
| USDCHF | 389 | |||
| GBPJPY | -12K | |||
| USDJPY | 588 | |||
| NZDCAD | 48 | |||
| GBPNZD | 652 | |||
| EURJPY | -3.8K | |||
| NZDCHF | -20 | |||
|
5K
10K
15K
20K
25K
30K
35K
40K
|
5K
10K
15K
20K
25K
30K
35K
40K
|
5K
10K
15K
20K
25K
30K
35K
40K
|
- Deposit load
- ドローダウン
ベストトレード:
+451.78
USD
最悪のトレード:
-856
USD
最大連続の勝ち:
8
最大連続の負け:
11
最大連続利益:
+83.23
USD
最大連続損失:
-2 577.99
USD
いろいろなブローカーのリアルアカウント上で実行統計に基づいたスリッページの平均は、いくつかの点で指定されています。それはオーダー実行の遅れに依るのと同様に、プロバイダーの"Darwinex-Live"からの引用と購読者の引用の違いに依るものです。値がより低いことがコピーの品質がより良いことを意味しています。
|
ICMarketsSC-MT5
|
0.00 × 2 | |
|
ICMarketsSC-MT5-2
|
0.00 × 13 | |
|
OneRoyal-Server
|
0.00 × 1 | |
|
GFXSecurities-GFXSECURITIES
|
0.00 × 1 | |
|
RoboForex-ECN
|
0.15 × 33 | |
|
VTMarkets-Live
|
0.19 × 16 | |
|
Darwinex-Live
|
0.27 × 5103 | |
|
VantageFXInternational-Live
|
0.35 × 23 | |
|
AmanaCapital-Live
|
0.63 × 875 | |
|
FPMarketsLLC-Live
|
0.86 × 7 | |
|
SMCapitalMarkets-Live2
|
1.00 × 2 | |
|
PrimeCodex-MT5
|
1.02 × 412 | |
|
Pepperstone-MT5-Live01
|
1.05 × 192 | |
|
FXChoice-MetaTrader 5 Pro
|
1.20 × 5 | |
|
Exness-MT5Real20
|
2.00 × 1 | |
|
Ava-Real 1-MT5
|
3.00 × 6 | |
|
BlackBullMarkets-Live
|
3.00 × 1 | |
|
KuberaCapitalMarkets-Server
|
3.05 × 20 | |
|
XMGlobal-MT5 2
|
3.26 × 43 | |
|
ForexTimeFXTM-Live01
|
3.32 × 19 | |
|
Exness-MT5Real31
|
3.70 × 27 | |
|
AdmiralMarkets-Live
|
3.76 × 293 | |
|
TickmillUK-Live
|
3.83 × 6 | |
|
EBCFinancialGroupKY-Live01
|
3.86 × 7 | |
|
FPMarkets-Live
|
4.00 × 2 | |
Unlock Alpha is a fully automated M15 Forex strategy powered by Deep Learning (LSTM).
Through ONNX inference, the model identifies liquidity clusters and statistical mean-reversion opportunities in real time.
Unlock Alpha 100K is a rule-based Forex strategy designed for larger account sizes, with a strong emphasis on capital stability and controlled risk exposure.
The strategy operates primarily through automated trading bots, ensuring consistent execution and eliminating emotional decision-making. This automation allows for efficient market monitoring and disciplined trade management across varying conditions.
This configuration follows a selective market participation approach, engaging only under favourable conditions to minimise unnecessary exposure. As a result, trading activity is intentionally reduced compared to more aggressive models, contributing to a smoother equity curve and improved drawdown control.
The system continuously evaluates market behaviour, including volatility shifts and price structure, to adapt positioning while maintaining a conservative profile. Position sizing is calibrated to prioritise consistency and capital protection rather than short-term performance.
In addition, the strategy is reviewed and refined approximately every six months to ensure it remains aligned with evolving market dynamics and structural changes.
Risk is managed through structured exposure control and disciplined execution, ensuring that no single trade or market phase disproportionately impacts overall performance.
This version represents a more conservative implementation within the overall strategy framework, making it suitable for investors who prioritise steady performance and capital preservation over higher-risk approaches.
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