成長(開始日): 2026 84%
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  • エクイティ
  • ドローダウン
トレード:
261
利益トレード:
164 (62.83%)
損失トレード:
97 (37.16%)
ベストトレード:
178.25 USD
最悪のトレード:
-226.00 USD
総利益:
2 900.66 USD (229 976 pips)
総損失:
-1 677.66 USD (75 953 pips)
最大連続の勝ち:
24 (210.63 USD)
最大連続利益:
590.58 USD (13)
シャープレシオ:
0.17
取引アクティビティ:
100.00%
最大入金額:
4.86%
最近のトレード:
3 時間前
1週間当たりの取引:
73
平均保有時間:
3 時間
リカバリーファクター:
1.73
長いトレード:
128 (49.04%)
短いトレード:
133 (50.96%)
プロフィットファクター:
1.73
期待されたペイオフ:
4.69 USD
平均利益:
17.69 USD
平均損失:
-17.30 USD
最大連続の負け:
13 (-118.72 USD)
最大連続損失:
-393.80 USD (3)
月間成長:
-10.39%
アルゴリズム取引:
84%
残高によるドローダウン:
絶対:
169.19 USD
最大の:
708.65 USD (25.60%)
比較ドローダウン:
残高による:
25.56% (707.57 USD)
エクイティによる:
2.74% (158.84 USD)

配布

シンボル ディール Sell Buy
XAUUSDp 247
EURUSDp 10
AUDUSDp 2
GBPUSDp 1
AUDCADp 1
25 50 75 100 125 150 175 200 225 250 275 300
25 50 75 100 125 150 175 200 225 250 275 300
25 50 75 100 125 150 175 200 225 250 275 300
シンボル 総利益, USD Loss, USD 利益, USD
XAUUSDp 1.3K
EURUSDp -50
AUDUSDp 1
GBPUSDp 1
AUDCADp 9
1K 2K 3K 4K 5K
1K 2K 3K 4K 5K
1K 2K 3K 4K 5K
シンボル 総利益, pips Loss, pips 利益, pips
XAUUSDp 154K
EURUSDp -205
AUDUSDp 106
GBPUSDp 113
AUDCADp 200
50K 100K 150K 200K 250K 300K 350K 400K
50K 100K 150K 200K 250K 300K 350K 400K
50K 100K 150K 200K 250K 300K 350K 400K
  • Deposit load
  • ドローダウン
ベストトレード: +178.25 USD
最悪のトレード: -226 USD
最大連続の勝ち: 13
最大連続の負け: 3
最大連続利益: +210.63 USD
最大連続損失: -118.72 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"BlackBullMarkets-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。

データがありません

Portfolio 1 is a diversified algorithmic trading portfolio designed to combine multiple independent trading strategies across both Forex and Gold.

The portfolio is diversified across the following instruments:

  • AUDJPY

  • AUDUSD

  • EURNZD

  • EURUSD

  • GBPUSD

  • USDJPY

  • XAUUSD

Rather than relying on a single Expert Advisor or a single market, the portfolio combines several independently developed strategies with different entry logic, timing, trade management and market behaviour.

The objective is to create a portfolio where no single strategy is expected to carry the entire account.

Balanced Strategy Allocation

Each strategy has been individually backtested and then optimized as part of the complete portfolio.

Risk is deliberately adjusted so that the stronger strategies can contribute more while weaker or more volatile strategies are prevented from dominating overall portfolio drawdown.

The portfolio has therefore been tuned at the portfolio level rather than simply running every strategy at the same risk.

The goal is to create a more balanced contribution between strategies while taking advantage of diversification between currency markets and Gold.

Diversification

The currency strategies provide exposure to several different currency combinations and market conditions, while the Gold strategies provide an additional source of return that behaves differently from the Forex portfolio.

Historical testing has shown periods where one part of the portfolio experienced drawdown while other strategies remained profitable.

This diversification helps reduce dependence on a single trading system, instrument or market regime.

Historical Risk Profile

The complete portfolio has been tested over multiple years and across a wide range of market conditions.

During historical backtesting, the combined portfolio experienced a maximum relative equity drawdown of approximately:

43%

This makes Portfolio 1 an aggressive growth portfolio rather than a low-risk investment strategy.

The portfolio has been deliberately tuned to pursue strong long-term growth while keeping historical drawdown below the portfolio's predefined maximum-risk threshold.

Portfolio Approach

Portfolio 1 is based on several principles:

  • Diversification across Forex and Gold

  • Multiple independent automated strategies

  • Portfolio-level risk management

  • Dynamic position sizing

  • Balanced strategy contribution

  • Long-term compounding

  • Controlled historical drawdown

  • Reduction of excessive concentration in any single strategy

The portfolio is continuously evaluated as a complete system rather than judging each Expert Advisor in isolation.

A strategy that produces strong standalone returns may be reduced if it increases portfolio concentration, while a lower-return strategy may still be valuable if it improves diversification and reduces overall portfolio risk.

Long-Term Objective

The objective of Portfolio 1 is aggressive long-term capital growth through a diversified collection of automated trading strategies.

It is designed for investors who understand leveraged Forex and Gold trading and who are comfortable with periods of significant equity drawdown in exchange for higher long-term growth potential.

All trading is automated and follows predefined strategy and risk-management rules.

Past performance and historical backtesting are not guarantees of future results, and live trading conditions may differ from backtests.


レビューなし
2026.09.29 01:15
80% of growth achieved within 2 days. This comprises 3.17% of days out of 63 days of the signal's entire lifetime.
2026.09.29 01:15
This is a newly opened account, and the trading results may be of random nature
リアルタイムでトレードを見るためには ログインしてください または 登録
シグナル
価格
成長
購読者
残高
残高
週
Expert Advisors
トレード
利益%
アクティビティ
PF
期待されたペイオフ
ドローダウン
レバレッジ
35 USD/月
84%
0
0
USD
5.8K
USD
10
84%
261
62%
100%
1.72
4.69
USD
26%
1:500
コピー