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Crescimento

Saldo

Capital Líquido

Rebaixamento

  • Capital Líquido
  • Rebaixamento
Negociações:
4 438
Negociações com Lucro:
2 975 (67.03%)
Negociações com Prejuízo:
1 463 (32.97%)
Melhor negociação:
4 883.00 JPY
Pior negociação:
-5 151.00 JPY
Lucro bruto:
494 146.00 JPY (357 582 pips)
Perda Bruta:
-511 263.00 JPY (327 918 pips)
Máximo de vitórias consecutivas:
20 (3 607.00 JPY)
Máximo lucro consecutivo:
8 778.00 JPY (13)
Índice Sharpe:
0.00
Actividade de negociação:
94.32%
Depósito máximo carregado:
73.55%
Fator de recuperação:
-0.23
Negociações de Posição Comprada:
2 357 (53.11%)
Negociações de Posição Vendida:
2 081 (46.89%)
Fator de lucro:
0.97
Resultado Esperado:
-3.86 JPY
Lucro médio:
166.10 JPY
Perda média:
-349.46 JPY
Máximo de perdas consecutivas:
10 (-11 044.00 JPY)
Máxima perda consecutiva:
-11 044.00 JPY (10)
Crescimento mensal:
-64.51%
Previsão anual:
-100.00%
Algotrading:
99%

Distribuição

Símbolo Operações Sell Buy
GBPUSD 1338
EURUSD 1021
USDJPY 702
USDCHF 588
CHFJPY 84
AUDNZD 77
EURNZD 73
EURCHF 72
AUDCAD 67
USDCAD 63
EURGBP 55
GBPCHF 51
EURCAD 49
GBPJPY 45
EURJPY 39
XAUUSD 33
GBPCAD 25
NZDUSD 20
EURAUD 18
AUDUSD 13
AUDCHF 3
AUDJPY 2
2505007501K1.3K1.5K1.8K2K
2505007501K1.3K1.5K1.8K2K
2505007501K1.3K1.5K1.8K2K
Símbolo Lucro bruto, USD Loss, USD Lucro, USD
GBPUSD -91
EURUSD 77
USDJPY 30
USDCHF -190
CHFJPY 10
AUDNZD 19
EURNZD 9
EURCHF -50
AUDCAD 31
USDCAD 5
EURGBP -5
GBPCHF -28
EURCAD -12
GBPJPY 44
EURJPY -9
XAUUSD 5
GBPCAD -1
NZDUSD 5
EURAUD 11
AUDUSD -6
AUDCHF -1
AUDJPY -1
2505007501K1.3K1.5K1.8K2K2.3K2.5K2.8K3K
2505007501K1.3K1.5K1.8K2K2.3K2.5K2.8K3K
2505007501K1.3K1.5K1.8K2K2.3K2.5K2.8K3K
Símbolo Lucro bruto, pips Loss, pips Lucro, pips
GBPUSD 2.8K
EURUSD 17K
USDJPY 7.6K
USDCHF -7894
CHFJPY 964
AUDNZD 2.2K
EURNZD 2K
EURCHF -2804
AUDCAD 2.6K
USDCAD 969
EURGBP -230
GBPCHF -1256
EURCAD -728
GBPJPY 5.8K
EURJPY -571
XAUUSD 595
GBPCAD 93
NZDUSD 678
EURAUD 1.6K
AUDUSD -506
AUDCHF -69
AUDJPY -121
25K50K75K100K125K150K175K200K
25K50K75K100K125K150K175K200K
25K50K75K100K125K150K175K200K
Melhor negociação:
4 883.00 JPY
Máximo de vitórias consecutivas:
20 (3 607.00 JPY)
Máximo lucro consecutivo:
8 778.00 JPY (13)
Pior negociação:
-5 151.00 JPY
Máximo de perdas consecutivas:
10 (-11 044.00 JPY)
Máxima perda consecutiva:
-11 044.00 JPY (10)
Rebaixamento pelo saldo:
Absoluto:
17 117.00 JPY
Máximo:
75 082.00 JPY (117.54%)
Rebaixamento relativo:
Pelo Saldo:
92.55% (75 082.00 JPY)
Pelo Capital Líquido:
51.79% (6 858.00 JPY)

Distribuição de Pontos Gráficos MFE e MAE

Valores de Máximo lucro (MFE) e Máxima perda (MAE) são registrados para cada ordem aberta durante a existência da sua conta na corretora. Estes parâmetros, adicionalmente caracterizam cada ordem fechada usando os valores do potencial máximo não realizado e o valor máximo de risco. MFE/Lucros e MAE/Lucros são distribuídos em gráficos, exibindo cada posição como um ponto com o valor recebido de lucro/perda plotados ao longo do eixo X, enquanto os valores máximos exibidos de lucro potencial (MFE) e perda potencial (MAE) são plotados ao longo do eixo Y.

Sem dados
Sem dados

Coloque o cursor sobre as legendas parâmetros/gráfico para ver a melhor e a pior série de negociação. Saiba mais sobre distribuições MAE e MFE no artigo Matemática na Negociação: Como Estimar Resultados de Negociação.

A Slippage média está baseada em estatísticas de real contas para diferentes corretoras. Ela depende da diferença entre as cotações de provedores a partir de TitanFX-01 e as cotações dos assinantes, bem como dos atrasos nas execuções das ordens. Menor valor significa melhor qualidade de cópias.

AFXCapital-Real
0.00 × 1
InstaForex-Europe.com
0.00 × 1
FXGlobe-Real
0.00 × 1
GAINSY-Real
0.00 × 6
LoyalBank-Real5
0.00 × 1
ICMarkets-Live01
0.27 × 172
ICMarkets-Live10
0.33 × 2475
ICMarkets-Live11
0.33 × 118
ICMarkets-Live02
0.35 × 1973
ICMarkets-Live03
0.36 × 1330
ICMarkets-Live04
0.42 × 285
ICMarkets-Live08
0.43 × 949
USGFX-Live2
0.43 × 369
Pepperstone-Edge02
0.46 × 322
ICMarkets-Live07
0.54 × 651
Pepperstone-Edge03
0.55 × 711
ICMarkets-Live09
0.59 × 784
Pepperstone-Edge05
0.59 × 243
AxioryAsia-02Live
0.64 × 1235
TOPFX-Live Server
0.64 × 204
XMUK-Real 15
0.66 × 82
Darwinex-Live
0.74 × 172
Pepperstone-01
0.75 × 166
SGTMarkets-Live
0.76 × 215
FXDD-MT4 Live Server
0.86 × 222
145 mais ...
Para ver detalhes das estatísticas, por favor Conecte-se ou registrar

Para obter informações precisas, consulte a página em japonês ou em inglês. Obrigado.

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

Classificação Média:
Asaj Jack
195
2017.10.11 05:35 
 

Usuário não fez qualquer comentário sobre a classificação

yukinko29
212
2017.09.11 05:20 
 

I was so stupid enough to believe in this EA...

bigneil
398
2017.08.18 21:42   

There would appear to be completely different data shown on the webpage here compared to what my MT4 sees. As of now, the webpage shows 5 open positions (4 GBP sells and 1 AUD sell), whereas my MT4 shows 4 trades (1 GBP sell and 3 USD buys). Trading histories are completely different also. A different signal's data on the webpage?

Andrei Tolokonnikov
1805
2017.08.15 21:07  (modificado 2018.01.25 09:09) 
 

Usuário não fez qualquer comentário sobre a classificação

gogopuja
300
2017.08.15 20:40  (modificado 2017.08.15 20:47)   

8 issues for Opus08 to ponder on...

Please consider this as constructive criticism. Don't try to fight it, understand it and improve your craft.

1. The signal Author probably has a very good intention but

If you look at his MFE/MAE (Maximum profit/Maximum loss) you will notice a lot of wasted profits(MFE position going to loss).

Troubling still is this .. You will also notice MAE that went really low and could be avoided if the Stop Loss had been appropriately set.

Example: This signal has at least 9 of the largest losing trades that should have been completely avoided.

Please if you are a statistics major or have any meaningful education in it you can see in plain sight that there are zero profitable trades, when a position went below -2000JPY. So why are there losing trades that are below -2000JPY. Stop loss should have been firmly set at -2000JPY.

This SL setting would have kept nearly 12000JPY still in Author's balance. Thereby reducing the losses by half. i.e your current drawdown would have been 20% instead of 40% and growing.

2. The Author promised that DD will never again go to 38% as that was due to low balance in the beginning.

Hard to believe that broken promise or any other promise from this author. Why was this DD mark of 38% exceeded and is now at 46%?

3. It may be OK to get the worlds best EAs and try to win by letting them loose on the market. But market will always teach you that something new is to be learned everyday.

If the author cannot adapt to the situation that the market generates, it is difficult for the subscriber to believe in his ability to trade. Can Author Adapt?

4. The Author does not have a trading background and does not understand market conditions as per his own admission. He believes that backtesting of EAs is enough to foresee future wins and profits.

No matter how good an EA is, you have to understand what market condition it works in and when it may fail you. Hence prudently pause the EA in such market conditions.

Otherwise you may trade yourself to death in a crazy market. Remember ... "The Market Can Remain Irrational Longer Than You Can Remain Solvent"

He keeps insisting that the EAs have not failed for the last 20 years of backtesting.

But has he researched which are the historical times that the EAs had the most DD and what were those market conditions/news at that time? Probably didn't bother to do that.

Now may be agood time to start. It's never too late.

5. The Author is not allowing direct feedback/messages to him by way of communication directly so we can discuss in a fair manner and give suggestions or remedies.

You have to keep your communication open, even to people who criticize you and even if you think that it is mostly hogwash. Hidden in every criticism is a potential for growth.

6. Author is using 4 different types of EAs. This should provide diversity in trading and hence better risk management.

Why are all these EAs failing at the same time with such large DD? Perhaps the risk settings are not correct. Perhaps they are not so diverse or uncorrelated for all market conditions?

I wish he can answer this question?

7. All signal providers on mql5 are providing a much higher risk to cater to the greediness of the subscribers.

The subscribers are to blame for the popularity of signals that promise great reward using very high risk.

If the reward is not at least 20% a month we subscribers(most not all) don't want to even look at the signal.

Subscribers will get what they ask for. This is a message to subscribers to be more prudent in your outlook and search for signal.

(i) If it looks too good to be true, it most likely is.

(ii)Please do your homework before you look to subscribe a signal.

(iii)Don't be afraid to stop the signal if your balance falls below your comfort level. Capital saved today can be used again tomorrow.

8. Signal provider (Author) is ignoring the basics of risk management. Namely Risk/Reward ratio.

Risk is on average double that of Reward for this signal. This is not a purely scalping signal hence such risk/reward ratio is high.

From Statistics page

Average Profit: 217.01 JPY

Average Loss: -439.04 JPY

Now we have a rapidly dwindling numbers

profit factor = 1.15

Recovery factor = 1.00

Sharpe Ratio = 0.08 (very close to zero == randomness in trading and no variation from any average/poor investment)

Annual forecast = -100% (Basically a high probability of losing all your money)

Profit Trades: 1048 (70.00%) (this % is going down every day)

Loss Trades: 449 (29.99%) (this % is going up every day)

Opus08 please try to be a better signal provider by looking at how you can avoid such market conditions, DD and reduce your MAE positions by using better Stop losses.

Your signal could have been so much better instead of the extreme fear that it is bringing to the subscribers.

Mark De Groot
481
2017.08.15 18:14  (modificado 2017.08.15 18:15) 
 

what a waste of money

total unlogical positions are opened, especially chf trades are a drama.

Adrian Ferreyra
321
2017.08.15 16:45 
 

Tuve que retirarme.

Anton Evtimov
138
2017.08.15 16:32 
 

Usuário não fez qualquer comentário sobre a classificação

Tony Gwynne
493
2017.08.15 00:22   

Well, after 2months of subscribing, I have been in profit above ZERO for TWO days, the current expectancy of this EA is -$2.64, that means everytime a new trade is put on, expect to lose that amount on average. Now down THIRTY THREE PERCENT. I don't call that a strategy to give it time over 6months. In six months, there'll be no money left to make any profit. I had a stop on my account at this level, so has shut this signal down. I'm up for renewal in 3 days, and this is another that will go down the toilet. Hadoka, I think I gave it a fair chance and it failed, not because I didn't give it enough time, but everytime it tried to recover, it would fail again and drop back even further. This is not the way an EA should operate. Basically, for all your pomp and bluster about "we don't know what we're talking about", look at the figures, why should anyone trust what your saying when all this EA has done is lose for the last two months? Don't expect people to just stand by and watch as their cash is eaten alive. I'm out.

Fabio Takeo Emori
548
2017.08.14 23:57 
 

Hodaka is always is losting in CHF, but is continnuing trade. This EA is not good !!!!! Wake up HOdaka!!!

Qin Zhao
805
2017.08.14 12:56 
 

Usuário não fez qualquer comentário sobre a classificação

aci-crosser89
111
2017.08.11 15:59 
 

At the Moment it is a little Frustrating. Some Days of good Profit and very good Trading and than Drawdown again because of bad position opening and to big Stop Lose positioning. At the Moment i have like -15% in 8 Weeks.

But i belief this Strategies has much potential and i will stay at this Signal for some more Months.

Nicholas Kaulbach
1061
2017.08.10 14:41 
 

I'm rapidly running out of patience on this signal. There are some fundamental problems with the underlying EA's which are clearly not being addressed. Poor entry points, bad exits. Profit not being claimed and losses not being limited or minimised. This is not a managed signal. Im out.

AndreyFill
213
2017.08.09 08:09 
 

идиотская торговля -17%

Roman Gribov
473
2017.08.08 19:09  (modificado 2017.08.08 19:10) 
 

Плюс за то, что не сидит в просадках. Лоси отстреливаюся в молодости. Цел депозит- будет и прибыль.

vijayp4you
71
2017.08.08 12:25 
 

not satisified

frexadv
641
2017.08.03 23:34 
 

only loss, bye bye Opus

Hamed Hashemi Abar
322
2017.07.29 10:08 
 

Usuário não fez qualquer comentário sobre a classificação

ptkost
309
2017.07.28 15:36 
 

July 28th

After about 6 weeks and 394 closed trades I'm 20% in red. No real change in trend. I'm out. I do not recommend.

July 4th

Hodaka owns the signal etc. However, there is a lot of justified criticism in the reviews. I haven't studied in details, but at least now it looks like the algos do not work well when there are significant trends. Maybe the success is better when the market is moving sideways.

What bothers me is fact that he has increased the lot size after loosing many trades. As if he wanted to recover quickly and we know that wont work.

I don't suffer from slippage etc. but I'm 23% red after June 19th. I didn't start with large balance but it still hurts.

Hope to see change in the profit/loss trend in few days...

Silvia Sekeresova
359
2017.07.28 07:16   

Only stupid robot without any positive result.

2018.01.29 08:07
Removed warning: High current drawdown indicates the absence of risk limitation
2018.01.29 08:07
Removed warning: Too much growth in the last month indicates a high risk
2018.01.25 23:37
High current drawdown in 36% indicates the absence of risk limitation
2018.01.25 23:37
Too much growth in the last month indicates a high risk
2018.01.25 21:35
Removed warning: Too much growth in the last month indicates a high risk
2018.01.19 22:44
Too much growth in the last month indicates a high risk
2018.01.19 20:42
Removed warning: Too much growth in the last month indicates a high risk
2018.01.18 12:11
Too much growth in the last month indicates a high risk
2018.01.18 07:01
Removed warning: Too much growth in the last month indicates a high risk
2018.01.17 23:36
Too much growth in the last month indicates a high risk
2018.01.17 09:58
Removed warning: High current drawdown indicates the absence of risk limitation
2018.01.17 08:57
High current drawdown in 33% indicates the absence of risk limitation
2017.11.17 04:30
Removed warning: High current drawdown indicates the absence of risk limitation
2017.11.17 03:29
High current drawdown in 35% indicates the absence of risk limitation
2017.11.13 03:09
Removed warning: High current drawdown indicates the absence of risk limitation
2017.11.13 01:06
High current drawdown in 31% indicates the absence of risk limitation
2017.09.12 00:02
Removed warning: High current drawdown indicates the absence of risk limitation
2017.09.11 22:01
High current drawdown in 32% indicates the absence of risk limitation
2017.08.23 10:39
A large drawdown may occur on the account again
2017.07.03 18:02
Removed warning: High current drawdown indicates the absence of risk limitation
Para ver detalhes das estatísticas, por favor Conecte-se ou registrar
Assista aos videos tutoriais sobre negociação de sinais no YouTube
Nome
Preço
Crescimento
Assinantes
Capital Líquido
Semanas
Negociações
Rentável
PF
Rebaixamento
20
USD
-72%
1
190
USD
19K
JPY
53
99%
4 438
67%
94%
0.96
-3.86
JPY
93%
1:500
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