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Crescimento

jan
fev
mar
abr
mai
jun
jul
ago
set
out
nov
dez
YTD
Total:

Saldo

Capital Líquido

Rebaixamento

  • Capital Líquido
  • Rebaixamento
Negociações:
867
Negociações com Lucro:
826 (95.27%)
Negociações com Prejuízo:
41 (4.73%)
Melhor negociação:
61.13 USD
Pior negociação:
-311.38 USD
Lucro bruto:
7 114.29 USD (312 709 pips)
Perda Bruta:
-5 282.05 USD (211 364 pips)
Máximo de vitórias consecutivas:
531 (5 857.36 USD)
Máximo lucro consecutivo:
5 857.36 USD (531)
Índice Sharpe:
0.19
Actividade de negociação:
77.76%
Depósito máximo carregado:
46.81%
Fator de recuperação:
0.37
Negociações de Posição Comprada:
867 (100.00%)
Negociações de Posição Vendida:
0 (0.00%)
Fator de lucro:
1.35
Resultado Esperado:
2.11 USD
Lucro médio:
8.61 USD
Perda média:
-128.83 USD
Máximo de perdas consecutivas:
16 (-4 638.91 USD)
Máxima perda consecutiva:
-4 638.91 USD (16)
Crescimento mensal:
-56.49%
Previsão anual:
-100.00%
Algotrading:
0%

Distribuição

Símbolo Operações Sell Buy
S&P.fs 867
200400600800
200400600800
200400600800
Símbolo Lucro bruto, USD Loss, USD Lucro, USD
S&P.fs 1.8K
2.5K5K7.5K10K13K15K18K20K
2.5K5K7.5K10K13K15K18K20K
2.5K5K7.5K10K13K15K18K20K
Símbolo Lucro bruto, pips Loss, pips Lucro, pips
S&P.fs 101K
100K200K300K400K500K600K
100K200K300K400K500K600K
100K200K300K400K500K600K
Melhor negociação:
61.13 USD
Máximo de vitórias consecutivas:
531 (5 857.36 USD)
Máximo lucro consecutivo:
5 857.36 USD (531)
Pior negociação:
-311.38 USD
Máximo de perdas consecutivas:
16 (-4 638.91 USD)
Máxima perda consecutiva:
-4 638.91 USD (16)
Rebaixamento pelo saldo:
Absoluto:
0.28 USD
Máximo:
4 947.45 USD (69.01%)
Rebaixamento relativo:
Pelo Saldo:
59.86% (4 947.45 USD)
Pelo Capital Líquido:
53.08% (4 387.04 USD)

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 AxiTrader-US06-Live e as cotações dos assinantes, bem como dos atrasos nas execuções das ordens. Menor valor significa melhor qualidade de cópias.

AxiTrader-US09-Live
0.00 × 289
AxiTrader-US02-Live
0.00 × 98
AxiTrader-US07-Live
0.00 × 110
AxiTrader-US06-Live
0.00 × 3
Para ver detalhes das estatísticas, por favor Faça o login ou registrar

Hello,


I present to you my profitable trading signal. I trade by myself only on SP500, so I'm using no robots.

I predict to gain minimum 10% profit per month.

Trades are made from Monday to Firday.


To subscribe my signal you need to know that:

1. Unfortunately, you must have the same broker as I have: AxiTrader, because MQL platform reqiure the same symbol from seller and subscriber. Only AxiTrader uses S&P.fs symbol for SP500 Index.

2. I suggest 2000 USD deposit to follow my signal. 


FAQ:

1. Why do you choose AxiTrader broker? Now I have to open account on AxiTrader to follow your signal.

In the past I was subsrcibing signal which reqiured AxiTrader and from that time I didn't change broker. But don't worry to open an account on AxiTrader. My trades will reward your decision. 

2. Why do you open several position at same time, instead of one bigger position?

Well, for example I open 0.15 lot position. If someting goes wrong I have to close that position. If I open 3 position which has value of 0.05 lot, I can close one of them and lose less money than when I had open 0.15 lot position.

3. Why do you open only BUY position?

I do this beacause I don't trade against market.

4. Why don't you have stop losses?

I supervise my trades and if something goes wrong I close it. 


If you have more questions feel free to contact with me. I will answer all your questions. 

Check out my profile. I will regualry give various information of SP500 and my thoughts about trading.


Have a nice trading!

Dream BIG


Greetings

Krzysztof


Classificação Média:
grzesiula
9
2018.02.19 15:58 
 

Usuário não fez qualquer comentário sobre a classificação

Duy Hoang Nguyen
1129
2018.02.19 02:53 
 

Usuário não fez qualquer comentário sobre a classificação

b189
2629
2018.02.18 08:35 
 

Please close/delete this signal, so we at least get back the subscription fee...

Daniel Canepa
129
2018.02.10 00:46  (modificado 2018.02.10 00:47) 
 

I think you don't have any trading skills or knowledge about the market, I've appreciated the fact you closed the trades last monday, but during the week you opened some totally random trades without any reason, probably just "believing" that s&p was recovering.

Btw, you have to wait for a real s&p recover until you can start to do your buy trades without any trading skills :-)

Maybe in about one or two months you will be confortable to restart.

Powerup
96
2018.02.05 03:55 
 

Usuário não fez qualquer comentário sobre a classificação

yamilka21
9
2018.01.31 00:30   

My broker does not have S&P500 and couldn't open an axitrader account since I'm in USA...

traderiva
127
2018.01.30 09:08  (modificado 2018.02.08 09:21) 
 

I purchased the signal last wednesday on a demo account first. Now 3 tradingdays later I can see that this is not sustainable ( s&p will not make a new higher high this week and the trader is not stopping, keeps on averaging in more small positions.

update:20180208

After 2 weeks I cancel. this is clearly a buy-only expert(most probably grid) and the trader didn't comment on the big losses that occured, better said: didn't give shit. after the big loss cashed last monday al of a sudden we don't get 8 positions initially, but the tradesize is larger (for me: he is revenching his loss, that is clearly not the way to do it, this trader does not understand the market and he has no clue what the modification will do to hard earned money of signalfollowers) I adjust from 2 stars to only 1

2018.02.14 20:09
No trading activity detected on the Signal's account for the last 6 days
2018.02.05 00:57
Removed warning: High current drawdown indicates the absence of risk limitation
2018.02.05 00:57
Removed warning: Too much growth in the last month indicates a high risk
2018.02.02 22:21
A large drawdown may occur on the account again
2018.02.02 15:59
High current drawdown in 32% indicates the absence of risk limitation
2018.02.02 13:50
Removed warning: High current drawdown indicates the absence of risk limitation
2018.02.02 12:48
High current drawdown in 30% indicates the absence of risk limitation
2018.01.30 00:31
Removed warning: Too frequent deals may negatively impact copying results
2018.01.22 18:30
Too frequent deals may negatively impact copying results
2018.01.22 16:22
Too much growth in the last month indicates a high risk
2018.01.10 13:22
Removed warning: Too much growth in the last month indicates a high risk
2018.01.09 17:29
Too much growth in the last month indicates a high risk
2018.01.03 16:16
Removed warning: Too much growth in the last month indicates a high risk
2017.12.21 08:55
Removed warning: Too frequent deals may negatively impact copying results
2017.12.18 16:17
Too frequent deals may negatively impact copying results
2017.12.06 15:43
Removed warning: High current drawdown indicates the absence of risk limitation
2017.12.06 14:42
Removed warning: Too frequent deals may negatively impact copying results
2017.12.06 04:29
High current drawdown in 30% indicates the absence of risk limitation
2017.12.04 16:34
Too frequent deals may negatively impact copying results
2017.12.03 23:42
Too much growth in the last month indicates a high risk
Para ver detalhes das estatísticas, por favor Faça o login ou registrar
Assista aos videos tutoriais sobre negociação de sinais no YouTube
Nome
Preço
Crescimento
Assinantes
Capital Líquido
Semanas
Negociações
Rentável
PF
Rebaixamento
30
USD
415%
6
1.2K
USD
107
USD
24
0%
867
95%
78%
1.34
2.11
USD
60%
1:100
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