交易:
15
盈利交易:
11 (73.33%)
亏损交易:
4 (26.67%)
最好交易:
0.25 USD
最差交易:
-0.29 USD
毛利:
1.66 USD
(1 709 pips)
毛利亏损:
-0.65 USD
(641 pips)
最大连续赢利:
4 (0.59 USD)
最大连续盈利:
0.59 USD (4)
夏普比率:
0.42
交易活动:
100.00%
最大入金加载:
3.80%
最近交易:
1 几小时前
每周交易:
28
平均持有时间:
4 小时
采收率:
3.48
长期交易:
8 (53.33%)
短期交易:
7 (46.67%)
利润因子:
2.55
预期回报:
0.07 USD
平均利润:
0.15 USD
平均损失:
-0.16 USD
最大连续失误:
1 (-0.29 USD)
最大连续亏损:
-0.29 USD (1)
每月增长:
0.71%
算法交易:
100%
结余跌幅:
绝对:
0.00 USD
最大值:
0.29 USD (0.27%)
相对跌幅:
结余:
0.26% (0.28 USD)
净值:
0.71% (1.12 USD)
分配
| 交易品种 | 交易 | Sell | Buy | |
|---|---|---|---|---|
| GBPUSD.fx | 13 | |||
| EURJPY.fx | 1 | |||
| AUDUSD.fx | 1 | |||
|
5
10
15
20
|
5
10
15
20
|
5
10
15
20
|
| 交易品种 | 毛利, USD | 损失, USD | 利润, USD | |
|---|---|---|---|---|
| GBPUSD.fx | 1 | |||
| EURJPY.fx | 0 | |||
| AUDUSD.fx | 0 | |||
|
1
2
3
|
1
2
3
|
1
2
3
|
| 交易品种 | 毛利, pips | 损失, pips | 利润, pips | |
|---|---|---|---|---|
| GBPUSD.fx | 773 | |||
| EURJPY.fx | 146 | |||
| AUDUSD.fx | 149 | |||
|
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
|
- 入金加载
- 提取
最好交易:
+0.25
USD
最差交易:
-0
USD
最大连续赢利:
4
最大连续失误:
1
最大连续盈利:
+0.59
USD
最大连续亏损:
-0.29
USD
基于有关不同交易商真实账户的执行统计的平均滑移点按点数指定。它取决于 InstaFinance-USA.com 提供商以及订阅者之间不同的报价,以及订单执行的延迟。值越低意味着复制的质量越高。
无数据
The strategy is built on simultaneous long and short entries on each of the 9 selected currency pairs. This approach reduces trend dependency and allows the system to profit from intraday price fluctuations, using a controlled grid structure and dynamic risk management.
How It Works
Each pair starts with two initial positions: Buy and Sell.
The system monitors volatility and price amplitude, adding new positions only when predefined zones are reached.
An adaptive grid step adjusts automatically based on current market volatility.
Positions are closed in batches once the total profit for the pair reaches the target level.
Risk is controlled through:
limiting the maximum number of open orders
dynamic lot reduction
distributing exposure across 9 pairs
The strategy aims for an average monthly return of up to 15%, assuming moderate risk and stable market volatility.
This is not a guaranteed result, but it is statistically achievable with disciplined execution.
How It Works
Each pair starts with two initial positions: Buy and Sell.
The system monitors volatility and price amplitude, adding new positions only when predefined zones are reached.
An adaptive grid step adjusts automatically based on current market volatility.
Positions are closed in batches once the total profit for the pair reaches the target level.
Risk is controlled through:
limiting the maximum number of open orders
dynamic lot reduction
distributing exposure across 9 pairs
The strategy aims for an average monthly return of up to 15%, assuming moderate risk and stable market volatility.
This is not a guaranteed result, but it is statistically achievable with disciplined execution.
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