Basket Trend Trading
可靠性
138 周 自从 2016
2
60K USD
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结余

净值

提取

  • 净值
  • 提取
交易:
3271
盈利交易:
2096 (64.07%)
亏损交易:
1175 (35.92%)
最好交易:
31.41 EUR
最差交易:
-22.54 EUR
毛利:
6219.20 EUR (328634 pips)
毛利亏损:
-4793.62 EUR (238092 pips)
最大连续赢利:
28 (110.25 EUR)
最大连续盈利:
163.67 EUR (16)
夏普比率:
0.09
交易活动:
36.91%
最大入金加载:
46.16%
最近交易:
1 几小时前
每周交易:
13
平均持有时间:
5 小时
采收率:
6.22
长期交易:
1531 (46.81%)
短期交易:
1740 (53.19%)
利润因子:
1.30
预期回报:
0.44 EUR
平均利润:
2.97 EUR
平均损失:
-4.08 EUR
最大连续失误:
12 (-99.57 EUR)
最大连续亏损:
-99.57 EUR (12)
每月增长:
1.29%
年度预测:
15.68%
算法交易:
100%

分配

交易品种 交易 Sell Buy
EURUSD 1537
GBPUSD 1271
EURGBP 463
2505007501K1.3K1.5K1.8K2K
2505007501K1.3K1.5K1.8K2K
2505007501K1.3K1.5K1.8K2K
交易品种 毛利, USD 损失, USD 利润, USD
EURUSD 1.3K
GBPUSD 221
EURGBP 114
2K4K6K8K
2K4K6K8K
2K4K6K8K
交易品种 毛利, pips 损失, pips 利润, pips
EURUSD 73K
GBPUSD 15K
EURGBP 2.7K
50K100K150K200K250K300K350K400K
50K100K150K200K250K300K350K400K
50K100K150K200K250K300K350K400K
最好交易:
31.41 EUR
最大连续赢利:
28 (110.25 EUR)
最大连续盈利:
163.67 EUR (16)
最差交易:
-22.54 EUR
最大连续失误:
12 (-99.57 EUR)
最大连续亏损:
-99.57 EUR (12)
结余跌幅:
绝对:
24.97 EUR
最大值:
229.31 EUR (11.66%)
相对跌幅:
结余:
11.66% (229.31 EUR)
净值:
3.02% (65.03 EUR)

MFE和 MAE分布点图

在使用期内为每个持仓订单记录最大利润(MFE)值和最大亏损(MAE)值。这些参数使用最大未实现的潜在值和最大容许风险额外表现每个平仓订单。MFE/利润和MAE/利润分布图显示每个订单为沿X轴绘制的收到利润/亏损值的一个点,而潜在利润(MFE)和潜在亏损(MAE)的最大显示值则是沿Y轴绘制。

无数据
无数据

将光标放在参数/图说明上可以看到最佳和最糟的交易系列。在文章交易中的数学:如何评估交易结果中了解更多有关MAE和MFE分布的信息。

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 Activtrades-3 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。

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I am CFTe & ACI Dealing Certificate Holder. Accordingly, I am specialized in trading strategies that operate mainly in trend phase. Experience shows that trading in trend phases reflect the best rate of return. In sideways phase, trades are opened restricted, according to the statistical method "Value@Risk". I optimize the strategies on the premise of steady good return at low rate risk. My trading strategies are for mid-term investors (6 months +) interesting, that means: - A Max DD of not more than 15% - A target ROI per annum about 50+%, Over Performance possible - Each position has a SL / TP, the market has unpredictable moments - The trading strategies are based on the risk diversification (ie. model of Markowitz), compiled as a portfolio - I invest myself which means: we make profits and losses together and of course the target is a Top ROI As you can see, I am a technical trader with a neural touch, 4/5 of the trades are of a technical nature (both MM and SL / TP are technically defined) The neural touch means the personal experience. Based on my education & intensive study of the money market, I sometimes have a different picture of the market situation, therefore I take care of a few things, including ie. moving SL/TP to an important resistance line or the early closure of position when FED / ECB decision are imminent etc. I am very open & pls talk to me about anything. PS: Advice for Lot Size > prefer fix ratio money management which means: lot size = balance + ( delta*0,1 ), Delta means pips you prefer moving to the next lot size level. Higher Delta ( 300 - 500 ) means conservative, lower Delta means ( < 150 ) means progressive. I suggest 250 - 350.


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2018.07.28 13:00
Signal account leverage was changed 1 times from 1:30 to 1:100
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信号
价格
成长
订阅者
资金
结余
EA交易
交易
赢%
活动
PF
预期回报
提取
杠杆
30
USD
115%
2
60K
USD
2.7K
EUR
138
100%
3 271
64%
37%
1.29
0.44
EUR
12%
1:30
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