可靠性
20 周 (自从 2019)
1
423 USD
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成长

1月
2月
3月
4月
5月
6月
7月
8月
9月
10月
11月
12月
YTD
共计:

结余

净值

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  • 净值
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交易:
311
盈利交易:
209 (67.20%)
亏损交易:
102 (32.80%)
最好交易:
54.79 EUR
最差交易:
-138.32 EUR
毛利:
1902.08 EUR (683990 pips)
毛利亏损:
-1255.49 EUR (344883 pips)
最大连续赢利:
20 (116.01 EUR)
最大连续盈利:
362.91 EUR (14)
夏普比率:
0.16
交易活动:
100.00%
最大入金加载:
101.54%
最近交易:
4 几天前
每周交易:
21
平均持有时间:
2 天
采收率:
2.18
长期交易:
265 (85.21%)
短期交易:
46 (14.79%)
利润因子:
1.52
预期回报:
2.08 EUR
平均利润:
9.10 EUR
平均损失:
-12.31 EUR
最大连续失误:
8 (-85.47 EUR)
最大连续亏损:
-160.65 EUR (3)
每月增长:
9.65%
年度预测:
117.11%
算法交易:
0%

分配

交易品种 交易 Sell Buy
Usa500Mar19 133
LCrudeMar19 79
SoybnsMar19 25
CottonMay19 22
GOLD 15
UsaTec 10
WheatMar19 6
UsaTBJun19 6
CornMar19 4
CornJul19 4
WheatJul19 3
SILVER 1
UsaTBMar19 1
BTCUSD 1
Ger30 1
255075100125150175200
255075100125150175200
255075100125150175200
交易品种 毛利, USD 损失, USD 利润, USD
Usa500Mar19 413
LCrudeMar19 160
SoybnsMar19 32
CottonMay19 6
GOLD 36
UsaTec 20
WheatMar19 -7
UsaTBJun19 -15
CornMar19 -17
CornJul19 23
WheatJul19 36
SILVER 23
UsaTBMar19 22
BTCUSD 8
Ger30 -2
2505007501K1.3K1.5K1.8K2K
2505007501K1.3K1.5K1.8K2K
2505007501K1.3K1.5K1.8K2K
交易品种 毛利, pips 损失, pips 利润, pips
Usa500Mar19 135K
LCrudeMar19 4.1K
SoybnsMar19 20K
CottonMay19 1.6K
GOLD 6.8K
UsaTec 11K
WheatMar19 -983
UsaTBJun19 -147K
CornMar19 -1.6K
CornJul19 8.2K
WheatJul19 7.8K
SILVER 451
UsaTBMar19 216K
BTCUSD 79K
Ger30 -168
50K100K150K200K250K300K350K400K
50K100K150K200K250K300K350K400K
50K100K150K200K250K300K350K400K

提取

最好交易:
54.79 EUR
最大连续赢利:
20 (116.01 EUR)
最大连续盈利:
362.91 EUR (14)
最差交易:
-138.32 EUR
最大连续失误:
8 (-85.47 EUR)
最大连续亏损:
-160.65 EUR (3)
结余跌幅:
绝对:
8.74 EUR
最大值:
295.94 EUR (28.80%)
相对跌幅:
结余:
28.80% (295.94 EUR)
净值:
9.56% (74.14 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封闭位置。MFE/利润和MAE/利润分布图显示每个位置为沿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-Server 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。

DestekFX-Real
0.00 × 1
ICMarkets-MT5
0.00 × 2
FxPro-MT5
0.00 × 3
ActivTrades-Server
0.08 × 409
QTrade-Server
0.18 × 84
MetisEtrade-MT5
0.43 × 7
Alpari-MT5
0.81 × 299
FXChoice-MetaTrader 5 Pro
1.21 × 33
ActivTradesCorp-Server
1.52 × 33
VantageFX-Trader
3.29 × 35
ForexTime-ECN
3.79 × 24
InstaForex-Server
21.00 × 1
RoboForex-MetaTrader 5
29.53 × 116
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I have 18 years of experience, trading mainly Futures. I have discovered mql5 community when I decided to try to turn a small capital into a big capital, my next challenge. Hence, I have opened a CFD account. If you want to know more about me and my work, please visit www.iaminwallstreet.com

I work manually, no algos, I use forecasting models, timing tools and price map energies to get into the Market only when the trade has a high expectation of being successful. I still have to understand how to adapt my work to CFD (where spread, in some cases, are horrible compared to Futures; for example about Cotton and Soybeans, which are important Markets for my trading).

I do NOT trade Forex or currency. I trade Stock Indexes and Commodities.

It is an honor for me to receive your interest in my work.

I will try to make you understand my trading approach:

1- I follow the market every day, all day long, in real time; this is my job. Usually I do not set stop-loss orders in advance, but when I have to close the position, I send a closing order at the market. I do not keep positions in loss, I always try to cut the losses. It will not happen that you see a position that run in loss for days or weeks. The main purpose of my trading approach is to cut the losses and let the position to run when in profit. It is different than trading Forex, where I see most of the people keep buying when the Market goes down, and they buy and buy until the market invert... but if it does not invert, they take a huge loss. I trade maily Futures, and I apply my strategy to the CFD account. With Futures, you cannot buy and buy and buy when the market goes lower, because then you have an immense loss at certain point.

2-considering the little account, I obviously use a high exposure (but not more than 1:30 leverage); hence, if my purpose is to keep a 10-20% of profits per month, it is normale to accept at least a 15-20% of max DD; however, it may happen that I do not reach that DD, and it remains lower than 10%. A large DD may happen because of an unlucky period with several wrong trades, but not because I have a huge loss with just one trade. As I said, I never let positions in loss to run and get bigger. This is the main rule to be a decent trader.

3- I usually trade S&P500 and/or NASDAQ, T-Bonds, Gold, Corn, Soybeans, Wheat, Crude Oil and Cotton.

Please, I do not know if other Brokers have all these Markets, but the main Market for me is the S&P500 anyway. You should find out if using your Broker you can copy most of my trades, in case you want to copy my work. I am really not an expert of mql5, mt5, mt4, copy trading... If you have questions, I will be happy to reply.

Also, please, be aware that I do not trade to make some little profits every day. I work to make profits at the end of the month, hence, it can happen I do not trade for one or two weeks waiting for the right moment. And I hope to be in profit 10 months in a year. Then, of course, there is always a risk, and we must accept it. If we do not want to accept the risk, we are not ready to trade, because the entire trading work is based on the trade-off risk/reward.

If you just want to know more about my work, please visit www.iaminwallstreet.com.


Best,

Daniele

没有评论
2019.04.11 21:04
Removed warning: This is a newly opened account. Trading results may be of random nature
2019.03.29 11:27
This is a newly opened account, and the trading results may be of random nature
查看详细统计,请 登录 或者 注册
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
162%
1
423
USD
1K
EUR
20
0%
311
67%
100%
1.51
2.08
EUR
29%
1:30
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