Parameter (statistics in pips) | Value |
---|---|
Total trades: | 54 |
Net profit: | 2 220 |
Total profit: | 8 299 |
Total loss: | -6 079 |
Maximum drawdown: | -979 |
Maximum drawdown period: | 16d 19h 23m |
Average trade size of open positions: | 0,10 |
Criterion | Profit | Loss |
---|---|---|
Long positions (Buy): | 16 | 13 |
Short positions (Sell): | 13 | 12 |
The maximum trade: | 509,00 | -511,00 |
Average trade: | 286 | -243 |
A series of trades: | 4 | 3 |
Duration of the series: | 2d 3h 25m | 0d 5h 52m |
Average holding time of a position: | 0d 11h 10m | 0d 10h 32m |
Parameter (analytics) |
Value |
---|---|
Profit ratio: | 1,37 |
Risk level: | Short |
Sharpe ratio: | 0,03 |
Expectation: | 41,11 |
Standard variation (profitable trades): |
0,41 |
Standard variation (unprofitable trades): |
0,37 |
Estimate accuracy: | High |