Correlation strategy

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Real (USD), Other(MT4) , Technical , Manual , 1:100 , MetaTrader 4
-84.70%
-84.70%

-0.04%
-65.06%
Drawdown: 88.65%

Balance: $765.11
Equity: (47.48%) $363.28
Highest: (Jan 04) $6,740.07
Profit: -$4,234.89
Interest: $49.13

Deposits: $5,000.00
Withdrawals: $0.00

Updated Jan 25, 2013 at 13:36
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Gain (Difference) Profit (Difference) Pips (Difference) Win% (Difference) Trades (Difference) Lots (Difference)
Today - - - - - -
This Week - - - - - -
This Month - - - - - -
This Year - - - - - -
Data is private.
Trades: 239
Profitability:
Pips: 725.0
Average Win: 38.42 pips / $35.66
Average Loss: -50.61 pips / -$98.63
Lots : 27.58
Commissions: $0.00
Longs Won: (82/119) 68%
Shorts Won: (62/120) 51%
Best Trade ($): (Dec 12) 1,019.80
Worst Trade ($): (Jan 25) -3,192.90
Best Trade (Pips): (Jan 11) 301.3
Worst Trade (Pips): (Jan 25) -319.9
Avg. Trade Length: 3d
Profit Factor: 0.55
Standard Deviation: $298.949
Sharpe Ratio -0.06
Z-Score (Probability): 1.90 (94.25%)
Expectancy 3.0 Pips / -$17.72
AHPR: -0.38%
GHPR: -0.78%
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Data includes last 200 transactions based on the analysed history.
Data includes last 200 transactions based on the analysed history.

Forecast New

$
% Yearly
Open trades are private.

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Account USV