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Korelacja wzajemna indeksów

Inwestuję wyłącznie w indeksy DE30,EU50,US500 gdyż charakteryzują się one dużą zmiennością co daje wiele okazji do transakcji. Liczba otwartych pozycji w ciągu miesiąca waha się od kilku do kilkunastu.Interwały które obserwuje to H1 i H4

-5.95%gain
2followers
1:1r/r
41.51%drawdown
22trades
13h41mduration

style: Day Trading
approach: Technical and Fundamental Analysis

New Year Competition

General

Equity:-5.95%
Open trades:147.35%
Last 24H:0.00%
Monthly:0.00%
Maximal drawdown:46.51%
Gain in pips:-259.3
Last month:0.0
Balance:188.33 PLN
Highest profit:254.33 PLN
Start date:September 28, 2017

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Deposit/withdrawal:314.48Credit Facility:0.00
Closed trade P/L:-126.15Floating P/L:91.62
Balance:188.33Equity:279.95
Margin:135.74Free Margin:52.59
Gross Profit:286.12Gross Loss:412.27Total Net Profit:-126.15
Profit Factor:0.69Expected Payoff:-5.73
Absolute Drawdown:368.44Maximal Drawndown:66.17%Relative Drawdown:66.17%
Total trades:22
Short Position (won %):8(75.00%)Long Positions (won %):14(21.43%)
Profit Trade (% of total):9(40.91%)Loss trades (% of total):13(59.09%)
Largest profit trade:84.09%Largest loss trade:-32.38%
Average profit trade:31.79Average loss trade:-31.71
Maximum consecutive wins ($):2 (5.20)Maximum consecutive losses ($):1 (-2.24)
Maximal consecutive profit (count):256.80 (2)Maximal consecutive loss (count):-2.24 (1)
Average consecutive wins:2Average consecutive losses:1