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
by KIDA13
-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 |

This content is available for registered users only
In order to see trading signals, join the TradingDot society.
Deposit/withdrawal: | 314.48 | Credit Facility: | 0.00 |
Closed trade P/L: | -126.15 | Floating P/L: | 91.62 |
Balance: | 188.33 | Equity: | 279.95 |
Margin: | 135.74 | Free Margin: | 52.59 |
Gross Profit: | 286.12 | Gross Loss: | 412.27 | Total Net Profit: | -126.15 |
Profit Factor: | 0.69 | Expected Payoff: | -5.73 | ||
Absolute Drawdown: | 368.44 | Maximal 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: | 31.79 | Average 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: | 2 | Average consecutive losses: | 1 |