Fortnight Profit System on 10% Risk on EQUITY
Risk fixed % of account: 10.0%, 1.0 lots, 50.0 max. lots
Source: MMSimulation
Symbol |
Portfolio |
Period |
unknown : 01.06.2015 - 08.01.2020 |
Initial deposit |
10,000 |
|
|
Parameters |
- |
Profit in pips
108648.4 pips
Yrly Avg profit
$ 19559362.75
Yrly Avg % ret
195593.63 %
Daily Avg profit
$ 54203.3
Mthly Avg profit
$ 1629970.62

Stats
Strategy
Wins/Losses Ratio |
1.22 |
Payout Ratio (Avg Win/Loss) |
1.08 |
Average # of Bars in Trade |
0 |
AHPR |
0.16 |
Z-Score |
-1.78 |
Z-Probability |
96.25 % |
Expectancy |
11070.75 |
Deviation |
$ 163437.45 |
Exposure |
-999999999 % |
Stagnation in Days |
93 |
Stagnation in % |
5.53 % |
|
|
Trades
|
|
# of Wins |
4533 |
# of Losses |
3712 |
# of Cancelled/Expired |
0 |
Gross Profit |
$ 374175512.2 |
Gross Loss |
$ -282897157.54 |
Average Win |
$ 82544.79 |
Average Loss |
$ -76211.52 |
Largest Win |
$ 615000 |
Largest Loss |
$ -435000 |
Max Consec Wins |
17 |
Max Consec Losses |
15 |
Avg Consec Wins |
2.27 |
Avg Consec Loss |
1.86 |
Avg # of Bars in Wins |
0 |
Avg # of Bars in Losses |
0 |
Charts
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Fortnight Profit System