Symbol | NZDCAD | Period | M15 : 04.01.2010 - 28.08.2019 |
---|---|---|---|
Initial deposit | 10000.0 | ||
Parameters | - |
More information
Year | Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | YTD |
2019 | 10545.85 | 8432.46 | 51263.27 | -4293.24 | -29859.48 | 9702.5 | -7544.43 | 24040.12 | 0 | 0 | 0 | 0 | 62287.05 |
2018 | 7685.81 | 6164.37 | 18238.92 | 5944.24 | 17244.98 | -82726.03 | 27441.6 | 20293.48 | 5991.47 | 8473.42 | -33421.38 | 21523.97 | 22854.85 |
2017 | 7190.31 | 5158.21 | 5678.26 | 5313.83 | 10452.71 | -8704.83 | 27964.12 | -14946.2 | 18479.04 | 3066.43 | 7880.74 | 14903.09 | 82435.71 |
2016 | 12866.42 | -9048.41 | 36026.82 | 13663.34 | 15654.32 | 49831.72 | -22577.29 | 19135.02 | 13421.39 | -26354.74 | -73972.59 | 8907.37 | 37553.37 |
2015 | 1697.2 | 3502.66 | 2282.71 | 5298.62 | 4017.67 | 5635.52 | 2962.74 | 12405.8 | 4183.07 | 9141.57 | 1131.36 | 8404.97 | 60663.89 |
2014 | 4312.31 | 1886.22 | 800.23 | 2462.48 | 136.67 | 272.59 | 611.64 | 120.52 | 1337.01 | 2720 | 2620.23 | 2021.85 | 19301.75 |
2013 | 931 | 674.15 | -450.99 | 2117.69 | 1551.42 | 2882.09 | 1213.36 | 1577.59 | -14893.37 | 385.99 | 792.66 | 1041.98 | -2176.43 |
2012 | 341.94 | -780.62 | 2297.41 | 381.05 | 398.64 | -14872.92 | 17.45 | -369.28 | 981.44 | 188.43 | 255.1 | 983.19 | -10178.17 |
2011 | 6906.67 | -5038.3 | -12233.02 | 934.37 | 1175.12 | 1217.77 | 918.22 | 2732.71 | 2990.01 | 1067.16 | 1026.61 | -240.15 | 1457.17 |
2010 | 531.24 | 195.09 | 1112.91 | 753.94 | 1782.64 | 3270.18 | 1218.17 | 941.76 | 1456.46 | -764.57 | 2689.57 | 1643.92 | 14831.31 |
Wins/Losses Ratio | 2.42 | Payout Ratio (Avg Win/Loss) | 0.51 | Average # of Bars in Trade | 0 |
AHPR | 0.32 | Z-Score | -1.43 | Z-Probability | 92.36 % |
Expectancy | 190.03 | Deviation | $ 4884.81 | Exposure | -999999999 % |
Stagnation in Days | 1396 | Stagnation in % | 39.61 % |
# of Wins | 1076 | # of Losses | 445 | # of Cancelled/Expired | 0 | ||
Gross Profit | $ 1530671.1 | Gross Loss | $ -1241640.6 | Average Win | $ 1422.56 | Average Loss | $ -2790.2 |
Largest Win | $ 47753.19 | Largest Loss | $ -48571.3 | Max Consec Wins | 14 | Max Consec Losses | 5 |
Avg Consec Wins | 3.54 | Avg Consec Loss | 1.46 | Avg # of Bars in Wins | 0 | Avg # of Bars in Losses | 0 |
Symbol | EURAUD | Period | M15 : 04.01.2010 - 28.08.2019 |
---|---|---|---|
Initial deposit | 10000.0 | ||
Parameters | - |
More information
Year | Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | YTD |
2019 | 10137.58 | -16812.95 | -19473.98 | 66306.31 | -55738.56 | 52001.8 | 21751.66 | 2768.54 | 0 | 0 | 0 | 0 | 60940.4 |
2018 | 44755.62 | -575.86 | 26960.54 | 13206.48 | -962.78 | -6914.83 | 0 | 50627.87 | 10472.5 | 91322.57 | 12434.43 | 26953.69 | 268280.23 |
2017 | 42428.01 | 19780.11 | 23495.46 | 12034.31 | -6238.21 | 16101.19 | 14225.7 | 10160.19 | 13336.46 | -5786.65 | -11458.62 | 13191.92 | 141269.87 |
2016 | 9263.64 | 38479.75 | 11539.51 | 6791.95 | -9414.28 | -22121.22 | 6692.39 | 10812.4 | -7468.29 | -15613.41 | 28239.84 | -36550.45 | 20651.83 |
2015 | 34140.17 | 20457.29 | 4178.02 | -5931.07 | 38537.22 | -159923.93 | 23097.55 | 29768.98 | -42863.04 | -2794.46 | 24006.96 | -3272.91 | -40599.22 |
2014 | 10413.61 | -314.19 | 583.33 | -10118.11 | 36691.65 | -109.42 | -1028.91 | 5979 | -6766.29 | 44684.84 | 19313.92 | 10904.04 | 110233.47 |
2013 | 5443.8 | 7395.73 | 665.99 | 1018.28 | 2961.03 | 3430.83 | 5704.78 | 16831.52 | -8472.23 | 11064.88 | -6307.92 | -418.1 | 39318.59 |
2012 | -1893.06 | 3634.71 | 602.54 | -3117.31 | 9034.04 | 810.5 | -1106.06 | 1194.83 | -1450.71 | 5908.13 | 1733.11 | -1342.9 | 14007.82 |
2011 | 3619.55 | -965.88 | 2800.71 | -1003.07 | 9319.42 | 2558.56 | 2292.35 | 510.54 | 691.88 | 4049.2 | 1217.79 | 2069.8 | 27160.85 |
2010 | 425.64 | -867.54 | 3111.01 | 764.84 | 913.39 | 2497.78 | 962.33 | 2949.01 | 607.81 | 3585.25 | 1645.35 | -10.62 | 16584.25 |
Wins/Losses Ratio | 0.72 | Payout Ratio (Avg Win/Loss) | 1.85 | Average # of Bars in Trade | 0 |
AHPR | 0.57 | Z-Score | -1.41 | Z-Probability | 92.07 % |
Expectancy | 665.84 | Deviation | $ 9737.03 | Exposure | -999999999 % |
Stagnation in Days | 777 | Stagnation in % | 22.05 % |
# of Wins | 414 | # of Losses | 574 | # of Cancelled/Expired | 0 | ||
Gross Profit | $ 2622586.56 | Gross Loss | $ -1964738.47 | Average Win | $ 6334.75 | Average Loss | $ -3422.89 |
Largest Win | $ 63308.32 | Largest Loss | $ -37915.25 | Max Consec Wins | 6 | Max Consec Losses | 10 |
Avg Consec Wins | 1.8 | Avg Consec Loss | 2.48 | Avg # of Bars in Wins | 0 | Avg # of Bars in Losses | 0 |
A qualitative feature of this Expert Advisor (EA) is its unique investment portfolio developed and tested by professional analysts. The use of this portfolio is aimed at risk diversification as well as at gaining maximum benefit by the EA from volatility of trading instruments.
The Expert Advisor uses mathematical methods of the description of price performance. To reflect the current situation and forecast further fluctuations, a variety of indicator models are applied. While being based on a simple and reliable strategy, the Expert Advisor analyzes signals it receives and the results of its previous trades and sends operations with a potential increase in the volume. The trading system automatically avoids periods of consolidation when there is uncertainty in the market. The capital management system integrated in the Expert Advisor's algorithm allows it to use the allocated funds with the maximum efficiency, whereas features of regulating stop orders carry out trading that is safe for the deposit.
Quick implementation, within one minute
Does not depend on your preferred account or broker
Developed specifically for live trading, based on modern market conditions
The EA is optimized and does not require any additional adjustment of parameters
Option to enable Trailing Stop
Four- and five-digit quotations identified automatically
Tested on real and widened spreads
Intelligent money management system integrated in the EA
Technical support
The set of the trading system includes a detailed description of the EA's strategy and parameters, user guidelines, and two version of the EA:
Auto — is a set of fully automated Expert Advisors (EAs), with all parameters optimized for each individual instrument of the portfolio. The EAs of this version are fully autonomous financial robots: these are able to trade either simultaneously or separately, being added to charts of the specified instruments and executing transactions only in those instruments.
Custom — refers to a version with open parameters used by a trader to individually adjust all variables of the EA. It can be added to one instrument only, after which it trades only that instrument. Trading simultaneously in various instruments is available, using different trading specifications.
Unique money management systems embedded in the EA enable a trader to adjust and control the EA's trading performance models.
The use of machine learning in optimizing the Expert Advisor enables it get highly profitable results and maximize the amount of such trades.
A reliable trading strategy underlies the Expert Advisor. It is based on technical market indicators and refined by mathematical methods of compensating losing positions.
An integrated system called “cascade of orders” ensures a high trading activity level and control over high-risk positions.
The functional isolation of the EA's methods enables it to simultaneously invest allocated funds in different instruments and by doing so to diversify the investor's risks.