CORRELATION 2024 EA

User Image
Nyata (USC Cent), VT Markets , 1:500 , MetaTrader 4
-60.16%
-60.16%

-0.54%
-60.16%
Drawdown: 67.27%

Baki: USC0.01
Ekuiti: (100.00%) USC0.01
Tertinggi: (Apr 05) USC551,209.88
Keuntungan: -USC272,535.99
Faedah: USC0.00

Deposit: USC453,002.00
Pengeluaran: USC180,466.00

Dikemaskini Aug 30 at 01:11
Penjejakan 0
Loading, please wait...
Keuntungan (Perbezaan) Keuntungan (Perbezaan) Pip (Perbezaan) Menang% (Perbezaan) Perdagangan (Perbezaan) Lot (Perbezaan)
Hari ini - - - - - -
Minggu ini - - - - - -
Bulan ini - - - - - -
Tahun ini -60.16% ( - ) -USC272,535.99 ( - ) -2,744.5 ( - ) 52% ( - ) 767 ( - ) 2,940.66 ( - )
Harian
/$goalsList.size()
% progress
Tiada Matlamat Harian.
Loading...
Mingguan
/$goalsList.size()
% progress
Tiada Matlamat Mingguan.
Loading...
Bulanan
/$goalsList.size()
% progress
Tiada Matlamat Bulanan.
Loading...
Tahunan
/$goalsList.size()
% progress
Tiada Matlamat Tahunan.
Loading...
Perdagangan: 767
Keuntungan:
Pip: -2,744.5
Kemenangan Purata: 40.98 pips / USC813.78
Purata Kerugian: -52.40 pips / -USC1,636.24
Lot : 2,940.66
Komisen: -USC17,643.96
Kemenangan Panjang: (222/379) 58%
Kemenangan Pendek: (179/388) 46%
Perdagangan Terbaik (USC): (Apr 08) 33,900.00
Perdagangan Terburuk (USC): (Apr 08) -91,100.00
Perdagangan Terbaik (Pip): (Apr 08) 819.0
Perdagangan Terburuk (Pip): (Apr 05) -1,365.0
Purata Panjang Perdagangan: 20h 41m
Faktor Keuntungan: 0.54
Sisihan piawai: USC5,735.027
Ratio Sharpe -0.06
Skor-Z (Kebarangkalian): -1.75 (93.39%)
Jangkaan -3.6 Pip / -USC355.33
AHPR: -0.10%
GHPR: -0.12%
Loading, please wait...
Loading, please wait...
Data termasuk 200 transaksi terakhir berdasarkan sejarah yang dianalisis.
Data termasuk 200 transaksi terakhir berdasarkan sejarah yang dianalisis.

Sistem lain oleh thongin58

Nama Keuntungan Drawdown Pip Berdagang Leveraj Jenis
ICMARKET-12037866 105.34% 7.28% 1,586.5 - 1:500 Demo
ICMARKET-12037597 26.35% 8.85% -745.3 - 1:500 Demo
ICMARKET-12037368 15.07% 2.41% 6,459.0 - 1:500 Demo
Hedging Arbitrage 0.1 Lot 7.41% 14.45% -2,397.4 - 1:2000 Demo
Hedging Arbitrage High Lot 46.42% 58.21% -1,456.9 - 1:2000 Demo
Hedging Arbitrage EA 11.97% 12.74% -2,193.6 - 1:2000 Nyata
Hedging Arbitrage Major Pair 4.97% 3.74% 998.2 - 1:1000 Demo
Hedging Arbitrage Second Crosses 3.38% 2.25% 878.9 - 1:1000 Demo
Correlation Hedge EA 58.73% 46.53% -1,506.6 - 1:500 Nyata
New Smart Hedge 20.42% 57.80% 1,123.0 - 1:1000 Demo
CORRELATION DEMO MAJOR PAIR 6.46% 1.98% 225.9 - 1:2000 Demo
CORRELATION DEMO FIRST CROSSES 5.07% 4.88% 87.9 - 1:2000 Demo
CORRELATION DEMO SECOND CROSSES 1.14% 2.06% 77.9 - 1:2000 Demo
MIRROR DEMAND -99.90% 99.91% -10,754.7 - 1:500 Nyata
Long Term Investment -99.90% 99.97% -9,073.1 - 1:500 Nyata
Long Term Investment Ultima -99.90% 99.94% -7,517.8 - 1:2000 Nyata
Account USV