Past performance does not guarantee future returns. Trading is risky.
Past performance does not guarantee future returns. Trading is risky.
Summary
Return Chart
Performance
Return %
Day | +0.31 |
Week | -0.52 |
1 month | +0.30 |
3 months | -1.98 |
6 months | — |
All Time | -3.58 |
Statistics
Max Drawdown | 9.68% | |
Total Trading Days | 67 | |
Profitable Days | 26 | |
Unprofitable Days | 41 | |
Average Daily Win | +0.97% | |
Average Daily Loss | -0.72% |
Settings
Leverage | 1:200 | |
Swap Free | No | |
Profit Share | 45% | |
Minimum deposit | 100$ | |
Manager's fund | 2890$ |
Past performance does not guarantee future returns. Trading is risky.
Instruments Traded
Total Trades | |
Profitable | (%) |
Unprofitable | (%) |
Average Trade Length | |
Consecutive Wins | |
Greatest Win (Pips) | |
Average Daily Trades |
Deals with Stop Loss | (%) |
Deals with Take Profit | (%) |
Sell | (%) |
Buy | (%) |
Consecutive Losses | |
Greatest Loss (Pips) | |
Max Simultaneous Open Trades |
Trades by Hour
Trades by Day of the Week
Past performance does not guarantee future returns. Trading is risky.
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