Strategy Tester Report
MicroForex
AdmiralMarkets-Demo (Build 1090)

SymbolEURCHF (Euro vs Swiss Franc)
Period1 Minute (M1) 2018.11.01 04:15 - 2018.12.10 00:55 (2018.04.01 - 1970.01.01)
ModelEvery tick (the most precise method based on all available least timeframes)
ParametersAccount="-------------------------------------------------------"; EMail="nobody@nowhere.com"; LicenceKey=""; FrequencyParameter="-------------------------------------------------------"; avgVolFactor=0.5; volTime=1440; waitingStopPendingOfferTime=1440; Minutes2ForcePause4NextOffer=30; Minutes2ForcePause4NextStopMovement=0; RiskParameter="-------------------------------------------------------"; LotFactor=1; SafetyFactor=10; MaxDrawDown=10; MaxDrawDownDyn=10; maxOpenedOrders=99; HedgingFactor=5; HedgingExtraInstances=5; SLTPFactor=25; useTP=true; MinMarginLevelPercent=200; PricingParameter="-------------------------------------------------------"; ForexOnly=false; MaxPrice=999999; maxSwap=999999; MaxSpread=999999; pips2win=0; ChartParameter="-------------------------------------------------------"; useBollinger=true; BollingerPeriods=30; BollingerFilterFaktor=1; TimingParameter="-------------------------------------------------------"; StartHour=0; StopHour=23; LongEnabled=true; ShortEnabled=true; EntryRangePercent=5; newOrdersOnFriday=true; Specials="-------------------------------------------------------"; Algo2DischargeAtOnce=true; DischargeAtOnceFactor=0.01;
Bars in test38453Ticks modelled1738775Modelling quality24.94%
Mismatched charts errors0
Initial deposit1000.00SpreadCurrent (60)
Total net profit-11.74Gross profit27.98Gross loss-39.72
Profit factor0.70Expected payoff-1.68
Absolute drawdown39.42Maximal drawdown59.57 (5.84%)Relative drawdown5.84% (59.57)
Total trades7Short positions (won %)1 (100.00%)Long positions (won %)6 (50.00%)
Profit trades (% of total)4 (57.14%)Loss trades (% of total)3 (42.86%)
Largestprofit trade9.45loss trade-26.66
Averageprofit trade7.00loss trade-13.24
Maximumconsecutive wins (profit in money)4 (27.98)consecutive losses (loss in money)3 (-39.72)
Maximalconsecutive profit (count of wins)27.98 (4)consecutive loss (count of losses)-39.72 (3)
Averageconsecutive wins4consecutive losses3
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12018.11.01 07:21buy stop10.031.142361.126861.14298
22018.11.01 09:11buy10.031.142361.126861.14298
32018.11.01 13:54t/p10.031.142981.126861.142981.621001.62
42018.11.02 13:26buy stop20.031.142611.055611.14609
52018.11.02 13:41buy20.031.142611.055611.14609
62018.11.05 21:22t/p20.031.146091.055611.146099.071010.69
72018.11.16 11:07sell stop30.031.142301.349551.13401
82018.11.16 11:23sell30.031.142301.349551.13401
92018.11.19 12:16modify30.031.142301.138780.00000
102018.11.19 12:16modify30.031.142301.138750.00000
112018.11.19 12:16modify30.031.142301.138700.00000
122018.11.19 12:16modify30.031.142301.138670.00000
132018.11.19 12:16s/l30.031.138671.138670.000009.451020.15
142018.11.19 21:01buy stop40.031.138251.025751.14275
152018.11.19 21:36buy40.031.138251.025751.14275
162018.11.21 00:30buy stop50.021.132141.019641.13664
172018.11.21 07:53buy50.021.132141.019641.13664
182018.11.23 15:33buy stop60.021.131781.019281.13628
192018.11.23 16:31buy60.021.131781.019281.13628
202018.11.27 17:06buy stop70.021.130211.017711.13471
212018.11.27 17:53delete70.021.130211.017711.13471
222018.11.27 17:53buy stop80.021.129341.016841.13384
232018.11.27 19:02delete80.021.129341.016841.13384
242018.11.27 19:02buy stop90.021.129021.016521.13352
252018.11.27 19:32delete90.021.129021.016521.13352
262018.11.27 19:32buy stop100.021.128921.016421.13342
272018.11.27 20:16delete100.021.128921.016421.13342
282018.11.27 20:16buy stop110.021.128711.016211.13321
292018.11.27 23:20buy110.021.128711.016211.13321
302018.11.29 16:29t/p110.021.133211.016211.133217.841027.98
312018.12.10 00:55close at stop60.021.128521.019281.13628-6.161021.83
322018.12.10 00:55close at stop50.021.128521.019641.13664-6.901014.93
332018.12.10 00:55close at stop40.031.128521.025751.14275-26.66988.26