Strategy Tester Report
AlpariUK-Demo (Build 225)

SymbolEURUSD (Euro vs US Dollar)
Period1 Hour (H1) 2009.12.01 00:00 - 2010.01.15 22:00 (2009.12.01 - 2010.01.17)
ModelControl points (a very crude method, the results must not be considered)
Parameterscomment2=""***"; Lots=0.1; Stop_Loss=0; Take_Profit=0; Slippage=5; Order_Comment=""Simple"; Magic=112607; Order_Arrow_Color=Black; comment3=""***"; Long_MA_Period=200; Long_MA_Method=0; Long_MA_Applied_Price=4; Short_MA_Period=50; Short_MA_Method=0; Short_MA_Applied_Price=4;
Bars in test1753Ticks modelled19953Modelling qualityn/a
Mismatched charts errors1
Initial deposit10000.00
Total net profit147.08Gross profit529.92Gross loss-382.84
Profit factor1.38Expected payoff36.77
Absolute drawdown16.70Maximal drawdown571.22 (5.35%)Relative drawdown5.35% (571.22)
Total trades4Short positions (won %)2 (50.00%)Long positions (won %)2 (0.00%)
Profit trades (% of total)1 (25.00%)Loss trades (% of total)3 (75.00%)
Largestprofit trade529.92loss trade-204.98
Averageprofit trade529.92loss trade-127.61
Maximumconsecutive wins (profit in money)1 (529.92)consecutive losses (loss in money)3 (-382.84)
Maximalconsecutive profit (count of wins)529.92 (1)consecutive loss (count of losses)-382.84 (3)
Averageconsecutive wins1consecutive losses3
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12009.12.07 04:00sell10.101.488840.000000.00000
22009.12.29 05:00close10.101.435760.000000.00000529.9210529.92
32009.12.29 05:00buy20.101.435760.000000.00000
42010.01.07 17:00close20.101.432620.000000.00000-31.1810498.74
52010.01.07 17:00sell30.101.432620.000000.00000
62010.01.11 13:00close30.101.453110.000000.00000-204.9810293.76
72010.01.11 13:00buy40.101.453110.000000.00000
82010.01.15 22:57close at stop40.101.438430.000000.00000-146.6810147.08