Strategy Tester Report
AlpariUK-Demo (Build 225)

SymbolUSDCAD (US Dollar vs Canadian Dollar)
Period1 Hour (H1) 2009.12.01 00:00 - 2009.12.31 18:00 (2009.12.01 - 2010.01.01)
ModelControl points (a very crude method, the results must not be considered)
ParametersExpert_Name="---------- Universal MA Cross EA v5"; StopLoss=100; TakeProfit=200; TrailingStop=40; Indicator_Setting="---------- Indicator Setting"; FastMAPeriod=10; FastMAType=1; FastMAPrice=0; SlowMAPeriod=80; SlowMAType=1; SlowMAPrice=0; MinCrossDistance=0; Exit_Setting="---------- Exit Setting"; ReverseCondition=false; ConfirmedOnEntry=true; OneEntryPerBar=true; StopAndReverse=true; PureSAR=false; ThirdEMA_Setting="---------- Third MA Setting"; UseThirdMA=false; UseCounterTrend=false; ThirdMAPeriod=100; ThirdMAType=1; ThirdMAPrice=0; CTStopLoss=0; CTTakeProfit=0; Order_Setting="---------- Order Setting"; NumberOfTries=5; Slippage=5; MaxOpenTrade=2; MagicNumber=1234; Time_Parameters="---------- EA Active Time"; UseHourTrade=false; StartHour=10; EndHour=11; MM_Parameters="---------- Money Management"; Lots=1; MM=false; AccountIsMicro=false; Risk=10; Alert_Setting="---------- Alert Setting"; EnableAlert=true; SoundFilename="alert.wav"; Testing_Parameters="---------- Back Test Parameter"; PrintControl=true; Show_Settings=true;
Bars in test1515Ticks modelled13777Modelling qualityn/a
Mismatched charts errors2
Initial deposit10000.00
Total net profit414.89Gross profit689.53Gross loss-274.64
Profit factor2.51Expected payoff41.49
Absolute drawdown21.79Maximal drawdown219.93 (2.07%)Relative drawdown2.07% (219.93)
Total trades10Short positions (won %)5 (60.00%)Long positions (won %)5 (80.00%)
Profit trades (% of total)7 (70.00%)Loss trades (% of total)3 (30.00%)
Largestprofit trade192.77loss trade-92.49
Averageprofit trade98.50loss trade-91.55
Maximumconsecutive wins (profit in money)6 (496.76)consecutive losses (loss in money)2 (-182.15)
Maximalconsecutive profit (count of wins)496.76 (6)consecutive loss (count of losses)-182.15 (2)
Averageconsecutive wins4consecutive losses2
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12009.12.03 16:00buy11.001.055661.054701.05770
22009.12.03 16:10modify11.001.055661.056321.05770
32009.12.03 16:15modify11.001.055661.057101.05770
42009.12.03 16:20t/p11.001.057701.057101.05770192.7710192.77
52009.12.04 16:00sell21.001.046731.047701.04470
62009.12.04 16:10s/l21.001.047701.047701.04470-92.4910100.28
72009.12.04 20:00buy31.001.057141.056101.05910
82009.12.04 20:15modify31.001.057141.057201.05910
92009.12.04 20:20modify31.001.057141.057581.05910
102009.12.04 20:27s/l31.001.057581.057581.0591041.6110141.89
112009.12.07 20:00sell41.001.050651.051701.04870
122009.12.07 20:07modify41.001.050651.050541.04870
132009.12.07 20:10s/l41.001.050541.050541.0487010.4610152.35
142009.12.08 15:00buy51.001.057291.056301.05930
152009.12.08 15:10modify51.001.057291.057431.05930
162009.12.08 15:15modify51.001.057291.058301.05930
172009.12.08 15:20t/p51.001.059301.058301.05930189.7010342.05
182009.12.09 23:00sell61.001.054551.055601.05260
192009.12.09 23:26modify61.001.054551.054431.05260
202009.12.09 23:30modify61.001.054551.054041.05260
212009.12.09 23:32modify61.001.054551.053911.05260
222009.12.09 23:37modify61.001.054551.053741.05260
232009.12.09 23:40s/l61.001.053741.053741.0526076.8310418.88
242009.12.11 20:00buy71.001.060691.059701.06270
252009.12.11 20:26modify71.001.060691.060861.06270
262009.12.11 20:32modify71.001.060691.061571.06270
272009.12.11 20:37modify71.001.060691.061741.06270
282009.12.11 20:40s/l71.001.061741.061741.0627098.9210517.80
292009.12.21 13:00sell81.001.060851.061901.05890
302009.12.21 13:10modify81.001.060851.060011.05890
312009.12.21 13:12s/l81.001.060011.060011.0589079.2410597.04
322009.12.30 07:00buy91.001.051051.050101.05310
332009.12.30 07:15s/l91.001.050101.050101.05310-90.5010506.54
342009.12.31 18:00sell101.001.046141.047101.04410
352009.12.31 18:15s/l101.001.047101.047101.04410-91.6510414.89