Strategy Tester Report
AlpariUK-Demo (Build 225)

SymbolEURUSD (Euro vs US Dollar)
Period1 Hour (H1) 2009.08.03 01:00 - 2009.10.01 00:00 (2009.08.01 - 2009.10.01)
ModelControl points (a very crude method, the results must not be considered)
ParametersAccountIsMini=false; MoneyManagement=false; TradeSizePercent=5; Lots=0.1; MaxLots=100; MACD_Price=1; MA_SlowPeriod=21; MA_FastPeriod=2; MA_Shift=1; MA_Mode=2; MA_Price=5; MomentumPeriod=14; MomentumPrice=1; MomentumHigh=100; MomentumLow=100; Stoch_Mode=0; StochPrice=0; StochHigh=60; StochLow=35; SignalCandle=0; StopLoss=0; UseTrailingStop=false; TrailingStopType=2; TrailingStop=15; FirstMove=20; TrailingStop1=20; SecondMove=30; TrailingStop2=20; ThirdMove=50; TrailingStop3=20; TakeProfit=20; MarginCutoff=300; Slippage=3;
Bars in test1124Ticks modelled25909Modelling qualityn/a
Mismatched charts errors7
Initial deposit10000.00
Total net profit8.00Gross profit8.00Gross loss0.00
Profit factorExpected payoff2.00
Absolute drawdown36.50Maximal drawdown40.50 (0.40%)Relative drawdown0.40% (40.50)
Total trades4Short positions (won %)4 (100.00%)Long positions (won %)0 (0.00%)
Profit trades (% of total)4 (100.00%)Loss trades (% of total)0 (0.00%)
Largestprofit trade2.00loss trade0.00
Averageprofit trade2.00loss trade0.00
Maximumconsecutive wins (profit in money)4 (8.00)consecutive losses (loss in money)0 (0.00)
Maximalconsecutive profit (count of wins)8.00 (4)consecutive loss (count of losses)0.00 (0)
Averageconsecutive wins4consecutive losses0
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12009.08.12 20:40sell10.101.417150.000001.41695
22009.08.12 20:42t/p10.101.416950.000001.416952.0010002.00
32009.08.12 20:45sell20.101.420160.000001.41996
42009.08.12 20:47t/p20.101.419960.000001.419962.0010004.00
52009.08.12 20:47sell30.101.419160.000001.41896
62009.08.12 22:20t/p30.101.418960.000001.418962.0010006.00
72009.09.28 02:57sell40.101.465790.000001.46559
82009.09.28 02:59t/p40.101.465590.000001.465592.0010008.00