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)
ParametersAlertsOn=false; MultiPositions=false; ProfitToMoveSL=40; PositiveSL=10; SL_Offset=0; TP_Offset=0; Comments=true; TrendLine=true; TrendLineStyle=0; TrendLineWidth=1; UpperTrendLineColour=LimeGreen; LowerTrendLineColour=Red; ProjectionLines=true; ProjectionLinesStyle=2; ProjectionLinesWidth=1; UpperProjectionLineColour=LimeGreen; LowerProjectionLineColour=Red; HorizontLine=true; Lots=0.1; MaximumRisk=0.02; DecreaseFactor=3;
Bars in test1124Ticks modelled25909Modelling qualityn/a
Mismatched charts errors7
Initial deposit10000.00
Total net profit-25.48Gross profit1.80Gross loss-27.28
Profit factor0.07Expected payoff-12.74
Absolute drawdown25.48Maximal drawdown362.12 (3.50%)Relative drawdown3.50% (362.12)
Total trades2Short positions (won %)1 (100.00%)Long positions (won %)1 (0.00%)
Profit trades (% of total)1 (50.00%)Loss trades (% of total)1 (50.00%)
Largestprofit trade1.80loss trade-27.28
Averageprofit trade1.80loss trade-27.28
Maximumconsecutive wins (profit in money)1 (1.80)consecutive losses (loss in money)1 (-27.28)
Maximalconsecutive profit (count of wins)1.80 (1)consecutive loss (count of losses)-27.28 (1)
Averageconsecutive wins1consecutive losses1
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12009.08.03 12:00buy10.201.427921.418241.45627
22009.08.03 16:00modify10.201.427921.428021.45627
32009.08.04 12:00sell20.201.440401.446541.42235
42009.08.04 20:00modify20.201.440401.440301.42235
52009.08.04 20:00modify20.201.440401.445351.42116
62009.08.05 00:00modify20.201.440401.440301.42116
72009.08.05 01:03s/l20.201.440301.440301.421161.8010001.80
82009.08.07 12:00modify10.201.427921.426581.46461
92009.08.07 16:10s/l10.201.426581.426581.46461-27.289974.52