Strategy Tester Report
Lock&&PipsingXR_V2_77_Engl_Serv_2009
AlpariUK-Demo (Build 226)

SymbolUSDCAD (US Dollar vs Canadian Dollar)
Period1 Hour (H1) 2009.01.05 17:00 - 2009.12.31 18:00 (2009.01.01 - 2010.01.01)
ModelControl points (a very crude method, the results must not be considered)
Parametersa="KEY PARAMETERS OF THE ADVISER"; TimeFrame=15; per=7; por=20; CG=83; FullAuto=true; ha="the percentage of risk as% of deposit amount"; Risk=3; x="Permission to use the dynamic changes in the lot"; Martin=false; gb="dynamic change lot factor. if <1 it increases lot , if > 1 it is lot decreases "; MartinKoff=1; k="Trailing step on equity as% of the deposit"; EqwTralStep=0.03; í="minimum break between the opening of orders in minutes"; MinTradePause=15; m="Permission to restrict trade in time"; TradeTime=true; n="Hour start of trading"; StartTrade=20; o="Hour late trade"; EndTrade=8; p="Permission to display information in the main window"; ShowComment=true; r="switch alarm systems and security"; MargineVarning=false; ss="switch emergency return"; EmergencyReturn=false; rr="the percentage of the deposit for the emergency return"; EmergencyPersent=100; s="permission for drawing graphic elements"; SetArrow=false; t="Key closing level position without loss"; WithoutLoss=false;
Bars in test6211Ticks modelled152607Modelling qualityn/a
Mismatched charts errors70
Initial deposit10000.00
Total net profit-2728.82Gross profit83.21Gross loss-2812.03
Profit factor0.03Expected payoff-341.10
Absolute drawdown4550.72Maximal drawdown4550.72 (45.51%)Relative drawdown45.51% (4550.72)
Total trades8Short positions (won %)0 (0.00%)Long positions (won %)8 (12.50%)
Profit trades (% of total)1 (12.50%)Loss trades (% of total)7 (87.50%)
Largestprofit trade83.21loss trade-746.44
Averageprofit trade83.21loss trade-401.72
Maximumconsecutive wins (profit in money)1 (83.21)consecutive losses (loss in money)6 (-2601.60)
Maximalconsecutive profit (count of wins)83.21 (1)consecutive loss (count of losses)-2601.60 (6)
Averageconsecutive wins1consecutive losses4
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12009.12.18 01:00buy10.301.072430.000000.00000
22009.12.18 01:00buy20.301.072430.000000.00000
32009.12.21 11:30buy30.301.065450.000000.00000
42009.12.22 23:30buy40.301.059650.000000.00000
52009.12.24 03:45buy50.301.050320.000000.00000
62009.12.28 06:00buy60.301.048900.000000.00000
72009.12.29 10:30buy70.301.043530.000000.00000
82009.12.31 03:45buy80.301.053790.000000.00000
92009.12.31 18:57close at stop80.301.046450.000000.00000-210.439789.57
102009.12.31 18:57close at stop70.301.046450.000000.0000083.219872.78
112009.12.31 18:57close at stop60.301.046450.000000.00000-70.879801.91
122009.12.31 18:57close at stop50.301.046450.000000.00000-111.839690.07
132009.12.31 18:57close at stop40.301.046450.000000.00000-379.819310.27
142009.12.31 18:57close at stop30.301.046450.000000.00000-546.218764.06
152009.12.31 18:57close at stop20.301.046450.000000.00000-746.448017.62
162009.12.31 18:57close at stop10.301.046450.000000.00000-746.447271.18