Strategy Tester Report
gaps
AlpariUK-Demo (Build 226)
Symbol | EURUSD (Euro vs US Dollar) | ||||
Period | 1 Hour (H1) 2010.04.01 00:00 - 2010.04.30 00:00 (2010.04.01 - 2010.04.30) | ||||
Model | Control points (a very crude method, the results must not be considered) | ||||
Parameters | min_gapsize=1; lotsize_gap=0.1; | ||||
Bars in test | 1501 | Ticks modelled | 13438 | Modelling quality | n/a |
Mismatched charts errors | 0 | ||||
Initial deposit | 10000.00 | ||||
Total net profit | 155.92 | Gross profit | 155.92 | Gross loss | 0.00 |
Profit factor | Expected payoff | 38.98 | |||
Absolute drawdown | 65.30 | Maximal drawdown | 133.68 (1.33%) | Relative drawdown | 1.33% (133.68) |
Total trades | 4 | Short positions (won %) | 1 (100.00%) | Long positions (won %) | 3 (100.00%) |
Profit trades (% of total) | 4 (100.00%) | Loss trades (% of total) | 0 (0.00%) | ||
Largest | profit trade | 125.12 | loss trade | 0.00 | |
Average | profit trade | 38.98 | loss trade | 0.00 | |
Maximum | consecutive wins (profit in money) | 4 (155.92) | consecutive losses (loss in money) | 0 (0.00) | |
Maximal | consecutive profit (count of wins) | 155.92 (4) | consecutive loss (count of losses) | 0.00 (0) | |
Average | consecutive wins | 4 | consecutive losses | 0 |
# | Time | Type | Order | Size | Price | S / L | T / P | Profit | Balance |
1 | 2010.04.05 00:00 | buy | 1 | 0.10 | 1.34938 | 0.00000 | 1.34962 | ||
2 | 2010.04.05 00:15 | t/p | 1 | 0.10 | 1.34962 | 0.00000 | 1.34962 | 2.40 | 10002.40 |
3 | 2010.04.12 00:00 | sell | 2 | 0.10 | 1.36259 | 0.00000 | 1.35003 | ||
4 | 2010.04.16 15:20 | t/p | 2 | 0.10 | 1.35003 | 0.00000 | 1.35003 | 125.12 | 10127.52 |
5 | 2010.04.19 00:00 | buy | 3 | 0.10 | 1.34774 | 0.00000 | 1.34881 | ||
6 | 2010.04.19 00:15 | t/p | 3 | 0.10 | 1.34881 | 0.00000 | 1.34881 | 10.70 | 10138.22 |
7 | 2010.04.26 00:00 | buy | 4 | 0.10 | 1.33474 | 0.00000 | 1.33651 | ||
8 | 2010.04.26 01:10 | t/p | 4 | 0.10 | 1.33651 | 0.00000 | 1.33651 | 17.70 | 10155.92 |