Strategy Tester Report
universalMACrossEA_001
AlpariUK-Demo (Build 226)

SymbolEURUSD (Euro vs US Dollar)
Period1 Hour (H1) 2010.04.01 00:00 - 2010.04.30 00:00 (2010.04.01 - 2010.04.30)
ModelControl points (a very crude method, the results must not be considered)
ParametersExpert_Name=""----------"; MagicNumber=1234; StopLoss=100; TakeProfit=200; TrailingStop_Setting=""----------"; TrailingStopType=1; TrailingStop=40; Indicator_Setting=""----------"; FastMAPeriod=10; FastMAType=1; FastMAPrice=0; FastMAshift=0; SlowMAPeriod=80; SlowMAType=1; SlowMAPrice=0; SlowMAshift=0; CossDistance_Setting=""----------"; MinCrossDistance=0; MaxLookUp=0; Exit_Setting=""----------"; StopAndReverse=false; PureSAR=false; ExitOnCross=false; ThirdEMA_Setting=""----------"; UseThirdMA=false; UseCounterTrend=false; OnlyCounterTrend=false; ThirdMAPeriod=100; ThirdMAType=1; ThirdMAPrice=0; ThirdMAshift=0; CTStopLoss=0; CTTakeProfit=0; Pivot.Setting=""----------"; Use.Pivot.Filter=false; Order_Setting=""----------"; ReverseCondition=false; ConfirmedOnEntry=true; OneEntryPerBar=true; NumberOfTries=10; Slippage=5; OpenOrder_Setting=""----------"; MaxOpenTrade=1; MinPriceDistance=5; Time_Parameters=""----------"; UseHourTrade=false; StartHour=10; EndHour=11; MM_Parameters=""----------"; Lots=1; MM=false; AccountIsMicro=false; Risk=10; Alert_Setting=""----------"; EnableAlert=false; SoundFilename=""alert.wav""; Testing_Parameters=""----------"; PrintControl=false; Show_Settings=true;
Bars in test1501Ticks modelled13438Modelling qualityn/a
Mismatched charts errors0
Initial deposit10000.00
Total net profit-89.00Gross profit407.00Gross loss-496.00
Profit factor0.82Expected payoff-9.89
Absolute drawdown496.00Maximal drawdown501.00 (5.01%)Relative drawdown5.01% (501.00)
Total trades9Short positions (won %)5 (40.00%)Long positions (won %)4 (50.00%)
Profit trades (% of total)4 (44.44%)Loss trades (% of total)5 (55.56%)
Largestprofit trade199.00loss trade-102.00
Averageprofit trade101.75loss trade-99.20
Maximumconsecutive wins (profit in money)4 (407.00)consecutive losses (loss in money)5 (-496.00)
Maximalconsecutive profit (count of wins)407.00 (4)consecutive loss (count of losses)-496.00 (5)
Averageconsecutive wins4consecutive losses5
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12010.04.02 21:00sell11.001.348691.349701.34670
22010.04.02 22:20s/l11.001.349701.349701.34670-101.009899.00
32010.04.05 04:00buy21.001.353181.352201.35520
42010.04.05 04:16s/l21.001.352201.352201.35520-98.009801.00
52010.04.05 09:00sell31.001.346411.347401.34440
62010.04.05 09:20s/l31.001.347401.347401.34440-99.009702.00
72010.04.09 11:00buy41.001.341221.340201.34320
82010.04.09 11:15s/l41.001.340201.340201.34320-102.009600.00
92010.04.15 14:00sell51.001.354141.355101.35210
102010.04.15 14:15s/l51.001.355101.355101.35210-96.009504.00
112010.04.26 03:00buy61.001.338891.337901.34090
122010.04.26 03:02modify61.001.338891.339011.34090
132010.04.26 03:07modify61.001.338891.339151.34090
142010.04.26 03:10s/l61.001.339151.339151.3409026.009530.00
152010.04.26 11:00sell71.001.332691.333701.33070
162010.04.26 11:10modify71.001.332691.332121.33070
172010.04.26 11:15modify71.001.332691.331231.33070
182010.04.26 11:20t/p71.001.330701.331231.33070199.009729.00
192010.04.27 01:00buy81.001.340431.339401.34240
202010.04.27 01:02modify81.001.340431.340831.34240
212010.04.27 01:07modify81.001.340431.340931.34240
222010.04.27 01:10s/l81.001.340931.340931.3424050.009779.00
232010.04.27 12:00sell91.001.331951.333001.33000
242010.04.27 12:10modify91.001.331951.331881.33000
252010.04.27 12:15modify91.001.331951.331341.33000
262010.04.27 12:20modify91.001.331951.330631.33000
272010.04.27 12:27s/l91.001.330631.330631.33000132.009911.00