Strategy Tester Report
AlpariUK-Demo (Build 225)

SymbolUSDJPY (US Dollar vs Japanese Yen)
Period1 Hour (H1) 2009.11.03 02:00 - 2009.11.30 00:00 (2009.11.01 - 2009.11.30)
ModelControl points (a very crude method, the results must not be considered)
ParametersINFO="Stoch Power EA V5.0H Build 005"; OWN="Copyright © 2008, David E. Fulton"; sq="--STOCH SETTING--"; K_Period=56; D_Period=12; Slow_Period=3; Stoch_TF=15; shift=1; H_level=97; L_level=3; ChooseeMAMode="Choose 1=mode SMA, 2=mode LWMA, 3=mode EMA"; stochMAmode=2; ExitWithSTOCH=false; sb="--TRADE SETTING--"; Lots=0.1; TakeProfit=32; MyMoneyProfitTarget=false; My_Money_Profit_Target=50; multiply=2; MaxTrades=5; Pips=22; StopLoss=0; TrailingStop=0; MM="--MOney Management--"; MMSwicth="if one the lots size will increase based on account size"; mm=0; riskset="risk to calculate the lots size (only if mm is enabled)"; risk=1; accounttypes="0 if Normal Lots, 1 for mini lots, 2 for micro lots"; AccountType=2; magicnumber="--MAgic No--"; MagicNumber=222777; so="--CUTLOSS SETTING--"; SecureProfitProtection=false; SP="If profit made is bigger than SecureProfit we close the orders"; SecureProfit=20; OTP="Number of orders to enable the account protection"; OrderstoProtect=3; ASP="if one will check profit from all symbols, if cero only this symbol"; AllSymbolsProtect=false; EP="if true, then the expert will protect the account equity to the percent specified"; EquityProtection=false; AEP="percent of the account to protect on a set of trades"; AccountEquityPercentProtection=90; AMP="if true, then the expert will use money protection to the USD specified"; AccountMoneyProtection=false; AccountMoneyProtectionValue=3000; TradingTime="--trading time setting--"; UseTradingHours=false; TradeAsianMarket=false; StartHour1=0; StopHour1=3; TradeEuropeanMarket=false; StartHour2=9; StopHour2=11; TradeNewYorkMarket=false; StartHour3=15; StopHour3=17; TradeOnFriday=true; OtherSetting="--Others Setting--"; reverse="if one the desition to go long/short will be reversed"; ReverseCondition=false; limitorder="if true, instead open market orders it will open limit orders "; SetLimitOrders=false;
Bars in test551Ticks modelled11401Modelling qualityn/a
Mismatched charts errors4
Initial deposit10000.00
Total net profit2.31Gross profit29.60Gross loss-27.29
Profit factor1.08Expected payoff0.58
Absolute drawdown84.83Maximal drawdown84.83 (0.85%)Relative drawdown0.85% (84.83)
Total trades4Short positions (won %)0 (0.00%)Long positions (won %)4 (25.00%)
Profit trades (% of total)1 (25.00%)Loss trades (% of total)3 (75.00%)
Largestprofit trade29.60loss trade-10.87
Averageprofit trade29.60loss trade-9.10
Maximumconsecutive wins (profit in money)1 (29.60)consecutive losses (loss in money)3 (-27.29)
Maximalconsecutive profit (count of wins)29.60 (1)consecutive loss (count of losses)-27.29 (3)
Averageconsecutive wins1consecutive losses3
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12009.11.27 22:00buy10.1086.5830.00086.615
22009.11.27 22:10buy20.2086.5380.00086.570
32009.11.27 22:15buy30.4086.4930.00086.525
42009.11.27 22:20buy40.8086.4340.00086.466
52009.11.27 22:27t/p40.8086.4660.00086.46629.6010029.60
62009.11.27 22:27close30.4086.4730.00086.525-9.2510020.35
72009.11.27 22:27close20.2086.4910.00086.570-10.8710009.48
82009.11.27 22:30close10.1086.5210.00086.615-7.1710002.31