Strategy Tester Report
AlpariUK-Demo (Build 225)

SymbolEURUSD (Euro vs US Dollar)
Period1 Hour (H1) 2009.12.01 00:00 - 2010.01.15 22:00 (2009.12.01 - 2010.01.17)
ModelControl points (a very crude method, the results must not be considered)
ParametersLots=0.1; MaximumRisk=0.2; DecreaseFactor=3; SL=100; TP=100; PeriodRSI=4; StohK1=10; StohD1=4; StohSlow1=4; StohK2=10; StohD2=4; StohSlow2=4; Control_period=60; MAGICMA=984184;
Bars in test1753Ticks modelled19953Modelling qualityn/a
Mismatched charts errors1
Initial deposit10000.00
Total net profit-204.00Gross profit196.00Gross loss-400.00
Profit factor0.49Expected payoff-68.00
Absolute drawdown327.40Maximal drawdown405.40 (4.02%)Relative drawdown4.02% (405.40)
Total trades3Short positions (won %)3 (33.33%)Long positions (won %)0 (0.00%)
Profit trades (% of total)1 (33.33%)Loss trades (% of total)2 (66.67%)
Largestprofit trade196.00loss trade-200.00
Averageprofit trade196.00loss trade-200.00
Maximumconsecutive wins (profit in money)1 (196.00)consecutive losses (loss in money)1 (-200.00)
Maximalconsecutive profit (count of wins)196.00 (1)consecutive loss (count of losses)-200.00 (1)
Averageconsecutive wins1consecutive losses1
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12009.12.31 10:00sell12.001.441171.442171.44017
22009.12.31 10:20s/l12.001.442171.442171.44017-200.009800.00
32009.12.31 14:00sell21.961.440821.441821.43982
42009.12.31 14:20t/p21.961.439821.441821.43982196.009996.00
52010.01.05 01:00sell32.001.442351.443351.44135
62010.01.05 01:15s/l32.001.443351.443351.44135-200.009796.00