Strategy Tester Report
ComFracti
SymbolEURUSD (Euro vs US Dollar)
Period30 Minutes (M30) 2025.07.01 00:00 - 2025.09.18 23:30 (2025.07.01 - 2025.09.19)
ModelEvery tick (the most precise method based on all available least timeframes)
Parameterstp1=700; sl1=2500; Expimin=5555; lots=0.1; Risk=0.05; multilot=1; closeby=false; mn=88; sh2=3; sh3=3; sh4=3; sh5=3; levelb=3; levels=3;
Bars in test3785Ticks modelled5161521Modelling qualityn/a
Mismatched charts errors1990
Initial deposit10000.00SpreadCurrent (14)
Total net profit266.10Gross profit343.00Gross loss-76.90
Profit factor4.46Expected payoff44.35
Absolute drawdown71.00Maximal drawdown255.70 (2.46%)Relative drawdown2.46% (255.70)
Total trades6Short positions (won %)3 (66.67%)Long positions (won %)3 (100.00%)
Profit trades (% of total)5 (83.33%)Loss trades (% of total)1 (16.67%)
Largestprofit trade68.60loss trade-76.90
Averageprofit trade68.60loss trade-76.90
Maximumconsecutive wins (profit in money)5 (343.00)consecutive losses (loss in money)1 (-76.90)
Maximalconsecutive profit (count of wins)343.00 (5)consecutive loss (count of losses)-76.90 (1)
Averageconsecutive wins5consecutive losses1
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12025.07.01 07:30sell10.101.179011.204151.17215
22025.07.03 15:32t/p10.101.172151.204151.1721568.6010068.60
32025.07.11 10:30buy20.101.169551.144411.17641
42025.07.23 20:16t/p20.101.176411.144411.1764168.6010137.20
52025.07.30 12:30buy30.101.155211.130071.16207
62025.08.06 15:44t/p30.101.162071.130071.1620768.6010205.80
72025.08.07 04:30sell40.101.164961.190101.15810
82025.08.27 11:48t/p40.101.158101.190101.1581068.6010274.40
92025.08.28 19:30buy50.101.168311.143171.17517
102025.09.05 17:00t/p50.101.175171.143171.1751768.6010343.00
112025.09.08 07:00sell60.101.170891.196031.16403
122025.09.18 23:57close at stop60.101.178581.196031.16403-76.9010266.10