Strategy Tester Report
nevalyashka_stopup
SymbolEURUSD (Euro vs US Dollar)
Period30 Minutes (M30) 2025.10.01 00:00 - 2026.02.19 23:30 (2025.10.01 - 2026.02.20)
ModelEvery tick (the most precise method based on all available least timeframes)
Parametersstoploss=150; takeprofit=50; Lot=0.1; KoeffMartin=1.5; Magic=0; StopAfteProfit=false;
Bars in test5757Ticks modelled7895403Modelling quality90.00%
Mismatched charts errors3
Initial deposit10000.00SpreadCurrent (13)
Total net profit-577.30Gross profit181.80Gross loss-759.10
Profit factor0.24Expected payoff-82.47
Absolute drawdown732.80Maximal drawdown830.00 (8.22%)Relative drawdown8.22% (830.00)
Total trades7Short positions (won %)4 (50.00%)Long positions (won %)3 (33.33%)
Profit trades (% of total)3 (42.86%)Loss trades (% of total)4 (57.14%)
Largestprofit trade112.50loss trade-228.30
Averageprofit trade60.60loss trade-189.78
Maximumconsecutive wins (profit in money)1 (112.50)consecutive losses (loss in money)2 (-379.60)
Maximalconsecutive profit (count of wins)112.50 (1)consecutive loss (count of losses)-379.60 (2)
Averageconsecutive wins1consecutive losses2
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12025.10.01 00:00sell10.101.173071.188201.16807
22025.10.06 10:41t/p10.101.168071.188201.1680750.0010050.00
32025.10.06 10:41buy20.101.168061.152931.17306
42025.10.31 17:14s/l20.101.152931.152931.17306-151.309898.70
52025.10.31 17:14sell30.101.152931.175761.14543
62025.12.11 17:49s/l30.101.175761.175761.14543-228.309670.40
72025.12.11 17:49buy40.101.175761.141391.18701
82026.01.26 00:39t/p40.101.187011.141391.18701112.509782.90
92026.01.26 00:39sell50.101.187011.202141.18201
102026.01.27 22:39s/l50.101.202141.202141.18201-151.309631.60
112026.01.27 22:39buy60.101.202141.179321.20964
122026.02.02 17:48s/l60.101.179321.179321.20964-228.209403.40
132026.02.02 17:48sell70.101.179321.213681.16807
142026.02.19 23:57close at stop70.101.177391.213681.1680719.309422.70