Quant Analyzer Report

StrategyTester_eurusd_2006

Source: MT4Report
Symbol EURUSD Period M15 : 02.01.2006 - 22.12.2006
Initial deposit 10000.0
Parameters -
Total Profit
$ 4057.04
Profit in pips
1906.9 pips
Yrly Avg profit
$ 4056.79
Yrly Avg % ret
40.57 %
CAGR
40.57 %
# of trades
646
Sharpe ratio
0.11
Profit factor
1.48
Return / DD ratio
4.36
Winning %
58.67 %
Drawdown
$ 931.56
% Drawdown
8.2 %
Daily Avg profit
$ 16.63
Mthly Avg profit
$ 338.09
Average trade
$ 32.21
Annual% / Max DD%
4.95
R Expectancy
0.2 R
R Exp score
129.32 R
SQN
3.04
SQN score
8.65

Monthly Performance ($)

Year Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec YTD
2006 164.29 96.87 -187.5 566.01 316.06 369.68 537.13 102.18 710.27 691.67 738.7 -48.32 4057.04

Stats

Strategy

Wins/Losses Ratio1.42 Payout Ratio (Avg Win/Loss)1.05 Average # of Bars in Trade0
AHPR0.05 Z-Score-6.8 Z-Probability0 %
Expectancy6.28 Deviation $ 58.5 Exposure-999999999 %
Stagnation in Days38 Stagnation in %10.73 %

Trades

# of Wins379 # of Losses267 # of Cancelled/Expired0
Gross Profit $ 12432.68 Gross Loss $ -8375.64 Average Win $ 32.8 Average Loss $ -31.37
Largest Win $ 431.02 Largest Loss $ -495.55 Max Consec Wins13 Max Consec Losses7
Avg Consec Wins3.3 Avg Consec Loss2.3 Avg # of Bars in Wins0 Avg # of Bars in Losses0

Charts

Click on the chart to see bigger image

Trades by hour

P/L by weekday

Wins/Losses by month

Trades by weekday

P/L by year

Wins/Losses Profit by hour

Trades by year

Wins/Losses by hour

Wins/Losses by weekday

P/L by hour

Wins/Losses by weekday

Wins/Losses Profit by month
Report generated by Quant Analyzer