From 27 August - 31 December 2007 | Account Parameters | | | Starting Equity: | $10,000.00 | | Minimum Margin Requirement: | 1.00% | | | | | Performance | | | Total Net Profit: | $2,050.25 | | Gross Profit: | $5,670.75 | | Gross Loss: | ($3,620.50) | | Profit Factor: | 1.566 | | Highest Closed Trade Equity: | $12,892.00 | | Lowest Closed Trade Equity: | $9,467.50 | | Return on Starting Equity: | 20.50% | | Average Annual Compounded Return: | 79.90% | | Average Monthly Compounded Return: | 5.015% | | Average Weekly Compounded Return: | 1.132% | | Average Daily Compounded Return: | 0.161% | | | | | Total Number of Trades: | 52 | | Number of Winning Trades: | 24 | | Number of Losing Trades: | 28 | | Percent Profitable: | 46.15% | | | | | Largest Winning Trade (%): | 10.41% | | Average Winning Trade (%): | 2.203% | | Largest Losing Trade (%): | -11.55% | | Average Losing Trade (%): | -1.121% | | | | | Average Trade (%): | 0.413% | | Trade Standard Deviation: | 3.335% | | | | | Win/Loss Ratio: | 1.827 | | Return/Drawdown Ratio: | 1.692 | | | | | Drawdown | | | Number of Drawdowns: | 5 | | Average Drawdown (%): | 4.979% | | Worst Case Drawdown (%): | 12.12% | | | | | | | |
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*Profit/loss input data include slippage/commissions/fees. Entry and exit prices include slippage.
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