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1st OneTrade account Verified demo account

The performances on FxStat are verified automatically without any human interference. The verification is made possible by means of an Expert Advisor (FxStat Bridge) that runs on the user's MT4.

When a user decides to share their performance, the data is transferred from the user's MT4 terminal to the performance page on FxStat, and this data is processed in different ways into the charts and numbers that you can see on the Statistics page.

Each broker has two types of servers, Real and Demo. When the terminal is connected to the broker's server, FxStat bridge (Expert Advisor) can identify whether the account is demo or real.

Please note: FxStat.com works as a platform where traders in the community can share their performances, follow each other's trades, compare and discuss performances and strategies as well as other topics. We are not associated with any community members or performances, so if you have any question on any performance, you should ask its owner directly, or seek the advise of the other community members. We do not guarantee that past results will be indicative of future results, and returns may vary due to the markets conditions. It is your own responsibility to perform further due diligence that may include and not limited to requesting more information such as Broker name, leverage, account size, trading style and any other information suite your requirement from the performance owner directly.

DDTrader
عملکرد History Symbolsریسکافت
نمودار: بازده پیپ
Created with Highcharts 5.0.6EquityGrowthOct 23-0.23%
شرح:
Statistics for account 4915
کل پیپ: -19.10
سپرده: برداشت: بهره:
افت: 11.34%
روزانه: -0.01% ماهانه: -0.23%
بالانس: سرمایه: (169%) Current Drawdown: (0%) بروز رسانی: 7 years ago سود:
تحلیل
All Time
-0.23%
Short URL for this page:

نتایج ماهانه

جدول آمار معاملات بسته شده
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec YTD % ریسک
Standard deviation measures how widely the trades results are dispersed from the average results. The dispersion is defined as the difference between the actual value and the average value.The larger the difference between the actual trade result and the average result, the higher the standard deviation and volatility of the Equity Curve will be. The closer the results are to the average, the lower the standard deviation or volatility of the Equity Curve.
میانگین
Displays the Geometric average of return during the specific period.
2013 -0.23 % -0.23 % 0 -0.23
توجه : لطفا انتخاب ماه برای تجزیه و تحلیل دقیق All time -0.23% 0 -0.23

آمار

معاملات
The total numbers of completed trades during a specific period. A report should have a minimum number of trades, (30 to 50) in order to evaluate the significance of the performance result. Total number of trades = number of winning trades + number of losing trades.
25
Profit trades
The total numbers of completed profitable trades during a specific period. Profit trades = total trades - losing trades.
6 (24%)
Loss trades
The total numbers of completed un-profitable trades during a specific period. Loss trades = total trades - profitable trades.
19 (76%)
Long trades
Total number of long (buy) trades taken during the report's period. Counted using closed positions.
10
Short trades
Total number of short (sell) trades taken during the report's period. Counted using closed positions.
15
طولانی ترین
Maximum profit produced by one closed position.
طولانی ترین
Maximum loss produced by one closed position.
برنده/بازنده %
Win/Loss percentage is winning trades to all trades percentage. The formula is: 100 * total win / (total win + total loss).
24%
میانگین زمان معاملات
نشان دهنده میانکین زمان تریداستفاده شده در تمام معاملات در یک دوره زمانی معین
0.01h
عامل سود
نشان دهنده میزان سود در ارتباط با میزان ضرر. حاصل جواب بالای عدد 1 نشان دهنده سود خالص مثبت میباشد
0.12
Max consecutive profit
Maximum amount of money earned in a consecutive sequence of closed positions.
(4)
Max consecutive loss
Maximum amount of money lost in a consecutive sequence of closed positions.
(10)
Recovery factor
Calculated as net profit divided by the maximum drawdown. Measures the ability of a trading system to recover from losses.
-0.99
نسبت شارپ
Average monthly return (%) minus the Risk-Free Return (1%) divided by the standard deviation of monthly return. The higher the number, the greater the return in relation to the risk. You can simply recalculate the Sharpe Ratio by multiplying our Sharpe Ratio result to your country's Risk-Free Return.
N/A
Correlation w/ S&P 500
A measure of the interdependence of two random variables that ranges in value from -1 to +1, indicating perfect negative correlation at -1, absence of correlation at zero, and perfect positive correlation at +1.
0
ارتباط با/ FTSE 100
A measure of the interdependence of two random variables that ranges in value from -1 to +1, indicating perfect negative correlation at -1, absence of correlation at zero, and perfect positive correlation at +1.
0
Calmar نسبت
It is the absolute value of the ratio of the annual compounded return divided by the largest drawdown incurred to date. It is also quite commonly referred to the MAR ratio. Calmar or MAR ratio's of 1 are very rare in real world trading for an extended period of time. From this we can infer that if we are striving for a compounded annual return of 20% than we can expect our largest drawdown to be at least -20%.
-0.99
Average profit
Display the average amount of money for all completed profitable trades during the specific period (pips).
(0.47 pips)
میانگین بازنده
Display the average amount of money for all completed Un-profitable trades during the specific period (pips).
(-1.15 pips)
انتظار پرداخت
This ratio shows the expected gain (or loss) for each trade in absolute value (pips). This statistic is considered the expected profitability/unprofitability of the next trade.
(0.99 pips)
سود ناخالص
Total profit received during report's period. Calculated as a sum of outcomes of all profitable positions.
سود ناخالص
Total loss inflicted during report's period. Calculated as a sum of outcomes of all losing positions.
کل پیپ
Net profit or loss expressed in pips. Value of a pip varies per trading instrument. It's a useful metric to consider a system without its money management part.
لات کل
نشان دهنده حجم (لات کل) کل معاملات انجام شده در یک دوره زمانی معین
کمیسیون
Displays the total commission paid during the specific period.

پراکندگی نمادها

Symbol Sell Buy
USDJPY
16%
20%
GBPUSD
28%
8%
EURUSD
16%
12%
Created with Highcharts 5.0.6USDJPY, 36.00% USDJPY, 36.00% GBPUSD, 36.00% GBPUSD, 36.00% EURUSD, 28.00% EURUSD, 28.00%

Probabilities

احتمال ضررریسک/بازده
Size of loss احتمال ضرر
10% loss
100%
20% loss
100%
30% loss
100%
40% loss
100%
50% loss
100%
60% loss
100%
70% loss
100%
80% loss
100%
90% loss
100%
100% loss
100%

بازدهی

روند بازدهیسود / مدت زمان
Created with Highcharts 5.0.6Oct 2013-0.23%

Past results are not necessarily indicative of future results, as returns may vary according to market conditions. Hypothetical performance results have many inherent limitations. No representation is being made that any account will or is likely to achieve profits or losses similar to those shown. In fact, there are frequently sharp differences between hypothetical performance results and the actual results subsequently achieved by any particularly trading program.

Any opinions, news, research, analyses, prices, or other information contained on this website is provided as general market commentary and does not constitute investment advice. The broker/dealer and the referring broker will not accept liability for any loss or damage, including without limitation to, any loss of profit, which may arise directly or indirectly from use of or reliance on such information.

Any information, recommendation or promotion whether by email, newspaper or flyer, and not limited to any communication method that directly or indirectly links to any area of FxStat website must state that the promoter is not affiliated with FxStat and that any claims made are not endorsed by FxStat in any way.

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