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karampour 8271 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.

karampour
Performance History (14) SymbolsRischioДраудоун
Grafico: Crescità Pips
Created with Highcharts 5.0.6EquityGrowthDec 03Dec 05Dec 11Dec 16Dec 18Dec 22Dec 24Dec 29Dec 31Jan 05Jan 07Jan 09Jan 13Jan 15Jan 19-5%-2.5%0%2.5%5%7.5%
Descrizione:
Statistics for account 8271
Pips Totali: 7604.60
Versamenti: Prelievi: Interesse:
Драудоун: 4.32%
Quotidiano: 0.16% Mensile: 3.49%
Saldo: Equity: (99%) Current Drawdown: (1%) Attualizato: 8 years ago Печалба:
Analizza
All Time
+7.15%
Short URL for this page:

Risultati mensili

Tabella Stat sui trades chiusi
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec YTD % Rischio
La deviazione standard misura come i risultati di transazioni sono ampiamente dispersi dai risultati. La dispersione è definita come la differenza fra il valore attuale e il valore medio. Più grande è la differenza fra il risultato di transazione attuale e il risultato di media, più alta è la d
Media
Mostra la media geometrica del profitto nel periodo specifico
2014 1.04 % 1.04 % 0 1.04
2015 6 % 6.00 % 0 6
Note: si prega selezionare un mese per lanalise dettagliata All time 7.15% 2.48 3.49

Statistiche

Trades
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.
13
Profit trades
The total numbers of completed profitable trades during a specific period. Profit trades = total trades - losing trades.
11 (84.62%)
Loss trades
The total numbers of completed un-profitable trades during a specific period. Loss trades = total trades - profitable trades.
2 (15.38%)
Long trades
Total number of long (buy) trades taken during the report's period. Counted using closed positions.
9
Short trades
Total number of short (sell) trades taken during the report's period. Counted using closed positions.
4
Trade migliore
Maximum profit produced by one closed position.
Trade peggiore
Maximum loss produced by one closed position.
Guad/Perd %
Win/Loss percentage is winning trades to all trades percentage. The formula is: 100 * total win / (total win + total loss).
85%
Durata media del trade
Mostra la media di tempo impiegato in tutti i trades conclusi nel periodo specifico.
86.9h
Fattore di profitto
Mostra la quantità ottenuta rispetto la quantità persa. Per definizione, un valore più grande di 1 significa che le transazioni hanno un profitto netto positivo.
24.38
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.
(1)
Recovery factor
Calculated as net profit divided by the maximum drawdown. Measures the ability of a trading system to recover from losses.
23.4
Indice di Sharpe
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.
1.01
Correlation w/ S&P 500
Una misura da interdipendenza di due variabili casuali che varia fra valori -1 a +1, indicando una correlazione negativa perfetta a -1, lasssenza di correlazione a zero e correlazione positiva perfetta a +1.
0.37
Correlazione w/ FTSE 100
Una misura da interdipendenza di due variabili casuali che varia fra valori -1 a +1, indicando una correlazione negativa perfetta a -1, lasssenza di correlazione a zero e correlazione positiva perfetta a +1.
0.07
Indice Calmar
È il valore assoluto dellindice del rpofitto composto annuale diviso per il più grande drawdown ottenuto nel periodo. Inoltre, solitamente si referisce allindice MAR. Lindice MAR o Calmar de 1 sono molto rari nel mondo reale della negoziazione per un periodo prolungato. Alla luce di questo, possia
23.48
Average profit
Display the average amount of money for all completed profitable trades during the specific period (pips).
(719.05 pips)
Perdita media
Display the average amount of money for all completed Un-profitable trades during the specific period (pips).
(-152.45 pips)
Ricompensa prevista
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.
(631.88 pips)
Profitto Brutto
Total profit received during report's period. Calculated as a sum of outcomes of all profitable positions.
Perdita Brutta
Total loss inflicted during report's period. Calculated as a sum of outcomes of all losing positions.
Pips Totali
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.
Dimensione(lots Totali)
Mostra il numero totale di volume di trading concluso (Lot / Unid) nel periodo specifico.
Provvigioni
Displays the total commission paid during the specific period.

Popolazione del Trade

Symbol Sell Buy
GBPUSD
15.38%
15.38%
XAUUSD
7.69%
15.38%
EURUSD
7.69%
7.69%
GBPJPY
0%
15.38%
USDJPY
0%
7.69%
NZDUSD
0%
7.69%
Created with Highcharts 5.0.6GBPUSD, 30.77% GBPUSD, 30.77% XAUUSD, 23.08% XAUUSD, 23.08% EURUSD, 15.38% EURUSD, 15.38% GBPJPY, 15.38% GBPJPY, 15.38% USDJPY, 7.69% USDJPY, 7.69% NZDUSD, 7.69% NZDUSD, 7.69%

Probabilities

Probabilità di perditaRischio/Rimunerazione(%) versus Medio
Size of loss Probabilità di perdita
10% loss
0.00%
20% loss
0.00%
30% loss
0.00%
40% loss
0.00%
50% loss
0.00%
60% loss
0.00%
70% loss
0.00%
80% loss
0.00%
90% loss
0.00%
100% loss
0.00%

Profitto

Tendenza del profittoProfitto versus Durata
Created with Highcharts 5.0.6Dec 2014Jan 2015-5%0%5%10%

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.

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