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Performance History (544) SymbolsRiskDrawdown
Chart: GrowthBalance Profit vs Pips
Total Pips: -1243.80
Deposit: $1,000.00 Withdrawals: $0.00 Interest: $0.00
Drawdown: 98.63%
Daily: -3.53% Monthly: -77.65%
Balance: $11.16 Equity: (100%) $11.16 Current Drawdown: (0%) Updated: 15 years ago Profit: -$988.84
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All Time
-99.04%
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Monthly Results

Table Stats on closed trades
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec YTD % Risk
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.
Mean
Displays the Geometric average of return during the specific period.
2009 0.24 % -0.05 % -98.89 % -98.88 % 64.66 -77.65
Notes: Please select a Month for detailed analysis. All time -99.04% 64.66 -77.65

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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