s220 (ver. 1) Executed

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This strategy trades on all instruments with maximum available amount. It opens position on random instrument in direction of current trend. It closes position when profit reaches part of the equity or time length of the position greater then day.

Cumulative Profit/Loss dynamics

Selected period: 01.01.2015 - 31.01.2015

Full Stats

Classifica (points): 249 (36)
Performance, $ (points): 11,80K$ (0)
Drawdown, % (points): 99.12% (0)
Bonuses: 36
Average Profit Trade: 12,54K$
Average Loss Trade: -34232.88$
Profit factor: 0,00K
Number of trades: 75
Traded volume: 1.383,50M$
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