Start Params defaultInstrument: EUR/USD defaultTradeAmount: 0.001 defaultSlippage: 1 defaultStopLoss: 15 defaultTakeProfit: 200 defaultPeriod: 15 Mins TR_minutes: Thu Jan 1 1970 11:00:00 AM Run Params Period: 15 Mins Interpolate by: Cubic Spline OfferSide: Ask Range: Last 6 Months Begin Date: Tue Oct 1 2013 10:00:00 AM End Date: Tue Apr 1 2014 09:59:59 AM Money: 50000 Result Account Statistics : Total Profit/Loss: -1.54 Total Profit of all Trades: 32.7 Total Loss of all Trades: -28.06 Commissions in USD: : 6.18 Turnover in Millions: 0.106 Profit Factor: 1.17 Expected Payoff: 0.31 Point Statistics : Gross Points(Pips) Won: 327.0 Gross Points(Pips) Lost: -280.6 Net Profit/Loss in Points: 46.4 Equity Statistics : Max. Equity: 50006.66 Min. Equity: 49996.27 Absolute Drawdown: 3.73(0.0%) Position Statistics : Positions Total: 106 Number of Long Positions: 83(78.0%) Number of Short Positions: 23(21.0%) Number of Profit Positions: 47(44.3%) Number of Loss Positions: 59(55.7%) Position Efficiency Statistics : Long Profit trades amount, %: 34(41.0%) Short Profit trades amount, %: 13(56.5%) Maximum Pip Profit per Position: 35.4 Average Pip Profit per Position: 7.0 Minimum Pip Profit per Position: 0.1 Maximum Pip Loss per Position: -17.4 Average Pip Loss per Position: -4.8 Minimum Pip Loss per Position: -0.1 Other Statistics : Processing Time: 16 Minutes; 19 sec;