Tuesday, December 9, 2008

Performance 1- 7 Dec'08


Summary:
Deposit/Withdrawal: 0.00 Credit Facility: 0.00
Closed Trade P/L: 195.20 Floating P/L: 0.00 Margin: 0.00
Balance: 369.94 Equity: 369.94 Free Margin: 369.94
Gross Profit: 209.63 Gross Loss: 14.43 Total Net Profit: 195.20
Profit Factor: 14.53 Expected Payoff: 2.75
Absolute Drawdown: 0.00 Maximal Drawdown: 11.45 (4.04%) Relative Drawdown: 4.04% (11.45)

Total Trades: 71 Short Positions (won %): 56 (91.07%) Long Positions (won %): 15 (86.67%)
Profit Trades (% of total): 64 (90.14%) Loss trades (% of total): 7 (9.86%)
Largest profit trade: 32.20 loss trade: -6.50
Average profit trade: 3.28 loss trade: -2.06
Maximum consecutive wins ($): 40 (72.29) consecutive losses ($): 4 (-11.45)
Maximal consecutive profit (count): 77.04 (18) consecutive loss (count): -11.45 (4)
Average consecutive wins: 16 consecutive losses: 2

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