Strategy Tester Report
Dyna Scalp No License
Alpari-Pro.ECN-Demo (Build 1335)

 

Symbol EURCHF (Euro vs Swiss Franc)
Period 15 Minutes (M15) 2015.07.06 01:00 - 2021.05.07 23:45 (2010.01.01 - 2021.06.28)
Model Every tick (the most precise method based on all available least timeframes)
Parameters dynsc="===>> >> Dyna Scalp << <<==="; initcfg="====>Trading Time And Identification<===="; Receipt="Enter Your Receipt Here"; Email="Enter Your Email Here"; DefineTradingHours=true; StartHour=23; StartMinuteOfTrade=0; StopHour=0; StopMinuteOfTrade=55; Magic=3323; DynaScalpComment="DynaScalp"; rangecfg="====>Channel Settings<===="; BBandsPeriod=12; BBandsDeviation=1.5; BBandsShift=0; ATRPeriod=20; ATRTimeFrame=0; ATRFactorToOpenNextOrder=6; slset="====>SL Settings<===="; FixStopLoss=350; tpset="====>TP Settings<===="; FixTakeProfit=100; advcgf="====>Strategy Configuration<===="; ResetOnMiddleBands=true; ResetOnOppositeBands=false; OrderQuantityLimitToOneSide=1; MaxOpenOrders=1; UseOpenOrderOnCandleOut=true; PastCandleToCheckTrigger=0; UseCloseCandleFunction=false; MaxSpread=200; UseDontTradeOnShortMoves=false; TestResetBeforeStartHour=true; SecondsForNextOrder=60; omset="====>Order Placement Advanced Settings<===="; UseMarketOrders=true; UseLimitOrders=false; UseBBandsTPMiddleTrailOnlySmaller=true; UseBBandsTPEdgeTrailOnlySmaller=false; AvoidTripleSwapOnWednesday=true; DeleteAllOrdersForTheWeekend=true; HourToStopOnFriday=21; MinuteToStopOnFriday=40; riskcfg="====>Risk Management Settings<===="; Risk=1; UseRiskBasedOnTraditionalTotalAccountBalance=false; UseFixLots=false; LotsFixed=0.01; UseMMForMarti=true; InitialPairPercentual=10; UseMaxAllowedPercentualBalance=false; MaxAllowedPercentualBalance=20; UseMinAllowedPercentualBalance=true; MinAllowedPercentualBalance=0.1; RiskMultiplier=4; UseRestartOfDynamicBalanceWeightOfPair=false;
 
Bars in test 144520 Ticks modelled 155570762 Modelling quality 99.90%
Mismatched charts errors 0        
 
Initial deposit 1000.00     Spread Variable
Total net profit 1216.18 Gross profit 5836.40 Gross loss -4620.22
Profit factor 1.26 Expected payoff 0.86    
Absolute drawdown 17.75 Maximal drawdown 637.71 (27.99%) Relative drawdown 27.99% (637.71)
 
Total trades 1418 Short positions (won %) 846 (65.84%) Long positions (won %) 572 (66.96%)
  Profit trades (% of total) 940 (66.29%) Loss trades (% of total) 478 (33.71%)
Largest profit trade 54.91 loss trade -146.40
Average profit trade 6.21 loss trade -9.67
Maximum consecutive wins (profit in money) 19 (100.42) consecutive losses (loss in money) 6 (-159.35)
Maximal consecutive profit (count of wins) 253.43 (9) consecutive loss (count of losses) -159.35 (6)
Average consecutive wins 3 consecutive losses 2
DynaScalp EURCHF
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