Strategy Tester Report
BFScalperPRO_v1.0
Alpari-ECN-Demo (Build 1170)

 

Symbol EURCHF (Euro vs Swiss Franc)
Period 15 Minutes (M15) 1999.01.06 11:15 - 2019.01.09 10:30
Model Every tick (the most precise method based on all available least timeframes)
Parameters MM="==== Risk Management ===="; FixedLots=0.1; AutoMM=0; GS="==== General Settings ===="; Magic=656565; EA_Coment="SSPMT4"; MaxSpread=3; Slippage=2; TicksTrade=true; StealthMode=false; EmergencyStopDist=50; StopLoss=50; TakeProfit=14; BandPeriod=7; MaxBreakEntry=30; BandBreakEntry=2; BandBreakExit=1; ATR_TF_FL=60; ATR_Per_FL=6; MaxATR_FL=30; ExitProfitOnReverse=3; Reverse_Bar_TF=1; UseTrendFilter=false; MA_Fast_Period=15; MA_Slow_Period=30; MA_Trend_TF=15; Trend_Impulse=5; ATR="==== Dynamic SL & TP ===="; Use_ATR_Profit=false; ATR_Profit_Factor=0.115; Use_ATR_Stop=false; ATR_SL_Factor=0.28; ATR_TF_SL=60; ATR_Per_SL=4; TR="==== Time Restrictions ===="; TimeRestriction=true; CTHour1=0; CTHour2=23; CTHour3=55; CTHour4=55; CTHour5=55; CTHour6=55; CTHour7=55; CTHour8=55; CTHour9=55; CTHour10=55; DR="==== Daily Restrictions ===="; MondayTrading=true; TuesdayTrading=true; WednesdayTrading=true; ThursdayTrading=true; FridayTrading=true; SaturdayTrading=true; SundayTrading=true; SF="==== Wednesday Swap Filter ===="; WednesdaySwapFilter=true; MaxNegSwapPips=-0.5; RF="==== Rollover Time & Spread Filter ===="; RolloverTimeFilter=true; MinutesBefore=5; MinutesAfter=10; x_MaxSpreadFilter=true; x_MaxSpread=2; NN="==== Notifications ===="; EMAIL_Notification=false; PUSH_Notification=false; G="===== GMT Settings ===="; GMT_Offset=2; Calculate_DST=true; NF="==== News Filter Settings ===="; Avoid_News=false; Include_Medium_News=false; Filter_NFP_FOMC_ONLY=false; Wait_Before_News=30; Wait_After_News=30; FE="==== Friday Exit ===="; FridayExit=false; ExitHourFr=21; LastTradeHour=19;
 
Bars in test 494530 Ticks modelled 190560659 Modelling quality 90.00%
Mismatched charts errors 0        
 
Initial deposit 200.00     Spread 20
Total net profit 59286.91 Gross profit 63815.45 Gross loss -4528.54
Profit factor 14.09 Expected payoff 5.03    
Absolute drawdown 31.58 Maximal drawdown 137.93 (0.27%) Relative drawdown 18.69% (38.72)
 
Total trades 11791 Short positions (won %) 4801 (96.27%) Long positions (won %) 6990 (96.24%)
  Profit trades (% of total) 11349 (96.25%) Loss trades (% of total) 442 (3.75%)
Largest profit trade 35.70 loss trade -51.62
Average profit trade 5.62 loss trade -10.25
Maximum consecutive wins (profit in money) 1708 (10515.82) consecutive losses (loss in money) 4 (-78.49)
Maximal consecutive profit (count of wins) 10515.82 (1708) consecutive loss (count of losses) -102.90 (2)
Average consecutive wins 29 consecutive losses 1
BF Scalper Pro EURCHF. Risk: Fixed Lots. Period: 1999-2019 backtest results
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