График

 

Таблица

All trades                Long trades           Short trades

Net Profit %                                                  10.44 %                   6.92 %                     3.53 %

Exposure %                                                  92.68 %                   45.82 %                   46.86 %

Net Risk Adjusted Return %                       11.27 %                   15.10 %                   7.52 %


All trades                                                     30                             15 (50.00 %)           15 (50.00 %)

Avg. Profit/Loss %                                      0.35 %                     0.46 %                     0.24 %


Winners                                                       27 (90.00 %)           13 (43.33 %)           14 (46.67 %)

Avg. Profit %                                               0.39 %                     0.54 %                     0.26 %

Max. Consecutive                                       15                             7                               14

# bars in largest win                                   32                             32                             14


Losers                                                          3 (10.00 %)             2 (6.67 %)                1 (3.33 %)

Avg. Loss %                                                -0.07 %                    -0.03 %                    -0.15 %

Max. Consecutive                                       1                               1                               1

# bars in largest loss                                  7                               3                               7


Max. trade % drawdown                             -0.82 %                    -0.31 %                    -0.82 %

Max. system % drawdown                          -0.78 %                    -0.29 %                    -0.80 %

Recovery Factor                                          12.41                        22.03                        4.29

Profit Factor                                                 50.50                        115.40                     24.42

Payoff Ratio                                                  5.61                          17.75                        1.74

Risk-Reward Ratio                                      1751.10                   1655.81                   1117.49

Ulcer Index                                                    0.15                          0.06                          0.13

Sharpe Ratio of trades                                37.28                        38.19                        54.82

K-Ratio                                                          0.3121                     0.2951                     0.1992

 

This entry was posted on Понедельник, 5 марта, 2012 at 19:24 and is filed under Фондовый рынок. You can follow any responses to this entry through the RSS 2.0 feed. Both comments and pings are currently closed.

Comments are closed at this time.