Strategy Tester Report
gpfTCPivotStop
SymbolEURUSD (Euro vs US Dollar)
Period1 Hour (H1) 2025.01.02 07:00 - 2025.06.30 23:00 (2025.01.01 - 2025.07.01)
ModelEvery tick (the most precise method based on all available least timeframes)
ParametersLots=0.1; SndMl=true; isFloatLots=true; DcF=3; MaxR=0.02; TgtProfit=1; isTradeDay=false; isTrace=false;
Bars in test4067Ticks modelled13152397Modelling qualityn/a
Mismatched charts errors4139
Initial deposit10000.00SpreadCurrent (13)
Total net profit-438.80Gross profit60.70Gross loss-499.50
Profit factor0.12Expected payoff-54.85
Absolute drawdown438.80Maximal drawdown509.40 (5.06%)Relative drawdown5.06% (509.40)
Total trades8Short positions (won %)4 (25.00%)Long positions (won %)4 (50.00%)
Profit trades (% of total)3 (37.50%)Loss trades (% of total)5 (62.50%)
Largestprofit trade35.60loss trade-169.90
Averageprofit trade20.23loss trade-99.90
Maximumconsecutive wins (profit in money)2 (47.60)consecutive losses (loss in money)3 (-334.30)
Maximalconsecutive profit (count of wins)47.60 (2)consecutive loss (count of losses)-334.30 (3)
Averageconsecutive wins2consecutive losses3
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12025.02.24 01:00buy10.201.047501.043661.04928
22025.02.24 02:20t/p10.201.049281.043661.0492835.6010035.60
32025.03.03 01:00buy20.201.040381.034971.04098
42025.03.03 01:08t/p20.201.040981.034971.0409812.0010047.60
52025.03.20 01:00buy30.201.090521.085971.09453
62025.03.20 12:12s/l30.201.085971.085971.09453-91.009956.60
72025.04.01 01:00buy40.201.081961.078291.08481
82025.04.01 14:42s/l40.201.078291.078291.08481-73.409883.20
92025.04.14 01:00sell50.101.131731.148721.12012
102025.04.21 05:17s/l50.101.148721.148721.12012-169.909713.30
112025.05.12 01:00sell60.101.121111.129421.11980
122025.05.12 10:00t/p60.101.119801.129421.1198013.109726.40
132025.06.25 01:00sell70.201.160821.164211.15745
142025.06.25 20:50s/l70.201.164211.164211.15745-67.809658.60
152025.06.27 01:00sell80.201.169641.174511.16533
162025.06.27 15:55s/l80.201.174511.174511.16533-97.409561.20