Strategy Tester Report
MA v.3.0. #150 only for EURUSD M1
SymbolGBPUSD (Great Britain Pound vs US Dollar)
Period1 Hour (H1) 2024.10.03 00:00 - 2025.01.07 23:00 (2024.10.01 - 2025.01.08)
ModelEvery tick (the most precise method based on all available least timeframes)
ParametersLots=0.1; LotMax=1000; MaximumRisk=0.105; DecreaseFactor=3; MovingPeriod=13; MovingShift=15; MODE_Op_Buy=1; MODE_Cl_Buy=1; MODE_Op_Sell=2; MODE_Cl_Sell=0; PriceConstantMAofOp_Buy=0; PriceConstantMAofCl_Buy=0; PriceConstantMAofOp_Sell=0; PriceConstantMAofCl_Sell=4; Buy=1; Sell=1; MinAccountBalance=1; VolumeLot=100000; ConsiderPricelosingOrder=1; ToOpenOrdersWithEqualLots=1;
Bars in test1692Ticks modelled8301104Modelling quality48.56%
Mismatched charts errors0
Initial deposit10000.00SpreadCurrent (18)
Total net profit-8540.40Gross profit12.10Gross loss-8552.50
Profit factor0.00Expected payoff-2846.80
Absolute drawdown8572.30Maximal drawdown8840.70 (86.10%)Relative drawdown86.10% (8840.70)
Total trades3Short positions (won %)2 (50.00%)Long positions (won %)1 (0.00%)
Profit trades (% of total)1 (33.33%)Loss trades (% of total)2 (66.67%)
Largestprofit trade12.10loss trade-7412.90
Averageprofit trade12.10loss trade-4276.25
Maximumconsecutive wins (profit in money)1 (12.10)consecutive losses (loss in money)2 (-8552.50)
Maximalconsecutive profit (count of wins)12.10 (1)consecutive loss (count of losses)-8552.50 (2)
Averageconsecutive wins1consecutive losses2
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12024.10.04 10:00buy11.101.315000.000000.00000
22024.10.04 16:00sell21.101.307850.000000.00000
32024.10.10 16:00close21.101.307740.000000.0000012.1010012.10
42025.01.02 18:00sell31.101.237430.000000.00000
52025.01.07 23:59close at stop31.101.247790.000000.00000-1139.608872.50
62025.01.07 23:59close at stop11.101.247610.000000.00000-7412.901459.60