Deposit
+0 EUR
Добитак/Губитак
-0 EUR
Добитак/Губитак
-0.0%
Net asset value
+0 EUR

Добитак/Губитак

Trading

Top traded symbols

Statistics

Win rate
+0.0%
Maximum drawdown
-0 EUR
Average trade length
15.60 hour
Number of trades
942
Trades per week
37.68

Performances

Best day
+4 971 EUR
Best week
+4 971 EUR
Best month
+1 253 EUR
Max profit on one trade
+881 EUR
Average profit per trade
+209 EUR
Worst day
-4 113 EUR
Worst week
-4 113 EUR
Worst month
-12 910 EUR
Max loss on one trade
-1 812 EUR
Average loss per trade
-484 EUR

Your free dashboard

Create a dashboard for your portfolio in less than 3 minutes.

Highlight your strengths and focus on improving your performance.

Last update: pre 1 dan

Live account

Floating Profit & Loss
-0.0 EUR
Отворене позиције
10
Поруџбине на чекању
1

Drawdown

Impact: High
Improvement: Hard
Your portfolio has a -19.88% drawdown. During the period you had a maximum drawdown of -20.13%
1

1

Use of stop loss

Impact: Very High
Improvement: Very easy
During the period of study, +100.00% of trades were opened with a stop loss
100

100

Risk of ruin

Impact: Very High
Improvement: Challenging
Risk of ruin is +100.00%. It's calculated from a +66.00% win rate, an average gain of +0.19% and an average loss of -0.53%
0

0

Ризик по положају

Impact: Low
Improvement: Very easy
The maximum risk per trade was -0.76% during the period of study
82

82

Global risk

Impact: High
Improvement: Easy
Maximum risk on the portfolio was -7.77% during the period of study
46

46

Risk stability

Impact: Very low
Improvement: Easy
The average risk per trade is -0.57% with a +0.07% dispersion (dispersion is calculated from the standard deviation)
75

75

Win rate

Impact: Medium
Improvement: Hard
+66.00% of the trades were profitable during the period of study
66

66

Annualized ROI

Impact: Very High
Improvement: Challenging
The annualized return on investment is -36.16%
0

0