Strategy Tester Report
ForexDiamond_v6.5
Alpari-Demo (Build 1441)

SymbolEURUSD (Euro vs US Dollar)
Period15 Minutes (M15) 1999.01.13 18:17 - 2025.06.17 13:48
ModelEvery tick (the most precise method based on all available least timeframes)
ParametersGS="======== General Settings ========="; LongTrades=true; ShortTrades=true; AutoGMT_Offset=true; ManualGMT_Offset=2; DST_Usage=1; EA_Comment="FD"; MaxSpread=2.5; Slippage=0.5; StealthMode=false; NFA=false; No_Hedge=false; Max_Orders_Total=5; SS1="====== Signal 1 Settings ======="; Signal_1=true; Magic_1=10101; RecoveryMode_1=false; FixedLots_1=0.1; AutoMM_1=0; AutoMM_Max_1=10; Max_Orders_1=3; Trade_Interval_1=0; SS2="====== Signal 2 Settings ======="; Signal_2=true; Magic_2=20202; RecoveryMode_2=false; FixedLots_2=0.1; AutoMM_2=0; AutoMM_Max_2=10; Max_Orders_2=3; Trade_Interval_2=0; SS3="====== Signal 3 Settings ======="; Signal_3=true; Magic_3=30303; RecoveryMode_3=false; FixedLots_3=0.1; AutoMM_3=0; AutoMM_Max_3=10; Max_Orders_3=3; Trade_Interval_3=0; ES="====== Expert Settings ======="; ExecuteOnEveryTick=false; CloseOnlyOnProfit=false; TakeProfit=0; Min_StopLoss=0; Max_StopLoss=0; ReverseProfit=0; ExtraPipsSignal_1=0; ExtraPipsSignal_2=0; ExtraPipsSignal_3=0; Use_Trend_Filter=false; Trend_Period=105; Trend_Strenght=0; MFR="==== Monday-Friday Settings ===="; MondayStartHour=0; FridayExit=false; LastTradeHour=19; ExitHour=20; NF="==== News Filter Settings ===="; Avoid_News=false; Include_Medium_News=false; Wait_Before_News=240; Wait_After_News=240; PS="==== Protection Settings ===="; MaxOpenLots=0; DP="--- Daily Protections ---"; MaxDailyLoss=0; MaxDailyDD=0; DailyResetHour=0; AP="--- Account Protections ---"; MinEquity=0; MaxEquityDD=0; MaxEquity=0; RAN="==== Randomization Settings ===="; RandomizeExit=false; StopLossRange=5; TakeProfitRange=5; RandomizeEntry=false; OpenTimeMaxDelay=60; OpenPriceMinDeviation=5; OpenPriceMaxDeviation=10;
Bars in test9423570Ticks modelled18511279Modelling quality90.00%
Mismatched charts errors0
Initial deposit2500.00Spread10
Total net profit56235.70Gross profit238465.10Gross loss-182229.40
Profit factor1.31Expected payoff2.30
Absolute drawdown55.00Maximal drawdown2107.40 (6.49%)Relative drawdown20.08% (667.00)
Total trades24434Short positions (won %)12070 (77.36%)Long positions (won %)12364 (77.85%)
Profit trades (% of total)18962 (77.60%)Loss trades (% of total)5472 (22.40%)
Largestprofit trade80.00loss trade-170.00
Averageprofit trade12.58loss trade-33.30
Maximumconsecutive wins (profit in money)49 (439.00)consecutive losses (loss in money)10 (-778.90)
Maximalconsecutive profit (count of wins)815.60 (47)consecutive loss (count of losses)-850.00 (5)
Averageconsecutive wins6consecutive losses2
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance


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