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Strategy Tester Report
RAY_Scalper_V3
FinFX-Demo (Build 711)

SymbolEURUSD (Euro vs US Dollar)
Period15 Minutes (M15) 2007.04.01 21:00 - 2014.10.10 20:59 (2007.05.01 - 2014.10.11)
ModelEvery tick (the most precise method based on all available least timeframes)
ParametersMax_Allocation_Per_Trade=8; Fixed_LotSize=0; FinalTarget_x_H1_ATR=8; StopLoss_x_H1_ATR=4; Trail_StopLoss_x_H1_ATR=2; Trail_Trigger_x_H1_ATR=1; Advanced_User_Parameters="Read Manual Before Making Changes"; Skip_Entry_With_High_Risk=false; Exit_Strategy=false; Use_Hidden_SL_TP=false; Set_Max_Trade_Duration=false; Max_Trade_Duration_Hours=100; Use_Full_Account_Balance=true; Set_Initial_Start_Balance=0; Restrict_Trade_Entry="Period Day-of-Week and Hour"; Allow_Trades_At_All_Times=true; Activate_On_DayOfWeek=0; Activate_At_HourOfDay=0; DeActivate_On_DayOfWeek=0; DeActivate_At_HourOfDay=0; Prevent_Trades_Over_WeekEnd="Close Any Open Trade At Day-of-Week and Hour"; Force_Close_Trade=false; Force_Close_On_DayOfWeek=0; Force_Close_At_HourOfDay=0; MagicNumber=11995533; EA_COMMENT_PREFIX="Ray Scalper "; Use_Free_Margin_Only=false; Allow_Slippage=5; RefPrice=1.7; MaxRetry=10;
Bars in test188322Ticks modelled76695831Modelling quality99.90%
Mismatched charts errors0
Initial deposit10000.00SpreadCurrent (20)
Total net profit118769.71Gross profit649739.27Gross loss-530969.56
Profit factor1.22Expected payoff97.91
Absolute drawdown2756.18Maximal drawdown26370.14 (19.36%)Relative drawdown42.86% (5434.53)
Total trades1213Short positions (won %)628 (66.40%)Long positions (won %)585 (69.06%)
Profit trades (% of total)821 (67.68%)Loss trades (% of total)392 (32.32%)
Largestprofit trade5151.60loss trade-3871.00
Averageprofit trade791.40loss trade-1354.51
Maximumconsecutive wins (profit in money)14 (6523.61)consecutive losses (loss in money)5 (-10972.45)
Maximalconsecutive profit (count of wins)12082.06 (10)consecutive loss (count of losses)-10972.45 (5)
Averageconsecutive wins3consecutive losses1
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