Strategy Tester Report
SmartScalperPRO_v1.5
-DemoUK (Build 1355)

SymbolUSDJPY (US Dollar vs Japanese Yen)
Period15 Minutes (M15) 2010.01.05 01:00 - 2022.05.13 03:30
ModelEvery tick (the most precise method based on all available least timeframes)
Parameters
  • MM="==== Risk Management ===="
  • RecoveryMode=false
  • FixedLots=0.1
  • AutoMM=1
  • AutoMM_Max=5
  • GS="==== General Settings ===="
  • LongTrades=true
  • ShortTrades=true
  • Magic=655565
  • EA_Comment="SSPMT4 - MyFxBots.com"
  • MaxSpread=3
  • Slippage=2
  • TicksTrade=false
  • StealthMode=false
  • EmergencyStopDist=50
  • StopLoss=140
  • TakeProfit=100
  • BandPeriod=11
  • MaxBreakEntry=22
  • BandBreakEntry=2
  • BandBreakExit=1
  • ExitProfitOnReverse=7
  • Reverse_Bar_TF=1
  • MA_Fast_Period=5
  • MA_Slow_Period=45
  • MA_Trend_TF=15
  • Trend_Impulse=21
  • ATR="==== Dynamic SL & TP ===="
  • Use_ATR_Profit=false
  • ATR_Profit_Factor=0.09
  • Use_ATR_Stop=true
  • ATR_SL_Factor=1.3
  • ATR_TF_SL=1440
  • ATR_Per_SL=1
  • NN="==== Notifications ===="
  • EMAIL_Notification=false
  • PUSH_Notification=false
  • G="===================="
  • GMT_Offset=2
  • Calculate_DST=true
  • NF="==== News Filter Settings ===="
  • Avoid_News=false
  • Include_Medium_News=true
  • Filter_NFP_FOMC_ONLY=false
  • Wait_Before_News=60
  • Wait_After_News=60
  • TM="==== Time Management Settings ===="
  • AllowedHour_ForBacktest=-1
  • MondayTrading=true
  • MondayHoursForbidden=""
  • TuesdayTrading=true
  • TuesdayHoursForbidden=""
  • WednesdayTrading=true
  • WednesdayHoursForbidden=""
  • ThursdayTrading=true
  • ThursdayHoursForbidden=""
  • FridayTrading=true
  • FridayHoursForbidden=""
  • SaturdayTrading=true
  • SundayTrading=true
  • FE="==== Friday Exit ===="
  • FridayExit=false
  • ExitHour=21
  • LastTradeHour=19
Bars in test299057Ticks modelled182124803Modelling quality99.90%
Mismatched charts errors0
Initial deposit10000.00SpreadVariable
Total net profit4141.54Gross profit19006.09Gross loss-14864.55
Profit factor1.28Expected payoff1.58
Absolute drawdown83.35Maximal drawdown459.22 (3.51%)Relative drawdown3.51% (432.38)
Total trades2623Short positions (won %)1292 (77.63%)Long positions (won %)1331 (79.71%)
Profit trades (% of total)2064 (78.69%)Loss trades (% of total)559 (21.31%)
Largestprofit trade118.37loss trade-192.44
Averageprofit trade9.21loss trade-26.59
Maximumconsecutive wins (profit in money)27 (215.26)consecutive losses (loss in money)5 (-63.69)
Maximalconsecutive profit (count of wins)259.73 (25)consecutive loss (count of losses)-207.57 (3)
Averageconsecutive wins5consecutive losses1
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance


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