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Strategy Tester Report
WallStreet_RecoveryPro_v1.7
Alpari-ECN-Demo (Build 1441)

SymbolEURUSD (Euro vs US Dollar)
Period15 Minutes (M15) 2000.01.03 00:01 - 2025.10.17 23:54 (2000.01.01 - 2025.10.20)
ModelEvery tick (the most precise method based on all available least timeframes)
ParametersWinLargeFonts=false; Magic=456321; EA_Comment=""; MaxSpread=3; MaxSpreadExit=0; Slippage=2; StealthMode=false; EmergencyStopDist=200; NFA=false; No_Hedge=false; LongTrades=true; ShortTrades=true; CS="==== Custom Settings ===="; PendingOrderDist=0; StopLimitExpire=15; StopLoss=1200; TakeProfit=0; SecureProfit=0; SecureProfitTriger=0; RS="==== Recovery Settings ===="; RecoveryAfter=0; MaxRecoveryTrades=0; RecoveryTradeLots=0; RecoveryMMC=0; RecoveryMinProfitDollars=-1; MM="==== Risk Management ===="; FixedLots=0.01; AutoMM=1; AutoMM_Max=20; MaxAccountTrades=0; FE="==== Monday-Friday Rules ===="; MondayStartHour=0; FridayExit=false; LastTradeHour=19; ExitHour=20; GS="==== GMT Settings ===="; AutoGMT_Offset=true; ManualGMT_Offset=2; DST_Usage=1; NF="==== News Filter Settings ===="; Avoid_News=false; Include_Medium_News=true; Wait_Before_News=30; Wait_After_News=30; TM="==== Time Management Settings ===="; MondayTrading=true; MondayHoursForbidden=""; TuesdayTrading=true; TuesdayHoursForbidden=""; WednesdayTrading=true; WednesdayHoursForbidden=""; ThursdayTrading=true; ThursdayHoursForbidden=""; FridayTrading=true; FridayHoursForbidden=""; SaturdayTrading=true; SundayTrading=true; NN="==== Notifications ===="; EMAIL_Notification=false; PUSH_Notification=false; PS="==== Protection Settings ===="; MaxOpenLots=0; DP="--- Daily Protections ---"; MaxDailyLoss=0; MaxDailyDD=0; DailyResetHour=0; AP="--- Account Protections ---"; MinEquity=0; MaxEquityDD=0; MaxEquity=0; BS="==== Broker Spy Settings ===="; BSM_Alerts=true; BSM_Alert_Open_Delay=1000; BSM_Alert_Open_Slippage=2; BSM_Alert_StopLimit_Delay=1000; BSM_Alert_StopLimit_Slippage=2; BSM_Alert_Close_Delay=1000; BSM_Alert_Close_Slippage=2;
Bars in test9264085Ticks modelled18233760Modelling quality90.00%
Mismatched charts errors0
Initial deposit10000.00Spread10
Total net profit228725.49Gross profit341754.37Gross loss-113028.88
Profit factor3.02Expected payoff64.83
Absolute drawdown9.95Maximal drawdown20335.98 (12.04%)Relative drawdown23.40% (13409.25)
Total trades3528Short positions (won %)1747 (95.13%)Long positions (won %)1781 (89.72%)
Profit trades (% of total)3260 (92.40%)Loss trades (% of total)268 (7.60%)
Largestprofit trade3009.60loss trade-2064.01
Averageprofit trade104.83loss trade-421.75
Maximumconsecutive wins (profit in money)73 (932.47)consecutive losses (loss in money)3 (-2911.80)
Maximalconsecutive profit (count of wins)7250.97 (39)consecutive loss (count of losses)-2911.80 (3)
Averageconsecutive wins13consecutive losses1
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