Strategy Tester Report | ||||||||||||
Neural Target (Build 4755) | ||||||||||||
Settings | ||||||||||||
Expert: | 1662357918_BBVA_15 | |||||||||||
Symbol: | BBVA | |||||||||||
Period: | M15 (2024.12.15 - 2025.01.29) | |||||||||||
Inputs: | Entry_Amount=10 | |||||||||||
Stop_Loss= | ||||||||||||
Take_Profit= | ||||||||||||
Magic_Number=1662357918 | ||||||||||||
Max_Spread=0 | ||||||||||||
Min_Equity=0 | ||||||||||||
Company: | Neural Target | |||||||||||
Currency: | profit in pips | |||||||||||
Initial Deposit: | 10 000.00 | |||||||||||
Leverage: | 1:1 | |||||||||||
Results | ||||||||||||
History Quality: | 100% | |||||||||||
Bars: | 797 | Ticks: | 179564 | Symbols: | 1 | |||||||
Total Net Profit: | 6 400.00 | Balance Drawdown Absolute: | 920.00 | Equity Drawdown Absolute: | 97.68 | |||||||
Gross Profit: | 7 320.00 | Balance Drawdown Maximal: | 920.00 (9.20%) | Equity Drawdown Maximal: | 97.68 (0.98%) | |||||||
Gross Loss: | -920.00 | Balance Drawdown Relative: | 9.20% (920.00) | Equity Drawdown Relative: | 0.98% (97.68) | |||||||
Profit Factor: | 7.96 | Expected Payoff: | 3 200.00 | Margin Level: | ||||||||
Recovery Factor: | 65.52 | Sharpe Ratio: | 0.00 | Z-Score: | 0.00 (0.00%) | |||||||
AHPR: | 1.3571 (35.71%) | LR Correlation: | 0.99 | OnTester result: | 0 | |||||||
GHPR: | 1.2806 (28.06%) | LR Standard Error: | 3 363.97 | |||||||||
Total Trades: | 2 | Short Trades (won %): | 0 (0.00%) | Long Trades (won %): | 2 (50.00%) | |||||||
Total Deals: | 4 | Profit Trades (% of total): | 1 (50.00%) | Loss Trades (% of total): | 1 (50.00%) | |||||||
Largest profit trade: | 7 320.00 | Largest loss trade: | -920.00 | |||||||||
Average profit trade: | 7 320.00 | Average loss trade: | -920.00 | |||||||||
Maximum consecutive wins ($): | 1 (7 320.00) | Maximum consecutive losses ($): | 1 (-920.00) | |||||||||
Maximal consecutive profit (count): | 7 320.00 (1) | Maximal consecutive loss (count): | -920.00 (1) | |||||||||
Average consecutive wins: | 1 | Average consecutive losses: | 1 | |||||||||
Correlation (Profits,MFE): | 1.00 | Correlation (Profits,MAE): | 1.00 | Correlation (MFE,MAE): | 1.0000 | |||||||
Minimal position holding time: | 289:59:59 | Maximal position holding time: | 363:45:00 | Average position holding time: | 326:52:29 | |||||||
Orders | ||||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|
Open Time | Order | Symbol | Type | Volume | Price | S / L | T / P | Time | State | Comment | ||
2024.12.16 10:45:00 | 2 | BBVA | buy | 10 / 10 | 9.768 | 2024.12.16 10:45:00 | filled | 1662357918 | ||||
2025.01.06 14:30:00 | 3 | BBVA | sell | 10 / 10 | 9.676 | 2025.01.06 14:30:00 | filled | 1662357918 | ||||
2025.01.06 16:30:00 | 4 | BBVA | buy | 10 / 10 | 9.598 | 2025.01.06 16:30:00 | filled | 1662357918 | ||||
2025.01.22 18:29:59 | 5 | BBVA | sell | 10 / 10 | 10.330 | 2025.01.22 18:29:59 | filled | end of test | ||||
Deals | ||||||||||||
Time | Deal | Symbol | Type | Direction | Volume | Price | Order | Commission | Swap | Profit | Balance | Comment |
2024.12.15 00:00:00 | 1 | balance | 0.00 | 0.00 | 10 000.00 | 10 000.00 | ||||||
2024.12.16 10:45:00 | 2 | BBVA | buy | in | 10 | 9.768 | 2 | 0.00 | 0.00 | 0.00 | 10 000.00 | 1662357918 |
2025.01.06 14:30:00 | 3 | BBVA | sell | out | 10 | 9.676 | 3 | 0.00 | 0.00 | -920.00 | 9 080.00 | 1662357918 |
2025.01.06 16:30:00 | 4 | BBVA | buy | in | 10 | 9.598 | 4 | 0.00 | 0.00 | 0.00 | 9 080.00 | 1662357918 |
2025.01.22 18:29:59 | 5 | BBVA | sell | out | 10 | 10.330 | 5 | 0.00 | 0.00 | 7 320.00 | 16 400.00 | end of test |
0.00 | 0.00 | 6 400.00 | 16 400.00 | |||||||||