Loading historical trade record for ES-ES...


ES-ES

What it trades: Mostly Forex; (some futures) Strategies: Market timing

Hypothetical Monthly Results

 JanFebMarAprMayJunJulAugSepOctNovDec
2009                                                               (10.4%)+59.1%+70.7%
2010+24.7%(7.1%)+14.9%+13.6%+25.5%(31.7%)(37.5%)+114.7%(34.1%)                  

 
Drag mouse in chart to zoom
Show chart:  Standard  |  Monte Carlo  |  Personalized 

Subscription Terms

$60 per month (Details)

Subscriptions cost $60 per month. (That is, we will charge you every 30 days - not when the month name on the calendar changes. So it's okay to sign up towards the end of a calendar month. You'll still get a full 30 days.)



Strategy Description 


None provided. (Contact System Developer)



Recently Closed Trades

Details

System creator requested that closed trades data below be delayed by seven days.

Opened ET B/S # Symbol   Price Closed Price Risk P/L
8/26/10 8:44 BUY 8 USD/CAD 1.05523 8/26 14:37 1.05672 Normal $113
8/26/10 10:00 SELL 2 GBP/USD 1.55687 8/26 11:25 1.55616 Low $14
8/26/10 5:59 SELL 12 AUD/USD 0.88903 8/26 11:06 0.88814 Normal $107
8/26/10 9:46 SELL 6 EUR/USD 1.27346 8/26 11:03 1.27268 Low $47
8/26/10 6:13 BUY 3 USD/CAD 1.05639 8/26 8:03 1.05752 Low $32
8/26/10 6:46 SELL 2 EUR/USD 1.27159 8/26 6:49 1.27045 n/a $23
8/26/10 6:05 SELL 2 GBP/USD 1.55493 8/26 6:49 1.55318 Low $35
8/25/10 8:56 SELL 2 AUD/USD 0.87943 8/25 9:13 0.87893 Low $10
8/25/10 7:59 SELL 1 EUR/USD 1.26269 8/25 8:16 1.26157 Low $11
8/25/10 7:44 SELL 2 EUR/USD 1.26270 8/25 7:48 1.26163 Low $21
8/24/10 19:20 SELL 4 EUR/USD 1.26556 8/25 7:03 1.26402 Low $62
8/25/10 6:40 SELL 1 GBP/USD 1.54308 8/25 7:01 1.54192 Low $12
8/25/10 5:38 SELL 3 AUD/USD 0.88555 8/25 6:59 0.88361 Low $58
8/25/10 5:40 SELL 2 USD/JPY 84.533 8/25 6:52 84.567 Low ($8)
8/24/10 15:53 SELL 3 AUD/USD 0.88416 8/24 20:21 0.88355 Low $18

<< More recent
Less  |  More




Statistics

Analytics  
System has been audited since10/19/2009 (11 months ago)
Trades1,844
# Profitable1,077 (58.4%)
# months tracked12
Profitable months7 (58.3%)
Avg trade duration3.9 hours
Annual return (compounded)226.5%
Average win$65
Average loss$85
Profit factor1.1:1
Max peak-to-valley drawdown (historical)74.64%
drawdown periodJune 07, 2010 to July 15, 2010
Correlation w/ S&P-0.215
Sharpe ratio0.9
C2Realism Factor 100%
Keep after worst-case slippage 96.4%
Probabilities of future account loss  
Chance of 10% account loss80.5%
Chance of 20% account loss69.0%
Chance of 30% account loss44.2%
Chance of 50% account loss0.1%
Chance of 100% account loss0.0%
Average Profit to Drawdown (APD)-0.02
Average P/L per unit traded($29.14)