Strategy: NovaFx
• Real (USD) • 1:500 • MetaTrader 4
Track record Trading privileges Live update Cashback
Stats
Gain: +138.52%
Abs. Gain: +55.88%
Daily: 0.27%
Monthly: 8.33%
Drawdown: 14.52%
Balance: $1,265.74
Equity: (99.91%) $1,264.56
Highest: (Sep 29) $1,265.74
Profit: $453.74
Interest: -$17.99
Deposits: $812.00
Withdrawals: $0.00
Updated: 56 minutes ago
Tracking: 4
Growth
Monthly Analytics
Trading Periods
| Period | Gain (Difference) | Profit (Difference) | Pips (Difference) | Win% (Difference) | Trades (Difference) |
|---|---|---|---|---|---|
| This Week | +0.40% (-0.28%) | $5.09 (-$3.51) | +36.4 (-26.4) | 100% (+7%) | 9 (-7) |
| This Month | +4.77% (-3.03%) | $57.59 (-$29.83) | +256.1 (+45.7) | 92% (+3%) | 66 (+17) |
| This Year | +104.82% (+88.39%) | $420.88 (+$388.02) | +2,310.1 (+1,838.4) | 89% (-2%) | 569 (+453) |
Trading Activity
| Open Date | Close Date | Symbol | Type | Size | SL (Pips) | TP (Pips) | Open Price | Close Price | Pips | Profit | Duration | Percentage |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
Advanced Statistics
Overview
Total Trades: 685
89% Won 11% Lost
Direction Analysis
Longs Won:
89% (311/346)
Shorts Won:
89% (302/339)
Trade Performance
Average Win:
7.49 pips / $1.18
Average Loss:
-25.11 pips / -$3.72
Best Trade:
118.9 (Mar 09)
Worst Trade:
-96.9 (Mar 09)
Risk Metrics
Profit Factor: 2.69
Standard Deviation: $2.643
Sharpe Ratio: 0.34
Z-Score: -0.48 (36.88%)
Performance Metrics
Expectancy: 4.1 Pips
AHPR: 0.13%
GHPR: 0.06%
Additional Information
Lots: 15.84
Commissions: $0.00
Avg. Trade Length: 12h 15m
