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FX Flame




Hypothetical Monthly Returns (includes typical commissions and system fees)

 JanFebMarAprMayJunJulAugSepOctNovDec
2011                                                               (0.2%)+0.8%+2.1%
2012+19.9%+24.0%+20.4%+5.4%(21.7%)+32.8%+9.9%+5.9%+4.6%+0.2%+0.2%(0.7%)
2013(0.9%)+3.2%  -  +1.1%+0.5%                                          
There is a substantial risk of loss when trading futures, forex, stocks, or options. Hide this

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Technical Analysis:  Moving Average daysX

Instruments Forex
Strategies
System started 10/25/2011 (19 months ago)
System developer UKTrade
(Last login to C2: 5/20/13 4:14)
C2 Score: 989

Vendor has created 38 other systems. Show
The name of this system has been changed 1 time. Show



Recently Closed Trades

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Hypothetical Trading Results
Opened ETB/S#Symbol PriceClosedPriceRiskP/L
5/17/13 5:58 BUY 30 GBP/USD 1.52311 5/20
15:13
1.52751 Low $1,289
4/17/13 9:48 BUY 10 GBP/USD 1.52378 4/18
10:54
1.53001 Low $613
4/10/13 5:16 SELL 20 GBP/USD 1.53546 4/15
4:38
1.53185 Low $702
2/22/13 5:26 BUY 20 GBP/USD 1.52027 4/5
8:30
1.52592 Normal $1,109
1/10/13 10:37 SELL 20 EUR/USD 1.32869 2/21
3:46
1.32004 Normal $1,710
12/11/12 9:25 SELL 27 EUR/USD 1.31153 1/3/13 17:43 1.30283 Normal $2,323
10/22/12 18:00 BUY 19 EUR/USD 1.29894 12/2
20:51
1.30259 Normal $674
10/3/12 17:59 SELL 16 EUR/USD 1.29090 10/10
4:59
1.28707 Low $597
10/3/12 18:55 BUY 1 USD/CAD 0.98650 10/3
20:00
0.98671 Low $1
10/3/12 16:53 BUY 1 USD/JPY 78.501 10/3
18:30
78.495 Low ($2)
10/3/12 14:30 BUY 1 EUR/USD 1.29017 10/3
17:53
1.29078 Low $5
10/3/12 13:39 BUY 1 EUR/USD 1.29016 10/3
13:52
1.29056 Low $3
10/2/12 19:14 BUY 1 EUR/CAD 1.27059 10/2
20:00
1.27071 Low $0
10/1/12 18:00 BUY 20 EUR/USD 1.28881 10/2
5:10
1.29096 Low $411
9/24/12 18:00 BUY 41 EUR/USD 1.29024 9/28
5:31
1.29488 Low $1,861

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Statistics

Analytics  
All Statistics Based on Hypothetical Results
Trades87
# Profitable72 (82.8%)
# months tracked20
Profitable months15 (75.0%)
Avg trade duration3.2 days
Annual return (compounded)84.0%
Average win$2,801
Average loss$2,650
Profit factor5.1:1
Max peak-to-valley drawdown (historical)25.05%
drawdown periodMay 01, 2012 to June 01, 2012
Correlation w/ S&P0.080
Sharpe ratio1.558
Keep after worst-case slippage 96.9%
Probabilities of future account loss  
Chance of 10% account loss56.0%
Chance of 20% account loss21.5%
Chance of 30% account loss10.0%
Chance of 50% account loss0.0%
Chance of 100% account loss0.0%
Average Profit to Drawdown (APD)0.52
Average P/L per unit traded


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Overview

None provided. (Contact System Developer)

Subscribers

Current subscribers:
28

Subscriber revenue:
$990

Model Account Status

Started$100,000
Buy Power$261,966
Cash$261,966
Equity$0
Cumulative $$161,966
Total System Equity$261,966
Margined$0
Open P/L$0


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