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AventaFX




Hypothetical Monthly Returns (includes typical commissions and system fees)

 JanFebMarAprMayJunJulAugSepOctNovDec
2012(2.5%)+1.1%  -  +61.9%(88.2%)+315.6%(104.3%)(1498.8%)+88.5%+21.9%  -    -  
2013  -    -    -    -    -                                            
There is a substantial risk of loss when trading futures, forex, stocks, or options. Hide this

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Show chart:  Standard  |  Monte Carlo
Technical Analysis:  Moving Average daysX

Instruments Forex
Strategies Technical analysis
System started 1/29/2012 (16 months ago)
System developer Golden Web
(Last login to C2: 11/3/12 12:33)
C2 Score: 201

Vendor has created 1 other system. Show
StatusThis system is no longer supported.



Recently Closed Trades

CSVDetails


Hypothetical Trading Results
Opened ETB/S#Symbol PriceClosedPriceRiskP/L
5/9/12 0:21 BUY 15 EUR/USD 1.29746 10/9
8:28
1.27265 Extreme ($3,737)
5/8/12 5:53 BUY 15 EUR/USD 1.30034 5/8
13:49
1.30348 Normal $456
5/7/12 4:02 SELL 15 EUR/USD 1.30112 5/8
5:50
1.30081 High $32
5/3/12 15:23 BUY 15 EUR/USD 1.31475 5/4
9:38
1.31682 High $296
4/27/12 7:36 SELL 15 GBP/USD 1.62197 5/1
4:34
1.61979 Extreme $312
4/26/12 3:43 SELL 15 GBP/USD 1.61977 4/26
19:18
1.61769 Low $297
4/20/12 10:30 SELL 15 GBP/USD 1.61365 4/20
14:52
1.61081 Low $411
4/13/12 15:02 BUY 15 EUR/USD 1.30587 4/20
10:27
1.31870 Extreme $1,911
4/10/12 10:25 BUY 10 EUR/USD 1.30845 4/11
5:01
1.31146 Normal $291
4/6/12 1:04 BUY 10 EUR/USD 1.30693 4/6
8:33
1.31000 Normal $297
4/2/12 7:12 SELL 10 EUR/USD 1.33432 4/2
8:26
1.33225 Low $197
2/7/12 10:50 SELL 5 EUR/USD 1.32268 2/8
1:16
1.32800 Normal ($271)
2/7/12 9:40 SELL 5 EUR/USD 1.31806 2/7
10:11
1.32000 Normal ($102)
2/7/12 7:37 BUY 5 EUR/USD 1.31065 2/7
9:15
1.31740 Low $333
2/6/12 5:26 SELL 5 EUR/USD 1.30502 2/6
11:06
1.31000 Normal ($254)

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Statistics

Analytics  
All Statistics Based on Hypothetical Results
Trades20
# Profitable14 (70.0%)
# months tracked17
Profitable months5 (29.4%)
Avg trade duration8.5 days
Annual return (compounded)14.1%
Average win$393
Average loss$760
Profit factor1.2:1
Max peak-to-valley drawdown (historical)100%
drawdown periodJuly 13, 2012 to Sept 14, 2012
Correlation w/ S&P0.037
Sharpe ratio0.017
Keep after worst-case slippage 89.7%
Probabilities of future account loss  
Chance of 10% account loss29.3%
Chance of 20% account loss2.4%
Chance of 30% account loss0.0%
Chance of 50% account loss0.0%
Chance of 100% account loss0.0%
Average Profit to Drawdown (APD)0.07
Average P/L per unit traded


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$65 per week, only if profitable Details

This is a pay-for-performance system. Subscriptions cost $65 at the end of each week, but only if the system has made profitable recommendations for the period.

To determine profitability, we do not look at your brokerage account, nor do we take into consideration whether you actually placed the trades recommended here. We simply measure the system's hypothetical track record here on the Collective2 Web site, without factoring fees or commissions. You will not be charged unless the sum of the trades during the period was profitable.



 

Overview

The system uses trend technical indicators
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- This text was submitted by the creator of this strategy. Collective2 verifies only trading signals and hypothetical trading results. We have not verified the Overview text above. Remember there is a substantial risk of loss in trading. Past performance is not indicative of future results. Do not trade with money you cannot afford to lose.

Model Account Status

Started$5,000
Buy Power$5,946
Cash$5,946
Equity$0
Cumulative $$946
Total System Equity$5,946
Margined$0
Open P/L$0


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