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BGP 558




Hypothetical Monthly Returns (includes typical commissions and system fees)

 JanFebMarAprMayJunJulAugSepOctNovDec
2012         -  (10%)(18.2%)+133.8%(4%)(13.5%)+13.8%+13.1%(2.1%)(1.5%)+9.3%
2013(8.2%)(38.8%)(0.9%)  -  (0.5%)                                          
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 2/16/2012 (15 months ago)
System developer BGP
(Last login to C2: 4/8/13 13:10)
C2 Score: 974

Vendor has created 1 other system. Show



Recently Closed Trades

CSVDetails


Hypothetical Trading Results
Opened ETB/S#Symbol PriceClosedPriceRiskP/L
2/18/13 4:30 BUY 10 EUR/USD 1.33713 2/18
5:00
1.33488 Normal ($235)
2/15/13 8:46 BUY 10 EUR/USD 1.33642 2/17
19:00
1.33435 Normal ($217)
2/15/13 3:14 SELL 15 EUR/USD 1.33335 2/15
8:46
1.33619 Normal ($441)
2/15/13 1:45 BUY 5 EUR/USD 1.33840 2/15
2:14
1.33699 Low ($76)
2/14/13 2:14 SELL 45 EUR/USD 1.33797 2/15
1:45
1.33845 Normal ($262)
2/13/13 10:59 SELL 5 EUR/USD 1.34361 2/13
12:45
1.34551 Low ($100)
2/13/13 8:44 SELL 5 EUR/USD 1.34668 2/13
9:00
1.34802 Low ($72)
2/13/13 3:44 BUY 10 EUR/USD 1.34783 2/13
8:29
1.34732 Low ($62)
2/12/13 9:03 BUY 5 EUR/USD 1.34239 2/12
9:14
1.34184 Low ($33)
2/12/13 5:59 BUY 40 EUR/USD 1.34523 2/12
9:03
1.34396 High ($545)
2/11/13 11:15 BUY 20 EUR/USD 1.34179 2/11
15:00
1.33915 Normal ($546)
2/11/13 4:59 BUY 5 EUR/USD 1.33986 2/11
5:59
1.33842 Low ($77)
2/8/13 2:25 SELL 5 AUD/USD 1.02997 2/10
17:30
1.03193 Normal ($103)
2/8/13 8:29 SELL 5 EUR/USD 1.33651 2/8
8:44
1.33836 Low ($98)
2/8/13 2:45 SELL 5 EUR/USD 1.33922 2/8
2:59
1.33969 Low ($29)

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Statistics

Analytics  
All Statistics Based on Hypothetical Results
Trades154
# Profitable41 (26.6%)
# months tracked16
Profitable months4 (25.0%)
Avg trade duration3.0 days
Annual return (compounded)22.0%
Average win$208
Average loss$62
Profit factor1.2:1
Max peak-to-valley drawdown (historical)36.66%
drawdown periodDec 31, 2012 to Feb 24, 2013
Correlation w/ S&P0.036
Sharpe ratio0.644
Keep after worst-case slippage 100.0%
Probabilities of future account loss  
Chance of 10% account loss72.0%
Chance of 20% account loss48.5%
Chance of 30% account loss18.0%
Chance of 50% account loss0.0%
Chance of 100% account loss0.0%
Average Profit to Drawdown (APD)-0.01
Average P/L per unit traded


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Overview

Automated trading based on technical indicators with focus on capital management and calculated entries and exits
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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$6,433
Cash$6,433
Equity$0
Cumulative $$1,433
Total System Equity$6,433
Margined$0
Open P/L$0


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