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Libertad




Hypothetical Monthly Returns (includes typical commissions and system fees)

 JanFebMarAprMayJunJulAugSepOctNovDec
2012                            +6.1%(1.4%)(1.4%)+2.1%(24.1%)(1.9%)(1.9%)(1.9%)
2013(2%)(2%)(2.1%)(2.1%)(2.1%)                                          
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 5/1/2012 (13 months ago)
System developer Jose Leonardo Garcia Valencia
(Last login to C2: 1/27/13 21:13)
C2 Score: 774

Vendor has created 5 other systems. Show
StatusThis system is no longer supported.



Recently Closed Trades

CSVDetails


Hypothetical Trading Results
Opened ETB/S#Symbol PriceClosedPriceRiskP/L
9/12/12 0:52 SELL 37 EUR/USD 1.28751 9/13
18:41
1.29577 Extreme ($3,093)
9/10/12 20:14 BUY 10 NZD/USD 0.80898 9/10
22:45
0.81017 Low $109
9/9/12 20:01 SELL 10 EUR/AUD 1.23434 9/9
21:36
1.23299 Low $130
9/6/12 12:40 SELL 11 NZD/USD 0.80278 9/6
15:09
0.80179 Low $98
9/5/12 11:17 SELL 8 EUR/AUD 1.23838 9/5
14:30
1.23686 Low $116
9/3/12 22:43 SELL 26 EUR/AUD 1.22999 9/4
4:25
1.22850 Low $371
9/3/12 12:31 BUY 7 NZD/USD 0.79818 9/3
20:10
0.79660 Low ($117)
8/29/12 20:34 BUY 4 NZD/USD 0.80076 8/30
1:31
0.80194 Low $43
8/29/12 10:41 BUY 2 NZD/USD 0.80288 8/29
15:06
0.80100 Low ($40)
8/28/12 19:55 SELL 13 EUR/AUD 1.21159 8/29
9:04
1.20750 Normal $539
8/28/12 13:33 SELL 14 EUR/AUD 1.21066 8/28
17:11
1.21180 Low ($179)
5/10/12 4:47 SELL 15 AUD/USD 1.01020 5/10
5:37
1.00886 Low $186
5/1/12 23:20 BUY 10 EUR/JPY 106.009 5/2
2:57
106.473 Low $566

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Statistics

Analytics  
All Statistics Based on Hypothetical Results
Trades13
# Profitable9 (69.2%)
# months tracked13
Profitable months2 (15.4%)
Avg trade duration7.4 hours
Annual return (compounded)-10.4%
Average win$251
Average loss$842
Profit factor0.7:1
Max peak-to-valley drawdown (historical)26.36%
drawdown periodSept 12, 2012 to Sept 13, 2012
Correlation w/ S&P-0.168
Sharpe ratio-1.019
Keep after worst-case slippage 100.0%
Probabilities of future account loss  
Chance of 10% account loss100.0%
Chance of 20% account loss0.0%
Chance of 30% account loss0.0%
Chance of 50% account loss0.0%
Chance of 100% account loss0.0%
Average Profit to Drawdown (APD)-0.27
Average P/L per unit traded


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Overview

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Model Account Status

Started$10,000
Buy Power$8,896
Cash$8,896
Equity$0
Cumulative $($1,103)
Total System Equity$8,896
Margined$0
Open P/L$0


Crowd Opinion

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