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FinFX




Hypothetical Monthly Returns (includes typical commissions and system fees)

 JanFebMarAprMayJunJulAugSepOctNovDec
2012                                          +2.5%(0.1%)(0.1%)(0.1%)(0.1%)(0.1%)
2013(0.1%)(0.1%)(0.1%)(0.1%)  -                                            
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 Technical analysis
System started 7/24/2012 (10 months ago)
System developer CAA
(Last login to C2: 7/24/12 15:19)
C2 Score: 481



Recently Closed Trades

CSVDetails


Hypothetical Trading Results
Opened ETB/S#Symbol PriceClosedPriceRiskP/L
7/26/12 6:25 BUY 10 AUD/USD 1.03630 7/27
13:32
1.04680 n/a $1,040
7/26/12 6:55 BUY 9 EUR/USD 1.22290 7/27
9:19
1.23440 Low $1,026
7/26/12 6:55 SELL 11 USD/CHF 0.98205 7/27
9:19
0.97335 Low $973
7/24/12 16:14 SELL 9 GBP/USD 1.55160 7/26
6:32
1.55715 Low ($509)

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Statistics

Analytics  
All Statistics Based on Hypothetical Results
Trades4
# Profitable3 (75.0%)
# months tracked11
Profitable months1 (9.1%)
Avg trade duration1.3 days
Annual return (compounded)3.1%
Average win$1,022
Average loss$499
Profit factor6.1:1
Max peak-to-valley drawdown (historical)1.13%
drawdown periodJuly 26, 2012 to July 26, 2012
Correlation w/ S&P0.421
Sharpe ratio4.001
Keep after worst-case slippage 96.0%
Probabilities of future account loss  
Chance of 10% account loss0.0%
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)2.37
Average P/L per unit traded


Reviews


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System Description

The Program employs a proprietary trading strategy across a mix of highly liquid financial futures and major currency pairs. The FinFX program historically has demonstrated a low correlation and out-performance to tradition stock indices and peers while utilizing the same systematic model to trade all markets in the portfolio. The strategy is volatility and price action based with a targeted reward to risk return of 2:1 per trade and a holding period of two to three days per trade with an average of 20 trades per month. Risk management is fixed at 1% per trade with a target of 2% profit and the use of position sizing to adjust for current volatility. FinFX trades the ES, ZN, EUR/USD, USD/JPY, GBP/USD, AUD/USD and the USD/CHF. Trades are sent out in the afternoon after the close of each market.

- This System Description text was submitted by the creator of this strategy. Collective2 verifies only trading signals and hypothetical trading results. We have not verified that this text above is an accurate system description. 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.

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Overview

FinFX employs a systematic volatility based trading system to seven of the biggest markets traded in the world. Trades are price action based generated on daily charts.
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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$100,000
Buy Power$102,569
Cash$102,569
Equity$0
Cumulative $$2,569
Total System Equity$102,569
Margined$0
Open P/L$0


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