Strategy Tester Report
Exness-MT5Trial6 (Build 4755)
Settings
Expert: Caesar
Symbol: EURJPY_TDS
Period: H1 (2007.01.01 - 2025.03.01)
Inputs: MagicNumber=5000
riskPerTrade=1.0
lotSize=0.1
marginWallet=10000.0
Company: Exness Technologies Ltd
Currency: USD
Initial Deposit: 10 000.00
Leverage: 1:500
Results
History Quality: 99%
Bars: 112367 Ticks: 667979405 Symbols: 1
Total Net Profit: 10 954.42 Balance Drawdown Absolute: 0.00 Equity Drawdown Absolute: 1.00
Gross Profit: 54 405.75 Balance Drawdown Maximal: 1 878.61 (8.93%) Equity Drawdown Maximal: 2 037.46 (9.64%)
Gross Loss: -43 451.33 Balance Drawdown Relative: 9.54% (1 136.89) Equity Drawdown Relative: 11.01% (1 329.66)
Profit Factor: 1.25 Expected Payoff: 14.63 Margin Level: 11834.07%
Recovery Factor: 5.38 Sharpe Ratio: 0.78 Z-Score: 1.12 (73.73%)
AHPR: 1.0011 (0.11%) LR Correlation: 0.96 OnTester result: -9.538868146159295
GHPR: 1.0010 (0.10%) LR Standard Error: 1 025.76
Total Trades: 749 Short Trades (won %): 340 (33.53%) Long Trades (won %): 409 (40.34%)
Total Deals: 1498 Profit Trades (% of total): 279 (37.25%) Loss Trades (% of total): 470 (62.75%)
Largest profit trade: 610.47 Largest loss trade: -224.15
Average profit trade: 195.00 Average loss trade: -92.45
Maximum consecutive wins ($): 7 (2 533.28) Maximum consecutive losses ($): 12 (-1 231.64)
Maximal consecutive profit (count): 2 533.28 (7) Maximal consecutive loss (count): -1 231.64 (12)
Average consecutive wins: 2 Average consecutive losses: 3
Graph
Graph
Correlation (Profits,MFE): 0.91 Correlation (Profits,MAE): 0.54 Correlation (MFE,MAE): 0.4418
Graph
Minimal position holding time: 0:04:39 Maximal position holding time: 750:27:31 Average position holding time: 84:48:19
Graph
Orders
Open Time Order Symbol Type Volume Price S / L T / P Time State Comment
Deals
Time Deal Symbol Type Direction Volume Price Order Commission Swap Profit Balance Comment
0.00 -3 496.18 14 450.60 20 954.42