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FX Audit can collect the trades directly from MT4, MT5, cTrader, and Oanda accounts. Account sync is the only way to have your trading results flagged by FX Audit as verified.
Highest
The highest balance of account since the first trade.
Profit
The compound value of all profits since the start date.
Drawdown
The difference between historical peak and following low point of the account balance.
Monthly Gain
The average monthly gain percentage of the account.
Daily Gain
The average daily gain percentage of the account.
Gain
The Time-Weighted Return (TWR) peformance rate reflects the perfomance of one dollar invested the moment the system was launched.
This measurement is a requirement set by the Global Investment Performance Standards by the CFA Institute. Cash inflows, cash outflows and the amounts of funds invested over different time periods do not influence this rate.
Trading
- Periods
Periods Account changes as opposed to the previous periods. The parenthesized number is the difference between the previous and the current periods. For instance, $80 (-$12) would mean the accoount profit is $80 this month, while it was $92 in the previous month. |
Gain (Difference) | Profit (Difference) | Pips (Difference) | Win % (Difference) | Trades (Difference) | Lots (Difference) |
---|---|---|---|---|---|---|
Today | 0.00% ( 0.00% ) | $0.00 ( $0.00 ) | 0.0 ( 0.0 ) | 0 ( 0 ) | 0 ( 0 ) | 0.0 ( 0.00000 ) |
This Week | 0.00% ( -2.83% ) | $0.00 ( $644 187.13 ) | 0.0 ( -23413.7 ) | 0 ( -8145 ) | 0 ( -12287 ) | 0.0 ( -36765.50000 ) |
This Month | 10.95% ( 0.54% ) | $2 494 547.90 ( $123 990.03 ) | 89243.3 ( 3925.3 ) | 31004 ( -3475 ) | 46190 ( -8949 ) | 138736.5 ( -26810.00000 ) |
This Year | 65.41% ( -46.58% ) | $14 896 862.47 ( $10 592 043.92 ) | 553144.7 ( -410204.6 ) | 203091 ( -121803 ) | 312536 ( -157459 ) | 937545.0 ( -471988.00000 ) |
Advanced Analytics
- Trades
- Summary
- Hourly
- Daily
- Monthly
How many trades were won?
Won out of 5724406 trades, which represents 64.00%%.
Lost out of 5724406 trades, which represents 36.00%%.
Profit Factor
This figure stand for the difference between all the winning trades (the gross profit) and the losing ones (the gross loss).
Standard Deviation
A statisrical measurement tool indicating the variance (or dispersion) between the mean (expectancy) and the actual performance.
Sharpe Ratio
A statistic tool that characterizes the compensation of the investor's risk by the asset. The higher value means better performance.
Z-Score
Z-Score shows the interrelation between the wins and losses in streaks. The higher the percentage, the higher the chance of a loss being followed by profit.
Expectancy
Expectancy shows you the estimated outcome of every trade (win or loss).
AHPR
Arithmetic Average Holding Period (AHPR) is the average return of the holding period.
GHPR
Geometric Average Holding Period (GHPR) indicates the likelihood og the system compounding profits. When lover than 0%, it means the system is bound to lose money.
Longs | Shorts | Total | ||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|
Currency | Trades | Pips | Profit() | Trades | Pips | Profit() | Trades | Pips | Profit() | Won(%) | Lost(%) | |
gbpusd | 744840 | 1803578.2 | $65 184 600.67 | 343534 | 811309.7 | $25 584 659.67 | 1088374 | 2614887.9 | $90 769 260.33 | 622192 (58) | 466182 (42) | |
usdcad | 806759 | 2008128.3 | $27 122 527.50 | 364566 | 1028441.4 | $15 590 252.27 | 1171325 | 3036569.7 | $42 712 779.77 | 763506 (66) | 407819 (34) | |
eurusd | 683872 | 1250764.6 | $26 826 607.75 | 350989 | 685701.9 | $15 853 699.42 | 1034861 | 1936466.5 | $42 680 307.17 | 639098 (62) | 395763 (38) | |
usdchf | 759793 | 1485591.4 | $34 206 750.98 | 420967 | 990900.8 | $25 533 282.27 | 1180760 | 2476492.2 | $59 740 033.25 | 778167 (66) | 402593 (34) | |
usdjpy | 1020266 | 2477761.0 | $40 465 254.82 | 226097 | 564364.0 | $10 219 405.59 | 1246363 | 3042125.0 | $50 684 660.41 | 850500 (69) | 395863 (31) |