Strategy Tester Report
x-saherelm.ea
Alpari-Demo (Build 1382)

SymbolXAUUSD (Gold (Spot))
Period15 Minutes (M15) 2023.01.03 01:00 - 2023.08.02 05:00 (2023.01.01 - 2023.08.31)
ModelEvery tick (the most precise method based on all available least timeframes)
ParameterssignalPrefix="XST_EA"; bullishSignalLabel="X_BUY"; bullishSignalColor=Aqua; bearishSignalLabel="X_SELL"; bearishSignalColor=Magenta; signalEntryColor=Aquamarine; signalSLColor=Red; signalTPColor=Green; candleGapBetweenSignals=7; allowTrade=true; allowLongTrades=true; allowShortTrades=false; alertEvents=true; alertPositions=true; longPositionAlerts=true; shortPositionAlerts=true; terminalAlert=false; pushAlert=false; lotsPerTradePercent=0.00001; maxOpenTrades=4; maxDrawdownPercentPerPTrade=0.1; minBalancePercent=0.5; maxEquityPercent=0.1; xStarter="- X Signal Provider -"; enableXSignalling=false; xShortR2R=3; xShortLotsPerTradePercent=0.00001; xShortMaxDrawdownPerTradePercent=0.02; xLongR2R=3; xLongLotsPerTradePercent=0.00001; xLongMaxDrawdownPerTradePercent=0.02; xSharpDetectorFactor=700; xMaximumCandlesPerTrade=206; xOscillatorLength=7; xPSarStep=0.02; xPSarMaximum=0.2; xRangeMarketLength=5; xSwingLength=7; xRStarter="- XR Signal Provider -"; enableXRSignalling=false; xRShortR2R=2; xRShortLotsPerTradePercent=0.00001; xRShortMaxDrawdownPerTradePercent=0.01; xRLongR2R=2; xRLongLotsPerTradePercent=0.00001; xRLongMaxDrawdownPerTradePercent=0.01; xRMaximumCandlesPerTrade=252; xROscillatorLength=7; xRFastLength=20; xRSlowLength=50; xRRangeMarketLength=50; xRSwingLength=7; xTPWStarter="- XTPW Signal Provider -"; enableXTPWSignalling=true; xTPWShortR2R=2; xTPWShortLotsPerTradePercent=0.00001; xTPWShortMaxDrawdownPerTradePercent=0.015; xTPWLongR2R=2; xTPWLongLotsPerTradePercent=0.00001; xTPWLongMaxDrawdownPerTradePercent=0.015; xTPWMaximumCandlesPerTrade=206; xTPWPSarStep=0.02; xTPWPSarMaximum=0.2; xTPWSwingLength=7; xTPWSharpDetectionFactor=650;
Bars in test14766Ticks modelled18360505Modelling qualityn/a
Mismatched charts errors804
Initial deposit1000.00SpreadCurrent (56)
Total net profit23.29Gross profit23.29Gross loss-0.00
Profit factorExpected payoff7.76
Absolute drawdown4.03Maximal drawdown6.73 (0.67%)Relative drawdown0.67% (6.73)
Total trades3Short positions (won %)0 (0.00%)Long positions (won %)3 (100.00%)
Profit trades (% of total)3 (100.00%)Loss trades (% of total)0 (0.00%)
Largestprofit trade10.70loss trade-0.00
Averageprofit trade7.76loss trade-0.00
Maximumconsecutive wins (profit in money)3 (23.29)consecutive losses (loss in money)0 (-0.00)
Maximalconsecutive profit (count of wins)23.29 (3)consecutive loss (count of losses)-0.00 (0)
Averageconsecutive wins3consecutive losses0
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12023.01.11 17:38buy10.011870.970.001878.90
22023.01.12 03:48t/p10.011878.900.001878.906.471006.47
32023.04.26 19:17buy20.011989.030.002001.19
42023.04.27 08:13t/p20.012001.190.002001.1910.701017.17
52023.07.13 19:00buy30.011955.080.001961.68
62023.07.14 04:38t/p30.011961.680.001961.686.111023.29