Strategy Tester Report
Dyna Scalp No License
-Pro.ECN-Demo (Build 1335)

SymbolCHFJPY (Swiss Franc vs Japanese Yen)
Period15 Minutes (M15) 2015.07.06 01:00 - 2021.05.07 23:45 (2010.01.01 - 2021.06.28)
ModelEvery tick (the most precise method based on all available least timeframes)
Parameters
  • dynsc="===>> >> Dyna Scalp << <<==="
  • initcfg="====>Trading Time And Identification<===="
  • Receipt="Enter Your Receipt Here"
  • Email="Enter Your Email Here"
  • DefineTradingHours=true
  • StartHour=23
  • StartMinuteOfTrade=0
  • StopHour=0
  • StopMinuteOfTrade=55
  • Magic=3323
  • DynaScalpComment="DynaScalp"
  • rangecfg="====>Channel Settings<===="
  • BBandsPeriod=12
  • BBandsDeviation=1.5
  • BBandsShift=0
  • ATRPeriod=20
  • ATRTimeFrame=0
  • ATRFactorToOpenNextOrder=6
  • slset="====>SL Settings<===="
  • FixStopLoss=350
  • tpset="====>TP Settings<===="
  • FixTakeProfit=100
  • advcgf="====>Strategy Configuration<===="
  • ResetOnMiddleBands=true
  • ResetOnOppositeBands=false
  • OrderQuantityLimitToOneSide=1
  • MaxOpenOrders=1
  • UseOpenOrderOnCandleOut=true
  • PastCandleToCheckTrigger=0
  • UseCloseCandleFunction=false
  • MaxSpread=200
  • UseDontTradeOnShortMoves=false
  • TestResetBeforeStartHour=true
  • SecondsForNextOrder=60
  • omset="====>Order Placement Advanced Settings<===="
  • UseMarketOrders=true
  • UseLimitOrders=false
  • UseBBandsTPMiddleTrailOnlySmaller=true
  • UseBBandsTPEdgeTrailOnlySmaller=false
  • AvoidTripleSwapOnWednesday=true
  • DeleteAllOrdersForTheWeekend=true
  • HourToStopOnFriday=21
  • MinuteToStopOnFriday=40
  • riskcfg="====>Risk Management Settings<===="
  • Risk=1
  • UseRiskBasedOnTraditionalTotalAccountBalance=false
  • UseFixLots=false
  • LotsFixed=0.01
  • UseMMForMarti=true
  • InitialPairPercentual=10
  • UseMaxAllowedPercentualBalance=false
  • MaxAllowedPercentualBalance=20
  • UseMinAllowedPercentualBalance=true
  • MinAllowedPercentualBalance=0.1
  • RiskMultiplier=4
  • UseRestartOfDynamicBalanceWeightOfPair=false
Bars in test144525Ticks modelled165521720Modelling quality99.90%
Mismatched charts errors0
Initial deposit1000.00SpreadVariable
Total net profit4385.82Gross profit11489.48Gross loss-7103.66
Profit factor1.62Expected payoff2.96
Absolute drawdown53.58Maximal drawdown596.05 (15.84%)Relative drawdown20.27% (544.43)
Total trades1482Short positions (won %)916 (67.90%)Long positions (won %)566 (72.79%)
Profit trades (% of total)1034 (69.77%)Loss trades (% of total)448 (30.23%)
Largestprofit trade167.89loss trade-361.41
Averageprofit trade11.11loss trade-15.86
Maximumconsecutive wins (profit in money)26 (52.60)consecutive losses (loss in money)7 (-19.78)
Maximalconsecutive profit (count of wins)801.43 (14)consecutive loss (count of losses)-414.51 (3)
Averageconsecutive wins3consecutive losses1
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance


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Risk

Forex trading can involve the risk of loss beyond your initial deposit. It is not suitable for all investors and you should make sure you understand the risks involved, seeking independent advice if necessary.

Forex accounts typically offer various degrees of leverage and their elevated profit potential is counterbalanced by an equally high level of risk. You should never risk more than you are prepared to lose and you should carefully take into consideration your trading experience.

Past performance and simulated results are not necessarily indicative of future performance. All the content on this site represents the sole opinion of the author and does not constitute an express recommendation to purchase any of the products described in its pages.