Tuesday, 24 July 2007

 

statement updated

With a reduced open trade set now from yesterdays cleaning up of the ancient, now-unmanaged original carrygrid trades, we have only 8 open trades. 4 gbpjpy, 1 usdchf, 2 usdjpy, a floating p/l of -2546 at the time of writing. All the yen trades are bouncing nicely, and i thought it was time to introduce an antipodean pair into the mix, so i added audjpy. GBPCHF will probably go on there, but not right now.


Balance:
96 527.65
Equity:
93 981.14
Free Margin:
90 751.14

Details:
Gross Profit:
46 527.65
Gross Loss:
0.00
Total Net Profit:
46 527.65
Profit Factor:
Expected Payoff:
1257.50

Absolute Drawdown:
0.00
Maximal Drawdown:
0.00 (0.00%)
Relative Drawdown:
0.00% (0.00)

Total Trades:
37
Short Positions (won %):
0 (0.00%)
Long Positions (won %):
37 (100.00%)
Profit Trades (% of total):
37 (100.00%)
Loss trades (% of total):
0 (0.00%)
Largest
profit trade:
3 009.01
loss trade:
0.00
Average
profit trade:
1 257.50
loss trade:
0.00
Maximum
consecutive wins ($):
37 (46 527.65)
consecutive losses ($):
0 (0.00)
Maximal
consecutive profit (count):
46 527.65 (37)
consecutive loss (count):
0.00 (0)
Average
consecutive wins:
37
consecutive losses:
0

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