$
auto_awesome
Best Configuration Found
Ranked by Calmar ratio - P&L ÷ Max Drawdown
409
Total Signals
Wins
152
37.2%
Losses
134
32.8%
Pending
123
30.1%
68.4%
Win Rate
Win
5
streak
Loss
2
streak
Profit
2.42
factor
Starting
$10,000
1% risk
Final
$13,907
52 trades
Total P&L
+39.07%
+$3,907
Max DD
-2.97%
-$397
Mar 13 → Mar 20
Avg Duration
9.8h
Equity Growth
Cumulative performance over historical data
Max DD: —
Jan 2024
Feb 2024
Mar 2024
Apr 2024
P&L Calendar
Daily performance Heatmap
Loss
Profit
TP Distribution
Performance by Instrument
Efficiency metrics per traded asset
| Instrument | Signals | TP Hit | BE | SL | Win RateWR |
|---|---|---|---|---|---|
| GER40 | 9 | 6 (66.7%) | 2 (22.2%) | 1 (11.1%) | 66.7% |
| NAS100 | 10 | 5 (50.0%) | 3 (30.0%) | 2 (20.0%) | 50.0% |
| SP500 | 11 | 5 (45.5%) | 2 (18.2%) | 4 (36.4%) | 45.5% |
| XAUUSD | 22 | 8 (36.4%) | 8 (36.4%) | 6 (27.3%) | 36.4% |
Signals Log
| Date | Asset | Side | Entry | SL/TP | Result |
|---|---|---|---|---|---|
| 24 May, 14:32 | XAUUSD | BUY | 2345.20 |
SL: 2338.00
TP: 2362.50
|
TP3 Reached |
| 24 May, 09:15 | GER40 | SELL | 18652.4 |
SL: 18710.0
TP: 18420.0
|
SL Hit |
| 23 May, 16:45 | NAS100 | BUY | 18920.1 |
SL: 18880.0
TP: 19150.0
|
TP2 Reached |