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Strategy Tester Report
FXVertex
EGlobal-Demo (Build 1470)

 

Symbol GBPUSD (Great Britain Pound vs US Dollar)
Period 1 Hour (H1) 2016.01.04 00:01 - 2025.10.17 22:56 (2016.01.01 - 2026.01.01)
Model Every tick (the most precise method based on all available least timeframes)
 
Bars in test 3613055 Ticks modelled 37642646 Modelling quality 90.00%
Mismatched charts errors 0        
 
Initial deposit 10000.00     Spread 30
Total net profit 368188.18 Gross profit 725204.00 Gross loss -357015.81
Profit factor 2.03 Expected payoff 195.22    
Absolute drawdown 2032.34 Maximal drawdown 115237.07 (34.11%) Relative drawdown 34.21% (9382.45)
 
Total trades 1886 Short positions (won %) 1149 (74.67%) Long positions (won %) 737 (76.39%)
  Profit trades (% of total) 1421 (75.34%) Loss trades (% of total) 465 (24.66%)
Largest profit trade 21154.70 loss trade -12529.08
Average profit trade 510.35 loss trade -767.78
Maximum consecutive wins (profit in money) 24 (4389.26) consecutive losses (loss in money) 5 (-4268.90)
Maximal consecutive profit (count of wins) 30624.48 (3) consecutive loss (count of losses) -19690.29 (2)
Average consecutive wins 4 consecutive losses 1
FXVertex GBPUSD Normal Profitability - 368 188%