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Fixart Investments Real Account

-4.36% WEEKLY. 188.8 weeks
  • Average Pips per Week:
    +32 (Gross Pips: +6,110)
  • Average P/L per Week:
    -4.36% (Gross P/L: -99.98%) Including Net Withdrawal of 502.83
  • Maximum Equity used:
    1.37% (Nov 28, 2016, 7:46:00 PM)
  • Test started:
    Feb 24, 2014
  • Test Stopped:
    Oct 2, 2017 (Tested 188.8 weeks)
Multiple Statements Available, Abandoned Test


2017-10-08: Fxiart investments Real Test abandoned. Balance was all withdrawn without notifying the FPA.
2014-12-18: Fixart investments Real Test restarted on a hotforex account with help of Investor Access.
2014-12-15: Fixart Investments Real Test stopped per owner's request due to broker's issues
2014-05-14 Fixart Investments Real Test started with help of Investor Access.

Description from product owner: Fixart strategy has been realized in November 2011. Untill 2013 several changes have been made, mainly for reducing volatility, and therefore best limit drawdowns. In 2013 of October final version was published. The strategy primarily based on trend following, heading, or breakout. Fixart relies heavily on Technical analysis in this manually traded strategy. The average pip target on the strategy is approximately 9 pips, with a target of 2-10% monthly gains. The target max 24 hour drawdown is 4%, with a max drawdown target with the updated strategy set at 8-12%. risk per trade will not more then 2%, average 1%.

The FPA appreciates FixArt.org sharing their signals Live performance with ForexPeaceArmy.com traders community!

Statement HF Markets (SV) Ltd.

  • Account:
    ******
  • Name:
    FixartInvestments Real Test by ForexPeaceArmy
  • Currency:
    USD
  • Date:
    Oct 8, 2017


Closed Transactions:

TicketOpen TimeTypeSizeItemPrice OpenS / LT / PClose TimePrice CloseCommissionTaxesSwapProfitPips
232622532014-02-24 13:49balanceDeposit from:112874700.000
232636152014-02-24 14:44buy0.02gbpusd1.664021.659280.000002014-02-24 15:061.66469-0.200.000.001.347
232650242014-02-24 15:48buy0.01audusd0.898950.894250.000002014-02-24 17:060.89966-0.100.000.000.717
232674142014-02-24 17:14buy0.02audusd0.899990.895320.000002014-02-24 17:480.90057-0.200.000.001.166
232658422014-02-24 16:15buy0.01eurusd1.372121.367510.000002014-02-24 17:481.37224-0.100.000.000.121
232649762014-02-24 15:45buy0.03gbpusd1.662981.657500.000002014-02-24 17:531.66309-0.300.000.000.331
View full statement
578264152017-08-29 11:44sell0.03eurusd1.206071.209501.201802017-08-29 13:011.20399-0.300.000.006.2421
580744722017-09-05 11:43sell0.03nzdusd0.718800.722500.000002017-09-05 15:370.72250-0.300.000.00-11.10-37
580744602017-09-05 11:43sell0.04eurusd1.188061.192500.000002017-09-05 17:331.19250-0.400.000.00-17.76-44
581225812017-09-06 10:54sell0.04eurusd1.193261.196500.000002017-09-07 11:291.19650-0.400.00-0.21-12.96-32
588207462017-09-25 08:48sell0.04eurusd1.192591.197500.000002017-09-25 17:111.18860-0.400.000.0015.9640
588669692017-09-26 09:07sell0.03gbpusd1.348131.352500.000002017-09-27 07:391.34310-0.300.00-0.0115.0950
590388172017-10-02 08:11balanceWithdraw from: 112874-887.000
 -467.500.00-98.521,070.476,110
 Closed P/L:504.45 

Open Trades:

TicketOpen TimeTypeSizeItemPrice OpenS / LT / P PriceCommissionTaxesSwapProfitPips
 0.000.000.000.000
 Floating P/L:0 

Working Orders:

TicketOpen TimeTypeSizeItemPrice OpenS / LT / PMarket Price 


Summary:

Deposit/Withdrawal:-502.83Credit Facility:0.00  
Closed Trade P/L:504.45Floating P/L:0.00Margin:0.00
Balance:1.62Equity:1.62Free Margin:1.62

Details:

Gross Profit:7,286.50Gross Loss:-6,782.05Total Net Profit:504.45
Profit Factor:-1.07Expected Payoff:0.34
Absolute Drawdown:443.16Maximal Drawdown:639.54 (80.60%)Relative Drawdown:82.74% (2,867.85)
Total Trades:1498Short Positions (won %):942 (59.24%)Long Positions (won %):556 (62.23%)
Profit Trades (% of total):904 (60.35%)Loss trades (% of total):594 (39.65%)
Largestprofit trade:120.23loss trade:-50.78
Averageprofit trade:8.06loss trade:-11.42
Maximumconsecutive wins ($):18 (33.29)consecutive losses ($):24 (-359.86)
Maximalconsecutive profit (count):289.02 (11)consecutive loss (count):-359.86 (24)
Averageconsecutive wins:4consecutive losses:3

Analytics

Trading Instruments

Maximum Equity Usage Recorded, 80.60%

Recorded on Oct 2, 2017 8:11:10 AM Broker Time

Average trade length: 17 hours, 34 minutes, 52 seconds

Average trades opened daily/weekly/monthly: 4/28/124

Trading Days of the Month

Trading Days of the Week

Live discussion

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Performance tests

StatusAccountProductP/L Weekly,%Weeks testedP/L Gross,%
Fixart+0.8212.1+12.337