Cyber Forex Real Account Stopped test

by Cyber-Forex.com Site closed
-15.95% WEEKLY · 21.1 weeks
Average Pips per Week:
-35 (Gross Pips: -733)
Average P/L per Week:
-15.95% (Gross P/L: -102.56%)
Maximum Equity used:
74.54% (Nov 14, 2011, 9:20:00 AM)
Test started:
Jun 21, 2011
Test Stopped:
Nov 16, 2011 (Tested 21.1 weeks)
Multiple Statements Available, Abandoned Test

We appreciate Cyber-Forex sharing the performance of their EA accounts with ForexPeaceArmy.com visitors!

Please contact Cyber-Forex support if you have any questions about the settings used in this test.

Cyber Forex is so confident in their EA that in addition to Demo test already running they added up another test on a Real account (you can see both using drop-down menu above)

11.16.11 Cyber Forex Real test stopped - account empty... 
06.28.11 Cyber Forex Real test started with help of Investor Access...
06.09.11 Cyber Forex Demo test started with help of Investor Access...

Description from Cyber-Forex.com site: All calculations and orders would be done by 'Cyber Fore Expert Advisor' and 'Cyber Forex Analyzer Team'. They do all steps for the clients. The EA would send and manage the orders automatically.

'Cyber Forex' starts its analyses from the fundamental part. The EA reads the market calendar and saves the high impact news times to avoid trading during those sessions. The fundamental analysis has another important part which is done by our support team. All the EA decisions should be confirmed by the 'Cyber Forex Server'. That's because there are some events which are not on the regular market calendar or their effects don't influence the market instantly. Our support team checks all these conditions and calculates the chances of Up and Down trend on all sessions. If the difference between these 2 values be not acceptable then the EA won't open any trades. Of course this is not the only situation which may happen. The EA may receive the "Only Long" or "Only Short" limit from analyzer team.

Now it's time for Technical Analysis. We have selected H4, H1, M15, M5 and M1 time frames for our calculations. The important point is that we don't analyze each time frame with the same rules because every time frame has its own behavior. Another important note is that we don't look for the same direction on all tested time frames. We try to find the best combination of them.

The starting pair is EurUsd . All calculations before opening any position would be done on this pair. However due to what happens after going to the market the EA may use another currency pair for managing the positions. This part is also very important. The EA uses the currency pairs' correlation to decide the managing rule. All these factors help the EA to get out from the market with profit fast.