ICA Managed Account Real Account

+1.41% WEEKLY · 126.3 weeks
  • Average Pips per Week:
    +996 (Gross Pips: +126,394)
  • Average P/L per Week:
    +1.25% (Gross P/L: +384.70%) Including Net Withdrawal of 700,000
  • Maximum Equity used:
    32.57% (Nov 17, 2016, 7:57:00 PM)
  • Test started:
    Jul 8, 2014
  • Test Stopped:
    Dec 8, 2016 (Tested 126.3 weeks)
Abandoned Test


We appreciate ICATrading.com sharing their Live Account Performance with ForexPeaceArmy.com traders community!

2016-12-11 ICA Manager Account Real Test abandoned. Investor password changed without notifying the FPA. The company also failed to respond to the FPA regarding this issue.

2015-11-27 ICA Managed Account Real Test started with help of Investor Access.

Description: ICA trading system combines sophisticated risk and trade management models, with high probability market patterns recognition technique. The strategy is featured by: Trading Strategy is 75% systematic, and 25% discretionary. Swing trading strategy; Targets 50 to 400 pips on 4 hours and daily charts. Not Scalping; Does not attempt to make many small profits on small price changes. Not Hedging; Does not buy and sell the same instrument at the same time. No Martingale; Does not continually increase the exposure after losses. No Average Down; Does not add positions to the losing positions. Average Up; Add positions to the profitable positions. Focused; Trade only one pattern within one trading system. Diversify within the same trading system; trade the same system in different markets. Trading system works in both trending and sideways markets but not in chopping markets.

Statement Aura Group Ltd.

  • Account:
    *hidden*
  • Name:
    ICAManagedAccount Real Test by ForexPeaceArmy
  • Currency:
    USD
  • Date:
    Dec 11, 2016


Closed Transactions:

Ticket Open Time Type Size Item Price Open S / L T / P Close Time Price Close Commission Taxes Swap Profit Pips
2702482014-07-08 12:21balanceDeposit420,000.000
2702612014-07-10 18:36sell0.01chfjpy113.46114.04110.922014-07-10 18:36113.46-5.880.000.000.000
2702492014-07-10 18:32buy4.20usdcad1.066091.050201.092902014-07-11 11:051.063560.000.00-21.89-999.10-25
2702502014-07-10 18:36buy4.20usdcad1.066361.050201.092902014-07-11 11:051.063560.000.00-21.89-1,105.72-28
2702522014-07-10 18:29sell4.20chfjpy113.45114.97110.922014-07-11 14:18113.520.000.00-11.81-252.86-6
2702512014-07-10 18:36sell4.20eurusd1.359901.365701.352502014-07-11 14:181.360570.000.000.00-281.40-7
View full statement
41198942016-12-07 14:10sell20.00xauusd1,173.520.000.002016-12-08 23:141,171.28-100.000.00-0.604,480.00224
41198952016-12-07 14:10sell3.00xauusd1,173.560.000.002016-12-08 23:141,171.28-15.000.00-0.09684.00228
41308532016-12-08 23:27sell50.00eurjpy121.040.000.002016-12-08 23:49120.97-250.000.000.003,070.237
41308542016-12-08 23:27sell50.00eurjpy121.040.000.002016-12-08 23:49120.97-250.000.000.003,070.237
41308552016-12-08 23:27sell50.00eurjpy121.040.000.002016-12-08 23:49120.97-250.000.000.003,070.237
41308562016-12-08 23:27sell50.00eurjpy121.040.000.002016-12-08 23:49120.97-250.000.000.002,982.517
41308572016-12-08 23:27sell3.00eurjpy121.030.000.002016-12-08 23:49120.97-15.000.000.00168.436
  -831,589.35 0.00 -84,270.37 3,067,945.79 126,394
  Closed P/L: 2,152,086.07  

Open Trades:

Ticket Open Time Type Size Item Price Open S / L T / P   Price Commission Taxes Swap Profit Pips
Hidden by owner to prevent copying
  -1,020.00 0.00 -264.95 -115,061.27 -392
  Floating P/L: -116346.22  

Working Orders:

Ticket Open Time Type Size Item Price Open S / L T / P Market Price  
Hidden by owner to prevent copying


Summary:

Deposit/Withdrawal: -700,000.00 Credit Facility: 0.00    
Closed Trade P/L: 2,152,086.07 Floating P/L: -116,346.22 Margin: 1,443,178.93
Balance: 1,452,086.07 Equity: 1,335,739.85 Free Margin: 0.00

Details:

Gross Profit: 18,175,972.70 Gross Loss: -16,023,886.63 Total Net Profit: 2,152,086.07
Profit Factor: -1.13 Expected Payoff: 334.43
Absolute Drawdown: 98,280.80 Maximal Drawdown: 1,728,021.75 (45.06%) Relative Drawdown: 45.06% (1,728,021.75)
Total Trades: 6435 Short Positions (won %): 3178 (66.21%) Long Positions (won %): 3257 (65.80%)
Profit Trades (% of total): 4247 (66.00%) Loss trades (% of total): 2188 (34.00%)
Largest profit trade: 450,693.89 loss trade: -111,851.98
Average profit trade: 4,279.72 loss trade: -7,323.53
Maximum consecutive wins ($): 120 (101,922.01) consecutive losses ($): 42 (-10,199.31)
Maximal consecutive profit (count): 1,346,836.45 (7) consecutive loss (count): -721,683.97 (8)
Average consecutive wins: 14 consecutive losses: 7

Analytics

Trading Instruments

Maximum Equity Usage Recorded, 45.06%

Recorded on Dec 8, 2016 11:49:00 PM Broker Time

Average trade length: 15 hours, 3 minutes, 56 seconds

Average trades opened daily/weekly/monthly: 0/124/536

Trading Days of the Month

Trading Days of the Week

Live discussion

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Performance tests

Status Account Product P/L Weekly,% Weeks tested P/L Gross,%
ICA Trading -3.1 14.1 -35.855
ICA MAP -0.78 42.8 -28.4
ICA MAP Conservative -0.04 39.6 -1.609
ICA MAP Aggressive +1.43 54.9 +118.391
ICA Managed Account LMAX PAMM +0.97 26.4 +29.188
ICA - ATC Brokers PAMM -0.59 162.5 -62.046

Performance results may be delayed. Please click the test to see detailed current report.