Forexpulse Real Account

-13.59% WEEKLY · 11 weeks
  • Average Pips per Week:
    -129 (Gross Pips: -1,569)
  • Average P/L per Week:
    -100.00% (Gross P/L: -100.00%)
  • Maximum Equity used:
    60.55% (Jun 5, 2016, 2:24:00 AM)
  • Test started:
    May 8, 2016
  • Test Stopped:
    Jul 25, 2016 (Tested 11 weeks)
Crashed & Burned


We appreciate ForexPulse.nl sharing their signals Live performance with ForexPeaceArmy.com traders community!

2016-08-01 Forexpulse Real Test Crashed and Burned.

2016-05-24 Forexpulse Real Test started with help of Investor Access.

Description: [Free Cloud Forex Signals] We spend the last 5 years searching for the golden EA (as most of us did or are still doing) that could help me pay off my debt faster than with my day-to-day job. We spend a lot of money paying for EA's and blown numerous accounts to Robots and trade copiers. So what is our strategy?! We use multiple strategies where we use multiple different EA's on just a few pairs (and sometimes even just one) and if the majority of these robots points in the same direction, a trade is opened and when wrong, a counter trade is opened (yes this is marginal). On top of this we are utilizing a news protection system (news_cal) that will disable trading a certain time before and after news events that can affect our strategy. Hence the fact that a marginal is okayish if used with news-filter though we still have a small team monitoring the master accounts and take action when needed. This last piece is done by other strategies only used on Manual Trading systems also listed on this page. In terms of money management; we withdrawn 50% of our profits every week to a "safe" account where we have a "medium to low size" risk setting on different pair(s).

Statement Trading Point Of Financial Instruments Ltd

  • Account:
    *hidden*
  • Name:
    Forexpulse Real Test by ForexPeaceArmy
  • Currency:
    EUR
  • Date:
    Aug 1, 2016


Closed Transactions:

Ticket Open Time Type Size Item Price Open S / L T / P Close Time Price Close Commission Taxes Swap Profit Pips
157140352016-05-08 23:24balanceCD-GC-CC 4852899_s10-2660433491.470
157140362016-05-08 23:24balanceEXP05-GC-CC 4852899_s10-26604338.530
157149332016-05-09 00:10sell0.01eurusd1.139720.000001.139322016-05-09 02:191.139320.000.000.000.354
157214942016-05-09 02:20sell0.01eurusd1.139200.000001.138802016-05-09 02:431.138790.000.000.000.364
157149502016-05-09 00:11buy0.01eurusd1.139910.000001.139682016-05-09 04:301.139680.000.000.00-0.20-2
157231782016-05-09 02:44buy0.01eurusd1.138640.000001.139682016-05-09 04:301.139680.000.000.000.9110
View full statement
193952062016-06-24 01:01buy0.01gbpjpy159.69158.40162.862016-06-24 01:47158.400.000.000.00-10.67-129
194353022016-06-24 08:59buy0.01eurusd1.102191.102831.124442016-06-24 09:261.102630.000.000.000.404
194414432016-06-24 10:45buy0.01eurusd1.113741.108651.136162016-06-24 13:241.108620.000.000.00-4.62-51
201541062016-07-05 15:51sell0.01eurusd1.116221.115831.114992016-07-05 16:181.115220.000.000.000.9110
204744232016-07-11 12:00balanceCD-AFF 10769178.270
213548692016-07-25 21:55balanceTransfer to 3064282-189.060
213548702016-07-25 21:55balanceCredit Out-0.220
  0.00 0.00 -14.71 -979.50 -1,569
  Closed P/L: -994.21  

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
  0.00 0.00 0.00 0.00 0
  Floating P/L: 0  

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: 994.21 Credit Facility: -0.00    
Closed Trade P/L: -994.21 Floating P/L: 0.00 Margin: 0.00
Balance: 0.00 Equity: 0.00 Free Margin: 0.00

Details:

Gross Profit: 1,576.02 Gross Loss: -2,570.23 Total Net Profit: -994.21
Profit Factor: -0.61 Expected Payoff: -1.49
Absolute Drawdown: 995.12 Maximal Drawdown: 1,805.03 (102.98%) Relative Drawdown: 102.98% (1,805.03)
Total Trades: 669 Short Positions (won %): 342 (66.67%) Long Positions (won %): 327 (62.69%)
Profit Trades (% of total): 433 (64.72%) Loss trades (% of total): 236 (35.28%)
Largest profit trade: 141.31 loss trade: -269.37
Average profit trade: 3.64 loss trade: -10.89
Maximum consecutive wins ($): 14 (17.77) consecutive losses ($): 11 (-1,627.22)
Maximal consecutive profit (count): 174.26 (2) consecutive loss (count): -1,627.22 (11)
Average consecutive wins: 3 consecutive losses: 2

Analytics

Trading Instruments

Maximum Equity Usage Recorded, 102.98%

Recorded on Jul 25, 2016 9:55:00 PM Broker Time

Average trade length: 8 hours, 15 minutes, 49 seconds

Average trades opened daily/weekly/monthly: 0/25/96

Trading Days of the Month

Trading Days of the Week

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