Risk Win $500 Every Month @Fxpro Real Account

+0.92% WEEKLY · 285.2 weeks
  • Average Pips per Week:
    +39 (Gross Pips: +11,020)
  • Average P/L per Week:
    +0.92% (Gross P/L: +1,248.08%) Including Net Withdrawal of 120,402.61
  • Maximum Equity used:
    97.41% (Sep 21, 2018, 2:47:00 AM)
  • Test started:
    Apr 23, 2014
  • Test Stopped:
    Jun 28, 2019 (Tested 285.2 weeks)
Crashed & Burned

Description from product owner: This is our PAMM account @ Fxpro. in the past 3 months, the average monthly return is over 30%, and the max DD is about 21%. Investing requires a thorough understanding of the risks involved, including the percentage of your capital that you can afford to put at risk. Investors are always told that they need enough capital in their accounts to protect against temporary drawdown. But most of the time, investors would suffer much more loss than promised drawdown when a strategy failed. How to control the risk ? The answer is: only invest the capital you can afford to lose. In other words, you only need provide the risk capital. In this way, you won't lose more than your expect. And the Risk capital can start from only $500.

The FPA appreciates sharing their Account Performance with traders community!

2019-06-28 Risk Win $500 Every Month @FXpro Real Test Crashed and Burned on the remaining balance.
2014-04-23 Risk Win $500 Every Month @Fxpro Real Test started with help of Investor Access.

Statement FXPRO Financial Services Ltd

  • Account:
  • Name:
    Trade2FI-Max Risk Win $500 Every Month @Fxpro
  • Currency:
  • Date:
    Oct 11, 2019

Closed Transactions:

TicketOpen TimeTypeSizeItemPrice OpenS / LT / PClose TimePrice CloseCommissionTaxesSwapProfitPips
243785962014-04-23 05:27balanceOT-DP(323545)-D500.000
243816802014-04-23 14:40sell1.00gbpusd1.679980.000001.678502014-04-23 14:591.679990.000.000.00-1.00-0
243828362014-04-23 17:48sell1.00gbpusd1.676750.000001.676602014-04-24 09:361.679300.000.00-9.06-255.00-26
243849552014-04-24 09:38buy0.50gbpusd1.679740.000000.000002014-04-24 10:041.679810.
243850542014-04-24 10:04sell1.00audusd0.929640.000000.927002014-04-24 11:060.927610.000.000.00203.0020
243916122014-04-25 08:05sell2.00audusd0.927850.000000.000002014-04-25 10:130.926920.000.000.00186.009
View full statement
443877872019-01-10 09:40buy0.50eurusd1.154681.143000.000002019-01-15 11:181.143000.000.00-28.48-584.00-117
444286002019-01-23 10:48buy0.10eurusd1.136200.000000.000002019-01-29 02:561.142420.000.00-6.8262.2062
444890322019-02-12 10:02buy0.05eurusd1.129030.000001.136002019-02-20 18:101.136090.000.00-4.4835.3071
444758972019-02-07 02:52buy0.05eurusd1.136600.000000.000002019-03-07 18:511.121320.000.00-15.77-76.40-153
445448302019-03-01 03:47buy0.05eurusd1.137550.000000.000002019-03-07 18:511.121540.000.00-3.43-80.05-160
445575392019-03-06 01:51buy0.05eurusd1.130740.000000.000002019-03-07 18:511.120810.000.00-0.57-49.65-99
448857992019-06-28 12:02balanceIF-June2019-1.970
 Closed P/L:120,402.61 

Open Trades:

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

Working Orders:

TicketOpen TimeTypeSizeItemPrice OpenS / LT / PMarket Price 


Deposit/Withdrawal:-120,402.61Credit Facility:0.00  
Closed Trade P/L:120,402.61Floating P/L:0.00Margin:0.00
Balance:0.00Equity:0.00Free Margin:0.00


Gross Profit:307,762.24Gross Loss:187,359.63Total Net Profit:120,402.61
Profit Factor:1.64Expected Payoff:101.18
Absolute Drawdown:498.03Maximal Drawdown:73,676.88 (37.96%)Relative Drawdown:100.00% (175,415.62)
Total Trades:1190Short Positions (won %):727 (74.42%)Long Positions (won %):463 (63.28%)
Profit Trades (% of total):834 (70.08%)Loss trades (% of total):356 (29.92%)
Largestprofit trade:7,294.42loss trade:-25,151.48
Averageprofit trade:369.02loss trade:526.29
Maximumconsecutive wins ($):20 (1,781.64)consecutive losses ($):13 (-2,557.94)
Maximalconsecutive profit (count):50,791.20 (13)consecutive loss (count):-46,835.76 (5)
Averageconsecutive wins:4consecutive losses:2


Trading Instruments

Maximum Equity Usage Recorded, 37.96%

Recorded on Jun 28, 2019 12:02:54 PM Broker Time

Average trade length: 262 hours, 27 minutes, 27 seconds

Average trades opened daily/weekly/monthly: 3/22/99

Trading Days of the Month

Trading Days of the Week

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Performance tests

StatusAccountProductP/L Weekly,%Weeks testedP/L Gross,% - A Plus Low Risk PAMM @ Fxpig-0.75138.4-64.791
Trade2FI - Max Risk PAMM @ Fxpig+0.25208.8+67.102

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