ACM Manager Account 2 Real Account

+0.11% WEEKLY · 27.6 weeks
  • Average Pips per Week:
    +30 (Gross Pips: +839)
  • Average P/L per Week:
    +0.11% (Gross P/L: +3.10%)
  • Maximum Equity used:
    15.32% (Mar 12, 2018, 12:23:00 AM)
  • Test started:
    Jan 17, 2018
  • Test Stopped:
    Jun 22, 2018 (Tested 27.6 weeks)
Voluntarily Quit


Description from product owner: ACM offer's high frequency trading through lower latency systems and servers. ACM present the best solutions to professional trader's and investor's. High-frequency trading ( HFT ) is a primary form of algorithmic trading in finance. It is the use of sophisticated technological tools and computer algorithms to rapidly trade markets. HFT uses proprietary trading strategies carried out by low latency systems and computers/servers to move in and out of positions in seconds or fractions of a second. We move in and out of short-term positions at high volumes aiming to capture sometimes a fraction of a pip in profit on every trade. As a result, HFT has a potential Sharpe ratio (a measure of risk and reward) tens of times higher than traditional buy-and-hold strategies.

Statement Alpha Capital Markets Ltd.

  • Account:
    *Hidden*
  • Name:
    ACM ManagerAccount 2 from HappyForex Real Test by ForexPeaceArmy
  • Currency:
    USD
  • Date:
    Jul 22, 2018


Closed Transactions:

Ticket Open Time Type Size Item Price Open S / L T / P Close Time Price Close Commission Taxes Swap Profit Pips
224994362018-01-16 23:35balanceDep:USD-005-0010392:35050622,000.000
225264782018-01-17 18:05sell0.01eurusd1.223730.000000.000002018-01-17 18:061.22379-0.050.000.00-0.06-1
225265282018-01-17 18:09sell0.40usdcad1.246310.000000.000002018-01-17 18:151.24671-2.000.000.00-12.83-4
225286812018-01-17 19:03buy0.40usdcad1.241900.000000.000002018-01-17 19:131.24290-2.000.000.0032.1810
225265022018-01-17 18:08sell0.40gbpusd1.383180.000000.000002018-01-17 20:361.39236-2.000.000.00-367.20-92
225289042018-01-17 19:17buy0.40usdcad1.240430.000000.000002018-01-17 22:241.24298-2.000.000.0082.0626
View full statement
275328432018-06-22 19:40buy1.00usdcad1.332470.000000.000002018-06-22 20:051.33151-5.000.000.00-72.10-10
275344762018-06-22 20:11buy1.00usdcad1.330780.000000.000002018-06-22 20:391.32871-5.000.000.00-155.79-21
275358192018-06-22 20:45buy1.00usdcad1.328420.000000.000002018-06-22 21:181.32874-5.000.000.0024.083
275373872018-06-22 21:29buy1.00usdcad1.328410.000000.000002018-06-22 21:491.32824-5.000.000.00-12.80-2
275381232018-06-22 22:00buy1.00usdcad1.327780.000000.000002018-06-22 22:161.32790-5.000.000.009.041
275396352018-06-22 22:52buy1.00usdcad1.327470.000000.000002018-06-22 22:581.32754-5.000.000.005.271
275231942018-06-22 15:30sell1.00usdcad1.327830.000000.000002018-06-22 23:201.32698-5.000.000.0064.069
  -6,335.00 0.00 0.00 9,381.08 839
  Closed P/L: 3,046.08  

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
  -25.00 0.00 0.00 -1,944.38 -240
  Floating P/L: -1969.38  

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: 29,345.41 Credit Facility: 0.00    
Closed Trade P/L: 3,046.08 Floating P/L: -1,969.38 Margin: 5,499.79
Balance: 32,391.49 Equity: 30,422.11 Free Margin: 24,922.32

Details:

Gross Profit: 104,924.29 Gross Loss: 101,878.21 Total Net Profit: 3,046.08
Profit Factor: 1.03 Expected Payoff: 2.38
Absolute Drawdown: 6,878.49 Maximal Drawdown: 12,375.22 (288.01%) Relative Drawdown: 42.39% (11,125.22)
Total Trades: 1278 Short Positions (won %): 622 (46.30%) Long Positions (won %): 656 (46.04%)
Profit Trades (% of total): 590 (46.17%) Loss trades (% of total): 688 (53.83%)
Largest profit trade: 2,448.00 loss trade: -2,441.60
Average profit trade: 177.84 loss trade: 148.08
Maximum consecutive wins ($): 8 (977.60) consecutive losses ($): 9 (-891.43)
Maximal consecutive profit (count): 4,717.90 (5) consecutive loss (count): -4,179.00 (2)
Average consecutive wins: 2 consecutive losses: 2

Analytics

Trading Instruments

Maximum Equity Usage Recorded, 288.01%

Recorded on Jun 22, 2018 11:20:20 PM Broker Time

Average trade length: 12 hours, 17 minutes, 38 seconds

Average trades opened daily/weekly/monthly: 7/53/213

Trading Days of the Month

Trading Days of the Week

Test Log

2018-07-22 ACM Manager Account 2 Real Test stopped per owner's request.
2018-02-26 ACM Manager Account 2 Real Test started with help of Investor Access on an account of ACCFX.com.

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Performance tests

Status Account Product P/L Weekly,% Weeks tested P/L Gross,%
Happy Way Restart +0.23 436.2 +171.061
Happy MartiGrid +0.4 378.8 +360.333
Happy Algorithm -3.02 5.6 -15.778
Happy Forex -2.38 45.3 -66.45
Happy Market Hours -16.49 36.1 -99.85
Happy Breakout -0.04 22.1 -0.897
Happy Trio Private +2.62 4.7 +12.949
ACM Manager Account 1 +1.28 27.6 +42.044

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