AVIA - Conservative from manage.forex Real Account Visit site

Updated: 4 hours ago
+1.07% WEEKLY · 14.9 weeks
  • Average Pips per Week:
    +331 (Gross Pips: +4,929)
  • Average P/L per Week:
    +1.07% (Gross P/L: +17.13%) Including Net Withdrawal of 3,349.38
  • Maximum Equity used:
    18.54% (Aug 20, 2021, 1:48:00 PM)
  • Test started:
    Jun 15, 2021 (Running 14.9 weeks)


Description from product owner: AVIA is one of the top Managed Forex/Copy Trade Investment Programs in the world. With our state-of-the-art technology, along with years of perfection, this program has helped hundreds of satisfied investors reach their financial goals. We believe by getting in and out of positions on a daily basis, not only reduces risk from unexpected events, but it also generates much greater returns than traditional investments. This strategy now offers a wide range of risk tolerance levels to choose from based on your level of comfort. For a list of these choices, see the options available under the “Select Your Risk Tolerance” section. AVIA is 80% automated and 20% discretionary. The discretionary component is based on monitoring daily market sentiment along defensive interventions if we feel as though we may be on the wrong side, or if drawdowns exceed between 7-20%. These varying drawdown levels are based on your risk appetite and lot sizes are adjusted accordingly.

Statement Global Trade Partners Ltd. Skopje

  • Account:
    *Hidden*
  • Name:
    AviaConservative Real Test by ForexPeaceArmy
  • Currency:
    USD
  • Date:
    Sep 28, 2021


Closed Transactions:

Ticket Open Time Type Size Item Price Open S / L T / P Close Time Price Close Commission Taxes Swap Profit Pips
164340002021-06-14 21:18balanceInternal Transfer6,000.000
164386072021-06-15 06:00buy0.02nzdcad0.867600.867870.870602021-06-15 07:190.867870.000.000.000.453
164385932021-06-15 06:00sell0.01gbpjpy155.36155.29155.062021-06-15 10:38155.290.000.000.000.698
164386182021-06-15 06:00sell0.01usdjpy110.10110.06109.802021-06-15 11:07110.060.000.000.000.323
164402722021-06-15 09:23sell0.01usdjpy110.09110.06109.792021-06-15 11:07110.060.000.000.000.263
164385832021-06-15 06:00buy0.02eurusd1.212521.213971.215522021-06-15 11:181.213970.000.000.002.9015
View full statement
177638532021-08-23 15:07buy0.03eurnzd1.706880.000000.000002021-09-20 17:141.667290.000.00-11.95-83.46-396
172428382021-07-20 06:30buy0.03eurgbp0.862560.000000.000002021-09-20 17:140.857380.000.00-2.49-21.23-52
175101842021-08-03 20:17buy0.02audnzd1.054870.000000.000002021-09-20 17:141.031330.000.00-4.83-33.08-235
177671492021-08-23 18:08buy0.18usdcad1.268560.000000.000002021-09-20 17:161.281940.000.00-21.93187.87134
179340942021-09-09 12:31sell0.13nzdcad0.902130.000000.000002021-09-20 17:160.901050.000.00-9.7110.9611
177537582021-08-20 19:35buy0.06usdcad1.284270.000000.000002021-09-20 17:161.281890.000.00-7.55-11.14-24
180402942021-09-20 18:45balanceInternal Transfer-23,734.140
  0.00 0.00 -1,111.06 4,460.44 4,929
  Closed P/L: 3,349.38  

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: -3,349.38 Credit Facility: 0.00    
Closed Trade P/L: 3,349.38 Floating P/L: 0.00 Margin: 0.00
Balance: 0.00 Equity: 0.00 Free Margin: 0.00

Details:

Gross Profit: 14,587.66 Gross Loss: 11,238.28 Total Net Profit: 3,349.38
Profit Factor: 1.30 Expected Payoff: 1.60
Absolute Drawdown: 209.68 Maximal Drawdown: 3,578.17 (52.78%) Relative Drawdown: 13.17% (3,578.17)
Total Trades: 2098 Short Positions (won %): 1322 (70.73%) Long Positions (won %): 776 (68.69%)
Profit Trades (% of total): 1468 (69.97%) Loss trades (% of total): 630 (30.03%)
Largest profit trade: 242.00 loss trade: -1,338.31
Average profit trade: 9.94 loss trade: 17.84
Maximum consecutive wins ($): 27 (76.16) consecutive losses ($): 7 (-197.36)
Maximal consecutive profit (count): 538.59 (14) consecutive loss (count): -1,450.06 (5)
Average consecutive wins: 4 consecutive losses: 2

Analytics

Trading Instruments

Maximum Equity Usage Recorded, 52.78%

Recorded on Sep 20, 2021 6:45:01 PM Broker Time

Average trade length: 84 hours, 16 minutes, 3 seconds

Average trades opened daily/weekly/monthly: 7/55/233

Trading Days of the Month

Trading Days of the Week

Test Log

2021-08-02 AVIA-Conservative Real Test started with help of Investor Access on an account of LMFX.com.

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Performance tests

Status Account Product P/L Weekly,% Weeks tested P/L Gross,%
Steady Growth from Managed.forex +0.88 20.8 +19.95
Avia from Manage.forex -42.42 10.9 -99.756

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