Happy Market Hours Real Account

-16.49% WEEKLY · 36.1 weeks
  • Average Pips per Week:
    -33 (Gross Pips: -1,183)
  • Average P/L per Week:
    -16.48% (Gross P/L: -99.85%)
  • Maximum Equity used:
    82.67% (Nov 24, 2013, 3:40:00 PM)
  • Test started:
    Mar 17, 2013
  • Test Stopped:
    Nov 25, 2013 (Tested 36.1 weeks)
Crashed & Burned


We appreciate HappyForex.sk adding a Real Account Performance of HappyMarketHours EA with ForexPeaceArmy.com traders community!

Please address ALL questions regarding the settings of this EA to HappyForex.sk support. The FPA is monitoring this EA using the investor password and has no access to the settings being used.

2013-11-25 Happy Market Hours Real Test Crashed and Burned.

2013-04-16 Happy Market Hours Real Test started with help of Investor Access.

Description: EA Happy Market Hours used scalping strategy with technical indicators, that best works on EURUSD, EURCHF, EURGBP, EURCAD, EURAUD, AUDUSD, AUDCHF, AUDCAD, USDCAD, USDCHF, GBPUSD, GBPCAD, GBPAUD, GBPCHF, CADCHF to M15 chart. EA Happy Market Hours works best on low pip spread. We recommend 5 pip spread as maximum (http://www.myfxbook.com/forex-broker-spreads), the lower the spread the better EA Happy Market Hours works. Is equipped with Spread Filter which will stop the EA Happy Market Hours from executing trade if the broker spread is above setting spread. Uses dynamic stop loss and take profit levels based on market sentiment.

Statement One Vector Group Inc.

  • Account:
    hidden***
  • Name:
    HappyMarketHours Real Test by ForexPeaceArmy
  • Currency:
    USD
  • Date:
    Nov 24, 2013


Closed Transactions:

Ticket Open Time Type Size Item Price Open S / L T / P Close Time Price Close Commission Taxes Swap Profit Pips
119775292013-03-17 10:41balanceTT#34033: 424726->329505500.000
119794252013-03-18 00:10buy0.05gbpjpyf143.08142.68143.482013-03-18 00:32143.480.000.000.0021.0740
119791602013-03-18 00:05buy0.05audcadf1.058761.054761.062762013-03-18 00:341.060210.000.000.007.0915
119795902013-03-18 00:11buy0.05eurjpyf122.20121.80122.602013-03-18 01:08122.600.000.000.0021.0640
119779642013-03-18 00:01sell0.05gbpusdf1.512091.516091.508092013-03-18 01:511.511230.000.000.004.309
119780552013-03-18 00:01buy0.05eurcadf1.320271.316271.324272013-03-18 02:151.320400.000.000.000.631
View full statement
209611272013-11-21 23:00sell0.01gbpusdf1.617111.621111.613112013-11-22 01:321.618950.000.000.00-1.84-18
209713642013-11-22 01:57buy0.01gbpcadf1.702691.698691.706692013-11-22 02:311.703180.000.000.000.465
209713722013-11-22 01:57buy0.01gbpusdf1.618271.614271.622272013-11-22 02:311.619070.000.000.000.808
209702342013-11-22 01:15sell0.01gbpchff1.479551.483551.475552013-11-22 04:401.479880.000.000.00-0.36-3
209553062013-11-21 18:34sell0.01gbpjpyf163.040.000.002013-11-25 02:58164.680.000.000.00-16.10-163
209552992013-11-21 18:34sell0.01gbpcadf1.697890.000000.000002013-11-25 03:301.712000.000.000.00-13.38-141
209760582013-11-22 06:43sell0.01gbpjpyf163.570.000.002013-11-25 03:30164.840.000.000.00-12.51-127
  0.00 0.00 0.00 -507.02 -1,183
  Closed P/L: -507.02  

Open Trades:

Ticket Open Time Type Size Item Price Open S / L T / P   Price Commission Taxes Swap Profit Pips
  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  


Summary:

Deposit/Withdrawal: 507.78 Credit Facility: 0.00    
Closed Trade P/L: -507.02 Floating P/L: 0.00 Margin: 0.00
Balance: 0.76 Equity: 0.76 Free Margin: 0.76

Details:

Gross Profit: 1,887.04 Gross Loss: -2,394.06 Total Net Profit: -507.02
Profit Factor: -0.79 Expected Payoff: -0.47
Absolute Drawdown: 507.02 Maximal Drawdown: 923.57 (100.15%) Relative Drawdown: 100.15% (923.57)
Total Trades: 1090 Short Positions (won %): 705 (58.72%) Long Positions (won %): 385 (65.97%)
Profit Trades (% of total): 668 (61.28%) Loss trades (% of total): 422 (38.72%)
Largest profit trade: 33.75 loss trade: -42.54
Average profit trade: 2.82 loss trade: -5.67
Maximum consecutive wins ($): 24 (67.97) consecutive losses ($): 12 (-90.00)
Maximal consecutive profit (count): 91.42 (12) consecutive loss (count): -216.00 (8)
Average consecutive wins: 4 consecutive losses: 2

Analytics

Trading Instruments

Maximum Equity Usage Recorded, 100.15%

Recorded on Nov 25, 2013 3:30:00 AM Broker Time

Average trade length: 1 hour, 43 minutes, 56 seconds

Average trades opened daily/weekly/monthly: 7/30/121

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,%
Happy Way Restart +0.25 426.5 +187.419
Happy MartiGrid +0.41 369.2 +358.862
Happy Algorithm -3.02 5.6 -15.778
Happy Forex -2.38 45.3 -66.45
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
ACM Manager Account 2 +0.11 27.6 +3.102

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