Strategy Tester Report
MACD Sample

Symbol EURUSD (Euro vs. United States Dollar)
Period 30 Minutes (M30) 2006.08.14 16:00 - 2006.09.13 04:00 (2006.08.01 - 2006.09.01)
Model Open prices only (fastest method to analyze the bar just completed)
Parameters TakeProfit=50; Lots=0.1; TrailingStop=30; MACDOpenLevel=3; MACDCloseLevel=2; MATrendPeriod=26;
Bars in test 1025 Ticks modelled 1950 Modelling quality n/a
Initial deposit 10000.00
Total net profit 42.88 Gross profit 42.88 Gross loss 0.00
Profit factor Expected payoff 21.44
Absolute drawdown 0.00 Maximal drawdown 0.00 (0.00%) Relative drawdown 0.00% (0.00)
Total trades 2 Short positions (won %) 1 (100.00%) Long positions (won %) 1 (100.00%)
Profit trades (% of total) 2 (100.00%) Loss trades (% of total) 0 (0.00%)
Largest profit trade 26.88 loss trade 0.00
Average profit trade 21.44 loss trade 0.00
Maximum consecutive wins (profit in money) 2 (42.88) consecutive losses (loss in money) 0 (0.00)
Maximal consecutive profit (count of wins) 42.88 (2) consecutive loss (count of losses) 0.00 (0)
Average consecutive wins 2 consecutive losses 0
Graph
# Time Type Order Lots Price S / L T / P Profit Balance
1 2006.08.18 17:00 buy 1 0.10 1.2839 0.0000 1.2889
2 2006.08.21 05:00 modify 1 0.10 1.2839 1.2847 1.2889
3 2006.08.21 07:00 modify 1 0.10 1.2839 1.2851 1.2889
4 2006.08.21 08:30 close 1 0.10 1.2867 1.2851 1.2889 26.88 10026.88
5 2006.08.23 17:30 sell 2 0.10 1.2811 0.0000 1.2761
6 2006.08.23 23:00 close 2 0.10 1.2795 0.0000 1.2761 16.00 10042.88