%BB-RTY TEM Ver2 Agro cap 6
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TradeStation Performance Summary
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All TradesLong TradesShort Trades
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Total Net Profit$316,885.00 $217,896.00 $98,989.00
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Gross Profit$714,100.00 $495,234.50 $218,865.50
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Gross Loss($397,215.00)($277,338.50)($119,876.50)
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Profit Factor1.81.791.83
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Roll Over Credit$0.00 $0.00 $0.00
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Open Position P/L$0.00 $0.00 $0.00
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Select Total Net Profit
$311,666.00 $243,990.00 $67,676.00
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Select Gross Profit$666,191.50 $487,643.00 $178,548.50
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Select Gross Loss($354,525.50)($243,653.00)($110,872.50)
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Select Profit Factor1.8821.61
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Adjusted Total Net Profit
$276,114.22 $184,605.86 $75,199.83
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Adjusted Gross Profit
$691,849.47 $477,375.89 $205,318.07
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Adjusted Gross Loss
($415,735.24)($292,770.03)($130,118.24)
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Adjusted Profit Factor
1.661.631.58
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Total Number of Trades
1,4901,092398
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Percent Profitable69.13%70.42%65.58%
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Winning Trades1,030769261
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Losing Trades460323137
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Even Trades000
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Avg. Trade Net Profit
$212.67 $199.54 $248.72
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Avg. Winning Trade$693.30 $644.00 $838.57
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Avg. Losing Trade($863.51)($858.63)($875.01)
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Ratio Avg. Win:Avg. Loss
0.80.750.96
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Largest Winning Trade
$4,300.50 $2,860.50 $4,300.50
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Largest Losing Trade
($5,509.50)($4,849.50)($5,509.50)
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Largest Winner as % of Gross Profit
0.60%0.58%1.96%
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Largest Loser as % of Gross Loss
1.39%1.75%4.60%
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Net Profit as % of Largest Loss
5751.61%4493.16%1796.70%
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Select Net Profit as % of Largest Loss
5656.88%5031.24%1228.35%
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Adjusted Net Profit as % of Largest Loss
5011.60%3806.70%1364.91%
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Max. Consecutive Winning Trades
161513
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Max. Consecutive Losing Trades
884
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Avg. Bars in Total Trades
7.847.718.21
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Avg. Bars in Winning Trades
6.236.096.66
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Avg. Bars in Losing Trades
11.4311.5511.15
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Avg. Bars in Even Trades
000
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Max. Shares/Contracts Held
10108
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Total Shares/Contracts Held
5,3213,8811,440
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Account Size Required
$11,462.00 $8,614.00 $7,959.00
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Total Slippage$24,585.00 $18,018.00 $6,567.00
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Total Commission$4,470.00 $3,276.00 $1,194.00
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Return on Initial Capital
316.88%
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Annual Rate of Return
12.99%
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Buy & Hold Return147.81%
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Return on Account2764.66%
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Avg. Monthly Return
$2,594.93
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Std. Deviation of Monthly Return
$3,806.93
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Return Retracement Ratio
23.26
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RINA Index16,848.56
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Sharpe Ratio0.5
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K-Ration/a
65
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Trading Period
10 Years, 11 Months, 26 days, 3 hours, 9 Minutes
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Percent of Time in the Market
2.65%
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Time in the Market
3 Months, 14 days, 13 hours, 48 Minutes
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Longest Flat Period
36 days, 1 hour, 12 Minutes
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Max. Equity Run-up$327,065.50
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Date of Max. Equity Run-up
3/26/18 10:36
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Max. Equity Run-up as % of Initial Capital
327.07%
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Max. Drawdown (Intra-day Peak to Valley)
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Value($12,042.00)($9,387.50)($9,532.25)
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Date7/30/18 11:12
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as % of Initial Capital
12.04%9.39%9.53%
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Net Profit as % of Drawdown
2631.50%2321.13%1038.46%
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Select Net Profit as % of Drawdown
2588.16%2599.09%709.97%
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Adjusted Net Profit as % of Drawdown
2292.93%1966.51%788.90%
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Max. Drawdown (Trade Close to Trade Close)
84
Value($11,462.00)($8,614.00)($7,959.00)
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Date7/24/18 10:54
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as % of Initial Capital
11.46%8.61%7.96%
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Net Profit as % of Drawdown
2764.66%2529.56%1243.74%
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Select Net Profit as % of Drawdown
2719.12%2832.48%850.31%
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Adjusted Net Profit as % of Drawdown
2408.95%2143.09%944.84%
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Max. Trade Drawdown
($5,490.00)($4,830.00)($5,490.00)
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All Trades
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Total Net Profit$316,885.00 Profit Factor1.8
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Gross Profit$714,100.00 Gross Loss($397,215.00)
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Roll Over Credit $0.00
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