Account #2

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+132.44%
+26.70%

0.14%
4.39%
Drawdown: 37.98%

Balance: $71,838.71
Equity: (80.88%) $58,104.60
Highest: (Jun 30) $291,995.63
Profit: $113,969.09
Interest: -$8,468.13

Deposits: $431,431.08
Withdrawals: $468,916.00

Updated 1 minute ago
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Gain (Difference) Profit (Difference) pips (Difference) Win% (Difference) Trades (Difference) Lots (Difference)
Today +1.84% (+1.55%) $1,299.11 (+$1,094.01) +9,440.6 (+8,369.7) 81% (+3%) 95 (+38) 5.66 (-2.66)
This Week +2.54% (+2.99%) $1,771.96 (+$2,174.59) +11,978.8 (+13,368.0) 84% (+6%) 219 (-65) 23.35 (-13.77)
This Month +1.99% (-0.16%) $1,313.99 (-$271.23) +10,754.6 (+4,163.0) 80% (+8%) 468 (-812) 47.99 (-133.97)
This Year +35.53% (-35.72%) $11,959.20 (-$90,039.57) -26,513.9 (-140,206.3) 73% (+5%) 16,545 (-4719) 1,537.76 (-1,319.24)
Data is private.
$
% Yearly
Trades: 37,809
Profitability:
pips: 87,576.1
Average Win: 52.72 pips / $24.97
Average Loss: -118.80 pips / -$49.74
Lots : 4,394.76
Commissions: -$7,834.42
Longs Won: (13,803/19,096) 72%
Shorts Won: (12,896/18,713) 68%
Trade terbaik ($): (Aug 06) 3,940.70
Worst Trade ($): (Apr 15) -10,486.17
Best Trade (Pips): (Aug 06) 12,541.0
Worst Trade (Pips): (Jun 25) -25,782.0
Avg. Trade Length: 1d
Profit Factor: 1.21
Standard Deviation: $146.373
Sharpe Ratio 0.00
Z-Score (Probability): -77.48 (99.99%)
Expectancy 2.3 pips / $3.01
AHPR: 0.00%
GHPR: 0.00%
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Data includes last 200 transactions based on the analysed history.
Data includes last 200 transactions based on the analysed history.
Open trades are private.

Other Systems by StephenPumilia

Name Gain Drawdown pips Trading Leverage Type
20x Demo New 132.55% 95.82% 74,252.2 - 1:500 Demo
Aaron 2026 19.68% 42.59% 81,921.2 - 1:200 Real
Account #1 128.90% 37.12% 99,594.7 - 1:400 Real
Dan/Amanda 29.71% 48.67% 3,906.1 - 1:500 Real
Account USV