MIG Investments SA

Account: 76171 Name: TSD v11 MT4 JB OsMA beta0.3 Currency: USD 2006 October 6, 20:01
Closed Transactions:
TicketOpen TimeTypeLotsItem PriceS / LT / PClose Time PriceCommissionTaxesSwapProfit
28792712006.10.01 00:01balanceDeposit25 000.00
28795162006.10.01 23:03buy stop1.00gbpusd1.87801.86991.88802006.10.02 00:021.8750cancelled
28796592006.10.01 23:06buy stop1.00eurusd1.27021.26691.28022006.10.02 00:061.2684cancelled
28797202006.10.01 23:08sell stop1.00usdchf1.24811.25121.23812006.10.02 00:011.2501cancelled
28797622006.10.01 23:12sell stop1.00usdjpy117.95118.19116.952006.10.02 00:04118.12cancelled
29013532006.10.03 13:41buy1.00usdchf1.24511.24821.26422006.10.04 23:071.24820.000.009.64248.36
29013782006.10.03 18:05sell1.00gbpusd1.88641.88451.86852006.10.04 16:001.88450.000.002.00190.00
29014062006.10.03 11:38buy1.00usdjpy117.84117.61118.882006.10.03 13:33117.610.000.000.00-195.56
29014252006.10.03 10:03sell1.00eurusd1.27371.26321.24722006.10.06 20:001.25980.000.0035.001 390.00
29166192006.10.03 17:15buy1.00usdjpy117.93117.59118.932006.10.05 03:49117.590.000.0049.23-289.17
29397622006.10.05 08:43sell1.00gbpusd1.88451.88691.86842006.10.05 09:301.88690.000.000.00-240.00
29498082006.10.05 16:46buy1.00usdjpy117.75118.52120.122006.10.06 20:00118.970.000.0012.311 025.47
29536842006.10.05 13:01sell1.00gbpusd1.88311.87911.86312006.10.06 13:521.87910.000.002.00400.00
  0.00 0.00 110.18 2 529.10
Closed P/L: 2 639.28
Open Trades:
TicketOpen TimeTypeLotsItem PriceS / LT / P  PriceCommissionTaxesSwapProfit
No transactions
  0.00 0.00 0.00 0.00
 Floating P/L: 0.00
Working Orders:
TicketOpen TimeTypeLotsItem PriceS / LT / PMarket Price 
No transactions
 
Summary:
Deposit/Withdrawal: 25 000.00 Credit Facility: 0.00  
Closed Trade P/L: 2 639.28 Floating P/L: 0.00 Margin: 0.00
Balance: 27 639.28 Equity: 27 639.28 Free Margin: 27 639.28
 
Details:
Graph
Gross Profit: 3 314.78 Gross Loss: 675.50 Total Net Profit: 2 639.28
Profit Factor: 4.91 Expected Payoff: 329.91  
Absolute Drawdown: 225.50 Maximal Drawdown: 479.94 (1.90%) Relative Drawdown: 1.90% (479.94)
 
Total Trades: 8 Short Positions (won %): 4 (75.00%) Long Positions (won %): 4 (50.00%)
Profit Trades (% of total): 5 (62.50%) Loss trades (% of total): 3 (37.50%)
Largest profit trade: 1 425.00 loss trade: -240.00
Average profit trade: 662.96 loss trade: -225.17
Maximum consecutive wins ($): 3 (2 864.78) consecutive losses ($): 2 (-479.94)
Maximal consecutive profit (count): 2 864.78 (3) consecutive loss (count): -479.94 (2)
Average consecutive wins: 3 consecutive losses: 2