Monthly return +5.0% | Avg trade length 2.1 days | Trades per day 3.5 | History 142 days | Risk/Reward Ratio +9.71 |
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Worst day % -0.7%
| Worst week % +0.1%
| Worst month % +2.2%
| Deepest valley -0.7%
| Loss from outset -.-- |
Worst day % -5.8%
| Worst week % -8.5%
| Worst month % -5.0%
| Deepest valley -17.0%
| Loss from outset -8.3%
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