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20121022 YM 12-12 8:50 L 5 375 -400
20121022 TF 12-12 9:09 S 3 390 330
20121022 6E 12-12 9:24 S 3 337 638
20121022 6E 12-12 10:24 L 6 375 0
20121022 ES 12-12 10:30 L 2 275 -275
20121022 6E 12-12 11:36 L 5 375 -375
20121022 NQ 12-12 12:54 L 2 330 220
20121022 FDAX 12-12 14:18 S 1 212 -212
20121022 ES 12-12 14:30 S 4 400 -400
20121022 NQ 12-12 14:30 S 6 390 -390
1st column - Trade date
2nd column - Futures contract (XX MM-YY)
3rd column - Time of trade setup (US CST)
4th column - Direction of trade (Long or Short)
5th column - Number of contracts
6th column - Initial $ Risk on trade (should always be less than $400)
7th column - Profit or Loss on trade
Metric Value
1 Start Date 20121009
2 End Date 20121026
3 Starting Equity 40000
4 Equity High 46651
5 Equity Low 38775
6 Net Profit 5384
7 Final Equity 45384
8 Return on Starting 13.46
9 Number of Trades 96
10 Percent Profitable 46.88
11 Max Position Size 21
12 Avg Win 522.13
13 Max Consec Wins 5
14 Largest Win 1760
15 Avg Loss -355.14
16 Max Consec Losses 5
17 Largest Loss -425
18 Profit Factor 1.30
19 Win-Loss Ratio 0.88
20121031 TF 12-12 10:10 L 3 390 -360
20121031 ES 12-12 11:39 L 4 350 550
20121031 YM 12-12 11:39 L 7 385 665
20121031 6E 12-12 11:39 L 6 375 450
20121031 6C 12-12 12:05 S 6 360 -420
20121031 ES 12-12 14:20 S 4 350 -350