P&L Performance
MT5 Account #7842931 · Strategy analytics and trade history
Total Net P&L
+$8,342.80
30-day period
+36.0%
Win Rate
64.2%
89/139 trades
+2.1%
Profit Factor
2.31
Gross P / Gross L
Excellent
Max Drawdown
-8.4%
-$1,948.22 peak
Acceptable
Avg RR Ratio
1:2.4
139 closed trades
Equity Curve
30-day balance progression
Daily P&L
Last 14 trading days
Win / Loss
Trade outcome distribution
P&L by Currency Pair
Net realized profit per pair — 30 days
Trade History
10Net: +$636.90
10 trades · Page 1 of 2