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

+$8,342.80

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

10
Net: +$636.90
Ticket
Pair
Dir
Lots
Entry
Close
Pips
Profit
Duration
Strategy
Closed
Result
78428002GBP/USDSELL0.301.275801.27210+37.0+$111.002h 35mBreakout2026-05-29 09:55WIN
78428001EUR/USDBUY0.501.080121.08524+51.2+$256.002h 35mTrend-Follow2026-05-29 08:45WIN
78428003USD/JPYBUY0.40149.120148.780-34.0$-136.000h 45mMean-Rev2026-05-29 08:30LOSS
78428004AUD/USDBUY0.200.645200.64820+30.0+$60.005h 30mScalp-M52026-05-29 03:40WIN
78428005EUR/GBPSELL0.600.858900.85740+15.0+$89.404h 15mTrend-Follow2026-05-28 19:45WIN
78428006USD/CADSELL0.351.367801.37200-42.0$-147.001h 10mBreakout2026-05-28 15:10LOSS
78428007EUR/JPYBUY0.25161.540162.340+80.0+$200.003h 35mTrend-Follow2026-05-28 13:50WIN
78428008NZD/USDSELL0.200.603500.60120+23.0+$46.002h 40mMean-Rev2026-05-27 11:20WIN

10 trades · Page 1 of 2