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FXspace Verified demo account

The performances on FxStat are verified automatically without any human interference. The verification is made possible by means of an Expert Advisor (FxStat Bridge) that runs on the user's MT4.

When a user decides to share their performance, the data is transferred from the user's MT4 terminal to the performance page on FxStat, and this data is processed in different ways into the charts and numbers that you can see on the Statistics page.

Each broker has two types of servers, Real and Demo. When the terminal is connected to the broker's server, FxStat bridge (Expert Advisor) can identify whether the account is demo or real.

Please note: works as a platform where traders in the community can share their performances, follow each other's trades, compare and discuss performances and strategies as well as other topics. We are not associated with any community members or performances, so if you have any question on any performance, you should ask its owner directly, or seek the advise of the other community members. We do not guarantee that past results will be indicative of future results, and returns may vary due to the markets conditions. It is your own responsibility to perform further due diligence that may include and not limited to requesting more information such as Broker name, leverage, account size, trading style and any other information suite your requirement from the performance owner directly.



Score is the weighted average value of all the scores - experience, risk, discipline, return and scalability.

FxStat defines 'Risk' as the maximum a portfolio or a holding may lose in one day with a confidence of 95%. So for example, if the risk of a portfolio is set at 3%, then we can say with 95% confidence that the portfolio will not lose more than 3% of its capital on any given day.

Experience: The more days a trader trades in a year the higher the experience score achieved. The maximum score achievable is 10, for having traded on all 264 tradable days of the year. For each tradable day that a trader does not trade, will loose a 0.038 score.

Risk : The weighted average of the standard daily deviation and max. drawdown.

Discipline: A measure of how disciplined a trader is to his trading strategy. This is found by looking at the distribution of a trades.

Return: weighted average of last 12 month return, probabilities and rations.

Scalability: An assessment of whether a trader is still profitable if he earned 0, 4, 8, 12, 24, 35 pips less on each trade. If the trader is still profitable with the reductions applied then a higher score is applied to scalability value.

out of 100

VaR 95%

3.49% min VaR
5.67% max VaR
Performance History (2759) SymbolsRischioДраудоун
Grafico: CrescitàSaldo Profit vs Pips
Attention: from October my strategy has changed, I improved many things, with the new strategy max DD should not be more than 10% +-2%. My trading strategy mostly based on trend following, heading, or breakout. Mostly I use technical analyze. I do swing, breakout and sometimes scalp trading. Indicators I use: SMA, CCI, figures (triangle, triangle break out, head and shoulders). Monthly I look 2-10% profit. For followers: Please be patient with loses, because it is part of the business. Max stop lose per trade in EUR/USD is around 90 pips, but most times I will be using 25 - 75 pips. Please correctly manage your deposit,for keeping your account alive please use correct money management (max-0.3 lot per 300$), don't risk more than 3% per trade. For newbie’s: Question from one of Forex newbie: why you lose pips? Me: good question, that is called Forex trading, not money printing, Sometimes lose sometimes profit, overall higher profit then lose. Attention Forex business does not fit to everyone, it is risky business and I'm a trader not fortune teller. Thanks for following my trades. ----------------------------------- Update: during the first half of last year a negative tendency occurred in my work. This happened due to problems caused by me moving to a country where technical and infrastructural problems – unstable internet and electricity - caused major difficulties. This experience showed me that I need to be more cautious when taking risks and be more patient with trading. So after 14 years I added another positive function to my trading strategy, this is to keep the lowest drowdawn in every condition, even during the possibility of adverse technical or fundamental circumstances. Also, during the last two years I have developed a new trading strategy which proved to be working successfully together with my old well-tested strategy and I attached it to my accounts. So after all the negative experiences, I created a safer strategy, got more psychological stability and constancy in my work. My target is to keep lower drowdawn, 2-5% with 60-70% annual income.
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Past results are not necessarily indicative of future results, as returns may vary according to market conditions. Hypothetical performance results have many inherent limitations. No representation is being made that any account will or is likely to achieve profits or losses similar to those shown. In fact, there are frequently sharp differences between hypothetical performance results and the actual results subsequently achieved by any particularly trading program.

Any opinions, news, research, analyses, prices, or other information contained on this website is provided as general market commentary and does not constitute investment advice. The broker/dealer and the referring broker will not accept liability for any loss or damage, including without limitation to, any loss of profit, which may arise directly or indirectly from use of or reliance on such information.

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