TradeStation Strategy Performance Report
TradeStation Strategy Performance Report - TSGO_TEST EURJPY A0-FX-Daily (04.01.2001-22.11.2003)
Strategy Analysis
Net Profit $5 801,0000 Open Position $27,0000
Gross Profit $6 628,0000 Interest Earned $313,4530
Gross Loss ($827,0000) Commission Paid $290,0000
Percent profitable 68,97% Profit factor 8,01
Ratio avg. win/avg. loss 3,61 Adjusted profit factor 4,67
Annual Rate of Return 19,62% Sharpe Ratio N/A
Return on Initial Capital 58,01% Return Retracement Ratio 32,92
Return on Max. Drawdown 697,24% K-Ratio N/A
Buy/Hold return 19,28% RINA Index 61,71
Cumulative return 53,43% Percent in the market 80,63%
Adjusted Net Profit $4 043,2675 Select Net Profit $5 801,0000
Adjusted Gross Profit $5 145,9341 Select Gross Profit $6 628,0000
Adjusted Gross Loss ($1 102,6667) Select Gross Loss ($827,0000)
Total Trade Analysis
Number of total trades 29 
Average trade $200,0345 Avg. trade ± 1 STDEV $540,46 / ($140,3907)
1 Std. Deviation (STDEV) $340,4252 Coefficient of variation 170,18%
Run-up
Maximum Run-up $1 150,0000 Max. Run-up Date 04.09.2003
Average Run-up $301,6667 Avg. trade ± 1 STDEV $625,3534 / $0,0000
1 Std. Deviation (STDEV) $323,6867 Coefficient of variation 107,30%
Drawdown
Maximum Drawdown ($407,0000) Max. Drawdown Date 24.05.2001
Average Drawdown ($116,6000) Avg. trade ± 1 STDEV $0,0000 / ($238,6050)
1 Std. Deviation (STDEV) $122,0050 Coefficient of variation 104,64%
Reward/Risk Ratios
Net Prft/Largest Loss 13,91  Net Prft/Max Drawdown 14,25 
Adj Net Prft/Largest Loss 9,70  Adj Net Prft/Max Drawdown 9,93 
Outlier Trades Total Trades Profit/Loss
Positive outliers 0 $0,0000
Negative outliers 0 $0,0000
Total outliers 0 $0,0000
Efficiency Analysis
Total Efficiency
Average Total Efficiency 35,74% Avg. trade ± 1 STDEV 85,60% / -14,12%
1 Std. Deviation (STDEV) 49,86% Coefficient of variation 139,52%
Entry Efficiency
Average Entry Efficiency 64,78% Avg. trade ± 1 STDEV 94,71% / 34,86%
1 Std. Deviation (STDEV) 29,93% Coefficient of variation 46,20%
Exit Efficiency
Average Exit Efficiency 70,96% Avg. trade ± 1 STDEV 100,30% / 41,61%
1 Std. Deviation (STDEV) 29,35% Coefficient of variation 41,36%
Open Position Analysis
Open Average Percent
Position Trade of Average
Unrealized Profit/Loss $27,0000 $200,0345 -86,50%
Time in trade (Days) 2,00 29,07 6,88%