Strategy Tester Report
Night Hunter Pro
ICMarketsSC-Live01 (Build 1353)

SymbolEURUSD (Euro vs US Dollar)
Period5 Minutes (M5) 2003.05.08 11:20 - 2022.03.03 13:15
ModelEvery tick (the most precise method based on all available least timeframes)
ParametersMM_Setting="Select the risk settings"; CheckForOtherInstances=true; AllowOpeningNewTrades=true; LotSizingMethod=0; LotSizingValueFixed=0.01; LotSizingValueDynamic=10000; LotSizingValueRiskPerTrade=5; MaximumLot=1000; UseEvenLotSize=false; MaximumSpread=5; MaximumSpreadPending=0; MaximumSlippage=5; MaximumSymbols=5; MaximumCurrencies=2; AllowToBuySell=0; MinimumFreeMargin=0; MaximumDrawdown=100; MaximumDrawdownMoney=0; MaxDailyDrawdownLimitPercentFTMO=100; MaximumDrawdownAction=0; DrawdownCalculation=1; Time_Setting="Select hours/minutes/days to trade"; SmartTimeFilter=true; TradeOnMonday=true; TradeOnTuesday=true; TradeOnWednesday=true; TradeOnThursday=true; TradeOnFriday=true; HourToStartPlacingOrders=23; MinutesToStartPlacingOrders=0; HourToStopPlacingOrders=0; MinutesToStopPlacingOrders=59; HourToStopTrading=4; FridayExitHour=0; NY_HolidayFilter=true; RolloverTimeFilter=true; RolloverStartTime=55; RolloverEndTime=15; RemoveTakeProfit=false; IncreaseStopLoss=0; Strategy_Setting="Select TP, SL and the symbols used"; Symbols="EURUSD"; MinimumPriceRange=0; Stop_Loss=0; Stop_Loss_ATR=0; HideSL=false; RandomizeLevels=false; SwapFilter=true; MaxNegativeSwapPips=0; ApplySwapFilterTo=1; NewsFilter_Setting="Advanced News Filter"; NewsFilterEnabled=true; DisableTradingOnHolidays=false; WaitMinutesBeforeEvent=180; WaitMinutesAfterEvent=120; ShowNewsList=false; StockMarketFilter_Setting="Stock Market Crash Filter (SPX500 based)"; StockMarketFilterEnabled=false; StockMarketSymbol="US500"; StockMarketFilterPeriod=48; MaxHistoricalVolatility=40; Additional_Setting="Change the comment and UID if needed"; TradeComment="Night Hunter"; UID=0; AdjustOrderPrice=0; AdjustTakeProfit=0; ShowPanel=true; FontSize=6; Additional_Split="This option splits a Parent pending order into several Child orders"; NumberChildOrders=1; OffsetThePrice=true; StepForOrderPrice=0.1; OffsetTakeProfit=false; StepForTakeProfitPrice=0.1; Backtest_Setting="These settings only work in backtests"; DisableAutoGMT=false; GMT_offset=2; DST=1;
Bars in test1410166Ticks modelled391526347Modelling quality99.90%
Mismatched charts errors0
Initial deposit10000.00SpreadVariable
Total net profit1007.47Gross profit1580.88Gross loss-573.41
Profit factor2.76Expected payoff0.22
Absolute drawdown1.18Maximal drawdown21.23 (0.20%)Relative drawdown0.20% (21.23)
Total trades4503Short positions (won %)2369 (80.67%)Long positions (won %)2134 (79.48%)
Profit trades (% of total)3607 (80.10%)Loss trades (% of total)896 (19.90%)
Largestprofit trade15.09loss trade-14.69
Averageprofit trade0.44loss trade-0.64
Maximumconsecutive wins (profit in money)82 (48.91)consecutive losses (loss in money)6 (-2.20)
Maximalconsecutive profit (count of wins)48.91 (82)consecutive loss (count of losses)-14.75 (2)
Averageconsecutive wins5consecutive losses1
Graph