Backtest Run #00000000
COMPLETEDInstrument: EUR_USD • Timeframe: M5 • Strategy ID: 00000000
Configuration Snapshot
ID: 00000000InstrumentEUR_USD
TimeframeM5
StatusCOMPLETED
Progress500 / 500 bars (100.00%)
Random Seed42
Spread ModelFIXED_1_PIP
CommissionPER_LOT_3_50
Slippage ModelFIXED_0_5_PIP
Net P&L
+$1450.00
Final: $11450.00Win Rate
65.00%
13W / 7L (20 trades)Profit Factor
2.93
Gross +$2200.00 / -$750.00Max Drawdown
2.85%
Amount: -$320.00Sharpe Ratio
2.15
Annualized (252 bars)Sortino Ratio
3.42
Downside deviationStreaks (Max)
4W / 2L
Max consecutive wins/lossesInitial Capital
$10000.00
Starting baselineEquity & Drawdown Progression
Realized balance progression across completed bars
Execution & Cost Breakdown
Total simulated friction deducted from gross performance
Commission
$140.00
Broker turn per lotSwap / Rollover
$-15.00
Overnight financingSpread Friction
$200.00
Bid / Ask crossingSlippage Impact
$0.00
Execution price varianceExecuted Trades (2)
Chronological list of all executed positions and closures
| # | Instrument | Side | Size | Net P&L | Exit Reason | Duration | Exit Time |
|---|---|---|---|---|---|---|---|
| 1 | EUR_USD | BUY | 1.00 lot | +$165.00 | TAKE_PROFIT | 15m 0s | 2026-06-01T10:15:00Z |
| 2 | EUR_USD | SELL | 1.00 lot | -$102.00 | STOP_LOSS | 7m 0s | 2026-06-01T11:07:00Z |