Quote from clarodina:
Rol, would you offer some advice on how to achieve a R:R 1:1 or > 1 for strategies? Even with trend filter the R:R is hovering around 0.8:1 or 0.9:1
[color=green][size=2][b]
Total Net Profit $2,791.53
(Per Share) $0.13
Gross Profit $5,445.94
Gross Loss ($2,654.41)
Profit Factor 2.05
Total Number of Trades 195
Percent Profitable 66.67%
Winning Trades 130
Losing Trades 65
Avg. Trade Net Profit $14.32
Avg. Winning Trade $41.89
Avg. Losing Trade ($40.84)
Ratio Avg. Win:Avg. Loss 1.03
Expectancy 0.35
Largest Winning Trade $377.22
Largest Losing Trade ($322.95)
Max. Consecutive Winning Trades 21
Max. Consecutive Losing Trades 11
Total Shares/Contracts Held 22160
Total Commission $455.53
Return on Initial Capital 2.79%
Annual Rate of Return 35.92%
Buy & Hold Return 0.52%
Trading Period 28 Dys
Max. Equity Run-up(Daily) $2,929.48
Date of Max. Equity Run-up 3/28/2013 15:00
Max. Drawdown(Daily)
Value ($698.05)
Date 3/25/2013 15:00
as % of Initial Capital 0.70%
Max. Trade Drawdown ($427.77)
[/b][/size][/color]
[color=green][size=2][b]
Total Net Profit $2,352.96
(Per Share) $0.08
Gross Profit $8,607.93
Gross Loss ($6,254.96)
Profit Factor 1.38
Total Number of Trades 294
Percent Profitable 64.29%
Winning Trades 189
Losing Trades 105
Avg. Trade Net Profit $8.00
Avg. Winning Trade $45.54
Avg. Losing Trade ($59.57)
Ratio Avg. Win:Avg. Loss 0.76
Expectancy 0.13
Largest Winning Trade $377.22
Largest Losing Trade ($322.95)
Max. Consecutive Winning Trades 21
Max. Consecutive Losing Trades 11
Total Shares/Contracts Held 31120
Total Commission $643.01
Return on Initial Capital 2.35%
Annual Rate of Return 23.60%
Buy & Hold Return -0.03%
Trading Period 1 Mth, 5 Dys
Max. Equity Run-up(Daily) $2,929.48
Date of Max. Equity Run-up 3/28/2013 15:00
Max. Drawdown(Daily)
Value ($2,969.18)
Date 4/4/2013 15:00
as % of Initial Capital 2.97%
Max. Trade Drawdown ($462.48)
[/b][/size][/color]