Trades
538
Profit Factor
2.16
Max DD%
0.17
Net Profit
126.1
Trades / Year
70
Test Range (UTC)
2019-01-01
→
2026-09-05
Duration: 7.68 years
Symbol / Timeframe
EURJPY
/
PERIOD_M5
Modeling: Mixed
· real ticks 8% of window
evidence in-sample tuned on 2019-01-01 → 2026-09-05
Run Metadata
Bars: 573,202
Ticks: 392,476,680
Tester Note
pv 0.3.1 = pv 0.3.0 + the portfolio cap inputs (engine build 0.2.1): 4 open positions / 1.0% open risk / 2.0% daily account loss / 3 per currency, evaluated by every instance on the account before an order. No trading value changed; identical to 0.3.0 on this window. Tier unchanged (proven). Headless run; generated ticks before 2026.
Full Summary
Raw fields captured from MT5 report / ingestion.
| RowKey | 0.3.1|20260911T144158Z |
| EA Version | 0.3.1 |
| Symbol | EURJPY |
| Timeframe | PERIOD_M5 |
| Test Start (UTC) | 2019-01-01 |
| Test End (UTC) | 2026-09-05 |
| Total Trades | 538 |
| Profit Factor | 2.16 |
| Net Profit | 126.1 |
| Max Balance DD% | 0.17 |
| Max Equity DD% | 0.22 |
| Bars | 573,202 |
| Ticks | 392,476,680 |
| Modeling Quality% | 8.00 |
| Tester Note | pv 0.3.1 = pv 0.3.0 + the portfolio cap inputs (engine build 0.2.1): 4 open positions / 1.0% open risk / 2.0% daily account loss / 3 per currency, evaluated by every instance on the account before an order. No trading value changed; identical to 0.3.0 on this window. Tier unchanged (proven). Headless run; generated ticks before 2026. |
Tip: If this run has low trades, treat PF with caution and compare multiple runs.