WF662776

Private profile

Account Name

WF662776

Certifications

Real Account

Real Account

This is a live trading account with real money. Performance on real accounts reflects actual trading conditions including slippage, execution speed, and psychological factors. Real account results are more reliable indicators of trading performance.

Track Record

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Trading Privileges

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Info

MetaTrader 5
Ox Securities Pty Ltd

Ox Securities Pty Ltd

OxSecurities-Live

USD1:500 leverage
100% autotrading

Autotrading Percentage

Percentage of trades executed by an automated system (Expert Advisor or Robot). 100% means all trades are automated, while lower values indicate a mix of automated and manual trading.

Account Stats

Gain

Time-Weighted Return (TWR)

Measures your trading performance independently from deposits and withdrawals. Shows the actual return generated by your trading decisions, calculated by compounding the daily returns of your equity curve.

+11.75%

Abs. Gain

Absolute Gain

Percentage gain based on your total closed profit/loss relative to deposits. Calculated as (Net Closed P&L / Total Deposits) × 100. Accounts for withdrawals through the profit calculation.

+11.75%

Avg Daily %

Average Daily Return

The average percentage return per trading day. Calculated by dividing your total Time-Weighted Return by the number of days with trading activity. Helps you understand your typical daily performance.

0.11%

Avg Monthly %

Average Monthly Return

The arithmetic mean of all monthly returns. Shows your average monthly performance across all months with trading activity. Useful for setting realistic monthly profit targets.

3.44%

Drawdown

Maximum Drawdown (on Equity)

The largest peak-to-trough decline in your account equity (balance + floating P&L). Represents the maximum loss from a high point before a new high is achieved. Lower drawdowns indicate better risk management. This includes unrealized profits/losses from open positions.

23.48%

DD on Balance

Maximum Drawdown (on Balance)

The largest peak-to-trough decline in your closed balance only, excluding floating P&L from open positions. Shows the actual realized drawdown based on closed trades. More conservative than equity drawdown as it ignores temporary unrealized losses.

0.95%

Balance

$99,070.21

Equity

(93.69%) $92,821.87

Highest $

Peak Balance

The highest equity point your account has reached. This represents your all-time high before any subsequent drawdowns. Tracking this helps you understand how far you are from your best performance.

$99,071.89

Profit

+$10,420.92

Deposits

$88,650.97

Withdrawals

$0.00

Last Change

Last Account Change

Shows when the account last had a significant change (new trades, closed positions, deposits/withdrawals). Our system only updates and sends data when changes occur, not on a fixed schedule. If trading activity is paused, the account remains unchanged to optimize performance.

1 hour ago

Followers

0

Growth

+11.75%

Monthly Returns

Monthly and daily performance breakdown

Year JanFebMarAprMayJunJulAugSepOctNovDec Year
2026+0.84%+4.84%+3.23%+2.39%0.00%+11.75%
Total +11.75%
Positive Return
Negative Return
No Activity

Advanced Statistics

Detailed performance metrics and analytics

Trades

Total Trades300
Win Rate61.3%
Total Pips+1291.1
Avg. Win22.05 pips / $91.29
Avg. Loss23.84 pips / $54.98
Total Lots96.76
Total Commissions-$819.42
Total Swap Paid-$438.69
Longs Won (134/209) 64%
Shorts Won (50/91) 55%
Best Trade (P&L) (May 28) $1,368.95
Worst Trade (P&L) (Jun 03) -$270.89
Best Trade (Pips) (Jun 03) 93.8
Worst Trade (Pips) (Jun 03) -224.4
Avg. Trade Length3d 3h

Performance Metrics

Profit Factor

Profit Factor

Ratio of gross profits to gross losses. A value above 1.0 means profitable trading. For example, 2.0 means you make $2 for every $1 lost. Higher values indicate better performance and risk management.

2.63
Standard Deviation

Standard Deviation

Measures the volatility of your trade returns. Higher values mean more inconsistent results. Lower standard deviation indicates more predictable and stable trading performance.

$151.47
Sharpe Ratio

Sharpe Ratio

Measures risk-adjusted returns by comparing your average return to the volatility (standard deviation). Higher values indicate better returns for the risk taken. Values above 1.0 are considered good, above 2.0 excellent.

0.23
Z-Score (Probability)

Z-Score

Statistical measure of how randomly wins and losses are distributed. Values near 0 indicate random distribution. High positive or negative values suggest streaky patterns (consecutive wins or losses), which may indicate system dependencies.

0.21 (55.18%)
Expectancy

Expectancy

The average amount you can expect to win (or lose) per trade in both pips and currency. Calculated as (Win Rate × Avg Win) - (Loss Rate × Avg Loss). Positive expectancy means your system is profitable over time.

4.3 Pips / $34.73
AHPR

Average Holding Period Return

The arithmetic average return per trade. Calculated as the sum of all trade returns divided by the number of trades. Useful for understanding your average performance per position.

+0.04%
GHPR

Geometric Holding Period Return

The compounded average return per trade. More accurate than AHPR for measuring long-term performance as it accounts for the multiplicative nature of returns. Shows the actual growth rate of your account.

+0.04%
Detailed breakdown of trading performance

Breakdown Statistics

Performance breakdown by instrument or strategy

Currency Longs Shorts Total
TradesPipsProfit($)TradesPipsProfit($)TradesPipsProfit($)Won(%)Lost(%)
EURCAD.PRO45199.3$1,264.8100.0$0.0045199.3$1,264.8130 (67%) 15 (33%)
EURNZD.PRO10-206.7$469.283576.7$802.7945-130.0$1,272.0727 (60%) 18 (40%)
CADCHF.PRO44131.6$1,500.0600.0$0.0044131.6$1,500.0625 (57%) 19 (43%)
NZDCAD.PRO31230.0$831.186-144.1$44.023785.9$875.2022 (59%) 15 (41%)
EURUSD.PRO8180.5$625.6717189.9$959.8925370.4$1,585.5616 (64%) 9 (36%)
AUDUSD.PRO2439.1$801.5900.0$0.002439.1$801.5915 (63%) 9 (38%)
USDCAD.PRO13182.7$450.941016.8$38.6823199.5$489.6213 (57%) 10 (43%)
NZDCHF.PRO00.0$0.0022187.8$459.4422187.8$459.4413 (59%) 9 (41%)
NZDUSD.PRO18164.9$510.05110.6$23.7519175.5$533.8013 (68%) 6 (32%)
EURCHF.PRO1632.0$1,637.0900.0$0.001632.0$1,637.0910 (63%) 6 (38%)
Showing performance metrics per currency pair

Trade History & Balance Progression

View closed trades with balance progression or active open positions

Showing 1 to 15 of 15 open trades

Smart Insights

AI-powered analysis of your trading patterns

  • Excellent profit factor of 2.63 shows your wins significantly outweigh losses.
  • Strong positive expectancy of $34.73 per trade - your strategy has statistical edge.
  • Accumulated +1291 pips in profit - solid technical execution.
  • Net profit of $10420.92 - your strategy is clearly working!
  • Win rate of 61.3% is in healthy range - focus on optimizing profit factor.
  • Recent performance shows +0.11% daily change - monitor for consistency.
  • Drawdown of 23.48% is concerning - implement stricter risk controls.

Detailed AI Analysis

This account is operated with a 100% autotrading strategy exhibiting clear grid and martingale characteristics. Multiple same-direction entries on the same instrument are opened at progressively worse prices with steadily increasing volumes, then closed together at a single timestamp. Examples include the EURNZD.PRO cluster closed on 2026-05-18 with volumes stepping from 0.2 to 1.08, and the EURCHF.PRO basket closed on 2026-05-28 with volumes escalating from 0.19 to 1.99. No trade in the sample has a fixed stop loss or take profit set (both values are 0), meaning exits are managed entirely by the automated logic rather than pre-defined levels.

The approach is best described as swing trading given the average holding time of 65.3 hours, though individual basket durations range from under an hour to over 14 days. Trading is diversified across ten forex pairs, led by EURNZD.PRO, CADCHF.PRO, and EURCAD.PRO. Activity is spread across all weekday sessions, with notable peaks at hours 13 and 16. The account has processed 263 closed trades over 88 days with a win rate of 60.6%, a profit factor of 2.74, and a per-trade expectancy of $32.34.

Total costs are moderate relative to the $9,120.11 net profit, with commissions at -$761.39 and swap at -$185.26. The maximum drawdown reached 22.35%, while the Sharpe ratio sits at 0.23. Average win profit is $83.92 against an average loss of -$47.12, producing a positive but modest risk-adjusted return profile consistent with a martingale-style recovery mechanism.