Verified Performance

Numbers you can reproduce, not numbers we claim.

Every figure on this page comes from a Strategy Tester report or a live/verified trading account — not a marketing target. Reproduce it yourself before you connect.

Performance Overview

Verified Live Account · Multi-Instrument

Verified live account statement, 23 days (Jul 9–31, 2026). Identity anonymized; figures unedited from the account report.

VERIFIED LIVE ACCOUNT STATEMENT
Profit Factor
1.43
Max Drawdown
16.96%
Win Rate
63.18%
Total Trades
8,829
Period
Jul 9–31, 2026
Data
Live Account
Weekly Performance

4 weeks. Every single one profitable.

Jul 9 – Jul 31, 2026 · 23 days · 8,829 trades

Weekly performance table showing net profit, trade count, and win rate
WeekNet P/LTradesWin Rate
Jul 30–Aug 05+$1,061.8379159.3%
Jul 23–29+$3,262.633,66063.1%
Jul 16–22+$1,960.592,93364.0%
Jul 09–15+$528.081,44062.2%

All four weeks in this sample were profitable, with trade volume and profit both trending up in the most recent weeks. 23 days is still short — worth watching for another month before treating this as a stable pattern.

Equity Curve

Growth over time, drawdowns included.

CUMULATIVE P/L · JUL 9–31, 2026 · REAL ACCOUNT DATA
Trading Statistics

Profit factor, win rate, drawdown — and what they mean.

1.43
Profit Factor

Gross profit ÷ gross loss ($22,544.99 ÷ $15,777.10). A reasonable, unremarkable ratio — not an outlier number, which is a good sign.

63.18%
Win Rate

5,578 of 8,829 trades closed in profit. Average win ($4.04) vs. average loss (−$4.85) — small, frequent trades typical of a high-frequency approach.

16.96%
Maximum Drawdown

A meaningful but not alarming figure. Anyone copying this account at full size should still expect to see swings of this size before recovery.

Detailed trading statistics
Total Trades8,829
Total Net Profit$6,767.89
Gross Profit / Gross Loss$22,544.99 / −$15,777.10
Average Win / Average Loss$4.04 / −$4.85
Largest Win / Largest Loss$1,613.85 / −$422.56
Long Trades (won %)4,430 (62.73%)
Short Trades (won %)4,399 (63.63%)
Max Consecutive Wins35 trades ($88.84)
Max Consecutive Losses13 trades (−$2,051.43)
Recovery Factor2.97
Sharpe Ratio0.02
Expected Payoff$0.77 / trade
Risk Management

What keeps a drawdown from becoming a blowup.

Broker-independent position sizing via live tick value

Configurable risk profile: SAFE, AGGRESSIVE, CHALLENGE

Session and news-blackout filters to avoid volatility spikes

Frequency guard — hard limits on trades per day/spread conditions

Fixed R-multiple exits, no discretionary override

Non-repainting signals — no hindsight-optimized entries

FAQ

About this data.

Why did the numbers on this page change?

This page reflects the most recent verified account statement. Figures here can change as we rotate to longer or more recent history — always check the stated period before comparing to what you remember seeing before.

Is 16.96% drawdown high?

It's a meaningful figure, not an alarming one. Size your copy-trading risk multiplier assuming a similar or somewhat larger drawdown could happen again — 23 days of history isn't enough to say this is the account's ceiling.

Is this backtested or live data?

We label each figure clearly. Backtest results come from Strategy Tester with real-tick data; once a strategy is live or forward-tested, we track and disclose actual account performance separately.

How often is this page updated?

Monthly, at minimum — after each closed trading month, alongside any material change to the strategy's rules.

Can I verify this independently?

Yes. Once a Myfxbook or FXBlue widget is connected here, you'll be able to view the live, third-party-verified account feed directly, not just our reporting.

What happens if drawdown exceeds what's shown here?

Past drawdown is not a ceiling — future drawdowns can be larger. Size your risk multiplier assuming worse than the historical maximum, not equal to it.

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