Close
Close

PAMM Accounts Rating

Strategy Dnevnik-Investora

Interval
Trading period -

PAMM Details

Gain
1 day 1 month 3 months 6 months Year All time
1.57 % 52.14 % 41.74 % 52.03 % 52.41 % 52.41 %
Performance Indicators Risk indicators
Trading period, days 196 days Maximum leverage 27.87
Average monthly gain, % 52.14 Average used leverage 17.47
Average profitable trade, % 6.41 Max balance drawdown, % -7.96
Best day result, % 34.9 Max equity drawdown, % -53.72
Calmar ratio 0.25 Average losing trade, % -17.1
E-ratio 8.75 Worst day result, % -24.64
Profit Factor 3.28 Current equity drawdown. % -10.01
Overall profit, USD 672.88
Overall loss, USD -205.19 Profitability

PAMM Manager's offer

Description
Strategy type
Intervals strategy
Investor requests for withdrawals and detachment processed on Saturdays at 17:00 GMT.
Manager's balance
$774.88
Manager's Commission, %
Amount from $100
Percent 30 %
Payment period
30 days
Minimum investment
$ 100
Minimum StopLoss
10 %
Contact
Rollovers
Hours
0
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23

Planner (rollover) - schedule of high attention of money manager to his account. Using planner, money manager sets up particular time (UTC +04:00) of execution of investors' requests for deposits and withdrawal to\from his trading account. It is advisable to set up the time in planner when money manager can check the situation on his trading acount, take into account deposit\withdrawal requests of his investors and make appropriate corrections of his trading positions.

To PAMM-partner

Average volume for each $1000
1.31842 lots
Connected partners
0 partners
Partner rewards
10% of the manager commission
Interest Period
30 days

Get full information

Back
comments powered by HyperComments