Strategy Tester Report
DivergenceTrader
BlueberryMarkets-Demo (Build 1440)

SymbolUSDJPY (US Dollar vs Japanese Yen - 1 lot = 100,000)
Period1 Hour (H1) 2024.05.01 00:00 - 2025.04.30 23:00 (2024.05.01 - 2025.05.01)
ModelEvery tick (the most precise method based on all available least timeframes)
ParametersDISHelp="===================================="; RSI_Period=19; RSI_OBSLevels=8; TrendLine_MinGapBars=2; TrendLine_MaxGapBars=12; TrendLine_MaxLookbackBars=20; CHelp="===================================="; TLHelp="------------------------------------"; MaxSpread=12; PMHelp="===================================="; TradeDirection=1; InitialStopLoss=0; TakeProfit=0; PSMHelp="------------------------------------"; LotSizingMethod=3; InitialRiskPercent=1; ManualLots=0.1; BSMHelp="------------------------------------"; BreakEvenProfit=0; BreakEvenLockin=0; TSMHelp="------------------------------------"; TrailingStart=0; TrailingStop=0; TrailingStep=0; DSHelp="------------------------------------"; DynamicStop_Start=0; DynamicStop_Step=15; DTHelp="------------------------------------"; DynamicTarget_Start=0; DynamicTarget_Step=0; DOWT2Help="===================================="; ReferenceTime=0; BrokerGMTOffset=9999; EntryWindow_StartHour=10; EntryWindow_StartMin=0; EntryWindow_UntilHour=21; EntryWindow_UntilMin=0; DayOfWeek_Monday=1; DayOfWeek_Tuesday=1; DayOfWeek_Wednesday=1; DayOfWeek_Thursday=1; DayOfWeek_Friday=1; DayOfWeek_Saturday=1; DayOfWeek_Sunday=1; VSHelp="===================================="; Colour_Bearish=Crimson; Colour_Bullish=LimeGreen; TrendLine_Style=0; TrendLine_Width=1; OSHelp="===================================="; CFDTickScaling=0; MagicNumber=160630;
Bars in test6517Ticks modelled42982058Modelling quality99.90%
Mismatched charts errors0
Initial deposit1000.00Spread30
Total net profit2410.19Gross profit2983.07Gross loss-572.88
Profit factor5.21Expected payoff301.27
Absolute drawdown457.27Maximal drawdown726.48 (57.24%)Relative drawdown57.24% (726.48)
Total trades8Short positions (won %)4 (75.00%)Long positions (won %)4 (50.00%)
Profit trades (% of total)5 (62.50%)Loss trades (% of total)3 (37.50%)
Largestprofit trade1102.37loss trade-502.87
Averageprofit trade596.61loss trade-190.96
Maximumconsecutive wins (profit in money)3 (1985.46)consecutive losses (loss in money)2 (-567.96)
Maximalconsecutive profit (count of wins)1985.46 (3)consecutive loss (count of losses)-567.96 (2)
Averageconsecutive wins2consecutive losses2
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance
12024.05.01 13:47buy10.10157.5430.0000.000
22024.06.28 14:50close10.10160.6570.0000.000231.201231.20
32024.06.28 14:50sell20.10160.6570.0000.000
42024.07.03 13:24close20.10161.6400.0000.000-65.091166.12
52024.07.03 13:24buy30.10161.6400.0000.000
62024.07.25 12:35close30.10153.6820.0000.000-502.87663.25
72024.07.25 12:35sell40.10153.6820.0000.000
82024.09.18 18:00close40.10141.4120.0000.000792.101455.34
92024.09.18 18:00buy50.10141.4120.0000.000
102025.01.13 16:17close50.10157.6410.0000.0001102.372557.71
112025.01.13 16:17sell60.10157.6410.0000.000
122025.01.20 13:30close60.10156.0650.0000.00091.002648.71
132025.01.20 13:30buy70.10156.0650.0000.000
142025.01.24 10:43close70.10155.9300.0000.000-4.922643.79
152025.01.24 10:43sell80.10155.9300.0000.000
162025.04.30 23:59close at stop80.10143.0490.0000.000766.413410.19