Super Rabbit
REVQSPYS In Production

Performance Summary

Net Profit $199.234,88
Profit Factor 1,77
Total Trades 162
% Operaciones Rentables 54,00%

Risk Analysis

Max Drawdown $-39.476,89
Max Drawdown % (from Money) 3,95%
Sharpe Ratio -0,22
Calmar Ratio 0,15

Equity Curve

VAMI Information: Statistics and equity curve have been calculated using one million (1,000,000) as the initial reference value. VAMI = Value Added Monthly Index.
Days with data

162

From

30/03/04

To

28/10/25

9901005102010351050106510801095111011251140115511701185120012151230 30/03/0422/09/0927/11/1203/11/1515/01/1929/12/2011/07/2328/10/25
VAMI (Cumulative Value)

Detailed Statistics

Performance Summary
Drawdown Analysis
Performance Ratios
Outliers
Trade Analysis
Series Analysis
Charts and Diagrams
Net Profit $199.234,88
Gross Profit $457.833,14
Gross Loss $-258.598,26
Adjusted Net Profit $120.289,66
Adjusted Gross Profit $408.748,28
Adjusted Gross Loss $-288.458,62
Select Net Profit $101.674,69
Select Gross Profit $280.386,80
Select Gross Loss $-178.712,11
Account Size Required $35.537,71
Return on Account 561,00%
Return on Initial Capital 20,00%
Profit Factor 1,77
Adjusted Profit Factor 1,42
Select Profit Factor 1,57
Max # Contracts Held 10.010
Slippage Paid $0,00
Commission Paid $648,00
Open Position P/L $0,00
Annual Rate of Return 1,00%
Monthly Rate of Return 0,00%
Buy & Hold Return $5.118.920,84
Avg Monthly Return $766,29
Monthly Return StDev $0,00
Total # of Trades 162
% Profitable 54,00%
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