Portfolio Evaluator Report
Annual Trading Summary
Annual Analysis (Mark-To-Market):
Period Net Profit % Gain Profit Factor # Trades % Profitable
YTD $16,778.94 4.95% 1.88 12 25.00%
12 month $146,147.51 69.71% 1.25 12 25.00%
05 $132,515.11 64.17% 1.22 166 40.36%
04 $89,545.72 76.55% 1.27 157 44.59%
03 $105,662.01 934.24% 1.35 98 46.94%
02 $1,310.00 13.10% 1.24 8 0.00%
Annual Rolling Period Analysis (Mark-To-Market):
Period Net Profit % Gain Profit Factor # Trades % Profitable
06 $16,778.94 4.95% 1.88 12 25.00%
05-06 $149,294.05 72.29% 1.24 172 40.70%
04-06 $238,839.77 204.19% 1.25 323 43.34%
03-06 $344,501.78 3045.99% 1.28 415 44.82%
02-06 $345,811.78 3458.12% 1.28 417 44.60%