Portfolio Evaluator Report
Annual Trading Summary
Annual Analysis (Mark-To-Market):
Period Net Profit % Gain Profit Factor # Trades % Profitable
YTD $14,880.00 1.34% 1.25 17 29.41%
12 month $513,300.02 83.35% 1.38 17 29.41%
05 $577,425.03 107.57% 1.42 200 48.50%
04 $526,800.03 5268.00% 1.41 218 54.13%
03 $0.00 0.00% N/A 0 N/A
Annual Rolling Period Analysis (Mark-To-Market):
Period Net Profit % Gain Profit Factor # Trades % Profitable
06 $14,880.00 1.34% 1.25 17 29.41%
05-06 $592,305.03 110.34% 1.41 206 49.51%
04-06 $1,119,105.05 11191.05% 1.41 413 53.27%
03-06 $1,119,105.05 11191.05% 1.41 413 53.27%