DyGraphs

Showing posts with label Yearly. Show all posts
Showing posts with label Yearly. Show all posts

Friday, September 21, 2012

2012 Yearly Report

Performance Summary

Trading
Assumptions
Maximum
Holding Days
Stop
Loss
Square-Off
Profit
Margin for
Trades
7-50,0001,00,00020%

Monthly Summary

Best ExitFirst Profit Exit7-Day Exit/Stop Loss
Alert
Month
Alert
Count
Aggregate4,254
Sep 2012884
Aug 2012717
Jul 2012995
Jun 2012199
May 2012204
Apr 2012144
Mar 2012164
Feb 2012452
Jan 2012495
Profit
/Loss
Profit
%
Avg Days
to P&L
12,12,94,341241.944.48
2,35,85,84019.323.04
1,42,38,06817.444.82
2,57,28,19634.634.42
65,04,55730.615.45
51,82,90727.024.61
44,21,47423.464.85
70,92,68128.246.21
1,83,77,62031.695.15
1,61,62,99832.894.98
Profit
/Loss
Profit
%
Avg Days
to P&L
3,92,52,202131.842.20
69,54,4779.051.62
31,82,7996.292.81
81,03,52015.672.32
23,39,93022.282.20
14,27,97912.732.72
13,83,01412.232.25
26,85,93429.591.28
74,96,21725.182.21
56,78,33019.542.19
Profit
/Loss
Profit
%
Avg Days
to P&L
2,89,49,87537.277.84
1,68,20,5289.574.26
-36,98,004-2.459.55
-1,79,645-0.178.37
31,39,4059.029.12
4,18,0181.348.68
2,51,7040.878.97
35,16,0959.019.91
70,58,6398.588.03
16,23,1362.238.63

Saturday, January 7, 2012

2011 Yearly Report

Performance Summary

Trading
Assumptions
Maximum
Holding Days
Stop
Loss
Square-Off
Profit
Margin for
Trades
7-50,0001,00,00020%

Monthly Summary

Best ExitFirst Profit Exit7-Day Exit/Stop Loss
Alert
Month
Alert
Count
Aggregate2,707
Dec 2011417
Nov 2011320
Oct 2011352
Sep 2011302
Aug 2011303
Jul 2011146
Jun 201192
May 2011166
Apr 2011116
Mar 201189
Feb 2011238
Jan 2011166
Profit
/Loss
Profit
%
Avg Days
to P&L
8,37,35,760315.235.48
1,07,23,12027.425.05
1,16,27,45428.066.02
1,55,63,17134.136.47
89,01,17225.425.55
99,33,62928.415.77
37,05,01424.335.23
20,08,43119.495.92
43,96,16822.125.21
32,92,71415.315.89
22,30,88217.835.12
65,99,20724.734.60
47,54,79830.254.21
Profit
/Loss
Profit
%
Avg Days
to P&L
2,45,71,334171.222.34
31,22,98612.972.41
36,04,96521.022.22
60,13,38024.612.37
22,79,63313.432.07
23,04,18210.922.79
8,54,9149.682.46
6,01,91510.512.32
14,61,39413.682.33
5,90,6566.032.74
4,71,3506.772.11
14,56,3858.612.27
18,09,57520.211.95
Profit
/Loss
Profit
%
Avg Days
to P&L
2,47,30,93961.599.17
18,88,2812.928.66
51,63,9818.909.58
92,59,81614.239.97
18,87,6393.589.14
16,07,6343.139.67
7,51,7562.959.12
7,79,6315.299.33
8,80,1752.868.90
13,80,8944.959.81
4,74,3352.408.91
8,18,1661.867.69
-1,61,370-0.659.08

Friday, January 7, 2011

2010 Yearly Report

Performance Summary

Trading
Assumptions
Maximum
Holding Days
Stop
Loss
Square-Off
Profit
Margin for
Trades
7-50,0001,00,00020%

Monthly Summary

Best ExitFirst Profit Exit7-Day Exit/Stop Loss
Alert
Month
Alert
Count
Aggregate1,063
Dec 2010109
Nov 2010184
Oct 201086
Sep 201044
Aug 2010108
Jul 201074
Jun 201044
May 201063
Apr 201057
Mar 2010166
Feb 201092
Jan 201036
Profit
/Loss
Profit
%
Avg Days
to P&L
3,55,47,524237.784.88
32,81,90620.115.23
61,76,16624.344.89
29,00,59819.584.31
25,19,02227.695.10
40,63,91221.664.73
21,70,19918.044.87
18,68,26625.544.40
22,76,36025.944.40
13,01,94119.143.71
48,51,58214.855.20
27,64,10721.885.52
13,73,46519.715.61
Profit
/Loss
Profit
%
Avg Days
to P&L
1,24,54,955146.672.09
11,15,69711.332.25
21,02,87414.072.14
12,99,27715.571.91
15,10,54730.821.84
12,56,17412.651.93
7,12,9339.242.05
7,64,98120.131.59
7,33,78514.471.75
3,77,8818.562.72
13,17,1977.652.37
8,46,14311.982.04
4,17,4669.451.76
Profit
/Loss
Profit
%
Avg Days
to P&L
1,02,35,34745.998.45
11,58,5574.219.45
17,76,8864.988.07
8,13,8073.787.47
17,94,58413.887.58
17,93,5966.577.82
-26,655-0.158.20
9,85,5599.208.70
2,45,8391.698.75
-3,94,097-3.348.54
3,45,1800.708.81
9,88,1606.079.22
7,53,9318.438.67