Ergebnisse

Auf dieser Seite halten wir die Ergebnisse unserer Tradingportfolios nach. Die Ergebnisse/ Performance geben wir in % an, damit Sie sie unabhängig von ihrer Kontogröße vergleichen können. Die Portfolios handeln unterschiedliche Wertpapierarten. Zur Vereinfachung haben wir unabhängig davon jeweils eine Tradegebühr von 0.1 % angenommen.

Performancegraphiken:

Grün = Performance, Schwarz = Vergleichsindex

Summary AsienTitans
Parameter
Total net profit 25.0584 %
Total number of trades 218
Profitable 66.51 %
Largest winning trade 1.9694 %
Largest losing trade -1.3248 %
Max drawdown 1.7595 %
Profit factor 1.7007
Annual return on Account 6.6822 %
Number of Portfolio members 62
Maximum parallel open positions 13
Fee .1 %

Performance

3-Jahreschart Asian Titans

Summary Australien
Parameter
Total net profit 32.0361 %
Total number of trades 689
Profitable 63.13 %
Largest winning trade .9332 %
Largest losing trade -.4363 %
Max drawdown 1.6413 %
Profit factor 2.5057
Annual return on Account 8.5367 %
Number of Portfolio members 868
Maximum parallel open positions 42
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index ASX200

Summary CAC40
Parameter
Total net profit 16.8924 %
Total number of trades 210
Profitable 60.48 %
Largest winning trade 3.0854 %
Largest losing trade -1.1779 %
Max drawdown 1.9165 %
Profit factor 2.9927
Annual return on Account 4.5955 %
Number of Portfolio members 41
Maximum parallel open positions 20
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index CAC40

Summary CDAX
Parameter
Total net profit 35.5156 %
Total number of trades 1206
Profitable 61.53 %
Largest winning trade .7983 %
Largest losing trade -1.0878 %
Max drawdown 2.435 %
Profit factor 1.8461
Annual return on Account 9.4501 %
Number of Portfolio members 419
Maximum parallel open positions 61
Fee .1 %

Performance

3-Jahreschart CDAX

Summary DAX
Parameter
Total net profit 28.9796 %
Total number of trades 137
Profitable 62.04 %
Largest winning trade 3.6823 %
Largest losing trade -1.5083 %
Max drawdown 2.6206 %
Profit factor 2.6994
Annual return on Account 7.9134 %
Number of Portfolio members 31
Maximum parallel open positions 12
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index DAX

Summary DOW
Parameter
Total net profit 20.7477 %
Total number of trades 53
Profitable 69.81 %
Largest winning trade 1.5436 %
Largest losing trade -.8714 %
Max drawdown 1.7427 %
Profit factor 5.7234
Annual return on Account 5.9001 %
Number of Portfolio members 30
Maximum parallel open positions 7
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index DJIA

Summary ETF
Parameter
Total net profit 21.2316 %
Total number of trades 1228
Profitable 60.26 %
Largest winning trade .6733 %
Largest losing trade -.4413 %
Max drawdown 3.9143 %
Profit factor 1.8386
Annual return on Account 5.6576 %
Number of Portfolio members 1858
Maximum parallel open positions 41
Fee .1 %

Performance

3-Jahreschart ETFs

Summary Euronext100
Parameter
Total net profit 16.0036 %
Total number of trades 435
Profitable 62.53 %
Largest winning trade 1.6678 %
Largest losing trade -.6367 %
Max drawdown 2.8308 %
Profit factor 2.3944
Annual return on Account 4.3182 %
Number of Portfolio members 100
Maximum parallel open positions 37
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index Euronext 100

Summary Euronext150
Parameter
Total net profit 32.9801 %
Total number of trades 430
Profitable 67.44 %
Largest winning trade 1.2213 %
Largest losing trade -.7251 %
Max drawdown 1.9774 %
Profit factor 2.7402
Annual return on Account 8.8596 %
Number of Portfolio members 172
Maximum parallel open positions 25
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index Euronext 150

Summary Forex
Parameter
Total net profit 7.376 %
Total number of trades 189
Profitable 65.08 %
Largest winning trade .667 %
Largest losing trade -.5547 %
Max drawdown 1.7246 %
Profit factor 1.978
Annual return on Account 1.9597 %
Number of Portfolio members 47
Maximum parallel open positions 11
Fee .1 %

Performance

3-Jahreschart Forex

Summary FTSE
Parameter
Total net profit 12.3763 %
Total number of trades 389
Profitable 62.21 %
Largest winning trade .4825 %
Largest losing trade -.4833 %
Max drawdown 1.3892 %
Profit factor 2.0306
Annual return on Account 3.2955 %
Number of Portfolio members 99
Maximum parallel open positions 40
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index FTSE100

Summary Futures
Parameter
Total net profit 12.4881 %
Total number of trades 266
Profitable 56.02 %
Largest winning trade .6239 %
Largest losing trade -1.1427 %
Max drawdown 2.2664 %
Profit factor 1.6494
Annual return on Account 3.3302 %
Number of Portfolio members 22
Maximum parallel open positions 10
Fee .1 %

Performance

3-Jahreschart Futures

Summary GlobalTitans
Parameter
Total net profit 28.4069 %
Total number of trades 156
Profitable 71.79 %
Largest winning trade 1.8228 %
Largest losing trade -.7584 %
Max drawdown 2.7219 %
Profit factor 6.7827
Annual return on Account 7.8692 %
Number of Portfolio members 53
Maximum parallel open positions 12
Fee .1 %

Performance

3-Jahreschart Global Titans

Summary GlobalTitans Conservative
Parameter
Total net profit 26.3267 %
Total number of trades 141
Profitable 72.34 %
Largest winning trade 1.8228 %
Largest losing trade -.7584 %
Max drawdown 2.2745 %
Profit factor 6.571
Annual return on Account 7.2929 %
Number of Portfolio members 53
Maximum parallel open positions 12
Fee .1 %

Performance

3-Jahreschart Global Titans nur Longtrades

Summary Hongkong
Parameter
Total net profit 74.2744 %
Total number of trades 872
Profitable 67.66 %
Largest winning trade 1.2344 %
Largest losing trade -.5668 %
Max drawdown 2.3389 %
Profit factor 3.4937
Annual return on Account 19.7342 %
Number of Portfolio members 880
Maximum parallel open positions 32
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index HangSeng

Summary Indices
Parameter
Total net profit 17.2556 %
Total number of trades 83
Profitable 73.49 %
Largest winning trade 3.2976 %
Largest losing trade -1.1375 %
Max drawdown 2.4574 %
Profit factor 3.1004
Annual return on Account 5.045 %
Number of Portfolio members 14
Maximum parallel open positions 8
Fee .1 %

Performance

3-Jahreschart Indices

Summary Indien
Parameter
Total net profit 39.6233 %
Total number of trades 1061
Profitable 66.54 %
Largest winning trade 1.2987 %
Largest losing trade -1.1898 %
Max drawdown 2.2431 %
Profit factor 1.8437
Annual return on Account 10.4894 %
Number of Portfolio members 4214
Maximum parallel open positions 67
Fee .1 %

Performance

3-Jahreschart Indien

Summary Japan Topix100
Parameter
Total net profit 17.2779 %
Total number of trades 316
Profitable 59.49 %
Largest winning trade 1.2224 %
Largest losing trade -.9568 %
Max drawdown 4.458 %
Profit factor 1.4489
Annual return on Account 4.5739 %
Number of Portfolio members 101
Maximum parallel open positions 18
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index Topix100

Summary MIB40
Parameter
Total net profit 27.3288 %
Total number of trades 112
Profitable 62.5 %
Largest winning trade 2.2817 %
Largest losing trade -1.1455 %
Max drawdown 2.4288 %
Profit factor 2.4588
Annual return on Account 7.6403 %
Number of Portfolio members 45
Maximum parallel open positions 8
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index MIB40

Summary NASDAQ
Parameter
Total net profit 40.5964 %
Total number of trades 3816
Profitable 62.55 %
Largest winning trade .5076 %
Largest losing trade -.3503 %
Max drawdown 1.3195 %
Profit factor 2.279
Annual return on Account 10.7158 %
Number of Portfolio members 3136
Maximum parallel open positions 142
Fee .1 %

Performance

3-Jahreschart NASDAQ

Summary NASDAQ100
Parameter
Total net profit 60.0651 %
Total number of trades 423
Profitable 69.5 %
Largest winning trade 3.0296 %
Largest losing trade -.9439 %
Max drawdown 2.8389 %
Profit factor 2.9275
Annual return on Account 16.304 %
Number of Portfolio members 107
Maximum parallel open positions 16
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index NASDAQ 100

Summary Norwegen
Parameter
Total net profit 9.7955 %
Total number of trades 227
Profitable 53.3 %
Largest winning trade 2.3915 %
Largest losing trade -.7972 %
Max drawdown 6.0568 %
Profit factor 1.7681
Annual return on Account 2.6431 %
Number of Portfolio members 182
Maximum parallel open positions 19
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index OBX

Summary NYSE Composite
Parameter
Total net profit 15.6527 %
Total number of trades 4224
Profitable 60.82 %
Largest winning trade .228 %
Largest losing trade -.2384 %
Max drawdown 1.8571 %
Profit factor 1.7512
Annual return on Account 4.1497 %
Number of Portfolio members 2172
Maximum parallel open positions 274
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index NYSE Comp

Summary Schweden
Parameter
Total net profit 19.1382 %
Total number of trades 606
Profitable 57.43 %
Largest winning trade 1.7422 %
Largest losing trade -.6321 %
Max drawdown 3.7685 %
Profit factor 1.704
Annual return on Account 5.1336 %
Number of Portfolio members 502
Maximum parallel open positions 31
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index OMX

Summary Spanien
Parameter
Total net profit 33.8173 %
Total number of trades 171
Profitable 66.08 %
Largest winning trade 3.9072 %
Largest losing trade -2.0136 %
Max drawdown 3.6359 %
Profit factor 2.6556
Annual return on Account 9.3113 %
Number of Portfolio members 137
Maximum parallel open positions 9
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index IBEX35

Summary SPI
Parameter
Total net profit 21.1873 %
Total number of trades 853
Profitable 64.71 %
Largest winning trade 1.175 %
Largest losing trade -.2662 %
Max drawdown 1.2615 %
Profit factor 4.378
Annual return on Account 5.6211 %
Number of Portfolio members 192
Maximum parallel open positions 68
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index SPI

Summary TecDax
Parameter
Total net profit 48.1373 %
Total number of trades 558
Profitable 64.52 %
Largest winning trade 3.16 %
Largest losing trade -.7745 %
Max drawdown 2.3258 %
Profit factor 2.5397
Annual return on Account 12.8555 %
Number of Portfolio members 85
Maximum parallel open positions 28
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index TecDax

Summary TopPerformer
Parameter
Total net profit 88.1334 %
Total number of trades 1493
Profitable 74.68 %
Largest winning trade 1.6019 %
Largest losing trade -1.4746 %
Max drawdown 2.4974 %
Profit factor 3.7578
Annual return on Account 23.2974 %
Number of Portfolio members 69
Maximum parallel open positions 45
Fee .1 %

Performance

3-Jahreschart TopPerformer

Summary XETRA
Parameter
Total net profit 32.4717 %
Total number of trades 1323
Profitable 61 %
Largest winning trade .6858 %
Largest losing trade -.9346 %
Max drawdown 1.7419 %
Profit factor 1.8599
Annual return on Account 8.5774 %
Number of Portfolio members 547
Maximum parallel open positions 71
Fee .1 %

Performance

3-Jahreschart im Vergleich zum Index DAX

Anmerkungen:
Allen Ergebnissen liegt ein Hebel von 1 zugrunde.

Es wurde jeweile eine Handelsgebühr von 0.1 % pro Trade zugrundegelegt.

Alle Ergebnisse dienen der Information und sind keine Aufforderung zum Handel.

Die Berechnung der Ergebnisse beruht auf den Kursdaten der jeweiligen Anlageinstrumente. Dadurch kann es im Einzelfall zu Abweichungen zu tatsächlichen Ergebnissen kommen, vor allem, wenn die gehandelten Aktien wenig Marktliquidität besitzen.

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