Position size is set to risk a fixed share of account equity on every trade — not a flat lot size — so the results above scale with account balance.
MT5 VERIFIED STRATEGY
ema-50-pullback
An explicit MQL5 implementation of the cited YouTube strategy, tested with MetaTrader 5.
Risk Management
GBPUSDc · H1 · 2026-05-01 – 2026-09-01
Historical backtests are not guarantees of future returns. The EA download currently uses the default risk settings, not a profile-specific preset.
TEST WINDOW
1 May 2026 – 1 Sept 2026
4 months report
HISTORY QUALITY
100% real ticks
Recorded from the MT5 tester; never used to reject a report.
TEST STATUS
insufficient data
Generated 7 Sept 2026, 00:52 UTC
Full four-month source backtest.
Equity curve
Balance after every closed trade · drag to pan, scroll to zoom
ENDING BALANCE
$59.55
PERFORMANCE
Report results
RETURN
-0.75%
NET PROFIT
-$0.45
PROFIT FACTOR
0.98
MAX DRAWDOWN
35.59%
STARTING BALANCE
$60.00
ENDING BALANCE
$59.55
MAX DRAWDOWN VALUE
$23.37
RECOVERY FACTOR
-0.02
TRADE OUTCOMES
Execution statistics
TOTAL TRADES
15
WINNING TRADES
5
LOSING TRADES
10
WIN RATE
33.33%
EXPECTED PAYOFF
-$0.03
SHARPE RATIO
-0.04
RISK PROFILE
Streaks and extremes
MAX WIN STREAK
3
MAX LOSS STREAK
8
MIN SURVIVAL
—
LARGEST WIN
$6.02
LARGEST LOSS
-$3.20
GROSS P/L
$28.89 / -$29.34
LEADERBOARD CONTEXT
Cross-window assessment
COMPOSITE SCORE
36.96
OVERALL RANK
—
PROFITABLE WINDOWS
0
REPORTS AVAILABLE
1
VERDICT NOTES
Why this verdict was assigned
- • Fewer than 30 trades
- • Net profit was not positive
- • Profit factor was below 1
OTHER TESTED CONFIGURATIONS
