Statistics Data Introduction

STATICS

Overview:

  1. Total Profit: the sum of closed P/L and floating P/L in this trading account.

  2. Max DD (USD): the max drawdown money of closed profit of the account which is calculated through the pre-reweighted equity method (excluding the impact of deposits and withdrawals), from the time it was connected to FOLLOWME.

  3. Floating P/L: the total unrealized profit of trading account.

  4. Trades: the sum of trading orders.

  5. Win (%): the quotient of profitable trades and total amount of trades.

  6. Avg. Profit: average profit is a quotient of the gross profit and the amount of profitable trades.

  7. Avg. Loss: average loss is a quotient of the gross loss and the amount of losing trades.

  8. Weeks: the number of trading weeks accumulated since the open time of the first trading order (excluding deposits/withdrawals) in the account.

  9. Max Stagnation (Day): the longest period of unprofitable trading.

  10. Equity: the sum of the account balance and floating P/L.

  11. Last Trade: the date time of last trade on account.

Chart:

Growth
  1. Total Profit: the sum of closed P/L and floating P/L.

  2. Closed P/L: the sum profit of closed trading orders.

  3. Avg. Holding Time: average time of holding a position.

  4. Win (%) : the quotient of profitable trades and total amount of trades.

  5. Trades: the sum of trading orders.

  6. Avg. Profit: average profit is a quotient of the gross profit and the amount of profitable trades.

  7. Avg. Loss: average loss is a quotient of the gross loss and the amount of losing trades.

Monthly Performance
  1. Monthly Profit: the monthly closed profit of trading account.

  2. Monthly ROI : the monthly trading return of the account which is calculated through the pre-reweighted equity method (excluding the impact of deposits and withdrawals), from the time it was connected to FOLLOWME.

Equity/Balance
  1. Equity: the sum of the account balance and floating P/L.

  2. Balance: the sum of the total closed profit and net deposits.

  3. Daily Profit: the daily closed P/L of trading account.

  4. Deposits: the total deposits of trading account.

  5. Withdrawals: the total withdrawals of trading account.

  6. Connected Time: the date when trading account connected to FOLLOWME.

Volume
  1. Standard Symbol: FOLLOWME have matched more than 350 standard symbols, by matching different specifications of symbol contract in different Brokers to a unify standard.

  2. Flots: the trading lots automatically calculated according to the different specifications of symbol contract in different Brokers and the unify standard.

Weekly P/L
  1. Closed P/L: the sum profit of closed trading orders.

  2. Floating P/L: the total unrealized profit of trading account.

Symbol Preference
  1. Percent: the quotient of Flots of each standard symbol and the total Flots.

  2. Long/Short: the total Flots of long/short position.

Holding Time
  1. Avg. Holding Time: the average time of holding a position.

  2. Avg. Holding Time (Profit orders/Losing orders): the average time of holding an opening position (Profit orders/Losing orders).

FOLLOWRANK
  1. FOLLOWRANK: a comprehensive score calculated based on factors such as stability, profitability, risk control ability, non-lucky profitability, and capital scale of the account trading performance in the past 13 weeks. 【Fomula: Overall Rating = Profitability*30%+Stability*10%+Risk Control Ability*25%+Non-lucky Profitability*10%+Capital Size*10%+Entry Advantage*15%;Score Range: 1-10 points.】

  2. Historical Trend: record the historical change of FOLLOWRANK score.

  3. Profitability: calculated based on the account ROI (%) of the last 13 weeks.
    【Fomula: ; Score range: 1-10, 10 points for 3% (0.03) or more, and 1 point for 0% or less; linear regression: 333*weekly time-weighted rate of return.】

  4. Risk Control Ability: calculated based on the account Max DD (%) of last 13 weeks.【Formula: P=Nn/MAX(N1~n) to obtain MIN(P)-1, P is the ratio of the lowest equity and highest equity during the time before the point is calculated, the max equity drawdown percent=Min(P)-1 ; score range: 1-10 points, 10 points for -0.1, and 1 point for -0.6; linear regression formula: 12+20* max equity drawdown percent.】

  5. calculated based on the account negative standard deviation of ROI (%) of last 13 weeks.
    【Formula: ; n is the total number of weekly losses, if n-1=0, the R1^2 value is directly used as the lower standard deviation, if the sample number is 0, which means there is no loss week, then the lower standard deviation value would be 0.01; score range: 1-10 points, 10 points for 0 or less, 1 point for 0.15 or more; linear regression formula: 10-34*weekly standard deviation.】

  6. Casual Profitability: calculated based on the quotient of the sum profit of top 10 trades and the total profit of the account.【Formula: non-lucky profitability=gross profit of top 10 orders/total gross profit *100%; score range: 1-10 points, 1 point for 70%, 10 points for 20%; linear regression formula: 11.42-14.28* for non-lucky profitability.】

  7. Capital Size: calculated based on the account balance. 【Formula: it is counted according to the account balance; score range: 1-10 points, 1 point for 2000 or less, 10 points for 50,000 or more; linear regression formula: (1-9/24)+ 9/48000* balance.】

  8. Entry Advantage: calculated based on the range of profit changes during the order holding process.【Formula: it is counted according to the obtained order entry and exit advantage ratio = average maximum floating profit/average maximum floating loss to divide different scores; score range: 1-10 points, 1 point for 1, 3 points for 10 or more; linear regression formula: -5+5*admission advantage ratio.】

  9. Time coefficient: Under the same conditions such as trading ability, FOLLOWRANK with a connection time of fewer than 13 weeks will be lowered. Time setting factor is calculated based on the time of connection to FOLLOWME.

  10. Trading coefficient: FOLLOWRANK with inactive transactions will be reduced, and the transaction coefficient will be set according to the time of the last transaction.

Subscription

  1. Subscribing Account: the sum of the followers' accounts subscribing to the trader.

  2. Historical Trend: record the historical change of subscribing account.

  3. Following Amount: the sum of the balance of followers' account subscribing to this trader's account.

  4. Historical Trend: record the sum of the balance of followers' account subscribing to this trader's account.

  5. Profit from following: the total closed P/L made from following this trader.

  6. Daily profit from following: the daily closed P/L made from following this trader.

  7. Follow Mode: the way how you will follow traders, including Prorate and Fixed Flots.

  8. Subscription Days: the total days of following the trader.

Basic Community Operation

Signal List for Licensed Brokers

Invitation Program