iMaxiFund

iMaxiFund

Medium term trading strategy with correlation hedge


Floating Position : 0%
Total Profit -98.67%
Absolute Profit -54.07%
Total Profit (in Pips) -548.10
Average Profit/Day -0.03%
Average Profit/Month -0.91%
Profit Factor 0.47
Relative Drawdown % 176.18%
Absolute Drawdown % 230.53%
Age (Day) 3237 Day(s)
Total Trades 5
Total Profitable Trade 3
Total Loss Trade 2
Total Long Position 2
Total Short Position 3
Last Balance USD 3.52
Last Equity USD 3.52
Investor Reporting NO REPORT

Available Offer(s):

Offer Name Minimum Invest
Increment
Performance Fee
Management Fee
Early Withdrawal Penalty
Partner Commission
Trading Interval
( Next Interval Date )
imf 1 USD 100
USD 100
30%
5%
50%
10%
WEEKLY
2014-03-21
Invest