점수 계산

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클라이언트 및 관리자

The score is rated 0–100 and shown for master accounts on the Leaderboard and Statistics page. A higher score signals better performance or lower risk. The score is the sum of points awarded across the parameters below.

Return Over Periods

Return is evaluated over 365, 180, 90, 30, and 7 days (see Return calculation).

Return over 365 daysPoints
>8520
>6018
>5016
>4014
>3513
>3010
>258
>207
>155
>73
≤70
Return over 180 daysPoints
>3010
>269
>227
>185
>153
>102
>51
≤50
Return over 90 daysPoints
>308
>206
>165
>134
>93
>52
>01
≤00
Return over 30 daysPoints
>65
>33
>02
≤00
Return over 7 daysPoints
>33
>01
≤00

Maximum Drawdown Over Periods

Max DD is evaluated over 365 and 90 days (see Drawdown and Maximum drawdown calculation).

Max DD over 365 daysPoints
<1510
<179
<198
<227
<246
<265
<304
<353
<402
≤451
>450
Max DD over 90 daysPoints
<1011
<159
<198
<227
<246
<265
<304
<353
<402
≤451
>450

Ratio of Profitable to Losing Positions (90 Days)

Ratio = Number of profitable positions / Number of losing positions

Profitable: Profit/loss + Commission + SWAP ≥ 0
Losing:     Profit/loss + Commission + SWAP < 0

No profitable positions → ratio = 0;  no losing positions → ratio = −1
Ratio over 90 daysPoints
=−1 or >28
>1.656
>1.455
>1.34
>1.153
>12
>0.91
<0.90

Profit Factor (90 Days)

Profit factor = PnL from profitable positions / PnL from losing positions
(closed positions over the past 90 days; PnL includes commission and SWAP)
Profit factor over 90 daysPoints
>414
>312
>2.510
>27
>1.65
>1.32
≥1.11
<10

Number of Active Weeks

An active week is a Monday–Sunday week with at least one executed trade (evaluated for all time).

Active weeksPoints
>105
>84
>63
>22
>11
00

Number of Closed Positions Over Periods

Closed positions over 90 daysPoints
>1506
>1005
>754
>503
>302
>101
≤100
Closed positions over 30 daysPoints
>6010
>404
>253
>152
>101
≤100
Closed positions over 7 daysPoints
>155
>83
>52
>01
00

Final score

The account’s score is the sum of the points awarded for every parameter above.

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