STRATOTANK MetaTrader 5 · Strategy Tester
Skyhawk · Portfolio
23PAIRS
Jan 2021 – Dec 2025 |One $25,000 account · 23 pairs |1-minute OHLC |Generated 2026-06-03
+$17,598.90
Net profit
+70.4%
Return on capital
3.2
Profit factor
77.15%
Win rate
16.63%
Max drawdown (equity)
Portfolio equity curve
Summary
Gross profit$25,586.86
Gross loss-$7,987.96
Expected payoff$9.33
Recovery factor2.7
Realized drawdown1.99%
Total trades1886
Profit trades1455 (77.15%)
Loss trades431 (22.85%)
Largest win / loss$144.06 / -$154.86
Avg win / loss$17.59 / -$18.53
Longs vs shorts
Long982 trades
78% won
Short904 trades
76.22% won
Per-pair breakdown
PairNet contributionPFWin%Trades
GBPUSD+$1,3994.1673.8122
AUDJPY+$1,2563.6875.5106
GBPNZD+$1,2203.4977.279
GBPAUD+$1,1893.4978.995
GBPCHF+$1,1585.2583.962
EURCHF+$1,0709.538080
NZDJPY+$1,0574.681.285
GBPCAD+$9103.0577.1105
EURGBP+$8424.1977.484
AUDCAD+$75911.4685.777
AUDUSD+$7449.2987.757
NZDUSD+$6662.7576.790
NZDCAD+$6436.288179
NZDCHF+$6405.7780.361
AUDCHF+$6084.6981.554
EURAUD+$5383.2574.547
EURCAD+$5262.0769.498
EURNZD+$52014.2886.136
EURUSD+$4741.5869.2117
USDCAD+$4101.6777.890
AUDNZD+$4025.1879.272
USDCHF+$3101.3568.893
CADCHF+$2591.4672.297
← Back to Skyhawk on Stratotank
Based on a MetaTrader 5 Strategy Tester run of Skyhawk trading all 23 pairs from a single $25,000 account (settings as shipped). Per-pair figures are each pair's net contribution to that one shared account. Figures reflect closed trades; positions open at period end are excluded.
Past performance does not guarantee future results. Trading carries risk of loss.