Performance Report

Without any exceptions, IBR-Global Markets Ltd does not participate in any way in trading decisions made by external account managers and makes no representations, warranties and assumes no obligations with regard to any external account manager’s trading strategy and/or performance.

Daily Report

 Note: This report does not include dealings from externally managed accounts.

                                                        

       As At:  12/12/2022

                                            Detailed Performance Report (Daily)

                                                                  Summary

Deposit/

Withdrawal:

-34.46

Credit Facility:

0.00

Closed Trade P/L:

34.85

Floating P/L:

0.00

 

Margin:

0.00

Balance:

0.39

Equity:

0.39

Free Margin:

0.39

                                                                                             Details
 

Gross Profit:

130.29

Gross Loss:

95.44

Total Net Profit:

34.85

 
 

Profit Factor:

1.37

Expected Payoff:

0.83

   
 

Absolute Drawdown:

42.71

Maximal Drawdown:

43.31 (1066.75%)

Relative Drawdown:

1066.75% (43.31)

 

Total Trades:

42

Short Positions (won %):

13 (46.15%)

Long Positions (won %):

29 (68.97%)

Profit Trades (% of total):

26 (61.90%)

Loss trades (% of total):

16 (38.10%)

Largest profit trade:

23.04

Largest loss trade:

-16.55

Average profit trade:

5.01

Average loss trade:

-5.97

 

Maximum consecutive wins ($):

10 (85.93)

Maximum consecutive losses ($):

3 (-13.97)

Maximal consecutive profit (count):

85.93 (10)

Maximal consecutive loss (count):

-16.55 (1)

 
 

Average consecutive wins:

3

Average consecutive losses:

1

   
                 

 

Weekly Report

 Note: This report does not include dealings from externally managed accounts.

                                                        

       As At:  12/12/2022

                                            Detailed Performance Report (Weekly)

                                                                  Summary

Deposit/

Withdrawal:

-34.46

Credit Facility:

0.00

Closed Trade P/L:

34.85

Floating P/L:

0.00

 

Margin:

0.00

Balance:

0.39

Equity:

0.39

Free Margin:

0.39

                                                                                             Details
 

Gross Profit:

130.29

Gross Loss:

95.44

Total Net Profit:

34.85

 
 

Profit Factor:

1.37

Expected Payoff:

0.83

   
 

Absolute Drawdown:

42.71

Maximal Drawdown:

43.31 (1066.75%)

Relative Drawdown:

1066.75% (43.31)

 

Total Trades:

42

Short Positions (won %):

13 (46.15%)

Long Positions (won %):

29 (68.97%)

Profit Trades (% of total):

26 (61.90%)

Loss trades (% of total):

16 (38.10%)

Largest profit trade:

23.04

Largest loss trade:

-16.55

Average profit trade:

5.01

Average loss trade:

-5.97

 

Maximum consecutive wins ($):

10 (85.93)

Maximum consecutive losses ($):

3 (-13.97)

Maximal consecutive profit (count):

85.93 (10)

Maximal consecutive loss (count):

-16.55 (1)

 
 

Average consecutive wins:

3

Average consecutive losses:

1

   
                 

 

Monthly Report

 Note: This report does not include dealings from externally managed accounts.

                                                        

       As At:  12/12/2022

                                            Detailed Performance Report (Monthly)

                                                                  Summary

Deposit/

Withdrawal:

-34.46

Credit Facility:

0.00

Closed Trade P/L:

34.85

Floating P/L:

0.00

 

Margin:

0.00

Balance:

0.39

Equity:

0.39

Free Margin:

0.39

                                                                                             Details
 

Gross Profit:

130.29

Gross Loss:

95.44

Total Net Profit:

34.85

 
 

Profit Factor:

1.37

Expected Payoff:

0.83

   
 

Absolute Drawdown:

42.71

Maximal Drawdown:

43.31 (1066.75%)

Relative Drawdown:

1066.75% (43.31)

 

Total Trades:

42

Short Positions (won %):

13 (46.15%)

Long Positions (won %):

29 (68.97%)

Profit Trades (% of total):

26 (61.90%)

Loss trades (% of total):

16 (38.10%)

Largest profit trade:

23.04

Largest loss trade:

-16.55

Average profit trade:

5.01

Average loss trade:

-5.97

 

Maximum consecutive wins ($):

10 (85.93)

Maximum consecutive losses ($):

3 (-13.97)

Maximal consecutive profit (count):

85.93 (10)

Maximal consecutive loss (count):

-16.55 (1)

 
 

Average consecutive wins:

3

Average consecutive losses:

1

   
                 

 

Quarterly Report

 Note: This report does not include dealings from externally managed accounts.

                                                        

       As At:  12/12/2022

                                            Detailed Performance Report (Quarterly)

                                                                  Summary

Deposit/

Withdrawal:

-34.46

Credit Facility:

0.00

Closed Trade P/L:

34.85

Floating P/L:

0.00

 

Margin:

0.00

Balance:

0.39

Equity:

0.39

Free Margin:

0.39

                                                                                             Details
 

Gross Profit:

130.29

Gross Loss:

95.44

Total Net Profit:

34.85

 
 

Profit Factor:

1.37

Expected Payoff:

0.83

   
 

Absolute Drawdown:

42.71

Maximal Drawdown:

43.31 (1066.75%)

Relative Drawdown:

1066.75% (43.31)

 

Total Trades:

42

Short Positions (won %):

13 (46.15%)

Long Positions (won %):

29 (68.97%)

Profit Trades (% of total):

26 (61.90%)

Loss trades (% of total):

16 (38.10%)

Largest profit trade:

23.04

Largest loss trade:

-16.55

Average profit trade:

5.01

Average loss trade:

-5.97

 

Maximum consecutive wins ($):

10 (85.93)

Maximum consecutive losses ($):

3 (-13.97)

Maximal consecutive profit (count):

85.93 (10)

Maximal consecutive loss (count):

-16.55 (1)

 
 

Average consecutive wins:

3

Average consecutive losses:

1

   
                 

 

Yearly Report

 Note: This report does not include dealings from externally managed accounts.

                                                        

       As At:  12/12/2022

                                            Detailed Performance Report (Yearly)

                                                                  Summary

Deposit/

Withdrawal:

-34.46

Credit Facility:

0.00

Closed Trade P/L:

34.85

Floating P/L:

0.00

 

Margin:

0.00

Balance:

0.39

Equity:

0.39

Free Margin:

0.39

                                                                                             Details
 

Gross Profit:

130.29

Gross Loss:

95.44

Total Net Profit:

34.85

 
 

Profit Factor:

1.37

Expected Payoff:

0.83

   
 

Absolute Drawdown:

42.71

Maximal Drawdown:

43.31 (1066.75%)

Relative Drawdown:

1066.75% (43.31)

 

Total Trades:

42

Short Positions (won %):

13 (46.15%)

Long Positions (won %):

29 (68.97%)

Profit Trades (% of total):

26 (61.90%)

Loss trades (% of total):

16 (38.10%)

Largest profit trade:

23.04

Largest loss trade:

-16.55

Average profit trade:

5.01

Average loss trade:

-5.97

 

Maximum consecutive wins ($):

10 (85.93)

Maximum consecutive losses ($):

3 (-13.97)

Maximal consecutive profit (count):

85.93 (10)

Maximal consecutive loss (count):

-16.55 (1)

 
 

Average consecutive wins:

3

Average consecutive losses:

1

   
                 

 

MONTH TO YEAR PERFORMANCE REPORT

Year

JAN

FEB

MAR

APR

MAY

JUN

JUL

AUG

SEP

OCT

NOV

DEC

YTD

2023

 N/A

 N/A

 N/A

 N/A

 N/A

 N/A

 N/A

 N/A

 

 

 

 

 

2024

 

 

 

 

 

 

 

 

 

 

 

 

 

2025

 

 

 

 

 

 

 

 

 

 

 

 

 

2026

 

 

 

 

 

 

 

 

 

 

 

 

 

2027

 

 

 

 

 

 

 

 

 

 

 

 

 

2028

 

 

 

 

 

 

 

 

 

 

 

 

 

2029

 

 

 

 

 

 

 

 

 

 

 

 

 

2030