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    Home»Forex»LiquiditySweep Pro Market 1.3 Performance Report – Scalping – 7 May 2026
    Forex

    LiquiditySweep Pro Market 1.3 Performance Report – Scalping – 7 May 2026

    币安计划官方By 币安计划官方May 7, 2026No Comments2 Mins Read
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    LiquiditySweep Pro Market 1.3 Performance Report – Scalping – 7 May 2026
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    LiquiditySweep Pro Market 1.3

    Performance Report

    Period: 24.04.2026 — 07.05.2026

    During the evaluation period, LiquiditySweep Pro Market demonstrated stable intraday execution and controlled risk exposure under live-market volatility conditions.

    The strategy maintained disciplined trade management while focusing on liquidity-based reversals and short-term momentum continuation setups.

    Performance Summary

    • Initial Deposit: 1,000 USD
    • Final Balance: 1,440.45 USD
    • Total Net Profit: +440.45 USD
    • Total Return: +44.04%
    • Profit Factor: 1.16
    • Expected Payoff: 0.14
    • Maximum Drawdown: 119.02 USD
    • Relative Drawdown: 9.12%
    • Total Trades Executed: 3,086

    Trade Statistics

    • Winning Trades: 1,375 (44.56%)
    • Losing Trades: 1,711 (55.44%)

    Position Distribution

    • Short Positions Won: 45.39%
    • Long Positions Won: 43.77%

    Best/Worst Trades

    • Largest Profit Trade: +13.52 USD
    • Largest Loss Trade: -11.05 USD

    Average Results

    • Average Profit Trade: +2.27 USD
    • Average Loss Trade: -1.57 USD

    Risk & Execution Analysis

    The strategy maintained relatively controlled drawdown levels while operating under high-frequency intraday conditions.

    Performance stability was supported through:

    • spread filtering,
    • ATR volatility protection,
    • controlled execution logic,
    • and liquidity-based confirmation systems.

    The equity curve demonstrated progressive recovery behavior after temporary drawdown phases, indicating stable execution consistency throughout volatile market conditions.


    Strategy Behavior

    LiquiditySweep Pro Market focuses on:

    • institutional liquidity sweeps,
    • stop-hunt reversals,
    • momentum continuation entries,
    • and short-term intraday inefficiencies.

    The system prioritizes:

    • execution discipline,
    • low-exposure recovery behavior,
    • and sustainable equity growth over aggressive risk escalation.

    Professional Short Version

    Performance Period: 24.04.2026 — 07.05.2026

    LiquiditySweep Pro Market achieved a total return of +44.04% with controlled drawdown behavior and stable execution consistency across 3,086 intraday trades.

    The strategy maintained disciplined risk management while leveraging liquidity sweep detection, smart-money reversals, and volatility-filtered execution logic under real-market conditions.



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