SD1H4H — Silver (XAG/USD) Multi-TF Structure Backtest Original Model

Dukascopy 1-minute BID data, Jan 2022 → present · Silver (XAG/USD) (XAGUSD)
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Monte Carlo Simulation

Bootstrap-resamples this strategy's own historical, NET-of-costs R-multiples (same trades the Trading Costs page uses) WITH replacement to build 2,000 alternate trade sequences, each as long as the real historical trade count — this captures the actual distribution's shape (fat tails, losing streaks, the real win rate) rather than assuming a clean win-rate/reward:risk model, and is cost-inclusive by construction. Starting balance $1,000, 1% of current balance risked per trade, compounding.

Caveat: bootstrap resampling assumes trades are independent (no serial correlation) — this project's own regime/walk-forward analysis found session and regime effects that mostly don't survive rigor, which supports independence as a reasonable approximation, but it isn't literally true for a trend-following-style structure strategy in real markets with regime persistence. Treat the figures below as a model of the historical trade distribution's dispersion, not a guarantee of future behavior.

Strategy A

Probability of Profit
0.0%
Risk of Ruin (≤50% of start)
100.0%
Median Max Drawdown
98.55%
95th Pct Worst Drawdown
99.44%
Expected Value / Trade
-0.339R
Median Profit Factor
0.57

Final balance after 1,177 trades, across 2,000 simulations — 5th pct $6, 25th pct $10, median $15, 75th pct $24, 95th pct $42.

Monte Carlo equity distributionFinal balance distribution

Strategy B

Probability of Profit
0.0%
Risk of Ruin (≤50% of start)
99.95%
Median Max Drawdown
93.67%
95th Pct Worst Drawdown
97.73%
Expected Value / Trade
-0.289R
Median Profit Factor
0.701

Final balance after 812 trades, across 2,000 simulations — 5th pct $26, 25th pct $46, median $74, 75th pct $118, 95th pct $240.

Monte Carlo equity distributionFinal balance distribution