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EFTA00611806
Selected Metrics 3 years of live performance Metric Result Sharpe Ratio: 4.92 Average Leverage Usage: Standard Deviation of Monthly Return: Win / Loss Ratio Per Position 1.34x 1.68 68.1% Largest Monthly Drawdown: Trough-to-Peak Duration/Max-to-Date: % of Winning Months: -3.61 % 7 weeks 81% Daily profitabilit
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