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⚖️ EA Comparison Tool

Compare 2-4 EAs side by side. The EA with the best value for each metric is highlighted.

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MetricATLAS
PF (Profit Factor)Gross profit ÷ gross loss. 1.5 or higher recommended1.48
Annual return (CAGR/simple %)Annual return (shown value calculated from 10-yr BT)+68.8%
Max DDLargest account drawdown (lower is better)19.74%
Win Rate33.2%
Trades/YearNumber of trades per year1193trades
Calmar (annual ÷ DD)Risk-adjusted return (higher is better)3.49
10-yr simple-interest projection (from $670)$78,800
10-yr compound projection (from $670)$1,878,000

💡 Comparison Summary

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