Trader Overview
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1. Trader Information

Glen Goodman
Trader Name Glen Goodman
Trading Style
Markets Traded
Followers 15237
Copiers 12844
Status Active

2. Annual Performance Summary 2026

Metric Value
Total Return (YTD) %
Annualized Return %
Start Capital $
End Capital $
Average Monthly Return %
Win Rate 88%
Max Drawdown %
Sharpe Ratio

3. Performance Breakdown by Quarter

Quarter Return (%) Trades Largest Profit Largest Loss
Q1 +12% 85 $+$40,000 (EUR/USD long) $
+% $ $-$2,500 (Gold short)
Q2 +12% 88 $+$42,000 (S&P 500 futures long) $-$1,200 (GBP/USD short)

4. Monthly Performance

Month Return (%) Trades Comments
January 12% 12 Started the year with strong Forex trades.
February 12% 12 Mixed results, fewer trade setups.

5. Key Insights

  • Highest Single Profit $88,000 (Bitcoin long trade during a breakout in Q4).
  • Highest Single Loss: -$2,500 (USD/JPY short position during a trend reversal in Q1).

6. Risk Management Strategy

  • Stop Loss: Typically 1.5%-2% per trade.
  • Position Sizing: Based on a volatility-based model; larger positions taken in more predictable markets.
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