Analytics

56 trades analyzed

Total P&L

!

$163,960

Win Rate

!

76.5%

Avg Win RR

!

1.37R

Profit Factor

!

4.80

Best Trade

!

$12,480

Worst Trade

!

-$7,280

Cumulative P&L

P&L Calendar

Click a day to see trades
August 2026+$16,480
Mon
Tue
Wed
Thu
Fri
Sat
Sun
1
2
3
4+$4,1601 trade
5+$3,6801 trade
6+$8,6401 trade
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31

Strategy Report Card

B
RetracementStatistically reliable
62% WRavg +$88733 trades
A+
ManipulationStatistically reliable
95% WRavg +$5,85623 trades

Win Rate by Setup

Retracement33 trades
62%+$29,280
Manipulation23 trades
95%+$134,680

What You Trade

Slice size = number of trades

By market

Futures56

By symbol

NQ36ES20

P&L by Trade Grade

Performance by Trade Type

Win Rate by Hold Duration

Best Time to Trade

P&L & Win Rate by Day of Week

Negative Emotions — Win Rate Impact

greedy
0% (4)
overconfident
0% (3)
frustrated
0% (3)
impatient
0% (2)
anxious
50% (2)
fomo
0% (1)
revenge
0% (1)
fearful
100% (1)

Positive Emotions — Win Rate Impact

focused
100% (12)
calm
100% (3)
confident
100% (8)
patient
88% (43)
disciplined
83% (40)
You're seeing manual MAE/MFE data. Full automatic tracking with deeper analysis coming with broker sync — no manual input needed.

MFE vs Actual P&L

Points above the line = left money on the table

Each dot is one trade. The dashed line shows a "perfect exit" (MFE = P&L). Dots clustered far above it means you're consistently cutting winners short.

Winning tradeLosing tradePerfect exit

Equity Drawdown

Shows the percentage drop from peak equity at each point. A flat line at 0% = new highs every day.