26 accounts across 6 firms — the full-time version of this problem.
Journal
Every trade behind the balances — gross trading P&L, before any firm profit split or fee. See Money for the cash-flow view; this is the trading-skill view.
Filter everything below — stats, charts, and the trade log all follow these.
Gross trading P&L across every filtered trade, before any firm profit split or fee.
Trading P&L
+$0
Share of filtered trades that closed positive.
Win rate
0%
Gross profit ÷ gross loss. Above 1 means your winners outweigh your losers overall.
Profit factor
0.00
Average size of a winning trade.
Avg win
$0
Average size of a losing trade.
Avg loss
−$0
Payouts on accounts that have at least one trade matching the current filters.
Your trading health in one number — five equally-weighted ingredients, the exact math behind each shown below it, never a black box.
58out of 100Working edge
Win rate52
52%
Profit factor50
1.24
Realized R:R45
1.13:1
Drawdown vs. profit89
11% of gross profit
Profitable days53
95/179 days
A net-profitable mix, with at least one ingredient visibly dragging the number down. The drag right now is realized R:R at 45 (1.13:1) — that ingredient moves the total fastest.
0–39
Bleeding
40–54
Break-even zone
55–69
Working edge
70–84
Strong
85–100
Elite
Streaks & activity
Momentum, and the cost of trading itself.
Current streak
1 loss
Longest win streak
8
Longest loss streak
7
Commission paid
$7,218
1604 contracts
Equity curve
Cumulative trading P&L by day, across every filtered trade.
P&L calendar
Every trading day, colored by result.
Your year at a glance — hover any day.
December 2025
+$13,057· 103 trades
Su
Mo
Tu
We
Th
Fr
Sa
1+1.8k
2−1.9k
3+527
4−157
5+2.2k
6
7
8+763
9−509
10+581
11−797
12−2.6k
13
14
15+1.9k
16
17+1.3k
18−257
19−1.0k
20
21
22+833
23+606
24−2.8k
25+771
26+5.4k
27
28
29+7.6k
30−1.2k
31
By instrument
Which symbols are actually working.
RTY50% win+$23,648
ES47% win+$23,516
YM60% win+$18,176
MYM51% win+$13,524
NQ56% win+$13,280
MES58% win+$4,542
MNQ42% win−$2,730
M2K51% win−$8,868
By setup
Which setups are actually working.
Failed breakout short54% win+$40,113
Support/resistance bounce55% win+$21,838
News fade50% win+$20,266
Trend continuation45% win+$18,762
Liquidity sweep62% win+$16,888
Range scalp49% win+$10,343
VWAP reversion53% win+$7,414
EOD imbalance49% win+$3,735
Opening range breakout49% win−$4,006
Momentum continuation56% win−$50,264
By day of week
Which days actually work for you — Sun through Sat, always.
Sun—+$0
Mon55% win+$45,041
Tue52% win+$19,099
Wed51% win+$19,422
Thu52% win+$18,249
Fri51% win−$16,724
Sat—+$0
By hour
When you actually enter trades — UTC hour, so it never disagrees with itself on reload.
13:0063% win+$29,309
14:0059% win+$63,784
15:0054% win+$25,998
16:0050% win−$17,115
17:0049% win+$13,104
18:0046% win−$29,993
By confidence
Does how sure you felt going in actually predict the outcome?
high69% win+$54,400
medium56% win+$62,698
low31% win−$20,472
By behavior tag
What you tagged the trade as, and how it actually went.