Dashboard

Environment: paper · as of 2026-08-12T17:35:21Z

Portfolio value

$1,000.00

Total return

0.00%

Daily PnL

Monthly PnL

Max drawdown

0.00%

Sharpe ratio

Profit factor

Win rate

0W / 0L of 0

Equity curve

Initial capital $1,000.00 · realized $0.00 · unrealized $0.00

Open positions

0

Risk-adjusted performance

Sortino ratio
Expectancy per trade
$0.00
Trade-sequence drawdown
0.00%