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Overview1
Positions2
Signals3
Trades4
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TRADEBOT
PAPER
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VIX × DD
0%
Regime
·
Heat
·
Vol Term
·
Calendar
·
Pairs
Risk Status
⚠ Monitoring
Daily P&L:
Kill Switch:
Daily Loss vs Kill Switch 0%
Stocks
0
$0.00
Crypto
0
$0.00
Options
0
$0.00
Portfolio Value
Today's P&L
Open Positions
of 10 max
Unrealised P&L
across open positions
Recent Trades (Last 10)
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Open Positions
TickerQtyEntry / Stop / TargetCurrent P&L %RUnrealisedAgeProgress
Trade History
TickerQtyEntryExit P&L %RP&L $StrategyStatus
Recent Signals — click a row to see confluence detail
TickerActionConfidenceTop BoostersWhen
Opening Range Breakout
Market Sentiment
Polymarket — Prediction Signals
Equity Curve
Need 2+ days of P&L history
Daily P&L History
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Performance
Sharpe
Sortino
Win Rate
Profit Factor
Avg R
Total P&L
Max DD
Avg Win
Avg Loss
Expectancy
Total Trades
With R Data
Model Calibration
Trades
Predicted WR
Actual WR
Cal Factor
Return Distribution
Per-Signal Edge
ML Feature Importance
Not trained yet — needs 200+ closed trades
Trade History
TickerQtyEntryExit P&L %RP&L $StrategyStatus