Dashboard
Total Capital & Equity
Rp 0
+0%
Cap: Rp 4M
Monthly Profit Target
Rp 0
0% Achieved
Net Profit / Loss
Rp 0
0% Win Rate
Gross: +0 / -0
Profit Factor
0.00
Expectancy: Rp 0 / trade
| Mon | Tue | Wed | Thu | Fri | Summary |
|---|
Monthly Stats
Win Rate
0%
Risk/Reward
1.0
Profit Factor
0.00
Best Day P/L
Rp 0
Worst Day P/L
Rp 0
Avg Daily P/L
Rp 0
Performance Profile
Daily Performance (Day of Week)
Cumulative Performance
Strategy Distribution
Recent Transactions
| Transaction | Strategy | Date | Status | P&L Amount |
|---|
Ground Knowledge Performance & Setup Analysis
Brain.md Framework
Analyzingβ¦
Risk Management Audit
Pillar 1
Payoff (win Γ· loss)
0.0 : 1
Expectancy / trade
Rp 0
Target: 2:1 minimum
Setup Efficiency
Pillar 2
Top Alpha Setup
None
Flawed Setup
None
Projected boost from setup refinement
Session Dynamics
Pillar 3
Best Trading Window
Morning Open
Chop Zone Risk
Low
Avoid overtrading during Mid-Day Chop Zone
Psychology & Plan
Pillar 4
Plan Adherence Rate
0%
Top Behavioral Leak
None
Self-discipline & trade review compliance
Winrate
0%
0 Wins / 0
Losses
Total P/L
Rp 0
Gross: +0 / -0
Percentage Return
+0%
Capital: Rp 4M
Profit Factor
0.00
Expectancy: Rp 0 / trade
Account Growth
Symbol Performance
Monthly Trading History
| Mon | Tue | Wed | Thu | Fri | Summary |
|---|
Monthly Stats
Win Rate
0%
Risk/Reward
1.0
Profit Factor
0.00
Best Day P/L
Rp 0
Worst Day P/L
Rp 0
Avg Daily P/L
Rp 0
Avg P&L / Day
Rp 0
Per active trading day
Avg P&L / Month
Rp 0
Per active month
Best Trading Day
N/A
Highest net P&L day
Worst Trading Day
N/A
Lowest net P&L day
Daily Performance (Mon - Fri)
Entry Window / Time Analysis
Biggest Winner
Rp
0
Biggest Loser
Rp 0
Recovery Factor
0.00
Max Drawdown
Rp 0
Account Drawdown Over Time
Followed Plan Trades
0
Followed Plan Win Rate
0%
Followed Plan P&L
Rp 0
Overall Plan Adherence
0%
Positive Tags Performance
Negative Tags Performance & Remediation
Net P&L by Account
Account Detail
| Account | Trades | Win Rate | Profit Factor | Avg / Trade | Net P&L |
|---|
Trading Brain β Account Coaching
Knowledge Library
Priority Actions
Ranked by impact
Setup Verdicts (by expectancy)
| Setup | Verdict | Trades | Win Rate | PF | Expectancy | Net P&L |
|---|
Entry Window Verdicts
| Window | Verdict | Trades | Expectancy |
|---|
Discipline & Risk Audit
| Ticker & Details | Strategy | Account | Date | Status | Journal | P&L Amount |
|---|
π Average Price Calculator
Your average cost per share of the position you still hold (1 lot = 100 shares). Enter buys as a positive lot and sells as a negative lot (e.g. 150 / -500) β a sell reduces your position at your running average price.
| Price (Rp) | Lot (buy + / sell β)? |
|---|
Total Lot0
Total Shares
Total Cost (Modal)Rp 0
Average PriceRp 0
Realized P&L (sells)Rp 0
Market ValueRp 0
Floating P&LRp 0
Return0%
πΎSave this position
πSaved positions
| Stock | Broker | Lot | Avg |
|---|
π― Position Size Calculator
How many lots to enter, and where to cut.
1Your account
2Your risk
3Instrument & order
βYour order plan
Order planFill in the fields above.
Max risk?$0.00
Lot you can enter?0.00
Stop distance?β pips
π Cut price (stop level)?β enter price
Loss at stop?$0.00
Value per pip (this lot)?$0.00
Margin required?β
Max lot your leverage allows?β
Log past setups to see if a strategy has an edge β keep it or drop it.
π§ͺ Log a backtest
Enter entry, take profit and stop loss β any unit above.
Verdict by strategy / setup
| Strategy | Market | Trades | Win % | Avg RR | Expectancy | Avg Hold | Verdict |
|---|
Backtest entries
| Pair | Action | Strategy | Entry β Exit | Entry / TP / SL | Exit | R | Result | Hold |
|---|