TRADING JOURNAL · MAIN ACCOUNT

Good afternoon

Here’s the honest picture of your trading.

8 trades
Account equity$1,169.2Cash flows $0 · P&L $1,169.2
Win rate62.5%
5 wins · 3 losses
Profit factor3.63Your winners cover your losses
Net P&L$1,169.2Best trade $595.8
DAILY RISK PROFILE

Balanced

Recommended from your journal data · Score -1

Day of weekNeutral session day0
Conditions1 losing trade in a row-1
AccountNo floor configured0
Today$0 today0
ExecutionAdd grades to improve this signal0
Balanced: 5% of floor cushion · maximum 2 attempts · stop when discipline slips
WEEKLY COACH

Plan your trading week

Turn recent performance into one clear operating plan.

NEXT TRADE RISK

$0

Balanced · 5% of available floor cushion, capped at 40% of the daily limit

Set a minimum balance in Settings to activate floor-based position planning.

Planning estimate only. Confirm the instrument’s point value, commissions, stop distance, slippage, and broker or prop-firm rules before trading.
Equity curveBalance including deposits and withdrawals
$1,169.2
Recent tradesLatest journal entries
DateMarketReviewNet P&LAction
Aug 14MNQShort · 2 qty · $4.2 feesNo charts-$192.2
Jul 13ESLong · 1 qty · $4.2 feesNo charts$595.8
Jun 11MNQLong · 3 qty · $6.3 feesNo charts-$138.3
May 10MNQShort · 2 qty · $4.2 feesNo charts$111.8
Apr 7MESLong · 4 qty · $5.2 feesNo charts$234.8
August 2026Daily net P&L
SMTWTFS
1
2
3
4
5
6
7
8
9
10
11
12
13
14-$192.2
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
Yearly P&LPerformance by calendar year
2026$1,169.2