Account
Strategy
Bundle
Symbol
Mode
Date range
Equity Analytics
Core statistics, grouped metrics, and equity evaluation context.
Mode: paperAccount: paper_accountSeed/Test Included
Equity
$0.00
Latest equity point
Net P&L
$0.00
Filtered realized result
Trades
0
Realized trades in current filter set
Win Rate
0.0%
0 trades
Avg Trade
$0.00
Expected value per trade
Max Drawdown
-$0.00
Worst peak-to-trough decline
Profit Factor
—
Gross profit / gross loss
Avg Winner
$0.00
Mean positive trade
Avg Loser
$0.00
Mean losing trade
Avg R
—
Average R across all realized trades
Streaks
0 / 0
Best win streak / worst loss streak
Performance Charts Workspace
All chart-heavy visual analysis now lives on its own page so the statistics workspace stays clean.
Moved there
Core Equity Curve, Drawdown / Underwater, Comparison Engine chart, Rolling Performance, Return Distribution, and future stacked Equity + Trade Count + Drawdown workspace.
Stays here
KPI cards, grouped metrics table, summary context, filter awareness, and non-chart analytical readouts.
System Stability Snapshot
Expectancy$0.00
Current Drawdown-$0.00
PnL Volatility$0.00
Best Trade$0.00
Worst Trade$0.00
Longest Recovery0 trades
Comparison Metrics Table
Grouped statistics stay on the analytics page because this is a numeric comparison readout, not a chart workspace.
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