Dashboard
Equity curve
Win / Loss breakdown
Recent trades
Trade Log
Double-click a row to review · edit · delete
Add Trade
Record a new trade entry
Timing & Risk
Exit Analysis — Price Excursion
Calm
Confident
FOMO
Anxious
Disciplined
Impulsive
Patient
Overconfident
Perfect entry
Good exit
Early exit
Moved SL
Held to target
Oversize
Before entry screenshot
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Analytics
Performance breakdown
AI Performance Coach
Personalised insights based on your trading data
Click "Generate analysis" to get a personalised AI coaching summary based on your trade history.
P&L by day of week
P&L by asset class
Top setups
Trade management — actual vs potential
Actual
Potential (MFE)
Management effect
Potential shows your cumulative P&L if you held every trade to its MFE. Actual is what you really made. The gap between them is your Management Effect — the cost of exiting early. Requires MFE data on trades.
Exit analysis — MFE vs MAE
MFE (favourable)
MAE (adverse)
Actual exit
Each bar shows how far price moved in your favour (green, up) and against you (red, down). The diamond marks where you actually exited relative to the MFE — closer to the top means you captured more of the move. Add MFE/MAE values when logging trades to populate this chart.
Performance Simulator
Project your current edge forward — see realistic best, median, and worst-case scenarios
Simulation parameters
Starting capital
Trades per week
Weeks to simulate
Win rate
Avg win (£)
Avg loss (£)
Equity projection — 500 Monte Carlo runs
Best 10%
Median
Expected
Worst 10%
Probability of ruin
Scenario comparison
Insights
Duration analysis · R-Multiple tracking · Calendar heatmap · Drawdown
R-Multiple equity curve
R-Curve
Zero line
R-Multiple normalises every trade by your initial risk. A +2R trade made twice your risk; a -1R trade lost exactly your risk. The curve here removes position-size noise and shows your pure edge. Enter Initial Risk (£) when logging trades to populate this.
R-Multiple distribution
Shows how often you achieve each R-Multiple band. A healthy edge shows a right-skewed distribution — more trades clustering above 0R, and your winners larger than your losers.
Hold duration — wins vs losses
Enter entry/exit times when logging trades. Are you holding losers too long and cutting winners early?
Time-of-day performance
Cumulative P&L grouped by entry hour. Spot the hours where you consistently underperform.
Daily P&L calendar
Strong win
Small win
No trade
Small loss
Big loss
Drawdown curve
Drawdown %
Underwater period
How far below your peak equity you are at each point in time. Long flat sections mean extended recovery periods. Rapidly recovering drawdowns indicate a robust edge.
Account
Manage your starting balance, deposits, withdrawals, and preferences
Display currency
Changes all currency symbols and formatting across the entire platform
This changes the display symbol only — it does not convert monetary values. Use it to match whichever currency your account is denominated in.
Account balance over time
Add transaction
Transaction history
AI Performance Coach
Ask anything about your trades — scenario analysis, patterns, what-ifs
What would happen if I moved my SL to breakeven on my last 5 trades?
Which setup is my most profitable and why?
What patterns do you see in my losing trades?
How is my win rate trending over time?
Which days of the week am I most profitable?
Am I cutting my winners too early?
Hey! I have full access to your trade journal data. Ask me anything — scenario analysis, pattern spotting, what-if questions, or just "how am I doing?"
Try one of the suggestions above or type your own question below.