Add Trade
Identity
Setup & Context
Prices, Size & Risk
Profit & Loss
Money logic: fill Quantity + $/Point and Net auto-calcs as
(Exit − Entry) × $/Point × Qty − Fees.
You can still type Net $ to override. If Net is blank and P/L % is filled, $ is derived from current equity. Fees subtract from Gross → Net.
News & Notes
If you don’t track starting balance, your equity curve becomes modern art: interpretive and misleading.
Overview
| Exec Date | # | Instrument | TF | Side | Setup | Entry | SL | TP | Risk% | Result | Net $ | Equity | News | Notes |
|---|
Click a row to edit. Equity uses your Starting Balance + cumulative Net in date order.
Equity Curve
Starting Balance + cumulative Net. Uses the Overview tab filters.
This chart doesn’t judge you. It just keeps receipts.
P&L Calendar
Net P&L per day — green for up days, red for down days. Respects the Overview filters.
System Quality
Drawdown
The "underwater" view — how far below your equity peak you were, and for how long. Flat at zero = making new highs.
Time of Day & News
By time of day
News impact
Performance Breakdowns
By session
By day of week
By instrument
By size preset
All tables respect the Overview filters. Win% counts profitable trades; Net is after fees.
Economic Calendar loading…
| Time (local) | Cur | Impact | Event | Forecast | Previous |
|---|---|---|---|---|---|
| Loading calendar… | |||||
Data: Forex Factory calendar (Fair Economy feed), cached server-side and refreshed a few times a day. Times shown in your local timezone. Cross-check timing before trading news.
Pre-Session Analysis —
1. Macro / News & Events — fill this first
A high-impact print can override every chart on the page. Pull times from the calendar above before you draw a single level.
2. Higher-Timeframe Context
| Timeframe | Trend | Key observation | Chart screenshot |
|---|---|---|---|
| Daily | |||
| 4-Hour | |||
| Execution TF |
3. Key Levels
| Level | Price | Notes (why it matters) |
|---|---|---|
| Swing High | ||
| Swing Low | ||
| Bearish FVG (top–bottom) | ||
| Bullish FVG (top–bottom) | ||
| Prior Day High / Low | ||
| Overnight High / Low |
4. VWAP Read
5. Volume Profile
| Profile metric | Price | Notes |
|---|---|---|
| POC (Point of Control) | ||
| Value Area High (VAH) | ||
| Value Area Low (VAL) | ||
| High-Volume Node(s) | ||
| Low-Volume Node(s) | ||
| Naked / untested POC? |
6. Liquidity Map
7. Trade Scenarios
| If price does this | Confirmation I need | Invalidated if | |
|---|---|---|---|
| Scenario 1 | |||
| Scenario 2 | |||
| Scenario 3 |
A level tells you where; order flow tells you whether.
8. Order-Flow Confirmation Checklist
9. Game Plan & Discipline
A preparation and learning tool — mechanics and observation only, not trade-execution or buy/sell advice. Screenshots stay on this device (they export with the PDF but aren't uploaded).
Strategy Builder in design
Define and save named trading strategies here — rule sets built from your setups, sessions, timeframes, instruments, and risk parameters.
🚧 Placeholder — the builder is still being designed, so nothing here is wired up yet.
Strategy Testing in design
Test how a strategy performs — against your logged trades now, and (later) with projections and scenarios.
🚧 Placeholder — the testing approach is still being decided, so nothing here is wired up yet.
Account Settings
Starting Balance is used as the base equity for all progression. If you change it later, historical equity recalculates.
(If you want deposits/withdrawals later, we can add “Adjustment entries”.)
Drawdown Limits
Optional dollar limits, prop-firm style. The Overview tiles show what's left,
go gold at 80% used, and red with a banner when breached.
Informational — nothing gets blocked. Measured across all trades, ignoring filters.
Risk Presets
Name your conviction tiers and the % of equity each one risks. These appear as the
Size preset picker on Add Trade and auto-fill Risk %.
Position Size Calculator
contracts = dollar risk ÷ (stop distance × $/point) — rounded down.
If it says 0, the stop is too wide for that risk on this contract: tighten the stop or pass on the trade.
Contracts
—
Dollar risk (actual)
—
Risk per contract
—
Profit target
—
Risk as % of account
—
A sizing aid, not advice — always confirm contract specs and your broker's margin requirements.
My Instruments
Build your own list. Add from catalog for accurate, ready-made contract specs (CME/Nasdaq),
or Add custom to enter your own. $ / Point = dollars per 1.0 price move per 1 contract/lot.
These persist to your account and sync across devices.
Account
Danger zone
Deletes all trades from your account. There is no undo — export a CSV first if you want a backup.