Track Record Pro
Track Record — a tab of the Performance hub — is a printable page ready to share with prop firms, potential clients or your trading résumé. One screen with header, KPIs, equity curve, monthly P&L, session×day heatmap and your last 100 trades. Verified accounts only: every trade must have entered through automatic sync.
The essentials
- Only 100% verified accounts are eligible — a single manual trade disqualifies the whole account. That makes the report credible, tamper-proof evidence.
- Pick an eligible account and a date range — the whole report recalculates.
- Print button at the top right → save as a clean PDF (no journal chrome).
- Built to send as evidence to prop firms or attach to your portfolio.
Why the verification gate exists
A track record is only worth something as evidence if the data cannot be made up. That is why the page only accepts accounts whose trades entered 100% through automatic sync (JTTS_EA or another integration). If an account has even one manually logged trade, it shows as blocked with the reason. If you still want a report for that account, use Statistics or export from /trades.
Header
- Account name
- The name of the verified account you picked — the report always covers a single account.
- Date range
- From the first trade to the last in the selected range.
- Generated
- UTC timestamp at the moment you opened the page. Useful to know how fresh the report is.
KPIs
- Total trades
- Total number of trades in the range.
- Win rate
- % of winning trades over total.
- Profit factor
- Gross profit ÷ gross loss. >1.5 is a consistent system.
- Expectancy
- Average P&L per trade in USD. Positive = profitable system.
- Total P&L
- Net P&L sum in the range, in USD.
- Max DD
- Largest drop from an equity peak to the next valley, in USD.
- Sharpe
- Return / volatility annualized (252 days). >1 efficient, >2 very good.
- Avg R:R
- Average R:R of trades that have it recorded.
- Winners / Losers / Breakeven
- Count of trades in each category.
- Best trade / Worst trade
- Best and worst individual trade in USD within the range.
- Max losing streak
- Longest consecutive losing streak. Indicates the psychological depth you might face.
Equity curve
Cumulative P&L curve trade by trade, drawn as SVG. Shape matters more than the number: a gently upward-sloping curve with shallow DD is more sustainable than a rollercoaster that ends in the same place.
Monthly P&L
- Cells
- Month by month with net P&L and trade count. Green if positive, red if negative.
Session × day heatmap
- Rows
- Asia, London, NY AM and NY PM.
- Columns
- Monday to Friday (weekends excluded).
- Intensity
- Opacity by absolute P&L of the bucket. Green = profit, red = loss, intensity = magnitude.
Trades table (last 100)
- Columns: date, symbol, direction, entry, SL, TP, R:R, P&L and assigned strategy.
- Sorted from most recent to oldest.
- If you have more than 100 trades in the range you'll only see the last 100 — for the full history export from /trades.
Tips
- For a track record prop firms will believe: ≥3 months of data, Profit Factor >1.5, controlled drawdown.
- If your account shows as not eligible, check for manual trades — the blocking reason is shown next to the selector.
- Sharpe uses 252-day annualization — interpret with care if you have under 30 days of data.
- Max losing streak is a psychological metric: if your historical streak is 6, prepare to take 6 losses in a row without revenge trading.
Important
The page looks fine on screen, but the magic is Print → PDF. It strips the journal chrome and leaves a presentable sheet with a subtle watermark. Perfect to send as evidence or attach to your portfolio.
Related
Advanced Analytics Pro
Advanced Analytics Pro — the "Avanzado Pro" tab of the Performance hub — models your system with Monte Carlo simulations (500 runs), computes the real Kelly Criterion and estimates Risk of Ruin from your actual trades.
Advanced Statistics
The Statistics sub-tab of Performance → Metrics: the highest level of detail. Complements the standard analysis with advanced ratios, distributions, and a full per-symbol table.
Portfolio Health Score
0–100 index summarizing your portfolio's overall health. Designed to glance at and know whether your situation is healthy or critical.
Drawdown and Recovery factor
Drawdown is what can kill you (literally, in propfirms). Recovery factor tells you whether the reward compensates.
Log payouts
Payouts are the payments you receive from a propfirm from a Funded account. Tracking them gives you the real project ROI (collected − paid in challenges).