Widget dashboard (template "Main")
In alto: net_pl win_percentage_by_trades profit_factor winning_percent_days avg_win_loss_trade
Sotto: zella_score zella_assist daily_net_cumulative_graph net_daily_pl_graph open_position calendar_advanced account_balance drawdown_widget trade_time_performance_scatter trade_duration_performance_scatter
Report disponibili (54)
Time Analysis (4)
- Average trading months duration - cumulative — The average length of time you were active in the market each trading day, measured from the first to the last trade execution of the day, across all applicable days.
- Avg hold time - cumulative — Your average hold time, or how long you were in a trade, is based on ALL trades taken.
- Longest trade duration - cumulative — The maximum time spent in a single trade, calculated from entry to exit. Shows the trade with the longest holding period during the selected timeframe.
- Max trading months duration - cumulative — The longest active trading day duration, based on the time difference between the earliest and latest executed trades on a single day.
Profitability (13)
- Avg loss - cumulative
- Avg max trade loss - cumulative — The average minimum profits on all your trades.
- Avg max trade profit - cumulative — The average maximum profits on all your trades.
- Avg monthly net P&L - cumulative — Shows the average profit or loss per trading day over the selected period.
- Avg monthly win/loss - cumulative — Displays average profit on winning days compared to the average loss on losing days during the selected period.
- Avg net trade P&L - cumulative — The average P/L based on all your trades. What is your usual trade outcome? How much do you make on average on each trade?
- Avg trade win/loss - cumulative — Displays average profit on winning days compared to the average loss on losing days during the selected period.
- Avg win - cumulative
- Largest losing trade - cumulative — The single trade with the highest realized loss, representing the most capital lost on a trade during the selected period.
- Largest profitable trade - cumulative — The single trade with the highest realized profit in your trading history for the selected period.
- Net P&L - cumulative — The total realized Profit and Loss (P/L) on all closed positions, for the date range selected.
- Profit factor - cumulative — Measure your profitability by comparing your gross profits to your gross losses.
- Trade expectancy - cumulative — How much you are expected to make on your future trades based on historical performance. For % view this is expected trade ROI.
Risk & Drawdown (7)
- Avg monthly net drawdown — Shows the average drawdown during the selected period and the drawdown at the end of that period, or the current drawdown if no date filter is applied.
- Avg. planned r-multiple - cumulative — The average PLANNED R Multiple on all your trades. Note: This stat is based on trades where you manually inputted your profit target and stop loss for the trade.
- Avg. realized r-multiple - cumulative — The average REALIZED R Multiple on all your trades. Note: This stat is based on trades where you manually inputted your stop loss for the trade. This measures your R multiple on all your trades and takes the average to display your average R multiple on your trades.
- Breakeven days - cumulative — The number of trading days where your net result indicates neither a gain nor a loss. This usually means a net result of exactly $0, but you can adjust the thresholds in your breakeven settings.
- Breakeven trades - cumulative — The number of trades where your net result was exactly $0, indicating neither a gain nor a loss.
- Losing days - cumulative — The cumulative number of trading days where you had a net loss. This tracks your unprofitable trading days over time.
- Max monthly net drawdown - cumulative — This is the max drawdown experienced for the defined period.
Trading Activity & Volume (19)
- Avg monthly volume - cumulative — The average volume, or quantity of contracts/shares traded on a daily basis.
- Logged days - cumulative — The total number of days for which you created a note in your journal.
- Longs # of breakeven trades - cumulative — The number of long trades that closed with exactly $0 P&L (or around it based on your trade settings), resulting in neither profit nor loss.
- Longs # of losing trades - cumulative — The number of loss-making trades executed as long positions during the selected period.
- Longs # of open trades - cumulative — The number of open (unclosed) long trades currently active or unclosed during the selected period.
- Longs # of trades - cumulative — Total number of the trades executed as long positions during the selected period.
- Longs # of winning trades - cumulative — The number of profitable trades executed as long positions during the selected period.
- Loss # of trades - cumulative — The cumulative number of loss-making trades executed during the selected period. This tracks your trading activity and volume of unsuccessful trades over time.
- Monthly net drawdown - cumulative
- Net account balance
- Open trades - cumulative — The cumulative number of all open (unclosed) trades currently active or unclosed during the selected period.
- Shorts # of breakeven trades - cumulative — The number of short trades that closed with exactly $0 P&L (or around it based on your trade settings), resulting in neither profit nor loss.
- Shorts # of losing trades - cumulative — The number of loss-making trades executed as short positions during the selected period.
- Shorts # of open trades - cumulative — The number of open (unclosed) short trades currently active or unclosed during the selected period.
- Shorts # of trades - cumulative — Total number of the trades executed as short positions during the selected period.
- Shorts # of winning trades - cumulative — The number of profitable trades executed as short positions during the selected period.
- Trade count - cumulative
- Volume - cumulative — The total volume, or quantity of contracts/shares traded.
- Win # of trades - cumulative — The cumulative number of profitable trades executed during the selected period. This tracks your trading activity and volume of successful trades over time.
Streaks & Consistency (11)
- Avg monthly win % - cumulative — Reflects the percentage of your winning trading days out of total trading days.
- Longs win % - cumulative — The percentage of winning trades based only on your long positions.
- Max consecutive losing months - cumulative — The longest streak of consecutive trading days that ended in a loss.
- Max consecutive losses - cumulative — The highest number of back-to-back losing trades recorded without a win in between.
- Max consecutive winning months - cumulative — The longest streak of consecutive trading days that ended in profit.
- Max consecutive wins - cumulative — The highest number of back-to-back winning trades recorded without a loss in between.
- Sharpe ratio - cumulative — Measures risk-adjusted returns. Higher values indicate better returns relative to volatility. Calculated using daily returns with 252 trading days annualization. Values above 1 are considered good.
- Shorts win % - cumulative — The percentage of winning trades based only on your short positions.
- Sortino ratio - cumulative — Measures risk-adjusted returns using only downside volatility. Unlike Sharpe, only penalizes losses, not upside volatility. Higher is better. Values above 1.5 are considered good.
- Win % - cumulative — The percentage of winning trades out of your total trades.
- Winning days - cumulative — The cumulative number of trading days where you had a net profit. This tracks your successful trading days over time.
Endpoint API osservati (47)
/api/account/all_tags
/api/account/check_initial_balance
/api/account/current_timezone
/api/account/index
/api/account/max_calendar_event_date
/api/account/stripe_current_subscription
/api/account/subscription_churn_hash
/api/assist/day_start
/api/assists.json
/api/auth/sign_in
/api/auth/validate_token
/api/backtesting/dashboards
/api/backtesting/sessions
/api/challenge_transactions
/api/challenges
/api/dashboard_templates
/api/days/calendar_events
/api/filters/account_balance_datum
/api/filters/cumulative
/api/filters/dashboard_stats
/api/filters/performance_grouping
/api/filters/winrate
/api/global_config
/api/homepage/personalization
/api/import_progresses
/api/insights
/api/loading_states
/api/mentorships
/api/new_reports/available
/api/notifications/unread_notifications_count
/api/performance_reports
/api/plaid_connections
/api/playbooks/templates
/api/proxy_auth_keys
/api/strategy/playbooks
/api/strategy/playbooks/all_playbooks
/api/tag_categories
/api/trades/all_symbols
/api/trades/last_import
/api/trades/present
/api/trades/recent_trades
/api/user/annual_recap
/api/user/get_logs_setting
/api/user/get_onboarding
/api/user/limits_usage
/api/user/profile
/api/zella_scores/current
/api/account/check_initial_balance
/api/account/current_timezone
/api/account/index
/api/account/max_calendar_event_date
/api/account/stripe_current_subscription
/api/account/subscription_churn_hash
/api/assist/day_start
/api/assists.json
/api/auth/sign_in
/api/auth/validate_token
/api/backtesting/dashboards
/api/backtesting/sessions
/api/challenge_transactions
/api/challenges
/api/dashboard_templates
/api/days/calendar_events
/api/filters/account_balance_datum
/api/filters/cumulative
/api/filters/dashboard_stats
/api/filters/performance_grouping
/api/filters/winrate
/api/global_config
/api/homepage/personalization
/api/import_progresses
/api/insights
/api/loading_states
/api/mentorships
/api/new_reports/available
/api/notifications/unread_notifications_count
/api/performance_reports
/api/plaid_connections
/api/playbooks/templates
/api/proxy_auth_keys
/api/strategy/playbooks
/api/strategy/playbooks/all_playbooks
/api/tag_categories
/api/trades/all_symbols
/api/trades/last_import
/api/trades/present
/api/trades/recent_trades
/api/user/annual_recap
/api/user/get_logs_setting
/api/user/get_onboarding
/api/user/limits_usage
/api/user/profile
/api/zella_scores/current