SAMPLE DATA β€” an invented trading history, here to show what the journal does with one. These are not anyone’s real results. Trade a real morning yourself

Sun08-16β€”
Mon08-17+$520
Tue08-18β€”
Wed08-19+$99
Thu08-20βˆ’$108
Fri08-21+$305
Sat08-22β€”
Week total+$8164 trades
Sun08-23β€”
Mon08-24β€”
Tue08-25+$260
Wed08-26β€”
Thu08-27+$350
Fri08-28
Sat08-29
Week total+$6102 trades

Total gain/loss

Net realized+$3,251.0016 closed Β· 3 still open

Cumulative P&L

02,0007/308/38/68/108/138/178/208/27

Winning vs losing trades

Wins: 11Losses: 5
Wins: 11Losses: 5

Largest gain vs largest loss

Largest gain+$610.00
Largest lossβˆ’$210.00

Average win vs average loss

Average win+$360.82
+$285.00+$422.14+$360.82
Average lossβˆ’$143.60
βˆ’$165.00βˆ’$133.33βˆ’$143.60

Win %

69%

11 of 16 closed trades

Performance by day of week

01,000Mon: +$1,155.00Tue: +$260.00Wed: +$419.00Thu: +$1,632.00Fri: βˆ’$215.00SunMonTueWedThuFriSat

Recent trades

NVDA Β· 08-27+$350.00
MSFT Β· 08-25+$260.00
AMD Β· 08-21+$305.00
SOFI Β· 08-20βˆ’$108.00
MARA Β· 08-19+$99.00
NVDA Β· 08-17+$520.00
META Β· 08-14βˆ’$210.00
SMCI Β· 08-13+$495.00

Open positions

as of 15:55 ET
SymbolSideQtyAvg entryMarkUnrealized
AMDLong50$481.39$476.67βˆ’$236.00
NVDALong100$223.26$227.98+$472.00
TSLAShort50$359.25$354.81+$222.00
Total unrealized+$458.00

Unrealized profit is not in your net P&L or win rate β€” it is only counted on the day you actually close the position. Marks are from your last sync.

Open risk

$1,370recorded across 3 open positions
TSLA short$450
NVDA long$420
AMD long$500

Best & worst symbol

Best symbolNVDA+$1,280.00 Β· 3 trades
Worst symbolMETAβˆ’$210.00 Β· 1 trade

Current streak

Streak3 winning days