Trading Dashboard
COMING SOON
We are finalizing the bot configuration to offer you real-time data with pinpoint precision.
14.2%
Win Rate
1.64
Profit Factor
4.8%
Max Drawdown
These are the actual returns of the system over the last 6 months.
Total Profit
€1949.95
Profit Factor
1.64
Win Rate
14.2%
Max Drawdown
21.9%
System Performance
Historical growth of the ANewTrade bot
Live Status
Next Suggested Backtest
OPTIMIZE FIB 61.8
Institutional Comparison
ANewTrade vs Market Benchmarks (Annual Average)
Value Metrics
Return
10.2%
Max Drawdown
18.4%
Return
19.8%
Max Drawdown
12.5%
Return
65.0%
Max Drawdown
21.9%
Wealth Evolution (Base €3,000)
Projected growth vs Main Benchmarks
* Simulation based on the annualized historical performance of Berkshire Hathaway (19.8%) and S&P 500 (10.2%) projected over the backtest period.
Expectancy & R
Expectancy (Avg R)
0.57R
R-Median
-0.93R
P10 (Worst Case)
-0.95R
P90 (Best Case)
3.85R
Historical Streaks
System Efficiency
Profit Factor
1.64
Final Equity
€4949.95
Recent Trades
| Date | Asset | Side | Result |
|---|---|---|---|
2026-02-19 | USTEC | SHORT | €-47.04LOSS |
2026-02-16 | USTEC | SHORT | €-47.28LOSS |
2026-02-11 | USTEC | SHORT | €320.14WIN |
2026-02-10 | USTEC | SHORT | €-45.20LOSS |
2026-02-04 | USTEC | SHORT | €549.08WIN |
2026-01-28 | USTEC | SHORT | €-39.54LOSS |
2026-01-21 | USTEC | SHORT | €-40.15LOSS |
2026-01-20 | USTEC | LONG | €-39.78LOSS |
2026-01-15 | USTEC | SHORT | €-40.68LOSS |
2026-01-13 | USTEC | LONG | €-41.81LOSS |