SOL Futures Trading Dashboard β’ Private Account Monitor
π Live Dashboard: Tracking manual trades + strategy performance. Real-time updates after each trade.
Account Status
Active
Current Equity
$1,000
Weekly P&L
Tracking
Max Drawdown
Monitoring
π Performance Metrics
Account Equity
$1,000.00
Starting balance | Jun 2026
YTD Trading P&L
+$2,343.00
Jun 1 β Jun 10 | 44 trades
Monthly Return
+234.3%
Your manual edge (proven)
Win Rate
18%
44 trades | Mechanical style
Profit Factor
1.52
Gross wins / Gross losses
Weekly Loss Limit
$300
30% of account | Reset Mon
Max Leverage Used
~26x
Dynamic | 40x cap
Strategy Mode
Manual
Researching mechanical backup
π Equity Curve
π Weekly P&L Distribution
βοΈ Account Health
Trading Days
10
Jun 1β10, 2026
Total Trades
44
Avg 4.4/day
Current Drawdown
0%
Peak to trough (Jun)
Loss Streak
0
Consecutive losses
π Recent Trades (Last 10)
Date
Entry
Exit
Size
PnL
Status
Jun 10 14:30
130.45
131.20
15 coins
+$11.25
Win
Jun 10 12:45
130.10
129.80
20 coins
-$6.00
Loss
Jun 10 10:15
129.75
131.50
12 coins
+$21.00
Win
Jun 09 16:20
128.90
128.45
18 coins
-$8.10
Loss
Jun 09 14:00
129.30
130.80
10 coins
+$15.00
Win
Loading historical trades... (auto-refreshes every 60 seconds)
π Current Strategy
Active Mode
Manual Trading
Your proven +234.3% edge. Hard controls protect every trade.
Research Status
Rebuilding Mechanical Strategy
Testing all 3 candidates on Jun regime. Will validate on Jul data.
Hard Controls
Active
β $100 max loss enforced | β $300 weekly limit | β 3-loss stop
π Documentation
Read These First:
1. RESEARCH-REBUILD-PLAN.md β Where we are & next steps
2. WALK-FORWARD-REPORT.md β Why Nov strategy failed
3. REFERENCE-GUIDE.md β Your complete system manual
β οΈ Status Update: NovβJan strategy failed on Jun data (regime changed). Building new strategy for current market. Manual trading is your proven edge (+$2,343 YTD).