Your trading, on a plate
Reads the trade data you already loaded on the P&L Calendar and turns it into charts, streaks, and a vibe check. All in your browser — nothing uploaded, nothing tracked.
No trade data yet
Head over to the P&L Calendar, drop a Fidelity account-history CSV, and come back here — this page reads the exact same data (locally, in your browser) and turns it into patterns you can actually see.
📈 The scoreboard
The big numbers first. Everything below breaks them down.
📈 The equity curve
Cumulative P&L stacked day by day. If this line goes up and to the right, you're doing something right.
🎰 The casino slip & the weekday warrior
Left: shape of your daily P&L — are your green days bigger than your red ones? Right: which weekdays actually pay.
Daily P&L distribution
Each bar = number of days that landed in that P&L bucket.
Weekday performance
Total P&L per weekday, plus how many days of each you've traded.
🔥 The heatmap
GitHub-style. Green cells = green days, red cells = red days, size scales with magnitude.
🧪 What are you actually trading?
The instrument mix + the tickers you touch most.
Instrument mix
Where your P&L actually came from: calls, puts, or shares.
Top tickers
Which symbols you traded the most days.
🩹 What's hurting you
How long you sit in a trade often decides whether it prints. Here's the honest breakdown of your scalps vs your swings vs your long holds.
Re-upload your CSV to unlock hold-time analysis.
You loaded data before this section existed, so per-trade timestamps weren't saved. Head to the P&L Calendar, drop the same CSV again, and this card will populate.
🔥 Streak city
Consecutive green and red days. Discipline, or the tape carrying you — the streaks don't care.
🃏 The vibe check
Meme-level verdicts derived from your actual numbers. Not advice — just receipts.