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Overview
Open Positions
0
Daily P&L
$0.00
Win Rate
—
Total Trades
0
Win Rate by Strategy
P&L by Strategy
Wins vs Losses
Portfolio Equity (30d)
Strategy Performance
| Strategy | Trades | Wins | Losses | Win Rate | Total P&L |
|---|---|---|---|---|---|
| No trade data yet — run the bot or generate demo data. | |||||
Strategies
L1
Trailing Stop
Personal position management with trailing stop-loss
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L2
Copy Trading
Mirror US politician trades from Capitol Trades
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L3
Twitter Signals
Composite signals from @PeterLBrandt, @InvestorsLive & more
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Telegram Notifications
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Bot Token
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Chat ID
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Triggered On
Trade opened · Trade closed · Stop loss · Daily summary · Errors
Level 1 — Symbol Config
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Signals
L3 — X / Twitter Signals
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L2 — Top Traders (Politician Rankings)
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L2 — Recent Disclosure Feed
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Positions & Orders
Pending Orders
0
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Open Positions
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Trade History
Earnings Straddle
Open Straddles
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Closed Straddles
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Total P&L
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Watchlist Size
8
Open Straddles
| Symbol | Strike | Earnings | Expiration | Entry Cost | Curr Value | P&L % | Lower BE | Upper BE | Status | |
|---|---|---|---|---|---|---|---|---|---|---|
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Watchlist — Upcoming Earnings
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Closed Straddles
| Symbol | Strike | Earnings | Entry Cost | Exit Value | P&L % | P&L $ | Exit Reason | Entry Date |
|---|---|---|---|---|---|---|---|---|
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Performance Governor
Thresholds
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Active Pauses
| Symbol | Reason | Until | Time Remaining |
|---|---|---|---|
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Backtest — Hull Suite BTC/USD
Parameters
Net Profit
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Max Drawdown
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Total Trades
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Win Rate
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Profit Factor
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Equity Curve
Click ▶ Run Backtest to compute, or wait for cached results to load.
Backtest — Trend Join Long (momentum names)
Parameters
Fill model: next_open with slippage · Benchmark: SPY buy-and-hold · Sharpe uses 5% risk-free rate
Net Return
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SPY Benchmark
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Max Drawdown
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Total Trades
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Win Rate
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Profit Factor
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Sharpe Ratio
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Equity Curve
Click ▶ Run Backtest. Uses Alpaca CLI for data (IEX feed by default). Runs the TJL strategy with next-open fills + slippage, versus a SPY buy-and-hold benchmark.
Backtest — RSI + Volatility Compression
Parameters
Entry: RSI(14) recovers through 35 while Bollinger Band width sits at/below its own trailing
20th percentile (a squeeze) · Exit: 5% trailing stop, RSI above 70, or 10 trading days held ·
Long only, daily bars · Benchmark: SPY buy-and-hold
KPIs by Window
| Window | Eligible Bars | Net % | Max DD % | Trades | Win % | PF | Sharpe | SPY % |
|---|---|---|---|---|---|---|---|---|
| Click ▶ Run Backtest. Uses Alpaca's IEX feed for daily bars; runs three window lengths against a SPY buy-and-hold benchmark. | ||||||||
Today's Gappers
Click ↻ Refresh to scan today's gainers. Takes 3–8 s.
Analyze — Claude-powered stock report
same engine as the Telegram /analyze command
Report
Pick a symbol and click ▶ Run. Reports take 7–40 s depending on mode.
Glossary · Lexique EN ↔ FR
System Logs
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