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Features / Performance

Eight views over your edge.
One source of truth.

Slice your trades by month, weekday, duration, side, symbol, session and tag. Each view turns the same closed-trade history into a different angle - so you find the symbol that pays, the session that bleeds and the weekday you should be sitting out.

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Performance

01/01/2026 – 04/30/2026 cTrader ▾

Overview

Records of all time

Net P&L
$134,200.00
Net ROI
37.55%
Profit Factor
4.68
Trades
156
Won 112
Lost 44
Metrics
71.43%
Win Rate
$4,037.50
Expectancy
$7,112.50
Average Win
-$3,318.18
Average Loss
2.14
Average RR
348.50
Total Volume
94
Long Trades
62
Short Trades
128.40
Avg Time (min)
2.14
Avg Time (hrs)
Account Growth
Recent Trades
SymbolTypeNet P&L
EURUSDBuy+$3,240
XAUUSDSell+$8,100
NAS100Buy-$1,050
GBPUSDBuy+$2,760

By Month

Records of all time

Net P&L 2026
JanFebMarApr MayJunJulAug SepOctNovDec
MonthNet P&LNet ROITradesWonLostAvg WinAvg Loss
January+$32,4009.18%423111$1,820-$1,080
February+$24,7206.41%382711$1,540-$960
March-$4,160-1.02%1789$1,210-$1,540
April+$27,8006.74%291811$2,840-$1,420

By Dayweek

Records from 01, January 2026 to 30, April 2026

Net P&L
MonTueWedThuFri
Net ROI
MonTueWedThuFri
WeekDayNet P&LNet ROITradesWonLostAvg WinAvg Loss
Monday+$8,4002.1%862$1,900-$1,100
Tuesday-$3,200-0.8%624$1,400-$1,600
Wednesday+$12,6003.2%962$2,300-$900
Thursday+$6,8001.7%752$1,800-$1,200
Friday+$4,1001.0%532$2,100-$1,400

By Duration

Records of all time

Net P&L
< 15m15-60m1-4h4-24h> 1d
DurationNet P&LNet ROITradesWonLostAvg WinAvg Loss
< 15 min+$18,4004.6%322210$1,420-$1,160
15-60 min+$42,20010.5%544212$1,520-$880
1-4 hrs+$24,8006.2%382810$1,820-$1,340
4-24 hrs-$4,800-1.2%18810$1,240-$1,680
> 1 day+$8,6002.1%14122$1,140-$1,200

By Order Type

Records of all time

Net P&L
BuySell
Net ROI
BuySell
TypeNet P&LNet ROITradesWonLostAvg WinAvg Loss
Buy+$86,40021.4%947123$1,640-$980
Sell+$47,80012.1%624121$1,820-$1,240

By Symbols

Records of all time

Net P&L
XAUUSDEURUSDGBPUSDNAS100USDJPY
SymbolNet P&LNet ROITradesWonLostAvg WinAvg Loss
XAUUSD+$58,20014.4%483810$2,140-$1,420
EURUSD+$36,4009.1%423210$1,520-$980
GBPUSD+$22,8005.7%32248$1,380-$1,060
NAS100-$2,400-0.6%18810$1,840-$1,620
USDJPY+$19,2004.8%16106$2,640-$1,180

By Tags

Records of all time

Net P&L
PullbackBreakoutRangeFOMO
TriggerNet P&LNet ROITradesWonLostAvg WinAvg Loss
Pullback+$48,20012.0%34286$1,940-$960
Breakout+$32,8008.2%26197$1,820-$1,140
Range+$18,4004.6%22148$1,520-$880
FOMO-$3,200-0.8%826$1,140-$820

By Session

Records of all time

Net P&L
LondonNew YorkAsianSydney
Net ROI
LondonNew YorkAsianSydney
SessionNet P&LNet ROITradesWonLostAvg WinAvg Loss
London+$62,40015.6%584612$1,920-$1,140
New York+$44,80011.2%523814$1,640-$980
Asian+$28,2007.1%322210$1,820-$1,240
Sydney-$1,200-0.3%1468$1,140-$840

↑ Live preview. Click any of the eight views on the left — they also rotate automatically every few seconds.

Overview

Every important number on one screen.

Net P&L, Net ROI, Profit Factor and trade count up top. Win Rate, Expectancy, Average Win, Average Loss, Average RR, Total Volume, Long vs Short and average holding time on the side. The full health check before you drill into anything.

Profit Factor
4.68
Win Rate
71.43%
Expectancy
$4,037.50
Avg RR
2.14
Avg Time
2.14h
By Symbols

Find the pair that actually pays.

The same trader can be brilliant on gold and disastrous on indices. The By Symbols view breaks your full history out one row per instrument - Net P&L, ROI, trade count, won, lost, Avg Win, Avg Loss - so you stop wasting capital on the symbols that drag the rest down.

Symbol Net P&L Trades
XAUUSD+$58,20048
EURUSD+$36,40042
GBPUSD+$22,80032
NAS100-$2,40018
USDJPY+$19,20016
By Session

Trade the hours that work for you.

London, New York, Asian, Sydney. Same trader, very different P&L. By Session shows you which window your edge lives in and which one is mostly noise - useful when life forces you to pick when to actually be at the screen.

Net P&L by session
London+$62,400
New York+$44,800
Asian+$28,200
Sydney-$1,200
By Duration

Scalper, day-trader or position trader?

The trades grouped by how long they were open - under 15 minutes, 15-60 minutes, 1-4 hours, 4-24 hours, over a day. The shape of this chart usually tells the truest story of who you actually are as a trader, regardless of who you think you are.

Net P&L by duration
< 15m15-60m1-4h4-24h> 1d
By Tags

Link the setup to the outcome.

Tag every trade with the trigger that fired it, the mistake that hurt it or the habit that helped. By Tags then groups your P&L by tag so you see, in dollars, which setups pay and which mistakes are quietly bleeding you.

Trigger Mistakes Habits
Pullback +$48,200
Breakout +$32,800
Range +$18,400
FOMO -$3,200
By Order Type

Are you a buyer? Or a seller?

Long versus Short, broken out side by side. Some traders are surgical with breakouts and disastrous with shorts. Some make all their money fading. By Order Type makes the bias unambiguous - and the underlying win-rate gap impossible to ignore.

Buy
+$86,400
94 trades · 71 won · 23 lost
75.5% win rate
Sell
+$47,800
62 trades · 41 won · 21 lost
66.1% win rate
The old way vs Tracker Fx

Stop pivoting a spreadsheet to find your edge.

The data your broker already has is enough to answer "when am I winning". The question is whether you have the tooling to ask it.

Without Tracker Fx
PivotTables and chart-by-chart copy-paste
Build a pivot for every angle you want to investigate.
Re-pivot the whole sheet when the date range changes.
Eyeball "by session" - because you do not actually track open time.
Tags? Either invented every time or never used.
Conclusions land 2-3 weeks late, if at all.
With Tracker Fx
Eight prebuilt views, one click each
Overview, By Month, By Dayweek, By Duration.
By Order Type, By Symbols, By Tags, By Session.
Change the date range - every view repaints.
Five tag categories prebuilt; bring your own.
Sunday review: 15 minutes, not 3 hours.
Go deeper

Pair Performance with the rest of Tracker Fx.

Performance reads the data Auto-Sync brings in. The findings link back to the calendar, the dashboard and your playbooks.

Dashboard
Apr 2026
Net P&L
+$134,200
Win Rate
71.43%
Profit Factor
4.68
Expectancy
+$4,037
Account Growth

Dashboard

The KPIs and charts that summarise everything Performance breaks down.

Explore Dashboard →
cTrader
#3985721
Connected
Next Sync
37 min
Last synced 2 minutes ago
1,247
Trades synced
+14
New this sync

Auto-Sync

The pipeline that keeps every Performance view current. Connect once, never upload.

Explore Auto-Sync →
April 2026
Net P&L:$30k
Trades:14
MonTueWedThuFriSatSun
303112345 6789101112 13141516171819 20212223242526 27282930123

P&L Calendar

Click a green or red day from Performance and land here, scoped to that session.

Explore Calendar →
Trend Following
3.10
Profit Factor
75.00%
Win Rate
$14,200.00
Net P&L
8
Trades
$3,100.00
Avg Win
-$1,400.00
Avg Loss

Playbooks

What By Symbols and By Tags reveal becomes a checklist before you click Buy.

Explore Playbooks →
FAQ

Common questions.

Everything you might want to know about the Performance view.

What does Performance need to work?

A synced broker account. Once Auto-Sync has imported your trade history, every Performance view is populated automatically - no manual tagging or extra columns required. Tag-level views become richer when you start tagging trades in the Journal.

Is Performance behind a paid plan?

No. All eight Performance views are available on every plan, including the free trial. Account limits, sync frequency and other infrastructure-side caps differ between plans, but the analytics surface itself is the same for every account.

How do tags get created?

Five categories ship by default: Trigger, Mistakes, Habits, Mindset and Custom. You add the tag values yourself - "Pullback", "Breakout", "Moved my stop", "Followed plan", and so on - so the analytics map onto your own playbook rather than someone else's vocabulary.

What does the date range apply to?

Each tab has its own date range picker. Set it to last week to do a weekly review, or to last quarter to spot trends - the chart, table and metrics on that tab repaint to match the window you pick.

What does the session bucketing use?

The trade's open time, evaluated against standard FX session windows - London (07:00-16:00 UTC), New York (12:00-21:00 UTC), Asian (00:00-09:00 UTC) and Sydney (21:00-06:00 UTC). A trade can fall into more than one window if it opens during overlap; we bucket it into the dominant session by overlap duration.

Can I drill into the underlying trades?

Yes. Every table row in Performance is clickable - it filters the Journal to that subset (the symbol, the tag, the session) so you can read back through the actual trades that built that line.

Eight ways to find your edge.
One Sunday afternoon.

Connect your broker, let Auto-Sync pull your trades and Performance starts answering questions the same evening.

7-day free trial. Card required, cancel anytime.