Backtest

Performance Summary
Awaiting simulation
Total Return
+18.4%
vs benchmark +12.1%
Sharpe Ratio
1.92
Risk-adjusted
Max Drawdown
-6.8%
Within tolerance
Win Rate
68%
42 of 62 trades
Equity Curve
Trade Outcomes
Trade Asset Direction P&L Win Prob.
#62 NVDA Long +$2,340 78%
#61 AAPL Long +$890 65%
#60 MSFT Short -$420 42%
#59 GOOGL Long +$1,120 71%

Important Notice

Before running the simulation, please understand:

  • Educational Purpose Only: This simulation is for educational and research purposes. It does not constitute financial advice.
  • Simulated Results: All results shown are simulated based on historical data. They do not represent actual trading outcomes.
  • No Guarantees: Past performance and simulated results do not guarantee future returns.
  • Your Responsibility: All investment decisions are your sole responsibility.