Clear Edge diagnosis
Expectancy auto-computed per strategy/symbol/TF so you know the drivers of profit/loss.
A modern Forex journal to log every trade, classify mistakes, and track performance down to your true edge. Built to help traders reach Expectancy > 1.0 with a larger Average R:R.
Input pair, setup, SL/TP, result (R), screenshot, and notes. Ready to export/archive.
Calculate Expectancy, Profit Factor, Avg Win/Loss (R), Payoff Ratio, and streaks.
ATR-based SL and multi-TP targets (1R/2R/3R). Simulate before execution.
Error categories (bias, FOMO, news, spread, whipsaw) to reveal root causes.
Filter by symbol/TF/strategy, equity curve, R distribution, performance calendar.
Import MT4/MT5/CSV statements, TradingView webhook for auto-logging.
Not just notes—this journal maps your edge with core metrics (Expectancy & Avg R:R), then provides practical feedback to lift performance consistently.
Expectancy auto-computed per strategy/symbol/TF so you know the drivers of profit/loss.
Use the R:R Planner (ATR SL & multi-TP) to reject poor-payoff trades and increase payout per win.
Mistake tags (FOMO, news, spread, whipsaw) reveal frequency & impact—stop loss-making patterns.
Pre-trade checklist & fixed % risk reduce lot variance and impulsive decisions.
Equity Curve, R Distribution, and Performance Heatmap show real trends, not guesses.
Export for prop firm / mentor—easy evaluation and accountability.
| Metric | Explanation | Goal |
|---|---|---|
| Expectancy (R) | (Win% × Avg Win R) − (Loss% × Avg Loss R) | > 1.0 R |
| Average R:R | Average Reward vs Risk | ≥ 2.0 R |
| Profit Factor | Total Profit ÷ Total Loss | > 1.5 |
| Max Drawdown | Peak-to-trough decline | < 15% |
| Error Rate | % trades with error tags | < 10% |