TAD

Starting capital $1,000,000
TAD

Load your trades

Everything is parsed locally in your browser — your data never leaves your machine. Choose what to upload:

First steps
  1. Load your TAT or OptionOmega export above — or drop the CSV anywhere on this page.
  2. Your analysis builds instantly. Everything stays on your device and is remembered next time.
  3. A backtest can be loaded on its own — no live history needed. Compare live vs. backtest later with the Live / BT / Both switch.
📅

Equity

Drawdown in % from peak

Rolling 20-day performance

Trailing 20-trading-day window, plotted by day — shows whether the edge is holding up.

PCR heatmap

🏆 Top 5 strategies by PCR

🐌 Flop 5 strategies by PCR

📌 Key insights

    Monthly P&L by strategy

    Drawdown by strategy

    For each portfolio drawdown episode (peak → trough), the net P&L each strategy contributed during that decline. The most-negative bars are the strategies that drove the drawdown; positive bars cushioned it. Deepest drawdown first. Click a bar to see that strategy's trades in the window.

    Profit share by strategy

    Each net-positive strategy's share of gross profit for the current selection. Click a slice or legend entry to see its trades.

    Strategy correlation (daily P&L)

    Pearson correlation of daily P&L between strategies · red = tend to win/lose together (concentration risk), blue = diversifying. Hover for details.

    Strategy comparison: pre-MOC vs. MOC

    Click a column header to sort, or click a strategy row to see its individual trades. Respects the account / trade-type / strategy filters but always shows both time windows.