CFIN Live Performance
Explore the fleet
Filter, scrub back through history and drill into every account. Sections below are interactive and become richer as trades accumulate.
Realized & P/L are closed-trade results (the ranking sorts on this, so it stays stable while accounts are in trades). Net is the account's current standing including open-trade floating P/L (= where it actually stands right now). Today is the return booked since this trading day's start. Live is that floating P/L on its own.
Methodology & definitions
- Accounts
- Every account in the fleet totals is a real-money customer account on a live broker server (marked LIVE €). A strategy still in forward testing trades simulated money on the same live broker feed: it is shown in the strategy comparison so its progress can be followed, is always labelled forward test, and is excluded from every fleet total. Each strategy is a distinct trading engine, and every account is locked to one profit-target × drawdown-cap × risk combination.
- Returns
- Return measured on the account's deposited capital, excluding any broker credit/bonus (credit is not counted as profit). Figures are live and refresh automatically; new accounts read 0% until their first positions close and settle.
- Daily figures
- Today is the account's return measured against the start of the current trading day; Today € is the same figure in euros (the day's profit/loss). Today WR shows today's basket win rate followed by the number of trades closed today (e.g. 100% · 6); it reads — until a basket closes decisively. All daily figures rest at zero while markets are closed.
- Balance, Equity & Vault
- Balance is the closed account value (realised only); Equity adds the floating P/L of any open positions, so the two are equal when the account is flat and differ by the Live figure while trades are open. Vault is profit that has been ratcheted aside and secured.
- Daily growth
- Daily growth is each day's return measured against that day's starting balance.
- Win rates & profit factor
- Basket win rate (account cards & matrix) treats positions closed together as one basket — the unit the strategy actually decides on — and counts winning baskets ÷ decisive baskets. The per-trade win rate (monthly history, and the dashboard) counts individual closed trades. Both are correct; they answer different questions, so a basket rate is normally higher. Profit factor is gross winning P/L ÷ gross losing P/L; shown as a dash until both wins and losses exist.
- Strategy separation
- Pattern-strategy and Multi-market-strategy figures are kept strictly separate, so the strategy comparison on this page is always apples-to-apples.