Plans
Write the trade before you take it.
Entry, stop, target, size — one card, one hypothesis. R:R computes as you tap. Try the numbers.
MSFT
LONG
Planned
40 shares · Support bounce
Entry
$413.00
Target
$440.00
Stop
$405.00
Risk : Reward
3.38 : 1
Auto-sync
Every fill, pulled in.
Connect once. Every trade flows in — automatic. No CSVs. No copy-paste. Try the demo.
Trades
Not synced
No fills yet — tap Sync to pull.
Journal
Taken. Missed. Tagged.
Every trade and every miss, filed and findable. Your journal becomes a searchable index of your decisions.
Date
Symbol
P&L
› May 8
SPY
+$200 +2%
DirectionLong
Qty20
Entry$500.00
Exit$510.00
Duration4h
Tagbreakout
› May 7
AAPL
+$550 +4%
DirectionLong
Qty100
Entry$137.50
Exit$143.00
Duration2d
Tagtrend
› May 6
TSLA
+$540 +8%
DirectionLong
Qty30
Entry$225.00
Exit$243.00
Duration1d
Tagbreakout
› May 5
NVDA
+$1,000 +8%
DirectionLong
Qty100
Entry$125.00
Exit$135.00
Duration3h
Tagreversal
› May 4
MSFT
+$400 +2%
DirectionLong
Qty50
Entry$400.00
Exit$408.00
Duration1d
Tagsupport bounce
AMD
SHORT
@ $178.00
May 8
Gap-up fade, rejected at prior resistance. Hesitated, missed it.
META
LONG
@ $495.00
May 6
Saw the breakout, froze on entry. Ran to $520.
Breakout
67% WR·+$2,340
Recent trades
May 8SPY+$200+2%
May 6TSLA+$540+8%
Apr 29NVDA+$500+5%
Reversal
50% WR·+$120
Recent trades
May 5NVDA+$1,000+8%
Apr 15TSLA−$300−4%
Trend continuation
80% WR·+$1,760
Recent trades
May 7AAPL+$550+4%
Apr 28SPY+$400+4%
FOMO entry
0% WR·−$620
Recent trades
Apr 26TSLA−$400−4%
Apr 10AAPL−$220−2%
Earnings Fade
100% WR·+$820
Recent trades
May 8AMD+$450+3%
Apr 15META+$370+2%
Why this exists
What profitable traders do.
Know their edge. Plan the trade. Execute the plan. Review the results. Repeat.
DO WHAT YOU SAY.
Weekly review
How did the week go?
Net P&L, win rate, average trade — one screen per week. A 2-minute retrospective ritual. Cycle through the weeks to spot patterns and drift.
May 4–10 THIS WEEK
Week 19 · 2026-W19
Net P&L
+$2,690
5 closed
Win rate
100%
5W · 0L
Avg / trade
+$538
expectancy
Callouts
Tap to see what's working. Tap to see what's not.
Twelve deterministic rules across symbols, timing, and behaviour. They fire only when the data shows something real. Tap any callout to see why it fired and what to try.
▼
Callouts
3 signals
SYMBOLS
AAPL: 75% win rate across 4 trades (+$1,880).
˅
WHY FLAGGED
A symbol where you have a real edge — enough trades to trust the signal, and you're winning most of them. Concentration here is working in your favour.
WHAT TO TRY
Study what's different about how you play this one — setup, timing, sizing. That pattern may be repeatable on similar names.
TIMING
Mondays are a drag — −$340 net across 6 trades.
˅
WHY FLAGGED
This weekday is a consistent drag on P&L. Common culprits: start-of-week hesitation, low-quality setups, or forcing trades when nothing is moving.
WHAT TO TRY
Skip Mondays for 2 weeks and compare. If total P&L goes up, you've found a free return — fewer trades, more profit.
BEHAVIOR
3 revenge trades opened within an hour of a loss.
˅
WHY FLAGGED
Revenge trading is entering an off-plan trade right after a loss — often sized larger — to "get it back". It's emotion-driven, not edge-driven.
WHAT TO TRY
Set a hard rule: after any losing trade, no new entry for 30 minutes. If the idea still looks good after the cool-off, it was probably real.