TradePerformance

What is on the Behavior Analysis sub-page?

Risk-adjusted performance per instrument — which contract you actually trade well, measured by Sharpe rather than by P&L.

One panel, one idea, and a genuinely useful one. Instruments are usually compared by total profit, which rewards whichever one you traded most. Sharpe compares them by return against volatility, so a contract you trade rarely but cleanly can beat one you trade constantly.

Indicators on this sub-page:

Only instruments with five or more trades are counted, so the list is shorter than your full history.

the Behavior Analysis sub-page, waiting on a second instrument with five or more trades
the Behavior Analysis sub-page, waiting on a second instrument with five or more trades