Skip to main content

Rows in.
Trading analytics out.

Your platform exports a wall of fills. Proplysis reads every trade on every account and hands back win rate, profit factor, expectancy and drawdown. Free trading analytics for prop firm traders.

Free when you buy your challenge through Proplysis. No subscription.

Example data

Watch eight days of rows become one view.

Twenty-four trades from the statement, then the Proplysis analytics page they feed. Example data.

Your platform gives you rows. Every trade is one line.

TradovateAccount statementTPT-50K-0418
DateTimeSymbolSideQtyPriceFeesP&L
09/21/202609:34:12NQZ6Buy224,150.508.40+412.50
09/21/202610:12:48ESZ6Sell36,741.2512.60-187.00
09/21/202613:41:07MNQZ6Buy1024,162.0014.80+96.25
09/22/202609:31:55NQZ6Sell124,288.754.20-340.00
09/22/202610:05:20NQZ6Buy224,251.258.40+620.00
09/22/202611:22:36CLX6Buy268.429.60+185.00
09/23/202609:48:03ESZ6Buy46,752.0016.80-212.50
09/23/202610:40:19MNQZ6Sell824,190.5011.84-64.00
09/23/202614:02:51GCZ6Sell13,985.404.80-148.00
09/24/202609:36:44NQZ6Buy324,074.2512.60+880.00
09/24/202610:21:09ESZ6Buy26,718.508.40+262.50
09/24/202612:15:30CLX6Sell367.9514.40-230.00
09/25/202609:44:27GCZ6Buy23,978.209.60+310.00
09/25/202610:58:41NQZ6Sell224,210.008.40-415.00
09/25/202614:09:16MNQZ6Buy624,188.758.880.00
09/28/202609:33:08ESZ6Sell36,769.7512.60+375.00
09/28/202610:02:57NQZ6Buy224,322.508.40+540.00
09/28/202611:47:22CLX6Buy268.109.60+128.00
09/29/202609:41:36NQZ6Sell224,401.258.40-505.00
09/29/202610:29:14ESZ6Buy36,788.0012.60-137.50
09/29/202613:36:45GCZ6Buy13,991.804.80+210.00
09/30/202609:38:02MNQZ6Buy1224,355.5017.76+88.00
09/30/202610:14:33NQZ6Buy224,340.758.40+730.00
09/30/202611:05:58ESZ6Buy26,795.258.40+196.25
Net P&L
+$2,794.50
Win rate
58.3%
Profit factor
2.25
Expectancy
+$116.44
Max drawdown
-$642.50
Daily net P&LExample data
+$1,000-$4002122232425282930
Win rate14 / 9 / 1
58.3%win rate
Wins 14
Losses 9
Breakeven 1
Equity curveCumulative, per trade
$2,000$1,000

Your best hour has a name.

The Time column in, a time of day by weekday map out. See when you make money and when you hand it back. Hover a cell.

Net P&L by time of day and weekdayET, Example data
Tue 9:00Net +$1,300.0022 trades71% win
8
9
10
11
12
13
14
15
Mon
Tue
Wed
Thu
Fri
LossProfit

Which instrument pays you?

The Symbol column in, net P&L by instrument out. Click a bar to see the trades behind it.

Net P&L by instrumentExample data

NQ - 8 trades, 5 winners, net +$1,922.50

DateTimeSideQtyP&L
09/2109:34Buy2+412.50
09/2209:31Sell1-340.00
09/2210:05Buy2+620.00
09/2409:36Buy3+880.00
09/2510:58Sell2-415.00
09/2810:02Buy2+540.00
09/2909:41Sell2-505.00
09/3010:14Buy2+730.00

GC - 3 trades, 2 winners, net +$372.00

DateTimeSideQtyP&L
09/2314:02Sell1-148.00
09/2509:44Buy2+310.00
09/2913:36Buy1+210.00

ES - 6 trades, 3 winners, net +$296.75

DateTimeSideQtyP&L
09/2110:12Sell3-187.00
09/2309:48Buy4-212.50
09/2410:21Buy2+262.50
09/2809:33Sell3+375.00
09/2910:29Buy3-137.50
09/3011:05Buy2+196.25

MNQ - 4 trades, 2 winners, net +$120.25

DateTimeSideQtyP&L
09/2113:41Buy10+96.25
09/2310:40Sell8-64.00
09/2514:09Buy60.00
09/3009:38Buy12+88.00

CL - 3 trades, 2 winners, net +$83.00

DateTimeSideQtyP&L
09/2211:22Buy2+185.00
09/2412:15Sell3-230.00
09/2811:47Buy2+128.00

One account or all of them.

The Account column in, one pivot table out. Every account across every firm sits in one view; switch how it is grouped.

Group byExample data
GroupNet P&LWin %Profit factorSharpeMax DDTrades
All accounts6 accounts, 4 firms+$2,994.5054%1.410.80-$702.00180
Topstep 50KTradovate+$1,186.5061%1.921.41-$410.0041
Topstep 150KTradovate+$842.2555%1.440.98-$640.5038
Apex 100KRithmic+$512.0052%1.280.77-$520.0029
FTMO 100KcTrader+$388.7557%1.511.05-$295.2522
FTMO 200KDXtrade-$118.0046%0.88-0.21-$702.0031
Tradeify 50KTradeLocker+$183.0054%1.190.52-$260.0019
Topstep2 accounts+$2,028.7558%1.691.20-$640.5079
Apex1 account+$512.0052%1.280.77-$520.0029
FTMO2 accounts+$270.7551%1.140.31-$702.0053
Tradeify1 account+$183.0054%1.190.52-$260.0019
Tradovate2 accounts+$2,028.7558%1.691.20-$640.5079
Rithmic1 account+$512.0052%1.280.77-$520.0029
cTrader1 account+$388.7557%1.511.05-$295.2522
DXtrade1 account-$118.0046%0.88-0.21-$702.0031
TradeLocker1 account+$183.0054%1.190.52-$260.0019

How far below your peak?

Running P&L in, account drawdown out: the dollars below your high-water mark at every trade. Drag across it.

Equity and account drawdownExample data
Trade 20 of 24Equity +$1,570.25Peak +$2,212.75Below peak -$642.50
$2k$1kPeak-$642

That was four. There are twenty-four.

The full Analytics page has 24 charts across six sections, four risk-adjusted ratios, a P&L calendar and a trades table you can export.

Performance5

Equity3

Time6

Instrument & direction3

Quality & consistency7

Hover, focus or tap a chart to see what it answers.

Also: Sharpe, Sortino, Calmar and Recovery factor. A P&L calendar. A trades table with CSV, Excel and PDF export. Group by account, firm or platform.

From any platform. No CSV.

Trades import automatically from the platform you connect, so the rows above never touch a spreadsheet.

  • Tradovate
  • cTrader
  • TradeLocker
  • Match-Trader
  • DXtrade
  • Rithmic

Stop reading rows. Start reading answers.

Free when you buy your challenge through Proplysis. No subscription.