← strategy library
SPYPNL

iron_condor_delta/range_14dte_p20_c20_w3/delta_p20_c20

iron_condor_delta/range_14dte_p20_c20_w3/delta_p20_c20

Total P&L
−$1,288
−12.88% on $10,000
Trades
15
1 yrs
Win rate
40.0%
Profit factor
0.23
Max drawdown
−$1,466
−14.40%
Sharpe
-9.79
Sortino -19.67
CAGR
0.00%
Calmar -0.88

Equity curve

2026-03-232026-04-16
equity drawdown

Profit & loss

Gross profit
$387.00
Gross loss
−$1,675
Avg win
$64.50
Avg loss
−$186.06
Avg / calendar yr
−$1,288
Margin / trade

Monthly P&L

2 months