← strategy library
SPXWPNL

put_credit_spread_spxw/range_2022_p15_w100/delta_p15_w100

put_credit_spread_spxw/range_2022_p15_w100/delta_p15_w100

Total P&L
+$28,998
+289.98% on $10,000
Trades
812
5 yrs
Win rate
89.8%
Profit factor
1.10
Max drawdown
−$48,408
−124.10%
Sharpe
0.37
Sortino 0.18
CAGR
0.00%
Calmar 0.60

Equity curve

2022-01-042026-05-21
equity drawdown

Profit & loss

Gross profit
$317,453
Gross loss
−$288,455
Avg win
$435.46
Avg loss
−$3,475
Avg / calendar yr
+$5,800
Margin / trade

Monthly P&L

53 months