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put_credit_spread_spxw/range_from_2022_p15_w100/delta_p15_w100

put_credit_spread_spxw/range_from_2022_p15_w100/delta_p15_w100

Total P&L
−$5,040
−50.40% on $10,000
Trades
4
1 yrs
Win rate
75.0%
Profit factor
0.18
Max drawdown
−$6,128
−61.30%
Sharpe
-6.15
Sortino 0.00
CAGR
0.00%
Calmar -0.82

Equity curve

2022-01-042022-01-13
equity drawdown

Profit & loss

Gross profit
$1,088
Gross loss
−$6,128
Avg win
$362.50
Avg loss
−$6,128
Avg / calendar yr
−$5,040
Margin / trade

Monthly P&L

1 months