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put_credit_spread_spxw_rsi/range_2020_p50_w10/delta_p50_w10
put_credit_spread_spxw_rsi/range_2020_p50_w10/delta_p50_w10
Total P&L
+$7,028
+70.28% on $10,000
Trades
80
7 yrs
Win rate
85.0%
Profit factor
1.98
Max drawdown
−$1,700
−10.00%
Sharpe
4.80
Sortino 23.49
CAGR
0.00%
Calmar 4.13
Equity curve
equity drawdown
Profit & loss
- Gross profit
- $14,168
- Gross loss
- −$7,140
- Avg win
- $208.35
- Avg loss
- −$595.00
- Avg / calendar yr
- +$1,004
- Margin / trade
- —