Cumulative P&L
−$80
1 trading days
Capital at Risk
$15,200
Long-leg entry premium
Cumulative Return
−0.53%
vs avg capital
Annualized Return
−136.84%
260-day basis
Best Day
−$80
Apr 20 · −0.53%
Worst Day
−$80
Apr 20 · −0.53%
Daily Detail — SPY
| Date |
Unrealized P&L |
Realized P&L |
Daily P&L |
Capital at Risk |
Daily % |
Cumulative P&L |
Cumulative % |
Annualized % |
| Apr 20 |
+$0 |
−$80 |
−$80 |
$15,200 |
−0.53% |
−$80 |
−0.53% |
−136.84% |
| Total |
+$0 |
−$80 |
−$80 |
— | — |
−$80 |
−0.53% |
−136.84% |