Monitor dozens of active algorithmic models simultaneously. Evaluate average win rates, aggregate total returns, and cross-strategy performance metrics validated by rigorous historical backtesting.
Scanning thousands of tickers across global equities, forex, and digital asset markets to pinpoint high-probability trading setups.
Top Asset Leaderboard
Automatically rank the highest-performing underlying assets. Track total returns, P/N ratios, and optimal strategy pairings for maximum yield.
Evaluate edge through core quantitative metrics
Win Rate & Total Returns
Analyze the raw profitability of each algorithm. Filter by annualized yield and win rate to identify the most consistent algorithmic performers in the current market regime.
Risk & Max Drawdown
Capital preservation is critical. Monitor maximum drawdown metrics strictly to ensure strategies align with institutional risk management parameters and survive market crashes.
P/N Ratio & Execution
Evaluate execution frequency and Profit-to-Negative (P/N) ratios. Balance high-frequency signals against robust per-trade profitability to avoid noise.