Monte Carlo Simulation
Project your edge over hundreds of trades before risking real capital
Simulation Parameters
Set your edge, risk, and batch size
1.0 = 1:1 · 2.0 = 1:2 reward
Premium: run 10–1000 for distribution
Equity Curve
Latest simulation run
Simulated Trades
Latest run — trade by trade
#
Outcome
R
P&L
Balance
Run a simulation to see trades
Run Breakdown
Latest simulation
Win Rate
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Max Drawdown
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Longest Loss Streak
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Trades
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Wins / Losses
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Total Won
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Total Lost
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Net Profit
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Start
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End
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Edge: —
Monte Carlo Results
Across all runs
Best Case
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Worst Case
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Avg Ending
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% Profitable
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Total runs completed
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