Deterministic net performance of the ByKaranteli signal engine on closed positions. All metrics are net of commissions, slippage, and funding. Every number below comes from signals that were produced live, we never re-run history to polish stats.
6,138 total closed signals in the last 180 days
Net PnL
+315.81%
6,138 trades · 2471W 3667L ▲+315.81%vs prior 90d
Win Rate
40.3%
▲+40.3ppvs prior 90d
Profit Factor
1.06
net gains / net losses
Sharpe
3.52
annualized, daily returns
Calmar
8.83
annualized / max DD
Max Drawdown
-165.19%
cumulative peak-to-trough
Avg Trade
+0.05%
net per signal
Avg Duration
14622 min
entry to exit
180-Day Cumulative PnL
Daily aggregate net bps across all closed signals. Hover for tooltip.
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Side Breakdown · 90 Days
Long vs short performance within the selected window.
Long
5,702 trades
Win rate
39.9%
Net total
+296.67%
PF (net)
1.06
Max DD
-180.96%
Short
436 trades
Win rate
45.4%
Net total
+19.14%
PF (net)
1.08
Max DD
-33.20%
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Net after fees, slippage, funding. Best / worst day: single-day net extremes.
Month
Trades
Active Days
Net PnL
Best Day
Worst Day
Jun 2026
251
13
-32.70%
+31.90%
-42.62%
May 2026
1,634
31
-56.15%
+31.61%
-32.82%
Apr 2026
1,032
30
+211.20%
+37.36%
-21.80%
Mar 2026
3,221
5
+193.46%
+131.40%
-2.59%
Daily Outcome · 180d
One cell per day. Intensity reflects daily net PnL magnitude, saturating at ±5%.
net+315.81%green48red31hit61%
saturation · ±5% per day · empty cells: no closed signals
lossgain
How is this measured?
Every signal passes a strict eligibility check, is evaluated candle-by-candle with a conservative tie-break rule (TP + SL in the same candle → SL wins), and its net return is computed after fees, slippage, and funding. See the full methodology for details or the public API.
First: 2026-03-21 · Last: 2026-06-13Generated: 2026-06-13 08:30:16 UTC
Not investment advice. Past performance does not guarantee future returns. Leveraged derivatives carry the risk of losing all invested capital.