# Dashboard (/platform/workspaces/journal/dashboard)



Maximize from the journal column (or use the full-screen view on mobile). **Dashboard** is the performance read for the selected [account](/platform/workspaces/journal/accounts) and date range.

The range tabs sit in the header: **Today**, **Week**, **Month**, **Year**, **YTD**, **All**, or a custom window from the calendar control next to them. The same range is kept when you minimize.

![](/images/workspaces/journal/journal-dashboard.png)

## Headline cards [#headline-cards]

Five cards lead the page. Each can show a delta versus the previous window of the same length:

* **Net P\&L** — closed and open counts, account currency
* **Win rate** — wins / breakevens / losses
* **Profit factor** — gross profit ÷ gross loss
* **Average win / loss** — size of a typical winner versus a typical loser
* **Day win rate** — winning days ÷ trading days, not winning trades

![](/images/workspaces/journal/journal-dashboard-cards.png)

## Performance and Edge Score [#performance-and-edge-score]

**Performance** is the equity curve. Toggle compare to overlay the previous period.

**Edge Score** is a 0–100 composite of six repeatability dimensions: win rate, profit factor, average win/loss, drawdown, recovery, consistency. It appears after **five closed trades**. Toggle compare to overlay the previous period on the radar.

Treat Edge Score as a repeatability read, not a guarantee.

![](/images/workspaces/journal/journal-edge-score.png)

## Daily P\&L, drawdown, and the calendar [#daily-pl-drawdown-and-the-calendar]

**Daily P\&L** is realized result by trading day.

**Drawdown*&#x2A; is distance from the running equity peak. Switch to &#x2A;*%** when the account has an [initial balance](/platform/workspaces/journal/accounts#manual-account).

The **calendar** colors each day by result and totals the weeks and the month. Click a day to open its review: that session's net P\&L, trade count, fees, volume, running P\&L, the day's [trades](/platform/workspaces/journal/trades), and the [day note](/platform/workspaces/journal/notes).

![](/images/workspaces/journal/journal-calendar.png)

**Recent trades** on the right open a review. **Risk & behavior** at the bottom is max drawdown, expectancy per trade, average duration, current streak, and best / worst day.

Expectancy in **R*&#x2A; needs a stop loss on the trade. Drawdown &#x2A;*%** needs an initial balance on the account.

**Return to chart** puts the [column](/platform/workspaces/journal) back.
