Session Bias

PairEUR/USD
SessionLondon
Date
Time
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01 Trading Mode Bias for

Observation or execution this session.

02Market Structure

Dominant structure across higher timeframes.

03Price Location

Position relative to key levels.

04Direction

Current directional bias.

05Charts

Higher-timeframe (MTF) and lower-timeframe (LTF) TradingView snapshots — paste a snapshot link into each.

06Notes

Intentions, news risk, mindset reminders.

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01 Trade Log?Log every trade — result, R multiple, side, entry/exit, costs, notes. Logged trades feed your win rate, R-curve, day-of-week edge, potential-R analysis, and monthly insights. The journal becomes your edge.
#
Result
R · PIPS
Pot R · PIPS
Type
Side
Entry
Exit
Risk £ · SL
Costs £
Gross £
Net £

Log your trades live

03Focus Level

How present were you during the session.

04How Did the Session Close?

Net directional behaviour during the 2-hour window.

05RICE Phase Observed

Range, Initiation, Correction, Extension — the dominant phase you saw.

06Post-Session Charts

TradingView snapshots of the session — markups encouraged. Add as many as you need.

07Concept Tags

Select all that applied to your reads today.

08Mindset

Mental state — be honest, this is how you grow.

09Reflection

What went well. What needs improvement. Don't skip this.

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Net P&L = profit after costs. Gross P&L = profit before costs. Click the toggle to swap. Shared with the Statistics tab.
Net P&L · Gross P&L
£0
Net R and Net Acc % across your current series of 10.
Net R · Net Acc %
0
R left on the table and that gap as a % of balance, across wins in your current series.
Pot R · Pot Acc %
Equity Curve
This series of 10
Current Series
0 / 10
No trades logged yet
CLICK ANY TRADE DOT TO EDIT OR DELETE
Series History

Completed series of 10 — your trajectory over time.

Your current account balance: Starting Balance (set in Settings) plus Net P&L.
Account Balance
£0
Net P&L = profit after costs. Gross P&L = profit before costs. Click the toggle to swap.
Net P&L · Gross P&L
£0
Total commissions and spread paid across all trades. Gross P&L minus Total Costs equals Net P&L.
Total Costs
£0
Wins ÷ (Wins + Losses) across every trade ever logged. BEs excluded.
Win Rate
Net R and Net Acc % across every trade ever logged.
Net R · Net Acc %
0
R left on the table and that gap as a % of balance, across all winning trades ever logged.
Pot R · Pot Acc %
Average R per trade and average % of account balance per trade.
Expectancy
Total winning R ÷ total losing R across all trades. Above 1.5 = solid edge.
Profit Factor
Equity Curve
Account balance over time
Wins vs Losses

Side-by-side comparison of your winning and losing trades.

Total number of winning trades, total R captured, and average R per win. Higher avg R = bigger winners on average.
Wins
0
Total number of losing trades. Each loss counts as -1R by default. If your imported actual losses were bigger than 1R (slippage), they show as higher R in the average.
Losses
0
Trades that closed at or near entry, often with SL moved to BE. They contribute 0R to stats but may carry small £ costs (commission + spread).
Break-evens
0
Max Consecutive Streaks

Longest runs across all history. Critical for position sizing.

Longest unbroken run of winning trades. Critical for confidence — and for understanding what you can ride.
Max Win Streak
0
Longest unbroken run of losses. The worst stretch you've survived. Position-size for at least this many in a row.
Max Loss Streak
0
Longest run of break-even trades in a row. High values can mean you're consistently moving to BE too early.
Max BE Streak
0
Day of Week Breakdown?Performance by weekday — which days are your edge. WR = win rate. W/L/BE = win/loss/break-even counts. Net R = sum of R across trades on that day.
Long vs Short?Performance by direction — find out if one side of the market is your edge. Same column meanings as above.
Share of long vs short trades. Detail below shows win rate and R per side — find out which direction is actually your edge.
Reaction vs Continuation?Performance by trade type — tag trades in Review tab. Reaction = countertrend / mean-revert. Continuation = with-trend.
Share of reaction vs continuation trades. Detail below shows win rate and R per type — reveals which style pays better.
Hold Time Analysis

Average time in trade by result.

Average time you held winning trades. Short avg = you take quick wins. Long avg = you let winners run.
Avg Win
No data
Average time you held losing trades. Short avg = you cut losses fast. Long avg = you may be hoping/holding too long.
Avg Loss
No data
Average time in break-even trades. Useful for spotting whether you're rushing or sitting too long before SL gets hit.
Avg BE
No data
Trade Time Analysis

When you trade best, worst, and most often. Bucket size adapts to your sample size — narrower as you log more trades.

Consistency — showed up vs traded
Hold Winners longer or close BEs sooner??Compares two alternative rules against your actual trades: (A) holding winners longer based on how much of the move you typically capture, and (B) using a shorter TP based on how far price extends on your BEs before reversing. Replays your history under each rule and shows which direction is more profitable AND which improves win rate. Tier badges show conviction (too few / early / building / strong) based on sample size. Detailed per-trade breakdown is collapsed below — expand to see exactly which trades drive each recommendation.
Metric
Tags Analysis

Your 10 most-used concept and mindset tags across all trades.

Top 10 Concepts
Top 10 Mindset States
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