Account KPIs, day stats and equity curve of the live account
Three KPI cards (Daily PnL, Trailing DD Remaining, Margin Used), a Day Stats block with win rate, trades, best and worst, and a session equity curve sampled every 30 seconds from the broker's account stats.
Senzoukria · Documentation · Updated September 2026
Where to find it
- Where
- Trading page → KPI cards under the picker; Day Stats and Equity Curve in the right column
- Source
- Account stats streamed by the broker's PnL plant; today's closed trades pulled at feed start
- Equity sampling
- One point every 30 s, at least 30 s apart, capped at 1,500 points
What it does
The KPI cards translate the account stats reported by the broker into three gauges. Daily PnL shows today's P&L and, when the broker reports a daily loss limit, the percentage of that limit already used with a progress bar. Trailing DD Remaining shows the current balance minus the floor balance the broker reports, with the percentage of the trailing limit used. Margin Used shows margin in use as a percentage of balance. Bars turn from safe to warn at 60 % and to danger at 80 %.
Day Stats shows a circular Win Rate gauge and three cells: Trades, Best and Worst. These come from closed trades recorded during the session, seeded from a pull of today's trades when the feed starts. A closing event with zero realized change is not counted, so re-snapshots do not inflate the trade count.
Equity Curve · Session draws the balance over time on a canvas, with the min and max on the left axis and the start and end times plus point count in the title. A sampler pushes the current balance every 30 seconds so the line keeps drawing even when the broker sends no P&L update, which happens when no position is open.
Metrics
| Metric | Sub-label / empty state | Computation |
|---|---|---|
| Daily PnL | Limit {loss limit} · N % used | |dailyPnl| ÷ |dailyLossLimit| when both are negative; "No daily loss limit reported." otherwise |
| Trailing DD Remaining | Trail $N · N % used | balance − trailing floor; percent = 1 − remaining ÷ trailing limit; "No trailing drawdown reported." otherwise |
| Margin Used | N % of balance deployed | marginUsed ÷ balance; "Flat. No margin in use." when none |
| Win Rate | 0 % without trades | Winning closed trades ÷ closed trades; band high ≥ 60 %, mid ≥ 40 % |
| Trades · Best · Worst | — without trades | Count of closed trades and the largest positive and negative trade P&L |
| Equity Curve · Session | "Live equity sampling starts after the first PnL tick. Hold tight…" | Balance points at least 30 s apart, up to 1,500 |
How to use it
Use the Daily PnL bar as the distance to the soft limit of your account and the Trailing DD card as the distance to the hard floor. Both only show what the broker reports: a card that says "No trailing drawdown reported" means the field is absent from the stream, not that the account has no rule.
The win rate reflects today's closed trades only; the journal keeps the long-run statistics.
Limits and pitfalls
- The realized history is kept in memory for the session, capped at 500 trades, and reset when the feed restarts or the account is switched.
- The equity curve is a session view; it is not the multi-account curve of the prop firm simulation.
- Nothing here predicts anything; the numbers describe the account as streamed.
Related pages
This page in other languages
Frequently asked questions
- Why is the equity curve empty right after connecting?
- Sampling starts after the first P&L tick from the broker, and the curve needs at least two points. Points are added every 30 seconds.
- Why does Trades stay at zero after a scale-out?
- A trade is recorded when the position returns to flat, using the realized P&L anchored at the opening. Reducing from two lots to one is not a closed trade.