Monitor Performance

The Trading Dashboard gives you complete visibility into your Deriv bot's performance:

Real-Time Metrics


???? Balance Section:


■     Current Balance: $10,117.52


■     P/L Today: +$36.30 (green = profit, red = loss)


■     Visual Chart: Balance trend over time


???? Performance Stats:


■     Total Trades: 10 Wins / 1 Loss (10W / 1L)


■     Win Rate: 90.9%


■     Profit Factor: How much you make per dollar risked


???? Risk Status:


■     Daily Loss Progress: 0/3020 (0%)


■     Daily Profit Target: $36.30/$260 (14%)


■     Daily Trades Used: 11/125 (9%)


■     Consecutive Losses: 0/7 (0%)


⚡ Live Status:


■     Trading Status: Active, Paused, or Stopped


■     Last Tick: Current market price (e.g., 968 ↓ 72)


■     Last Digit: Last digit of tick (important for digit strategies)


■     Tick Count: Number of ticks processed (50/50)


Active Strategy Panel


Shows your currently running AI trading bot:


■     Strategy Name: "Double Zero Difference"


■     Contract Type: DIGITDIFF - 1s


■     Quick Actions:


■     ???? Start: Begin trading


■     ⚪ Reset: Reset statistics and restart



Columns Explained:


■     Contract ID: Unique identifier (click to view on Deriv)


■     Type: Contract type your Deriv bot traded


■     Stake: Amount wagered


■     Entry: Price when trade opened


■     Exit: Price when trade closed


■     P/L: Profit or loss on the trade


■     Result: Win (green) or Loss (red)


Monitoring Best Practices:


1.    Check Daily: Review performance at least once per day


2.    Watch Drawdowns: If consecutive losses increase, consider pausing


3.    Track Win Rate: Should stay consistent with backtest results


4.    Adjust Stakes: Reduce stakes if losing, increase if winning consistently


5.    Monitor Market Conditions: Some strategies work better in certain markets



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