J Strategy Trading Performance Report — Sep 8 to Sep 19, 2025

J Strategy is our fully automated trading system for NinjaTrader 8. It is designed to run once per day per template, applying price-action logic across multiple futures markets. With bi-weekly template updates, J Strategy helps traders spread risk, maintain consistency, and control exposure across CL, ES, GC, MES, MGC, MNQ, and NQ.

Below is the latest performance report covering September 8 – September 19, 2025. All results are collected directly from the built-in trade reporting log of J Strategy. For transparency, the data shown comes exclusively from live market executions, without any backtesting, simulation, or playback data.

Performance Highlights

  • Total Result: $2,612.50
  • Best Day: $4,565.00 on Sep 15, 2025
  • Positive Days: 5
  • Negative Days: 5

Market Breakdown

Performance contribution by market:

  • MNQ: +$2,825.00
  • GC: +$730.00
  • CL: +$420.00
  • MGC: –$340.00
  • ES: –$400.00
  • MES: –$412.50
  • NQ: –$210.00

Charts

The following interactive charts provide a full breakdown of J Strategy’s performance:

  1. Market Contribution — overall distribution by instrument
  2. Sum by Market — cumulative PnL per instrument
  3. Result per Day — daily totals
  4. Result per Day / per Market — daily breakdown per instrument

Performance Summary ()

Total PnL
Positive Days
Negative Days
Avg / Day

Market Contribution ()

Total PnL

Sum by Market ()

Result per Day ()

Result per Day / per Market ()

All performance reports shown on this website are generated directly from the built-in trade reporting feature of our strategies - "Trade Log". The results reflect actual trades executed in the live market during the stated reporting period. No backtesting, no simulated environments, and no playback data were used in preparing these reports.

For the sake of clarity and transparency, the raw trade log data has been transformed into chart format and presented here for better visual appearance on the website, making it easier for traders to review and interpret performance across different markets and dates.

These reports are published strictly for informational and educational purposes and should not be considered financial advice or a guarantee of future performance.