M Trader — Bi-Weekly Report (September 15–26, 2025)

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 ()

This bi-weekly performance snapshot reviews M Trader automated strategy results from September 15–26, 2025. It highlights total profit, best day, and how each market contributed to the overall performance.

Period & Totals

  • Total PnL: $11,170.00
  • Average / day: $1,117.00
  • Best day: $4,875.00 on 2025-09-25
  • Day mix: 6 positive / 4 negative

Market Contribution

  • NQ (Nasdaq): $8,715.00
  • CL (Crude Oil): $1,280.00
  • ES (S&P): $1,075.00
  • GC (Gold): $100.00

NQ was the strongest contributor in this bi-weekly cycle, supported by additional gains from CL, ES, and GC. The report confirms that M Trader maintains steady performance across multiple asset classes.

Trader Insights

With a diversified market footprint, M Trader has shown the ability to generate consistent results in both trending and volatile conditions. The highlight of this report was September 25, when profits reached $4,875. These results demonstrate how automation helps capture opportunities without emotional bias, while keeping execution disciplined and systematic.

Traders can use M Trader to complement their discretionary setups or run it as a fully automated solution. To explore features, setup guides, and licensing details, visit the official M Trader product page.

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.