USDENAM
RumiFX Platform

Trading Management Dashboard

Enterprise trading workspace for RF-LV-104920, connecting orders, schedules, positions, trades, risk, performance reports, watchlists, market context, and chart execution tools.

Daily P&L
$3,585.77
Real-time open positions
Unrealized P&L
$3,585.77
Synced from positions
Realized P&L
$856.90
Current statement cycle
Margin analytics
616%
$110,792.88 free margin

Order Management System

Market, pending, advanced, conditional, bracket, OCO, scale, basket, and trailing-stop orders share a single account-scoped order book.

idaccountsymboltypesidequantitypricetriggerstatustif
ORD-55019RF-LV-104920SOLUSDTBuy LimitBuy120 SOL$151.40Limit touchWorkingGTC
ORD-55002RF-LV-104920BTCUSDTTrailing StopSell0.42 BTC$66,2001.4% trailWorkingGTC
ORD-54991RF-LV-104920AAPLOCOSell80 sh$209.50 / $194.10TP or SLWorkingDay

Scheduled Trading

One-time, recurring, time-based, event-based, price-trigger, and calendar-based orders with execution logs and lifecycle history.

idtypestatusnext runexecution logsmodificationscancellations
SCH-7102Price TriggerActiveSOL <= $151.40Waiting for triggerLimit moved from $150.80None

Open Positions

Real-time P&L, stop loss, take profit, trailing stop, partial close, scaling, and hedging controls are tied to account margin.

idsymbolsidesizeentrymarkpnlstop losstake profittrailing stopscalinghedge
POS-3301BTCUSDTLong0.82 BTC$67,840.00$69,244.40$2,814.20$66,200$72,5001.4%Scale-out 25% at $70,800Short put spread
POS-3302ETHUSDTLong8.4 ETH$3,418.00$3,548.20$986.12$3,360$3,720OffAdd above $3,590None
POS-3303NVDAShort120 sh$126.42$128.21-$214.55$131.20$119.80OffPartial close 40 sh doneSPY long

Complete Trade Lifecycle

Entry and exit details, fills, fees, commissions, swap charges, P&L analysis, and downloadable reports.

idordersymbollifecycleentryexitfeescommissionswappnlreport
TRD-77122ORD-55002BTCUSDTScaled$68,120Open$18.42$4.10$0.00$612.80Download
TRD-77104ORD-54988ETHUSDTPartially Closed$3,442$3,511$9.84$2.20$0.00$244.10Download

Portfolio Overview & Asset Allocation

Crypto
48%
$61,651
US Equities
24%
$30,826
FX
12%
$15,413
Cash
16%
$20,551

Risk Metrics & Margin Analytics

Value at Risk
$6,420
95% / 1 day
Max drawdown
8.7%
Trailing 90 days
Sharpe ratio
1.84
Risk adjusted
Beta to BTC
0.62
Portfolio sensitivity

Watchlists, Top Movers & Market Overview

symbolpricechange
BTCUSDT$69,244.40+1.8%
ETHUSDT$3,548.20+2.1%
SPY$538.44-0.3%
EURUSD1.0876+0.2%

Strategy Analytics & Reporting

nametradespnlstatus
BTC breakout28+$7,840Active
ETH mean reversion19+$2,114Monitoring
Equity hedge11-$640Paused

Account & Trade Performance Reports

Win/loss ratio, drawdown, Sharpe ratio, risk-to-reward, strategy analytics, and monthly/yearly reporting.

idaccounttypeperiodwin/lossdrawdownsharperisk/rewardstatus
RPT-5001RF-LV-104920Account PerformanceJune 2026 MTD62.8%8.7%1.841.9:1Ready
RPT-5002RF-LV-104920Monthly StatementMay 202659.1%10.2%1.411.6:1Ready

Advanced Chart Execution Readiness

Professional and beginner-friendly chart capabilities connected to orders, positions, alerts, drawing tools, indicators, layouts, and saved preferences.

modulecapabilitystatus
Market dataReal-Time WebSocket UpdatesStreaming
NavigationUltra-smooth zooming and panningEnabled
LayoutsMulti-timeframe and multi-chart layoutsSaved
ExecutionOne-click trading with SL/TP visualizationReady
IndicatorsMA, EMA, RSI, MACD, Bollinger, VWAP, ATR, Stochastic, IchimokuLibrary
ToolsFibonacci, drawing tools, crosshair, alerts, shortcutsEnabled

Trading Journal & Performance Reviews

BTC breakout thesis updated
Moved stop below VWAP after London session volume expansion
Today 11:04
Reduced NVDA short
Covered 40 shares before CPI event risk
Yesterday 15:20
Weekly review completed
Best setups came from Asia range compression
07 Jun 2026