A systematic wheel strategy scoring engine. 15 weighted signals per trade. Every recommendation logged publicly before the outcome is known.

System live since Apr 5, 2026 · Updated daily 10 AM ET
CURRENT SYSTEM · SCORE 90+ ONLY
win rate
Across closed trades · Avg hold days
Total Realized P&L
Gold Tier · Score 100 Subset
Built in public. Evolving with the data.
Score floor raised from 80 to 90 on April 14. PLTR blacklisted April 13 after 46 trades at 48% win rate and -$12,352, measured at the time of the decision. Every methodology change documented, every trade logged before the outcome is known. No paid product yet. Just building the receipts.
Cumulative P&L — Score 90+ Recommendations
Realized P&L

Follow along - entries, exits, monthly numbers

Daily recap of any Score 90+ paper trades that closed. Plus a monthly performance summary on the 1st. Same trades you see on this page, delivered to your inbox.

Free during the build phase. Unsubscribe anytime.

Performance by Score Band
Results by score band, on the buy-write basis. The bands below 90 cover a two week window in April 2026 and are not comparable to the 90+ record.
Figures are buy-write: both legs of a covered call, the option and the shares. What changed and why →
Score RangeTradesWinsWin RateAvg P&LTotal P&L
Score Range = recommendation strength (0-100). Only Score 90+ trades are recommended today.

If you had only taken Score 90+ trades: win rate, avg P&L, total. The bands below 90 are a two week window from April 2026 and are not a comparison.

Score Distribution
Distribution of Recommendation Scores — All Closed Trades
How the scoring system works Read the methodology →

Every setup is scored 0–100 on fifteen signals and published before the outcome is known. Only setups scoring 90 and above are tracked. All results shown are simulated paper trades, not real money. The full methodology covers the fifteen signals and their weights, what tracked and declined mean, and the disclosures behind these figures.

Performance by Ticker
Only tickers with 3+ closed trades shown. Default sort: Total P&L. Click any column header to re-sort.
Loading aggregates…
Show:
Ticker Trades Wins Win Rate Avg P&L Total P&L Avg Collateral Capital Return % Annualized %
Click any ticker to see its trades →
▶ How these numbers are calculated Show

Capital Return % = total realized P&L divided by total collateral deployed (strike × 100 per contract). Annualized % weights by collateral and uses average DTE per ticker. Both metrics use closed Score 90+ trades only. Open positions are excluded. Every trade was logged with its score before the outcome was known. Forward-tracked, not backtested.

Loading...
Date Ticker Type Score Strike Expiry Entry Exit P&L Result Days
Disclaimer: This is for educational purposes only, not financial advice. Options trading involves significant risk. Past performance does not guarantee future results.