Why doesn’t my P&L in euros equal my dollar P&L times today’s exchange rate?

Why is my R-multiple 5R when the trade only went 2.5 times my stop?

Why does my average entry price look wrong next to my P&L?

Why does my short trade show a 25% return when I only made 20% on what I sold?

Why did my two trades become one (and my win rate change) when I switched trade grouping?

Why does switching FIFO, LIFO or Weighted Average change my daily P&L but not my trade’s total?

Why does a trade that lost money after fees count as a win, and why don’t my Win %, Loss % and BE % add up to 100?

Why don’t my filtered results match my trades? (Open, Close and Transaction date explained)

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