Same inputs, same result
Every trade, price and rule that goes into your result is recorded. Run them again and you get exactly the same outcome. A verifier you can run yourself is coming.
The formulas
>_ terminal
equity = starting balance + closed P&L + open P&L
floor = starting balance × (1 − max loss)
day line = equity at 00:00 UTC − daily loss × starting balance
you pass when closed profit ≥ target, with 5+ sectors traded
you fail when equity ≤ max(floor, day line)
payout = target × splitOpen positions are valued at the price you could close them at right now: the best bid for a long, the best ask for a short.