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Portfolio analytics - track your prediction market P&L

A full analytics dashboard for your prediction market portfolio - equity curve, time-weighted return, Sharpe and Sortino ratios, maximum drawdown, and position heatmap, all updated in real time.

PolyGram's portfolio analytics page gives you the same performance metrics that professional fund managers use, applied to your prediction market trades. The equity curve shows your portfolio value over time with adjustable date ranges. Time-weighted return (TWR) isolates your trading skill from deposit and withdrawal timing. Risk-adjusted metrics - Sharpe ratio and Sortino ratio - tell you whether your returns justify the volatility you are taking. The maximum drawdown chart highlights your worst peak-to-trough loss, helping you calibrate position sizing. A position heatmap breaks down your P&L by market category so you can see which areas you trade best. Every chart is exportable as PNG for sharing or record-keeping.

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