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Profit and loss report produced on 23/12/2025 21:37 from 22/12/2025 21:37 to 23/12/2025 21:37
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Total p&l is 1.396%

====================================
P&L by instrument for all strategies
====================================

           codes  pandl
0           BUXL   -0.2
1           BUND   -0.2
2            CHF   -0.1
3          SP400   -0.1
4        HEATOIL   -0.1
5    SP500_micro   -0.1
6        COTTON2   -0.0
7       REDWHEAT   -0.0
8   NASDAQ_micro   -0.0
9        FEEDCOW   -0.0
10       SUGAR11   -0.0
11           JPY   -0.0
12            OJ   -0.0
13         COCOA   -0.0
14      GASOLINE   -0.0
15          US30   -0.0
16       EUROSTX   -0.0
17         WHEAT   -0.0
18       SOYBEAN   -0.0
19           DOW    0.0
20        CANOLA    0.0
21          RICE    0.0
22           GBP    0.0
23       LEANHOG    0.0
24        GASOIL    0.0
25           OAT    0.1
26           VIX    0.1
27        SOYOIL    0.1
28        NIKKEI    0.1
29          PLAT    0.1
30           MXP    0.2
31        COPPER    0.4
32   SILVER-mini    0.9

Total futures p&l is 0.933%
Residual p&l is 0.463%

===========================
      P&L by strategy      
===========================

               codes  pandl
0  caleb_strategy_v3   0.93
0           residual   0.46


==================
P&L by asset class
==================

    codes  pandl
0    Bond  -0.38
1     Ags  -0.15
2  Equity  -0.11
3  OilGas  -0.03
4     Vol   0.06
5      FX   0.14
6  Metals   1.41


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                                 END OF REPORT                                  
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