Traders Freedom

Terms & Definitions

ConceptDefinition
# of Days in a Trade Streak total # of days in a string of consecutive winning or losing trades
# of Days in Latest Signaltotal # of days in the same signal
# of Days in Latest Tradetotal # of days in the same trade
# of Days in Period total # of days in the entire trading period between your start & end dates
# of Days Invested total # of days in the entire trading period in either a long or short trading position
# of Days Negative total # of days in the entire trading period when your model was losing money
# of Days Neutral total # of days in the entire trading period when your model was losing money
# of Days Positive total # of days in the entire trading period when your model was making money
# of Losing Trades in Last 10 Tradestotal # of losing trades in your model’s last 10 trades
# of Losing Trades in Last 5 Tradestotal # of losing trades in your model’s last 5 trades
# of Losing Trades Totaltotal # of losing trades in all your model’s trades
# of Times Trend Length Occurred total # of times your stock’s closing price went up or down a number of days in a row
# of Trades in a Losing Trade Streaktotal # of trades in a losing trade streak
# of Trades in a Winning Trade Streaktotal # of trades in a winning trade streak
# of Trades Total total # of trades in the entire trading period between your start & end dates
# of Winning Trades in Last 10 Tradestotal # of winning trades in your model’s last 10 trades
# of Winning Trades in Last 5 Tradestotal # of winning trades in your model’s last 5 trades
# of Winning Trades Totaltotal # of winning trades in all your model’s trades
% Odds of Trend Continuing odds your stock’s closing price will continue to go up or down again the next trading day
% of Days Invested % of days in the entire trading period in either a long or short trading position
30-Day Average Price $ your stock’s average closing price over the latest 30-day period
30-Day Average Volume # your stock’s average closing average over the latest 30-day period
Algorithm a set of complex mathematical calculations Freedom uses to generate its proprietary trades and trade signals
Algorithm # the proprietary Freedom algorithm number (1 -16) paired with your stock to create your trading model
Analytics analysis of historical daily stock data Freedom uses to generate its trade signals and details
AROR P/L % your model’s % return when calculated to display that return over a 12-month period
Average # of Days in a Losing Tradeaverage # of days in all losing trades
Average # of Days in a Winning Tradeaverage # of days in all winning trades
Average Losing Trade P/L $average $ return of all losing trades
Average Losing Trade P/L %average % return of all losing trades
Average Trade P/L $average $ return for all trades
Average Trade P/L %average % return of all trades
Average Winning Trade P/L $average $ return of all winning trades
Average Winning Trade P/L %average % return of all winning trades
Best Trade P/L $ best trade profit $ amount for each trade during that trade’s total trade duration
Business Date any date where the U.S. stock market exchanges are open for trading
Buy & Hold P/L $ $ return if you’d bought your stock on your start date and held it through your end date
Buy & Hold P/L % % return if you’d bought your stock on your start date and held it through your end date
Closing Price $your stock’s closing price the previous trading day
Closing Volume #your stock’s closing volume the previous trading day
Column Reset button that resets the columns you chose to display in an analyzer module
Column Visibility button that allows you to choose and display columns in an analyzer module
Columns vertical columns of data metrics that appear in different analyzer tables and boxes
Cost Amount$ amount your broker charges you to make a trade
Current Position your model’s current trade position based on its trade signal from the previous trading day
Data Metrics proprietary metadata Freedom generates after consuming daily stock market trading details
Day Trading where you’d make short-term trades in the same stock multiple times -- on the same day
Dominant Trade Signal the daily Freedom trade signal type (Long, Short, or Out) displaying the greatest % on that day
Downtrendwhen your stock’s latest closing price up/down state is down
End of Day Data daily trade data marked “final” by the stock exchanges that Freedom’s databases consume each evening
End Date date you entered in the “User Inputs” box to end your trading period with
Entry Datedate your model entered each one of its trades
Entry Priceprice your model entered each one of its trades
Exit Datedate your model exited each one of its trades
Exit Priceprice your model exited each one of its trades
Export button that exports the data you see in the on-screen object you’re analyzing
Export Metadata button that exports additional underlying data for the on-screen data you’re analyzing
Export Positions button that exports your portfolio model’s daily trade position details
Export Trades button that exports your portfolio model’s trade summary details
Filters data metric values you select so that Freedom will include or exclude models or columns from your search results
Index Name name of the stock market index used as a benchmark for comparison between your start and end dates
Index Net P/L % net profit/loss % between closing values of a stock market index between your start and end dates
Index Summary summary of results for the three main stock market indexes (DOW JONES 30, S&P 500, and NASDAQ COMPOSITE) being used as benchmarks for comparison between your start and end dates
Intra-trade Drawdown % (Maximum DD %) worst unrealized loss % during a single open trade before it closed
Investment Amount$ amount you would put into a single trade
Largest Losing Trade P/L $largest $ loss from a single losing trade
Largest Losing Trade P/L %largest % loss from a single losing trade
Largest Winning Trade P/L $largest $ gain from a single winning trade
Largest Winning Trade P/L %largest %$ gain from a single winning trade
Latest Trade Date Available date of the latest daily stock exchange data Freedom has processed through its system
Long Freedom signal indicating you should buy that stock or hold it if you own it so you’re in a “long” position
Maximum Trend Length # of Days maximum # of days in a row your stock’s closing price has gone up or down in a row
Model a proprietary trading instrument created by combining the stock symbol you pick with a Freedom algorithm #
Model # one of sixteen trading models created by combining a proprietary Freedom algorithm with your stock symbol
Model Daily Trade P/L $each trade’s profit/loss $ at the end of each trading day
Models Long# of models with a Long trade signal for the next trading day
Models Out# of models with an Out trade signal for the next trading day
Models Profitable# of models that made a profit during your trading period
Models Short # of models with a short trade signal for the next trading day
Models Unprofitable # of models that did not make a profit during your trading period
Module an analytical software application that’s a separate component of the Freedom Analytics System
Net Model P/L $ total $ return for all your model’s total trades as of each trade’s exit date plus your initial $ investment
Net Trade Available Balance $total $ available for your model’s next trade
Net Trade P/L $ total $ return for all your model’s total trades as of each trade’s exit date
Next Business Date next date stock exchanges will open for trading and when you would make your Freedom signal trades
Next Day Action your next day trade action based on your model’s next day trade signal
Next Day Opening Price $ your stock’s opening price on each trading day after the prior trading day
Next Day Signalyour model’s next day trade signal
Opening Price $your stock’s opening price on each trading day
Out Freedom signal indicating you should not buy that stock or sell it if you own it so you’re in an “out” position
Portfolio a collection of Freedom models where you can review your stock’s positions and results all in one place
Position your account stock “position” (long, short, or out) as a result of having made a stock trade
Profile user inputs, filter values, search criteria, and portfolio config Freedom stores in your account so you can reuse it
Proprietary the trading algorithms, models, signals, metadata, and results you’ll find exclusively in the Freedom system
Quantitative Analysis mathematical and statistical analysis Freedom processes each evening to include new daily trade data
Regular 95% VaR Long Loss % the fifth worst (or 95th percentile) overnight loss % your stock experienced when in a long trading position over the last 500 trading days
Regular 95% VaR Short Loss % the fifth worst (or 95th percentile) overnight loss % your stock experienced when in a short trading position over the last 500 trading days
Regular 99% VaR Long Loss % the second worst (or 99th percentile) overnight loss % your stock experienced when in a long trading position over the last 500 trading days
Regular 99% VaR Short Loss % the second worst (or 99th percentile) overnight loss % your stock experienced when in a short trading position over the last 500 trading days
Regular VaR Loss $ identifies the second worst (99th percentile) and fifth worst (95th percentile) overnight loss $ values your stock experienced over the last 500 trading days
Regular VaR Loss % identifies the second worst (99th percentile) and fifth worst (95th percentile) overnight loss % values your stock experienced over the last 500 trading days
Rows horizontal rows of data metrics that appear in different analyzer tables and boxes
Shares # the number of shares of your stock your model traded in each one of its trades
Short Freedom signal indicating you should borrow that stock from your broker and sell it so you’re in a “short” position
Start Date date you entered in the “User Inputs” box to end your trading period with
Stock Ticker company stock ticker symbol for the stock name you want to analyze
Stress 95% VaR Long Loss % the fifth worst (or 95th percentile) overnight loss % your stock experienced when in a long trading position over the 500 trading days in the extreme stress period between 2008 and 2009
Stress 95% VaR Short Loss % the fifth worst (or 95th percentile) overnight loss % your stock experienced when in a short trading position over the 500 trading days in the extreme stress period between 2008 and 2009
Stress 99% VaR Long Loss % the second worst (or 99th percentile) overnight loss % your stock experienced when in a long trading position over the 500 trading days in the extreme stress period between 2008 and 2009
Stress 99% VaR Short Loss % the second worst (or 99th percentile) overnight loss % your stock experienced when in a short trading position over the 500 trading days in the extreme stress period between 2008 and 2009
Stress VaR Loss $ identifies the second worst (99th percentile) and fifth worst (95th percentile) overnight loss $ values your stock experienced over the 500 trading days in the extreme stress period between 2008 and 2009
Stress VaR Loss % identifies the second worst (99th percentile) and fifth worst (95th percentile) overnight loss % values your stock experienced over the 500 trading days in the extreme stress period between 2008 and 2009
Swing Trading where you’d make multiple trades in the same stock a number of times over days -- but never the same day
System Info the latest date Freedom has completed processing all the stock exchanges daily trading data through its system
Technical Analysis analysis of the direction, strength, trend, and patterns in a chart of a stock’s historical trading data
Technical Indicators standardized analytical methods used to evaluate the historical movement and patterns of a stock chart
Trade # each trade’s individual trade # within its total # of trades between your start and end dates
Trade Day #each trade date’s day # within each trade’s total # of day’s
Trade Drawdown % (Regular DD %)worst realized loss % due to a single closed trade
Trade Duration the trading days between the start and end dates you choose (aka a “trading period”)
Trade P/L $total $ return for your model’s current trade
Trade P/L $ in Last 10 Trades"total $ return for your model’s last 10 trades"
Trade P/L $ in Last 5 Tradestotal $ return for your model’s last 5 trades
Trade P/L $ in Latest Tradetotal $ return for your model’s latest trade
Trade P/L $ in Long Tradestotal $ return for your model’s long trades
Trade P/L $ in Losing Tradestotal $ return for your model’s losing trades
Trade P/L $ in Short Tradestotal $ return for your model’s short trades
Trade P/L $ in Streak Trades total $ return for all trades in your model’s latest trade streak
Trade P/L $ in Total Tradestotal $ return for all your model’s trades
Trade P/L $ in Winning Tradestotal $ return for your model’s winning trades
Trade P/L % in Last 10 Tradestotal % return for your model’s last 10 trades
Trade P/L % in Last 5 Tradestotal % return for your model’s last 5 trades
Trade P/L % in Latest Tradetotal % return for your model’s latest trade
Trade P/L % in Long Tradestotal % return for your model’s long trades
Trade P/L % in Losing Tradestotal % return for your model’s losing trades
Trade P/L % in Short Tradestotal % return for your model’s short trades
Trade P/L % in Streak Trades total % return for all trades in your model’s latest trade streak
Trade P/L % in Total Tradestotal % return for all your model’s trades
Trade P/L % in Winning Tradestotal $ return for your model’s winning trades
Trade Signals Freedom’s proprietary daily trade indicators suggesting it’s a good day to buy, sell, or stay out of a stock
Trading Period the trading days between the start and end dates you choose (aka a “trade duration”)
Trading Typeyour model’s trade position in each trade -- long or short
Trend Direction direction up or down your stock’s closing price went as of your end date
Trend Length # of Days # of days in a row your stock’s closing price has gone up or down in a row
Uptrendwhen your stock’s latest closing price up/down state is up
Value at Risk % (VaR %) identifies the second worst (99th percentile) and fifth worst (95th percentile) overnight loss % values your stock experienced over the last 500 trading days
Worst Index Drawdown % (Regular DD %) worst daily loss % for the three main stock market indexes between successive day’s closing values between your start and end dates
Worst Intra-day Index Drawdown % (Maximum DD %) worst daily “almost” loss % for the three main stock market indexes between one day’s closing value and the next day’s lowest value between your start and end dates
Worst Intra-trade Drawdown % (Maximum DD %) worst unrealized loss % due to a single open trade before it closed
Worst Trade Drawdown % (Regular DD %)worst realized loss % due to a single closed trade
Worst Trade P/L $ worst trade loss $ amount from a single trade amongst multiple trade’s in a specific trade duration

We are not investment advisors. Please see your individual broker for information and assistance should you have any questions about the process of shorting a stock or you are unsure about any part of your trading process.

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