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Profit and loss report produced on 16/03/2026 23:08 from 15/03/2026 23:08 to 16/03/2026 23:08
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Total p&l is -2.587%

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

            codes  pandl
0          SOYOIL   -1.6
1   CRUDE_W_micro   -0.9
2         COTTON2   -0.4
3        HANGTECH   -0.3
4        REDWHEAT   -0.2
5          RUBBER   -0.1
6       EUR_micro   -0.1
7         RUSSELL   -0.0
8         LEANHOG   -0.0
9    COPPER-micro    0.0
10         KOSDAQ    0.0
11           RICE    0.0
12      NIKKEI400    0.1
13      MILLWHEAT    0.1
14            MXP    0.1
15            BRE    0.1
16         EU-OIL    0.1
17          MUMMY    0.1
18         YENEUR    0.2

Total futures p&l is -2.922%
Residual p&l is 0.335%

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

               codes  pandl
0  fut_strategy_v1_8  -3.04
0           residual   0.45


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

    codes  pandl
0     Ags  -2.09
1  OilGas  -0.94
2  Equity  -0.14
3   Other  -0.13
4  Metals   0.01
5  Sector   0.12
6      FX   0.24


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                                 END OF REPORT                                  
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