A big month: credit spreads are now first-class, the analytics that read them caught up, and we cleared a handful of accuracy bugs. Here's what changed.
New
Credit Spreads are live
Track bull put and bear call spreads as a single position — net credit, max loss, return on max risk, and breakeven all computed for you. Spreads are detected automatically on every CSV import, and the new All / CSP+CC / Spreads filter runs across Home, Stats, Income, and Risk.
Credit spread · profit & loss
+$245
Net credit
$755
Max risk
32.5%
Return
Improved
- Strategy analytics now break out credit spreads alongside cash-secured puts and covered calls — win rate, average premium, and yield are reported per strategy, so spreads no longer hide inside your blended numbers.
Fixed
- Recycled wheels now show correct P&L — wheels you re-entered after a call-away no longer display impossible profit or loss.
- Fees are no longer dropped on $0-price trades — opening and closing commissions are kept, so cost basis and P&L stay accurate.
- Imports are smoother — the Adjustments tab no longer crashes on corporate actions, and same-file stock splits no longer get stuck as “Pending.”