ARCWELL / paper investing beta
Practice account · no real execution
Sample dataPrices and starting holdings are samples. Paper orders update only this browser’s account. No real assets or funds move.
[01] ARCWELL control room
Portfolio
Holdings, allocations and historical scenarios.
Synthetic market data
Paper account value$32,480.004 positions · snapshot prices
Available cash$2,740.00USDC · paper balance
Window volatility14.2%Daily returns × √252
Maximum drawdown-4.52%3M synthetic reconstruction
Portfolio history
Current quantities applied to synthetic history
Reconstruction excludes historical cash flows, fees and corporate actions.
Allocation
Select a segment to inspect
Invested91.6%
Holdings
Illustrative instruments · not live listings
| Asset | Units | Value | Weight | 30D |
|---|---|---|---|---|
| 50 | $8,620 | 26.5% | +32.3% | |
| 20 | $4,600 | 14.2% | +23.0% | |
| 20 | $10,400 | 32.0% | +15.1% | |
| 61.2 | $6,120 | 18.8% | +0.9% |
Portfolio analyst
Calculated explanations · no language model
$13,220 (40.7%) is held directly in technology names. Equity funds may add further exposure; this sample does not include fund look-through data.
