Investment Intelligence Workstation
Baseline Fabric Moderate risk persona
Active Workspace
Marchi Family
Julio Marchi Long-Term Growth

Paper Trading Lab

Ana Marchi · Learning Portfolio · Paper Trade

Simulated trades to practice sector analysis and timing.

Holdings and allocation are derived from the transaction ledger using average cost basis. 3 open positions repriced from baseline seeded snapshots as of May 28, 2026 4:05 PM. All open positions currently have quote coverage. Realized P/L is recognized when sells remove average-cost basis from the open position.

Market Value
$19,469.70
Open Cost Basis
$18,565.00
Net Cash Invested
$18,565.00
Buys less sell proceeds
Realized P/L
+$0.00 (+0.0%)
Unrealized P/L
+$904.70 (+4.9%)
Total Result
+$904.70 (+4.9%)
Positions
3
0 realized outcomes
Benchmark
S&P 500
VOO proxy · +0.52% session
Top Holding Weight
66.4%
Top 3: 100.0% · Top 5: 100.0% · ⚠ Concentrated

Allocation by Asset Type

Etf — 66.4% ($12,920) Equity — 33.6% ($6,550)

Equity Sector Breakdown

Financial — 70.3% ($4,606) Consumer Cyclical — 29.7% ($1,944)

Performance Context

Average cost basis · Latest ingested snapshot valuation with last-trade fallback · benchmark review excludes realized and external cash flows
Open holdings review vs benchmark proxy
5 common ingested sessions
Paper Trading Lab 3.4%
VOO proxy 3.4%
Open holdings +3.4%
Proxy ETF +3.4%
Window May 22 - May 28
3.7% 1.7% 0.0% -0.3% May 22 May 26 May 28
Current open holdings are repriced across the latest common ingested sessions. This is a deterministic review comparison only; it excludes realized results, deposits, withdrawals, and money-weighted or time-weighted return logic.
Benchmark Review Proxy
S&P 500 VOO
Large-cap US equity benchmark (500 leading US companies)
Deterministic review comparison
$516.78 +0.52% session move as of 2026-05-28

ℹ Current open holdings are repriced across the latest common ingested sessions against the benchmark proxy. This comparison excludes realized results and external cash flows, so it is not time-weighted or money-weighted performance.

Concentration
⚠ This portfolio shows elevated single-position concentration.
Top 1 holding
66.4%
Top 3 holdings
100.0%
Top 5 holdings
100.0%
Largest Positions
QQQ
66.4% $12,920
JPM
23.7% $4,606
AMZN
10.0% $1,944

Open Holdings

Symbol Shares Avg Cost Latest Price Mkt Value Open Basis Unrealized Realized Weight
QQQ 25 $495.00 $516.78
Baseline seeded snapshots · May 28, 2026
$12,919.50 $12,375.00 +$544.50
+4.4%
+$0.00
No sells yet
66.4%
JPM 20 $217.00 $230.30
Baseline seeded snapshots · May 28, 2026
$4,606.00 $4,340.00 +$266.00
+6.1%
+$0.00
No sells yet
23.7%
AMZN
Amazon.com Inc.  Equity
10 $185.00 $194.42
Baseline seeded snapshots · May 28, 2026
$1,944.20 $1,850.00 +$94.20
+5.1%
+$0.00
No sells yet
10.0%
Total $19,469.70 $18,565.00 +$904.70
+4.9%
+$0.00
+0.0%
100%
Manual Transaction Entry
Record manual buys and sells against the existing asset registry. The ledger immediately becomes the source of truth for holdings.

Transaction Ledger

Date Type Asset Shares Trade Price Amount Notes
Oct 1, 2025 Buy JPM
JPMorgan Chase & Co.
5 $228.70 +$1,143.50 Financial sector thesis
Sep 26, 2025 Buy QQQ
Invesco QQQ Trust
5 $518.60 +$2,593.00 QQQ momentum test
Sep 26, 2025 Buy AMZN
Amazon.com Inc.
2 $192.40 +$384.80 Practicing entry timing
Sep 10, 2025 Buy JPM
JPMorgan Chase & Co.
15 $213.10 +$3,196.50 Initial entry establishing the position.
Sep 5, 2025 Buy QQQ
Invesco QQQ Trust
20 $489.10 +$9,782.00 Initial entry establishing the position.
Sep 5, 2025 Buy AMZN
Amazon.com Inc.
8 $183.15 +$1,465.20 Initial entry establishing the position.