Analyze my last [NUMBER] completed trades and identify patterns in my trading behavior: TRADE LOG: [Paste your trade data: date, instrument, direction, entry, exit, P&L, and optionally your notes] Example format: - 2026-05-01 | TSLA | Long | Entry: $180 | Exit: $172 | Loss: -$400 | Note: "chased breakout, no pullback entry" - 2026-05-02 | AAPL | Long | Entry: $190 | Exit: $197 | Win: +$700 | Note: "waited for confirmation" [Continue...] Analyze: 1. WIN RATE BY SETUP TYPE: Do I win more on breakouts, pullbacks, or reversals? 2. TIMING PATTERNS: Do I perform better on certain days/times? Do I overtrade late in the day? 3. EMOTIONAL PATTERNS: Based on notes, identify revenge trading, overconfidence after wins, fear after losses 4. RISK/REWARD ACTUAL vs. PLANNED: Did I stick to my planned stops and targets? 5. TOP 3 BEHAVIORAL EDGES: My actual documented advantages 6. TOP 3 BEHAVIORAL LEAKS: My documented mistakes, with specific correction suggestions