How can you calculate on just 1 contract when you claim to have varying sizes, day trade vs swing, 1x, 2x, 4x, etc... margin... ? Has this all just been sim? because if it were a real account, no "calculations" are necessary, Broker statements are rather precise... Just an observation...
The key here will be to get through 2155.00. If it happens, the move will be an extended one in all likelihood.