Why is this ranked by P&L instead of return on capital? On a % basis the ranking inverts completely:
#1 (Danny): 4.2%
#2 (Leon): 8.1%
#3 (Enhanced): 9.9%
Also no Sharpe, no max DD, no trade expectancy. 156 trades for $9,873 is $63/trade average on $234k of capital — that's a churn profile, not a top performer. What does the equity curve actually look like?