Built 2026-07-10 · gates as of 2026-07-10 · goal #1: don't lose money
Crypto GATED
$210.70
4 closed trades
Futures WATCH
$1,458.95
29 closed trades
Stocks WATCH
$-422.53
9 closed trades
Review
21d
until 2026-07-31
Forward net P&L (after fees)
$210.70
Forward max drawdown
$32.12 / $500 limit
Forward trades
4
Daily runs logged
8
Go/no-go review
2026-07-31
Phase
2 — paper (no real money)

Markets desk — 33 markets scanned, 13 with live setups

Crypto (frozen forward test) — 5 markets

BTC/USD quiet 63,174.00
90d · ATR 3.5%/day · vol 26%/yr
No setup — stand aside.
ETH/USD SETUP 1,743.93
90d · ATR 4.5%/day · vol 38%/yr
Historical Volatility Crabel long — Next session OCO: buy stop 1760.540000; sell stop 1720.730000
ID/NR4 long — Next session OCO: buy stop 1760.540000; sell stop 1720.730000
SOL/USD SETUP 77.99
90d · ATR 5.3%/day · vol 45%/yr
Historical Volatility Crabel long — Next session OCO: buy stop 78.740000; sell stop 76.620000
ID/NR4 long — Next session OCO: buy stop 78.740000; sell stop 76.620000
XRP/USD SETUP 1.09
90d · ATR 4.3%/day · vol 32%/yr
ID/NR4 long — Next session OCO: buy stop 1.102100; sell stop 1.082060
ADA/USD quiet 0.17
90d · ATR 6.6%/day · vol 69%/yr
No setup — stand aside.

Futures (research) — 18 markets

E-mini S&P 500 SETUP 7,528.75
90d · ATR 1.4%/day · vol 15%/yr
Connors RSI2 long — Buy at/near the close (7528.750000)
WTI Crude Oil quiet 73.52
90d · ATR 5.3%/day · vol 44%/yr
No setup — stand aside.
Natural Gas quiet 3.21
90d · ATR 4.3%/day · vol 36%/yr
No setup — stand aside.
Gold quiet 4,070.90
90d · ATR 2.5%/day · vol 29%/yr
No setup — stand aside.
Silver SETUP 58.16
90d · ATR 3.9%/day · vol 52%/yr
Turtle Trend long — Buy stop 70.954997 / sell stop 57.030000 (20-day channel)
Copper SETUP 6.05
90d · ATR 1.8%/day · vol 25%/yr
Connors RSI2 long — Buy at/near the close (6.054500)
30-Year Treasury Bond SETUP 111.22
90d · ATR 0.8%/day · vol 8%/yr
Turtle Trend long — Buy stop 114.656250 / sell stop 110.812500 (20-day channel)
10-Year Treasury Note SETUP 109.00
90d · ATR 0.5%/day · vol 5%/yr
Turtle Soup Plus One long — Next session buy stop at 109.062500
Turtle Trend long — Buy stop 110.343750 / sell stop 108.781250 (20-day channel)
Corn quiet 434.75
90d · ATR 2.2%/day · vol 25%/yr
No setup — stand aside.
Soybeans quiet 1,195.00
90d · ATR 1.6%/day · vol 20%/yr
No setup — stand aside.
Wheat quiet 599.50
90d · ATR 2.5%/day · vol 23%/yr
No setup — stand aside.
Coffee SETUP 341.45
90d · ATR 4.4%/day · vol 73%/yr
Turtle Trend long — Buy stop 348.599988 / sell stop 244.649997 (20-day channel)
Cotton SETUP 80.32
90d · ATR 2.2%/day · vol 32%/yr
Turtle Soup Plus One short — Next session sell stop at 77.959999
Turtle Trend long — Buy stop 79.679998 / sell stop 70.650004 (20-day channel)
Sugar quiet 15.15
90d · ATR 2.4%/day · vol 25%/yr
No setup — stand aside.
Live Cattle SETUP 235.30
90d · ATR 1.5%/day · vol 25%/yr
Turtle Trend long — Buy stop 258.275000 / sell stop 234.350000 (20-day channel)
Lean Hogs quiet 98.12
90d · ATR 1.5%/day · vol 23%/yr
No setup — stand aside.
Euro FX quiet 1.14
90d · ATR 0.5%/day · vol 5%/yr
No setup — stand aside.
Japanese Yen SETUP 0.01
90d · ATR 0.4%/day · vol 5%/yr
Turtle Trend long — Buy stop 0.006270 / sell stop 0.006149 (20-day channel)

Stocks (research) — 10 markets

TSLA SETUP 406.55
90d · ATR 4.7%/day · vol 61%/yr
The Anti long — Next session stop entry: 407.869985
NVDA quiet 202.78
90d · ATR 3.2%/day · vol 33%/yr
No setup — stand aside.
MU quiet 991.64
90d · ATR 10.0%/day · vol 118%/yr
No setup — stand aside.
AMD quiet 546.72
90d · ATR 7.0%/day · vol 81%/yr
No setup — stand aside.
MSTR quiet 93.89
90d · ATR 9.9%/day · vol 95%/yr
No setup — stand aside.
COIN quiet 158.44
90d · ATR 6.5%/day · vol 61%/yr
No setup — stand aside.
PLTR quiet 129.04
90d · ATR 5.2%/day · vol 58%/yr
No setup — stand aside.
SMCI quiet 28.24
90d · ATR 8.4%/day · vol 97%/yr
No setup — stand aside.
MARA quiet 13.22
90d · ATR 10.2%/day · vol 74%/yr
No setup — stand aside.
HOOD quiet 115.11
90d · ATR 6.2%/day · vol 66%/yr
No setup — stand aside.

Forward equity (net of fees, since 2026-07-04)

2026-07-04 → 2026-07-09 · equity $210.70 · max drawdown $32.12 of $500 kill-switch ($467.88 of room left) · red shading = drawdown from peak
Trade blotter — every closed forward trade (4)
ClosedMarketStrategySide Entry → ExitWhy exitedNet
2026-07-09SOLID/NR4short80.29 → 77.99time_exit$77.08 (+0.77R)
2026-07-09ETHID/NR4short1756.39 → 1756.39trailing_stop$-16.87 (-0.17R)
2026-07-09ADAID/NR4short0.185117 → 0.166444time_exit$182.61 (+1.83R)
2026-07-04ADATurtle Soupshort0.189778 → 0.191998range_expansion_exit$-32.12 (-0.32R)

The book's rule (Ch 23): write down every trade. This ledger is the go/no-go evidence — after fees, nothing hidden.

Next-session orders (2026-07-10)
MarketStrategySideTypeTriggerRisk
ETHHistorical Volatility Crabellongoco_breakoutNext session OCO: buy stop 1760.540000; sell stop 1720.730000Opposite side of ID/NR4 bar is the initial stop/reversal level.
ETHID/NR4longoco_breakoutNext session OCO: buy stop 1760.540000; sell stop 1720.730000Opposite side of ID/NR4 bar is the initial stop/reversal level.
SOLHistorical Volatility Crabellongoco_breakoutNext session OCO: buy stop 78.740000; sell stop 76.620000Opposite side of ID/NR4 bar is the initial stop/reversal level.
SOLID/NR4longoco_breakoutNext session OCO: buy stop 78.740000; sell stop 76.620000Opposite side of ID/NR4 bar is the initial stop/reversal level.
XRPID/NR4longoco_breakoutNext session OCO: buy stop 1.102100; sell stop 1.082060Opposite side of ID/NR4 bar is the initial stop/reversal level.

Other platforms — futures & stocks (research, observational)

Same strategies (plus RSI2 and Turtle Trend) run forward on 18 futures and 10 volatile stocks. Not gated, not real money — this is where you watch "how much could an individual get" across every market, honestly, net of a conservative 0.26%/side fee. It fills in as trades close.

Futures (research, observational) — 29 trades, net $1,458.95
2026-07-06 → 2026-07-09 · equity $1,458.95 · max drawdown $256.24 (observational — no kill-switch) · red shading = drawdown from peak
StrategyTradesWin %Net P&LFee drag
Connors RSI2425%$-41.65
Historical Volatility Crabel580%$1,227.100%
ID/NR4540%$15.712%
The Anti2100%$275.800%
Turtle Soup40%$-187.41
Turtle Trend967%$169.420%
Stocks (research, observational) — 9 trades, net $-422.53
2026-07-07 → 2026-07-09 · equity $-422.53 · max drawdown $422.53 (observational — no kill-switch) · red shading = drawdown from peak
StrategyTradesWin %Net P&LFee drag
Connors RSI21100%$33.219%
ID/NR4520%$-241.05
Turtle Soup10%$-134.15
Turtle Trend20%$-80.53
TradingView live history
loading open live log
ReceivedSymbolStrategySide ActionTriggerStopReason
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This is the same Cloudflare Worker used by TradingView webhooks.

Capital-preservation gates
GateStatusActual
G0 hard: gated code unchanged since freezePASSdfd8f9f15efe
G0b hard: newest gated bar <= 2d oldPASS1d (BTC)
G1 hard: forward max drawdown <= $500PASS$32.12
G2 hard: worst single trade loss <= $150PASS$-32.12
G3 review: >= 18 daily runspending8
G4 review: net pnl after fees >= $0PASS$210.70
G5 review: trade count in (10, 80)pending4

Hard gates stop the project immediately. Review gates decide go/no-go for real money on 2026-07-31. Thresholds only tighten.

Strategy P&L — forward period only
StrategyTradesWin %Net P&LFee drag
ID/NR4367%$242.8215%
Turtle Soup10%$-32.12

Fee drag = fees paid ÷ gross profit, on winning strategies only. A strategy losing overall shows "—" here — it's already failing gate G4 on its own.

Daily snapshots (rolling 720-day backtest, last 8 runs)
DateTradesTotal P&LWin % PFMax DD
2026-07-10879$38,13728.1%2.439773$-2,665
2026-07-09879$38,16728.2%2.440922$-2,665
2026-07-08877$37,96228.1%2.433154$-2,665
2026-07-07879$37,66228.0%2.411188$-2,665
2026-07-06879$38,29528.0%2.43491$-2,665
2026-07-05881$38,35328.0%2.437084$-2,665
2026-07-04764$49,89232.3%4.333695$-1,665
2026-07-03764$51,23432.5%4.425153$-1,660

Whole-history context, not forward performance — the KPIs above are the truth.

Live trading (Phase 3 — locked)

Real-money controls appear here only after all gates PASS at review. The broker adapter ships with fixed kill switches: $100 risk/trade, max 2 positions, 48h halt at −3R day, full stop at 10R drawdown. Until then this system trades paper only — by design.