Two bots, one signal stream. Control takes every match and buys the 15Δ call. Treatment takes only A-tier setups (clean + strong + 4H), buys the 30Δ call, and sits out Wednesdays. Same signals, different rules — so the table below is an honest apples-to-apples test.
Closed trades · Control takes everything, 15Δ
| Ticker | Entry → Exit | P&L | P&L % | R | Exit reason | Score | Dates |
Closed trades · Treatment A-tier only, 30Δ, no Wed
| Ticker | Entry → Exit | P&L | P&L % | R | Exit reason | Score | Dates |
Equity curve
The account balance over time. The faint dashed line is the starting balance. Above it the bot is up, below it the bot is down.
Open positions
Trades the bot is holding right now, marked to the last price it saw.
| Ticker | Qty | Entry | Current | Stop | Unrealized P&L | Score | Entered |
Closed trades
Every finished trade, newest first. R is profit measured against the risk taken: +1R means the trade made what it risked.
| Ticker | Entry → Exit | P&L | P&L % | R | Exit reason | Score | Dates |