Prile SIMULATED

Live Gold Signals — Open XAUUSD Positions

What the simulated-account system has open at this moment, refreshed every few seconds directly from the broker's read-only feed, including how much profit each stop currently protects.

Live floating P/L

+$31.99

+0.78R

Peak floating profit
+$510.51
Max floating loss
−$57.65
If all stops hit
−$202.07
Profit protected
None yet
Open trades
6

3 in profit 3 losing

Highest and lowest points observed since 17:45 UTC. Open positions only — closed results are counted separately on the performance page.

Every open position

Open positions with their live floating profit and loss
Side Layer Entry Current Price Stop Strategy Target Current TP Floating P/L Profit vs Risk Peak Profit Worst Point Stop Outcome Profit Protected
SELL 1 4419.253 4438.848 4452.867 4351.627 4351.627 −$19.60 −0.58R +$0.10 −$24.20 −$33.62 None yet
BUY 1 4437.383 4438.588 4407.965 4495.307 4495.307 +$1.21 +0.04R +$5.81 −$6.34 −$29.43 None yet
BUY 1 4426.102 4438.588 4419.269 4444.324 No active TP +$37.45 +0.91R +$51.26 −$20.48 −$20.50 None yet
BUY 1 4426.102 4438.588 4419.269 4444.324 No active TP +$37.45 +0.91R +$51.26 −$20.48 −$20.50 None yet
SELL 1 4434.760 4438.848 4450.767 4413.418 4413.418 −$12.26 −0.26R +$10.38 −$14.67 −$48.03 None yet
SELL 1 4434.760 4438.848 4451.416 4401.449 4401.449 −$12.26 −0.25R +$10.38 −$14.67 −$49.98 None yet

“Strategy Target” is the level the rule chose when it opened the trade. “Current TP” is the take profit actually resting on the position at the broker — these positions are managed by a trailing stop, so there is usually none. Peak Profit and Worst Point are the highest and lowest this position's floating figure has been observed at, sampled from the broker every couple of seconds.

“Profit vs Risk” shows the result compared with the amount originally risked. +1R means a profit equal to the original risk; -1R means a loss equal to it. “Stop Outcome” is the estimated result if this trade hits its current stop. “Profit Protected” is how much of the profit this trade has already earned would survive its current stop. It stays empty until the stop is past break-even, because until then nothing is secured.

XAUUSD

4437.80

broker mid price

Session

london

server time, UTC

Higher timeframe

balanced

conviction 53%

Day range

62.58

61% of the daily ATR

Volatility

normal

spread 260 points

Open signals

6

positions running now

SELL · bko@1.0.0

opened 03 Sep 2026 06:25 UTC
Layers open
1
Average entry
4419.253
Total lots
0.01
Combined result
-1.13R
Thesis
bko@1.0.0:20260903T062504

M15 closed 4419.120 beyond the 6-bar range (4422.169-4440.370) and M5 is holding it

Open layers for this thesis
EntryPrice ResultStop ProtectsPeak StageNext
4419.253 4438.056 -1.13R 4452.867 Not recorded Not recorded OPEN Stage 1 risk reduction at +0.6R

BUY · bko@1.0.0

opened 03 Sep 2026 08:05 UTC
Layers open
1
Average entry
4437.383
Total lots
0.01
Combined result
+0.02R
Thesis
bko@1.0.0:20260903T080503

M15 closed 4436.819 beyond the 6-bar range (4418.968-4431.580) and M5 is holding it

Open layers for this thesis
EntryPrice ResultStop ProtectsPeak StageNext
4437.383 4437.796 +0.02R 4407.965 Not recorded Not recorded OPEN Stage 1 risk reduction at +0.6R

BUY · cont@1.0.0

opened 03 Sep 2026 06:45 UTC
Layers open
1
Average entry
4426.102
Total lots
0.03
Combined result
+0.71R
Thesis
cont@1.0.0:20260903T064500

H1 up and M15 agrees; M5 closed 4425.842 beyond the previous bar, stop behind the 8-bar M5 swing at 4418.626

Open layers for this thesis
EntryPrice ResultStop ProtectsPeak StageNext
4426.102 4437.796 +0.71R 4419.269 -0.50R +0.78R RISK REDUCED Stage 2 break-even at +1.0R

BUY · pbk@1.0.0

opened 03 Sep 2026 06:45 UTC
Layers open
1
Average entry
4426.102
Total lots
0.03
Combined result
+0.71R
Thesis
pbk@1.0.0:20260903T064500

H1 up; M15 pulled back 1.78 ATR from 4440.370; M5 closed back in the trend direction

Open layers for this thesis
EntryPrice ResultStop ProtectsPeak StageNext
4426.102 4437.796 +0.71R 4419.269 -0.50R +0.78R RISK REDUCED Stage 2 break-even at +1.0R

SELL · rvs@1.0.0

opened 03 Sep 2026 08:10 UTC
Layers open
1
Average entry
4434.760
Total lots
0.03
Combined result
-0.19R
Thesis
rvs@1.0.0:20260903T081003

10-bar extreme swept and rejected on a 1.82 ATR bar; M5 confirms the rejection is holding

Open layers for this thesis
EntryPrice ResultStop ProtectsPeak StageNext
4434.760 4438.056 -0.19R 4450.766 Not recorded Not recorded OPEN Stage 1 risk reduction at +0.6R

SELL · swg@1.0.0

opened 03 Sep 2026 08:10 UTC
Layers open
1
Average entry
4434.760
Total lots
0.03
Combined result
-0.19R
Thesis
swg@1.0.0:20260903T081003

H4 down; M15 swept the 12-bar level against it and reclaimed; M5 is holding the reclaim

Open layers for this thesis
EntryPrice ResultStop ProtectsPeak StageNext
4434.760 4438.056 -0.19R 4451.416 Not recorded Not recorded OPEN Stage 1 risk reduction at +0.6R

How open positions are managed

Once a position is open its stop is managed by a staged ratchet measured in R, the trade's own risk unit. Each stage can only ever move the stop toward profit; it is never widened.

  1. +0.6R — risk reduced. The stop halves the risk. Deliberately not break-even yet: moving to break-even the moment a trade is slightly ahead ends good trades on ordinary noise.
  2. +1.0R — break-even. The stop moves past entry by a cost buffer, because a stop exactly at entry is still a small loss once spread and commission are paid.
  3. +1.5R — profit locked. A third of the peak is protected.
  4. +2.0R — trailing. The stop trails behind fresh 5- and 15-minute structure, with the locked floor still binding underneath it.

One rule is deliberately excluded from all of this and left unmanaged, as a control, so the effect of the management can be measured rather than assumed.

Latest completed signals

Completed signals
ClosedDirectionRule EntryExit ResultPeak KeptSession Reasoning
03 Sep 2026 08:04 UTC SELL Swing Recovery swg@1.0.0 4430.931 4439.463 -0.50R +0.68R -74% asia
03 Sep 2026 08:04 UTC SELL Reversal Setup rvs@1.0.0 4430.931 4439.173 -0.50R +0.70R -71% asia
03 Sep 2026 01:07 UTC SELL Breakout Continuation bko@1.0.0 4382.701 4400.477 -1.05R +0.02R -5231% off hours
03 Sep 2026 05:22 UTC BUY Pullback Trend Entry pbk@1.0.0 4373.933 4424.229 +2.75R +3.50R 79% new york
03 Sep 2026 06:23 UTC BUY Pullback Trend Entry pbk@1.0.0 4377.540 4421.524 +2.01R +2.76R 73% new york
03 Sep 2026 05:23 UTC BUY Breakout Continuation bko@1.0.0 4376.777 4422.600 +2.24R +2.99R 75% new york
03 Sep 2026 05:30 UTC BUY Trend Continuation cont@1.0.0 4376.777 4422.270 +2.17R +2.92R 74% new york
02 Sep 2026 01:02 UTC SELL Confirmed Pullback Entry tpb@2.0.0 4334.792 4308.781 +3.00R +3.00R 100% new york
02 Sep 2026 03:34 UTC SELL Confirmed Pullback Entry tpb@2.0.0 4355.154 4286.647 +3.00R +3.00R 100% new york
02 Sep 2026 12:20 UTC SELL Breakout Continuation bko@1.0.0 4350.819 4343.073 +0.20R +0.20R 100% new york

Every figure on this page comes from a simulated account. Simulated results are a record of what a system did, not a promise of what it will do. Nothing here is investment advice, and no result is guaranteed.