SELL XAUUSD — Confirmed Pullback Entry
Rule tpb@2.0.0 · ticket #1800015116
Sell with the bigger trend, after a pullback that was confirmed first, in the London/NY overlap.
Result
-0.14R
Stop loss hit
Simulated P/L
-$6.34
0.02 lots
Best point reached
+1.68R
worst -0.14R
Profit kept
-8.6%
gave back 1.82R
Protection
OPEN
arm A · unmanaged control
Layer
L1
single entry
Trade idea
Why this trade was taken
Market context
- Trend
- Down
- Session
- London and New York overlap
- Volatility
- Normal
- Setup
- Confirmed Pullback Entry
- Direction
- SELL
- Opened
- 01 Sep 2026 12:25:03 UTC
- Closed
- 01 Sep 2026 14:00:02 UTC
- News
- Not recorded
- Rule
- tpb@2.0.0
Entry context
- Weekly
- Not recorded
- Daily
- swings 4324.477–4697.107 · ATR 90.568
- H4
- down · lower lows · swings 4396.397–4461.478 · ATR 43.772
- H1
- down · range · swings 4415.475–4446.011 · ATR 18.901
- M15
- swings 4364.168–4386.036 · ATR 8.984
- M5
- swings 4374.715–4387.313 · ATR 5.092
- Asian high / low
- Not recorded
- London high / low
- Not recorded
- Liquidity level
- Not recorded
- ATR (M15)
- 8.984
- Risk unit (1R)
- 17.968
- Spread at entry
- 260.0 points (2.89% of ATR)
Decision gates
-
Passed
4-hour and 1-hour agree
h4_h1_alignment H4 down, H1 down · needed both up or both down -
Passed
Pullback on the 15-minute
m15_pullback 0.76 ATR from 4364.168 · needed >= 0.6 ATR -
Passed
5-minute turned
m5_swing_turn pivot 4375.531, close up · needed M5 swing formed and turned -
Passed
Trading cost is affordable
cost 0.029 of ATR · needed <= 0.25 -
Passed
Stop at a sensible distance
invalidation_band 1.20R · needed 0.5R to 1.5R
Position management
1 stop change-
Entry
Opened 0.02 lots at 4367.682, stop 4389.559, target 4303.079.
-
Stage · Not recorded
advanced 1.40R and M5 built a swing at 4370.060; tightening to sit beyond structure the market has already held
peak — · protects —
-
Exit · stop loss
Closed at 4370.848 for -0.14R (-$6.34) after 95 minutes.
Peak 1.68R → kept -8.6%, gave back 1.82R.
Smart take-profit and range exhaustion
The range-exhaustion and liquidity take-profit logic is built and measured but is not enabled in live operation: across 11,037 development trades it added +3.2R in total and landed exits further from the eventual extreme than doing nothing. These fields stay “Not recorded” until the engine produces them.
- Daily range used
- Not recorded
- Weekly range used
- Not recorded
- ATR / ADR
- Not recorded
- Move state
- Not recorded
- Nearest objective
- Not recorded
- Smart TP decision
- Not recorded
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