first verified signal 2026-08-13 · 19 earlier trades are backtest, not platform-verified · 99 days on record · 21 closed in this range
Declared by the Provider
Market
Perpetual or dated contract
Timeframes
5m
Style
Swing Trading
Risk level
High
Provider type
Algo
Leverage
1x to 100x
Fee
0.05% per side
Position mode
One-way
Activity timezone
New York
Recorded in the book
Leverage used
5.4x average (1x to 13x)
Size per position
100.0% of the account
Positions at once
up to 1
Equity walk
02 · Approach
How it trades, according to the record.
Read from the 21 closed trades in the selected period.
What it trades, and how
1Markets tradedBTCUSDT carried 100% of trades
33% longDirection7 long, 14 short
29.9hTypical holdaverage, open to close
5.4xLeverageaverage across the book
100.0%Size per positionof the account, average
1Positions at onceat the busiest point
New York (US)Busiest session48% of entries
SatBusiest weekday29% of entries
19:00Busiest hour19% of entries, UTC
Trades by directionshare of closed trades
Short1466.7%
Long733.3%
Trades by sessionby entry time, UTC
New York (US)1047.6%
Tokyo (Asian)523.8%
London (European)419.0%
Sydney14.8%
Others14.8%
Capital at work
Margin in use% of the account · peak +100%
+100%+50%0%
2026-06-172026-09-10
Positions open at onceconcurrent · peak 1
10
2026-06-172026-09-10
The margin line is drawn only when the capital committed is known for every position in the window, whether the trade recorded it, the Provider declared it, or it comes from the reconstruction an imported book was rebuilt under.
03 · Performance
+72.13% on the account: $10,000.00 to $17,213.05.
+804.75% a year, annualised, over 99 days on record.
The account
Total return+72.13%$7,213.05 on the accountover 99 days on record
$10,000.00 staked$17,213.05 now
Annualised return+804.75%the same total, stated as a yearly ratethe rate the Triggon Score reads
Win rate76.2%
165
Profit factor2.44gross profit over gross loss
$12,217.76$5,004.71
Avg win / loss0.73each side's average, on margin
+6.68%-9.13%
Avg / signal+2.92%on size +0.59%
-9.86%+19.90%
Expectancy$343.48what an average trade added to the account
Trades21signals recorded
21 positions1 open now
Measured on the simulated account: real position sizes, the declared taker fee of 0.05% per side charged on both legs, and the intra-trade path priced into the drawdown.
Performance21 closed positions
Cumulative returnHigh-water markDrawdownPer-trade result
Best day 2026-07-27 +30.68%Worst day 2026-06-17 -9.86%Days traded 18
Each day is the equity it closed at over the equity it opened on, read off the same $10,000.00 account walk every dollar figure on this page comes from, at the size each position recorded; the month is the same ratio across the month. A day the book did not trade is blank, not a zero.
Per trade
+19.90%Largest win
-9.86%Largest loss
+6.68%Average win
-9.13%Average loss
+2.92%Expected payoff
Returns distributionbin 5.00%
1050
-10.0%-5.0%0.0%+5.0%+10.0%+15.0%
Average loss -9.13%Average win +6.68%
Win and loss split
Winners1676.2%
Losers523.8%
Each trade's result is its return on the margin it committed, net of the declared fee.
04 · Risk
-26.94% given back at the worst point, for +72.13% earned.
What the return cost, and the Score that weighs the two.
Drawdown and volatility
Max drawdown-26.94%$2,694.23 from the high-water mark-6.37% without leverage
+72.13%-26.94%
Risk-adjusted2.820.15 raw over 91 days, annualisedreturn per unit of volatility, downside and drawdown · under a year of record
Sharpe (RF +3.66%)2.82
Sortino (MAR 0.00%)6.20
Calmar29.87
Largest loss-9.86%-$1,756.47 on the account
Worst day-9.86%2026-06-17, on the account
Longest losing run3consecutive losing trades, whole record
Leverage5.4xaverage across the book
1x to 13x5.42x of the account exposed, average
Funding of the simulated account
$10,000.00Original stakethe simulated account's opening capital
$14,872.40Equity nowwallet plus open P&L
$15,000.50In margin1 open position
Simulated, per Strategy. No margin calls and no recharges. Injections are never added to the return.
Triggon Score
41Triggon Scoreof 100
76.2%Win rate
2.44Profit factor
+804.75%CAGRannualised account return
-26.94%Max drawdown
21Trades
30Active dayslive on Triggon, pauses excluded
What the Score is made of41 of 100 · Rising
scorewt
CAGR0.8025%
Win rate0.5420%
Profit factor0.5220%
Max drawdown0.2820%
Trades0.568%
Active days0.038%
The six published sub-scores, on the 0–1 scale the engine normalised them to, which is why they differ from the figures above. CAGR is the annualised account return, not the total. The Score is their weighted geometric mean, so the smallest arm holds it down and cannot be bought back by a strong one; that arm is marked. Lifetime, not the selected period.
05 · Trading activity
How the record was built.
When the trades were placed, and where the result came from.
21Closed tradesin this period
1Still opennot listed until closed
1Assets
18Days with a resultwhole record
29.9hAverage hold
Timing
19:00 +25.45%Best hourby net return
Sat +36.13%Best weekdayby net return
Jul +62.03%Best monthby net return
Wins and losses by hour of entry (utc)
4202
00:0003:0006:0009:0012:0015:0018:0021:0022:00
Winners 16Losers 5
Net return by hour of entry (utc)
+30%+15%0%-10%-20%
00:0003:0006:0009:0012:0015:0018:0021:0022:00
Best +25.45%
Weakest 03:00-18.86%
Wins and losses by day of entry
502
MonTueWedThuFriSatSun
Winners 16Losers 5
Net return by day of entry
+40%+20%0%-10%
MonTueWedThuFriSatSun
Best Sat+36.13%
Weakest Thu-6.56%
Wins and losses by month
10503
JunJulAugSep
Winners 16Losers 5
Net return by month
+100%+50%0%-20%
JunJulAugSep
Best Jul+62.03%
Weakest Jun-19.89%
Streaks
14Longest winning run
3Longest losing run
4.2Average winning run
1.4Average losing run
0Current win streakbest 14
Winning and losing streaks9 runs
201003
Winning runs 4Losing runs 5
The whole record, not the selected period. A break-even trade neither extends a run nor ends one.
Where the result came from
Return by session
New York (US)10 · 90% win+39.61%
London (European)4 · 75% win+7.78%
Others1 · 100% win+6.37%
Sydney1 · 100% win+4.72%
Tokyo (Asian)5 · 40% win+2.83%
Return by direction
SHORT14 · 86% win+45.57%
LONG7 · 57% win+15.74%
Net return per group, with each group's trade count beside its bar.
06 · Trade history
Every trade, as recorded.
21 closed trades, newest first. Any column sorts the whole list, not the rows already loaded.
1 position is still open. A position is listed once it closes.
The Session column is derived from each trade’s entry time in UTC, not entered by the Provider.
07 · Prop Check
Prop Incompatible
How compatible the strategy’s recorded behaviour is with Prop Baseline v1.1, a generic proprietary-trading risk framework. This is an assessment of what the book already contains — not a prediction that an evaluation would be passed, not a guarantee of eligibility, and not advice. No firm is named, and nothing here changes the strategy.
15.3/ 100Prop IncompatibleBased on the strategy’s current Journal data and Prop Baseline v1.1. Data through 2026-10-01 (America/New_York).
Maximum Drawdown is 36.33% against a limit of 10.00%.
Daily Drawdown is 9.86% against a limit of 5.00%.
Maximum Trade Loss is 15.31% against a limit of 3.00%.
Leverage and position size8.00× → 2.00×Prop Score 8.7 → 19.4
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Every Triggon Provider gets this page built from their own record, and
it is generated rather than written: each trade enters it the moment the
Strategy fires, so the journal cannot say anything the trade history does
not. Switch sharing on and it gets a permanent address anyone can read
without an account. How journals work,
the journals already published, or
what becoming a Provider involves.
Generated from Sam Royden’s trades, written down when they opened.
Past performance does not predict future results, and trading carries
risk. Published at its own address by the Provider, who can withdraw it at any time.