TRIGGON Open in Telegram
Journal

Sam Royden

Algorithmic Trader & Software Engineer | 15+ Years in Trading Focused on pattern-based trading, systematic strategy development, and market structure analys

Provider level 1Provider since 2026-07-131 Strategy in this journal
Total return
-0.00%Max drawdown
Win rate
0.00Profit factor
Avg / signal
Avg hold

The selected period, on a simulated $10,000 account.

01 · Strategy

Pulse: one Strategy, one simulated account.

Every figure on this page is a property of one simulated $10,000 account.

PulseLiveRising41Triggon ScoreProp Incompatible15Prop Check

Leveraged Structural Reversals

first verified signal 2026-08-13 · 19 earlier trades are backtest, not platform-verified · 99 days on record · 0 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
02 · Approach

How it trades, according to the record.

Read from the 0 closed trades in the selected period.

No closed trades in this period.

03 · Performance

What the account returned.

No closed trades in this period.

No closed trades in this period.

04 · Risk

-0.00% given back at the worst point, for — earned.

What the return cost, and the Score that weighs the two.

Drawdown and volatility

Max drawdown-0.00%-0.00% without leverage
Risk-adjusteddaily account returns, annualisedreturn per unit of volatility, downside and drawdown
Sharpenot published
Sortinonot published
Calmarnot published
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
$14,813.59Equity 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
0.00Profit factor
-0.00%Max drawdown
0Trades
30Active dayslive on Triggon, pauses excluded
What the Score is made of41 of 100 · Rising
CAGRWin rateProfit factorMax drawdownTradesActive days
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.

0Closed tradesin this period
1Still opennot listed until closed
0Assets
0Days with a resultwhole record

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.

06 · Trade history

Every trade, as recorded.

0 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%.

Maximum Drawdown0/10

Breachrecorded behaviour

Observed 36.33% · Limit 10.00%

Calculated from 24 positions.

Daily Drawdown3.6/10

Breachrecorded behaviour

Observed 9.86% · Limit 5.00%

Calculated from 22 trading days.

Maximum Trade Loss0/10

Breachrecorded behaviour

Observed 15.31% · Limit 3.00%

Calculated from 24 positions.

Profit Consistency6.05/10

Adaptablerecorded behaviour

Observed 50.88% · Limit 40.00%

Calculated from 22 trading days.

Funded Margin Exposure0/10

Adaptableconfigurable setting

Observed 100.00% · Limit 25.00%

Calculated from 25 positions.

Suggested adjustment

Margin Allocation 100.00%25.00%Prop Score 15.3 → 24.6

Funded Open Notional0/10

Adaptableconfigurable setting

Observed 13.00× · Limit 2.00×

Calculated from 25 positions.

Suggested adjustment

Leverage and position size 13.00×2.00×Prop Score 15.3 → 24.6

Phase 1FAIL · target $11,000.00
Phase 2FAIL · target $10,500.00
FundedFAIL

Prop Score history

Jun2026JulAugSepnow

Monthly snapshots

2026-09-30Prop Incompatible16 / 100 · prop_baseline_v1.1 · taken 2026-09-08

Maximum Drawdown0/10

Breachrecorded behaviour

Observed 36.33% · Limit 10.00%

Calculated from 22 positions.

Daily Drawdown3.6/10

Breachrecorded behaviour

Observed 9.86% · Limit 5.00%

Calculated from 20 trading days.

Maximum Trade Loss0.16/10

Breachrecorded behaviour

Observed 8.86% · Limit 3.00%

Calculated from 22 positions.

Profit Consistency6.35/10

Adaptablerecorded behaviour

Observed 47.37% · Limit 40.00%

Calculated from 20 trading days.

Funded Margin Exposure0/10

Adaptableconfigurable setting

Observed 100.00% · Limit 25.00%

Calculated from 22 positions.

Suggested adjustment

Margin Allocation 100.00%25.00%Prop Score 16 → 25.3

Funded Open Notional0/10

Adaptableconfigurable setting

Observed 13.00× · Limit 2.00×

Calculated from 22 positions.

Suggested adjustment

Leverage and position size 13.00×2.00×Prop Score 16 → 25.3

2026-08-31Prop Incompatible15.2 / 100 · prop_baseline_v1.1 · taken 2026-09-08

Maximum Drawdown0/10

Breachrecorded behaviour

Observed 36.33% · Limit 10.00%

Calculated from 21 positions.

Daily Drawdown3.6/10

Breachrecorded behaviour

Observed 9.86% · Limit 5.00%

Calculated from 19 trading days.

Maximum Trade Loss0.16/10

Breachrecorded behaviour

Observed 8.86% · Limit 3.00%

Calculated from 21 positions.

Profit Consistency5.74/10

Adaptablerecorded behaviour

Observed 54.39% · Limit 40.00%

Calculated from 19 trading days.

Funded Margin Exposure0/10

Adaptableconfigurable setting

Observed 100.00% · Limit 25.00%

Calculated from 21 positions.

Suggested adjustment

Margin Allocation 100.00%25.00%Prop Score 15.2 → 24.5

Funded Open Notional0/10

Adaptableconfigurable setting

Observed 11.00× · Limit 2.00×

Calculated from 21 positions.

Suggested adjustment

Leverage and position size 11.00×2.00×Prop Score 15.2 → 24.5

2026-07-31Prop Incompatible10 / 100 · prop_baseline_v1.1 · taken 2026-09-08

Maximum Drawdown0/10

Breachrecorded behaviour

Observed 36.33% · Limit 10.00%

Calculated from 18 positions.

Daily Drawdown3.6/10

Breachrecorded behaviour

Observed 9.86% · Limit 5.00%

Calculated from 16 trading days.

Maximum Trade Loss0.16/10

Breachrecorded behaviour

Observed 8.86% · Limit 3.00%

Calculated from 18 positions.

Profit Consistency1.86/10

Adaptablerecorded behaviour

Observed 98.77% · Limit 40.00%

Calculated from 16 trading days.

Funded Margin Exposure0/10

Adaptableconfigurable setting

Observed 100.00% · Limit 25.00%

Calculated from 18 positions.

Suggested adjustment

Margin Allocation 100.00%25.00%Prop Score 10 → 19.3

Funded Open Notional0/10

Adaptableconfigurable setting

Observed 11.00× · Limit 2.00×

Calculated from 18 positions.

Suggested adjustment

Leverage and position size 11.00×2.00×Prop Score 10 → 19.3

2026-06-30Prop Incompatible8.7 / 100 · prop_baseline_v1.1 · taken 2026-09-08

Maximum Drawdown0/10

Breachrecorded behaviour

Observed 31.38% · Limit 10.00%

Calculated from 8 positions.

Daily Drawdown3.6/10

Breachrecorded behaviour

Observed 9.86% · Limit 5.00%

Calculated from 8 trading days.

Maximum Trade Loss0.16/10

Breachrecorded behaviour

Observed 8.86% · Limit 3.00%

Calculated from 8 positions.

Profit Consistencynot scored

Not enough data

Observed · Limit 40.00%

Calculated from 8 trading days.

No single trading day may contribute more than 40% of the period's net result. There is not enough data available to evaluate this rule.

Funded Margin Exposure0/10

Adaptableconfigurable setting

Observed 100.00% · Limit 25.00%

Calculated from 8 positions.

Suggested adjustment

Margin Allocation 100.00%25.00%Prop Score 8.7 → 19.4

Funded Open Notional0/10

Adaptableconfigurable setting

Observed 8.00× · Limit 2.00×

Calculated from 8 positions.

Suggested adjustment

Leverage and position size 8.00×2.00×Prop Score 8.7 → 19.4

Use Pulse

Pulse is listed on the Triggon Strategy Marketplace, where this same record is published beside its price and the number of seats still open. Subscribe there and its Signals arrive in Telegram as the Strategy fires them, each one carrying the entry, the stop and the targets you have been reading here.

Publish a journal of your own

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.