The desk, live
Every high-impact release our robot traded, and every one it refused to touch. Fed straight from RF-1 running on the desk account. Nothing curated, nothing deleted.
SYNCING…
NEXT RED FOLDER
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WINDOW
Net P&L · overall
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desk account, closed events
Win rate · overall
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Events traded · overall
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releases with a fill
Stood down · overall
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inside the noise band — no trade
Equity path — cumulative P&L per event
By account size — what this run would look like
The desk trades a large account. Scaled to a smaller one, at similar risk settings, the same July 14–23 window would have looked like the table below. Wins and losses both. Past results on a real account, not a prediction — your own outcome depends on your risk setting and the market on the day.
| Account size | This window (net) | Best event (CPI) | Worst event |
|---|---|---|---|
| $1,000 | +$332 | +$240 | -$156 |
| $500 | +$166 | +$120 | -$78 |
| $300 | +$100 | +$72 | -$47 |
Illustration only. One strong event (CPI) drove most of this window. Results vary event to event; losing events happen and are capped by your risk.
Event log — latest releases
| Time (UTC) | Event | Symbol | Side | Result | P&L |
|---|---|---|---|---|---|
| Loading the desk feed… | |||||