Selected symbol, position, TP, recovery, and freshness are shown in the live status rail.
Recovery Status
Recovery policy lock is advisory. First recovery can submit from the ticket when Coinbase gates pass; additional recovery requires the override phrase.
Trigger countdown waits for a managed position and fresh Coinbase price.
4-Timeframe RSI
< 40 buy - > 60 sellBollinger Bands
price vs bandsReference Signals
reference markers · bot strip is execution readback| When | Type | Side | Entry |
|---|---|---|---|
| Waiting for public Coinbase candles | |||
Recovery Ticket
Recovery needs one managed Coinbase position before a ticket can be prepared.
Do nothing now. If objective gates pass later, use the green add size first unless you intentionally choose more risk.
Timing matters more than doing multiple recoveries. Wait for the recovery rule, then use the green recommendation only when nearby levels and macro context are not fighting the trade.
Selected multiplier becomes the live recovery ticket after you press Submit Recovery Now. Warnings are advisory; Coinbase/API rejection remains a technical blocker.
First recovery can submit after two-step confirmation when Coinbase gates pass. Additional recovery requires the override phrase.
Simple rule: green is the smallest add. Bigger rows use more money but need a smaller bounce.
Preview details: price, average, support/resistance
Support/resistance and macro bias use public Coinbase candles only. They assist manual recovery timing; they do not make the ticket executable.
Old TP will need replacement after recovery: freeze new entries, verify position, retire exact managed TP or prove no conflict, submit one recovery entry, read actual fill, compute actual average, place new reduce-only TP, verify.
Advanced multiplier math
| Add multiple | Recovery add size | New avg | 0.08% TP | Move to TP | Add margin 50x | Total margin / collateral | Assist | Executable |
|---|---|---|---|---|---|---|---|---|
| NO_OPEN_POSITION · EXECUTABLE=false · policy lock is advisory under exact approval; objective Coinbase gates still block | ||||||||
| 1x | candidate when open position exists | local estimate only | local estimate only | local estimate only | recovery order margin only | total margin after recovery | Recommended when plausible; math-fit fallback otherwise | false |
| 2x | candidate when open position exists | local estimate only | local estimate only | local estimate only | recovery order margin only | total margin after recovery | alternate | false |
| 4x | candidate when open position exists | local estimate only | local estimate only | local estimate only | recovery order margin only | total margin after recovery | alternate | false |
| 8x | candidate when open position exists | local estimate only | local estimate only | local estimate only | recovery order margin only | total margin after recovery | alternate | false |
| 16x | candidate when open position exists | local estimate only | local estimate only | local estimate only | recovery order margin only | total margin after recovery | alternate | false |
PnL Summary
UTC day resets at 00:00 UTC; closed trades are grouped by close time. Copenhagen reset is 02:00 during summer time and 01:00 during winter time.
Waiting for sanitized Coinbase PnL snapshot.
Recovery Automation
BandScalp Context
BandScalp Shadow
| When | Side | Type | Confidence | Outcome |
|---|---|---|---|---|
| Waiting for BandScalp shadow evidence. | ||||
Evidence
Sizing Controls
Effective sizing estimate waits for live price.
Base size controls future entries directly. USDC notional is an estimate/sync helper, not a cap.
ETH live only · recovery rule uses 97 bps from average.
BTC-PERP-INTX: read-only/dry-run only; BTC live execution disabled; USDC-notional first; round levels $500/$1000; bps-based recovery drawdown.
Safe Toggles
Not saved this session. Sizing changes become live runtime controls only after exact approval phrase save; current position and TP are not resized or canceled.
Trade Sheet
Closed-trade UTC day from 2026-05-23. Rows close at or after 2026-05-23 21:02 UTC.
One row = one closed cycle. Side is the opening direction. Size is the matched Coinbase fill quantity.
| Cycle # | Opened UTC | Closed UTC | Position Side | Size | Entry Avg | Exit Avg | Gross | Fees | Net | Result | Close Reason | Recovery | Notes |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Waiting for sanitized Coinbase fill pairing | |||||||||||||
Display-only trade sheet. Newest closed cycles first. Size is the matched Coinbase quantity; no raw IDs or secrets are stored.