- Booked P&L
- ETH realised on a closed trade, as the runner recorded it at close. This site never recomputes it; totals here are sums of the feed’s values.
- Return
- P&L over position size, for one trade.
- ROI on deployed
- Total P&L over total size across the slice. Size-weighted, so big positions count more than small ones.
- Win rate
- Share of closed trades with a positive return. A win of 0.1% and a loss of 60% both count once.
- Entry bond
- How full the bonding curve was at our buy, as a share of the graduation threshold.
- Signal bond
- Curve fill at the moment the token first met the buy rule.
- Paid vs signal
- Our entry price over the price at the signal moment. Above 1× is the latency tax.
- Room on curve
- Price at graduation over our entry price: the multiple left on the curve when we bought.
- Peak on curve
- Highest curve price during the hold, over entry.
- Pool peak
- Highest pool price within 30 minutes of graduation, over entry.
- Graduated
- The token filled its curve and moved to a pool. “In hold” means it happened before we closed.
- Exit
- The rule that closed the position: graduated, timeout, pool sell at 60 s, graduation dump (an old rule), stuck then rescued, or no log where the close was booked without an exit reason.
- Curve leg
- A part of the position kept on the curve after a partial sell.
- Smart wallets
- Tagged wallets that bought in the hour before our entry, with their USD total and the largest single buy.
- Creator tax
- The token’s creator tax at entry.
- Rule phase
- Which version of the entry and exit rule was live. The rule changes in the open and the phase label travels with each trade.
- 1 Sep runs
- Trades from 1 Sep 2026 were booked by a wallet-delta method that is wrong when positions overlap. They stay on the record, flagged, and are out of the headline numbers unless you include them.
- Booked
- How the close was recorded by the runner.