Signal History
As-of
2026-08-13
Updated
2026-08-14 00:32 CEST
Performance summary - Past 12 months since 2025-08-13
Portfolio Return · 15 slots, compounded · incl. open at last close, net of costs · slot eviction
29.0%
+$4,355 on $15,000 · +$3,758 realized (closed) + +$597 open marked at last close (5 positions) · 44 taken, 30 missed · positions sized equity÷15, 0.4% round-trip costs · eviction: worst open loser (down >5%) may be swapped for a new BUY · Past 12 months · see trades →
Total Signals
74
Past 12 months · backtest, incl. open · LIVE rows below are extra
Win Rate
71.0%
Past 12 months · closed · backtested
Mean Return
7.7%
Past 12 months · closed · backtested
Median Return
4.2%
Past 12 months · closed · backtested
Closed
69
Past 12 months · 69 backtested + 0 live (live replaces its backtest twin)
Backtest built: 2026-08-14 00:35 CEST · Live signal record restarted 2026-08-09 (signal configuration changed 2026-07-28; earlier live rows were recorded under the previous engine and are archived, not counted)
Backtested Past performance is not a reliable indicator of future results. Investing involves risk, including the risk of loss.
Recent exits - last 30 days · 5 shown
Showing entries older than 30 days. The most recent signals are available to subscribers - see plans →
Ticker Entry ▼ Exit Days Return Upper Target Trims Exit Reason
SMT.L 2026-05-29 2026-07-17 35 -9.7% - Sig floor
ENB.TO 2026-05-28 2026-07-15 33 +0.7% 4 Sig floor
AKER.OL 2026-05-28 2026-07-22 39 -1.2% 2 Sig floor
GARP 2026-05-13 2026-08-04 53 +6.1% 4 Sig floor
DBA 2026-05-07 2026-08-06 58 -1.1% 7 Sig floor
General investment recommendation - not personalised investment advice. Past performance is not a reliable indicator of future results.