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MOCK DATA — every price, event and result on this screen comes from Delta's synthetic world. None of it is a market price or evidence of real-market edge.

← opportunities · hypothesis 5b4c4694 · 09-07 16:00Z · MOCK data

WHY BTC/USD SHORT?SHORTrejectedcrypto.momentum4H-3DCRYPTO DELEVERAGINGMOCK
Lifecyclecandidate → qualified → approved → executed, or rejected / expired

No lifecycle transitions recorded: this opportunity was decided before lifecycle tracking began.

Thesisrules-explainer-1.0.0 · from recorded evidence
  1. crypto.momentum SHORT BTC/USD: momentum signal, horizon 4H-3D
  2. liquidity contraction regime (0.53) helps a short BTCUSD (assumed sensitivity +0.8)
  3. crypto deleveraging regime (0.91) helps a short BTCUSD (assumed sensitivity +1.0)
  4. ETHUSD momentum -3.5 sd with correlation +0.73 confirms the trade
  5. momentum -1.59 sd crossed 1.5
  6. RSI 49: not at an extreme
  7. Against: risk on regime (0.42) hurts a short BTCUSD (assumed sensitivity +0.6)
DecisionREJECTED

rejected: no_conflicting_position

  • tradeno conflicting position1 open, 0 pending vs nonean open or pending position already exists on this instrument
Supporting evidence5
  • macro-0.46liquidity contraction regime (0.53) helps a short BTCUSD (assumed sensitivity +0.8)
  • macro-0.91crypto deleveraging regime (0.91) helps a short BTCUSD (assumed sensitivity +1.0)
  • cross asset-3.50ETHUSD momentum -3.5 sd with correlation +0.73 confirms the trade
  • technical-1.59momentum -1.59 sd crossed 1.5
  • technical49RSI 49: not at an extreme
Contradicting evidence1
  • macro0.32risk on regime (0.42) hurts a short BTCUSD (assumed sensitivity +0.6)
Invalidation conditionschecked every strategy bar
  • stop at 123525 (5.0 x ATR(14))
  • 120-bar momentum turns positive
  • horizon exceeded: 72 bars held
Confirmationuncalibrated scores
cross assetCONFIRMS+1.001 ev.
macroCONFIRMS+0.323 ev.
technicalCONFIRMS+0.622 ev.
Event riskscore 0.00
next event
none in window
blocks entry
no
size multiplier
1.00×
confidence add
+0
Liquidity
state at decision
high
score
+1.00
Risk layers0.26% at stop
eligibility10
trade91
portfolio110
system20
Three-layer riskcomputed on read from stored checks (no system report then)BLOCK
TRADE RISKBLOCK

blocked by no_conflicting_position

  • no conflicting position1 open, 0 pending / none
  • strategy stage eligibleBACKTEST (sandbox) / PAPER|SHADOW|LIMITED_CAPITAL|PRODUCTION
  • market liquidity allows entryhigh / not closed/maintenance/rollover/reopen
  • quote fresh0 / 150%
  • spread sane0.86 / 2.534%
  • event policyclear / clear
  • confidence minimum61.2 / 5590%
  • risk reward minimum2 / 1.575%
  • stop distance sane5 / 0.510%
  • size above minimum0.016 / 0.0016%
  • risk per trade0.256 / 126%
PORTFOLIO RISKPASS

11 checks passed

  • consecutive loss pause0 / 40%
  • daily loss limit0.342 / -20%
  • drawdown limit0.154 / 102%
  • gross exposure19.12 / 5004%
  • leverage0.191 / 54%
  • currency exposure15.13 / 3005%
  • usd factor exposure-6.25 / 2503%
  • correlated cluster risk0.448 / 1.530%
  • crypto exposure3.98 / 508%
  • portfolio volatility4.945 / 2025%
  • max open positions3 / 838%
SYSTEM RISKPASS

2 checks passed

  • kill switch inactiveinactive / inactive
  • trading mode validpaper / paper|backtest|live

BLOCK = a hard check failed; WARN = passed but at >= 80% of a maximum, within 10% of a minimum, or a monitor above its level. Right column: how close a passed check is to its limit. risk_layers-1.0.0+63bba1f7

ConfidenceELEVATED · conf-1.0.0
61
61

Not a probability. Heuristic weighted score. Not a probability of profit. Calibrate on >=200 paper trades (reliability diagram) before treating as one.

signal agreement0.120.0
macro confirmation0.18+2.9
regime alignment0.12+1.2
cross asset0.12+6.0
volatility0.08−3.8
liquidity0.08+4.0
event risk0.100.0
historical performance0.12−0.3
risk reward0.08+1.3
Trade plan
Entry zone
106,723.8108,323.9
Reference
107,523.9
Stop
123,524.6 · 5.0 ATR
Target 1
75,522.5 · 2.0R
Reward / risk
2.00
Expected horizon
4H-3D · max 72 bars
Expected return
−0.04R
OOS win rate (uncal.)
44.0% · n=23

walk-forward out-of-sample (2026-09-16): n=23, shrunk mean R x 0.53, Beta(1,1) win rate

Size and portfolio impactrisk-1.0.0
Size0.000not approved
Risk0.26%$256 · notional $1,720

Portfolio impact

Not evaluated: the opportunity was rejected before the portfolio projection.
Every risk check
LayerCheckValueLimitDetail
systemkill switch inactiveinactiveinactive
systemtrading mode validpaperpaper|backtest|live
eligibilitystrategy stage eligibleBACKTEST (sandbox)PAPER|SHADOW|LIMITED_CAPITAL|PRODUCTIONMOCK sandbox: strategy has not earned PAPER; simulated on synthetic data only
trademarket liquidity allows entryhighnot closed/maintenance/rollover/reopencore session: us_hours
tradequote fresh015minutes since last quote
tradespread sane0.862.5spread / typical spread
tradeevent policyclearclear
tradeconfidence minimum61.255uncalibrated score; event policy adds 0
traderisk reward minimum21.5
tradestop distance sane50.5stop distance in ATRs
tradeno conflicting position1 open, 0 pendingnonean open or pending position already exists on this instrument
portfolioconsecutive loss pause04
portfoliodaily loss limit0.3424-2% since trading-day start
portfoliodrawdown limit0.15410% below peak equity
tradesize above minimum0.0160.001units (BTC)
traderisk per trade0.25641% of equity at the stop
portfoliogross exposure19.12500% of equity
portfolioleverage0.1915
portfoliocurrency exposure15.13300largest net currency exposure: GBP
portfoliousd factor exposure-6.25250beta-weighted USD-index-equivalent exposure, % of equity
portfoliocorrelated cluster risk0.4481.52 positions move together (long-USD expression): SHORT BTCUSD, SHORT BTCUSD
portfoliocrypto exposure3.9850% of equity
portfolioportfolio volatility4.94520forecast annualised volatility
portfoliomax open positions38
Sizing tracenever sized from confidence alone
StepQty after×Detail
fixed_risk0.0310.5% of $99,846 = $499 over a stop of 16000.7 ($16,000.7020/unit)
confidence_adjusted0.0190.60confidence 61 -> x0.60 (never above x1.00)
portfolio_risk_adjusted0.0160.87correlated open risk $191 of $1,498 cluster budget -> x0.87
event_policy0.0161.00event policy x1.00, liquidity x1.00
caps0.016rounded down to step 0.001
Execution and outcome
No orders: this hypothesis did not reach the broker.
Versionsevery trade is traceable
data mode
MOCK
timestamp
2026-09-07T16:00:00Z
data source
mock
risk version
risk-1.0.0+e561f3f2
model version
regime-rules-1.0.0+ba09c5ab
feature version
fs-1.0.0+bbfe6af5
strategy version
crypto.momentum@1.0.0
execution version
exec-1.0.0+821dd562
confidence version
conf-1.0.0+18bcb659
event policy version
evpol-1.0.0+391f9e5d