One finished PUMPUSDC grid cycle, from first exposure to close. Exchange-reconciled net: +0.3294 USDC. 5 distinct buy legs were confirmed during the cycle. Peak observed deployed: 36.97 USDC. Net / peak deployed: +0.89% — not standard ROI. Peak allocated budget: 92.75 USDC.
One cycle is evidence, not a track record.
What should we break down next: capital use, timing, or exits?
Historical system output. Not a recommendation. No financial advice.
ZROUSDC completed one exchange-reconciled grid cycle. Net result after attributed fees: +0.0450 USDC. 1 distinct buy leg was confirmed during the cycle. Peak observed deployed: 13.81 USDC. Net / peak deployed: +0.33% — not standard ROI. Peak allocated budget: 93.58 USDC.
Single-cycle evidence, not overall performance.
What should we break down next: capital use, timing, or exits?
Historical system output. Not a recommendation. No financial advice.
One finished NEARUSDC grid cycle, from first exposure to close. Exchange-reconciled net: +0.0812 USDC. 1 distinct buy leg was confirmed during the cycle. Peak observed deployed: 13.73 USDC. Net / peak deployed: +0.59% — not standard ROI. Peak allocated budget: 93.55 USDC.
One cycle is evidence, not a track record.
What should we break down next: capital use, timing, or exits?
Historical system output. Not a recommendation. No financial advice.
SUIUSDC completed one exchange-reconciled grid cycle. Net result after attributed fees: +0.1848 USDC. 2 distinct buy legs were confirmed during the cycle. Peak observed deployed: 20.44 USDC. Net / peak deployed: +0.90% — not standard ROI. Peak allocated budget: 93.49 USDC.
Single-cycle evidence, not overall performance.
What should we break down next: capital use, timing, or exits?
Historical system output. Not a recommendation. No financial advice.
SENTUSDC completed one exchange-reconciled grid cycle. Net result after attributed fees: +0.0516 USDC. 1 distinct buy leg was confirmed during the cycle. Peak observed deployed: 13.71 USDC. Net / peak deployed: +0.38% — not standard ROI. Peak allocated budget: 92.52 USDC.
Single-cycle evidence, not overall performance.
What should we break down next: capital use, timing, or exits?
Historical system output. Not a recommendation. No financial advice.
Numbers that matter • Return on sold basis: -1.96% • Net after fees: -13.67 USDC • Activity: 42 normal sell fills · 6 controlled-exit fills · 3 Hard-SL fills • Portfolio now: 3 active grids · 25 open orders · 115 completed cycles • Main driver: workdown risk exit (-10.79 USDC)
A Hard-SL exit formed part of the week, which finished below zero after fees. Reducing exposure and earning a profit are different outcomes, so the loss remains part of the reported result.
Data: Binance myTrades with fee conversion.
What should be unpacked next: normal sells, controlled exits or open orders?