Super-Trader

ALPACA PAPER · PUBLIC.COM LIVE
Last updated 2026-09-09 2:00 PM ET · data as of 2026-09-08
Portfolio Value
$82,597.61
● LIVE — Alpaca · updated 2026-09-09 2:00 PM ET
Today's P&L
$-1,456.00 (-1.73%)
Total Return (vs $100K)
$-17,402.39 (-17.40%)
Cash Available
$53,331.47

HMM Regime Overlay MONITOR

Regime
LOW-VOL
Confidence
96.4%
Memory Rotation 25% · Maple 0% · Earnings Momentum 15% · Bond Rotation 0% · GPU Tilt 5% · Ndx Momentum 5% · Hormuz Carry 5% · BTC Regime Gate 5% · Braided-Delta 5% · Waterhole 5% · DRAM 0% · Cash 5%
Daily snapshot · allocator targets · 2026-09-08 9:30 PM ET

Portfolio Risk Metrics LIVE PAPER

Sharpe
-0.22
total vol risk
Sortino
-0.29
downside only
Calmar
-1.34
CAGR / MaxDD
Max DD
-2.1%
worst drawdown
Total Return
-0.24%
trailing 21 trading days (Alpaca 1M history window)
Trade Win Rate
47%
156 wins / 330 closed
Alpaca account history · through 2026-09-08

Cumulative P&L LIVE PAPER

$-16,546.34
330 closed round-trips · net realized P&L, FIFO-matched fills
Alpaca fills · FIFO realized · excludes BIL/SGOV/SHV & <$25 dust · not a backtest

Strategy Summary 80/20 HOLDOUT

Exit-date split · holdout excluded from optimization.
Full Sample 330 closed round-trips
Net Profit
$-16,546.34
all closed trades
Win Rate
47.27%
156 wins / 330 closed
Profit Factor
0.43
gross profit / gross loss
# of Trades
330
closed round-trips
Max Drawdown
$20,475.62
peak-to-trough decline
Avg Return
$-50.14
mean P&L per trade
Out-of-Sample · Held Back 66 of 330 (20.0% of sample)
Avg S/Trade
$-8.22▲ $52.40
OOS mean P&L
Win Rate
30.30%▼ 21.2pp
20 wins / 66 OOS
Profit Factor
0.65▲ 0.23
OOS gross profit / loss
Drawdown/Profit
— N/A
OOS drawdown / net profit
Total Trades
66▼ 198
held-back round-trips
Edge Decay
▲ 56.31%
profit factor vs in-sample
small sample, deltas may be noisy

Cumulative Equity

In-sample Out-of-sample
train / test

Current Holdings ● LIVE — Alpaca

SymbolStrategyQtyAvg EntryCurrentMarket ValueUnrealized P&L
OLLI 61.2773 $75.00 $73.27 $4,489.79 $-106.01 (-2.31%)
IBIT BTC Regime Gate 99.0868 $44.54 $44.62 $4,421.25 $7.97 (+0.18%)
DELL 7.5467 $455.50 $543.20 $4,099.35 $661.84 (+19.25%)
ECAT 216.6043 $15.87 $15.15 $3,281.55 $-155.96 (-4.54%)
FIVE 11.1089 $255.00 $249.44 $2,771.00 $-61.77 (-2.18%)
SNDK Memory Rotation 1.5207 $1,775.22 $1,769.51 $2,690.92 $-8.68 (-0.32%)
BIL Memory Rotation 24.1988 $91.41 $91.47 $2,213.34 $1.29 (+0.06%)
BAH Earnings Momentum 27.0316 $79.01 $72.97 $1,972.50 $-163.27 (-7.65%)
EXLS Earnings Momentum 29.6567 $36.00 $35.21 $1,044.21 $-23.43 (-2.19%)
LMT Earnings Momentum 1.748 $610.78 $525.28 $918.18 $-149.46 (-14.00%)
CRM 2.4327 $207.68 $247.35 $601.74 $96.51 (+19.10%)
DG 4.0531 $124.65 $126.34 $512.09 $6.85 (+1.36%)
SMH GPU Tilt 0.4658 $567.42 $574.57 $267.64 $3.33 (+1.26%)
SOXX GPU Tilt 0.1157 $531.05 $531.91 $61.56 $0.10 (+0.16%)
SPY260911P00745000 1 $0.25 $0.23 $23.00 $-2.00 (-8.00%)
SPY260911P00755000 -1 $0.98 $1.02 $-102.00 $-4.00 (-4.08%)
Alpaca paper · updated 2026-09-09 2:00 PM ET

Position History

Date (ET)SymbolSideQtyPriceStrategy
2026-09-09 10:05 AM NONE 1 $-0.73
2026-09-09 9:35 AM WBD SELL 14 $28.01 Ndx Momentum
2026-09-09 9:32 AM MRVL SELL 2 $228.67 Ndx Momentum
2026-09-09 9:31 AM BIL SELL 24.1307 $91.46 Memory Rotation
2026-09-09 8:00 AM BIL SELL 62.279 $91.46 Memory Rotation
2026-09-09 8:00 AM BIL SELL 4 $91.46 Memory Rotation
2026-09-09 8:00 AM IBIT SELL 10 $44.92 BTC Regime Gate
2026-09-09 8:00 AM SOXX SELL 8 $522.63 GPU Tilt
2026-09-09 8:00 AM TER SELL 1 $366.01 Ndx Momentum
2026-09-09 8:00 AM TD SELL 2.7404 $119.80 Maple

Active Strategies

Allocated Sleeves · LIVE PAPER places paper-account orders; PAPER SIM places no orders
Memory RotationEST LIVE PAPER
Leveraged momentum — SNDK / MU / TQQQ / DIG · Re-risk cap 25%→30% on/after 2026-08-29 only when 30Y 5-day yield change ≤ 0 bp
REBALANCE → SNDK · momentum 40.40% · VIX 15.72
OFFENSIVE: SNDK above SMA80 with 20d momentum=40.40%. VIX=15.7; vol-scaled weight=27.8% (20d realized vol=90.0%, target=25%); rerisk_gate: 30Y +1.5bp/5d > 0bp, target_vol=25% · Re-risk gate: 30Y +1.5bp/5d > 0bp, target_vol=25%
Allocation 25% · deployed $4,904.26 (5.9% of equity)
Unrealized P&L: $-7.39
Holdings: SNDK $2,690.92 · BIL $2,213.34
Updated 2026-09-08 10:42 PM ET
Earnings MomentumEST PAPER SIM · NO ORDERS
Post-earnings momentum — scanner 9:00 PM ET, GTC entries at next bridge pass, 6.5% target / 5.5% stop / 5-session time exit
LONG → CHWY, BAH, CMG, EXLS, LMT
Allocation 15% · account holdings $3,934.89 (4.8% of equity)
Unrealized P&L: $-336.16
Holdings: BAH $1,972.50 · EXLS $1,044.21 · LMT $918.18
Updated 2026-09-07 9:02 PM ET
GPU TiltEST PAPER SIM · NO ORDERS
H100 daily $/GPU-hour (Ornn OCPI) leads semiconductor ETFs by ~1 month (Granger p=0.0017 for SOXX). Z-score gated daily signal — OFFENSIVE=60% SOXX/40% SMH, DEFENSIVE=BIL.
NEUTRAL → SOXX, SMH, BIL
GPU tilt NEUTRAL: H100 mom=+1.4% Z=-0.62 5d_avg=+1.16% → half position
Allocation 5% · account holdings $329.20 (0.4% of equity)
Unrealized P&L: +$3.43
Holdings: SMH $267.64 · SOXX $61.56
Updated 2026-09-08 11:08 PM ET
Braided-DeltaEST PAPER SIM · NO ORDERS
LIVE SPY timing sleeve — sector residual-dispersion braid plus breadth and basket confirmation; close signal executes next open. Flipped live 2026-08-30 (user directive; early flip).
cash → BIL
No active Braided-Delta position or entry at 2026-09-08 close; target BIL
Allocation 5% · account holdings $0.00 (0.0% of equity)
No positions currently held — sleeve rotates in and out
Updated 2026-09-09 8:00 AM ET
WaterholeEST PAPER SIM · NO ORDERS
LIVE SPY stress ladder — robust SPY volatility/drawdown and TLT-return composite; 0/40/70/100% exposure. Flipped live 2026-08-30 (user directive; early flip).
long → SPY
Waterhole P<0 full-risk band: P=-0.286; target 100% SPY / 0% BIL at the next open
Allocation 5% · account holdings $0.00 (0.0% of equity)
No positions currently held — sleeve rotates in and out
Updated 2026-09-09 8:00 AM ET
BTC Regime GateEST PAPER SIM · NO ORDERS
EMA20d>EMA200d long/cash timing of BTC — OFFENSIVE=IBIT (spot BTC ETF), DEFENSIVE=BIL. Backtest 4.66y (USDT+USDC, 25bp costs): +22.6% CAGR / -32.6% maxDD vs B&H +11.6% / -67.6%; ~1.8 flips/yr. Flipped live 2026-08-30 (user directive; early flip).
OFFENSIVE → IBIT
EMA20d > EMA200d (spread +591bp) — long IBIT
Allocation 5% · account holdings $4,421.25 (5.4% of equity)
Unrealized P&L: +$7.97
Holdings: IBIT $4,421.25
Updated 2026-09-09 8:00 AM ET
Signal-Only Paper · signals generated, no capital deployed
MemeEST ACTIVE SIGNAL-ONLY
WSB / social-mention signal scanner
Meme mania 83.33333333333333 · 0 candidates · feeds: reddit, polymarket, kalshi, twitter
Last run 2026-09-09 12:36 AM ET
Inverse MemeEST ACTIVE SIGNAL-ONLY
Long-only complement of the meme engine's price-confirmed WSB picks
Last run 2026-09-09 12:36 AM ET
Bond RotationEST ACTIVE SIGNAL-ONLY
Top-1 126-day momentum · 15% vol target · Yield filter: 10Y 5-day change > +15 bp rotates SPY/QQQ winners to BIL (fail-open)
Yield filter: 10Y +4.8bp/5d <= +15bp, QQQ unchanged
Last run 2026-09-09 12:36 AM ET
OptionsEST ACTIVE SIGNAL-ONLY
Wheel strategy — cash-secured puts / covered calls
Last run 2026-09-09 12:36 AM ET
Trump TweetEST ACTIVE NOTIFICATION ONLY
1-min Truth Social poller — NOTIFICATION ONLY: alerts sent, trading disabled 2026-08-20, no orders placed
Pending: BUY AAPL ($750.00), BUY GOOGL ($750.00), BUY BAC ($750.00), BUY C ($750.00), BUY GS ($750.00), BUY WMT ($750.00) · REGULAR
Last run 2026-09-09 10:18 AM ET
Inverse CryptoEST ACTIVE SIGNAL-ONLY
7 strategies tested — no alpha after costs
Last run 2026-09-09 12:36 AM ET
DRAMEST PAUSED SIGNAL-ONLY
PAUSED TRADING — signal-only paper simulation continues; Dynamic Regime-Adaptive Momentum with vol-scaled sizing + VIX-adaptive ATR trailing stop
Last run 2026-09-09 8:00 AM ET
VNQ ReversionEST ACTIVE SIGNAL-ONLY
REIT mean-reversion sleeve — VNQ vs BIL
Last run 2026-09-09 12:36 AM ET
Retired · no allocation, kept for historical context
Maple SleeveEST RETIRED 0% ALLOCATION
Canadian blue-chip dividend diversification sleeve
Retired · last run 2026-09-09 12:36 AM ET
ShippingEST RETIRED 0% ALLOCATION
Tanker sector rotation — INSW/NAT/FRO/SBLK/DHT/STNG · 14-day rebalance
Retired — kept for historical context
Geo ReversalEST RETIRED 0% ALLOCATION
Geopolitical reversal rotation — energy vs broad market on geo-risk score shifts
Retired — kept for historical context
VIX RegimeEST RETIRED 0% ALLOCATION
VIX regime recovery basket — 80% SPY / 20% QQQ when high-vol + low VIX + bull trend
Retired — kept for historical context
Value DipEST RETIRED 0% ALLOCATION
NASDAQ-100 worst performers — dynamic sourcing pipeline, 4-condition entry gate
Retired — kept for historical context
Polymarket WeatherEST RETIRED 0% ALLOCATION
Weather prediction market signals (retired/deleted)
Retired — kept for historical context
Pre-Market MomentumEST RETIRED 0% ALLOCATION
Pre-market gap momentum scanner — allocation removed after live evaluation
Retired · last run 2026-09-09 9:16 AM ET

Meme Sentiment SIGNAL-ONLY / NOT VALIDATED / NO LIVE CAPITAL

Meme Mania
83.3
Feeds Used
reddit, polymarket, kalshi, twitter
Feeds Missing
kalshi: OK · polymarket: OK · reddit: OK · twitter: OK
TickerMeme ScoreSuggested Weight
No candidates above threshold
Meme signal · 2026-09-08 11:30 PM ET

Earnings Calendar SCANNER

TickerEarnings DateDays Until (at scan)DecisionReason
Wednesday, 2026-09-09
AEO EST 2026-09-09 (Wednesday) 1 day NO SETUP momentum mixed not stable/accelerating
ASO EST 2026-09-09 (Wednesday) 1 day NO SETUP Pullback 1.73% > 1.5% threshold (price above MA entry zone); price -3.21% below 50-day MA (trend gate)
AVAV EST 2026-09-09 (Wednesday) 1 day NO SETUP Pullback 1.88% > 1.5% threshold (price above MA entry zone); momentum mixed not stable/accelerating; price -5.67% below 50-day MA (trend gate)
CHWY EST 2026-09-09 (Wednesday) 1 day NO SETUP momentum fading not stable/accelerating
CNM EST 2026-09-09 (Wednesday) 1 day NO SETUP price -1.94% below 50-day MA (trend gate)
COO EST 2026-09-09 (Wednesday) 1 day NO SETUP momentum mixed not stable/accelerating; price -5.98% below 50-day MA (trend gate)
KFY EST 2026-09-09 (Wednesday) 1 day NO SETUP momentum fading not stable/accelerating
KR EST 2026-09-09 (Wednesday) 1 day NO SETUP momentum mixed not stable/accelerating; price -0.57% below 50-day MA (trend gate)
NAVN EST 2026-09-09 (Wednesday) 1 day NO SETUP momentum mixed not stable/accelerating; price -1.52% below 50-day MA (trend gate)
NB EST 2026-09-09 (Wednesday) 1 day NO SETUP momentum mixed not stable/accelerating; price -8.66% below 50-day MA (trend gate)
ODD EST 2026-09-09 (Wednesday) 1 day NO SETUP momentum fading not stable/accelerating; price -12.97% below 50-day MA (trend gate)
RH EST 2026-09-09 (Wednesday) 1 day NO SETUP momentum mixed not stable/accelerating; price -15.5% below 50-day MA (trend gate)
SAIL EST 2026-09-09 (Wednesday) 1 day NO SETUP momentum fading not stable/accelerating
SIG EST 2026-09-09 (Wednesday) 1 day NO SETUP momentum mixed not stable/accelerating; price -4.64% below 50-day MA (trend gate)
Thursday, 2026-09-10
ADBE EST 2026-09-10 (Thursday) 2 days NO SETUP momentum fading not stable/accelerating
CPRT EST 2026-09-10 (Thursday) 2 days NO SETUP momentum mixed not stable/accelerating
FEIM EST 2026-09-10 (Thursday) 2 days NO SETUP Pullback 7.41% > 1.5% threshold (price above MA entry zone); Runup 11.82% >= 10% cap (already run up too much); momentum mixed not stable/accelerating
HUIZ EST 2026-09-10 (Thursday) 2 days NO SETUP momentum mixed not stable/accelerating
LPTH EST 2026-09-10 (Thursday) 2 days NO SETUP Pullback 9.54% > 1.5% threshold (price above MA entry zone); price -12.14% below 50-day MA (trend gate)
ORCL EST 2026-09-10 (Thursday) 2 days NO SETUP Pullback 6.58% > 1.5% threshold (price above MA entry zone); Runup 14.09% >= 10% cap (already run up too much); momentum mixed not stable/accelerating
SHOE EST 2026-09-10 (Thursday) 2 days NO SETUP price -10.03% below 50-day MA (trend gate)
TEN EST 2026-09-10 (Thursday) 2 days NO SETUP momentum fading not stable/accelerating
Friday, 2026-09-11
ANAB EST 2026-09-11 (Friday) 3 days NO SETUP momentum fading not stable/accelerating; price -2.41% below 50-day MA (trend gate)
Scanner: pullback ≤ 1.5%, runup ≤ 10%, RSI ≤ 70, entry window 5 days · Generated 2026-09-08 11:28 PM ET

Earnings Momentum LIVE PAPER

Trading Days Since Signal EST
2 / 5
Open Legs
3 / 5
Signal
2026-09-07 9:02 PM ET
SymbolStatusEntryTargetStopCurrentUnrealized P&L
CHWY EST — · no live position confirmed $23.66 EST $25.20 $22.36
BAH EST OPEN $72.97 $-163.27 (-7.65%)
CMG EST — · no live position confirmed
EXLS EST OPEN $35.21 $-23.43 (-2.19%)
LMT EST OPEN $525.28 $-149.46 (-14.00%)
6.5% target · 5.5% stop · 5-session time exit · exit monitor 9:40 AM / 11:40 AM / 1:40 PM / 3:40 PM ET · last check —

TimesFM-3 Shadow Research GLD · 21dPAPER / RESEARCH

Zero-shot 330M foundation model (Google, non-commercial checkpoint) vs the forecast_v2 hybrid Monte-Carlo baseline. Walk-forward: 504d context → 21d horizon. Directional Brier = mean((p_up − actual)²); 0.25 = coin flip. Shadow only — no positions. Last run 2026-09-08 11:09 PM ET.
TimesFM-3 (GEPA champion config)
MAE (21d)
$9.57 EST
Dir Hit
60.0% EST
Brier (prob.)
0.2500 EST
CRPS
3.7672 EST
Hybrid v2 (baseline)
MAE (21d)
$10.12 EST
Dir Hit
48.6% EST
Brier (prob.)
0.2654 EST
GEPA champion (holdout-locked): EST selection Brier 0.2233 over 21 windows · holdout Brier 0.2043 over 14 locked windows · dir 71.4% · ctx 504 · cov QQQ+DXY+GDX · method median_binary
promising — passed holdout bar on a small adaptive sample; confirm on rolling basis before any weight

Public.com Live Trading 2 accounts: Agent Options Brok + Agent Cash Brok 1REAL MONEY · SNAPSHOT

Real-money automated strategies on the Public.com brokerage accounts, one block per account. Data below comes from the stored Public.com portfolio/transaction snapshot and local strategy state, as of 2:00pm ET, Sep 9. These are last observed values; a failed refresh can leave an older snapshot. Each account and strategy carries its own as-of stamp.
Agent Options Brok - 5OI24098 - BURST-XS3 crypto margin - LEVEL_2 + crypto
Equity
$3,000.98
Cash
$3,000.98
Buying Power
$6,001.96
Account snapshot as of 2:00pm ET, Sep 9
Open positions
No open positions.
Transaction history (most recent first)
Time (ET)TypeDescriptionNet
4:16pm ET, Sep 3MONEY_MOVEMENT / DEPOSITDeposit $100.00$100.00
8:06pm ET, Sep 3MONEY_MOVEMENT / DEPOSITDeposit $2901.00$2,901.00
4:03pm ET, Sep 4TRADE / TRADEBUY 0.00001503 BTC at 79816.29$-1.21
4:03pm ET, Sep 4TRADE / TRADESELL 0.00001503 BTC at 79803.43$1.19
Strategies on this account
EST
BURST-XS3 Crypto Momentum BTC/ETH/SOL · daily 8:01 PM ET
Executor: Hermes cron bot (bot.py) — 8:01 PM ET nightly · Last run 8:01pm ET, Sep 8 · State last observed
Account: Agent Options Brok - 5OI24098 margin - LEVEL_2 + crypto
Sizing: 15% of account equity per position, floor $400, cap 40% of equity, minimum entry $400; each buy = min(target, spendable funds − 0.65% fee reserve). De-risk ladder: after 2 consecutive losing exits the fraction is halved (f=0.075) until a winning trade. Replaced the $500→$3,000 Tier-2 ratchet on Sep 4, 2026.
Management: Exits: 6-night hold timer (HOLD_DAYS=6; re-trigger resets, higher-sig coin wins) and BTC > EMA100 regime gate (flip → cash). Kill gates ENFORCED in code (pre-registered SCALP_PROMPT.md): −35% drawdown from the ledger high-water mark, trailing-12-month return < −15%, avg execution shortfall > 15bp/side (20-side window, from 10 sides) — a trip refuses new entries, alerts once, and sticks until reviewed. Exactly-once orders (durable intent + zero SDK retries), 8dp raw-POST sells, process lock, same-signal-date guard, data-glitch gate, crypto-only open-order guard. Schedule: 8:01 pm ET trade, 9:15 pm watchdog, 10:31 pm catch-up, 9:30 am liveness, 8:30 am status line. 100% LLM-free.
Position
CASH (USDC)
Days Left
0
Sizing Tier
normal (f=0.15)
Target Notional
$450.14
Next Buy
$450.14 (full target)
Loss Streak
0 losing exits in a row
Ledger P&L
$0.00 realized · DD $0.00 from HWM
Fee Tier
0.60%/side (120bp RT; Public API tier for < $10k monthly crypto volume). 0.50% applies only in months with >= $10k volume — the backtest reaches that in 4 of 14 OOS months; NOT assumed by the bot (reserve 0.65%).
Regime Gate
ON (BTC > EMA100)
Sig (last close)
BTC -0.4223 · ETH -0.0908 · SOL -0.1185
Recent runs
Run (ET)TargetTradesReason
8:01pm ET, Sep 8no tradeno trigger, no position -> cash
6:45am ET, Sep 8USDCno tradeno trigger, no position -> cash
8:01pm ET, Sep 7no tradeno trigger, no position -> cash
8:02pm ET, Sep 6no tradeno trigger, no position -> cash
8:02pm ET, Sep 5no tradeno trigger, no position -> cash
Entry >1.75σ / 14d · EMA100 gate · 6-day hold / 1 position · backtest — (no artifact)
Agent Cash Brok 1 - 5OI23198 - SMH overnight + Gold cash
Equity
$3,930.27
Cash
$3,930.27
Buying Power
$3,930.27
Account snapshot as of 2:00pm ET, Sep 9
Open positions
No open positions.
Transaction history (most recent first)
Time (ET)TypeDescriptionNet
3:55pm ET, Sep 1TRADE / TRADEBUY 0.18334 SMH at 545.4339$-100.00
8:08pm ET, Sep 1MONEY_MOVEMENT / DEPOSITDeposit $1000.00$1,000.00
3:55pm ET, Sep 2TRADE / TRADEBUY 0.18176 SMH at 550.155$-100.00
4:15pm ET, Sep 2MONEY_MOVEMENT / DEPOSITDeposit $100.00$100.00
8:06pm ET, Sep 2MONEY_MOVEMENT / DEPOSITDeposit $200.00$200.00
8:49pm ET, Sep 2TRADE / TRADEBUY 0.00025955 BTC at 77053.54$-20.12
8:50pm ET, Sep 2TRADE / TRADEBUY 0.00025954 BTC at 77057.55$-20.12
8:50pm ET, Sep 2TRADE / TRADESELL 0.00025 BTC at 77057.54$19.14
Strategies on this account
EST
Overnight Alpha — SMH weekdays · 3:55 PM ET buy → next-open sell
Executor: Public.com AI Agent 'Conditional SMH Day Trade' (public-side, autonomous) · Public-side gate not observed locally · STALE — flag >36h old
Account: Agent Cash Brok 1 - 5OI23198 cash
Sizing: 2.5% of account equity per trade, clamped to $100–$400 (prompt v2, Sep 4, 2026; PASTED into the Public-side agent 2026-09-04 — live).
Management: Entry: weekdays 3:45 pm ET gate — skip if SMH < 200-day SMA or QQQ 21-day return ≥ +12%; else 3:55 pm ET limit buy at ask + $0.05 (cancel unfilled at close). Exit: sell ALL at 9:30 am ET next day, market. Never short, no stop-loss, never hold past the next open, at most one buy per day. Kill rules (user-enforced): after 60 traded nights must beat the ungated and MA200-only books; stop if drawdown from peak > 35%.
Executor gate
not observed — decided on the Public-side agent
Book
Legacy model flag (research cross-check only, not the SMH executor): no-skip · — · as of 11:11pm ET, Sep 8 · 11:11pm ET, Sep 8
First live trade: 3:55 PM ET, Sep 1 — SMH limit buy $100.00 @ $545.47 limit; FILLED 0.18334 sh @ $545.43, $0.00 fees (valid until Nov 30, 2026)
Weekdays 3:45 PM ET: skip if SMH < 200-day SMA or QQQ 4-week return >= +12%; else buy 2.5% of equity ($100–$400; prompt v2 PASTED 2026-09-04) of SMH at 3:55 PM ET (limit at ask +$0.05, cancel unfilled at close); sell ALL next morning at 9:30 AM ET market. Never short, no stop-loss, never hold past next open.
Holdout 2022-04→2026-08: +39.8% CAGR / Sharpe 1.80 / −13.5% maxDD (reference)
EST
Asia-gate London Gold weekdays · 3:00 AM buy → 8:00 AM sell (ET)
Executor: Hermes cron executor (gold_bot.py, 6 phases) — LLM-free · Flag as of 11:09pm ET, Sep 8 · last observed
Account: Agent Cash Brok 1 - 5OI23198 cash
Sizing: 2.5% of account equity per session, clamped to $100–$400 (gold_bot.py target_notional, Sep 4, 2026); no partial entry below $90; buy also clamped by the daily funds allocator's headroom on this shared account.
Management: 6-phase weekday schedule (Hermes cron, LLM-free): 8:00 pm ET evening anchor → 2:00 am mark (GREEN if GLD > the 8:00 pm price, else RED) → 3:00 am buy (GREEN + BULL regime flag only; extended-hours LIMIT at ask + 1 tick) → 3:05 am cancel unfilled → 8:00 am sell ALL (LIMIT at bid − 1 tick) → 8:05 am sell fallback (market / marketable limit). Never short, never hold past 8:00 am, no stop-loss. Kill gates in code: after 60 traded sessions must beat always-long GLD; 120-session signal agreement must stay ≥ 51%.
Regime flag (weekly)
BULL
Flag detail
p_up 0.7, 21d median $419.32 vs $399.72 (+4.9%)
Kill gates
not tripped (60-trade vs GLD; 120-trade agreement ≥ 51%)
Weekly BULL/BEAR regime flag (trade only on BULL). Weekdays: 2:00 AM ET — GREEN if GLD now > 8:00 PM ET price; GREEN → buy 2.5% of equity ($100–$400) of GLD at 3:00 AM ET (extended-hours limit near ask; cancel unfilled at 3:05 AM); sell ALL at 8:00 AM ET (limit near bid; aggressive fallback if unfilled). RED/flat/incomplete → do nothing. Never short, never hold overnight, no stop-loss — the 8:00 AM exit is the exit.
2y net @0.6bp (GC=F basis): +13.8% CAGR / Sharpe 1.98 / −4.4% maxDD / 59.8% win / 291 sessions (long 4.5%/0.61). Live 2bp cost: ≈low-teens CAGR. Decaying edge: first ½ +28.4%/4.62 vs second ½ +4.0%/0.55 (London 17.1%→7.5%). Stop: last 60 trades < long GLD; 120-trade agreement <51%.

Alpaca Paper Sleeves Alpaca paper (separate broker)● PAPER — Alpaca

Paper-trading sleeves on the Alpaca paper account — a different broker from Public.com, tracked separately. Hermes cron bilbo_paper — hourly 9:55am–3:55pm ET + 4:10pm ET reconcile · State as of 4:10pm ET, Sep 8 (ledger.updated_et)
EST
Alpaca Paper Sleeves Bilbo v2 hourly · 9:55am–3:55pm ET
Executor: Hermes cron bilbo_paper — hourly 9:55am–3:55pm ET + 4:10pm ET reconcile · State as of 4:10pm ET, Sep 8 (ledger.updated_et) · last observed
QQQ Sleeve
FLAT
Bilbo Long
3 open (MSFT, TSLA, SMCI)
Bilbo Dual Ledger
primary author-exits + shadow cap-only
Book
Alpaca paper — ~25bp equity risk/trade
Armed compression boxes
SymbolBox LowBox HighGrey BarsEntry
MSFT$493.81$500.7313$511.58
SMCI$36.61$37.4021$37.97
TSLA$350.36$356.6511$371.97
Recent events
Time (ET)SleeveEventDetail
11:56am ET, Sep 9bilboSkippedMETA stop_distance_gt_6pct
12:38am ET, Sep 9bilboCarveout reservation
4:10pm ET, Sep 8bilboEquity mark
9:56am ET, Sep 8bilboOrder errorMSFT APIError: {"code":40310000,"message":"account is not allowed to short"}
4:10pm ET, Sep 7bilboEquity mark
Bilbo hourly (Megacap 20, v2 faithful): confirmed hourly close above the 5-grey-candle compression box, RTH closes only, trend gate vs prior-day daily EMA21; buy shares at next 5-min bar open; exits keyed to the stock — 5-min close below box low, or after a +1.0 daily-ATR run a trail giving back 75% of peak, or 10-trading-day cap. Dual ledger: primary author rules + shadow 10-day-cap-only on the same entries. Risk ~25bp equity/trade at the box-low stop, max 8 concurrent. QQQ EMA21 reversion: buy $500 QQQ at next open when QQQ close <= 0.95×EMA21, sell at the open 5 sessions later.
Bilbo v2 replication 2021–2026 (fit 86% vs author live; 0 spurious): +64bp/trade primary / +118bp/trade cap-only shadow, PF 1.40, day-cluster t=3.37 (n=1,758), net 1bp/side. Alpaca paper-only, 4-week forward gate.

8-Bot Options Desk ADVISORY · NO ORDERS

Snapshot Sep 09, 09:34 AM ET
Bots live · profiles
8/8EST
Last desk brief · bot08 run
Sep 09, 09:35 AM ET
Scheduler · execution only
7/8 last-run OKEST
Desk equity snapshot
$3,000.00
Owner cap
$3,000.00
Cap headroom · cap minus equity
$0.00EST
Open reservations · ledger
0EST
Active vetoes / flags · symbols
15EST
Audit findings · fixed / total
12/12 fixed · 0 openEST
DAG E2E · S1–S6
PASS Sep 07, 07:49 PM ET
bot01Sep 09, 08:33 AM ET OKscan
bot02Sep 07, 03:29 PM ET OKscan
bot03Sep 09, 09:16 AM ET OKidle
bot04Sep 09, 08:01 AM ET OKscan
bot05Sep 09, 09:03 AM ET FAILflag
bot06Sep 09, 09:16 AM ET OKidle
bot07Sep 09, 09:24 AM ET OKrisk
bot08Sep 09, 09:35 AM ET OKbrief
EST counts / headroom · audit A1–A10, C2, bot08 budget

Strategy Factory DISCOVERY · NO LIVE CAPITAL

Arena method: harvest-first pair transfers · ≤2 signal knobs · honest bar (≥100 trades, PF ≥1.20, WR ≥40%, payoff >1.0) · failures archived · forward window before paper admission
Book size
12
Backtests run
11
Candidates at the bar
2
Book stages
ARCHIVED_WEAK 9, CANDIDATE 2, PARKED 1
Last cycle
Sep 08, 11:17 AM ET
SOLmomentumPF 1.27 · 116 tradesCANDIDATE
BTCmomentumPF 1.26 · 150 tradesCANDIDATE
factory10 runs · 2 candidatesedge 54.3dur 0.50 · disc 1.00 · q 0.26
llm1 runs · 0 candidatesedge 31.5dur 0.50 · disc 0.00 · q 0.50
Candidates sit GATE_PENDING until a locked out-of-sample window exists, then scripts/candidate_gate.py (deflated-Sharpe, novelty, spanning) rules on paper admission. Weekly cycle: Mondays 8:00 AM ET.

Market-Neutral Lab PAPER · READ-ONLY · 5OI24098

short 2 MSTR @ $142.50 · long 9 IBIT @ $45.11 · opened 2026-09-07 EST
marks: MSTR $135.09 · IBIT $44.63 · gross $672 EST
Pair paper P&L
+$10 EST
Net delta drift
+0.1% EST
MSTR vs IBIT (premium residual)
-4.2% EST
Margin est
$436 EST
C4 SPAC carry
IBAC $10.88 · P&L −$32 · gap vs trust -2.17% · extension vote 2026-09-24 EST
NHIC $10.62 · P&L −$2 · gap vs trust -0.39% · redemption 2026-09-15 EST
HTB terms (rate · availability)
SETH 7.8% HARD_TO_BORROW · ETHD 20.0% HARD_TO_BORROW · SBIT 3.0% HARD_TO_BORROW · BITI 2.8% HARD_TO_BORROW · ETHU 38.6% HARD_TO_BORROW
Put debits (Oct-16)
ETHA 2026-10-16P 19 · IV +54% · mid $1.355 EST · nearest strike to underlying last $18.7899 (quote Sep 09, 2026 12:00 PM ET)
UNG 2026-10-16P 10 · IV +42% · mid $0.405 EST · nearest strike to underlying last $10.25 (quote Sep 09, 2026 12:00 PM ET)
HTB probe · Sep 09, 2026 10:00 AM ET · 27/28 OK
Tracker as of Sep 09, 2026 12:35 PM ET · terms/chains snapshot Sep 09, 2026 12:00 PM ET
EST paper book · no broker positions · missing —

GPU Tilt EST LIVE PAPER

H100 daily $/GPU-hour (Ornn OCPI) leads semiconductor ETFs by ~1 month (Granger p=0.0017 for SOXX). Z-score gated daily signal — OFFENSIVE=60% SOXX/40% SMH, DEFENSIVE=BIL. Pricing source: Ornn Data OCPI.
Mode
NEUTRAL
Target Book
SOXX 30% / SMH 20% / BIL 50%
Signal
2026-09-08 11:08 PM ET
GPU tilt NEUTRAL: H100 mom=+1.4% Z=-0.62 5d_avg=+1.16% → half position
H100 Signal $/GPU-hr20d Ago20d Momentum20d Z-Score5d Avg Return
$3.0838 $3.04 +1.4% -0.62 +1.16%
Z >+0.5 + rising: 60% SOXX / 40% SMH · <−0.5 + falling: 100% BIL · else ½ book · Last signal: Z -0.62 → NEUTRAL

⚡ VIX for Compute

Ornn daily GPU price observations. Returns and annualized volatility are calculated estimates over the dated history shown; unavailable statistics: —.
Compute VIX (avg)
65.7% EST
H100 last daily index
$3.08
Sep 08, 04:00 PM ET
GPUDaily $/hrObserved (ET)History returnAnn. vol20-session momentumHistory window
A100 SXM4$1.02Sep 08, 04:00 PM ET-19.4% EST39.4% EST-4.2% EST2026-05-25 → 2026-09-08
B200$6.72Sep 08, 04:00 PM ET+25.9% EST57.4% EST+1.8% EST2026-05-25 → 2026-09-08
H100 SXM$3.08Sep 08, 04:00 PM ET+8.2% EST65.1% EST+1.4% EST2026-05-25 → 2026-09-08
H200$4.91Sep 08, 04:00 PM ET+19.5% EST92.2% EST-3.8% EST2026-05-25 → 2026-09-08
RTX 5090$0.63Sep 08, 04:00 PM ET-26.1% EST74.3% EST+18.6% EST2026-05-25 → 2026-09-08
LLM Token Index$/Mtok (blended)Observed
Anthropic$1.3932026-09-07
Deepseek$0.0952026-09-07
Google$0.4942026-09-07
Openai$0.3122026-09-07
Ornn gpu_history.json / otpi_history.json · historical, not spot

ATR SPY Put Credit Spread EST LIVE PAPER

Weekly −1·ATR SPY 10-wide put credit spread, 1 lot, same-week Friday expiry. Sell short strike at prior weekly close − 1.0×ATR14; skip unless natural credit ≥ $0.20. Fill-confirmed entries only; one re-quote budget per week. Account PA3HAIILY8S9.
Realized P&L (void-adjusted)
$0.00
Max Risk / Lot
$1,000
Swan Breaches (13wk)
0/13w
Funding (sells at open)
0/4 fills · OBP $1
WeekStrikesExpiryCreditStatus
2026-W35760/750void_unfilled phantom fill: no broker order ever existed for W35 (see ledger void_un
2026-W36750/7402026-09-04$0.00skipped_credit natural credit 0.00 &lt; gate 0.20
2026-W37755/7452026-09-11$0.41skipped_cancelled order cancelled unfilled
EST: sleeve-book estimate from state ledger, void-unfilled corrections applied; broker-verified fills only count. Updated 2026-09-08 8:33 PM ET

Live Paper Trading Performance LIVE PAPER

21 trading days · Alpaca 1M window · through 2026-09-08
Trailing Days
21
Total Return
-0.24%
Sharpe
-0.22
Sortino
-0.29
Calmar
-1.34
Max DD
-2.13%
Trade Win Rate
30%
Profit Factor
0.55
Expectancy
$-5
Closed Trades
573
StrategyEquityReturnSharpeSortinoCalmarMax DDDaily Up %Best DayDays
Hormuz Carry EST $3,349 +11.27% 11.59 60.26 1176.59 -1.2% 67% +3.9% 10
Shipping EST $1,793 +10.66% 9.79 34.32 673.58 -1.8% 67% +4.4% 10
Ndx Momentum EST $2,025 +9.45% 16.11 119779.33 -0.1% 75% +5.0% 5
Value Dip EST $3,982 +4.86% 5.04 7.60 90.79 -2.5% 56% +3.4% 10
Memory Rotation EST $17,699 +3.26% 1.45 3.91 7.32 -6.1% 52% +6.8% 22
Maple EST $4,261 +2.41% 0.74 1.31 1.32 -23.8% 57% +11.1% 22
BTC Regime Gate EST $4,512 -0.37% -0.11 -1.54 -2.90 -4.3% 50% +5.8% 7
Bond Rotation EST $7,072 -0.86% -0.50 -0.71 -1.69 -5.5% 38% +2.5% 22
Earnings Momentum EST $6,236 -4.12% -4.57 -8.08 -12.30 -4.1% 43% +1.9% 15
Trump Tweet EST $2,236 -5.72% -4.54 -5.93 -9.15 -8.5% 22% +3.5% 10
Bilbo Paper EST $1,623 -11.90% -5.47 -8.22 -5.22 -17.8% 36% +3.6% 12
Unattributed EST $2,660 -23.12% -1.99 -2.30 -3.05 -31.1% 38% +10.2% 22
GPU Tilt EST $265 -42.37% 4.38 18.63 -0.99 -101.3% 50% +1077.1% 9
8-Bot Options Desk EST $3,000 4

Trade Quality (FIFO round-trips)

StrategyClosed TradesWin RateProfit FactorExpectancyW/L RatioTrades/wk
Hormuz Carry 4 75% 44.82 $3 14.94 1.0
Ndx Momentum 5 80% 29.68 $35 7.42 1.2
Memory Rotation 45 56% 1.16 $5 0.93 10.7
Maple 188 28% 0.35 $-7 0.88 44.8
BTC Regime Gate 14 57% 1.14 $0 0.86 3.3
Bond Rotation 27 18% 0.64 $-1 2.80 6.4
Earnings Momentum 2 50% 1.66 $32 1.66 0.5
Unattributed 5 0% 0.00 $-290 1.2
GPU Tilt 283 25% 0.67 $-1 1.97 67.4
FIFO-matched Alpaca fills · excludes cash venues & dust · what a quant checks before trusting a Sharpe
Alpaca get_portfolio_history · EST fill-timeline × closes · not a backtest
EST P&L residual $-38.17 (-0.05% NAV) · BIL/SHV 0%
EST equity gap $23,342.30 (27.77% NAV) · desk allocation $3,000.00 · account NAV through 2026-09-08 · desk through 2026-09-09

Since First Live Session LIVE PAPER

Portfolio vs $VOO vs $GOOG — all indexed to 100 on 2026-08-10 (first live paper session, post-reset $100k account). Benchmarks: split-adjusted closes, same calendar dates.

Cumulative % Return

Portfolio $VOO $GOOG
Aug 10 '26Sep 1Sep 8 '26
Latest: Portfolio -0.2% · $VOO -0.7% · $GOOG -5.8% · touch or drag a finger across the chart to inspect any date · sources: Alpaca account history + Yahoo Finance daily closes

Capital Allocation · No Margin

Memory Rotation
25%
$3,797.59 EST
Bond Rotation
0%
$0.00 EST
DRAM
0%
$0.00 EST
VNQ Reversion
0%
$0.00 EST
Maple
0%
$0.00 EST
Earnings Momentum
15%
$3,934.89 EST
Hormuz Carry
5%
$0.00 EST
Ndx Momentum
5%
$0.00 EST
GPU Tilt
5%
$1,435.87 EST
BTC Regime Gate
5%
$4,421.25 EST
Braided-Delta
5%
$0.00 EST
Waterhole
5%
$0.00 EST
Bilbo Paper
25%
$0.00 EST
Available Cash: $53,331.47 Total Deployed: $29,368.13 / $82,597.61
Zero-allocation/deallocated positions (pending liquidation): $15,778.53

Trading Discipline EST SCORE 82

82 ATTENTION
score, last 10 session(s)
Max Daily Loss EST worst day -1.42% vs -2.0% limit
Max Drawdown EST -2.13% vs -8.0% limit
Guard Hygiene EST no active alerts
Active Trading Days EST 20 of last 21 sessions vs 16 minimum
Beat the Market EST book -0.24% vs SPY -0.91% same window; alpha +0.67pp
No Margin EST cash balance $53,331.47; negative cash indicates a debit
Allocation Drift EST 8 sleeve(s) beyond ±2.5pp of target
EST · Score covers 7/7 objectives · account through 2026-09-08 · risk 2026-09-08 10:42 PM ET

Dram vs Memory Rotation — Backtest Comparison

EST · selection bias (signals/dynamic_regime.py) · differing windows; bonds 2007+ (research/bond_rotation_backtest.py)
StrategyCAGRSharpeMax DDCalmarPeriod
DRAM EST85.5%2.25-13.4%6.391.5y
Memory Rotation EST687.6%2.90-35.3%19.481.5y
B&H QQQ EST27.4%1.17-22.8%1.201.5y
B&H BIL EST3.9%17.61-0.0%358.471.5y
research/dynamic_backtest_results.json · backtest, not live