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Each row is an OPEN, CLOSE, or STOP trade record. OPEN entries are paired with a later CLOSE (mean-reversion exit at |z| ≤ 0.5) or STOP (forced exit at |z| ≥ 3.0 or after 60 days held). P&L is realized only at the exit; OPEN rows show '—' for P&L.

Glossary →

Newest first.

DateTypePairLong fillShort fillzP&LReason
2026-07-04SPY_BUY?? × ? @ $0.00? × ? @ $0.00