Signal fields
- Asset and direction identify the market and LONG or SHORT thesis.
- Entry is the published reference or entry region, not a guaranteed fill.
- TP is the strategy Take-Profit level.
- SL is the strategy invalidation or Stop-Loss level.
- Risk/reward summarizes the published geometry.
- Confidence is contextual model output, not a probability of profit.
- Rationale and public context explain the published thesis at a high level.
- Status and outcome show the published strategy lifecycle.
Strategy outcomes versus account results
A strategy outcome follows the published signal’s market path. A copied account can enter at a different price, receive a partial fill, pay different fees, or be held by a safety gate. Therefore strategy PnL and account PnL can differ.Copy-ready does not mean guaranteed fill
COPY READY means the signal entered the live-copy feed. Each account still
checks its signed margin, leverage, daily limits, position capacity, entry
conditions, available collateral, and venue acceptance. A valid signal can
therefore remain observed without creating an order.
The public API returns the published signal snapshot. Calling the endpoint does
not invoke a model, create a new signal, or submit an order.
