LIVE DECISION SUPPORT / V1.0
Trade the setup.
Not the noise.
Real-time Binance market structure, technical confirmation, news risk, and position sizing in one disciplined workflow.
LIQUID WATCHLIST
Twelve markets. One process.
Click a market to rebuild the full analysis.
MULTI-TIMEFRAME OPPORTUNITY RADAR
Best two right now.
Ranking all twelve markets by 4H regime, 1H trend, 15M setup quality, and 5M execution.
The radar always ranks two markets for attention. A ranking is not a buy instruction: the normal technical, model, TradingView, news, and execution gates still decide whether a paper trade is allowed.
Scans all 12 markets with fixed EDGE-V2.1 rules. The TradingView integration is designed for three basket alerts covering four Binance pairs each with confirmed 4H / 1H / 15M / 5M inputs. AUTO paper setups require 100/100, fresh after-cost model evidence, and a recent TradingView heartbeat. It never places a Binance order or guarantees profit.
POSITION SIZER
Know the loss before the trade.
Uses the desk entry and invalidation. Fees and slippage are not included.
FUNDAMENTAL RADAR
What could move the market?
RESEARCH PLAYBOOK
Repeatable setups, strict invalidation.
The live scoring model combines trend pullback and breakout confirmation. Backtest and journal every setup before increasing size.
BINANCE USD-M PERPETUAL / PAPER RESEARCH
Two directions.
One risk limit.
Independent LONG and SHORT technical analysis with live mark price, funding, positioning, order-flow context, and after-cost projections.
DIRECTIONAL RADAR
Best asymmetry, not most activity.
Ranking LONG and SHORT evidence independently.
SELECTED CONTRACT
BTC / USDT PERPETUAL
Waiting for closed candles.
A direction is shown only when trend, momentum, structure, and risk geometry agree.
Every gate must pass before READY. A higher score cannot override a blocked risk filter.
No executable plan until 15M structure creates valid stop geometry.
AFTER-COST SCENARIO
See the trade after friction.
Fee defaults are editable assumptions, not your account rate. Funding can be a debit or credit and may change before settlement. The liquidation estimate assumes 0.5% maintenance margin and excludes wallet balance, tier changes, insurance clearance fees, cross margin, slippage, and taxes. Verify the Binance order preview before any real trade.
AUTO PAPER JOURNAL
Success trades / losses.
| SIGNAL | CONTRACT | SIDE | SCORE | ENTRY | STOP | TP1 | TP2 | RESULT | R |
|---|
The first 8/8 READY LONG or SHORT setup will appear here automatically. No historical result is invented.
Paper tracking only. TP1 records a partial exit and moves the runner stop to entry; TP2 closes at +2.00R, TP1 then breakeven closes at +0.75R, and a full stop closes at -1.00R. Fees are not included in R.
FIXED PLAYBOOK
Four setups. The same invalidation discipline.
EMA alignment, controlled retracement, momentum reset, then continuation through the trigger candle.
Close beyond a 20-bar boundary with participation, followed by an entry zone around the broken level.
Funding, basis, positioning, open interest, and taker flow must not contradict the technical direction.
Range conditions, volatility shocks, crowded positioning, poor stop geometry, or late extension cancel the setup.
Futures leverage magnifies losses and can cause liquidation. A READY label is a rules-based paper setup, not certainty or a recommendation. This dashboard never places an order.
BINANCE COPY TRADING / RISK DESK
Copy the execution.
Own the downside.
Compare lead traders by drawdown and consistency, test allocation rules, and define the maximum loss before opening Binance.
ALLOCATION LAB
Define the loss before the copy.
Two allocations with an 8% portfolio stop. The return field is a scenario, not a forecast.
LEAD TRADER CHECK
Reward means nothing without drawdown.
Enter the Binance profile metrics.
This score tests research quality only. It does not predict the trader's next result.
SELECTION FRAMEWORK
Six checks before capital.
Compare maximum drawdown with ROI. Large returns earned through larger losses are not efficient.
Prefer a track record spanning different market conditions instead of one exceptional week.
Use ROI-to-drawdown and Sharpe alongside headline profit rather than ROI alone.
High leverage can hide liquidation risk behind a temporarily smooth equity curve.
Several traders using the same coins and direction are one correlated position, not diversification.
Start with a limited allocation and a Total Stop Loss. Increase only after observed consistency.
OFFICIAL API REALITY
Two lead-trader endpoints. No public ranking feed.
Binance officially documents authenticated endpoints for Futures lead-trader status and the permitted lead-symbol list. The public portfolio leaderboard is not exposed by the documented API, so LOCHX does not scrape or invent rankings.
GET /sapi/v1/copyTrading/futures/userStatusLEAD TRADER STATUSGET /sapi/v1/copyTrading/futures/leadSymbolSYMBOL WHITELISTTRADINGVIEW / EDGE-V3.1
Every timeframe.
One visible verdict.
Three TradingView basket alerts can monitor all twelve Binance spot markets. A score is shown only after a closed-bar event reaches this dashboard.
CLOSED-BAR SIGNAL MATRIX
Twelve markets. Four confirmation layers.
EMA structure and higher-timeframe trend must align.
Momentum must remain constructive without overheating.
A volume-backed breakout or controlled pullback is required.
Price must confirm without extending beyond the entry geometry.
It is not certainty and it does not place a Binance order. Profit still depends on execution, costs, slippage, and future market behavior.
PAPER TRADE ANALYTICS / LIVE
Every setup.
Every outcome.
Results are measured in R, so different coins and account sizes can be compared honestly. Paper results do not include fees or slippage.
HOW RESULTS ARE SCORED
50% closes at TP1 (1.5R). The rest targets TP2 (2.5R) with stop moved to entry.TP1 + breakeven = +0.75R · TP2 = +2.00R · full stop = −1.00R. Gaps are reconstructed conservatively from Binance 1-minute candles.
| MARKET | CREATED | SCORE | ENTRY | STOP | TP1 | TP2 | STATUS | RESULT |
|---|
Return to Live Desk and track a qualified setup from the right-hand panel.
CONNECTING CLOUD JOURNAL Paper setups sync to a private browser-keyed Cloudflare journal. A scheduled worker checks active trades every minute while this page is closed; the open desk still reacts to Binance ticks every second.
CHRONOLOGICAL RESEARCH / EDGE-V2.1
Evidence before
exposure.
Run the exact setup rules against Binance history before trusting a signal.
Choose a market and run the research model. Results are descriptive, not a promise of future profit.
EMPIRICAL OUTCOMES
What happened next?
SEQUENTIAL RESULT
Equity in R.
ROBUSTNESS CHECK
Development vs unseen data.
| SEGMENT | TRADES | NET EV | PF | WIN | MAX DD |
|---|
REGIME CHECK
Where the model worked.
| REGIME | TRADES | NET EV | PF | WIN |
|---|
TIME STABILITY
Four unseen validation windows.
| WINDOW | TRADES | NET EV | PF | WIN | MAX DD |
|---|