Minerva
PROJECT MINERVA
Trading Dashboard
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Current trades
Today's P&L
Overall system
PROJECT MINERVA
● REAL MONEY
Equity Cash PnL DD
Hail Mary chat
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Past conversations
Ask anything about the bot — positions, recent trades, decisions, logs.
Regime
SPY
QQQ
Breadth
New trades
Reconciliation
Equity
Cash (available)
In positions
Unrealized P&L
PnL — Today
Total (equity − start)
Realized: Open:
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win open
SymbolSideEntryLast StopTargetQtyCash Used Unreal. PnLPnL %Conf.AgeFlags
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Sim wallet
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Locked margin
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P&L today
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Trades today
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target ~50/day
Open positions
SymbolSideLevCash/MarginEntryLastStopTargetP&LAgeFlags
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Recent closes
TimeSymbolSideLevCashP&LHeldReason
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Leverage lab (nightly counterfactual — €50 stake on every historical trade, with liquidation logic)
no lab data yet — runs after close
📖 How to read this chart — every line, marker and color explained
Lines & levels
━ EMA50 — average of the last 50 candles. Price above it = short-term uptrend.
━ EMA200 — the long-term trend line. Above = bull territory, below = bear.
┄ VWAP — today's volume-weighted average price; the market's "fair price" for the day.
┄ S·1h / S·1d — support: floors where buyers stepped in before (1-hour / 1-day; fainter line = daily).
┄ R·1h / R·1d — resistance: ceilings where sellers stepped in before.
╱ trend — straight line fitted through the last 30 candles, extended forward: the current drift.
▲ 68% / ▼ 55% (right edge) — the model's prediction: expected direction at the marked future time, with its confidence.
Trade & news markers
▲ our BUY entry · ▼ our SELL entry — the label shows side, leverage and the setup name that triggered it.
▲/▼ in grey-blue — SIM entry: learning book, levered, not real money.
● / ● — our exit: green circle = closed in profit, red = in loss; label shows P&L and the exit reason.
📰 square — a news event on that candle: green = bullish, red = bearish, grey = neutral. Click the candle to pop the headline up (full list under the chart).
Color language
green = up / bullish / profit · red = down / bearish / loss · amber = reference levels · silver = simulation · candles: green body = closed higher than it opened, red = lower.
Open position levels
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SymbolTypeSideEntryExitQty PnLPnL %ReasonClosed At
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DateRealized PnLCumulativeTradesWin Rate
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Health Checks
CheckDetail
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Jobs & Monitors
JobLast RunAgeStatus
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● green = ok/fresh · ● yellow = stale/warn · ● red = critical/missing · ● gray = idle (off-session)
Long Candidates
SymbolSignalScore ConfidenceRel. VolConfluenceUpdated
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Short Candidates
SymbolSignalScore ConfidenceRel. VolConfluenceUpdated
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TimeSymbolDirectionRegimeScore / ThresholdRoutingVeto / WarningAction
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Scenarios
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Win Rate
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Avg PnL
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Profit Factor
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Score Calibration
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Hold-out Accuracy
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By Trade Side
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By Regime
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By Symbol (top 5)
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Strongest Win Signals
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Strongest Loss Signals
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Recent Closed Scenarios
SymbolOutcomePnLScoreClosed
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HM Target — Hail Mary would enter here ATM Watch zone (±3%) Deep ITM / OTM
Calls Puts
HM DTE OI Vol Δ IV% Mid Ask Bid STRIKE Bid Ask Mid IV% Δ Vol OI DTE HM
Select a symbol
SymbolStrategyStrikeExpiryDTE ContractsEntry Prem.NotionalCurrent Prem.P&L $P&L%Opened
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SymbolStrategyStrikeEntryExit P&LP&L%ReasonDurationClosed
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Scalp Equity
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Daily P&L
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Weekly P&L
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Kill Switch
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Equity Floor Proximity
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Hard floor (75%) Soft lockout (85%) Current
Total Trades
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Win Rate
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Expectancy
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Avg Win
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Avg Loss
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Consec. Losses
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1m candles — auto-refreshes every 60s
Open Position: Entry: Stop: Target: R/R: Risk: $ RSI:
Last Signal Reasoning
SymbolSideTypeQtyEntryNowStop TargetUnrealizedMFETime LeftOpened
No open scalp positions
SymbolSideQtyEntryExit P&LR-MultipleReasonSlippageClosed
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Per-scan decisions — every symbol checked, every run
TimeSymbolActionSide EntryStopTargetR/RVol RatioStageReason
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Paper trading (Alpaca paper) — no real money. Auto-refreshes every 30s.