freefloat
connecting to the feed

Analysis

the same slice, cut eight ways

Definitions

what each number means
Booked P&L
ETH realised on a closed trade, as the runner recorded it at close. This site never recomputes it; totals here are sums of the feed’s values.
Return
P&L over position size, for one trade.
ROI on deployed
Total P&L over total size across the slice. Size-weighted, so big positions count more than small ones.
Win rate
Share of closed trades with a positive return. A win of 0.1% and a loss of 60% both count once.
Entry bond
How full the bonding curve was at our buy, as a share of the graduation threshold.
Signal bond
Curve fill at the moment the token first met the buy rule.
Paid vs signal
Our entry price over the price at the signal moment. Above 1× is the latency tax.
Room on curve
Price at graduation over our entry price: the multiple left on the curve when we bought.
Peak on curve
Highest curve price during the hold, over entry.
Pool peak
Highest pool price within 30 minutes of graduation, over entry.
Graduated
The token filled its curve and moved to a pool. “In hold” means it happened before we closed.
Exit
The rule that closed the position: graduated, timeout, pool sell at 60 s, graduation dump (an old rule), stuck then rescued, or no log where the close was booked without an exit reason.
Curve leg
A part of the position kept on the curve after a partial sell.
Smart wallets
Tagged wallets that bought in the hour before our entry, with their USD total and the largest single buy.
Creator tax
The token’s creator tax at entry.
Rule phase
Which version of the entry and exit rule was live. The rule changes in the open and the phase label travels with each trade.
1 Sep runs
Trades from 1 Sep 2026 were booked by a wallet-delta method that is wrong when positions overlap. They stay on the record, flagged, and are out of the headline numbers unless you include them.
Booked
How the close was recorded by the runner.