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SLVONUSD long — 11 Aug 2026 (stopped out)

This long on SLVONUSD entered at 60.1413 and stopped out at 59.05 after 3.6 hours, closing at -1.81%.

AssetSLVONUSD
Directionlong
Issued (UTC)2026-08-11 01:53
Entry60.1413
Stop-loss59.05
Take-profit 160.8965
Take-profit 2 (stretch)61.4
Reward:risk at entry1.15
Outcomestopped out
Close price59.05
Realized P&L-1.81%
Time open3.6 hours

What the model saw at issue time

AI-generated analysis, written before the outcome was known. Quoted verbatim, never edited after the close.

1. REGIME READ: mtf_alignment full_bullish (4/4), all EMA stacks bull_aligned 5m/15m/1h/4h, 1h ADX 38.4 rising (slope +4.0), 4h ADX 50.1 very strong, choppiness 35.1 (trending), ER_10 0.71 clean, HMM calm conf 1.0 — a genuine, accelerating higher-TF uptrend confirmed by XAG spot +4.6%. 2. LEAN CHECK: evidence clearly favors LONG — trend-aligned structure plus positive momentum (net +0.87% 4h, +4.19% 12h, +4.51% 24h) and silver leg strength. 3. DIRECTIONAL THESIS: strongest cluster is HTF trend alignment (4/4 stack + ADX 38→50 both rising) reinforced by top-trader positioning long (pos ratio 1.92, account 2.23) and fresh silver spot breakout confirming the move. 4. PRE-MORTEM: 1h RSI 77.8 / 4h RSI 78.6 both overbought, price is AT 5d/20d/90d high (dist +0.000), z-score +1.92 stretched, and OI is bleeding (oi_change -3.8%, oi_momentum accelerating_down) — an exhaustion pullback off the high would invalidate. 5. LEVEL PLACEMENT: entry 60.1413; stop below near-term structure at 59.05 (~1.8% risk, roughly 1x the 24h ATR-derived range), stretch TP at 61.40 (~2.1% up), reward:risk ~1.16, inside clamps, reachable given avg 24h traversal 1.74% and p90 range 5.0%. 6. EXPECTATION: overbought/stretched-at-high with OI unwinding tempers upside; honest distribution below.

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