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SLVONUSD long — 10 Sep 2026 (stopped out)

This long on SLVONUSD entered at 60.7687 and stopped out at 60.11 after 2 hours, closing at -1.08%.

AssetSLVONUSD
Directionlong
Issued (UTC)2026-09-10 08:33
Entry60.7687
Stop-loss60.11
Take-profit 161.1955
Take-profit 2 (stretch)61.48
Reward:risk at entry1.08
Outcomestopped out
Close price60.11
Realized P&L-1.08%
Time open2 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 0/4 mixed/transitional (5m bear, 15m mixed, 1h/4h bull), 1h ADX 18.3 slope -0.66 (sub-trend, fading), ER_10 0.13 / ER_30 0.07 (path nets nowhere), choppiness 56.9 (neutral-to-choppy), Hurst 0.39 (mean-reverting), HMM calm conf 1.0 — a low-vol calm but genuinely choppy/transitional tape. 2. LEAN CHECK: mild long lean — higher-TF (1h/4h) EMA stacks are bull-aligned, taker_buy_sell 1h 0.79 skews sells but OI is accelerating_up with top-trader position ratio 1.99 (crowded long), XAG spot +0.53% and silver ETF +2.27% supportive; but 5m/15m have rolled bearish (RSI 26/33 oversold) and net_move_4h -0.69%. 3. DIRECTIONAL THESIS: the 4h bull stack (ADX 27, RSI 55) plus OI accelerating_up and silver-macro tailwind favor the long, and the 5m oversold pullback into a rising higher-TF structure is a dip-buy rather than a breakdown. 4. PRE-MORTEM: a clean break below the 5d low support (~59.4) with continuation would invalidate — the mean-reverting Hurst says a failed bounce flips to further downside. 5. LEVEL PLACEMENT: stop below recent structure at 60.11 (~1.08% risk, within the ~2.1% avg daily range); stretch target 61.48 (~1.17% reward, R:R ~1.09, inside clamps) at the 5d-high retest. 6. EXPECTATION: choppy tape with only a thin higher-TF lean and contradicting lower-TF momentum warrants modest p_tp1 and meaningful expire.

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