Track recordUpdated 5 October 2026

Live track record

Every signal on EURUSD, Nasdaq and Gold, logged the day it appeared. We only publish the two sessions per asset that the indicator is built to trade, and we publish all of them, the winners and the losers.

How to read these numbers

EURUSD

+81.5R

LondonLondon Close

Filter

0.00PF

+2.9Ravg win

High R/R

0.00PF

+5.18Ravg win

Best weekJun 1 → Jun 7 · +34.7R

Best dayMay 13 · +24R

Nasdaq

+132.01R

London LunchNY Open

Filter

0.00PF

+3.7Ravg win

High R/R

0.00PF

+5.05Ravg win

Best weekJul 6 → Jul 12 · +33.2R

Best dayApr 16 · +12R

Gold

+72.5R

NY OpenLondon Lunch

Filter

0.00PF

+2.87Ravg win

High R/R

0.00PF

+5.22Ravg win

Best weekJul 20 → Jul 26 · +25.8R

Best dayJun 10 · +14R

The three as one book

Net R

+0.0R

Profit factor

0.00

Avg R per win

+0.00R

Each asset trades its two active sessions and opens on the strategy with the higher profit factor there, a mechanical rule, re-derived every week with the new data. Switch a card and these numbers and the calendar follow. Historical record, gross of commissions and spread. Past performance does not guarantee future results.

October 2026

+7.0R · 1 day traded

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Asset

Strategy

Volatile sessions favour High R/R; quieter sessions suit Quality filter.

Direction

Sessions

Sessions in italic are EURUSD-only

·

Date range

Result

Nasdaq · London + NY Open · Long + Short · Filter

Profit factor

1.82

Total R

+95.0R

Win rate

34%

Equity curve

Cumulative R · 175 trades

Daily performance

October 2026

+8.0R · 1 day traded

Recommended setups

Best combo per asset · tap a card to load it into the calculator.

Watch it live

Backtest sessions on YouTube

Every three weeks we record a backtest of the indicator broken down by strategy. Watch how the setups develop, period by period.

Ranking

Top performing combinations

The strongest setups detected so far. Positions #1 and #2 are reserved for subscribers.

#3

EURUSD

London

Long

Filter3R fixed

2.88

PF

#4

Gold

London Lunch

Long

Filter3R fixed

2.75

PF

#5

Nasdaq

NY Open

Short

Filter4R fixed

2.71

PF

Reading guide

How to read these numbers

Quick reference for every metric on this page. Past performance does not guarantee future results.

Back to stats
What profit factor means here

How many dollars are won for every dollar lost

Reading guide for every PF on this page. Past performance does not guarantee future results.

  • < 1.0
    Not profitable
    Loses over time. Around 95% of retail strategies on the market end up here.
  • 1.0–1.3
    Marginally profitable
    Edge is real but thin. Easy to give back to costs and noise.
  • 1.3–1.5
    Strong
    Reliable edge with healthy room above breakeven.
  • 1.5–2.0
    Professional-grade
    The band most prop desks aim for. Difficult to sustain.
  • > 2.0
    Exceptional
    Rare. Where PRIMETAPE's tracked combinations live.
R
Risk units

1R is the amount risked on a trade. A +3R win pays three times the risked unit; a −1R loss takes one. R normalises results across accounts of any size.

Sessions
Market hours

Currency, index and gold markets behave differently across the day. London brings volume to EURUSD; New York wakes up indices. More volatility tends to lift High R/R; quieter blocks reward Quality filter's precision.

Profit factor
PF

Gross winnings divided by gross losses. Above 1.0 makes money over time. The table here shows what each band typically means; every PF on this page is computed from the public signal log.

Methodology

How we track and report

Real signals. Logged the day they appear. No selection bias. Top combinations #1 and #2 are reserved for subscribers.

Every signal logged the day it appears

Wins, losses and BE outcomes recorded with R value

Filter and High R/R evaluated in parallel

No retroactive removal of signals

Past performance does not guarantee future results. PRIMETAPE provides analytical tools only. We do not manage capital and do not provide financial advice.

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Backed by live data across 3 assets. PF: EURUSD 2.13 · Nasdaq 2.53 · Gold 2.51