WEBVTT

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Let's give each part of the workspace a job. You do not

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need to memorize every number. Learn the question each area answers, and

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you will know where to look when you need it.

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Start with the balance area. This helps answer, what cash is shown

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in this workspace? Read its labels carefully. Tradable refers to cash available

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for trading within the displayed context. Locked identifies the profit reserve in

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this balance display. It does not simply mean every asset you own,

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and it is not a general label for every possible exchange restriction.

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Reserve controls change how cash is handled, so we will leave them

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alone during the tour.

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Now find Portfolio. Its question is, what positions or holdings am I

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looking at, and how are they doing? A position is an amount

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held in an asset. Depending on the view, you may see its

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quantity, value, strategy information, and profit or loss. Profit or loss describes

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a gain or decline for the measurement shown. A changing value on

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an open position is not the same as cash from a completed

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sale.

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Summary cards provide a wider view. Read the measurement and its time

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period together. Value, fees, and return percentages answer different questions. A label

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such as last twenty-four hours sets a time window. Potential cash from

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closing holdings is an estimate, not a promise that all those holdings

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can be sold instantly for that exact amount. Do not add every

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card together as though each one were separate money.

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Coin Universe answers, which markets can I explore in this view? It

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is a market list, not a list of everything you own. Strategy

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Eligible Candidates has a different purpose: it shows candidates surfaced by the

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strategy system. A candidate is not proof that an order has been

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placed, and appearing in a list is not a promise of a

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good outcome.

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Exit alerts help draw attention to positions approaching the exit conditions being

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tracked. An alert is information to review. It is not a receipt

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for a completed sale. Recent fills, where available, show recent executions. A

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fill means an order has actually executed for some amount. An order

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can have more than one fill, so a single entry does not

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always describe the complete order.

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Transactions gives you a place to investigate recorded activity beyond the brief

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recent view. Keep the account, mode, filters, and time period consistent when

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comparing screens. Two views can look different because they are answering different

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questions.

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For your check, choose three questions: What cash is shown? What do

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I hold? Which markets can I explore? Point to the area that

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answers each one. If your account has no holdings or recent fills,

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explain the area's purpose anyway. You do not need to create trading

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activity to learn the map.
