← all days · New York open for GC/CL/ES/NQ/ZN, London for 6E

The Breakout · 2026-06-29

Book net+0.61R+$828 / sizing ct
Record1W · 2L · 3T6 trades
Broke / traded5 / 5of 6 markets

On 2026-06-29, 5 of 6 opening ranges broke and the model took 6 trade(s) across 5 contract(s), for a net +0.61R (+$828 per one sizing contract each). Reached target: Crude. Broke but didn't pay (stopped or timed out): S&P, Nasdaq, 10Y, Euro. Backdrop: risk-on (indices above trend).

Across the book

ContractTrendWhat it didNet R$/ctOR
GC Gold▼ downheld its range$46.8
CL Crude▼ downlong(C) → loss · short → win+0.62R+$109$1.75
ES S&P▲ uplong → timeout+0.35R+$140$81
NQ Nasdaq▲ uplong → timeout+0.54R+$608$566.2
ZN 10Y▲ upshort(C) → timeout-0.14R-$16$0.1093
6E Euro▼ downshort → loss-0.75R-$13$0.0014

Re-derived from the bars under the live rules (1.0×OR target / 0.75×OR stop; counter-trend at half size). Idealized fills — real net is a touch lower. $ is per one sizing contract each. Times ET.

The Breakout · GC opening-range research. Historical and simulated results for educational purposes only — not financial advice.