Rainwater

Tide / Run

Inside the record.

Tide at $60,000 and ten NQ contracts. Explore the forward record, compare the historical benchmark, and inspect every trade.

Current statusPublished research record

Tide / NQ futures

The complete account view.

TideNQ futures
Research account
Through Sep 4, 2026

Account value

$80,280

+$20,280 (+33.8%)

$60,000 opening10 NQ · fixed sizeNo compounding
Sep 4, 2026$80,280Closed balance
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Trade-close equity
Drag to pan · pinch to zoomCharts by TradingView ↗
Trades278 wins / 19 losses
Win rate29.6%All recorded trades
Profit factor1.28Net wins ÷ net losses
Closed drawdown−$27,48029.2% max. peak decline

Account basis. Simulated results from recorded strategy trades, scaled to $60,000 and 10 NQ. No broker orders executed. $6 per contract in round-trip commissions; no slippage or market impact. Methodology

Reading this record

The losses stay in.

The frozen strategy is scored after each completed session. This reviewed snapshot includes every official trade, including shortened-session trades. The chart updates when a new snapshot is published.

60 full regular sessions in the source cache. Two shortened sessions are retained. June 18 has missing regular-session data and appears as a gap.

Subtracts the selected number of points from every contract’s round trip. This sensitivity changes only displayed economics, never the strategy or recorded trades.

Average win $11,734Average loss −$3,873
June+$10,540Closed trades
July+$23,460Closed trades
August−$11,540Closed trades
September−$2,180Through Sep 4

The trade ledger

Every result. In order.

Newest first · 27 trades · 10 NQ eachTimes shown in New York
Sep 3, 2026Long 10 NQ−$4,060
Entry29,519.7512:18 PM ET
Exit29,499.7512:25 PM ET
Index points-20Before costs
Modeled costs$6010 contracts, round trip
Sep 3, 2026Long 10 NQ−$4,060
Entry29,315.0010:16 AM ET
Exit29,295.0010:34 AM ET
Index points-20Before costs
Modeled costs$6010 contracts, round trip
Sep 2, 2026Long 10 NQ+$5,940
Entry29,146.0011:09 AM ET
Exit29,176.0011:42 AM ET
Index points+30Before costs
Modeled costs$6010 contracts, round trip
Aug 24, 2026Long 10 NQ+$15,940
Entry29,070.5011:24 AM ET
Exit29,150.5011:37 AM ET
Index points+80Before costs
Modeled costs$6010 contracts, round trip
Aug 21, 2026Long 10 NQ−$4,060
Entry29,416.0012:39 PM ET
Exit29,396.0012:50 PM ET
Index points-20Before costs
Modeled costs$6010 contracts, round trip
Aug 21, 2026Long 10 NQ−$4,060
Entry29,354.2511:23 AM ET
Exit29,334.2511:24 AM ET
Index points-20Before costs
Modeled costs$6010 contracts, round trip
Aug 20, 2026Long 10 NQ−$4,060
Entry29,404.5011:01 AM ET
Exit29,384.5011:05 AM ET
Index points-20Before costs
Modeled costs$6010 contracts, round trip
Aug 12, 2026Long 10 NQ+$940
Entry29,921.7510:25 AM ET
Exit29,926.7510:28 AM ET
Index points+5Before costs
Modeled costs$6010 contracts, round trip
Aug 11, 2026Long 10 NQ−$4,060
Entry29,766.2510:34 AM ET
Exit29,746.2510:38 AM ET
Index points-20Before costs
Modeled costs$6010 contracts, round trip
Aug 11, 2026Long 10 NQ−$4,060
Entry29,761.2510:24 AM ET
Exit29,741.2510:31 AM ET
Index points-20Before costs
Modeled costs$6010 contracts, round trip
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Frozen v2.0-RC1 · through Sep 4, 2026Source SHA-256 a6808877904bcf38132fb902f3b5df759740bca79e48e26af8de284f0c12a16d

Balance and drawdown are recomputed from chronologically ordered trades. The chart connects recorded trade closes and carries the closed balance through flat periods. It does not measure open positions or price movements between fills. No deposits, withdrawals, compounding or margin liquidation are simulated. Fixed size is a comparison basis, not a sizing recommendation.

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Context belongs beside the curve.