Gold, NAS100, GER40. Enter tickers exactly as your broker shows them โ the R-framework does the rest.
Stop: 2,291.40 ยท Distance: 24 pts
Good โ statistically tradable
A 50:1 leveraged Gold trade doesn't care about your conviction โ it only cares about where your stop is. An oversized XAUUSD position in a volatile session can wipe 10% of a funded account before the London close. R-Multiple tracking forces you to define risk before every entry and hold it there.
SQN scoring tells you whether your NAS100 breakout strategy has a statistically real edge or whether you've been riding momentum in a trending month. Kelly Criterion sizes your lots from your own win rate and average R โ not a generic "1% rule" that ignores your actual edge ratio.
Most journals were built for equities. CFD traders get an afterthought โ a text field that quietly breaks when you enter XAUUSD or NAS100. SignalDeck treats CFD instruments as first-class citizens. Enter the ticker exactly as your broker displays it and the platform routes to the correct live price feed automatically.
Gold maps to Polygon's forex endpoint. NAS100 maps to the NDX index feed. GER40, US500, US30 โ all handled internally. You never need to know which data source powers which instrument.
CFD instruments have distinct mechanics โ leverage, contract sizes, and live price monitoring requirements that a stock journal simply can't handle. We built a native layer for each.
XAUUSD and XAGUSD are tracked natively with live price feeds. Log entries at your broker's price, monitor stops in real time, and review your metals edge in isolation.
NAS100, US500, US30, GER40 and other common index tickers work out of the box. No configuration โ the platform maps each to the correct data feed automatically.
Open CFD positions are monitored in real time. When price approaches your stop, SignalDeck flags it. When it hits, the trade auto-closes with the correct exit data populated.
R-Multiple normalizes everything to risk. A 0.5-lot XAUUSD win and a 0.1-lot NAS100 win are directly comparable when both are measured against the risk you defined. No P&L noise โ just edge.
Markets rotate. A Gold momentum strategy that printed in Q1 may deteriorate in Q2. SignalDeck tracks rolling expectancy and win rate velocity so you see regime changes before your account does.
Every CFD trade gets the same structured 5-step diagnostic as any other instrument. Good win or lucky win? Good loss or broken rules? The instrument changes โ the discipline framework doesn't.
You trade Gold, indices, or metals CFDs โ and you're tired of journals that weren't built for your instruments.
You're on a prop firm challenge or funded account and need a framework that keeps your risk disciplined, not just tracked after the fact.
You know your broker's tickers โ XAUUSD, NAS100, GER40 โ and you want a journal that accepts them as-is, routes the data correctly, and gets out of your way so you can focus on your edge.