Your phone workspace
Markets starts with perpetual pairs and Sentinel only off. If filters hide every pair, tap Show perpetual pairs. Trade includes a small preview of the selected chart; Open chart returns to the full chart. The current price sits on the right price scale.
Portfolio starts with wallet basics and compact open positions. Tap Details or Wallet details for a sheet; tap again to close. Orders, functions and extra sections start collapsed. History opens the Activity Hub. Changing tabs closes detail sheets.
Markets chooses a pair. Trade opens order entry and your account controls. Portfolio shows positions and orders. In More, search for research, history or settings. Tap Tools at the top for Connect, connection status and chart controls; Done returns to your tools list.
Panels stay on this screen. Use the back button at the top to close a research panel, or its own close button. Aa enlarges text while the phone layout stays within the screen. Trading locks, confirmations and risk settings work as before.
VOODOO = free, computed locally
SENTINEL = paid alpha from the hub
Observed = really happened
Estimated = modeled / at-risk
How the toolbar is tiered
IndicatorsOn a desktop the indicators live in trays that pop down from the top bar, so the charts get the full height. Indicators ▾ opens every VOODOO pill, grouped by kind, with the VOODOO master first; the badge counts how many are on. Sentinel ▾, next to the connection status, opens the SENTINEL master, the history depth and every Sentinel pill. Toggling a pill keeps the tray open; click outside it or press Escape to close. On a phone the pills stay on the IND strip and its drawer.
VoodooFree. Computed on your machine from the candles + the live Hyperliquid feed. The VOODOO master pill toggles and greys the whole purple group at once; each pill's on/off state is saved.
SentinelPaid alpha streamed from SentinelHub over a websocket. The SENTINEL master toggles the whole cyan group; when it's off, those pills grey out. Needs the hub connected.
12h–1MThe lookback dropdown next to SENTINEL (in the Sentinel tray on a desktop) sets how far back every H· (historical) overlay and the CVD history seeds reach: 12h, 24h, 48h, 72h, 1w, 2w, 1M. Re-applied on pair change and auto-refreshed every 5 min.
Chart controls
PAIRTop-left of each chart — click to switch the symbol.
TFTimeframe picker for that chart.
ActiveMarks which chart the single-instance Sentinel overlays (Lens, depth grid, telemetry) attach to. In multi-chart layouts only the ACTIVE chart drives them.
1 / 2 / 4Grid layout — one, two, or four charts at once. On a desktop it is in View ▾ at the far right of the top bar, with chart Sync (⇄ TF, ⇄ POS), Text size (Aa− / Aa+). The aggr.trade tape button is in the footer.
Theme & textThe moon button in the top bar switches between the dark theme and the cream light theme. Both use one shared set of text colours tuned to read clearly: key figures are brightest, secondary labels a lighter grey, and no text is smaller than 11px at 1.0× (Aa+ in View ▾ only makes it bigger). Labels read in title or sentence case instead of capitals; short codes such as TP, SL, BE, PnL and coin tickers stay in capitals. Bright cyan and magenta are kept for chart lines and large figures; small coloured text uses calmer shades that stay readable in both themes.
ScannerThe pairs panel overlays the chart (it floats on top rather than pushing charts aside).
VOODOO indicators (free)
HAHeikin-Ashi — smoothed candles that mute noise and make trend runs obvious.
PROFOrder-flow volume profile on a right-side rail — bid/ask volume concentration by price + a POC (point-of-control) line.
TRANSMakes candle bodies 90% translucent so you can see overlays drawn beneath them.
EMAsFast EMAs (9 / 21) for short-term momentum.
200The 200 EMA — primary trend reference.
200+50's200 & 50 SMA/EMA with ±1/2/3σ standard-deviation bands and Golden/Death-cross markers.
+dailyLocks the 200+50's set to the daily timeframe regardless of the chart TF.
FibFibonacci retracement levels off the recent swing.
DailyToday's and the previous day's open/high/low/close levels.
SessionsAsia / London / New York session shading.
KillzonesICT killzones — the tighter high-volatility windows inside each session.
VWAPVolume-weighted average price for the session.
DOMLive order-book depth heatmap (Hyperliquid L2 book) — resting bid/ask size by price.
OI PivotLocal cumulative open-interest by price on a left rail (default off). Sentinel's H·OI supersedes it for paid users.
LIQEstimated leverage liquidation zones derived locally from price. A free preview of the paid LIQ Heat.
OI FlushFlags open-interest flush / unwind events using a volatility-adaptive anchor (rapid OI drop = positions getting closed out).
StochStochastic oscillator — overbought / oversold momentum.
FVGFair Value Gaps — price imbalances (unfilled gaps) that often get revisited.
LCAILiquidation Cascade Risk Index — market-wide cascade risk across all perps, 0 (calm) → 100 (extreme). Also shown as the top ribbon; on a desktop narrower than 1600px the ribbon is a short needle strip (hover it for the scale), and the macro zone's BTC.D figure moves into its tooltip.
OBRVOrder-Book Replenishment Velocity — how fast bids/asks refill after being hit. High buy-side replenishment = absorption/conviction under price, and vice versa.
OIRCOI Reflexivity Coils — flags when OI velocity and price range compress together (a coil), z-score based; energy building for a move. H·OIRC is the historical version.
CABACross-Asset Basis Horizon Arbitrage — mark-vs-index/oracle basis deviation (premium/discount), shown as a zero-centered bar in the info panel.
LLBLiquidation bands — leverage liquidation levels. Prefers Sentinel llb.bands when connected, falls back to a local estimate.
SLCStop-Loss / Liquidation Clusters — estimated price levels where stops & liquidations bunch up, from candle + volume + leverage-tier math. Brighter = denser cluster (a magnet level).
Trend TblMulti-timeframe trend table overlay (bottom-left of the chart).
AbsorbEstimated, free. Flags one-sided tape bursts that didn't move price the way that much aggressive flow normally does for this coin right now — a sign the other side is quietly absorbing it. Zone freezes once resolved and never repaints; fully automatic (no settings — every threshold is ranked against this coin's own recent tape).
SENTINEL indicators (paid)
H·OIHistorical OI profile with POC / VAH / VAL. Each bar splits long (cyan) vs short (magenta); the minority side is dimmed to 50% so the dominant side reads clearly. Drag its right edge to widen.
SpoofLive spoof / iceberg order markers from the hub's microstructure engine (large orders flashed then pulled).
H·SpoofHistorical spoof events over the lookback window.
H·OIRCHistorical OI Reflexivity coil spans.
H·LLBHistorical liquidation-band trail — how the bands migrated over time.
Retail TrapsObserved clusters of small retail liquidations (<$5k) marking where longs/shorts got washed out. Sweep markers fire when price returns to a trap zone.
Retail DistressStanding leveraged positions currently underwater — trapped longs below price (cyan) / trapped shorts above (magenta), from LLB bands. Brighter & nearer price = more fuel for the next forced move.
LensPressureLens — a depth/microstructure heat grid behind price showing where book pressure and liquidity concentrate over time.
CVD-FCumulative Volume Delta, futures — per-candle microCVD from the hub. Net aggressive buying vs selling on perps.
CVD-SCumulative Volume Delta, spot — per-minute true spot CVD (candle-derived Williams proxy if the hub lacks spot for that coin). Compare CVD-F vs CVD-S by shape & divergence, not magnitude.
OI⫶Open-interest line drawn in the CVD band, tracking the closing OI value per candle.
GEXOptions gamma-exposure walls: Call Wall (heavy resistance, cyan), Put Wall (heavy support, magenta), Zero-Gamma flip (gold). Drawn as rays from where each level first formed; faint stepped lines show their history.
DailySession daily levels — VWAP, vPOC (red), session open, previous-day levels, naked POCs.
LIQ MapObserved liquidations, cumulative this UTC day (Binance/Bybit/OKX): red/orange bars = longs liquidated, purple = shorts. Resets at 00:00 UTC. What already got liquidated.
LIQ HeatEstimated leverage-cluster density behind the candles (purple = low → orange/yellow = high). Longs cluster below spot, shorts above. Where liquidations are at risk ahead.
TRAP⚡Observed live trap events: small forced retail liquidations (▲/▼ — red = longs flushed, cyan = shorts) and trapped-trader bad fills (▮). Point-in-time markers that fade over ~30 min; hover for detail.
The liquidation & trap family — what's the difference?
Lots of pills touch liquidations. The key split is Observed (events that really happened) vs Estimated (a model of where positions & risk sit). Free pills are always local estimates; paid pills add real observed CEX data.
LIQ / SLCEstimated, free. Local guesses of liquidation/stop levels from price & volume. Good for a quick read with no hub.
LLB / H·LLBEstimated. Sentinel liquidation bands — live levels and their historical trail.
LIQ HeatEstimated, paid. Density of leverage clusters at risk ahead — the forward-looking map.
Retail DistressEstimated, paid. The subset of standing OI that's currently underwater — fuel for the next squeeze.
LIQ MapObserved, paid. Real CEX liquidations that already printed today. The backward-looking record.
Retail TrapsObserved, paid. Where small retail got liquidated, as zones + return sweeps.
TRAP⚡Observed, paid. The individual trap events as they fire, in real time.
Rule of thumb: LIQ HEAT / RETAIL DISTRESS / LLB tell you where trouble is building; LIQ MAP / Retail Traps / TRAP⚡ tell you what already blew up.
Data feeds & the Sentinel price streams
Live priceHyperliquid websocket — mark price, candles, L2 order book, and your account (positions/orders via webData2). Drives everything in the VOODOO tier.
Mark vs IndexMark = the perp's traded price; Index/Oracle = the underlying reference. Their gap is the basis (premium/discount) — see CABA.
SentinelHubA separate paid service that streams microstructure analytics over websocket (spoofs, CVD, OI, GEX, daily levels, liq map/heat, trap signals) and serves the H· history endpoints.
CEX liq feedObserved Binance/Bybit/OKX liquidations — event-driven (a quiet coin may be blank until its next liquidation), cumulative, resets 00:00 UTC. Powers LIQ Map. Distinct from the HL-estimated LIQ Heat.
Order execution — the right panel
The trading panel on the right margin. Sizing, stop/target, and the buttons that actually send orders.
QuantityCoin size to trade. The slider sets 0–100% of free buying power (committed margin excluded). The Max label shows $ BP with positions open or Nx leverage when flat — click it to fill 100%. The Cost label is the live dollar cost at mark.
SL % / TP %Stop-loss and take-profit distance from entry. Drive the auto-grouped SL/TP attached to orders and the on-chart projection lines (drag a line to adjust; its mirror moves to hold the R:R).
Risk %% of account equity to risk. Auto-sizes the quantity so a stop-out = that loss. SL %, Risk %, and Quantity are bi-directional — edit one, the others recompute. The risk $ shows next to the SL % label.
R:RRead-only reward:risk = TP% ÷ SL%. Tinted by quality: magenta <1, neutral 1–2.23, cyan >2.23.
0.1×…10×RR multiplier buttons — scale SL% and TP% together (SL capped 100%, TP capped 500%).
Max SlipMax slippage % tolerated on market/IOC orders (worst-price guard).
Limit L/SType a price in Enter Price…, then Limit Long / Limit Short. SL/TP distances measure from the limit price, not the live mark.
Smash L/SImmediate market buy at best ask / sell at best bid (IOC + slippage buffer). New position → SL/TP grouped at SL%/TP% from mark. Adding to a same-side position → 1.2 s later it auto-moves SL to fee-adjusted break-even for the full size.
Fade ExtremeShort High = limit short at the local chart high; Long Low = limit long at the local low. TP at current mark, SL sized by the R:R.
LeverageThe leverage picker — custom input or preset grid, plus a Cross / Isolated margin toggle. ✓ Set to apply for the coin.
Order macros, hotkeys & locks
Faster entries and the safety switches that gate them. Hotkeys only fire when Hotkeys is on (off by default).
PassiveRest a Long at best bid / Short at best ask (⇧F / ⇧J).
AggressiveLift the offer (Long) / hit the bid (Short) — cross the spread now (⇧G / ⇧H).
Degen 3×3× aggressive market entry (⇧V / ⇧N). Blocked while DEGEN 🔒 is on.
DoubleDouble the current Long / Short (⇧D / ⇧K). Recancels & replaces TP+SL sized for the doubled position.
Trim 33%Market-close 33% of the Long / Short (Alt+F / Alt+J).
Cancel allCancel every open order (⇧C, or double-tap ESC / Shift+C).
LockedTrading Locked — blocks all order execution (red pill in the exec header). Auto-checked by the circuit breaker. On at every page load. Break-even lines and the autopilot's timed exits wait while it is on and act once you unlock; webhooks never run under it.
BE LineRight-click the chart to arm a line that moves your stop to break-even when price crosses it. It fires only after the page has seen price on the near side first, so a line already past price after a reload (or armed past price) turns amber, PASSED and does nothing by itself; your stop is unchanged. Press B/E on the position to apply it.
Armed LinesProtect SL, Scale-In, Avg-In, Pyramid and Trail Ladder lines follow the same rule as the BE line: each fires only after the page has seen price on its untriggered side first (Protect SL, Pyramid and Trail Ladder: below the line for a long, above it for a short; Scale-In and Avg-In: above it for a long, below it for a short). A line whose level was crossed while the page was closed, or that was armed or dragged past price, turns amber, PASSED, NOT APPLIED and places nothing by itself. Apply it deliberately: Protect SL or Trail Ladder for those two, or place the add by hand for Scale-In, Avg-In and Pyramid. If price comes back to the untriggered side the line re-arms normally; removing it clears the mark. Moving a line (drag it, or type a price in the armed chip), BE included, makes it unseen again: at its new level, or back at its old one, it must see price on its untriggered side there before it can fire, and it shows PASSED if price is already past it. A moved line can go anywhere, even past the price it was armed at: once price is seen on its untriggered side at the new level, the next cross fires it once.
DEGEN 🔒Blocks only the 3× DEGEN macros; everything else still works.
HotkeysMaster enable for all keyboard + OS hotkeys. Off by default; while off the /hotkey poll is stopped entirely and only on-screen buttons act. Persists in localStorage.
Active positions & open orders
The bottom panel. Per-position controls (right→left of each row) and grouped order cancels.
Risk on/offInclude or exclude this position from the risk engine (Risk Active / Excluded).
GLB/SCP/BAL/SWGPer-coin trailing-stop mode: Global (none), Scalp 0.5%, Balanced 1.5%, Swing 4.0%. Fires independently of the master toggle.
10% / 33%Market-close 10% / 33% of the position.
Ord✕Cancel all open orders for this coin.
BEMove stop-loss to the fee-adjusted break-even price (fetches real fills to compute exact fee cost).
FlexOpen the PnL-share card (takes a 10% flex fee via a partial close when in profit).
CloseMarket-close the entire position. Lmt Close = qty + price for a specific limit close, with live theoretical PnL%.
TP/SL ✎Inline TP/SL prices with PnL-at-level; click ✎ to edit in place.
Open ordersGrouped Pair → Side → order. ✕ by the pair cancels all its orders; ✕ by SELL/BUY cancels that side.
Risk engine — daily guardrails
The portfolio guardrail. Runs every poll; the master toggle gates all automatic closes (bars still update when off).
Risk MgmtMaster enable/disable of all enforcement (Wallet panel). Default OFF on every fresh load. When off, nothing auto-closes.
TICK / EODTrailing-drawdown baseline, just right of the toggle. TICK (cyan, default) trails the intraday high-water mark; EOD (amber) uses the start-of-day equity. Persists across sessions.
Daily Goal %Target return vs start-of-day equity (default 10%). The Gain bar tracks progress; a cyan marker at 75% is the exit zone (a goal-price line is drawn on the chart there).
Max Loss %Max permitted daily loss vs start-of-day equity (default 8.80%). The Loss bar goes amber at 50%, red & pulsing at 75% of the floor.
Circuit breakerFires at 60% of the max-loss dollar amount below the midnight balance (a buffer before full max loss). Logs it, locks trading, cancels all orders, then flattens everything. Resets 00:00 UTC; ↺ Retry PURGE re-runs if the network dropped.
Risk engine — profit lock & volatility scaling
Profit Lock 🔒Arms once goal progress hits 100%. A dynamic floor sits below peak session equity and only ratchets up — never down. If equity falls to it, the breach flattens everything (same sequence as the circuit breaker). The Loss bar relabels to PROFIT LOCK.
SCALP/BAL/SWINGTrailing buffer below peak: Scalp 1.5%, Balanced 3.0%, Swing 5.0% (equity drawdown, not price). Click a profile to make it active; edit its box to change its buffer (editing an inactive profile won't move your live floor).
AVSAdaptive Volatility Scaling — blends BTC 1h ATR (70%) + Deribit DVOL (30%) to widen the goal and tighten the loss budget in high vol. Macro panic regimes (flight-to-safety / total-purge) cap the loss multiplier at 1.0× while keeping goals wide.
Risk engine — position stops & emergency
Per-position trailing stops and the manual safety buttons. Position modes fire even when the master toggle is off.
Trail stopPer-coin GLB/SCP/BAL/SWG mode trails peak (long) / valley (short) by 0.5 / 1.5 / 4.0%. Cross it → that coin closes. With the master toggle on, the active trail draws as a dotted orange line on the chart.
BEBreak-even — moves SL to entry + fees (fee-adjusted, FIFO-matched from real fills). Auto-fires ~1.2 s after Smash adds, scale-ins, tier orders, and Double.
🛡️ Protect SLStaggered stop ladder: 50% at half the current distance, 30% at 80% retrace, 20% at break-even.
⚡ Trail Ladder50/30/20 trailing split with per-leg thresholds (0.5× / 1.0× / 1.5× SL%). Works across charts; press again to restart (Ctrl+Space).
🆘 Flatten AllHold 300 ms to market-close every position and cancel every order.
Auto-closeWhat can close you automatically: static circuit breaker & trailing-floor breach (all positions), position trail mode (that coin), Trail Ladder legs (partial 50/30/20), and the emergency purge loop.
Side panels
Activity HubYour trade history, fills, and account activity.
PerformancePnL calendar / performance breakdown over time.
HalpThis guide. Reopen it any time from the button under Performance.
My settings: back up, move, start blank
ExportRight panel, settings sections, My settings (right after Sign-in). Downloads one file, degentrade-settings-date-time.json, with every setting this browser holds: layout, indicators, risk numbers, caps, armed lines, the hub address and your account address. Never the agent key, sign-in, webhook token, hub key or Telegram bot token. If any value looks like key material the export is refused and names it.
ImportChoose a file. It is checked (format, version, every key, no key material); anything wrong refuses the whole file. Before Sure? the confirm lists, one per line, every risk limit the file would change with the old and new value (daily max loss and goal, risk per trade, the profit-lock trail mode, buffers and profile, the order and position caps, the revenge, tilt, exhaustion and coin guards, adaptive volatility scaling and the strategy lab size %). Then press Sure? to replace those settings and reload, or Cancel. It waits for you (up to 5 minutes), so take the time to read it. Settings not in the file stay as they are. Hotkeys stay off after an import, whatever the file says: switch them on by hand with Hotkeys if you want them.
Never importedExport lists these for reference, but an import skips them: armed lines (BE, Protect SL, Scale-In, Avg-In, Pyramid, Trail Ladder; re-arm them by hand), where secrets and alerts go (the hub host and ports, the Telegram chat: set those here by hand), the network (the page stays on the one it is on), your account address, the vault address and the hedge and strategy sub-accounts (their addresses and on/off switches: a file can never point this page at another account; the rest of the account record, such as the sub-account labels, is imported), the order route, copy trading (who you follow, the mode and the multiplier), the first-run marker and the disclaimer acceptance.
Start blankClose any other DegenTrade tabs first: they can write settings back. Press twice (Sure?). Removes every setting and armed line from this browser and reloads. Kept: sign-in and the key vault (both on the backend), the hub key, the Telegram bot token, the fill ledger and today's risk-engine record, so it can never reset the daily loss floor.
AfterThe Trading Lock is on after every reload. Voice, hotkeys and scripts cannot import or start blank: only a real press counts.