
Loading market layer


Loading market layer
A credible dashboard identifies the period, source, calculation method, data quality and whether a number is expected, simulated or confirmed.
Metric
01The visible cross-exchange price difference before any cost is applied.
Metric
02The expected result after fees, slippage, network costs, depth and execution overhead.
Metric
03The realized post-cost outcome after both order legs and settlement are reconciled.
Metric
04Time between final qualification, order submission and confirmed fills.
Metric
05The percentage of qualified paired orders completed as intended.
Metric
06Timeouts, partial fills, retries and corrective actions recorded by the execution engine.
Metric
07Age and integrity of the market data used for each decision.
Metric
08Difference between expected balances and reconciled treasury balances after execution.
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09Opportunities discarded because costs, depth, data quality or policy conditions were not satisfied.
Illustrative chart
Every signal should preserve the market snapshot, estimated costs, liquidity checks, policy result, routing events and final settlement record.
Prices, depth, funding, timestamps and venue status.
Fees, slippage, capital, latency and execution feasibility.
Submission, acknowledgements, fills, timeouts, retries and cancellations.
Final balances, costs, confirmed result and treasury update.