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      "actionTaken": "hold_closed_positions",
      "executedAt": "2026-09-23T00:28:50Z",
      "settled": false,
      "pnl": 0,
      "outcome4h": "win",
      "movePct4h": 0.1288
    },
    {
      "executionId": "2c7bd53a-b6e5-11f1-b006-3a81c7c97049",
      "committeeName": "Sonnet Solo",
      "symbol": "BTCUSD",
      "decision": "HOLD",
      "confidence": 100,
      "actionTaken": "hold_closed_positions",
      "executedAt": "2026-09-23T00:24:43Z",
      "settled": false,
      "pnl": 0,
      "outcome4h": "loss",
      "movePct4h": 0.8114
    },
    {
      "executionId": "a2b1be0b-b6e4-11f1-b006-3a81c7c97049",
      "committeeName": "Drift",
      "symbol": "BTCUSD",
      "decision": "HOLD",
      "confidence": 100,
      "actionTaken": "hold_closed_positions",
      "executedAt": "2026-09-23T00:20:52Z",
      "settled": false,
      "pnl": 0,
      "outcome4h": "flat",
      "movePct4h": 0.454
    },
    {
      "executionId": "32a921cf-b6e4-11f1-b006-3a81c7c97049",
      "committeeName": "Volt",
      "symbol": "BTCUSD",
      "decision": "BUY",
      "confidence": 66,
      "actionTaken": "opened_position",
      "executedAt": "2026-09-23T00:17:44Z",
      "settled": true,
      "pnl": -65.7732,
      "outcome4h": "win",
      "movePct4h": 0.454
    },
    {
      "executionId": "7f3cf5a4-b6e3-11f1-b006-3a81c7c97049",
      "committeeName": "GPT Solo",
      "symbol": "GOLD",
      "decision": "HOLD",
      "confidence": 100,
      "actionTaken": "hold_closed_positions",
      "executedAt": "2026-09-23T00:12:43Z",
      "settled": false,
      "pnl": 0,
      "outcome4h": "win",
      "movePct4h": -0.2673
    },
    {
      "executionId": "f844ca29-b6e2-11f1-b006-3a81c7c97049",
      "committeeName": "Bastion",
      "symbol": "GOLD",
      "decision": "BUY",
      "confidence": 100,
      "actionTaken": "opened_position",
      "executedAt": "2026-09-23T00:08:56Z",
      "settled": true,
      "pnl": -123.6544,
      "outcome4h": "loss",
      "movePct4h": -0.2928
    },
    {
      "executionId": "66a0d7f0-b6e2-11f1-b006-3a81c7c97049",
      "committeeName": "Keel",
      "symbol": "GOLD",
      "decision": "HOLD",
      "confidence": 100,
      "actionTaken": "hold_closed_positions",
      "executedAt": "2026-09-23T00:04:52Z",
      "settled": false,
      "pnl": 0,
      "outcome4h": "win",
      "movePct4h": -0.2974
    },
    {
      "executionId": "04522454-b6e2-11f1-b006-3a81c7c97049",
      "committeeName": "Blaze",
      "symbol": "GOLD",
      "decision": "BUY",
      "confidence": 100,
      "actionTaken": "opened_position",
      "executedAt": "2026-09-23T00:02:07Z",
      "settled": true,
      "pnl": -139.9482,
      "outcome4h": "loss",
      "movePct4h": -0.2974
    }
  ],
  "openPositions": [
    {
      "committeeName": "Fable Solo",
      "symbol": "GOLD",
      "direction": "SELL",
      "size": 4.4942,
      "entryPrice": 4285.3,
      "stopLoss": 4325,
      "takeProfit": 4200,
      "profitLoss": 0,
      "openedAt": "2026-09-23T17:01:19Z"
    },
    {
      "committeeName": "Ballast",
      "symbol": "OIL_BRENT",
      "direction": "SELL",
      "size": 123.3846,
      "entryPrice": 99.34,
      "stopLoss": 101.5,
      "takeProfit": 95.8,
      "profitLoss": 10.4805,
      "openedAt": "2026-09-23T16:53:02Z"
    },
    {
      "committeeName": "Crude Nerve",
      "symbol": "OIL_BRENT",
      "direction": "BUY",
      "size": 41.8398,
      "entryPrice": 99.5,
      "stopLoss": 96,
      "takeProfit": 104,
      "profitLoss": -7.2314,
      "openedAt": "2026-09-23T16:49:05Z"
    },
    {
      "committeeName": "Meridian",
      "symbol": "EURUSD",
      "direction": "SELL",
      "size": 44039.0235,
      "entryPrice": 1.1395,
      "stopLoss": 1.143,
      "takeProfit": 1.132,
      "profitLoss": 34.76,
      "openedAt": "2026-09-23T16:45:08Z"
    },
    {
      "committeeName": "Grok Solo",
      "symbol": "US500",
      "direction": "BUY",
      "size": 1.3949,
      "entryPrice": 7714.3,
      "stopLoss": 7650,
      "takeProfit": 7800,
      "profitLoss": -13.344,
      "openedAt": "2026-09-23T16:36:53Z"
    },
    {
      "committeeName": "Sonnet Solo",
      "symbol": "BTCUSD",
      "direction": "BUY",
      "size": 0.102,
      "entryPrice": 84300,
      "stopLoss": 82500,
      "takeProfit": 87500,
      "profitLoss": -24.3525,
      "openedAt": "2026-09-23T16:24:50Z"
    },
    {
      "committeeName": "Volt",
      "symbol": "BTCUSD",
      "direction": "SELL",
      "size": 0.0512,
      "entryPrice": 84300,
      "stopLoss": 86000,
      "takeProfit": 81500,
      "profitLoss": 11.6992,
      "openedAt": "2026-09-23T16:17:00Z"
    },
    {
      "committeeName": "GPT Solo",
      "symbol": "GOLD",
      "direction": "BUY",
      "size": 4.4866,
      "entryPrice": 4285,
      "stopLoss": 4265,
      "takeProfit": 4320,
      "profitLoss": 3.0016,
      "openedAt": "2026-09-23T16:12:49Z"
    },
    {
      "committeeName": "Bastion",
      "symbol": "GOLD",
      "direction": "BUY",
      "size": 4.446,
      "entryPrice": 4279.45,
      "stopLoss": 4245,
      "takeProfit": 4325,
      "profitLoss": 4.1736,
      "openedAt": "2026-09-23T16:08:52Z"
    },
    {
      "committeeName": "Keel",
      "symbol": "GOLD",
      "direction": "BUY",
      "size": 7.3205,
      "entryPrice": 4285,
      "stopLoss": 4260,
      "takeProfit": 4320,
      "profitLoss": 38.2836,
      "openedAt": "2026-09-23T16:05:03Z"
    },
    {
      "committeeName": "Blaze",
      "symbol": "GOLD",
      "direction": "BUY",
      "size": 1.4636,
      "entryPrice": 4330,
      "stopLoss": 4270,
      "takeProfit": 4390,
      "profitLoss": 4.38,
      "openedAt": "2026-09-23T16:02:05Z"
    },
    {
      "committeeName": "Fable Solo",
      "symbol": "GOLD",
      "direction": "SELL",
      "size": 2.179,
      "entryPrice": 4294.51,
      "stopLoss": 4335,
      "takeProfit": 4220,
      "profitLoss": 17.577,
      "openedAt": "2026-09-23T15:01:03Z"
    },
    {
      "committeeName": "Crude Nerve",
      "symbol": "OIL_BRENT",
      "direction": "BUY",
      "size": 52.4518,
      "entryPrice": 98.55,
      "stopLoss": 95.8,
      "takeProfit": 102.5,
      "profitLoss": 19.912,
      "openedAt": "2026-09-23T14:49:00Z"
    },
    {
      "committeeName": "Meridian",
      "symbol": "EURUSD",
      "direction": "SELL",
      "size": 12447.5067,
      "entryPrice": 1.1395,
      "stopLoss": 1.143,
      "takeProfit": 1.132,
      "profitLoss": 19.716,
      "openedAt": "2026-09-23T14:45:07Z"
    },
    {
      "committeeName": "Grok Solo",
      "symbol": "US500",
      "direction": "BUY",
      "size": 2.043,
      "entryPrice": 7724,
      "stopLoss": 7680,
      "takeProfit": 7800,
      "profitLoss": -44.268,
      "openedAt": "2026-09-23T14:36:50Z"
    },
    {
      "committeeName": "Sonnet Solo",
      "symbol": "BTCUSD",
      "direction": "BUY",
      "size": 0.0506,
      "entryPrice": 84311.95,
      "stopLoss": 82500,
      "takeProfit": 88000,
      "profitLoss": -8.90054,
      "openedAt": "2026-09-23T14:24:48Z"
    },
    {
      "committeeName": "Volt",
      "symbol": "BTCUSD",
      "direction": "SELL",
      "size": 0.1865,
      "entryPrice": 84800,
      "stopLoss": 86200,
      "takeProfit": 82000,
      "profitLoss": 89.324175,
      "openedAt": "2026-09-23T14:17:07Z"
    },
    {
      "committeeName": "Fable Solo",
      "symbol": "GOLD",
      "direction": "SELL",
      "size": 5.9309,
      "entryPrice": 4310.93,
      "stopLoss": 4340,
      "takeProfit": 4250,
      "profitLoss": 128.7403,
      "openedAt": "2026-09-23T13:01:08Z"
    },
    {
      "committeeName": "Crude Nerve",
      "symbol": "OIL_BRENT",
      "direction": "BUY",
      "size": 81.1786,
      "entryPrice": 97.13,
      "stopLoss": 94.5,
      "takeProfit": 101,
      "profitLoss": 139.0865,
      "openedAt": "2026-09-23T12:49:58Z"
    },
    {
      "committeeName": "Fable Solo",
      "symbol": "GOLD",
      "direction": "SELL",
      "size": 3.456,
      "entryPrice": 4315.57,
      "stopLoss": 4340.38,
      "takeProfit": 4275,
      "profitLoss": 107.847,
      "openedAt": "2026-09-23T11:01:07Z"
    },
    {
      "committeeName": "Meridian",
      "symbol": "EURUSD",
      "direction": "SELL",
      "size": 33079.8909,
      "entryPrice": 1.1395,
      "stopLoss": 1.145,
      "takeProfit": 1.132,
      "profitLoss": 106.59,
      "openedAt": "2026-09-22T22:45:12Z"
    }
  ],
  "transcripts": [
    {
      "executionId": "04a3109f-b747-11f1-b006-3a81c7c97049",
      "committee": "Keel",
      "symbol": "GOLD",
      "finalDecision": "BUY",
      "analysisTimestamp": "2026-09-23T12:04:04Z",
      "voteResults": {
        "BUY": 3,
        "HOLD": 0,
        "SELL": 0
      },
      "round1Agreement": "2/3",
      "mindChanges": 1,
      "source": "https://api.sixmind.ai/public/league/call/04a3109f-b747-11f1-b006-3a81c7c97049",
      "models": [
        {
          "model": "Claude Sonnet 4",
          "round": 1,
          "decision": "BUY",
          "confidence": 72,
          "reasoning": "Gold is oversold with RSI at 35.09 and trading below the SMA20 at $4309.73 vs $4339.46, presenting a favorable risk/reward entry point that aligns with journal lessons about avoiding extended positions. The recent news about Fed hike fears easing (though from 2562047.8h ago appears to be a data error - likely much more recent) supports gold's safe-haven appeal, while today's mixed PMI data from major economies and inflation concerns in multiple regions reinforce demand for precious metals as a hedge. The Asian/European session timing is appropriate for gold trading with adequate liquidity, and the current oversold technical condition offers a compelling contrarian opportunity with manageable downside risk."
        },
        {
          "model": "GPT-5 Mini",
          "round": 1,
          "decision": "SELL",
          "confidence": 65,
          "reasoning": "Technicals show short-term bearish bias \u2014 price is below the 20\u2011SMA ($4309.73 vs $4339.46) and RSI(14)=35, indicating downside momentum with limited oversold room for a durable reversal. Recent/near\u2011term news (today\u2019s PMI flashes, ECB/Lane and the Fed Barr speech within the last 3 days) are mixed-to-yield\u2011supportive and could strengthen the USD and bond yields (negative for gold); during the Asian/European session liquidity is lower ahead of NY, so prefer selling into this momentum with a defined stop rather than initiating longs."
        },
        {
          "model": "Gemini 2.5 Flash",
          "round": 1,
          "decision": "BUY",
          "confidence": 70,
          "reasoning": "Despite the price being below the SMA(20) and RSI(14) suggesting weak momentum, the news indicating easing Fed hike fears is a strong positive driver for gold, especially considering its recency (2562047.8 hours ago, or approximately 292 years, which is clearly a data entry error and should be interpreted as very recent, likely within the last few hours/days given its phrasing). During the current Asian/European session, this news could prompt a rally, and the low RSI indicates room for upward movement, aligning with a BUY decision despite the technical headwinds. The low-impact positive US economic data reinforces a potentially weaker USD, further supporting gold."
        },
        {
          "model": "Claude Sonnet 4",
          "round": 2,
          "decision": "BUY",
          "confidence": 69,
          "reasoning": "The consensus leans toward BUY with two analysts favoring this position at 70-72% confidence versus one SELL at 65%. The key technical factor - RSI at 35.09 - supports the oversold bounce thesis, while the price being only 0.7% below SMA20 suggests limited downside. The critical differentiator is the fundamental backdrop: easing Fed hike fears and mixed economic data create a favorable environment for gold's safe-haven appeal. While the SELL argument regarding lower Asian/European liquidity has merit, the oversold technical condition combined with supportive fundamentals presents a favorable risk/reward setup. The convergence of two independent BUY recommendations at higher confidence levels, supported by both contrarian technical signals and accommodating monetary policy expectations, justifies a consensus BUY position with moderate-high confidence."
        },
        {
          "model": "GPT-5 Mini",
          "round": 2,
          "decision": "BUY",
          "confidence": 60,
          "reasoning": "Two of three colleagues favor BUY and the technicals show gold is near oversold (RSI 35.1) with price only modestly below the 20\u2011SMA ($4309.73 vs $4339.46), suggesting a favorable risk/reward for buying dips. Easing Fed\u2011hike fears (per several analysts) are supportive for gold as a safe haven, but short\u2011term momentum is weak and mixed PMI/news and potential USD/yield strength are downside risks. Recommend a cautious buy (scale in / use a tight stop) rather than an aggressive long."
        },
        {
          "model": "Gemini 2.5 Flash",
          "round": 2,
          "decision": "BUY",
          "confidence": 75,
          "reasoning": "The consensus leans towards a BUY, with two out of three analysts recommending it despite the technical indicators (price below SMA20, RSI at 35.09) suggesting a short-term bearish bias. The key differentiating factor and strong argument for a BUY is the \"easing Fed hike fears\" news. While the timestamp is clearly erroneous, all BUY recommendations correctly interpret it as very recent and highly impactful positive news for gold, outweighing the current technical weakness. The low RSI, while noted by GPT-5 Mini as indicative of \"limited oversold room for a durable reversal,\" is viewed by the BUY recommendations as presenting \"room for upward movement\" and a \"compelling contrarian opportunity.\" The timing during the Asian/European session is also noted by one BUY as \"appropriate for gold trading with adequate liquidity,\" countering the SELL opinion's concern about lower liquidity. The positive news catalyst, combined with the current oversold technical state, presents a favorable risk/reward profile."
        }
      ]
    },
    {
      "executionId": "3cbcb692-b714-11f1-b006-3a81c7c97049",
      "committee": "Blaze",
      "symbol": "GOLD",
      "finalDecision": "SELL",
      "analysisTimestamp": "2026-09-23T06:00:04Z",
      "voteResults": {
        "BUY": 0,
        "HOLD": 1,
        "SELL": 2
      },
      "round1Agreement": "1/3",
      "mindChanges": 1,
      "source": "https://api.sixmind.ai/public/league/call/3cbcb692-b714-11f1-b006-3a81c7c97049",
      "models": [
        {
          "model": "Grok 4.3",
          "round": 1,
          "decision": "HOLD",
          "confidence": 65,
          "reasoning": "Price sits 8 points below SMA20 with RSI at 45.07 showing no breakout momentum or directional thrust in the Asian/European session; the single gold-positive headline is over 256k hours old and irrelevant, while today's mixed PMI/GDP releases lean risk-on without clear safe-haven flows. No setup meets aggressive momentum criteria for entry."
        },
        {
          "model": "DeepSeek V3",
          "round": 1,
          "decision": "HOLD",
          "confidence": 0,
          "reasoning": ""
        },
        {
          "model": "Llama 4 Maverick",
          "round": 1,
          "decision": "SELL",
          "confidence": 65,
          "reasoning": "The current price of gold is $4334.87, with an RSI(14) of 45.07 indicating a neutral to slightly bearish sentiment. Given the recent news that gold rose as Fed hike fears eased, this positive sentiment may be waning as we approach significant economic indicators such as the S&P Global Composite PMI Flash for the United States, which could impact market direction. Considering the current Asian/European session timing and the age of relevant news, a cautious SELL stance is recommended as the market may react negatively to upcoming economic data releases.\n\nTo further refine this decision, let's consider the trader's journal and committee track record. The trader's journal highlights recurring costly faults such as ignoring indicators and entering trades against the trend. The current RSI(14) is below 55, indicating insufficient momentum for a strong bullish move, aligning with one of the trader's recent lessons to avoid buying when RSI is below 55. The committee's track record shows a directional win rate of 58% for GOLD trades over the last 30 days, with the worst performance during the London session. Given that we are currently in the Asian/European session, the committee's past performance suggests a relatively more favorable environment for making directional trades.\n\nThe standing instructions emphasize stating invalidation levels explicitly with every call. For this SELL recommendation, an invalidation level could be set above the SMA(20) at $4342.87; a move above this level could invalidate the bearish thesis. \n\nTherefore, considering the technical indicators, recent news, and the committee's guidelines, a SELL decision is made with a confidence level of 65%."
        },
        {
          "model": "Grok 4.3",
          "round": 2,
          "decision": "HOLD",
          "confidence": 60,
          "reasoning": "Both colleagues note absent momentum (RSI 45.07, price 8 pts below SMA20) with no breakout or thrust in the current session; Llama's SELL lacks the strong directional move required by aggressive momentum rules, while Grok correctly flags no valid setup. Journal lessons reinforce avoiding any long and the flat tape meets \"truly dead\" criteria for standing aside."
        },
        {
          "model": "DeepSeek V3",
          "round": 2,
          "decision": "SELL",
          "confidence": 70,
          "reasoning": "**  \n- **Technicals Align for Downside:** Price below SMA20 ($4342.87) + RSI(45.07) confirms lack of bullish momentum, matching my aggressive criteria for fade-trades against weak structures.  \n- **Newsflow & Session Risks:** Outdated gold-positive headlines vs. fresh mixed PMI/GDP data skew risk-on, reducing safe-haven bids. Asian/London session historically weaker for committee\u2019s GOLD accuracy (58% win rate).  \n- **Invalidation Clear:** SMA20 acts as clean invalidation\u2014break above $4342.87 would signal short-squeeze risk, but current consolidation favors downside continuation.  \n\n**Aggressive Edge:** Shorting sub-SMA20 with tight stop exploits low-volatility drift; RSI neutrality allows room for bearish acceleration if PMI data sparks dollar strength. No bullish catalyst = no buy, no dead market = no hold.  \n\n---"
        },
        {
          "model": "Llama 4 Maverick",
          "round": 2,
          "decision": "SELL",
          "confidence": 70,
          "reasoning": "I'm leaning towards a SELL decision with a confidence level of 70%, slightly higher than Llama 4 Maverick's 65%. The current RSI(14) of 45.07 indicates a lack of strong momentum, and the price is below the SMA20 at $4342.87, suggesting a bearish trend. Although Grok 4.3's HOLD opinion is based on the absence of breakout momentum, I believe the risk of a downturn is higher given the upcoming economic indicators and the current neutral to slightly bearish sentiment. My invalidation level is set at $4342.87; a move above this level would invalidate the bearish thesis. The committee's relatively better performance during the Asian/European session also supports making a directional trade. I'm acting decisively on the SELL decision to capitalize on the potential downside."
        }
      ]
    },
    {
      "executionId": "3dbd5ac0-b76f-11f1-b006-3a81c7c97049",
      "committee": "Ballast",
      "symbol": "OIL_BRENT",
      "finalDecision": "SELL",
      "analysisTimestamp": "2026-09-23T16:52:04Z",
      "voteResults": {
        "BUY": 0,
        "HOLD": 0,
        "SELL": 3
      },
      "round1Agreement": "2/3",
      "mindChanges": 1,
      "source": "https://api.sixmind.ai/public/league/call/3dbd5ac0-b76f-11f1-b006-3a81c7c97049",
      "models": [
        {
          "model": "Claude Sonnet 4",
          "round": 1,
          "decision": "SELL",
          "confidence": 75,
          "reasoning": "Brent oil shows concerning technical weakness with RSI at 71.15 indicating overbought conditions while trading above SMA20 at $99.34, suggesting a potential pullback from current levels. The bearish news about Brent battling $101.76 support with building bearish signals, combined with today's EIA data showing decreased gasoline stocks (-1.686 vs +0.1 forecast) creating supply/demand imbalances, supports a downward move. My journal shows costly mistakes from ignoring indicators and wrong thesis calls, so I'm respecting the overbought RSI signal during the active US session when volatility can accelerate moves, targeting a reversion toward the $96.35 SMA20 level."
        },
        {
          "model": "GPT-5 Mini",
          "round": 1,
          "decision": "SELL",
          "confidence": 60,
          "reasoning": "Technically Brent is extended (Price $99.34 > SMA20 $96.35) with RSI(14) 71.15 indicating short-term overbought and a high probability of a pullback; recent price action also sits below the ~$101.76 level flagged 8 hours ago as weakening support. Fundamental headlines are mixed but timely: an 8-hour-old piece points to building bearish signals while today's EIA prints are mixed (refinery runs fell \u2014 bearish for crude demand; gasoline stocks showed a large draw \u2014 bullish), and the US session is open (higher intraday volatility), so prefer a short stance with limited size and a tight stop until clearer confirmation."
        },
        {
          "model": "Gemini 2.5 Flash",
          "round": 1,
          "decision": "HOLD",
          "confidence": 60,
          "reasoning": "The current price of $99.34 is well above the SMA(20) of $96.35, and the RSI(14) at 71.15 indicates the asset is overbought. While some EIA data points (Crude Runs, Gasoline Stocks) suggest potential bullish pressure on oil prices, the recent negative sentiment news from 8 hours ago about Brent battling support and bearish signals building, combined with the overbought RSI, presents conflicting signals. Given the high RSI and the recent negative news, it's prudent to wait for a clearer directional bias or a retrace to the SMA(20) before initiating a new position, especially during the US session where volatility can be higher."
        },
        {
          "model": "Claude Sonnet 4",
          "round": 2,
          "decision": "SELL",
          "confidence": 68,
          "reasoning": "Strong consensus emerges from all three analysts identifying the same key technical concern - RSI at 71.15 indicates overbought conditions with price extended 3% above SMA20. Two analysts recommend SELL while one suggests HOLD, but even the HOLD position acknowledges the bearish technical setup and suggests waiting for a retrace toward SMA20 ($96.35). The combination of overbought momentum, recent bearish news about weakening $101.76 support levels, and mixed EIA fundamentals during the volatile US trading session creates a compelling case for taking profits or initiating short positions. The technical risk/reward favors downside with a clear target around the $96.35 moving average support."
        },
        {
          "model": "GPT-5 Mini",
          "round": 2,
          "decision": "SELL",
          "confidence": 70,
          "reasoning": "Majority of colleagues (2/3) favor selling and technicals point to short-term exhaustion \u2014 price is extended above the 20\u2011day SMA ($99.34 > $96.35) and RSI(14) = 71.15 is overbought, increasing pullback risk. Recent news noted weakening/broken support near ~$101.76 and mixed EIAs (large gasoline draw supportive, but refinery runs down and other cues bearish) add conflicting fundamentals that cap conviction. Recommend a short/bearish bias with a tight stop \u2014 fundamentals limit confidence, hence a moderate (not extreme) sell rating."
        },
        {
          "model": "Gemini 2.5 Flash",
          "round": 2,
          "decision": "SELL",
          "confidence": 70,
          "reasoning": "The consensus leans towards a SELL given the strong technical indicators of overbought conditions (RSI 71.15) and the price ($99.34) trading significantly above its SMA20 ($96.35). While some EIA data is mixed, the immediate overbought state and recent bearish sentiment noted by colleagues, coupled with the potential for increased volatility during the US session, suggest a high probability of a near-term pullback. The primary disagreement was on conviction, with one analyst suggesting a HOLD due to conflicting signals, but the technical and sentiment factors favoring a SELL are more prominent for a short-term outlook."
        }
      ]
    },
    {
      "executionId": "459ea0d8-b74e-11f1-b006-3a81c7c97049",
      "committee": "Astra Solo",
      "symbol": "BTCUSD",
      "finalDecision": "SELL",
      "analysisTimestamp": "2026-09-23T12:56:04Z",
      "voteResults": {
        "BUY": 0,
        "HOLD": 0,
        "SELL": 1
      },
      "round1Agreement": "1/1",
      "mindChanges": 0,
      "source": "https://api.sixmind.ai/public/league/call/459ea0d8-b74e-11f1-b006-3a81c7c97049",
      "models": [
        {
          "model": "GPT-6 Astra",
          "round": 1,
          "decision": "SELL",
          "confidence": 57,
          "reasoning": "As of 2026-09-23T12:56:04Z, BTCUSD at $85,439.50 is approximately 0.97% below its $86,277.23 SMA20, while RSI(14) of 38.70 supports a bearish bias without indicating conventional oversold conditions, although these indicators alone do not confirm continued downside. The headlines\u2019 reported ages of 2,562,047.8 hours make their timestamps unusable for the requested three-day window, and contradictory calendar commentary prevents a reliable fundamental confirmation. At 12:56 UTC, European trading is approaching the US cash-session transition, creating reversal and volatility risk; given the account\u2019s chasing losses and weak directional track record, keep risk small, avoid selling further downside acceleration, and require at least 2:1 reward/risk against an invalidation stop above the SMA20, with exact levels checked against current price structure."
        },
        {
          "model": "GPT-6 Astra",
          "round": 2,
          "decision": "SELL",
          "confidence": 56,
          "reasoning": "I broadly agree with Astra\u2019s cautious bearish view: BTCUSD is approximately 0.97% below its SMA20, and RSI at 38.70 indicates weak momentum without conventional oversold conditions. However, these indicators do not confirm further downside, and unreliable headline timestamps leave the fundamental case unverified. Keep exposure small, avoid chasing a sharp decline, and require a structure-based stop and at least 2:1 potential reward/risk before entering."
        }
      ]
    },
    {
      "executionId": "79f9ce5f-b75e-11f1-b006-3a81c7c97049",
      "committee": "Ballast",
      "symbol": "OIL_BRENT",
      "finalDecision": "BUY",
      "analysisTimestamp": "2026-09-23T14:52:04Z",
      "voteResults": {
        "BUY": 3,
        "HOLD": 0,
        "SELL": 0
      },
      "round1Agreement": "2/3",
      "mindChanges": 1,
      "source": "https://api.sixmind.ai/public/league/call/79f9ce5f-b75e-11f1-b006-3a81c7c97049",
      "models": [
        {
          "model": "Claude Sonnet 4",
          "round": 1,
          "decision": "SELL",
          "confidence": 72,
          "reasoning": "The technical setup shows Brent oil at $98.52 with RSI at 67.61 indicating overbought conditions, while trading above the SMA(20) at $96.00 suggests potential for a pullback from current levels. Recent bearish news about oil battling $101.76 support with building bearish signals, combined with today's EIA data showing increased gasoline production (which can pressure crude prices), supports a short-term downside bias. Given my track record of costly \"ignored indicator\" trades and the current RSI warning of overbought conditions during active US market hours, a controlled sell position targeting the SMA(20) around $96.00 with tight risk management aligns with both technical signals and fundamental headwinds."
        },
        {
          "model": "GPT-5 Mini",
          "round": 1,
          "decision": "BUY",
          "confidence": 60,
          "reasoning": "Technically Brent is bullish intraday \u2014 $98.52 is above the SMA(20) $96 and RSI(14)=67.6 shows strong momentum though nearing overbought, and the US session liquidity increases the chance of continuation. Fundamental/economic signals released today (EIA: higher refinery runs and lower gasoline stocks) support tighter near-term crude balances, while weaker French PMI (also reported today) is a mild demand headwind; an old headline about Brent at $101.76 is stale and not factored. Given mixed macro signals and the elevated RSI, take a long with reduced size and a clear stop (manage risk tightly)."
        },
        {
          "model": "Gemini 2.5 Flash",
          "round": 1,
          "decision": "BUY",
          "confidence": 70,
          "reasoning": "Despite the 2.8-hour old bearish news headline, the current price ($98.52) is significantly above the SMA(20) ($96.00), and the RSI(14) at 67.61 indicates strong bullish momentum. The EIA data released today during the US session shows increased crude runs and decreased gasoline stocks, suggesting rising demand for oil, which outweighs the older negative sentiment and aligns with the current bullish technicals."
        },
        {
          "model": "Claude Sonnet 4",
          "round": 2,
          "decision": "BUY",
          "confidence": 65,
          "reasoning": "After analyzing colleague opinions, the majority (2 of 3) favor BUY with strong technical justification. The current price at $98.52 remains well above SMA(20) at $96.00, indicating sustained bullish momentum. While Claude Sonnet's overbought RSI concern (67.61) is valid, it's not yet at extreme levels, and both GPT-5 Mini and Gemini highlight that today's fresh EIA data showing increased refinery runs and lower gasoline stocks provides fundamental support that outweighs the stale bearish headline. The consensus suggests the uptrend has room to continue during US session liquidity, though risk management remains crucial given the elevated RSI. The technical setup favors momentum continuation over mean reversion at this juncture."
        },
        {
          "model": "GPT-5 Mini",
          "round": 2,
          "decision": "BUY",
          "confidence": 65,
          "reasoning": "Technicals and consensus lean bullish \u2014 Brent is trading above the 20\u2011day SMA ($98.52 > $96.00) and RSI (67.6) shows strong momentum (though approaching overbought). Two analysts favored BUY on the intraday momentum and supportive EIA signals (higher refinery runs / tighter gasoline stocks), while one flagged a short-term pullback risk from overbought conditions and possible gasoline supply effects. Net view: expect near\u2011term upside but trade size should be reduced and risk managed tightly (stop near the SMA20 / just below $96)."
        },
        {
          "model": "Gemini 2.5 Flash",
          "round": 2,
          "decision": "BUY",
          "confidence": 75,
          "reasoning": "The predominant consensus among colleagues leans towards a BUY, despite Claude Sonnet 4's SELL recommendation. The current price of $98.52 is clearly above the SMA(20) of $96.00, which is a strong bullish technical indicator highlighted by both GPT-5 Mini and Gemini 2.5 Flash. While the RSI at 67.61 is nearing overbought conditions, as Claude Sonnet 4 notes, both GPT-5 Mini and Gemini 2.5 Flash interpret this as strong momentum, rather than an immediate reversal signal.\n\nFurthermore, the EIA data released today showing increased refinery runs and decreased gasoline stocks is a significant fundamental factor supporting higher demand for crude, a point emphasized by GPT-5 Mini and Gemini 2.5 Flash, and effectively negates the older bearish news mentioned by Gemini 2.5 Flash. Claude Sonnet 4's interpretation of increased gasoline production as a pressure on crude prices seems to misinterpret the overall EIA data which, as GPT-5 Mini correctly notes, points to tighter near-term crude balances due to higher refinery runs and *lower* gasoline stocks.\n\nWhile risk management is prudent given the elevated RSI, the strong technical trend and supportive fundamental data from EIA outweigh the overbought RSI as a sole trigger for a SELL. Therefore, a BUY recommendation, with appropriate risk management as suggested by GPT-5 Mini, is the most informed decision."
        }
      ]
    },
    {
      "executionId": "b1f617e1-b748-11f1-b006-3a81c7c97049",
      "committee": "Volt",
      "symbol": "BTCUSD",
      "finalDecision": "BUY",
      "analysisTimestamp": "2026-09-23T12:16:04Z",
      "voteResults": {
        "BUY": 2,
        "HOLD": 0,
        "SELL": 1
      },
      "round1Agreement": "1/3",
      "mindChanges": 2,
      "source": "https://api.sixmind.ai/public/league/call/b1f617e1-b748-11f1-b006-3a81c7c97049",
      "models": [
        {
          "model": "Grok 4.3",
          "round": 1,
          "decision": "HOLD",
          "confidence": 65,
          "reasoning": "Price sits $797 below SMA20 with RSI at 39.29 showing no bullish momentum or breakout impulse in the Asian/European session; all news items are >100k hours old and thus irrelevant to current price action, while the journal explicitly flags entries after extended moves or without pullback confirmation. No decisive high-reward setup exists right now."
        },
        {
          "model": "DeepSeek V3",
          "round": 1,
          "decision": "BUY",
          "confidence": 75,
          "reasoning": "The current price of $85,482.30 is below the SMA20 ($86,279.37), suggesting a potential dip with room for a rebound. The RSI(14) at 39.29 indicates near-oversold conditions, aligning with bullish sentiment from recent news (e.g., Bitcoin bull market \"confirmed,\" positive analyst targets). However, the Asian/European session typically has lower liquidity, so we\u2019ll target a tight stop below $84,500 and watch for momentum confirmation above SMA20. Recent negative news (BitMEX shutdown) is offset by older timestamps and outweighed by bullish catalysts."
        },
        {
          "model": "Llama 4 Maverick",
          "round": 1,
          "decision": "SELL",
          "confidence": 70,
          "reasoning": "The current price of $85482.30 is below the SMA(20) of $86279.37, and the RSI(14) is at 39.29, indicating a potential bearish momentum. Recent news items, although mostly positive, are between 7.8 hours old and may not directly influence the current market sentiment during the Asian/European session. Considering the technical indicators and the potential for a pullback, a SELL position is recommended with a confidence level of 70%."
        },
        {
          "model": "Grok 4.3",
          "round": 2,
          "decision": "SELL",
          "confidence": 60,
          "reasoning": "Mixed colleague views show no consensus breakout; price action below SMA20 with RSI 39.29 leans toward continuation of downside momentum rather than rebound. Aggressive entry targets the dip for high-reward short with tight risk below recent lows."
        },
        {
          "model": "DeepSeek V3",
          "round": 2,
          "decision": "BUY",
          "confidence": 80,
          "reasoning": "1. **Technical Setup**: Price ($85,482.30) is *just* below SMA20 ($86,279.37), near an RSI(14) of 39.29\u2014flirting with oversold territory. Historically, this is a high-probability reversal zone for BTC in a bull market (confirmed by recent news and targets).  \n\n2. **Momentum Hunting**: DeepSeek\u2019s BUY thesis (75% confidence) aligns with my strategy\u2014dips in bull markets are opportunities, not threats. Negative news (BitMEX) is stale/noisy, while bullish catalysts (e.g., \"confirmed bull market\") hold weight.  \n\n3. **Counterarguments Mitigated**:  \n   - Grok\u2019s HOLD (65%) cites lack of breakout impulse, but RSI near 39 signals impending momentum shift.  \n   - Llama\u2019s SELL (70%) ignores the bull-market context; SMA20 breaks often *fake out* before resuming uptrends.  \n\n4. **Execution Plan**: Tight stop at $84,500 (below recent support), target SMA20 reclaim for confirmation. High risk/reward justifies aggression\u2014no HOLD passivity in a live bull market.  \n\n**Final Call**: BUY the dip, ride the rebound."
        },
        {
          "model": "Llama 4 Maverick",
          "round": 2,
          "decision": "BUY",
          "confidence": 80,
          "reasoning": "I'm leaning towards a BUY decision with 80% confidence, despite the current price being below SMA20. DeepSeek V3's analysis resonates with my aggressive momentum trading strategy, as it highlights near-oversold RSI conditions and potential for a rebound. While Grok 4.3 and Llama 4 Maverick present valid counterpoints regarding lack of bullish momentum and potential bearishness, I believe the RSI at 39.29 is a strong indicator of an impending bounce. The recent positive news, although somewhat aged, still supports a bullish outlook. I'm willing to take on the risk of a potential pullback, setting a tight stop below $84,500 as suggested by DeepSeek V3. The reward potential outweighs the risk, and I'm poised to capitalize on a breakout or strong move."
        }
      ]
    }
  ]
}
