The territory
Eight named failure modes, none of them about the setup.
The system's own problem list reads as a map of the gap: emotional risk sizing, short-term P&L obsession, poor journaling, weak drawdown control, branch confusion, unmeasured execution drag, unmanaged open exposure, and absent structural diagnosis. Not one of them concerns whether the trades were good. Every one concerns what happened between the trades being good and that goodness arriving as compounded capital — sizing decisions made under emotional pressure, evidence never captured cleanly enough to diagnose, costs never measured, exposure never accounted, deterioration never detected. The gap is an operational territory, and it's where the money goes.

