WEBVTT

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Before you use the dashboard, confirm that you opened the correct workspace and account.

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The public demo uses sample data and shows features beyond some editions.

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In your own workspace, check whether the environment is testnet or mainnet.

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Never interpret the demo balances as your account balance.

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Account value represents the trading account, while available balance shows what is available after margin and other constraints.

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An agent allocation is a software budget, not another deposit.

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Compare the dashboard with the same account and network on Hyperliquid before allocating funds.

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Open Agents.

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Each card represents a configured strategy instance.

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Read its strategy, market, state and latest decision before using any control.

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Active means the strategy can evaluate opportunities; it does not promise an immediate trade.

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A missing signal or risk restriction can correctly prevent an entry.

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A position is actual exposure.

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An order is an instruction that may be open, partly filled, filled or canceled.

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One agent can be active with no position.

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Review positions and open orders together.

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When a status looks inconsistent, compare the venue before issuing another instruction.

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Use System Status to check the services and the latest update times available in your edition.

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A page that loads is not proof that prices or orders are current.

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If updates stop, avoid adding new exposure and contact support with the time, workspace and a redacted error.

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Your first checkpoint is simple: identify the account, network, agent status, positions and latest update.

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Practice navigating without starting an agent or signing a transaction.

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Continue to the next lesson when you can explain what each of those fields means.
