The dated GSSCP HD interface record shows an Assets area with balance information, profit-and-loss fields, positions and several order categories. These screens organize displayed account information; users should still identify the legal provider and governing documents for any actual account or transaction service.
Interface orientation
What appears on the GSSCP HD Assets screen?
The supplied Assets screenshot contains balance and profit-and-loss information together with navigation for Positions, Open Orders, Closed Orders and Order History. This arrangement gives users a consolidated way to move among current holdings and different order states in the mobile interface.
A displayed field should be read according to its label, currency, timestamp and account context. The presence of an interface category does not independently establish how custody, execution, deposits or withdrawals operate. Those matters depend on the current product edition and the agreements identifying the actual service provider.
How are positions different from orders?
A position generally describes an instrument currently shown as held in an account-oriented view. An order represents an instruction or record at a different stage. Open Orders, Closed Orders and Order History therefore answer different questions and should not be treated as interchangeable.
When reviewing a position, look for the instrument, quantity, displayed value and any profit-and-loss label. When reviewing an order, examine its status, direction, quantity, order type and time information where available. If a figure or status is unclear, consult the applicable account documentation before relying on it.
What should users check in open and closed orders?
For an open order, verify whether it remains active, whether its terms match the intended instruction and whether the screen reflects the latest available status. For a closed order, review the final status rather than assuming that every closed item represents the same outcome.
Order History can provide continuity across prior activity, but it should be compared with any formal confirmation or statement supplied by the identified service provider. A mobile display is useful for organization; governing records remain important when account-specific questions arise.
How can the Assets screen support a review routine?
A simple routine begins by checking the overall displayed balance, then reviewing positions, active orders and completed or historical activity separately. Keeping these steps distinct reduces the chance of comparing values with different meanings.
Users can also connect account-oriented review with market research: first examine the relevant instrument information, then return to positions or orders to understand how it appears in the account view. The daily research workflow describes that wider sequence.
Where can the interface be verified?
The GSSCP HD product evidence page publishes dated screenshots and clearly separates what is visible from what would require operational or documentary verification. For current publisher, version and support details, use the app version and publisher checklist.