What you're looking at
Every railway asset (point machine, signal, track circuit, IPS, …) that
this service knows about. The list is a daily snapshot of the central
asset registry — refreshed every night at 02:00 and on
boot.
The "Active" flag
By default a new asset arrives with analysis turned off
— no profiling, forecasting, scoring or anomaly events happen for it.
An admin enrols an asset by ticking the row checkbox(es) and clicking
Set Active. Master re-syncs never touch this flag, so
an enrolled asset stays enrolled, and a deliberately retired asset
stays off.
Deactivating & purging
When you switch an asset back to inactive
the system asks whether to also delete the related calculated
data (cadence, thresholds, derived series, forecasts, scores,
events, model-health, maintenance overrides). Tick the box only if
you're retiring the asset for good — the data can't be recovered.
Untick it if you might re-enrol the same asset later and want history
preserved.
Columns explained
- Active — whether the analysis pipeline runs for this asset.
- Code — the short label operators read in the field (e.g.
55A).
- Alias — longer human description if the registry has one.
- Type — the asset class. Param meanings depend on type.
- Station / Division / Zone — where the asset physically lives.
- Synced — when this row was last refreshed from the upstream registry.
How to use this page
Use it to confirm an asset exists and to curate which assets the
prognosis pipeline runs against. Use the filters (zone / division /
station / type) to narrow the list, tick the rows you want to act on,
then use the action bar at the top.