Fibozachi – Elite Trader Package

4,648.00

Quantified Strategies – 3 Volatility Strategies
This bundle consists of three strategies that can be labeled volatility trading strategies. The idea and logic work in a variety of assets.
In all our bundles you will find both Amibroker code, Tradestation code, and the strategy written in plain English. The strategies are long-only due to the nature of the index.
2 strategies are not published anywhere on our website
These strategies are long-only due to the nature of the index backtested.
What You’ll Learn In 3 Volatility Strategies?
Volatility strategy 1
Strategy and performance metrics:

#trades: 202
Average gain per trade: 0.92%
CAGR: 6.2%
Time spent in the market: 10%
Max drawdown: 23%
Risk-adjusted CAGR: 62%
Win rate: 82%
Max consecutive losers: 3
Max consecutive winners: 13
Profit factor: 2.6
Sharpe Ratio: 2.3

Volatility strategy 2
Strategy and performance metrics:

#trades: 296
Average gain per trade: 0.77%
CAGR: 7.8%
Time spent in the market: 14%
Max drawdown: 16%
Risk-adjusted CAGR: 54%
Win rate: 76%
Max consecutive losers: 4
Max consecutive winners: 11
Profit factor: 2.7
Sharpe Ratio: 2.3

Volatility strategy 3
Strategy and performance metrics:

#trades: 252
Average gain per trade: 0.,8%
CAGR: 6.8%
Time spent in the market: 9%
Max drawdown: 15%
Risk-adjusted CAGR: 72%
Win rate: 79%
Max consecutive losers: 2
Max consecutive winners: 14
Profit factor: 2.9
Sharpe Ratio: 2.7