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Symbols 100

PRIF.PRK, SSG, NAGE, BKUI, BCAL, EFR, CAMP, XCCC, GMMF, MVAL, CMSA, RBOT.WS, QIPT, CRWG, FEOE, USSE, XIJN, KIDS, ACIC, SM, BCI, REZ, BBAX, VMAX, QQQU, CALM, DX, LCDL, TSL, XMMO, SIXA, AZTD, JELD, TEKX, AAM.U, PROV, A, DDFS, YIBO, BINV, XRPI, MARPS, GITS, TCEHY, OSTX, SW, FDBC, YXT, INDA, LNT, AEMS, WTG, CRCT, TAPR, ISVL, CCSO, TOUR, NPACW, BAC.PRO, PPG, AXTI, W, SATS, APPS, EDU, TBMC, SBS, OCTP, RUMBW, VRP, FCUS, ABLLL, H, FAUG, SSM, SPBX, GPIQ, SUSA, DRH.PRA, RVP, WETO, IAGG, JMUB, BAFE, GUNR, LQPE, MRVI, NVOH, HOMB, MSFU, MCH, XLG, VFVA, DHLGY, SHG, KLTR, BOF, VICE, PDN, SPNT

Performance Summary

Total Trades

6

Total P&L

$7367.16

Notional: $475787.16
Total Return

1.55%

Weighted by notional
Win Rate

66.7%

4 W / 2 L
CouldWin Rate

100%

6 could / 6 total
Avg P&L

$1227.86

Avg Return: 1.55%
Best Win

$6091.86

Largest Loss

$-1988.74

Trade Details 6 positions
ID Symbol Side Entry Price Exit Price Qty P&L % (USD) CouldWin Stop Loss Entry Time Exit Time Duration
1345918 GITS Buy $4.39 $4.28 18063 -2.51% ($-1988.74) True $4.07 03/07/25 13:38 03/07/25 13:50 12m
1345927 WETO Buy $3.88 $3.79 20438 -2.3% ($-1823.07) True $2.74 01/07/25 13:30 01/07/25 13:35 5m
1345924 APPS Buy $6.61 $6.73 11994 1.8% ($1424.89) True $6.23 17/06/25 13:54 17/06/25 13:57 3m
1345923 APPS Buy $5.41 $5.83 14658 7.68% ($6091.86) True $5.43 17/06/25 13:30 17/06/25 13:31 1m
1345926 APPS Buy $4.05 $4.16 19580 2.74% ($2171.42) True $3.81 06/02/25 14:59 06/02/25 15:00 1m
1345917 YIBO Buy $5.59 $5.69 14198 1.88% ($1490.79) True $5.22 28/01/25 14:32 28/01/25 14:33 1m
Strategy DSL ddd Nexus Revert Pulse 100+
Job Like
CONTEXT:
UNIVERSE: SP500
BASE_TZ: America/New_York
CAPITAL: 1_000_000

PARAMS:
sym="{{sym}}",  // Symbol placeholder for runtime injection
fast_ema=5,      // Fast EMA period for breakout confirmation
slow_ema=6,     // Slow EMA period for trend filter
vol_min=1_000_000, // Minimum volume filter to avoid low-float stocks
atr_period=14,   // ATR period for volatility and risk calculation
atr_mult=2.5,    // ATR multiplier for trailing stop
bb_period=14,    // Bollinger Bands period for volatility contraction
bb_dev=3,      // Bollinger Bands standard deviation multiplier
risk_frac=0.0793   // Risk fraction for position sizing

STRATEGY "HighVolume Basket - HighVolume Basket - Nexus Revert Pulse-381595 + Mut-46cb0d + Mut-996010 + Mut":
TRIGGER:
// Time gate to skip first 5 minutes of trading day (assuming 9:30 AM ET start, convert to UTC)
TIME_UTC_IN("21:40", "20:00") 
AND
// Volume filter to avoid low-float microcaps
LAST(VOL(sym, 1m)) >= vol_min
AND
// Volatility contraction: price within tight Bollinger Bands
LAST(CLOSE(sym, 1m)) > LOWER(BBANDS(CLOSE(sym, 1m), bb_period, bb_dev))
AND
LAST(CLOSE(sym, 1m)) < UPPER(BBANDS(CLOSE(sym, 1m), bb_period, bb_dev))
AND
// Breakout signal: price crosses above fast EMA
CROSSUNDER(CLOSE(sym, 1m), EMA(CLOSE(sym, 1m), fast_ema))
AND
// Higher timeframe trend filter (5m) for confirmation
EMA(CLOSE(sym, 5m), fast_ema) > EMA(CLOSE(sym, 5m), slow_ema)
ENTRY: MARKET  // Market order for immediate execution on breakout
EXIT:
// Exit on reversal signal: price crosses below slow EMA
CROSSOVER(CLOSE(sym, 1m), EMA(CLOSE(sym, 1m), slow_ema))
RISK: TRAIL_ATR(atr_period, atr_mult)  // Trailing ATR stop for dynamic risk management
SIZING: FIXED_FRACTION(risk_frac)  // Fixed fraction sizing based on risk tolerance