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Symbols 3

JOBY, QS, SOFI

Performance Summary

Total Trades

33

Total P&L

$-772.36

Notional: $2616608.78
Total Return

-0.03%

Weighted by notional
Win Rate

45.5%

15 W / 18 L
CouldWin Rate

57.6%

19 could / 33 total
Avg P&L

$-23.40

Avg Return: -0.03%
Best Win

$4089.19

Largest Loss

$-3197.50

Trade Details 33 positions
ID Symbol Side Entry Price Exit Price Qty P&L % (USD) CouldWin Stop Loss Entry Time Exit Time Duration
3400572 JOBY Buy $17.64 $17.52 4495 -0.71% ($-565.47) False $17.22 08/10/25 16:42 08/10/25 16:43 1m
3400073 SOFI Buy $27.51 $27.37 2882 -0.51% ($-403.48) True $27.37 25/09/25 13:30 25/09/25 13:33 3m
3400078 QS Buy $10.17 $9.76 7797 -4.03% ($-3194.43) True $9.81 08/09/25 13:32 08/09/25 13:36 4m
3400077 SOFI Buy $25.73 $25.41 3082 -1.22% ($-970.83) False $25.43 08/09/25 13:30 08/09/25 13:33 3m
3400552 SOFI Buy $24.56 $24.94 3228 1.53% ($1210.50) True $24.95 04/09/25 16:21 04/09/25 17:09 48m
3400240 SOFI Buy $25.91 $26.12 3061 0.81% ($642.81) True $26.13 25/08/25 14:19 25/08/25 14:51 32m
3400114 SOFI Buy $22.25 $22.22 3564 -0.16% ($-124.74) False $22.22 08/08/25 13:30 08/08/25 13:31 1m
3400076 QS Buy $8.88 $8.74 8934 -1.53% ($-1214.13) False $8.74 05/08/25 13:31 05/08/25 14:04 33m
3400252 SOFI Buy $21.52 $21.60 3685 0.4% ($313.23) True $21.64 30/07/25 14:28 30/07/25 14:52 24m
3400115 SOFI Buy $20.70 $20.58 3830 -0.6% ($-478.75) True $20.59 30/07/25 13:32 30/07/25 13:42 10m
3400135 SOFI Buy $24.43 $24.31 3245 -0.48% ($-380.96) False $24.36 29/07/25 13:35 29/07/25 14:27 52m
3400150 QS Buy $12.37 $11.88 6410 -3.96% ($-3140.90) True $11.89 22/07/25 13:45 22/07/25 13:54 9m
3400075 JOBY Buy $16.04 $16.14 4943 0.6% ($477.99) True $16.16 22/07/25 13:30 22/07/25 13:41 11m
3400235 QS Buy $12.00 $12.24 6611 2.05% ($1625.64) True $12.16 21/07/25 14:14 21/07/25 14:29 15m
3400141 QS Buy $12.75 $12.93 6219 1.41% ($1119.42) True $12.94 17/07/25 13:40 17/07/25 14:25 45m
3400074 JOBY Buy $14.54 $14.62 5453 0.55% ($436.24) True $14.68 16/07/25 13:30 16/07/25 13:32 2m
3400039 QS Buy $10.28 $10.81 7714 5.16% ($4089.19) True $10.84 15/07/25 13:30 15/07/25 14:18 48m
3400575 SOFI Buy $21.67 $21.70 3659 0.15% ($120.38) True $21.64 11/07/25 16:36 11/07/25 16:53 17m
3400167 SOFI Buy $21.13 $20.98 3753 -0.67% ($-529.17) False $20.66 10/07/25 13:48 10/07/25 13:49 1m
3400147 SOFI Buy $20.61 $20.46 3848 -0.7% ($-557.96) False $20.50 08/07/25 13:41 08/07/25 14:23 42m
3400700 JOBY Buy $10.47 $10.54 7574 0.67% ($530.18) True $10.43 30/06/25 19:58 30/06/25 20:00 2m
3400683 SOFI Buy $18.22 $18.20 4353 -0.08% ($-65.73) False $18.15 30/06/25 19:55 30/06/25 20:00 5m
3400129 SOFI Buy $17.71 $18.49 4478 4.41% ($3492.84) True $18.48 30/06/25 13:32 30/06/25 14:06 34m
3400259 QS Buy $6.70 $6.79 11835 1.34% ($1065.15) True $6.81 26/06/25 14:31 26/06/25 14:47 16m
3400182 QS Buy $6.20 $5.95 12790 -4.03% ($-3197.50) False $5.99 25/06/25 13:53 25/06/25 14:00 7m
3400734 SOFI Buy $15.07 $15.05 5262 -0.13% ($-102.61) False $14.96 11/06/25 19:59 11/06/25 20:00 1m
3400762 SOFI Buy $12.63 $12.60 6281 -0.24% ($-188.43) False $12.60 01/05/25 18:49 01/05/25 19:21 32m
3400691 SOFI Buy $14.31 $14.03 5541 -1.96% ($-1551.48) False $14.04 29/04/25 13:35 29/04/25 13:55 20m
3400767 SOFI Buy $13.21 $13.25 6005 0.34% ($269.62) True $13.17 28/04/25 19:59 28/04/25 20:00 1m
3400736 SOFI Buy $12.57 $12.62 6308 0.39% ($309.09) True $12.62 21/03/25 14:49 21/03/25 15:15 26m
3400759 SOFI Buy $15.77 $15.89 5028 0.72% ($570.18) True $15.89 27/01/25 19:21 27/01/25 19:47 26m
3400705 SOFI Buy $18.09 $18.09 4383 -0.03% ($-21.92) False $18.12 24/01/25 14:30 24/01/25 14:31 1m
3400739 SOFI Buy $14.47 $14.40 5482 -0.45% ($-356.33) False $14.41 03/01/25 16:00 03/01/25 16:08 8m
Strategy DSL [aa1c5] [aa1c5] CreativeExit_crossover-logic-invert_195137 | EXIT Opt: EMA Momentum Quality Exit | EXIT Opt: RegimeChandMom11Var
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 "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:
(REGIME(sym,1m,14,20)==1) AND (LAST(CLOSE(sym,1m)) < (HIGHEST(HIGH(sym,1m),16) - 2.3 * ATR(sym,1m,14))) AND (MOMENTUM_QUALITY(CLOSE(sym,1m),11) < 18)
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