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Symbols 46

AMC, GME, PLTR, COIN, HOOD, RIOT, RGTI, IONQ, ACHR, SOFI, MARA, LAC, CRON, OKLO, ASTS, QBTS, SMCI, HIMS, OKTA, SPCE, PLUG, QS, NIO, LCID, JOBY, RKLB, MVIS, GSAT, NNDM, BB, AMCX, SOUN, BODI, LPSN, PCH, GDEV, OI, SDRL, HP, KLIC, TX, MSGE, AHT, NVDA, AMD, COKE

Performance Summary

Total Trades

11

Total P&L

$1569.05

Notional: $219944.54
Total Return

0.71%

Weighted by notional
Win Rate

45.5%

5 W / 6 L
CouldWin Rate

72.7%

8 could / 11 total
Avg P&L

$142.64

Avg Return: 0.71%
Best Win

$2280.18

Largest Loss

$-935.25

Trade Details 11 positions
ID Symbol Side Entry Price Exit Price Qty P&L % (USD) CouldWin Stop Loss Entry Time Exit Time Duration
5615086 LAC Buy $6.01 $5.84 3326 -2.86% ($-572.40) True $5.86 24/09/25 14:42 24/09/25 15:09 27m
5615085 LAC Buy $5.51 $5.78 3629 4.9% ($979.83) True $5.63 24/09/25 13:42 24/09/25 14:19 37m
5615084 LAC Buy $5.46 $5.40 3662 -1.1% ($-220.45) True $4.91 24/09/25 13:40 24/09/25 13:41 1m
5615099 QS Buy $6.89 $6.68 2902 -3.05% ($-609.71) True $6.70 26/06/25 14:45 26/06/25 15:01 16m
5615100 QS Buy $6.20 $5.91 3225 -4.68% ($-935.25) False $5.94 25/06/25 13:53 25/06/25 14:00 7m
5615147 JOBY Buy $8.63 $8.63 2318 0.06% ($11.59) True $8.65 28/05/25 14:22 28/05/25 14:49 27m
5615132 SPCE Buy $4.58 $4.60 4369 0.42% ($84.32) True $4.35 16/05/25 14:38 16/05/25 14:43 5m
5615130 SPCE Buy $4.09 $4.56 4891 11.4% ($2280.18) True $4.53 16/05/25 13:54 16/05/25 14:36 42m
5615139 QBTS Buy $9.06 $9.43 2208 4.14% ($828.00) True $9.45 08/05/25 14:37 08/05/25 15:37 1h
5615172 GME Buy $29.36 $29.26 681 -0.35% ($-69.19) False $29.29 26/03/25 14:56 26/03/25 15:33 37m
5615171 GME Buy $29.01 $28.71 689 -1.04% ($-207.87) False $28.82 26/03/25 14:31 26/03/25 14:45 14m
Strategy DSL CreativeExit_crossover-ind-mix_141718
Job Like
CONTEXT:
UNIVERSE: SP500
BASE_TZ: America/New_York
CAPITAL: 1_000_000

PARAMS:
sym="{{sym}}",
fast_ema=11,          // Fast EMA period for short-term trend
slow_ema=30,          // Slow EMA period for longer-term trend
vol_period=21,        // Period for volume pace calculation
atr_period=15,        // Period for ATR calculation
atr_mult=3,         // Multiplier for ATR-based trailing stop
risk_frac=0.02,       // Risk fraction for position sizing
min_price=4,        // Minimum price filter
adr_threshold=0.02,   // Minimum ADR threshold (1%)
avg_vol_threshold=1000000,  // Minimum average volume
sector_ema_fast=10,   // Fast EMA for sector ETF trend
sector_ema_slow=26    // Slow EMA for sector ETF trend

STRATEGY "Unstable Basket - Stellar Revert Drift-00e7d1 + Mut-6cb7bd + Mut":
TRIGGER:
// Price and volume filters for large-cap, liquid stocks
LAST(CLOSE(sym, 1m)) > min_price
AND ATR(sym, 1d, 9) / LAST(CLOSE(sym, 1d)) > adr_threshold
AND SMA(VOL(sym, 1d), vol_period) > avg_vol_threshold
// Time window: first 174 minutes of session (assuming 10:23-11:00 NY time, adjust to UTC)
AND TIME_UTC_IN("13:37", "15:00")
// Volume pace exhaustion signal on 1m
AND VOL_PACE(sym, 1d, vol_period) > 3
// Short-term reversal signal: price below fast EMA but above slow EMA (mean reversion zone)
AND LAST(CLOSE(sym, 1m)) < EMA(CLOSE(sym, 1m), fast_ema)
AND LAST(CLOSE(sym, 1m)) > EMA(CLOSE(sym, 1m), slow_ema)
// Higher timeframe confirmation (5m trend alignment)
AND EMA(CLOSE(sym, 5m), fast_ema) > EMA(CLOSE(sym, 5m), slow_ema)
ENTRY: MARKET  // Market entry for immediacy on short-term reversal signal
EXIT:
LAST(CLOSE(sym,1m)) < (HIGHEST(HIGH(sym,1m),25) - 2.9 * ATR(sym,1m,16)) AND CROSSUNDER(CLOSE(sym,1m), EMA(CLOSE(sym,1m),17))
RISK: TRAIL_ATR(atr_period, atr_mult)  // Trailing stop based on ATR for dynamic risk control
SIZING: FIXED_FRACTION(risk_frac)  // Fixed fraction sizing for consistent risk exposure