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Symbols 10

CHAI, CGC, GME, CSX, JAAA, BTCM, BB, AEO, AVDX, AMST

Performance Summary

Total Trades

22

Total P&L

$1166.42

Notional: $1744348.65
Total Return

0.07%

Weighted by notional
Win Rate

40.9%

9 W / 13 L
CouldWin Rate

63.6%

14 could / 22 total
Avg P&L

$53.02

Avg Return: 0.07%
Best Win

$8814.24

Largest Loss

$-5203.25

Trade Details 22 positions
ID Symbol Side Entry Price Exit Price Qty P&L % (USD) CouldWin Stop Loss Entry Time Exit Time Duration
2362271 CGC Buy $1.48 $1.48 53407 -0.32% ($-256.35) False $1.48 07/10/25 16:54 07/10/25 17:13 19m
2362264 AEO Buy $17.62 $17.91 4500 1.65% ($1309.05) True $17.47 04/09/25 13:30 04/09/25 13:56 26m
2362321 CGC Buy $1.52 $1.50 52167 -1.32% ($-1048.56) True $1.51 02/09/25 13:30 02/09/25 13:33 3m
2362270 CSX Buy $35.97 $35.89 2204 -0.24% ($-187.34) False $35.89 12/08/25 15:50 12/08/25 16:08 18m
2362325 CGC Buy $1.49 $1.50 53221 0.34% ($266.11) True $1.45 11/08/25 13:45 11/08/25 13:52 7m
2362291 CSX Buy $35.54 $35.70 2231 0.45% ($356.96) True $35.36 31/07/25 19:59 31/07/25 20:00 1m
2362265 BTCM Buy $7.54 $7.27 10519 -3.56% ($-2822.25) True $6.64 10/07/25 13:35 10/07/25 13:37 2m
2362340 AVDX Buy $9.76 $9.76 8124 0% ($-1.62) False $9.76 13/06/25 13:54 13/06/25 14:21 27m
2362337 GME Buy $21.84 $22.16 3630 1.47% ($1161.60) True $21.89 12/06/25 19:52 12/06/25 20:00 8m
2362298 GME Buy $22.96 $22.90 3454 -0.24% ($-189.97) False $22.95 12/06/25 14:29 12/06/25 14:31 2m
2362305 CSX Buy $31.12 $31.26 2548 0.47% ($373.54) True $31.27 02/06/25 18:40 02/06/25 19:24 44m
2362268 CHAI Buy $6.10 $6.30 13000 3.3% ($2615.60) True $5.95 20/05/25 14:07 20/05/25 14:13 6m
2362263 AMST Buy $3.81 $3.56 20813 -6.56% ($-5203.25) True $3.67 16/05/25 13:30 16/05/25 13:33 3m
2362269 CHAI Buy $1.79 $1.75 44188 -2.49% ($-1970.78) True $1.68 09/05/25 13:57 09/05/25 14:18 21m
2362338 AVDX Buy $9.70 $9.71 8175 0.05% ($40.88) True $9.71 07/05/25 13:39 07/05/25 14:53 1.2h
2362276 JAAA Buy $49.97 $49.95 1586 -0.04% ($-30.93) False $49.95 04/04/25 15:40 04/04/25 16:08 28m
2362304 GME Buy $28.15 $27.70 2817 -1.59% ($-1263.71) True $28.01 26/03/25 13:30 26/03/25 13:34 4m
2362350 BB Buy $4.36 $4.35 18208 -0.23% ($-182.08) False $4.35 21/03/25 18:50 21/03/25 19:02 12m
2362279 JAAA Buy $50.42 $50.52 1572 0.21% ($163.96) True $50.52 20/03/25 14:37 20/03/25 16:32 1.9h
2362267 AMST Buy $3.09 $3.43 25690 11.12% ($8814.24) True $3.32 27/02/25 14:40 27/02/25 14:57 17m
2362277 JAAA Buy $50.85 $50.84 1559 -0.02% ($-14.34) False $50.84 19/02/25 15:28 19/02/25 19:03 3.6h
2362341 BB Buy $4.15 $4.11 19108 -0.96% ($-764.32) False $4.11 07/01/25 16:16 07/01/25 16:23 7m
Strategy DSL [aa1c5] eee Nexus Revert Pulse **FULL** | EXIT Opt: ProfitProtect+RevDetect
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:
(RETURN(CLOSE(sym,1m), 12) > 0.01) AND (CROSSUNDER(CLOSE(sym,1m), EMA(CLOSE(sym,1m), 8)) OR RSI(CLOSE(sym,1m), 14) > 75)
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