[Mine-PA] 4-bar exhaustion with trend

public
@djgambhir

BTCUSDT · 1d · 2021-12-252026-08-31 · 1,711 bars in 1.6ms

Underperformed the market. Holding BTCUSDT returned +55.84% over the same period, against this strategy’s -0.86%.

Net P&L
-0.86%
−$85.64
Max drawdown
-6.90%
Max run-up
+5.09%
Trades
30
53.3% win rate
Profit factor
0.94
2021-12-25drawdown · worst -6.90%2026-08-31
TrainingValidationOut-of-sample
SegmentPeriodReturnMax drawdownTradesWin rate
Training2022-01-012024-10-18-2.05%-6.90%1947%
Validation2024-10-182025-09-24+1.18%-2.97%667%
Out-of-sample2025-09-242026-08-31+0.04%-2.40%560%

Risk-adjusted

Sharpe
-0.04
Sortino
-0.06
Calmar
-0.03
Return ÷ max drawdown
-0.12
CAGR
-0.18%
Exposure
6.0%

Per trade

Expectancy
−$2.85 · -0.09%
Average win / loss
$85.03 / −$103.29
Payoff ratio
0.82
Largest win / loss
$212.73 / −$298.06
Longest losing streak(winning: 3)
4 trades

Drawdown over time

Max drawdown
-6.90%
Longest time under water(still going at the end)
1506 days
Worst drawdown recovered in
not recovered

Costs and mechanics

Fees paid
−$74.28
Funding
−$5.66
Liquidations
0
Warmup bars(loaded before the start date)
199
Benchmark(buy and hold)
+55.84%

Monte Carlo

1,000 alternative histories, each 30 trades drawn at random from this run’s own. The bands hold the middle 50% and 90% of them; the solid line is what actually happened.

this runmedian of the historiesmiddle 50% · 90%
Unlucky (5%)TypicalLucky (95%)
Return-11.27%-1.14%+9.46%
Max drawdown-13.25%-6.59%-2.71%

57% of histories lost money, and 46% had a deeper drawdown than this run’s -6.90%. Assumes trades are independent; real losing streaks cluster, so the true spread is usually wider.

Settings

ema200 length
200
atr14 length
14
Stop loss (× atr14)
2
Close after (bars)
10
Leverage (×)
1
Position size (% of equity)
25

BTCUSDT with every trade

Loading prices…
long opened short opened closed at a profit closed at a loss

Trades

30 trades

#SideEntryExitHeldP&LReturnClosed by
1short2022-02-10 00:00 @ 44,349.222022-02-12 00:00 @ 42,374.462d$109.11+4.36%signal
2short2022-06-01 00:00 @ 31,791.542022-06-02 00:00 @ 29,802.861d$156.35+6.19%signal
3short2022-07-17 00:00 @ 21,179.362022-07-19 00:00 @ 23,636.062d−$298.06-11.61%stop loss
4short2022-09-11 00:00 @ 21,635.172022-09-14 00:00 @ 20,166.633d$168.76+6.77%signal
5short2023-01-05 00:00 @ 16,838.832023-01-10 00:00 @ 17,485.645d−$97.47-3.85%stop loss
6short2023-01-12 00:00 @ 17,932.012023-01-12 00:00 @ 18,732.040m−$113.81-4.53%stop loss
7short2023-01-13 00:00 @ 18,834.332023-01-13 00:00 @ 19,761.520m−$123.98-5.00%stop loss
8short2023-01-14 00:00 @ 19,920.322023-01-14 00:00 @ 21,019.150m−$136.01-5.55%stop loss
9long2023-02-06 00:00 @ 22,933.892023-02-08 00:00 @ 23,229.452d$27.25+1.13%signal
10long2023-02-25 00:00 @ 23,180.142023-02-27 00:00 @ 23,540.492d$34.77+1.44%signal
11long2023-05-10 00:00 @ 27,615.722023-05-18 00:00 @ 27,390.228d−$24.54-1.01%signal
12long2023-06-02 00:00 @ 26,810.662023-06-07 00:00 @ 27,216.065d$31.98+1.32%signal
13long2023-07-18 00:00 @ 30,132.032023-07-24 00:00 @ 30,064.896d−$10.08-0.41%signal
14short2023-09-16 00:00 @ 26,585.782023-09-22 00:00 @ 26,557.916d−$0.13-0.01%signal
15long2023-11-15 00:00 @ 35,566.212023-11-16 00:00 @ 37,877.921d$154.72+6.36%signal
16long2024-06-21 00:00 @ 64,866.972024-06-24 00:00 @ 60,899.343d−$155.58-6.30%stop loss
17short2024-09-11 00:00 @ 57,597.682024-09-16 00:00 @ 59,112.325d−$67.14-2.76%signal
18long2024-10-03 00:00 @ 60,634.822024-10-05 00:00 @ 62,041.892d$53.03+2.20%signal
19long2024-10-11 00:00 @ 60,305.362024-10-12 00:00 @ 62,496.501d$85.71+3.53%signal
20long2024-11-03 00:00 @ 69,380.472024-11-07 00:00 @ 75,564.784d$212.73+8.69%signal
21long2025-01-29 00:00 @ 101,299.962025-02-03 00:00 @ 92,763.515d−$216.54-8.65%stop loss
22long2025-02-08 00:00 @ 96,473.792025-02-11 00:00 @ 97,359.723d$19.23+0.79%signal
23long2025-05-31 00:00 @ 103,970.692025-06-02 00:00 @ 105,562.182d$34.41+1.40%signal
24long2025-06-23 00:00 @ 100,924.882025-06-24 00:00 @ 105,269.941d$103.42+4.20%signal
25long2025-08-01 00:00 @ 115,720.442025-08-04 00:00 @ 114,128.073d−$37.51-1.51%signal
26short2026-01-05 00:00 @ 91,478.902026-01-13 00:00 @ 96,536.728d−$136.18-5.50%stop loss
27short2026-01-15 00:00 @ 96,888.622026-01-19 00:00 @ 93,632.724d$80.80+3.31%signal
28short2026-03-13 00:00 @ 70,466.002026-03-19 00:00 @ 71,217.146d−$29.10-1.18%signal
29short2026-04-24 00:00 @ 78,201.762026-04-29 00:00 @ 76,313.465d$55.84+2.27%signal
30short2026-07-05 00:00 @ 63,102.282026-07-09 00:00 @ 62,267.554d$32.37+1.31%signal

How this was run

Orders fill at the next bar’s open, never at the close that produced the signal. When one bar’s range covered both the stop and the target, the stop was taken, because the data cannot say which came first. Fees, slippage and funding are all charged.

Warmup history was loaded from before 2022-01-01 so the requested window is fully tradable.

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