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Choppiness Trading Strategy – S&P 500 (SPY) (#63) Indicator Trading 3% annual return (CAGR)✅ 26%

SKU: 52852525519

4.9
USD199.00 USD246.00

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Description

3% annual return (CAGR)✅ 26% market exposure✅ Risk-adjusted return: 16%✅ Max drawdown: -13%

Built for multi-day trades

1% annual return (CAGR)✅ Only 3% market exposure✅ Risk-adjusted return: 37%✅ Max drawdown: -3%

A short-term swing trading strategy combining MACD and RSI indicators – backtested on the SMH ETF

Tested on GLD – the ETF tracking the price of gold

Choppiness Trading Strategy – S&P 500 (SPY) (#63) Indicator Trading 3% annual return (CAGR)✅ 26%A swing trading strategy partially based on the Choppiness Index designed to detect and adapt to choppy versus trending conditions. Backtested on the SPY ETF for consistent short term performance. 319 trades 0. 6% average gain per trade 74% win rate Profit factor: 2. 3 5. 5% annual return (CAGR) 10% market exposure Risk adjusted return: 55% Max drawdown: 19% Youll get the full trading rules ready to test and validate. Some example code for popular

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