EIGEN MACD Strategy (1h) - Backtest Results
Price Action & Trades
Recent Trade History (Live Proof)
| Entry Date | Exit Date | Type | Entry Price | Exit Price | Profit/Loss Ratio |
|---|---|---|---|---|---|
| Jan 26, 02:00 | Jan 26, 23:00 | Long | $0.3200 | $0.3250 | +1.56% |
| Jan 25, 05:00 | Jan 25, 13:00 | Long | $0.3350 | $0.3320 | -0.9% |
| Jan 24, 22:00 | Jan 25, 04:00 | Long | $0.3350 | $0.3330 | -0.6% |
| Jan 24, 08:00 | Jan 24, 10:00 | Long | $0.3370 | $0.3350 | -0.59% |
| Jan 23, 17:00 | Jan 23, 23:00 | Long | $0.3480 | $0.3350 | -3.74% |
| Jan 23, 02:00 | Jan 23, 15:00 | Long | $0.3340 | $0.3300 | -1.2% |
| Jan 21, 19:00 | Jan 22, 07:00 | Long | $0.3410 | $0.3400 | -0.29% |
| Jan 21, 01:00 | Jan 21, 18:00 | Long | $0.3320 | $0.3280 | -1.2% |
| Jan 20, 20:00 | Jan 20, 23:00 | Long | $0.3330 | $0.3260 | -2.1% |
| Jan 19, 13:00 | Jan 20, 17:00 | Long | $0.3420 | $0.3300 | -3.51% |
Equity Curve
AI Deep AnalysisPowered by algorithmic insights
With only 17.65% winners, this is an outlier-hunting strategy. The few wins must cover many small losses.
Low profit factor (0.44) indicates potential parameter optimization is needed for EIGEN.
This volume (85 trades) means the MACD is highly responsive to EIGEN price action.
During strong EIGEN trends, this MACD captures continuation moves effectively.
Volume filters may improve win rate: require above-average volume for entry confirmation.
Compound growth strategy: reinvest 25% of profits into position size.
Performance Metrics
See Live Signal
Real-time technical analysis
View the current MACD signal for EIGEN with live market data, AI analysis, and trading recommendations.
About The MACD Strategy
Backtest Methodology
Key Takeaways
- Position sizing: 1-2% per trade suggested.
- Stop-loss levels align with EIGEN volatility.
- Drawdown tolerance required for 17.65% win rate.
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