ICP Bollinger Bands Strategy (4h) - Backtest Results
Price Action & Trades
Recent Trade History (Live Proof)
| Entry Date | Exit Date | Type | Entry Price | Exit Price | Profit/Loss Ratio |
|---|---|---|---|---|---|
| Jan 12, 08:00 | Jan 13, 12:00 | Long | $3.1250 | $3.3720 | +7.9% |
| Dec 30, 00:00 | Jan 1, 16:00 | Long | $2.8790 | $3.0550 | +6.11% |
| Dec 15, 16:00 | Dec 20, 20:00 | Long | $2.9990 | $3.4380 | +14.64% |
| Dec 1, 00:00 | Dec 9, 16:00 | Long | $3.6030 | $3.6930 | +2.5% |
| Nov 21, 08:00 | Nov 25, 16:00 | Long | $4.3130 | $4.4090 | +2.23% |
| Nov 13, 16:00 | Nov 18, 00:00 | Long | $5.8290 | $5.8080 | -0.36% |
| Oct 28, 20:00 | Nov 1, 08:00 | Long | $3.0630 | $3.2830 | +7.18% |
| Oct 22, 20:00 | Oct 26, 12:00 | Long | $2.9120 | $3.2450 | +11.44% |
| Oct 7, 16:00 | Oct 20, 08:00 | Long | $4.4050 | $3.1590 | -28.29% |
| Sep 30, 16:00 | Oct 1, 08:00 | Long | $4.1010 | $4.3970 | +7.22% |
Equity Curve
AI Deep AnalysisPowered by algorithmic insights
Based on 15 executed trades, the 73.33% accuracy is not a fluke but a consistent pattern in ICP's behavior.
The 2.00 profit ratio places this Bollinger Bands in elite territory. Capital efficiency is maximized.
This trade volume (15) is suitable for traders who prefer selective engagement.
Shorter timeframes show more signals but lower win rates. 4h is the sweet spot.
This Bollinger Bands setup on ICP shows increased effectiveness during moderate volatility regimes.
The combination of 73.33% accuracy and 2.00x PF creates quantifiable alpha.
Performance Metrics
See Live Signal
Real-time technical analysis
View the current Bollinger Bands signal for ICP with live market data, AI analysis, and trading recommendations.
About The Bollinger Bands Strategy
Backtest Methodology
Key Takeaways
- Position sizing: 1-2% per trade suggested.
- Stop-loss levels align with ICP volatility.
- Drawdown tolerance required for 73.33% win rate.
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