MET / USDT1h

MET Golden Cross Strategy (1h) - Backtest Results

Price Action & Trades

MET / 1h

Recent Trade History (Live Proof)

Entry DateJan 16, 09:00
Exit DateJan 21, 00:00
TypeLong
Entry Price$0.2946
Exit Price$0.2567
PnL-12.86%
Entry DateJan 14, 16:00
Exit DateJan 16, 06:00
TypeLong
Entry Price$0.2800
Exit Price$0.2528
PnL-9.71%
Entry DateDec 22, 07:00
Exit DateJan 8, 15:00
TypeLong
Entry Price$0.2530
Exit Price$0.2649
PnL+4.7%
Entry DateDec 4, 12:00
Exit DateDec 10, 11:00
TypeLong
Entry Price$0.3308
Exit Price$0.3238
PnL-2.12%
Entry DateNov 27, 03:00
Exit DateDec 1, 10:00
TypeLong
Entry Price$0.3436
Exit Price$0.2976
PnL-13.39%

Equity Curve

$-308.62
2025-11-192025-11-302025-12-112025-12-222026-01-022026-01-132026-01-28$0k$0.3k$0.6k$0.9k$1.2k

AI Deep AnalysisPowered by algorithmic insights

Performance Assessment

The 20% accuracy warns of extended losing streaks. Psychological preparation is essential for this MET setup.

Risk-Reward Profile

At 0.10x, consider wider stop-losses to improve average win size on MET.

Signal Frequency

Low activity (5 signals) indicates the Golden Cross waits for high-conviction setups only.

Optimization Insight

Consider adaptive parameters that adjust to MET's current volatility regime.

Market Context

Funding rates and open interest can validate Golden Cross signals for MET derivatives traders.

Volatility Analysis

Low volatility periods may reduce signal frequency but improve individual trade quality for MET.

Analysis based on 5 trades
Review Recommended

Performance Metrics

Win Rate
20%
Profit Factor
0.1
Total Trades
5
Data Period
Last 3 Months

See Live Signal

Real-time technical analysis

View the current Golden Cross signal for MET with live market data, AI analysis, and trading recommendations.

MET1hLIVE

About The Golden Cross Strategy

MET Golden Cross strategy on 1h charts. Early backtest data available for review.

Backtest Methodology

Beyond simple profit/loss, our MET analysis incorporates risk metrics. Each of the 5 trades on the 1h chart was evaluated for maximum adverse excursion and drawdown potential. The 20% success ratio accounts for position sizing and capital preservation rules.

Key Takeaways

  • Position sizing: 1-2% per trade suggested.
  • Stop-loss levels align with MET volatility.
  • Drawdown tolerance required for 20% win rate.

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