POLYX 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 27, 23:00 | Jan 28, 02:00 | Long | $0.0553 | $0.0545 | -1.45% |
| Jan 26, 01:00 | Jan 27, 10:00 | Long | $0.0533 | $0.0554 | +3.94% |
| Jan 25, 09:00 | Jan 25, 14:00 | Long | $0.0549 | $0.0540 | -1.64% |
| Jan 24, 21:00 | Jan 25, 03:00 | Long | $0.0556 | $0.0549 | -1.26% |
| Jan 24, 12:00 | Jan 24, 15:00 | Long | $0.0562 | $0.0554 | -1.42% |
| Jan 23, 02:00 | Jan 23, 21:00 | Long | $0.0573 | $0.0567 | -1.05% |
| Jan 21, 01:00 | Jan 22, 06:00 | Long | $0.0567 | $0.0581 | +2.47% |
| Jan 19, 08:00 | Jan 20, 08:00 | Long | $0.0612 | $0.0578 | -5.56% |
| Jan 18, 21:00 | Jan 19, 00:00 | Long | $0.0641 | $0.0584 | -8.89% |
| Jan 17, 08:00 | Jan 17, 23:00 | Long | $0.0668 | $0.0664 | -0.6% |
Equity Curve
AI Deep AnalysisPowered by algorithmic insights
The 31.08% accuracy warns of extended losing streaks. Psychological preparation is essential for this POLYX setup.
At 0.77x, consider wider stop-losses to improve average win size on POLYX.
The 74 trade count provides excellent statistical significance for performance evaluation.
Scale into positions: consider splitting entries into 2-3 tranches for larger accounts.
Trend identification is built-in: MACD only triggers when momentum confirms POLYX direction.
Consider adaptive parameters that adjust to POLYX's current volatility regime.
Performance Metrics
See Live Signal
Real-time technical analysis
View the current MACD signal for POLYX 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 POLYX volatility.
- Drawdown tolerance required for 31.08% win rate.
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