SAHARA 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, 19:00 | Jan 28, 06:00 | Long | $0.0239 | $0.0241 | +0.79% |
| Jan 27, 11:00 | Jan 27, 12:00 | Long | $0.0238 | $0.0234 | -1.6% |
| Jan 26, 08:00 | Jan 27, 10:00 | Long | $0.0239 | $0.0237 | -1% |
| Jan 25, 10:00 | Jan 25, 16:00 | Long | $0.0259 | $0.0247 | -4.82% |
| Jan 24, 04:00 | Jan 24, 16:00 | Long | $0.0243 | $0.0246 | +1.11% |
| Jan 23, 17:00 | Jan 23, 19:00 | Long | $0.0244 | $0.0239 | -2.01% |
| Jan 23, 04:00 | Jan 23, 16:00 | Long | $0.0237 | $0.0239 | +0.84% |
| Jan 22, 21:00 | Jan 22, 22:00 | Long | $0.0235 | $0.0234 | -0.34% |
| Jan 21, 03:00 | Jan 22, 09:00 | Long | $0.0230 | $0.0235 | +2.09% |
| Jan 19, 13:00 | Jan 20, 08:00 | Long | $0.0244 | $0.0239 | -2.01% |
Equity Curve
AI Deep AnalysisPowered by algorithmic insights
The 20% win rate indicates a high-risk, high-reward approach. Each winning trade must significantly outpace losses.
The 0.22 ratio warns: this MACD on SAHARA requires near-perfect execution to profit.
This volume (95 trades) means the MACD is highly responsive to SAHARA price action.
The algorithm capitalizes on SAHARA's characteristic volatility patterns on the 1h timeframe.
Token unlock schedules and protocol updates can override technical signals. Monitor fundamentals.
Consider adaptive parameters that adjust to SAHARA's current volatility regime.
Performance Metrics
See Live Signal
Real-time technical analysis
View the current MACD signal for SAHARA with live market data, AI analysis, and trading recommendations.
About The MACD Strategy
Backtest Methodology
Key Takeaways
- Asian session: lower volatility for SAHARA.
- US/EU overlap: best liquidity on 1h.
- Weekend signals on SAHARA may have higher slippage.
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