Advanced Research - rapmd73/JackrabbitRelay GitHub Wiki
Introduction to Unprecedented Trading Data Analysis
Welcome to our revolutionary data analysis platform, where we unlock the full potential of profitable trading strategies through an unparalleled examination of various time frames, take profit, and stop loss values. Our mission is to empower traders with data-driven insights that lead to more informed decisions, improved performance, and sustainable profitability.
Unmatched Uniqueness and Depth
What sets our data analysis apart is its unmatched uniqueness and depth. We incorporate all supported time frames from the broker/exchange, ensuring a comprehensive analysis with a vast historical perspective. With 5000 candles in each time frame, our platform covers an extensive historical period, offering a multi-dimensional view of market dynamics and price movements.
A Rigorous and Unbiased Methodology
At the core of our methodology lies a rigorous and unbiased approach. Each trade is treated as an independent event, ensuring that our analysis is free from any reliance on specific trading strategies or historical biases. Trades are meticulously evaluated across various time frames, allowing traders to explore trends and correlations that span different market conditions.
Empowering Your Trading Strategy
We understand that achieving consistent profitability requires a combination of precision, insight, and risk management. Our analysis spans an extensive range of take profit and stop loss values, tailored to different asset classes.
For forex trading, we explore take profit values ranging from 5 pips to 30 pips, complemented by stop loss values ranging from 5 pips to 500 pips. These diverse scenarios encompass various risk-reward ratios suitable for short-term and long-term forex traders alike.
In the cryptocurrency market, our testing method covers take profit values from 1% to 30%, and stop loss values from 1% to 50%. These ranges are highly relevant for the crypto market's price volatility, allowing traders to tailor strategies based on their risk tolerance and profit objectives.
Valuable Metrics for Informed Decisions
Our analysis presents key metrics that matter the most: total profits, the number of winning and losing trades, take profit, and stop loss. These rankings serve as a guiding compass, helping you identify the most promising trading opportunities and make well-informed decisions for your portfolio.
Transparency and Reliability
We pride ourselves on transparency and reliability. Our data is sourced directly from the broker/exchange, providing complete visibility and allowing users to verify and validate the results independently. You can trust that our analysis is based on accurate and reliable data, empowering you with the confidence to navigate the markets with certainty.
Time and Storage Requirements
We understand the significance of your time and the computational resources needed for comprehensive data analysis. To ensure the highest level of reliability and statistical significance, our analysis for each trading pair requires approximately 8 hours. Additionally, the extensive dataset necessitates up to 10GB of storage during the analysis process. These resource requirements are essential to deliver accurate and valuable metrics, providing you with a robust foundation for making informed trading decisions.
Community-Driven Feedback
We are committed to continuous improvement, and your feedback is invaluable to us. As part of our community, your input shapes the future direction of our data analysis. Together, we can refine and expand our offerings to meet the evolving needs of traders like you.
The Journey Ahead
As you embark on this data-driven journey with us, we invite you to explore the vast potential our unique analysis holds. Discover correlations, test strategies, and unveil new insights that can elevate your trading experience to new heights. Whether you are a seasoned trader or just starting, our data is here to empower you every step of the way.
Gaining Access to the Research Data
Access to this research is automatic by sponsoring this repository.
We are committed to enhancing the value of our platform for all users, and by sponsoring the Jackrabbit Relay repository, traders gain unparalleled access to cutting-edge research materials, refined strategies, and unique trading insights.
Data provided
For example:
- for the EUR/USD pair from OANDA, a $1000 budget starting with a $20 position, earned $64.15 with 201 winning trades and 35 loosing trades, using a 5 pip take profit with a 20 pip stop loss on the 4 minute timeframe. Here is a partial view of the 4 minute analysis:
---> EUR/USD
Balance: 1000.00000 at 50:1 margin yeilds 50000.00000
Percent per trade: 2
Timeframe: M4
Duration: 17 days, 21:28:00
Take Profit: 5 pips
Stoploss: 20 pips
Reward-to-risk ratio (R:R): 0.25
Win-to-loss ratio (W:L): 5.74
TP - Take profit. SL - Stop loss.
Asset Buy Asset Sell
Date/Time Units StopLoss Price TProfit Date/Time Trigger -> P/L Balance Holding Time
--------------------------------------------------------------------------- --------------------------------------------------------------------------------------
2023-06-26 23:28:00 1000 1.08888 1.09088 1.09138 2023-06-27 01:36:00 TP 1.09148 -> 0.60000 50000.60000 2:08:00
2023-06-27 01:40:00 1000 1.08982 1.09182 1.09232 2023-06-27 01:44:00 TP 1.09249 -> 0.67000 50001.27000 0:04:00
2023-06-27 01:48:00 1000 1.09080 1.09280 1.09330 2023-06-27 06:44:00 TP 1.09336 -> 0.56000 50001.83000 4:56:00
2023-06-27 06:48:00 1000 1.09076 1.09276 1.09326 2023-06-27 07:00:00 TP 1.09388 -> 1.12000 50002.95000 0:12:00
2023-06-27 07:04:00 1000 1.09182 1.09382 1.09432 2023-06-27 08:04:00 TP 1.09439 -> 0.57000 50003.52000 1:00:00
- For the BTC/USDT pair from Kucoin, a $1000 buget with a $20 position, earned $7.03 with 51 winning trades and 9 loosing trades, using a 1% take profit with a 4% stop loss on the 1 hour timeframe. Here is a partial view of the 1 hour analysis:
---> BTC/USDT
Balance: 1000.00000000
Percent per trade: 2
Timeframe: 1h
Duration: 62 days, 11:00:00
Take Profit: 1%
Stoploss: 4%
Reward-to-risk ratio (R:R): 0.25
Win-to-loss ratio (W:L): 5.67
TP - Take profit. SL - Stop loss.
Asset Buy Asset Sell
Date/Time Amount StopLoss Price TProfit Date/Time Trigger -> P/L Balance Holding Time
--------------------------------------------------------------------------- --------------------------------------------------------------------------------------
2023-05-15 04:00:00 0.00073293 26196.19200000 27287.70000000 27560.57700000 2023-05-15 16:00:00 TP 27576.70000000 -> 0.21181705 1000.21181705 12:00:00
2023-05-15 17:00:00 0.00072715 26409.88800000 27510.30000000 27785.40300000 2023-05-18 17:00:00 SL 26366.60000000 -> 0.83164651 999.38017053 3 days, 0:00:00
2023-05-18 18:00:00 0.00075085 25555.20000000 26620.00000000 26886.20000000 2023-05-18 21:00:00 TP 27067.50000000 -> 0.33600498 999.71617551 3:00:00
2023-05-18 22:00:00 0.00074348 25817.08800000 26892.80000000 27161.72800000 2023-05-19 15:00:00 TP 27172.80000000 -> 0.20817507 999.92435058 17:00:00