Last update: 06-11-2023Top100 trading strategy crypto weekly – Portfolio
Top100 trading strategy crypto weekly – Positions
#New trades
Balance (k$) Position Entry price Arcelor Mittal 20 Open long 23.330000 Alstom 4 Open long 14.085000 Credit Agricole 2 Open long 11.720000
#Closed trades
Balance (k$) Position Entry price Pnl
#Trades in progress
Balance (k$) Position Entry price Pnl Axa 272 Long in progress 27.455000 0.950000 Bouygues 82 Long in progress 29.370001 14.710000 Hermes 54 Long in progress 1244.305298 48.760000 Schneider Electric 20 Long in progress 158.100006 -4.550000 Vinci 20 Long in progress 103.459999 2.130000 Airbus 17 Long in progress 121.620003 7.200000 Lvmh 12 Long in progress 797.599976 -11.800000 Pernod Ricard 11 Long in progress 196.750000 -12.480000 Safran 10 Long in progress 137.711166 10.650000 Unibail Rodamco Wes 10 Long in progress 49.369999 0.630000 Air Liquide 8 Long in progress 152.619995 7.080000 Societe Generale 8 Long in progress 26.250000 -18.400000 Legrand SA 7 Long in progress 86.220001 -4.620000 Sanofi 6 Long in progress 81.440002 5.760000 Michelin 6 Long in progress 28.980000 -2.210000 Publicis Groupe 6 Long in progress 71.860001 -0.220000 Saint Gobain 5 Long in progress 44.314999 19.890000 Engie 5 Long in progress 14.438000 4.830000 EssilorLuxottica 5 Long in progress 167.960007 3.600000 Stellantis 3 Long in progress 14.440000 18.880000 Carrefour 2 Long in progress 16.440001 4.470000 Orange 1 Long in progress 10.714000 2.370000 L’oreal 1 Long in progress 390.549988 6.380000
#Off-market securities
Balance (k$) Position Teleperformance 108 No position CapGemini 11 No position Veolia Environ. 9 No position Renault 8 No position Stmicroelectronics 8 No position Danone 7 No position Atos 5 No position Thales 5 No position Bnp Paribas 5 No position Kering 4 No position TotalEnergies 3 No position Worldline 2 No position Vivendi 0 No position
«Top40 trading strategy CAC weekly» vs Buy & Hold ?
Top100 trading strategy crypto weekly – Portfolio
Top100 trading strategy crypto weekly – Positions
#New trades
Balance (k$) | Position | Entry price | |
---|---|---|---|
Arcelor Mittal | 20 | Open long | 23.330000 |
Alstom | 4 | Open long | 14.085000 |
Credit Agricole | 2 | Open long | 11.720000 |
#Closed trades
Balance (k$) | Position | Entry price | Pnl |
---|
#Trades in progress
Balance (k$) | Position | Entry price | Pnl | |
---|---|---|---|---|
Axa | 272 | Long in progress | 27.455000 | 0.950000 |
Bouygues | 82 | Long in progress | 29.370001 | 14.710000 |
Hermes | 54 | Long in progress | 1244.305298 | 48.760000 |
Schneider Electric | 20 | Long in progress | 158.100006 | -4.550000 |
Vinci | 20 | Long in progress | 103.459999 | 2.130000 |
Airbus | 17 | Long in progress | 121.620003 | 7.200000 |
Lvmh | 12 | Long in progress | 797.599976 | -11.800000 |
Pernod Ricard | 11 | Long in progress | 196.750000 | -12.480000 |
Safran | 10 | Long in progress | 137.711166 | 10.650000 |
Unibail Rodamco Wes | 10 | Long in progress | 49.369999 | 0.630000 |
Air Liquide | 8 | Long in progress | 152.619995 | 7.080000 |
Societe Generale | 8 | Long in progress | 26.250000 | -18.400000 |
Legrand SA | 7 | Long in progress | 86.220001 | -4.620000 |
Sanofi | 6 | Long in progress | 81.440002 | 5.760000 |
Michelin | 6 | Long in progress | 28.980000 | -2.210000 |
Publicis Groupe | 6 | Long in progress | 71.860001 | -0.220000 |
Saint Gobain | 5 | Long in progress | 44.314999 | 19.890000 |
Engie | 5 | Long in progress | 14.438000 | 4.830000 |
EssilorLuxottica | 5 | Long in progress | 167.960007 | 3.600000 |
Stellantis | 3 | Long in progress | 14.440000 | 18.880000 |
Carrefour | 2 | Long in progress | 16.440001 | 4.470000 |
Orange | 1 | Long in progress | 10.714000 | 2.370000 |
L’oreal | 1 | Long in progress | 390.549988 | 6.380000 |
#Off-market securities
Balance (k$) | Position | |
---|---|---|
Teleperformance | 108 | No position |
CapGemini | 11 | No position |
Veolia Environ. | 9 | No position |
Renault | 8 | No position |
Stmicroelectronics | 8 | No position |
Danone | 7 | No position |
Atos | 5 | No position |
Thales | 5 | No position |
Bnp Paribas | 5 | No position |
Kering | 4 | No position |
TotalEnergies | 3 | No position |
Worldline | 2 | No position |
Vivendi | 0 | No position |
«Top40 trading strategy CAC weekly» vs Buy & Hold ?
For this comparison we started from an initial portfolio of $1000. The initial amount allocated to the «Top40 trading strategies CAC weekly» was split evenly between the 40 securities. It is compared to a Buy & Hold strategy consisting simply of buying and holding its asset.
Historical comparison of cumulative returns with Buy & Hold
Annual comparison of cumulative returns with Buy & Hold
Heatmap of monthly returns
Distribution of returns
Distribution of returns by quantile
Strategy details
«Top trading strategy CAC weekly» is the result of meticulous selection work. Above all, we backtested long and short around 20 strategies. Then, we selected for you the best of them on the basis of their success rate and their risk gain ratio. In order to refine the money management of the trading strategy, we take into account the relative cumulative return between the three strategies for each position taken. We are currently working on incorporating Kelly’s formula into position sizing.
Disclaimer: This article is intended for informational purposes only and does not constitute financial advice. Investors are advised to conduct their own research and consult financial professionals before making investment decisions.
You can also follow :
- Our top 3 BTC daily trading strategies
- Our 3 best ETH daily trading strategies
- Trade on the best platform: Binance (100USDT offered)