Strategy Report: H1 AAPL Trend+VolTarget (full 1998-2026)

| Strategy Description

Key StatisticsBacktestLiveBacktestLive
Runtime Days10402{{$KPI-DAYS-LIVE}} Drawdown28.7%{{$KPI-LIVE-DRAWDOWN}}
Turnover0%{{$KPI-LIVE-TURNOVER}} Probabilistic SR2%{{$KPI-LIVE-PSR}}
CAGR11.4%{{$KPI-LIVE-CAGR}} Sharpe Ratio0.5{{$KPI-LIVE-SHARPE}}
Capacity (USD)8.5B Sortino Ratio0.5{{$KPI-LIVE-SORTINO}}
Trades per Day0.0{{$KPI-LIVE-TRADES-PER-DAY}} Information Ratio-0.7{{$KPI-LIVE-INFORMATION-RATIO}}
Drawdown Recovery1540{{$KPI-LIVE-DRAWDOWN-RECOVERY}}
Monthly Returns
Cumulative Returns
Annual Returns
Returns Per Trade
Asset Allocation
Drawdown
Strategy Report Summary: H1 AAPL Trend+VolTarget (full 1998-2026)
Daily Returns
Rolling Portfolio Beta
Rolling Sharpe Ratio
Leverage
Long-Short Exposure
Strategy Report Summary: H1 AAPL Trend+VolTarget (full 1998-2026)
DotCom Bubble 2000
September 11, 2001
U.S. Housing Bubble 2003
Global Financial Crisis 2007
Flash Crash 2010
Fukushima Meltdown 2011
U.S. Credit Downgrade 2011
ECB IR Event 2012
European Debt Crisis 2014
Market Sell-Off 2015
Recovery 2010-2012
New Normal 2014-2019
COVID-19 Pandemic 2020
Post-COVID Run-up 2020-2021
Meme Season 2021
Russia Invades Ukraine 2022-2023
AI Boom 2022-Present
Strategy Report Summary: H1 AAPL Trend+VolTarget (full 1998-2026)
Parameters
signal_mode sign lookback 252
ma_period 200 long_only true
use_vol_target true use_ma_overlay false
target_vol 0.15 vol_lookback 63
max_leverage 1.0 base_weight 1.0
rebalance_days 21 rebal_threshold 0.05
buy_hold false symbol AAPL
start 1998-01-02 end 2026-06-26
cost_bps 5