Strategy Report: H1 SPY Trend+MA OOS (2014-2021)

| Strategy Description

Key StatisticsBacktestLiveBacktestLive
Runtime Days2646{{$KPI-DAYS-LIVE}} Drawdown22.1%{{$KPI-LIVE-DRAWDOWN}}
Turnover0%{{$KPI-LIVE-TURNOVER}} Probabilistic SR9%{{$KPI-LIVE-PSR}}
CAGR8.3%{{$KPI-LIVE-CAGR}} Sharpe Ratio0.5{{$KPI-LIVE-SHARPE}}
Capacity (USD)1.9B Sortino Ratio0.4{{$KPI-LIVE-SORTINO}}
Trades per Day0.0{{$KPI-LIVE-TRADES-PER-DAY}} Information Ratio-0.4{{$KPI-LIVE-INFORMATION-RATIO}}
Drawdown Recovery575{{$KPI-LIVE-DRAWDOWN-RECOVERY}}
Monthly Returns
Cumulative Returns
Annual Returns
Returns Per Trade
Asset Allocation
Drawdown
Strategy Report Summary: H1 SPY Trend+MA OOS (2014-2021)
Daily Returns
Rolling Portfolio Beta
Rolling Sharpe Ratio
Leverage
Long-Short Exposure
Strategy Report Summary: H1 SPY Trend+MA OOS (2014-2021)
European Debt Crisis 2014
Market Sell-Off 2015
New Normal 2014-2019
COVID-19 Pandemic 2020
Post-COVID Run-up 2020-2021
Meme Season 2021
Strategy Report Summary: H1 SPY Trend+MA OOS (2014-2021)
Parameters
signal_mode sign lookback 252
ma_period 200 long_only true
use_vol_target false use_ma_overlay true
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 SPY
start 2014-01-01 end 2021-03-31
cost_bps 5