
[潮汐量化]ETH多空趋势策略
Descripción de la señal
The tidal strategy is a quantitative trading strategy that focuses on capturing market trends, with controllable risks and strong profits, relying on rigorous models and mature logic, and excellent stability.
Core performance (no leverage): annualized rate of return ≥200%, maximum drawdown ≤ 18%, win rate ≥55%, profit factor ≥ 2.0, and the indicator ranks at the high-quality level of the industry.
The profit model is a steady cycle of "small profit-small loss-big profit-small profit", rejecting extreme risks, and achieving compound interest with accurate judgment and position management. The risk resistance is outstanding, and the profitability is still stable in the black swan event on the 10th and 11th, and the verification model is reliable.
Leverage suggestion: Built-in position increase mechanism (win rate exceeds 85%), theoretical 10X, actual 3X, ensure that the available margin ≥ 2 times the order amount, control risk and increase profit.
If you need real data, backtest reports and operation details, you can contact me, and the whole process is transparent and traceable.
The Tidal Strategy is a quantitative trading strategy focusing on capturing market trends, with core advantages of controllable risk and strong profitability, relying on rigorous models and mature logic for excellent stability.
Core Performance (without leverage): Annualized return ≥200%, maximum drawdown ≤18%, win rate ≥55%, profit factor ≥2.0, all indicators at high industry level.
Profit model is a steady cycle of "small profit - small loss - big profit - small profit", rejecting extreme risks, achieving compound growth through accurate judgment and position management. With outstanding risk resistance, it maintained stable profits in the October 11th Black Swan event, verifying model reliability.
Leverage Suggestion: Built-in position increasing mechanism (win rate over 85%), theoretical 10X, actual 3X, ensure available margin ≥ twice the order amount to control risk and improve profit.
For real-trading data, backtest reports and operation details, please contact me, with full transparency and traceability.
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Información general
PnL de los suscriptores (USDT)
-68,03
AUM (USDT)131,83
Tasa de ganancia de los suscriptores25,00 %
Horas de activación en los últimos 7 días16
Rendimiento
30 días
APY con backtesting de 30 días
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Pares de trading compatibles
Perpetuo de ETHUSDT
SímboloAPY con backtestingDrawdown máx. en 7 días

No hay datos disponibles
Detalles de activación de la señal
•La visualización se retrasará 24 horas
Símbolo/HoraTipo de entradaCantidad por ordenAcciones
Perpetuo de ETHUSDT
03/04/2026, 21:00:00
Salir de la posición
100,00 %
Salir long
Perpetuo de ETHUSDT
02/04/2026, 22:45:00
Contratos
3
Entrar long
Perpetuo de ETHUSDT
02/04/2026, 10:00:00
Salir de la posición
100,00 %
Salir short
Perpetuo de ETHUSDT
02/04/2026, 09:30:00
Contratos
3
Entrar short
Perpetuo de ETHUSDT
02/04/2026, 05:30:00
Contratos
5
Entrar long
Perpetuo de ETHUSDT
01/04/2026, 01:00:00
Salir de la posición
100,00 %
Salir long
Perpetuo de ETHUSDT
01/04/2026, 00:45:00
Contratos
2
Entrar long
Perpetuo de ETHUSDT
31/03/2026, 23:00:00
Contratos
4
Entrar short
Perpetuo de ETHUSDT
31/03/2026, 09:30:00
Contratos
7
Entrar long
Perpetuo de ETHUSDT
30/03/2026, 08:45:00
Salir de la posición
100,00 %
Salir long
¿Qué es un bot de señales?

Un bot de señales es un modelo de trading que se ejecuta a través de datos del mercado e indicadores técnicos. Hace trading automáticamente en función de un número de señales predefinidas, como un indicador técnico, movimientos de precios, índices de mercado o una combinación de todos ellos.