30-day price trend
Historical fallback shown — live daily closes couldn’t be loaded.
Default 7
Default 21
Default 14
Default 70
Default 30
Guardrails: long SMA is forced above short SMA; RSI thresholds cannot cross. Values persist across refreshes.
SMA / RSI rule over the last 90 days
Replays the same rule against sample historical prices — one signal per day, next-day return as the outcome. Illustrative only. Click a day in the Signal chart above to inspect it here.
Active rule: SMA 7 / SMA 21 · RSI 14 (thresholds 30 / 70)
Buy signals
0
0.0% of days
Sell signals
0
0.0% of days
Hold days
38
100.0% of days
Signal mix
Trade simulation
What if you took every signal?
Applies the 7-day rule between May 29, 2026 and Jul 27, 2026 (60 days) and simulates each buy/sell at a fixed trade size. Adjust fees, slippage, and cooldown below to match your real execution.
Simulation window
60 days in range · data available May 29, 2026 – Jul 27, 2026
Execution assumptions
Round-trip cost 0.140% per trade
Applied on entry and exit.
Price drift on entry and exit.
Skip signals within N days of a trade.
Total P&L
-$2.03
-0.34% ROI on $600.00 traded
Avg trade P&L
-$0.34
Across 6 trades
Max drawdown
-$2.51
524.6% off peak equity
Win rate
33.3%
2 wins · 4 losses
Trades taken
6
Longest streak 2W · 4L
Best / worst
$0.28 / -$0.77
Single-trade extremes
Strategy vs. buy & hold
Buy & hold buys $100.00 at $3480.00 on start and sells at $4086.00 on end (one round-trip cost applied).
| Metric | Your strategy | Buy & hold | Δ |
|---|---|---|---|
| Final P&L | -$2.03 | $17.27 | -$19.31 |
| ROI | -0.34%on $600.00 | +17.27%on $100.00 | -17.61 pp |
| Max drawdown | -$2.51524.6% off peak | -$0.630.5% of capital | -$1.88smaller = better |
Strategy ROI is P&L over total capital cycled through trades (6 × $100.00); buy & hold ROI is P&L over the single $100.00 position. Drawdowns share the same round-trip cost assumption but different capital bases — treat this as a shape comparison, not identical exposure.
Equity curve
Cumulative P&L at $100.00 per trade
Trade log
Showing 6 trades
| # | Action | Entry | Exit | Return | P&L |
|---|---|---|---|---|---|
| 1 | BUY | $3550.00 | $3565.00 | +0.28% | +$0.28 |
| 2 | SELL | $3572.00 | $3560.00 | +0.20% | +$0.20 |
| 3 | SELL | $3625.00 | $3648.00 | -0.77% | -$0.77 |
| 4 | SELL | $3670.00 | $3688.00 | -0.63% | -$0.63 |
| 5 | SELL | $3695.00 | $3710.00 | -0.55% | -$0.55 |
| 6 | SELL | $4055.00 | $4072.00 | -0.56% | -$0.56 |
| Total | -$2.03 | ||||
Simulation assumes you enter at each signal's close and exit at the next daily close. No fees, spreads, or funding costs. Past performance does not guarantee future results.
Buy & sell times
Historical dates when the rule would have flipped to a buy or sell signal over the last 90 days, using the selected timeframe.
—
No buy signals in this window
—
No sell signals in this window
0
over 38 days tested
0
over 38 days tested
Recommendation log
Every recommendation you save appears here with a timestamp and a running outcome versus the current price.