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Faber Ivy5 TAA with Inverted Logic — 2000 to 2024

Last Update: Dec. 29, 2024 4:18 a.m. (1 day, 4 hours ago)
NOT AN INVESTMENT ADVICE. RESULTS ARE HYPOTHETICAL AND SIMULATED. READ OUR DISCLAIMER.

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Current Positions and Signals

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Last Six Months
Last Three Years

Last 10 Trades
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Logarithmic Equity Curve with Drawdown

Linear Equity Curve with Drawdown

Underwater Equity Curve

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Yearly Percent Returns

Yearly Percent Returns Distribution

Yearly Performance Summary

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Monthly Percent Returns

Monthly Percent Returns with Benchmark

Monthly Percent Returns Distribution

Percent Returns Heatmap

Monthly Performance Summary

Overall Summary
Model Benchmark
Start Date 2000-01-01 2000-01-01
End Date 2024-12-27 2024-12-27
Time Elapsed 25 years 25 years
Starting Equity $100,000.00 $100,000.00
Ending Equity $494,237.58 $643,163.89
CAGR % 6.61% 7.74%
Max % Drawdown (14.90%) (54.82%)
Standard Deviation 1.98% 4.38%
Annualized Sharpe 0.54 0.37
MAR Ratio 0.44 0.14
Win Rate % 47.2% 0.0%
Avg Win / Loss Ratio 3.43
Expectancy $1.09
Avg Win % 4.28% 0.00%
Avg Loss % (0.93%) 0.00%
Longest Drawdown Duration 30.5 months 73.5 months
Avg Trades Per Year 4.24 0.00
Equity Breakdown
Model Benchmark
Starting Equity $100,000.00 $100,000.00
Ending Equity $494,237.58 $643,163.89
Open Equity $39,366.77 $543,163.89
Gross Profit $483,946.44 $0.00
Gross Loss ($158,238.91) $0.00
Net Profit $325,707.53 $0.00
Net Long Profit $325,707.53 $0.00
Net Short Profit $0.00 $0.00
Net Long Profit as % of Net Profit 100.0%
Net Short Profit as % of Net Profit 0.0%
Earned Dividends $0.00 $0.00
Earned Interest $29,163.28 $0.00
Margin Interest $0.00 $0.00
Total Slippage $0.00 $0.00
Total Forex Carry $0.00 $0.00
Total Commissions $0.00 $0.00
Expenses
Model Benchmark
Margin Interest $0.00 $0.00
Total Commissions $0.00 $0.00
Round Turns 1,120.0 0.0
Commissions Per Round Turn $0.00 $0.00
Slippage Per Round Turn $0.00 $0.00
Risk / Reward
Model Benchmark
MAR Ratio 0.44 0.14
Calmar Ratio 0.61 0.15
Modified Sharpe Ratio 0.97 0.57
Robust Sharpe Ratio 0.88 0.58
R-Squared 0.9380 0.8779
Profit Expectation
Model Benchmark
CAGR % 6.61% 7.74%
RAR 5.99% 8.86%
Profit Factor 3.06 0.00
Percent Profit Factor 4.11 0.00
Expectancy $1.09
Percentage Expectancy 0.08 0.00
Total Equity Drawdowns
Model Benchmark
Max % Drawdown (14.90%) (54.82%)
Longest Drawdown Duration 30.5 months 73.5 months
Max Monthly % Drawdown (10.84%) (50.54%)
Avg of Top-5 Max % Drawdowns (10.73%) (35.85%)
Avg Duration of Top-5 Longest Drawdowns 24.2 months 33.2 months
Avg of All % Drawdowns (1.36%) (1.93%)
Std Dev of All % Drawdowns 2.10% 5.38%
Closed Equity Drawdowns
Model Benchmark
Closed-Equity Max % Drawdown (8.54%) 0.00%
Closed-Equity Max Monthly % Drawdown (8.54%) 0.00%
Closed-Equity Avg of All % Drawdown (2.80%) 0.00%
Closed-Equity Std Dev of All % Drawdown 2.71% 0.00%
Trades
Model Benchmark
Win Rate % 47.2% 0.0%
Lose Rate % 52.8% 0.0%
Winning Trades 50 0
Losing Trades 56 0
Total Trades 106 0
Max Consecutive Wins 6 0
Max Consecutive Losses 8 0
Avg Trade Duration 284.0 days 0.0 days
Avg Winning Trade Duration 514.2 days 0.0 days
Avg Losing Trade Duration 78.4 days 0.0 days
Largest Winning Trade $61,124.70 $0.00
Largest Losing Trade ($9,079.40) $0.00
Largest Win as % of Net Profit 18.77%
Avg Win $9,678.93 $0.00
Avg Loss ($2,825.69) $0.00
Avg Win / Loss Ratio 3.43
Avg Trade $3,072.71 $0.00
Avg Win % 4.28% 0.00%
Avg Loss % (0.93%) 0.00%
Avg Trade % 1.53% 0.00%
Avg Risk % (18.07%) 0.00%
Avg Trades Per Year 4.24 0.00
Avg Trades Per Month 0.35 0.00
Avg Trades Per Day 0.01 0.00
Monthly Win / Loss Profile
Model Benchmark
Winning Months % 65.7% 64.7%
Losing Months % 34.3% 35.3%
Winning Months 197 194
Losing Months 103 106
Total Months 300 300
Max Consecutive Winning Months 11 15
Max Consecutive Losing Months 4 5
Yearly Win / Loss Profile
Model Benchmark
Winning Years % 84.0% 76.0%
Losing Years % 16.0% 24.0%
Winning Years 21 19
Losing Years 4 6
Total Years 25 25
Max Consecutive Winning Years 8 9
Max Consecutive Losing Years 1 3
Rolling Periods
Model Benchmark
Rolling 3-Month Win Rate 67.1% 69.1%
Rolling 6-Month Win Rate 75.3% 72.2%
Rolling 12-Month Win Rate 78.2% 76.5%
Rolling 3-Year Win Rate 100.0% 78.3%
Rolling 5-Year Win Rate 100.0% 85.7%
Rolling 10-Year Win Rate 100.0% 93.8%
Rolling 3-Month Periods 298 298
Rolling 6-Month Periods 295 295
Rolling 12-Month Periods 289 289
Rolling 3-Year Periods 23 23
Rolling 5-Year Periods 21 21
Rolling 10-Year Periods 16 16
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Trade By Trade Chart
Instrument


Profit % Distribution

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Last Available Instrument Data

Current Open Positions

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New Open Orders

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