Atlas portfolio

Ruben Spaander E V Lee
Ruben Spaander E V Lee
Four years ago, I started with a passion to make money more easily than my 9-to-5, diving into forex and stocks.
I spent 7-8 hours daily strategy testing—pen, paper, notepads full of entries, exits, and numbers, optimizing hundreds of variations.
0 Bewertungen
Zuverlässigkeit
1 Woche
0 / 0 USD
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  • Equity
  • Rückgang
Trades insgesamt:
19
Gewinntrades:
13 (68.42%)
Verlusttrades:
6 (31.58%)
Bester Trade:
2.90 EUR
Schlechtester Trade:
-1.62 EUR
Bruttoprofit:
15.23 EUR (102 187 pips)
Bruttoverlust:
-4.75 EUR (14 019 pips)
Max. aufeinandergehende Gewinne:
7 (10.52 EUR)
Max. Gewinn aufeinanderfolgender Gewinntrades:
10.52 EUR (7)
Sharpe Ratio:
0.48
Trading-Aktivität:
100.00%
Max deposit load:
16.20%
Letzter Trade:
11 Stunden
Trades pro Woche:
35
Durchschn. Haltezeit:
2 Tage
Erholungsfaktor:
4.24
Long-Positionen:
19 (100.00%)
Short-Positionen:
0 (0.00%)
Profit-Faktor:
3.21
Mathematische Gewinnerwartung:
0.55 EUR
Durchschnittlicher Profit:
1.17 EUR
Durchschnittlicher Verlust:
-0.79 EUR
Max. aufeinandergehende Verluste:
2 (-2.23 EUR)
Max. Verlust aufeinanderfolgender Verlusttrades:
-2.23 EUR (2)
Wachstum pro Monat :
1.36%
Algo-Trading:
84%
Rückgang/Kontostand:
Absolut:
2.35 EUR
Maximaler:
2.47 EUR (0.49%)
Relativer Rückgang:
Kontostand:
0.28% (2.28 EUR)
Kapital:
1.57% (12.60 EUR)

Verteilung

Symbol Trades Sell Buy
TSLA.NAS 3
AVGO.NAS 3
XOM.NYSE 2
ORCL.NYSE 2
LLY.NYSE 2
AMZN.NAS 2
NVDA.NAS 1
UNH.NYSE 1
USDJPY 1
ETHUSD 1
AAPL.NAS 1
1 2 3
1 2 3
1 2 3
Symbol Bruttoprofit, USD Loss, USD Profit, USD
TSLA.NAS 2
AVGO.NAS 2
XOM.NYSE -2
ORCL.NYSE 0
LLY.NYSE 4
AMZN.NAS 6
NVDA.NAS 0
UNH.NYSE 1
USDJPY -1
ETHUSD -1
AAPL.NAS 0
1 2 3 4 5 6 7
1 2 3 4 5 6 7
1 2 3 4 5 6 7
Symbol Bruttoprofit, pips Loss, pips Profit, pips
TSLA.NAS 2.4K
AVGO.NAS 24K
XOM.NYSE -588
ORCL.NYSE 133
LLY.NYSE 1.3K
AMZN.NAS 65K
NVDA.NAS -58
UNH.NYSE 1.2K
USDJPY -108
ETHUSD -5.6K
AAPL.NAS 69
20K 40K 60K
20K 40K 60K
20K 40K 60K
  • Deposit load
  • Rückgang
Bester Trade: +2.90 EUR
Schlechtester Trade: -2 EUR
Max. aufeinandergehende Gewinne: 7
Max. aufeinandergehende Verluste: 2
Max. Gewinn aufeinanderfolgender Gewinntrades: +10.52 EUR
Max. Verlust aufeinanderfolgender Verlusttrades: -2.23 EUR

Der durchschnittliche Slippage anhand der Statistik der Ausführung auf echten Konten verschiedener Broker ist in Punkten angegeben. Er hängt von der Differenz zwischen den Währungskursen des Anbieters von "CapitalPointTrading-MT5-4" und des Abonnenten sowie von Verzögerungen in der Ausführung von Orders ab. Je kleiner der Wert ist, desto besser ist die Qualität des Kopierens.

CapitalPointTrading-MT5-4
0.00 × 3
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ATLAS Portfolio — 9 Strategies, One Smooth Equity Curve

ATLAS trades 16 of the largest US stocks (Apple, Microsoft, Nvidia, JPMorgan and others) with nine independent strategies running side by side. Each one looks at the market in a different way:

  • Range position — buys when a stock closes at the very bottom of its daily range in a healthy uptrend, sells when it closes near the top. Automatically exits before earnings announcements.
  • Exhaustion streaks — two separate strategies that buy after four consecutive lower lows or four consecutive red days, and sell into the first sign of strength.
  • Momentum pullback — waits for a stock that just rallied 5%+ in a month, then buys the first 3-day pause within that move.
  • Market structure — reads swing highs and lows on the 8-hour chart and buys when a downtrend structurally flips into an uptrend, with the stop under the last swing low.
  • Intraday reversal — a fast hourly strategy that catches deep oversold snapbacks within daily uptrends.
  • Bear-market specialists — two strategies that only activate when a stock trades below its 200-day average, earning in exactly the periods where dip-buyers usually struggle.
  • Multi-timeframe pullback — buys extended pullbacks on the 4-hour chart with a wide volatility-based trailing stop.

Because these strategies trade different timeframes (1-hour to daily), different market phases (uptrends and downtrends) and different mechanics (mean reversion, momentum and market structure), their results overlap as little as possible — the portfolio was explicitly built so that no single market condition can hurt all strategies at once.

Every position is long-only with a small fixed risk per trade. No martingale, no grid, no averaging down. Optimized on 2018–2024 data only and validated on unseen 2025–2026 data before going live.


Keine Bewertungen
2026.07.30 09:34
Removed warning: Low trading activity - not enough trades detected during the last month
2026.07.27 14:57
Share of trading days is too low
2026.07.27 14:57
Share of days for 80% of trades is too low
2026.07.27 13:57
Share of trading days is too low
2026.07.27 13:57
Share of days for 80% of trades is too low
2026.07.24 06:33
Trading operations on the account were performed for only 0 days. This comprises 0% of days out of the 1 days of the signal's entire lifetime.
2026.07.24 06:33
80% of trades performed within 0 days. This comprises 0% of days out of the 1 days of the signal's entire lifetime.
2026.07.24 06:33
Low trading activity - only 0 trades detected in the last month
2026.07.24 06:33
This is a newly opened account, and the trading results may be of random nature
2026.07.24 06:33
The number of deals on the account is too small to evaluate trading quality
Einloggen oder registrieren und den Zugang zu laufenden Trades des Anbieters zu bekommen
Signal
Preis
Wachstum
Abonnenten
Geldmittel
Kontostand
Wochen
Expert Advisor
Trades
Gewinn
Aktivität
PF
Mathematische Gewinnerwartung
Rückgang
Hebel
30 USD pro Monat
1%
0
0
USD
811
EUR
1
84%
19
68%
100%
3.20
0.55
EUR
2%
1:500
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