GGT Index Reversion

GGT Index Reversion — a published dip-buying rule for US500 / USTEC (free beta)

What it does

  • Once a day, two minutes before the New York stock market closes (16:00 New York), it looks at the S&P 500 or Nasdaq 100 CFD.
  • BUY when the 2-period RSI is below 5 and the price is above its 200-day average: a sharp short-term dip inside an uptrend.
  • SELL at the first close above the 5-day average. A trade lasts about 3 trading days on average; most of the time the EA is out of the market.
  • Long only. One position. No grid, no martingale, no averaging down, no recovery.
  • Every order is sent with a catastrophe stop 15% below the entry. It is a safety net, not part of the tested rule: the deepest dip inside a trade in the 2014-2026 research data was 11.6% (US500) and 10.5% (USTEC).
  • No DLL, no internet, nothing to download. The on-chart dashboard shows the RSI, both averages, today's decision time and the position.

Where the rule comes from

The 2-period RSI pullback rule was published by Larry Connors and Cesar Alvarez in 2008. We use the published values (RSI 2 below 5, 200-day trend filter, exit above the 5-day average), wrote them down before we tested anything, and did not tune them afterwards.

Read this before you look at any number

  1. Few trades: about 5 a year per index. At the default size the yearly result is small. This is a calm system, not a fast one.
  2. The tested rule has no stop-loss. A trade can stay negative for a week or more. Worst trade in the MT5 test: -666 USD, -6.2% of the account (US500, Feb-Mar 2025: price -5.75% plus 18 nights of swap).
  3. All results below are backtests. This is a beta: run it on a demo account first.

Strategy Tester results (backtest, not live trading), Sep 2021 - Sep 2026

Exness demo prices, 1-minute OHLC, default inputs, 10,000 USD start, size 1x equity, swap and spread included. This server's index history starts in Feb 2020 and the 200-day average needs about 10 months.

Symbol Trades Winners Net profit Profit factor Max equity drawdown
US500 25 80% +1,402 USD (+14.0%) 2.12 8.8%
USTEC 23 74% +1,866 USD (+18.7%) 3.69 8.1%

Longer history: research backtest 2014 - 2026 (Python, not MT5)

The same rule on Dukascopy CFD prices, costs modelled: 0.03% per round trip + 6% a year financing. Size 1x.

  • US500: 59 trades, 80% winners, average +0.59% per trade.
  • USTEC: 57 trades, 77% winners, average +0.69% per trade.
  • 4 losing years out of 13 for each index.
Year US500 USTEC
2014 (part) -0.7% +4.9%
2015 +6.0% +5.8%
2016 +1.0% -3.4%
2017 +3.1% +4.4%
2018 -4.5% -0.8%
2019 -0.5% +2.2%
2020 +1.9% -0.7%
2021 +9.7% +11.8%
2022 -2.8% +1.5%
2023 +1.1% +4.4%
2024 +8.7% +4.2%
2025 +6.2% -1.8%
2026 (to Sep) +6.5% +7.6%

Position size

  • Size = account equity x "Position size" (default 1.0) / value of 1 lot. 1.0 means the position is worth about your equity: no extra leverage.
  • If the broker's minimum lot is at most 2x the planned size, the EA uses the minimum lot; if it is larger, the trade is skipped and the reason is shown on the dashboard.
  • 2x or 3x size doubles or triples both the gains and the dips.

Requirements

  • Symbol: the S&P 500 or Nasdaq 100 CFD (US500, USTEC, US500Cash, NAS100, ...). One chart per index; H1 recommended.
  • The terminal must be running at the New York close: use a VPS.
  • Hedging or netting account. Long index CFDs pay a daily swap, so check your broker's swap before you run it live.
  • Server time: "Auto" (default) reads the terminal clock when live. In the Strategy Tester it recognises Exness (GMT+0) and otherwise reads the Sunday re-open from the price history. For an unusual broker clock, choose "New York close (GMT+2/+3)" or "Fixed GMT offset".

Inputs

  • Strategy: RSI period (2), RSI buy level (5), trend average days (200), exit average days (5). These are the published values; keep them.
  • Execution: decide minutes before the close (2), retry window after the close (10 min), server time mode, fixed GMT offset, max spread % (0.05).
  • Money: position size x equity (1.0), max lot (0 = none), catastrophe stop % (15, 0 = off).
  • Dashboard: corner, position, fonts, buttons, journal copy of the dashboard.
  • Identity: magic number, order comment, research log.

This is a free beta: please report problems in the comments.

Trading involves risk of loss. Past and simulated results do not guarantee future results.

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Pac Man BTC
Thomas Christoph Lipka
Pac Man BTC MT5 Pac Man BTC MT5 is a fully automated Expert Advisor for BTCUSD that combines two different trading systems in one EA: Breakout and Runner . Both systems can be used individually or together. The EA automatically manages entries, pending orders, Stop Loss, Take Profit, Break-Even, trailing and position management. Pac Man BTC MT5 was specifically developed for the high volatility and unique market conditions of Bitcoin. Breakout System The Breakout system works with several intern
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