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Etf Cointegration

Mean reversion on cointegrated ETF pairs via z-score spread trading

3Y
Total Return
+0.0%
3Y
Sharpe Ratio
0.00
3Y
Max Drawdown
0.0%
3Y
Win Rate
0.0%
3Y
Alpha
-65.4%
3Y
Comp. Score *
0.00
Risk Parameters
Max Allocation0.0%
Stop Loss10.0%
Take Profit5.0%
Max DD Tolerance0.0%
Rebalanceweekly
Execution Guidance
Order TypeLimit
Entry RuleEnter when Z-score exceeds 2.0. Exit when Z returns to 0.
TimingWAIT FOR SIGNAL: Only enter when price spread between paired stocks reaches extreme levels. *
ScalingFull position at entry. No scaling — it's a convergence trade.
Positions — Vol-Adjusted Sizing
SymbolActionVol Stop LossTake ProfitSizeLinks