Neuronales Orakel S&P Signal
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| System: täglich long,short |
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| neuronal Parameter | | | | |
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| last Parameter | 11010012 | |
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| Profitability | 1,00 | % | |
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| Signal Prognose | | |
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Das System ist noch im Demo! |
| System 1: |
13.05.2026 | |
steigend | |
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| System 2: |
13.05.2026 | |
out | | | |
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| System 1: Die Signale beziehen sich grundsätzlich auf den jeweiligen Openkurs des Tages S&P ETF Index (SPY.US) |
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| System 2: Die Signale beziehen sich grundsätzlich auf den jeweiligen Open Kurs bis zum Close Kurs des Tages S&P ETF Index (SPY.US) |
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| Beachte Zeitumstellung! | |
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| System 1 |
Long/Short, Lev 1; reinvest=true; SL=false |
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| date |
open/open | |
size | Perf.% |
| G+V |
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| 13.05.2026 | - |
1 | 1,0 |
0,00 | | | | | |
| 12.05.2026 | 736,89 |
0 | 1,0 |
0,00 | | | 0,00 | | |
| 11.05.2026 | 736,45 |
0 | 1,0 |
0,21 | | | 1,52 | | |
| 08.05.2026 | 734,93 |
1 | 1,0 |
0,02 | | | 0,12 | | |
| 07.05.2026 | 735,05 |
0 | 1,0 |
1,84 | | | 13,28 | | |
| 06.05.2026 | 728,16 |
1 | 1,0 |
0,00 | | | 0,00 | | |
| 05.05.2026 | 721,77 |
1 | 1,0 |
-0,24 | | | -1,70 | | |
| 04.05.2026 | 720,07 |
0 | 1,0 |
0,76 | | | 5,44 | | |
| 01.05.2026 | 721,25 |
1 | 1,0 |
0,00 | | | 0,00 | | |
| 30.04.2026 | 714,63 |
1 | 1,0 |
-0,20 | | | -1,46 | | |
| 29.04.2026 | 711,00 |
0 | 1,0 |
0,00 | | | 0,00 | | |
| 28.04.2026 | 711,82 |
0 | 1,0 |
0,00 | | | 0,00 | | |
| 27.04.2026 | 713,17 |
0 | 1,0 |
0,34 | | | 2,42 | | |
| 24.04.2026 | 710,75 |
1 | 1,0 |
-0,18 | | | -1,25 | | |
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| System 2 |
Long/Short/Out; Lev =5 reinvest=false; SL=true 2% 2% |
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| date |
open/close | |
size | Perf.% |
2/2 SL | G+V |
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| 13.05.2026 | - |
2 | 17,0 | |
0 | | | |
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| 12.05.2026 |
736,89 738,18 |
0 | 17,0 |
-0,88 | 0 | 751,63 |
-21,88 | | |
| 11.05.2026 |
736,45 739,3 |
0 | 17,0 |
-1,93 | 0 | 751,18 |
-48,37 | | |
| 08.05.2026 |
734,93 737,62 | 2 |
17,0 | 0,00 | 0 |
0,00 | 0,00 | | |
| 07.05.2026 |
735,05 731,58 |
0 | 17,0 |
2,36 | 0 | 749,75 |
59,01 | | |
| 06.05.2026 |
728,16 733,83 |
1 | 17,2 |
3,89 | 0 | 713,60 |
97,33 | | |
| 05.05.2026 |
721,77 723,77 | 2 |
17,4 | 0,00 | 0 |
0,00 | 0,00 | | |
| 04.05.2026 |
720,07 718,01 |
0 | 17,4 |
1,43 | 0 | 734,47 |
35,76 | | |
| 01.05.2026 |
721,25 720,65 |
1 | 17,3 |
-0,42 | 0 | 706,83 |
-10,40 | | |
| 30.04.2026 |
714,63 718,66 |
1 | 17,5 |
2,82 | 0 | 700,34 |
70,49 | | |
| 29.04.2026 |
711 711,58 |
0 | 17,6 |
-0,41 | 0 | 725,22 |
-10,20 | | |
| 28.04.2026 |
711,815 711,69 |
0 | 17,6 |
0,09 | 0 | 726,05 |
2,20 | | |
| 27.04.2026 |
713,17 715,17 |
0 | 17,5 |
-1,40 | 0 | 727,43 |
-35,05 | | |
| 24.04.2026 |
710,75 713,94 |
1 | 17,6 |
2,24 | 0 | 696,54 |
56,10 | | |
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| Die "Size" (Stückzahl) errechnet sich gem. der Excel Liste aus dem Money-Mangement in Abhängigkeit von der Depotgröße und der maximalen Margin |


| System 1 max Drawdown Orakel | | | | |
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| System 1 Signale Orakel | | | | |
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| System 1 Kennzahlen | |
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| Start | 05.06.2015 |
| Longs Won: |
357 | |
Stoploss Long | k.A. |
% | |
| End | 13.05.2026 | |
Shorts Won: | 269 | | | |
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| Days | 3995 | |
Best Trade: | 9,02 | % |
Stoploss Short | k.A. | % |
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| Leverage | 1,0 | |
Worst Trade: | -8,33 | % | |
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| Winner | 626 |
| Best Trade (Points): | 30,74 | |
Notrade | 0 | 0% | |
| Looser | 682 |
| Worst Trade (Points): | -29,97 |
| Longtrade | 655 | 50% |
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| Trades | 1310 | |
Avg. Trade Length: | 3,0 | d |
Shorttrade | 655 | 50% |
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| Profitability | 0,48 | % |
Winner in row | 10 | | | |
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| Points won: | 2383 | |
Looser in row | 11 | | | |
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| Points loss: | -2358 | |
CRV: | 1,0 | :1 | Performance |
01.01.2026 | 14,5 |
% |
| Average Win: | 1,82 | |
max Drawdown | -51 | % | |
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| Average Loss: | -1,80 | |
Start | 208 | | | |
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| Spread | 0,04% | |
End | 170 | | | |
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| Spread p.a. |
4,72% | |
Performance (Reinvest p.A.) |
-2% | |
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| System 2 Kennzahlen | |
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| Start | 05.06.2015 |
| Longs Won: |
549 | |
Stoploss Long | 2,00 |
% | |
| End | 13.05.2026 | |
Shorts Won: | 548 | | |
36 | | |
| Days | 3995 | |
Best Trade: | 21,63 | % |
Stoploss Short | 2,00 | % |
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| Average Leverage | 5,0 |
| Worst Trade: | -10,00 | % |
| 43 | | |
| Winner | 1096 |
| Best Trade (Points): | 540,85 | |
Notrade | 434 | 17% |
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| Looser | 1043 |
| Worst Trade (Points): | -250,00 |
| Longtrade | 984 | 38% |
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| Trades | 2163 | |
Avg. Trade Length: | 1,0 | d |
Shorttrade | 1179 | 45% |
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| Profitability | 0,51 | % |
Winner in row | 10 | | | |
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| Points won: | 73290 | |
Looser in row | 10 | |
Performance | 01.01.2026 |
0,0 | % |
| Points loss: | -76698 | |
CRV: | 1,0 | :1 | | |
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| Average Win: | 33,88 | |
max Drawdown | -99 | % |
max margin call | -2475 | |
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| Average Loss: | -35,46 |
| Start | 2500,00 | | |
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| Spread | 0,04% | |
End | -908 | | | |
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| Spread p.a. |
38,98% | |
Performance (ohne Reinvest) |
-12% | |
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| Das Moneymanagement basiert auf eine feste Depotgröße. D.h. Gewinne werden nicht wieder reinvestiert Verluste müssen jedoch ausgeglichen werden. |
| Hierdurch ergibt sich im Gesamtbetrachtungszeitraum ein Risiko der Einlage über 2500€ und der max margin call -2475 |
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| System 2 max Drawdown Orakel | | | | |
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