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IDTitle of StrategyMarkets TradedInstruments AvailableComplexityBacktest Period SourceBacktest LengthIndicative PerformanceVolatilityMaximum DrawdownSharpe Ratio
535Upgrade your subscription to see this strategy         
823Upgrade your subscription to see this strategy         
441Upgrade your subscription to see this strategy         
12Pairs Trading with StocksequitiesstocksComplex strategy1962-20024111.16%5.85% 1.22
138Upgrade your subscription to see this strategy         
573Upgrade your subscription to see this strategy         
226Upgrade your subscription to see this strategy         
359Upgrade your subscription to see this strategy         
239Upgrade your subscription to see this strategy         
93Upgrade your subscription to see this strategy         
1Asset Class Trend-Followingbonds, commodities, equities, REITsCFDs, ETFs, funds, futuresSimple strategy1973-20083611.27%6.87%-9.53%1.06
44Paired Switchingbonds, equitiesETFs, funds, stocksSimple strategy1991-20112111.3%9.3% 0.78
7Low Volatility Factor Effect in StocksequitiesstocksComplex strategy1986-20062111.3%10.1% 0.72
994Upgrade your subscription to see this strategy         
398Upgrade your subscription to see this strategy         
232Upgrade your subscription to see this strategy         
613Upgrade your subscription to see this strategy         
115Upgrade your subscription to see this strategy         
315Upgrade your subscription to see this strategy         
367Upgrade your subscription to see this strategy         

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