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IDTitle of StrategyMarkets TradedInstruments AvailableComplexityBacktest Period SourceBacktest LengthIndicative PerformanceVolatilityMaximum DrawdownSharpe Ratio
194Upgrade your subscription to see this strategy         
483Upgrade your subscription to see this strategy         
20Volatility Risk Premium Effectequitiesfutures, options, swapsModerately complex strategy1986-19951026%19% 1.16
256Upgrade your subscription to see this strategy         
398Upgrade your subscription to see this strategy         
929Upgrade your subscription to see this strategy         
123Upgrade your subscription to see this strategy         
790Upgrade your subscription to see this strategy         
372Upgrade your subscription to see this strategy         
161Upgrade your subscription to see this strategy         
49Upgrade your subscription to see this strategy         
864Upgrade your subscription to see this strategy         
90Upgrade your subscription to see this strategy         
558Upgrade your subscription to see this strategy         
802Upgrade your subscription to see this strategy         
815Upgrade your subscription to see this strategy         
402Upgrade your subscription to see this strategy         
829Upgrade your subscription to see this strategy         
460ESG Level Factor Investing StrategyequitiesstocksVery complex strategy2002-2011103.25%   
614Upgrade your subscription to see this strategy         

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