The Nasdaq Aura is a multi-day trend-following system designed for the 15-minute time frame. The system operates on the 15-minute time frame, on USTECH100 1€ . It aligns entries with the primary trend identified on a higher 45-minute chart.
The 3 fundamental pillars:
Entry logic: Uses a breakout strategy relative to the daily opening price. Entry triggers automatically adjust to current market conditions.
Risk management: Protects capital using a dynamic trailing stop and incorporates a breakeven mechanism (moving the stop to the entry price) once a specific profit target is reached to ensure a “risk-free” trade.
Compound growth: Includes a built-in money management module that reinvests 40% of net profits to increase position sizes, with a maximum limit of 5 contracts (adjustable).
Briefly: Enter with momentum, lock in profits quickly, and increase position sizes as your account grows.
It is possible to choose two types of operation without reinvestment of profits with constant size and with reinvestment of profits with incremental size.
Trading Windows (Operating Hours) – Set to Rome – Italy – time (adjustable on your time zone)
The system uses asymmetrical time filters, showing a clear preference for bullish moves:
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Long Trades (Buy): Active from 00:15 to 21:00.
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Strategy: Captures the trend from the early Asian/European sessions through almost the entire US session.
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Short Trades (Sell): Active from 04:00 to 19:00.
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Strategy: A more conservative window to avoid low-liquidity spikes and late-day reversals typical of the Nasdaq.
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Key Takeaway
The system stops entering new trades during the late-night gap (21:00 – 00:15) and restricts short-selling to the most liquid hours. Note that these hours only apply to opening a position; once a trade is live, the protective stops remain active 24/7 until triggered.
Follow you can see backtest results without reinvestment and fixed size 1 contract
Follow you can see backtest results with reinvestments of 40% of the growt and starting size 1 contract:
Below you can see the last real result of the strategy, with reinvestment of 40% of the growt and starting size 0.5 contract:













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