48 patterns that power algorithmic trading strategies. Click any pattern to learn more and use it.
“Buy MSFT when price drops 5% from recent high”
“Buy TSLA when volume spikes above 2 standard deviations”
“Buy AAPL when price pulls back to the lower Bollinger Band during an uptrend”
“Buy AAPL when RSI drops below 30, sell when it crosses above 70”
“Buy AAPL when it breaks above resistance, pulls back, and holds the level”
“Buy GOOGL when price makes a new 20-bar high, sell when it makes a new 10-bar low”
“Buy AAPL when Bollinger Bands squeeze tight and price breaks upward”
“Only allow entries when the market is in a confirmed uptrend”
“Buy SPY on the 1st of every month”
“Alert when volume spikes while price is falling on TSLA”
“Buy AAPL when price rises on declining volume”
“Buy when both volume and price are declining on AAPL”
“Enter AAPL when price breaks above a trailing resistance”
“Buy AAPL with a trailing entry that follows price down and triggers on reversal”
“Buy NVDA when a flag pattern forms during a strong uptrend”
“Buy AAPL and sell MSFT when their spread widens beyond 2 standard deviations”
“Buy QQQ when SPY starts rallying, since SPY tends to lead”
“Buy AAPL when price drops below the anchored VWAP and starts reverting back”
“Buy AAPL before earnings with a tight stop loss”
“Buy AAPL when it gaps up at the session open with strong volume”
“Buy AAPL when price sweeps below support and quickly reclaims it”
“Each month, hold the top 3 sector ETFs by 3-month momentum from XLK, XLF, XLE, XLV, XLI, XLY, XLP, XLU, XLB, XLRE, XLC”
“Hold the 5 strongest Mag 7 stocks by 6-month return, rebalanced monthly, but only when SPY is above its 200-day average”
“Build an equal-weight basket of AAPL, MSFT, GOOGL, AMZN, NVDA and rebalance to equal weight every month”
“Hold QQQ when SPY is above its 200-day moving average, otherwise rotate into TLT”
“From NVDA, AMD, AVGO, MU, TSM, buy only the names ranking in the top 30% by 1-month relative strength”
“Allocate across XLK, XLF, XLE, XLV in proportion to each sector's RSI, rebalanced weekly”
“Trade the ETH/BTC ratio: buy ETH when the ratio's z-score drops below -2 and exit when it returns to zero”
“Sell $200 of QQQ every week to take profits”
“Sell when price spikes 8% from recent low”
“Sell AAPL when it reaches $250”
“Add a trailing stop loss 2 ATR behind price”
“Exit with a trailing limit sell that follows price up”
“Take partial profits: sell half at 5% gain, rest at 10%”
“Sell MSFT when price bounces to the upper Bollinger Band during a downtrend”
“Sell AAPL when RSI rises above 70”
“Sell when price breaks below support and retests it as resistance”
“Sell when a bear flag pattern forms during a downtrend”
“Close pairs position when spread returns to normal”
“Exit trend following position when price makes a new 10-bar low”
“Sell when Bollinger Bands squeeze and price breaks downward”
“Sell QQQ when the leader asset starts declining”
“Sell when price returns to the anchored VWAP”
“Sell after the event-driven volatility subsides”
“Sell when price gaps down at the session open with volume”
“Only trade AAPL on weekdays between 9:30am and 4pm”