Compounds off current equity each trade — a fixed £ amount becomes a smaller share of the pot as it grows.
RISK MANAGEMENT
Stop Loss ?-%
Trailing Stop-Loss
Trail Distance1.5%
Take Profit ?+%
Min Confidence ?60%
INDICATORS — click name to configure
RSI▸
Length
Oversold level
Overbought level
Bollinger Bands▸
Length
Std dev multiplier
Volume (Surge)▸
Surge multiplier (×avg)
MACD▸
Fast period
Slow period
Signal period
MA Cross▸
Short period
Long period
Donchian Channels▸
Length
INDICATORS — click name to configure
RSI (14)▸
Length
Smoothing
Oversold level
Overbought level
Trigger
Divergence pivot lookback
MACD (12/26/9)▸
Fast period
Slow period
Signal period
Trigger
Divergence pivot lookback
Z-score window (bars)
Bollinger Bands (20, 2.0)▸
Length
Std dev multiplier
Trigger
Squeeze lookback (bars)
Squeeze percentile
Breakout window (bars)
Walk min. consecutive bars
Walk tolerance %
Pattern pivot lookback
Breakout margin %
% below high threshold
% above low threshold
MA Cross (EMA 9/21)▸
EMA short period
EMA long period
MA type
Trigger
Short period
Medium period
Long period
Trigger lookback (bars)
ADX▸
Length
Trend threshold
Trigger
DI cross lookback (bars)
Parabolic SAR▸
Start
Increment
Max step
Flip lookback (bars)
Trigger
Gap narrowing lookback (bars)
Ichimoku Cloud▸
Tenkan period
Kijun period
Senkou period
Trigger
TK cross lookback (bars)
Supertrend▸
Length
Multiplier
Flip lookback (bars)
Trigger
Gap narrowing lookback (bars)
Donchian Channels▸
Length
Trigger
Midline cross lookback (bars)
Exit channel length
Retest lookback (bars)
Retest tolerance %
Hull Moving Average▸
Length
Slope lookback (bars)
Trigger
Price cross lookback (bars)
Fast HMA length
Two HMA cross lookback (bars)
Stochastic Oscillator▸
%K length
%D length
Smoothing
Oversold level
Overbought level
Trigger
Signal cross lookback (bars)
Stochastic RSI▸
Length
%K smoothing
%D smoothing
Oversold level
Overbought level
Trigger
Signal cross lookback (bars)
Divergence lookback (bars)
Commodity Channel Index▸
Length
Oversold level
Overbought level
Trigger
Centerline cross lookback (bars)
Williams %R▸
Length
Oversold level
Overbought level
Trigger
Midline cross lookback (bars)
Divergence lookback (bars)
Trend confirmation lookback (bars)
Rate of Change▸
Length
Momentum threshold %
Trigger
Centerline cross lookback (bars)
Momentum lookback (bars)
Divergence lookback (bars)
Money Flow Index▸
Length
Oversold level
Overbought level
Trigger
Centerline cross lookback (bars)
Divergence lookback (bars)
True Strength Index▸
Long EMA
Short EMA
Signal EMA
Oversold level
Overbought level
Trigger
Centerline cross lookback (bars)
Divergence lookback (bars)
Awesome Oscillator▸
Fast length
Slow length
Trigger
Zero cross lookback (bars)
Twin peaks lookback (bars)
Divergence lookback (bars)
Average True Range▸
Length
Trend lookback (bars)
Trigger
Keltner Channels▸
EMA length
ATR length
Multiplier
Trigger
Midline cross lookback (bars)
Band riding min. consecutive bars
Band riding tolerance %
Squeeze lookback (bars)
Standard Deviation▸
Length
Trend lookback (bars)
Trigger
Chaikin Volatility▸
Range EMA length
ROC length
Trend lookback (bars)
Trigger
Historical Volatility▸
Length
Trend lookback (bars)
Trigger
On Balance Volume▸
Average length
Trigger
Divergence pivot lookback
VWAP▸
Rolling window (bars)
Trigger
Band %
Anchored
Accumulation/Distribution▸
Average length
Trigger
Divergence pivot lookback
Chaikin Money Flow▸
Length
Threshold
Trigger
Centerline cross lookback (bars)
Volume Profile▸
Lookback (bars)
Price bins
Trigger
Breakout lookback (bars)
Fibonacci Retracement▸
Swing lookback (bars)
Level tolerance %
Trigger
Inverse Head & Shoulders▸
Swing sensitivity (bars)
Lookback (bars)
Neckline tolerance %
Trigger
Volume (surge ×1.5)▸
Surge multiplier
SAVED STRATEGIES
NO RESULTS YET
Configure a strategy and press RUN BACKTEST
RUNNING BACKTEST…
Fetching data and computing indicators
✕
BACKTEST FAILED
·
TOTAL RETURN
—
vs buy & hold
WIN RATE
—
—
PROFIT FACTOR
—
>1.5 considered good
SHARPE RATIO
—
>1.0 considered good
MAX DRAWDOWN
—
peak-to-trough
AVG TRADE
—
per trade
BEST TRADE
—
single trade return
WORST TRADE
—
single trade return
TOTAL NET GAIN / LOSS
—
on starting capital
BEST SINGLE GAIN
—
largest winning trade
WORST SINGLE LOSS
—
largest losing trade
AVG GAIN / LOSS PER TRADE
—
mean trade P&L
EQUITY CURVE — HISTORICAL SIMULATION
Strategy
Buy & Hold
TRADE LOG
#
ENTRY DATE
EXIT DATE
ENTRY PRICE
EXIT PRICE
RETURN
£ P&L
EXIT REASON
WHY
EDUCATIONAL USE ONLY |
Growth Capital Group is an educational tool. It is not investment advice. Backtested performance does not predict future results. All investment decisions are your own. Past returns shown are historical and would have been reduced by fees, taxes, and slippage that this simulator may not fully reflect.
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