Top 10 Stocks
RS_Rank = Real Win Rate | Sorted by Composite Score
Avg RS_Rank %
--
Avg Win %
--
Avg Confidence %
--
Avg CAGR
--
0%
Off
| Ticker | Signal | ACC% | Trades | WIN% | Sharpe | DRAW% | PROFIT% | CAGR% | Conf | |
|---|---|---|---|---|---|---|---|---|---|---|
| Loading⦠| ||||||||||
π Signal Explanation
| Ticker | Signal | Confidence | Top Indicators | Rationale |
|---|---|---|---|---|
| Loading⦠| ||||
π Guide & Legend
π‘ Confidence Signals
π’β
ELITE (β₯80%)
High conviction. Strong momentum with excellent trend strength.
π’β¬οΈ STRONG (65-79%)
Good setup. Solid momentum with above-average characteristics.
π‘β¬οΈ STANDARD (50-64%)
Moderate quality. Acceptable but requires monitoring.
π΄β¬οΈ WEAK (<50%)
Low confidence. Consider passing or smaller position.
π Metrics Explained
Click any row to expand indicator details (VIX, SVPI, Call/Put, Top Indicators, Rationale).
ACC%:
Classification accuracy on test data. π’β₯65 π‘β₯55 π΄<55
Trades:
Number of backtested trades.
WIN%:
Percentage of profitable trades. π’β₯52 π‘β₯48 π΄<48
Sharpe:
Risk-adjusted return. π’β₯0.5 π‘β₯0 π΄<0
DRAW%:
Drawdown estimate from losing trades. Lower (more negative) = higher risk.
PROFIT%:
Estimated profit (CAGR Γ win rate). Higher = better risk-reward.
CAGR%:
Compound Annual Growth Rate. π’>10 π‘β₯0 π΄<0
Conf:
Model confidence scaled 55-95%. π’β₯70 π‘β₯55 π΄<55