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1. Catálogo 2. Elige Core 1 3. Añadir a la cesta 4. Claves API 5. Activar el bot de trading
Nuestra recomendación: para tu primera configuración, utiliza Core 1: es la selección principal y más protegida de DevioLab. Core 2 está pensado para usuarios que aceptan conscientemente un mayor riesgo y drawdowns más profundos.
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¿Qué son Core 1 y Core 2?
DevioLab analiza estrategias de criptomonedas y del mercado bursátil y crea selecciones listas para usar, para que no tengas que revisar cientos de opciones manualmente.
★ Core 1
Una selección de estrategias de cripto y acciones elegida por DevioLab como opción principal, más equilibrada y protegida para empezar, con énfasis en el control del riesgo y del drawdown.
◆ Core 2
Una selección separada y más agresiva de DevioLab para usuarios que aceptan conscientemente mayor riesgo y drawdowns más profundos a cambio de una rentabilidad potencialmente mayor.
AAOI · Applied Optoelectronics, Inc. (5) AAPL · Apple Inc. (7) ALAB · Astera Labs, Inc. (6) AMAT · Applied Materials, Inc. (6) AMD · Advanced Micro Devices, Inc. (7) AMZN · Amazon.com, Inc. (6) ARM · Arm Holdings plc (5) ASML · ASML Holding N.V. (7) ASTS · AST SpaceMobile, Inc. (6) AVGO · Broadcom Inc. (6) BABA · Alibaba Group Holding Limited (6) BE · Bloom Energy Corporation (5) BMNR · BitMine Immersion Technologies, Inc. (5) COHR · Coherent Corp. (5) CRCL · Circle Internet Group, Inc. (5) CRDO · Credo Technology Group Holding Ltd (8) DELL · Dell Technologies Inc. (6) EWY · iShares MSCI South Korea ETF (6) FLNC · Fluence Energy, Inc. (7) GS · The Goldman Sachs Group, Inc. (6) HOOD · Robinhood Markets, Inc. (7) IBM · International Business Machines Corporation (6) INTC · Intel Corporation (6) IREN · IREN Limited (7) LITE · Lumentum Holdings Inc. (6) META · Meta Platforms, Inc. (7) MRVL · Marvell Technology, Inc. (6) MSFT · Microsoft Corporation (7) MSTR · Strategy Inc (8) MU · Micron Technology, Inc. (7) NFLX · Netflix, Inc. (7) NOK · Nokia Oyj (7) NVDA · NVIDIA Corporation (7) PLTR · Palantir Technologies Inc. (8) PYPL · PayPal Holdings, Inc. (5) QQQ · Invesco QQQ Trust (6) RKLB · Rocket Lab Corporation (4) SKHY · SK hynix Inc. (3) SMCI · Super Micro Computer, Inc. (5) SMH · VanEck Semiconductor ETF (4) SNDK · Sandisk Corporation (4) SOXS · Direxion Daily Semiconductor Bear 3X Shares (3) SPCX · Space Exploration Technologies Corp. (3) TSLA · Tesla, Inc. (6) TSM · Taiwan Semiconductor Manufacturing Company Limited (4) USAR · USA Rare Earth, Inc. (4)
Resumen de la estrategia seleccionada

COHRBUSDT

Instrumento bursátil · ejecución mediante Binance
COHRB 0 +37032.65% 1TRAD-EWM2
Recomendado por DevioLab · Core 1 iRecomendación principal de DevioLab: un perfil más protegido, suave y estable centrado en el control del riesgo y del drawdown.
Recomendado por DevioLab · Core 2 iRecomendación más agresiva de DevioLab: acepta mayor riesgo y drawdowns más profundos a cambio de rendimientos potencialmente superiores.
42Operaciones
95.2%Tasa de acierto
+16.17%Operación media
+58.65%Mejor operación
-7.65%Peor operación
+7,984.1%Anualizado
Perfil analítico de la estrategia · ffb0208700d6bb86

Quantitative Strategy Analysis: COHR · Coherent Corp. (15m) Achieves 95.12% Win Rate with Controlled Risk

An in-depth quantitative study of the COHRB 0 +37032.65% 1TRAD-EWM2 algorithm for Coherent Corp. stock. The model boasts an exceptional 6.88 profit factor and a tight 4.87% maximum drawdown over 5 years of historical backtest data.

Leer análisis completo

Strategy profile

This algorithmic trading model is engineered for the equity market, operating on a 15-minute chart for COHR (Coherent Corp.). Ranked first among evaluated strategies for this ticker, it holds a DevioLab Score of 91.36. Across an historical evaluation span of approximately 5.03 years from August 10, 2021, to August 19, 2026, the strategy generated a cumulative historical return of 37,032.65%. The system focuses on selective execution, applying strict entry filters to achieve high directional precision on short-term intraday charts.

Trading rhythm and position duration

An examination of the trading pacing reveals an extremely low trade frequency, definitively setting this strategy apart from high-frequency or scalping systems. Over the 5-year sample, only 41 completed trades were registered, translating to an average of roughly 8.16 trades per year. While specific duration metrics such as average holding hours or days between exits are not explicitly itemized in the dataset, the low trade density demonstrates that positions are taken with extreme selectivity, often leaving the strategy inactive for months while waiting for qualified market structure.

Quality of historical results

The historical performance metrics highlight remarkable consistency. Out of 41 total trades, 39 were profitable, resulting in an extraordinary win rate of 95.12%. The average trade yield stands at 16.63%, paired with a median trade return of 12.52%, indicating solid positive mathematical expectancy per trade. The single best trade delivered a gain of 58.65%. The profit factor reached 6.88, while the top three winning trades collectively accounted for 24.88% of total gross profit, confirming that performance was driven by broad-based trade success rather than a few outliers.

Risk, drawdown and losing behavior

Risk containment throughout the historical backtest was exemplary. The model experienced only 2 losing trades over the entire 5.03-year history, with the worst individual trade returning -4.87%. Correspondingly, the maximum historical equity drawdown capped at 4.87%, perfectly aligning with the loss of the worst single trade. The longest consecutive winning streak spanned 23 trades, whereas the longest losing streak was limited to just 1 trade, demonstrating remarkable resilience against compounding losses.

Behavior through time and yearly stability

Spanning over 5 years of simulated historical data, the strategy maintains a disciplined posture in navigating Coherent Corp. price action. Generating roughly 8.16 trades per year, the model actively avoids choppy, low-probability environments. By trading only during clear structural alignment, it maintains a substantial average gain per trade while keeping exposure time to market turbulence at a minimum.

Strengths and limitations

Key strengths of the model include an outstanding 95.12% win rate, a strictly contained maximum drawdown of 4.87%, a high profit factor of 6.88, and balanced gross profit distribution across trades. The primary limitation lies in the modest sample size of 41 completed trades over 5 years, which naturally warrants statistical caution. Additionally, prolonged operational pauses require strict patience from the trader.

DevioLab analytical conclusion

The COHRB 0 +37032.65% 1TRAD-EWM2 strategy stands out as a highly precise quantitative framework for Coherent Corp. equities, earning its position as the top core strategy for the ticker with a DevioLab Score of 91.36. Its risk-reward dynamics are exceptional, though success in execution hinges on adherence to its low-frequency, high-selectivity design.

Data scope and methodology

This analysis is based on historical backtested closed trade data for COHR stock on a 15-minute timeframe between August 10, 2021, and August 19, 2026. The dataset start date marks the beginning of available historical testing data and should not be interpreted as the asset listing or inception date. Historical performance figures do not guarantee future returns, do not account for live market slippage or variable commission structures, and are provided solely for quantitative research purposes.

Análisis completo de la estrategia