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公开目录 · DEVIOLAB

策略目录

探索算法策略、比较表现,并查看每个模型的完整历史。
不知道从哪里开始?
1. 目录 2. 选择 Core 1 3. 加入篮子 4. API 密钥 5. 激活交易机器人
我们的建议: 首次配置建议使用 Core 1——这是 DevioLab 的主要、更稳健的筛选。Core 2 适合明确愿意承受更高风险和更深回撤的用户。
i
什么是 Core 1 和 Core 2?
DevioLab 会分析加密货币和股票市场策略,并整理成可直接使用的精选组合,让您无需手动筛选数百种方案。
★ Core 1
由 DevioLab 筛选的加密货币与股票策略组合,作为主要、更均衡且更稳健的起步选择,重点控制风险与回撤。
◆ Core 2
DevioLab 的独立进取型精选,适合明确愿意承受更高风险和更深回撤,以换取潜在更高收益的用户。
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)
所选策略概览

MUBUSDT

股票工具 · 通过 Binance 执行
MUB 0 +29017.62% 1TRAD-WDZ7
DevioLab 推荐 · Core 1 iDevioLab 主要推荐:更加防御、平稳且稳定的配置,重点控制风险和回撤。
19交易
94.7%胜率
+42.93%平均交易
+180.67%最佳交易
-0.25%最差交易
+2,795.3%年化
策略分析档案 · 72dbccb8e26877ea

MU · Micron Technology, Inc.: Quantitative Analysis of Algorithmic Strategy MUB 0 +29017.62% 1TRAD-WDZ7

An analytical review of the top-ranked quantitative strategy for Micron Technology, Inc. stock. The model features extreme selectivity with 19 completed trades across nearly seven years of research, a 94.74% win rate, and a 0.25% maximum drawdown.

阅读完整分析

Strategy profile

The algorithmic trading model designated as MUB 0 +29017.62% 1TRAD-WDZ7 ranks first among evaluated strategies for Micron Technology, Inc. (ticker MU) with a DevioLab Score of 88.46 out of 100. Operating on a 15-minute price bar interval within the stock market category, it was selected as the optimal balanced core strategy for this asset. The core mechanism relies on restrictive conditions that filter out market noise, executing trades only during well-defined structural moves. All calculations reflect simulated spot execution without financial leverage.

Trading rhythm and position duration

The defining characteristic of this model is its exceptionally low trade frequency. Over the full historical observation window of 6.92 years, the strategy executed only 19 trades, averaging 2.74 closed trades per year. This behavior is distant from scalping or high-frequency trading. Although explicit holding durations are not detailed in the summary statistics, the low annual frequency highlights a patient position-trading framework where waiting for optimal setups takes months.

Quality of historical results

Cumulative historical profit for the strategy reached 29017.62%, corresponding to an annualized calculation of 2795.34%. Out of 19 closed trades, 18 ended in profit, delivering a win rate of 94.74%. The strategy achieved a profit factor of 7.19. The average trade gain stands at 42.93%, with a median trade gain of 13.90% and a peak winning trade of 180.67%. However, gain concentration is present, as the top 3 winning trades generated 55.27% of total gross profits.

Risk, drawdown and losing behavior

Risk management metrics for this strategy are remarkably strict. The maximum historical equity drawdown was restricted to 0.25%. Over nearly seven years of data, the algorithm suffered only 1 losing trade, which recorded a loss of -0.25% and represents the worst trade in history. The longest winning streak reached 16 consecutive trades, while the maximum losing streak was limited to 1 trade. This demonstrates prompt exit discipline whenever price action deviates from the expected model setup.

Behavior through time and yearly stability

Performance over time is characterized by long periods of inactivity punctuated by high-conviction trade executions. Because granular yearly breakdowns are absent from the dataset, temporal evaluation relies on the total span of 6.92 years. The sparse trading schedule means capital remains idle in cash during non-trending phases, protecting the portfolio from choppy market conditions but requiring substantial patience from the operator.

Strengths and limitations

Key strengths include an outstanding win rate of 94.74%, a strong profit factor of 7.19, and a minimal drawdown profile of 0.25%. Limitations stem primarily from the small sample size of 19 trades over 6.92 years, which introduces curve-fitting sensitivity, alongside a noticeable dependence on heavy outlier trades, given that three wins account for over 55% of total gross profits.

DevioLab analytical conclusion

Strategy MUB 0 +29017.62% 1TRAD-WDZ7 stands out as the premier balanced quantitative model for Micron Technology, Inc. stock, blending high directional accuracy with negligible historical drawdown. It exemplifies an ultra-selective positional approach tailored for patient market participants. This research paper is provided solely for educational and analytical purposes and does not constitute investment advice.

Data scope and methodology

This analysis relies on historical simulated data for Micron Technology, Inc. (MU) spanning September 16, 2019, to August 18, 2026 (6.92 years) on a 15-minute bar timeframe. All metric evaluations assume unleveraged spot trades. Historical backtest returns are strictly hypothetical and do not guarantee future performance.

完整策略分析