200d Moving Average 3x
Today’s Change (Jun 22, 2026)
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About
In uptrends it splits between 3x tech and 3x S&P 500. In downtrends it buys oversold bounces; otherwise it switches to 3x short Nasdaq or short‑term Treasuries. Very volatile and high risk due to daily 3x leverage.
First, it checks if the S&P 500 (SPY) is above its 200‑day average (long‑term uptrend). If yes: invest 50/50 in TECL (3x tech) and UPRO (3x S&P 500). If not:
- If QQQ (Nasdaq‑100) RSI<30 (oversold), buy TECL.
- Else if SPY RSI<30, buy UPRO.
- Else if QQQ is below its 20‑day avg, hold the stronger of SQQQ (3x short Nasdaq‑100) or SHY (short‑term Treasuries) by 10‑day RSI.
- Else: if PSQ (1x short QQQ) RSI<30, use SQQQ; otherwise TECL.
Out-of-sample, this strategy targets ~81% annual return vs SPY ~22%, with Calmar ~1.64 and Sharpe ~1.30. Higher upside and risk-adjusted gains, but larger drawdowns (~50% vs ~19%). Best for risk-tolerant investors seeking big upside.
1M
3M
6M
YTD
1Y
3Y
Max
Performance
Compared to selected benchmarks
| Alpha | Beta | R2 | R | |
|---|---|---|---|---|
| 0.38 | 2.04 | 0.41 | 0.64 |
Performance Metrics
| Cumulative Return | Annualized Return | Trailing 1M Return | Trailing 3M Return | Sharpe Ratio | |
|---|---|---|---|---|---|
| 800.76% | 14.45% | 0.09% | 13.88% | 0.87 | |
| 599,285.35% | 70.59% | 7.12% | 128.97% | 1.25 |
Initial Investment
$10,000.00
Final Value
$59,938,535.46Regulatory Fees
$13,168.81
Total Slippage
$120,601.13
Invest in this strategy
OOS Start Date
Oct 7, 2022
Trading Setting
Threshold 10%
Type
Stocks
Category
Trend following, tactical timing, leveraged etfs, rsi/momentum, long/short, us equities, tech-heavy, risk-on/risk-off
Tickers in this symphonyThis symphony trades 7 assets in total