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Contrarian DC Strategy - w Entry SL Pause and TrailingStop

Script from: TradingViewIntraday

Snowflake Inc. (SNOW)

+ Contrarian DC Strategy - w Entry SL Pause and TrailingStop

@ 4 h

1.14

Risk Reward

29.82 %

Total ROI

245

AT&T Inc. (T)

+ Contrarian DC Strategy - w Entry SL Pause and TrailingStop

@ 1 h

1.12

Risk Reward

60.99 %

Total ROI

2227

Sanofi (SAN)

+ Contrarian DC Strategy - w Entry SL Pause and TrailingStop

@ 15 min

1.09

Risk Reward

26.81 %

Total ROI

1998

Tezos / TetherUS (XTZUSDT)

+ Contrarian DC Strategy - w Entry SL Pause and TrailingStop

@ Daily

1.09

Risk Reward

49.79 %

Total ROI

217

AT&T Inc. (T)

+ Contrarian DC Strategy - w Entry SL Pause and TrailingStop

@ 4 h

1.08

Risk Reward

69.98 %

Total ROI

1429

HENRY HUB NATURAL GAS FUTURES (NG1!)

+ Contrarian DC Strategy - w Entry SL Pause and TrailingStop

@ Daily

1.08

Risk Reward

645.56 %

Total ROI

1058

AT&T Inc. (T)

+ Contrarian DC Strategy - w Entry SL Pause and TrailingStop

@ 2 h

1.08

Risk Reward

76.33 %

Total ROI

2148

British Pound/New Zealand Dollar (GBPNZD)

+ Contrarian DC Strategy - w Entry SL Pause and TrailingStop

@ 1 h

1.08

Risk Reward

13.54 %

Total ROI

2206

Ondas Holdings Inc. (ONDS)

+ Contrarian DC Strategy - w Entry SL Pause and TrailingStop

@ 4 h

1.07

Risk Reward

111.89 %

Total ROI

354

Rivian Automotive, Inc. (RIVN)

+ Contrarian DC Strategy - w Entry SL Pause and TrailingStop

@ Daily

1.07

Risk Reward

9.12 %

Total ROI

77

Comcast Corporation (CMCSA)

+ Contrarian DC Strategy - w Entry SL Pause and TrailingStop

@ 15 min

1.06

Risk Reward

21.59 %

Total ROI

1976

Ondas Holdings Inc. (ONDS)

+ Contrarian DC Strategy - w Entry SL Pause and TrailingStop

@ 2 h

1.06

Risk Reward

124.85 %

Total ROI

656

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Contrarian DC Strategy - w Entry SL Pause and TrailingStop backtest statistics

Aggregated across every validated backtest TradeSearcher has run on this strategy. Figures update automatically as new backtests are added — they are not edited by hand. Classified as intraday by holding period.

25
Backtests run
1.1
Avg profit factor
+60%
Avg net profit
+6%
Avg annualized return
29%
Avg max drawdown
0.08
Avg Sharpe ratio

On average, backtests of this strategy beat a buy-and-hold baseline by 86% over the same window.

Performance by asset class

MarketBacktestsAvg profit factorAvg net profitAvg max drawdownAvg Sharpe
Crypto431.1+50%0.09
Stocks7211.1+34%28%0.07
Forex721.1+14%7%0.07

Backtests use the validated-universe filter: non-repainting scripts, over 15 trades, non-excluded. Per-market rows appear only when at least one backtest exists for that asset class.

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