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Buy Monday, Exit Tuesday with Stop Loss and Take Profit

Script from: TradingViewIntraday

Rocket Companies, Inc. (RKT)

+ Buy Monday, Exit Tuesday with Stop Loss and Take Profit

@ 5 min

1.54

Risk Reward

34.25 %

Total ROI

51

Total Trades

Exxon Mobil Corporation (XOM)

+ Buy Monday, Exit Tuesday with Stop Loss and Take Profit

@ 1 h

1.24

Risk Reward

100.20 %

Total ROI

538

Total Trades

Boeing Company (The) (BA)

+ Buy Monday, Exit Tuesday with Stop Loss and Take Profit

@ 1 h

1.22

Risk Reward

144.77 %

Total ROI

538

Total Trades

Rocket Companies, Inc. (RKT)

+ Buy Monday, Exit Tuesday with Stop Loss and Take Profit

@ 2 h

1.21

Risk Reward

87.68 %

Total ROI

279

Total Trades

Adobe Inc. (ADBE)

+ Buy Monday, Exit Tuesday with Stop Loss and Take Profit

@ 15 min

1.20

Risk Reward

18.91 %

Total ROI

142

Total Trades

PSQ Holdings, Inc. (PSQH)

+ Buy Monday, Exit Tuesday with Stop Loss and Take Profit

@ 1 h

1.20

Risk Reward

49.21 %

Total ROI

126

Total Trades

Rocket Companies, Inc. (RKT)

+ Buy Monday, Exit Tuesday with Stop Loss and Take Profit

@ 1 h

1.18

Risk Reward

77.37 %

Total ROI

279

Total Trades

General Motors Company (GM)

+ Buy Monday, Exit Tuesday with Stop Loss and Take Profit

@ 1 h

1.16

Risk Reward

84.04 %

Total ROI

547

Total Trades

AT&T Inc. (T)

+ Buy Monday, Exit Tuesday with Stop Loss and Take Profit

@ 1 h

1.16

Risk Reward

42.78 %

Total ROI

560

Total Trades

Sanofi (SAN)

+ Buy Monday, Exit Tuesday with Stop Loss and Take Profit

@ 1 h

1.15

Risk Reward

39.16 %

Total ROI

481

Total Trades

Pacific Gas & Electric Co. (PCG)

+ Buy Monday, Exit Tuesday with Stop Loss and Take Profit

@ 1 h

1.15

Risk Reward

53.55 %

Total ROI

548

Total Trades

Ondas Holdings Inc. (ONDS)

+ Buy Monday, Exit Tuesday with Stop Loss and Take Profit

@ 1 h

1.14

Risk Reward

94.39 %

Total ROI

263

Total Trades
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Buy Monday, Exit Tuesday with Stop Loss and Take Profit 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.

24
Backtests run
1.2
Avg profit factor
+56%
Avg net profit
+9%
Avg annualized return
27%
Avg max drawdown
0.10
Avg Sharpe ratio

On average, backtests of this strategy beat a buy-and-hold baseline by 82% over the same window.

Performance by asset class

MarketBacktestsAvg profit factorAvg net profitAvg max drawdownAvg Sharpe
Crypto401.1+33%22%0.09
Stocks6071.2+59%28%0.10
Forex662%

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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