EMA + BB Pullback Strategy (Long & Short)
Top 55 Backtests of EMA + BB Pullback Strategy (Long & Short)
Explore the most profitable cryptocurrency and stock backtests with EMA + BB Pullback Strategy (Long & Short) Strategy (on TradingView).
GE Vernova Inc. (GEV)
+ EMA + BB Pullback Strategy (Long & Short)
@ 2 h
2.20
Risk Reward65.35 %
Total ROI71
Total TradesGE Vernova Inc. (GEV)
+ EMA + BB Pullback Strategy (Long & Short)
@ 4 h
2.07
Risk Reward45.88 %
Total ROI41
Total TradesU.S. TREASURY BOND FUTURES (ZB1!)
+ EMA + BB Pullback Strategy (Long & Short)
@ 5 min
1.90
Risk Reward11.00 %
Total ROI616
Total Trades10 Year T-Note Futures (ZN1!)
+ EMA + BB Pullback Strategy (Long & Short)
@ 5 min
1.82
Risk Reward5.55 %
Total ROI708
Total Trades10 Year T-Note Futures (ZN1!)
+ EMA + BB Pullback Strategy (Long & Short)
@ 15 min
1.65
Risk Reward8.72 %
Total ROI757
Total TradesRocket Companies, Inc. (RKT)
+ EMA + BB Pullback Strategy (Long & Short)
@ 4 h
1.62
Risk Reward100.50 %
Total ROI172
Total TradesU.S. Dollar/South African Rand (USDZAR)
+ EMA + BB Pullback Strategy (Long & Short)
@ 15 min
1.55
Risk Reward17.91 %
Total ROI1294
Total TradesONDO / TetherUS (ONDOUSDT)
+ EMA + BB Pullback Strategy (Long & Short)
@ Daily
1.54
Risk Reward18.61 %
Total ROI61
Total TradesU.S. Dollar/Japanese Yen (USDJPY)
+ EMA + BB Pullback Strategy (Long & Short)
@ 5 min
1.50
Risk Reward3.31 %
Total ROI1120
Total TradesEuro Fx/New Zealand Dollar (EURNZD)
+ EMA + BB Pullback Strategy (Long & Short)
@ 15 min
1.47
Risk Reward8.90 %
Total ROI1617
Total TradesTOTALENERGIES (TTE)
+ EMA + BB Pullback Strategy (Long & Short)
@ 15 min
1.47
Risk Reward58.13 %
Total ROI989
Total TradesU.S. TREASURY BOND FUTURES (ZB1!)
+ EMA + BB Pullback Strategy (Long & Short)
@ 15 min
1.44
Risk Reward12.40 %
Total ROI708
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EMA + BB Pullback Strategy (Long & Short) 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.
On average, backtests of this strategy beat a buy-and-hold baseline by 23% over the same window.
Performance by asset class
| Market | Backtests | Avg profit factor | Avg net profit | Avg max drawdown | Avg Sharpe |
|---|---|---|---|---|---|
| Crypto | 43 | 1.2 | +23% | — | 0.18 |
| Stocks | 355 | 1.2 | +34% | 20% | 0.18 |
| Forex | 66 | 1.3 | +10% | 4% | 0.42 |
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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