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Best Trading Strategies for LVMH (MC)

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TTP Intelligent Accumulator

LVMH (MC)

@ 15 min

1.70

Risk Reward

865.81 %

Total ROI

2680

Total Trades

Supertrend Strategy

LVMH (MC)

@ 2 h

1.36

Risk Reward

125.92 %

Total ROI

175

Total Trades

Setup 9.1 Larry Williams

LVMH (MC)

@ 1 h

1.21

Risk Reward

288.67 %

Total ROI

477

Total Trades

Ok signal

LVMH (MC)

@ 1 h

1.20

Risk Reward

324.75 %

Total ROI

243

Total Trades

Statistical Arbitrage Left Leg

LVMH (MC)

@ 1 h

1.19

Risk Reward

207.57 %

Total ROI

1142

Total Trades

Statistical Arbitrage Left Leg

LVMH (MC)

@ Daily

1.18

Risk Reward

135.76 %

Total ROI

288

Total Trades

I11L - Meanreverter 4h

LVMH (MC)

@ 2 h

1.15

Risk Reward

1,648.58 %

Total ROI

742

Total Trades

EMA Slope + EMA Cross Strategy (by ChartArt)

LVMH (MC)

@ 15 min

1.07

Risk Reward

76.83 %

Total ROI

2913

Total Trades
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About LVMH (MC) backtests

What is LVMH (MC)?

LVMH Moët Hennessy Louis Vuitton, commonly abbreviated as LVMH, is the world's leading luxury goods conglomerate. Listed on Euronext Paris, the stock symbol LVMH (MC) represents a bellwether for the luxury sector, comprising a diverse portfolio of renowned brands across fashion, leather goods, wines, spirits, perfumes, cosmetics, watches, jewelry, and select retailing. Trading LVMH stock offers investors exposure to the resilient high-end consumer market, with the company's performance often acting as an indicator of global luxury spending trends. While macroeconomic factors can influence its stock price, LVMH's focus on brand strength, innovation, and geographic diversity continues to drive its robust financial health and growth trajectory. As a blue-chip stock, LVMH attracts investors seeking a combination of consistent dividend payouts and long-term capital appreciation.

MC backtest statistics

Aggregated results of TradeSearcher's backtests on LVMH (MC) over price data from Jan 1994 to Jul 2026. These figures are recomputed automatically as new backtests are added.

3,095
Backtests run
66
Strategies listed
90.9%
Beat buy & hold
0.4%
Median net profit
56.4%
Average win rate
30.6%
Median max drawdown

Performance by strategy type

TypeBacktestsMedian net profitAvg win rateMedian max DDAvg Sharpe
Intraday360.1%44%23.7%0.11
Swing225.2%67%55.8%0.22
Long-term85.2%83.3%79.9%0.18

The 4-hour timeframe recorded the best average Sharpe ratio (0.21) across 7 backtests.

Top MC strategies by profit factor

StrategyTimeframeProfit factorWin rateNet profitTrades
🔒 Premium strategy2-hour21237836100%10.6%82
🔒 Premium strategy2-hour438.1595.2%5.3%62
🔒 Premium strategy1-hour86.4592.3%5.3%91
🔒 Premium strategy4-hour81.1796.7%5%61
🔒 Premium strategydaily17.9488.6%4.6%44
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