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NFI47V2 Strategy: The Trading Machine of "Choice-Paralysis Terminally Ill"

Nickname: Quantitative Player
Career: Simultaneously flirting with 17 signals, whoever passes counts
Timeframe: 5-Minute chart, but watching 1-Hour chart for big trends


1. What's This Strategy?​

In simple terms, NFI47V2 is:

  • Has 17 entry conditions, each can trigger a buy
  • Has 8 sell signals, plus 12-level take-profit
  • Has three-layer protection mechanism, prevents chasing highs and catching falling knives
  • Code over 1000 lines, 100+ parameters

It's like going on 17 blind dates simultaneously, each with different standards — whoever passes the criteria gets a date


2. Core Settings: Plain English — "Not Greedy, Not Panicked"​

Take-Profit Rules (ROI Table)​

Immediately → take profit at 10%
After 30 minutes → take profit at 5%
After 60 minutes → take profit at 2%

Translation: Demanding when first buying, becomes more tolerant over time. Like when you first job-hunt requiring 20k monthly salary, then accept 10k after can't find work.

Stop-Loss Rules​

Fixed stop-loss: -10%
Trailing stop: activates after 1% profit, exits on 2.5% drawdown from high

3. 17 Entry Conditions: I've Categorized Them for You​

🎯 Category 1: Trend Pullback Entry (2 conditions)​

Core Logic: Major trend is upward — minor pullback is entry opportunity

📉 Category 2: Bollinger Band Lower Band Entry (6 conditions)​

Core Logic: Price drops to BB lower band, usually an oversold signal

📊 Category 3: EMA Deviation Entry (5 conditions)​

Core Logic: EMA12 and EMA26 show negative deviation, price oversold simultaneously

🐊 Category 4: Alligator Breakout Entry (1 condition)​

Core Logic: Alligator multi-line bullish alignment, trend confirmed

🔮 Category 5: EWO Indicator Entry (6 conditions)​

Core Logic: Elliott Wave Oscillator combined with SMA relative position


4. Protection Mechanisms: Three Layers of "Seatbelts"​

🛡️ DIP Protection (Anti-Deep-Drop)​

LevelMeaningPlain English
NormalStandard protection"Don't buy into deep pits"
StrictStrict protection"Only buy small pits, not big ones"
LooseLoose protection"Deep pits are okay, opportunity is rare"

🚀 PUMP Protection (Anti-Chasing-Highs)​

Time WindowMeaningPlain English
24 hoursSurged within the day?"Surged 20% yesterday, don't chase today"
36 hoursSurged within a day and a half?"Surged too much recently, wait and see"
48 hoursSurged within two days?"Surged like crazy in two days, don't be the bag holder"

5. Exit Logic: More Fabulous Than Entries​

5.1 Tiered Take-Profit: How Much Profit Triggers an Exit?​

Making 21.6%+ with RSI < 33.15 → Run!
Making 10%-21.6% with RSI < 45.16 → Run!
...
Making 0%-1.6% with RSI < 45.61 → Can also run!

6. This Strategy's "Personality Traits"​

✅ Pros​

  1. Extremely Cautious: Three-layer DIP + three-layer PUMP protection, chasing highs and catching falling knives nearly impossible
  2. Many Opportunities: 17 entry conditions, one will always trigger
  3. Flexible Take-Profit: 12-level take-profit, automatically adjusts based on market status
  4. Trend Confirmation: Most conditions have 1-hour timeframe trend confirmation

⚠️ Cons​

  1. Too Many Conditions: 17 entry conditions, 1000+ lines of code — changing is headache-inducing
  2. Parameter Explosion: 100+ parameters, optimization is a nightmare
  3. Slow Startup: Needs 400 candles warm-up, equivalent to 33 hours of data
  4. Easy to Overfit: More parameters = easier to "memorize answers"

7. Summary: What Do You Think of This Strategy?​

One-Line Rating​

"A cautious crazy player — flirting with 17 signals simultaneously, but flirting cautiously and professionally"

Who's It For?​

  • ✅ Quantitative traders (fully automated)
  • ✅ People who understand technical analysis
  • ✅ People with VPS
  • ✅ People who like trend-following strategies

Who's It NOT For?​

  • ❌ Manual traders (too many conditions to judge in real-time)
  • ❌ Beginner newbies
  • ❌ People without programming foundation
  • ❌ People wanting to get rich quick

⚠️ Risk Re-Emphasis (Must Read This Section)​

Backtesting Looks Great, Live Trading Requires Caution​

NFI47V2's historical backtesting performance is often extremely impressive — but there's a trap:

Because there are many parameters, the strategy can easily "fit" the optimal solution for past market conditions, but this doesn't mean it can definitely profit in the future.

My Recommendations​

1. Only use Strict-level protection parameters
2. Control trading pairs to 40-50
3. Dry-run for at least 1 month first
4. Live trade only with funds you can afford to lose
5. Check strategy performance regularly — stop if not working

Remember: No matter how good a strategy, the market won'tgive you a heads-up. Test with light positions — survival is most important!