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BigZ07Next2 Strategy Analysis

I. Strategy Overview​

BigZ07Next2 is a high-frequency trading strategy optimized from NostalgiaForInfinityV8, designed specifically for the Freqtrade quantitative trading platform. The strategy uses multi-timeframe analysis (5-minute as main cycle, 1-hour as information cycle), combining technical indicator sets to achieve dual goals of trend following and mean reversion.

Core Features​

FeatureDescription
Entry Conditions14 independent conditions
Exit Conditions8 independent conditions
Protection Mechanisms12-level ladder take-profit + 4-level trailing stop
Timeframe5-minute main cycle + 1-hour auxiliary
Recommended Positions4-6 pairs
Stoploss Amplitude-10%

II. Strategy Configuration Analysis​

2.1 Basic Parameters​

timeframe = '5m'          # Main trading cycle
info_timeframe = '1h' # Information cycle (for auxiliary judgment)
stoploss = -0.10 # Fixed stoploss -10%
trailing_stop = True # Enable trailing stoploss
trailing_stop_positive = 0.01 # Trailing take-profit pullback threshold
trailing_stop_positive_offset = 0.025 # Trigger position

2.2 Take-Profit Strategy Configuration​

The strategy uses multi-level take-profit mechanism, triggering different exit conditions based on different profit ranges:

  • 0-1%: Basic take-profit (1%)
  • 1-2%: Ladder take-profit (1.8%)
  • 2-4%: Sliding take-profit (1%)
  • Above 4%: Trailing take-profit (1.8%)

2.3 Order Types​

order_types = {
'entry': 'market', # Market entry
'exit': 'market', # Market exit
'stoploss': 'market' # Market stoploss
}

III. Entry Conditions Details​

Strategy contains 14 independent entry conditions, using "OR" logic, satisfying any one condition triggers buy signal.

Condition 0: RSI Oversold + Volume Contraction Confirmation​

  • Price above EMA200
  • 5-minute RSI < 30 (oversold)
  • Close price within 3 days dropped more than 2.4% compared to opening
  • 1-hour RSI < 71
  • Volume expanded then contracted compared to 48-cycle mean

Condition 1: Bollinger Band Lower Rail + Volume Contraction​

  • Price above EMA200 and EMA200_1h
  • Closing price < Bollinger Band lower rail × 0.989
  • 1-hour RSI < 69
  • Volume dropped more than 3.8 times compared to previous cycle

Condition 2: Bollinger Band Lower Rail Breakout Then Rebound​

  • Price above EMA200
  • Closing price < Bollinger Band lower rail × 0.982
  • Volume contraction

Condition 3: 1-Hour EMA200 Above + RSI Oversold​

  • Price above EMA200_1h
  • 5-minute RSI < 14.2
  • Volume contraction

Condition 4: 1-Hour RSI Extremely Low​

  • 1-hour RSI < 16.5
  • Price at Bollinger Band lower rail
  • Volume contraction

Conditions 5-7: MACD Golden Cross + Bollinger Band​

  • EMA26 > EMA12
  • Price at Bollinger Band lower rail
  • MACD histogram positive

Conditions 8-9: Dual RSI Oversold​

  • 1-hour RSI < 20-35
  • 5-minute RSI < 10-28

Condition 10: 1-Hour Bollinger Band + MACD Reversal​

  • 1-hour price at Bollinger Band lower rail
  • MACD histogram turns positive
  • 5-minute RSI < 40.5

Condition 11: Bollinger Band Narrowing + MACD Continuous Rise​

  • Bollinger Band width narrows
  • MACD histogram positive for 5 consecutive periods
  • RSI > 51

Condition 12: Breakout Pattern​

  • Price above EMA200
  • Breaks Bollinger Band lower rail

Condition 13: Extreme Oversold + Capital Outflow​

  • CMF < -0.435
  • RSI < 22
  • Long-term trend upward

IV. Exit Logic Details​

4.1 Multi-Level Exit System​

Strategy implements comprehensive exit protection:

  1. ROI Take-Profit: 4-level time-based targets
  2. Trailing Stop: Dynamic profit protection
  3. Custom Exit: 8 independent conditions
  4. Recovery Mechanisms: For losing positions

4.2 Exit Conditions​

  • 8 independent exit conditions
  • Exit only when profitable (exit_profit_only = True)
  • Custom stoploss after 50 minutes

V. Technical Indicator System​

Trend Indicators​

  • EMA200 (5-minute and 1-hour)
  • EMA50 (1-hour)

Momentum Indicators​

  • RSI (14-period, dual timeframe)
  • MACD (12,26,9)

Volatility Indicators​

  • Bollinger Bands (20,2)

Volume Indicators​

  • Volume mean (48-period, 30-period)
  • CMF

VI. Strategy Pros & Cons​

6.1 Advantages​

  1. Comprehensive protection (12-level take-profit)
  2. Rich entry conditions (14 types)
  3. Multi-timeframe analysis
  4. Recovery mechanisms for losing positions

6.2 Limitations​

  1. High complexity
  2. May exit too early in strong trends
  3. Requires significant monitoring

VII. Applicable Scenarios​

  • Volatile markets
  • Oscillating conditions
  • Markets with clear support/resistance
  • Strong one-sided trends
  • Low volatility environments
  • Illiquid pairs

VIII. Summary​

BigZ07Next2 is a high-frequency strategy optimized from NostalgiaForInfinityV8. Through 14 entry conditions, multi-level take-profit, and comprehensive protection, it builds a sophisticated trading system.

Key Features:

  • 14 independent entry conditions
  • 12-level ladder take-profit
  • 8 exit conditions
  • Suitable for volatile markets

Risk Warning: High complexity requires thorough understanding. Conduct sufficient backtesting and paper trading before live use.