美股 AlgoTrading,每日收市前 15分鐘交易紀錄

マキマキ

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182 Like 63 Dislike
日供QQQ5 2025-03-12 17:22:09
大跌都創新高,猛!
マキマキ 2025-03-12 18:46:12
[11 March 2025]

#DVN change stoploss to $33.37
#U change stoploss to $22.99
long #DELL at $91.79 and stoploss at $87.61

Total Number of open positions: 4
long - DELL P&L: 0.02%
long - DVN P&L: -1.42%
short - U P&L: 17.71%
long - XOM P&L: -0.16%
Daily Portfolio P&L% = -0.85%

マキマキ 2025-03-13 12:19:26
[12 March 2025]

#DELL change stoploss to $90.67
#DVN change stoploss to $33.64
#U close position
#XOM close position
short #AMT at $207.18 and stoploss at $211.31
long #AMZN at $198.64 and stoploss at $191.98
short #GD at $261.3 and stoploss at $266.73
short #HSY at $171.79 and stoploss at $179.59
short #JNJ at $163.15 and stoploss at $165.61
long #MRVL at $69.3 and stoploss at $65.47
short #NEE at $72.74 and stoploss at $74.3
long #PANW at $178.88 and stoploss at $174.64
long #SCHW at $74.32 and stoploss at $71.83
long #TSM at $176.46 and stoploss at $171.0

Total Number of open positions: 12
short - AMT P&L: 0.11%
long - AMZN P&L: 0.03%
long - DELL P&L: 2.93%
long - DVN P&L: 0.07%
short - GD P&L: 0.20%
short - HSY P&L: 0.18%
short - JNJ P&L: -0.02%
long - MRVL P&L: -0.01%
short - NEE P&L: -0.01%
long - PANW P&L: -0.06%
long - SCHW P&L: -0.03%
long - TSM P&L: 0.00%
Daily Portfolio P&L% = 0.58%

Daily


Monthly
硬漢守蜜洞 2025-03-13 12:20:11
勁Orz, 可以點樣跟你搵食
大胃王3000 2025-03-13 12:59:06
樓主有料!想請教下你宜家係幾個策略一齊run緊? 同埋邊度有d現成策略既code睇吓個flow係點
マキマキ 2025-03-13 14:39:38
大家研究下就好。我邊有資格教人 😅
マキマキ 2025-03-13 14:42:17
一套策略。係 mean reversion. bb band 出左signal 然後 rsi+ma cross-check.

之前睇開 finlab.tw 同 part time larry
マキマキ 2025-03-14 18:39:35
[13 March 2025]

#AMT change stoploss to $211.45
#GD change stoploss to $266.15
#HSY change stoploss to $176.99
#JNJ change stoploss to $165.92
#MRVL change stoploss to $64.55
#NEE change stoploss to $74.46
#SCHW change stoploss to $71.83
long #BA at $159.06 and stoploss at $154.15
long #NVDA at $115.59 and stoploss at $110.37

Total Number of open positions: 10
short - AMT P&L: -0.03%
long - BA P&L: -0.06%
long - DELL P&L: 0.41%
short - GD P&L: -0.16%
short - HSY P&L: 0.01%
short - JNJ P&L: 0.21%
long - MRVL P&L: -1.51%
short - NEE P&L: 0.11%
long - NVDA P&L: -0.07%
long - SCHW P&L: -0.88%
Daily Portfolio P&L% = -2.65%
保方識python 2025-03-14 19:10:02
請問樓主用咩策略?
マキマキ 2025-03-14 20:42:38
mean reversion..

主要做法係

價嚮保力加通道外;
再以 RSI + volume + 2 條 MA 線去 做 cross check

上通道沽,下通道買
知唔知我係邊個 2025-03-14 20:45:33
勁, 可唔可以講下原理
Rurika 2025-03-14 21:05:43
想請教下樓豬你係會做埋賣空 定係純粹出buy signal就買入,sell signal就賣出
熱檸茶少甜 2025-03-14 21:13:01
貼倉啦你老母…
睇下咩料
マキマキ 2025-03-14 21:16:05
會呀。我會 put 埋。但切記一要stoploss.

long / short 都做。
咁會比較容易戥勻個市。

通常 chok 上落會輸,但食到個浪嘅機會都高。
マキマキ 2025-03-14 21:16:52
您想知道咩原理?可唔可以具體啲?
Rurika 2025-03-15 01:15:07
同埋你個model做咩timeframe?
大膠膠 2025-03-15 01:28:47
我而家暫時都ok, 冇問題, 用一部成廿年前嘅電腦都run到
マキマキ 2025-03-15 09:11:25
Daily. 每日收市前掃一次個 list 入面嘅股票
マキマキ 2025-03-15 09:12:11
用 windows 定 macos ?
マキマキ 2025-03-15 12:01:11
再用 ATR 來推止損
冷貨佬 2025-03-15 14:50:29
有冇人識 Tom Basso? 想試行佢個套 All-weather Trader

睇落算簡單, 但唔知點入手做trade automation
マキマキ 2025-03-15 15:39:09
佢survive first, profit later.

要同時做幾套產品嘅 automation. 都幾有挑戰性。只要 做到 穩定+低壓力 = 長期生存
マキマキ 2025-03-15 15:55:06
[14 March 2025]

#BA change stoploss to $156.18
#DELL change stoploss to $91.95
#GD change stoploss to $265.68
#JNJ change stoploss to $164.34
#MRVL change stoploss to $64.96
#NVDA change stoploss to $114.75
#SCHW change stoploss to $74.44

Total Number of open positions: 10
short - AMT P&L: -1.77%
long - BA P&L: 1.46%
long - DELL P&L: 4.58%
short - GD P&L: -0.33%
short - HSY P&L: 0.79%
short - JNJ P&L: 0.25%
long - MRVL P&L: -1.49%
short - NEE P&L: -0.80%
long - NVDA P&L: 4.63%
long - SCHW P&L: 3.98%
Daily Portfolio P&L% = 1.59%
マキマキ 2025-03-15 15:56:21
唔知仲咩鬼。 Alpaca 連續兩日都 load 唔到圖出來 😅
Rurika 2025-03-15 16:21:25
咁睇落你係每日手動run 一次programme喎,仲以為你24小時開住部機run
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