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Ochados Management 1
(135408319)

Created by: Ochados Ochados
Started: 05/2021
Stocks
Last trade: 9 days ago
Trading style: Equity Trend-following Momentum

Subscriptions not available

No subscriptions are currently available for this strategy because the strategy manager has capped the maximum number of subscribers.

Subscription terms. Subscriptions to this system cost $30.00 per month.

C2Star

C2Star is a certification program for trading strategies. In order to become "C2Star Certified," a strategy must apply tight risk controls, and must exhibit excellent performance characteristics, including low drawdowns.

You can read more about C2Star certification requirements here.

Note that: all trading strategies are risky, and C2Star Certification does not imply that a strategy is low risk.

Trading Category: Equity
Trend-following
Category: Equity

Trend-following

Tries to take advantage of long, medium or short-term moves that seem to play out in various markets. Typically, trend-following analysis is backward looking; that is, it attempts to recognize and profit from already-established trends.
Momentum
Category: Equity

Momentum

Aims to capitalize on the continuance of existing trends in the market. Trader takes a long position in an asset in an upward trend, and short-sells a security that has been in a downward trend. While similar to Trend-following, tends to be more forward-looking (predicting oncoming trend), while Momentum is more backward-looking (observing already-established price direction).
4.2%
Cumul. Return

Rate of Return Calculations

Overview

To comply with NFA regulations, we display Cumulative Rate of Return for strategies with a track record of less than one year. For strategies with longer track records, we display Annualized (Compounded) Rate of Return.

How Cumulative Rate of Return is calculated

= (Ending_equity - Starting_equity) / Starting_equity

Remember that, following NFA requirements, strategy subscription costs and estimated commissions are included in marked-to-market equity calculations.

All results are hypothetical.

(2.1%)
Max Drawdown
97
Num Trades
44.3%
Win Trades
2.0 : 1
Profit Factor
100.0%
Win Months
Hypothetical Monthly Returns (includes system fee and Typical Broker commissions and fees)
 JanFebMarAprMayJunJulAugSepOctNovDecYTD
2021                            +2.1%+2.1%                                    +4.2%

Model Account Details

A trading strategy on Collective2. Follow it in your broker account, or use a free simulated trading account.

Advanced users may want to use this information to adjust their AutoTrade scaling, or merely to understand the magnitudes of the nearby chart.

System developer has asked us to delay this information by 168 hours.

Trading Record

Download CSV
Long
Short
Both
Win
Loss
Both
Show More details Show Fewer details
Opened Date/TimeSymbolDescriptionSideQtyAvg PriceClosed Date/TimeAvg PriceDrawdownP/L
5/20/21 9:31 CHMI CHERRY HILL MORTGAGE INVESTMEN LONG 205 9.79 6/3 12:07 10.00 0.04%
Trade id #135698708
Max drawdown($36)
Time5/20/21 9:54
Quant open205
Worst price9.61
Drawdown as % of equity-0.04%
$39
Includes Typical Broker Commissions trade costs of $4.10
5/20/21 9:31 SCPL SCIPLAY CORPORATION CLASS A COMMON STOCK LONG 119 16.76 6/3 12:06 16.92 0.06%
Trade id #135698671
Max drawdown($61)
Time5/25/21 0:00
Quant open119
Worst price16.24
Drawdown as % of equity-0.06%
$17
Includes Typical Broker Commissions trade costs of $2.38
5/20/21 9:31 QTWO Q2 HOLDINGS INC LONG 21 94.49 6/3 12:05 94.77 0.03%
Trade id #135698642
Max drawdown($25)
Time6/1/21 0:00
Quant open21
Worst price93.27
Drawdown as % of equity-0.03%
$6
Includes Typical Broker Commissions trade costs of $0.42
5/10/21 11:33 PRGO PERRIGO COMPANY PLC LONG 70 44.64 6/3 12:05 47.21 0.09%
Trade id #135538878
Max drawdown($93)
Time5/11/21 0:00
Quant open48
Worst price41.95
Drawdown as % of equity-0.09%
$179
Includes Typical Broker Commissions trade costs of $1.40
5/20/21 9:31 MP MP MATERIALS CORP LONG 77 27.17 6/3 12:04 30.79 0.1%
Trade id #135698703
Max drawdown($100)
Time5/25/21 0:00
Quant open77
Worst price25.86
Drawdown as % of equity-0.10%
$277
Includes Typical Broker Commissions trade costs of $1.54
5/20/21 9:31 ONCY ONCOLYTICS BIOTECH INC. COMMON SHARES LONG 706 2.95 6/3 12:03 3.05 0.03%
Trade id #135698715
Max drawdown($28)
Time5/20/21 9:37
Quant open706
Worst price2.91
Drawdown as % of equity-0.03%
$66
Includes Typical Broker Commissions trade costs of $5.00
6/1/21 9:47 DOCU DOCUSIGN INC. COMMON STOCK LONG 13 202.10 6/3 11:36 194.80 0.1%
Trade id #135854012
Max drawdown($101)
Time6/3/21 9:43
Quant open13
Worst price194.30
Drawdown as % of equity-0.10%
($95)
Includes Typical Broker Commissions trade costs of $0.26
5/20/21 9:31 MTEM MOLECULAR TEMPLATES INC LONG 236 8.46 6/3 11:34 8.84 0%
Trade id #135698710
Max drawdown($2)
Time5/20/21 9:37
Quant open236
Worst price8.45
Drawdown as % of equity-0.00%
$85
Includes Typical Broker Commissions trade costs of $4.72
5/28/21 15:57 ALRM ALARM.COM HOLDINGS INC. COMMON STOCK LONG 36 81.94 6/3 9:30 79.00 0.11%
Trade id #135828539
Max drawdown($116)
Time6/3/21 9:30
Quant open36
Worst price78.70
Drawdown as % of equity-0.11%
($107)
Includes Typical Broker Commissions trade costs of $0.72
5/10/21 10:36 NGL NGL ENERGY PARTNERS LONG 1,565 2.28 6/2 12:22 2.80 0.08%
Trade id #135537112
Max drawdown($76)
Time5/14/21 0:00
Quant open765
Worst price2.12
Drawdown as % of equity-0.08%
$799
Includes Typical Broker Commissions trade costs of $13.00
5/7/21 14:43 HLX HELIX ENERGY SOLUTIONS LONG 330 4.92 6/2 12:22 5.90 0.1%
Trade id #135515120
Max drawdown($102)
Time5/11/21 0:00
Quant open330
Worst price4.61
Drawdown as % of equity-0.10%
$316
Includes Typical Broker Commissions trade costs of $6.60
6/1/21 9:47 ZM ZOOM VIDEO COMMUNICATIONS INC. CLASS A COMMON STO LONG 8 333.33 6/1 10:50 324.25 0.07%
Trade id #135854019
Max drawdown($75)
Time6/1/21 10:50
Quant open8
Worst price323.92
Drawdown as % of equity-0.07%
($73)
Includes Typical Broker Commissions trade costs of $0.16
5/19/21 15:51 MSGE MADISON SQUARE GARDEN ENTERTAINMENT CORP LONG 27 89.67 5/28 14:57 89.10 0.04%
Trade id #135688576
Max drawdown($41)
Time5/20/21 0:00
Quant open27
Worst price88.15
Drawdown as % of equity-0.04%
($16)
Includes Typical Broker Commissions trade costs of $0.54
5/20/21 15:50 SPOT SPOTIFY TECHNOLOGY SA LONG 11 229.38 5/28 14:57 242.84 0.04%
Trade id #135707751
Max drawdown($43)
Time5/21/21 0:00
Quant open11
Worst price225.40
Drawdown as % of equity-0.04%
$148
Includes Typical Broker Commissions trade costs of $0.22
5/19/21 15:44 BOMN BOSTON OMAHA CORPORATION CLASS A COMMON STOCK LONG 74 27.14 5/28 10:53 30.02 0.01%
Trade id #135688471
Max drawdown($14)
Time5/19/21 15:57
Quant open74
Worst price26.94
Drawdown as % of equity-0.01%
$212
Includes Typical Broker Commissions trade costs of $1.48
5/20/21 9:31 FSRV FINSERV ACQUISITION CORP. LONG 305 12.33 5/28 10:52 13.10 0.08%
Trade id #135698689
Max drawdown($75)
Time5/21/21 0:00
Quant open165
Worst price11.70
Drawdown as % of equity-0.08%
$229
Includes Typical Broker Commissions trade costs of $6.10
5/18/21 9:31 TRCH TORCHLIGHT ENERGY LONG 1,400 2.19 5/28 10:43 2.36 0.25%
Trade id #135663012
Max drawdown($252)
Time5/19/21 0:00
Quant open1,400
Worst price2.01
Drawdown as % of equity-0.25%
$233
Includes Typical Broker Commissions trade costs of $5.00
5/10/21 13:43 MYSZ MY SIZE INC. COMMON STOCK LONG 2,740 1.20 5/28 10:43 1.32 0.16%
Trade id #135542130
Max drawdown($156)
Time5/11/21 0:00
Quant open1,740
Worst price1.07
Drawdown as % of equity-0.16%
$321
Includes Typical Broker Commissions trade costs of $7.50
5/12/21 15:56 WEYS WEYCO GROUP LONG 120 21.16 5/28 9:37 20.83 0.04%
Trade id #135584072
Max drawdown($40)
Time5/28/21 9:37
Quant open120
Worst price20.83
Drawdown as % of equity-0.04%
($42)
Includes Typical Broker Commissions trade costs of $2.40
5/10/21 11:01 SFL SFL CORP LTD LONG 303 8.52 5/28 9:32 8.66 0.09%
Trade id #135537912
Max drawdown($85)
Time5/11/21 0:00
Quant open203
Worst price7.93
Drawdown as % of equity-0.09%
$36
Includes Typical Broker Commissions trade costs of $6.06
5/20/21 9:31 JFIN JIAYIN GROUP INC LONG 642 5.74 5/28 9:32 6.47 0%
Trade id #135698711
Max drawdown($3)
Time5/20/21 10:53
Quant open362
Worst price5.42
Drawdown as % of equity-0.00%
$460
Includes Typical Broker Commissions trade costs of $8.92
5/20/21 9:31 EH EHANG HOLDINGS LTD. ADR OVERVIEW LONG 161 23.36 5/28 9:32 26.41 0.13%
Trade id #135698654
Max drawdown($131)
Time5/24/21 0:00
Quant open91
Worst price20.85
Drawdown as % of equity-0.13%
$489
Includes Typical Broker Commissions trade costs of $3.22
5/20/21 9:31 PI IMPINJ INC LONG 72 49.06 5/28 9:32 52.28 0.03%
Trade id #135698638
Max drawdown($27)
Time5/20/21 9:41
Quant open42
Worst price47.10
Drawdown as % of equity-0.03%
$231
Includes Typical Broker Commissions trade costs of $1.44
5/19/21 15:57 PLUG PLUG POWER LONG 141 28.11 5/28 9:32 30.79 0.08%
Trade id #135688767
Max drawdown($80)
Time5/20/21 0:00
Quant open91
Worst price26.59
Drawdown as % of equity-0.08%
$375
Includes Typical Broker Commissions trade costs of $2.82
5/20/21 9:31 IZEA IZEA INC. COMMON STOCK LONG 696 2.98 5/27 11:36 2.71 0.27%
Trade id #135698631
Max drawdown($264)
Time5/25/21 0:00
Quant open696
Worst price2.60
Drawdown as % of equity-0.27%
($193)
Includes Typical Broker Commissions trade costs of $5.00
5/10/21 11:10 TNK TEEKAY TANKERS LONG 236 15.02 5/27 10:40 14.82 0.14%
Trade id #135538176
Max drawdown($143)
Time5/13/21 0:00
Quant open116
Worst price13.40
Drawdown as % of equity-0.14%
($52)
Includes Typical Broker Commissions trade costs of $4.72
5/20/21 9:31 MOGO MOGO INC. LONG 260 7.86 5/27 9:41 7.61 0.14%
Trade id #135698675
Max drawdown($140)
Time5/24/21 0:00
Quant open260
Worst price7.32
Drawdown as % of equity-0.14%
($70)
Includes Typical Broker Commissions trade costs of $5.20
5/14/21 15:42 ZM ZOOM VIDEO COMMUNICATIONS INC. CLASS A COMMON STO LONG 7 307.83 5/27 9:33 320.50 0.06%
Trade id #135627410
Max drawdown($61)
Time5/19/21 0:00
Quant open7
Worst price299.00
Drawdown as % of equity-0.06%
$89
Includes Typical Broker Commissions trade costs of $0.14
5/20/21 9:31 WYY WIDEPOINT LONG 274 7.41 5/26 13:19 6.95 0.16%
Trade id #135698729
Max drawdown($160)
Time5/24/21 0:00
Quant open274
Worst price6.83
Drawdown as % of equity-0.16%
($131)
Includes Typical Broker Commissions trade costs of $5.48
5/10/21 11:30 WHG WESTWOOD HOLDINGS GROUP LONG 92 20.27 5/26 13:18 19.38 0.09%
Trade id #135538782
Max drawdown($88)
Time5/26/21 11:16
Quant open92
Worst price19.31
Drawdown as % of equity-0.09%
($84)
Includes Typical Broker Commissions trade costs of $1.84

Statistics

  • Strategy began
    5/1/2021
  • Suggested Minimum Cap
    $35,000
  • Strategy Age (days)
    41.93
  • Age
    42 days ago
  • What it trades
    Stocks
  • # Trades
    97
  • # Profitable
    43
  • % Profitable
    44.30%
  • Avg trade duration
    7.5 days
  • Max peak-to-valley drawdown
    2.08%
  • drawdown period
    May 18, 2021 - May 19, 2021
  • Cumul. Return
    4.2%
  • Avg win
    $231.72
  • Avg loss
    $92.98
  • Model Account Values (Raw)
  • Cash
    $132,775
  • Margin Used
    $47,400
  • Buying Power
    $84,838
  • Ratios
  • W:L ratio
    1.98:1
  • Sharpe Ratio
    4.73
  • Sortino Ratio
    9.2
  • Calmar Ratio
    46.216
  • CORRELATION STATISTICS
  • Return of Strat Pcnt - Return of SP500 Pcnt (cumu)
    2.64%
  • Correlation to SP500
    0.01230
  • Return Percent SP500 (cumu) during strategy life
    1.58%
  • Return Statistics
  • Ann Return (w trading costs)
    40.2%
  • Slump
  • Current Slump as Pcnt Equity
    0.30%
  • Return Statistics
  • Return Pcnt (Compound or Annual, age-based, NFA compliant)
    0.042%
  • Instruments
  • Percent Trades Options
    n/a
  • Percent Trades Futures
    n/a
  • Slump
  • Current Slump, time of slump as pcnt of strategy life
    0.03%
  • Instruments
  • Percent Trades Stocks
    1.00%
  • Short Options - Percent Covered
    100.00%
  • Percent Trades Forex
    n/a
  • Return Statistics
  • Ann Return (Compnd, No Fees)
    48.1%
  • Risk of Ruin (Monte-Carlo)
  • Chance of 10% account loss
    n/a
  • Chance of 20% account loss
    n/a
  • Chance of 30% account loss
    n/a
  • Chance of 40% account loss
    n/a
  • Chance of 60% account loss (Monte Carlo)
    n/a
  • Chance of 70% account loss (Monte Carlo)
    n/a
  • Chance of 80% account loss (Monte Carlo)
    n/a
  • Chance of 90% account loss (Monte Carlo)
    n/a
  • Automation
  • Percentage Signals Automated
    n/a
  • Risk of Ruin (Monte-Carlo)
  • Chance of 50% account loss
    n/a
  • Popularity
  • Popularity (Today)
    0
  • Popularity (Last 6 weeks)
    652
  • Popularity (7 days, Percentile 1000 scale)
    0
  • Trading Style
  • Any stock shorts? 0/1
    1
  • Popularity
  • C2 Score
    717
  • Management
  • No Subs Allowed Flag (1: no subs)
    0
  • Trades-Own-System Certification
  • Trades Own System?
    -
  • TOS percent
    n/a
  • Win / Loss
  • Avg Win
    $232
  • Avg Loss
    $97
  • Sum Trade PL (losers)
    $5,225.000
  • # Winners
    43
  • Num Months Winners
    2
  • Age
  • Num Months filled monthly returns table
    2
  • Win / Loss
  • Sum Trade PL (winners)
    $9,964.000
  • Dividends
  • Dividends Received in Model Acct
    0
  • Win / Loss
  • # Losers
    54
  • % Winners
    44.3%
  • Frequency
  • Avg Position Time (mins)
    10737.30
  • Avg Position Time (hrs)
    178.96
  • Avg Trade Length
    7.5 days
  • Last Trade Ago
    1
  • Leverage
  • Daily leverage (average)
    0.45
  • Daily leverage (max)
    1.09
  • Regression
  • Alpha
    0.11
  • Beta
    0.01
  • Treynor Index
    15.35
  • Maximum Adverse Excursion (MAE)
  • MAE:Equity, average, all trades
    0.00
  • MAE:Equity, losing trades only, 95th Percentile Value for this strat
    -
  • MAE:Equity, win trades only, 95th Percentile Value for this strat
    -
  • MAE:PL (avg, winning trades)
    -
  • MAE:PL - worst single value for strategy
    -
  • MAE:PL (avg, losing trades)
    -
  • MAE:PL (avg, all trades)
    -1.47
  • Avg(MAE) / Avg(PL) - All trades
    2.165
  • MAE:Equity, 95th Percentile Value for this strat
    0.00
  • MAE:Equity, average, winning trades
    0.00
  • MAE:Equity, average, losing trades
    0.00
  • Avg(MAE) / Avg(PL) - Winning trades
    0.264
  • Avg(MAE) / Avg(PL) - Losing trades
    -1.355
  • Hold-and-Hope Ratio
    0.464
  • Analysis based on DAILY values, full history
  • RATIO STATISTICS
  • Ratio statistics of excess return rates
  • Statistics related to linear regression on benchmark
  • a (intercept, estimate of alpha)
    0.41000
  • Analysis based on DAILY values, last 6 months only
  • Ratio statistics of excess log return rates
  • VAR (95 Confidence Intrvl)
    0.00600
  • DRAW DOWN STATISTICS
  • Risk estimates based on draw downs (based on Extreme Value T
  • assuming Pareto losses only (using partial moments from Sortino statistics)
  • Strat Max DD how much worse than SP500 max DD during strat life?
    -358923000
  • Max Equity Drawdown (num days)
    1
  • Last 4 Months - Pcnt Negative
    n/a

Strategy Description

Ochados Management
https://ochados.com

Trading with https://ochados.com/indicator

You will be granted access to closed group on Telegram (C2 subscribers of Ochados Management (https://telegram.org)). 24/7 discussion/live updates and access to an indicator that allows you (if you wish to collaborate) to pick stocks which could be used as potential candidates in the strategy or for your own personal use.

A free month subscription coupon code: UGHL74642 (get in touch with me if it doesn’t work)

If you have questions, feel free to contact me through Collective2 or any other contacts provided at https://ochados.com.

-

A note for new subscribers:

Don't replicate all currently open positions when joining the strategy. Replicate only those that are not in profit. The ideal case, however, would be to wait for new signals only.

Because we recommend to wait for new signals only, please exercise patience and give 2-3 months for the strategy to take hold, until your overall balance is fully utilised.

We usually allocate 3% of total account balance for a single equity (it is very important to use an equivalent amount of percent of your balance). Since diversification is one of the main characteristics of the strategy, you may expect to have up to 100 positions being open at one time.

Stop losses are always used, without exceptions. They are constantly readjusted so that the positions are frozen in a profitable state. This is a key part to risk management.

Our top priority is to avoid sudden drawdowns. Big efford is made to keep linear growth.

The usual stock picks are the 100mln to 1bln range market cap stocks. Additionally 10bln and larger ones are also picked. So that there’s always a balanced mix of varied market capitalizations.

Portfolio is usually dominated by long positions, with occasional short positions in appropriate situations.

Only larger market cap stocks are shorted and even then, with extra care. Again, we usually allocate 1-3% of total account balance for a single equity and always use stop losses, both without exception.

Summary Statistics

Strategy began
2021-05-01
Suggested Minimum Capital
$35,000
# Trades
97
# Profitable
43
% Profitable
44.3%
Correlation S&P500
0.012
Sharpe Ratio
4.73
Sortino Ratio
9.20
Beta
0.01
Alpha
0.11
Leverage
0.45 Average
1.09 Maximum
Summary
Higher leverage = greater risk.

More information about leverage

Collective2 calculates the maximum leverage used by a strategy in each day. We then display the average of these measurements (i.e. the average daily maximum leverage) and the greatest of these measurements (maximum daily leverage).

Leverage is the ratio of total notional value controlled by a strategy divided by its Model Account equity. Generally higher leverage implies greater risk.

Example of calculation:
The Strategy buys 100 shares of stock at $12 per share.
The Model Account equity during that day is $5,000.
The leverage is: $1200 / $5,000 = 0.24

This is a useful measurement, but it should be considered in context. This measurement doesn't take into account important factors, such as when multiple positions are held that are inversely correlated. Nor does the measurement take into account the volatility of the instruments being held.

In addition, certain asset classes are inherently more leveraged than others. For example, futures contracts are highly leveraged. Forex positions are often even more leveraged than futures.

Latest Activity

#PERSONNAME#
subscribed on started simulation #SUBSCRIBEDDATE#

Most values on this page (including the Strategy Equity Chart, above) have been adjusted by estimated trading commissions and subscription costs.

Some advanced users find it useful to see "raw" Model Account values. These numbers do not include any commissions, fees, subscription costs, or dividend actions.

Strategy developers can "archive" strategies at any time. This means the strategy Model Account is reset to its initial level and the trade list cleared. However, all archived track records are permanently preserved for evaluation by potential subscribers.

About the results you see on this Web site

Past results are not necessarily indicative of future results.

These results are based on simulated or hypothetical performance results that have certain inherent limitations. Unlike the results shown in an actual performance record, these results do not represent actual trading. Also, because these trades have not actually been executed, these results may have under-or over-compensated for the impact, if any, of certain market factors, such as lack of liquidity. Simulated or hypothetical trading programs in general are also subject to the fact that they are designed with the benefit of hindsight. No representation is being made that any account will or is likely to achieve profits or losses similar to these being shown.

In addition, hypothetical trading does not involve financial risk, and no hypothetical trading record can completely account for the impact of financial risk in actual trading. For example, the ability to withstand losses or to adhere to a particular trading program in spite of trading losses are material points which can also adversely affect actual trading results. There are numerous other factors related to the markets in general or to the implementation of any specific trading program, which cannot be fully accounted for in the preparation of hypothetical performance results and all of which can adversely affect actual trading results.

Material assumptions and methods used when calculating results

The following are material assumptions used when calculating any hypothetical monthly results that appear on our web site.

  • Profits are reinvested. We assume profits (when there are profits) are reinvested in the trading strategy.
  • Starting investment size. For any trading strategy on our site, hypothetical results are based on the assumption that you invested the starting amount shown on the strategy's performance chart. In some cases, nominal dollar amounts on the equity chart have been re-scaled downward to make current go-forward trading sizes more manageable. In these cases, it may not have been possible to trade the strategy historically at the equity levels shown on the chart, and a higher minimum capital was required in the past.
  • All fees are included. When calculating cumulative returns, we try to estimate and include all the fees a typical trader incurs when AutoTrading using AutoTrade technology. This includes the subscription cost of the strategy, plus any per-trade AutoTrade fees, plus estimated broker commissions if any.
  • "Max Drawdown" Calculation Method. We calculate the Max Drawdown statistic as follows. Our computer software looks at the equity chart of the system in question and finds the largest percentage amount that the equity chart ever declines from a local "peak" to a subsequent point in time (thus this is formally called "Maximum Peak to Valley Drawdown.") While this is useful information when evaluating trading systems, you should keep in mind that past performance does not guarantee future results. Therefore, future drawdowns may be larger than the historical maximum drawdowns you see here.

Trading is risky

There is a substantial risk of loss in futures and forex trading. Online trading of stocks and options is extremely risky. Assume you will lose money. Don't trade with money you cannot afford to lose.

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Suggested Minimum Capital

This is our estimate of the minimum amount of capital to follow a strategy, assuming you use the smallest reasonable AutoTrade Scaling % for the strategy.