| Pair | Action | Score | Price | RSI | ATR% | 7d | 30d | Vol/day | Stop | Target |
|---|
The score (0–100) blends five independent factors. A pair only becomes a BUY when several agree — that's the "confluence" idea, which filters out low-quality signals to lift win rate without giving up trend exposure.
Trend (30%) — EMA20 vs EMA50, price vs EMA200, and EMA20 slope. Are we trading with the dominant direction?
Momentum (25%) — RSI in its bullish zone (50–68) and MACD above signal. Times the entry.
Mean reversion (20%) — Bollinger %B. Rewards buying lower in the band, penalizes chasing stretched price.
Volume (15%) — latest volume vs its 20-day average. Confirms conviction behind a move.
Volatility (10%) — ATR%. Favors tradable ~2–6% daily range; filters dead and chaotic pairs.
Actions — BUY score ≥ 65 · WATCH 50–65 · HOLD middling · EXIT ≤ 35 or bearish reversal.
Risk model — every BUY ships a stop at
1.5×ATR below entry and a target sized for a 2:1 reward:risk. At 2:1 a
~40% win rate is already profitable. Click a BUY row for its specific reasons.