AVAX4hmedium riskPremium

Structure Slider · Market Structure · AVAX (4h)

Published August 6, 2026 · Last re-tested September 29, 2026

Structure Slider — A market-structure (BOS/CHOCH) system · Short on AVAX (4h). Discovered by Anny's quant engine and validated out of sample with CFO regime analysis. Performance is re-backtested daily against live market data, so the figures shown here always reflect the current market. Best performance in wait+distribute regime.

Deploy with AnnyShort strategy — requires a futures account. Anny will guide you through setup.

Performance Metrics

What these numbers mean
Sharpe ratio≥ 0.5

Return earned per unit of risk taken — not just return.

Maximum drawdown≤ 35%

The deepest loss you would have had to sit through.

Out-of-sample

How it did on the last fifth of history, which the search was never allowed to see.

Trade count≥ 30

At least 30 closed trades, so nothing earns its place on a lucky handful.

Total Return
+190.69%
Sharpe Ratio
1.45
Win Rate
46.20%
Max Drawdown
18.68%
Trade Count
39
Profit Factor
2.21
Avg Return/Trade
3.17%
Avg Hold (bars)
25

Out-of-Sample Validation

Tested on unseen data to verify the strategy is not curve-fitted. Low degradation confirms robustness.

OOS Return
28.02%
OOS Win Rate
50.00%
OOS Sharpe
1.78
Degradation
OOS improved

Statistical Confidence

How likely the edge is real — out-of-sample statistical confidence, consistency across time, and a comparison to simply holding the asset.

OOS Confidence
78%
Profitable Folds
3/4
vs Buy & Hold
-76.72%
Strategies Tested
890

Return range (90% confidence): 3.44% ··· 157.1% ··· 528.37%

Backtest includes trading fees and slippage, assumes full-capital sequential compounding, and does not model futures funding costs on shorts.

Measured against our floors
Trade count39Sharpe ratio1.45Maximum drawdown18.68%Win rate46.2%

Equity Curve

Equity curve+0%+56%+113%+169%+225%last 90d
Lifetime +190.7%·Last 90d +63.6%

Strategy Rules

Entry TriggerSWING_STRUCTURE (1 setting) ••••
Confirmation 1REGIME ••••
Stop Lossatr ••••
Take Profitrisk_reward ••••

CFO Regime Breakdown

Anny's CFO Line divides market conditions into three regimes. Accumulate means the trend is bullish — ideal for long entries. Distribute means bearish — better to avoid or short. Wait means the trend is unclear. This breakdown shows how the strategy performed in each regime, helping you understand when it works best.

Wait 29%
Distribute 18%
RegimeReturnTradesWin Rate
Wait55.16%2339.1%
Accumulate3.79%250%
Distribute64.58%1457.1%
_best_combo123.53%3946.2%

Ready to deploy?

Anny will guide you through exchange selection, investment amount, and risk settings.

You own the bot. Not a copy of someone else's trades.

In copy trading, another trader's orders are mirrored into your account. Here a strategy becomes your bot — your exchange, your capital, your stop, and no cut of anything you make.

Deploy with Anny

Or build your own trading bot →

Past performance does not guarantee future results. All strategies involve risk of loss.