# Strategy Guide Learn how to create, configure, and manage trading strategies in Crypto Trader. ## What is a Strategy? A trading strategy is a set of rules that determine when to buy and sell cryptocurrencies. Strategies analyze market data and generate trading signals. ## Pre-built Strategies Crypto Trader includes several pre-built strategies: ### RSI Strategy Uses the Relative Strength Index to identify overbought and oversold conditions. - **Buy Signal**: RSI below 30 (oversold) - **Sell Signal**: RSI above 70 (overbought) - **Parameters**: RSI period (default: 14) ### MACD Strategy Uses Moving Average Convergence Divergence for trend following. - **Buy Signal**: MACD crosses above signal line - **Sell Signal**: MACD crosses below signal line - **Parameters**: Fast period, slow period, signal period ### Moving Average Crossover Uses two moving averages to identify trend changes. - **Buy Signal**: Short MA crosses above long MA - **Sell Signal**: Short MA crosses below long MA - **Parameters**: Short MA period, long MA period ### Confirmed Strategy (Multi-Indicator) Requires multiple indicators (RSI, MACD, Moving Average) to align before generating signals. This significantly reduces false signals by requiring confirmation from 2-3 indicators. - **Buy Signal**: When majority of indicators agree on buy signal - **Sell Signal**: When majority of indicators agree on sell signal - **Parameters**: - RSI period, oversold, overbought thresholds - MACD fast, slow, signal periods - MA fast, slow periods, MA type (SMA/EMA) - Minimum confirmations required (default: 2) - Which indicators to require (RSI, MACD, MA) ### Divergence Strategy Detects price vs. indicator divergences which are powerful reversal signals. Works exceptionally well in ranging markets. - **Buy Signal**: Bullish divergence (price makes lower low, indicator makes higher low) - **Sell Signal**: Bearish divergence (price makes higher high, indicator makes lower high) - **Parameters**: - Indicator type: RSI or MACD (default: RSI) - Lookback period for swing detection (default: 20) - Minimum swings required (default: 2) - Minimum confidence threshold (default: 0.5) ### Bollinger Bands Mean Reversion Trades mean reversion using Bollinger Bands. Buys at lower band in uptrends, exits at middle band. Works well in ranging markets. - **Buy Signal**: Price touches lower Bollinger Band in uptrend - **Sell Signal**: Price reaches middle band (profit target) or touches upper band (stop loss) - **Parameters**: - Bollinger Bands period (default: 20) - Standard deviation multiplier (default: 2.0) - Trend filter enabled (default: True) - Trend MA period (default: 50) - Entry threshold (how close to band, default: 0.95) - Exit threshold (when to take profit, default: 0.5) ### Consensus Strategy (Ensemble) Combines signals from multiple strategies with voting mechanism. Only executes when multiple strategies agree, improving signal quality through ensemble methods. - **Buy Signal**: When minimum number of strategies agree on buy - **Sell Signal**: When minimum number of strategies agree on sell - **Parameters**: - Strategy names to include (None = all available) - Minimum consensus count (default: 2) - Use performance-based weights (default: True) - Minimum weight threshold (default: 0.3) - Strategies to exclude ## Strategy Management Page The Strategy Management page provides a comprehensive interface for creating, editing, and managing all your trading strategies. ### Accessing Strategy Management 1. Click on **Strategies** in the navigation menu 2. You'll see a table listing all your strategies with: - Strategy name and description - Strategy type - Trading symbol - Timeframes - Status (Enabled/Disabled) - Paper Trading mode - Action buttons (Start, Stop, Edit, Delete) ## Creating a Strategy 1. Navigate to the **Strategies** page 2. Click **Create Strategy** button 3. The strategy dialog has three tabs: **Basic Settings Tab**: - **Name**: Give your strategy a descriptive name (required) - **Description**: Optional description - **Strategy Type**: Select from RSI, MACD, Moving Average, Confirmed, Divergence, Bollinger Mean Reversion, Consensus, DCA, Grid, or Momentum - **Symbol**: Trading pair (e.g., BTC/USD) - **Exchange**: Select the exchange (required) - **Timeframes**: Select one or more timeframes (1m, 5m, 15m, 30m, 1h, 4h, 1d) - **Paper Trading Mode**: Toggle for paper trading (recommended for testing) **Parameters Tab**: - Configure strategy-specific parameters - Parameters vary by strategy type - Default values are provided for all parameters - See strategy-specific sections below for parameter details **Risk Settings Tab**: - **Position Size (%)**: Percentage of capital to use per trade - **Stop Loss (%)**: Maximum loss percentage before exit - **Take Profit (%)**: Profit target percentage - **Max Position Size**: Optional maximum position size limit 4. Click **Create** to save the strategy The strategy will appear in the strategies table. New strategies start as **Disabled** - you must enable and start them manually. ## Managing Strategies ### Starting a Strategy 1. Find the strategy in the table 2. Click the **Start** button (green play icon) 3. The strategy status will change to **Enabled** and it will begin generating signals ### Stopping a Strategy 1. Find the running strategy in the table 2. Click the **Stop** button (red stop icon) 3. The strategy will stop generating new signals ### Editing a Strategy 1. Click the **Edit** button (pencil icon) for the strategy 2. Modify any settings in the dialog 3. Click **Update** to save changes **Note**: Strategy type cannot be changed after creation. You must create a new strategy with a different type. ### Deleting a Strategy 1. Click the **Delete** button (red trash icon) 2. Confirm the deletion in the dialog 3. The strategy and all its configuration will be permanently deleted ## Strategy Types ### DCA (Dollar Cost Averaging) Invests a fixed amount at regular intervals (daily, weekly, or monthly). Ideal for long-term accumulation. **Parameters:** - Amount: Fixed investment amount per interval - Interval: Daily, weekly, or monthly - Target Allocation: Target portfolio allocation percentage ### Grid Trading Places buy orders at lower price levels and sell orders at higher levels. Profits from price oscillations. **Parameters:** - Grid Spacing: Percentage between grid levels - Number of Levels: Grid levels above and below center price - Profit Target: Profit percentage to take ### Momentum Trades based on price momentum with volume confirmation. Enters on strong upward momentum, exits on reversal. **Parameters:** - Lookback Period: Period for momentum calculation - Momentum Threshold: Minimum momentum to enter - Volume Threshold: Volume increase multiplier for confirmation - Exit Threshold: Momentum reversal threshold ## Strategy Configuration ### Basic Settings - **Name**: Descriptive name for your strategy - **Symbol**: Trading pair (e.g., BTC/USD) - **Timeframe**: Data timeframe (1m, 5m, 15m, 1h, 4h, 1d) - **Enabled**: Turn strategy on/off ### Parameters Each strategy has specific parameters: - **RSI Strategy**: RSI period, overbought threshold, oversold threshold - **MACD Strategy**: Fast period, slow period, signal period - **Moving Average**: Short period, long period, MA type (SMA/EMA) - **Confirmed Strategy**: RSI, MACD, and MA parameters, minimum confirmations - **Divergence Strategy**: Indicator type, lookback period, confidence threshold - **Bollinger Mean Reversion**: Period, std dev, trend filter settings - **Consensus Strategy**: Strategy selection, consensus threshold, weighting options ### Risk Settings - **Position Size**: Amount to trade per signal - **Max Position**: Maximum position size - **Stop Loss**: Percentage, price level, or ATR-based dynamic stop - **ATR-based stops**: Automatically adjust stop distance based on market volatility - **ATR Multiplier**: Multiplier for ATR calculation (default: 2.0) - **ATR Period**: Period for ATR calculation (default: 14) - **Take Profit**: Profit target - **Trend Filter**: Optional ADX-based trend filter to avoid trading in choppy markets ## Multi-Timeframe Strategies Strategies can use multiple timeframes: 1. Primary timeframe for signal generation 2. Higher timeframes for trend confirmation 3. Lower timeframes for entry timing ## Strategy Scheduling Strategies can be scheduled to run: - **Continuous**: Runs on every new candle - **Time-based**: Runs at specific times - **Condition-based**: Runs when conditions are met ## Managing Strategies ### Enabling/Disabling - Toggle strategy on/off without deleting - Disabled strategies don't generate signals - Useful for testing multiple strategies ### Editing Strategies 1. Select the strategy 2. Click "Edit" 3. Modify parameters 4. Save changes ### Deleting Strategies 1. Select the strategy 2. Click "Delete" 3. Confirm deletion ## Strategy Performance Monitor strategy performance: - **Win Rate**: Percentage of profitable trades - **Total Return**: Overall return - **Sharpe Ratio**: Risk-adjusted return - **Max Drawdown**: Largest peak-to-trough decline - **Number of Trades**: Total trades executed ## Best Practices 1. **Backtest First**: Always backtest strategies before live trading 2. **Start Small**: Use small position sizes initially 3. **Monitor Performance**: Regularly review strategy results 4. **Adjust Parameters**: Optimize based on performance 5. **Use Paper Trading**: Test changes in paper trading first ## Creating Custom Strategies For advanced users, you can create custom strategies: 1. See [Developer Guide](../developer/creating_strategies.md) 2. Extend the `BaseStrategy` class 3. Implement signal generation logic 4. Register your strategy