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System Details - KO

Coca Cola Co. (KO)
System Optimized ParametersDatesRecent Trades StatusSystem ProfitBuy/Hold Profit
Optimized MA Crossover Fast
Slow
4
9
Start Date
End Date
20200401
20220214
20211118-Short
20211208-Long
20220125-Short
20220201-Long
20220214-Short
SELL -23%42%
Optimized MACD Fast
Slow
Smooth
10
45
2
Start Date
End Date
20200326
20220112
20210729-Short
20211006-Long
20211115-Short
20211207-Long
20220112-Short
SELL 57%41%
Optimized CCI CCI13 Start Date
End Date
20200413
20220209
20211028-Short
20211118-Long
20211214-Short
20220125-Long
20220209-Short
SELL 76%29%


System Rules
System System Setup & Buy/Sell Rules
Optimized MA CrossoverAll exponential moving average combinations, from 2 to 30 for both the fast MA and slow MA, were tested. This system determines which combination yields the highest profit. The lookback period for the optimization is 500 trading days. Buy when fast MA crosses above the slow MA. Sell when fast MA crosses below the slow MA. Tested on daily price data.
Optimized MACDThe optimized parameters for the MACD (Moving Average Convergence/Divergence) system are a fast exponential MA, a slow exponential MA and a smoothing constant. The MACD line is simply the difference between the slow MA and fast MA. The smoothing constant is the period of the signal line. The signal line is an exponential moving average of the MACD line. The ranges tested for the parameters were 1-25 for the fast MA, 3-45 for the slow MA and 1-15 for the smoothing constant. The lookback period for the optimization is 500 trading days. Buy signals are generated when the MACD line is below zero and crosses above the signal line. When the MACD line is above zero and crosses below the signal line, a sell signal is generated. Tested on daily price data.
Optimized CCIThe Commodity Channel Index (CCI) is usually plotted as an oscillator. The calculations for the CCI indicator are based on a simple moving average of the "typical" price -- that is, the high + low + close divided by 3. The end result of the calculations is the CCI number. For this system, all CCI numbers from 2 to 100 were tested over a lookback period of 500 days. Buy signal is triggered when CCI reaches -100. Sell signal is triggered when CCI reaches +100. Tested on daily price data.


Definitions
Optimized ParametersThe optimized parameters are the indicator settings that yielded the most profitable results for the time frame tested.
DatesThe Start Date is the date of the first trade, the End Date is the date of the last trade. Dates are displayed in YYYYMMDD format.
Recent TradesThe most recent trades for the system. A short trade will generate a SELL status, while a long trade will generate a BUY status. Trades are established at the opening price of the trade date. Dates are displayed in YYYYMMDD format.
StatusShows the current signal of the system. A SELL status indicates an open short trade, while a BUY status indicates an open long trade.
System ProfitThe system profit is calculated from the start date (first trade) to the end date (last trade), factoring in all trades in between.
Buy/Hold ProfitThe buy/hold profit is simply the percentage change between the opening price of the first trade (start date) and the opening price of the last trade (end date).

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