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description= Build a strategy without code. Know if it survives before you risk money — honest backtest with real costs, OOS validation, AI agents that show the truth. Self-hosted execution.;
author= VESKALD;
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Text of the page (random words):
omplexity no code 1 base parameters asset exchange timeframes test period 2 indicators 80 indicators and candle patterns trend momentum volatility volume 1000 ready made presets 3 entry conditions combine indicators via and or with grouping of arbitrary depth 4 stop loss by percent by nearest candles or by indicator 5 take profits one or multiple levels with partial position closes 6 trailing stop delayed or immediate by percent by nearest candles or by indicator 7 early exit by time n candles without profit or by indicator alert 8 break even automatic move of the stop to entry with commissions once target profit is hit or signaled by an indicator 9 skip trades rules to ignore signals overbought low volume and other filters 10 dynamic risk automatic risk reduction after a losing streak and recovery after a winning one 11 cross asset test validate the finished strategy on up to 4 other assets each with its own date window the list of indicators and conditions is constantly expanding backtester a backtest that shows you what you will actually get most backtesters paint an ideal picture no commissions no slippage no funding the strategy looks beautiful on history and bleeds in live trading veskald s backtest accounts for every real trading cost you set commission yourself based on your exchange tier funding recalculates every 8 hours slippage depends on liquidity and on large orders the impact of size on execution price is included the backtester core parameters are open you see exactly how each trade is calculated and can tune the math to your trading profile on trades up to 300 the gap with reality fits within a fraction of a percent verifiable in the execution log what you get after a backtest 20 performance metrics profit factor sharpe sortino calmar max drawdown cagr equity curve with zoom by period comparison against buy hold monte carlo stress test and trade shuffle market regime map where the strategy earns where it bleeds auto insights automatic recommendations based on clusters every trade available for review candle by candle automated strategy tuning replaces weeks of manual grid search looks for stability not the peak by hand you will try 10 20 parameter combinations and get tired a genetic algorithm goes through thousands but it is not about speed it is about what exactly it is looking for an approach that defends against overfitting a smooth equity curve the algorithm optimizes not for maximum profit one lucky trade means nothing but for a smooth equity curve population diversity if all variants start to look the same the system intervenes so you do not get stuck in a local maximum out of sample validation after optimization the strategy is tested on data that was not in the search if it drops it is overfitting back to the original parameters excluded periods you can exclude anomalous periods flash crashes non representative segments from the search trading journal and execution log every trade three layers expectation reality the gap trading journal a full trade history with filters by date direction status and result each trade can be opened and replayed candle by candle like a video player for the chart you see how the situation unfolded what news was happening at every candle and what decisions the strategy made execution log a comparison of the backtest with reality what the test expected and what actually happened green check matched red triangle mismatch worth a closer look systematic mismatches are a reason to revisit parameters one off ones are normal market noise covered by your reserve open the full toolset one strategy is a bet a portfolio is a system combine several strategies into one portfolio and see how they work together veskald shows the aggregate equity curve the combined sharpe ratio correlations between strategies and how they compensate for each other s drawdowns three average strategies with low correlation often produce a smoother curve and shallower drawdown than one perfect one portfolio level risk management global rules for all strategies daily loss limit max trades per day leverage cap plus per strategy settings the global rules act as a safety net the specific settings refine behavior the what if calculator shows how many days given current settings until you hit a chosen drawdown so you understand in advance whether your approach is too aggressive emergency stop one button halts every strategy at once for when something is off and you need to react immediately your strategies and funds yours only three principles we do not break strategies are encrypted two key encryption your key our key useless on their own a decrypted strategy lives only in ram and is wiped after use the veskald team cannot read your trading logic api keys are read only the platform connects to the exchange via keys without trading or withdrawal rights we see your positions for analytics the journal and matching against the backtest and that is it trading keys on your server automated execution runs through an open source app you launch yourself on your own computer windows macos or linux or a server trading keys are never passed to veskald download a ready made build for your os or build it yourself with a single script the instructions are in the docs on top of that 2fa ip whitelisting time limited access tokens and transparency the bot is fully open source the code is yours to read exchange connections a direct api connection for market data and notifications trade orders are executed by a self hosted app you run yourself a windows macos or linux build on your computer or docker on a server connected connected connected soon coinbase soon start free pay when you see what works monthly yearly 15 free 0 trader 40 start 42 5 pro most popular 127 5 custom unlimited trader for an active trader with 2 5 strategies 40 for the first month try trader build strategies each strategy supports multi timeframe entry conditions stop loss one or multiple take profits trailing stop early exit move to breakeven dynamic risk management and trade skip rules 10 each strategy supports multi timeframe entry conditions stop loss one or multiple take profits trailing stop early exit move to breakeven dynamic risk management and trade skip rules backtesting test strategies on historical data accounting for commissions slippage and funding compare strategies side by side using key metrics split data into a main period and an out of sample period to confirm the results are not random test strategies on historical data accounting for commissions slippage and funding compare strategies side by side using key metrics split data into a main period and an out of sample period to confirm the results are not random monte carlo stress test your strategy 5 000 simulations of different scenarios show how robust your strategy is and the probability of losses in live trading stress test your strategy 5 000 simulations of different scenarios show how robust your strategy is and the probability of losses in live trading cluster analysis the system automatically identifies the market conditions in which your strategy makes money and those in which it loses by volatility trend volume momentum and trading session you receive specific recommendations for improvement not just is the strategy profitable but exactly when it is profitable and when it is better avoided the system automatically identifies the market conditions in which your strategy makes money and those in which it loses by volatility trend volume momentum and trading session you receive specific recommendations for improvement not just is the strategy profitable but exactly when it is profitable and when it is better avoided market report the system scans market indicators around the clock across four timeframes technical indicators and their complex variations divergences slopes ai reads the news and assesses its potential market impact grouping releases by time to align them with the chart it analyzes liquidity the dollar index inflation and the u s economy an extended order book with filtering and sorting helps gauge real liquidity the system scans market indicators around the clock across four timeframes technical indicators and their complex variations divergences slopes ai reads the news and assesses its potential market impact grouping releases by time to align them with the chart it analyzes liquidity the dollar index inflation and the u s economy an extended order book with filtering and sorting helps gauge real liquidity manage risk configure risk individually for each strategy the system automatically calculates position size based on your settings giving you full control over potential losses configure risk individually for each strategy the system automatically calculates position size based on your settings giving you full control over potential losses explore the system automatically tests many parameter combinations for entry points trailing stops stop losses breakeven moves early exits skip rules and dynamic risk management and finds those that performed best on historical data 250 the system automatically tests many parameter combinations for entry points trailing stops stop losses breakeven moves early exits skip rules and dynamic risk management and finds those that performed best on historical data manage time set the days of the week and hours you want to dedicate to trading or enable 24 7 mode set the days of the week and hours you want to dedicate to trading or enable 24 7 mode trade launch in one of two modes semi automatic the system tracks your trades via read only keys and sends notifications when to move your stop take profit watch the news or react to changes in technical indicators automatic deploy our open source docker script on your own server trading keys stay only with you need help with setup our team will assist 5 launch in one of two modes semi automatic the system tracks your trades via read only keys and sends notifications when to move your stop take profit watch the news or react to changes in technical indicators automatic deploy our open source docker script on your own server trading keys stay only with you need help with setup our team will assist execution control compare across three dimensions how the backtester executed the trade what notifications you or the trading script received and what actions were actually performed if you deviated from the plan the system shows whether it helped or hurt you compare across three dimensions how the backtester executed the trade what notifications you or the trading script received and what actions were actually performed if you deviated from the plan the system shows whether it helped or hurt you trade journal every trade is recorded with candle by candle replay on each candle you see what happened what the technical indicators were and what news was released at that moment every trade is recorded with candle by candle replay on each candle you see what happened what the technical indicators were and what news was released at that moment strategy portfolio combine strategies into a portfolio and watch how they work together the overall equity curve correlations between strategies and drawdown compensation track real execution and the results of each strategy individually combine strategies into a portfolio and watch how they work together the overall equity curve correlations between strategies and drawdown compensation track real execution and the results of each strategy individually dedicated server automatic parameter optimization runs on a dedicated server millions of combinations at maximum speed no queues setup and configuration takes up to three business days automatic parameter optimization runs on a dedicated server millions of combinations at maximum speed no queues setup and configuration takes up to three business days indicators commission custom indicators developed exclusively for you commission custom indicators developed exclusively for you your subscription grants access to software tools veskald does not provide investment services and does not guarantee trading results frequently asked questions who is veskald for active traders who want to trade systematically save their time and automate the routine work how often do updates ship releases 1 2 times a month the roadmap is shaped together with active users requests from tickets go into the work the newest major addition already live is veskald orion three ai strategy agents belatrix reality check of existing strategies rigel quick prototypes with pro safeguards betelgeuse deep research in a dialogue with you it asks rather than assumes builds and validates the strategy and digs until it finds durable edge or tells you plainly the strategy is dead instead of burning tokens do i need to know how to code no everything works through the visual builder you pick indicators and conditions from a menu if you want to go deeper there are and or groupings and multi timeframe rules no code at any stage can veskald lose or steal my money technically no and by design we only accept read only api keys any key that carries trading or withdrawal rights is rejected on submission and never stored even if you wanted to authorize us you could not on most exchanges a trading key only works from a whitelisted ip and our servers sit behind cloudflare with no public address to whitelist and for automated execution the trading keys never reach us at all they run inside the open source bot on your own server why is the genetic algorithm optimizer better than my manual grid search not better complementary by hand you will try 10 20 combinations the algorithm goes through thousands but the main thing is that it optimizes not for maximum profit one lucky trade means nothing but for the smoothness of the equity curve that protects against the overfitting almost every self made quant experiment falls into how accurate is your backtest on trades up to 300 the gap with real trading is under 0 5 what is accounted for commission you set it yourself based on your exchange tier funding every 8 hours slippage from liquidity and on large volumes the impact of order size on execution price the backtest works with market orders and importantly the backtester core is open parameters can be tuned to your trading profile you see exactly how each trade is calculated you can compare expectation with reality in the execution log who sees my strategies will you copy them strategies are encrypted with a two key scheme your key our key both required to decrypt a decrypted strategy lives only in ram and is wiped after use the veskald team has no access to the contents of your strategies which exchanges are supported stable today binance bybit kraken in development okx coinbase if you need another exchange bitget bingx hyperliquid dydx and others write to us we usually ship it in 1 3 weeks what are strategy templates a saved strategy you can use as a starting point take...
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