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Combined_NFIv7_SMA_bAdBoY_20211204 Strategy: NFI Series' Old Fox

Nickname: Old Fox · Pullback Hunter Profession: Multi-Condition Trend Hunter + Bollinger Band Rebound Pro Timeframe: 5 Minutes Main + 1 Hour Observation


1. What's This Strategy?

Simply put, Combined_NFIv7_SMA_bAdBoY_20211204 is:

  • 26 buy conditions, pick whichever fits
  • 8 sell conditions gatekeeping every move
  • 8 protection mechanisms built in

Like a dating market veteran — not only checks education (EMA protection), also family background (SMA200 trend), also asks about family of origin (dip protection), afraid of finding a "drain family" (rising sharply after buying) 🤣


Take-Profit Rules (ROI Table)

Immediately run: 10%
After 30 min: 5%
After 60 min: 2%

Translation: Start with 10%? This strategy has big appetite! But after 1 hour drops to 2% — it wants you to hold and let the trend run~

Stop-Loss Rules

Hard stop: -10%
Trailing stop: Activates after 3% rise, can lock more profits

Translation: -10% to cut? How patient! Trailing stop is even sneakier — can keep locking profits as it rises, wants both and also more 😅


3. 26 Buy Conditions: Let Me Sort Them Out

Too many to count. I've grouped them into 4 categories:

🎯 Category 1: Trend Start Type (Conditions 1-6)

Core Logic: EMA golden cross + Bollinger Band rebound + strict dip protection

Plain English:

"Young one, trend just started, I'm not too late to enter!"

📈 Category 2: Momentum Acceleration Type (Conditions 7-14)

Core Logic: EWO momentum oscillator + volume confirmation + loose protection

Plain English:

"This wave has momentum, I'll catch a ride!"

🛡️ Category 3: Trend Confirmation Type (Conditions 15-24)

Core Logic: SMA200 long-term trend + multi-timeframe confirmation

Plain English:

"Daily chart trend is stable, I'll grab a bite!"

🔮 Category 4: Special Signal Type (Conditions 25-26)

Core Logic: ZEMA zero-lag MA + custom parameters

Plain English:

"I use black-tech MA, what can you do?"


4. Protection Mechanisms: 8 Layers of "Armor"

Protection TypeRolePlain English
EMA Fast/Slow ProtectionConfirm short-term trend direction"MA in bullish alignment before entering"
SMA200 RisingLong-term trend confirmation"200-day line going up I believe"
Safe DipsFilter excessive drops"Don't bottom-fish at mid-slope"
Safe PumpFilter sharp rises"Don't chase to the last baton"
Dip Levels (10-110)How deep a fall is safe"Higher level = braver to catch falling knives"
Pump Levels (10-120)How much rise is abnormal"Higher level = braver to buy tops"

This strategy really does "check three generations", cautious to the max! But cautious is good — survival is most important 😅


5. Exit Logic: Fancier Than Entry

5.1 Basic Sell Signals (8)

Classic Lines:

  1. Signal #1 - RSI Overbought + Bollinger Band Break:

    "RSI surged past 70+, and price has been above the Bollinger upper band for 5 consecutive candles — run now!"

  2. Signal #2 - Dual RSI Overbought:

    "Both 5-minute and 1-hour RSI are at 70+?"

  3. Signal #3 - RSI Single Overbought:

    "RSI firmly broke above the threshold — run!"

  4. Signal #4 - Dual-Timeframe Momentum Divergence:

    "Both timeframes RSI are high together — isn't this divergence?"


5.2 Custom Stop-Loss: Varieties of Cutting Losses

ScenarioTriggerSignal Name
Below EMA200 but RSI okayProfit negative + Close<EMA200 + RSI above 1hsignal_stoploss_u_1
Long-Holding RecoveryHolding>20 hours + Profit-8%~-4% + RSI strongsignal_stoploss_l_r_u_1
Pump Protection Stop-Loss48h pump + Below EMA200signal_stoploss_p_2

5.3 Trailing Stop: Climbing Stop-Loss

  • Standard Trailing: After >3% profit activates, can lock up to 60% profit
  • Below EMA200 Trailing: Activates when price drops below EMA200
  • Long-Holding Trailing: Special care for positions over 15 hours

6. The Strategy's "Personality Traits"

✅ Pros

  1. Many Conditions = Many Choices: 26 buy conditions, always one fits the current market
  2. Many Protections = Die Less: 8 layers, whatever happens some capital gets protected
  3. Dual Timeframe: 1h confirms trend, 5m seizes opportunities, stable!
  4. Strong Trend-Following: -10% to cut, gives trends sufficient room

⚠️ Cons

  1. Many Conditions = Eyes Glaze Over: 26 conditions, ordinary people don't know which to enable
  2. Complex Parameters: Hundreds of protection parameters, optimization drives you crazy
  3. Low Trading Frequency: Too strict, many signals filtered out
  4. Eats Hardware: Multi-timeframe + many indicators, VPS RAM must be enough

7. When to Use It?

Market EnvironmentRecommended ActionReason
🐂 Bull Market UpNormal useClear trend, buy one accurate one
📈 Drop ReboundReduce positionRebound also eats, but don't be greedy
🔄 Volatile MarketReduce trading pairsEasily slapped repeatedly
💥 Wild Surge/DropRecommend pausePump protection too sensitive

8. Summary

One-Line Verdict

"NFI series' old fox, 26 conditions 8 protections, cautious to the point of making you anxious, but survival is most important!"

Who Should Use?

  • ✅ Experienced quantitative traders (can read parameters)
  • ✅ Trend followers (willing to hold long)
  • ✅ Risk-conscious people (more protection = die less)
  • ✅ Large capital players (40-80 trading pairs)

Who Should NOT?

  • ❌ Beginner novices (parameters too complex)
  • ❌ Impatient people (low trading frequency)
  • ❌ Small capital people
  • ❌ High-frequency traders (not cut out for it)

9. What Markets Does It Make Money In?

9.1 Core Logic: Building "Defense Net" with Complexity

NFI series is quantitative "playboy" — 26 buy conditions means 26 dating candidates, one by one interview, always one succeeds!

Its Money Philosophy:

  • Multi-Confirmation: Not one family doesn't enter one door, trend right, indicators right, protections right
  • Trend Is King: Don't care about one or two points, want the whole trend
  • Survival Most Important: More protection layers is never too many, miss than buy wrong

9.2 Performance by Market

Market TypeRatingPlain English
📈 Slow Bull⭐⭐⭐⭐⭐Lie down making money, trend rises position flies
🔄 Volatile⭐⭐⭐☆☆Too strict, might miss some opportunities
💥 Wild Surge⭐⭐☆☆☆Pump protection triggers, buys then deletes
📉 Bear Market⭐⭐☆☆☆Hard to catch rebounds in downtrend

Bottom Line: Bull market all day, volatile survive, bear market stay away!


10. ⚠️ Risk Re-Ememphasis (Must Read!)

Backtesting Looks Great, Live Trading Different

Historical backtesting often looks extremely good — but:

With many parameters, easily "fits" past markets, doesn't guarantee future profitability.

Simply put: It memorized historical answers, but next exam questions are different!

Hidden Risks of Complex Strategies

  • Signal Delay: Too much computing, candle missed
  • Over-Protection: Too strict, good opportunities filtered
  • Overfitting: Historical perfect, live flop
  • Hardware Dependent: VPS RAM insufficient, directly goes on strike

My Suggestions

1. Paper trade 2 weeks first, don't rush live
2. Small money test, don't go all-in from the start
3. Periodic checks, market changes mean parameters may need adjustment
4. Take profits when available, don't dream of getting rich quick
5. Remember: survival is most important, as long as the green mountain stands, there is always firewood

Remember: No matter how good a strategy, the market teaches lessons without warning! Small position test, survival most important! 🙏


Final Reminder: This document is for reference only, not investment advice. Cryptocurrency trading carries big risk, enter cautiously!


Document Info
Strategy Source: NostalgiaForInfinityV7 by iterativ
Variant Version: bAdBoY_20211204
Creation Date: 2021-12-04