トレーディング戦略リファレンスディレクトリ

定量トレーディング戦略リスト。

9カテゴリにわたる63件のStratCraft戦略リファレンスをご覧ください。各ページでは、セットアップロジック、市場適合性、リスク管理、そしてリーディングからバックテストまでの道筋を解説しています。

63総ページ数
9カテゴリ
15高優先度リファレンス

戦略カテゴリガイド

トレーディングロジック別の詳細ガイド。

ライブラリ

トレーディングロジック別にグループ化された戦略。

トレンドフォロー

方向性レジームを定義し、継続のエビデンスを待ち、動きが持続する間リスクをトレールする戦略。

20件の戦略
HighMEDIUMリスク

SMA Crossover Strategy

Visual reference for SMA Crossover Strategy: Fast and slow simple moving averages, SMA crossover, slow-average slope and price confirmation, entries, exits, and risk controls for systematic backtesting.

1h, 4h, DailyStocks, Forex
HighMEDIUMリスク

MACD Trend Following Strategy

Visual reference for MACD Trend Following Strategy: MACD line, signal line, and histogram, MACD bullish or bearish cross, zero-line location and histogram expansion, entries, exits, and risk controls for systematic backtesting.

30m, 1h, 4hStocks, Crypto
HighHIGHリスク

Donchian Channel Breakout Strategy

Visual reference for Donchian Channel Breakout Strategy: Donchian upper and lower price channels, breakout beyond the channel boundary, channel width and higher-timeframe direction, entries, exits, and risk controls for systematic backtesting.

4h, Daily, WeeklyCommodities, Forex
MediumMEDIUMリスク

Keltner Channel Strategy

Visual reference for Keltner Channel Strategy: EMA midline with ATR-based channel bands, close outside the Keltner channel, ATR expansion and midline slope, entries, exits, and risk controls for systematic backtesting.

1h, 4h, DailyStocks, Forex
MediumMEDIUMリスク

ADX Trend Strength Filter Strategy

Visual reference for ADX Trend Strength Filter Strategy: ADX with positive and negative directional movement, directional movement alignment with elevated ADX, ADX threshold and DI dominance, entries, exits, and risk controls for systematic backtesting.

1h, 4h, DailyStocks, Forex
MediumMEDIUMリスク

Heikin-Ashi Trend Strategy

Visual reference for Heikin-Ashi Trend Strategy: Heikin-Ashi smoothed candle sequence, color continuation with minimal opposing wick, candle body consistency and trend slope, entries, exits, and risk controls for systematic backtesting.

30m, 1h, 4hStocks, Crypto
ExistingMEDIUMリスク

EMA Crossover Strategy

Visual guide to the EMA Crossover strategy: mastering Golden Crosses, Death Crosses, momentum shifts, and trend-following risk management.

15m, 1h, 4hStocks, Forex
ExistingHIGHリスク

Turtle Trading Strategy

Visual guide to the legendary Turtle Trading rules: 20/55-day breakouts, ATR-based position sizing (N), and systematic pyramid entries.

Daily, WeeklyCommodities, Forex
ExistingMEDIUMリスク

Supertrend

Visual guide to the Supertrend indicator trading strategy: ATR-based trend direction, entry/exit signals, dynamic trailing stops, and risk management.

1h, 4h, DailyStocks, Indices
ExistingMEDIUMリスク

Ichimoku Cloud Strategy

Visual guide to mastering the Ichimoku Cloud strategy: Kumo breakouts, Tenkan Sen crosses, Chikou Span confirmation, and trend-following rules.

4h, Daily, WeeklyForex, Indices
ExistingMEDIUMリスク

Parabolic SAR + EMA

Visual guide to the Parabolic SAR and EMA combined trading strategy: trend-reversal entries, trailing stops, exit rules, and risk management.

15m, 1h, 4hTrending Stocks, Major Forex Pairs
ExistingMEDIUMリスク

ADX + Directional Movement Index

Visual guide to the ADX and DMI combined trading strategy: trend-strength filtering, directional entry signals, exit rules, and risk management.

15m, 1h, 4hForex, Stocks
ExistingHIGHリスク

ATR Volatility Breakout

Visual guide to the ATR volatility breakout trading strategy: Keltner Channel breakouts, ATR trailing stops, position sizing, and risk management.

5m, 15m, 1hCrypto, Indices
ExistingMEDIUMリスク

Dual Thrust Strategy

Visual guide to Dual Thrust breakout rules: calculating Range, BuyLine, and SellLine thresholds for systematic trend following.

5m, 15m, 1hIndices, Commodities
ExistingMEDIUMリスク

R-Breaker Strategy

Visual guide to R-Breaker intraday rules: calculating Bbreak, Ssetup, Senter levels, and executing breakout vs. reversal setups.

1m, 5m, 15mFutures, Forex
ExistingMEDIUMリスク

Trend Channel System

Visual guide to Trend Channels: drawing parallel support and resistance, trading midline mean reversion, and mastering channel breakouts.

15m, 1h, 4hForex, Commodities
ExistingLOWリスク

Dolphin Trading Strategy

Visual guide to the Dolphin Trading system: Synchronizing H1, M30, and M15 trends using MA and MACD.

M15 (Execution), H1 (Secondary), H4 (Main Trend)Major Forex Pairs, S&P 500 Index
ExistingLOWリスク

Escalator Trading Strategy

Visual guide to the Escalator Trading system: Using EMA 8/13/21 stacks and ATR trailing stops for steady trend following.

5m, 15m, 1h (Recommended)Growth Stocks, Bullish Index Trends
ExistingMEDIUMリスク

Fibonacci Trend Strategy

Visual guide to mastering the Fibonacci Retracement strategy: identifying the Golden Pocket, swing anchors, extensions, and precise risk management.

1h, 4h, DailyForex, Stocks
ExistingHIGHリスク

Oliver Kell EMA Strategy

Visual guide to Oliver Kell momentum rules: base breakouts, 10/20 EMA support, extension exhaustion, and US Investing Champion tactics.

Daily, WeeklyGrowth Stocks, Small Caps

平均回帰

統計的に乖離した価格、疲弊、またはベースラインに回帰するレラティブバリューのディスロケーションを探す戦略。

9件の戦略
HighMEDIUMリスク

Bollinger Band Mean Reversion Strategy

Visual reference for Bollinger Band Mean Reversion Strategy: Bollinger moving-average midline, close outside the upper or lower Bollinger Band, band squeeze, trend slope, and volume confirmation, entries, exits, and tail-risk controls for systematic backtesting.

30m, 1h, 4hStocks, Forex
HighMEDIUMリスク

RSI Overbought/Oversold Strategy

Visual reference for RSI Overbought/Oversold Strategy: RSI neutral zone and recent price range, RSI crossing below oversold or above overbought thresholds, range regime, divergence, and failed breakout behavior, entries, exits, and tail-risk controls for systematic backtesting.

15m, 1h, DailyStocks, Crypto
HighHIGHリスク

Pairs Trading Strategy

Visual reference for Pairs Trading Strategy: cointegrated or historically correlated spread, spread deviation beyond the tested entry threshold, correlation stability, borrow availability, and beta neutrality, entries, exits, and tail-risk controls for systematic backtesting.

1h, Daily, WeeklyStocks, ETFs
MediumHIGHリスク

Z-Score Mean Reversion Strategy

Visual reference for Z-Score Mean Reversion Strategy: rolling mean and standard deviation, z-score exceeding the positive or negative entry band, stable rolling window and non-trending volatility regime, entries, exits, and tail-risk controls for systematic backtesting.

30m, 4h, DailyStocks, ETFs
LowHIGHリスク

Ornstein-Uhlenbeck Strategy

Visual reference for Ornstein-Uhlenbeck Strategy: estimated long-run OU equilibrium level, model-implied deviation from the equilibrium mean, stable half-life and residual diagnostics, entries, exits, and tail-risk controls for systematic backtesting.

1h, Daily, WeeklySpreads, Rates
ExistingMEDIUMリスク

RSI + Moving Average

Visual guide to the RSI + Moving Average combined trading strategy: momentum signals, trend filtering, entry/exit rules, and risk management flow.

30m, 1h, DailyStocks, Crypto
ExistingMEDIUMリスク

Bollinger Bands + MACD

Visual guide to the Bollinger Bands + MACD combined trading strategy: signal logic, entry/exit rules, and confirmation flow.

5m, 15m, 1hBlue-Chip Stocks, Major Forex Pairs
ExistingMEDIUMリスク

Stochastic + Bollinger Bands

Visual guide to the Stochastic Oscillator and Bollinger Bands combined trading strategy: mean-reversion setups, squeeze breakouts, entry/exit rules, and risk management flow.

5m, 15m, 1hRange-bound Stocks, Forex Cross-Pairs
ExistingHIGHリスク

Gap Trading Strategy

Visual guide to Gap Trading: understanding Breakaway, Runaway, and Exhaustion gaps, plus Gap and Go vs. Gap Fill execution rules.

1m, 5m, 15mStocks, ETFs

モメンタム

価格、リターン、またはオシレーターのエビデンスが持続的な方向性圧力を示した後、強さをランク付けまたは追従する戦略。

9件の戦略
HighHIGHリスク

Relative Strength Strategy

Visual reference for Relative Strength Strategy: relative return ranking versus peers, top-ranked assets maintaining positive relative performance, liquidity, sector concentration, and benchmark trend alignment, exits, and reversal-risk controls for systematic backtesting.

Daily, Weekly, MonthlyStocks, ETFs
HighHIGHリスク

Time-Series Momentum Strategy

Visual reference for Time-Series Momentum Strategy: absolute return over the selected lookback window, positive trailing return for long exposure or negative trailing return for short exposure, volatility target, trend persistence, and market regime confirmation, exits, and reversal-risk controls for systematic backtesting.

Daily, Weekly, MonthlyFutures, ETFs
MediumMEDIUMリスク

Rate of Change Strategy

Visual reference for Rate of Change Strategy: price rate of change over a fixed lookback, ROC crossing above a bullish threshold or below a bearish threshold, zero-line direction, volume confirmation, and volatility expansion, exits, and reversal-risk controls for systematic backtesting.

30m, 1h, DailyStocks, Forex
MediumMEDIUMリスク

Williams %R Momentum Strategy

Visual reference for Williams %R Momentum Strategy: Williams %R close-location oscillator, Williams %R leaving an extreme zone in the direction of trend, range breakout, oscillator persistence, and higher-timeframe bias, exits, and reversal-risk controls for systematic backtesting.

15m, 1h, DailyStocks, Futures
LowHIGHリスク

Momentum Factor Strategy

Visual reference for Momentum Factor Strategy: prior return factor ranking across securities, long winners and short or underweight losers after the formation window, skip-month logic, liquidity screens, and portfolio concentration limits, exits, and reversal-risk controls for systematic backtesting.

Monthly, QuarterlyStocks, Factors
ExistingHIGHリスク

MACD + RSI Divergence

Visual guide to the MACD and RSI divergence combined trading strategy: bullish and bearish reversals, histogram setups, and rigorous risk management flow.

1h, 4h, DailyStocks, Crypto
ExistingMEDIUMリスク

Dual Moving Average + Volume

Visual guide to the dual moving average and volume confirmation trading strategy: MA crossover signals, OBV validation, entry/exit rules, and risk management.

1h, 4h, DailyStocks, Crypto
ExistingLOWリスク

VWAP Strategy

Master the Volume Weighted Average Price (VWAP) strategy: intraday benchmarks, standard deviation bands, mean reversion, and institutional volume flow.

1m, 5m, 15mHighly Liquid Stocks, Major Indices (S&P 500, Nasdaq)
Existing

Signal Fusion

Three infographics visualizing the Alpha Factory thesis: what fuses with what, how five methods produce one decision, and why the combinator is the only moat.

グリッドトレーディング

レンジ、ボラティリティバンド、または非対称在庫プランの周囲に体系的な買いと売りのレベルを配置する戦略。

6件の戦略
HighHIGHリスク

Equal-Spaced Grid Strategy

Visual reference for Equal-Spaced Grid Strategy: a bounded upper and lower price range, fixed price or percentage intervals, entries, exits, inventory limits, and breakout controls for systematic backtesting.

15m, 1h, 4hCrypto, Forex
HighHIGHリスク

Fibonacci Grid Strategy

Visual reference for Fibonacci Grid Strategy: a swing high-low range anchored to a recent impulse move, Fibonacci retracement and extension intervals, entries, exits, inventory limits, and breakout controls for systematic backtesting.

1h, 4h, DailyCrypto, Forex
MediumHIGHリスク

Asymmetric Grid Strategy

Visual reference for Asymmetric Grid Strategy: a range with directional skew or uneven liquidity zones, different intervals above and below the reference price, entries, exits, inventory limits, and breakout controls for systematic backtesting.

15m, 1h, 4hCrypto, Forex
MediumHIGHリスク

Dynamic Grid Strategy

Visual reference for Dynamic Grid Strategy: a rolling range that updates with recent price behavior, ATR- or volatility-adjusted intervals, entries, exits, inventory limits, and breakout controls for systematic backtesting.

5m, 15m, 1hCrypto, Forex
ExistingEXTREMEリスク

Martingale Strategy

Educational guide to the Martingale system: why doubling down after losses leads to catastrophic account failure and why it is not a sound trading strategy.

ExistingMEDIUMリスク

Fiary Four Price Strategy

Visual guide to the Fiary Four Price intraday rules: Breakout levels based on Yesterday High/Low/Close and Today Open.

Daily (for levels), 1m, 5mBlue Chip Stocks, Major Forex Pairs

アービトラージ

関連する商品、取引所、契約、または企業イベント間の価格関係を利用する戦略。

4件の戦略

マルチファクター

バリュー、モメンタム、クオリティ、ボラティリティ、市場エクスポージャーなどの持続的なポートフォリオ特性を組み合わせる戦略。

4件の戦略

イベントドリブン

決算、届出、M&A、ニュース、その他のカタリストに反応し、タイミングとダウンサイドコントロールが支配的な戦略。

4件の戦略

機械学習

特徴量セットから予測モデル、ランキング、またはポリシーを訓練し、リーケージとレジームドリフトを制御する戦略。

4件の戦略

HFT / マーケットメイキング

クオート品質、在庫制限、フィードシーケンス、取引所の挙動、タイトな約定条件に依存する戦略。

3件の戦略

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