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Commodity Index Bond Timing (6 Countries)

This strategy trades the 10-year government bonds of six countries: the US, the UK, Germany, Japan, Canada and Australia. Once a month it looks at a broad commodity index (the S&P GSCI, a basket of oil, metals, grains and livestock) and asks one question: have commodities risen faster or slower than usual over the last 12 months, compared with their normal 12-month moves over the past ten years? B

StrategyStocks & Indices★ OfficialOpen source
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From DaviddTech classroom · Opensource. Past results don't predict future ones. Not financial advice.
Try Commodity Index Bond Timing (6 Countries)
Add it to your chart, back-test it on any pair, compare it with other strategies, forward-test it on paper, or run it as a bot.
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Back-tests and forward tests are simulations; past results do not predict future ones. Nothing here is financial advice. Trading carries a high risk of loss.