Trading Bot Algorithmic
Autonomous system deployed in Docker on Linux infrastructure. This project unifies systems engineering, API consumption (Binance), and real-time data analysis to execute market operations without human intervention.
Mean-reverting strategy in range-bound markets. Works across both long (buy panic) and short (sell euphoria) positions using statistical extremes.
The Strategy: BollingerBidir
This bot captures statistical extremes in sideways markets. When the price touches the upper or lower Bollinger Band with extreme RSI levels, it signals a reversal opportunity.
- ▹ Timeframe: 15 Minutes
- ▹ Main Indicators: Bollinger Bands + RSI + Volume Multiplier
- ▹ Risk Management: Dynamic stoploss (Trailing Stop) set at -30% for black swan protection.
Assets on Radar
Operating exclusively against the USDT pair to mitigate cross volatility.
How it works: The Indicators
Bollinger Bands (20/2): Volatility channels around a moving average. Values outside the bands indicate extreme conditions.
Detects when price reaches volatility extremes: a good reversal predictor.
RSI (14): Momentum oscillator. Values below 25 = extreme selling (panic). Above 75 = extreme buying (euphoria).
Confirms panic (buy) and euphoria (sell) through extreme momentum.
ADX (14): Trend strength detector. Below 25 = range-bound market (our edge). Above 25 = trending market (we stay out).
This is the true edge: we operate ONLY in range-bound markets where reversals work.
Volume Multiplier: Confirms extreme moves require high volume to validate panic/euphoria sentiment.
Rejects false signals: without volume, there's no real capital changing hands.
Live Telemetry
Real-time position monitoring. These are the trades currently open in the account, tracked live from Binance Futures API.
Live Bot Telemetry
System Status
Closed Profit
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All Trades Profit
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Open Trades
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Live Open Trades
| Pair | Direction | Open Date | Profit | Status |
|---|---|---|---|---|
| Loading open trades... | ||||
Recent Realized Trades
| Pair | Direction | Open | Close | Profit | Reason |
|---|---|---|---|---|---|
| Loading realized trades... | |||||
Backtest Results (2025)
Historical performance on 206 trades (15min candles, 2025 data). The equity curve shows capital growth including wins and losses. Backtesting validates the strategy before live execution.
Win Rate
44.7%
Total Trades
206
Màxima Caiguda (Compte)
-1.07%
Net Profit
+20.62%
Backtest History
| Pair | Direction | Open Date | Close Date | Profit (Posició) | Reason |
|---|---|---|---|---|---|
| Loading backtest trades... | |||||