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RSI Regular Divergence

D01 · v1 Divergence BTCUSDT ETHUSDT SOLUSDT

Rules

  1. Signal on the close of a candle, entry at the open of the next one.
  2. Regular divergence between price and RSI(14): pivots 5/5 bars, 5–60 bars apart. The signal fires when the last pivot is confirmed, 5 bars after it.
  3. Long on bullish divergence (price lower low, oscillator higher low); short on bearish.
  4. Stop-loss beyond the last pivot by 0.5 × ATR(14).
  5. Take-profit at 2 R.
  6. Exit on the close of bar 30 if neither level is hit.
  7. An opposite signal closes the trade at the next open and reverses.
  8. If stop and target are both touched in one candle, the stop counts.
  9. Fees 0.1% per side, slippage 0.05% on market fills.

The idea

A regular divergence is a disagreement between price and momentum: price makes a new extreme, RSI does not. A lower low in price with a higher low in RSI says sellers pushed price further with less force — a hint that the move is tiring and may turn.

The catch is timing. A swing low is only a swing low after price has moved away from it. Here a pivot needs 5 bars on each side, so the divergence becomes known 5 bars after the second low — by then part of the bounce is already gone. Every signal on this page is placed on that confirmation bar, exactly where a trader could have acted.

PRICE RSI 30 70 target 2R stop entry
Schematic, not real data: amber dots are pivots, dotted verticals the bars where each pivot becomes known; entry after the last one. Shorts are the mirror image.

Chart

Pick a trade in the table to centre the chart on it. Hollow circles are pivots where they formed; filled ones mark the bar the pivot became known — the signal can only fire there.

Results

Trades 52
Win rate 42.31%
Profit factor 0.896
Avg R -0.04R
Net P&L -40.51%
Max drawdown −80.21%
Buy & hold +1,880.48%
Avg duration 1sem 5d
Side Trades Win rate Profit factor Avg trade Net P&L Max drawdown
All 52 42.31% 0.896 -0.46% -40.51% −80.21%
Long 18 38.89% 0.905 -0.49% -19.88% −51.77%
Short 34 44.12% 0.89 -0.44% -25.74% −58.97%

Monthly P&L

Year ene. feb. mar. abr. may. jun. jul. ago. sep. oct. nov. dic. Year
2026 · · +14.88% · -4.85% · · · -6.65% · · · +2.04%
2025 · -5.08% · -11.20% · · -2.89% · -0.49% · · · -18.55%
2024 -6.62% · · +2.59% · +9.13% +18.64% · · · · -8.26% +13.79%
2023 · +7.43% · +4.54% · -7.80% · +10.56% · +6.99% -1.91% +5.94% +27.28%
2022 -3.55% · -20.51% · -4.48% -8.36% · -8.18% -16.85% +7.71% +6.22% +2.50% -39.91%
2021 · +4.84% · -11.06% · -25.44% · +2.52% -3.45% -20.03% · · -44.97%
2020 -4.75% · · · · · +3.04% · +10.41% · -13.83% -4.73% -11.04%
2019 · · · · -7.59% -7.34% · -7.87% · · · · -21.11%
2018 +17.23% · · · · +16.51% +12.45% · · -2.67% · +21.31% +81.34%
2017 · · · · · · · · · · +17.44% · +17.44%

Three real trades from the backtest

Best winner · #1

Short from 2017-11-10 to 2017-11-12: take-profit, +17.44% (+1.98R).

Worst loser · #31

Short from 2023-02-21 to 2023-02-21: stop-loss, -0.31% (-4.92R).

Borderline case · #45

Long from 2025-01-15 to 2025-02-13: timeout, -0.25% (-0.03R).

By timeframe

TF Trades Win rate Profit factor Net P&L Max drawdown
1w 7 42.86% 1.354 +4.56% −47.30%
1d 52 42.31% 0.896 -40.51% −80.21%
4h 238 39.5% 0.861 -59.07% −62.88%
1h 1063 34.15% 0.698 -98.48% −98.50%

Where it breaks

On 1h the strategy did worst (-98.48% over 1063 trades); the best timeframe was 1w (+4.56%). Buy & hold over the same history: +1,880.48%.

Divergences fight the trend. In a strong trend RSI stays stretched and keeps printing “divergences” while price keeps going; the stop behind the pivot is hit again and again. Lower timeframes add many more signals, and fees plus slippage on each of them eat whatever edge there is.

Common beginner mistakes

  • Drawing the divergence after the fact: on a finished chart the pivot is obvious, in real time it is known only `right` bars later. That delay is exactly what this backtest enforces.
  • Picking the pivots that fit: lines from any high to any high will always find a divergence. Fixed pivot rules and a fixed distance window remove the choice.
  • Ignoring costs: a small edge per trade disappears when a strategy trades hundreds of times a year.
  • Trusting a handful of trades: fewer than 30 trades say almost nothing about a strategy.

Open now

No open position on the last closed candle.

Trades · 52

# Side Entry Stop Target Exit Result Net R Bars Show
52 Short 2026-09-09
78,416.57
83,425.53 68,398.66 2026-09-21
83,467.24
Stop-loss -6.65% -1.04R 13
51 Short 2026-04-29
76,304.61
79,806.89 69,300.04 2026-05-04
79,846.80
Stop-loss -4.85% -1.06R 6
50 Long 2026-03-02
65,809.37
60,836.28 75,755.55 2026-03-17
75,755.55
Take-profit +14.88% +1.97R 16
49 Short 2025-08-19
116,168.94
125,076.81 98,353.19 2025-09-17
116,505.81
Timeout -0.49% -0.06R 30
48 Short 2025-07-09
108,868.53
111,737.85 103,129.88 2025-07-09
111,793.72
Stop-loss -2.89% -1.10R 1
47 Long 2025-03-16
84,380.61
75,114.26 102,913.32 2025-04-07
75,076.70
Stop-loss -11.20% -1.02R 23
46 Long 2025-02-24
96,306.13
91,876.19 105,166.00 2025-02-24
91,830.25
Stop-loss -4.84% -1.05R 1
45 Long 2025-01-15
96,609.13
89,377.58 111,072.23 2025-02-13
96,559.84
Timeout -0.25% -0.03R 30
44 Short 2024-12-14
101,373.53
103,412.41 97,295.77 2024-12-15
103,464.11
Stop-loss -2.26% -1.13R 2
43 Short 2024-11-28
95,815.18
101,443.21 84,559.11 2024-12-05
101,493.93
Stop-loss -6.13% -1.04R 8
42 Long 2024-07-11
57,754.71
52,302.18 68,659.78 2024-07-27
68,659.78
Take-profit +18.64% +1.97R 17
41 Short 2024-06-11
69,505.23
72,744.18 63,027.34 2024-06-24
63,027.34
Take-profit +9.13% +1.96R 14
40 Short 2024-03-17
65,267.99
74,609.84 46,584.28 2024-04-15
63,451.70
Timeout +2.59% +0.18R 30
39 Short 2024-01-08
43,907.05
46,698.75 38,323.63 2024-01-08
46,722.10
Stop-loss -6.62% -1.04R 1
38 Short 2023-12-11
43,767.61
45,110.06 41,082.70 2023-12-11
41,082.70
Take-profit +5.94% +1.94R 1
37 Short 2023-11-16
37,839.27
38,150.32 37,217.18 2023-11-16
37,217.18
Take-profit +1.45% +1.76R 1
36 Short 2023-11-07
35,028.57
36,099.02 32,887.67 2023-11-08
36,117.07
Stop-loss -3.31% -1.08R 2
35 Long 2023-09-17
26,572.95
24,550.38 30,618.10 2023-10-16
28,486.53
Timeout +6.99% +0.92R 30
34 Short 2023-07-19
29,844.21
32,226.35 25,079.92 2023-08-17
26,636.72
Timeout +10.56% +1.32R 30
33 Long 2023-05-30
27,750.26
25,651.16 31,948.45 2023-06-05
25,638.34
Stop-loss -7.80% -1.03R 7
32 Short 2023-04-17
30,289.51
31,006.03 28,856.46 2023-04-19
28,856.46
Take-profit +4.54% +1.92R 3
31 Short 2023-02-21
24,831.47
24,847.30 24,799.80 2023-02-21
24,859.73
Stop-loss -0.31% -4.92R 1
30 Short 2023-02-04
23,420.18
24,351.87 21,556.81 2023-02-10
21,556.81
Take-profit +7.76% +1.95R 7
29 Long 2022-11-27
16,465.84
15,115.19 19,167.14 2022-12-26
16,910.93
Timeout +2.50% +0.30R 30
28 Short 2022-11-11
17,593.65
22,025.02 8,730.91 2022-11-27
16,465.84
Opposite signal +6.22% +0.25R 17
27 Long 2022-09-27
19,236.29
17,653.81 22,401.26 2022-10-26
20,761.20
Timeout +7.71% +0.94R 30
26 Long 2022-09-12
21,837.78
18,203.29 29,106.76 2022-09-21
18,194.19
Stop-loss -16.85% -1.01R 10
25 Short 2022-08-03
22,974.44
24,792.70 19,337.91 2022-08-11
24,805.10
Stop-loss -8.18% -1.03R 9
24 Long 2022-06-02
29,820.74
27,397.08 34,668.06 2022-06-12
27,383.38
Stop-loss -8.36% -1.03R 11
23 Long 2022-05-02
38,487.58
36,856.38 41,750.00 2022-05-05
36,837.95
Stop-loss -4.48% -1.06R 4
22 Short 2022-03-07
38,401.59
46,171.95 22,860.88 2022-03-27
46,195.03
Stop-loss -20.51% -1.01R 21
21 Long 2022-01-04
46,469.32
44,933.92 49,540.13 2022-01-05
44,911.45
Stop-loss -3.55% -1.07R 2
20 Short 2021-09-12
45,151.09
54,067.98 27,317.31 2021-10-06
54,095.02
Stop-loss -20.03% -1.01R 25
19 Short 2021-08-26
48,948.83
50,513.89 45,818.72 2021-09-03
50,539.15
Stop-loss -3.45% -1.08R 9
18 Short 2021-08-15
47,044.97
47,683.42 45,768.05 2021-08-15
45,768.05
Take-profit +2.52% +1.85R 1
17 Long 2021-06-14
39,040.07
29,181.95 58,756.32 2021-06-22
29,167.36
Stop-loss -25.44% -1.01R 9
16 Short 2021-03-19
57,612.18
63,828.13 45,180.27 2021-04-14
63,860.05
Stop-loss -11.06% -1.02R 27
15 Short 2021-02-15
48,556.18
49,778.66 46,111.21 2021-02-15
46,111.21
Take-profit +4.84% +1.92R 1
14 Short 2020-12-25
23,717.13
24,778.87 21,593.65 2020-12-25
24,791.26
Stop-loss -4.73% -1.06R 1
13 Short 2020-11-27
17,140.90
19,465.96 12,490.76 2020-11-30
19,475.70
Stop-loss -13.83% -1.02R 4
12 Short 2020-08-23
11,657.68
12,686.98 9,599.08 2020-09-21
10,422.43
Timeout +10.41% +1.18R 30
11 Short 2020-06-07
9,662.02
10,617.39 7,751.26 2020-07-06
9,348.87
Timeout +3.04% +0.31R 30
10 Short 2020-01-04
7,341.33
7,670.83 6,682.33 2020-01-06
7,674.66
Stop-loss -4.75% -1.06R 3
9 Long 2019-08-02
10,380.19
8,980.60 13,179.37 2019-08-31
9,582.68
Timeout -7.87% -0.58R 30
8 Short 2019-06-02
8,540.83
9,145.39 7,331.70 2019-06-16
9,149.97
Stop-loss -7.34% -1.04R 15
7 Short 2019-04-29
5,307.16
5,696.24 4,528.98 2019-05-03
5,699.09
Stop-loss -7.59% -1.04R 5
6 Long 2018-12-13
3,448.10
3,076.60 4,191.11 2018-12-24
4,191.11
Take-profit +21.31% +1.98R 12
5 Long 2018-09-14
6,490.63
5,968.30 7,535.31 2018-10-13
6,329.76
Timeout -2.67% -0.33R 30
4 Long 2018-06-28
6,137.80
5,748.84 6,915.71 2018-07-17
6,915.71
Take-profit +12.45% +1.96R 20
3 Short 2018-05-11
8,997.71
10,260.70 6,471.73 2018-06-09
7,495.48
Timeout +16.51% +1.18R 30
2 Short 2017-12-22
15,506.27
20,498.69 5,521.43 2018-01-20
12,806.34
Timeout +17.23% +0.54R 30
1 Short 2017-11-10
7,075.46
7,698.80 5,828.79 2017-11-12
5,828.79
Take-profit +17.44% +1.98R 3

Spec v1 · engine 1.1.0 · 3,325 candles 2017-08-17 — 2026-09-23 · data hash 5033479e7811

Binance spot data. The coin list is today's, so delisted coins are missing (survivorship bias is not corrected).

Educational material, not investment advice. Past results of a mechanical strategy do not predict future results.