Trend-Following Backtester · Guide · backtest 한국어

equity · CN

Guangdong Haid Group Co., Limited Class A backtest

10 trend-following strategies were compared on the full daily history of Guangdong Haid Group Co., Limited Class A. 0 beat buy-and-hold CAGR; Supertrend ranks first by Sharpe, matching the main backtester. The return/drawdown alternative is Supertrend (CAGR 11.4%, MDD -42.2%).

Data 2009-11-27 ~ 2026-07-31daily bars 4,049 (16.7 years)Costs 0.5%Venue SZSEMonthly snapshot 2026-07-31

Results by strategy

0 of 10 beat buy and hold (CAGR 13.2%, drawdown -59.8%).

Sharpe leader (same as main): Supertrend — CAGR 11.4%, MDD -42.2%, Sharpe 0.57, 60% exposure.

Return/drawdown alternative: Supertrend — CAGR is 1.8%p lower than buy and hold, while drawdown improves by 17.7%p (CAGR 11.4%, MDD -42.2%, exposure 60%).

The alternative must retain 75% of buy-and-hold CAGR, improve drawdown by at least 20% and 5 percentage points, and stay below 95% exposure; the ranking weights return retention 60% and drawdown improvement 40%.

Strategy · parametersCAGRMDDSharpeCalmarTotalTradesExposure
Supertrend
period=23, mult=4.7
11.4%-42.2%0.570.276.1x3360%
Donchian 채널 돌파
entryN=111, exitN=75
10.8%-45.2%0.520.245.5x1653%
EMA 크로스오버
fast=58, slow=151
10.4%-48.1%0.500.225.2x2262%
SMA 크로스오버
fast=11, slow=166
10.0%-42.9%0.490.234.9x3658%
ADX / DI 방향성
period=21, threshold=33
4.5%-22.0%0.450.202.1x146%
볼린저 밴드 돌파
n=53, k=1.2
5.2%-45.4%0.340.122.3x10345%
ROC 모멘텀
n=55, threshold=-0.03
3.9%-66.4%0.280.061.9x21966%
Keltner 채널 돌파
emaPeriod=58, atrPeriod=29, mult=2.3
2.9%-59.0%0.250.051.6x6435%
MACD
fast=19, slow=43, signal=18
1.6%-64.8%0.190.021.3x18349%
Parabolic SAR
step=0.005, maxStep=0.32
0.1%-56.6%0.130.001.0x13952%
Buy and hold13.2%-59.8%0.540.228.0x1100%
1x 10x 2010 2013 2016 2019 2022 2025 SupertrendBuy and hold
Supertrend: Solid strategy line versus dashed buy-and-hold line. Log scale.
0% -15% -30% -45% -60% 2010 2013 2016 2019 2022 2025 Buy and holdSupertrend
Supertrend maximum drawdown -42.2% (2021-02-10 → 2024-03-06), recovered after 1,672 days.

Rules of the top strategy

Trades the direction of a volatility-based trend line that trails below/above price.

Method and caveats

Past performance does not guarantee future returns. Parameters were selected on the same full-history sample using sharpe over 40 trials per strategy, so results contain in-sample bias. 0.5% trading costs are included; taxes, slippage and rejected orders are not.
Re-run the same setupAll asset reports

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