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May 16, 2026 5:55 PM
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TEM, ASTS, PL, QBTS, RKLB, NBIS - Trading Results AI Trading Agent (6 Tickers, Aerospace & Defense), 60min

4 0
10+ 10
Adjustable trading balance $100,000 Profit (348 days) $53,520 Annualized Return + 57%
DESCRIPTION
MAIN STATS
JavaScript chart by amCharts 3.20.5
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Description:

Overview: This AI trading robot is built for aggressive, high-frequency intraday trading. Designed for volatile, high-impact market sessions, it operates across nine major tickers: TEM, ASTS, PL, QBTS, RKLB, NBIS, using a 60-minute trading timeframe. This robot combines cutting-edge AI with dynamic technical strategies to capitalize on rapid breakout opportunities — both long and hedge — throughout the trading day.

BUY LONG and SHORT:

Aerospace & Defense: TEM, ASTS, PL, QBTS, RKLB, NBIS.

These tickers represent high-liquidity, high-volatility instruments ideal for active momentum strategies.

60-Minute ML Overview:
Tickeron’s Financial Learning Models (FLMs) represent a comprehensive integration of artificial intelligence and machine learning into the fabric of financial market analysis. In a 60-minute deep dive, one would explore how Tickeron’s models utilize complex algorithms trained on vast datasets to identify patterns, trends, and anomalies in the market. These models go beyond basic charting tools by combining advanced technical indicators with predictive analytics, allowing traders to anticipate potential price movements with enhanced accuracy. An in-depth session would cover the architecture of these models, the data sources feeding into them, and the continuous learning cycles that improve their accuracy over time. Additionally, users would examine the functionality of Tickeron’s trading agents, which include AI-generated buy/sell signals, strategy backtesting, and real-time risk assessment tools tailored for both novice and experienced traders. The session would also delve into regulatory considerations, ethical AI practices, and the implications of AI-driven trading in modern financial ecosystems.

Description of Agent:

This AI agent utilizes real-time market data, technical breakouts, and volatility indicators to make informed trading decisions. PulseBreaker 9X continuously analyzes market behavior, identifying high-probability entries and exits with a short-term tactical focus. Its aggressive profile favors traders who are comfortable with high-risk/high-reward dynamics and rapid capital rotation.

Strategic Features and Technical Basis:

  • Breakout Acceleration Engine:
    Detects price-level breaches validated by sudden volume and volatility surges. This engine ensures rapid response to momentum shifts and breakout zones.

  • High-Frequency Execution:
    Places multiple trades per session, focusing on early entries to exploit the first wave of directional movement before momentum fades.

  • Micro-Floating Stop-Loss System:
    Adaptive stop-loss mechanism optimized for fast market environments. It maintains tight protection without prematurely exiting winning trades.

  • Dynamic Profit Capture System:
    Targets gains between +4 % to +7% per trade, particularly during high-volume or event-driven market windows.

  • Volatility-Oriented Behavior:
    Actively scans for setups around macro events, earnings reports, and high-beta moves, ensuring engagement in the most impactful trading zones.
     

Position and Risk Management: This robot is best suited as a tactical layer within a diversified trading system, especially in markets with elevated volatility. Traders are encouraged to use appropriate capital allocation techniques and maintain awareness of market conditions during active PulseBreaker sessions.

PulseBreaker 9X is a cutting-edge AI trading agent designed to maximize returns in the most volatile slices of the market. Leveraging Tickeron's Financial Learning Models (FLMs), it combines real-time technical analysis with machine learning insights to deliver precision-driven breakout trades. For aggressive traders seeking performance in rapid, high-volatility environments, PulseBreaker 9X offers a powerful, intelligent solution.

Trading Dynamics and Specifications:

  • Maximum Open Positions: Medium, allowing for diversified exposure while managing concentration risk.

  • Robot Volatility: Low, attributed to the strategic entry after minor pullbacks and careful position management..

  • Universe Diversification Score: Low, indicating a narrow array of instruments to hedge against sector-specific downturns and enhance profit opportunities.

  • Profit to Dip Ratio (Profit/Drawdown): High, suitable for traders who are focusing either on high profit or low drawdown for potentially higher returns, which makes it ideal for all levels.

  • Optimal Market Condition High: If the current market volatility is High, then you should use the Best Robots in High Volatility Market (VIX is High - this indicator is coming soon).  

Disclaimer:  Disclaimers and Limitations 

Simulated Performance: All simulated performance results are derived solely from real-time calculations using historical data. Algorithms receive minute-by-minute historical prices and other data from Morningstar and generate trades in real time based on these historical inputs, effectively eliminating any hindsight bias. 

Actual Performance: All actual performance results are derived solely from real-time calculations using current data. Algorithms receive minute-by-minute current prices and other data from Morningstar and generate trades in real time based on these current inputs, effectively eliminating any hindsight bias. 

Gross Performance: Gross performance results do not deduct any fees or expenses. These results reflect the total returns generated by the AI Robots without considering the costs associated with accessing the service. 

Net Performance (current performance chart): Net performance results deduct fees to provide a more accurate representation of returns experienced by the user. These deductions can include: Model Fee Deduction: Net performance results may deduct a model fee equivalent to the highest subscription fee charged to the intended audience. Actual Subscription Fees: Net performance results may also deduct the actual subscription fees paid by the user for access to AI Robot

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Actual Performance
(348 days)
Date range
5/17/2025 - 5/16/2026
Amount Of Each Trade:
Open Trades P/L:
Closed Trades P/L:
Total Net Profit:
Show All Stats
Simulated Performance

This Robot is recommended to be used when the markets are growing in general. The core algorithm makes only long The core algorithm makes only long

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Open Trades (28)
Closed Trades
Pending Orders
Closed Trades P/L
Copy  0 tickers the first  
30
30
70
300
to tickers to  
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Clipboard
Watchlist
Screener
Scanner
Signals
Scorecards
Paper Trade
Comm. Predictions
Trend Prediction Engine SUBSCRIBE
Pattern Search Engine SUBSCRIBE
Real Time Patterns Stocks&ETFs SUBSCRIBE
Ticker
RKLB RKLB
RKLB RKLB
RKLB RKLB
RKLB RKLB
ASTS ASTS
ASTS ASTS
ASTS ASTS
ASTS ASTS
RKLB RKLB
NBIS NBIS
ASTS ASTS
NBIS NBIS
RKLB RKLB
TEM TEM
TEM TEM
RKLB RKLB
NBIS NBIS
ASTS ASTS
ASTS ASTS
ASTS ASTS
Current
Price,$
124.75
124.75
124.75
124.75
83.6
83.6
83.6
83.6
124.75
219.78
83.6
219.78
124.75
43.91
43.91
124.75
219.78
83.6
83.6
83.6
1Day
1Day
1Week
1Month
3Month
6Month
1Year
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Entry
Price,$
Bought at
88.83
Bought at
88.83
Bought at
96.83
Bought at
96.83
Bought at
68.88
Bought at
69.6
Bought at
69.6
Bought at
72.95
Bought at
108.57
Bought at
190.375
Bought at
73.513
Bought at
191.51
Bought at
111.22
Shorted at
49.0525
Shorted at
48.225
Bought at
116.205
Bought at
204.6878
Bought at
78.3346
Bought at
78.3346
Bought at
78.8838
# Of
Shares
14
14
13
13
18
18
18
17
11
6
17
6
11
26
26
11
6
16
16
16
Entry
Time(ET)
5/8/26
9:35 AM
5/8/26
9:35 AM
5/8/26
10:05 AM
5/8/26
10:05 AM
5/6/26
9:35 AM
5/6/26
9:40 AM
5/6/26
9:40 AM
5/7/26
9:35 AM
5/11/26
9:32 AM
5/11/26
9:45 AM
5/7/26
9:33 AM
5/6/26
11:35 AM
5/11/26
9:39 AM
5/6/26
9:35 AM
5/11/26
9:35 AM
5/11/26
10:25 AM
5/13/26
9:35 AM
5/11/26
9:35 AM
5/11/26
9:35 AM
5/11/26
9:40 AM
Holding
Time
8d 4h 19m
8d 4h 19m
8d 3h 50m
8d 3h 50m
10d 4h 19m
10d 4h 15m
10d 4h 15m
9d 4h 20m
5d 4h 22m
5d 4h 9m
9d 4h 22m
10d 2h 20m
5d 4h 16m
10d 4h 19m
5d 4h 19m
5d 3h 29m
3d 4h 19m
5d 4h 20m
5d 4h 20m
5d 4h 14m
Profit,
$/%
502.88
+40.44%
502.88
+40.44%
362.96
+28.83%
362.96
+28.83%
264.96
+21.37%
252
+20.11%
252
+20.11%
181.05
+14.6%
177.98
+14.9%
176.43
+15.45%
171.48
+13.72%
169.62
+14.76%
148.83
+12.17%
133.71
+10.48%
112.19
+8.95%
94
+7.35%
90.55
+7.37%
84.25
+6.72%
84.25
+6.72%
75.46
+5.98%
My Paper
Trades,$(%)
Open
Open
Open
Open
Open
Open
Open
Open
Open
Open
Open
Open
Open
Open
Open
Open
Open
Open
Open
Open
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Open P/L: $4,303.14
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