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Sep 18, 2026 11:19 PM

NEW COP (Energy) - Trading Results AI Trading Agent, 60min

4 0
10+ 10
Adjustable trading balance $100,000 Profit (88 days) $28,226 Annualized Return + 177%
DESCRIPTION
MAIN STATS
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Description:

Overview

This Single Agent is a long-only, single-ticker price-action trading robot focused on COP — ConocoPhillips.

The agent combines independent technical entry modules across the 60-minute (Min60) timeframe. Selected modules may operate independently, with each module capable of holding one lot. The portfolio applies a shared maximum of 10 open lots.

The strategy is designed to identify bullish price-action opportunities, enter long positions, and manage open positions using predefined stop-loss and dynamic trailing-profit mechanisms.

Selected Tickers and About Tickers

COP — ConocoPhillips

Sector: Energy
Industry: Oil & Gas Exploration & Production (E&P)
Exchange: NYSE
Ticker: COP

ConocoPhillips is a Houston-based independent exploration and production company focused on finding, developing and producing crude oil, natural gas, natural gas liquids, bitumen and liquefied natural gas. The company operates internationally across multiple geographic regions, including the United States, Canada, Europe, the Middle East, Africa and Asia Pacific.

COP provides exposure to the energy sector, with business activities primarily connected to upstream oil and natural gas exploration and production. ConocoPhillips manages operations through geographic segments including Lower 48, Europe/Middle East/Africa, Asia Pacific, Alaska, Canada and Other International.

Strategy — BUY LONG

The agent follows a BUY LONG strategy.

Entry signals are generated by independent price-action modules operating primarily on the 60-minute timeframe. The modules evaluate market price behavior and technical conditions to identify bullish setups.

The strategy does not use short positions. When a qualifying bullish signal is generated, the corresponding module may open a long position.

Each module can hold up to one lot, while the combined portfolio is limited to a maximum of 10 open lots.

Risk and position management are handled through:

  • Hard stop-loss protection

  • Dynamic trailing-profit exits

  • Signal-spacing rules

  • Time-based position expiration

  • VIX-regime conditions where applicable

  • Maximum portfolio exposure of 10 open lots

The system uses dynamic exit management rather than a single fixed take-profit target.

ML Overview — 60 Minutes

In a 60-minute briefing, users can gain an understanding of how Tickeron’s Financial Learning Models (FLMs) combine artificial intelligence and machine learning with technical market analysis.

The models analyze market data to identify bullish and bearish patterns and generate trading insights. AI-driven analysis can support more systematic evaluation of market conditions, entry and exit timing, and changing price behavior.

For this long-only PATH agent, the emphasis is on identifying bullish opportunities in COP and managing active long positions.

The ML component is used as part of the broader analytical framework and does not remove the need for predefined position and risk controls.

Description of Agent

This agent is a single-ticker, long-only price-action robot for COP.

It combines independent entry modules operating on the 60-minute timeframe. Each module evaluates technical market conditions independently and may initiate a long position when its entry criteria are satisfied.

The portfolio combines signals from the active modules while maintaining a shared maximum of 10 open lots.

The agent is designed to respond to changes in COP price action rather than rely on a fixed directional market forecast. Positions are managed dynamically through stop-loss protection, trailing-profit exits and additional signal-management rules.

Backtesting is performed using a virtual account with:

  • Starting balance: $100,000

  • Maximum trade amount: $10,000

  • Maximum open lots: 10

  • Trading direction: Long only

  • Primary timeframe: 60 minutes

Forward-test results, production RobotId and ProductId are intentionally left blank until the corresponding transfer and product-creation processes are completed.

Position & Risk Management

The agent uses predefined position and risk-management rules to control open exposure.

Position Management

  • Long positions only

  • One lot per independent entry module

  • Maximum of 10 open lots across the portfolio

  • Maximum trade amount of $10,000

  • Virtual account balance of $100,000 for backtesting

Exit Management

Positions may be closed through:

  • Hard stop-loss protection

  • Dynamic trailing-profit exits

  • Time-based expiration

  • Signal-based exit conditions

  • VIX-regime conditions where applicable

Rather than applying one fixed take-profit level to every trade, the agent dynamically manages positions according to price action and the applicable exit conditions.

Risk Framework

The shared portfolio cap limits the number of simultaneously open positions, while stop-loss and trailing mechanisms provide predefined rules for managing adverse and favorable price movements.

The strategy is designed for systematic execution and consistent application of its predefined trading rules across the COP trading universe.

Trading Dynamics and Specifications:

  • Maximum Open Positions: Low, maintaining focused and strategic trading rather than volume, which is suitable for managing high volatility with precision.

  • Robot Volatility: Medium, offering a balanced approach between capturing significant market movements and mitigating sharp declines.

  • 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

Read More
Actual Performance
(88 days)
Date range
9/19/2025 - 9/18/2026
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

Generate All Stats
Open Trades (10)
Closed Trades
Pending Orders
Closed Trades P/L
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Current
Price,$
131.81
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Entry
Price,$
Bought at
131.7
Bought at
131.7
Bought at
131.7
Bought at
131.86
Bought at
131.86
Bought at
131.86
Bought at
132.05
Bought at
132.05
Bought at
132.51
Bought at
132.51
# Of
Shares
75
75
75
75
75
75
75
75
75
75
Entry
Time(ET)
9/17/26
10:11 AM
9/17/26
10:11 AM
9/17/26
10:11 AM
9/17/26
10:41 AM
9/17/26
10:41 AM
9/17/26
10:41 AM
9/17/26
9:36 AM
9/17/26
9:36 AM
9/17/26
9:45 AM
9/17/26
9:45 AM
Holding
Time
1d 9h 8m
1d 9h 8m
1d 9h 8m
1d 8h 38m
1d 8h 38m
1d 8h 38m
1d 9h 43m
1d 9h 43m
1d 9h 34m
1d 9h 34m
Profit,
$/%
8.25
+0.08%
8.25
+0.08%
8.25
+0.08%
-3.75
-0.04%
-3.75
-0.04%
-3.75
-0.04%
-18
-0.18%
-18
-0.18%
-52.5
-0.53%
-52.5
-0.53%
My Paper
Trades,$(%)
Open
Open
Open
Open
Open
Open
Open
Open
Open
Open
Open P/L: -$127.50
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