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Sep 18, 2026 8:56 PM

NEW Swing Trader: Independent Adaptive Capital Markets and Corporate Transformation Portfolio - Trading Results AI Trading Agent, 60min

4 0
10+ 10
Adjustable trading balance $100,000 Profit (87 days) $13,114 Annualized Return + 67%
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Description:

Overview: This AI trading agent is a long-only, high-exposure portfolio combining capital-markets companies, institutional-conviction equities, food and beverage businesses, social-media platforms, and corporate spin-off opportunities.

The strategy maintains a core focus on financial-market infrastructure while diversifying across professionally followed companies, consumer staples, digital platforms, and businesses undergoing corporate transformation.

Why Diversify?

The robot combines five distinct equity themes:

  • Capital markets: brokerages, exchanges, asset managers, investment banks, and alternative-asset platforms.
  • Institutional-conviction equities: companies receiving meaningful attention from professional investors.
  • Food and beverage: branded consumer staples, food producers, distributors, and grocery businesses.
  • Social media and creator economy: digital platforms, online advertising, streaming, and connected-media companies.
  • Corporate transformations: companies affected by spin-offs, restructurings, and other significant corporate changes.

These themes have distinct drivers and can offer differentiated opportunities across market cycles.

Description of Agent

Independent Adaptive Capital Markets and Corporate Transformation Portfolio is a systematic momentum-oriented trading agent. It regularly refreshes its candidate universes and focuses on current leaders within each selected sector group.

The robot is designed for investors seeking active long-only exposure to financial-market businesses, professional-investor conviction, consumer demand, digital platforms, and corporate-change themes.

Strategic Features and Technical Basis

  • Dynamic leadership selection: candidate universes are refreshed regularly to focus on current relative-strength leaders.
  • Adaptive sector allocation: sector participation adjusts to the broader market environment.
  • Capital-markets core: the portfolio maintains exposure to exchanges, brokers, asset managers, and financial infrastructure.
  • Broad thematic diversification: consumer staples, social media, institutional-conviction stocks, and corporate transformations contribute different potential return drivers.
  • Long-only structure: the strategy seeks equity upside without short-selling exposure.
  • End-of-session management: portfolio decisions are evaluated and executed near the close of the regular US market session.

Position and Risk Management

The strategy can maintain up to four concurrent long positions. Each sector group is limited to a maximum of three positions, and only one active position per company is allowed.

This supports active capital deployment while limiting duplicate-company exposure and excessive sector concentration

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: High, suited for navigating and capitalizing on market swings.
  • Universe Diversification Score: High, indicating a broad array of instruments to hedge against sector-specific downturns and enhance profit opportunities.
  • Optimal Market Conditions: Both lower- and higher-volatility equity markets, especially when leadership rotates between technology, cyclicals, financials, and quality companies.
  • 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
(87 days)
Date range
9/19/2025 - 9/18/2026
Amount Of Each Trade:
Open Trades P/L:
Closed Trades P/L:
Total Net Profit:
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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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