NEW NOW ( Technology) - Trading Results AI Trading Agent, 60min
Description:
Overview: The NOW Multi-Timeframe Trading Agent is a single-agent, long-only trading system designed to trade 1 selected ticker: NOW (ServiceNow, Inc.).
The agent focuses on bullish price opportunities in ServiceNow, supported by multi-timeframe price-action analysis, enterprise software demand, AI adoption, workflow automation, cloud software growth, and broader technology-sector trends.
Selected Tickers: 1
Ticker: NOW
Company: ServiceNow, Inc.
Sector: Technology
Industry Focus: Enterprise Software, Cloud Software, AI & Workflow Automation
Strategy: BUY LONG
Agent Type: Single Agent
Trading Direction: Long Only
Selected Tickers and About Tickers
NOW — ServiceNow, Inc.
Sector: Technology
Industry: Enterprise Software / Cloud Software / AI & Workflow Automation
ServiceNow is a technology company providing an AI-powered platform that connects artificial intelligence, data, and workflows to help organizations automate processes, improve productivity, and manage enterprise operations. Its platform includes IT service management, customer service, security, employee workflows, automation, AI agents, and other enterprise workflow solutions.
NOW may be particularly sensitive to earnings results, subscription and enterprise-software growth, AI adoption, enterprise technology spending, cloud demand, customer expansion, forward guidance, and broader technology-sector sentiment.
Strategy — BUY LONG
The agent follows a BUY LONG-only strategy and does not initiate short positions.
It searches for bullish setups in NOW using independent price-action entry modules operating across multiple timeframes, including 60-minute, hourly, and, where applicable, daily intervals.
The system is designed to identify bullish momentum and favorable price-action conditions while adapting exposure to changing volatility and broader market conditions.
How the Algorithm Works — High-Gross-Margin Stock Universe
Each product is a single-ticker, long-only trading robot built for the high-gross-margin stock universe.
For NOW, the strategy combines independent price-action entry modules across Min60, hourly, and selected daily intervals. Each entry module operates independently and may hold only one lot for the ticker.
The portfolio uses a shared exposure cap to prevent excessive concentration while allowing multiple independent modules to participate when qualifying bullish conditions appear.
The strategy is designed specifically for ServiceNow (NOW) and focuses on capturing bullish price-action opportunities rather than attempting to predict every market movement.
Unique Characteristics of the Robot
ServiceNow long-only multi-timeframe robot.
The robot uses hourly price-action modules, 1.0%–8.0% hard stops, dynamic trailing-profit protection, and VIX-regime controls.
Its multi-timeframe architecture allows the system to evaluate NOW across different market horizons while maintaining strict exposure and risk-management rules.
The robot does not use short positions.
ML Overview — 60 Minutes
In a 60-minute briefing, users can gain a solid 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 actionable trading insights. AI-driven analysis can help reduce emotional decision-making, improve entry and exit timing, evaluate changing market conditions, and keep trading decisions aligned with broader market trends.
For this long-only NOW agent, the emphasis is placed on identifying bullish opportunities in ServiceNow and managing active long positions.
Description of Agent
The NOW Multi-Timeframe Trading Agent is a single-ticker, single-agent system focused exclusively on ServiceNow (NOW).
The agent evaluates bullish price action across multiple timeframes, including 60-minute and hourly modules, with selected daily analysis where applicable.
The system is designed to capture positive price momentum while considering volatility conditions, market regime, signal spacing, and predefined downside protection.
The agent opens LONG positions only when its bullish trading conditions are satisfied.
Risk Management and Portfolio Conditions
Virtual Backtest Account: $100,000
Maximum Trade Size: $10,000
Maximum Open Lots: Up to 10
Position Direction: LONG only
Ticker Exposure: Single ticker — NOW
Lot Restriction: Each entry module may hold only one lot
Risk management combines hard stop-loss protection with a dynamic trailing-profit exit rather than relying on one fixed take-profit target.
Hard stops are applied within a 1.0%–8.0% range, depending on the applicable trading module and market conditions.
Once a position develops favorable momentum, the dynamic trailing-profit mechanism is used to protect accumulated gains while allowing the position to participate in further upside.
Additional Risk Controls
The algorithm may apply signal-spacing rules to prevent excessive clustering of entries.
Time-based expiration can be used to close positions when a trade no longer meets the intended time or momentum conditions.
VIX-regime controls are applied where relevant to adapt trading activity to changing market-volatility conditions.
These controls are designed to reduce unnecessary exposure during unfavorable market environments while maintaining the robot's long-only mandate.
Trading Direction
The robot is strictly LONG ONLY.
It can initiate BUY positions in NOW when qualifying bullish conditions are detected.
The strategy does not open short positions and does not attempt to profit from downward movements in ServiceNow.
Trading Dynamics and Specifications:
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Maximum Open Positions: High, enabling the robot to diversify across numerous trades and reduce risk through market exposure.
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Robot Volatility: Medium, offering a balanced approach between capturing significant market movements and mitigating sharp declines.
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Universe Diversification Score: Low, indicating a narrow array of instruments to hedge against sector-specific downturns and enhance profit opportunities.
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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.
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Optimal Market Condition Medium: If the current market volatility is Medium, then you should use the Best Robots in Medium Volatility Market (VIX is Medium - 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
Actual Performance (357 days)
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