Statistics
The channel's information and statistics provided are calculated based on backtesting. We calculate the backtesting based on an initial investment of $10,000, allocating $500 per trade. If a different amount per trade is specified in the channel settings, we will use that instead. Read more.
Cornix uses the exchange with the most signals in the past 6 months to calculate the channel's results.
Score
The marketplace group score, reflecting the channel's metrics, is weighted as follows: 50% for performance, 30% for risk, and 20% for service. This score is dynamic and constantly being measured and updated automatically.
Performance
Beats the market
This indicates that the channel performance achieves a higher return than the overall market benchmark index, which is BTC, over a certain period.
Sharpe Ratio
Compares the return of an investment with its risk. The Sharpe Ratio measures the risk-adjusted return of an investment by comparing its excess return (over the risk-free rate) to its standard deviation, indicating how much additional return is earned per unit of risk. The Sharpe Ratio tells you how much reward you get for the risk you take with an investment, helping you see if it's worth it. The Sharpe Ratio measures how much extra return you get from an investment relative to the risk you take, helping you assess if it's worth it.
Sortino Ratio
Compares the return of an investment with its risk of negative returns. (Read more)
The Sortino Ratio measures how much extra return an investment provides relative to the risk of negative returns, focusing only on downside risk to help assess its worth. The Sortino ratio is a risk-adjustment metric used to determine the additional return for each unit of downside risk. It is computed by first finding the difference between an investment's average return rate and the risk-free rate. The result is then divided by the standard deviation of negative returns.
Risk
Leverage
Measures how much borrowed capital is used in trades; higher leverage indicates greater risk with the potential for both large gains and significant losses.
Max Drawdown
Measures the maximum observed loss from a portfolio's peak to its lowest point, before a new peak is reached.
Average Trade Duration
Considers both open and closed trades. For open trades, the duration is measured until the end of the selected timeframe. Indicates how long trades are held; longer durations can increase market exposure and fees due to extended position holding.
Considers both open and closed trades. For open trades, the duration is measured until the end of the selected timeframe.
Has stop
Shows the percentage of trades with a stop-loss order, helping measure risk management by indicating how frequently traders use stops to limit losses.
PNL standard deviation
Measures the variability of profit and loss outcomes; higher values indicate greater risk and volatility in trading results.
Service
Rating
Show feedback from users about the trading group, helping assess its quality and performance by indicating overall satisfaction and effectiveness.
Free\Has a Free Trial
Indicates whether a group offers its services at no cost or provides a free trial period, helping users assess its accessibility.
Age
The duration of time the group is using Cornix. Helps assess service quality, with older groups often indicating more stability and reliability.
Number of Trades
Indicates the total trades executed by the group. A higher number suggests more frequent market engagement, helping assess the group's activity level.