Sample data
NIFTY23,956 0.77%BANKNIFTY56,829 1.23%GOLD1,45,050 1.15%SILVER2,25,944 0.55%CRUDEOIL8,529 3.67%COPPER1,344 0.11%FINNIFTY26,174 0.34%NIFTY23,956 0.77%BANKNIFTY56,829 1.23%GOLD1,45,050 1.15%SILVER2,25,944 0.55%CRUDEOIL8,529 3.67%COPPER1,344 0.11%FINNIFTY26,174 0.34%
Pay Per Usage

Optimize Your Strategy Parameters Automatically

Stop guessing indicator periods and target/SL values by hand. Let the optimizer test a range of combinations and show you what actually performs better on real historical data.

What It Does

The optimizer takes your existing strategy and systematically varies its numeric parameters — indicator periods and target/stop-loss values, each ±50% — running a complete backtest for every combination it generates, then ranks the results.

How It Works

1
Runs multiple backtests
Every parameter combination gets a full, independent backtest run on the same historical data as your original.
2
Scores by win rate × profit factor / drawdown
A composite score rewards strategies that win more often, keep a strong profit factor, and control drawdown — not just the highest raw P&L.
3
Shows original vs top 3
Your original strategy is displayed side by side with the 3 best-scoring optimized variants for direct comparison.
4
You approve → new version
Nothing changes automatically. Pick the result you like and it saves as a new version, original untouched.
Testing indicator periods & target/SL ranges…
RSI period ±50% · Target/SL ±50%

How Parameters Flow Through the Optimizer

A simplified view of the node-based schema the optimizer walks — your strategy graph in, scored variants out.

Your Strategy
Original parameters
Parameter Ranges
Indicator periods ±50% Target/SL ±50%
Backtest Engine
One run per combination
Scoring
Win rate × PF ÷ Drawdown
Top 3 + Original
Side-by-side comparison

AI Optimizer FAQ

It tests a range of indicator period values and target/SL values — both ±50% of your original strategy's settings — running a full backtest for every combination.
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