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EI3v2 Strategy: The Multi-Condition "Filter"

Nickname: EWO Momentum Version / COFI Combo
Occupation: Multi-condition filter — only buys "perfect" signals
Timeframe: 5 Minutes + 1 Hour Informational Layer


1. What's This Strategy?

Put simply, EI3v2 combines 4 completely different buy conditions (lambo2, EWO x2, COFI), like a super strict filter — only buys when ALL conditions are met!

The core idea: Don't trade often, but trade RIGHT!

Like a matchmaking event: 4 matchmakers each recommend someone — you only say yes when all 4 approve 😂


2. Core Settings: "In and Out Fast"

Take-Profit Rules (ROI Table)

Immediate exit (0 minutes)    → Run when profit reaches 99%!

Translation: Wants 99% profit right away? That's a huge move! But it also means the strategy pursues high certainty, not frequent trading.

Stoploss Rules

Hard stoploss: -10%
Trailing stop: activation 0.1%, offset 1.2%

Translation: 10% hard stoploss is relatively tight, trailing stop is only 1.2% — this strategy runs fast, doesn't hold through drawdowns!


3. 4 Buy Conditions: Here's the Breakdown

This strategy has 4 completely different buy conditions, like 4 "matchmakers":

🎯 Type #1: lambo2 Condition (Price + RSI Double Confirmation)

Core Logic: Price below EMA14 + RSI oversold

Plain English:

"Price dropped below the moving average, and RSI is oversold too — looks like it's done falling!"

Trigger Conditions:

  • Price < EMA14 × 0.97 (adjustable)
  • RSI(4) < 30 (adjustable)
  • RSI(14) < 40 (adjustable)

📉 Type #2: buy1ewo Condition (Positive EWO Bounce)

Core Logic: RSI oversold + EWO breaks upward

Plain English:

"Fell too hard, EWO suddenly reversed upward — time to bounce!"

Trigger Conditions:

  • RSI(4) < 35
  • Price < buy MA × 0.98
  • EWO > 2.0 (adjustable)
  • Volume > 0

📈 Type #3: buy2ewo Condition (Negative EWO Bottom-Fishing)

Core Logic: RSI oversold + negative EWO but preparing to reverse

Plain English:

"EWO is still negative, but it's lost momentum to fall further — time to go up!"

Trigger Conditions:

  • RSI(4) < 35
  • Price < buy MA × 0.98
  • EWO < -2.0 (adjustable)
  • Volume > 0

🎲 Type #4: COFI Condition (Stochastic + EMA Combo)

Core Logic: EMA breakout + Stochastic golden cross + ADX confirmation

Plain English:

"Price broke above EMA, Stochastic made a golden cross, trend is strong enough — buy!"

Trigger Conditions:

  • Price < EMA8 × 0.98
  • Stochastic K line crosses above D line from below
  • K value < 30, D value < 30
  • ADX > 25 (trend strong enough)
  • EWO > 2.0

4. Protection Mechanisms: 5 Layers of "Shield"

This strategy has super comprehensive protection:

Protection TypeParametersPlain English
Cooldown5 candles"Don't buy again right after buying"
Max Drawdown20% drawdown in 48 candles = stop"Rest if losing too many times in a row"
Stoploss GuardMax 4 trades in 24 candles"Don't trade too frequently"
Low Profit Protection2 trades in 6 candles need 2% profit"Don't make meaningless trades"
BTC CorrelationProhibit buy when BTC RSI < 35"Don't force buy when market is down"

🛡️ Pump Protection Mechanism (Specialty!)

"Coins with 5x trading volume surge in 36 hours — don't buy!"

This is a special protection: detects recent 36-hour trading volume anomalies to avoid buying "Pump and Dump" coins!


5. Exit Logic: 2 Sell Signals + Custom Exit

5.1 Basic Sell Signals

Sell Signal #1: HMA50 up + price above sell point + RSI confirmation

  • Price rallied above HMA50
  • Price above sell MA
  • RSI > 50 and RSI fast line > RSI slow line

Sell Signal #2: HMA50 down + price above sell point + momentum confirmation

  • Price below HMA50
  • But price still above sell MA
  • RSI fast line > RSI slow line

5.2 Custom Exit (unclog)

Trigger Conditions:
- Held over 4 days (96 hours)
- AND profit < -4% (losing money)

Action: Force sell!

Plain English: > "Held for 4 days and still losing money — don't wait, run!"


6. Technical Indicators: What "Weapons" Does This Strategy Use?

CategoryIndicatorPurposePlain English
TrendEMA 8/14, HMA 50Dynamic MAs"Price baseline"
MomentumRSI 4/14Overbought/oversold"Fell enough / risen too much"
MomentumEWOMomentum change"Trend acceleration"
Money FlowStochastic (K/D)Stochastic indicator"Overbought/oversold"
Trend StrengthADXTrend strength"Is the trend strong enough"

7. The Strategy's "Personality Traits"

✅ Pros (The Praise Section)

  1. Multi-condition filtering: 4 buy conditions reduce fake signals
  2. Complete protection: 5 layers prevent consecutive losses
  3. BTC correlation: Avoids bottom-fishing when market is falling
  4. Pump protection: Avoids "Pump and Dump" coins
  5. In and out fast: 99% take-profit, 10% stoploss, no holding through drawdowns

⚠️ Cons (The Rant Section)

  1. Too few signals: Conditions too strict, may not buy for a long time
  2. Needs favorable market: Only works in specific market conditions
  3. Many parameters: Requires careful optimization

8. When to Use It?

Market EnvironmentRecommended ActionReason
📈 BounceEnable EWO conditionsBottom-fishing master!
🔄 Oscillating marketEnable lambo2 conditionsRSI oversold bounce
📉 Falling marketDisable buysBTC protection auto-blocks
⚡️ High volatilityEnable pump protectionAvoid getting cut

9. Bottom Line: How's This Strategy Really?

One-Line Verdict

"Multi-condition filter — only buys 'perfect' signals"

Who It's Good For:

  • ✅ Patient traders (few signals)
  • ✅ Traders who prioritize quality
  • ✅ People who like multi-condition confirmation
  • ✅ People who don't want to get caught in "pumps"

Who It's NOT For:

  • ❌ People who like frequent trading (too few signals)
  • ❌ Impatient people (can't wait)
  • ❌ Beginners (parameters are complex)

My Suggestions

  1. Understand the 4 buy conditions: Each suits different market conditions
  2. Enable pump protection: Must turn it on! Avoid getting cut
  3. Watch BTC correlation: Don't force buy when market is down
  4. Set cooldown period: Don't trade too frequently

10. What Markets Does This Strategy Make Money In?

10.1 Core Logic: Building a "Filter" with Multi-Conditions

EI3v2's money-making philosophy: Not catching every opportunity, but catching high-certainty opportunities!

  • Multi-condition confirmation: Only buys when all 4 conditions met
  • Protection priority: 5 layers prevent consecutive losses
  • BTC correlation: Don't buy when market is weak

10.2 Performance in Different Markets (Plain English Version)

Market TypeRatingPlain English Explanation
📈 Bounce⭐⭐⭐⭐⭐EWO condition catches bounces masterfully!
🔄 Oscillating market⭐⭐⭐⭐☆lambo2 + RSI catches some bounces
📉 Falling market⭐☆☆☆☆BTC protection auto-blocks
⚡️ High volatility⭐⭐⭐☆☆Pump protection effective, but signals may be frequent

One-liner: Makes a fortune on bounces, rests in other markets 😎


11. Want to Run This Strategy? Check These Configs First

11.1 Trading Pair Configuration

Config ItemRecommended ValueComments
Number of pairs10-20Don't go too many — even fewer signals
Mainstream coins onlyBTC/ETH/BNBAltcoins easily get "pumped"
Trading time24/7Crypto never sleeps

11.2 Key Config Settings

# Recommended config
minimal_roi:
"0": 0.99

stoploss: -0.10
trailing_stop: true
trailing_stop_positive: 0.001
trailing_stop_positive_offset: 0.012

11.3 Protection Configuration (Important!)

protections:
- method: CooldownPeriod
stop_duration_candles: 5
- method: MaxDrawdown
lookback_period_candles: 48
trade_limit: 20
max_allowed_drawdown: 0.2
- method: StoplossGuard
lookback_period_candles: 24
trade_limit: 4
- method: LowProfitPairs
lookback_period_candles: 6
trade_limit: 2
required_profit: 0.02

11.4 Backtesting vs. Live Trading

Backtesting looks great, live trading fails because:

  1. Slippage: Live slippage can cause bid-ask spread issues
  2. Signal delay: All conditions met but price already rallied
  3. BTC correlation: Sometimes misses bounces

Recommended Process:

  1. Backtest for 3 months
  2. Dry-run for 2 weeks
  3. Small capital live trading for 1 month
  4. Scale up only if no issues

Don't go all-in from the start — even the best strategy needs arun-in period period!


12. Bonus: The Strategy Author's "Little Tricks"

  1. EI3v2 name: EI = Entry Idea, v2 = version 2 — the author iterated on it!
  2. 99% take-profit: The author must pursue high certainty — either don't profit or profit big!
  3. Pump protection: The author must have been burned by "Pump and Dump" — so added 36-hour volume detection
  4. BTC correlation: The author knows crypto follows BTC, so added BTC RSI protection

⚠️ Final Warning: Risk Re-emphasis (Must Read!)

Backtesting Looks Great, Live Trading Requires Caution

EI3v2's historical backtesting performance often looks very good — but there's a trap:

All 4 buy conditions being met simultaneously is rare — the strategy may not trade for a very long time!

Simply put: Not every day has a signal, but when there is one, it's a high-certainty opportunity!

Hidden Risks of Complex Strategies

In live trading, complex logic may cause:

  • Too few signals: Wait months without a signal
  • Condition conflicts: Multiple conditions give conflicting signals
  • Over-protection: 5 layers may filter out good opportunities too

My Suggestions (Sincere Advice)

1. Be patient: This strategy has few signals — don't rush to change parameters
2. Enable protections: The 5 layers are the essence — don't turn them off!
3. Diversify investments: Don't put all money on one strategy
4. Watch BTC: Strategy will "take a vacation" when market is down

Remember: Fewer trades ≠ fewer profits — sometimes holding cash is also part of the strategy! 🙏


Final Reminder: No matter how good the strategy, the market won't hesitate to teach you a lesson. Test with small capital — survival is the top priority! 🙏