BunnyQuant Tier System Performance Overview
Three tiers of trading strategies, each progressively more sophisticated. Each tier adds additional risk controls and filters to reduce false signals and improve consistency.
Tier 1 provides the foundation with momentum-based entry signals and fixed risk targets. Tier 2 adds multi-timeframe alignment to confirm signals across different timeframes. Tier 3 includes advanced position sizing and risk management for optimized trade execution.
Foundation: Momentum signals with risk-based exits
Backtest Results:
Entry: Momentum signal + price confirmation
Exit: Fixed profit targets or stop loss
Risk: 1% per trade
Advanced: Multi-timeframe confirmation
Backtest Results:
Entry: Signal aligned across multiple timeframes
Exit: Dynamic targets based on market context
Benefit: Fewer false signals
Professional: Advanced position management
Backtest Results:
Entry: Optimized entry prices with quantified targets
Exit: Dynamic position sizing and stop loss
Benefit: Capital preservation
| Metric | Tier 1 | Tier 2 | Tier 3 |
|---|---|---|---|
| Win Rate | 64.6% | 73.3% | 77.4% |
| Total Return | +33.00% | +11.95% | +32.84% |
| Avg Risk/Reward | 1.4x | 1.6x | 1.88x |
| Total Trades | 54 | 21 | 45 |
| Complexity | Low | Medium | High |
Note: All backtests on AAPL, NVDA, SPY (15-minute data, Dec 2025 - Jan 2026) with realistic fees and slippage. Click each tier card above for detailed results, trade breakdown, and methodology.
Review the detailed backtest results for each tier to find the strategy that fits your trading style.