QuanEngine -- Prop Firm Grade Predictions

Regime-aware ensemble • 50% consensus gate • 45 pairs scanned • Walk-forward validated
v1.1.0
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Fear & Greed
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index
Market Bias
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composite score
Active Picks
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open positions
Next Best Buys
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opportunities
Pairs Scanned
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extended universe
Avg RSI(14)
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market-wide
Avg 24h Change
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all pairs
Win Rate
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target: 65%
🚀 Active Picks 0
SymbolDirectionModeEntryLive PriceTPSL R:RUnreal. P&LConfidenceConsensusSizeEntry TimeHealth
🌟 Next Best Picks 0

Highest-scoring opportunities across 45 pairs. Ranked by composite buy/sell score using RSI, EMA structure, Bollinger Bands, volume, regime, and Fear & Greed.

SymbolVerdictBuy ScorePriceRSI(14)RSI(2) 24h %7d %ATR %RegimeBB %Key Factors
🌐 Full Market Overview 0
SymbolVerdict BuySell PriceRSI 24h %7d % ATR %Regime SMA200Vol
🎯 Performance vs Targets
MetricCurrentTargetStretchStatus
📊 Performance by Mode
📚 Recent Closed Picks
SymbolDirectionModeEntryExit P&L %Exit ReasonHold Time
🏆 Prop Firm Challenge Compliance

How QuanEngine Meets Prop Firm Rules

Prop firm challenges (FTMO, MyForexFunds, The5ers, etc.) typically require traders to hit a profit target of 8-10% within 30-60 days while staying within a maximum drawdown of 5-10% (daily 4-5%). Our system is designed specifically to operate within these constraints.

Profit Target8-10% in 30d
Our R:R per trade2:1 minimum
Trades needed @ 2:1~15-20 winning trades
With 65% WR~10 net wins in 30d

Risk Management Rules

Max Daily Drawdown4-5% (firm rule)
Our Max Daily Loss<3% (Half-Kelly sizing)
Max Total Drawdown8-10% (firm rule)
Our Max Drawdown Target<5% (position caps)
Position Size Cap3% SCALP / 5% SWING
Max Concurrent6 total (3 per mode)
Correlation FilterSkip if >0.7 correlated

Never Sits Idle

Prop firm challenges have time limits — you can't wait for "perfect" setups. QuanEngine uses 4 always-on prop strategies that fire in ANY market condition, even during extreme fear or bear markets:

RSI MomentumNo SMA200 gate
ATR BreakoutDirection-agnostic
EMA CrossoverWorks in downtrends
Fear/Greed ContrarianBUY at extreme fear

During PANIC markets, position sizes are reduced to 10% of normal (0.3% instead of 3%) to protect the challenge account while still generating activity.

3-Mode Time Horizon

Each signal is routed to the optimal timeframe based on regime strength and volatility:

SCALP1-2h hold, 2:1 R:R
SWING24-48h hold, 2.8:1 R:R
POSITION~30d hold, 3.6:1 R:R

ATR-based TP/SL levels adapt to each coin's volatility. Trailing stops activate at 1.5x ATR profit for SWING and 2x ATR for POSITION modes.

Regime-Aware Ensemble

The Hurst exponent classifies each coin's market regime (trending vs mean-reverting vs random walk). Strategy pools are weighted accordingly:

H > 0.55TRENDING pool at full weight
H < 0.45MEAN REV pool at full weight
0.45-0.55RANDOM prop pool only
Consensus50%+ of voters must agree

12 strategies across 3 pools (4 trending, 4 mean-reversion, 4 prop) vote on every signal. No single strategy can force a trade.

Forward-Tested & Audited

Every signal is tracked in SQLite with Binance price validation. Auto-closes at TP, SL, or max hold time. Results feed into the central audit trail.

Scan FrequencyEvery 30 minutes
Price SourceBinance spot API
45 PairsBTC, ETH, SOL + 42 alts
Audit TrailSQLite + MySQL dual-write
Walk-Forward8 anti-overfit checks
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