WealthJot.ai
Strategies
52-Week High Volume Breakout — NIFTY 100
Side
long
Universe
NIFTY 100
Interval
1d
Stop
8%
Target
30%

Entry

textCLOSE >= 52WH AND VOL_RATIO > 1.5

Exit

textCLOSE < SMA20
FAQ
What is the 52-Week High Volume Breakout — NIFTY 100 strategy?

Buys a new 52-week high confirmed by more than 1.5× average volume and rides it with a trailing stop and a profit target, exiting if price loses the 20-day average. Demands participation behind the breakout so it skips the low-volume fakeouts that trap breakout buyers. Backtested across the NIFTY…

What are the entry and exit rules?

It enters when CLOSE >= 52WH AND VOL_RATIO > 1.5, and exits when CLOSE < SMA20.

Is it a long or short strategy?

It trades the long side — it takes long positions when the entry condition fires.

What are the risk controls?

It uses a 8% stop-loss, a 30% profit target, a trailing stop, with volatility position sizing.

How do I backtest it?

Open the strategy and run a backtest to see its historical signals and equity curve on Indian market data before deploying it.

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