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GMR Momentum Strategy • Gaussian · Trend · Momentum · RSI · EMA · Volume

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📈 GMR Ticker Analysis

220-day chart with Gaussian channel, EMAs, volume and RSI. Scored with the GMR momentum engine — same weights as the paper portfolio. 6-factor: G·T·M·R·E·V.

NVDA
AAPL
MSFT
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SPY
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💡 Enter a ticker and click Analyze
📊 GMR Paper Portfolio

Live simulation of the GMR strategy. Auto-updated daily at 3 PM ET. Regime-aware (SPY 200d SMA) · 6-factor momentum scoring.

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Portfolio Growth
Recent Trades
🧪 Sandbox Portfolio
Add positions manually to track hypothetical or real holdings. Prices updated live.

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🎯 GMR Top Picks & Screener

GMR momentum engine scoring ~560 tickers (S&P500 + curated). 6-factor score: G·T·M·R·E·V. Score ≥ 52 = entry signal. Auto-scans: 10am · 12pm · 3pm · 5pm ET.

💰 GMR Top 5 — $50K Allocation

Regime-aware picks using the GMR momentum engine. Max 5 positions · max 2 per sector · 20% trailing stop.

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Click Load or Today to fetch picks.

🔍 Full GMR Screener

No screener data. Click Run Scan.

🏠 Real Estate Manager
GMR Strategy Backtest — what it does:
Starts with $100K TFSA + $100K RRSP on the chosen start date. Every Friday it checks SPY vs 200-day SMA — if below (bear market), rotates into GLDM. In bull market, scores ~300 tickers using 6-factor momentum engine and holds top 5 (max 2/sector). Each position has a 20% trailing stop from peak (30% leveraged, 35% crypto). Compared against SPY buy-and-hold on same capital.
⚠ Takes 5–15 min on Pi — result saved to disk and survives restarts.
🔍 Swing Scanner (broad market → halal filter)
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📋 Paper Portfolio (CAD)
Open Positions
📈 Strategy Growth Comparison (% return from Jan 1)
Swing (RRSP) GMR (TFSA) Regime
Closed Trades
Transaction History

Paper trading does not account for slippage, bid-ask spread, or execution delays. Real results will vary.

📊 Options Paper Trading
Last scan: —
Scanning options market… (60-120s)
🤖 Position Recommendations Auto-updated hourly · checking…
No open positions — add a trade to see recommendations.
Scanner Results
Click Scan Market to find opportunities
Paper Portfolio
NAV
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Open P&L
Return
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▶ Closed Trades
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Paper trading only. Does not account for slippage or assignment risk.