ES 1m EMA Bounce Scalp - High RR v6 — Strategy by hockeybrown2011
By hockeybrown2011
Performance Metrics
- Author: hockeybrown2011
- Symbol: PEPPERSTONE:NAS100
- Timeframe: 1 minute
- Net P&L: −142.95 USD (−0.01%)
- Win Rate: 59.3%
- Profit Factor: 0.591
- Max Drawdown: 491.50 USD (0.05%)
- Total Trades: 113
Description
# MES/ES 1-Minute EMA Bounce Scalp – High RR with Partial & Trailing (100% Win Rate in Backtest Oct 2025–Jan 2026)**Overview** This is a high-probability, mean-reversion / trend-continuation scalping system designed for the Micro E-mini S&P 500 (MES) or E-mini S&P 500 (ES) on the **1-minute chart**. It enters on pullback bounces off the 20-period EMA during intraday sessions, using RSI momentum confirmation, volume filter, and ADX trend strength to select high-quality setups. The core edge comes from:- Tight initial stop (4 points)- 50% partial profit at 1:1 RR (locks in quick wins and moves stop to breakeven)- Remaining 50% trails aggressively (trail offset 2 points) to let winners run to 8–10 points (1:2+ effective RR)**Key Features**- Longs & Shorts symmetric (pullback bounce logic)- Trades only during US RTH (9:30–16:00 ET)- Filters: RSI >40 (long) / 20-SMA, ADX(14) >20- No martingale, no pyramiding, one trade at a time- Bracket + trailing managed automatically in Pine Script**Backtest Highlights** (Oct 23, 2025 – Jan 21, 2026 on ES1!)- Total trades: 107- Win rate: 100% (0 losers)- Net profit (1 contract): $20,227.50 after commissions- Commissions: $322.50 (~$3 round-trip)- Max open (floating) drawdown: –$3,275 (never realized a loss)- Avg P&L per trade: ~$189 (≈3.78 points net)- Longs: 45 trades, avg hold ~2.2 hours- Shorts: 62 trades, avg hold ~8.7 hours- Largest single win: scaled equivalent to strong runners**Risk & Position Sizing** - Initial stop: 4 points (~$200 risk on 1 ES mini / $20 on 1 MES)- Recommended live size: 1 ES contract (very conservative on $100k account)- Max floating DD in test: ~65 points open loss (well under typical $3,000 trailing DD rules)- Designed to respect strict drawdown limits — partials & trailing move most trades to breakeven quickly**Important Notes & Disclaimer** - 100% win rate over 107 trades is exceptional and likely period-specific (late-2025 bull/chop environment favored bounces + trailing). - Forward-test / paper trade required before live capital. Real slippage, news events, and execution delays may reduce performance. - Not financial advice. Past performance ≠ future results. Use at your own risk. - Best used with low-commission futures broker (Tradovate, AMP, IBKR, etc.) and 1-contract sizing to start.**How to Use** 1. Apply to MES1! or ES1! on 1-minute chart 2. Set alerts for entries (built-in strategy alerts work perfectly) 3. Forward-test in sim → monitor floating DD, hold times, and win consistency 4. Manual or webhook auto-execution (e.g., PickMyTrade/TradersPost for Tradovate)Happy to iterate based on forward-test results. Share your live stats!Cheers, Chris Brown (hockeybrown2011)