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as on: Jun-28 09:49

$ENVA 15.30 -0.05 -0.33%

Enova International Inc

$ENVA Open, High, Low, Close, Volume 1
Open 15.30 Last 15.30
High 15.30 Low 15.30
Previous Close 15.35 Current Streak 1D
Change -0.05 Change % -0.33
Volume 8799 Avg Volume(3M) 243430
$ENVA 52 Week High/Low , Month High/Low 1
52 Week High 15.50 52 Week Low 6.47
52 Week High % -1.29 52 Week Low % 136.48
20 Day High 15.45 20 Day Low 13.30
20 Day High % -0.97 20 Day Low % 15.04
$ENVA Moving Averages 1
SMA 20 14.55 5.15
SMA 50 14.20 7.75
SMA 200 12.75 20.00
$ENVA Bollinger Band Values 2
Upper Bollinger Band 15.54
Lower Bollinger Band 13.56
$ENVA Daily Pivot Point Values 2
Resistance Level R3 15.30
Resistance Level R2 15.30
Resistance Level R1 15.30
Pivot Point PP 15.30
Support Level S1 15.30
Support Level S2 15.30
Support Level S3 15.30
$ENVA Fibonacci Retracements & Extensions 2
2.618 Fibonacci Extensions Level 15.30
1.618 Fibonacci Extensions Level 15.30
1.382 Fibonacci Extensions Level 15.30
0.382 Fibonacci Retracement Level 15.30
0.618 Fibonacci Retracement Level 15.30
1.000 Fibonacci Retracement Level 15.30
$ENVA DeMark Pivot Points 2
DeMark Resistance Level 15.30
DeMark Pivot Point 15.30
DeMark Support Level 15.30
$ENVA Fibonacci Retracement Levels from 52 Week Low 2
61.8% Fibonacci Retracement from 52 Week Low 12.05
50% Fibonacci Retracement from 52 Week Low 10.99
38.2% Fibonacci Retracement from 52 Week Low 9.92
$ENVA Stock Performance(%) 1
One Week Change % 8.13
One Month Change % 15.04
3 Months Change % 3.73
6 Months Change % 19.53
One Year Change % 107.88
Year-to-Date Change % 21.91
$ENVA Alpha, Beta , Correlation & Volatility 2
Alpha 79.38
Beta 1.92
Standard Deviation (1 Year) 43.51
1 Year Correlation with S&P 500 Index 0.36
1 Month Standard Deviation 8.20
1 Month Correlation with S&P 500 Index 0.26
$ENVA Relative Performance 1
One Day Relative Performance % -0.79
One Week Relative Performance % 8.36
One Month Relative Performance % 14.15
3 Months Relative Performance % 1.06
6 Months Relative Performance % 10.65
One Year Relative Performance % 79.52
1 Calculated on 20 Minutes Delayed Data , calculated though out the regular trading hours 2 Calculated on Previous Day's OHLC Data .
$ENVA 15.30 -0.05 -0.33%
Enova International Inc

  • Signal : Technical strategy / trading signal
  • Bias : Long or short, based on the historical backtesting report, arrived at summing all the change% values and if negative usually going short was profitable, if positive going long was profitable
  • # : Number of trades generated by the trading strategy on a stock over the last four years ( our default backtest period)
  • %Wins : Number of winning trades expressed as percentage
  • Avg% : The average profit per trade in percentage for all the trades in the last four years
  • Med% : The median profit per trade in percentage
  • OAPF : Outlier Adjusted Prof Factor , is the system’s gross profit ( minus the larget winning trade) in $ terms divided by gross loss in $ terms. Look for systems that have a profit factor of 2.5, or higher
  • AWT% : The average profit per winning trades for all the winning trades in the last four years
  • ALT% : The average profit per losing trades for all the losing trades in the last four years
  • Payoff : Ratio of Avg Win / Avg Loss %
  • MLT% : Maximum Loss Trade (%)
  • T-Test : square root (n) * (average trade %/ standard deviation of trades %) , t-test of 2.1 for a sample size of 25, is considered to be statistically significant
  • backtesting period : default backtesting period is 4 year's , if the stock is trading then , other wise since it's listing
Signal Bias # %Wins Avg% Med% OAPF AWT% ALT% Payoff MLT% T-Test
Any Random Day Short 658 52 0.02 0.00 1.09 2.20 -2.41 0.91 -21.18 0.14
Close in the Top Range Long 129 43 0.03 -0.40 0.98 2.65 -1.98 1.34 -6.49 0.10
RSI (2) above 90 Long 58 46 0.48 0.00 1.11 3.60 -2.23 1.61 -6.49 0.81
RSI (2) crossed above 95 Long 16 50 1.98 0.53 2.01 6.44 -2.48 2.60 -4.48 1.12
RSI (2) above 95 Long 34 44 0.79 0.00 1.40 4.32 -1.99 2.17 -6.49 0.88
CCI moved above 100 Short 34 58 0.00 -0.52 0.99 1.91 -2.72 0.70 -7.27 0.00
Aroon Oscillator turned Negative Long 21 47 0.24 0.00 0.76 2.78 -2.07 1.34 -4.37 0.33
Williams %R moved above -20 Short 39 51 0.27 -0.41 1.00 2.89 -2.48 1.17 -10.80 0.44
Williams %R moved above -10 Long 29 55 0.64 0.10 1.07 3.16 -2.46 1.28 -6.49 0.70
2nd Quarter Long 186 44 0.16 0.00 0.98 2.63 -1.83 1.44 -7.32 0.69
Tuesday Long 136 50 0.17 0.07 0.95 2.42 -2.08 1.16 -23.38 0.57
June Long 62 45 0.22 -0.07 1.08 2.49 -1.65 1.51 -6.13 0.66
Month Closing High Long 60 43 0.25 -0.39 0.81 3.35 -2.12 1.58 -6.49 0.44
5% Top Range from Month High Long 17 58 1.41 0.17 0.97 3.53 -1.61 2.19 -3.83 1.05
Quarter Closing High Long 29 37 0.42 -0.41 0.67 4.31 -1.97 2.19 -6.49 0.45
Half Year Closing High Short 20 60 0.04 -0.39 0.72 1.87 -2.72 0.69 -6.67 0.06
Year Closing High Long 13 46 0.71 0.00 1.10 3.33 -1.54 2.16 -4.98 0.77
10% Top Range from Year High Long 69 43 0.30 0.00 1.04 2.26 -1.20 1.88 -5.90 0.85
5% Top Range from Year High Long 30 40 0.08 -0.17 0.76 2.20 -1.34 1.64 -5.90 0.17
3 Consecutive Up Days Long 72 50 0.66 0.05 1.42 3.56 -2.24 1.59 -9.07 1.22
3 Consecutive Green Candles Long 60 48 0.50 0.00 1.19 3.86 -2.64 1.46 -9.07 0.82
Today +1% Long 209 46 0.23 0.00 1.14 2.85 -2.08 1.37 -8.93 0.94
Open +1% Long 194 46 0.26 -0.05 1.09 2.95 -2.08 1.42 -7.32 1.01
One Week +5% Short 122 53 0.21 -0.21 1.16 2.55 -2.46 1.04 -21.18 0.60
One Month +10% Long 129 48 0.15 0.00 1.01 2.50 -2.03 1.23 -9.09 0.47
Above SMA 20 Short 321 55 0.07 -0.13 1.03 2.04 -2.34 0.87 -21.18 0.37
Above SMA 50 Short 320 54 0.01 0.00 1.01 2.05 -2.39 0.86 -21.18 0.05
Close 2Xstd above 50 DMA Long 36 38 0.09 -0.35 0.58 3.40 -2.01 1.69 -7.32 0.12
Above SMA 200 Long 242 47 0.31 0.00 1.27 2.21 -1.39 1.59 -6.49 1.82
3 Higher Highs Long 65 53 0.57 0.18 1.20 3.10 -2.38 1.30 -9.07 1.00
$ENVA 15.30 -0.05 -0.33%
Enova International Inc

  • Signal : Technical strategy / trading signal
  • Bias : Long or short, based on the historical backtesting report, arrived at summing all the change% values and if negative usually going short was profitable, if positive going long was profitable
  • # : Number of trades generated by the trading strategy on a stock over the last four years ( our default backtest period)
  • %Wins : Number of winning trades expressed as percentage
  • Avg% : The average profit per trade in percentage for all the trades in the last four years
  • Med% : The median profit per trade in percentage
  • OAPF : Outlier Adjusted Prof Factor , is the system’s gross profit ( minus the larget winning trade) in $ terms divided by gross loss in $ terms. Look for systems that have a profit factor of 2.5, or higher
  • AWT% : The average profit per winning trades for all the winning trades in the last four years
  • ALT% : The average profit per losing trades for all the losing trades in the last four years
  • Payoff : Ratio of Avg Win / Avg Loss %
  • MLT% : Maximum Loss Trade (%)
  • T-Test : square root (n) * (average trade %/ standard deviation of trades %) , t-test of 2.1 for a sample size of 25, is considered to be statistically significant
  • backtesting period : default backtesting period is 4 year's , if the stock is trading then , other wise since it's listing
Signal Bias # %Wins Avg% Med% OAPF AWT% ALT% Payoff MLT% T-Test
Any Random Day Short 658 54 0.07 -0.04 1.15 1.97 -2.23 0.88 -14.12 0.56
Close in the Top Range Long 129 44 0.13 -0.05 1.11 2.43 -1.69 1.44 -5.76 0.51
RSI (2) above 90 Long 58 51 0.61 0.42 1.26 2.96 -1.90 1.56 -6.25 1.27
RSI (2) crossed above 95 Long 16 50 1.63 0.21 2.37 4.80 -1.54 3.12 -3.81 1.27
RSI (2) above 95 Long 34 50 0.66 0.21 1.43 3.10 -1.78 1.74 -5.76 0.97
CCI moved above 100 Long 34 38 0.05 -0.15 0.69 2.55 -1.50 1.70 -5.49 0.11
Aroon Oscillator turned Negative Short 21 71 0.19 -1.06 1.00 1.73 -3.65 0.47 -8.27 0.28
Williams %R moved above -20 Long 39 46 0.20 -0.05 0.91 2.89 -2.12 1.36 -7.05 0.36
Williams %R moved above -10 Long 29 58 0.85 0.52 1.50 2.78 -1.88 1.48 -5.76 1.26
2nd Quarter Long 186 46 0.17 0.00 0.97 2.32 -1.71 1.36 -6.45 0.82
Tuesday Long 136 47 0.07 -0.04 0.87 2.28 -1.90 1.20 -15.69 0.27
June Long 62 58 0.48 0.37 1.39 1.89 -1.47 1.29 -4.67 1.71
Month Closing High Long 60 46 0.33 0.00 0.90 2.80 -1.84 1.52 -5.76 0.72
5% Top Range from Month High Long 17 58 1.43 0.33 1.62 3.22 -1.12 2.88 -2.82 1.50
Quarter Closing High Long 29 48 0.46 0.00 0.84 3.10 -2.01 1.54 -5.76 0.62
Half Year Closing High Long 20 50 0.10 0.17 0.84 2.20 -2.01 1.09 -5.76 0.15
Year Closing High Long 13 53 0.89 0.42 1.44 2.88 -1.44 2.00 -4.98 1.04
10% Top Range from Year High Long 69 43 0.33 0.00 1.15 2.22 -1.12 1.98 -6.25 1.02
5% Top Range from Year High Long 30 43 0.06 0.00 0.75 1.93 -1.36 1.42 -6.25 0.13
3 Consecutive Up Days Long 72 50 0.55 0.09 1.27 3.07 -1.96 1.57 -7.80 1.24
3 Consecutive Green Candles Long 60 50 0.48 0.07 1.15 3.23 -2.27 1.42 -7.80 0.97
Today +1% Long 209 48 0.25 0.00 1.14 2.50 -1.85 1.35 -7.80 1.17
Open +1% Long 194 46 0.25 0.00 1.05 2.69 -1.86 1.45 -6.45 1.10
One Week +5% Short 122 54 0.13 -0.03 1.12 2.30 -2.42 0.95 -14.12 0.42
One Month +10% Long 129 47 0.12 0.00 1.01 2.39 -1.91 1.25 -8.55 0.43
Above SMA 20 Short 321 56 0.12 -0.05 1.13 1.85 -2.10 0.88 -14.12 0.73
Above SMA 50 Short 320 55 0.02 0.00 1.04 1.86 -2.22 0.84 -14.12 0.11
Close 2Xstd above 50 DMA Long 36 41 0.04 0.00 0.65 2.85 -1.96 1.45 -6.25 0.07
Above SMA 200 Long 242 42 0.05 0.00 0.99 2.01 -1.37 1.47 -6.25 0.33
3 Higher Highs Long 65 50 0.64 0.16 1.32 3.08 -1.88 1.64 -7.05 1.36
$ENVA 15.30 -0.05 -0.33%
Enova International Inc
Month to Date : 2.05 15.41%
  • Month : Month
  • # : Number of trades generated , since 1990 ( our default backtest period)
  • Wins : Number of winning trades
  • Losses : Number of losing trades
  • %Wins : Number of winning trades expressed as percentage
  • Avg% : The average profit per trade in percentage for all the trades in the last four years
  • Med% : The median profit per trade in percentage
  • AWT% : The average profit per winning trades for all the winning trades in the last four years
  • ALT% : The average profit per losing trades for all the losing trades in the last four years
  • Payoff : Ratio of Avg Win / Avg Loss %
  • MWT % : Maximum Loss Trade (%)
  • MLT % : Maximum Loss Trade (%)
  • Rank : Rank of the current month average returns against all the 12 months , 1 means the stock in the current month performs best , 12 is worst
  • Seasonality Calculations : are done from the close of last trading of the previous month to current month's last trading day's close , for ex: for March Seasonality , the entry is the close of Feb last trading day's and exit is at the last trading day of Mar at close
  • backtesting period : default backtesting period is since 1990 if the stock is trading then , other wise since it's listing
Month # Wins Losses % Wins Avg% Med% AWT% ALT% Payoff MWT% MLT% Rank
Apr 2 1 1 50 16.81 16.81 39.62 -5.99 6.61 39.62 -5.99 1
Aug 2 1 1 50 -11.30 -11.30 5.50 -28.10 0.20 5.50 -28.10 11
Dec 3 1 2 33 -2.52 -3.18 7.73 -7.64 1.01 7.73 -12.10 7
Feb 3 3 0 100 8.50 3.77 8.50 0.00 0.00 19.95 1.77 4
Jan 3 1 2 33 -5.63 -13.52 12.35 -14.63 0.84 12.35 -15.73 8
Jul 2 1 1 50 10.15 10.15 23.51 -3.21 7.32 23.51 -3.21 3
Jun 2 1 1 50 -1.56 -1.56 1.10 -4.21 0.26 1.10 -4.21 6
Mar 3 2 1 67 -0.69 3.48 6.33 -14.72 0.43 9.17 -14.72 5
May 2 1 1 50 -6.01 -6.01 5.35 -17.37 0.31 5.35 -17.37 9
Nov 3 1 2 33 -15.13 -27.18 23.94 -34.67 0.69 23.94 -42.15 12
Oct 2 1 1 50 12.16 12.16 27.20 -2.89 9.41 27.20 -2.89 2
Sep 2 1 1 50 -10.22 -10.22 0.94 -21.38 0.04 0.94 -21.38 10

$ENVA Historical Returns in Jun

Exit Date Exit Entry Date Entry Change % P/L %
Jun 2015 18.68 May 2015 19.50 -4.21
Jun 2016 7.36 May 2016 7.28 1.10

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