The best indicator for Broadridge Financial Solutions (BR)
We backtested 366 indicators across daily, weekly and hourly charts on real Broadridge Financial Solutions (BR) history. Here's what actually worked — risk-adjusted, out-of-sample, with costs.
SMC: Fair Value Gap
On the weekly chart, this is the strongest risk-adjusted edge we found for Broadridge Financial Solutions (BR) over ~19.3 years — beating buy-and-hold by 1.8% CAGR.
Best multi-indicator combo
Going long only when all 2 agree was the strongest confluence setup we found for Broadridge Financial Solutions (BR) — trailing buy-and-hold by 2.7% CAGR, out-of-sample. Fewer, higher-conviction trades than any single indicator.
The winner on each chart
Every indicator, ranked
Ranked by Sharpe (risk-adjusted return). Hypothetical, fees included.
| # | Indicator | TF | CAGR | Sharpe | Max DD | Win | Trades | vs B&H |
|---|---|---|---|---|---|---|---|---|
| 1 | SMC: Fair Value Gap ✓ | Weekly | 15.0% | 0.9 | -25.2% | 59.0% | 39 | 1.8% |
| 2 | HMA 9/21 Cross ✓ | Weekly | 14.6% | 0.89 | -23.5% | 61.9% | 63 | 1.4% |
| 3 | T3 (Tillson) | Weekly | 12.8% | 0.82 | -26.4% | 49.3% | 67 | -0.4% |
| 4 | SSL Channel ✓ | Weekly | 13.9% | 0.82 | -32.4% | 58.3% | 36 | 0.7% |
| 5 | WMA 15/60 Cross ✓ | Daily | 13.3% | 0.8 | -25.4% | 45.1% | 51 | 0.0% |
| 6 | Hull MA Trend | Weekly | 13.1% | 0.8 | -34.1% | 51.1% | 47 | -0.0% |
| 7 | Chandelier Exit ✓ | Weekly | 14.5% | 0.8 | -28.8% | 54.2% | 24 | 1.4% |
| 8 | T3 10/40 Cross | Daily | 11.9% | 0.77 | -30.4% | 54.5% | 55 | -1.4% |
| 9 | Chande Momentum Osc. | Weekly | 12.6% | 0.77 | -23.7% | 56.9% | 65 | -0.5% |
| 10 | Volume Flow Indicator ✓ | Daily | 12.1% | 0.76 | -31.9% | 50.0% | 32 | -1.2% |
| 11 | Pascal's Weighted MA ✓ | Weekly | 10.5% | 0.76 | -26.0% | 53.6% | 56 | -2.7% |
| 12 | Williams %R (28) ✓ | Weekly | 12.5% | 0.76 | -32.0% | 43.3% | 30 | -0.6% |
| 13 | ZLEMA 200 Trend ✓ | Weekly | 9.7% | 0.76 | -27.3% | 64.7% | 17 | -3.4% |
| 14 | T3 30 Trend | Daily | 10.3% | 0.75 | -26.1% | 45.4% | 119 | -3.0% |
✓ = held up out-of-sample. Hypothetical, costs included. See methodology.
For Broadridge Financial Solutions (BR), SMC: Fair Value Gap on the weekly timeframe gave the best balance of return and risk in our test. It beat buy-and-hold — but remember: this is a hypothetical backtest of a standard rule, not a recommendation. Markets change. See the methodology and disclaimer.
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