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The best indicator for Lennar (LEN)

We backtested 366 indicators across daily, weekly and hourly charts on real Lennar (LEN) history. Here's what actually worked — risk-adjusted, out-of-sample, with costs.

Signaling FLAT right now — Supertrend (7,3) (Weekly) is out of the market, as of 2026-06-08.
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Trend · Weekly

Supertrend (7,3)

On the weekly chart, this is the strongest risk-adjusted edge we found for Lennar (LEN) over ~46.4 years — trailing buy-and-hold by 0.2% CAGR.

12.9%
CAGR
0.56
Sharpe
-59.7%
Max DD
76.9%
Win rate
16.15
Profit factor
-0.2%
vs Buy&Hold
Confluence · Weekly

Best multi-indicator combo

Supertrend (10,3)QQE

Going long only when all 2 agree was the strongest confluence setup we found for Lennar (LEN) — trailing buy-and-hold by 0.9% CAGR, out-of-sample. Fewer, higher-conviction trades than any single indicator.

12.2%
CAGR
0.57
Sharpe
51.5%
Win rate
97
Trades
-0.9%
vs Buy&Hold
Best by timeframe

The winner on each chart

Weekly
Supertrend (7,3)
-0.2% · Sharpe 0.56
Daily
VIDYA 10/30 Cross
-0.9% · Sharpe 0.54
Full results

Every indicator, ranked

Ranked by Sharpe (risk-adjusted return). Hypothetical, fees included.

#IndicatorTFCAGRSharpeMax DDWinTradesvs B&H
1Supertrend (7,3) Weekly12.9%0.56-59.7%76.9%26-0.2%
2VIDYA 10/30 Cross Daily12.3%0.54-62.8%43.8%48-0.9%
3Supertrend (10,3) Weekly11.8%0.53-59.7%77.8%27-1.4%
4Stochastic Daily12.1%0.52-75.3%70.4%226-1.2%
5SMA 50/200 Cross Daily11.0%0.5-58.8%57.1%35-2.2%
6QQE Daily12.7%0.49-91.7%41.2%691-0.5%
7Stochastic Momentum Index Daily10.1%0.48-71.3%68.6%210-3.1%
8Donchian 100 Break Daily10.1%0.48-54.9%55.2%29-3.1%
9Zero-Lag MACD Daily10.5%0.47-67.6%45.3%1020-2.7%
10McGinley 10/30 Cross Daily10.9%0.47-68.8%34.1%88-2.4%
11McGinley 100 Trend Daily11.8%0.47-94.3%28.6%35-1.4%
12Projection Bands Daily9.5%0.46-81.0%69.2%416-3.8%
13Even Better Sinewave Weekly12.2%0.46-67.8%58.0%50-1.0%
14Relative Volume SpikeDaily7.0%0.46-59.3%45.0%271-6.2%

= held up out-of-sample. Hypothetical, costs included. See methodology.

What this means

For Lennar (LEN), Supertrend (7,3) on the weekly timeframe gave the best balance of return and risk in our test. It still trailed buy-and-hold on raw return — 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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