Radiant's algorithm catalog covers tokenized US stocks — TSLA, AAPL, NVDA, MSFT, META, AMZN, MSTR, COIN, SPY, QQQ and more — traded as 24/7 perpetuals on Binance and Bybit, alongside crypto markets (BTC, ETH, SOL, and 200+ altcoins). Each algorithm is a systematic, rule-based quantitative strategy that executes on your exchange account through a secure API connection, with verified backtest data, forward-test performance, win rate, max drawdown and profit factor documented on every page.
Trade tokenized equities around the clock with no broker hours, no T+2 settlement, and no PDT rules — the same algorithmic discipline applied to AAPL or TSLA as to BTC or ETH. If you prefer a managed multi-strategy mix, see our pre-built tokenized stock & crypto portfolios; for the onboarding flow, read how Radiant works; browse all tokenized stocks coverage or the coin catalog.
Strategy: Breakout · Risk: high · Annual return: 350% · Win rate: 65% · Max drawdown: 30%
High-volatility trend breakout strategy applied to USELESS
Strategy: Breakout · Risk: high · Annual return: 157% · Win rate: 79% · Max drawdown: 26%
Trades explosive FART moves under extreme volatility, with high upside potential and elevated drawdowns.
Strategy: Breakout · Risk: high · Annual return: 150% · Win rate: 65% · Max drawdown: 25%
**High-volatility trend breakout strategy applied to POWER**
Strategy: Breakout · Risk: high · Annual return: 150% · Win rate: 75% · Max drawdown: 22%
Trades high-momentum BLUAI swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: medium · Annual return: 90% · Win rate: 65% · Max drawdown: 25%
Captures structured trends on ZRO with balanced volatility and controlled drawdowns.
Strategy: Breakout · Risk: low · Annual return: 55% · Win rate: 64% · Max drawdown: 20%
Tracks structured SOL trends with low volatility, focusing on stability and risk control.
Strategy: Breakout · Risk: low · Annual return: 72% · Win rate: 63% · Max drawdown: 18%
Follows structured DASH trends in low-volatility conditions, prioritizing stability and risk control.
Strategy: Breakout · Risk: high · Annual return: 0% · Win rate: 57% · Max drawdown: 0%
Trades high-momentum H swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: high · Annual return: 0% · Win rate: 37% · Max drawdown: 0%
Trades high-momentum AIO swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: high · Annual return: 0% · Win rate: 91.5% · Max drawdown: 0%
Trades high-momentum GRASS swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: medium · Annual return: 103% · Win rate: 71% · Max drawdown: 22%
Tracks structured TAO trends with balanced volatility and controlled drawdowns.
Strategy: Breakout · Risk: high · Annual return: 0% · Win rate: 50% · Max drawdown: 0%
Trades high-momentum TAC swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: high · Annual return: 0% · Win rate: 47% · Max drawdown: 0%
Trades high-momentum AIOT swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: medium · Annual return: 98% · Win rate: 71% · Max drawdown: 25%
Trades BONK trend opportunities with balanced volatility, combining momentum exposure with controlled drawdowns.
Strategy: Breakout · Risk: high · Annual return: 0% · Win rate: 54% · Max drawdown: 0%
Trades high-momentum MSTR swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: medium · Annual return: 80% · Win rate: 72% · Max drawdown: 27%
Captures structured trends on WLD with balanced volatility and controlled drawdowns.
Strategy: Breakout · Risk: high · Annual return: 0% · Win rate: 87.5% · Max drawdown: 0%
Trades high-momentum INTC swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: high · Annual return: 0% · Win rate: 100% · Max drawdown: 0%
Trades high-momentum NBIS swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: high · Annual return: 0% · Win rate: 61.5% · Max drawdown: 0%
Trades high-momentum FIDA swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: high · Annual return: 0% · Win rate: 33.5% · Max drawdown: 0%
Trades high-momentum MRVL swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: low · Annual return: 68% · Win rate: 64% · Max drawdown: 21%
Follows structured NEAR trends with low volatility, focusing on stability and risk control.
Strategy: Breakout · Risk: high · Annual return: 0% · Win rate: 50% · Max drawdown: 0%
Trades high-momentum META swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: high · Annual return: 0% · Win rate: 50% · Max drawdown: 0%
Trades high-momentum USAR swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: high · Annual return: 314% · Win rate: 76% · Max drawdown: 40%
Trades aggressive PIPPIN moves in high-volatility markets, with high upside potential and deeper drawdowns.
Strategy: Breakout · Risk: high · Annual return: 0% · Win rate: 61.5% · Max drawdown: 0%
Trades high-momentum SKYAI swings in volatile markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: low · Annual return: 77% · Win rate: 70% · Max drawdown: 23%
Tracks structured SEI trends with low volatility, focusing on stability and risk control.
Strategy: Breakout · Risk: high · Annual return: 212% · Win rate: 80% · Max drawdown: 21%
Trades momentum-driven SWARM moves in high-volatility markets, with strong upside potential and deeper drawdowns.
Strategy: Breakout · Risk: medium · Annual return: 82% · Win rate: 70% · Max drawdown: 27%
Rides sentiment-driven PEPE swings with balanced volatility and controlled drawdowns.
Every Radiant trading strategy — for tokenized stocks and crypto alike — applies systematic risk controls rather than discretionary judgment. Position sizing scales each trade to your trading capital and the strategy's risk profile. Stop-loss logic defines a maximum acceptable loss per trade. Drawdown control caps cumulative exposure across open positions and pauses entries when thresholds are reached. Volatility adaptation adjusts trade size and entry conditions to current market regime, reducing exposure when realized volatility spikes.
Each algorithm subscription is $15 per month, which keeps automated tokenized stock and crypto trading accessible even for smaller capital allocations. Longer commitments unlock automatic duration discounts, and bundling multiple strategies into a single subscription request triggers an additional volume discount. Combining several uncorrelated algorithms — for example a tokenized stock momentum strategy with a crypto mean-reversion model — is also the simplest way to diversify.
Pick one or more algorithms from the catalog above, or start with a curated multi-strategy mix from our portfolios. Then follow the how it works guide to connect your exchange via a trading-only API key, fund the subscription in USDT, and let the algorithms execute on your account — your funds never leave your exchange.