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Coinrule
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Rule-based automation designed specifically for energy sector stocks like Exxon Mobil.

4.3
Excellent 4.3
Trustpilot
As Featured On
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Risk Management For Volatile Stocks

Position Sizing And Stop Losses

Configure automatic position sizing based on portfolio percentage or dollar amounts with trailing stops that adjust as positions move in your favor. Set maximum daily loss limits and correlation checks against other energy holdings to avoid overconcentration.

Multi-Broker Execution Engine

The automation connects to Trading212, WeBull, Robinhood and other brokers simultaneously letting you diversify execution venues while maintaining unified risk oversight across all positions.

Features and Benefits

Real-Time Monitoring Across Brokers

Dashboard consolidates positions from multiple brokers into single view showing combined exposure, average cost basis and unrealized gains. Real-time alerts notify you of filled orders, stop loss triggers and significant price movements during market hours.

Backtesting With Historical Data

Test your strategies against years of historical price data before risking real capital. The system shows how rules would have performed during different market cycles including the 2020 oil crash and recovery. Optimize parameters based on actual results to improve future performance.

Integration With Fundamental Analysis

Combine technical triggers with fundamental filters like oil inventory reports, refining margins and dividend sustainability metrics. Rules can incorporate external data feeds to avoid trading during unfavorable fundamental conditions for better risk-adjusted returns.

Mobile Alerts For Active Management

Receive push notifications on iOS and Android when rules trigger or require attention. Mobile interface lets you pause strategies, adjust parameters or override decisions from anywhere. Stay connected to your automation without being chained to a desktop.

FAQ

Frequently Asked Questions

What Traders Say

This section displays customer reviews, ratings, and testimonials from traders who use our platform.
4.3
Excellent 4.3
Trustpilot
Marcus K. reviewer profile iconMarcus K.
Finally stopped trying to time oil price moves.
Elena R. reviewer profile iconElena R.
My XOM positions build systematically now without emotional interference.
Viktor S. reviewer profile iconViktor S.
The dividend capture rules work perfectly around ex-dates. No more manual calendar watching and my accumulation stays consistent.
Sofia M. reviewer profile iconSofia M.
Backtesting showed me which strategies actually work.
Chen W. reviewer profile iconChen W.
Risk controls prevent me from going overweight energy when oil rallies hard.
Priya N. reviewer profile iconPriya N.
Multi-broker execution gives me better fills and keeps everything organized in one dashboard view.

Additional Benefits

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Advanced Order Types And Execution

Beyond basic market orders, configure bracket orders, trailing stops and conditional fills for sophisticated position management. The system can split large orders across time or price levels to minimize market impact. Advanced users access algorithmic order types like TWAP and VWAP for institutional-quality execution.

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Sector Rotation And Pairs Trading

Create rules that rotate between energy names based on relative strength or fundamental metrics. Pairs trading strategies can go long while shorting sector ETFs or competitors when relative value opportunities arise. The platform manages both legs automatically.

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Tax Optimization Features

Automated tax-loss harvesting identifies opportunities to realize losses for tax benefits while maintaining energy sector exposure through similar positions. The system tracks holding periods and wash sale rules to ensure compliance with tax regulations.

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Integration With Research Platforms

Connect fundamental research from providers like FactSet or Bloomberg to trigger rule modifications based on analyst upgrades, earnings revisions or commodity price forecasts. Combine technical automation with fundamental insights for more informed decision making.

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Performance Analytics And Reporting

Detailed performance attribution shows which strategies contribute most to returns and which need adjustment. Risk metrics include Sharpe ratios, maximum drawdown and correlation analysis. Export reports for tax preparation or investment review meetings.

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