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The best indicator for Rollins, Inc. (ROL)

We backtested 20 indicators across daily, weekly and hourly charts on real Rollins, Inc. (ROL) history. Here's what actually worked — risk-adjusted, out-of-sample, with costs.

Volatility · Daily

Bollinger Mean-Reversion

On the daily chart, this is the strongest risk-adjusted edge we found for Rollins, Inc. (ROL) over ~46.2 years — trailing buy-and-hold by 5.1% CAGR.

9.1%
CAGR
0.63
Sharpe
-35.2%
Max DD
67.9%
Win rate
3.3
Profit factor
-5.1%
vs Buy&Hold
Best by timeframe

The winner on each chart

Daily
Bollinger Mean-Reversion
-5.1% · Sharpe 0.63
Weekly
Stochastic
-7.6% · Sharpe 0.57
Full results

Every indicator, ranked

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

#IndicatorTFCAGRSharpeMax DDWinTradesvs B&H
1Bollinger Mean-Reversion Daily9.1%0.63-35.2%67.9%196-5.1%
2Williams %R Daily9.6%0.58-38.4%68.2%324-4.6%
3Stochastic Daily9.0%0.57-34.7%68.4%237-5.3%
4WaveTrend (8/6/4) Daily9.7%0.57-39.0%75.3%174-4.6%
5Stochastic Weekly6.6%0.57-34.6%72.1%43-7.6%
6Bollinger Mean-Reversion Weekly5.0%0.5-25.7%81.2%32-9.3%
7EMA 20/50 Cross Weekly8.7%0.49-52.0%47.1%17-5.5%
8CCI Daily7.2%0.47-39.9%73.5%223-7.1%
9Money Flow Index Daily7.4%0.47-42.9%81.0%58-6.9%
10Holy Grail Confluence Daily6.7%0.47-32.5%79.7%69-7.6%
11RSI Mean-Reversion Daily4.5%0.45-29.3%78.0%59-9.7%
12Williams %R Weekly5.3%0.43-39.3%67.8%59-8.9%
13EMA 50/200 Cross Daily7.5%0.42-52.6%38.2%34-6.7%
14CCI Weekly4.8%0.41-39.0%76.6%47-9.4%

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

What this means

For Rollins, Inc. (ROL), Bollinger Mean-Reversion on the daily 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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