ロゴスホールディングス (205A.T) quant model fit
Median hit rate and return when a model selected ロゴスホールディングス (205A.T). Model: ml-factor-lgbm-9f-jp-growth. Model–stock fit, not a buy signal.
Median LONG hit rate is 0.35 (n=12). below a coin flip.Median LONG return is +28.3 bps.
Model predictability decomposition: measures how accurately the ml-factor-lgbm-9f-jp-growth model family predicts this stock's returns within the jp-listed universe. High hit_rate_long does NOT mean 'good stock to buy' -- it means 'the model historically predicted this stock well when selecting it LONG'. This is a property of model-stock fit, not intrinsic stock quality.
Accuracy (median across grid)
| metric | median | p25 – p75 | n |
|---|---|---|---|
| Hit rate · LONG | 0.3542 | 0.0357 – 0.5355 | 12 |
| Hit rate · SHORT | 0.9853 | 0.9597 – 1 | 12 |
| Avg return · LONG (bps) | 28.3 | -38.7 – 133.7 | 12 |
| Avg return · SHORT (bps) | 246.4 | 232.0 – 264.8 | 12 |
| Selection rate · LONG | 0.0011 | 0.0006 – 0.0019 | 12 |
| Selection rate · SHORT | 0.0021 | 0.0018 – 0.0035 | 12 |
Hit rate ≈ 0.5 means the model's picks on this stock were near coin-flip. Returns in bps per trade (1 bps = 0.01%). Metrics with n = 0 are omitted.
PnL contribution
Selected LONG 264 / SHORT 619 times out of 213,696 appearances (0.124% LONG).
sum of per-trade decimal returns across all grid combos and retrain periods (0.01 = one trade returning 1%)