Hi,
I'd be grateful if anyone that is curious enough can take a look at the notebooks to see if the performance looks legitimate. I had to split it into two backtests because it runs out of dollar volume beyond ~10 years (and that's with 5k starting).
I'd rather not post the algorithm itself but basically it uses 4 different fundamental factors, 5 if you count industry group code, and 'rebalances' monthly. It doesn't look at price action at all. It only invests in one stock at a time.
Thanks and Merry Christmas