This part should describe in short what particular methods you used, all entry/exit techniques considered, all additional assumptions.
For each group of assets separately You should also explain WHAT different parameters you considered (e.g. memories of moving averages, types of moving averages, types of volatility measures, memory of volatility measures, types of additional indicators, memories of additional indicators, etc.), what (if any) additional filtering rules you applied.
You should also explain with details HOW you searched for the best combination of parameters for a particular group of assets.