This is a study geared toward identifying price trends using Quadratic regression. Quadratic regression is the process of finding the equation of a parabola that best fits the set of data being analyzed. In this study, first a quadratic regression curve is calculated, then the slope of the curve is calculated and plotted. Custom bar colors are included. The...
This is the basic aroon, with a vertical green or red band to highlight bullish or bearish crossovers
This indicator was originally described by Joseph E. Granville in his book "Granville's New Key To Stock Market Profits" (1963).
The stochastic indicator in pine script to help anyone who needs and is having difficulties. O indicador estocástico em código pine para ajudar quem precise e está tendo dificuldades. On it can be adjusted: Nele podem ser ajustados: alisamento smooth period source areas
This indicator was originally developed by Sylvain Vervoort (Stocks & Commodities, V.26:11 (October, 2008): "ARSI, The Asymmetrical RSI").
This indicator was described by Peter G. Martin and Byron B. McCann in their book "The Investor's Guide to Fidelity Funds" (1989).
Extreme values differ for each scrip . Extreme zones as seen can be used as sell and buy signals intraday for scalping
Correlation amongst assets is the degree to which they move in tandem. This indicator measures correlation between different assets. Why is that important? To any investor diversification is a very important technique for reducing risk. The problem is that most misunderstand it. Most people tend to think diversification is achieved simply by investing in a...
Description and documentation can be found within the script.
In this indicator you find Total 6 EMA , 4 slow and same as fibonashi & another 2 is long term + you get death cross + you get Bollenger band + you get support & resistance indicator
Correlation amongst assets is the degree to which they move in tandem. Diversification is a technique for reducing risk. Most people tend to think this is achieved simply by investing in a variety of assets instead of just a few. This is wrong. Proper diversification is achieved when you reduce the correlation between the assets in your portfolio. 0.5 to...
Response to a user request. The users needs a function dmi.
So guys i added the vol to this indicator and i have started to notice patterns in the two duing big moves check it out let me know your thoughts