50 & 200 SMA + RSI Average Strategy (Long Only, Single Trade)It works better in trending markets. It delivers its best performance in the 4-hour to 1-day timeframes.
Moyennes mobiles
EMA 12-26-100 Momentum Strategy# Triple EMA Multi-Signal Momentum Strategy
## 📊 Overview
**Triple EMA Multi-Signal** is a comprehensive trend-following momentum strategy designed specifically for cryptocurrency markets. It combines multiple technical indicators and signal types to identify high-probability trading opportunities while maintaining strict risk management protocols.
The strategy excels in trending markets and uses adaptive position sizing with trailing stops to maximize profits during strong trends while protecting capital during choppy conditions.
## 🎯 Core Algorithm
### Triple EMA System
The strategy employs a three-layer EMA system to identify trend direction and strength:
- **Fast EMA (12)**: Quick response to price changes
- **Slow EMA (26)**: Confirmation of trend direction
- **Trend EMA (100)**: Overall market bias filter
Trades are only taken when all three EMAs align in the same direction, ensuring we trade with the dominant trend.
### Multi-Signal Confirmation (8 Signal Types)
The strategy requires at least 1-2 confirmed signals from multiple independent sources before entering a position:
1. **EMA Crossover** - Fast EMA crossing Slow EMA (primary signal)
2. **MACD Cross** - MACD line crossing signal line (momentum confirmation)
3. **RSI Reversal** - RSI bouncing from oversold/overbought zones
4. **Price Action** - Strong bullish/bearish candles (>60% of range)
5. **Volume Spike** - Above-average volume confirmation
6. **Breakout** - Price breaking 20-period high/low with volume
7. **Pullback to EMA** - Trend continuation after healthy retracement
8. **Bollinger Bounce** - Price bouncing from BB bands
This multi-signal approach significantly reduces false signals and improves win rate.
## 💰 Risk Management
### Position Sizing
- Default: 20-25% of equity per trade
- Adjustable based on risk tolerance
- Smaller positions recommended for leveraged trading
### Stop Loss & Take Profit
- **Stop Loss**: 2.0% (tight control of risk)
- **Take Profit**: 5.5% (2.75:1 reward-to-risk ratio)
- Both levels are fixed at entry to avoid emotional decisions
### Trailing Stop System
- Activates after 1.8% profit
- Trails at 1.3% below current price
- Locks in profits during extended trends
- Automatically adjusts as price moves in your favor
### Maximum Hold Time
- 36-48 hours maximum (configurable)
- Designed to minimize funding rate costs on futures
- Forces position closure to avoid excessive exposure
- Helps maintain capital velocity
## 📈 Key Features
### Trend Filters
- **ADX Filter**: Ensures sufficient trend strength (threshold: 20)
- **EMA Alignment**: All three EMAs must confirm trend direction
- **RSI Boundaries**: Avoids extreme overbought/oversold entries
### Volume Analysis
- Volume must exceed 20-period moving average
- Configurable multiplier (default: 1.0x)
- Helps identify institutional participation
### Automatic Exit Conditions
1. Take Profit target reached
2. Stop Loss triggered
3. Trailing stop activated
4. Trend reversal (EMA cross in opposite direction)
5. Maximum hold time exceeded
## 🎮 Recommended Settings
### For Spot Trading (Conservative)
```
Position Size: 15-20%
Stop Loss: 2.5%
Take Profit: 6.0%
Max Hold: 72 hours
Leverage: 1x
```
### For Futures 3-5x Leverage (Balanced)
```
Position Size: 12-15%
Stop Loss: 2.0%
Take Profit: 5.5%
Max Hold: 36 hours
Trailing: Active
```
### For Aggressive Trading 5-10x (High Risk)
```
Position Size: 8-12%
Stop Loss: 1.5%
Take Profit: 4.5%
Max Hold: 24 hours
ADX Filter: Disabled
```
## 📊 Performance Metrics
### Backtested Results (BTC/USDT 1H, 2 years)
- **Total Return**: ~19% (spot) / ~75% (5x leverage)*
- **Total Trades**: 240-300
- **Win Rate**: 49-52%
- **Profit Factor**: 1.25-1.50
- **Max Drawdown**: ~18-22%
- **Average Trade**: 0.5-3 days
*Leverage results exclude funding rates and real-world slippage
### Optimal Timeframes
- **1 Hour**: Best for active trading (recommended)
- **4 Hour**: More stable, fewer signals
- **15 Min**: High frequency (requires monitoring)
### Best Performing Assets
- BTC/USDT (most tested)
- ETH/USDT
- Major altcoins with good liquidity
- Not recommended for low-cap or illiquid pairs
## ⚙️ How to Use
1. **Add to Chart**: Apply strategy to 1H BTC/USDT chart
2. **Adjust Settings**: Configure risk parameters based on your preference
3. **Review Signals**: Green = Long, Red = Short, labels show signal count
4. **Monitor Performance**: Check strategy tester for detailed statistics
5. **Optimize**: Use strategy optimization to find best parameters for your market
## 🎨 Visual Indicators
The strategy provides clear visual feedback:
- **EMA Lines**: Blue (Fast), Red (Slow), Orange (Trend)
- **BUY/SELL Labels**: Show entry points with signal count
- **Stop/Target Lines**: Red (SL), Green (TP) displayed during active trades
- **Background Color**: Light green (long), light red (short) when in position
- **Info Panel**: Shows current trend, RSI, ADX, and volume status
## ⚠️ Important Notes
### Risk Disclaimer
- This strategy is for educational purposes only
- Past performance does not guarantee future results
- Cryptocurrency trading involves substantial risk
- Only trade with capital you can afford to lose
- Always use proper position sizing and risk management
### Limitations
- Performs poorly in sideways/choppy markets
- Requires sufficient liquidity for best execution
- Backtests do not include:
- Real-world slippage (especially during volatility)
- Funding rates (for perpetual futures)
- Exchange downtime or connection issues
- Emotional trading decisions
### For Futures Trading
If using this strategy on futures with leverage:
- Reduce position size proportionally to leverage
- Account for funding rates (~0.01% per 8h)
- Set max hold time to minimize funding costs
- Use lower leverage (3-5x max recommended)
- Monitor liquidation price carefully
## 🔧 Customization
All parameters are fully customizable:
- EMA periods (fast/slow/trend)
- MACD settings (12/26/9)
- RSI levels (30/70)
- Stop Loss / Take Profit percentages
- Trailing stop activation and offset
- Volume multiplier
- ADX threshold
- Maximum hold time
## 📚 Strategy Logic
The strategy follows this decision tree:
```
1. Check Trend Direction (EMA alignment)
↓
2. Scan for Entry Signals (8 types)
↓
3. Confirm with Filters (ADX, Volume, RSI)
↓
4. Enter Position with Fixed SL/TP
↓
5. Monitor for Exit Conditions:
- TP Hit → Close with profit
- SL Hit → Close with loss
- Trailing Active → Follow price
- Trend Reversal → Close position
- Max Time → Force close
```
## 🎓 Best Practices
1. **Start Conservative**: Use smaller position sizes initially
2. **Track Performance**: Monitor actual vs backtested results
3. **Optimize Regularly**: Market conditions change, adapt parameters
4. **Combine with Analysis**: Don't rely solely on automated signals
5. **Manage Emotions**: Stick to the system, avoid manual overrides
6. **Paper Trade First**: Test on demo before risking real capital
## 📞 Support & Updates
This strategy is actively maintained and updated based on:
- Market condition changes
- User feedback and suggestions
- Performance optimization
- Bug fixes and improvements
## 🏆 Conclusion
Triple EMA Multi-Signal Strategy offers a robust, systematic approach to cryptocurrency trading by combining trend following, momentum indicators, and strict risk management. Its multi-signal confirmation system helps filter false signals while the trailing stop mechanism captures extended trends.
The strategy is suitable for both manual traders looking for high-probability setups and algorithmic traders seeking a proven systematic approach.
**Remember**: No strategy wins 100% of the time. Success comes from consistent application, proper risk management, and continuous adaptation to changing market conditions.
---
*Version: 1.0*
*Last Updated: November 2025*
*Tested on: BTC/USDT, ETH/USDT (1H, 4H timeframes)*
*Recommended Capital: $5,000+ for optimal position sizing*
Supertrend + DEMA Strategy ( customised & Switchable, Fixed TP)Supertrend line – a moving line that follows the price and shows whether the market is trending up or down.
If the price goes above this line, it usually means the market is going up.
If the price goes below, it usually means the market is going down.
DEMA (Double Exponential Moving Average) – another line that smooths out price movements to spot trends more clearly.
It calculates an average of prices but reacts faster than a normal moving average.
NIFTY Options Breakout StrategyThis strategy trades NIFTY 50 Options (CALL & PUT) using 5-minute breakout logic, strict trend filters, expiry-based symbol validation, and a dynamic trailing-profit engine.
1️⃣ Entry Logic
Only trades NIFTY 50 options, filtered automatically by symbol.
Trades only between 10:00 AM – 2:15 PM (5m bars).
Breakout trigger:
Price enters the buy breakout zone (high of last boxLookback bars ± buffer).
Trend filter:
Price must be above EMA50 or EMA200,
AND EMA50 ≥ EMA100 (to avoid weak conditions).
Optional strengthening:
EMA20>EMA50 OR EMA50>EMA100 recent cross can be enforced.
Higher-timeframe trend check:
EMA50 > EMA200 (bullish regime only).
Start trading options only after expiry–2 months (auto-parsed).
2️⃣ One Trade Per Day
Maximum 1 long trade per day.
No shorting (long-only strategy).
3️⃣ Risk Management — SL, TP & Trailing
Includes three types of exits:
🔹 A) Hard SL/TP
Hard Stop-Loss: -15%
Hard Take-Profit: +40%
🔹 B) Step-Ladder Trailing Profit
As the option price rises, trailing activates:
Max Profit Reached Exit Trigger When Falls To
≥ 35% ≤ 30%
≥ 30% ≤ 25%
≥ 25% ≤ 20%
≥ 20% ≤ 15%
≥ 15% ≤ 10%
≥ 5% ≤ 0%
🔹 C) Loss-Recovery Exit
If loss reaches –10% but then recovers to 0%, exit at breakeven.
4️⃣ Trend-Reversal Exit
If price closes below 5m EMA50, the long is exited instantly.
5️⃣ Optional Intraday Exit
EOD square-off at 3:15 PM.
6️⃣ Alerts for Automation
The strategy provides alerts for:
BUY entry
TP/SL/Trailing exit
EMA50 reversal exit
EOD exit
Nifty Breakout Levels Strategy (v7 Hybrid)Nifty Breakout Levels Strategy (v7 Hybrid – Compounding from Start Date)
Instrument / TF: Designed for current-month NIFTY futures on 1-hour timeframe, with at most 1 trade per day.
Entry logic: Uses a 10-bar breakout box with a 0.3% buffer, plus EMA-based trend + proximity filter.
Longs: price in breakout-high zone, above EMA50/EMA200 and within proximityPts.
Shorts: price in breakout-low zone and strong downtrend (EMA10 < EMA20 < EMA50 < EMA200, price below EMA200).
Trades only when ATR(14) > atrTradeThresh and during regular hours (till 15:15).
Risk / exits: Stop loss is ATR-adaptive – max of slBasePoints (100 pts) and ATR * atrSLFactor; TP is fixed (tpPoints, e.g. 350 pts).
Longs have stepped trailing profit levels (100/150/200/250/320 pts) that lock in gains on pullbacks.
Shorts have trailing loss-reduction levels (80/120/140 pts) to cut improving losses.
Additional exit: 1H EMA50 2-bar reversal against the position, plus optional EOD flatten at 3:15 PM.
Compounding engine: From a chosen start date, equity is rebased to startCapital, and lot size scales dynamically as equity / capitalPerLot, with automatic lot reductions at three drawdown thresholds (ddCut1 / 2 / 3).
Automation: All entries and exits are exposed via alertconditions (long/short entry & exit) so the strategy can be connected to broker/webhook automation.
15m ORB Breakout NAS100 (5m Mgmt) v6 - OptimizedOpening Range Breakout Strategy
Buy and sell signals are given upon break of market session opening range. Best utilized for 30 minute NY opening range, managed on 5 min timeframe on NAS100. Tweak the settings for higher win rate on backtesting dashboard before implementing strategy.
HMA+RVOL Strategy Hariss 369The Hull Moving Average (HMA) is a smooth, fast, and highly responsive moving average created by Alan Hull. It reduces lag significantly while still maintaining smoothness, making it one of the most popular tools for trend detection and entries. It is widely used for trend filter. Hull Moving Average(HMA) with RVOL strengthens the trend as volume is prime factor of price movement.
Trading with HMA: Simple method is buy when price closes above HMA , stop less below the low of last candle and target is 1.5 or 2 times of stop loss. The reverse is for sell. The HMA automatically turns to green on bull trend and red on bear trend for better visual confirmation.
Adding RVOL to HMA is better method of trading. Buy signal is initiated when price closes above HMA and RVOL is greater than 1.2. Sell signal is initiated when price closes below 89 HMA and rovl is greater than 1.2. One can change the value of RVOL according to trading style and type asset being traded.
It is a back tested strategy.
Inyerneck Sniper Engine v4.2 — FINAL WORKING 2025Aggressive momentum sniper for pennies. Fires on volume + EMA snaps. Use small size. Alerts ready.
Inyerneck Sniper Engine v4.2 — FINAL WORKING 2025yer momUltra-aggressive momentum sniper built for pennies & BTC.
Fires on every volume explosion + EMA snap. No mercy, no filters.
50+ trades per month. Use small size or die trying.
Private alpha —
Inyerneck Sniper Engine v4.2 — FINAL WORKING 2025Ultra-aggressive momentum sniper built for pennies & BTC.
Fires on every volume explosion + EMA snap. No mercy, no filters.
50+ trades per month. Use small size or die trying.
Private alpha — invite-only. do not change settings without first recording default settings, the default settings are great... usable on any time frame.. aaaaannd... yer mom!
Safe Supertrend Strategy (No Repaint)Overview
The Safe Supertrend is a repaint-free version of the popular Supertrend trend-following indicator.
Most Supertrend indicators appear perfect on historical charts because they flip intrabar and then repaint after the candle closes.
This version fixes that by using close-of-bar confirmation only, making every trend flip 100% stable, safe, and non-repainting.
Why This Supertrend Doesn’t Repaint
Most Supertrend indicators calculate their trend direction using the current bar’s data.
But during a live candle:
ATR expands and contracts
The upper/lower bands move
Price moves above/below the band temporarily
A false flip appears → then disappears when the candle closes
That is classic repainting.
This indicator avoids all of that by using:
close > upper
close < lower
This means:
Trend direction flips only based on the previous candle,
No intrabar calculations,
No flickering signals,
No “perfect but fake” historical performance.
Every signal you see on the chart is exactly what was available in real-time.
How It Works
Calculates ATR (Average True Range) and SMA centerline
Builds upper and lower volatility bands
Confirms trend flips only after the previous bar closes
Plots clear bull and bear reversal signals
Works on all markets (crypto, stocks, forex, indices)
No repainting, no recalc, no misleading flips.
Bullish Signal (Trend Up)
A bullish trend begins only when:
The previous candle closes above the upper ATR band,
And this flip is fully confirmed.
A green triangle marks the start of a new uptrend.
Bearish Signal (Trend Down)
A bearish trend begins only when:
The previous candle closes below the lower ATR band,
And the downtrend is confirmed.
A red triangle signals the start of a new downtrend.
Inputs
ATR Length - default 10
ATR Multiplier - default 3.0
Works on all timeframes and market
Simple, but powerful.
Why Use This Version Instead of a Regular Supertrend?
Most Supertrends:
Look great historically
But repaint continuously on live charts
Give false trend flips intrabar
Cannot be reliably used in strategies
This version:
Uses strict previous-bar logic
Never repaints trend direction
Works perfectly in live trading
Backtests accurately
Is ideal for algorithmic strategies
Ideal For:
Trend-following strategies
Breakout trading
Algo trading systems
Reversal detection
Filtering market noise
Swing trading & scalping
Final Note
This is a safer, more reliable Supertrend designed for real-world use — not perfect-looking repaint illusions.
If you use Supertrend in your trading system, this no-repaint version ensures your signals are trustworthy and consistent.
Safe Supertrend Strategy (No Repaint)Overview
The Safe Supertrend is a repaint-free version of the popular Supertrend trend-following indicator.
Most Supertrend indicators appear perfect on historical charts because they flip intrabar and then repaint after the candle closes.
This version fixes that by using close-of-bar confirmation only, making every trend flip 100% stable, safe, and non-repainting.
Why This Supertrend Doesn’t Repaint
Most Supertrend indicators calculate their trend direction using the current bar’s data.
But during a live candle:
ATR expands and contracts
The upper/lower bands move
Price moves above/below the band temporarily
A false flip appears → then disappears when the candle closes
That is classic repainting.
This indicator avoids all of that by using:
close > upper
close < lower
This means:
Trend direction flips only based on the previous candle,
No intrabar calculations,
No flickering signals,
No “perfect but fake” historical performance.
Every signal you see on the chart is exactly what was available in real-time.
How It Works
Calculates ATR (Average True Range) and SMA centerline
Builds upper and lower volatility bands
Confirms trend flips only after the previous bar closes
Plots clear bull and bear reversal signals
Works on all markets (crypto, stocks, forex, indices)
No repainting, no recalc, no misleading flips.
Bullish Signal (Trend Up)
A bullish trend begins only when:
The previous candle closes above the upper ATR band,
And this flip is fully confirmed.
A green triangle marks the start of a new uptrend.
Bearish Signal (Trend Down)
A bearish trend begins only when:
The previous candle closes below the lower ATR band,
And the downtrend is confirmed.
A red triangle signals the start of a new downtrend.
Inputs
ATR Length - default 10
ATR Multiplier - default 3.0
Works on all timeframes and market
Simple, but powerful.
Why Use This Version Instead of a Regular Supertrend?
Most Supertrends:
Look great historically
But repaint continuously on live charts
Give false trend flips intrabar
Cannot be reliably used in strategies
This version:
Uses strict previous-bar logic
Never repaints trend direction
Works perfectly in live trading
Backtests accurately
Is ideal for algorithmic strategies
Ideal For:
Trend-following strategies
Breakout trading
Algo trading systems
Reversal detection
Filtering market noise
Swing trading & scalping
Final Note
This is a safer, more reliable Supertrend designed for real-world use — not perfect-looking repaint illusions.
If you use Supertrend in your trading system, this no-repaint version ensures your signals are trustworthy and consistent.
Optimized EMA Ribbon Strategy v6 Based on EMA rotations, ADX we create a system of entering trades. Watch out for the sell and buy signals.
Paulinho Signals – Cripto 5m/15m com Filtro de LateralidadeThis script is an automated Pine Script v6 strategy designed for short-term cryptocurrency trading, especially on 5-minute and 15-minute timeframes. It combines moving average crossovers, trend strength (ADX), volatility (ATR), and candlestick patterns to generate buy and sell signals with a fixed risk/reward management system.
How to Use:
- Apply to cryptocurrency charts on 5m or 15m timeframes.
- Adjust parameters to fit your preferences (EMA, RSI, ADX, ATR).
- Use for backtesting or as a decision-support tool.
Disclaimer:
This script is for educational purposes only and does not constitute financial advice. Always test on demo accounts before applying to live trading.
Vital Wave 20-50Simplicity is almost always the most effective approach, and here I’m giving you a trend-following system that exploits the bullish bias of traditional markets and their trending nature, with very basic rules.
Rules (long entries only)
• Market entry: When the EMA 20 crosses above the EMA 50 (from below)
• Main market exit: When the EMA 20 crosses below the EMA 50 (from above)
• Fixed Stop Loss: Placed at the price level of the Lower Bollinger Band at the moment the trade is entered.
In my strategy, the primary exit is when the EMA 20 crosses below the EMA 50. However, this crossover can sometimes take a while to occur, and in the meantime the price may have already dropped significantly. The Stop Loss based on the Lower Bollinger Band is designed to limit losses in case the market moves sharply against the position without giving the bearish crossover signal in time. Having two exit conditions makes the strategy much more robust in terms of risk management.
Risk Management:
• Initial capital: $10,000
• Position size: 10% of available capital per trade
• Commissions: 0.1% on traded volume
• Stop Loss: Based on the Lower Bollinger Band
• Take Profit / Exit: When EMA 20 crosses below EMA 50
Recommended Markets:
XAUUSD (OANDA) (Daily)
Period: January 3, 1833 – November 23, 2025
Total Profit & Loss: +$6,030.62 USD (+57.57%)
Maximum Drawdown: $541.53 USD (3.83%)
Total Trades: 136
Winning Trades (Win Rate): 36.03% (49/136)
Profit Factor: 2.483
XAUUSD (OANDA) (12-hour)
Period: March 19, 2006 – November 23, 2025
Total Profit & Loss: +$1,209.56 USD (+11.89%)
Maximum Drawdown: $384.58 USD (3.61%)
Total Trades: 97
Winning Trades (Win Rate): 35.05% (34/97)
Profit Factor: 1.676
XAUUSD (OANDA) (8-hour)
Period: March 19, 2006 – November 23, 2025
Total Profit & Loss: +$1,179.36 USD (+11.81%)
Maximum Drawdown: $246.88 USD (2.32%)
Total Trades: 147
Winning Trades (Win Rate): 31.97% (47/147)
Profit Factor: 1.626
Tesla (NASDAQ) (4-hour)
Period: June 29, 2010 – November 23, 2025
Total Profit & Loss (Absolute): +$11,687.90 USD (+116.88%)
Maximum Drawdown: $922.05 USD (6.50%)
Total Trades: 68
Winning Trades (Win Rate): 39.71% (27/68)
Profit Factor: 4.156
Tesla (NASDAQ) (3-hour)
Total Profit & Loss: +$11,522.33 USD (+115.22%)
Maximum Drawdown: $1,247.60 USD (8.80%)
Total Trades: 114
Winning Trades: 33.33% (38/114)
Profit Factor: 2.811
Additional Recommendations
(These assets have shown good trending behavior with the same strategy across multiple timeframes):
• NVDA (15 min, 30 min, 1h, 2h, 3h, 4h, 6h, 8h, 12h, Daily)
• NFLX (1h, 2h, 3h, 4h, 6h, 8h, 12h, Daily)
• MA (1h, 2h, 3h, 4h, 6h, 8h, 12h, Daily)
• META (1h, 2h, 3h, 4h, 6h, 8h, 12h, Daily)
• AAPL (1h, 2h, 3h, 4h, 6h, 8h, 12h, Daily)
• SPY (12h, Daily)
About the Code
The user can modify:
• EMA periods (20 and 50 by default)
• Bollinger Bands length (20 periods)
• Standard deviation (2.0)
Visualization
• EMA 20: Blue line
• EMA 50: Red line
• Green background when EMA20 > EMA50 (bullish trend)
• Red background when EMA20 < EMA50 (bearish trend)
Important Note:
We can significantly increase the profit factor and overall profitability by risking a fixed percentage per trade instead of a fixed amount. This would prevent losses from fluctuating with changes in volatility.
This could be implemented by reducing position size or adjusting leverage based on the volatility percentage required for each trade, but I’m not sure if this is fully possible in Pine Script. In my other script, “ Golden Cross 50/200 EMA ,” I go deeper into this topic and provide examples.
I hope you enjoy this contribution. Best regards!
Hull VWMA Crossover StrategyA simple variation on the Hull Moving Average which reacts faster to high volume events, making it more responsive in those cases than even the standard Hull average -- CREDIT GOES TO Saolof - -- Edited into a strategy with some more options that im going to continue to refine. LMK if theres any features or confluence you want me to add -- cheers!
RSI + 55 EMA + Volume (SL Marked, No Engulfing)This is to help entering in trades by considering 50 EMA and RSI indicators, Volume is used for confirmations
ParabolicSAR+EMA[TS_Indie]🚀 EMA + Parabolic SAR Reversal Trading Strategy
This trading system effectively combines the use of Exponential Moving Averages (EMA) with the Parabolic SAR to identify both price trends and key reversal points. The EMA Fast is used to signal the primary short-term trend, while the EMA Slow acts as a filter for the long-term trend direction. The Parabolic SAR then helps to confirm the reversal signals.
🛠️ Tools Used
1. EMA Fast – Primary Short-Term Trend
2. EMA Slow – Long-Term Trend Filter
3. Parabolic SAR – Reversal Confirmation
🎯 Entry Rules
📈 Buy Setup
1. Trend Filter: EMA Fast > EMA Slow → Uptrend
2. Pullback: Price pulls back and closes below the EMA Fast line.
3. Reversal: Price reverses/pulls back up and closes above the EMA Fast line.
4. SAR Confirmation: The previous Parabolic SAR dot is above the high, and the dot in the current candle is below the low → Reversal signal confirmed.
5. Entry: Enter Buy immediately.
📉 Sell Setup
1. Trend Filter: EMA Fast < EMA Slow → Downtrend
2. Pullback: Price pulls back and closes above the EMA Fast line.
3. Reversal: Price reverses/pulls back down and closes below the EMA Fast line.
4. SAR Confirmation: The previous Parabolic SAR dot is below the low, and the dot in the current candle is above the high → Reversal signal confirmed.
5. Entry: Enter Sell immediately.
💰 Exit Management (Entry, Stop Loss, Take Profit)
1. Entry: Enter the order at the closing price of the signal candle.
2. Stop Loss (SL): Set the Stop Loss at the Parabolic SAR dot.
3. Take Profit (TP): Calculated from the Entry and Stop Loss points, multiplied by the Risk Reward Ratio.
⚙️ Optional Parameters
➭ Custom Risk/Reward Ratio for Take Profit.
➭ Option to add an ATR buffer to the Stop Loss.
➭ Adjustable EMA Fast period.
➭ Adjustable EMA Slow period.
➭ Adjustable Parabolic SAR parameters.
➭ Option to enable Long-only / Short-only positions.
➭ Customizable Backtest start and end date.
➭ Customizable trading session time.
🔔 Alert Function
Alerts display:
➭ Entry Price
➭ Stop Loss Price
➭ Take Profit Price
💡 This strategy allows for many parameter adjustments, such as the MA type, adding/subtracting from the Stop Loss using ATR, and selecting specific sessions for backtesting. If you find interesting or profitable results after adjusting the parameters, please share your comments with other traders!
⚠️ Disclaimer
This indicator is designed for educational and research purposes only. It does not guarantee profits and should not be considered financial advice. Trading in financial markets involves significant risk , including the potential loss of capital.
EMA 50/200 Pullback + RSI (BTC/USDT 15m - 2 Bar Logic)I recognize that combining indicators requires clear justification on how the components interact Therefore the new scripts description will explicitly detail the strategys operational logic
Objective The strategy is a Trend Following Pullback System designed for high frequency time frames 15m
Synergy The EMA50 EMA200 defines the primary Trend Direction Trend Filter It then utilizes a 2 Bar Pullback Logic to find an entry point where the price has momentarily reversed against the trendline and the RSI 14 serves as a Momentum Filter RSI greater than 50 for Long RSI less than 50 for Short to minimize false signals
Trinity ATR Strategy (Saty) - Backtest EditionThis is not supposed to be a standalone indicator, but releasing this to give a general overview of what it could do, each commodity and timeframe would need to be back tested. Use in conjunction with other indicators and price action. This is not financial advice and is not a guarantee of financial results.
EMA Cross Strategy v5 (30 lots) (15 min candle only)- safe flip🚀 EMA Cross Strategy v5 (30 Lots) (15 min candle only)— Safe Flip Edition
Fully Automated | Fast | Reliable | Battle-tested
Welcome to a clean, powerful, and automation-friendly EMA crossover system.
This strategy is built for traders who want consistent trend-based entries without the risk of unwanted pyramiding or doubled positions.
🔥 How It Works
This strategy uses a fast EMA (10) crossing a slow EMA (20) to detect trend shifts:
Bullish Crossover → LONG (30 lots)
Bearish Crossover → SHORT (30 lots)
Every opposite signal safely flips the position by first closing the current trade, then opening a fresh position of exactly 30 lots.
No doubling.
No runaway position size.
No surprises.
Just clean, mechanical trend-following.
📈 Why This Strategy Stands Out
Unlike basic EMA crossbots, this version:
✔ Prevents unintended pyramiding
✔ Never over-allocates capital
✔ Works perfectly with webhook-based automation
✔ Produces stable, systematic entries
✔ Executes directional flips with precision
🔍 Backtest Highlights (1-Year)
(Backtests will vary by instrument/timeframe)
1,500+ trades executed
Profit factor above 1.27
Strong trend performance
Balanced long/short behavior
No margin calls
Consistent trade execution
This strategy thrives in trending markets and maintains strict discipline even in choppy conditions.
⚙️ Automation Ready
Designed for automated execution via webhook and API setups on supported platforms.
Just connect, run, and let the bot follow the rules without hesitation.
No emotions.
No overtrading.
No fear or greed.
Pure logic.
ZH1/5-Min Opening Range Breakout Strategy with Market Biasx.com
"ZH1/5-Min Opening Range Breakout Strategy with Market Bias"






















