MTF MACD + Accelerator Oscillator Strategy ※日本語説明は英文の下にあります。
Concept:
This is a multi-timeframe trend-following strategy that combines:
Higher timeframe MACD → determines the major trend direction.
Lower timeframe Accelerator Oscillator (AC) → identifies acceleration in momentum for optimal entry timing.
The strategy enters trades in the direction of the higher timeframe trend when the AC shows a momentum acceleration.
Entry Rules:
Long (Buy):
Higher timeframe MACD line > signal line (uptrend)
AC crosses above zero line on the lower timeframe
Short (Sell):
Higher timeframe MACD line < signal line (downtrend)
AC crosses below zero line on the lower timeframe
Exit Rules:
Take Profit: ATR(14) * 1.5 (configurable)
Stop Loss: ATR(14) * 1.0 (configurable)
Exit on opposite signal or if TP/SL is hit
Plotting:
AC is plotted on the chart (green for positive, red for negative)
Buy/Sell signals are marked with small triangles below/above bars
Customization:
Timeframe, MACD parameters, ATR multipliers can be adjusted in the input settings.
Works for scalping, day trading, or swing trading on various instruments.
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コンセプト:
この戦略はマルチタイムフレームのトレンドフォロー型で、以下を組み合わせています:
上位足MACD → 大きなトレンド方向を確認
下位足Accelerator Oscillator(AC) → モメンタム加速のタイミングを捉え、最適なエントリーを判断
上位足のトレンド方向に沿って、下位足でACが勢いの加速を示したタイミングでエントリーします。
エントリールール:
ロング(買い):
上位足MACDライン > シグナルライン(上昇トレンド)
下位足ACが0ラインを上抜け
ショート(売り):
上位足MACDライン < シグナルライン(下降トレンド)
下位足ACが0ラインを下抜け
エグジットルール:
利確:ATR(14) * 1.5(設定可能)
損切り:ATR(14) * 1.0(設定可能)
逆シグナル発生時やTP/SL到達時にも決済
チャート表示:
ACはチャート上にプロット(正なら緑、負なら赤)
買い/売りシグナルはバーの下/上に小さな三角で表示
カスタマイズ:
時間足、MACDパラメータ、ATR倍率は入力設定で変更可能
スキャルピング、デイトレード、スイングトレードなど幅広く利用可能
Multitimeframe
KARAKAS
Strategy Philosophy and Objective
This strategy is a high-probability Mean Reversion system. It is based on the principle that markets behave like a stretched rubber band: when the price moves too far away from its average value (the band is stretched), it has a high tendency to eventually snap back towards its mean.
The objective of this strategy is to identify these moments of "extreme extension" and to capture the highest probability move as the price reverts to its average. Rather than acting hastily, it employs a multi-layered confirmation system to trade only on the highest quality signals.
Strategy Profile
Strategy Name: Final Optimized Strategy
Type: Mean Reversion
Recommended Timeframe: Developed on M15 (15-Minute).
Suitable Markets: High-volume, volatile assets. Ideal for Indices (US100, S&P500), Major Forex Pairs (EUR/USD, GBP/USD), and Commodities (Gold).
Core Tools:
Bollinger Bands: Period: 20, Standard Deviation: 2.2
RSI (Relative Strength Index): Period: 14, Overbought/Oversold Levels: 75 / 25
Institutional Confluence Strategy - 4H Only This is the best 4H Strategy with over 8.1 Win rate. Test before implementing it.
| 🧠 **Auto Risk Sizing** | Calculates position size dynamically (based on equity & ATR). |
| ⚙️ **Dynamic SL/TP** | Adjusts to volatility automatically. |
| ⚡ **Range Adaptation** | Uses RSI + BB compression to catch sideways reversals. |
| 🎯 **Low-Noise Entries** | Requires SMA crossover + RSI + BB touch. |
| 📊 **Backtestable** | Use Strategy Tester to view win rate, profit factor, etc. |
XAU Aurum Precision Scalper Pro v1.0🏆 Aurum Precision Scalper Pro v1.0
SMMA 21/50/200 + RSI14 | Multi-Rule Gold Strategy (M3–M15)
💡 Overview
Aurum Precision Scalper Pro is a professional multi-rule intraday strategy built for scalping and day-trading XAUUSD (Gold) on short timeframes (3m, 5m, 15m).
It combines RSI, SMMA trend filters, volume, and volatility logic with clean breakout and mean-reversion mechanics.
Optimized for the London–New York overlap, this system captures directional moves while filtering out noise and false breakouts — the most common trap for gold traders.
⚙️ Core Components
1️⃣ Multi-Timeframe Guardrail
Works only on 3m / 5m / 15m charts for precision.
Prevents accidental backtests on irrelevant timeframes.
2️⃣ SMMA Trend Framework
Uses SMMA(21) for short-term bias,
SMMA(50) for medium-term direction,
SMMA(200) for higher-order trend control.
RSI(14) confirms momentum and prevents chasing extreme moves.
3️⃣ Global Filters
✅ Trend filter (optional):
• Longs only if close > SMMA200
• Shorts only if close < SMMA200
✅ SMMA proximity filters:
• Blocks trades when SMMA21–SMMA50 or SMMA21–SMMA200 are too close → reduces chop.
✅ Volume filter:
• Requires volume > SMA(volume) × multiplier.
✅ Impulse filter:
• Body size ≥ k × ATR (volatility confirmation).
✅ Active-session filter:
• Default: 07:00–20:00 CET (Europe/Brussels).
4️⃣ XAUUSD Preset (optional toggle)
When symbol = “XAU” or “GOLD”, auto-applies gold-specific tuning:
RSI thresholds tightened (BUY > 55 / SELL < 45)
Stronger volume & volatility filters
Stricter SMMA distance checks
Automatic session activation
⚔️ Entry Rules
Rule Setup Type Logic Summary
R1 Full SMMA breakout Price closes above (or below) all SMMAs + RSI confirms direction
R2 SMMA21 touch + alignment Price bounces on 21 while aligned with 50 & 200 + RSI filter
R3 3-bar engulfing reversal After 3 candles in one direction, an engulfing opposite bar + RSI momentum
R4 SMMA21/50 crossover 21 crosses 50 with trend & volume confirmation
All rules respect your global filters (trend, volume, impulse, proximity, sessions).
R2–R4 entries can be individually toggled ON/OFF in inputs.
💰 Exit Logic
Simple % exits (for quick prototyping):
• TP = +X% (default 1.0%)
• SL = −X% (default 0.5%)
All entries are managed individually (R1–R4 IDs).
More advanced versions include ATR-based partials, breakeven and dynamic trailing logic.
🎨 Visuals
SMMA21 → teal line
SMMA50 → orange line
SMMA200 → magenta line
On-chart labels for each rule (BUY/SELL R1–R4).
Alerts for all entry conditions — ready for automation or alerting bots.
🧠 Suggested Usage
Best window: 14:00–17:00 CET (London–New York overlap).
Ideal timeframes: M5 and M15.
Avoid over-trading during low volatility (Asian session).
For XAUUSD, enable all filters for realistic conditions.
Recommended baseline:
TP = 1.0%
SL = 0.5%
UseVolFilter = true
UseImpulse = true
GapFilter = true
TrendFilter = true
📈 Performance Tips
✅ Stronger filter = fewer but higher-quality trades.
✅ When gold volatility spikes (CPI/NFP/FOMC), increase “minGap%” thresholds slightly.
✅ For smooth trend capture, use R4 (SMMA21/50 cross) with trend filters ON.
✅ For reversals, combine R3 (engulfing) + RSI confirmation.
🧾 Changelog (v1.0)
✅ Multi-timeframe guard (3/5/15min only)
✅ 4 rule logic (R1–R4)
✅ Global filters: trend, volume, impulse, proximity
✅ XAUUSD preset with adaptive parameters
✅ Session/timezone logic
✅ Simple exits for fast backtesting
✅ On-chart labels and alert system
🧭 Recommended Title / Tagline for TradingView
Aurum Precision Scalper Pro v1.0
“A high-precision RSI-SMMA strategy for Gold scalpers — designed for the London–NY overlap.”
🔖 Tags
#XAUUSD #Gold #Scalping #SMMA #RSI #Strategy #DayTrading #PineScriptV6 #ATR #TrendFollowing #Breakout
Commodity Pulse Matrix (CPM) [WavesUnchained] [Strategy]Commodity Pulse Matrix (CPM) - Strategy Version
⚠️ Development Status
ACTIVE DEVELOPMENT - This strategy is currently under heavy development and optimization. The risk management settings, entry/exit logic, and parameter tuning are still being refined and are NOT yet satisfactory for live trading.
Current development areas:
Stop-loss and take-profit optimization
Position sizing and risk management
Entry timing and signal filtering
Backtest validation across different market conditions
⚠️ Use for testing and backtesting only - NOT recommended for live trading yet!
For detailed information about the underlying indicator logic, signals, and analysis methods, please refer to the Commodity Pulse Matrix (CPM) indicator description.
Overview
The CPM Strategy is an automated trading system based on the Commodity Pulse Matrix indicator. It converts the indicator's multi-timeframe confluence signals into executable trades with dynamic ATR-based risk management.
Strategy Core Features
Signal Sources
The strategy trades based on:
Strong Buy/Sell signals from the CPM indicator
Multi-timeframe alignment (configurable: 3/3, 2/3, or score-only)
EMA-200 trend filter (prevents counter-trend entries)
Dynamic signal cooldown (5-8 bars)
Optional reversal zone signals (triple-confirmed)
Risk Management (ATR-Based)
Stop-Loss & Take-Profit
Stop-Loss: 2.5x ATR (default) - Dynamic distance based on volatility
Take-Profit: 4.0x ATR (default) - Risk/Reward ratio of 1.6:1
ATR Length: 14 periods (adjustable)
Both SL and TP adjust to current market volatility
Trailing Stop (Optional)
Enabled by default
Trails at 2.5x ATR distance
Protects profits in trending moves
Can be disabled for fixed SL/TP only
Position Management
Trade Direction Filter
Both Directions (default) - Trade both Long and Short
Long Only - Only enter long positions
Short Only - Only enter short positions
Cooldown After Exit
Default: 3 bars minimum after closing a position
Prevents immediate re-entry (whipsaw protection)
Adjustable from 0 (disabled) to any number of bars
Signal Filtering
Signal Mode (Timeframe Consensus)
Strict (3/3 TFs): All 3 timeframes must agree - Most conservative
Majority (2/3 TFs): At least 2 of 3 timeframes agree - Balanced (default)
Flexible (Score Only): Overall score threshold only - Most signals
Optional Filters
Min ABS(overallScore): Only trade when confluence score meets minimum (default: 0 = disabled)
Confirmed Bar Only: Wait for bar close before entry (prevents repainting) - Recommended ON
Strategy Settings Guide
For Conservative Trading (Lower Risk)
Signal Mode: "Strict (3/3 TFs)"
Stop-Loss: 3.0x ATR or higher
Take-Profit: 5.0x ATR or higher
Trailing Stop: Enabled
Cooldown: 5-10 bars
Min Score: 8.0 or higher
For Aggressive Trading (More Signals)
Signal Mode: "Flexible (Score Only)"
Stop-Loss: 2.0x ATR
Take-Profit: 3.0x ATR
Trailing Stop: Optional
Cooldown: 0-3 bars
Min Score: 4.0 or disabled
For Balanced Trading (Recommended Starting Point)
Signal Mode: "Majority (2/3 TFs)"
Stop-Loss: 2.5x ATR
Take-Profit: 4.0x ATR
Trailing Stop: Enabled
Cooldown: 3 bars
Min Score: 6.0-8.0
TradingView Strategy Tester Settings
Essential Settings to Configure:
Properties Tab
Initial Capital: Set to realistic account size
Order Size: Use "% of Equity" (e.g., 10-25% per trade)
Commission: Set realistic commission (e.g., 0.05% for crypto, 0.1% for stocks)
Slippage: Add realistic slippage (1-3 ticks for liquid markets)
Verify "Recalculate: On Every Tick" is DISABLED (for realistic backtests)
Inputs Tab
Adjust ATR multipliers for your market
Set appropriate cooldown period
Choose signal mode based on desired trade frequency
Enable/disable trailing stop
Configure directional filter if needed
Backtesting Recommendations
Before Using This Strategy:
Test across multiple markets - What works for one commodity may not work for another
Test different timeframes - Strategy behavior changes significantly with TF
Test different market conditions - Trending vs ranging markets
Validate performance metrics - Win rate, profit factor, max drawdown, Sharpe ratio
Forward test on paper account - Before risking real capital
Key Metrics to Monitor:
Win Rate (aim for >40% minimum)
Profit Factor (aim for >1.5)
Max Drawdown (should be acceptable for your risk tolerance)
Sharpe Ratio (higher is better, >1.0 is good)
Average Trade (should be positive after commissions/slippage)
Known Limitations
Range-bound markets: May produce more whipsaws despite filters
Low volatility: ATR-based stops may be too tight
High volatility: ATR-based stops may be too wide
News events: Strategy cannot account for fundamental shocks
Signal timing: Entry timing is still being optimized
Indicator vs Strategy
When to use the Indicator:
- Manual trading with discretion
- Confluence analysis and timing
- Multiple signal validation
- Learning market structure
When to use the Strategy:
- Automated backtesting
- System validation
- Parameter optimization
- Performance measurement
⚠️ The indicator provides richer information and context than the strategy can execute!
Technical Details
Pine Script v6
Non-repainting: Uses confirmed bars for HTF data
Strategy type: Long/Short with dynamic stops
Risk management: ATR-based (adaptive to volatility)
Position sizing: Configured in Strategy Tester
Pyramiding: Default 1 (no adding to positions)
Important Notes
⚠️ Strategy parameters are still under optimization - Current settings may not be optimal for all markets or timeframes
⚠️ Backtest thoroughly before live trading - Test across different market conditions and timeframes
⚠️ Risk management is critical - Use appropriate position sizing (1-2% risk per trade recommended)
⚠️ Market conditions change - A strategy that works in trending markets may fail in ranging markets
⚠️ Commission and slippage matter - Always include realistic costs in backtests
✅ Start with conservative settings and optimize gradually
✅ Paper trade before going live
✅ Monitor performance and adjust as needed
✅ Never risk more than you can afford to lose
Disclaimer
Educational and testing purposes only. Not financial advice.
This strategy is provided as-is for backtesting and educational purposes. Past performance is not indicative of future results. Trading involves substantial risk of loss. The developer is not responsible for any losses incurred from using this strategy. Always do your own research, backtest thoroughly, and consult with a qualified financial advisor before making trading decisions.
NEVER use this strategy with real money until:
You have thoroughly backtested it on your specific market and timeframe
You understand all parameters and their impact
You have forward tested it on a paper account
You are comfortable with the maximum drawdown and risk profile
The strategy has been marked as production-ready by the developer
Version
v1.2 - Strategy Adapter (Active Development)
Based on: Commodity Pulse Matrix v1.2 Indicator
Last Updated: 2025-10-10
For detailed indicator documentation, see the Commodity Pulse Matrix (CPM) indicator description.
my_strategy_2.0Overview:
This is a high-speed scalping strategy optimized for volatile crypto assets (BTC, ETH, etc.) on timeframes 1m–5m. It combines trend-following SuperTrend with confirmations from MACD, RSI, Bollinger Bands, and volume spikes for precise entries. Focus on quick profits (1–3 ATR) with strict risk control: partial take-profits, stop-loss, and trailing breakeven after the first TP.
Key Signals:
Long: SuperTrend flip up + MACD crossover up + RSI >50 + BB Upper breakout + volume spike + volatility filter (ATR >0.5%).
Short: Similar but downward.
Exits and Risks:
TP: 33% at +1 ATR, 33% at +2 ATR, 34% at +3 ATR (customizable).
SL: Initial at -1 ATR, after TP1 — to breakeven with trailing on BB midline (optional).
Filters: Minimum ATR to avoid flat markets; realistic commissions in backtests.
Recommendations:
Test on 2020–2025 data (out-of-sample 2024+). Expected Win Rate ~55%, Profit Factor >1.8, Drawdown <10%. Ideal for 1–2% risk per trade. Not for beginners — use paper trading.
Disclaimer: Past results do not guarantee future performance. Trade at your own risk.
(Pine v6 code, ready for publication. Author: gopog777 with expert fixes.)
Not Your Daddy's EMA CrossoverNot Your Daddy's EMA Crossover - Quick Guide
What It Does
This isn't your typical 50/200 EMA crossover. It uses academically-proven, optimized EMA periods specifically backtested for crypto markets. Instead of generic settings, it adapts to different trading styles with research-backed parameter combinations that have demonstrated real returns.
Core Logic
Enters when fast EMA crosses slow EMA in the trend direction (confirmed by 200 SMA filter)
Exits either on opposite EMA cross (trend-following) or at fixed profit targets (scalping)
Uses a 200 SMA to filter trades - only longs above it, only shorts below it
Key Settings & Toggles
1. Trading Style (Auto-adjusts EMA periods):
"15 Min Scalping": 9/21 EMA - Fast-paced, frequent signals
"1 Hour Swing": 13/48 EMA - For swing trading
"Daily Trend": 15/150 MA - Captured +97.87% in bull runs
2. Entry Method:
"Crossover Entry": Enters immediately on EMA cross
"Pullback to EMA Entry": Waits for first pullback to slow EMA (better risk/reward)
3. Exit Method:
"EMA Cross Exit": Trend-following, lets winners run until EMAs reverse
"Fixed % Target (Scalping)": Quick 0.5-1% profits with tight stops
4. Optional Features:
MACD Confirmation: Adds 6-15-1 MACD filter for higher-probability setups
Periodic Compounding: Compounds every 30 hours (research shows 1-30 hour compounding is optimal)
Recommended Timeframes
📊 Match your chart to your selection:
Select "15 Min Scalping" → Use 15-minute chart
Select "1 Hour Swing" → Use 1-hour chart
Select "Daily Trend" → Use daily chart
I personally like this on the daily, which coincidentally is printing a long signal today on Bitcoin.
Enjoy!
Grand Master's Candlestick Dominance (ATR Enhanced)### Grand Master's Candlestick Dominance (ATR Enhanced)
**Overview**
Unleash the ancient wisdom of Japanese candlestick charting with a modern twist! This comprehensive Pine Script v5 strategy and indicator scans for over 75 classic and advanced candlestick patterns (bullish, bearish, and neutral), assigning dynamic strength scores (1-10) to each for precise signal filtering. Enhanced with Average True Range (ATR) for volatility-aware body size validation, it dominates the markets by combining timeless pattern recognition with robust confirmation layers. Whether used as a backtestable strategy or visual indicator, it empowers traders to spot high-probability reversals, continuations, and indecision setups with surgical accuracy.
Inspired by Steve Nison's *Japanese Candlestick Charting Techniques*, this tool elevates pattern analysis beyond basics—think Hammers, Engulfing patterns, Morning Stars, and rare gems like Abandoned Baby or Concealing Baby Swallow—all consolidated into intelligent arrays for real-time averaging and prioritization.
**Key Features**
- **Extensive Pattern Library**:
- **Bullish (25+ patterns)**: Hammer (8.0), Bullish Engulfing (10.0), Morning Star (7.0), Three White Soldiers (9.0), Dragonfly Doji (8.0), and more (e.g., Rising Three, Unique Three River Bottom).
- **Bearish (25+ patterns)**: Hanging Man (8.0), Bearish Engulfing (10.0), Evening Star (7.0), Three Black Crows (9.0), Gravestone Doji (8.0), and exotics like Upside Gap Two Crows or Stalled Pattern.
- **Neutral/Indecision (34+ patterns)**: Doji variants (Long-Legged, Four Price), Spinning Tops, Harami Crosses, and multi-bar setups like Upside Tasuki Gap or Advancing Block.
Each pattern includes duration tracking (1-5 bars) and ATR-adjusted body/shadow criteria for relevance in volatile conditions.
- **Smart Confirmation Filters** (All Toggleable):
- **Trend Alignment**: 20-period SMA (customizable) ensures entries align with the prevailing trend; optional higher timeframe (e.g., Daily) MA crossover for multi-timeframe confluence.
- **Support/Resistance (S/R)**: Pivot-based levels with 0.01% tolerance to confirm bounces or breaks.
- **Volume Surge**: 20-period volume MA with 1.5x spike multiplier to validate momentum.
- **ATR Body Sizing**: Filters small bodies (<0.3x ATR) and long bodies (>0.8x ATR) for context-aware pattern reliability.
- **Follow-Through**: Ensures post-pattern confirmation via bullish/bearish closes or closes beyond prior bars.
Minimum average strength (default 7.0) and individual pattern thresholds (5.0) prevent weak signals.
- **Entry & Exit Logic**:
- **Long Entry**: Bullish average strength ≥7.0 (outweighing bearish), uptrend, volume spike, near support, follow-through, and HTF alignment.
- **Short Entry**: Mirror for bearish dominance in downtrends near resistance.
- **Exits**: Bearish/neutral shift, or fixed TP (5%) / SL (2%)—pyramiding disabled, 10% equity sizing.
- Backtest range: Jan 1, 2020 – Dec 31, 2025 (editable). Initial capital: $10,000.
- **Interactive Dashboard** (Top-Right Panel):
Real-time insights including:
- Market phase (e.g., "Bullish Phase (Avg Str: 8.2)"), active pattern (e.g., "BULLISH: Bullish Engulfing (Str: 10.0, Bars: 2)"), and trend status.
- Strength breakdowns (Bull/Bear/Neutral counts & averages).
- Filter status (e.g., "Volume: ✔ Spike", "ATR: Enabled (L:0.8, S:0.3)").
- Backtest stats: Total trades, win rate, streak, and last entry/exit details (price & timestamp).
Toggle mode: Strategy (live trades) or Indicator (signals only).
- **Advanced Alerts** (15+ Toggleable Types):
Set up via TradingView's "Any alert() function call" for bar-close triggers:
- Entry/Exit signals with strength & pattern details.
- Strong patterns (≥2 bullish/bearish), neutral indecision, volume spikes.
- S/R breakouts, HTF reversals, high-confidence singles (≥8.0 strength).
- Conflicting signals, MA crossovers, ATR volatility bursts, multi-bar completions.
Example: "STRONG BULLISH PATTERN detected! Strength: 9.5 | Top Pattern: Three White Soldiers | Trend: Up".
**Customization & Usage Tips**
- **Inputs Groups**: Strategy toggles, confirmations, exits, backtest dates, and 15+ alert switches—all intuitively grouped.
- **Optimization**: Tune min strengths for aggressive (lower) or conservative (higher) trading; enable/disable filters to suit your style (e.g., disable S/R for scalping).
- **Best For**: Forex, stocks, crypto on 1H–Daily charts. Test on historical data to refine TP/SL.
- **Limitations**: No external data installs; relies on built-in TA functions. Patterns are probabilistic—combine with your risk management.
Master the candles like a grandmaster. Deploy on TradingView, backtest relentlessly, and let dominance begin! Questions? Drop a comment.
*Version: 1.0 | Updated: September 2025 | Credits: Built on Pine Script v5 with nods to Nison's timeless techniques.*
3-Level DCA Buy Strategy🎯 3-Level DCA Buy Strategy - Smart Dollar Cost Averaging
Professional DCA strategy that systematically accumulates positions during market dips. Enhanced with daily trend analysis for intelligent accumulation.
🚀 Key Features
- 3-Level Buying System: Automatic purchases at 5%, 10%, 15% drops from cycle highs
- Daily Trend Analysis: 1-day timeframe trend confirmation
- Smart Peak Detection: 100-period lookback for meaningful peaks
- Volume Filter: Optional volume confirmation system
- USD-Based Positions: Fixed dollar amounts per level
- Never Sells: Pure accumulation philosophy (buy-only)
📊 How It Works
1. Peak Identification: Detects highest price in last 100 periods
2. Daily Trend Check: Confirms price above 50 SMA on 1D timeframe
3. Drop Tracking: Calculates percentage drops from cycle high
4. Systematic Buying: Executes predetermined amounts at each level
5. Cycle Reset: Renews buy permissions when new peaks form
⚙️ Default Settings
- Buy Levels: 5%, 10%, 15% drops
- Position Sizes: $100, $150, $200
- Peak Period: 100 bars
- Higher Timeframe: 1 Day (1D)
- Pyramiding: 500 order capacity
🎨 Visual Elements
- Orange Circles: Mark cycle highs
- Colored Lines: Green/Blue/Red buy levels
- Triangle Signals: Buy point indicators
- Live Panel: Real-time statistics
- Background Colors: Trend and drop level indicators
🔔 Alert System
- Instant notifications for each buy level
- New peak detection alerts
- Major drop warnings (>20%)
- Daily trend change notifications
💡 Ideal Use Cases
- Crypto Accumulation: Bitcoin, Ethereum and major altcoins
- Stock DCA: Long-term portfolio building
- Volatile Markets: Capitalizing on price fluctuations
- Emotional Trading Prevention: Automated and disciplined buying
📈 Strategy Logic
This strategy follows the "buy the dip" philosophy. It waits during market rises and systematically builds positions during declines. Only buys when daily trend is bullish, providing protection during major bear markets.
⚠️ Important Notes
- Buy-only strategy - never sells positions
- Requires sufficient capital for multiple entries
- Most effective in trending and volatile markets
- Always backtest before live trading
- Risk management is your responsibility
🛠️ Customization Options
All parameters are fully customizable: drop percentages, position amounts, timeframes, visual elements and more. Suitable for both beginner and experienced investors.
🎯 Publishing Feature
Note: Strategy includes temporary 1-day sell cycle for TradingView publishing requirements. This feature can be disabled for normal DCA mode operation.
⭐ If you find this strategy helpful, please like and follow! Visit the profile for more trading tools.
RSI Momentum Trend MM with Risk Per Trade [MTF]This is a comprehensive and highly customizable trend-following strategy based on RSI momentum. The core logic identifies strong directional moves when the RSI crosses user-defined thresholds, combined with an EMA trend confirmation. It is designed for traders who want granular control over their strategy's parameters, from signal generation to risk management and exit logic.
This script evolves a simple concept into a powerful backtesting tool, allowing you to test various money management and trade management theories across different timeframes.
Key Features
- RSI Momentum Signals: Uses RSI crosses above a "Positive" level or below a "Negative" level to generate trend signals. An EMA filter ensures entries align with the immediate trend.
- Multi-Timeframe (MTF) Analysis: The core RSI and EMA signals can be calculated on a higher timeframe (e.g., using 4H signals to trade on a 1H chart) to align trades with the larger trend. This feature helps to reduce noise and improve signal quality.
Advanced Money Management
- Risk per Trade %: Calculate position size based on a fixed percentage of equity you want to risk per trade.
- Full Equity: A more aggressive option to open each position with 100% of the available strategy equity.
Flexible Exit Logic: Choose from three distinct exit strategies to match your trading style
- Percentage (%) Based: Set a fixed Stop Loss and Take Profit as a percentage of the entry price.
- ATR Multiplier: Base your Stop Loss and Take Profit on the Average True Range (ATR), making your exits adaptive to market volatility.
- Trend Reversal: A true trend-following mode. A long position is held until an opposite "Negative" signal appears, and a short position is held until a "Positive" signal appears. This allows you to "let your winners run."
Backtest Date Range Filter: Easily configure a start and end date to backtest the strategy's performance during specific market periods (e.g., bull markets, bear markets, or high-volatility periods).
How to Use
RSI Settings
- Higher Timeframe: Set the timeframe for signal calculation. This must be higher than your chart's timeframe.
- RSI Length, Positive above, Negative below: Configure the core parameters for the RSI signals.
Money Management
Position Sizing Mode
- Choose "Risk per Trade" to use the Risk per Trade (%) input for precise risk control.
- Choose "Full Equity" to use 100% of your capital for each trade.
- Risk per Trade (%): Define the percentage of your equity to risk on a single trade (only works with the corresponding sizing mode).
SL/TP Calculation Mode
Select your preferred exit method from the dropdown. The strategy will automatically use the relevant inputs (e.g., % values, ATR Multiplier values, or the trend reversal logic).
Backtest Period Settings
Use the Start Date and End Date inputs to isolate a specific period for your backtest analysis.
License & Disclaimer
© waranyu.trkm — MIT License.
This script is for educational purposes only and should not be considered financial advice. Trading involves significant risk, and past performance is not indicative of future results. Always conduct your own research and risk assessment before making any trading decisions.
5 EMA Close/Open Cross StrategyLong Entry - 5 EMA Close crossing above 5 EMA open
exit - 5 EMA Close crossing below 5 EMA open
Short entry - 5 EMA Close crossing below 5 EMA open
exit - 5 EMA Close crossing above 5 EMA open
EMA20 Cross Strategy with countertrades and signalsEMA20 Cross Strategy Documentation
Overview
The EMA20 Cross Strategy with Counter-Trades and Instant Signals is a Pine Script (version 6) trading strategy designed for the TradingView platform. It implements an Exponential Moving Average (EMA) crossover system to generate buy and sell signals, with optional trend filtering, session-based trading, instant signal processing, and visual/statistical feedback. The strategy supports counter-trades (closing opposing positions before entering new ones) and operates with a fixed trade size in EUR.
Features
EMA Crossover Mechanism:
Uses a short-term EMA (configurable length, default: 1) and a long-term EMA (default: 20) to detect crossovers.
A buy signal is generated when the short EMA crosses above the long EMA.
A sell signal is generated when the short EMA crosses below the long EMA.
Instant Signals:
If enabled (useInstantSignals), signals are based on the current price crossing the short EMA, rather than waiting for the candle close.
This allows faster trade execution but may increase sensitivity to price fluctuations.
Trend Filter:
Optionally filters trades based on the trend direction (useTrendFilter).
Long trades are allowed only when the short EMA (or price, for instant signals) is above the long EMA.
Short trades are allowed only when the short EMA (or price) is below the long EMA.
Session Filter:
Restricts trading to specific market hours (sessionStart, default: 09:00–17:00) if enabled (useSessionFilter).
Ensures trades occur only during active market sessions, reducing exposure to low-liquidity periods.
Customizable Timeframe:
The EMA calculations can use a higher timeframe (e.g., 5m, 15m, 1H, 4H, 1D, default: 1H) via request.security.
This allows the strategy to base signals on longer-term trends while operating on a shorter-term chart.
Trade Management:
Fixed trade size of €100,000 per trade (tradeAmount), with a maximum quantity cap (maxQty = 10,000) to prevent oversized trades.
Counter-trades: Closes short positions before entering a long position and vice versa.
Trades are executed with a minimum quantity of 1 to ensure valid orders.
Visualization:
EMA Lines: The short EMA is colored based on the last signal (green for buy, red for sell, gray for neutral), and the long EMA is orange.
Signal Markers: Displays buy/sell signals as arrows (triangles) above/below candles if enabled (showSignalShapes).
Background/Candle Coloring: Optionally colors the chart background or candles green (bullish) or red (bearish) based on the trend (useColoredBars).
Statistics Display:
If enabled (useStats), a label on the chart shows:
Total closed trades
Open trades
Win rate (%)
Number of winning/losing trades
Profit factor (gross profit / gross loss)
Net profit
Maximum drawdown
Configuration Inputs
EMA Short Length (emaLength): Length of the short-term EMA (default: 1).
Trend EMA Length (trendLength): Length of the long-term EMA (default: 20).
Enable Trend Filter (useTrendFilter): Toggles trend-based filtering (default: true).
Color Candles (useColoredBars): Colors candles instead of the background (default: true).
Enable Session Filter (useSessionFilter): Restricts trading to specified hours (default: false).
Trading Session (sessionStart): Defines trading hours (default: 09:00–17:00).
Show Statistics (useStats): Displays performance stats on the chart (default: true).
Show Signal Arrows (showSignalShapes): Displays buy/sell signals as arrows (default: true).
Use Instant Signals (useInstantSignals): Generates signals based on live price action (default: false).
EMA Timeframe (emaTimeframe): Timeframe for EMA calculations (options: 5m, 15m, 1H, 4H, 1D; default: 1H).
Strategy Logic
Signal Generation:
Standard Mode: Signals are based on EMA crossovers (short EMA crossing long EMA) at candle close.
Instant Mode: Signals are based on the current price crossing the short EMA, enabling faster reactions.
Trade Execution:
On a buy signal, closes any short position and opens a long position.
On a sell signal, closes any long position and opens a short position.
Position size is calculated as the minimum of €100,000 or available equity, divided by the current price, capped at 10,000 units.
Filters:
Trend Filter: Ensures trades align with the trend direction (if enabled).
Session Filter: Restricts trades to user-defined market hours (if enabled).
Visual Feedback
EMA Lines: Provide a clear view of the short and long EMAs, with the short EMA’s color reflecting the latest signal.
Signal Arrows: Large green triangles (buy) below candles or red triangles (sell) above candles for easy signal identification.
Chart Coloring: Highlights bullish (green) or bearish (red) trends via background or candle colors.
Statistics Label: Displays key performance metrics in a label above the chart for quick reference.
Usage Notes
Initial Capital: €100,000 (configurable via initial_capital).
Currency: EUR (set via currency).
Order Processing: Orders are processed at candle close (process_orders_on_close=true) unless instant signals are enabled.
Dynamic Requests: Allows dynamic timeframe adjustments for EMA calculations (dynamic_requests=true).
Platform: Designed for TradingView, compatible with any market supported by the platform (e.g., stocks, forex, crypto).
Example Use Case
Scenario: Trading on a 5-minute chart with a 1-hour EMA timeframe, trend filter enabled, and session filter set to 09:00–17:00.
Behavior: The strategy will:
Calculate EMAs on the 1-hour timeframe.
Generate buy signals when the short EMA crosses above the long EMA (and price is above the long EMA).
Generate sell signals when the short EMA crosses below the long EMA (and price is below the long EMA).
Execute trades only during 09:00–17:00.
Display green/red candles and performance stats on the chart.
Limitations
Instant Signals: May lead to more frequent signals, increasing the risk of false positives in volatile markets.
Fixed Trade Size: Does not adjust dynamically based on market conditions beyond equity and max quantity limits.
Session Filter: Simplified and may not account for complex session rules or holidays.
Statistics: Displayed on-chart, which may clutter the view in smaller charts.
Customization
Adjust emaLength and trendLength to suit different market conditions (e.g., shorter for scalping, longer for swing trading).
Toggle useInstantSignals for faster or more stable signal generation.
Modify sessionStart to align with specific market hours.
Disable useStats or showSignalShapes for a cleaner chart.
This strategy is versatile for both manual and automated trading, offering flexibility for various markets and trading styles while providing clear visual and statistical feedback.
АЗЪ 3.610 - Squeeze Momentum + ADX + FastTF + Alerts + PnLStrata genius squeeze momentum + tester + adx +fast tf
Supertrend EMA Vol Strategy V5### Supertrend EMA Strategy V5
**Overview**
This is a trend-following strategy designed for cryptocurrency markets like BTC/USD on daily timeframes, combining the Supertrend indicator for dynamic trailing stops with an EMA filter for trend confirmation. It aims to capture strong uptrends while avoiding counter-trend trades, with optional volume filtering for high-conviction entries and ATR-based stop-loss to manage risk. Ideal for long-only setups in bullish assets, it visually highlights trends with green/red bands and fills for easy interpretation. Backtested on BTC from 2024-2025, it shows potential for outperforming buy-and-hold in trending markets, but always use with proper risk management—past performance isn't indicative of future results.
**Key Features**
- **Supertrend Core**: Uses ATR to plot adaptive uptrend (green) and downtrend (red) lines, flipping on closes beyond prior bands for buy/sell signals.
- **EMA Trend Filter**: Entries require price above the EMA (default 21-period) for longs, ensuring alignment with the broader trend.
- **Volume Confirmation**: Optional filter only allows entries when volume exceeds its EMA (default 20-period), reducing false signals in low-activity periods.
- **Risk Controls**: Built-in ATR-multiplier stop-loss (default 2x) to cap losses; exits on Supertrend flips for trailing profits.
- **Visuals**: Green/red lines and highlighter fills for up/down trends, plus buy/sell labels and circles for signals.
- **Customizable Inputs**: Tweak ATR period (default 10), multiplier (default 3), EMA length, start date, long/short toggles, SL, and volume filter.
- **Alerts**: Built-in for buy/sell and direction changes.
**How to Use**
1. Add to your TradingView chart (e.g., BTC/USD 1D).
2. Adjust inputs: Start with defaults for trend-following; increase multiplier for fewer trades/higher win rate. Enable volume filter for volatile assets.
3. Monitor signals: Green "Buy" for long entries (if close > EMA and conditions met); red "Sell" for exits.
4. Backtest in Strategy Tester: Focus on equity curve, win rate (~50-60% in tests), and drawdown (<15% with SL).
5. Live Trading: Use small position sizes (1-2% risk per trade); combine with your analysis. Shorts disabled by default for bull-biased markets.
Fisher Crossover StrategyThe Fisher Crossover Strategy is a popular technical trading method that uses the Fisher Transform indicator developed by John Ehlers. This indicator mathematically converts price data into a normal Gaussian distribution, making market turning points sharper and easier to identify. The strategy is based on two lines: the Fisher line, which is the main transformed price value, and the Trigger line, which is a one-period lag of the Fisher line. Traders use the crossover of these lines to determine buy and sell opportunities.
A buy signal is generated when the Fisher line crosses above the Trigger line, indicating that bullish momentum may be starting, while a sell signal occurs when the Fisher line crosses below the Trigger line, suggesting a possible bearish reversal. Signals that occur relative to the zero line are often considered stronger; for example, a buy signal below the zero line may indicate a deeper market reversal. The strategy is simple to follow and can be applied to various markets including stocks, forex, commodities, and cryptocurrencies.
However, like all crossover strategies, it can produce false signals during sideways or ranging markets. To reduce whipsaws, traders often combine the Fisher Crossover Strategy with other tools such as support and resistance levels, volume analysis, or moving averages. Proper risk management with stop-loss and take-profit levels is also essential. Overall, the Fisher Crossover Strategy is valued for its clear entry and exit rules and its ability to highlight potential market reversals earlier than many other indicators.
Professional ORB Strategy - BUY & Sell signal- Ganesh SelvarayarORB 15 mins strategy buy and sell signal, with point system for your target
Intra Bullish Strategy - Profit Ping v4.0ProfitPing 4.0 is a high-precision intraday swing trading strategy designed for global equity markets, including the US, South Africa, and Australia. The system identifies high-probability BUY and EXIT signals using a confluence of technical indicators and real-time volume dynamics.
🧠 Key Features:
Dual EMA Crossover (7 & 14) for short-term trend confirmation
Volume Spike Detection based on 20-period moving average
RSI Momentum Filter (ideal zone: 55–65) to avoid overbought entries
MACD Histogram & Signal Line Sync for trend momentum validation
Candlestick Pattern Filtering (e.g. bullish engulfing, flags, breakout candles)
Multi-Timeframe Confirmation (optional) for intraday trend alignment
Dynamic Risk-to-Reward Logic built into alert framework
Webhook-compatible JSON alerts for automation to Google Sheets, Power BI, and IBKR
🛠️ Alert System:
BUY alert triggers when all bullish conditions align
EXIT alert triggers only if a previous BUY exists for that ticker
Trade status is updated live in Google Sheets and integrated with Power BI dashboards
Orphaned EXITs (no matched BUY) are tracked separately for accuracy review
🔄 Ideal For:
Traders seeking 1:2 to 1:5 risk/reward setups
Automation-focused workflows (via TradingView → Google Sheets → Power BI)
Swing traders wanting clean visual logs, automated P&L tracking, and optional IBKR execution
US Index First 30m Candle Strategy (10m Chart)Strategy Description for Publishing
Title: US Index First 30-Minute Candle Strategy (10m Chart)
Overview:
This Pine Script implements a trading strategy designed to capitalize on price movements within the first 30 minutes of the U.S. stock market opening. It is specifically tailored for use on a 15-minute chart and is optimized for trading U.S. indices during regular market hours.
Features:
Session Time Configuration: The strategy operates within the U.S. market hours, specifically from 9:30 AM to 4:00 PM (Eastern Time).
First 30-Minute Candle Aggregation: The script identifies the high and low of the first 30-minute candle, which is considered a critical time frame for market momentum.
Single Trade Per Day: To minimize risk, the strategy is designed to execute only one trade per day based on the established range of the first 30 minutes.
Dynamic Trade Conditions: Buy and sell signals are generated when the price breaks above the high or below the low of the first 30-minute candle, with defined stop-loss and take-profit levels based on a customizable risk-reward ratio.
How It Works:
Initialization:
At the start of each trading day, the script resets the high and low values for the first 30 minutes.
Range Locking: After the first 30 minutes, the high and low values are locked, allowing for trade entries based on these levels.
Trade Execution:
Long Entry: Triggered when the price moves above the locked high.
Short Entry: Triggered when the price drops below the locked low.
Risk Management: Each trade comes with a stop-loss and take-profit mechanism to manage potential losses and secure profits.
Visuals:
The script also plots the locked high and low levels on the chart, providing a visual reference for traders.
Conclusion:
This strategy leverages the volatility often seen in the first 30 minutes of trading, aiming to capture significant price movements while maintaining a disciplined trading approach. It is suitable for traders looking to implement a systematic strategy based on early market behavior.
Usage:
To use this strategy, simply add the script to your TradingView chart, set your desired parameters, and monitor for trade signals during the specified market hours. Adjust the risk-reward ratio as needed to align with your trading style.
HSI1! First 30m Candle Strategy (15m Chart)## HSI1! First 30-Minute Candle Breakout Strategy (15m Chart) — Description
### Overview
This strategy is designed for trading **Hang Seng Index (HSI) Futures** on a 15-minute chart. It uses the price range established during the first 30 minutes of the Hong Kong main session (09:15–09:44:59) to define key breakout levels for a systematic trade entry each day.
### How the Strategy Works
#### 1. Reference Candle Period
- **Aggregation Window:** The strategy monitors the first two 15-minute bars of the session (09:15:00–09:44:59 HKT).
- **Range Capture:** It records the highest and lowest prices (the "reference high/low") during this window.
#### 2. Trade Setup
- After the 09:45 bar completes, the reference range is locked in.
- Throughout the rest of the trading day (within session hours), the strategy looks for breakouts beyond the reference range.
#### 3. Entry Rules
- **Long Entry (Buy):**
- Triggered if price rises to or above the reference high.
- Only entered if the user's settings permit "Buy Only" or "Both".
- **Short Entry (Sell):**
- Triggered if price falls to or below the reference low.
- Only entered if the user's settings permit "Sell Only" or "Both".
- **Single trade per day:**
- Once any trade executes, no additional trades are opened until the next session.
#### 4. Exit Rules
- **Take Profit (TP):**
- Target profit is set to a distance equal to the initial range added above the long entry (or subtracted below the short entry).
- Example: For a 100-point range, a long trade targets entry + 100 points.
- **Stop Loss (SL):**
- Longs are stopped out if price falls back to the session's reference low; shorts are stopped out if price rallies to the reference high.
#### 5. Session Control
- Active only within the regular day session (09:15–12:00 and 13:00–16:00 HKT).
- Trade tracking resets each new trading day.
#### 6. Trade Direction Manual Setting
- A user input allows restriction to "Buy Only", "Sell Only" or "Both" directions, providing discretion over daily bias.
### Example Workflow
| Step | Action |
|---------------------------|-------------------------------------------------------------------------|
| 09:15–09:44 | Aggregate first two 15m candles; record daily high/low |
| After 09:45 | Wait for a breakout (price crossing either the high or the low) |
| Long trade triggered | Enter at the reference high, target is "high + range", SL is at the low |
| Short trade triggered | Enter at the reference low, target is "low - range", SL at the high |
| Trade management | No more trades for the day, regardless of further breakouts |
| End of session (if open) | Trades may be closed per further logic or left to strategy to handle |
### Key Features and Benefits
- **Discipline:** Only one trade per day, minimizing overtrading.
- **Clarity:** Transparent entry/exit rules; no discretionary execution.
- **Flexibility:** User can bias system to buy-only, sell-only, or allow both, depending on trend or personal view.
- **Simple Risk Control:** Pre-defined stop loss and profit target for every trade.
- **Works best in:** Trending, breakout-prone markets with a history of impulsive moves early in the session.
This strategy is ideal for systematic traders looking to capture the Hang Seng's early session momentum, with robust rule-based management and minimal intervention.
HSI First 30m Candle Strategy (5m Chart)## HSI First Candle Breakout Strategy
USE on 10m TF for max profit rate.
**The HSI First Candle Breakout Strategy** is a systematic trading approach tailored for Hang Seng Index Futures during the main Hong Kong day session. The strategy is designed to capture early market momentum by reacting to the first significant move of the day.
### How It Works
- **Reference Candle:** At the start of each day session (09:00), the high and low of the first 15-minute candle are recorded.
- **Breakout Trigger:**
- A **buy (long) trade** is initiated if price breaks above the first candle’s high.
- A **sell (short) trade** is initiated if price breaks below the first candle’s low.
- **Stop Loss & Take Profit:**
- Stop-loss is placed on the opposite side of the reference candle.
- Take-profit target is set at a distance equal to the size of the reference candle (1R).
- **Filters:**
- Skip the day if the first candle’s range exceeds 200 index points.
- Only the first triggered direction is traded per session.
- All trades are closed before the market closes if neither target nor stop is hit.
- **Execution:** The strategy works best on intraday charts (5m or 15m) and is ideal for traders seeking disciplined, systematic intraday setups.
### Key Features
- Captures the day’s initial momentum burst.
- Strict risk management with predefined stops and targets.
- One trade per day, reducing overtrading and noise.
- Clear-cut, rule-based, and objective system—no discretion required.
**This strategy offers a transparent and robust framework for traders to systematically capture high-probability breakouts in the Hang Seng Index Futures market.**
LANZ Strategy 5.0 [Backtest]🔷 LANZ Strategy 5.0 — Rule-Based BUY Logic with Time Filter, Session Limits and Auto SL/TP Execution
This is the backtest version of LANZ Strategy 5.0, built as a strategy script to evaluate real performance under fixed intraday conditions. It automatically places BUY and SELL trades based on structured candle confirmation, EMA trend alignment, and session-based filters. The system simulates real-time execution with precise Stop Loss and Take Profit levels.
📌 Built for traders seeking to simulate clean intraday logic with fully automated entries and performance metrics.
🧠 Core Logic & Strategy Conditions
✅ BUY Signal Conditions:
Price is above the EMA200
The last 3 candles are bullish (close > open)
The signal occurs within the defined session window (NY time)
Daily trade limit has not been exceeded
If all are true, a BUY order is executed at market, with SL and TP set immediately.
🔻 SELL Signal Conditions (Optional):
Exactly inverse to BUY (below EMA + 3 bearish candles). Disabled by default.
🕐 Operational Time Filter (New York Time)
You can fully customize your intraday window:
Start Time: e.g., 01:15 NY
End Time: e.g., 16:00 NY
The system evaluates signals only within this range, even across midnight if configured.
🔁 Trade Management System
One trade at a time per signal
Trades include a Stop Loss (SL) and Take Profit (TP) based on pip distance
Trade result is calculated automatically
Each signal is shown with a triangle marker (BUY only, by default)
🧪 Backtest Accuracy
This version uses:
strategy.order() for entries
strategy.exit() for SL and TP
strategy.close_all() at the configured manual closing time
This ensures realistic behavior in the TradingView strategy tester.
⚙️ Flow Summary (Step-by-Step)
On every bar, check:
Is the time within the operational session?
Is the price above the EMA?
Are the last 3 candles bullish?
If conditions met → A BUY trade is opened:
SL = entry – X pips
TP = entry + Y pips
Trade closes:
If SL or TP is hit
Or at the configured manual close time (e.g., 16:00 NY)
📊 Settings Overview
Timeframe: 1-hour (ideal)
SL/TP: Configurable in pips
Max trades/day: User-defined (default = 99 = unlimited)
Manual close: Adjustable by time
Entry type: Market (not limit)
Visuals: Plotshape triangle for BUY entry
👨💻 Credits:
💡 Developed by: LANZ
🧠 Strategy logic & execution: LANZ
✅ Designed for: Clean backtesting, clarity in execution, and intraday logic simulation
MA Crossover Strategy with TP/SL (5 EMA Filter)How the Strategy Works on a 5-Minute Chart:
Data Input (5-Minute Candles):
Every single data point (candle) on your chart will represent 5 minutes of price action (Open, High, Low, Close for that 5-minute period).
All calculations (MAs, EMA, signals) will be based on these 5-minute price data points.
Moving Average Calculations:
Fast MA (10-period SMA): This will be the Simple Moving Average of the closing prices of the last 10 five-minute candles. It reacts relatively quickly to recent price changes.
Slow MA (30-period SMA): This will be the Simple Moving Average of the closing prices of the last 30 five-minute candles. It represents a slightly longer-term trend compared to the Fast MA.
5 EMA (5-period EMA): This is the Exponential Moving Average of the closing prices of the last 5 five-minute candles. Being an EMA, it gives more weight to the most recent 5-minute prices, making it very responsive to immediate price action.
Signal Generation (Entry Conditions):
Long Entry Signal:
The 10-period SMA crosses above the 30-period SMA (indicating a potential bullish shift in the short-to-medium term trend).
AND the current 5-minute candle's closing price is above the 5-period EMA (confirming that the immediate price momentum is also bullish and supporting the crossover).
If both conditions are met at the close of a 5-minute candle, a "Buy" signal is generated.
Short Entry Signal:
The 10-period SMA crosses below the 30-period SMA (indicating a potential bearish shift).
AND the current 5-minute candle's closing price is below the 5-period EMA (confirming immediate bearish momentum).
If both conditions are met at the close of a 5-minute candle, a "Sell" signal is generated.
Trade Execution:
When a signal is triggered, the strategy enters a trade (long or short) at the closing price of that 5-minute candle.
Immediately upon entry, it places two contingent orders:
Take Profit (Target): Set at 2% (by default) away from your entry price. For a long trade, it's 2% above; for a short trade, 2% below.
Stop Loss: Set at 1% (by default) away from your entry price. For a long trade, it's 1% below; for a short trade, 1% above.
The trade will remain open until either the Take Profit or Stop Loss price is hit by subsequent 5-minute candles.
Implications for Trading on a 5-Minute Chart:
Increased Trade Frequency: You will likely see many more signals and trades compared to higher timeframes (like 1-hour or daily charts). This means more potential opportunities but also more transaction costs (commissions, slippage).
Sensitivity to Noise: Lower timeframes are more prone to "market noise" – small, random price fluctuations that don't indicate a true trend. While the 5 EMA filter helps, some false signals might still occur.
Faster Price Action: Price movements can be very rapid on a 5-minute chart. Your take profit or stop loss levels might be hit very quickly, sometimes within the same or next few candles.
Parameter Optimization is Crucial: The default MA lengths (10, 30) and EMA (5) might not be optimal for every asset or market condition on a 5-minute chart. You'll need to backtest extensively and potentially adjust these lengths, as well as the targetPerc and stopPerc, to find what works best for the specific instrument you're trading.
Risk Management: The fixed percentage stop loss is vital on a 5-minute chart due to its volatility. Without it, a few unfavorable moves could lead to significant losses.
Timeshifter Triple Timeframe Strategy w/ SessionsOverview
The "Enhanced Timeshifter Triple Timeframe Strategy with Session Filtering" is a sophisticated trading strategy designed for the TradingView platform. It integrates multiple technical indicators across three different timeframes and allows traders to customize their trading Sessions. This strategy is ideal for traders who wish to leverage multi-timeframe analysis and session-based trading to enhance their trading decisions.
Features
Multi-Timeframe Analysis and direction:
Higher Timeframe: Set to a daily timeframe by default, providing a broader view of market trends.
Trading Timeframe: Automatically set to the current chart timeframe, ensuring alignment with the trader's primary analysis period.
Lower Timeframe: Set to a 15-minute timeframe by default, offering a granular view for precise entry and exit points.
Indicator Selection:
RMI (Relative Momentum Index): Combines RSI and MFI to gauge market momentum.
TWAP (Time Weighted Average Price): Provides an average price over a specified period, useful for identifying trends.
TEMA (Triple Exponential Moving Average): Reduces lag and smooths price data for trend identification.
DEMA (Double Exponential Moving Average): Similar to TEMA, it reduces lag and provides a smoother trend line.
MA (Moving Average): A simple moving average for basic trend analysis.
MFI (Money Flow Index): Measures the flow of money into and out of a security, useful for identifying overbought or oversold conditions.
VWMA (Volume Weighted Moving Average): Incorporates volume data into the moving average calculation.
PSAR (Parabolic SAR): Identifies potential reversals in price movement.
Session Filtering:
London Session: Trade during the London market hours (0800-1700 GMT+1).
New York Session: Trade during the New York market hours (0800-1700 GMT-5).
Tokyo Session: Trade during the Tokyo market hours (0900-1800 GMT+9).
Users can select one or multiple sessions to align trading with specific market hours.
Trade Direction:
Long: Only long trades are permitted.
Short: Only short trades are permitted.
Both: Both long and short trades are permitted, providing flexibility based on market conditions.
ADX Confirmation:
ADX (Average Directional Index): An optional filter to confirm the strength of a trend before entering a trade.
How to Use the Script
Setup:
Add the script to your TradingView chart.
Customize the input parameters according to your trading preferences and strategy requirements.
Indicator Selection:
Choose the primary indicator you wish to use for generating trading signals from the dropdown menu.
Enable or disable the ADX confirmation based on your preference for trend strength analysis.
Session Filtering:
Select the trading sessions you wish to trade in. You can choose one or multiple Sessions based on your trading strategy and market focus.
Trade Direction:
Set your preferred trade direction (Long, Short, or Both) to align with your market outlook and risk tolerance. You can use this feature to gauge the market and understand the possible directions.
Tips for Profitable and Safe Trading:
Recommended Timeframes Combination:
LT: 1m , CT: 5m, HT: 1H
LT: 1-5m , CT: 15m, HT: 4H
LT: 5-15m , CT: 4H, HT: 1W
Backtesting:
Always backtest the strategy on historical data to understand its performance under various market conditions.
Adjust the parameters based on backtesting results to optimize the strategy for your specific trading style.
Risk Management:
Use appropriate risk management techniques, such as setting stop-loss and take-profit levels, to protect your capital.
Avoid over-leveraging and ensure that you are trading within your risk tolerance.
Market Analysis:
Combine the script with other forms of market analysis, such as fundamental analysis or market sentiment, to make well-rounded trading decisions.
Stay informed about major economic events and news that could impact market volatility and trading sessions.
Continuous Monitoring:
Regularly monitor the strategy's performance and make adjustments as necessary.
Keep an eye on the results and settings for real-time statistics and ensure that the strategy aligns with current market conditions.
Education and Practice:
Continuously educate yourself on trading strategies and market dynamics.
Practice using the strategy in a demo account before applying it to live trading to gain confidence and understanding.