OPEN-SOURCE SCRIPT
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Low volatility Buy w/ TP & SL (Coinrule)

10 874
The compression of volatility usually leads to expansion. When the breakout comes, it can ignite strong trends. One way to catch a coin trading in an accumulation area is to spot three moving averages with values close to each other. The strategy uses a combination of Moving Averages to spot the best time to buy a coin before its breakout.


Buy Condition

  • The MA200 is greater than the MA100
    The MA50 is greater than the MA100


According to backtesting results, the 1-hour time frame is the best to run this strategy.


Sell Condition



*Take Profit: the price increases 8% from the entry price
Stop Loss: the price drops 4% from the entry price


The strategy has a profitability of 40-60% (depending on the market conditions). Having a ratio of two between Take profit and Stop Loss helps keeping the strategy profitable in the long term.

Informacje o Wersji
The compression of volatility usually leads to expansion. When the breakout comes, it can ignite strong trends. One way to catch a coin trading in an accumulation area is to spot three moving averages with values close to each other. The strategy uses a combination of Moving Averages to spot the best time to buy a coin before its breakout.

This setup helps catching also early reversals at the end of downtrends.


Buy Condition

- The MA200 is greater than the MA100
- The MA50 is greater than the MA100

According to backtesting results, the 1-hour time frame is the best to run this strategy.


Sell Condition



Take Profit: the price increases 8% from the entry price
Stop Loss: the price drops 4% from the entry price


The strategy has a profitability of 40-60% (depending on the market conditions). Having a ratio of two between Take profit and Stop Loss helps keeping the strategy profitable in the long term.
Informacje o Wersji
The new Script adds the commission to the trades. Now a trading fee of 0.1% is taken into account.

The strategy in the new version trades only with 30% of capital to make the results more aligned to a real-use case.

After backtesting different setups, the take-profit and stop-loss percentages are revised to increase the average return and reduce the standard deviation or the results.

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