CTA Trend Model (TA and Quant)Simple CTA Long-Term model using a mix of Quant and old school Technical Indicators. Use on Daily or Weekly Charts for trending macro futures/spot marketsStrategia Pine Script®od BangtheClose23
- Trading Bot - Pyramidal Candle RSI - Robot Strategy - 1. Concept and Overview The Pyramidal Candle RSI Strategy is a trend-following algorithm designed to optimize entry points during market pullbacks. Unlike standard strategies that enter a full position on a single indicator crossover, this script utilizes a Pyramidal (DCA) approach combined with strict Candle Geometry and Momentum filters. The core philosophy is simple: "Buy the dip in an uptrend, sell the rally in a downtrend," but executed with mathematical precision. Instead of guessing the bottom, the strategy splits the allocated capital into multiple fractionated entries, improving the Average Entry Price (AEP) if the market moves against the initial position before reversing. 2. Originality and Key Features What makes this strategy unique is the combination of Sequential Candle detection and Average Price Targeting: - Sequential Candle Entry: The strategy does not blindly enter on an indicator signal. For the first entry, it waits for a specific sequence of consecutive candles closing in the signal direction (e.g., entering Long only after a sequence of bearish candles implies a pullback is occurring). - RSI Slope Detection: Instead of traditional Overbought/Oversold levels, the script analyzes the direction (slope) of the RSI to ensure momentum is shifting in favor of the trade before entering. - Smart Pyramiding: The script is built to handle up to 20 separate entries. It calculates position size dynamically based on your total allocated capital divided by the maximum allowed entries. - Average Price Exit Target: Profits are not taken based on the entry price of the first order, but on the Average Entry Price of the entire position. This allows for faster exits and higher win rates even if the first entry was slightly early. 3. How it Works The Entry Logic: - Trend Filter (SMA): The market must be above the SMA for Longs (or below for Shorts). - Momentum Filter (RSI): The RSI line must be curving upwards (for Longs) or downwards (for Shorts) to confirm immediate momentum. - Candle Sequence: The script detects a user-defined number of consecutive candles to validate the "dip" or the "rally." - Pyramiding: If the price continues to move against the trade, the strategy adds new positions (up to the user-defined limit) to average down the entry price. The Exit Logic: - Profit Target: The strategy closes the entire position once the price reaches a specific percentage deviation (e.g., +1%) from the Average Entry Price. - Hard Stop Loss / Take Profit: Integrated percentage-based SL and TP are available as a safety net. 4. Settings and Configuration The script keeps a professional "TopBot" dashboard style for easy monitoring. Trading Mode: Choose between Long Only, Short Only, or Both. Max Entries: How many times the bot can enter the same trade. Consecutive Candles: How many candles of the same color are required to trigger the first entry. SMA Length: Defines the long-term trend. RSI Settings: Fine-tune the momentum detection (Length and Source). Exits: Define your profit target as a percentage of the average price (e.g., 1.0 = 1%). Risk Management: Adjustable Stop Loss and Take Profit percentages. 5. Automation Ready This script is designed for automation. It includes built-in alert message placeholders compatible with 3rd-party webhook automation tools. The alerts automatically transmit: Ticker & Timeframe Direction (Long/Short) Leverage & Quantity parameters Stop Loss levels 6. Disclaimer Past performance is not indicative of future results. This script is a tool for technical analysis and automated execution logic, not financial advice. Always backtest with your specific asset and timeframe before using real capital.Strategia Pine Script®od Trading-Bot-FranceZaktualizowano 10
[PickMyTrade] Trend strategy for LongThis strategy detects descending trend resistance using pivot-based trendlines and enters long positions when price confirms a breakout above a validated trendline. It is designed to capture bullish trend reversals with strict risk control and flexible exit management. The system focuses on structural market behavior rather than indicators, making it suitable for traders who prefer price-action-based decision making. USAGE This strategy automatically builds trendlines from confirmed pivot highs. A trendline is considered valid only when price has interacted with it a user-defined number of times, ensuring that trades are taken only from well-formed market structures. A trade is triggered when price closes above a validated descending trendline while optional session and position limits are respected. All risk and position sizing are calculated automatically based on the selected risk amount and stop-loss distance. HOW IT WORKS The strategy identifies swing highs using pivot logic and connects them into descending trendlines. Each trendline must meet a minimum number of touch confirmations before becoming eligible for trading. When price closes above a valid trendline, the strategy calculates: Stop-loss placement below the most recent pivot low Position size based on fixed monetary risk Profit targets based on the selected exit method EXIT METHODS Three exit models are supported: Risk–Reward Ratio Uses a fixed multiple of the defined risk distance to set the take-profit level. Lookback Candle Exit Exits trades when price shows structural reversal behavior based on recent candles. Fibonacci Targets Uses Fibonacci extensions derived from recent swing structure to trail profits dynamically. An optional trailing stop can also be enabled to protect open profits. FEATURES Automatic pivot-based trendline detection Multi-trendline or single-trendline operation Dynamic position sizing based on monetary risk Pivot-based stop-loss placement Multiple exit methodologies Optional trailing stop Optional trading session filter Fully visualized trendlines, stop levels, and profit targets SETTINGS Trend Detection Pivot Length for Trend Touch Number Validation Percentage Optional Pivot-to-Pivot Confirmation Risk Management Fixed Risk Amount Default Contract Size Option Stop-Loss Buffer Trailing Stop Toggle Take-Profit Exit Method Selection Risk-Reward Ratio Lookback Candle Length Fibonacci Extension Levels Session Filter Enable/Disable Session Trading Trading Session Time WindowStrategia Pine Script®od PickMyTrade_Official14
Bot Scalping XAUUSD(Volatilidad + TP Parcial + Modo Intermedio)Probar un nuevo bot. En oro dando entradas para scalping con TP, SL Y BEStrategia Pine Script®od alex_rguez1014
ilker %90This strategy is a short-term momentum approach based on moving averages and volume. Studies show it performs more effectively on the 1-hour and 4-hour timeframes. Take-profit and stop-loss distances are kept short, resulting in a high win rate, while the profit factor ranges between 1.4 and 2.Strategia Pine Script®od ilkersozener23
Triple Supertrend Strategy [Running]Triple Supertrend Trend Follower Overview The Triple Supertrend Trend Follower is a robust trend-following strategy designed to capture significant market upswings while filtering out noise and sideways choppy markets. By leveraging the confluence of three distinct Supertrend indicators with varying sensitivities , this strategy ensures that Long positions are only entered when the trend is confirmed across multiple volatility baselines. Unlike simple moving average strategies, this script features an Advanced Money Management System. It dynamically calculates position sizing based on a fixed risk percentage per trade relative to your account equity, ensuring consistent risk control. Furthermore, it utilizes a unique Median Line trailing stop mechanism to prevent premature stop-outs caused by market whipsaws. Unique Features * Triple Confirmation Logic: Filters false signals by requiring alignment of three Supertrend indicators (Fast, Medium, Slow). * Dynamic Median Trailing Stop: Instead of using the tightest stop-loss level, the strategy calculates the median value of the three Supertrends. This provides a breathing room buffer for the price, significantly reducing the chance of being stopped out by temporary wicks (whipsaws). * Professional Money Management: Users can define a fixed Risk Percentage (e.g., 2%) per trade. The script automatically calculates the exact position size based on the distance to the stop-loss. * Safety Mechanism (Max Leverage): Includes a Max Leverage Limit feature to prevent order rejections or excessive exposure when the stop-loss is extremely tight. * Intra-bar Execution: Stops are executed immediately when the price touches the level, not waiting for the candle close. Methodology The strategy operates on a logical flow designed to maximize trend participation: 1. Trend Identification: The script calculates three Supertrend lines using the same ATR period (Default: 10) but different multipliers (Factors: 1, 2, and 3). 2. Entry Condition: A Long position is opened only when all three Supertrends are Green (Bullish). This indicates strong momentum across short, medium, and long-term volatility ranges. 3. Stop-Loss Placement: The Stop Loss is set at the Median value of the three Supertrend lines. This acts as a dynamic trailing stop that moves up with the price. 4. Position Sizing: Before entry, the script calculates the entry quantity based on Account Equity, Risk %, and the distance between Current Close and the Stop Level. If the calculated quantity exceeds the user-defined Max Leverage, it is capped to ensure safety. 5. Exit Logic: The position is held as long as the price remains above the median Supertrend line. If the price touches this line, the position is immediately liquidated. Justification of Methodology Why use three Supertrends? A single Supertrend often generates false signals in ranging markets. By requiring a Factor 1 (Fast), Factor 2 (Medium), and Factor 3 (Slow) alignment, the strategy filters out weak trends. The Median Stop Loss Advantage: In aggressive trends, the Factor 1 Supertrend hugs the price very tightly. Using this as a stop loss often results in exiting a massive trend too early due to a single volatility spike. By using the Median (Factor 2 equivalent in most cases) as the stop loss, the strategy allows for natural market retracements without losing the position, aiming to ride the trend until a structural break occurs. Risk Management: The most critical part of trading is capital preservation. This strategy does not use fixed lot sizes. Whether the stop loss is 1% away or 10% away, you will risk the same percentage of your account (e.g., 2%). This stabilizes the equity curve and allows for geometric compounding. Strategy Settings Users can fully customize the strategy via the inputs menu: * Money Management: Risk % per Trade (Default: 2.0%) and Max Leverage (Default: 5x). * Supertrend Settings: Adjust the ATR Period and Factor for all three Supertrends to fit different assets (Crypto, Forex, Stocks). Disclaimer This script is for educational purposes only. Past performance does not guarantee future results. The built-in money management and leverage settings should be tested in a simulated environment before being used with real capital. Always consider slippage and commission fees. --------------------------------------------------------------------------------------------------------------------- 트리플 슈퍼트렌드 & 자금 관리 전략 (Triple Supertrend Trend Follower) 개요 이 전략은 3개의 서로 다른 슈퍼트렌드 지표를 결합하여 신뢰도 높은 상승 추세를 포착하는 전략입니다. 횡보장에서 발생하는 잦은 손실을 줄이고, 강력한 추세가 발생했을 때 끝까지 수익을 가져가는 것을 목표로 합니다. 특히 전문 트레이더들이 사용하는 리크스 퍼센트 기반 자금 관리 시스템이 탑재되어 있어 안전한 자산 운용을 돕습니다. 주요 특징 3중 필터 시스템: 단기, 중기, 장기 성향의 슈퍼트렌드가 모두 상승을 가리킬 때만 매수하여 승률을 높입니다. 여유 있는 손절 라인(중간값): 가장 타이트한 손절선을 쓰지 않고, 3개의 선 중 중간값을 손절 기준으로 사용합니다. 덕분에 일시적인 가격 흔들림(휩소)에 쉽게 털리지 않고 추세를 길게 가져갈 수 있습니다. 자동 자금 관리: 손절 거리에 따라 매수 수량을 자동으로 계산합니다. 손절이 멀면 적게 사고, 가까우면 많이 사서 항상 내 시드의 일정 비율(기본 2%)만 리스크에 노출시킵니다. 레버리지 안전장치: 손절이 너무 가까워 레버리지가 과도하게 높아지는 것을 방지하기 위해 최대 레버리지 제한 기능이 포함되어 있습니다. 매매 방법 진입: 3개의 슈퍼트렌드가 모두 초록색(상승)일 때 롱 포지션에 진입합니다. 손절 및 청산: 가격이 실시간으로 슈퍼트렌드의 중간값 라인을 건드리면 즉시 청산합니다(종가 마감 대기 아님). 별도의 익절 목표가는 없으며 추세가 꺾일 때까지 포지션을 유지합니다. 설정 가이드 전략 설정 메뉴에서 다음 항목을 자유롭게 변경할 수 있습니다. 자금 관리: 1회 거래당 감수할 리스크 비율(Risk %), 최대 허용 레버리지(Max Leverage) 슈퍼트렌드: 각 3개 라인의 ATR 기간과 계수(Factor) 주의사항 이 스크립트는 교육 및 참고용입니다. 과거의 수익이 미래를 보장하지 않습니다. 실전 매매 전 반드시 모의 투자를 통해 충분히 검증하시기 바랍니다. Strategia Pine Script®od hamsungZaktualizowano 117
40 SMA Scaling StrategyThis trend-following strategy focuses on capturing momentum when price breaks above the 40-period Simple Moving Average (SMA) while utilizing a systematic scale-out (Take Profit) approach to lock in gains during extended runs. Strategy Logic Entry: Opens a Long position with 100% of current equity when the price closes above the 40 SMA. This ensures maximum capital efficiency at the start of a new perceived trend. Scaling Take Profits: To reduce risk as the trade progresses, the strategy automatically closes 25% of the initial position for every 1% increase in price from the entry point. Exit: The entire remaining position is closed immediately if the price closes below the 40 SMA, acting as a trailing stop that adapts to the moving average. Key Features Capital-Efficient: Starts with a full account allocation to maximize exposure to the initial breakout. Systematic De-risking: By scaling out in 25% increments, the strategy banks profits early while leaving a portion of the trade active for potential "moon shots." Trend-Following Exit: Uses a classic SMA filter to exit, aiming to stay in the trade as long as the medium-term trend remains bullish.Strategia Pine Script®od myers211510
%-to-Tick Trailing Stop & VisualizerPercent-to-Tick Trailing Stop (strategy.exit Framework + Visualizer) Overview This script focuses on exit management and visualization, not entry performance. The included MA crossover entry is intentionally simple and replaceable. Core idea (Percent → Tick conversion) strategy.exit() trailing parameters are tick-based (trail_points, trail_offset, and loss). This script lets you input distances in percent (%) and converts them into integer ticks using syminfo.mintick, making the same exit logic portable across most tick-based symbols/exchanges with different tick sizes. //==What it provides==// 1. % → tick conversion for: - Fixed stop loss (loss) - Trailing activation distance (trail_points) - Trailing offset distance (trail_offset) 2. On-chart visualization: - Entry average price - Trailing activation threshold - Fixed stop-loss line - Trailing stop line (with an exit-bar alignment attempt to reduce gaps) //==How to use==// 1. Keep the included MA crossover entries, or replace them with your own entries. 2. Configure: - Fixed Stop Loss % (loss_pct) - Trailing Activation % (t_points_pct) - Trailing Offset % (t_offset_pct) 3. Adjust commission/slippage defaults to match your market. //==Important limitations (must read)==// - calc_on_every_tick=true recalculates on realtime bars only; historical bars are evaluated differently. Backtests can differ from realtime behavior and may change after reload. - Tick rounding: percent distances are rounded to integer ticks, so small differences can occur depending on tick size and price level. - For more realistic intrabar backtesting, consider enabling Bar Magnifier in Strategy Properties (if available). # Average Entry Price (Basis): "Calculations are based on the position's average entry price (strategy.position_avg_price)." # Pine Script v6: "Written in the latest Pine Script v6." 요약 이 스크립트의 핵심은 “진입 전략”이 아니라 **strategy.exit()의 tick 기반 트레일링 파라미터를 % 입력으로 일반화(%→ticks 변환)**하여, 다양한 심볼/거래소의 서로 다른 tick size 환경에서도 동일한 exit 로직을 재사용할 수 있게 만든 “청산 프레임워크”입니다. 또한 calc_on_every_tick=true 환경에서 트리거/손절/트레일 라인을 실시간에 가깝게 시각화하는 데 중점을 두었습니다. 단, calc_on_every_tick은 실시간 바에서만 틱 단위 재계산이 적용되며, 히스토리 바/백테스트는 평가 방식이 달라 결과가 다를 수 있습니다.Strategia Pine Script®od surirang33
Slope Color Transition Strategy1: uses a drop-down selection time series datapoints option with the default set using line graph mode on optimized settings for 1D 2: when the line between the previous datapoint and the current datapoint is an upward slant the color is green 3: when the line between the previous datapoint and the current datapoint is a downward slant the color is red 4: when the line between the previous datapoint and the current datapoint is a flat line the color should be the same color as the previous line 5: when the previous line is red and the new line is green then close any open SELL trade then place a BUY trade 6: when the previous line is green and the new line is red then close any open BUY trade then place a SELL tradeStrategia Pine Script®od nirunyindeeamornchaiZaktualizowano 8
SMAcross-mvrOverview SMAcross-mvrNew is a flexible, non-repainting moving-average strategy designed for clarity, configurability, and reliable backtesting. It supports multiple entry styles, optional layered exits, and full-capital position sizing, while remaining stable during chart zooming and dragging. 🚀 What’s New in v2 ✅ Multiple Entry Modes You can now choose how trades are entered: Entry Mode A: Short SMA crosses Long SMA Entry Mode B: Price crosses Long SMA This allows both classic MA-crossover trading and trend-continuation pullback entries using the same strategy. ✅ Modular Exit System (Checkbox-Based) Exit logic is now fully modular using independent checkboxes: ☑ Exit on opposite signal ☑ Exit when price closes beyond Short SMA You may enable one, both, or neither. If both are enabled, the strategy exits on whichever condition occurs first. ✅ Terminology Clarity All labels, inputs, and alerts now use semantic naming: Short SMA (formerly 13 SMA) Long SMA (formerly 30 SMA) This makes the strategy easier to understand and future-proof if SMA lengths are changed. ✅ Full-Capital Position Sizing Each trade uses 100% of available equity, allowing performance to naturally compound over time during backtests. ✅ Optional Visual Enhancements Optional cross price labels (can be toggled on/off) Color-filled zone between Short and Long SMAs for quick trend recognition Optional 200 SMA (off by default) for higher-timeframe context ✅ Alert-Ready (TV-Safe) All alerts use static messages compatible with TradingView’s alert system, making the strategy suitable for: Manual trade notifications Webhook-based automation Broker integrations 🔒 Design Principles No repainting No line continuations (TradingView-safe formatting) Stable behavior when zooming or scrolling Clear separation of entry logic, exit logic, and visuals ⚠️ Notes This script is intended for educational and research purposes. Always forward-test and apply proper risk management before live trading.Strategia Pine Script®od vmedaram166488
ETH Vol Breakout - NO ERROR VERSIONThis strategy examines the impact of Eth.d Vol on Ethereum price. Looking at ETHDVOL -60 (Support) and 78 (Resistance)—tell a very specific story - analyzing a High Volatility Regime. The support level around 60 and resistance 78, tend to only occurs during Bull Runs or Market Crashes. In the "Quiet Years", ETHDVOL rarely touched 60, let alone 78. Trying to develop a strategy that is perfectly tuned for a Bull Market or a Crisis, 1. The "60 Floor" (Support) Context: In a high-volatility regime, when ETHDVOL drops to 60, it indicates the market has "cooled off" just enough to reload leverage. Historical Behavior (2021-2022 Context): July 2021: After the May crash, ETHDVOL compressed down and found support at ~65. Result: This marked the local bottom before the massive run-up to the November All-Time Highs ($4,800). Outcome: Strong Buy Signal (Trend Continuation). January 2022: ETHDVOL dropped to ~58-60 while price was hovering around $3,000. Result: The floor broke, volatility spiked to 80+, and price crashed to $2,200. Outcome: Trap / Warning Signal. The Pattern: When Volatility hits 60 (Support), price is usually Coiling. If Price is trending UP: This is a "dip buy" opportunity. The coil resolves upwards. If Price is trending DOWN: This is the "calm before the flush." The coil resolves downwards. 2. The "78 Ceiling" (Resistance) Context: 78 is an extreme reading. It represents panic (bottom) or euphoria (blow-off top). Historical Behavior: May 2021 (The Crash): ETHDVOL smashed through 78, peaking at 100+. Price Action: Price collapsed from $4,000 to $1,700. Signal: If Vol > 78, you are in a capitulation event. Buying spot here is usually profitable within 3-6 months (buying the blood). November 2022 (FTX Collapse): ETHDVOL spiked to ~75-80. Price Action: ETH hit $1,100 (Cycle Lows). Signal: Hitting 78 marked the Absolute Bottom. November 2021 (The Top): Interestingly, at the $4,800 price peak, Volatility was NOT at 78. It was lower (~60-70). Insight: Bull market tops often happen on lower volatility than bear market bottoms.Strategia Pine Script®od chart_inator3
Seasonal Strategies V1Seasonal Strategies V1 is a rule-based futures seasonality framework built around predefined calendar windows per asset. The strategy automatically detects the current symbol and activates long or short trading phases strictly based on historically observed seasonal tendencies. All entries and exits are fully time-based — no indicators, no predictions, no discretionary input. Key Features Asset-specific seasonal windows (MMDD-based) Automatic long and short activation Fully time-based entries and exits One position at a time (no pyramiding) Clean chart visualization using subtle background shading No indicators, no filters, no curve fitting Philosophy: This strategy is designed as a structural trading tool, not a forecasting model. It focuses on when a market historically shows seasonal tendencies — not why or how far price might move. Seasonal Strategies V1 intentionally keeps the chart clean and minimal, making it suitable as a baseline framework for research, portfolio-style seasonal approaches, or further extensions in later versions. Intended Use: Futures and commodity markets Seasonality research and testing Systematic, calendar-driven strategies Educational and analytical purposes Disclaimer This script is provided for educational and research purposes only. Past seasonal tendencies do not guarantee future performance. Risk management, position sizing, and portfolio decisions are the responsibility of the user.Strategia Pine Script®od DerAndi7230
The Samurai by MonedaFX (Beta)🥷🟪 The Samurai By MonedaFX "The Samurai By MonedaFX" indicator a cutting-edge trading strategy designed to help traders identify precise trades within the markets. Developed exclusively for Moneda Lifestyle LTD, this indicator offers clear entry and exit logic along with stop-loss (SL) and take-profit (TP) templates, enabling traders to practice trading effectively and simplify their trading plan. 🔑 Key Features: - Trade Generation: Accurately identifies and plots potential buy and sell opportunities following the pre-determined strategy. - Risk Management: Automatically calculates and displays the stop-loss levels for each trade following the pre-determined strategy. - Visual Aids: Incorporates graphical buy/sell plots for clear visualisation of every trade. 🌐 Visit us at: monedafx.com --- How to Use the The Samurai By MonedaFX 1️⃣ 📖 Add the Indicator to Your Chart: - Open your TradingView chart. - Click on "Indicators" at the top of the screen. - Search for "The Samurai By MonedaFX" and add it to your chart. 2️⃣ ⚙️ Select the correct timeframe & pair: - Choose the 5 minute timeframe. - Select one of the approved pairs. 3️⃣ 🚦 Follow the strategy: - Be active inside the MonedaFX Discord Community. - Watch the full video course on how to use this strategy to it's maximum potential! --- ❗ Important Information ❗ # The Samurai By MonedaFX 📲 Contact Information - Email: info@monedafx.com - Phone: +44 7367 106550 - Website: monedafx.comStrategia Pine Script®od EGW_TRADES8
Liquidity Areas StrategyBeschreibung (EN + DE): English Liquidity Areas Strategy (HTF Fractals + MA Reversal) This strategy marks higher-timeframe fractal levels (pivot highs/lows) as potential liquidity areas and trades a reversal after a break. How it works HTF fractal levels are drawn as horizontal lines until the first break (Close or Wick – selectable). A setup is only valid if the break happens during the selected trading session (Europe/Zurich/Berlin). After the break, the strategy waits for a moving-average reversal confirmation (cross + close). Entry is placed at the open of the next candle (orders are not processed on close). Risk is defined as a percentage of equity per trade, with take profit based on a fixed RR. SL/TP lines and trade boxes can be shown for visual review. Notes Educational / training use only. Not financial advice. Results depend on symbol, timeframe, spread/fees, and execution assumptions. Strategia Pine Script®od Spacemelody777Zaktualizowano 5
RSI > 70 Buy / Exit on Cross Below 70This strategy buys when the RSI (Relative Strength Index) closes above 70, indicating strong market momentum. It closes the position as soon as the RSI crosses down and falls below 70, to secure profits before a possible reversal. In summary: Entry: RSI > 70 Exit: RSI crosses down below 70 It’s a momentum-based strategy that aims to take advantage of strong trends but exits as soon as the momentum weakens.Strategia Pine Script®od Boubizee8
Gold DipperDescription: The Gold Dipper is not just a simple EMA crossover; it is a comprehensive trend-following system designed to filter out market noise and capture entries during price retracements. How the logic works together: Trend Confirmation: The script utilizes a dual-layered filtering process. It compares the interaction between a fast-response EMA (20) and a baseline EMA (50) to establish the primary trend direction. Volume/Momentum Filter (The "Dip" Detection): The script identifies a "Dip" by monitoring price action proximity to the baseline. A signal is only triggered when price 'kisses' the EMA 20 zone while the 50 EMA slope remains positive, ensuring we are not catching a falling knife but buying a controlled pullback. Dynamic Risk Control: Unlike standard static SL/TP, this script calculates exit points based on recent Swing Lows/Highs within a specific look-back period, allowing the stop loss to adapt to current market volatility (ATR-like behavior). Why this Mashup is Useful: This script solves the "Late Entry" problem common in crossover strategies. By merging trend detection with a precise pullback trigger and dynamic risk levels, it provides a complete trading plan in one tool, reducing the need for multiple cluttered indicators. How to Use: Best for XAUUSD on 15M. Wait for the background/trend color to confirm an uptrend. Execute when the "Buy" label appears at the touch of the EMA 20 line.Strategia Pine Script®od FU202423
EMA and Dow Theory Strategies V2 DOGE Current Optimum Value 📘 Overview These are the current optimal values for DOGE. They are intended for use on the 2‑hour timeframe. This script requires complex configuration, but there is an optimal set of values somewhere. Here, I’m sharing the settings that I personally use at the moment. Turning Take Profit off can lead to higher profits, but it also increases risks such as a lower win rate. With Take Profit on, you can adjust the settings by increasing the values. I have been trading using Dow Theory for many years. Trading with Dow Theory and EMA has been my main strategy. Although it has been profitable, I have long struggled with its low win rate. The issue lies in the immaturity of the exit strategy, and I’m currently experimenting to see if I can solve that. In V2, I added three take‑profit lines, securing 30% of the profit at each level to ensure a minimum level of gain. Additionally, when the trend weakens, half of the position is closed. In all scenarios, the remaining position is held until the trend reverses. The system provides precise entries, adaptive exits, and highly visual guidance that helps traders understand trend structure at a glance. 🧠 Key Features 🔹 1. Dual‑EMA Trend Logic (Symbol + External Index) Both the chart symbol and an external index (OTHERS.D) are evaluated using fast/slow EMAs to determine correlation‑based trend bias. 🔹 2. Dow Theory Swing Detection (Real‑time) The script identifies swing highs/lows and updates trend direction when price breaks them. This creates a structural trend model that reacts faster than EMAs alone. 🔹 3. Gradient Trend Zones (Visual Trend Strength) When trend is up or down, the area between price and the latest swing level is filled with a multi‑step gradient. This makes trend strength and distance-to-structure visually intuitive. 🔹 4. Higher‑Timeframe Swing Trend (htfTrend) Swing highs/lows from a higher timeframe (e.g., 4H) are plotted to show macro structure. Used only for visual context, not for filtering entries. 🔹 5. RSI‑Based Entry Protection RSI prevents entries during extreme overbought/oversold conditions. 🔹 6. Dynamic Exit System Includes: Custom stop‑loss (%) Partial take‑profit (TP1/TP2/TP3) Automatic scale‑out when trend color weakens “Color‑change lockout” to prevent immediate re‑entry Real‑time PnL tracking and labels 🔹 7. Alerts for All Key Events Entry, stop‑loss, partial exits, and trend‑change exits all generate structured JSON alerts. 🔹 8. Visual PnL Labels & Equity Tracking PnL for the latest trade is displayed directly on the chart, including scale‑out adjustments. ⚙️ Input Parameters Parameter Description Fast EMA / Slow EMA EMAs used for symbol trend detection Index Fast / Slow EMA EMAs applied to external index StopLoss (%) Custom stop‑loss threshold Scale‑Out % Portion to exit when trend color weakens RSI Period / Levels Overbought/oversold filters Swing Detection Length Bars used to detect swing highs/lows Stats Display Position of statistics table 🧭 About htfTrend (Higher Timeframe Trend) The higher‑timeframe swing trend is displayed visually but not used for entry logic. Why? Strict HTF filtering reduces trade frequency and often removes profitable setups. By keeping it visual‑only, traders retain flexibility while still benefiting from macro structure awareness. Use it as a contextual guide, not a constraint. 📘 概要 DOGEの現在の最適値です。 2時間足での使用を想定しています。 このスクリプトは複雑な設定が必要ですが、どこかに最適値が存在します。 今回は現在私が個人的に使っている設定値の公開です。 Take ProfitをOFFにするとさらなる利益が望めますが、勝率が下がるなどのリスクが上がります。 ONにした状態で数値を上げることによって調整することが可能です。 私はダウ理論を使ったトレードを長年続けてきました。 ダウ理論とEMAを使ったトレードが私の主力です。 しかし利益は出るものの、長年その勝率の低さに悩んでいました。 問題は出口戦略が未熟なためで、現在はそれらの解決ができないかと試行錯誤を続けています。 V2では3本の利益確定ラインを引き、それぞれ30%ずつ利益を確定し、最低限の利益がでるようにしました。 それ以外にはトレンドが弱まったタイミングで半分の利益確定をし、どのパターンでも残ったポジションはトレンド転換まで持ち続けます。 🧠 主な機能 🔹 1. 銘柄+外部インデックスの EMA クロス判定 対象銘柄と OTHERS.D の EMA を比較し、相関を考慮したトレンド方向を判定します。 🔹 2. ダウ理論に基づくスイング高値・安値の自動検出 スイング更新によりトレンド方向を切り替える、構造ベースのトレンド判定を採用。 🔹 3. グラデーション背景によるトレンド強度の可視化 スイングラインから現在価格までを段階的に塗り分け、 「どれだけトレンドが伸びているか」を直感的に把握できます。 🔹 4. 上位足スイングトレンド(htfTrend)の表示 4H などの上位足でのスイング高値・安値を表示し、 大局的なトレンド構造を視覚的に把握できます(ロジックには未使用)。 🔹 5. RSI による過熱・売られすぎフィルター 極端な RSI 状態でのエントリーを防止。 🔹 6. 動的イグジットシステム カスタム損切り(%) TP1/TP2/TP3 の段階的利確 トレンド色の弱まりによる自動スケールアウト 色変化後の再エントリー制限(waitForColorChange) リアルタイム PnL の追跡とラベル表示 🔹 7. アラート完備(JSON 形式) エントリー、損切り、部分利確、トレンド反転などすべてに対応。 🔹 8. 損益ラベル・統計表示 直近トレードの損益をチャート上に表示し、視覚的に把握できます。 ⚙️ 設定項目 設定項目名 説明 Fast / Slow EMA 銘柄の EMA 設定 Index Fast / Slow EMA 外部インデックスの EMA 設定 損切り(%) カスタム損切りライン 部分利確割合 トレンド弱化時のスケールアウト割合 RSI 期間・水準 過熱/売られすぎフィルター スイング検出期間 スイング高値・安値の検出に使用 統計表示位置 テーブルの表示位置 🧭 上位足トレンド(htfTrend)について 上位足スイングの更新に基づくトレンド判定を表示しますが、 エントリー条件には使用していません。 理由: 上位足を厳密にロジックへ組み込むと、トレード機会が大幅に減るためです。 本ストラテジーでは、 「大局の把握は視覚で、エントリーは柔軟に」 という設計思想を採用しています。 → 裁量で利確判断や逆張り回避に活用できます。Strategia Pine Script®od mm_mitsuya3356
RSI 50 Crossover StrategyBuy candle close above 50RSI Sell candle close below 50RSIStrategia Pine Script®od oumarovangelos23
%R Exhaustion + VixFix with 200MA Regime%R Exhaustion + VixFix with 200MA Regime Strategy A momentum-based trading strategy that combines regime filtering, volatility analysis, and oversold/overbought conditions for optimal entry and exit timing. Key Components: • MA 200 Regime Filter: Identifies bearish market regimes when price stays below MA 200 for extended periods, preventing longs during downtrends • Percent R Exhaustion: Uses dual-timeframe Williams %R to detect oversold reversals and overbought exhaustion zones • Williams VixFix: Volatility-based indicator that identifies market bottoms and filtered entry conditions during panic selling • Matrix Oscillator: Confirms exit signals when market becomes overbought Entry Logic: - Long entries trigger when: (1) Not in bearish regime, (2) %R shows oversold or reversal, (3) VixFix filtered entry confirms - Position pyramiding with scaling: Initial entry at configured % of equity, subsequent entries match current position size (doubling effect) Exit Logic: - Partial sells when both overbought conditions and Matrix sell signal align - Breakeven stop loss activates after profitable partial sells or when entering bearish regime - Gradual profit-taking using configurable portion percentages Position Management: - Configurable initial entry size and sell portions - Pyramiding up to 5 entries with exponential position sizing - Dynamic stop loss management for capital preservationStrategia Pine Script®od yupyupkimZaktualizowano 9
AV V1This indicator focuses on identifying potential market reversals using a combination of price-based reversal patterns and contextual confirmation rules. It analyzes changes in market behavior to highlight areas where trend exhaustion or directional shifts may occur. Buy and Sell indications are plotted to help users study how different reversal concepts align with price action across various market conditions. This script is intended for educational and analytical use only and should be used alongside independent confirmation and risk management. Strategia Pine Script®od toranijigs3
Algo Vortex V1This indicator is based on Smart Money Concepts (SMC) and is designed to highlight potential buy and sell zones using refined market structure, price patterns, and contextual filtering. The script focuses on identifying directional bias and structured entry points by analyzing price behavior rather than predicting outcomes. Signals are plotted for educational and analytical purposes to help users study how price reacts around key structural areas. This indicator is intended for educational and research use only. It does not provide financial advice and should be used alongside independent analysis and proper risk management. Strategia Pine Script®od toranijigs2
Quality-Controlled Trend Strategy v2 (Expectancy Focused)This script focuses on quality control rather than curve-fitting. No repainting, no intrabar tricks, no fake equity curves. It uses confirmed-bar entries, ATR-based risk, and clean trend logic so backtests reflect what could actually be traded live. If you publish scripts, this is the minimum structure worth sharing. Why this script exists TradingView’s public scripts are flooded with: repainting indicators no stop-loss logic curve-fit entries that collapse live strategies that look good only in hindsight This script is intentionally boring but honest. No repainting. No intrabar tricks. No fake equity curves The goal is quality control, not hype. What this strategy enforces ✔ Confirmed bars only ✔ Single source of truth for indicators ✔ Fixed risk structure ✔ No signal repainting ✔ Clean exits with unique IDs ✔ Works on any liquid market Trading Logic (simple & auditable) Trend filter EMA 50 vs EMA 200 Entry Pullback to EMA 50 RSI confirms momentum (not oversold/overbought) Risk ATR-based stop Fixed R:R One position at a time This is the minimum bar for a strategy to be considered publish-worthy. Why this helps TradingView quality Most low-value scripts fail because they: hide repainting logic skip exits entirely use inconsistent calculations rely on hindsight candles This strategy forces discipline: every signal is confirmed every trade has defined risk behavior is repeatable across symbols & timeframes If more scripts followed this baseline, TradingView’s public library would be far more usable.Strategia Pine Script®od AIScripts32
strategy 123Strategy is a comprehensive plan or method for achieving major goals, involving setting priorities, allocating resources, and defining actions to move from a current state to a desired future, crucial in fields like business, military, and personal development for long-term success by creating competitive advantage and focused effort. Strategia Pine Script®od MWA-InnerCircle1