BTC Profitable Wallets Strategy - plots the percentage of profitable BTC wallets and places long orders when the profitable wallet share crosses above 50%, historically a very accurate point to catch the next Bull Run early. The only setting is a smoothing option using the Moving Average method and length of your choice. On Chain Data is queried from...
This is a low timeframe strategy based on SMMAs and RSI, shared by Investishare. This script turns the indicator into a strategy and allows for several variables to be customized.
This is daytrade stock strategy, designed to take the best out of the daily gaps that are forming between the close of previous day and opening of present day. At the same time its logic has been adapted for SPY chart, in order to use correlation with the other stocks/assets/ etf which are linked with SP500 movement. Lastly it has been added 2 new confirmation...
BTC Hash Rate ribbons / Hash Rate cross This strategy goes long when BTCs Hash Rate 30 day moving average crosses above the 60 day moving average, signifying that miner capitulation is over and recovery has started. When the opposite signal is given, which signifies the beginning of miner capitulation, the strategy goes short (or flat, depending on...
This script is just finds the best hour to buy and sell hour in a day by checking chart movements in past For example if the red line is on the 0.63 on BTC/USDT chart it mean the start of 12AM hour on a day is the best hour to buy (all based on It's just for 1 hour time-frame but you can test it on other charts. IMPORTANT: You can change time Zone in strategy...
This helpful analysis tool displays a table of days a stock has gapped, how much it gapped by and what percentage of the gap was covered. It is meant to be used on the daily timeframe and can help you distinguish if gaps are going to be filled or not. I like to use it mainly on medium + cap stocks that have gapped overnight or pre-market and see what the tendency...
---EN: In this strategy template you will find some functions already pre-programmed to be used in your strategies to speed up the programming process, among them we can highlight the default stop loss and take profit functions, which will help to set easily and quickly, defining the price range in which we want to prevent large losses or protect our profits from...
We are happy to introduce the Key Performance Indicator by Detlev Matthes. This is an amazing tool to quantify the efficiency of a trading system and identify potential spots of improvement. Abstract A key performance indicator with high explanatory value for the quality of trading systems is introduced. Quality is expressed as an indicator and comprises the...
This script was born out of my quest to be able to display strategy back test statistics on charts to allow for easier backtesting on devices that do not natively support backtest engine (such as mobile phones, when I am backtesting from away from my computer). There are already a few good ones on TradingView, but most / many are too complicated for my...
USDJPY Anomaly. This anomaly originated in Japan. Buy from 2:00 pm Japan time. Sell at 9:55 Japan time. Japanese importers often settle payments to suppliers in dollars, and exchange yen for dollars on settlement days (days falling on a 5 or 10, so-called goto days). Therefore, on goto days, there is sometimes a shortage of dollars held by financial...
Hello traders It's been a while We're back in a bear market so I have a bit more time to publish new Pine scripts for the TradingView community Special thanks to @fikira for his Multiple Orders script () and to @carnagecain for allowing me to publish this script we worked together on I got widely inspired by @fikira's script for that one This script is for...
Para hacer muchos SUYAI Basado en RSI y media de RSI, con sobre compras y sobre ventas.
This is inspired by some online free webinars. Didn't pay for the strategy/ course. I just figured it out myself. So there might be problem with this strategy. Theory: It is based on something called cointegrated. Cointegration means the difference between 2 securities are stable in long term. When the difference is bigger / smaller than normal, then there is...
GRID SPOT TRADING ALGORITHM : LONG ONLY STRATEGY OPEN SOURCE This is a long only strategy for spot assets. HOW IT WORKS Grid trading is a trading strategy where an investor creates a so-called "price grid". The basic idea of the strategy is to repeatedly buy at the pre-specified price and then wait for the price to rise above that level and then sell the...
Flip a coin every Monday. Heads, go long. Tail, go short. Stoploss at 1 ATR, and Take profit at 1 ATR too. 1:1 risk to reward ratio. After backtesting 2018, 2019, and 2020 with 28 major currency pairs. We are getting close to a 50% win rate with an 8% standard deviation. Believe it or not, this simple performs better than lots of the popular indicators out...
This strategy is an advanced version of the Loft Strategy V1, I shared earlier. (Loft Strategy V1 consists of a kalman filter (by alexgrover ) and a "stop and reverse" line which is following and the kalman filter. If the price goes in the same direction as the position side, the "stop and reverse" line approaches the kalman filter as set on the "Approach...
Many traders spend a lot of time to create algorithms full of unrealistic and far from reality indicators and market conditions. With this script I want to help traders understand the advantage of the Pine language. Using indicators with no statistical foundation and creating algorithms with technical indicators and thousands of conditions is not always the right...
This indicator based on statistical analysis. it uses standard deviation and its co-relation to price action to generate signals. and following indicators has been used to calculate standard deviation and its co-relation values. finally it is capable to identify market changes in bottoms to pic most suitable points. 1. Parabolic SAR (parabolic stop and reverse)...