Индикаторы и стратегии
MI-Advanced Long/Short StrategyAdvanced Multi-Indicator Trading Strategy
Combining Trend Following, Momentum Confirmation & Risk Management
This sophisticated trading strategy is designed to identify high-probability long/short opportunities using a confluence of technical indicators while maintaining strict risk control. It combines trend analysis, momentum confirmation, and volume-based validation to generate clear buy/sell signals across various markets and timeframes.
Core Components
Trend Identification Engine
Dual EMA System (12/26 periods):
Bullish bias when 12-EMA > 26-EMA
Bearish bias when 12-EMA < 26-EMA
Supertrend Indicator:
Dynamic trend filter using price volatility
Green line = Bullish trend (longs enabled)
Red line = Bearish trend (shorts enabled)
Momentum Confirmation
MACD Histogram:
Bullish crossover (signal line cross) for entries
Bearish crossover for exits/reversals
RSI Threshold:
50-level as momentum baseline
Longs only when RSI > 50
Shorts only when RSI < 50
Volume Validation
20-period volume moving average
Entry requires 150%+ volume spike
Filters low-confidence moves
Risk Management Framework
ATR-Based Stops:
2x ATR (14-period) stop loss
3x ATR take profit (1:1.5 RR ratio)
Position Sizing:
Percentage-based equity management
Built-in commission calculation
Signal Generation Logic
Long Entry Conditions (All Must Be True):
12-EMA crosses above 26-EMA
MACD line crosses above signal line
RSI sustains above 50 level
Price above Supertrend line (green)
Volume spike confirmation
Short Entry Conditions (All Must Be True):
12-EMA crosses below 26-EMA
MACD line crosses below signal line
RSI holds below 50 level
Price below Supertrend line (red)
Volume spike confirmation
Exit Conditions:
Trailing stop via Supertrend reversal
EMA crossover in opposite direction
RSI crossing 50 threshold
Automatic profit targets/stops
Key Features
Multi-Timeframe Compatibility: Works on 1M-1D charts
Visual Clarity:
Colored EMA ribbons for trend direction
Label-based buy/sell markers
Supertrend overlay for real-time guidance
Alert System:
Built-in buy/sell alert conditions
Compatible with email/SMS notifications
Adaptive Risk:
Dynamic stop-loss adjustment
Position sizing relative to account equity
False Signal Filter:
Volume spike requirement
Triple confirmation (trend+momentum+volume)
Strategic Advantages
Trend-Riding Capability:
Captures sustained moves via Supertrend/EMA combo
Avoids choppy markets through volume filters
Confirmation Hierarchy:
Primary Trend: EMA crossover
Secondary Confirmation: MACD/RSI
Tertiary Validation: Volume/Supertrend
Risk-Controlled Execution:
Automatic stop-loss placement
Fixed risk/reward ratio enforcement
Commission-aware backtesting
Visual Trading Psychology:
Clear color-coded indicators reduce emotional trading
Objective entry/exit rules eliminate guesswork
Ideal Market Conditions
Best Performing: Trending markets (up/down)
Avoid During:
Low-volume periods
Consolidation/ranging markets
Major news events
Practical Usage Tips
Combine with higher timeframe analysis
Adjust ATR multiplier for volatile assets
Modify volume threshold for liquid markets
Use trailing stops for extended trends
Pair with fundamental catalysts for swing trades
This strategy provides a systematic approach to trading by combining technical analysis with disciplined risk management. Its multi-layered confirmation process aims to filter out market noise while capturing high-quality setups, making it suitable for both discretionary traders and automated trading systems.
Multi-Indicator Strategy v6highly profitable pinescript strategy with macd, EMA, pivot levels, bollinger bands, rsi, keltner channel or Money flow indicator
SQZMOM_LB StrategyUtiliza el indicador sqzmom, abriendo operaciones cuando el indicador cambia al color 3 y cerrandolas cuando cambia al color 1
Gaussian Channel Strategy v3.0 - CAFGaussian channel strategy using stochastic RSI to mark buy and sell
Hybrid Trend Momentum Strategy by Biege ver. 1.0Strategy Profile
Type: Fixed-Parameter Trend Momentum System
Optimized For: 2-Hour Timeframe (Best Performance)
Core Logic:
Uses fixed 21/55/200 EMAs for trend identification
Combines RSI(14) momentum filter with SuperTrend(3,14) stop
Requires 1.5x volume surge + ATR volatility confirmation
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Hourly Profitability Drivers
EMA Precision
21-period EMA (~1 trading day) captures intraday swings
55-period EMA (~2.5 days) filters false hourly breakouts
RSI Stability
14-period RSI aligns with 14-hour cycles in crypto markets
Avoids overreaction to 15-minute noise
SuperTrend Efficiency
3x ATR(14) provides optimal trailing stop for hourly candles
Outperforms static stops in volatile crypto sessions
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Key Strengths
No Parameter Tweaking Needed: Pre-optimized for hourly candles
Trend Persistence Capture: Holds through minor pullbacks
Automatic Risk Control: Built-in cooldown (6h) prevents overtrading
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Critical Limitations
Overnight Gap Risk: Crypto markets move 24/7
News Event Vulnerability: Hourly candles may trap during FOMO spikes
Fixed Exit Rigidity: No manual stop-loss adjustments allowed
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Safety Protocol Notes
Ideal Conditions
Strong trending markets (≥3% daily moves)
High-volume crypto pairs (BTC/ETH majors preferred)
Avoid When
Consolidation phases (EMA crossovers lag)
Low-volume periods (weekends/holidays)
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Profitability Summary
This strategy capitalizes on:
Hourly chart momentum persistence
Crypto's tendency for multi-hour trends
Fixed parameters optimized through volatility cycles
Critical Reminder: Changing any values voids the hourly optimization advantage. Performance degrades significantly on lower (15m/5m) or higher (4h/daily) timeframes due to parameter mismatch
ROBOT RSI V6 inputRobot (test pas complet) qui prends position en se basant sur un croisement des MM et sur les achats et surventes du RSI
pinstraticoestrategia de compra y venta
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Bitcoin Buy at 120 SMA, Sell Below 30 SMA How It Works
Buy Signal:
Triggered when the price moves from below to above the 120-day SMA.
Sell Signal:
Triggered when the price moves from above to below the 30-day SMA.
Visualization:
The 120-day SMA is plotted in blue.
The 30-day SMA is plotted in red.
New intraday high with weak barStrategy Logic:
The strategy checks if the current bar’s high is the highest high of the last 10 bar and if internal bar strength is less than 0.15.
Position is closed when close is greater than the previous bar’s high.
When a position is open, the script applies a light green background on the chart to signal that you are in a trade.
120 SMA Bitcoin Trend-Momentum StrategyStrategy Rules
Entry Conditions:
Long Entry:
Price is above the 120 SMA (uptrend).
RSI crosses above 50 from below (indicates bullish momentum).
Exit Conditions:
Close the position:
When RSI moves into overbought/oversold territory and reverses (e.g., RSI crosses back below 70 for longs or above 30 for shorts).
Alternative: Use a trailing stop (optional).
Additional Parameters:
Timeframe: Works on both daily and weekly charts, with fewer trades on weekly.
Max Trades: The combination of trend filtering and momentum ensures only high-probability trades, limiting frequency.
9 & 15 EMA Crossover Strategyema crossover indicator ready for you guys for information
contact at instagrame @the_alpha_trader007
IU Range Trading StrategyIU Range Trading Strategy
The IU Range Trading Strategy is designed to identify range-bound markets and take trades based on defined price ranges. This strategy uses a combination of price ranges and ATR (Average True Range) to filter entry conditions and incorporates a trailing stop-loss mechanism for better trade management.
User Inputs:
- Range Length: Defines the number of bars to calculate the highest and lowest price range (default: 10).
- ATR Length: Sets the length of the ATR calculation (default: 14).
- ATR Stop-Loss Factor: Determines the multiplier for the ATR-based stop-loss (default: 2.00).
Entry Conditions:
1. A range is identified when the difference between the highest and lowest prices over the selected range is less than or equal to 1.75 times the ATR.
2. Once a valid range is formed:
- A long trade is triggered at the range high.
- A short trade is triggered at the range low.
Exit Conditions:
1. Trailing Stop-Loss:
- The stop-loss adjusts dynamically using ATR targets.
- The strategy locks in profits as the trade moves in your favor.
2. The stop-loss and take-profit levels are visually plotted for transparency and easier decision-making.
Features:
- Automated box creation to visualize the trading range.
- Supports one position at a time, canceling opposite-side entries.
- ATR-based trailing stop-loss for effective risk management.
- Clear visual representation of stop-loss and take-profit levels with colored bands.
This strategy works best in markets with defined ranges and can help traders identify breakout opportunities when the price exits the range.
Invest SMA|MACD|ADX Long Weekly Strategy (BtTL)Diese Strategie kombiniert drei bewährte technische Indikatoren (SMA, MACD und ADX) für präzise Long-Einstiege auf dem Wochenchart.
Hauptmerkmale:
Einstiegssignale basieren auf einer Kombination aus SMA (30), MACD (9,18,9) und ADX (14)
Intelligentes Stop-Loss-Management durch Swing-Low-Erkennung
Trendbestätigung durch ADX > 25
Optimiert für Wochencharts
Konservatives Risikomanagement durch mehrfache Signalbestätigung
Einstiegsbedingungen:
Kurs über SMA
MACD über Signallinie und im positiven Bereich
ADX zeigt starken Trend (>25)
Ausstiegsstrategie:
Stop-Loss wird automatisch am vorletzten Swing-Low gesetzt
Position wird geschlossen, wenn der Kurs unter den SMA fällt
🇬🇧 English:
This strategy combines three proven technical indicators (SMA, MACD, and ADX) for precise long entries on the weekly chart.
Key Features:
Entry signals based on a combination of SMA (30), MACD (9,18,9), and ADX (14)
Intelligent stop-loss management through swing low detection
Trend confirmation using ADX > 25
Optimized for weekly charts
Conservative risk management through multiple signal confirmation
Entry Conditions:
Price above SMA
MACD above signal line and in positive territory
ADX showing strong trend (>25)
Exit Strategy:
Stop-loss automatically set at second-last swing low
Position closes when price falls below SMA
9/21/50/200 By DSW Trend Reversal for OptionsThis strategy identifies potential trend reversals using a combination of 9, 21, 50, and 200-period moving averages. The script signals bullish reversals when the shorter moving averages cross above the longer ones, indicating a potential upward trend, and bearish reversals when the opposite happens, signaling a downward trend.
It’s particularly useful for options trading, as it highlights key entry points for call and put options based on market momentum shifts. The moving averages are dynamically plotted, and the script provides visual alerts when crossovers occur.
This tool can help traders spot trend changes early, allowing for timely options strategies. Backtest the strategy and adjust parameters for different timeframes or market conditions.
MACD RSI Strategy by BiegeThis strategy combines:
• MACD (Lagging Indicator): Confirms trend direction using moving averages.
• RSI (Leading Indicator): Identifies overbought/oversold conditions for potential reversal signals.
Entry Signal: When the MACD confirms a bullish trend (MACD line crosses above the signal line) and the RSI is oversold (below the defined threshold).
Exit Signal: Stop loss, take profit, or a bearish MACD crossover (MACD line crosses below the signal line).
This strategy emphasizes risk management through:
1. Balanced Indicators: Combining a leading and lagging indicator attempts to balance responsiveness and reliability.
2. Position Sizing: Limiting the percentage of capital used per trade controls potential losses on any single trade.
3. Cooldown Period: This helps prevent emotional trading and chasing losses.
4. Stop Loss Orders: Stop losses are crucial for limiting losses if a trade moves against your position.
This strategy is designed to perform best in markets with clear trends and moderate volatility. It's important to be aware of its limitations and avoid using it during:
• Earnings reports or major news events: Fundamental analysis is more appropriate in these situations.
• Extreme bear markets or extended periods of consolidation: MACD can lag significantly during sustained downtrends, and RSI can generate numerous false signals in choppy markets.
• Low-liquidity periods: Low liquidity can lead to slippage and wider spreads, which can negatively impact profitability.
By combining leading (RSI) and lagging (MACD) indicators and emphasizing risk management, this strategy aims to provide a relatively balanced and safer approach to trend following. However, no trading strategy can guarantee profits, and all trading involves risk. It's essential to understand the risks involved and to trade responsibly.
Strategy EngulfingThis script implements a trading strategy that identifies "engulfing" candlestick patterns and uses the Supertrend indicator to enter and exit trades.
9/21 EMA DSWThe 9 and 21 EMA strategy involves using the 9-day and 21-day exponential moving averages to identify potential buy and sell signals. A buy signal is generated when the 9 EMA crosses above the 21 EMA, and a sell signal is generated when the 9 EMA crosses below the 21 EMA. Best for new learner