I've been working on a trading strategy for awhile now and I found one that looks promising and may very well be the one I've been working toward. I would like someone to use it as well, possibly tweaking the settings a bit or timeframe and let me know how the results turned out. This gave me a 86% winning % (43W / 7L) and an average Risk vs Reward Ratio of 1.00 : 1.57 (lots, not ATR) with 50 consecutive trades. These securities were tested.
Strategy: The 4 Point Cross Time Frame: 15M US30 SP500
Setup
Japanese Candlesticks 15M Chart
Indicators
1.) Double RSI (7/21) 2.) MACD (24,52,18) 3.) EMA Cross (9,21) 4.) Pivot Supertrend (PP Period 1; ATR Factor: 2, ATR Period 10) 5.) 200 EMA for Trend 6.) Volume (30 with MA)
There are so many buy / sell signals with this though that you really need to discern which is best for you. Here are my Long / Short trade parameters
Long
1.) Price should be above the 200 EMA 2.) The 7 RSI crosses completely over the 21 RSI 3.) The 9MA crosses completely over the 21 MA 4.) Supertrend Buy Signal on the same candle is the crossings or a maximum of two candles back or forward of the cross signal 5.) MACD, RSI and EMA crossing at the same time (IDEAL)
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