Strategi Pine Script®
Indikator dan strategi
Silver Futures Adaptive Strategy 1-18-20261. Hybrid Trading Logic
The strategy doesn't rely on a single method; instead, it switches between three distinct entry archetypes depending on market conditions:
Trend Following: Activated when ADX is high. It looks for "Golden Crosses" (EMA 21/50) confirmed by a long-term 200 EMA filter.
Breakout: Enters when the price exceeds the 20-period highest high or lowest low, provided there is a "Volume Spike" to confirm the move.
Mean Reversion: Activated when ADX is low (ranging market). It uses Bollinger Bands and RSI to buy oversold dips or sell overbought peaks.
2. Key Technical Indicators
The strategy uses a robust stack of indicators to filter out "noise":
ADX (Average Directional Index): Acts as the "brain" that determines if the market is trending (ADX > 20) or ranging.
Triple EMA Filter: Uses 21, 50, and 200 EMAs to ensure trades are only taken in the direction of the dominant trend.
Volume Filter: Requires volume to be 20% higher than the 20-period average to validate an entry, preventing "fake-outs."
Silver-Adjusted ATR: Calculates volatility specifically for Silver, applying a 1.2x multiplier to account for the metal's unique price action.
3. Advanced Risk Management
The strategy is built for execution with the following safeguards:
Dynamic Stops/TP: Stop losses and take profits are not fixed dollar amounts; they are based on ATR (Average True Range), meaning they widen during high volatility and tighten during low volatility.
Trailing Stop: Includes an optional trailing stop feature to lock in profits as the trade moves in your favor.
Position Sizing: Defaults to 10% of equity per trade with a maximum of 3 "pyramiding" entries (scaling into a winning position).
4. Automation & UI Features
JSON Alert Messages: The script generates machine-readable JSON alerts. This makes it "plug-and-play" for automated trading bots, sending the action, price, SL, and TP in a single message.
Dashboard Info Panel: A table on the top-right of the chart displays real-time data:
Market State: Trending vs. Ranging.
Live Stats: Current ADX, RSI, and ATR values.
Visual Cues: It plots support/resistance steplines and labels entries with green/red triangles for easy backtesting.
Strategi Pine Script®
Strategi Pine Script®
RADAR_V67_TESTThis V67 indicator is a comprehensive trend-following strategy designed to filter out market noise and identify high-probability entries in the cryptocurrency market.
The system is built on three major technical pillars:
Hull Moving Average (HMA): Provides superior reactivity to trend reversals compared to standard moving averages.
Supertrend: Acts as a primary trend filter to ensure we only trade in a confirmed bullish environment.
Volume Analysis (POC): The script identifies the Point of Control (POC) to ensure that buy signals occur above institutional congestion zones.
The buy signal (Screener_Signal = 1) is triggered only when the price crosses above the Hull MA while remaining above the Supertrend and the volume POC. This is a robust tool for both swing trading and day trading, focusing on momentum and institutional support.
Le Supertrend : Il sert de filtre de sécurité pour s'assurer que nous sommes dans une dynamique haussière confirmée.
L'analyse du Volume (POC) : Le script identifie le prix où le volume a été le plus important (Point of Control) pour s'assurer que l'achat se fait au-dessus des zones de congestion institutionnelles.
Le signal d'achat (Screener_Signal = 1) est déclenché uniquement lorsque le prix croise la Hull MA à la hausse, tout en restant au-dessus du Supertrend et du POC de volume. C'est un outil robuste pour le swing trading et le day trading.
Strategi Pine Script®
FURYAK 25 MASTER: V12 RESTOREDQUANTUM MASTER Strategy: AI & ML Powered Trend System
Overview The Quantum Master V13 is a comprehensive trading strategy designed to filter market noise and identify high-probability trend reversals and continuations. By combining Machine Learning (ML) SuperTrend logic with a sophisticated AI Scoring System, this strategy provides a complete view of the market structure, momentum, and volume dynamics.
This is not just a simple buy/sell indicator; it is a full trading system that analyzes over 15 different factors (RSI, MACD, Bollinger Bands, Stochastic, CCI, AO, Momentum, Volume, etc.) to generate a unified "AI Power Score" and determine the true market direction.
Key Features
🤖 ML SuperTrend Filter: Uses an ATR-based Machine Learning algorithm to visualize the dominant trend direction (Green/Red Cloud).
🧠 AI Power Score: A dynamic scoring engine that colors the candles based on strength.
Bright Green: Strong Bullish Momentum (High AI Score).
Bright Red: Strong Bearish Momentum (Low AI Score).
📊 Advanced Dashboard: Displays critical data such as Market Structure (Strong Bull/Bear), Momentum, Volume Status, RSI, and Success Rate estimation.
⚡ Dip Hunter (Bounce Signals): Identifies potential bottoms and tops using extended Bollinger Band logic.
9️⃣ TD9 Sequential: Integrated for identifying exhaustion points in the trend.
📉 Divergences: Automatically plots RSI Positive (PU) and Negative (NU) divergences on the chart.
⚠️ CRITICAL SETTING: The "Fake Multiplier"
One of the most powerful features of this strategy is the "Dip Hunter" mechanism, which is controlled by the "Fake (Sektirme) Multiplier" in the settings.
What it does: It defines the outer boundaries of price deviations to catch "fakeouts" or "wicks" that signal a reversal.
Optimization: Through extensive testing, we have found that the most effective range for this setting is usually between 2.25 and 2.60.
Customization: While 2.60 is the default for filtering noise, every asset and volatility level is different.
For volatile assets (Crypto/Altcoins): You may need to increase this value (e.g., 2.60 - 3.00).
For stable assets (Forex/Major Stocks): You may lower it (e.g., 2.00 - 2.25).
Always adjust this setting based on the specific chart you are trading to get the best "Dip/Tepe" signals.
⏳ Timeframes & Performance
Long-Term (Daily, Weekly, Monthly): The strategy performs exceptionally well on higher timeframes. It excels at capturing major trend directions and filtering out insignificant market noise. The success rate on these timeframes is significantly higher.
Short-Term (Intraday): On lower timeframes (e.g., 5m, 15m), the strategy will generate more frequent signals. Due to market noise, it is recommended to use the "AI Power Score" and "Market Structure" confirmation on the dashboard before entering trades on short timeframes.
How to Use
Check the Master Trend: Look at the ML SuperTrend cloud (Green for Long, Red for Short).
Confirm with AI Score: Look for Bright Green candles for buys and Bright Red candles for sells.
Consult the Dashboard: Ensure "Momentum" is positive and "Volume" is supportive.
Watch for Breakouts: Use the "Market Structure" status on the panel to confirm a Break of Structure (BOS).
Disclaimer: This script is for educational and analytical purposes only. Past performance does not guarantee future results. Always manage your risk.
Strategi Pine Script®
Ultimate Adaptive MTF Trend Strategy - forexThis can be used as strategy only for Forex pairs. Designed by Abhishek. highest accuracy
Strategi Pine Script®
[OKX] D.C.B PROStrategy Overview
D.C.B PRO is a robust trend-following system based on the classic Donchian Channel Breakout logic. It is designed to capture significant market trends while filtering out market noise and whipsaws using advanced indicators.
This strategy focuses heavily on Capital Preservation and Risk Management. It features a "Risk % of Equity" position sizing model, similar to what professional traders use, ensuring that your account is protected during drawdown periods.
NON-REPAINTING: This strategy does not repaint. It relies on confirmed bars or real-time price action that does not disappear, ensuring that backtest results are reliable and realistic.
Key Features
1. Reliable Trend Logic (No Repaint)
Based on the proven Donchian Channel Breakout method.
Supports both On Bar Close (safer) and Real-Time (aggressive) entry modes.
2. Advanced Filtering System To prevent false breakouts in choppy markets, 5 optional filters are included:
Volume Filter: Enters only when volume supports the move.
ADX Filter: Filters out weak trends (choppy ranges).
BBW (Bollinger Band Width): Detects volatility expansion.
HTF Trend Filter: Aligns trades with the higher timeframe trend (e.g., Daily trend).
MA Filter: Enters only above/below a specific Moving Average.
3. Professional Risk Management
Risk % of Equity: Automatically calculates position size based on your stop-loss distance. (e.g., Risking 2% of total equity per trade).
Also supports Fixed Capital, % of Equity, and Fixed Quantity modes.
4. Flexible Exit Strategy
Split Take Profits: Configure up to 5 partial take-profit levels.
Break-Even: Automatically moves Stop Loss to entry price after hitting TP1 to secure risk-free trades.
Trailing Stop: Features multiple trailing modes (ATR, Percent, Swing High/Low) to maximize profits during strong trends.
5. Monthly Performance Table
A built-in dashboard displays monthly returns directly on your chart for easy performance tracking.
🛠 Recommended Setup
Timeframe: 4H or 1D (Higher timeframes are recommended to filter out noise).
Assets: BTCUSDT, ETHUSDT, and other major cryptocurrencies with high liquidity.
Exchange: Optimized for OKX, Coinbase, and other major exchanges.
⚙️ Settings Guide
Money Management:
Recommended: set to Risk % of Equity with 1.0% ~ 2.0% risk per trade.
Entry Filters:
Enable ADX Filter or Volume Filter if you want to trade less frequently but with higher quality signals during ranging markets.
Exit Settings:
Adjust Trailing Stop settings based on the asset's volatility (ATR mode is generally recommended).
Disclaimer
Not Financial Advice: This script is for educational and backtesting purposes only.
Past Performance: Past results do not guarantee future profits.
Risk Warning: Cryptocurrency trading involves high risk. Always use a Stop Loss and manage your risk properly.
Strategi Pine Script®
Big Trend Catcher: Quad-Gate & VCP & ATR trailing Swing TradeThe Strategy Philosophy
This is designed for Daily Charts to capture the large chunks if not all of a primary trend. It focuses on the "VCP" (Volatility Contraction Pattern), combined with high-grade momentum filtering.
1. How VCP (The Quiet Zone) is Calculated
The script identifies "Volatility Contraction" by measuring the Bollinger Band Width (BBW).
* The Math: It calculates the standard BBW: $(Upper Band - Lower Band) / Mid Band$.
* The "Quiet" Threshold: It compares the current width to its own 50-period Simple Moving Average.
* The Signal: When the current width is narrower than the 50-period average, the stock is in a "Quiet Zone" (represented by the blue background). This indicates energy is coiling for a potential breakout.
2. How Rate of Change (ROC) is Calculated
Unlike a standard ROC, this "Wizard" version uses a smoothed momentum filter to reduce whipsaws:
* Raw ROC: First, it calculates the raw percentage change over 15 bars: $100 x (Close / Close(15) - 1).
* Smoothing: This raw value is then smoothed using a 10-period EMA.
* The Gate: The ROC Gate only turns green when this smoothed value is greater or equal to 0, ensuring the stock has genuine upward velocity before you enter.
3. What the Indicators on the Chart Show
* Yellow Line (20 EMA): Your "Tactical Line." It tracks short-term momentum and acts as a trigger for Phoenix re-entries.
* Blue/Gray Line (100 EMA): Your "Regime Filter." It turns Blue when the trend slope is positive and Gray when negative.
* Thin Gray Outer Bands: These are Bollinger Bands set at 3 Standard Deviations from the 100 EMA. They mark extreme "Climax Zones" where price is statistically overextended.
* Stepped Red/Green Line (ATR Stop): The "Iron Floor." It uses a 20-period ATR with a 3.0 multiplier and an HHV (Highest High Value) lookback to ensure the stop only moves up, never down.
* Yellow Crosses (Gate Wait): These small icons appear above the bars when a signal has been detected but one or more "Wizard Gates" (such as the ROC or 100 EMA Slope) are not yet satisfied, signifying the strategy is waiting for full confirmation.
4. How to Trade This Strategy
* Step 1: The Setup: Look for the Blue Background on the daily chart, signifying a Volatility Contraction.
* Step 2: The Entry: An Initial Entry (Lime Triangle) fires when the price breaks out of the Quiet Zone with a volume spike. This volume must be greater than 1.3 times the 20-period Simple Moving Average of volume to confirm significant buying interest. An entry only occurs when all Quad-Gates (ROC, EMA Slope, Price > ATR) are satisfied.
* Step 3: Pyramiding: If the trend gains "Velocity" (price > 10% from entry), the script will signal a second unit to maximize gains during runaway moves.
* Step 4: The Exit: Sell the entire position if the price closes below the ATR Trailing Stop (Trend Death) or if the 100 EMA trend turns down.
5. The Phoenix Re-entry
If you are stopped out but the stock immediately recovers above the 20 EMA within 10 bars, a Phoenix Entry (Orange Triangle) will fire. This allows you to catch "Power Resumptions" where the initial shakeout was a bear trap.
Strategi Pine Script®
In The Money Bull Market by Heather CullenITM BULL MARKET STRATEGY
════════════════════════
THE ONE-SENTENCE VERSION
Buy when the market is going up. Sell when it stops. Don't get faked out by small wiggles.
HOW IT ACTUALLY WORKS
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This strategy uses two lines on your chart:
• Fast line (10-day average) — reacts quickly
• Slow line (200-day average) — moves like a glacier
To buy: The fast line crosses above the slow line, AND they stay apart by at least 0.30% the next day. This "stay apart" rule keeps you from jumping in on weak, wishy-washy crosses that reverse immediately.
To sell: The fast line crosses below the slow line, AND they stay apart by at least 0.30% the next day. Same logic — we want real trend changes, not noise.
That's the whole system. Trend up = in. Trend down = out.
WHY THIS WORKS
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Most traders lose money because they:
1. Buy and sell too often
2. React to news and emotions
3. Get chopped up in sideways markets
This strategy fixes all three. You only trade when the big trend actually changes. Everything else is ignored.
WHAT YOU'LL SEE ON THE CHART
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• Orange line: Fast average (10)
• Blue line: Slow average (200)
• Green/red shading between lines: Shows if trend is bullish or bearish
• Teal/maroon background: "Pending zone" — a cross happened but waiting for confirmation
• Long/Close Label: Actual entry and exit points
• Info table: Current status at a glance
THE SETTINGS
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Fast SMA Length — How many days for the fast line. Default: 10
Slow SMA Length — How many days for the slow line. Default: 200
Min Separation % — How far apart the lines need to be to confirm. Default: 0.30%
Leave the defaults alone unless you know what you're doing. The 10/200 combo with 0.30% separation is battle-tested.
THE OPTIONS CONNECTION
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This strategy is based on Heather Cullen's "In The Money" approach. The full version involves:
1. Use this signal system (10/200 cross with confirmation)
2. Buy deep-in-the-money SPY call options instead of shares
3. Get ~2x the returns because you're using half the capital for the same exposure
The key rules for options (if you go that route):
• Strike price should be 50-60% of SPY's current price
• Time value should be less than 1% (explained below)
• Expiration 6-12 months out
• ROLL OUT when you hit 30 days to expiration (buy a new 6-12 month option)
• ROLL UP when your strike drops below 50% of SPY's price (market ran, option got too deep)
Why roll up? If SPY is at $500 and your strike is $240 (48%), you've lost leverage. Roll up to a $250-300 strike to restore the 50-60% ratio.
WHAT'S "TIME VALUE" AND WHY 1%?
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When you buy an option, you're paying for two things:
1. Real value — what the option is actually worth right now
(if SPY is $500 and your strike is $250, the real value is $250)
2. Time value — extra money for the possibility of future gains
Deep ITM options have very little time value. That's what we want — we're paying for actual value, not possibility.
The 1% rule: Time value should be less than 1% of SPY's price.
Example: SPY = $500
• Option price = $252
• Real value = $500 - $250 strike = $250
• Time value = $252 - $250 = $2
• Time value as % = $2 / $500 = 0.4% (under 1%, good!)
If time value is over 1%, go deeper ITM or farther out in time.
This script doesn't trade options for you. It just tells you when to be in or out.
COMMON QUESTIONS
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Why not just buy and hold?
Because bear markets exist. The 2008 crash took SPY down 50%+. This system got you out near the top and back in near the bottom.
Why the 0.30% separation rule?
Without it, you get "whipsawed" — the lines cross, you buy, they cross back, you sell at a loss, repeat. The separation filter means you only act on real trend changes.
What symbol should I use?
• SPY for standard accounts
• SPYG for smaller accounts (cheaper options)
• Works on daily charts
How often do I need to check?
Once a week is enough. This isn't day trading.
WHAT THIS STRATEGY WILL NOT DO
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• Catch exact tops and bottoms (nothing does)
• Work in choppy sideways markets (it stays out, which is the point)
• Make you rich overnight
• Replace your own judgment and risk management
THE BOTTOM LINE
───────────────
Markets trend. When they're trending up, be in. When they're trending down, be out. This strategy tells you which is which, with a filter to avoid false signals.
It's not exciting. It's not complicated. It just works.
────────────────────────────────────────────────────────────────────────
Based on the ITM strategy from Heather Cullen's "In The Money" book.
For education and research only. Not financial advice.
Past performance doesn't guarantee future results. Manage your own risk.
────────────────────────────────────────────────────────────────────────
Strategi Pine Script®
ETH/BTC ZScore MR Backtest (Simple)ETH / BTC 相对价值策略简明使用说明(Quick Guide)
一、这是个什么策略?
这是一个 ETH 与 BTC 的相对价值(均值回归)策略。不赌市场涨跌,只判断 ETH 相对 BTC 是否“偏强或偏弱”,当偏离足够大但还没失控时,押一次相对价格回归。以下是信号含义
S —— Short ETH / Long BTC(开仓信号)
L —— Long ETH / Short BTC(开仓信号)
X —— 回归完成,平仓
SLZ —— 极端止损(非常重要)
COOL —— 冷却期(禁止交易)
二、核心指标
策略只用一个指标:Z-score
Z = (当前 ETH/BTC − 最近均值) / 最近标准差
均值 / 标准差:最近 4 天(1H × 96 根)
Z 表示当前相对定价偏离“正常区间”多少倍
三、开仓条件(最重要)
只在下面这个区间才允许开仓:
1.5 ≤ |Z| < 3.5
含义:
|Z| < 1.5 → 正常波动,不交易
|Z| ≥ 3.5 → 极端状态,不交易
只做中间“可回归区间”
四、方向逻辑
Z ≥ +1.5
→ ETH 相对 BTC 过强
→ 空 ETH / 多 BTC
Z ≤ −1.5
→ ETH 相对 BTC 过弱
→ 多 ETH / 空 BTC
五、离场规则
1️⃣ 回归离场(盈利)
当 |Z| ≤ 0.45,相对定价修复,直接平仓
2️⃣ 极端止损(SLZ)
当 |Z| ≥ 3.5,认为进入结构性行情,立刻止损,不硬扛
六、冷却规则(风控核心)
每次触发 SLZ,强制冷却 24 小时,冷却期间 不允许任何新开仓,避免在趋势或高波动环境中连续亏损。
七、使用建议(非常重要)
这是统计策略,不是预测工具,不适合加仓、摊平。更适合:对冲执行、低手续费 / DEX 环境或刷交易量场景
八、一句话总结
当 ETH/BTC 的相对定价明显异常但尚未失控时,押一次它回到正常区间。
1. What is this strategy?
This is an ETH vs BTC relative value (mean reversion) strategy.
It does not speculate on overall market direction.Instead, it focuses solely on whether ETH is relatively too strong or too weak versus BTC.When the relative deviation is large enough—but not yet out of control—the strategy bets on a reversion back to normal.
Signal meanings:
S — Short ETH / Long BTC (entry)
L — Long ETH / Short BTC (entry)
X — Mean reversion completed, exit
SLZ — Extreme stop-loss (critical)
COOL — Cooldown period (no trading allowed)
2. Core indicator
The strategy uses only one indicator: Z-score
Z = (Current ETH/BTC − Recent Mean) / Recent Standard Deviation
Mean / standard deviation are calculated over the last 4 days (96 × 1H bars)
Z measures how many “normal volatility units” the current relative price has deviated from its recent equilibrium
3. Entry conditions (most important)
Positions are opened only within the following range:
1.5 ≤ |Z| < 3.5
Meaning:
|Z| < 1.5 → normal noise, no trade
|Z| ≥ 3.5 → extreme regime, no trade
Only trade the middle zone where mean reversion is statistically plausible
4. Direction logic
Z ≥ +1.5
→ ETH is relatively overvalued vs BTC
→ Short ETH / Long BTC
Z ≤ −1.5
→ ETH is relatively undervalued vs BTC
→ Long ETH / Short BTC
5. Exit rules
There are only two exits:
1️⃣ Mean reversion exit (profit-taking)
When |Z| ≤ 0.45
Relative pricing has normalized → exit both legs
2️⃣ Extreme stop-loss (SLZ)
When |Z| ≥ 3.5
Indicates a potential structural or trending regime
Exit immediately; do not average down
6. Cooldown rule (risk control core)
Every time SLZ is triggered
A mandatory 24-hour cooldown starts
No new positions are allowed during cooldown
This prevents repeated losses in trending or high-volatility regimes.
7. Usage notes (very important)
This is a statistical strategy, not a prediction tool
Not suitable for martingale, averaging down, or discretionary overrides
Best suited for:
Hedged execution
Low-fee / DEX environments
Volume or point-farming scenarios
8. One-sentence summary
When ETH/BTC relative pricing becomes clearly abnormal—but not yet extreme—
the strategy takes a measured bet on reversion back to equilibrium.
Strategi Pine Script®
high-frequency scalping strategy by Alphaomega18Alphaomega18 – High-Frequency Scalping Engine (1m)
Institutional Logic | Explosive Momentum | Session-Based Precision
🔬 Strategy Overview
Alphaomega18 is a next-generation high-frequency scalping strategy engineered exclusively for the 1-minute timeframe (1m).
It is built around a proprietary Source Shift Algorithm, comparing:
SMA 3 (Close-based)
SMA 5 (Open-based)
Unlike traditional moving average crossovers, Alphaomega18 measures instantaneous momentum displacement between candle opens and real-time price action. This allows the strategy to detect and exploit impulsive moves at their inception, before lagging indicators can react.
⚙️ Core Technical Edge
Proprietary Open vs Close SMA displacement logic
Ultra-fast signal generation optimized for scalping environments
Designed to operate efficiently in high-volatility conditions
Minimal indicator lag – price leads the signal
This structure makes Alphaomega18 particularly effective during liquidity injections such as market opens and session transitions.
🚀 Verified Performance Highlights
Backtested Period: December 22, 2025 – January 18, 2026
Nasdaq Futures (NQ) – New York Open
With an optimized 50-point Stop Loss, Alphaomega18 delivered institutional-grade performance:
Net Profit: +$21,035.00
Total Return: +2,103.50%
Profit Factor: 1.34 (high consistency)
Additional Results – New York Session
ES (S&P 500): +$5,350.00 (+267.50%) | PF: 1.181
BTC/USD: +$2,921.67 (+146.08%) | PF: 1.61+
24/7 Mode – Crypto & Metals
Bitcoin (BTC): +$10,932.00 (+547.53%)
Gold (XAU/USD): +$474.73 (+21.74%)
🕒 Smart Session Filter (Key Feature)
Alphaomega18 integrates a multi-session trading filter, allowing traders to focus exclusively on high-probability market windows:
New York Open (09:30–11:45 NY time)
The “Phenomenal Window” where the +2103% NQ performance was achieved.
European Session (08:00–17:00 Paris time)
Optimized for EUR/USD and DAX scalping.
Full-Time Mode (24/7)
Recommended for cryptocurrencies and gold.
This feature significantly reduces market noise and overtrading.
📊 Trading Rules (Clear & Objective)
Recommended Assets:
Nasdaq (NQ), S&P 500 (ES), Bitcoin (BTC)
Timeframe:
1 minute (1m) — mandatory
Risk Settings:
NQ: 50-point Stop Loss
Other assets: 40-point Stop Loss
Signal Logic:
BUY: SMA 3 (green) crosses above SMA 5 (red)
SELL: SMA 3 (green) crosses below SMA 5 (red)
🧠 Who Is This Strategy For?
✔ Active scalpers
✔ Futures & crypto traders
✔ Traders seeking session-based precision
✔ Users with low-spread / fast-execution brokers
⚠️ Risk Disclaimer
Scalping involves substantial risk and requires disciplined risk management.
Alphaomega18 is a high-frequency strategy and performs best with low spreads, minimal slippage, and proper execution conditions. Past performance does not guarantee future results.
Strategi Pine Script®
Multiple Daily Breakouts (Close Only)Pine Script strategy builds the high and low of the first four hours of the New York session (9:00 AM–1:00 PM ET), locks that range after the 1:00 PM candle closes, and then trades breakouts based strictly on candle closes (wicks ignored). The strategy allows multiple breakouts per day, entering long when price closes above the NY range and short when it closes below, with configurable position sizing and risk-reward targets; stops can be set at the opposite side of the range or dynamically calculated. It works both for historical backtesting in the Strategy Tester and for live trading/alerts, making it suitable for intraday markets on lower timeframes such as 5- to 15-minute charts.
Update: removed continuous lines between bars
Update: added h/l lines
Update: renamed
Strategi Pine Script®
NY First 4H Range Breakout Strategy (1PM Close)Strategy builds the high and low of the first four hours of the New York session (9:00 AM–1:00 PM ET), locks that range after the 1:00 PM candle closes, and then trades breakouts based strictly on candle closes (wicks ignored).
The strategy allows multiple breakouts per day, entering long when price closes above the NY range and short when it closes below, with configurable position sizing and risk-reward targets; stops can be set at the opposite side of the range or dynamically calculated.
It works both for historical back testing in the Strategy Tester and for live trading/alerts, making it suitable for intraday markets on lower timeframes such as 5- to 15-minute charts.
Strategi Pine Script®
Volatility Breakout System [Fixed Risk]
This is a trend-following breakout strategy designed to capture volatility expansion while filtering out low-momentum "chop." It is built on the philosophy that significant price moves are often preceded by a breakout of volatility bands (Keltner Channels) accompanied by Volume and Trend Strength (ADX).
Strategy Logic:
Volatility Breakout: The primary trigger is a candle closing outside the Keltner Channels. This indicates price is moving faster than the average range.
Trend Filter: Trades are only taken in the direction of the 200 EMA.
Momentum Filter (ADX): The ADX filter ensures we only enter when the trend strength is above a specific threshold (Default: 20). This prevents the strategy from buying tops or selling bottoms in ranging markets.
Volume Confirmation: A breakout without volume is often a fake-out. This script requires volume to be higher than the moving average.
Risk Management (Automated):
Stop Loss: Based on ATR (Average True Range) to adapt to current market volatility.
Trailing Stop: Once the trade moves in favor, a trailing stop is activated to lock in profits.
Breakeven: If price moves X% in favor, the Stop Loss is automatically moved to the entry price to protect capital.
Cooldown: Includes a safety mechanism to prevent over-trading immediately after a signal.
Backtesting Notes:
This script is set up with use_bar_magnifier=true. For accurate results, use this on higher timeframes (1H, 4H) or ensure you have a Premium account for intrabar inspection.
Inputs:
You can toggle the "Compounding" feature to test fixed cash vs. % equity growth.
Webhooks are fully configurable for alert automation.
Strategi Pine Script®
Grid Bot Strategy V1The strategy of grid trading. Allows you to test the strategy at any time, set the range width and the number of levels.
Strategi Pine Script®
YM_Sparta01_2026_Final_Fixed_20260101YM_Sparta01_Final_Fixedは、「オシレーターの多層解析」と「取引所間の価格乖離」を組み合わせた、ハイブリッド型のロジックを採用しております。
「オシレーターの多層解析」は、短期間のノイズに振り回されにくいオシレーターとなります。「取引所間の価格乖離」は大口投資家の資金流入や市場の過熱感を検知するフィルタとなります。
この2つを組み合わせることで、ノイズに左右されない判定の安定性と、トレンドが本物かどうかを判定できるストラテジーとなっています。
YM_Sparta01_Final_Fixed employs hybrid logic that combines "multi-layer oscillator analysis" and "price divergence between exchanges." "Multi-layer oscillator analysis" creates an oscillator that is less susceptible to short-term noise. "Price divergence between exchanges" acts as a filter that detects capital inflows from large investors and market overheating. Combining these two techniques results in a strategy that is stable and not affected by noise, and can determine whether a trend is genuine.
Strategi Pine Script®
natural gas stratgythis is not an indicator.... it is a stratgy. it can be applied to forex as well.
Strategi Pine Script®
Strategi Pine Script®
Strategi Pine Script®
Supertrend (4, 22) Strategynifty 15 min tf only buy with good accuracy, abide by rules, strict sl must be taken
Strategi Pine Script®
IB - BreakoutInitial Balance Breakout / Breakdown strategy
Adjustable session timings
Adjustable entry / stoploss levels
Adjustable Risk to Reward
Strategi Pine Script®
Trend-Dip Sniper 🛡️ Trend-Dip Sniper (15m BTC/USD)
The Trend-Dip Sniper is a high-precision intraday strategy designed to capture high-probability entries in trending markets. By combining trend-following logic with mean-reversion triggers, it filters out market noise and focuses on quality over frequency. The strategy features a built-in dashboard for real-time monitoring of trend strength, momentum, and volatility. This tool is optimized for the 15-minute timeframe, providing a robust balance between signal reliability and trade frequency, specifically for highly liquid assets like Bitcoin and Ethereum.
🔶 USAGE
For beginners, this strategy offers a disciplined way to trade with the trend. It prevents "chasing the pump" by waiting for a healthy pullback (dip) before entering, helping you avoid unfavorable entry prices. For advanced traders, it is a powerful tool to exploit short-term inefficiencies within a larger trend. The integration of ADX and ATR ensures that you only trade when there is sufficient market participation and volatility.
🔹 Trend & Momentum
The tool uses a dual-EMA filter to define the market regime. A long signal is only considered when the fast EMA is above the slow EMA. To avoid "fake-outs" in sideways markets, an ADX filter is applied, requiring a minimum trend strength before any signal is generated.
🔹 Mean-Reversion Trigger
The actual entry is triggered by the RSI. Instead of buying at the top, the strategy waits for the RSI to show an "oversold" condition within an uptrend. This "rubber band" effect provides a high-probability entry point as the price reverts to its mean and continues the trend.
🔹 Adaptive Risk Management
Unlike static stop-losses, this strategy utilizes the Average True Range (ATR). The stop-loss and take-profit levels expand during high volatility and tighten during calm periods. This ensures your "airbag" is always the right size for the current market environment.
🔹 Dashboard Info-Box
The integrated dashboard on the chart provides a snapshot of the current market state:
ADX (Trend): Shows if the trend is strong enough to trade.
RSI (Momentum): Displays the current momentum state.
ATR (Volatility): Monitors the current market "breath".
Trend Status: A clear visual indicator (BULLISH/BEARISH/NEUTRAL).
🔶 SETTINGS
Trend & Filter: EMA Fast/Slow & ADX thresholds.
RSI Mean-Reversion: Period and Overbought/Oversold levels.
Risk Management: Risk % per trade & ATR-based SL/TP multipliers.
BINANCE:BTCUSDT
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Strategi Pine Script®
Pullback Strategy with RSI FilterMean reversion strategy based on price pullback and oversold filter.
Strategi Pine Script®






















