Here is the update to the stem matcs strategy. Here are the additions to the strategy. 1. VWAP tuning 2. Stop Loss adjusting fields now act more appropriate in relation to the super trend values. 3. Split out the volume checks to individual values for short and long 4. A max loss setting. This needs to be adjusted to which security and position size you are...
VEST is the intelectual part of two indicators to enter and exit Long or Short trades with ease. The core functionality will not be fully explained but why VEST? Volume: There are three configurations base on Volume in order to operate in favor of the market. Ema vs Ema: There are three configurations base on two EMAs crossing each other. Super...
On the basis of moving average, add moving average and standard deviation line of volume to filter the entry and exit time. Filter entries and/or exits based on low volume options = 1, no not enter on low volume options = 2, exit on low volume options = 3, both 1 and 2 For others, please refer to the code and notes。
On the basis of moving average, add moving average and standard deviation line of volume to filter the entry and exit time. Do not enter trades on high volume and price in trend direction. Exit on high volume and price in profitable direction. Option 0 = No entry or exit filter Option 1 = Entry filter only Option 2 = Exit filter only Option 3 = Both entry and exit filters
Name: Reversion Scalp Bot Symbol: XBTUSD Suggested Equity: 15% Leverage: 10X or 25X Candles: 1-minute Type: Scalp Description: This scalp bot uses medium leverage to scalp small but high certainty movements on the 1-minute timeframe. In a proprietary feature, the algo is built for in and out trades essentially based on mean reversion and volume indicators....
The script combines Sqeeze Momentum, Directional Movement Index (DMI) and Parabolic SAR indicators in long and short scalping strategies When conditions of long or short position from all mentioned indicators are met script opens position. Once trend changes it closes position and fixes profit Advantages: 1. Deal start condition includes the folowing filters and...
This script will help you in following the smart money footprint. It will identify the signal of strength and weakness.
This strategy generates sell signals in a trending market. The exit signals show weakness in the current trend and can also indicate reversal of the trend. If two signals are generated within a short span like between 10-12 candles with the price locked in a range, then it can be considered as a stronger signal. The best parameters to use this strategy is on a 5...
NAME : Volume and Price Moving average Strategy SUMMARY Long when Indicator >= BuyandSell Short when Indicator < BuyandSell It is an index created by combining the moving average of trading volume and price. To avoid future reference, you must set the Candle Chart time and Resolution Time equally. If you set it differently, there is a gap in yield due to...
This is the strategy tester for the Below are the performance results Starting with $10,000 Net Profit: 88% 66% profitable trades 34% losing trades. Do look at the losing trades. If one did careful moment management, some of those may end up profitable as well. 4.158 Profit factor. 16.1% drawdown. I would go a bit more and say if I am using this, my...
This script works on all market types. This script will show you when to long, short, exit (stop loss) and Take profit. Signals take into account various elements such as momentum, volume , moving averages and long term trend analysis. Stop loss function is included to show you when a signal is invalidated. Use this strategy strictly, patiently and with...
This model is optimized for SPY on a daily time-frame. Even though it is still profitable (Profit factor > 1) on other time-frames, such as 1h or weekly, I strongly advise you to NOT consider these signals. You might also get positive returns on other assets, and time-frames, and I also strongly advise you to NOT consider them for your trades. For...
This conceptual strategy trades against the short-term trend. The first position can be either long or short. In the short-term, prices fluctuate up and down on wide spread exchanges. And if the price moves to one side, the price tends to return to its original position momentarily. This strategy set stop order. Stop price is calculated with upper and lower shadows.
Hello Everyone This Strategy Base on CPR By Default 1 Percentage TP AND 0.5 Percentage Sl & quantity 500 By Default Backtesting Starting Time 1 Jan 2020 and end time 31 Dec 2020 You Can also change everything. In future, I will Enhance this Strategy if you have any suggestion Mention here Thank you so much
This is the Strategy Version Of Dominator you can choose your take profit level and dates for backtesting calculates fee as well Do investors appreciate a good animal mascot? It seems like it. Bull and bear markets are key investing lingo and symbols, capturing positive feelings (bull) or negative ones (bear). There’s no official rule, but a bull market tends to...
This is a backtest for evaluating the profitability of a vwap offsets strategy over time. I took part of the code to create the script from Noro So there is a link for its code
“Trends and volume” is a pair of ZigZag and Volume indicators. If in the ZigZag indicator a trend has changed from descending to ascending, and in the Volume indicator the volume of purchases (accumulation) exceeds the volume of sales (distribution), a signal to open a long position occurs. Accordingly, the opening of a short position occurs with opposite...