INVITE-ONLY SCRIPT
已更新 MTF - Box Trading Strategy

MultiTime Frame - Box Trading Strategies (MTF-BT))
How does it work ? The code uses dynamic levels and crossovers on higher time frames to identify trade calls.
Model 1 (Default) Uses a low risk model and Model 2 (Optional) Uses an aggressive model
How to Deploy / Use
As part of the Indicator there are a few choices the user can opt for
Box Resolution - The resolution of the higher time frame for analysis , typically set at 90 , can be customized by the users.
Use Long Strategy 1 - This would add long trades based on Model1 Algorithm for the users
Use Short Strategy 1 - This would add short trades based on Model1 Algorithm for the users
Use Long Strategy 2 - This would add long trades based on Model2 Algorithm for the users
Use Short Strategy 2 - This would add short trades based on Model2 Algorithm for the users
Check Range Val Validate the width of the channel on higher timeframe and trade only when the channel is wider than the value provided ,
The value of 0.14 is determined using series of back test across various assets
Use Stop Loss : Flag to check if Stop Loss should be done by the strategy
Stop Loss Limit : Stop Loss in Absolute terms
Use Profit Booking : Flag to check if Profit Booking should be done by the strategy
Stop Loss Limit : Profit Target in Absolute terms
Do Intraday Exit :Flag to check if trade should be taken as an Intraday only
Exit Window : Session time during which the trade should be closed , like 15:00 - 15:30 for NSE , 22:30 - 23:00 for MCX etc ,
it should be wide enough to accommodate the resolution the use has on the screen
Visual Checks - The user could manually validate the back test results on various assets they would like to use this strategy on before putting it live.
Usage/Markets : Index Trading / Equities and also well with Commodities and Currencies
Time Frame : works well between 3 and 30 , keep the Box resolution to at least 45 for 3/5 mins TF and you could move upto 180 (3 hrs ) for a 30 mins TF.
Strategy Settings Used/Assumed : All of this values are provided in the Properties Tab of the Indicator Settings
and the users can customize it to suit the broker or the product they are charting it against
Initial Capital : 100 000
Order Size : 10 Quantities for Equities , you may change it to 1 lot for Future contracts based on capital deployed
Commission : is set at 0.05%
Slippage : 20 ticks
Recalculate Option : After the Order is filled is selected by default
Disclaimer : There could be scenarios when the breakout/breakdown candle is rejected , especially when it is long one
so it is always recommended to have a confirmation candle that open-closes above the breakout candle / open-closes below the breakdown candle
If you like it and find it useful or if you find a defect or bug , Please let us know in the comments .. that would encouraging !! for us to develop it further
Thank you and have a beautiful and Profitable trading session !
How to get access
Please click on the link / email in the signature or send me a private message to get access
Feedback
Please click on the link/email in the signature or send me a private message for suggestions/feedbacks
How does it work ? The code uses dynamic levels and crossovers on higher time frames to identify trade calls.
Model 1 (Default) Uses a low risk model and Model 2 (Optional) Uses an aggressive model
How to Deploy / Use
As part of the Indicator there are a few choices the user can opt for
Box Resolution - The resolution of the higher time frame for analysis , typically set at 90 , can be customized by the users.
Use Long Strategy 1 - This would add long trades based on Model1 Algorithm for the users
Use Short Strategy 1 - This would add short trades based on Model1 Algorithm for the users
Use Long Strategy 2 - This would add long trades based on Model2 Algorithm for the users
Use Short Strategy 2 - This would add short trades based on Model2 Algorithm for the users
Check Range Val Validate the width of the channel on higher timeframe and trade only when the channel is wider than the value provided ,
The value of 0.14 is determined using series of back test across various assets
Use Stop Loss : Flag to check if Stop Loss should be done by the strategy
Stop Loss Limit : Stop Loss in Absolute terms
Use Profit Booking : Flag to check if Profit Booking should be done by the strategy
Stop Loss Limit : Profit Target in Absolute terms
Do Intraday Exit :Flag to check if trade should be taken as an Intraday only
Exit Window : Session time during which the trade should be closed , like 15:00 - 15:30 for NSE , 22:30 - 23:00 for MCX etc ,
it should be wide enough to accommodate the resolution the use has on the screen
Visual Checks - The user could manually validate the back test results on various assets they would like to use this strategy on before putting it live.
Usage/Markets : Index Trading / Equities and also well with Commodities and Currencies
Time Frame : works well between 3 and 30 , keep the Box resolution to at least 45 for 3/5 mins TF and you could move upto 180 (3 hrs ) for a 30 mins TF.
Strategy Settings Used/Assumed : All of this values are provided in the Properties Tab of the Indicator Settings
and the users can customize it to suit the broker or the product they are charting it against
Initial Capital : 100 000
Order Size : 10 Quantities for Equities , you may change it to 1 lot for Future contracts based on capital deployed
Commission : is set at 0.05%
Slippage : 20 ticks
Recalculate Option : After the Order is filled is selected by default
Disclaimer : There could be scenarios when the breakout/breakdown candle is rejected , especially when it is long one
so it is always recommended to have a confirmation candle that open-closes above the breakout candle / open-closes below the breakdown candle
If you like it and find it useful or if you find a defect or bug , Please let us know in the comments .. that would encouraging !! for us to develop it further
Thank you and have a beautiful and Profitable trading session !
How to get access
Please click on the link / email in the signature or send me a private message to get access
Feedback
Please click on the link/email in the signature or send me a private message for suggestions/feedbacks
版本注释
Added am Extra Option for the use to select the trading view, by this the use can select the time window in which the a new position should be taken especially in case of intraday tradesSo for eg : Take Position between 09:15 to 14:30 and then you could decided exit on After 3 PM
版本注释
Added an Extra Option for the user to select the time window in which the Position can be taken , by using this feature the user can select the time window in which the a new position should be taken especially in case of intraday tradesSo for eg : Take Position between 09:15 to 14:45 and the exit can be planned on after 3 PM
仅限邀请脚本
只有经作者批准的用户才能访问此脚本。您需要申请并获得使用权限。该权限通常在付款后授予。如需了解更多详情,请按照以下作者的说明操作,或直接联系PortfolioBuddy。
除非您完全信任其作者并了解脚本的工作原理,否則TradingView不建议您付费或使用脚本。您还可以在我们的社区脚本中找到免费的开源替代方案。
作者的说明
Email : portfoliobuddyts@gmail.com
免责声明
这些信息和出版物并不意味着也不构成TradingView提供或认可的金融、投资、交易或其它类型的建议或背书。请在使用条款阅读更多信息。
仅限邀请脚本
只有经作者批准的用户才能访问此脚本。您需要申请并获得使用权限。该权限通常在付款后授予。如需了解更多详情,请按照以下作者的说明操作,或直接联系PortfolioBuddy。
除非您完全信任其作者并了解脚本的工作原理,否則TradingView不建议您付费或使用脚本。您还可以在我们的社区脚本中找到免费的开源替代方案。
作者的说明
Email : portfoliobuddyts@gmail.com
免责声明
这些信息和出版物并不意味着也不构成TradingView提供或认可的金融、投资、交易或其它类型的建议或背书。请在使用条款阅读更多信息。