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已更新 Universal All Assets Strategy | viResearch

Universal All Assets Strategy | viResearch
The Universal All Assets Strategy by viResearch is a sophisticated trend-following algorithm designed to operate seamlessly across various asset classes. It leverages seven unique trend-following indicators to provide robust and adaptive trading signals. The strategy dynamically adjusts to market conditions, making it suitable for equities, commodities, forex, and cryptocurrencies.
Core Methodologies and Features:
Seven Integrated Trend Indicators:
The strategy integrates seven powerful trend-following indicators. These include directional moving averages, smoothed moving averages, RSI loops, Supertrend filters, and more. When the majority of these indicators align, the strategy generates a long or short signal, ensuring that traders are capturing significant trend opportunities while minimizing noise from market fluctuations.
Universal Asset Adaptability:
Designed to work across all assets, the strategy adjusts its parameters dynamically based on the asset being traded. Whether applied to stocks, forex, or crypto, it adapts to the specific volatility and price behavior of the instrument, ensuring reliable signal generation in any market condition.
Customizable Directional Bias and Volatility Filters:
The strategy allows for an optional directional bias and incorporates volatility-based adjustments through ATR filters and standard deviation metrics. These features provide greater flexibility, allowing users to fine-tune the strategy for both trending and ranging markets.
Operational Parameters:
User-Friendly Customization:
Universal All Assets Strategy offers comprehensive customization options, including adjustable backtesting dates, starting capital settings, plotting options, and an experimental directional bias feature. These parameters can be easily tailored to meet the trader's unique needs, allowing for optimal performance across various markets and trading styles.
Seven-Trend Confirmation System:
The algorithm relies on its seven trend-following indicators to confirm market direction. If the majority of indicators generate a long signal, the strategy will initiate a long position. Conversely, a majority short signal will trigger a short position, providing strong validation for trade entries and exits.
Thoroughly Tested for Realistic Conditions:
This strategy has been rigorously backtested and forward-tested under real-world trading conditions, accounting for slippage, commissions, and various account sizes. Its robust risk management features ensure a balanced approach to trading, reducing unnecessary drawdowns and prioritizing capital preservation over time.
Concluding Remarks:
The Universal All Assets Strategy | viResearch is designed to offer traders a powerful tool for identifying and acting on market trends across multiple asset classes. With its seven-indicator confirmation system, adaptive logic, and customizable settings, this strategy is an excellent choice for traders looking for consistency and reliability in their trading approach. Whether used for long or short opportunities, this strategy provides the flexibility and precision needed to succeed in today's markets.
The Universal All Assets Strategy by viResearch is a sophisticated trend-following algorithm designed to operate seamlessly across various asset classes. It leverages seven unique trend-following indicators to provide robust and adaptive trading signals. The strategy dynamically adjusts to market conditions, making it suitable for equities, commodities, forex, and cryptocurrencies.
Core Methodologies and Features:
Seven Integrated Trend Indicators:
The strategy integrates seven powerful trend-following indicators. These include directional moving averages, smoothed moving averages, RSI loops, Supertrend filters, and more. When the majority of these indicators align, the strategy generates a long or short signal, ensuring that traders are capturing significant trend opportunities while minimizing noise from market fluctuations.
Universal Asset Adaptability:
Designed to work across all assets, the strategy adjusts its parameters dynamically based on the asset being traded. Whether applied to stocks, forex, or crypto, it adapts to the specific volatility and price behavior of the instrument, ensuring reliable signal generation in any market condition.
Customizable Directional Bias and Volatility Filters:
The strategy allows for an optional directional bias and incorporates volatility-based adjustments through ATR filters and standard deviation metrics. These features provide greater flexibility, allowing users to fine-tune the strategy for both trending and ranging markets.
Operational Parameters:
User-Friendly Customization:
Universal All Assets Strategy offers comprehensive customization options, including adjustable backtesting dates, starting capital settings, plotting options, and an experimental directional bias feature. These parameters can be easily tailored to meet the trader's unique needs, allowing for optimal performance across various markets and trading styles.
Seven-Trend Confirmation System:
The algorithm relies on its seven trend-following indicators to confirm market direction. If the majority of indicators generate a long signal, the strategy will initiate a long position. Conversely, a majority short signal will trigger a short position, providing strong validation for trade entries and exits.
Thoroughly Tested for Realistic Conditions:
This strategy has been rigorously backtested and forward-tested under real-world trading conditions, accounting for slippage, commissions, and various account sizes. Its robust risk management features ensure a balanced approach to trading, reducing unnecessary drawdowns and prioritizing capital preservation over time.
Concluding Remarks:
The Universal All Assets Strategy | viResearch is designed to offer traders a powerful tool for identifying and acting on market trends across multiple asset classes. With its seven-indicator confirmation system, adaptive logic, and customizable settings, this strategy is an excellent choice for traders looking for consistency and reliability in their trading approach. Whether used for long or short opportunities, this strategy provides the flexibility and precision needed to succeed in today's markets.
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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viResearch。
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
DM via TradingView for access
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。