INVITE-ONLY SCRIPT
MKL Autopilot

OVERVIEW
MKL Autopilot is a trend-following strategy that uses a smoothed dynamic environment filter and de-noiser to detect directional shifts and then aims for fixed risk-to-reward exits (user-settable) while using a dynamic stop that adapts to price structure.
1. Key ideas / advantages
- Smooths short-term noise with an adaptive range + volatility smoothing algorithm so entries trigger on meaningful directional shifts.
- Reduces False Breakouts: a new direction must reverse briefly away from the de-noiser.
- Dynamic stop-loss placed at the filter band (upper/lower), with take-profit calculated from realized risk using an adjustable R:R ratio.
- Sequential-trade gating prevents immediate same-direction flip-flopping (simple persistence control).
- Designed for clarity and conservative trade management.
2. Signals and execution
- Long Entry
- Short Entry
- Stop-loss: dynamic bandwidth, which will always shrink after asset starts moving the direction of the trade.
- Take-profit: computed as entry ± (riskPips * R:R), where riskPips is derived from entry-to-SL distance and pipValue.
3. User inputs
- Period — smoothing window (default 88).
- Multiplier — multiplies smoothed range volatility width to set band width (default 8.0).
- Risk-to-Reward Ratio — target multiple of risk (default 2.0).
- Visual toggles for fills and colors are provided.
4. Behavioural details
- Uses strategy.percent_of_equity with default_qty_value=100 (trades full equity by default).
- Keeps pyramiding=0 to avoid multiple concurrent entries in same direction.
- Resets entry variables on position close and re-arms retest logic according to prevailing trend.
5. Recommended usage
- Try 3min and 5min for all - forex/crypto/indices/equities - adapt according to the volatility of the asset.
- Backtest across multiple symbols/timeframes and tune Period / Multiplier / R:R to match volatility and your risk tolerance.
6. Limitations & risk
- No 100% guarantee of profit — like all strategies it can produce drawdowns, whipsaw losses during sideways markets, and missed quick reversals.
- Default position sizing is aggressive (100% of equity). Change default_qty_type / default_qty_value before live trading.
- Always forward-test on a paper account and ensure slippage/fees are considered.
Some good assets with their time-frames and settings are mentioned below:
1.
ETHUSD (BEST) |
US30 |
XAUUSD |
- Time Frame = 3min
- Period = 88
- Multiplier = 8.8
- Risk-to-Reward Ratio = 2.5
2.
BTCUSD
- Time Frame = 5min
- Period = 188
- Multiplier = 8.8
- Risk-to-Reward Ratio = 3
3.
SOLUSDT
- Time Frame = 3min
- Period = 33
- Multiplier = 8.8
- Risk-to-Reward Ratio = 3
5.
XAUUSD
- Time Frame = 5min
- Period = 120
- Multiplier = 8.8
- Risk-to-Reward Ratio = 2.5
6.
USDJPY
- Time Frame = 15min
- Period = 160
- Multiplier = 2.4
- Risk-to-Reward Ratio = 2
7.
NIFTY |
BANKNIFTY
- Time Frame = 3min
- Period = 88
- Multiplier = 8.8
- Risk-to-Reward Ratio = 3
MKL Autopilot is a trend-following strategy that uses a smoothed dynamic environment filter and de-noiser to detect directional shifts and then aims for fixed risk-to-reward exits (user-settable) while using a dynamic stop that adapts to price structure.
1. Key ideas / advantages
- Smooths short-term noise with an adaptive range + volatility smoothing algorithm so entries trigger on meaningful directional shifts.
- Reduces False Breakouts: a new direction must reverse briefly away from the de-noiser.
- Dynamic stop-loss placed at the filter band (upper/lower), with take-profit calculated from realized risk using an adjustable R:R ratio.
- Sequential-trade gating prevents immediate same-direction flip-flopping (simple persistence control).
- Designed for clarity and conservative trade management.
2. Signals and execution
- Long Entry
- Short Entry
- Stop-loss: dynamic bandwidth, which will always shrink after asset starts moving the direction of the trade.
- Take-profit: computed as entry ± (riskPips * R:R), where riskPips is derived from entry-to-SL distance and pipValue.
3. User inputs
- Period — smoothing window (default 88).
- Multiplier — multiplies smoothed range volatility width to set band width (default 8.0).
- Risk-to-Reward Ratio — target multiple of risk (default 2.0).
- Visual toggles for fills and colors are provided.
4. Behavioural details
- Uses strategy.percent_of_equity with default_qty_value=100 (trades full equity by default).
- Keeps pyramiding=0 to avoid multiple concurrent entries in same direction.
- Resets entry variables on position close and re-arms retest logic according to prevailing trend.
5. Recommended usage
- Try 3min and 5min for all - forex/crypto/indices/equities - adapt according to the volatility of the asset.
- Backtest across multiple symbols/timeframes and tune Period / Multiplier / R:R to match volatility and your risk tolerance.
6. Limitations & risk
- No 100% guarantee of profit — like all strategies it can produce drawdowns, whipsaw losses during sideways markets, and missed quick reversals.
- Default position sizing is aggressive (100% of equity). Change default_qty_type / default_qty_value before live trading.
- Always forward-test on a paper account and ensure slippage/fees are considered.
Some good assets with their time-frames and settings are mentioned below:
1.
- Time Frame = 3min
- Period = 88
- Multiplier = 8.8
- Risk-to-Reward Ratio = 2.5
2.
- Time Frame = 5min
- Period = 188
- Multiplier = 8.8
- Risk-to-Reward Ratio = 3
3.
- Time Frame = 3min
- Period = 33
- Multiplier = 8.8
- Risk-to-Reward Ratio = 3
5.
- Time Frame = 5min
- Period = 120
- Multiplier = 8.8
- Risk-to-Reward Ratio = 2.5
6.
- Time Frame = 15min
- Period = 160
- Multiplier = 2.4
- Risk-to-Reward Ratio = 2
7.
- Time Frame = 3min
- Period = 88
- Multiplier = 8.8
- Risk-to-Reward Ratio = 3
仅限邀请脚本
只有作者授权的用户才能访问此脚本。您需要申请并获得使用许可。通常情况下,付款后即可获得许可。更多详情,请按照下方作者的说明操作,或直接联系Mukul_Trades。
TradingView不建议您付费购买或使用任何脚本,除非您完全信任其作者并了解其工作原理。您也可以在我们的社区脚本找到免费的开源替代方案。
作者的说明
This strategy is researched and coded by - "Trades Indicate" and published by CEO/Founder - "Mukul_9" exclusively for tradingview platform. Re-usability of source-code is prohibited.
Website - https://tradesindicate.in
Mukul Choudhury
Founder / CEO - Trades Indicate
Founder / CEO - Trades Indicate
免责声明
这些信息和出版物并非旨在提供,也不构成TradingView提供或认可的任何形式的财务、投资、交易或其他类型的建议或推荐。请阅读使用条款了解更多信息。
仅限邀请脚本
只有作者授权的用户才能访问此脚本。您需要申请并获得使用许可。通常情况下,付款后即可获得许可。更多详情,请按照下方作者的说明操作,或直接联系Mukul_Trades。
TradingView不建议您付费购买或使用任何脚本,除非您完全信任其作者并了解其工作原理。您也可以在我们的社区脚本找到免费的开源替代方案。
作者的说明
This strategy is researched and coded by - "Trades Indicate" and published by CEO/Founder - "Mukul_9" exclusively for tradingview platform. Re-usability of source-code is prohibited.
Website - https://tradesindicate.in
Mukul Choudhury
Founder / CEO - Trades Indicate
Founder / CEO - Trades Indicate
免责声明
这些信息和出版物并非旨在提供,也不构成TradingView提供或认可的任何形式的财务、投资、交易或其他类型的建议或推荐。请阅读使用条款了解更多信息。