SSL MACD - nhuthang83supertrend method, supertrend method, supertrend method, supertrend method, supertrend method, Pine Script®策略由webwhopad提供12
RSI + martingaleТорговая стратегия основанная на совмещении торговой системы Мартингейл и индекса относительной сила RSI. Скрипт входит в сделку после пересечения заданных уровней перекупленности и перепроданности RSI. Набирает позицию, по умолчанию умнажая размер каждой докупки x2. Закрывается по тейк-профиту. A trading strategy based on combining the Martingale trading system and the Relative Strength Index (RSI). The script enters the trade after crossing the set overbought and oversold levels of the RSI. It takes a position, by default multiplying the size of each additional purchase by x2. It closes with a take profit.Pine Script®策略由sich1111提供36
ORB StrategyThis isn't about staring at charts all day or stressing over every tick. It’s a "set it and forget it" approach for the Nasdaq (NQ/MNQ) that relies on cold, hard math rather than perfect predictions. We’re playing the long game—letting the edge play out over time while we stay relaxed. How the Math Works: We aren't chasing a 90% win rate. In fact, this strategy thrives even when we’re wrong more than half the time. Current Win Rate: ~45%. The Edge: A fixed 3:1 Reward-to-Risk ratio. The Result: One win wipes out three losses. As long as you catch the big moves, the small paper cuts don't matter. The Rules: Clean Entries: We wait for the "A+" setups on the 15m or 60m charts. If it's messy or choppy, we just don't trade. Hard Exits: Once you’re in, the stop and target are set. No moving them, no overthinking, and no "hope" trading. Daily Reset: We’re always out before the 4:45 PM ET margin hike—nothing is worth holding through that volatility. Make It Yours (Personalization): Everyone trades differently, so feel free to personalize the settings to match your own comfort zone. You can jump into the Settings/Inputs tab to tweak: Risk/Reward Ratios: If 3:1 feels too aggressive, you can dial it back to 2:1 for more frequent wins. Sensitivity: Adjust the indicator lengths to catch faster scalps or hold for longer trends. Visuals: Change the colors and dashboard layout so the chart feels clean to you.Pine Script®策略由leclairtrds提供已更新 2
MoneyMakers Scalping Signals1-5 min frame, a versatile market indicator designed to highlight emerging trends and structural shifts in crypto price action before they fully develop. By combining price dynamics, momentum behavior and market context into a clean visual output, it helps traders make more informed decisions without noise or lag. Suitable for both short- and mid-term analysis, the indicator offers a clearer view of potential reversal zones, trend continuations and key market cycles.Pine Script®策略由Zebras206提供51
Turtle System 1Turtle Trader system is a famous trend-following trading methodology created by Richard Dennis and his partner William Eckhardt in the early 1980s. The backstory is almost as interesting as the system itself: Dennis believed trading success was a skill that could be taught, while Eckhardt thought it was more about innate talent. To settle the debate, they recruited a group of ordinary people — with little to no trading experience — and trained them in a simple rules-based strategy. These students became known as the "Turtles". The system focused on trading breakouts in futures markets (commodities, currencies, bonds, stock indices) with strict risk management. System 1 (Short-Term) Entry: Buy when price breaks above the 20-day high. Sell short when price breaks below the 20-day low. Exit: Opposite 10-day breakout (i.e., sell long positions if price breaks below the 10-day low).Pine Script®策略由KobeChan1提供1126
Ichimoku + EMA + RSI [Enhanced]# **Ichimoku + EMA + RSI Strategy - User Instructions** --- ## **📋 TABLE OF CONTENTS** 1. (#installation) 2. (#strategy-overview) 3. (#parameter-configuration) 4. (#understanding-the-dashboard) 5. (#entry--exit-rules) 6. (#best-practices) 7. (#optimization-guide) 8. (#troubleshooting) --- ## **🚀 INSTALLATION** ### **Step 1: Add to TradingView** 1. Open TradingView.com 2. Click **Pine Editor** (bottom of screen) 3. Click **"New"** → Select **"Blank indicator"** 4. Delete all default code 5. **Copy and paste** the complete script 6. Click **"Save"** (give it a name: "Ichimoku EMA RSI Strategy") 7. Click **"Add to Chart"** ### **Step 2: Verify Installation** ✅ You should see: - Orange **200 EMA** line - Blue **Tenkan** line - Red **Kijun** line - Green/Red **Cloud** (Ichimoku cloud) - **Dashboard** in top-right corner - **Strategy Tester** tab at bottom --- ## **📊 STRATEGY OVERVIEW** ### **What This Strategy Does** Combines three powerful technical indicators to identify high-probability trades: | Component | Purpose | |-----------|---------| | **200 EMA** | Determines overall trend direction | | **Ichimoku Cloud** | Provides support/resistance and momentum | | **RSI** | Filters momentum strength | | **Dashboard** | Real-time signal analysis | ### **Trading Logic** - **LONG**: Enter when all bullish conditions align - **SHORT**: Enter when all bearish conditions align - **EXITS**: Automatic via trailing stops, cloud breach, or TK cross reversal --- ## **⚙️ PARAMETER CONFIGURATION** ### **🔵 Trend Filter Settings** ``` EMA Length: 200 (default) ``` - **Lower (100-150)**: More sensitive, faster signals - **Higher (250-300)**: More stable, slower signals - **Recommendation**: Keep at 200 for most timeframes --- ### **🟢 RSI Settings** ``` RSI Length: 14 (default) RSI Long Minimum: 55 RSI Short Maximum: 45 ``` **Adjustment Guide:** - **Aggressive** (more signals): Long=50, Short=50 - **Balanced** (default): Long=55, Short=45 - **Conservative** (fewer signals): Long=60, Short=40 --- ### **🟡 Ichimoku Settings** ``` Tenkan Period: 9 Kijun Period: 26 Senkou B Period: 52 Displacement: 26 ``` **Standard Configurations:** | Timeframe | Tenkan | Kijun | Senkou B | |-----------|--------|-------|----------| | **1H - 4H** | 9 | 26 | 52 | | **15m - 1H** | 7 | 22 | 44 | | **Daily** | 9 | 26 | 52 | **Filters:** - ✅ **Require Chikou Confirmation**: Adds extra validation (recommended) - ✅ **Require Cloud Position**: Price must be above/below cloud (recommended) --- ### **🔴 Risk Management** ``` ATR Length: 14 ATR Stop Loss Multiplier: 2.0 ATR Take Profit Multiplier: 3.0 Min Bars Between Trades: 3 ``` **Risk/Reward Profiles:** | Profile | SL Multiplier | TP Multiplier | Description | |---------|---------------|---------------|-------------| | **Conservative** | 2.5 | 4.0 | Wider stops, higher R:R | | **Balanced** | 2.0 | 3.0 | Default settings | | **Aggressive** | 1.5 | 2.5 | Tighter stops, faster exits | --- ### **🎨 Display Settings** ``` Show Dashboard: ON Show Entry Signals: ON ``` - **Dashboard**: Shows real-time analysis - **Entry Signals**: Green/Red arrows on chart --- ## **📈 UNDERSTANDING THE DASHBOARD** ### **Dashboard Components** ``` ┌─────────────────────┬──────────┐ │ Component │ Status │ ├─────────────────────┼──────────┤ │ EMA Trend │ BULL/BEAR│ │ Cloud │ ABOVE/BELOW/INSIDE│ │ TK Cross │ BULL/BEAR│ │ RSI │ 55.3 │ │ Chikou │ BULL/BEAR│ │ Signal │ STRONG LONG│ └─────────────────────┴──────────┘ ``` ### **Signal Interpretation** | Signal | Score | Meaning | Action | |--------|-------|---------|--------| | **STRONG LONG** | 7+ | All conditions aligned | High confidence LONG | | **LONG** | 4-6 | Most conditions met | Moderate confidence | | **NEUTRAL** | <4 | Mixed signals | Wait for clarity | | **SHORT** | 4-6 | Bearish bias | Moderate SHORT | | **STRONG SHORT** | 7+ | All bearish conditions | High confidence SHORT | --- ## **📍 ENTRY & EXIT RULES** ### **✅ LONG ENTRY CONDITIONS** All must be TRUE: 1. ✅ Price **above** 200 EMA 2. ✅ Price **above** Ichimoku Cloud 3. ✅ Tenkan **crosses above** Kijun (TK Bull Cross) 4. ✅ RSI **above** 55 5. ✅ Chikou **above** price 26 bars ago 6. ✅ Minimum bars since last trade met **Visual Confirmation:** - 🟢 Green triangle **below** candle - Dashboard shows **"STRONG LONG"** --- ### **❌ LONG EXIT CONDITIONS** Any ONE triggers exit: 1. ❌ Price closes **below** cloud bottom 2. ❌ Tenkan **crosses below** Kijun 3. ❌ ATR trailing stop hit (2.0 × ATR) 4. ❌ Take profit hit (3.0 × ATR) --- ### **✅ SHORT ENTRY CONDITIONS** All must be TRUE: 1. ✅ Price **below** 200 EMA 2. ✅ Price **below** Ichimoku Cloud 3. ✅ Tenkan **crosses below** Kijun (TK Bear Cross) 4. ✅ RSI **below** 45 5. ✅ Chikou **below** price 26 bars ago 6. ✅ Minimum bars since last trade met **Visual Confirmation:** - 🔴 Red triangle **above** candle - Dashboard shows **"STRONG SHORT"** --- ### **❌ SHORT EXIT CONDITIONS** Any ONE triggers exit: 1. ❌ Price closes **above** cloud top 2. ❌ Tenkan **crosses above** Kijun 3. ❌ ATR trailing stop hit (2.0 × ATR) 4. ❌ Take profit hit (3.0 × ATR) --- ## **💡 BEST PRACTICES** ### **Recommended Timeframes** | Timeframe | Trading Style | Signals/Week | |-----------|---------------|--------------| | **15m** | Scalping | 20-30 | | **1H** | Day Trading | 10-15 | | **4H** | Swing Trading | 5-10 | | **Daily** | Position Trading | 2-5 | --- ### **Asset Classes** ✅ **Best Performance:** - Major Forex pairs (EUR/USD, GBP/USD) - Crypto (BTC/USD, ETH/USD) - Major indices (SPX, NAS100) ⚠️ **Use Caution:** - Low liquidity pairs - Highly volatile altcoins - Stocks with gaps --- ### **Risk Management Rules** ``` 1. Never risk more than 2% per trade 2. Use the built-in ATR stops (don't override) 3. Respect the "Min Bars Between Trades" cooldown 4. Don't trade during major news events 5. Monitor dashboard - only trade STRONG signals ``` --- ## **🔧 OPTIMIZATION GUIDE** ### **Step 1: Run Initial Backtest** 1. Open **Strategy Tester** tab (bottom of screen) 2. Set date range (minimum 6 months) 3. Review: - **Net Profit** - **Win Rate** (target: >50%) - **Profit Factor** (target: >1.5) - **Max Drawdown** (target: <20%) --- ### **Step 2: Optimize Parameters** **If Win Rate is Low (<45%):** - Increase RSI thresholds (Long=60, Short=40) - Enable both Chikou + Cloud filters - Increase "Min Bars Between Trades" to 5 **If Too Few Signals:** - Decrease RSI thresholds (Long=50, Short=50) - Reduce EMA to 150 - Adjust Ichimoku to faster settings (7/22/44) **If Drawdown is High (>25%):** - Increase ATR Stop Loss Multiplier to 2.5 - Add longer cooldown period (5+ bars) - Trade only STRONG signals --- ### **Step 3: Forward Test** ``` 1. Paper trade for 2-4 weeks 2. Compare results to backtest 3. Adjust if live results differ significantly 4. Only go live after consistent paper trading success ``` --- ## **🛠️ TROUBLESHOOTING** ### **Problem: No Signals Appearing** **Solutions:** - Check RSI levels aren't too restrictive - Verify timeframe is appropriate (try 1H or 4H) - Ensure both filters aren't enabled on ranging markets - Review dashboard - components may be conflicting --- ### **Problem: Too Many Losing Trades** **Solutions:** - Enable **both** Chikou + Cloud filters - Increase RSI thresholds (more conservative) - Only trade when dashboard shows "STRONG" signals - Increase cooldown period to avoid overtrading --- ### **Problem: Dashboard Not Showing** **Solutions:** - Verify "Show Dashboard" is enabled in settings - Check chart isn't zoomed out too far - Refresh chart (F5) - Re-add indicator to chart --- ### **Problem: Stops Too Tight/Wide** **Solutions:** - **Too Tight**: Increase ATR Stop Loss Multiplier to 2.5-3.0 - **Too Wide**: Decrease to 1.5-1.8 - Verify ATR Length is appropriate for timeframe - Consider asset volatility (crypto needs wider stops) --- ## **📞 QUICK REFERENCE CARD** ``` ═══════════════════════════════════════════════════ STRATEGY QUICK REFERENCE ═══════════════════════════════════════════════════ BEST TIMEFRAMES: 1H, 4H, Daily BEST ASSETS: Major Forex, BTC, ETH, Indices RISK PER TRADE: 1-2% of capital LONG ENTRY: ✓ Price > 200 EMA ✓ Price > Cloud ✓ TK Bull Cross ✓ RSI > 55 ✓ Dashboard = STRONG LONG SHORT ENTRY: ✓ Price < 200 EMA ✓ Price < Cloud ✓ TK Bear Cross ✓ RSI < 45 ✓ Dashboard = STRONG SHORT EXITS: × Cloud breach × TK reverse cross × ATR trailing stop × Take profit (3:1 R:R) ═══════════════════════════════════════════════════ ``` --- ## **⚠️ DISCLAIMER** This strategy is for **educational purposes only**. Always: - Backtest thoroughly on your specific assets - Paper trade before going live - Never risk more than you can afford to lose - Past performance ≠ future results - Consider market conditions and your risk tolerance --- **Happy Trading! 📈** TradingView — Track All Markets Where the world charts, chats, and trades markets. We're a supercharged super-charting platform and social network for traders and investors. Free to sign up. Pine Script®策略由D4V3YZ提供36
FVG Nexus IFVG Break FrameworkThis strategy implements an IFVG (Inverted Fair Value Gap) framework using a structured multi-timeframe approach. Concept: The script identifies Fair Value Gaps (FVGs) on a higher timeframe (HTF) to define market context. Instead of trading the initial FVG reaction, it waits for a confirmed invalidation of that HTF gap. Only after this invalidation occurs does the strategy search for a confirming Fair Value Gap on the lower timeframe (LTF) in the direction of the break. This creates a two-step logic: 1) Detect HTF Fair Value Gap and wait for price to interact with it. 2) After invalidation of the HTF zone, enter only on a newly formed LTF Fair Value Gap aligned with the break direction. Key Characteristics: – Invalidation-based logic (IFVG), not standard FVG continuation – Strict multi-timeframe structure (HTF context, LTF execution) – Rule-based entries and exits without discretionary input – Designed for backtesting, alerts, and automated execution – Optional session filtering and risk-controlled trade management How to Use: Apply the strategy on the lower timeframe specified in the settings. Select a higher timeframe for contextual structure. Trades are only triggered after a confirmed HTF invalidation followed by a valid LTF Fair Value Gap. This script is intended as a structured trading methodology for studying market behavior and systematic execution. It does not provide financial advice. Pine Script®策略由linzing123提供6
BTC Trading strategy 30 MinThis strategy is designed for disciplined intraday trading on BTC, focusing on structured market moves, trend confirmation, and controlled risk management. The system aims to participate only in high-quality directional opportunities while avoiding over-trading and choppy market conditions. 🔹 Core Philosophy Trades are taken only when market conditions align Focuses on momentum continuation rather than prediction Strict risk control and capital protection Designed to limit trades to selective, high-confidence setups 🔹 Key Characteristics Trend-aware trading Trades in alignment with prevailing market direction Momentum confirmation Avoids weak or indecisive price action Volatility and strength filtering Helps reduce entries during sideways or low-quality conditions One trade at a time Prevents over-exposure and emotional over-trading Intraday discipline Designed for controlled session-based participation 🔹 Risk & Trade Management Pre-defined risk control on every trade Dynamic exit handling to: Protect capital Lock profits when conditions allow Structured approach to: Stop loss Take profit Profit protection during favorable moves 🔹 What This Strategy Is NOT ❌ Not a scalping strategy ❌ Not a martingale or averaging system ❌ Not a signal spam strategy ❌ Not designed to trade every market condition This strategy intentionally filters aggressively to focus on quality over quantity. 🔹 Recommended Usage Best suited for BTC intraday charts Designed for traders who prefer: Fewer trades Clear structure Strong risk discipline Can be used for: Backtesting Market study Trade planning and visualization ⚠️ Disclaimer This strategy is shared for educational and research purposes only. Market conditions change, and no strategy performs consistently in all environments. Always test, adjust risk appropriately, and trade responsibly.Pine Script®策略由Nishadubey提供已更新 0
BonBon BB V8.6 半窗暖日照清茗,不看紅綠看流雲。 千金起伏尋常事,萬象盈虧信手分。 低處播種期雨露,高時把酒待黃昏。 心隨靜水無波瀾,自在人間一散人。 Warm sunlight fills the window as I sip my tea, I gaze at drifting clouds, letting red and green tickers be. The rise and fall of fortunes are but a common sight, I trace the tides of gain and loss with a heart so light. I sow the seeds in valleys deep, waiting for the dew, And toast the golden sunset when the peaks are in my view. My soul, like quiet water, no ripples shall it find, A carefree soul on earth, leaving all the storms behind.Pine Script®策略由bongalaz提供1
ICT Entry V2 [TS_Indie]📌 Description – ICT Entry V2 The market structure, liquidity, FVG, and iFVG mechanisms remain the same as in Version 1. However, the price action for order entries is different, with the positions of the FVG and iFVG swapped. Pending orders and stop loss are placed at the iFVG. ⚙️ Core Logic & Working Mechanism I won’t explain FVG in detail, as most traders are already familiar with it. Let’s focus on the mechanism of iFVG instead. The concept of iFVG is based on a supply-to-demand flip and a demand-to-supply flip within an FVG zone. For an iFVG to be confirmed, the candle close must break through the FVG. A wick alone does not count as a valid iFVG confirmation. The confirmation of market structure swings uses a pivot length mechanism combined with price action. It validates a swing by detecting a structure break formed by candles making new highs or new lows. 📈 Buy Setup 1.Liquidity sweep on the demand side, with price closing above the liquidity level. 2.A demand zone is formed as iFVG and FVG, where FVG is located above iFVG. 3.The gap between the upper box of iFVG and the lower box of FVG must be within the defined Min and Max range. 4.Market Structure must be in a Bullish trend. 5.Place a Pending Order at the upper box of iFVG and set Stop Loss at the lower box of iFVG (Entry and Stop Loss can be adjusted using Entry Zone and ATR-based Stop Loss). 📉 Sell Setup 1.Liquidity sweep on the supply side, with price closing below the liquidity level. 2.A supply zone is formed as iFVG and FVG, where FVG is located below iFVG. 3.The gap between the lower box of iFVG and the upper box of FVG must be within the defined Min and Max range. 4.Market Structure must be in a Bearish trend. 5.Place a Pending Order at the lower box of iFVG and set Stop Loss at the upper box of iFVG (Entry and Stop Loss can be adjusted using Entry Zone and ATR-based Stop Loss). ⚙️ Liquidity Sweep Conditions ➯ When a liquidity sweep occurs on the demand side, the system will start looking for Buy Setup conditions. ➯ When a liquidity sweep occurs on the supply side, the system will immediately switch to looking for Sell Setup conditions. ➯ The system will always prioritize the most recent liquidity sweep and search for setups based on that direction. ➯ The liquidity sweep condition will be invalidated when price closes back below (for demand sweep) or above (for supply sweep) the most recently swept liquidity level. ⭐ Pending Order Cancellation Conditions A Pending Order will be canceled under the following conditions: 1.A new Price Action signal appears on either the Buy or Sell side. 2.When Time Session is enabled, the Pending Order is canceled once price exits the selected session. 🕹 Order Management Rule When there is an active open position, the indicator restricts the creation of new Pending Orders to prevent overlapping positions. ⚠️ Disclaimer This indicator is designed for educational and research purposes only. It does not guarantee profits and should not be considered financial advice. Trading in financial markets involves significant risk, including the potential loss of capital. 🥂 Community Sharing If you find parameter settings that work well or produce strong statistical results, feel free to share them with the community so we can improve and develop this indicator together. Pine Script®策略由Truth_Strategy_Indie提供已更新 2.2 K
MW Futures Liquidity ScalperMW Futures Liquidity Scalper - ICT-Inspired Algorithmic Trading A comprehensive ICT (Inner Circle Trader) inspired strategy that automates liquidity pool detection, fair value gap (FVG) analysis, and precision entries for futures and forex markets. This strategy implements institutional trading concepts with customizable filters, multi-timeframe confirmation, and complete risk management. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 🎯 What This Strategy Does This strategy scans the market for areas where stop losses cluster (liquidity pools), identifies price imbalances (FVGs), and places precision entries when conditions align. It automates the "liquidity hunt" concept: tracking where institutions sweep stops before price reverses. The key principle: Time first, then price. Configure when to trade, which liquidity to target, and how to enter - the strategy handles the rest. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 📊 How The Algorithm Works Step 1 - Liquidity Mapping: Calculates session highs (buy-side liquidity/BSL) and lows (sell-side liquidity/SSL) at your chosen intervals Step 2 - Bias Detection: More BSL than SSL = bearish bias. More SSL than BSL = bullish bias Step 3 - FVG Search: Finds the first valid Fair Value Gap matching your size requirements and current bias Step 4 - Filter Check: Validates all enabled filters (EMA, NWOG/NDOG, orderflow, correlation, macro time) Step 5 - Entry Placement: Places limit order at FVG boundary with configured slippage Step 6 - Exit Management: Sets take profits at opposing liquidity pools, manages trailing stops and breakeven ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 🔑 Core Concepts Explained Liquidity Pools Areas where stop losses cluster - above swing highs (BSL/blue lines) or below swing lows (SSL/red lines). Institutions often sweep these zones before reversing. Darker colors indicate pools that have been purged. Fair Value Gaps (FVGs) Price imbalances from aggressive moves where 3-candle wicks don't overlap. These act as entry zones. Green = bullish, Red = bearish, Blue = invalid/neutral. First Presentation The first FVG after session start (Asia 18:30, London 00:30, NY AM 09:30, NY PM 13:30 NY time). Used until the next session begins. 2022 Model Only searches for FVGs after a liquidity pool is purged. Loops backward from the sweep to find the enabling FVG - often used for IFVG (Inverse FVG) trades. Volume Imbalance When candle bodies don't touch within an FVG, extends the FVG boundaries for more precise entries. Premium/Discount Above 50% of a range = premium (favorable for shorts). Below 50% = discount (favorable for longs). ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ ⚙️ Key Features Liquidity Detection • Configurable calculation intervals: 15-minute, 30-minute, or hourly • Optional AM Opening Range (09:30-10:00 NY) • Daily reset at 18:00 NY time • Visual tracking of BSL (blue) and SSL (red) levels FVG Analysis • Minimum/maximum FVG size filters (handles) • Skip invalid FVGs to find next valid one • Volume imbalance integration • Four session-based first presentation options • 2022 Model for post-purge entries Orderflow Filters • Short-Term (STH/STL) - 3-candle swings (yellow) • Intermediate-Term (ITH/ITL) - higher-degree swings (purple) • Long-Term (LTH/LTL) - major swing structure (green) • Premium/discount zones for each level • Automatic bias shift when levels are taken Direction Filters • NDOG: New Day Opening Gap - gap between 16:59 and 18:00 • NWOG: New Week Opening Gap - Friday close to Sunday open • EMA Filters: 9/18 EMA crossovers on daily, weekly, or custom timeframes • Macro Time: Trade only during xx:50 to xx:10 windows • Midnight Filter: Use 00:00 NY close as bias reference Correlation Filters • Compare with any ticker using 9/18 EMA • Positive correlation: both must align • Negative correlation: must be opposite (e.g., NQ long when DXY short) • Available on weekly, daily, and custom timeframes Risk Management • Three stoploss placement methods (FVG boundary, 2nd candle, 1st candle) • Configurable min/max stoploss sizes • Trailing stoploss (close-based or high/low) • Auto-breakeven after first TP with handle offset • Option to skip breakeven during avoidance times Position Sizing • Topstep 50k/100k/150k presets with proper limits • AMP Live margin-based sizing • Custom daily loss, drawdown, and contract limits • Max risk per trade with automatic contract scaling Entry Precision • Entry slippage: positive = outside FVG, negative = inside FVG • Close above/below requirement before entry • 75% body closure filter to avoid wick-driven signals Exit Management • Take profits at opposing liquidity pools • Runner contracts for extended trends • TP clustering to merge nearby targets • Max trades per hour limiter Time Controls • Configurable timezone (9 major zones) • Liquidity search windows • Trading hours restrictions • Day-specific avoidance times • Close all positions time ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 📋 Building Your Model (Step-by-Step) 1. Define Time: When do you want to trade? (NY open 09:30-11:30 recommended) 2. Choose Liquidity: 15-minute, 30-minute, hourly, or AM opening range 3. Select FVG Method: First presentation, timed intervals, or 2022 model 4. Set Entry Rules: Slippage, close confirmation, body filter 5. Configure Stoploss: Placement method, min/max sizes, trailing 6. Add Orderflow: STH/STL, ITH/ITL, LTH/LTL with premium/discount 7. Apply Direction Filters: EMA, NWOG/NDOG, macro, correlation 8. Set Profit Targets: Min distance, max TP, runners, clustering Tip: Start simple with steps 1-3, then optimize incrementally. Don't enable all filters at once. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 📁 Settings Groups Time Settings - Trading Periods: Timezone, start date, liquidity windows, trading hours Liquidity Settings: Calculation intervals, AM opening range FVG Settings: Size filters, first presentation, 2022 model, volume imbalance Entry Settings: Slippage, close confirmation, body filter Stoploss Settings: Placement, min/max, trailing, alerts Breakeven Settings: Amount, trigger conditions, avoidance time behavior Orderflow Filters: STH/STL, ITH/ITL, LTH/LTL with premium/discount Line Filters: Daily matrix, midnight filter, custom hourly/minute Direction Filters: NDOG, NWOG, EMA daily/weekly/custom, macro time Correlation Settings: Weekly/daily/custom with ticker and type Profit Targets: Min range, max TP, runners, clustering Funded Account Rules: Account type, loss limits, margin, contracts Time Settings - Avoidance: Macro first 2 minutes, day-specific blocks Miscellaneous: Visual colors for FVGs, liquidity, labels ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 💡 Usage Guidelines Use on 1-minute timeframe (warning displays otherwise) Designed for futures (ES, NQ, MES, MNQ) and forex Enable bar magnifier for realistic backtesting TradingView Premium recommended for extended history Commission: $0.62/contract for futures accuracy ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 📈 Optimization Tips Focus on ONE trading model - don't combine everything Trade high-liquidity sessions (NY open is most active) Optimize in stages: time → filters → stoploss → trailing → avoidance Use realistic commission and slippage settings Avoid over-optimization - keep models simple Test across multiple market conditions ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ ⚠️ Risk Considerations Execution Risk: Fast markets can cause slippage beyond settings False Signals: Not all FVGs lead to profitable trades Time Sensitivity: Liquidity concepts work best during active sessions Market Conditions: Performance varies in trending vs ranging markets Capital Risk: Futures require appropriate margin and risk capital Leverage: Futures amplify both gains and losses Over-Optimization: Past performance does not guarantee future results ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ ⚠️ IMPORTANT DISCLAIMER Trading futures, forex, and other leveraged products involves substantial risk of loss and is not suitable for all investors. You could lose more than your initial investment. Never trade with money you cannot afford to lose. Past performance shown in backtests is NOT indicative of future results. No trading strategy guarantees profits. Markets are inherently unpredictable, and historical patterns may not repeat. This strategy is provided for EDUCATIONAL and INFORMATIONAL purposes only. It does not constitute financial advice, trading advice, or any other type of advice. The concepts are based on ICT (Inner Circle Trader) methodology as interpreted by the author. Before trading: • Understand the risks involved • Use proper position sizing • Always use stop-losses • Test thoroughly on demo accounts • Only trade with capital designated for risk By using this strategy, you acknowledge that you understand and accept these risks. Trade responsibly.Pine Script®策略由MW_Futures提供17
Trend Sniper ProTrend Sniper Pro - Advanced Trend & Breakout Strategy ## 🚀 Overview Trend Sniper Pro is not just another indicator; it is a professional trading system designed to filter out market noise and capture only high-probability moves. By combining **Price Action**, **Volume Confirmation**, and **Multi-Timeframe Analysis**, it operates with "sniper" precision. It avoids the trap of "overtrading"—a trader's worst enemy—by only pulling the trigger when conditions are perfect. 💡 **IMPORTANT TIP:** This strategy yields the best results on **Stocks** (e.g., US Equities, BIST) on **DAILY** charts. It is optimized for patient investors looking to catch major trends. ## 🔑 Key Features * **Dual-Layer Trend Filter**: Utilizes a modified SuperTrend alongside a robust Moving Average Alignment system to filter out false signals. * **Smart Volume Validation**: Rising prices without volume are often traps. Signals are only generated when accompanied by significant volume volume. * **Dynamic Risk Management**: Automatically plots **Risk/Reward Boxes** and **Trailing Stop Lines** (Teal for Bullish, Red for Bearish) upon entry. * **Yearly High/Low Filter**: A macro filter that prevents you from buying at historical tops or selling at historical bottoms. * **Compounding**: Automatically optimizes position size to compound gains during strong trends. ## 🆕 Crypto Mode A special mode has been added for the more volatile Crypto markets. When you check the **"Crypto Mode"** box in the settings, the strategy applies much stricter filters to filter out "pump & dump" wicks and noise. ## 🛠️ How It Works 1. **Trend Alignment**: If the long-term trend is not in your favor, no trade is taken. 2. **Breakout**: Detects a breakout when Volatility (ATR) and Volume thresholds are exceeded. 3. **Entry Trigger**: A position is opened only when Price, Volume, and Trend align perfectly. 4. **Exit**: Positions are closed via ATR-based Stop Loss or a profit-locking Trailing Stop. ## ⚙️ Settings Guide * **Crypto Mode**: Check this box for Cryptocurrencies. Leave unchecked for Stocks. * **Main Settings**: Adjust SuperTrend sensitivity. * **Risk Management**: Personalize your Stop Loss multiplier and profit targets. * **Visual Settings**: Toggle target lines or boxes on/off. ## ⚠️ Disclaimer This script is for educational purposes only and does not constitute financial advice. Past performance is not indicative of future results. Always backtest strategies on your specific pairs and timeframes before live trading. --- *Developed for professional traders looking for a systematic edge in trending markets.*Pine Script®策略由ozgurhan提供22290
Madstrat 2.0 StrategyMadstrat 2.0 Strategy Overview A multi-timeframe trading strategy implementing the Madstrat methodology with dual timeframe systems (15m/1hr and 30m/2hr), sophisticated day classification, and exhaustion-based exits. --- Signal Types (Priority Order) 1. **Day 3 Signals** - GSD/RSD Day 3 with full confluence 2. **Day 2 Signals** - GSD/RSD Day 2 with full confluence 3. **M3 EQ Entry** - HTF 50 EMA rejection at equilibrium + LTF 50 SMA touch + 9/50 cross 4. **Pure Madstrat** - All confluence requirements except day count --- Function Reference Instrument & Tolerance | Function | Purpose | |----------|---------| | `f_get_baseline_tolerance()` | Returns adaptive pip tolerance—wider for gold (~150 ticks), tighter for forex (~80 pips) | | `f_get_breakout_points()` | Returns breakout threshold by instrument type | Day Classification Engine (5m Authoritative) | Function | Purpose | |----------|---------| | `f_day_state_5m()` | **Core engine**: handles rollover detection, daily/weekly OHLC, GSD/RSD counting, inside days, FBR, clean breakouts | | `f_get_power_of_3_count()` | Maps DOW to Power of 3 (Mon=1, Tue=2, Wed=3, Thu=2, Fri=3) | Touch & Alignment Detection | Function | Purpose | |----------|---------| | `f_baseline_touch_buy/sell()` | Detects 50 EMA touch with directional close | | `f_touch_buy/sell()` | Generic level touch detection | | `f_update_touch_counter()` | Increments/resets touch bar counters | | `f_stack_buy/sell()` | Full stack check: `close > 9 > 18 > 50 EMA > 50 SMA` | | `f_ema_alignment_buy/sell()` | Basic 9/18 EMA alignment | | `f_ema_slope_bullish/bearish()` | All EMAs sloping same direction | | `f_candle_closed_above/below_emas()` | Candle position vs 9/18 EMAs | Setup Grading & HTF Confirmation | Function | Purpose | |----------|---------| | `f_grade_setup()` | Grades A/B setup based on multi-TF alignment + candle direction | | `f_htf_rejection_bearish/bullish()` | Detects HTF 50 EMA rejection patterns | Confluence Scoring | Function | Purpose | |----------|---------| | `f_get_required_confluence()` | Dynamic score requirement by day count (Day 1→5, Day 2→4, Day 3+→3) | | `f_confluence_score_day3()` | Scores Day 2/3 signals (max 10 factors) | | `f_confluence_score_pure()` | Scores Pure signals (max 9 factors) | Position & Risk Management | Function | Purpose | |----------|---------| | `f_position_size()` | Calculates qty from entry, SL, and risk % | | `f_calculate_rr()` | Computes risk-reward ratio | | `f_find_swing_high/low()` | Locates historical swings for TP3 | | `f_partial_close_longs/shorts()` | Closes % of all long/short entries | | `f_close_all_longs/shorts()` | Full position close | Exhaustion Areas (M1/M2) | Function | Purpose | |----------|---------| | `f_is_bullish/bearish_candle()` | Candle direction check | | `f_create_exhaustion_box()` | Draws exhaustion zone visualization | Session & Utilities | Function | Purpose | |----------|---------| | `f_session_string()` | Formats session time range | | `f_get_label_size()` | Converts string to `size.*` constant | | `f_chart_tf_minutes()` | Current chart TF in minutes | UI Tables | Function | Purpose | |----------|---------| | `f_auto_system()` / `f_selected_system()` | Auto-selects 15m or 30m system based on chart TF | | `f_draw_confluence_table()` | Renders confluence scoring panel | | `f_draw_status_table()` | Renders status/signal panel | | `f_status_row/header()`, `f_touch_status_text()` | Table cell helpers | --- Exit System | Exit | Trigger | Action | |------|---------|--------| | **TP1** | Price hits PDH (longs) / PDL (shorts) | Close 50% | | **TP2** | Price hits PWH / PWL | Close 30% (60% of remaining) | | **TP3** | Price hits next swing level | Close remaining 20% | | **M1-R1** | Test exhaustion zone + reject | Close 50% | | **M1-R2** | Break exhaustion + return | Close 50% | | **Stop Loss** | EMAs reverse + break entry candle | Full close | --- Key Entry Requirements - **All levels touched** (9/18/50 EMA + 50 SMA) - **Full stack alignment** - **5m EMA confirmation** - **HTF baseline + EQ touch** (within lookback) - **EQ rejection** (optional) - **Minimum RR threshold** - **Session filter** (optional) - **No inside day**Pine Script®策略由ChunkeeTrading提供已更新 20
SMC Liquidity Grab ProSMC LIquidity GRab Pro is an high probability strategy for the Smart Money Concept (SMC). It looks for liquidity sweeps also known as stop hunts, where large financial institutions move the price beyond significant levels in order to trigger market orders and then reverse the price quickly. Features 1. Liquidity Sweeps : It follows the previous 4 hour high/low liquidity in order to pinpoint stop runs. 2. Liquidity grab confirmation: Trade setup where price momentarily breaks through the liquidity level but then ends up again inside the range suggests that there’s been a false breakout. 3.Structure-Based Risk Management: Stop losses are placed beyond the latest swing high/low pivot, instead of basing it on a pip value. - Live Performance Dashboard - Allows you to display real-time data such as net profit, win rate, and active trade on your chart. -Customizable Risk-to-Reward- Traders can set risk/reward ratio as per their requirement. Default value is 2.0 RR. Graph Timeframe: This strategy is used on 5-minute or 15-minute charts. Chart Timeframe: Apply the strategy to 5-minute or 15-minute charts. HTF Configuration: Set the higher timeframe above your execution chart e.g., 240 minutes for 4-hours. Fine-Tuning: Adjust the swing lookback parameter to adapt stop-loss placement according to market volatility.Pine Script®策略由Ericem提供29
BTCUSD.P FUTURES Trading StrategyThis is hourly strategy based on Ema crossover , bos(break of structure) and coch (change of character). This strategy also trails the porfit and exits when the cnadle crosses (when short) over or under (when long) the trailing SL. I am still in the process of developing another trailing SL which kees track of the number of higher highs made from the high of the candle where the trade was executed. The winning percentage is over sixty, which is pretty decent by any standards. As per the backtested data this strategy has been delevering returns of over 100 USD every month - consistantly - for the last two years with an investment of 1000 dollars ( if we avail of 5x leverage this comes to around 20000 INR).Pine Script®策略由josephdeepak176提供3
EMA Color Flip Strategy + ATR Risk BoxesEMA ColorFlip Strategy A trend-following strategy that captures EMA color flips for high-probability intraday setups on Ethereum (ETH), Solana (SOL), and Dogecoin (DOGE). Uses ATR-based dynamic risk boxes to define precise entry zones, stop losses, and profit targets with asymmetric risk-reward. The approach focuses on clean trend shifts across multiple timeframes, filtering for sustained momentum moves while maintaining tight risk control. Designed for futures and crypto trading with consistent position sizing. Happy New Year! The strategy is off to a strong start in 2026 - here's to continued performance throughout the year! 🚀📈 Pine Script®策略由CoinCaveIdeas提供0
Delta Bubbles by exp3rts +Strategy Delta Bubbles is a powerful volume-based order flow tool that detects aggressive market activity, highlights trapped traders, and visualizes key liquidity zones on your chart — perfect for scalpers, intraday traders, and anyone trading momentum or reversals. 🧠 What It Does: 📈 Buy/Sell Bubbles: Detects aggressive buying/selling pressure using a volume delta approximation. ⏰ Bubble Alarms 🟩 Trap Zones: Highlights areas where traders likely got trapped (buying in downtrends or selling in uptrends). ⚠️ Potential Traps: Shows lighter “setup” zones for trades that may become traps. 🟥🟩 Colored Bars: Optional trend coloring for visual clarity (based on 50 EMA). 📉 Zone Liquidation: Automatically removes zones once price revisits them. 💵 Buy / Sell Signals 🗓️ Incl. non-repainting OrderBlocks 🧩 Customizable Settings: Bubble sensitivity and size thresholds. Trap zone width and minimum bubble size. Toggle trap liquidation, potential zones, colored bars, and bubble visibility. 📌 How to Use It: Look for trap zones forming against the trend (e.g., bearish bubble in an uptrend → green trap zone). Watch for retests of zones — these can be key levels for fades or breakouts. Combine with price action, support/resistance, VWAP, or other confluence tools. 🚀 Best For: Scalping and reversal trading on intraday timeframes (5m, 15m). Futures, indices (e.g., NASDAQ, S&P 500), crypto, or any liquid market. (This is the former Indicator version converted into a strategy.) Pine Script®策略由exp3rts提供已更新 2239
Eat My LunchboxLunchbox Strategy using 12pm - 1pm EST high low range. Sweep below goes long, sweep above goes short. 20 Point Stoploss. Profitable AF. Pine Script®策略由popdelapop提供2214
Ground Controla bunch of indicators to play with for stock trading strategy development Pine Script®策略由NYCoPPeRHeaD提供已更新 10
Silver Argentum Matrix (SAM)This strategy employs a proprietary 'Quantitative Resonance & Liquidity Filtering' model, engineered to capture high-probability trend ignition points within the Silver market. The core logic is defined by three distinct, non-disclosed components: Proprietary Multi-Factor Scoring Matrix The engine quantifies trend strength, momentum, and market energy into a custom weighted scoring system. Execution is triggered only during periods of "market resonance," effectively filtering out random noise and false breakouts. Institutional Value Zone Filtering Incorporates an advanced micro-structure analysis model to identify the "Value Zone" of major capital flow. By ensuring price action aligns with the core volume density, the strategy guarantees that every entry is backed by significant market depth. Inter-Market Dynamic Synchronization The strategy utilizes real-time external market correlations as a macro-environment filter. Trading activity is activated only when broader economic conditions favor the underlying asset's direction, significantly enhancing trade certainty. Adaptive Volatility & Risk Guard Features an integrated volatility threshold and a "Daily Risk Circuit Breaker." The system automatically shifts into defensive mode during low-liquidity periods or when daily risk limits are reached, ensuring long-term capital preservation. A data-driven quantitative engine that synchronizes multi-factor resonance with institutional value zones to achieve high-precision trend capture. BIST:XAGUSD1! Pine Script®策略由jinetkim455提供7
Gold VBO V2.3: Sniper (Best)🛡️ 極致風控邏輯 高報酬不再需要承擔高風險。這套系統專為「睡得著覺」而優化: 28.50% 的低回撤表現:透過限制 最大追價 4 USD 以及 持倉上限 2 單,我們成功將風險壓低至 30% 內的銀行級水準。 獨家「引線強制平倉」技術:不需等待收盤,只要引線觸及歐盤結構低點,系統立刻「斷尾求生」,杜絕任何瀑布式暴跌的損害。 拒絕過度交易:20 USD 的箱體高度限制確保我們只在市場動能最強時進場,徹底過濾無效的震盪磨損。 🛡️ Sniper’s Self-Protection: Extreme Risk Control Logic High returns no longer require reckless risk. The "Sniper Edition" is engineered with a "Safety First" DNA, ensuring institutional-grade capital protection: 28.50% Ultra-Low Maximum Drawdown: By strictly limiting the Maximum Chase to 4 USD and capping Pyramiding at 2 trades, we have successfully suppressed the drawdown to a professional level below 30%. Exclusive "Wick Force Exit" Technology: Our system doesn't wait for a candle to close; the moment the price wick touches the London session's structural low, the "Hard Stop" is triggered instantly to prevent catastrophic losses from market crashes. Strategic Noise Filtration (20 USD Box Limit): By setting a high entry threshold of a 20 USD minimum box height, we ensure the system only engages during periods of genuine market momentum, effectively filtering out over 80% of deceptive price action. Precision Entry Guard: The 4 USD Max Chase limit locks in your risk by ensuring you only enter trades near the breakout point, preventing "FOMO" entries that would otherwise widen your stop-loss distance. BIST:XAUUSD1! Pine Script®策略由jinetkim455提供7
AF Sniper V9 (Limit Hybrid) # 🚀 **AF Sniper V9 (Limit Hybrid) – The Ultimate Automation Tool** **Automate your trading with surgical precision and minimal fees.** The **AF Sniper V9** is not just another strategy; it is a complete **Execution Engine** designed to solve the biggest pain points of algorithmic trading: high fees, execution errors, and complex setups. Whether you trade Crypto or Stocks this tool adapts to the market and handles the technical heavy lifting for you. --- ### 🔥 **Key Features (Why this script?)** ✅ **1. Hybrid Execution (Limit vs. Market)** * **Save on Fees:** The new `Limit Mode` places orders at the current price (`Close`), aiming to capture **Maker Fees** (0.02%) instead of expensive Taker Fees. * **Market Mode:** Switch instantly to Market orders when speed is critical and you can't afford to miss a move. ✅ **2. Auto-Symbol Fixer ** * Forget about "Invalid Symbol" errors. * The script automatically detects if your chart symbol has a `.P` suffix (e.g., `BTCUSDT.P`) and cleans it to `BTCUSDT` before sending it to Bybit. * **Plug & Play:** Just add it to the chart, and it works. ✅ **3. Dual Strategy Mode (Long & Short)** * **One Script, Two Directions:** Use the simple dropdown menu to switch between `Long Mode` (Buying dips) and `Short Mode` (Selling pumps). * No need for separate scripts for different directions. ✅ **4. JSON Automation Generator** * No more writing complex JSON code manually. * The script generates the **exact** JSON payload required by Bybit (including Quantity precision fixes) and sends it via the alert message. --- ### 🧠 **The Logic (How it trades)** The strategy is based on a "Mean Reversion" approach combined with Trend Filtering: * **📈 Long Mode:** * **Trend:** Checks if the price is **ABOVE** the 200 EMA (Trend is bullish). * **Trigger:** Waits for the RSI to crash into oversold territory (Dip buying). * **Exit:** Sells when momentum peaks or hits a trailing stop. * **📉 Short Mode:** * **Trend:** Checks if the price is **BELOW** the 200 EMA (Trend is bearish). * **Trigger:** Waits for the RSI to spike into extreme overbought territory (Shorting pumps). * **Exit:** Covers when the price collapses. --- ### ⚙️ **How to Set Up (3 Simple Steps)** 1. **Add to Chart:** Apply the script to your desired timeframe (e.g., 30m or 1h). 2. **Configure:** * Choose your **Mode** (Long or Short). * Choose your **Order Type** (Limit for savings, Market for speed). 3. **Create Alert:** * In the Alert settings, select this strategy. * **CRITICAL:** In the "Message" box, delete everything and paste **ONLY** this magic placeholder: * `{{strategy.order.alert_message}}` That's it! The script will now send perfectly formatted JSON commands to your webhook. --- ### ⚠️ **Risk Disclaimer** *This tool is for educational purposes and automated execution. Trading cryptocurrencies involves significant risk. Always backtest with your specific settings and use proper risk management (Stop Loss).* --- **Created by AlgoFreaks** 🤖 *Data-Driven Trading Solutions.*Pine Script®策略由AlgoFreaks提供1
WC-Index Intraday- RSI Based Research Model🔍 Strategy Overview This is an index-focused intraday research strategy designed around RSI behavior and multi-timeframe RSI confirmation. The model studies intraday momentum exhaustion and pullback zones using confirmed RSI conditions, while maintaining strict time and trade discipline. Note: EMA indicators, if displayed on the chart, are used only for visual reference and are not part of the trade entry or exit logic. 🧠 Core Logic Trade decisions are based on: RSI of the current timeframe Confirmed 15-minute RSI values Multiple internal RSI research models (BUY / SELL variants) are used to classify intraday setups Signals are generated only after candle confirmation A single active trade framework is enforced using a global trade lock Automatic End-of-Day exit is applied to avoid overnight exposure ⏰ Trading Conditions Instrument: Index (tested on intraday timeframes such as 5-minute) Trading Style: Intraday only Time Window: 09:15 AM to 03:15 PM (IST) No overnight positions No averaging or pyramiding ⚙️ Technical Integrity Uses barstate.isconfirmed Uses lookahead = barmerge.lookahead_off Strategy does not repaint Backtest results may vary depending on instrument, timeframe, market volatility, and execution conditions ⚠️ Risk & Usage Notice This strategy is intended strictly for educational and research purposes only. Use of this research model requires an understanding of RSI behavior, intraday volatility, and risk management. 🛡️ Disclaimer Investment in securities market are subject to market risks. Read all the related documents carefully before investing. This strategy does not constitute investment advice, trading advice, or a recommendation. Backtest results are based on historical data and do not represent actual trading performance. Past performance is not indicative of future results. Users are solely responsible for their trading decisions and risk management. The securities quoted here are for illustration only and are not recommendatory. 🔗 wealthconsultant.in/disclaimer/Pine Script®策略由Wealth_Consultant_RA提供18