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RSI Mean Reversion

RSI Mean Reversion Strategy - Volatility Optimized
This strategy combines RSI mean reversion signals with intelligent market filtering and volatility-adapted risk management to maximize performance across different market conditions.
What it does: Identifies high-probability reversal opportunities when RSI reaches extreme levels (≤30 oversold, ≥70 overbought), but only trades when market conditions favor mean reversion strategies.
How it works:
RSI Signals: 14-period RSI identifies oversold/overbought extremes
Key Features:
Visual Indicators:
Performance Optimizations:
Best Used On:
Assets with 1%+ daily volatility in ranging or weak trending markets. Automatically filters out unsuitable conditions to protect capital.
This strategy addresses the main failure points of basic RSI systems by adding market context and volatility-appropriate risk management.
This strategy combines RSI mean reversion signals with intelligent market filtering and volatility-adapted risk management to maximize performance across different market conditions.
What it does: Identifies high-probability reversal opportunities when RSI reaches extreme levels (≤30 oversold, ≥70 overbought), but only trades when market conditions favor mean reversion strategies.
How it works:
RSI Signals: 14-period RSI identifies oversold/overbought extremes
- Smart Filtering: Avoids strong trending markets (>25% trend strength) where mean reversion fails
- Volatility Adapted: 20% stop loss accommodates natural price fluctuations in volatile assets
- Position Scaling: 5% equity per trade with pyramiding capability for strong setups
- Trend Awareness: Uses 50-period MA to determine market direction
Key Features:
- Volatility Optimized: 20% stop loss prevents premature exits in normal market noise
- Risk Management: 1:1 risk/reward ratio (20% stop loss, 20% profit target)
- Market Intelligence: Real-time suitability analysis prevents trading in unfavorable conditions
- Automation Ready: Built-in alert conditions for automated execution
Visual Indicators:
- Green background = Oversold in suitable market (BUY zone)
- Red background = Overbought in suitable market (SELL zone)
- Orange warnings = Strong trend detected - avoid trading
- Info table shows real-time market conditions and trade status
Performance Optimizations:
- Position size: 5% of equity for meaningful impact
- Pyramiding: Up to 2 positions for scaling into winners
- Designed for volatile assets that need breathing room
Best Used On:
Assets with 1%+ daily volatility in ranging or weak trending markets. Automatically filters out unsuitable conditions to protect capital.
This strategy addresses the main failure points of basic RSI systems by adding market context and volatility-appropriate risk management.
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開源腳本
本著TradingView的真正精神,此腳本的創建者將其開源,以便交易者可以查看和驗證其功能。向作者致敬!雖然您可以免費使用它,但請記住,重新發佈程式碼必須遵守我們的網站規則。
免責聲明
這些資訊和出版物並不意味著也不構成TradingView提供或認可的金融、投資、交易或其他類型的意見或建議。請在使用條款閱讀更多資訊。