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
僅限邀請腳本
僅作者批准的使用者才能訪問此腳本。您需要申請並獲得使用許可,通常需在付款後才能取得。更多詳情,請依照作者以下的指示操作,或直接聯絡Mukul_Trades。
TradingView不建議在未完全信任作者並了解其運作方式的情況下購買或使用腳本。您也可以在我們的社群腳本中找到免費的開源替代方案。
作者的說明
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
免責聲明
這些資訊和出版物並非旨在提供,也不構成TradingView提供或認可的任何形式的財務、投資、交易或其他類型的建議或推薦。請閱讀使用條款以了解更多資訊。
僅限邀請腳本
僅作者批准的使用者才能訪問此腳本。您需要申請並獲得使用許可,通常需在付款後才能取得。更多詳情,請依照作者以下的指示操作,或直接聯絡Mukul_Trades。
TradingView不建議在未完全信任作者並了解其運作方式的情況下購買或使用腳本。您也可以在我們的社群腳本中找到免費的開源替代方案。
作者的說明
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
免責聲明
這些資訊和出版物並非旨在提供,也不構成TradingView提供或認可的任何形式的財務、投資、交易或其他類型的建議或推薦。請閱讀使用條款以了解更多資訊。