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BPS Dashboard (Aggressive & Conservative)

#BPS Dashboard (Aggressive & Conservative)
1. Adaptive Trading Mode – Allows switching between Conservative and Aggressive modes to control risk/reward and trade frequency.
2. Trend Detection – Uses 50- and 100-period linear regressions to define the market trend and smooths the slope for trend strength evaluation.
3. Volatility Calculation – Computes historical daily volatility and annualized volatility for expected move estimations.
4. Expected Move & Strikes – Calculates the expected price move for the target DTE and determines the Short Put and Long Put strikes accordingly.
5. Buffer & Spread – Computes the distance between current price and short put (“buffer”) and calculates the spread between short and long put for risk sizing.
6. Trade Setup Logic – Generates a TRADE signal if trend conditions, volatility limits, and mode settings align.
7. Probability of Profit (PoP) Approximation – Estimates the likelihood that the short put expires OTM using a lognormal approximation without relying on erf() for stability.
8. Visual Indicators on Chart – Plots linear regressions and shows a triangle below bars when a trade setup occurs, color-coded by mode (green for conservative, red for aggressive).
9. Dynamic Dashboard – Displays key metrics including Mode, Annual Volatility, Expected Move, Short/Long Put, Buffer, Spread, PoP, and Trade Status; uses color coding for easy interpretation.
10. Professional Styling – Clean, non-transparent dashboard with white text for readability; Mode and Status cells are color-coded to indicate risk/reward visually.
1. Adaptive Trading Mode – Allows switching between Conservative and Aggressive modes to control risk/reward and trade frequency.
2. Trend Detection – Uses 50- and 100-period linear regressions to define the market trend and smooths the slope for trend strength evaluation.
3. Volatility Calculation – Computes historical daily volatility and annualized volatility for expected move estimations.
4. Expected Move & Strikes – Calculates the expected price move for the target DTE and determines the Short Put and Long Put strikes accordingly.
5. Buffer & Spread – Computes the distance between current price and short put (“buffer”) and calculates the spread between short and long put for risk sizing.
6. Trade Setup Logic – Generates a TRADE signal if trend conditions, volatility limits, and mode settings align.
7. Probability of Profit (PoP) Approximation – Estimates the likelihood that the short put expires OTM using a lognormal approximation without relying on erf() for stability.
8. Visual Indicators on Chart – Plots linear regressions and shows a triangle below bars when a trade setup occurs, color-coded by mode (green for conservative, red for aggressive).
9. Dynamic Dashboard – Displays key metrics including Mode, Annual Volatility, Expected Move, Short/Long Put, Buffer, Spread, PoP, and Trade Status; uses color coding for easy interpretation.
10. Professional Styling – Clean, non-transparent dashboard with white text for readability; Mode and Status cells are color-coded to indicate risk/reward visually.
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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。
受保護腳本
此腳本以閉源形式發佈。 不過,您可以自由使用,沒有任何限制 — 點擊此處了解更多。
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。