CapitalCodersLLC

Capital Coders - Volume/Volatility Strategy

This strategy utilizes a combination of Volume and volatility to identify highly volatile candles, in periods of high and low volume trading. This allows the strategy to adjust to the market conditions. The Average True Range will highlight High Volatility breakouts, while the 24Hr Volume will determine weather the Trend will continue, or reverse.

Risk Management is an important part of any trading strategy. With this Strategy, you can leave your Risk calculator at home. Simply enter the maximum Risk per trade (% of your account) and let the Strategy determine your lot/position size.

Dynamically exit the market based on a single or multiple take profit levels. With simple configuration, this makes it easier than ever to dynamically exit the market.


Strategy includes the following features
  • Built in Risk Management
  • Variable Take Profit Levels
  • Built in Strategy Alerts
  • Signal Customization

受保護腳本
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