Strategy based on the multi timeframe equally weighted RSI moving averages turned into single average and then cross of the 2 combined outputs, seems to be promising, default settings work good on 5m chart(better entry) but very filtered trade amount. If you want to use it on different timeframes be my guest and mess with adjustments, pretty much every aspect of...
Larry R. Williams explains this strategy in his book "Long-Term secrets to Short-Term trading", it consists of using two 3-period EMAs, one representing the Highs and the other the Lows. When the price falls below the 3-period Lows EMA we have a long signal. The trade is closed when the price closes above the 3-period Highs EMA . BINANCE:BTCUSDT
Greetings to all colleagues. I share this indicator turned into a strategy, (this is one of my first strategies so some inputs are missing and others are somewhat archaic) this cog is formed by three signals which can be reduced by dividing by phi Available settings: Length setting for signal Trigger parameter setting for strategy stoploss settings ...
The Percentage Change Method has historically been very effectively used by analysts on very long time horizons and very extreme percentage changes, for example a -6% or more drop in any index doesn't happen very often but it has very large implications and that much selling pressure typically leads to more selling at least for a while as a consequence of it....
All-Time High Strategy for Tech Stock In a bull market where valuation is completely neglected. For risk protect we choose a trade set up with stock that is going its break all time high. Given All-Time High days as input parameter for strategy. And stoploss by ema crossunder. Should give decent profit factor for bull run.
A strategy based on Use in wavy markets on high timeframes.
What it is: We use the Hodrick-Prescott filter applied to the closing price, and then take the outputted trendline and apply a custom vwap, the time frame of which is based on user input, not the default 1 day vwap . Then we go long if the value 2 bars ago is greater then one bar ago. We sell and color the bars and lines when the if the value of 2 bars ago is...
This is a consecutive bar up/down strategy for going long when the short condition is met or going short when the long condition is met. This is known in trading as taking contrarian signals and is helpful when an asset can provide only losses with a given strategy. In theory taking the opposing trade should produce a profit. With this strategy you can specify how...
Simple strategy based on crossing DI+ and DI- and Average True Range. Long entry when DI+ crossover DI- Short entry when DI+ crossunder DI- Stop Loss and Take Profits based on Average True Range. Default values are 1*ATR(14) for stop loss and 2*ATR(14) for Take Profit. Risk reward 1 to 2 ratio. Recommended default values, but you can change it if you...
Entry_Exit_Test . ------------------------------------ Function description ------------------------------------ You can automatically receive an entry alert when the conditions you specify are met. Settlement alerts can be sent automatically when the conditions you specify are met. Three types of moving averages can be...
Cond_for_Day_MA ------------------------------------ Function description ------------------------------------ You can automatically receive an entry alert when the conditions you specify are met. Settlement alerts can be sent automatically when the conditions you specify are met. Three types of moving averages can be...
A very simple and highly effective strategy LONG & SHORT that combines only 2 indicators: RSI 3 Moving Average Exponential (EMA) LONG Entry conditions are: EMA 20 cross over EMA 10 EMA 10 is above EMA 100 LONG Exit conditions are: RSI greater than 70 Or when X number of candles have passed and the trade is in profit. (Check Settings) ...
Hello All, This script is a framework to build strategies by combining indicators and conditions (long, short, exits). You are able to analyze your strategies in realtime by changing the input parameters related to indicators, conditions and their combinations. OVERVIEW With this Study/Strategy framework, you will be able to create strategy conditions,...
This tool allows you to test any variable value for MacD and Signal for going Long or Short with each market direction having customizable values for stop loss and take profit. For example, sometimes the MacD and Signal values are better with different lengths between Short and Long. You can use this tool to see them overlaid and determine the best settings for...
The On Balance Volume + Moving Average Strategy Parameters: 1H candles, ETHUSDT on BINANCEUS, commission percent uses Binance's maker/taker fees of 0.075% Strategy: I create a 30 day moving average of the On Balance Volume "obvSma = ta.sma(ta.obv, 30)." Then I use the following buy conditions: OBV crosses above the OBV moving average The obv drops x%...
Trading moon phases has become quite popular among traders, believing that there exists a relationship between moon phases and market movements. This strategy is based on an estimate of moon phases with the possibility to use different methods to determine long/short positions based on moon phases. Note that we assume moon phases are perfectly periodic with a...
Description : This strategy will enter a position when the following conditions are met: a) Main signal: When source data (ATR) diverts from its moving average value, and b) Confirmation: If predicted direction of trend is favorable. Assumptions : During periods of high price volatility, ATR diverts from its moving average value. Eventually, ATR should...
Software part of algotrading is simpler than you think. TradingView is a great place to do this actually. To present it, I'm publishing each of the default strategies you can find in Pinescript editor's "built-in" list with slight modification - I'm only adding 2 lines of code, which will trigger alerts, ready to be forwarded to your broker via TradingConnector...