Strategy!
Heize Signal V3헤이즈 시그널의 버전3인 "채널 전략"입니다. 헤이즈 시그널 버전 1과 같이 사용하면 하루에 진입 기회가 30번정도 나오게 됩니다.
15틱 익절/35틱 손절이였을때 아래의 수익과 승률, 최대손실폭을 확인해주시기 바랍니다.
수수료 전부 포함한 값입니다. (승률이 높기 때문에 리스크:보상 비율이 낮아도 이기는 전략이 됩니다.)
손절틱과 익절틱을 사용해 뇌동을 방지하며 매매할 수 있습니다.
imgur.com
감사합니다.
--------------------------------------------------------------------------------------------------------------------------------------
The version 3 of Heize Signal Strategy is now available. You can use it with version 1 to get more than 30 profitable entries in a day.
It is set to 15 pips for TP, 35 pips for SL. (The win rate is high enough to cover low R:R).
Please check profits/win rate/max drawdowns below. Commission is set to $3 per trades.
Thanks.
지표 체험과 문의는 개인 메세지로 주시면 되겠습니다.
PM me for trials/access.
[New series!] [Consistent Losing Strategies] 34 EMA Scalping//---------------------------INTRO------------------------------
Hi All!
Let me introduce myself as a semi-successful forex trader & lover of automation.
I've taken to algo trading and have been hunting down strategies (that usually use indicators) to automate, backtest, and hopefully implement in MT4.
Unfortunately, most strategies are complete bulls*** and the select cases that are shown to "prove" success are limited.
These strategy sources often do not provide useful analytics either.
I want to change that approach to trading! We can really benefit each other and the community by being methodical about backtesting
as well as evaluating our results with some kind of scoring heuristic.
As for what that standardized process looks like..well I'm still working on it.
I'm pretty much on Tv for multiple hours of the day, screening strategies via Pinescript and I'd like to start sharing my progress!
This is a new series I'd like to start on consistently losing strategies. I'll make all the code public, so if you think I've made a blunder
or approached a problem the wrong way, then drop me a DM or paste your fix into the comments.
//---------------------------STRAT------------------------------
34 EMA Scalping strategy (ref. forextradingstrategies4u )
How you're supposed to trade it:
BUY:
1. Market is in an down trend as shown by the 34 EMA
2. Price breaks above a downwards trend line
3. Price breaks above the 34 EMA
4. Look for a very bullish candlestick or chart pattern
SELL:
1. Look for the 34 EMA to show we are in an uptrend
2. Price breaks below an upwards sloping trend line
3. Price breaks below 34 EMA
4. Look for a bearish candlestick or a chart pattern
//---------------------------CONC------------------------------
Q: Why does it fail?
A: I believe this strategy relies too much on subjective input (aka, trendlines).
Q: Why does it fail as an algo?
A: The 34 EMA is no more predictive than any other EMA, although it does a good job at filtering out noise.
Q: Should I try it out?
A: No, it's trash. This is the proof that it is trash.
Heize Signal--Scalp Trades 안녕하세요 헤이즈입니다.
제 스크립트인 Trend Helper 기반으로 전략을 만들어보고 백테스팅을 했습니다.
스크립트는 5틱 익절로 설정이 되어있고
계약당 수수료 편도 3불로 1000불을 시작금액으로 시작했을때
승률 91.79%, 2주에 45%나 수익이 날 수 있습니다. 1계약으로요. 당연히 리페인팅 없는 지표입니다.
5틱이라도 하루에 10번정도 자리가 나와
5틱=25000원이니 100만원 시작으로 하루에 25만원을 벌 수 있게 됩니다.
더욱 더 재미난것은 이것은 지표 세계에서 가장 백테스팅 승률이 잘 나오기 힘든 1분봉에서 나왔다는 점입니다.
확실히 비트코인(스캠)보다는 차트가 더 잘 맞는다는것을 확인하실 수 있습니다.
차트를 보시다시피 Trend Helper 기반이라(초록색=상승추세 시작, 빨간색=하락추세 시작) 시그널이 나온 후 원웨이로 추세를 따라 올라가고 내려가는 경향이 큽니다. 따라서 5틱 익절만이 아니라 본인 차트대로 저항/지지 구간에서 익절하시면 45%보다 훨씬 크게 익절할 수 있습니다.
imgur.com
(TP 설정을 안하면 1921%--100틱 이상 먹는 자리들이 꽤나 많습니다. 하지만 그만큼 승률이 떨어지고 최대손실폭이 늘어납니다.)
도움이 되었다면 좋겠습니다 :)
___________________________________________________________________
Hello. This is Heize.
I made a strategy and did a back-testing based on my script--"Trend Helper."
The strategy is set to 5 pips for TP , commission as 3$ per trades($3 for going in, $3 for going out), $1000 for starting balance.
The result came out to be 91.79% win rate, and you can have 45% profit in 2 weeks with only 1 contract size.
5pips in NASDAQ is $25, and as the strategy gives about 10 signals per day, you can earn $250 per day with $1000 ideally.
Of course, there is NO REPAINTING.
More interestingly, this result is hard to believe as it came from 1-min chart, which is known to be very difficult to get a good back-testing result.
As you can see, because the strategy is based on "Trend Helper," you don't really have to take profit after 5 pips, as the price tends to continue to follow the "trend" it predicted(green for uptrend, red for downtrend).
imgur.com
(If you don't set TP as 5 pips, the strategy gives you 1921% profit--as it will give you 100+pips trades. However, you'll get lower win rate, and higher max drawdowns.)
I hope this helps :)
-3일 체험/ 사용 원하시면 트레이딩뷰 닉네임과 함께 메세지 주시면 됩니다.
-PM me if you are interested in trial/access.
Ichimoku Cloud - AppachaniSimple Ichimoku Strategy Build for Zenbot - Kumo Breakouts and Tenkan Kijun Crossover for Signals
Thank You - Amal Appachan Abraham for your inspiration
Tulkens ETHUSDC StrategyV3Hello,
My first strategy! I'nt know how to get it working on poloniex. Can somebody help me pls?
I also want to add a stop-loss off some kind but i coudn't get it to work properly.
Please comment on what i need to aprove.
Support/Resistance Algo-Tradeing StrategyThis strategy Automates Support and resistance trading and a tight trailing stop loss technique. The support and resistance levels are calculated from previous highs and lows; these levels are used to make two types of trades:
1. Break out trades, taking a trade if the market is able to push through a support or resistance level.
2. Liquidity pool rejection, also known as a stop loss hunt. When the market is brought past a key level (to take out stop losses) which traders (usually institutions) use to enter, which then reverses back through the support/resistance level where the strategy enters a trade.
An optional "volatility filter" may be used when on a suitable market. This means that trades are only entered when there is suitable volatility.
A tight stop loss is kept so most trades lose, but winning trades are left to run much further. So this is a very reliable profitable strategy on many markets.
For a limited time I will provide access to this strategy for free as it is not yet complete, there is still testing to do and I would appreciate any feedback.
Cyatophilum Crypto Trader 1H [BACKTEST]A strategy specificaly engineered for trading altcoins.
Crypto pairs configurations already available: ADA/BTC, BNB/BTC, EOS/BTC, ETH/BTC, ICX/BTC, NEO/BTC, TRX/BTC, XLM/BTC, XMR/BTC, XRP/BTC.
Note: You can use this backtest version for finding the best configuration for your pair if it isn't in the list. I will also be there to help you.
How it Works
The strategy is based upon two Exponential Moving Averages, it captures trend reversals, fakeouts, has a stop loss option and more (see the presentation page for input parameters description).
It should be used in 1 Hour timeframe and on any pair of cryptocurrency.
Backtest
The Net Profit (Gross profit - Gross loss) is calculated with a commission of 0.05% on each order.
Each trade is made with 100 % of equity
Get the indicator today!
Purchase on my website : blockchainfiesta.com
Directional Indicator Strategy v1.2ADX Trading Strategy , using
ADX, D+ and D-
RSI
Historical Volatility
Hull Moving Averange for the price trend
Stop-loss
The Strategy Report is based on 10.000 USD initial investment without pyramiding, starting on januari the 1st 2018, on a 1D time frame. Taking in account a 0.2% Commission fee per trade.
MA cross strategy VtsThe simple Moving average cross strategy is here implemented.
I guess there are multitudes of similar scripts around.
I post this one since I was asked by some friends, and I'll let it free to use for anybody.
Here you can choose the year where to start backtesting, the source, the type of MA, the SL and TP multiplicators of ATR, for which you can also choose the averaging period.
Feel free to modify this script. I would be grateful if you could preserve the first lines of comments including my user names.
The MA cross strategies can be very effective, especially when used on the daily TF.
Try for example the combo EMA15-EMA30 SL=1.5ATR TP=1ATR on EURCHF daily to get an impressive 83% win ratio.
Or EMA20-EMA81 on the GBPCHF to get an 87%.
In those cases where EMA does not perform well, try to set a less lagging MA, like the Hull MA.
I hope you like this script so that you could push the like button multiple (odd) times and you start following me.
I've got a bunch of other interesting scripts to share.
Comments and suggestions are welcome.
Renko Strategy Open_CloseSimple Renko strategy, very profitable. Thanks to vacalo69 for the idea.
Rules when the strategy opens order at market as follows:
- Buy when previous brick (-1) was bearish and previous brick (-2) was bearish too and actual brick close is bullish
- Sell when previous brick (-1) was bullish and previous brick (-2) was bullish too and actual brick close is bearish
Rules when the strategy send stop order are the same but this time a stop buy or stop sell is placed (better overall results).
Note that strategy open an order only after that condition is met, at the beginning of next candle, so the actual close is not the actual price.
Only input is the brick size multiplier for stop loss and take profit: SL and TP are placed at (brick size)x(multiplier) Or put it very high if you want startegy to close order on opposite signal.
Adjust brick size considering:
- Strategy works well if there are three or more consecutive bricks of same "color"
- Expected Profit
- Drawdown
- Time on trade
This strategy uses Renko charts with TRADITIONAL bricks, so no repaint.
Study with alerts, MT4 expert advisor and jforex automatic strategy are available at request.
Please use comment section for any feedback.
HMA EABy default, the strategy works best on 1h timeframe. In theory, it should run well on any timeframe, but you will absolutely need to adjust the Hull Resolution. I recommend starting with 4x the current view (aka, if you are using 5m candles, set the resolution to 20min, which is 4 * 5m).
The settings are pretty self explanatory:
Start Month - Month of the year to begin backtest (automatically beings at 1st of month)
Risk Per Trade (%) - How much of your equity to risk on each trade.
Leverage - Amount of buying power/Margin you have available
Loss (pips) - Distance in pips from the entry to place Stop Loss
Profit (pips) - Distance in pips from entry to place target Take Profit
Trigger Trail (%) - Distance in percentage from entry to begin a trailing Stop Loss
Trail Dist. (pips) - Offset distance of trailing Stop Loss
Hull Res. (min) - Length of candle in minutes to use when calculating the HMA
Hull Period (bars) - Smoothing period for HMA
Goldclay movement (TF H1) for Trading Gold(XAUUSD)I test this scripts in Gold , mainly I use in Timeframe 15 min
( I try to use with other pairs , It is Ok after I finish test more parameter will post again)
This script will alarm when buy and exit buy , sell and exit sell.
Background :
Dark Green : Buy
Dark Red : Sell
Pink : may sell but not recommend or must use small lot size
Green : may buy but not recommend or must use small lot size
Blue : Interest zone for movement but not confirm buy or sell.
For position sizing I use Stoploss from Daily ATR with %Risk as shown.
you must try many parameter in TP SL %Risk ,....
But I think default value is Ok.
PRICE ACTION VIGORThis is the first of my RENKO strategies and studies series.
I'm developing some studies on Renko charts from a while and now is time to share the results.
This startegy is based on this idea: to measure the "vigor" or strength of a price action and to follow it.
I use Renko charts to identify the price action.
The indicator will rise or fall when a price action starts and it is flat at half of this movement.
Time frame should be 1 minute but I would need a premium account to have RENKO charts with one minute.
The most important point for this strategy is to set the correct brick size for each symbol.
Look in the result how you could obtain starting with a 1000€ account in just few months.
I have also a study with alerts so one could use autoview for automated trading. If you are interested to use it, follow me and add a comment.
Please use comment section for any feedback.
********************************** IMPORTANT*******************************
I have developed an expert advisor for metatrader4 (MT4) and for jforex platform: results of expert advisor form 2015-01-01 to 2018-11-25 are very good with low drawdown and good profit.
********************************************************************************
Vix spread Betting/CFD strategy. Highest profit factor ever?Recently I have noticed that many CFD and spread betting providers (I wont mention which ones but they are easy to find with a quick google search) are letting users "trade" the CBOE Volatility Index ( VIX ). I thought this was unusual as the VIX is not a purchasable asset; it is a measure of implied volatility (both long and short) on the S&P500 calculated through a formula using the price of S&P options. As far as I know the VIX has never been directly tradeable until now, VIX related products like ETFs which attempt to follow the VIX has been available for nearly two decades however they suffer greatly from slippage which makes them difficult to trade.
I am astonished that we are now, for the first time, able to bet on the result of a formula. I think that CFD and spread betting providers have made a mistake, they were probably just looking to add more tradable products and didn't think through fully that the VIX is not like any of their other products, and is much easier to profit from when using a quantitative strategy.
This strategy works live on 4H and daily charts and achieves absolutely ridiculous results. I set it to start with $100 initial capital, and over the course of 465 trades it made $73154339495899.86 profit due to compounding profits. This is a profit factor of 695603.753. I don't expect to earn this much profit myself as I am sure that CFD and spread betting providers will eventually realize that it was a mistake to let traders have positions betting on the outcome of a formula, and eventually stop allowing VIX trades to be placed. I am currently trading using this algorithm, and will maybe let others use this script eventually after I've had my fun. So follow me :)
Elliott wave strategy (lirshah)Elliott wave strategy has been written based on Elliott oscillator.
the strategy has good results on crypto pair at H1 time frame..
Strategy based on Squeeze Momentum Indicator [LazyBear]This Strategy is based on LazyBear Squeeze Momentum Indicator.
I added some custom feature and filters.
You can customize a lot of features to get a profitable strategy.
Here is a link to original study.
Please use comment section for any feedback.
Next improvement (only to whom is interested to this script and follows me): study with alerts on multiple tickers all at one. Leave a comment if you want to have access to study.
********************************** IMPORTANT*******************************
I have developed an expert advisor for metatrader4 (MT4) and for jforex platform: results of expert advisor form 2015-01-01 to 2018-11-25 are very good with low drawdown and good profit.
********************************************************************************