1) BANKNIFTY Index Advance-Decline count 2) Each session, it reads the number of stock are +Ve or -Ve 3) Whichever the side +Ve or -Ve side moving stock is more than count will be plotted 4) at +/- 7 drawn a dotted line if Count is > = +/-7 Nifty is moving in a strong army Eg:- in the current session, 7 Stock is moving in +Ve direction & 6 are in -Ve direction 7...
EXPERIMENTAL: Drawing RSI in the 4th dimension(time). It shows the fluctuations of the RSI and price change over a period of time(10) in a scatter like graph. there is a inversion of axis to make possible graphing the 2 properties.
Fama-French 3 Factor Model Extension of the Capital Asset Pricing Model (CAPM) CAPM Ra = Rfr + where, Ra = Return of the Asset Rfr = Risk-Free Rate βa = Beta Coefficient of the Asset Rm - Rfr = Market Risk Premium Fama-French 3 Factor r = rf + β1*(rm - rf) + β2(smh) +β3(hml) r = Expected rate of return rf = Risk-free rate ß = Factor’s coefficient...
Kal’s Multi-Time-Frame On-Balance-Volume Haar, also known as Kal’s MTF OBV Haar is a method/study for finding trending volume levels on stocks, indexes and cryptocurrencies using OBV, CMF and CCI over different time-frames (10Min, 1H, 4H, 1D, 1W, 1Month). Upon adding to the 10Min chart, the sample Image in Tradingview looks as follows: Note: Always check...
This Indicator add's a label over and below the previous candle which show's it's high and low values.
1) NIFTY Index Advance-Decline count 2) Each session, it reads the number of stock are +Ve or -Ve 3) Whichever the side +Ve or -Ve side moving stock is more than count will be plotted 4) at +/- 25 drawn a dotted line if Count is > = +/-25 Nifty is moving in a strong army Eg:- in the current session, 30 Stock is moving in +Ve direction & 10 are in -Ve...
Portfolio Metrics **New** 'returns' 'log returns' 'geometric returns' portfolio alpha portfolio beta portfolio,market correlation portfolio standard deviation portfolio variance mean portfolio returns maximum drawdown maximum gain
Stochastic refers to a randomly determined process and financial markets use stochastic models to represent the seemingly random behaviour of assets and then used by quantitative analysts to value options on asset prices The stochastic oscillator, developed by George Lane, presents the location of the closing price of a stock in relation to the high and low...
This is a simple script to highlight market sessions. It highlights Sydney, Tokyo, London, and New York sessions with transparent background colors. You are able to change session times, color, and transparency.
experimental: zigzag indicator with all the zigzag methods that im aware of(that matter atleast), theres something for all tastes there :P this will be the basis for zigzag tools i make in the future. note: some zigzags REPAINT.
A simple script that plots a SMA of "length" periods, plus and minus "Delta %" of SMA value. Many Stocks shows a pattern off bulixh/bearish correction based on a % instead of any numbes of Standard Deviations, like Bollinger Bands do. Default values: length = 21 Delta% = 25 Un script simple que permite graficar una SMA de "length" períodos, +- "Delta%", un...
Hello All, This is "Grab Trading System" script defined in the book "Trend Following" by Michael W. Covel. also named as "Two-box system". I made small changes and I guess that it can be improved more. The definition: Far box defines major trend; system trades only in same direction as major trend, meanwhile fading the signals of near box. Last trade in each...
The "BB 1.0" strategy is to buy in the upper band and sell in the lower band. The logic behind the "BB 1.0" strategy is to enter an operation that has room to develop.
Hello All, This the script for Moving Average Convergence Divergence – MACD of Thomas Aspray, and called as MACD-AS and you may get earlier signals than MACD. As MACD and MACD-AS are trend following indicators, they do not function well in sideway markets. An example how it gets earlier signals than MACD Good luck!
(1) What is Percentage of Stocks above Moving Average? Percentage of Stocks above Moving Average is a breadth indicator and could be used for both trend-followers and contrarians. a) Trend-Follow If 50%-70% of Stocks are above their 200MA, bullish momentum is forming and rally could last for next several weeks, months. (Confirmation) b) Contrarian If...
The McClellan Oscillator developed by Marian McClellan is a useful breadth indicator because it describes the acceleration that takes place in the breadth numbers. How to read McClellan Oscillator A positive or negative value gives a simplistic bullish or bearish statement about the short-term trend of the market Very low readings show oversold conditions ...
(1) What is Cumulative A/D Line? Cumulative A/D Line is a total of advancing issues - declining issues of all time. This can be used to know long-term trend.(weeks, months long) (2) How to use this? - Add this script to your chart. - Select the market from "Nasdaq", "NYSE", "Nasdaq+NYSE" - You could change the moving average.
(1) What is New High/New Low ratio? New High/New Low ratio is a ratio based on new 52-week high issues and new 52-week low issues. This indicator is best for identifying a bottom if you use this with other breadth indicators. However, this is not so useful to know the timing for short because bull momentum tends to continue. (Market top period is long, market...