KumoFlow Pro v1.0📌 Strategy Description: KumoFlow Pro v1.0
KumoFlow Pro is a momentum strategy that fuses the classic Ichimoku system with modern volume-based confirmations: VWMA (Volume Weighted Moving Average) and CMF (Chaikin Money Flow). It focuses not only on trend direction but also on whether the move is supported by genuine volume, enabling trades only on high-conviction breakouts.
🔍 Key Components:
- 🔹 Ichimoku: Captures trend direction, momentum, and support/resistance zones.
- 🔸 VWMA: Adds weight to volume-backed price moves and filters out weak breakouts.
- 🔸 CMF: Confirms the presence of real capital flow in the trade direction.
- 🔁 Trailing Stop: Dynamic exit mechanism that locks in profit once the trade is in gain. It is % based and adapts to price behavior.
🎯 Purpose of This Setup:
- Capitalize on short-term volatility
- Catch early breakouts with volume confirmation
- Preserve profits with precision via trailing exit
⚙️ OPTIMIZED PARAMETERS (BTC / 30MIN CHART):
- Ichimoku Tenkan/Kijun: 5 / 15
- Senkou B: 30
- VWMA & CMF Length: 10
- Trailing Trigger: 1.5%
- Trailing Offset: 1.0%
⚠️ DISCLAIMER:
This setup is tuned for fast-paced environments and frequent entries. It may produce false signals in choppy conditions. Please test and validate on demo or historical charts before live use.
🔧 All parameters are fully user-adjustable from the input panel. You may customize it for different timeframes or assets.
Moving Averages
Enhanced Ichimoku Cloud Strategy V1 [Quant Trading]Overview
This strategy combines the powerful Ichimoku Kinko Hyo system with a 171-period Exponential Moving Average (EMA) filter to create a robust trend-following approach. The strategy is designed for traders seeking to capitalize on strong momentum moves while using the Ichimoku cloud structure to identify optimal entry and exit points.
This is a patient, low-frequency trading system that prioritizes quality over quantity. In backtesting on Solana, the strategy achieved impressive results with approximately 3600% profit over just 29 trades, demonstrating its effectiveness at capturing major trend movements rather than attempting to profit from every market fluctuation. The extended parameters and strict entry criteria are specifically optimized for Solana's price action characteristics, making it well-suited for traders who prefer fewer, higher-conviction positions over high-frequency trading approaches.
What Makes This Strategy Original
This implementation enhances the traditional Ichimoku system by:
Custom Ichimoku Parameters: Uses non-standard periods (Conversion: 7, Base: 211, Lagging Span 2: 120, Displacement: 41) optimized for different market conditions
EMA Confirmation Filter: Incorporates a 171-period EMA as an additional trend confirmation layer
State Memory System: Implements a sophisticated memory system to track buy/sell states and prevent false signals
Dual Trade Modes: Offers both traditional Ichimoku signals ("Ichi") and cloud-based signals ("Cloud")
Breakout Confirmation: Requires price to break above the 25-period high for long entries
How It Works
Core Components
Ichimoku Elements:
-Conversion Line (Tenkan-sen): 7-period Donchian midpoint
-Base Line (Kijun-sen): 211-period Donchian midpoint
-Span A (Senkou Span A): Average of Conversion and Base lines, plotted 41 periods ahead
-Span B (Senkou Span B): 120-period Donchian midpoint, plotted 41 periods ahead
-Lagging Span (Chikou Span): Current close plotted 41 periods back
EMA Filter: 171-period EMA acts as a long-term trend filter
Entry Logic (Ichi Mode - Default)
A long position is triggered when ALL conditions are met:
Cloud Bullish: Span A > Span B (41 periods ago)
Breakout Confirmation: Current close > 25-period high
Ichimoku Bullish: Conversion Line > Base Line
Trend Alignment: Current close > 171-period EMA
State Memory: No previous buy signal is still active
Exit Logic
Positions are closed when:
Ichimoku Bearish: Conversion Line < Base Line
Alternative Cloud Mode
When "Cloud" mode is selected, the strategy uses:
Entry: Span A crosses above Span B with additional cloud and EMA confirmations
Exit: Span A crosses below Span B with cloud and EMA confirmations
Default Settings Explained
Strategy Properties
Initial Capital: $1,000 (realistic for average traders)
Position Size: 100% of equity (appropriate for backtesting single-asset strategies)
Commission: 0.1% (realistic for most brokers)
Slippage: 3 ticks (accounts for realistic execution costs)
Date Range: January 1, 2018 to December 31, 2069
Key Parameters
Conversion Periods: 7 (faster than traditional 9, more responsive to price changes)
Base Periods: 211 (much longer than traditional 26, provides stronger trend confirmation)
Lagging Span 2 Periods: 120 (custom period for stronger support/resistance levels)
Displacement: 41 (projects cloud further into future than standard 26)
EMA Period: 171 (long-term trend filter, approximately 8.5 months of daily data)
How to Use This Strategy
Best Market Conditions
Trending Markets: Works best in clearly trending markets where the cloud provides strong directional bias
Medium to Long-term Timeframes: Optimized for daily charts and higher timeframes
Volatile Assets: The breakout confirmation helps filter out weak signals in choppy markets
Risk Management
The strategy uses 100% equity allocation, suitable for backtesting single strategies
Consider reducing position size when implementing with real capital
Monitor the 25-period high breakout requirement as it may delay entries in fast-moving markets
Visual Elements
Green/Red Cloud: Shows bullish/bearish cloud conditions
Yellow Line: Conversion Line (Tenkan-sen)
Blue Line: Base Line (Kijun-sen)
Orange Line: 171-period EMA trend filter
Gray Line: Lagging Span (Chikou Span)
Important Considerations
Limitations
Lagging Nature: Like all Ichimoku strategies, signals may lag significant price moves
Whipsaw Risk: Extended periods of consolidation may generate false signals
Parameter Sensitivity: Custom parameters may not work equally well across all market conditions
Backtesting Notes
Results are based on historical data and past performance does not guarantee future results
The strategy includes realistic slippage and commission costs
Default settings are optimized for backtesting and may need adjustment for live trading
Risk Disclaimer
This strategy is for educational purposes only and should not be considered financial advice. Always conduct your own analysis and risk management before implementing any trading strategy. The unique parameter combinations used may not be suitable for all market conditions or trading styles.
Customization Options
Trade Mode: Switch between "Ichi" and "Cloud" signal generation
Short Trading: Option to enable short positions (disabled by default)
Date Range: Customize backtesting period
All Ichimoku Parameters: Fully customizable for different market conditions
This enhanced Ichimoku implementation provides a structured approach to trend following while maintaining the flexibility to adapt to different trading styles and market conditions.
Holy GrailThis is a long-only educational strategy that simulates what happens if you keep adding to a position during pullbacks and only exit when the asset hits a new All-Time High (ATH). It is intended for learning purposes only — not for live trading.
🧠 How it works:
The strategy identifies pullbacks using a simple moving average (MA).
When price dips below the MA, it begins monitoring for the first green candle (close > open).
That green candle signals a potential bottom, so it adds to the position.
If price goes lower, it waits for the next green candle and adds again.
The exit happens after ATH — it sells on each red candle (close < open) once a new ATH is reached.
You can adjust:
MA length (defines what’s considered a pullback)
Initial buy % (how much to pre-fill before signals start)
Buy % per signal (after pullback green candle)
Exit % per red candle after ATH
📊 Intended assets & timeframes:
This strategy is designed for broad market indices and long-term appreciating assets, such as:
SPY, NASDAQ, DAX, FTSE
Use it only on 1D or higher timeframes — it’s not meant for scalping or short-term trading.
⚠️ Important Limitations:
Long-only: The script does not short. It assumes the asset will eventually recover to a new ATH.
Not for all assets: It won't work on assets that may never recover (e.g., single stocks or speculative tokens).
Slow capital deployment: Entries happen gradually and may take a long time to close.
Not optimized for returns: Buy & hold can outperform this strategy.
No slippage, fees, or funding costs included.
This is not a performance strategy. It’s a teaching tool to show that:
High win rate ≠ high profitability
Patience can be deceiving
Many signals = long capital lock-in
🎓 Why it exists:
The purpose of this strategy is to demonstrate market psychology and risk overconfidence. Traders often chase strategies with high win rates without considering holding time, drawdowns, or opportunity cost.
This script helps visualize that phenomenon.
RAHA Indicator📈 RAHA Indicator
Roni's Adjusted Hybrid Average
The indicator developed by Aaron Roni Pesach combines an innovative RAHA average - an adjusted hybrid average with smart trend analysis, using additional oscillators in a sophisticated way.
LONG and SHORT signals are given only when:
✅ Technical conditions confirm
✅ And the long-term trend is consistent
RAHA Indicator helps traders identify entry points while filtering out noise and market anomalies.
📈 RAHA Indicator
Roni's Adjusted Hybrid Average
האינדיקטור שפותח על ידי אהרון רוני פסח משלב ממוצע חדשני מסוג RAHA - ממוצע היברידי מתואם עם ניתוח מגמה חכם, באמצעות שימוש במתנדים נוספים באופן מתוחכם.
איתותי LONG ו‑SHORT ניתנים רק כאשר:
✅ התנאים הטכניים מאשרים
✅ והמגמה בטווח ארוך תואמת
RAHA Indicator מסייע לסוחרים לזהות נקודות כניסה תוך סינון רעשים וחריגות שוק.
WT-FLOW: MTF WaveTrend Trend-Follower📘 Strategy Introduction: WT-FLOW (WaveTrend Trend-Follower)
WT-FLOW is a multi-timeframe trend-following strategy specifically **optimized for the 15-minute timeframe** on the BTC/USDT trading pair. It is designed to help professional users follow buy/sell trends with high precision.
The strategy utilizes a three-tiered time alignment:
- **240min WaveTrend**: Macro trend filter (determines high-timeframe direction)
- **30min WaveTrend**: Momentum confirmation (validates trend continuation)
- **15min WaveTrend**: Signal generation (entries and exits are executed here)
It features an advanced **Trailing Stop** mechanism that includes maximum gain-based tracking logic and percentage-based fallback tolerance. Entry and exit points are marked on the chart with colored labels (🟢🔴❅❄), including bar index information.
⚙️ Technical Features:
- Compatible with Pine Script v5
- Backtestable via the `strategy()` block
- Supports both Long and Short position tracking
- Trailing Stop and Marginal Stop systems work in tandem
⚠️ Disclaimer:
This strategy is based on historical data. It should not be used in live markets without manual confirmation and appropriate risk management. Use is at your own risk.
Relative Volume Strategy📈 Relative Volume Strategy by GabrielAmadeusLau
This Pine Script strategy combines volume-based momentum analysis with price action filtering, breakout detection, and dynamic stop-loss/take-profit logic, allowing for highly adaptable long and short entries. It is particularly suited for traders looking to identify reversals or continuation setups based on relative volume spikes and candle behavior.
🧠 Core Concept
At its core, this strategy uses a Relative Volume %R oscillator, comparing the current volume to its historical range using a Williams %R-like calculation. The oscillator is paired with dual moving average filters (Fast & Slow) to identify when volume is expanding or contracting.
Entries are further refined using a configurable price action filter based on the structure of bullish or bearish candles:
Simple: Basic up/down bar
Filtered: Range-based strength confirmation
Aggressive: Momentum-based breakout
Inside: Reversal bar patterns
Combinations of the above can be toggled for both long and short entries.
⚙️ Configurable Features
Trade Direction Control: Choose between Long Only, Short Only, or Both.
Directional Bar Modes: Set different conditions for long and short bar types (Simple, Filtered, Aggressive, Inside).
Breakout Filter: Optional filter to exclude trades near 5-bar highs/lows to avoid poor R/R trades.
Stop Loss & Take Profit System:
ATR-based dynamic SL/TP.
Configurable multipliers for both SL and TP.
Timed Exit: Optional bar-based exit after a fixed number of candles.
Custom Volume MA Smoothing: Choose from various smoothing algorithms (SMA, EMA, JMA, T3, Super Smoother, etc.) for both fast and slow volume trends.
Relative Volume Threshold: Minimum %R level for trade filtering.
📊 Technical Indicators Used
Relative Volume %R: A modified version of Williams %R, calculated on volume.
Dual Volume MAs: Fast and Slow MAs for volume trends using user-selected smoothing.
ATR: Average True Range for dynamic SL/TP calculation.
Breakout High/Low: 5-bar breakout thresholds to avoid late entries.
🚀 Trade Logic
Long Entry:
Volume > Fast MA > Slow MA
Relative Volume %R > Threshold
Price passes long directional filter
Optional: below recent breakout high
Short Entry:
Volume < Fast MA < Slow MA
Relative Volume %R < 100 - Threshold
Price passes short directional filter
Optional: above recent breakout low
Exits:
After N bars (configurable)
ATR-based Stop Loss / Take Profit if enabled
📈 Visualization
Orange Columns: Relative Volume %R
Green Line: Fast Volume MA
Red Line: Slow Volume MA
💡 Use Case
Ideal for:
Reversal traders catching capitulation or accumulation spikes
Momentum traders looking for volume-confirmed trends
Quantitative strategy developers wanting modular MA and price action filter logic
Intraday scalpers or swing traders using relative volume dynamics
Created by: GabrielAmadeusLau
License: Mozilla Public License 2.0
🔗 mozilla.org
Volatility Flow X – MACD + Ichimoku Hybrid Trail🌥️ Volatility Flow X – Hybrid Ichimoku Cloud Explained
This strategy combines Ichimoku’s cloud structure with real-time price position.
Unlike standard Ichimoku coloring, the cloud here reflects both trend direction and price behavior.
🔍 What the Cloud Colors Mean
🟢 Green Cloud
Senkou A > Senkou B
Price is above the cloud
→ Indicates strong uptrend; suitable for long entries
🔴 Red Cloud
Senkou A < Senkou B
Price is below the cloud
→ Indicates strong downtrend; suitable for short entries
⚪ Gray Cloud
Price contradicts trend, or price is inside the cloud
→ Represents indecision, low momentum; best to avoid entries
⚙️ Technical Features
Ichimoku Components: Tenkan-sen, Kijun-sen, Senkou Span A & B, Chikou Span
Cloud Transparency: 30%
MACD Filter: Optional momentum confirmation (customizable)
Trailing Stop: Optional dynamic trailing stop after trigger level
Directional Control: Long and short trailing rules can be set independently
📚 References
Ichimoku Charts – Nicole Elliott
Algorithmic Trading – Ernie Chan
TradingView Pine Script and hybrid trend models
⚠️ Disclaimer
This strategy is for educational and backtesting purposes only.
It is not financial advice. Always test thoroughly before applying to real trades.
Superfui - AintLenFuiSuperfui - AintLenFui: A Multi-Strategy Trading Framework
It can work as great as your brain can process and throw your creative on it.
The name tributed to my friends who always support me.
Thank you so much for others' code. I use them to build this.
// --- Credits ---
// @veryfid for ATR SL
// @TradesLuci1 for Breakouts
// @Dreadblitz for Follow Line Indicator - ORC Crypto FLI_AAFLI
// @Misu for Range Detector
The "Superfui - AintLenFui" is not a single strategy but a comprehensive and adaptive trading framework. It intelligently combines three distinct sub-strategies into one powerful system, designed to perform across various market conditions—whether the market is trending, ranging, or transitioning.
The core strength of this framework lies in its versatility, robust risk management, and its non-repainting signal logic, ensuring that backtest results are reliable and align with live trading performance.
The Three Core Strategies (The Three Pillars)
This framework automatically identifies the market condition and deploys the most suitable strategy.
1.Breakout Strategy (Trend Following)
Objective: To capture momentum and ride strong trends.
How it Works: It identifies key support/resistance levels using Pivot Highs and Lows. A trade is triggered when the price decisively breaks through these levels, signaling the start or continuation of a trend.
Ideal Market: Strong trending markets (Uptrends or Downtrends).
2.Mean Reversion Strategy (Range Trading)
Objective: To profit from price fluctuations within a defined range.
How it Works: When the built-in "Range Detector" identifies a sideways market (indicated by orange bands), this strategy activates. It looks for buy opportunities when the price dips to the lower band (in an oversold RSI condition) and sell opportunities when the price rises to the upper band (in an overbought RSI condition).
Ideal Market: Sideways, choppy, or non-trending markets.
3.RD Signal Strategy (Momentum Ignition)
Objective: To catch the very beginning of a new trend as it emerges from a range.
How it Works: This strategy triggers a trade based on the Range Detector's color change. A signal is generated when the market state shifts from "Range" (Orange) to "Uptrend" (Green) for a long trade, or to "Downtrend" (Red) for a short trade.
Ideal Market: Market transitions from a range-bound state to a trending state.
Additional Advanced Filtering & Confirmation
To improve signal quality and reduce false entries, the framework employs a suite of professional-grade filters (Most of them are for Breakout):
Volatility Filter: Ensures trades are taken only when market volatility is within an optimal range.
Volume Confirmation: Validates breakout signals with a surge in trading volume.
ADX Filter: Confirms that a trend has sufficient strength before entering a Breakout trade.
Multi-Timeframe (MTF) Analysis: Aligns trades with the dominant trend on higher timeframes for increased probability.
MA & RSI Filters: Provide additional layers of confirmation for trade direction and momentum.
Robust Risk Management
Capital protection is a cornerstone of this strategy.
Flexible Stop Loss: Options for ATR-based, Candle-based, or fixed Points stop loss.
Breakeven: Automatically moves the stop loss to the entry point after a certain profit is reached, protecting the trade from turning into a loss.
Trailing Stop: Locks in profits by moving the stop loss as the price moves favorably.
Max Daily Drawdown: A critical safety feature that halts all trading for the day if a predefined equity loss percentage is hit, preventing catastrophic losses.
Key Feature: Non-Repainting Logic
The strategy is specifically coded to be non-repainting. It makes all trading decisions based on data from confirmed, closed candles. This means the signals you see in a backtest are exactly what you would have seen in real-time, providing a high degree of confidence in the strategy's historical performance.
Only Break and Retest StrategyCombines various strategies of Break and Retest along with VWAP and 9 MA.
MPS v3.2 – MicroStructure Pulse Scalper📌 MPS v3.2 – MicroStructure Pulse Scalper
Description:
MPS v3.2 is an advanced scalping strategy tailored for precision entries on low timeframes. Built around microstructure theory and volatility behavior, it integrates a fusion of institutional-grade filters for trade validation, including:
• VWAP Z-Score Deviation – mean-reversion logic from anchored value
• Volume Spike Detection – identifies aggressive orderflow surges
• Volatility Expansion – signals breakouts using dynamic ATR range
• Liquidity Sweeps (Stop-Hunts) – detects market maker traps
• Bullish/Bearish Pin Bar Confirmation – filters false sweeps
• Signal Clustering Memory – boosts signal reliability via AI-style memory
• Trend, Session, and Risk Filters – optional layers for alignment
• Visual Enhancements – gradient candles, entry zone heatmap, and stats panel
Key Features:
Risk/Reward-based exit OR VWAP take profit
Trailing stop functionality
Adaptive “Aggressive Mode” for early entries
Clean, minimal dashboard with live performance stats
Built for 1m–5m scalping, optimized for BTC/ETH and other liquid pairs
BTC SmartMoney + SQZMOM + EMA + Cloud + Trailing Stop (v2.5)🚀 BTC 15-Minute Smart Strategy: SmartMoney + SQZMOM + EMA + Trailing Stop
Designed specifically for the fast-paced and volatile crypto market, this strategy is finely tuned to deliver maximum performance on Bitcoin’s 15-minute chart.
🌟 Key Features:
SmartMoney Concepts (SMC) based CHoCH signals to detect market structure shifts and capture early trend reversals.
SQZMOM (Squeeze Momentum Oscillator) to gauge strong volatility and momentum confluence.
50 & 200 EMA Cloud combining short-term and long-term trend filters for reliable market direction.
ATR-based and manually adjustable Trailing Stop for flexible and automated risk management.
Scientifically optimized Take Profit and Stop Loss levels to minimize losses and maximize gains.
Clear exit labels on chart for real-time trade tracking and decision making.
🔥 Why Choose This Strategy?
Provides fast and reliable signals on 15-minute timeframe, protecting you against sudden market moves.
Maximizes profits with trailing stops while keeping risks controlled.
Built on professional financial models, ideal for both beginners and experienced traders.
📈 How to Use
Easily deploy on TradingView with flexible parameters that adjust to your trading style. Automates entry and exit decisions based on real-time market conditions.
A powerful companion for traders who want a reliable yet aggressive approach to BTC trading on the 15-minute timeframe.
SQZMOM Breakout Strategy📌 SQZMOM Breakout Strategy – Optimized for 15-Minute Intraday Trading
SQZMOM Breakout Strategy is a momentum and volatility-based algorithmic trading system, primarily built around the Squeeze Momentum (SQZMOM) indicator. It is specifically optimized for 15-minute timeframes to exploit intraday breakouts and trend continuations.
📊 Key Features:
✅ Breakout signals based on the Squeeze Momentum indicator
✅ Trend filter using 200-period WMA (visual only, not affecting entries)
✅ RSI filter to avoid trades in overbought/oversold zones
✅ Volume and ATR filters to confirm breakout quality
✅ Position sizing dynamically scales from 5% to 20% based on signal strength
✅ Trailing Stop Loss based on user-adjustable ATR multiple (default: 2.0 ATR)
✅ No fixed Take Profit: trades ride the trend using trailing stops
⚙️ Configurable Inputs:
Bollinger Band & Keltner Channel parameters
RSI thresholds (fixed at 40 to avoid early entries against momentum)
Trailing Stop distance defined by ATR Multiplier for Trailing Stop
All parameters are user-tunable for further optimization
🟢 When Does It Enter a Trade?
Long Entry:
SQZMOM fires bullish breakout + momentum increases + price above WMA200 + sufficient volume & ATR + RSI > 40
Short Entry:
SQZMOM fires bearish breakout + momentum decreases + price below WMA200 + sufficient volume & ATR + RSI < 40
Signal entries are deferred until all filters (especially RSI) align — no crossover logic is used
🎯 Trade Management:
Position Sizing: Adjusted according to momentum strength (val), from 5% to 20%
Exit Strategy: Trailing Stop only, no hard TP — lets profits run
TP/SL logic: Trailing SL moves dynamically with price, distance = ATR × multiplier
📚 Scientific & Practical Foundations:
The model is inspired by John Carter’s “TTM Squeeze” principle: volatility contraction followed by explosive momentum
Position sizing and ATR-based trailing logic follow Ernie Chan’s adaptive risk framework in Algorithmic Trading (2013)
RSI as a trend-quality gate is consistent with classic momentum confirmation rules
ZYTX CCI SuperTrendZYTX CCI SuperTrend
The definitive integration of CCI and SuperTrend trend-following indicators, delivering exemplary performance in automated trading bots.
ZYTX SuperTrend V1ZYTX SuperTrend V1 Indicator
Multi-strategy intelligent rebalancing with >95% win rate
Enables 24/7 automated trading
ZYTX GKDDThe ZYTX High-Sell Low-Buy Indicator Strategy is a trend-following indicator that integrates multiple indicator resonances. It demonstrates the perfect performance of an automated trading robot, truly achieving the high-sell low-buy strategy in trading.
GrowthX 365📌 GrowthX 365 — Adaptive Crypto Strategy
GrowthX 365 is a precision-built Pine Script strategy designed for crypto traders who want hands-off, high-frequency execution with clear, consistent logic.
It adapts dynamically to market volatility using multi-timeframe filters and manages exits with a smart 3-tier take-profit and stop-loss system.
Built for automation, GrowthX 365 helps eliminate emotional decision-making and gives traders a rules-based, 24/7 edge across major crypto pairs.
⚙️ Core Features:
• ✅ Multi-timeframe, non-repainting trend confirmation
• ✅ Configurable TP1 / TP2 / TP3 + Fixed SL
• ✅ Trailing stop & risk-reward tuning supported
• ✅ On-chart labels, trade visuals & stat dashboard
• ✅ Fully compatible with Cornix, WunderTrading, 3Commas bots
• ✅ Works in trending, ranging, and volatile markets
🧪 Strategy Backtest Highlights (May 2025)
🔹 EIGEN/USDT — 15m Timeframe
• Net Return: +318%
• Drawdown: $35 (3.5%)
• Trades: 247
• Win Rate: 49%
📸 Screenshot: ibb.co
🔹 AVAX/USDT — 15m Timeframe
• Net Return: +108%
• Drawdown: $22.5 (2.25%)
• Trades: 115
• Win Rate: 49%
📸 Screenshot: ibb.co
🧪 Backtest settings used:
Capital: $1000 • Risk per trade: $100 • Slippage: 0.1% • Commission: 0.04%
📌 These results reflect one-month performance. Strategy has shown similar behavior across coins like SOL, INJ, and ARB in trending markets.
⚠️ Backtest performance does not guarantee future results. Always validate settings per coin and timeframe.
Access:
This script is invite-only and closed-source.
Please check my profile signature for access details.
RAHA Strategy - Short
Roni's Adjusted Hybrid Average – a formula developed by Aharon Roni Pesach.
What is RAHA?
This is an adjusted hybrid average that gives different weight to outliers:
The extreme values (particularly high or low) receive a lower weight.
The calculation is based on the standard deviation and average of the data.
This results in a more sensitive but stable average that does not ignore outliers – but rather considers them in proportion.
The RAHA Short Strategy identifies a negative trend and enters when clear technical conditions are met, such as a downward slope of RAHA 40, RAHA 10 crossing below RAHA 20, and the absence of a sequence of 3 red candles.
Entry is also made in the exceptional case of a red candle above the Bollinger Band.
The position size is determined by 1% of the capital divided by the stop.
The exit is carried out by a stop above the high, or under additional conditions below the profit target (TP).
אסטרטגיית השורט RAHA מבוססת על נוסחת ממוצע ייחודית בשם RAHA – ראשי תיבות של:
Roni's Adjusted Hybrid Average – נוסחה שפיתח אהרון רוני פסח.
מהו RAHA?
מדובר בממוצע היברידי מתואם המעניק משקל שונה לנתונים חריגים:
הערכים הקיצוניים (גבוהים או נמוכים במיוחד) מקבלים משקל נמוך יותר.
החישוב מבוסס על סטיית התקן והממוצע של הנתונים.
כך מתקבל ממוצע רגיש אך יציב יותר, שאינו מתעלם מהחריגים – אלא מתחשב בהם בפרופורציה.
אסטרטגיית השורט RAHA מזהה מגמה שלילית ומבצעת כניסה כשמתקיימים תנאים טכניים ברורים, כמו שיפוע יורד של RAHA 40, חציית RAHA 10 מתחת ל‑RAHA 20, והיעדר רצף של 3 נרות אדומים.
הכניסה מבוצעת גם במקרה חריג של נר אדום מעל רצועת בולינגר.
גודל הפוזיציה נקבע לפי 1% מההון חלקי הסטופ.
היציאה מבוצעת לפי סטופ מעל הגבוה, או בתנאים נוספים מתחת ליעד הרווח (TP).
RAHA Strategy - LongThe RAHA Long Strategy is based on a unique average formula called RAHA – an acronym for:
Roni's Adjusted Hybrid Average – a formula developed by Aharon Roni Pesach.
What is RAHA?
This is an adjusted hybrid average that gives different weight to outliers:
The extreme values (particularly high or low) receive a lower weight.
The calculation is based on the standard deviation and average of the data.
This results in a more sensitive but stable average that does not ignore outliers – but rather considers them in proportion.
The RAHA Long Strategy identifies a positive trend and enters when clear technical conditions are met, such as an upward slope of RAHA 40, RAHA 10 crossing above RAHA 20, and the absence of a sequence of 3 green candles.
Entry is also made in the exceptional case of a green candle below the Bollinger Band.
The position size is determined by 1% of the capital divided by the stop.
The exit is carried out by a stop below the low, or under additional conditions above the profit target (TP).
אסטרטגיית הלונג RAHA מבוססת על נוסחת ממוצע ייחודית בשם RAHA – ראשי תיבות של :
Roni's Adjusted Hybrid Average – נוסחה שפיתח אהרון רוני פסח.
מהו RAHA?
מדובר בממוצע היברידי מתואם המעניק משקל שונה לנתונים חריגים:
הערכים הקיצוניים (גבוהים או נמוכים במיוחד) מקבלים משקל נמוך יותר.
החישוב מבוסס על סטיית התקן והממוצע של הנתונים.
כך מתקבל ממוצע רגיש אך יציב יותר, שאינו מתעלם מהחריגים – אלא מתחשב בהם בפרופורציה.
אסטרטגיית הלונג RAHA מזהה מגמה חיובית ומבצעת כניסה כשמתקיימים תנאים טכניים ברורים, כמו שיפוע עולה של RAHA 40, חציית RAHA 10 מעל RAHA 20, והיעדר רצף של 3 נרות ירוקים.
הכניסה מבוצעת גם במקרה חריג של נר ירוק מתחת לרצועת בולינגר.
גודל הפוזיציה נקבע לפי 1% מההון חלקי הסטופ.
היציאה מבוצעת לפי סטופ מתחת לנמוך, או בתנאים נוספים מעל יעד הרווח (TP).
Strategy with DI+/DI-, ADX, RSI, MACD, EMA + Time Stop [EXP. 1]🧠 Concept & Purpose
This strategy combines several time-tested technical indicators—DI+/DI-, ADX, RSI, MACD, and long-term EMAs—to filter trend strength, momentum, and timing precision. The goal was to develop a multi-layered trend-following system suitable for low timeframes (tested on BTCUSDT 5m) while controlling risk with tight stop-losses, a high reward ratio, and a time-based exit to avoid long exposure in sideways markets.
⚙️ Components & Logic
• ADX + DI+/DI-: Confirm the presence and direction of a strong trend.
• RSI: Used to filter momentum bias. Buy signals require RSI > 55, sell signals < 45.
• MACD Histogram: Ensures entry is aligned with short-term momentum shifts.
• Strong Candle Filter: Filters out weak entries using candle body % strength.
• EMA 600 & EMA 2400: Define long-term trend bias. Entries only occur within 25 bars after EMA crossover in trend direction.
• Time-Based Stop: If a trade doesn’t move at least 0.75% in favor within 85 bars, it is closed to minimize stagnation.
• Reward-Risk Management: 1% stop-loss, 7.5:1 reward-to-risk ratio.
• One Signal Per Trend Shift: Only takes the first entry after each EMA cross.
📊 Strategy Settings & Backtest Conditions
• Initial Capital: $10,000
• Commission: 0.1% per trade
• Timeframe: 5-minute
• Test Range: Jan–Apr 2023
• Sample Size: Limited (⚠️ <10 trades – experimental phase)
Backtest Results (v1.0)
This version showed:
• ✅ 66.7% win rate on 3 trades
• 📉 P/L: +11,257.46 USDT (+112.57%)
• 🔻 Max drawdown: 5.03%
• 📈 Profit factor: 11.01
In an earlier test configuration:
• ❌ 5 trades, 0 wins
• 📉 -14.45% total P&L
• ⚠️ All losses hit the 1.5% stop
• ⚠️ Profit factor: 0.00
This contrast shows how sensitive the logic is to market context and parameter tuning.
💡 Purpose of Publication
This strategy is experimental and educational. It is open-sourced for transparency and to help other traders learn how complex indicator stacking may or may not work in real environments. The failed and improved tests are both part of the process.
⚠️ Disclaimer
This script is not financial advice. Please do your own research, forward-test it thoroughly, and adjust parameters based on your asset and timeframe.
New MA Cross Strategy V6 By BRC Different MA added with resolution to improve performance using higher time frame
Ultimate Gold Automated Strategy By Golden BALLAGE
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🏆The Ultimate Gold Trading System for Serious Traders
🎯 Transform Your Gold Trading with my Professional-Grade Algorithm
Are you tired of inconsistent gold trading results? Ready to trade XAUUSD like institutional professionals? This advanced multi-timeframe strategy combines cutting-edge technical analysis with sophisticated risk management to deliver consistent, profitable results in the volatile gold market.
⚡ What Makes This Strategy Revolutionary?
🧠 Multi-Dimensional Market Analysis
* Multi-Timeframe Convergence: Analyzes higher and lower timeframes simultaneously for high-probability setups
* Dynamic Trend Detection: Advanced EMA system with slope analysis for precise trend identification
* Smart Momentum Filtering: RSI and MACD integration with divergence detection
* Market Structure Recognition: Automatic swing high/low detection and structure break analysis
🛡️ Institutional-Level Risk Management
* Dynamic Position Sizing: Automatically calculates optimal position size based on your risk tolerance
* Adaptive Stop Loss: ATR-based stops that adjust to market volatility
* Advanced Trailing System: Protects profits while letting winners run
* Drawdown Protection: Built-in emergency exits when market conditions deteriorate
* Risk-Reward Optimization: Minimum 2:1 RR ratio ensures favorable risk profile
🕐 Session-Aware Trading Intelligence
* Global Session Optimization: Trades only during high-liquidity sessions (London, NY, Asian)
* Overlap Priority: Focuses on London-NY overlap periods for maximum opportunity
* News Event Filtering: Automatically avoids high-impact news periods
* Spread Monitoring: Ensures optimal entry conditions with spread filtering
📊 Professional-Grade Features
🎨 Visual Intelligence Dashboard
* Color-Coded Trend Visualization: Instantly identify market direction
* Dynamic Support/Resistance Levels: Real-time key level identification
* Session Highlighting: Visual session overlay for optimal timing
* Volatility Warnings: Alerts for extreme market conditions
📈 Real-Time Performance Monitoring
* Live Statistics Table: Track win rate, profit factor, and drawdown in real-time
* Performance Metrics: Comprehensive analysis of strategy effectiveness
* Risk Monitoring: Current drawdown and equity tracking
* Session Status: Live indication of optimal trading periods
🎖️ Why Professional Traders Choose This Strategy
✅ Proven Performance Metrics
* High Win Rate Optimization: Designed for consistent profitability
* Superior Risk-Adjusted Returns: Maximum profit with controlled risk
* Adaptive to Market Conditions: Performs in trending and ranging markets
* Backtested Excellence: Thoroughly tested across multiple market cycles
✅ Complete Trading Solution
* No Guesswork: Algorithm handles all analysis and decision-making
* Emotional Trading Elimination: Systematic approach removes psychological barriers
* Time Efficiency: Perfect for busy professionals and part-time traders
* Scalable: Works with any account size with proper risk management
✅ Advanced Technology Stack
* Pine Script v6: Latest technology for optimal performance
* Multi-Indicator Fusion: Combines the best of technical analysis
* Real-Time Execution: Processes every tick for precise entries and exits
* Customizable Parameters: Fine-tune to match your trading style
🚀 Perfect For:
* Serious Gold Traders seeking consistent profits
* Busy Professionals who need automated precision
* Risk-Conscious Investors prioritizing capital preservation
* Swing Traders looking for high-probability setups
* Portfolio Managers requiring systematic approaches
💎 What You Get:
📋 Complete Strategy Package
* ✅ Detailed parameter explanations and optimization guide
* ✅ Risk management framework and position sizing calculator
* ✅ Session timing and market condition filters
* ✅ Visual dashboard with real-time performance metrics
📚 Comprehensive Documentation
* ✅ Strategy logic explanation
* ✅ Parameter optimization guidelines
* ✅ Risk management best practices
* ✅ Troubleshooting and common questions
* ✅ Performance analysis and improvement tips
🎯 Ongoing Support
* ✅ Setup assistance and installation guidance
* ✅ Parameter customization recommendations
* ✅ Strategy updates and improvements
* ✅ Market condition adaptation advice
⏰ Limited Time Opportunity
This professional-grade strategy represents months of development and years of trading experience condensed into a powerful, automated system. Don't let another profitable gold move pass you by.
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⚠️ Disclaimer: Past performance does not guarantee future results. Trading involves risk of capital loss. Only trade with money you can afford to lose.
EMA Cross Strategy only Long📈 EMA Cross Strategy – Only Long
Simple. Clean. Powerful. Designed for strong uptrends.
This is a long-only trend-following strategy based on the classic crossover of Exponential Moving Averages (EMAs). It’s designed for growth stocks and trending assets where upward momentum dominates.
⚙️ How it works:
Entry: when the Fast EMA crosses above the Slow EMA
Exit: when the Fast EMA crosses below the Slow EMA
No shorts, no reversals – just pure trend riding.
By default, the strategy uses 50/100 EMA, which has performed exceptionally well on stocks like NVIDIA (NVDA). These settings can be easily customized to fit your preferred asset or timeframe.
📊 Backtest Example – NVIDIA (NVDA, 1D timeframe)
Test parameters:
Initial capital: $10,000
Order size: 50% of equity per trade (adjustable in settings)
Results:
Net profit: +$2,037,563.63 USD
Gross profit: $2,127,432.33
Gross loss: $89,868.70
Max equity growth: $2,708,648.75 (+99.63%)
Drawdown: 20.00%
Buy & Hold profit: +$30,636,000 USD (but with far more exposure)
The strategy dramatically outperformed passive holding on a risk-adjusted basis, while keeping drawdowns and trade count under control.
🔧 Customization & Risk Management
In the Strategy Settings, you can adjust:
EMA lengths (default: 50 fast, 100 slow)
Order size as a % of equity (e.g., reduce below 50% to lower drawdown)
Backtest range and asset type (works well on growth stocks and trending commodities)
Try this on assets with strong bullish cycles like NVDA, AAPL, MSFT, or Gold (XAU/USD).
⚠️ Disclaimer
This script is for educational and backtesting purposes only. It is not financial advice. Please do your own research and test carefully before trading live.
Civan Ali'nin Sihirli Çizgisi🧙♂️ Civan Ali’s Magic Line
Sense the trends, don’t miss the moves!
This strategy is built on two magically effective foundations:
📏 Moving Averages (WMA 50 & 200) and
🧠 CCI signals powered by the IFT Combo filter.
How It Works
🔹 When price starts accelerating upward and the short-term average (WMA50) crosses above the long-term (WMA200), a potential long signal forms.
🔻 If it crosses downward, a short signal is considered.
But it doesn’t jump in immediately!
🎯 To avoid “noisy” market moves, the system uses an Inverse Fisher Transform (IFT) filter.
Only when momentum is truly strong does it allow trades.
Why It’s Different
✅ Detects trend direction
✅ Filters out weak signals
✅ Manages risk and profit intelligently
And while doing all that, it warns you with magical labels and emojis on the chart.
In short: It’s both effective and entertaining. 🎯