Dskyz (DAFE) GENESIS Dskyz (DAFE) GENESIS: Adaptive Quant, Real Regime Power
Let’s be honest: Most published strategies on TradingView look nearly identical—copy-paste “open-source quant,” generic “adaptive” buzzwords, the same shallow explanations. I’ve even fallen into this trap with my own previously posted strategies. Not this time.
What Makes This Unique
GENESIS is not a black-box mashup or a pre-built template. It’s the culmination of DAFE’s own adaptive, multi-factor, regime-aware quant engine—built to outperform, survive, and visualize live edge in anything from NQ/MNQ to stocks and crypto.
True multi-factor core: Volume/price imbalances, trend shifts, volatility compression/expansion, and RSI all interlock for signal creation.
Adaptive regime logic: Trades only in healthy, actionable conditions—no “one-size-fits-all” signals.
Momentum normalization: Uses rolling, percentile-based fast/slow EMA differentials, ALWAYS normalized, ALWAYS relevant—no “is it working?” ambiguity.
Position sizing that adapts: Not fixed-lot, not naive—not a loophole for revenge trading.
No hidden DCA or pyramiding—what you see is what you trade.
Dashboard and visual system: Directly connected to internal logic. If it’s shown, it’s used—and nothing cosmetic is presented on your chart that isn’t quantifiable.
📊 Inputs and What They Mean (Read Carefully)
Maximum Raw Score: How many distinct factors can contribute to regime/trade confidence (default 4). If you extend the quant logic, increase this.
RSI Length / Min RSI for Shorts / Max RSI for Longs: Fine-tunes how “overbought/oversold” matters; increase the length for smoother swings, tighten floors/ceilings for more extreme signals.
⚡ Regime & Momentum Gates
Min Normed Momentum/Score (Conf): Raise to demand only the strongest trends—your filter to avoid algorithmic chop.
🕒 Volatility & Session
ATR Lookback, ATR Low/High Percentile: These control your system’s awareness of when the market is dead or ultra-volatile. All sizing and filter logic adapts in real time.
Trading Session (hours): Easy filter for when entries are allowed; default is regular trading hours—no surprise overnight fills.
📊 Sizing & Risk
Max Dollar Risk / Base-Max Contracts: All sizing is adaptive, based on live regime and volatility state—never static or “just 1 contract.” Control your max exposures and real $ risk. ATR will effect losses in high volatility times.
🔄 Exits & Scaling
Stop/Trail/Scale multipliers: You choose how dynamic/flexible risk controls and profit-taking need to be. ATR-based, so everything auto-adjusts to the current market mode.
Visuals That Actually Matter
Dashboard (Top Right): Shows only live, relevant stats: scoring, status, position size, win %, win streak, total wins—all from actual trade engine state (not “simulated”).
Watermark (Bottom Right): Momentum bar visual is always-on, regime-aware, reflecting live regime confidence and momentum normalization. If the bar is empty, you’re truly in no-momentum. If it glows lime, you’re riding the strongest possible edge.
*No cosmetics, no hidden code distractions.
Backtest Settings
Initial capital: $10,000
Commission: Conservative, realistic roundtrip cost:
15–20 per contract (including slippage per side) I set this to $25
Slippage: 3 ticks per trade
Symbol: CME_MINI:NQ1!
Timeframe: 1 min (but works on all timeframes)
Order size: Adaptive, 1–3 contracts
No pyramiding, no hidden DCA
Why these settings?
These settings are intentionally strict and realistic, reflecting the true costs and risks of live trading. The 10,000 account size is accessible for most retail traders. 25/contract including 3 ticks of slippage are on the high side for NQ, ensuring the strategy is not curve-fit to perfect fills. If it works here, it will work in real conditions.
Why It Wins
While others put out “AI-powered” strategies with little logic or soul, GENESIS is ruthlessly practical. It is built around what keeps traders alive:
- Context-aware signals, not just patterns
- Tight, transparent risk
- Inputs that adapt, not confuse
- Visuals that clarify, not distract
- Code that runs clean, efficient, and with minimal overfitting risk (try it on QQQ, AMD, SOL, etc. out of the box)
Disclaimer (for TradingView compliance):
Trading is risky. Futures, stocks, and crypto can result in significant losses. Do not trade with funds you cannot afford to lose. This is for educational and informational purposes only. Use in simulation/backtest mode before live trading. No past performance is indicative of future results. Always understand your risk and ownership of your trades.
This will not be my last—my goal is to keep raising the bar until DAFE is a brand or I’m forced to take this private.
Use with discipline, use with clarity, and always trade smarter.
— Dskyz , powered by DAFE Trading Systems.
Moving Averages
mpa ai.v3**mpa ai.v3** is a professional, closed-source Invite-Only strategy developed by the MPA team. It is designed to detect high-probability trade opportunities using a hybrid system of market structure analysis and adaptive volatility-based filtering.
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**🔍 Strategy Logic:**
This script combines several proven trading concepts to ensure reliable entry and exit signals:
• **Smart Money Concepts:**
- Break of Structure (BoS)
- Liquidity Zones & Fair Value Gaps (FVG)
- Trend-based liquidity traps
• **Market Structure Engine:**
- Automatic recognition of HH/HL and LL/LH transitions
- Real-time directional bias detection
• **Adaptive Trend Filtering:**
- Dynamic ADX and EMA slope confirmation
- Adjusts thresholds based on current market volatility
• **Volatility-Aware Risk Management:**
- TP and SL are calculated from a combination of Fibonacci extension and ATR projection
- Risk/Reward ratios are adjusted based on live volatility regimes
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**🧠 Core Features:**
• Trend-confirmed signals only (no trades in range/noise)
• One position per signal to reduce noise and overtrading
• Backtest range fully configurable with calendar inputs
• TP/SL levels shown on the chart with real-time % labels
• Position auto-closes after 24 hours if target not reached
• Clean EMA overlays for visual clarity
• Full chart UI in English, script logic is obfuscated
• Optimized for 15-minute charts but adaptable to other timeframes
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**📊 Backtest Parameters:**
• Capital: `$10,000`
• Order Size: `$25,000` (Assumes 10x leverage)
• Slippage: `2 ticks`
• Commission: `0.05%`
• Margin Requirement: `10%` for long and short positions
• Backtest Duration: `3 months` (from Mar 15 to May 15, 2025)
• Trade size and stop loss ensure risk per trade is <2% of capital
These settings aim to replicate realistic conditions for leveraged accounts while maintaining statistical robustness.
Smart Scalping with Dashboard + Classic Entries *ProTrader*Smart Scalping with Dashboard + Classic Entries – Detailed Description (English)
The Smart Scalping with Dashboard + Classic Entries strategy is a high-precision, intraday trading system designed to capture short-term opportunities with the help of technical confirmation across multiple timeframes. It combines classic indicators like EMA, RSI, MACD, and ATR with a custom-built trend dashboard for visual trade alignment.
1. Multi-Timeframe Trend Confirmation
This strategy checks the relative position of two EMAs (9 and 21) across six timeframes:
5M, 15M, 30M, 1H, 4H, and 1D.
A timeframe is considered bullish if EMA9 > EMA21.
A trend dashboard shows arrow indicators (green/red) for each timeframe.
If at least 3 timeframes agree on direction, the setup is classified as a “Smart” trade.
2. Entry Conditions
Buy Signal:
EMA9 crosses above EMA21 (bullish crossover).
RSI is above a configurable threshold (default 60).
MACD line is above its signal line (momentum confirmation).
ATR is above a minimum level to ensure volatility (default 0.5).
Only during configured session hours (default: 08:00 to 20:00).
Last trade occurred more than N bars ago (default 10).
Sell Signal:
EMA9 crosses below EMA21 (bearish crossover).
RSI is below a configurable threshold (default 40).
MACD line is below its signal line.
ATR and session filters as above.
3. Smart Entries (Enhanced Visuals and Targets)
When the trend agreement is strong (3+ timeframes), the strategy:
Enters a “Smart Buy” or “Smart Sell”.
Draws a multi-segment arrow in trade direction.
Plots:
Entry line
TP1 and TP2 based on ATR multiples
Stop Loss based on ATR
Text labels for each key level
These visual aids help traders identify the setup and manage risk-reward intuitively.
4. Exit Strategy
All trades have clearly defined exits:
TP1: Configurable (default 2.5 × ATR)
SL: Configurable (default 1.5 × ATR)
Exits are handled with strategy.exit tied to the entry label.
5. Dashboard Interface
At the top-right of the chart:
Displays 6 timeframes with arrows indicating bullish or bearish alignment.
Automatically updates every 10 bars.
6. Scalping Precision + Trade Control
Filters low volatility markets via ATR.
Limits overtrading using barGap.
Session-based trading avoids overnight or low-liquidity trades.
الوصف التفصيلي لاستراتيجية "السكالبينغ الذكي مع لوحة الاتجاهات وإشارات الدخول الكلاسيكية" (Smart Scalping with Dashboard + Classic Entries)
تُعد هذه الاستراتيجية نظام تداول ذكي عالي الدقة مصمم خصيصًا للمتداولين اليوميين الذين يبحثون عن فرص قصيرة الأجل مدعومة بتأكيدات فنية عبر أطر زمنية متعددة. تجمع بين مؤشرات فنية كلاسيكية مثل المتوسطات المتحركة (EMA)، مؤشر القوة النسبية (RSI)، مؤشر الماكد (MACD)، ومؤشر التذبذب (ATR)، مع لوحة ذكية تبيّن اتجاه السوق عبر الأطر الزمنية المختلفة.
1. تأكيد الاتجاه عبر أطر زمنية متعددة
تتحقق الاستراتيجية من العلاقة بين المتوسط المتحرك السريع (EMA9) والبطيء (EMA21) في ستة أطر زمنية:
5 دقائق، 15 دقيقة، 30 دقيقة، ساعة، 4 ساعات، ويومي
الإطار الزمني يعتبر صاعدًا إذا كان EMA9 > EMA21.
يتم عرض لوحة الاتجاه (Dashboard) تحتوي على أسهم ملوّنة (أخضر/أحمر) لعرض اتجاه كل إطار زمني.
إذا توافق 3 أطر زمنية أو أكثر في نفس الاتجاه، تُصنّف الإشارة كـ “Smart Trade”.
2. شروط الدخول
إشارة شراء:
تقاطع EMA9 فوق EMA21 (تقاطع صاعد).
RSI أعلى من مستوى الشراء المحدد (افتراضيًا 60).
خط MACD أعلى من خط الإشارة.
ATR أعلى من الحد الأدنى لضمان وجود تقلب كافٍ (افتراضيًا 0.5).
ضمن ساعات التداول المحددة (افتراضيًا من 08:00 إلى 20:00).
مر وقت كافٍ منذ الصفقة الأخيرة (افتراضيًا 10 شموع).
إشارة بيع:
تقاطع EMA9 أسفل EMA21 (تقاطع هابط).
RSI تحت مستوى البيع المحدد (افتراضيًا 40).
خط MACD أسفل خط الإشارة.
نفس شروط ATR، الوقت، وعدد الشموع السابقة.
3. صفقات ذكية (Smart Entries)
عندما يكون هناك توافق قوي في الاتجاه (3 أطر زمنية فأكثر):
يتم الدخول تحت تسمية "Smart Buy" أو "Smart Sell".
يتم رسم سهم مائل متعدد الأجزاء في اتجاه الصفقة.
ترسم الاستراتيجية:
خط الدخول
TP1 وTP2 بناءً على مضاعفات ATR
وقف الخسارة (SL) بناءً على مضاعف ATR
تسميات توضح كل مستوى
4. استراتيجية الخروج
كل صفقة تحتوي على نقاط خروج محددة مسبقًا:
TP1: مضاعف ATR (افتراضيًا 2.5)
SL: مضاعف ATR (افتراضيًا 1.5)
يتم الخروج باستخدام strategy.exit المرتبطة بإشارة الدخول.
5. واجهة لوحة الاتجاهات (Dashboard)
في الزاوية اليمنى العلوية من الرسم:
تُعرض 6 أطر زمنية مع أسهم تمثل الاتجاه (صعود/هبوط).
OANDA:XAUUSD
يتم تحديث اللوحة تلقائيًا كل 10 شموع.
6. دقة السكالبينغ والتحكم في التداول
يتم تصفية الأسواق منخفضة التذبذب عبر ATR.
تُمنع الصفقات الزائدة عن طريق barGap.
لا يتم التداول خارج الجلسات المحددة لتفادي السيولة المنخفضة.
Delta Momentum ShiftThe "Delta Momentum Shift" strategy combines Bollinger Band breakouts with trend alignment and higher timeframe filtering to capture momentum moves.
#Entry Signals:
Long: Price crosses above upper Bollinger Band, Micro EMA above Macro EMA, and higher timeframe uptrend.
Short: Price crosses below lower Bollinger Band, Micro EMA below Macro EMA, and higher timeframe downtrend.
#Exit Logic:
Trailing Stop: Dynamic stop based on entry price percentage.
Opposite Band Cross: Close position if price crosses the opposite band.
Time Exit: Close trades after a specified number of bars.
#Indicators:
Bollinger Bands (SMA basis, standard deviation bands).
Dual EMA trend filter (Macro and Micro EMAs).
Higher timeframe SMA for trend confirmation.
#Parameter Optimization:
The strategy effectively leverages momentum and multi-timeframe trends but requires careful parameter tuning.
1. Test different combinations of bbPeriod, bbStretch, and EMA lengths across various assets to find optimal settings
2. Adjusting the trailing stop value.
The default settings work well for both BTCUSDT and ETHUSDT.
I recommend using it on a 1 hour timeframe with higher timeframe settings: daily.
HHC Trading BotThis PineScript code defines a trading strategy based on moving average crossovers with additional conditions and risk management. Here's a breakdown:
Strategy Overview
The strategy uses two Simple Moving Averages (SMA) with periods of 100 and 200. It generates buy and sell signals based on the crossover of these MAs, combined with RSI (Relative Strength Index) conditions.
Buy and Sell Conditions
Buy: Short MA crosses over Long MA, RSI < 70, and close price > open price.
Sell: Short MA crosses under Long MA, RSI > 30, and close price < open price.
Close Conditions
Close Long: Short MA crosses under Long MA or RSI > 80.
Close Short: Short MA crosses over Long MA or RSI < 20.
Risk Management
Stop Loss: 2% of the entry price.
Take Profit: 5% of the entry price.
Position Sizing
The strategy calculates the position size based on a risk percentage (1% of equity) and the stop loss percentage.
Some potential improvements to consider:
1. Optimize parameters: Experiment with different MA periods, RSI thresholds, and risk management settings to improve strategy performance.
2. Add more conditions: Consider incorporating other technical indicators or market conditions to refine the strategy.
3. Test on different assets: Evaluate the strategy's performance on various assets and timeframes.
If you have specific questions about this code or want further analysis, feel free to ask.
MMC Algo - HTF Trend + VWAPThe MMC Algo strategy is designed to help traders align entries with broader market structure using higher timeframe (HTF) confirmation. It combines the precision of intraday VWAP-based positioning with the directional clarity of a customizable HTF moving average (EMA or SMA).
🔧 Key Features:
VWAP + Standard Deviation Bands: Dynamic volume-weighted average price with optional 1 & 2 standard deviation bands for mean-reversion and breakout setups.
HTF Trend Filter: Overlay a higher timeframe EMA or SMA to follow macro trend structure. The timeframe and MA type are fully user-configurable.
Time Window Filter: Run the strategy only during a specific date range (helpful for backtesting custom periods).
Clean Visuals: No clutter—pure trend overlays and VWAP logic. You can build your own entry/exit signals on top.
🧠 Use Case:
Use this script to confirm directional bias (e.g., only take longs above the HTF trend) and identify overbought/oversold zones using VWAP deviations. Combine with your own entry triggers or price action logic for optimal performance.
Loom Algo By Anas TradzLoom Algo by ANAS TRADZ is a multi-layered algorithmic trading tool designed to identify high-probability trade setups across diverse markets.
It is built for traders who value adaptive strategies that react to market structure, not just simple indicator signals.
🔶 What Makes Loom Algo Unique?
Unlike typical scripts that combine public indicators with no added value, Loom Algo uses a proprietary filter alignment process where each component plays a specific role in context validation:
VWMA reflects short-term momentum within volume context.
Kalman smoothing identifies prevailing trend bias with reduced lag.
Regression midlines help frame dynamic support/resistance zones.
Supertrend & Donchian act as regime filters to assess breakout quality.
Additional layers (TEMA, DEMA, ADX) contribute to signal confirmation by adapting to volatility & price behavior.
All filters interact within a unified decision layer, ensuring signals are only triggered when multiple structural conditions align, reducing noise and false positives.
🔶 How Loom Algo Works
The strategy evaluates price within a dynamic bands environment using a custom smoothing algorithm, while signal conditions are confirmed across layered filters.
Each potential trade goes through a real-time validation process considering:
Trend direction & strength
Volatility context
Market structure (breakout or reversion)
Session timing filters
Signals are confirmed on candle close, ensuring non-repainting and reliable back testing.
🔶 Built-in Tools & Features
✅ Non-repainting Buy & Sell signals
✅ Adaptive signal engine reacting to market shifts
✅ Optional Stop Loss & Take Profit management
✅ Customizable Session Filter with time zone control
✅ Clean, unobtrusive chart visuals
✅ Fully back testable with realistic trade logic
✅ Compatible with standard, Heikin Ashi, and other candle types
🔶 Performance & Testing
Loom Algo has been back tested with a conservative amount risk per trade, using realistic commission and slippage settings.
While performance may vary based on user settings, the system is designed to adapt to both trending and ranging conditions.
🔶 Why It's Invite-Only & Paid
Although Loom Algo incorporates popular indicators, the true value lies in its proprietary filter alignment logic and smoothing model.
This is not a simple combination of off-the-shelf tools, but a carefully engineered strategy designed for flexibility, clarity, and consistent market adaptation.
The invite-only model ensures code protection and limited user distribution.
🔶 Back testing Settings Used in Preview
For transparency and realistic expectations, the performance preview of Loom Algo is based on the following strategy settings, chosen to reflect practical trading conditions:
Initial Capital: $10,000 USD
Position Size: 50% of available equity per trade
Commissions: 0.03% per trade
Slippage: 2 ticks
Indicator Configuration
The preview showcases Loom Algo’s default values, specifically designed for balanced trade identification:
Active Filters:
Filter1 (On)
Filter2 (On)
ADX Filter (On)
Momentum Type: Fast
Trade Speed: 4
Risk Management
Risk controls are enabled to demonstrate realistic position handling:
Stop Loss: 1% (0.01)
Take Profit: 2% (0.02)
No optimization was performed beyond default parameters to preserve the indicator's raw performance capability. Results are based on historical data and do not guarantee future outcomes.
Disclaimer: This tool is for educational purposes only. Past performance does not guarantee future results. It does not constitute financial advice or promise of profits.
買 賣 當沖此指標是我個人自行開發出來的,雖然沒有達到精準進出,但能做安全的快速進出,此指標的缺點是盤整期間的計算會些微虧損,我會持續加強內容來讓使用的人得到最大的獲利。
我叫Wilson-Wang,請多多指教~~
This indicator was personally developed by me. While it may not provide perfectly precise entry and exit points, it enables safe and quick trades. One drawback is that it can result in slight losses during sideways markets. I will continue to improve it to help users achieve maximum profit.
My name is Wilson Wang—nice to meet you, and I look forward to your support!
www.instagram.com
【SY】AI量化指标Description:
This is a trend-following quantitative trading strategy that combines Supertrend, multiple EMAs, and MACD indicators to identify optimal entry and exit points. It uses the 88-period SMA as a major trend filter and a 15-period EMA as a noise filter to reduce false signals. Entry signals are generated when price and trend indicators align for bullish or bearish momentum.
Stop-loss is dynamically set using Supertrend, and trailing stop-loss protects profits. MACD signal crosses provide additional take-profit alerts. The strategy supports configurable parameters for MACD cycles, trailing stops, and position sizing, allowing users to tailor risk and performance.
Suitable for swing trading on mid to long-term timeframes across various markets including crypto, stocks, and futures. Designed to reduce noise and capture medium-term trends effectively while managing risk within sustainable levels.
EMA Pullback Speed Strategy📌 **Overview**
The **EMA Pullback Speed Strategy** is a trend-following approach that combines **price momentum** and **Exponential Moving Averages (EMA)**.
It aims to identify high-probability entry points during brief pullbacks within ongoing uptrends or downtrends.
The strategy evaluates **speed of price movement**, **relative position to dynamic EMA**, and **candlestick patterns** to determine ideal timing for entries.
One of the key concepts is checking whether the price has **“not pulled back too much”**, helping focus only on situations where the trend is likely to continue.
⚠️ This strategy is designed for educational and research purposes only. It does not guarantee future profits.
🧭 **Purpose**
This strategy addresses the common issue of **"jumping in too late during trends and taking unnecessary losses."**
By waiting for a healthy pullback and confirming signs of **trend resumption**, traders can enter with greater confidence and reduce false entries.
🎯 **Strategy Objectives**
* Enter in the direction of the prevailing trend to increase win rate
* Filter out false signals using pullback depth, speed, and candlestick confirmations
* Predefine Take-Profit (TP) and Stop-Loss (SL) levels for safer, rule-based trading
✨ **Key Features**
* **Dynamic EMA**: Reacts faster when price moves quickly, slower when market is calm – adapting to current momentum
* **Pullback Filter**: Avoids trades when price pulls back too far (e.g., more than 5%), indicating a trend may be weakening
* **Speed Check**: Measures how strongly the price returns to the trend using candlestick body speed (open-to-close range in ticks)
📊 **Trading Rules**
**■ Long Entry Conditions:**
* Current price is above the dynamic EMA (indicating uptrend)
* Price has pulled back toward the EMA (a "buy the dip" situation)
* Pullback depth is within the threshold (not excessive)
* Candlesticks show consecutive bullish closes and break the previous high
* Price speed is strong (positive movement with momentum)
**■ Short Entry Conditions:**
* Current price is below the dynamic EMA (indicating downtrend)
* Price has pulled back up toward the EMA (a "sell the rally" setup)
* Pullback is within range (not too deep)
* Candlesticks show consecutive bearish closes and break the previous low
* Price speed is negative (downward momentum confirmed)
**■ Exit Conditions (TP/SL):**
* **Take-Profit (TP):** Fixed 1.5% target above/below entry price
* **Stop-Loss (SL):** Based on recent price volatility, calculated using ATR × 4
💰 **Risk Management Parameters**
* Symbol & Timeframe: BTCUSD on 1-hour chart (H1)
* Test Capital: \$3000 (simulated account)
* Commission: 0.02%
* Slippage: 2 ticks (minimal execution lag)
* Max risk per trade: 5% of account balance
* Backtest Period: Aug 30, 2023 – May 9, 2025
* Profit Factor (PF): 1.965 (Net profit ÷ Net loss, including spreads & fees)
⚙️ **Trading Parameters & Indicator Settings**
* Maximum EMA Length: 50
* Accelerator Multiplier: 3.0
* Pullback Threshold: 5.0%
* ATR Period: 14
* ATR Multiplier (SL distance): 4.0
* Fixed TP: 1.5%
* Short-term EMA: 21
* Long-term EMA: 50
* Long Speed Threshold: ≥ 1000.0 (ticks)
* Short Speed Threshold: ≤ -1000.0 (ticks)
⚠️Adjustments are based on BTCUSD.
⚠️Forex and other currency pairs require separate adjustments.
🔧 **Strategy Improvements & Uniqueness**
Unlike basic moving average crossovers or RSI triggers, this strategy emphasizes **"momentum-supported pullbacks"**.
By combining dynamic EMA, speed checks, and candlestick signals, it captures trades **as if surfing the wave of a trend.**
Its built-in filters help **avoid overextended pullbacks**, which often signal the trend is ending – making it more robust than traditional trend-following systems.
✅ **Summary**
The **EMA Pullback Speed Strategy** is easy to understand, rule-based, and highly reproducible – ideal for both beginners and intermediate traders.
Because it shows **clear visual entry/exit points** on the chart, it’s also a great tool for practicing discretionary trading decisions.
⚠️ Past performance is not a guarantee of future results.
Always respect your Stop-Loss levels and manage your position size according to your risk tolerance.
Lumen Signals Backtestlumen.trading
This strategy spots good trading opportunities by looking at both the big picture and small details. First, it checks if the market is heading up. Then it waits for three key signs to line up before buying. When it's time to sell, Lumen has two special triggers - one that catches early warning signs, and another that spots when momentum is fading. It's designed to catch solid moves while protecting your profits without needing constant attention.
Momentum v2The strategy is very simple, similar to DCA, but with more advanced filtering settings for opening a position and exiting it. The strategy has very few settings, but is very flexible. It can be used as a grid bot, as DCA, or as a strategy tied to a moving average.
Arena trend v2Arena Trend Strategy v2 is a multi-timeframe trend-following system that combines reliability with clear, intuitive visuals. It was designed for traders who want a strategy that is both effective and easy to understand—whether you’re scalping, day trading, or swing trading.
Overview
This strategy blends two RSI indicators (on separate timeframes), two dynamically weighted EMAs, a Supertrend filter, and an ATR-based visual cloud. Together, they provide an advanced trading environment with automatic SL/TP management and real-time trend cues on the chart.
How It Works
Two RSIs run in parallel: one on the current chart’s timeframe, and one on a higher timeframe you can select. These values are not shown on the chart but are actively used in the background to filter entries and avoid noise.
When all these conditions align, the trend line turns green on the chart – signaling a potential long entry. In bearish conditions, it turns red for a potential short. These color-coded signals can be customized or hidden completely.
SL and TP are handled automatically using your defined percentage values. Entry and exit arrows (blue, red, purple) appear directly on the chart.
Visual Elements
EMA Color Transitions
EMAs automatically change to green or red based on the trend direction. This offers instant visual feedback on market bias.
ATR-Based Dynamic Cloud
A layered “cloud” adapts based on volatility. Color gradients highlight market zones and directional movement. Soft border lines on top and bottom of the cloud reflect support and resistance without cluttering the chart.
Darker colors = strong trend (long or short)
Lighter colors = weak trend or sideways action
All cloud colors, transparencies, and layers are customizable.
Supertrend & ARTEMA
The classic Supertrend is enhanced with dynamic coloring based on direction and ATR movement. ARTEMA (Average Range Trend EMA) is a custom-built indicator using ATR logic to adapt EMA smoothing. It’s not visible on the chart, but crucial for the strategy’s responsiveness.
Filtering Logic
Volume Filter
Ensures trades only occur when a minimum volume threshold is met – reducing false signals during low liquidity.
Time-Based Filters
Lets you disable trading during specific time ranges (e.g., avoid high volatility or off-market hours).
Market Session Filters
Trade only during selected sessions – Asia, London, or New York.
Input Settings
SL / TP
Both are percentage-based and customizable per trade.
RSI Settings
RSI Source (e.g. close, hl2, etc.)
RSI1 Timeframe (e.g. chart timeframe)
RSI2 Timeframe (e.g. 4H, 1D)
Length individually adjustable for both
EMA Settings
EMA1 & EMA2 Length: Traditional periods, but their behavior is dynamically weighted
Weighting Factor: Controls responsiveness to ATR, ADX, and Volume
⚠️ The weighting factor significantly impacts performance – adjust carefully.
Cloud Display
Show/hide cloud, layers, centerline, and borders
Fully customizable colors and opacities
Trend Strength & Volatility
ADX measures trend strength (used internally for weighting, not visible)
Volume weighting helps ignore fake signals during low-activity candles
Volume Threshold
Set differently per asset – increasing the threshold gives stronger, more reliable entries
Low-volume candles will be marked with a red background
Session Filters
You can disable trading during the Asian session (or any time block)
Red background marks non-trading periods
Custom time-based blocks also available (e.g., skip New York open volatility)
Entry & Exit Logic
A trade is entered when the long/short conditions are met, and the direction is enabled (via “Only LONG?” or “Only SHORT?” toggles).
Positions are closed upon reaching SL or TP.
💡 Practical Use Cases
Scalping: Chart: 5min
RSI1: 5m, RSI2: 15m
Quick entries and fast TP (1–2%)
Day Trading: Chart: 15m or 1h
RSI2: 2H or 4H
SL: 2%, TP: 4% – emoji signals add confirmation
Swing Trading: Chart: 4H or 1D
RSI2: Weekly
Wider SL/TP, longer holds
⚠️ These are just examples – proper optimization is essential for each asset.
Behind the Scenes
This isn’t just a mash-up of indicators. Every part of the system is interconnected:
EMAs are dynamically weighted based on ATR, ADX, and Volume
The cloud + visual overlays help you spot strong vs weak signals instantly
The engine adapts to market speed – fast reactions in volatile moves, slower pace in sideways markets
Final Thoughts
Arena Trend Strategy v2 is not a magic wand – but it is a smart, adaptive technical system.
If you take time to understand what you’re seeing, it can help you make better, more confident trading decisions.
It’s beginner-friendly for those willing to learn, and powerful enough for advanced traders who appreciate the balance between automation and control.
📌 Note: Past performance does not guarantee future results.
The signaler pro Strategy based on divergence detection +liquidation+ filters for trend detection + volume filter + SMA + calculation You can set profit and loss (RR). Works great in small time frames and is also suitable for large time frames. Each asset must be configured appropriately. It is recommended to always activate ''USE OPPOSITE CONDITION FRO, EXIT FROM STRATEGY" Very effective on Bitcoin and Forex. www.thesignaler.com
Cruzamentos de EMAs 8, 20 e 50📈 Strategy Overview: EMA 8/20/50 Crossover System
This strategy uses a combination of EMA crossovers to identify and trade medium-term trend reversals, both long and short. It enters positions in two stages and exits them similarly, allowing for flexible scaling and better risk control.
🔧 Customizable Settings
Initial Capital: User-defined (default: $10,000)
Start Date: Customizable execution start date to control backtest range
🟩 Entry Conditions
LONG Entries:
Buy 60% of capital when EMA 8 crosses above EMA 20
Buy 40% of capital when EMA 8 crosses above EMA 50
SHORT Entries:
Sell short 60% of capital when EMA 8 crosses below EMA 20
Sell short 40% of capital when EMA 8 crosses below EMA 50
🟥 Exit Conditions
LONG Exits:
Close 60% of position when EMA 8 crosses below EMA 20
Close 40% of position when EMA 20 crosses below EMA 50
SHORT Exits:
Cover 60% of short when EMA 8 crosses above EMA 20
Cover 40% of short when EMA 20 crosses above EMA 50
🎯 Strategy Notes
All trades execute only after the user-defined start date
Uses strategy.percent_of_equity for dynamic capital allocation
Suitable for trend-following setups in stocks, crypto, or forex
Spot Trend Follower w/ MACDThis is a Spot market trend follower strategy that is optimizer for the bigger crypto currencies. Designed to grow a small account/ Utilizes MACD, and ATR/ATX technologies in its optimizations. Consistantly produces 50% win rate, and strong P&L Any feedback is welcome
[SM-004-v2.4] PSAR StrategyThis trend-following strategy combines Heikin Ashi candlestick analysis, the Parabolic SAR, RSI, and a 200-period EMA channel to identify breakout entries and manage exits. It aims to capture momentum-driven moves by entering trades on strong directional signals and exiting on trend reversals or weakening conditions.
Key Points
✅ Heikin Ashi candles filter noise and identify clean trend structures
✅ No lower/upper wick signals strength in trend direction (used as entry trigger)
✅ PSAR position confirms trend direction (below price for long, above for short)
✅ RSI filter ensures momentum alignment (>50 for longs, <50 for shorts)
✅ EMA channel prevents trades in sideways markets by requiring breakout
✅ Exits are triggered on PSAR flips or weakening candle structures
✅ Supports custom timeframe and date range filters
✅ Fully configurable for long/short, indicator parameters, and resolution
HMA 200 + EMA 20 Crossover StrategyThis strategy combines a long-term trend filter using the Hull Moving Average (HMA 200) with a short-term entry trigger using the Exponential Moving Average (EMA 20).
📈 Entry Logic:
Buy Entry: When price is above the HMA 200 and crosses above the EMA 20.
Sell Entry: When price is below the HMA 200 and crosses below the EMA 20.
The strategy closes the current position and reverses on the opposite signal.
⚙️ Strategy Settings (Backtest Configuration):
Position size: 10% of equity per trade
Commission: 0.1% per trade (to simulate broker fees)
Slippage: 2 ticks (to reflect realistic fill conditions)
✅ Purpose:
This script is designed to identify high-probability trades in the direction of the overall trend, avoiding whipsaw conditions. It is useful for traders looking for a dynamic crossover-based system that filters trades based on longer-term momentum.
🔎 Make sure to test across multiple assets and timeframes. For best results, apply this strategy to liquid trending markets like major FX pairs, indices, or high-cap stocks.
TLCproTLCpro Trading Strategy
Description
TLCpro is a multi-timeframe trend-following strategy that combines EMA crossovers, MACD filtering, RSI confirmation, and VWAP/Trend EMA as dynamic support/resistance levels. The strategy is optimized for 1-hour (1H) and 4-hour (4H) timeframes, ensuring adaptability to different market conditions.
Key Features
Dual EMA Crossover (Fast & Slow EMA) – Generates entry signals when the fast EMA crosses above/below the slow EMA.
MACD Filter – Confirms trend direction by requiring MACD histogram alignment with the trade direction.
RSI Filter – Avoids overbought/oversold conditions by enforcing RSI thresholds (default: RSI > 50 for long, RSI < 50 for short).
Trend Filter (4H Only) – Uses a 200-period EMA to ensure trades align with the broader trend.
VWAP Filter (1H Only) – Requires price to be above/below the daily VWAP for additional confirmation.
Smart Risk Management – Implements 3-tier take-profit (TP) levels and a trailing stop-loss (SL) that converts to breakeven (BE) after TP1 is hit.
How It Works
Entry Conditions
Long Entry:
Fast EMA (15) crosses above Slow EMA (30).
MACD histogram is positive.
RSI > 50 (configurable).
On 1H: Price above daily VWAP.
On 4H: Price above 200-period Trend EMA.
Short Entry:
Fast EMA (15) crosses below Slow EMA (30).
MACD histogram is negative.
RSI < 50 (configurable).
On 1H: Price below daily VWAP.
On 4H: Price below 200-period Trend EMA.
Exit & Risk Management
3 Take-Profit Levels (TP1, TP2, TP3) – Closes portions of the trade at predefined profit levels (default: 3%, 6%, 10%).
Dynamic Stop-Loss (SL) & Breakeven (BE) Logic:
Initial SL: Fixed at 3% from entry.
After TP1 is hit: SL moves to breakeven (entry price).
After TP2 is hit: SL moves to TP1 level, locking in partial profits.
Visual SL/TP Lines – Drawn on the chart for easy tracking.
Why TLCpro is Unique & Worth Using
Multi-Timeframe Adaptability: Uses different filters (VWAP for 1H, Trend EMA for 4H) to improve signal quality.
Smart Risk Management: Unlike static SL/TP strategies, TLCpro trails stops to lock in profits while minimizing risk.
High-Confirmation Filters: Combines EMA, MACD, RSI, and Trend/VWAP to reduce false signals.
Visual Clarity: Clearly marks SL, TP, and BE levels on the chart for intuitive trade management.
Backtesting & Risk Considerations
Realistic Risk per Trade: Default stop-loss is 3%, ensuring sustainable risk management.
Partial Profit-Taking: Exits 25% at TP1, 25% at TP2, and 50% at TP3, balancing risk and reward.
Commission & Slippage: Should be accounted for in live trading (adjust in strategy settings).
Recommended Capital: Works well with $1,000+ accounts due to percentage-based position sizing.
How to Use
Apply to 1H or 4H charts (optimized for these timeframes).
Default settings work well, but adjust EMA lengths, RSI thresholds, and TP/SL levels based on volatility.
Monitor SL/TP lines – The strategy auto-updates them as price moves.
Avoid over-optimization – Test on multiple instruments before live trading.
Final Notes
TLCpro is designed for swing traders and trend followers who want a systematic, rules-based approach with clear risk management. By combining multiple confirmation filters and dynamic stop adjustments, it aims to improve consistency in trending markets.
SuperTrade ST1 StrategyOverview
The SuperTrade ST1 Strategy is a long-only trend-following strategy that combines a Supertrend indicator with a 200-period EMA filter to isolate high-probability bullish trade setups. It is designed to operate in trending markets, using volatility-based exits with a strict 1:4 Risk-to-Reward (R:R) ratio, meaning that each trade targets a profit 4× the size of its predefined risk.
This strategy is ideal for traders looking to align with medium- to long-term trends, while maintaining disciplined risk control and minimal trade frequency.
How It Works
This strategy leverages three key components:
Supertrend Indicator
A trend-following indicator based on Average True Range (ATR).
Identifies bullish/bearish trend direction by plotting a trailing stop line that moves with price volatility.
200-period Exponential Moving Average (EMA) Filter
Trades are only taken when the price is above the EMA, ensuring participation only during confirmed uptrends.
Helps filter out counter-trend entries during market pullbacks or ranges.
ATR-Based Stop Loss and Take Profit
Each trade uses the ATR to calculate volatility-adjusted exit levels.
Stop Loss: 1× ATR below entry.
Take Profit: 4× ATR above entry (1:4 R:R).
This asymmetry ensures that even with a lower win rate, the strategy can remain profitable.
Entry Conditions
A long trade is triggered when:
Supertrend flips from bearish to bullish (trend reversal).
Price closes above the Supertrend line.
Price is above the 200 EMA (bullish market bias).
Exit Logic
Once a long position is entered:
Stop loss is set 1 ATR below entry.
Take profit is set 4 ATR above entry.
The strategy automatically exits the position on either target.
Backtest Settings
This strategy is configured for realistic backtesting, including:
$10,000 account size
2% equity risk per trade
0.1% commission
1 tick slippage
These settings aim to simulate real-world conditions and avoid overly optimistic results.
How to Use
Apply the script to any timeframe, though higher timeframes (1H, 4H, Daily) often yield more reliable signals.
Works best in clearly trending markets (especially in crypto, stocks, indices).
Can be paired with alerts for live trading or analysis.
Important Notes
This version is long-only by design. No short positions are executed.
Ideal for swing traders or position traders seeking asymmetric returns.
Users can modify the ATR period, Supertrend factor, or EMA filter length based on asset behavior.
SMPivot Gaussian Trend Strategy [Js.K]This open-source strategy combines a Gaussian-weighted moving average with “Smart Money” swing-pivot breaks (BoS = Break-of-Structure) to capture trend continuations and early reversals. It is intended for educational and research purposes only and must not be interpreted as financial advice.
How the logic works
-------------------
1. Gaussian Moving Average (GMA)
• A custom Gaussian kernel (length = 30 by default) smooths price while preserving turning points.
• A second pass (“Smoothed GMA”) further filters noise; only its direction is used for bias.
2. Swing-Pivot detection
• High/Low pivots are found with a symmetric look-back/forward window (Pivot Length = 20).
• The most recent confirmed pivot creates a dynamic structure level (UpdatedHigh / UpdatedLow).
3. Entry rules
Long
• Price closes above the most recent pivot high **and** above Smoothed GMA.
Short
• Price closes below the most recent pivot low **and** below Smoothed GMA.
4. Exit rules
• Fixed stop-loss and take-profit in percent of current price (user-defined).
• Separate parameters and on/off switches for longs and shorts.
5. Visuals
• GMA (dots) and Smoothed GMA (line).
• Structure break lines plus “BoS PH/PL” labels at the midpoint between pivot and break.
Inputs
------
Gaussian
• Gaussian Length (default 30) – smoothing window.
• Gaussian Scatterplot – toggle GMA dots.
Smart-Money Pivot
• Pivot Length (default 20).
• Bull / Bear colors.
Risk settings
• Long / Short enable.
• Individual SL % and TP % (default 1 % SL, 30 % TP).
• Strategy uses percent-of-equity sizing; initial capital defaults to 10 000 USD.
Adjust these to reflect your own account size, realistic commission and slippage.
Best practice & compliance notes
--------------------------------
• Test on a data sample that yields ≥ 100 trades to obtain statistically relevant results.
• Keep risk per trade below 5–10 % of equity; the default values comply with this guideline.
• Explain any custom settings you publish that differ from the defaults.
• Do **not** remove the code header or licence notice (MPL-2.0).
• Include realistic commission and slippage in your back-test before publishing.
• The script does **not** repaint; orders are processed on bar close.
Usage
-----
1. Add the script to any symbol / timeframe; intraday and swing timeframes both work—adjust lengths accordingly.
2. Configure SL/TP and position size to match your personal risk management.
3. Run “List of trades” and the performance summary to evaluate expectancy; forward-test before live use.
Disclaimer
----------
Trading involves substantial risk. Past performance based on back-testing is not necessarily indicative of future results. The author is **not** responsible for any financial losses arising from the use of this script.
PRO Strategy 3TP (v2.1.1)
English Version
PRO Strategy 3TP (v2.1.1) — Comprehensive Guide for TradingView
Strategy Concept & Uniqueness
The PRO Strategy 3TP is a trading system designed to follow market trends using a combination of tools that check trends across different timeframes, measure momentum, and manage risks smartly. Its standout feature is a three-step profit-taking system (hence "3TP") and its ability to adjust to market ups and downs, helping traders make the most of strong trends while keeping losses low in choppy markets.
Why It’s Special:
✅ Three Profit Levels: Takes profit in stages—33% at the first target (TP1), 33% at the second (TP2), and 34% at the third (TP3)—so you lock in gains gradually.
✅ Risk-Free After TP1: Once the first profit target is hit, the stop-loss moves to your entry price, meaning no more risk on the trade.
✅ Smarter Signals: Uses data from a higher timeframe (like 1-hour) to filter out false moves on your chart (like 15-minutes).
How It Works
The strategy uses four main tools to decide when to enter and exit trades. Here’s what they do in simple terms:
Trend Tools (EMA, HMA, SMA)
EMA (Exponential Moving Average): A line that tracks the price trend, reacting quickly to recent changes. Think of it as a fast guide to where the market’s heading.
Default: EMA 100 (looks at the last 100 bars).
HMA (Hull Moving Average): A smoother, faster-moving line that spots trend shifts earlier than most averages.
Default: HMA 50 (looks at the last 50 bars).
SMA (Simple Moving Average): A basic average of prices over time, great for seeing the big picture (bull or bear market).
Default: SMA 200 (looks at the last 200 bars).
How It Helps: These lines work together to make sure the trend is real across short, medium, and long terms.
Momentum Tool (CCI)
CCI (Commodity Channel Index): Tells you if the market is “overbought” (too high, ready to drop) or “oversold” (too low, ready to rise).
Buy when CCI < -100 (oversold).
Sell when CCI > +100 (overbought).
How It Helps: It picks the best moments to jump into a trade when prices are at extremes.
Trend Strength Tool (ADX)
ADX (Average Directional Index): Measures how strong a trend is. Higher numbers mean a stronger trend.
Default: ADX > 26 (only trades when the trend is strong enough).
How It Helps: Keeps you out of flat, boring markets where prices don’t move much.
Volatility Tool (ATR)
ATR (Average True Range): Shows how much the price typically moves up or down. It’s like a ruler for market “wiggle room.”
Default: ATR over 19 bars, used to set stop-loss (5x ATR) and profit targets (1x, 1.3x, 1.7x ATR).
How It Helps: Adjusts your trade exits based on how wild or calm the market is.
Entry Rules
Buy (Long): Price is above EMA, HMA, and SMA (checked on a higher timeframe) + CCI < -100 + ADX > 26.
Sell (Short): Price is below EMA, HMA, and SMA + CCI > +100 + ADX > 26.
Exit Rules
Stop-Loss: Set at 5x ATR away from your entry (e.g., if ATR is 10 points, stop-loss is 50 points away).
Breakeven: After TP1 is hit, stop-loss moves to your entry price—no more risk!
Profit Targets:
TP1: 1x ATR (closes 33% of your position).
TP2: 1.3x ATR (closes 33%).
TP3: 1.7x ATR (closes 34%).
Why This Mix Works
Fewer Mistakes: Checking trends on multiple timeframes cuts out 60-70% of bad signals (based on tests).
Adapts to the Market: ATR adjusts your stops and targets as the market changes—super useful for volatile assets like crypto.
Balanced Wins: The three-step profit system locks in gains early but lets you ride big trends too.
Setup Guide
Settings for Different Styles
Parameter Scalping (1-15M) Swing (1H-4H) Position (Daily)
EMA/HMA/SMA 50/20/Off 100/50/200 Off/Off/200
ADX Threshold 20 26 25
ATR Multipliers SL=3x, TP3=2x SL=5x SL=6x
Position Size
Formula: Contracts = Risk Amount / (Stop-Loss Distance × Value per Point)
Example: Risking $100, stop-loss is 50 points, each point = $2 → Trade 1 contract.
Multi-Timeframe Tip
Chart: 15-minute
Indicators: 1-hour
Rule: Only trade if the 15-minute price matches the 1-hour trend.
Why Use It?
Proven Results: 58-62% win rate on assets like Bitcoin, Ethereum, and S&P 500 (tested 2020-2023). Risk-to-reward ratio of 1.8-2.3.
Saves Time: Alerts tell you when to enter or exit—no need to watch the screen all day.
Flexible: Works for fast scalping, medium swing trades, or long-term positions.
FAQ
Why no trailing stop?
Trailing stops cut profits by 15-20% in tests because they exit too early. The breakeven stop protects your money better.
What about news events?
Use a bigger ATR (e.g., 50) and wider stop-loss (6x ATR) when markets get crazy.
Can I trade forex?
Yes! Try EMA=50, HMA=20, ATR=14 on EUR/USD 15-minute charts.
Risk Management
Risk per Trade: Stick to 1-2% of your account.
Weekly Check: Adjust ATR and stop-loss every Friday to match market conditions.
Emergency Plan: Manually move your stop-loss if something wild (like a “black swan” event) happens.
⚠️ Warning: Trading is risky. This strategy doesn’t promise profits. Always use a stop-loss.
Русская версия
Стратегия PRO 3TP (v2.1.1) — Полное руководство для TradingView
Концепция и уникальность
PRO Strategy 3TP — это система, которая следует за трендами на рынке, используя проверку трендов на разных таймфреймах, измерение импульса и умное управление рисками. Главная фишка — трехступенчатая фиксация прибыли (поэтому "3TP") и адаптация к изменениям на рынке, чтобы зарабатывать больше в сильных трендах и терять меньше в нестабильные времена.
Почему она особенная:
✅ Три уровня прибыли: Закрывает 33% на первом уровне (TP1), 33% на втором (TP2) и 34% на третьем (TP3) — прибыль фиксируется постепенно.
✅ Без риска после TP1: После первого уровня стоп-лосс сдвигается на точку входа — дальше риска нет.
✅ Умные сигналы: Использует данные с более старшего таймфрейма (например, 1 час) для фильтрации шума на вашем графике (например, 15 минут).
Как это работает
Стратегия использует четыре основных инструмента для входа и выхода из сделок. Вот что они значат простыми словами:
Инструменты тренда (EMA, HMA, SMA)
EMA (Экспоненциальная скользящая средняя) : Линия, которая следит за трендом и быстро реагирует на последние цены. Это как быстрый указатель направления рынка.
По умолчанию: EMA 100 (смотрит на последние 100 баров).
HMA (Скользящая средняя Халла): Более плавная и быстрая линия, которая раньше замечает смену тренда.
По умолчанию: HMA 50 (смотрит на последние 50 баров).
SMA (Простая скользящая средняя) : Просто средняя цена за период, показывает общую картину (быки или медведи).
По умолчанию: SMA 200 (смотрит на последние 200 баров).
Зачем это нужно: Эти линии вместе проверяют, что тренд настоящий на коротких, средних и длинных периодах.
Инструмент импульса (CCI)
CCI (Индекс товарного канала): Показывает, когда рынок “перекуплен” (слишком высоко, готов упасть) или “перепродан” (слишком низко, готов расти).
Покупка: CCI < -100 (перепродан).
Продажа: CCI > +100 (перекуплен).
Зачем это нужно: Помогает выбрать лучшее время для входа, когда цены на крайних значениях.
Инструмент силы тренда (ADX)
ADX (Индекс среднего направленного движения): Измеряет, насколько силен тренд. Чем выше число, тем сильнее движение.
По умолчанию: ADX > 26 (торгуем, только если тренд сильный).
Зачем это нужно: Не дает торговать, когда рынок стоит на месте и скучный.
Инструмент волатильности (ATR)
ATR (Средний истинный диапазон): Показывает, насколько сильно цена обычно “гуляет” вверх-вниз. Это как линейка для рыночных колебаний.
По умолчанию: ATR за 19 баров, стоп-лосс = 5x ATR, цели прибыли = 1x, 1.3x, 1.7x ATR.
Зачем это нужно: Настраивает выход из сделки в зависимости от того, насколько рынок спокоен или хаотичен.
Правила входа
Покупка (Лонг): Цена выше EMA, HMA и SMA (проверяется на старшем таймфрейме) + CCI < -100 + ADX > 26.
Продажа (Шорт): Цена ниже EMA, HMA и SMA + CCI > +100 + ADX > 26.
Правила выхода
Стоп-лосс: Устанавливается на 5x ATR от входа (например, если ATR = 10 пунктов, стоп = 50 пунктов).
Безубыток: После TP1 стоп-лосс сдвигается на цену входа — риска больше нет!
Цели прибыли:
TP1: 1x ATR (закрывает 33% позиции).
TP2: 1.3x ATR (закрывает 33%).
TP3: 1.7x ATR (закрывает 34%).
Почему эта комбинация работает
Меньше ошибок: Проверка тренда на разных таймфреймах убирает 60-70% ложных сигналов (по тестам).
Подстраивается под рынок: ATR меняет стопы и цели в зависимости от условий — важно для активов вроде крипты.
Умная прибыль: Трехступенчатая система фиксирует выгоду рано, но оставляет шанс заработать на большом тренде.
Как настроить
Настройки для разных стилей
Параметр Скальпинг (1-15М) Свинг (1H-4H) Долгосрок (Daily)
EMA/HMA/SMA 50/20/Выкл 100/50/200 Выкл/Выкл/200
Порог ADX 20 26 25
Множители ATR SL=3x, TP3=2x SL=5x SL=6x
Размер позиции
Формула: Контракты = Риск / (Расстояние до стоп-лосса × Стоимость пункта)
Пример: Риск $100, стоп-лосс 50 пунктов, 1 пункт = $2 → 1 контракт.
Совет по таймфреймам
График: 15 минут
Индикаторы: 1 час
Правило: Торгуй, только если тренд на 15 минутах совпадает с 1 часом.
Зачем это использовать?
Проверено: 58-62% успешных сделок на BTC, ETH, S&P 500 (тесты 2020-2023). Соотношение риск/прибыль 1.8-2.3.
Экономит время: Оповещения скажут, когда входить и выходить — не надо сидеть у экрана.
Гибкость: Подходит для быстрой торговли, среднесрочной и долгосрочной.
Часто задаваемые вопросы
Почему нет трейлинг-стопа?
Тесты показали, что он снижает прибыль на 15-20%, потому что выходит слишком рано. Безубыток лучше защищает деньги.
Что делать с новостями?
Увеличьте ATR (например, до 50) и стоп-лосс (6x ATR), когда рынок штормит.
Можно торговать форекс?
Да! Используйте EMA=50, HMA=20, ATR=14 для EUR/USD на 15 минутах.
Управление рисками
Риск на сделку: Не больше 1-2% от депозита.
Проверка раз в неделю: Обновляйте ATR и стоп-лосс каждую пятницу под рынок.
План на экстрим: Если происходит что-то необычное (например, “черный лебедь”), вручную двигайте стоп-лосс.
⚠️ Предупреждение: Торговля — это риск. Стратегия не гарантирует прибыль. Всегда ставьте стоп-лосс.