ORB Strategy - EnhancedThis algo is for setting and forgetting ORB. Does require an understanding of how to tweak trading factors กลยุทธ์ Pine Script®โดย DreamweaverFX2210
Institutional Execution Engine v3 [Nishith Rajwar] Institutional Execution Engine v3 Market-Structure-Driven Execution Framework (Indicator + Strategy Hybrid) The **Institutional Execution Engine v3** is a professional-grade execution framework designed to model **how institutional participants interact with liquidity, volatility regimes, and market structure**. It is built for **index traders, crypto traders, and systematic intraday participants** who require **non-repainting, forward-validated signals** with strict risk control. This is **not a mashup of indicators**. Every module is purpose-built and interacts through a unified execution pipeline. --- 🔍 Core Concepts & Methodology 1️⃣ Market Structure & POI Engine * Identifies **Points of Interest (POIs)** using swing structure, volatility context, and liquidity positioning * POIs are **confirmed only after bar close** (strict non-repaint enforcement) * Adaptive pivot sensitivity based on selected execution preset 2️⃣ Liquidity-Aware Scoring System Each potential trade is filtered through a **multi-factor execution score**, including: * Structural alignment * Volatility normalization (ATR regime) * Liquidity reaction quality * Directional efficiency Trades are only allowed when the **minimum institutional score threshold** is met. 3️⃣ Regime Detection (Forward-Walk Safe) The engine dynamically classifies market conditions into execution regimes: * Trending * Rotational * Mean-reverting Regime detection is **forward-walk compatible** and does **not leak future data**. 4️⃣ Risk-First Execution Model * ATR-normalized stop placement * R-multiple-based take-profit targeting * Optional **single-trade-per-session guard** * Strategy engine includes **open-trade protection** to prevent over-execution 5️⃣ Strategy + Indicator Hybrid This script can be used in **two ways**: * **Indicator mode** → discretionary execution with visual POIs, signals, and context * **Strategy mode** → systematic backtesting with full TradingView Strategy Tester support Both modes share the **same execution logic** (no divergence). --- ⚙️ Preset-Driven Architecture Built-in execution presets auto-configure internal parameters without changing core logic: * **Scalp (Index)** * **Daytrade (Index)** * **Crypto Intraday** * **Institutional Research (FWalk)** Presets adjust pivot sensitivity, score thresholds, ATR behavior, and risk profile — while preserving execution integrity. --- ## 🚫 Non-Repainting & Data Integrity * No look-ahead bias * No future bar references * No repainting signals * VWAP and regime logic reset correctly per session * Safe handling of strategy.opentrades to avoid execution errors All signals are **bar-close confirmed**. --- 📊 Who This Is For ✔ Index traders (NIFTY / BANKNIFTY / SENSEX) ✔ Crypto intraday traders ✔ Systematic traders validating execution logic ✔ Traders who value **structure + liquidity + risk discipline** over indicators --- ⚠️ Disclaimer This script is a **research and execution framework**, not financial advice. Always forward-test and adapt risk parameters to your instrument and timeframe. --- **Author:** Nishith Rajwar **Version:** v3 **Execution Philosophy:** Trade where institutions execute — not where indicators react. กลยุทธ์ Pine Script®โดย nishith8544166424
Monarch Strategies Altcoin Optimized Cycle & Trend Strategy (1W)The Altcoin Optimized Cycle & Trend Strategy (1W) is a professional, long-term cycle and trend trading strategy designed specifically for altcoins such as Stellar (XLM). It is built for traders and investors who want to systematically capture explosive altcoin cycles while avoiding emotional decision-making and excessive trading. The strategy operates on the weekly timeframe (1W) and focuses on identifying major accumulation zones, breakout phases, and distribution tops that typically define altcoin market behavior.กลยุทธ์ Pine Script®โดย Monarch_Strategies0
Monarch Strategies BTC Optimized Cycle & Trend Strategy (1W)The "BTC Optimized Cycle & Trend Strategy (1W)" is a high-quality, long-term optimized trading strategy for BTC/USD, designed for traders and investors who want to systematically trade major market cycles — without overtrading, without emotions, and without unnecessary complexity. The strategy is specifically built for the weekly timeframe (1W) and focuses on what Bitcoin has historically done best: strong, multi-year trend movements.กลยุทธ์ Pine Script®โดย Monarch_Strategies0
ARVEXV1“Failed Reversal – Opposite Candle Only (No Doji/Hammer/Hanging Man)”: This strategy captures failed reversal attempts where the current candle is opposite to the previous candle and volume is higher. It enters long if a bearish candle fails to break a previous bullish candle’s low, and short if a bullish candle fails to break a previous bearish candle’s high. Signals are canceled for Doji, Hammer, or Hanging Man candles. Entries only, fully backtestable.กลยุทธ์ Pine Script®โดย riccabunalda23
ARVEX V1“Failed Reversal – Opposite Candle Only (No Doji/Hammer/Hanging Man)”: This strategy captures failed reversal attempts where the current candle is opposite to the previous candle and volume is higher. It enters long if a bearish candle fails to break a previous bullish candle’s low, and short if a bullish candle fails to break a previous bearish candle’s high. Signals are canceled for Doji, Hammer, or Hanging Man candles. Entries only, fully backtestable.กลยุทธ์ Pine Script®โดย riccabunalda8
Ribbon Cross Strategy This strategy uses a simple moving-average ribbon crossover system with a customizable entry filter. You can choose whether trades trigger near the fast or slow average, allowing flexibility in capturing early or confirmed trend moves. It’s best suited for index trading on intraday timeframes , helping identify short-term trend reversals and continuations with clear visual cues and backtestable logic.กลยุทธ์ Pine Script®โดย RAHUL99_996
Buy-Dip / Sell-Pullback Buy the Dip / Sell the Pullback – Trend-Following Strategy (EOD → Next Day Execution) Overview This is a trend-following futures strategy designed to participate in pullbacks within established trends, not to predict reversals. It works on End-of-Day (EOD) confirmation and executes trades on the next trading session, making it suitable for positional and swing traders. The strategy combines momentum, trend direction, volatility, and price location to filter for high-quality setups while avoiding overtrading. 🔍 Core Philosophy Trade only in the direction of the prevailing trend Buy dips in uptrends Sell pullbacks in downtrends Avoid chasing price after extended gaps Use volatility-adjusted risk management (ATR-based SL & targets) 📊 Indicators Used RSI (20) Measures underlying momentum strength Stochastic Oscillator (55, 34, 21) Confirms pullback exhaustion within a trend Supertrend (10, 2) Defines primary trend direction Bollinger Bands (20, 2) Provides structural trend bias ATR (5) Used for: Entry gap filter Stop-loss Profit target Supertrend buffer ✅ Long (Buy) Setup – Evaluated at EOD A long setup is generated when all of the following conditions are satisfied at the close of the trading day: RSI(20) is above the bullish threshold (default: 48) Stochastic %K is above %D (confirming pullback momentum) Supertrend direction is bullish Price is near or above Supertrend, allowing a volatility-adjusted buffer (ATR-based) Price is above the Bollinger Band middle line This combination ensures: The market is trending up Momentum supports continuation The pullback is controlled, not a breakdown ❌ Short (Sell) Setup – Evaluated at EOD A short setup is generated when: RSI(20) is below the bearish threshold (default: 52) Stochastic %K is below %D Supertrend direction is bearish Price is near or below Supertrend, with an ATR buffer Price is below the Bollinger Band middle line This filters for pullbacks within sustained downtrends. ⏰ Trade Execution Logic (Next Day Rule) Once a setup is confirmed at EOD, a trade is attempted on the next trading session To avoid chasing gaps: Long trades are allowed only if price does not move more than a defined multiple of the previous day’s True Range Short trades follow the same logic in reverse This is implemented via limit orders, ensuring realistic backtesting and execution behavior 🛑 Risk Management All exits are volatility-adjusted using ATR: Stop-Loss: 1.1 × ATR(5) from entry price Target: 2.2 × ATR(5) from entry price This results in a risk–reward ratio of approximately 1:2 ATR is frozen at entry to avoid forward-looking bias. 🧠 Why This Strategy Works Avoids low-quality trades during consolidation Participates only when trend + momentum align Prevents emotional gap-chasing Adapts automatically to changing volatility Suitable for index futures and liquid stocks 📌 Recommended Usage Timeframe: Daily Instruments: Index Futures (e.g. NIFTY, BANKNIFTY) Highly liquid stocks Market Type: Trending markets Not ideal for: Sideways or low-volatility environments ⚙️ Customization Tips You can control trade frequency and aggressiveness by adjusting: RSI thresholds Supertrend buffer (ATR multiple) Gap filter multiplier Stochastic edge parameter Looser settings → more trades Stricter settings → higher selectivity ⚠️ Disclaimer This strategy is for educational and research purposes only. Backtest results do not guarantee future performance. Always validate with paper trading before deploying real capital.กลยุทธ์ Pine Script®โดย Praveenmishrainvestments25
Nifty-50 Futures Trading Ideas/ Strategyb]Nifty-50 Futures Trading Ideas is a trend-following strategy designed for study and backtesting . The strategy identifies directional bias using a structured price-based approach and applies ADX + DI and RSI filters to validate trend strength. It includes inbuilt risk-management logic such as Stop-Loss, Take-Profit, ATR-based exits, separate maximum loss per trade (₹) for long and short positions, and optional date/session filters. This script is provided for educational and analytical purposes only and is not a trading signal or investment recommendation. กลยุทธ์ Pine Script®โดย Alpha_Trinity1
Time Syndicate: Prop Firm SpecialTime Syndicate – Prop-Firm Special (Exit-Focused Edition) Overview Time Syndicate – Master Strategy is a non-repainting, cycle-aware execution framework designed to trade structured market phases rather than random price movement. This version has been specifically updated to focus on exit efficiency , trade management, and controlled trade churn. The strategy is built to align trades with time-based market behavior and liquidity expansion, without relying on indicator stacking or repainting logic. What This Version Is Optimized For This update emphasizes: • More structured exits • Increased trade churning • Improved realized profitability • Mechanical trailing stop execution The goal is not to increase entries, but to extract more value from correct ones . Recommended Markets • EUR/USD • NASDAQ (NQ / US100 Cash CFD) This strategy is primarily designed and tested for these instruments. Recommended Cycles & Timeframes 90-Minute Cycle → Use 1-Minute chart Session Cycle → Use 5-Minute chart Do not mismatch cycle selection and chart timeframe. Important Settings (Do Not Over-Optimize) • Exit Mode: Trailing Stop (Default & Recommended) • Max Trades Per Cycle: 1 • Target: 1 : 1.5 • Most other settings should remain unchanged This is not a parameter-tuning strategy. Trade Behavior • Trade Status remains FLAT until a valid trade is triggered • After entry, the dashboard displays: – Entry Price – Initial Stop Loss – Trailing Trigger Level – Live Trailing Stop (once activated) In most cases, the entry candle’s low/high will act as the initial stop loss. Exit Logic Trailing Stop Mode • Trailing activates only after price reaches the required expansion level • Trailing is mechanical and non-emotional • Live trailing stop updates are shown clearly on the chart Fixed Target Mode • Available for testing purposes • Not recommended for live execution Non-Repainting Logic • All zones, cycles, and trade logic are non-repainting • No historical shifting • What appears live is final Known Limitations (Current Version) • Quantity calculation can be aggressive, especially on 1-minute charts • Manual quantity is recommended for now • Not every valid signal should be traded These will be refined in future updates. Recommended Trading Window For US100 Cash CFD: 4:00 PM – 8:00 PM IST Outside this window, liquidity behavior becomes inconsistent. Advanced Usage Tip Download strategy trade data and analyze: • Time of day • Cycle performance • Trade outcomes Use this data to determine the most effective trading hours for your instrument. Purpose of This Strategy This is not a signal-spamming indicator. It is a professional execution framework built to: • Enforce discipline • Improve exit quality • Reduce emotional decision-making • Align trades with structured market phases Final Note This strategy does not predict the market. It waits, reacts, and extracts. Use it with patience, proper risk control, and respect for time-based structure.กลยุทธ์ Pine Script®โดย akshaykiriti1443ที่อัปเดต: 6
Smart Money Bot [MTF Confluence Edition]Uses multi-time frame analysis and supply and demand strategy. Best used when swing trading.กลยุทธ์ Pine Script®โดย bakinyemi24ที่อัปเดต: 29
Wealth Pilot AlphaTrend + RSI StrategyWealth Pilot AlphaTrend + RSI Strategy Works on Multi Time frames and across Different pairsกลยุทธ์ Pine Script®โดย bill_mm3
Nifty-50 Futures trading ideas with RSI and ADX FilterNifty Futures @15M is a trend-following strategy derived from the Savitzky Flow Bands methodology by ChartPrime , adapted into a complete strategy with structured trade execution and risk controls. The strategy identifies directional bias using a Savitzky-smoothed price structure and executes trades based on trend changes or continuation, depending on the selected entry mode. Configurable Entry Modes are : 1. Change Only (trend reversal based) 2.Continuation Allowed (trend follow-through). Optional ADX + DI and RSI filters help validate trend strength and avoid unfavorable market conditions. Risk management features include configurable Stop-Loss and Take-Profit, ATR-based exits, trailing stop, and separate maximum loss per trade (₹) for long and short positions. Date and session filters are provided for controlled backtesting. This script is published for educational and analytical purposes only and is intended for research and backtesting, not as a trading signal or investment recommendation. Credits: Original indicator concept: Savitzky Flow Bands by ChartPrime Strategy conversion & enhancements: @Alpha_Trinity กลยุทธ์ Pine Script®โดย Alpha_Trinity3
FxAST LiteWave Universal Profiles (intraday / swing)FxAST Lite Wave — Universal (Profiles) This strategy is intended for educational and analytical use. Derivative works must retain attribution and license terms. _____________________________________________________________________________ Overview FxAST Lite Wave is a rule-based trend participation strategy designed to adapt across multiple markets and timeframes using a simple profile switch. Rather than attempting to predict reversals or tops and bottoms, the strategy focuses on identifying continuation opportunities once directional alignment and market participation are already present. Its purpose is to provide a structured, repeatable framework for studying trend behavior and managing trades within established directional moves. _______________________________________________________________________________ How It Works FxAST Lite Wave evaluates market conditions using a layered confirmation process that includes: • Directional bias • Trend alignment • Momentum participation • Volatility suitability • Market regime awareness Trades are only considered when these conditions align, helping to reduce low-quality signals and overtrading during unfavorable environments. Two built-in profiles are provided: Intraday — designed for shorter-term participation Swing — designed for higher-timeframe continuation _______________________________________________________________________________ Core Concepts (Plain English) Direction Identifies which side of the market is currently in control. This answers: “Is pressure aligned for continuation?” _______________________________________________________________________________ Momentum Confirms that price is moving with intent rather than drifting or stalling. This answers: “Is participation present?” _______________________________________________________________________________ Regime Filters out unfavorable conditions such as congestion, compression, or low-energy chop. This answers: “Is this a tradable environment?” _______________________________________________________________________________ Continuation Focus Entries are designed to occur after alignmen t, not at arbitrary turning points. The strategy favors: • Pullbacks within trend • Momentum resumption • Sustained directional movement _______________________________________________________________________________ Risk & Trade Management FxAST Lite Wave includes structured trade management logic: • Volatility-aware initial risk • Optional partial profit taking • Optional breakeven and trailing behavior • Optional time-based exits • Optional equity-based position sizing A built-in on-chart Backtesting HUB displays live performance statistics for transparency and review. _______________________________________________________________________________ Philosophy FxAST Lite Wave is intentionally not a signal-spamming strategy . It is designed to: • Reduce decision fatigue • Encourage rule-based consistency • Support disciplined execution If you need: precise entries → use price action precise exits → use structure system context → use Lite Wave _______________________________________________________________________________ Disclaimer This strategy is provided for educational and analytical purposes only and does not constitute financial advice. Trading involves risk, and users are responsible for their own decisions. responsible for their own decisions.กลยุทธ์ Pine Script®โดย alldyn_pip_king7
Crypto LONG PYThis trading approach is a powerful combination of technical tools aimed at taking advantage of market fluctuations with precision and reliability. By integrating Bollinger Bands (BB), the Relative Strength Index (RSI), Exponential Moving Averages (EMA), and Fibonacci retracement levels (Fib), we create a strategy that captures key market moves and helps identify optimal entry and exit points, all within the context of the New York market conditions (NY). Bollinger Bands provide insight into market volatility, offering signals about potential extreme price movements. The RSI is used to measure momentum and assess overbought or oversold conditions, indicating when the market might be nearing a reversal. Meanwhile, EMAs add a layer of smoothing, allowing us to observe short- and medium-term trends, helping filter out false signals and providing a clearer view of the overall market direction. Additionally, Fibonacci retracements are integrated to identify key support and resistance levels, pinpointing potential areas of price retracement and continuation. When combined, these indicators offer a holistic approach to navigating the markets, enabling traders to make data-driven, informed decisions. This approach is ideal for traders looking for a meticulous methodology for trading during the NY session, where liquidity and volatility tend to be at their highest. Leverage the synergy between these indicators to optimize your trading strategy and maximize your market performance.กลยุทธ์ Pine Script®โดย Saletrader18
USOIL BOS Retest Strategy 2.0 This is generating 4.73% return nothing wow but will form the base of my trading engineกลยุทธ์ Pine Script®โดย lukejeffrey35