Advanced Order Blocks with VolumeAdvanced Order Blocks with Volume Indicator
This professional-grade indicator combines order block detection with sophisticated volume analysis to identify high-probability trading opportunities. It automatically detects and displays bullish and bearish order blocks formed during consolidation periods, enhanced by three distinct volume calculation methods (Simple, Relative, and Weighted).
Key Features:
- Smart consolidation detection with customizable thresholds
- Volume-filtered order blocks to avoid false signals
- Automatic order block mitigation tracking
- Clear visual presentation with volume metrics
- Flexible customization options for colors and parameters
Settings:
Core Parameters:
- Consolidation Threshold %: Sets the maximum price range (0.1-1.0%) for detecting consolidation zones
- Lookback Period: Number of bars (2-10) to analyze for consolidation patterns
Volume Analysis:
- Volume Calculation Method: Choose between Simple (basic average), Relative (compared to average), or Weighted (prioritized recent volume)
- Volume Lookback Period: Historical bars (5-100) used for volume analysis
- Volume Threshold Multiplier: Minimum volume requirement (1.0-5.0x) for valid order blocks
Visual Settings:
- Bullish/Bearish OB Color: Background colors for order blocks
- Bullish/Bearish OB Text Color: Colors for volume information display
Perfect for traders focusing on institutional price levels and volume-based trading strategies. The indicator helps identify potential reversal zones with strong institutional interest, validated by significant volume conditions.
Volume
SmartVeiwSmartView – Advanced Indicator for Smart Money & Price Action Traders
🔹 Introduction
SmartView is a professional-grade trading indicator designed specifically for Smart Money Concepts (SMC) and Price Action strategies. It helps traders identify liquidity zones, institutional orders, valid breakouts, and market-maker movements to achieve precise entries and optimal exits.
🔹 Key Features:
✅ Liquidity Analysis & Institutional Order Blocks
Detect Order Blocks (Institutional Orders) to identify potential market-maker activity
Recognize Liquidity Sweeps & Stop Hunts to avoid false breakouts
Identify Breaker Blocks & Flip Zones to confirm structural reversals
✅ Order Flow & Market Structure Insights
Visualize buy and sell order accumulation to track institutional decisions
Analyze Premium & Discount Zones to locate optimal entry and exit points
✅ Volume Data & Buy/Sell Pressure Analysis
Color-coded candles based on actual buying and selling pressure
Identify price reactions at key liquidity zones for high-probability trades
✅ Market Structure & Breakout Validation
Highlight Change of Character (CHoCH) & Break of Structure (BOS) for trend confirmation
Detect true vs. false breakouts for refined trade execution
✅ Fully Customizable Interface
Adjust colors, zones, display direction, and sizing preferences
Enable/disable smooth bands, buy/sell pressure visualization, and liquidity mapping
📈 How to Use in Smart Money & Price Action Strategies
🔸 Trade Entries with Order Blocks & CHoCH:
Look for Order Blocks that align with Change of Character (CHoCH) and Break of Structure (BOS) to confirm institutional entries.
🔸 Avoid False Moves with Liquidity Sweeps:
Wait for liquidity grabs where price hunts stop losses before making a genuine move, then enter with candle confirmation.
🔸 Optimal Entries in Premium & Discount Zones:
In uptrends, enter below the 50% Fibonacci retracement (Discount Zone), and in downtrends, enter above 50% (Premium Zone).
🔸 Multi-Timeframe Confirmation (MTF):
Use higher timeframes for macro confirmation and refine entries on lower timeframes for precise execution.
📊 Who is SmartView for?
✅ Price Action & Smart Money Traders
✅ Scalpers & Swing Traders
✅ Institutional & Prop Firm Traders Focused on Liquidity
✅ Traders Looking for Data-Driven Strategies
🚀 With SmartView, trade like an institution and leverage liquidity to your advantage!
BINANCE:BTCUSDT BINANCE:SOLUSDT BINANCE:ADAUSDT
Wyckoff Full Advanced Indicator*Recomendaciones prácticas* para usarlo de manera efectiva y aprovechar al máximo la metodología de Wyckoff con este indicador:
---
### 1. *Configuración inicial*
- *Marco temporal*: Comienza con un marco temporal intermedio (como 1 hora o 4 horas) para identificar las fases y eventos clave. Luego, usa el marco temporal superior (diario o semanal) para confirmar la tendencia principal.
- *Parámetros personalizados*:
- Ajusta el Periodo de análisis según el activo y el marco temporal.
- Modifica el Umbral de volumen para adaptarlo a las características del mercado (por ejemplo, 1.5 para mercados volátiles y 2 para mercados más tranquilos).
---
### 2. *Interpretación de las fases*
- *Fase de Acumulación (Fase A, B, C)*:
- Busca zonas de acumulación (fondo verde) y eventos como *Spring* o *Selling Climax (SC)*.
- Confirma con volumen alto y una ruptura alcista (SOS).
- *Fase de Distribución (Fase A, B, C)*:
- Identifica zonas de distribución (fondo rojo) y eventos como *Upthrust* o *Automatic Rally (AR)*.
- Confirma con volumen alto y una ruptura bajista (SOW).
---
### 3. *Uso de soportes y resistencias*
- *Soportes y resistencias dinámicos*:
- Usa las líneas de soporte y resistencia generadas por el script para identificar zonas clave.
- Busca rupturas o rechazos en estos niveles para confirmar señales.
- *Objetivos de precio*:
- Usa las proyecciones de la *Ley de Causa y Efecto* para establecer objetivos alcistas o bajistas.
---
### 4. *Análisis de volumen*
- *Volumen alto*:
- Confirma eventos clave como SC, AR, Spring, Upthrust, SOS y SOW.
- *Volumen bajo*:
- Identifica divergencias (Esfuerzo vs. Resultado) para anticipar cambios de tendencia.
---
### 5. *Gráficos multitemporales*
- *Confirmación de tendencia*:
- Usa el marco temporal superior (configurado en el script) para confirmar la tendencia principal.
- Si el marco superior es alcista, prioriza señales de compra en el marco inferior.
- *Contexto general*:
- Evita operar en contra de la tendencia del marco superior.
---
### 6. *Maniobras avanzadas*
- *Terminal Shakeout (TS)*:
- Identifica movimientos falsos (shakouts) que suelen ocurrir antes de una reversión.
- Úsalo como una señal de confirmación adicional.
---
### 7. *Gestión de riesgo*
- *Stop Loss*:
- Coloca tu stop loss por debajo del último soporte (en compras) o por encima de la última resistencia (en ventas).
- *Take Profit*:
- Usa los objetivos de precio generados por la *Ley de Causa y Efecto*.
- *Posicionamiento*:
- Ajusta el tamaño de tu posición según la confianza en la señal y el riesgo del trade.
---
### 8. *Prueba y ajuste*
- *Backtesting*:
- Prueba el script en datos históricos para ver cómo se comporta en diferentes condiciones de mercado.
- *Optimización*:
- Ajusta los parámetros (como el período de análisis o el umbral de volumen) para adaptarlo a tu estilo de trading.
---
### 9. *Combinación con otros indicadores*
- *Indicadores de tendencia*:
- Usa el RSI o MACD para confirmar la fuerza de la tendencia.
- *Medias móviles*:
- Combina con una media móvil de 200 períodos para identificar la tendencia a largo plazo.
---
### 10. *Mantén un diario de trading*
- Registra todas las operaciones realizadas con este script.
- Anota las señales, el contexto del mercado y el resultado.
- Esto te ayudará a mejorar tu interpretación y a ajustar el script según tus necesidades.
---
### Ejemplo de flujo de trabajo:
1. *Identifica la fase actual* (Acumulación o Distribución).
2. *Busca eventos clave* (SC, AR, Spring, Upthrust, SOS, SOW).
3. *Confirma con volumen* y el marco temporal superior.
4. *Establece niveles de entrada, stop loss y take profit*.
5. *Maneja el riesgo* y sigue tu plan.
VWAP Suite by Augur - Multi PeriodOverview
The Multi-Timeframe VWAP Suite revolutionizes price analysis by combining institutional-grade volume-weighted pricing with multi-period deviation analytics. This professional toolkit simultaneously tracks VWAP across 5 time horizons (Daily to Yearly) with smart deviation bands, offering traders unparalleled insight into market structure and volatility dynamics.
Key Features
Multi-Timeframe VWAP Matrix
Simultaneous Daily/Weekly/Monthly/Quarterly/Yearly VWAP tracking
Institutional-level volume-weighted calculations
Independent timeframe toggles for focused analysis
Smart Deviation Architecture
Dual-layer standard deviation bands (1σ & 2σ)
Separate colors for upper/lower deviation zones
Adaptive 95% transparency fills for layered visualization
Professional Visual Design
Strategic color coding per timeframe (FIXED palette)
Dark Blue/Yellow/Purple/Pink/Red VWAP hierarchy
Orange-Green-Red-Blue deviation band system
Advanced Calculation Engine
HLC3 price source integration
Cumulative volume-weighting algorithm
Real-time standard deviation updates
Chandelier exit bull y sell target [JLPA]es un indicador que fusionamos dos parametros en donde nos muestra una señales de bull y sell en diferentes temporalidades
Buyer/Seller DominanceThis Script is to find out the Buyer / Seller Dominance for any Index - Sam Thomas
Wyckoff Advanced StrategyInterpreta las señales en el gráfico:
Zonas de acumulación/distribución:
Zonas de acumulación: Se resaltan en un color verde suave (transparente) cuando el precio está por encima del rango medio y el volumen es alto.
Zonas de distribución: Se resaltan en un color rojo suave cuando el precio está por debajo del rango medio y el volumen es alto.
Eventos clave (Wyckoff):
Selling Climax (SC): Un triángulo verde marca un punto donde el precio alcanza un mínimo significativo con un volumen alto.
Automatic Rally (AR): Un triángulo rojo indica un pico tras un rally automático.
Spring y Upthrust: Círculos verdes y rojos que identifican posibles reversiones clave.
Sign of Strength (SOS) y Sign of Weakness (SOW): Señales de fortaleza o debilidad representadas como etiquetas azules (SOS) y púrpuras (SOW).
Líneas de soporte/resistencia:
Líneas horizontales rojas (resistencia) y verdes (soporte) indican los extremos del rango de precio detectado.
Análisis de volumen (opcional):
Las barras con volumen alto se resaltan en azul y las de volumen bajo en amarillo, si habilitas esta opción.
Ajusta la configuración según tu análisis:
El indicador tiene opciones para personalizar los colores y mostrar análisis de volumen. Puedes activarlas/desactivarlas según tu preferencia en los parámetros del indicador.
Cómo interpretar los eventos principales:
Fases Wyckoff:
Usa las zonas resaltadas (verde y rojo) para identificar si estás en acumulación o distribución.
Busca eventos clave (SC, AR, Spring, Upthrust, etc.) que marquen cambios importantes en el mercado.
Tendencia futura:
Si detectas un Sign of Strength (SOS), es posible que el precio entre en una tendencia alcista.
Si aparece un Sign of Weakness (SOW), es más probable que el precio entre en una tendencia bajista.
Soportes y resistencias:
Las líneas horizontales te ayudan a identificar niveles críticos donde el precio podría rebotar o romper.
Volumen y momentum:
Analiza el volumen para validar rupturas, springs o upthrusts. Un volumen alto suele confirmar la fuerza de un movimiento.
Sugerencias para mejorar tu análisis:
Temporalidad: Prueba diferentes marcos temporales (1H, 4H, diario) para detectar patrones Wyckoff en distintos niveles.
Activos: Úsalo en activos líquidos como índices, criptomonedas, acciones o divisas.
Backtest: Aplica el script en datos históricos para validar cómo funciona en el activo que operas.
AI-✘✔ Многоуровневый VWAP – рассчитывает VWAP для разных временных периодов (день, неделя,
✔ Полосы отклонения (Bands) – вычисляет верхнюю и нижнюю границы VWAP.
✔ Анализ сессий (Tokyo, London, New York) – определяет активные торговые сессии и строит коробки на графике.
✔ Таблица информации – отображает время начала и окончания каждой сессии.
✔ Объемный профиль (Volume Profile) – анализирует распределение объема по уровням цены.
✔ Исторические уровни VWAP – строит прошлые уровни VWAP для анализа поведения цены.
✔ Кастомизация – множество параметров для тонкой настройки.
BTC/FOREX/INDEX SCALP INDICATOR BY MANDALORIANThis indicator helps trader to make them a more consultative decision based on given parameters in this indicator.
Multi-Timeframe Indicators Table with DivergenceThis indicator provides a comprehensive view of key technical indicators across multiple timeframes: Monthly, Weekly, and Daily. It includes the following:
RSI (Relative Strength Index): Shows momentum strength for each timeframe.
MFI (Money Flow Index): Tracks the flow of money into and out of the asset.
CCI (Commodity Channel Index): Identifies overbought or oversold conditions.
BB% (Bollinger Bands Percent): Measures the price relative to Bollinger Bands for volatility analysis.
The indicator also highlights potential divergences between price action and each technical indicator. Divergence is indicated when the price moves in one direction while the indicator moves in the opposite, which could signal a possible trend reversal.
Features:
Multi-timeframe analysis (Monthly, Weekly, Daily & Intraday)
Visual representation of key indicators with colors for easy interpretation
Divergence alerts for trend reversal opportunities
Customizable indicator lengths and colors
Use this tool to analyze price trends, potential reversals, and identify high-probability trading opportunities across different timeframes
kezio//@version=5
indicator("Smart Money Concept SMC", overlay=true)
// Configurações do usuário
length = input(20, title="Período para estrutura")
sensitivity = input(2, title="Sensibilidade BOS")
// Cálculo de Highs e Lows
highs = ta.highest(high, length)
lows = ta.lowest(low, length)
// Detecção de Break of Structure (BOS)
BOS_Bullish = ta.crossover(high, ta.highest(high, sensitivity))
BOS_Bearish = ta.crossunder(low, ta.lowest(low, sensitivity))
// Detecção de Change of Character (CHOCH)
CHOCH_Bullish = ta.crossover(high, ta.lowest(low, sensitivity))
CHOCH_Bearish = ta.crossunder(low, ta.highest(high, sensitivity))
// Identificação de Liquidity Grabs
liquidity_grab_bullish = ta.lowest(low, sensitivity) < low and close > open
liquidity_grab_bearish = ta.highest(high, sensitivity) > high and close < open
// Marcação das Zonas de Oferta e Demanda
var float demandZone = na
var float supplyZone = na
if BOS_Bullish
demandZone := ta.lowest(low, sensitivity)
if BOS_Bearish
supplyZone := ta.highest(high, sensitivity)
// Plotando os sinais
plotshape(BOS_Bullish, location=location.belowbar, color=color.green, style=shape.labelup, title="BOS Up")
plotshape(BOS_Bearish, location=location.abovebar, color=color.red, style=shape.labeldown, title="BOS Down")
plotshape(CHOCH_Bullish, location=location.belowbar, color=color.blue, style=shape.triangleup, title="CHOCH Up")
plotshape(CHOCH_Bearish, location=location.abovebar, color=color.orange, style=shape.triangledown, title="CHOCH Down")
plotshape(liquidity_grab_bullish, location=location.belowbar, color=color.purple, style=shape.circle, title="Liquidity Grab Buy")
plotshape(liquidity_grab_bearish, location=location.abovebar, color=color.purple, style=shape.circle, title="Liquidity Grab Sell")
// Desenha zonas institucionais
bgcolor(BOS_Bullish ? color.green : na, transp=90)
bgcolor(BOS_Bearish ? color.red : na, transp=90)
Volume Price Breakout by kalirajanusage
resistance redline
support green line
visual arrows for breakout signals
Adaptive MVO with Volume ConfirmationHow This Works:
Momentum Line: Blue when volume > MA, gray otherwise
Signals: Green ▲ below bars (buy), red ▼ above bars (sell)
Dynamic Period: Adjusts between 5-20 bars based on ATR volatility
CryptoMitchX Memecoin ShorterUpdate for "CryptoMitchX Memecoin Shorter" Indicator
New Features & Improvements:
Conditional Hiding of Recommendations:
SHORT Recommendations: These are now hidden when the RSI (Relative Strength Index) falls below 30, preventing signals during potentially oversold conditions.
Take Profit Recommendations: Hidden when the RSI goes above 60, avoiding signals in potentially overbought market conditions.
Refined Alert System:
Alerts for both SHORT and Take Profit signals now only trigger when the RSI conditions are met, ensuring more targeted notifications.
Code Optimization:
The script has been updated to address scope-related errors, improving its reliability and performance on the TradingView platform.
Technical Details:
RSI Implementation: The RSI is calculated with a 14-period length to determine market momentum.
Conditional Plotting: Instead of using direct conditional statements inside plotting functions, we now use boolean variables to control which signals are plotted, avoiding local scope issues.
Signal Tracking: Continues to track consecutive signals, but now with the added condition of RSI thresholds for more nuanced trading signals.
Usage:
Users will see a cleaner chart with signals only appearing when they are most relevant according to RSI levels, reducing false signals and improving the overall trading strategy experience.
I nstallation:
Simply update or replace the existing indicator script with this new version in your TradingView Pine Script editor.
Known Issues & Limitations:
This update does not include real sentiment analysis due to the limitations of Pine Script in accessing external data. The sentiment is simulated based on price volatility and direction.
Feedback:
We're eager to hear your feedback on these changes. If you encounter any issues or have suggestions for further improvements, please let us know.
Custom Volume Nodes: HVN & LVN for RTH / Owl of ProfitThis Custom Volume Nodes: HVN & LVN for RTH indicator calculates the High Volume Nodes (HVN) and Low Volume Nodes (LVN) based on the RTH (Regular Trading Hours) session. It provides a clear visualization of the price levels where the most and least trading activity occurred during the session.
Features
Session-Based Analysis
Automatically detects RTH sessions (default: 9:30 AM - 4:00 PM NY time).
Resets volume bins and daily high/low values at the start of each session.
High Volume Node (HVN)
Identifies the price level with the highest trading volume during the session.
Low Volume Node (LVN)
Identifies the price level with the lowest trading volume (non-zero) during the session.
Dynamic Binning
Divides the session price range into adjustable bins (default: 50 bins) for accurate volume distribution.
Visual Clarity
Plots the HVN and LVN levels as green and red lines, respectively, extending across the chart for easy reference.
What We Achieved vs. the Challenges
Success:
We can detect HVN and LVN for each RTH session by collecting volume distribution and then plotting final lines when the session ends.
These lines stay at the correct price levels for that session’s data.
Challenge:
When you zoom or switch timeframes, TradingView auto-scales the chart, which can visually make the lines seem to move up or down. In reality, they remain at their correct price level; the chart itself is just being rescaled.
If you want fully "fixed" horizontal lines that do not appear to shift with zoom changes, you can use line.new(). However, even then, if auto-scale is on, any chart zooming will still make things look like they shift. The only way to avoid that appearance is to lock the price scale in TradingView or turn off auto-scale.
Use Cases
Support and Resistance
HVN levels can act as support/resistance zones, while LVN levels may indicate areas of low market interest.
Market Profile Analysis
Use HVN and LVN to understand market sentiment and trading activity concentration.
Day Trading & Scalping
Helps intraday traders focus on critical price levels during the RTH session.
Customization
Session Time
Modify the sessionRTH parameter to fit your desired session timing.
Default: NYSE RTH (9:30 AM - 4:00 PM NY time).
Bin Count
Adjust binsCount for finer or coarser volume distribution.
Default: 50 bins.
Limitations
Only works for regular session analysis. Adjust the timeframe or session parameter for other markets.
Visit my website for more tools and strategies:: bybitindicators.com
Happy trading!
Strong Buy/Sell with Demand/Supply and Volume HighlightStrong Buy/Sell with Demand/Supply and Volume Highlight
This indicator combines key technical elements to provide traders with robust buy and sell signals while highlighting significant market zones and volume trends. It's designed for traders seeking clarity and precision in their decision-making process.
Features:
Dynamic Buy/Sell Signals:
Utilizes the crossover of a fast EMA (default: 9) and a slow EMA (default: 21) to generate reliable buy and sell signals.
Buy signals are marked with green upward labels, while sell signals are marked with red downward labels.
Demand and Supply Zone Detection:
Automatically plots demand (support) and supply (resistance) zones based on recent price movements when buy or sell signals are triggered.
Zones are visually marked with lines for quick identification of key price levels.
Volume Analysis:
Highlights candles with high volume relative to the average 20-period volume (adjustable via the volume multiplier input).
High-volume bullish candles are marked green, and bearish candles are marked red, allowing traders to spot significant market activity instantly.
Inputs:
EMA Periods: Customizable fast and slow EMA settings to adjust signal sensitivity.
Demand/Supply Zones: Option to toggle the visibility of demand and supply levels.
Volume Multiplier: Control the threshold for detecting high-volume candles.
How to Use:
Buy Opportunities: Look for buy signals when the fast EMA crosses above the slow EMA, supported by demand zones and high volume.
Sell Opportunities: Observe sell signals when the fast EMA crosses below the slow EMA, reinforced by supply zones and bearish high-volume candles.
Combine this indicator with your trading strategy to enhance decision-making and improve trade timing.
This indicator is suitable for multiple timeframes and markets, making it a versatile tool for scalpers, day traders, and swing traders.
TKT - Alert Candle with RSI and MA ConditionsTKT Strategy PSX
This strategy will work on most of the PSX stocks.
Rules for this strategy are:
1, Price close above MA 45.
2, Price close above MA 200.
3, RSI cross 60 to upword ( RSI settings, Upper=60, Mid=50, Lower=40)
Once all these points are meet then you can buy that stock on next day if it cross last day high and sustain.
AI Signals//@version=5
indicator("AI Signals", overlay=true)
// Import external data (e.g., CSV uploaded to TradingView's server)
var data = request.security(symbol="NASDAQ:YOUR_DATA_SOURCE", timeframe="D", expression=close)
// Define buy/sell signals
buy_signal = data == 1
sell_signal = data == -1
// Plot arrows on the chart
plotshape(buy_signal, style=shape.triangleup, color=color.green, location=location.belowbar, size=size.small)
plotshape(sell_signal, style=shape.triangledown, color=color.red, location=location.abovebar, size=size.small)
Systematic Savings Plan - Store of Value DCA v1.1.1 Systematic Savings Plan - Store of Value DCA v1.1
Hey there! 👋 I've created this tool to help with systematic saving during downtrends. While it can be used with any asset, it's primarily designed for Store of Value assets (like BTC, Gold, etc.).
Why Store of Value Focus?
- These assets tend to preserve wealth long-term
- Often perform well after significant downtrends
- Make sense for systematic, patient accumulation
- Great for long-term savings plans
What This Tool Does:
- Spots potential saving opportunities in downtrends
- NO selling signals - purely for accumulation
- Helps maintain saving discipline when markets look scary
- Tracks your saving progress
- Works with any Store of Value asset you choose
How It Works:
1. Trend Check (24/200 EMA):
- Watches for downtrend patterns
- Nothing fancy, just classic EMA crossover
2. Market Stress Check (MFI):
- Default: 14 periods, level 20
- Helps spot high selling pressure
- Daily chart: These defaults work fine
- Weekly chart: You might want to adjust MFI to 20-30 range
Buy Frequency Control:
- Default minimum gap: 7 periods between saves
- Helps manage your saving schedule
- Perfect for monthly salary saving
- Prevents too frequent entries when you have limited funds
- Adjustable to match your cash flow:
• Weekly paycheck? Try 7 days
• Monthly salary? Try 28-30 days
• Custom schedule? Set your own interval!
When It Suggests Saving:
- Must be in downtrend
- MFI shows high selling pressure
- Minimum gap reached since last save
Savings Dashboard Shows:
- How much you've saved total
- Number of times you've saved
- Total assets accumulated
- Your average saving price
- Progress tracking
Customize It:
- Saving amount per entry
- Time between saves
- Technical settings
- Pick your date range
- Choose your asset
Important Honest Notes:
- Just an experiment, not financial advice
- Won't catch bottoms - that's not the point
- Focused on steady, patient accumulation
- You might get multiple signals in big downtrends
- Please adjust settings to match your savings plan
- Feel free to modify the code - make it yours!
- Past patterns don't predict the future
สวัสดีครับ! 👋 ผมสร้างเครื่องมือนี้เพื่อช่วยในการออมอย่างเป็นระบบในช่วงตลาดขาลง แม้จะใช้ได้กับสินทรัพย์ทั่วไป แต่ออกแบบมาเพื่อสินทรัพย์ประเภทเก็บมูลค่า (Store of Value) เป็นหลัก (เช่น BTC, ทองคำ เป็นต้น)
ทำไมถึงเน้นสินทรัพย์เก็บมูลค่า:
- มักรักษามูลค่าได้ในระยะยาว
- มักฟื้นตัวได้ดีหลังผ่านช่วงขาลงหนักๆ
- เหมาะกับการสะสมอย่างเป็นระบบและใจเย็น
- เหมาะสำหรับแผนการออมระยะยาว
เครื่องมือนี้ทำอะไร:
- หาจุดที่น่าสะสมในช่วงขาลง
- ไม่มีจุดขาย - เน้นการสะสมอย่างเดียว
- ช่วยรักษาวินัยการออมเมื่อตลาดน่ากลัว
- ติดตามความคืบหน้าการออม
- ใช้ได้กับสินทรัพย์เก็บมูลค่าที่คุณเลือก
ทำงานยังไง:
1. เช็คเทรนด์ (EMA 24/200):
- ดูรูปแบบขาลง
- ใช้แค่การตัด EMA แบบพื้นฐาน
2. เช็คแรงขาย (MFI):
- ค่าเริ่มต้น: 14 คาบ, ระดับ 20
- ช่วยหาจุดที่มีแรงขายสูง
- กราฟรายวัน: ใช้ค่าเริ่มต้นได้เลย
- กราฟรายสัปดาห์: ลองปรับ MFI เป็น 20-30
การควบคุมความถี่ในการออม:
- ค่าเริ่มต้นขั้นต่ำ: เว้น 7 คาบระหว่างการออมแต่ละครั้ง
- ช่วยจัดการตารางการออมของคุณ
- เหมาะสำหรับการออมตามรอบเงินเดือน
- ป้องกันการออมถี่เกินไปเมื่อมีเงินจำกัด
- ปรับแต่งได้ตามกระแสเงินสด:
• รับเงินรายสัปดาห์? ลองตั้ง 7 วัน
• เงินเดือน? ลองตั้ง 28-30 วัน
• มีแผนเฉพาะตัว? ตั้งค่าเองได้เลย!
จะแนะนำให้ออมเมื่อ:
- อยู่ในช่วงขาลง
- MFI แสดงแรงขายสูง
- ถึงรอบเวลาออมตามที่ตั้งไว้
แดชบอร์ดแสดง:
- ออมไปเท่าไหร่แล้ว
- ออมกี่ครั้งแล้ว
- สะสมสินทรัพย์ได้เท่าไหร่
- ราคาเฉลี่ยที่ออม
- ติดตามความคืบหน้า
ปรับแต่งได้:
- จำนวนเงินออมต่อครั้ง
- ระยะห่างระหว่างออม
- ค่าทางเทคนิค
- เลือกช่วงวันที่ต้องการ
- เลือกสินทรัพย์ที่ต้องการออม
หมายเหตุสำคัญ (พูดกันตรงๆ):
- เป็นแค่การทดลอง ไม่ใช่คำแนะนำการลงทุน
- ไม่ได้จับจุดต่ำสุด - ไม่ใช่จุดประสงค์หลัก
- เน้นการสะสมอย่างสม่ำเสมอและใจเย็น
- อาจมีสัญญาณหลายครั้งในช่วงขาลงยาว
- ปรับค่าต่างๆ ให้เข้ากับแผนการออมของคุณ
- แก้ไขโค้ดได้ตามใจชอบ - ทำให้เป็นของคุณ!
- รูปแบบในอดีตไม่ได้การันตีอนาคต
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