BTC-USDC 4-Hour xingchen fuliBTC-USDC 4-Hour Timeline Super Strategy This strategy uses a 4-hour chart as its basic framework. For more details, please contact the author. Pine Script® Strategievon xinfu6669
Golden Cross with Stop and TargetHere is a simple TradingView Pine Script that backtests the classic SMA 50 / SMA 200 crossover strategy with a percentage take-profit and stop-loss. Pine Script® Strategievon sean_david4
EMA + VWAP Strategy# EMA + VWAP Crossover Strategy ## Overview This is a trend-following intraday strategy that combines fast and slow EMAs with VWAP to identify high-probability entries. It's designed primarily for 5-15 minute charts and includes a smart filter to avoid trading when VWAP is ranging flat. ## How It Works ### Core Concept The strategy uses three main components working together: - **Fast EMA (9)** - Responds quickly to price changes and generates entry signals - **Slow EMA (21)** - Acts as a trend filter to keep you on the right side of the market - **VWAP** - Serves as a dynamic support/resistance level and the primary trigger for entries ### Entry Rules **Long Entry:** - EMA 9 crosses above VWAP (bullish momentum) - EMA 9 is above EMA 21 (confirming uptrend) - VWAP has a clear directional slope (not flat/ranging) - Only during weekdays (Monday-Friday) **Short Entry:** - EMA 9 crosses below VWAP (bearish momentum) - EMA 9 is below EMA 21 (confirming downtrend) - VWAP has a clear directional slope (not flat/ranging) - Only during weekdays (Monday-Friday) ### The VWAP Flat Filter One of the key features is the VWAP slope filter. When VWAP is moving sideways (flat), it indicates the market is likely consolidating or ranging. The strategy skips these periods because crossover signals tend to be less reliable in choppy conditions. You'll see small gray diamonds at the top of the chart when VWAP is considered flat. ### Risk Management The strategy uses a proper risk-reward approach with multiple stop loss options: 1. **ATR-Based (Recommended)** - Adapts to market volatility automatically. Default is 1.5x ATR(14), which gives your trades room to breathe while protecting capital. 2. **Swing Low/High** - Places stops at recent price structure points for a more technical approach. 3. **Slow EMA** - Uses the trend-defining EMA as your stop level, good for trend-following with wider stops. 4. **Fixed Percentage** - Simple percentage-based stops if you prefer consistency. Take profits are automatically calculated based on your risk-reward ratio (default 2:1), meaning if you risk $100, you're aiming to make $200. ### Weekday Trading Filter The strategy includes an option to trade only Monday through Friday. This is particularly useful for crypto markets where weekend liquidity can be thin and price action more erratic. You can toggle this on/off to test whether avoiding weekends improves your results. ### Visual Features - **Color-coded background** - Green tint when EMA 9 is above EMA 21 (bullish bias), red tint when below (bearish bias) - **ATR bands** - Dotted lines showing where stops would be placed (when using ATR stops) - **Active trade levels** - Solid red line for your stop loss, green line for your take profit when you're in a position - **Weekend highlighting** - Gray background on Saturdays and Sundays when weekday filter is active ## Best Practices **Timeframe:** Designed for 5-minute charts but can be adapted to other intraday timeframes. **Markets:** Works on any liquid market - stocks, forex, crypto, futures. Just make sure there's enough volume. **Position Sizing:** The strategy uses percentage of equity by default. Adjust based on your risk tolerance. **Backtesting Tips:** - Test with and without the weekday filter to see which performs better on your instrument - Try different ATR multipliers (1.0-2.5) to find the sweet spot between stop-outs and letting profits run - Experiment with risk-reward ratios (1.5R, 2R, 3R) to optimize for your win rate **What to Watch:** - Win rate vs. profit factor balance - How many trades are filtered out by the VWAP flat condition - Performance difference between weekdays and weekends - Whether the trend filter (EMA 21) is keeping you out of bad trades ## Parameters You Can Adjust - Fast EMA length (default 9) - Slow EMA length (default 21) - VWAP flat threshold (default 0.01%) - Stop loss type and parameters - Risk-reward ratio - Weekday trading on/off - ATR length and multiplier ## Disclaimer This strategy is for educational purposes. Past performance doesn't guarantee future results. Always test thoroughly on historical data and paper trade before risking real money. Use proper position sizing and never risk more than you can afford to lose. --- *Built with Pine Script v5 for TradingView*Pine Script® Strategievon cryptocu84Aktualisiert 37
ReversePulse Strategy (Invite-only)This strategy combines a higher-timeframe bias with multi-timeframe POI levels and a rule-based entry workflow. Concept Bias / trend filter: Supertrend from a selectable higher timeframe (HTF). Supertrend line above price = short bias, below price = long bias. POI levels: Fractal levels from a selectable timeframe (MTF). Levels are tracked until the first break. Reversal logic: Long setups are only activated after a break down of a fractal low (liquidity sweep). Short setups are only activated after a break up of a fractal high. Entry: Once a setup is active, entries are triggered by Trigger (Fractal) and/or Attempted (both optional, priority selectable). Setups expire after a configurable number of bars (expiry). Management: Take-profit via RR multiple, optional break-even after a configurable RR threshold. DD Feather (optional): After a defined drawdown threshold, the strategy reduces risk per trade. Reset mode and base (Equity/Start Capital) are configurable. Filters Trading days (Mon–Fri) and a trading session window are configurable. Visuals / Dashboard Optional SL/TP lines, RR boxes and RR lines. A status overlay shows bias, setup status, signal status, session status, and timeframe timers. Disclaimer This script is provided for analysis and testing purposes only and is not financial advice. Results may vary depending on symbol, broker data, and settings. vorgestern Versionshinweise This strategy combines a higher-timeframe bias with multi-timeframe POI levels and a rule-based entry workflow. Concept Bias / trend filter: Supertrend from a selectable higher timeframe (HTF). Supertrend line above price = short bias, below price = long bias. POI levels: Fractal levels from a selectable timeframe (MTF). Levels are tracked until the first break. Reversal logic: Long setups are only activated after a break down of a fractal low (liquidity sweep). Short setups are only activated after a break up of a fractal high. Entry: Once a setup is active, entries are triggered by Trigger (Fractal) and/or Attempted (both optional, priority selectable). Setups expire after a configurable number of bars (expiry). Management: Take-profit via RR multiple, optional break-even after a configurable RR threshold. DD Feather (optional): After a defined drawdown threshold, the strategy reduces risk per trade. Reset mode and base (Equity/Start Capital) are configurable. Filters Trading days (Mon–Fri) and a trading session window are configurable. Visuals / Dashboard Optional SL/TP lines, RR boxes and RR lines. A status overlay shows bias, setup status, signal status, session status, and timeframe timers. Disclaimer This script is provided for analysis and testing purposes only and is not financial advice. Results may vary depending on symbol, broker data, and settings.Pine Script® Strategievon Spacemelody7772
NQ2K# Intelligent Trend Identification **Adaptive Channels**: Utilizes dynamically adjusted volatility channels that automatically optimize parameters based on market volatility **Bull-Bear Judgment**: Monitors trend direction changes in real-time, accurately capturing bull-to-bear conversion opportunities **Signal Confirmation**: Multiple condition verification ensures the reliability of trading signals # ⏰ Precise Timing Control **Scheduled Execution**: Built-in intelligent timing trading system that automatically executes during optimal periods **Cross-day Processing**: Comprehensive handling of overnight positions and cross-trading day logic **Time Filtering**: Customizable trading time windows to focus on high-probability periods # 🛡️ Strict Risk Control System **Automatic Stop Loss**: Risk control mechanism based on fixed percentage **Position Management**: Zero pyramiding strategy, strictly controlling single exposure risk **Real-time Monitoring**: Continuous tracking of position status, timely execution of risk control measures # 📊 Professional Visualization **Trend Visualization**: Clearly displays current trend direction and strength **Signal Marking**: Intuitive buy/sell point markers and trend conversion prompts **Candlestick Coloring**: Real-time candlestick color changes reflect bull-bear power comparison # Applicable Markets **Main Products**: Stock index futures, commodity futures, forex, and other products with moderate volatility **Time Frames**: Suitable for multiple time periods, recommended for daily or 4-hour charts **Market Conditions**: Particularly suitable for markets with clear trends and moderate volatility # Strategy Advantages **Clear Rules**: All trading logic is fully quantified, avoiding subjective judgment interference **Strong Adaptability**: Dynamic parameter adjustment mechanism adapts to different market environments **Rigorous Execution**: Strict timing control and risk management system **Intuitive and Easy to Use**: Clear chart displays and signal prompts for easy monitoring and decision-makingPine Script® Strategievon winds110
Kinetic Flux Strategy [Deewii]Kinetic Flux is a comprehensive trading analysis suite built around a proprietary analysis library. The system is designed to provide a complete, highly configurable solution for market analysis, strategy backtesting, and real-time market scanning. Through a modular design, the system is divided into several independent but collaborative components—including Indicators, Strategies, and Market Scanners—all utilizing the sophisticated analysis data generated by the core library. The design reflects a deep understanding of trading workflows, offering not only basic entry/exit signals but also advanced features such as position management, market state filtering, and diverse exit mechanisms to adapt to different user trading styles and risk management needs.Pine Script® Strategievon DeewiilinAktualisiert 9
TradEdge Final Algoapply on any chart to understand the charts and technincals.Pine Script® Strategievon prathitbansal172014
Big Trend Catcher: Dual-Gate EMA & ATR Trailing Swing TraderThe Big Trend Catcher: Long-Only Progressive Swing System OVERVIEW The Big Trend Catcher is a high-conviction, long-only swing trading strategy designed to identify and ride sustained market moves. Unlike traditional trend-following systems that often get "chopped out" during sideways consolidation, this strategy utilizes a Dual-Gate Filter to ensure you only enter when short-term momentum and the long-term trend are in total alignment. It is specifically tuned for high-growth stocks and ETFs where capturing the lion’s share of a multi-week or multi-month move is the primary objective. CORE LOGIC: THE DUAL-GATE SYSTEM To maintain a high quality of entries, the strategy requires a "confirmed launch" through two distinct filters: The Momentum Gate (20 EMA): Identifies immediate price acceleration and volume-backed impulse. The Long-Term Gate (100 EMA): Acts as the ultimate trend filter. The script utilizes a "Signal Memory" logic—if an impulse happens while price is still below the 100 EMA, the trade is held in a "Pending" state. The entry only triggers once the price closes firmly above the 100 EMA. Goal: This prevents "bottom fishing" in established downtrends and keeps you in cash during sideways "death loops" when the long-term direction is unclear. KEY FEATURES 1. Progressive Pyramiding (Scale-In) The biggest profits in swing trading are often made by adding to winners. This system features two automated scale-in triggers: Velocity Adds (VOLC): Adds to the position if the stock is up >10% and moving with rising momentum, allowing you to build a larger position as the trend proves its strength. Pullback Adds: Adds to the position when the price tests the 20 EMA and holds, allowing you to buy the "dip" within a healthy uptrend. 2. The Phoenix Re-Entry This logic is designed to catch "V-shaped" recoveries. If the strategy exits on a trend break but the price aggressively reclaims the 20 EMA on massive volume shortly after, it re-enters the trade. This ensures you aren't left behind during the second leg of a major run after a temporary shakeout. 3. Iron-Floor ATR Exit We use a 3.5x ATR Trailing Stop combined with the 100 EMA. This wider-than-average "breathing room" is designed to keep you in for significant gains while ignoring the minor daily volatility that often shakes out traders with tighter stops. HOW TO USE Best Timeframes: Daily (D) is recommended for identifying major cycles, but it can be applied to the 4-Hour (4H) for more active swing trading. Settings: * 20 EMA: Your short-term momentum guide. * 100 EMA: Your long-term trend guide. * ATR Multiplier: Set to 3.5 for maximum "trend hugging." SUMMARY OF VISUALS Blue Line (100 EMA): The Long-Term Trend. Yellow Line (20 EMA): The Short-Term Momentum. Red Stepped Line: Your ATR Trailing Floor (The "Iron Floor"). Lime Triangle: Initial Trade Entry. Blue/Orange Shapes: Progressive Scale-in points.Pine Script® Strategievon LegalxSeagull45
GKZ 3-Bar Compression ReversalThis one is NOT an indicator but a strategy Simple rules Weekly close is above 30 EMA weekly for atleast 3-5 weeks ( keeping fans of Stan Weinstein happy) following assumptions today is Day T , SO T-2 was a red candle T-1 was a green candle but its high is lower than T-2 and its close is above T-2 T ( confirmation candle): T's high is higher than T-2 and T-1 and its close is higher than T-1 aiyyo, this is so confusing...how do i find such stocks G? Drummmrolllllll : chartink.comPine Script® Strategievon GKLDH69813
ADX Price Movement Strategy. TG:@MrBCNADX Price Movement Strategy is a trading strategy for TradingView that uses the ADX indicator to determine the strength of price movement. The strategy identifies the beginning and end of momentum, filters out flat periods, and generates LONG/SHORT signals only when there is a strong trend. Suitable for cryptocurrencies, forex, and stocks, it is effective on short and medium timeframes. ADX Price Movement Strategy — торговая стратегия для TradingView, использующая индикатор ADX для определения силы движения цены. Стратегия выявляет моменты начала и окончания импульса, фильтрует флет и подаёт сигналы LONG / SHORT только при наличии сильного тренда. Подходит для криптовалют, форекса и акций, эффективна на младших и средних таймфреймах. TG:@MrBCNPine Script® Strategievon Smart_Scalp3
Order Block Strategy Pyramiding. TG:@MrBCNOrder Block Strategy Pyramiding is a strategy for TradingView based on the concept of Order Blocks. It identifies areas of interest for major market participants and looks for price reversal points when prices return to these areas. It generates LONG/SHORT signals, is suitable for cryptocurrencies, forex, and stocks, and is effective on short and medium timeframes. Order Block Strategy Pyramiding — стратегия для TradingView, основанная на концепции Order Blocks. Определяет зоны интереса крупных участников рынка и ищет точки разворота цены при возврате в эти зоны. Генерирует сигналы LONG / SHORT, подходит для криптовалют, форекса и акций, эффективна на младших и средних таймфреймах. TG:@MrBCNPine Script® Strategievon Smart_Scalp4
Order Block Strategy ReversWIN: 70-100% 8, 3, 3,1 TP 1.6% Order Block Strategy Revers is a trading indicator that identifies key order block zones (areas of accumulation by large players) and looks for price reversal points. The indicator tracks impulsive movements, forms supply and demand levels, and generates LONG/SHORT signals when the price returns to the order block with confirmation. Suitable for crypto, forex, and stocks, effective on medium and lower timeframes. Translated with DeepL.com (free version) Order Block Strategy Revers — это торговый индикатор, который определяет ключевые order block зоны (области накопления крупных игроков) и ищет точки разворота цены. Индикатор отслеживает импульсные движения, формирует уровни спроса и предложения и подаёт сигналы LONG / SHORT при возврате цены в order block с подтверждением. Подходит для крипты, форекса и акций, эффективен на средних и младших таймфреймах.Pine Script® Strategievon Smart_ScalpAktualisiert 6
EMA PB StrategyVersion 1.0 of my EMA Pullback strategy I am testing. THIS IS NOT PROFITABLE!!!Pine Script® Strategievon HeavenWithaD1
ATR + BB Swing StrategyMechanical daily stock swing strategy using ATR stops, Heikin Ashi trend confirmation, and Bollinger Bands context. Entries occur above 50 SMA on bullish Heikin Ashi candles; initial stop is 3xATR with trailing stop of highest close minus 2xAtr, reducing to 1.5xATR when profit protection triggers (+2R and momentum weakening). Exits are fully ATR-based, giving a simple, rules-driven approach to ride trends while protecting gainsPine Script® Strategievon ycornelius117
Tick-Tock (UT Bot Alert + Linear Regression Candles)The video stated to use LineReg Candels indicator combined with UT Bot Alerts Setting the inputs to the defvalues i've setted setting the chart on heiken ashi and a 30m interval Have in mind to follow indicator signals as a strategy, the confirmation of the signal and the entry happen in the next open. entering always late, yes but never failing and with automation possibilities. no fakouts real backtest as proven by the backtest this is not a good strategy! i should make a ticktok strategies series to disprove them Always backtest strategies published in ticktock! www.facebook.com if you have more strategies from ticktok you want dissproven hit me. Pine Script® Strategievon MrPencilBox44852
Prismatic Liquidity Engine [JOAT]Prismatic Liquidity Engine v6 - SMC Structure, Liquidity & Confluence Suite IMPORTANT NOTES (READ FIRST) This is a strategy script with automated entry/exit logic for backtesting and forward-testing purposes. It does not place live trades without your broker integration. This script is written in Pine Script® v6 and is intended to be used on standard candlestick charts (not Heikin Ashi, Renko, etc.). Source code visibility: This script is published as Protected Source (closed-source) to prevent unauthorized copies and maintain versioning integrity. This description documents what the strategy does, how it works, and how to use it. All backtesting results shown use the default settings documented below. Adjust parameters for your specific instrument and risk tolerance. Protected Source / Closed-Source Clarification Protected source means the internal implementation is not publicly viewable. The operational behavior is documented here: what is detected, what each module does, what each input controls, and how to interpret the output. If you see unauthorized copies elsewhere, report them via TradingView's plagiarism reporting system. Overview Prismatic Liquidity Engine v6 is a Smart Money Concepts (SMC) strategy that combines market structure analysis, liquidity zone detection, and price imbalance identification into a unified decision framework. The strategy identifies trading opportunities by analyzing: Market structure shifts (Break of Structure / Change of Character) Liquidity pools (equal highs/lows where stops accumulate) Price imbalances (Fair Value Gaps created by aggressive institutional participation) Order blocks (accumulation/distribution zones) The strategy requires confluence across multiple factors before generating entries, filtering out noise and focusing on setups where structure, liquidity, and momentum align. What Makes This Strategy Original (Originality & Usefulness) This is not a simple mashup of standard indicators. The strategy implements a coordinated SMC workflow: Structure defines the directional bias (BOS confirms trend, CHoCH signals potential reversal). Liquidity zones identify where stop-hunts are likely to occur before major moves. FVGs and Order Blocks provide objective entry zones with defined invalidation levels. Session filtering restricts trading to high-liquidity periods (London/NY overlap). ATR-based risk management adapts stop/target placement to current volatility. Confluence scoring requires multiple conditions to align before entry. The purpose is to systematize SMC concepts into a testable, repeatable framework rather than relying on discretionary interpretation. 1) Chart Visuals — What You See A) Fair Value Gap (FVG) Zones The strategy detects three-candle formations that create price imbalances: Bullish FVGs : Gap between candle 1's high and candle 3's low after aggressive upward movement. Bearish FVGs : Gap between candle 1's low and candle 3's high after aggressive downward movement. Zones are drawn as boxes with size labels showing the gap in price terms. Mitigation tracking marks zones as "used" when price trades back through them. How to use: FVGs represent areas where price moved too fast for balanced trading. Price often returns to these zones before continuing in the original direction. The strategy uses FVGs as potential entry zones when other confluence factors align. B) Order Block (OB) Zones Bullish OBs : Last down-candle before a strong upward move (institutional absorption). Bearish OBs : Last up-candle before a strong downward move (institutional distribution). Volume-weighted analysis distinguishes significant blocks from noise. Breach detection invalidates spent order blocks. C) Market Structure Labels BOS (Break of Structure) : Price breaks beyond previous swing high/low, confirming trend continuation. CHoCH (Change of Character) : Price breaks structure against the prevailing trend, signaling potential reversal. Swing highs/lows are marked and connected for visual structure tracking. D) Liquidity Zone Markers Equal highs : Buy-side liquidity pools (stop losses from shorts). Equal lows : Sell-side liquidity pools (stop losses from longs). Sweep detection identifies when liquidity is taken. E) Session Background Shading Asian session: 0000-0900 UTC London session: 0700-1600 UTC New York session: 1300-2200 UTC Background tint indicates active session for context. F) Trend EMAs (Optional) EMA 20 / 50 / 200 for trend direction context. Used internally for trend alignment requirements. 2) Strategy Execution Logic (How Entries Work) Long Entry Conditions (all must be true): Market bias is bullish (confirmed by BOS or CHoCH analysis). Price is within a valid bullish FVG or Order Block zone. EMAs show bullish alignment or recovery. Volume exceeds 20-period moving average (participation confirmation). Trade window is active (session filter). A BOS or CHoCH signal is present. Short Entry Conditions (all must be true): Market bias is bearish (confirmed by BOS or CHoCH analysis). Price is within a valid bearish FVG or Order Block zone. EMAs show bearish alignment or recovery. Volume exceeds 20-period moving average. Trade window is active. A BOS or CHoCH signal is present. Exit Logic: Primary stop loss: ATR-based (default 1.5x ATR). Fallback stop: Recent swing point if ATR stop is too wide. Take profit: ATR-based (default 2.5x ATR). Trailing stop available for locking in profits. 3) Strategy Properties & Backtesting Documentation Default Strategy Properties (Properties Tab): Initial Capital : $10,000 USD — realistic for average retail trader Base Currency : USD Order Size : 10% of equity per trade Pyramiding : 1 order (no pyramiding for conservative risk) Commission : 0.05% per order (realistic for CFD/forex brokers) Slippage : 2 ticks per order (accounts for market impact) Risk Per Trade: With ATR Stop Multiplier at 1.5x and 10% position sizing, typical risk per trade is approximately 1-3% of equity depending on volatility. This is within the sustainable 5-10% maximum recommended by TradingView guidelines. Published Backtest Results (GOLD 5m, Sep 28, 2025 – Jan 12, 2026): Total Trades : 37 Profitable Trades : 56.76% (21 of 37) Profit Factor : 2.067 Net Profit : +$40.90 USD (+0.04%) Max Drawdown : $98.62 USD (0.10%) Sample Size Justification: This strategy intentionally generates fewer trades (37 in this sample) because it requires multi-factor confluence before entry: Market structure confirmation (BOS or CHoCH) EMA trend alignment Valid SMC zone proximity when zone filter is enabled The confluence requirement filters out low-probability setups, resulting in a positive profit factor (2.07) and controlled drawdown (0.10%) at the cost of trade frequency. This is a deliberate design choice — the strategy prioritizes quality over quantity . To increase sample size for your own testing: Test across multiple instruments (EURUSD, BTCUSD, indices) Extend the historical date range Reduce Swing Length parameter from 5 to 3 Strategy Input Defaults: Swing Length : 5 bars ATR Period : 14 bars ATR Stop Multiplier : 1.5x ATR ATR Take Profit Multiplier : 2.5x ATR (1.67:1 reward-to-risk) Risk % of Equity : 1.0% Trading Session : 0000-2359 (all sessions) Require FVG/OB Zone Entry : OFF Require Volume Confirmation : OFF Require EMA Alignment : ON Backtest Limitations & Realistic Expectations: Backtesting assumes perfect fills at the close price — live execution will differ. Commission and slippage significantly impact net results. Always test with your broker's actual fees. Past performance does not guarantee future results. Results vary across instruments, timeframes, and market regimes. This strategy performs best in trending markets with clear structure — ranging/choppy conditions will produce more false signals. Always forward-test on paper before risking real capital. 4) Real-Time Dashboard The dashboard provides market context at a glance: Market Bias : BULLISH / BEARISH / NEUTRAL based on structure. Trend Strength : STRONG / WEAK based on EMA alignment. ATR : Current volatility level with HIGH / MEDIUM / LOW classification. Volume : Current volume ratio vs 20-period average (SPIKE / HIGH / NORMAL / LOW). Session : Active trading session. Key Levels : Dynamic resistance and support from recent structure. Signal Count : Active SMC signals with strength indicator. Trade Window : OPEN / CLOSED based on session filter. 5) Inputs & Settings Reference Structure Detection Swing Length : Lookback for swing high/low detection (default: 5). Lower = more signals, Higher = major structure only. FVG Settings Show FVGs : Toggle FVG box display. FVG Extension : How long FVG boxes extend forward (default: 20 bars). Order Block Settings Show Order Blocks : Toggle OB display. OB Extension : How long OB boxes extend forward (default: 20 bars). Liquidity Settings Liquidity Range % : ATR percentage for "equal high/low" classification (default: 0.5%). Show Liquidity Zones : Toggle liquidity pool markers. Strategy Controls Enable Long Trades : Allow long entries (default: ON). Enable Short Trades : Allow short entries (default: ON). Risk % of Equity : Maximum risk per trade (default: 1.0%). ATR Period : Length for ATR calculation (default: 14). ATR Stop Multiplier : Stop distance in ATR units (default: 1.5). ATR TP Multiplier : Take profit distance in ATR units (default: 2.5). Trading Session Filter : Restrict entries to specific time windows (default: 0000-2359 = all day). Require FVG/OB Zone Entry : When ON, price must be inside an FVG or OB zone. When OFF, trades trigger on structure signals alone (default: OFF). Require Volume Confirmation : When ON, volume must exceed 20-period average (default: OFF). Require EMA Alignment : When ON, price must be above/below EMAs for direction (default: ON). Visual Settings Show Dashboard : Toggle dashboard display. Show Sessions : Toggle session background shading. Show Fibonacci : Toggle Fibonacci level display. Color Customization : Full control over all visual elements. 6) Recommended Workflow Step 1 — Configure Risk Parameters Set risk % appropriate for your account (1-2% recommended). Adjust ATR multipliers based on your instrument's volatility. Set commission/slippage to match your broker. Step 2 — Select Appropriate Timeframe M15-H1 : Best balance of signal frequency and reliability. H4-D1 : Higher quality signals, fewer false positives. M1-M5 : Scalping possible but requires tighter risk management. Step 3 — Backtest on Your Instrument Run strategy tester with realistic commission/slippage. Review trade list for entry quality. Adjust parameters if needed for your specific market. Step 4 — Forward Test Before Live Trading Paper trade or use small size to validate real-time behavior. Monitor for any discrepancies between backtest and live conditions. 7) Suitable Markets Forex majors (EURUSD, GBPUSD, USDJPY) — 24/5 liquidity, clear structure. Major indices (SPX, NASDAQ, DAX) — trending behavior, respects levels. Gold (XAUUSD) — respects structure and liquidity concepts. Crypto (BTCUSD, ETHUSD) — high volatility, adjust ATR multipliers. 8) Limitations & Best-Use Guidance This strategy is a decision-support and backtesting tool, not a guaranteed profit system. Performance varies across market conditions (trending vs ranging). Low liquidity periods may produce false signals. News events can override technical analysis. Overnight gaps may affect stop placement. Always validate with forward testing before live capital. 9) Alerts Bullish / Bearish Regime Start FVG Formation (Bull / Bear) Order Block Detection BOS / CHoCH Structure Shift Liquidity Sweep High-Volume Confirmation Recommended: Use "Once Per Bar Close" for most reliable alerts. Disclaimer This strategy is for educational and backtesting purposes only. It does not constitute financial advice. Trading involves substantial risk of loss. Past performance does not guarantee future results. Always test configurations on historical data and paper trading before applying them to live capital. You are solely responsible for your trading decisions and risk management. -Made with passion by officialjackofalltrades Pine Script® Strategievon officialjackofalltrades43
SPCE PROYou see a green arrow Buy and put your take profit on the blue points and for shorts reverse the process FÜR MAKRA!❤Pine Script® Strategievon lemaspce7
GOLD TERTIUM estrategiaThis indicator is a visual tool for TradingView designed to help you read trend structure using EMAs and highlight potential long and short entries on the MGC 1‑minute chart, while filtering pullbacks and avoiding trades when the 200 EMA is flat. It calculates five EMAs (32, 50, 110, 200, 250) and plots them in different colors so you can clearly see the moving‑average stack and overall direction. The main trend is defined by the 200 EMA: bullish when price and the fast EMAs (32 and 50) are above it with a positive slope, and bearish when they are below it with a negative slope; if the 200 EMA is almost flat, signals are blocked to reduce trading in choppy markets.Pine Script® Strategievon bkfeuer3264
Axiom Flow: Donsma NQ/MNQ - 5 Min TFThis is a proprietary algorithmic trading framework engineered specifically for the Mini and Micro Nasdaq (MNQ) futures market on the 5-minute timeframe. Designed for the modern quantitative trader, this system filters market noise to identify high-probability momentum expansions during key liquidity windows. Unlike standard indicators that repaint or lag, this framework utilizes a "Confirmed Close" logic engine, meaning it waits for structural validation before signaling an entry. It is designed to be a complete decision-support system, automating the complex analysis of trend alignment, volatility, and momentum. How It Works (The Logic) The system relies on a 4-Stage Verification Protocol: Structural Trend Validation: Uses a proprietary dual-layer breakout logic to ensure price is not just fluctuating within a range but has broken significant structural resistance or support levels. Volatility Compression Filter: Entries are restricted to periods of specific volatility conditions. The system identifies "energy build-up" phases and triggers only when statistical probability favors an expansion (breakout), avoiding over-extended markets. The "Anti-Chop" Protocol: A custom-built filter measures the efficiency of price movement. If the market is "chopping" sideways with low directional energy, the system remains neutral, protecting capital from false signals common in range-bound environments. Velocity Override: A secondary high-impact logic layer detects institutional volume flow and rapid price displacement, allowing the strategy to capture fast-moving news events that standard trend filters might miss. Risk Management (Automated) Fixed Risk Sizing: The logic is calibrated for 1-Contract fixed sizing to demonstrate raw performance consistency. Adaptive Profit Targets: Unlike static targets, this system uses Dynamic Volatility Scoring to calculate profit objectives. It aims for larger runners during high-volatility sessions and banks tighter profits during slower sessions. Liquidity Window Lock: Execution is hardcoded to the New York Session (Open to Lunch) to ensure maximum liquidity and reduce slippage risks. Disclaimer This script is for educational and backtesting purposes only. Past performance in the strategy tester is not indicative of future results. Trading futures and derivatives involves substantial risk of loss and is not suitable for every investor. This tool is designed to assist your own technical analysis, not to replace independent judgment.Pine Script® Strategievon AxiomFlowAktualisiert 0
Strict EMA Wick Pullback Trend ContinuationThis script is a strict EMA pullback entry model designed exclusively for trend continuation traders. It does NOT attempt to predict tops or bottoms. It waits for established trends and enters only on shallow pullbacks with defined risk. OVERVIEW This strategy is built for disciplined trend continuation trading. It looks for shallow pullbacks into a fast EMA during established uptrends and exits when trend structure breaks. There is no counter-trend logic and no optimization for win rate. ENTRY LOGIC A long entry is triggered when: • Price pulls back into the fast EMA area (wick touch) • The pullback remains above the slow EMA (trend integrity) • The candle closes bullish • Optional: slow EMA is rising (trend filter) RISK MANAGEMENT • A dynamic stop is placed just below the fast EMA • The stop only tightens — it never loosens • Losses are small and predefined • The system is designed to be scaled via position sizing EXIT LOGIC • Positions are closed when the fast EMA crosses below the slow EMA • This represents a breakdown of trend continuation structure WHAT THIS STRATEGY IS • A trend continuation entry module • Risk-first by design • Low win-rate, high payoff profile • Designed for trending markets WHAT THIS STRATEGY IS NOT • Not a reversal system • Not a scalping strategy • Not a signal service • Not optimized for ranging markets • Not a promise of profitability IMPORTANT NOTES • Long-only by design (BTC context) • No repainting logic • Best used with higher-timeframe trend confirmation • This is a tool, not financial advice Recommended markets: BTCUSD / BTCUSDT Timeframe: 1D Trend filter: ON Risk: fixed % per trade (user-defined) Pine Script® Strategievon SystemsOverFeelings117
RSI-RS StrategyRSI-RS Strategy: Smart Trend Following 🚀 Overview This strategy combines Multi-Timeframe RSI with Mansfield Relative Strength to identify high-momentum breakouts in strong stocks. Unlike standard RSI strategies, it features a "Smart Trailing Stop" that tightens when momentum weakens but respects key RSI 50 support levels to avoid shaking you out of winning trades. Key Features ✨ 1. 🎯 High-Probability Entries Multi-Confirmations: Requires Monthly RSI > 60 and Weekly RSI > 60 (Trend is Up). Dual Trigger: Enters on a Daily RSI Breakout (>60) OR a Weekly RSI Catch-up, ensuring you don't miss late moves. RS Filter: Only buys stocks outperforming the Index (RS > 0). New Listing Safe: Automatically skips Monthly checks for new IPOs lacking history. 2. 🛡️ Advanced "Hybrid" Stop Loss This strategy solves the "Wick Out" problem: Confirmation Exit: If price drops below the Stop Loss, it waits for the Next Candle to confirm the breakdown. It ignores intraday wicks! Crash Protection: Includes a "Panic Button" (Default 3% buffer). If price crashes rapidly intraday, it exits immediately to save capital. Smart Trailing: The Stop Loss moves UP when RSI shows weakness (<60), locking in profits. 3. 🧠 Smart Support Buffer Wait for 50: Uniquely detects when RSI is resting on 50 Support (Zone 50-55). Patience: It ignores minor weakness signals in this zone, waiting for a bounce instead of exiting prematurely. 4. 🧹 Clean Visuals Minimalist Labels: Transparent Entry/Exit labels that don't declutter the chart. Setup Watch: Visually signals "Watch > " before the trade triggers. Transparency: "SL Update" diamonds prove exactly why the stop moved (showing the RSI value). Settings Guide ⚙️ Confirmation Window: How many bars the breakout remains valid (Default: 2). RSI Support Buffer: The "Safe Zone" range above 50 (Default: 5). Crash Buffer %: Distance below SL for immediate emergency exit (Default: 3.0%). Visuals: Toggle Setup Labels and SL Diamonds on/off to keep your chart clean. How to Trade It Green Background: You are in a trade. Red Line: Your Hard Stop Loss (Closing Basis). Maroon Dotted Line: Your Crash Limit (Intraday Danger Zone). Orange Diamond: Warning! RSI Weakness detected, SL has tightened. Disclaimer Backtested on Indian Equities (NSE). Designed for Swing Trading on Daily Timeframe. Always manage your own risk.Pine Script® Strategievon sandeepgoyal194Aktualisiert 11251
GoldenEA trendcatcher STRATEGY📈 GoldenEA Trendcatcher – Strategy Description GoldenEA Trendcatcher is a precision-built intraday trading strategy designed for traders who prefer clarity, discipline, and controlled risk. It focuses on capturing high-probability market moves while maintaining strict trade management and capital protection. This strategy is session-aware and operates only during user-defined trading hours, helping traders avoid low-liquidity and unfavorable market conditions. It automatically limits the number of trades per day, ensuring disciplined execution and preventing overtrading. 🔒 Smart Risk & Trade Management Built-in dynamic risk control with automatic stop-loss and profit-target handling Breakeven protection that activates once price moves favorably, with an optional buffer to account for brokerage and commissions Clear visual markers on the chart for breakeven and profit milestones Automatic exits to protect profits and reduce emotional decision-making 📊 Visual & Analytical Clarity Clean chart presentation with optional historical plotting Real-time risk-to-reward visualization for every trade On-chart boxes and labels that help traders understand trade structure at a glance Designed to stay lightweight and non-intrusive ⚙️ Fully Customizable Adjustable trade session timing Configurable daily trade limits User-defined profit targets, breakeven levels, and visual styles Works seamlessly across intraday timeframes 🎯 Who Is This For? GoldenEA Trendcatcher is ideal for traders who: Want rule-based execution without constant monitoring Prefer visual confirmation over complex indicators Value risk management first, profits second Trade intraday and want consistency over randomness Note: This strategy is intended for educational and backtesting purposes. Always test thoroughly on demo accounts before considering live deployment.Pine Script® Strategievon IntradayindexprofiterAktualisiert 3
Kingpip Strategy (Execution).... This is very good strategy. You can use free. Top CerPine Script® Strategievon afifalarif7