⚡ HMA PowerPlay Strategy ⚡The ⚡ HMA PowerPlay Strategy ⚡ is a highly filtered momentum-based strategy that combines trend-following and volatility breakout logic. It is designed for precision entries during strong directional moves.
**Key Features:**
- Dual HMA filtering (short-term and long-term)
- Strong bullish/bearish candle detection
- ATR-based dynamic stop loss and R-multiple targets
- Volume confirmation filter
- RSI + MACD oscillator conditions for additional confirmation
- Entry checklist panel for transparent signal breakdown
- Oscillator and price panel for deeper context
- Supports both long and short signals
Ideal for traders who want visual clarity, data-backed entries, and structured position management.
Developed and optimized by IMSHAHROKH.
Hareketli Ortalamalar
T3 Moving Average with Multiple EMAsT3 Moving Average with Multiple EMAs
Short Title: T3 + EMAs
Overview
The T3 Moving Average with Multiple EMAs is a versatile trend-following indicator that combines the smooth, adaptive T3 Moving Average with eight customizable multi-timeframe Exponential Moving Averages (EMAs). Designed for traders seeking clarity in trend direction and momentum, this indicator overlays on the price chart to highlight dynamic support/resistance levels and trend alignment across multiple timeframes.
Key Features
T3 Moving Average: A highly responsive, smoothed moving average (default: 9-period, 0.7 volume factor) that reduces lag while maintaining accuracy, ideal for identifying short-term trends and reversals.
Eight Multi-Timeframe EMAs: Plots eight EMAs (default lengths: 8, 13, 21, 34, 55, 89, 144, 233) sourced from user-defined timeframes (e.g., 1m, 5m, 15m, 1h, 4h), providing a comprehensive view of short-, medium-, and long-term trends.
Customizable Timeframes: Each EMA can be independently set to a specific timeframe, allowing traders to analyze cross-timeframe trend alignment.
Theme Support: Offers "Dark" and "Light" themes with optimized colors for visual clarity and chart compatibility.
Flexible Parameters: Adjust T3 length, volume factor, EMA lengths, and timeframes to suit various markets and trading styles (scalping, swing trading, or long-term investing).
How It Works
The T3 Moving Average is calculated using a multi-stage EMA formula weighted by a volume factor, offering smoother trend tracking than traditional EMAs. The eight EMAs, sourced from higher or lower timeframes using request.security, provide a layered perspective on price trends. Faster EMAs (e.g., 8, 13) react to short-term price movements, while slower EMAs (e.g., 144, 233) reflect longer-term trends. The indicator plots all lines on the price chart with distinct, theme-adjusted colors for easy identification.
Usage
Trend Identification: Use the T3 MA for short-term trend signals and the EMAs to confirm broader trend direction. A price above multiple EMAs suggests a bullish trend; below indicates bearish.
EMA Crossovers: Watch for crossovers between faster and slower EMAs (e.g., 8 crossing 21) for potential entry/exit signals.
Support/Resistance: Treat slower EMAs (e.g., 89, 144) as dynamic support/resistance levels, especially on higher timeframes.
Timeframe Alignment: Align trades with the trend direction of higher-timeframe EMAs for higher-probability setups.
Customization: Adjust T3 and EMA settings to match your trading style or asset volatility.
Settings
T3 Parameters:
Length (default: 9): Period for T3 calculation.
Volume Factor (default: 0.7): Controls T3 smoothness (0.1–1.0).
EMA Parameters:
Lengths (default: 8, 13, 21, 34, 55, 89, 144, 233): Period for each EMA.
Timeframes (default: 5m, 5m, 15m, 15m, 1h, 1h, 4h, 4h): Select from 1m, 5m, 15m, 30m, 1h, 4h, D, W, or M.
Theme: Choose "Dark" (vibrant colors) or "Light" (softer colors) for chart compatibility.
Notes
Combine with other tools (e.g., RSI, support/resistance, or volume) for confirmation.
Optimize settings for specific markets (e.g., crypto, forex, stocks) or timeframes.
The indicator is overlayed on the price chart for seamless integration with price action analysis.
Author’s Note
This indicator was designed to provide traders with a clear, multi-timeframe perspective on trends using the T3 MA and EMAs. Feedback is welcome to enhance this tool for the TradingView community!
EMA – Long & Short (% filter, grey skips, alert with %)**Adaptive EMA Crossover — Fast / Slow with Distance Filter**
> A clean, no-nonsense trend-flip tool that refines the classic fast/slow-EMA crossover.
> Get **one decisive alert per meaningful move** while skipping the whipsaw noise that clutters tight ranges.
---
### 🔑 What it does
1. **Plots a user-defined *Fast EMA* (blue) and *Slow EMA* (red)** — choose any periods that suit your market and timeframe.
2. **Detects every crossover on the candle close.**
* **Fast EMA > Slow EMA → Long candidate**
* **Fast EMA < Slow EMA → Short candidate**
3. **Distance filter** — a new signal fires only when price has moved *X %* (absolute) away from the **previous same-side trigger**.
* Green ▲ / Red ▼ = valid entry (filter passed)
* Grey ▲ / Grey ▼ = filtered out (too close to last signal)
4. **Signed-% label** on each valid triangle shows how far price is from the last trigger of that side (negative for shorts occurring lower).
5. **Webhook-ready alerts**
* Separate `LONG trigger` and `SHORT trigger` conditions
* Alert text auto-injects the live price and signed % distance.
---
### ⚙️ Inputs
| Input | Default | Purpose |
| ------------------------------------------------ | --------- | ------------------------------------------------------------------------------------------------------------------------------------------ |
| **Fast EMA length** | 8 | Period of the fast EMA (edit to taste) |
| **Slow EMA length** | 55 | Period of the slow EMA (edit to taste) |
| **Min ABS % change from last same-side trigger** | **0.5 %** | `0 %` → alert on **every** crossover`0.5 %` → wait for at least ±0.5 % move before a new alert on the same side |
*(All calculations use closing price.)*
---
### 🖥️ How to use
1. **Add to chart**, set your preferred EMA lengths and % filter.
2. Create two TradingView alerts:
* Condition → `LONG trigger`
* Condition → `SHORT trigger`
* Keep the preset message so the % value auto-fills.
3. Combine with your own exit logic (e.g., reverse crossover, ATR trail, manual structure).
---
### 📝 Notes & Tips
* The filter is **absolute** — a -0.6 % drop qualifies just like a +0.6 % rise.
* First long and first short after adding the script always fire (no prior reference).
* Hide markers or labels in *Style* if you only need alerts.
* Works on **any market**: crypto, forex, equities, futures, indices.
---
Always back-test and manage risk before trading live.
Multiple EMAs + ATR %The Multiple EMAs + ATR % indicator combines Exponential Moving Averages (EMAs) and the Average True Range (ATR) to provide a comprehensive view of market trends and volatility. Here's a breakdown of its components:
EMAs:
EMA of Closing Price (21-period): this line reflects the average closing price over the last 21 periods, helping to identify the primary trend.
EMA of High Price (21-period): this EMA highlights upward momentum and helps in recognizing resistance levels.
EMA of Low Price (21-period): this line indicates downward movement, assisting users in spotting potential support levels.
EMA of the Closing EMA (21-period): Shown in navy with a step line style, this smooths out the previous EMAs, providing a clearer view of trend direction.
ATR (Average True Range):
The ATR is calculated as a percentage of the previous close, providing a measure of market volatility. It is plotted in red, offering insights into how much the price is expected to fluctuate.
User Benefits:
Trend Analysis: Users can easily identify the direction and strength of trends through EMAs, aiding in trade decisions.
Volatility Assessment: The ATR component helps traders understand market conditions, allowing for better risk management.
Support and Resistance Levels: The interaction of different EMAs can indicate key levels where prices may reverse.
Customizable Parameters: Users can adjust the periods and settings according to their trading strategies.
Overall, this indicator is a powerful tool for traders looking to enhance their technical analysis and improve decision-making in volatile markets.
MA Multi-Timeframe[nakano]## MA Multi-Timeframe
### Overview (概要)
This indicator displays up to 10 highly customizable Moving Averages (MAs) on the chart. More importantly, it provides a comprehensive status table to visualize the relationships between these MAs (Golden/Dead Cross, Perfect Order) across multiple standard timeframes, offering a powerful at-a-glance view of the market's condition.
このインジケーターは、最大10本の高度にカスタマイズ可能な移動平均線(MA)をチャート上に表示します。さらに、これらのMA間の関係性(ゴールデンクロス/デッドクロス、パーフェクトオーダー)を複数の主要な時間足にわたって視覚化する、包括的なステータスパネルを提供し、市場の状況を一目で強力に把握することを可能にします。
### Key Features (主な機能)
#### Versatile Moving Averages (多機能な移動平均線)
Display up to 10 MAs simultaneously.
最大10本のMAを同時に表示できます。
Each MA can be configured with its own period, type (SMA/EMA), and timeframe.
各MAはそれぞれ、期間、種類(SMA/EMA)、時間足を個別に設定可能です。
Easily toggle the visibility of each MA from the settings panel.
不要なMAは、設定画面から簡単に表示/非表示を切り替えられます。
#### Multi-Timeframe Status Table (マルチタイムフレーム・ステータステーブル)
The table, displayed in a corner of the chart, shows the status of the following rules across multiple timeframes (1m, 5m, 15m, 1H, 4H, 1D, 1W):
チャートの隅に表示されるテーブルで、以下のルールの状態を複数の時間足(1m, 5m, 15m, 1H, 4H, 1D, 1W)で一覧できます。
* **Golden Cross / Dead Cross (GC/DC)**
* `GC` / `DC`: Indicates a simple crossover has occurred. (単純なクロス状態を示します。)
* `GC ↑` / `DC ↓`: Indicates a stronger state where both the short-term and long-term MAs are sloped in the same direction as the cross. (短期・長期MAが両方とも同じ方向の傾きを持った、より強い状態を示します。)
* **Perfect Order (PO)**
* `PO`: Indicates that the short, mid, and long-term MAs are aligned in the correct sequence. (短期・中期・長期MAが順番通りに並んだ状態です。)
* `PO ↑` / `PO ↓`: Indicates a very strong state where a Perfect Order is active *and* all three MAs are sloped in the same direction. (パーフェクトオーダー状態で、かつ3本のMA全てが同じ方向の傾きを持った、非常に強い状態を示します。)
#### "Notice" Signal (注意喚起シグナル)
This feature detects a potential upcoming crossover and provides a warning by changing the text color in the status table to yellow. You can choose from three detection methods:
この機能は、転換の予兆を検知し、テーブルセルの**文字色を黄色に変えて**注意を促します。判定ロジックは以下の3種類から選択できます。
1. **MA Proximity (デフォルト)**: Triggers a notice when two MAs are converging and their distance is within a specified percentage of the price. (2本のMAが指定した割合(%)以内に接近し、かつ収束している場合に注意喚起します。)
2. **BB Squeeze**: Triggers a notice when the Bollinger Bands narrow to a specified threshold (Bollinger Bandwidth), indicating a volatility squeeze that often precedes a breakout. (ボリンジャーバンドの幅が指定した閾値を下回った(スクイーズした)場合に注意喚起します。市場のエネルギーが溜まっている状態を示唆します。)
3. **BB Prediction (EMA Only)**: A predictive model that checks if a crossover would occur on the next bar if the price were to touch the lower (for pre-GC) or upper (for pre-DC) Bollinger Band. *This mode only works when both compared MAs are set to EMA.* (現在がGCの場合、「次の足で価格がBB下限にタッチしたらDCするか?」を予測します。(逆も然り)精度の都合上、このロジックはMAの種類が両方ともEMAの場合のみ機能します。)
#### MA Settings Table (設定確認用テーブル)
A secondary, optional table that displays a summary of the settings for all currently active MAs. This is useful for quickly reviewing your configuration without opening the settings panel.
現在チャートに表示しているMAの設定(種類、期間、時間足)を一覧表示する、もう一つのテーブルです。設定画面を開かずに、現在の設定を素早く確認したい場合に便利です。
### Settings (設定項目)
The settings are organized into logical groups for intuitive configuration:
設定は、以下の論理的なグループに分かれています。
1. **Moving Averages**: Configure the basic settings for all 10 MAs (period, type, color, etc.). (10本のMAの基本的な設定(期間、種類、色など)を行います。)
2. **Multi-Timeframe Status Table**: Configure everything related to the main status table, including its visibility, position, font size, and the analysis rules (GC/DC, PO, and Notice Signals). (メインのステータステーブルに関するすべての設定(表示/非表示、位置、フォントサイズ、分析ルール、注意喚起ロジック)をここで行います。)
3. **Chart Display & Colors**: Configure chart visuals, such as the fill area between MAs and the main colors used by the indicator. (チャート上の塗りつぶしエリアや、インジケーター全体で使う色の設定を行います。)
4. **MA Settings Table**: Configure the secondary debug/settings table. (設定確認用テーブルの表示/非表示やレイアウトを設定します。)
### How to Use (利用方法)
By getting a comprehensive overview of trend direction and momentum across multiple timeframes on a single chart, this tool can assist in making more informed trading decisions. For example, a trader might use it to confirm a strong uptrend on higher timeframes before looking for pullback entries on a lower timeframe.
複数の時間足のトレンド方向や勢いを一枚のチャートで俯瞰することで、より精度の高いエントリー・エグジットの判断材料とすることができます。例えば、上位足で強いトレンドが出ていることを確認しながら、下位足での押し目買いや戻り売りを狙うといった使い方が考えられます。
---
*This script is provided for informational and educational purposes only. It is not financial advice. Please use it at your own risk.*
*このスクリプトは、情報提供および教育目的でのみ提供されます。これは投資助言ではありません。ご自身の責任においてご使用ください。*
ADT MSI TableKey Features:
1. Market Smith Methodology
Composite Rating: Combines price and volume strength
Relative Strength Rating: Measures stock performance vs benchmark
Base Pattern Detection: Identifies consolidation patterns
Breakout Signals: Detects valid breakouts with volume confirmation
2. Indian Market Adaptations
INR Currency Formatting: Displays prices in ₹, Lakhs, and Crores
Indian Benchmarks: NIFTY, SENSEX, NIFTY500 options
Market Cap Display: Formatted in Indian currency standards
Trading Hours Compatibility: Works with NSE/BSE data
3. Comprehensive Data Table
Real-time Metrics: Current price, daily change, volume analysis
Technical Indicators: MA positions, RS rating, composite rating
Performance Tracking: 3M, 6M, 12M returns
Signal Generation: BUY/SELL/HOLD recommendations
4. Visual Elements
Multiple Moving Averages: 10, 20, 50, 200 period MAs
Support/Resistance Levels: Dynamic pivot-based levels
Volume Analysis: Color-coded volume bars with surge detection
Trend Background: Color-coded background based on trend strength
Breakout Markers: Visual signals for valid breakouts
5. Customizable Parameters
Adjustable Periods: All timeframes can be modified
Table Positioning: 9 different table positions
Alert System: Customizable breakout and volume alerts
Display Options: Toggle any component on/off
6. Indian Market Specific
No Errors: Fully compatible with Indian stock data
Proper Formatting: All values in Indian currency format
Market Hours: Optimized for Indian trading sessions
Volume Calculations: Adapted for Indian market volume patterns
SG Multi Entry/Exit IndicatorThis strategy is based on an entry and an exit indicator that can be selected from a range of indicators.
The entry / exit indicators are standard Stochastic, MACD, RSI and MA indicators.
The graphs for each indicator are normalised to between 0 and 100 and displayed on above the other with buy and sell indicators.
The Strategy can be enabled / disabled via the inputs as can the date range as can whether to put a dummy sell signal in for the last trading day to give an accurate Mark to Market performance.
COG GravityBased on the COG concept by veryfid — but shown directly on the chart instead of an oscillator pane.
Long Entry
Price crosses above the COG line, and
Price is above the SMA
COG velocity is rising (momentum is building)
Short Entry
Price crosses below the COG line, and
Price is below the SMA
COG velocity is falling (momentum is weakening)
Feel free to modify the script and let me know ☺️
SMA 5/10/30 close🧊
SMA 5/10/30 close
SMA 5/10/30 close
SMA 5/10/30 close
SMA 5/10/30 close
SMA 5/10/30 close
Haruto Rolling VwapDescription:
This indicator provides a unique and powerful perspective on market trends by calculating a true "rolling" or "moving" Volume-Weighted Average Price (VWAP).
Unlike traditional session VWAPs that reset daily or weekly, this tool functions like a moving average. It offers a continuous, smoothed representation of the volume-weighted fair value over a specified time duration (e.g., the last 30 days). This is perfect for traders who want to identify longer-term dynamic support and resistance levels that are confirmed by trading volume.
The indicator intelligently adapts its calculation window based on your current chart timeframe to ensure that the lookback period remains consistent with the selected duration.
Key Features:
Multiple Rolling Periods: Analyze the market from different perspectives with selectable 7-Day, 30-Day, 90-Day, and 365-Day rolling VWAPs.
Dynamic Calculation Window: The lookback period is automatically calculated based on the chart's timeframe to accurately approximate the chosen time duration.
Optimized for Performance: Longer-term VWAPs are designed to display only on suitable, higher timeframes. This ensures a smooth, fast experience and a clean chart, preventing clutter and slow loading on lower timeframes.
Clear Floating Labels: Each VWAP line is accompanied by a clean, color-coded label on the right side of the chart for easy identification.
Personal Trading Motto: Add your own custom trading motto directly onto the chart. This unique feature serves as a constant reminder of your trading discipline and principles.
How to Use:
Dynamic Support & Resistance: Use the VWAP lines as major dynamic levels of support in an uptrend and resistance in a downtrend. A bounce from or rejection at these levels can be a powerful signal.
Trend Confirmation: Identify the long-term trend bias by observing if the price is consistently trading above or below a key rolling VWAP (e.g., the 30D or 90D).
Momentum Shifts: Watch for crossovers between the different VWAP periods (e.g., the 7D crossing above the 30D) as a potential signal of a significant shift in market momentum.
This is the perfect tool for traders looking to anchor their analysis to a longer-term, volume-confirmed view of the market's "fair price."
Solimano15MThis indicator uses SMAs and TDIs. It plots some SMAs and shark fin symbols on the chart. It fires buy and sell signals filtered by SMAs.
Multi-Timeframe EMA Overlay [Smoothed Approximation]in.tradingview.com This indicator displays Exponential Moving Averages (EMAs) from multiple timeframes (5m, 15m, 1H, 4H, 1D) on a single chart, regardless of your current timeframe.
HOW IT WORKS
You choose a base EMA length (e.g., 20).
The script calculates equivalent lengths for other timeframes (e.g., for a 1H EMA while on a 1-minute chart: 20 × 60 = 1200 length).
These adjusted EMAs are then computed and plotted — giving a continuous, smooth curve rather than a stepped line.
KEY FEATURES
🟪 5m, 🟦 15m, 🟩 1H, 🟧 4H, 🟥 1D EMAs.
🧠 Smooth approximation — good for visual trend tracking without step lag.
🎛️ Toggle visibility for each timeframe EMA independently.
📈 Uses
Trend Confirmation:
Aligning short-term trades with higher timeframe trends (e.g., go long only when 15m & 1H EMAs are trending up).
Confluence Zones:
Price action near multiple EMA levels from different timeframes can indicate strong support/resistance zones.
Entry Filters:
Avoid trades against dominant higher timeframe trends.
Example: On a 5m chart, only go long if price > 1H EMA.
Reversal Watch:
EMA convergence or crossovers across timeframes can signal potential trend shifts.
Beginner Friend (Beware of operator)Beginner Friend (Beware of operator) : A Statistical Approach to Enhancing Your Trading Strategy based on moving averages.
these indicator is purly for beginner only not for professional.
Moving averages (MAs) are one of the most popular tools used by traders and investors to smooth out price data and identify trends in the financial markets. While they may seem simple on the surface, moving averages are rooted in statistical analysis and offer powerful insights into price behavior over time. In this article, we will break down the concept of moving averages from a statistical viewpoint, explore different types of MAs and their benefits, and discuss how they can be effectively used in trading and market analysis.
The core idea behind a moving average is to capture the central tendency of a price over time, providing a clearer picture of the market’s overall direction. By averaging the price over a period, it helps traders see the general trend without being distracted by the noise of daily market volatility.
Indicator tells the 3 golden rules for beginner to became successfull
1. NEVER SELL ITM
2. REVERSAL PROHIBITED
3. TRADE SMALL QUANTITY
Using Moving Averages for Market Analysis
Moving averages are not just for individual trades; they can also provide valuable insight into broader market trends. Traders and investors use moving averages to gauge the overall market sentiment. For example, if a major index like the S&P 500 is trading above its 200-day moving average, it is often considered a sign of a strong market.
On the contrary, if the index breaks below its 200-day moving average, it can signal potential weakness ahead. This is why long-term investors pay close attention to moving averages as part of their overall market analysis.
🚀Accurate Scalper A.I🚀This script is a comprehensive scalping tool combining multiple technical indicators and risk management features
Dashboard---> Displays key metrics (strategy, trend strength, volume, timeframe trends) in a customizable table
Signal Settings--->Adjust signal sensitivity (default: 6.29) and filters (e.g., ignore consolidation signals)
Trading Signals---> Three strategies generate buy/sell signals
Risk Management, Trend Visualization, Volume Profile, Identify Sideways Market
Support/Resistance & Order Blocks ---> Auto S/R: Dashed lines at pivot points, Order Blocks: Demand/supply zones (green/red boxes)
Auto Fibonacci Extension
Detects Trends (using Super trend)
Plots Extensions beyond swing highs/lows
Labels Key Levels (0.382, 0.618)
Ichimoku + RSI + VWMA Strategy Suite (w/ ATR SLTP)Ichimoku + RSI + VWMA indikatörleri kullanılarak üretilen seçmeli stratejiler.
Gold Power Hours StrategyStrategy: XAUUSD Gold Power Hours
(ideal for Tuesday to Thursday, 8:00–11:30 am NY and 1:30–3:30 pm NY)
Strategy Rules
1️⃣ Timeframe
Trade on 15 min and 1 hour charts
Confirm with the 4 h chart (trend direction)
2️⃣ Entry Conditions
✅ Main trend (confirmation):
50-period Simple Moving Average (SMA50) on the 4h chart
price above = only look for longs
price below = only look for shorts
✅ Momentum (confirmation):
RSI(14) on the 15 min chart
above 55 = bullish strength
below 45 = bearish strength
✅ Volume (validation):
Increasing volume (bar higher than previous) during NY open (8–9 am) or at 1:30 pm
confirms institutional interest
3️⃣ Entry Setup
🟢 Longs (buys):
Price above 4h SMA50
15 min RSI > 55
break of previous resistance (e.g., last hour’s high)
rising volume on the entry candle
👉 Enter on breakout + 2 pips of margin
🔴 Shorts (sells):
Price below 4h SMA50
15 min RSI < 45
break of previous support
rising volume on the entry candle
👉 Enter on breakout – 2 pips of margin
4️⃣ Trade Exits / Management
✅ Take profit (TP):
2 × the risk taken (e.g., SL 20 pips → TP 40 pips)
or the next significant support/resistance on H1
✅ Stop loss (SL):
below the last impulse candle (for longs)
or above the last impulse candle (for shorts)
minimum 15–20 pips to avoid stop hunts
✅ Break-even
move SL to entry point once +15 pips profit is reached
5️⃣ Additional Filters
✅ Avoid trading during red news (NFP, FOMC) until the first spike finishes.
✅ Avoid trading outside these windows:
8:00–11:30 am NY
1:30–3:30 pm NY
SMA3 / EMA10 + MACD (9-10pm COL) | SL 10 pips, TP 10 pipsmedias movil de 3 periodos mas una ema de 10 + macd cruces, el tp y sl no se usan de la estrategia se usa minimo o maximo q marque el zigzag de 6 periodos.
3-period simple moving average plus a 10-period EMA and MACD crossovers. Take profit and stop loss are not fixed; instead, they are based on the most recent low or high marked by a 6-period ZigZag indicator."
Multi-Confluence Swing Hunter V1# Multi-Confluence Swing Hunter V1 - Complete Description
Overview
The Multi-Confluence Swing Hunter V1 is a sophisticated low timeframe scalping strategy specifically optimized for MSTR (MicroStrategy) trading. This strategy employs a comprehensive point-based scoring system that combines optimized technical indicators, price action analysis, and reversal pattern recognition to generate precise trading signals on lower timeframes.
Performance Highlight:
In backtesting on MSTR 5-minute charts, this strategy has demonstrated over 200% profit performance, showcasing its effectiveness in capturing rapid price movements and volatility patterns unique to MicroStrategy's trading behavior.
The strategy's parameters have been fine-tuned for MSTR's unique volatility characteristics, though they can be optimized for other high-volatility instruments as well.
## Key Innovation & Originality
This strategy introduces a unique **dual scoring system** approach:
- **Entry Scoring**: Identifies swing bottoms using 13+ different technical criteria
- **Exit Scoring**: Identifies swing tops using inverse criteria for optimal exit timing
Unlike traditional strategies that rely on simple indicator crossovers, this system quantifies market conditions through a weighted scoring mechanism, providing objective, data-driven entry and exit decisions.
## Technical Foundation
### Optimized Indicator Parameters
The strategy utilizes extensively backtested parameters specifically optimized for MSTR's volatility patterns:
**MACD Configuration (3,10,3)**:
- Fast EMA: 3 periods (vs standard 12)
- Slow EMA: 10 periods (vs standard 26)
- Signal Line: 3 periods (vs standard 9)
- **Rationale**: These faster parameters provide earlier signal detection while maintaining reliability, particularly effective for MSTR's rapid price movements and high-frequency volatility
**RSI Configuration (21-period)**:
- Length: 21 periods (vs standard 14)
- Oversold: 30 level
- Extreme Oversold: 25 level
- **Rationale**: The 21-period RSI reduces false signals while still capturing oversold conditions effectively in MSTR's volatile environment
**Parameter Adaptability**: While optimized for MSTR, these parameters can be adjusted for other high-volatility instruments. Faster-moving stocks may benefit from even shorter MACD periods, while less volatile assets might require longer periods for optimal performance.
### Scoring System Methodology
**Entry Score Components (Minimum 13 points required)**:
1. **RSI Signals** (max 5 points):
- RSI < 30: +2 points
- RSI < 25: +2 points
- RSI turning up: +1 point
2. **MACD Signals** (max 8 points):
- MACD below zero: +1 point
- MACD turning up: +2 points
- MACD histogram improving: +2 points
- MACD bullish divergence: +3 points
3. **Price Action** (max 4 points):
- Long lower wick (>50%): +2 points
- Small body (<30%): +1 point
- Bullish close: +1 point
4. **Pattern Recognition** (max 8 points):
- RSI bullish divergence: +4 points
- Quick recovery pattern: +2 points
- Reversal confirmation: +4 points
**Exit Score Components (Minimum 13 points required)**:
Uses inverse criteria to identify swing tops with similar weighting system.
## Risk Management Features
### Position Sizing & Risk Control
- **Single Position Strategy**: 100% equity allocation per trade
- **No Overlapping Positions**: Ensures focused risk management
- **Configurable Risk/Reward**: Default 5:1 ratio optimized for volatile assets
### Stop Loss & Take Profit Logic
- **Dynamic Stop Loss**: Based on recent swing lows with configurable buffer
- **Risk-Based Take Profit**: Calculated using risk/reward ratio
- **Clean Exit Logic**: Prevents conflicting signals
## Default Settings Optimization
### Key Parameters (Optimized for MSTR/Bitcoin-style volatility):
- **Minimum Entry Score**: 13 (ensures high-conviction entries)
- **Minimum Exit Score**: 13 (prevents premature exits)
- **Risk/Reward Ratio**: 5.0 (accounts for volatility)
- **Lower Wick Threshold**: 50% (identifies true hammer patterns)
- **Divergence Lookback**: 8 bars (optimal for swing timeframes)
### Why These Defaults Work for MSTR:
1. **Higher Score Thresholds**: MSTR's volatility requires more confirmation
2. **5:1 Risk/Reward**: Compensates for wider stops needed in volatile markets
3. **Faster MACD**: Captures momentum shifts quickly in fast-moving stocks
4. **21-period RSI**: Reduces noise while maintaining sensitivity
## Visual Features
### Score Display System
- **Green Labels**: Entry scores ≥10 points (below bars)
- **Red Labels**: Exit scores ≥10 points (above bars)
- **Large Triangles**: Actual trade entries/exits
- **Small Triangles**: Reversal pattern confirmations
### Chart Cleanliness
- Indicators plotted in separate panes (MACD, RSI)
- TP/SL levels shown only during active positions
- Clear trade markers distinguish signals from actual trades
## Backtesting Specifications
### Realistic Trading Conditions
- **Commission**: 0.1% per trade
- **Slippage**: 3 points
- **Initial Capital**: $1,000
- **Account Type**: Cash (no margin)
### Sample Size Considerations
- Strategy designed for 100+ trade sample sizes
- Recommended timeframes: 4H, 1D for swing trading
- Optimal for trending/volatile markets
## Strategy Limitations & Considerations
### Market Conditions
- **Best Performance**: Trending markets with clear swings
- **Reduced Effectiveness**: Highly choppy, sideways markets
- **Volatility Dependency**: Optimized for moderate to high volatility assets
### Risk Warnings
- **High Allocation**: 100% position sizing increases risk
- **No Diversification**: Single position strategy
- **Backtesting Limitation**: Past performance doesn't guarantee future results
## Usage Guidelines
### Recommended Assets & Timeframes
- **Primary Target**: MSTR (MicroStrategy) - 5min to 15min timeframes
- **Secondary Targets**: High-volatility stocks (TSLA, NVDA, COIN, etc.)
- **Crypto Markets**: Bitcoin, Ethereum (with parameter adjustments)
- **Timeframe Optimization**: 1min-15min for scalping, 30min-1H for swing scalping
### Timeframe Recommendations
- **Primary Scalping**: 5-minute and 15-minute charts
- **Active Monitoring**: 1-minute for precise entries
- **Swing Scalping**: 30-minute to 1-hour timeframes
- **Avoid**: Sub-1-minute (excessive noise) and above 4-hour (reduces scalping opportunities)
## Technical Requirements
- **Pine Script Version**: v6
- **Overlay**: Yes (plots on price chart)
- **Additional Panes**: MACD and RSI indicators
- **Real-time Compatibility**: Confirmed bar signals only
## Customization Options
All parameters are fully customizable through inputs:
- Indicator lengths and levels
- Scoring thresholds
- Risk management settings
- Visual display preferences
- Date range filtering
## Conclusion
This scalping strategy represents a comprehensive approach to low timeframe trading that combines multiple technical analysis methods into a cohesive, quantified system specifically optimized for MSTR's unique volatility characteristics. The optimized parameters and scoring methodology provide a systematic way to identify high-probability scalping setups while managing risk effectively in fast-moving markets.
The strategy's strength lies in its objective, multi-criteria approach that removes emotional decision-making from scalping while maintaining the flexibility to adapt to different instruments through parameter optimization. While designed for MSTR, the underlying methodology can be fine-tuned for other high-volatility assets across various markets.
**Important Disclaimer**: This strategy is designed for experienced scalpers and is optimized for MSTR trading. The high-frequency nature of scalping involves significant risk. Past performance does not guarantee future results. Always conduct your own analysis, consider your risk tolerance, and be aware of commission/slippage costs that can significantly impact scalping profitability.
[DEM] Better McGinley Better McGinley implements a variation of the McGinley Dynamic indicator. The McGinley Dynamic is an adaptive moving average that aims to provide a smoother and more responsive line than traditional moving averages, reducing whipsaws and following price more accurately during trending periods. This Better McGinley version then applies an additional smoothing layer to the primary McGinley line. It overlays directly on the price chart.
[DEM] ALMA Signal (With Backtesting) ALMA Signal (With Backtesting) is designed to generate buy and sell signals based on the Arnaud Legoux Moving Average (ALMA) combined with Average True Range (ATR) and includes a backtesting framework to evaluate the performance of these signals. It overlays directly on the price chart and also displays performance statistics in a table.
STRENGTH INDEX / Impulse SystemSTRENGTH INDEX / Impulse System Indicator
Developed by Marcelo Ulisses Sobreiro Ribeiro
This powerful TradingView indicator combines two distinct trading approaches in one versatile tool:
1. STRENGTH INDEX (Multiple EMA System)
The first section features a unique configuration of 17 exponential moving averages designed to identify market strength and trend direction. The system includes:
Core EMAs (6, 21, and 34 periods) plotted with distinct colors and weights
A dense cluster of 14 additional EMAs (7-20 periods) that create a "zone of strength"
2. Impulse System (Based on Dr. Alexander Elder's Work)
The second section implements a modified version of Dr. Alexander Elder's famous Impulse System from his classic book Trading for a Living, featuring:
Color-coded bars (green/red/blue) based on trend strength
Customizable MACD parameters (12,26,9 by default)
Optional moving average (SMA/EMA/WMA/VWMA) with adjustable periods
EMA baseline (13-period default) for trend identification
Key Features:
Switch between systems with one click
Fully customizable parameters
Clean visual presentation with adjustable line weights
Maximum 500 plotted lines for performance optimization
This indicator is ideal for traders who want to:
✔ Identify strong trends using the EMA cluster
✔ Follow the market's impulse with Elder's proven system
✔ Customize their analysis with multiple technical tools
Tip: Use the STRENGTH INDEX for trend identification and the Impulse System for entry/exit timing.
Anonimo Veneziano (Ottimizzato H4) HMA to track price smoothly Uses a Hull Moving Average with minimal lag to follow the price closely and reduce noise.
ATR bands to detect price expansion or compression Dynamically expands or contracts based on volatility, helping highlight overextended or consolidating zones.
Candle coloring to visually identify momentum shifts Colors bars depending on the slope of the HMA, making it easy to spot directional bias at a glance.
Optional breakout and reversal signals for the user Gives flexibility to show classic breakout signals (like crossing the ATR bands), or reversal signals (when price re-enters from outside the band), depending on your strategy preference.l’utente
Pullback - Yuri CabralPullback – Yuri Cabral is a momentum-based indicator that detects potential pullback opportunities in trending markets.
You can choose your preferred trend filter and overbought/oversold filter:
Trend Filters: Supertrend, EMAs, or both combined
Overbought/Oversold Filters: Williams %R, Stochastic RSI, or both combined
✅ A LONG signal appears when:
The asset is oversold according to your selected filter
The market is in a confirmed uptrend
✅ A SHORT signal appears when:
The asset is overbought
The market is in a confirmed downtrend
Visual aids include:
Clean triangular arrows for BUY and SELL entries
Optional display of trend lines (Supertrend and EMAs)
A single alert system with clear "LONG" or "SHORT" messages
This tool is ideal for identifying precise pullback entries within larger trend directions.