Bollinger Bands Multi TFBollinger Bands Multi TF Indicator
Overview
The Bollinger Bands Multi TF Indicator allows traders to overlay two sets of Bollinger Bands from different timeframes onto the same chart. This provides a broader market perspective by helping identify volatility and trend direction across multiple timeframes.
Features
✅ Dual Timeframe Support – Configure Bollinger Bands for two different timeframes (default: 15 min & 5 min).
✅ Customizable Moving Averages – Choose from SMA, EMA, SMMA (RMA), WMA, or VWMA as the basis line for each band.
✅ Dynamic Standard Deviation – Adjust the standard deviation multiplier for each timeframe.
✅ Visual Clarity – Different colors for each Bollinger Band set, with background filling for better visualization.
How to Use
🔹 Use the higher timeframe Bollinger Bands to identify overall trend and key resistance/support levels.
🔹 Use the lower timeframe Bollinger Bands for fine-tuned entry/exit signals within the broader trend.
🔹 A tightening of bands may indicate low volatility, signaling a potential breakout.
🔹 A widening of bands may suggest increased volatility and trend continuation.
Ideal For
📈 Intraday and swing traders looking for multi-timeframe confluence.
📊 Volatility-based traders who use Bollinger Bands for breakouts or reversals.
📍 Any trader wanting a deeper market context beyond a single timeframe.
Göstergeler ve stratejiler
AVWAP Band✨ AVWAP Band by Mars ✨
The AVWAP Band indicator eliminates the guesswork of selecting multipliers for your VWAP analysis. Instead of using arbitrary deviations, this indicator provides three distinct VWAP lines calculated from different price points - giving you a complete VWAP band with just one tool.
What Makes This Different From Standard VWAP
Traditional VWAP indicators use multipliers (1.0, 2.0, 3.0) which require constant adjustment across different markets and timeframes. The AVWAP Band simplifies this by using natural price points:
Low-based VWAP (green) - acts as support
High-based VWAP (red) - acts as resistance
HL2-based VWAP (gray) - acts as the centerline
Key Features
Reduces cognitive load - no more guessing which multiplier to use
User-selected anchor point (click to set date)
Customizable colors and line styles
Built-in alerts for all crossover/crossunder events
Visual anchor point marker
How To Use It
After adding the indicator to your chart, you have to click on your anchor point
Watch for price reactions at each VWAP line
Look for crossovers between price and the different VWAPs
Use the HL2 VWAP as a centerline to determine overall bias
Trading Applications
Support/Resistance levels for intraday trading
Mean-reversion signals when price touches band extremes
Trend confirmation when price holds above/below centerline
Range identification between upper and lower bands
Volatility assessment based on band width
Customization Options
Toggle each VWAP line individually
Adjust line colors to match your chart theme
Control line width and transparency
Enable/disable anchor point label
This indicator simplifies VWAP analysis by giving you natural price-based bands without the need to adjust multipliers across different markets. The high, low, and HL2 sources create a complete VWAP picture with just one tool.
VIDEO
Feedback and suggestions welcome!
Queen Premium Signal (Personal Use / Non Autotrade)🚀 QUEEN PREMIUM SIGNAL (Personal Use / Non Autotrade) 🔥
Indicator with Smart Exits and Anti Sideway! 🤖
The QUEEN PREMIUM SIGNAL (Personal Use / Non Autotrade) Indicator is designed to help traders by determining the best entry and exit points. This indicator works exactly like Queen Crypto Autotrade V1.60, but can't be autotraded. Equipped with powerful features such as Trailing stop, take profit (TP), partial TP, and the latest breakthrough, the WNS feature , this indicator offers a smarter and more efficient way to trade.
The WNS (Wait and See) feature is a revolutionary improvement that significantly enhances win rate and profit factor by up to 400% . It works by analyzing price movement as it approaches a trend reversal threshold. If certain conditions are not met, the indicator will not open a new position and will enter a Wait and See mode. However, when the conditions align, the background will turn green, signaling a valid trade opportunity. Signal will only appear when the trend reversal happens within this green background zone.
This feature effectively eliminates the main weakness of Volatility-based indicators, which often suffer from false signals when the market is in sideways. By integrating WNS feature, Queen Crypto Autotrade ensures higher profitability, improved safety, and minimal drawdown. With this advanced feature, traders can experience a more profitable, secure, and efficient trading strategy like never before. 🚀
This indicator doesn’t just tell you when to enter the market— it keeps you in the loop 24/7! Every time the indicator see's a long or short opportunity and every time your position hits Entry, Take Profit (TP) or Trailing Stop, you’ll get an update in our Telegram channel 📱
Our advanced indicator not only secures profits with an automatic trailing stop but also detects sideways market conditions to prevent unnecessary losses. When the market enters a sideways phase, the indicator halts new trade entries until conditions are favorable again, ensuring only high-probability trades are executed.
Key Features:
✅ Partial Take Profit (TPP) – Locks in gains at every TP level by closing portions of a trade at set levels. 🎯🟠
✅ Trailing Stop with Moving Target (TS) – The stoploss follows price movements efficiently from one TP point to anothers, securing profits while allowing room for further upside. 🔥
✅ Bias Protection – Prevents market manipulation from eroding gains. 🛡
✅ Sideway Market Detection – Avoids trading in uncertain conditions, reducing unnecessary losses. 📉
✅ Dynamic & Perfect Exits – Maximized profits with precision ⚡️
✅ Dedicated Telegram Channel – Use it as your personal trading notification hub
✅ Optimized Trade Execution – Ensures trades are only placed when market conditions are ideal.🎯
No more guessing, no more checking charts all day. Trade smarter, stay updated, and maximize profits—All hands-free! 😎
To gain access to this INVITE ONLY script, please contact Telegram:
@CSGadmin
t.me/CSGadmin
MA Spectrum Fill# MA Spectrum Fill
This indicator creates a visually intuitive spectrum-filled zone between two moving averages, offering a unique way to visualize price momentum and potential trading zones.
## Key Features
- Displays two customizable moving averages (Fast and Slow MA)
- Creates a smooth, multi-layered spectrum fill between the MAs
- Supports multiple MA types: SMA, EMA, WMA, VWMA, HMA, and RMA
- Fully customizable colors for both MAs and the spectrum fill
- Adjustable transparency settings for a cleaner chart view
- Option to use custom fill color or gradient based on the MA colors
## How It Works
The indicator plots a fast-moving average and a slow-moving average of your choice, then fills the space between them with a spectrum that transitions smoothly from one MA to the other. The spectrum visualization helps traders:
- Identify trend direction at a glance
- Visualize the strength of price momentum based on the width of the filled area
- Spot potential support and resistance zones where price interacts with the spectrum
- Recognize trend changes when price moves through the spectrum zone
## Practical Applications
- Trend following: Trade in the direction of the spectrum's expansion
- Mean reversion: Look for price to return to the spectrum zone after extending away
- Support/Resistance: Use the spectrum edges as dynamic support and resistance levels
- Volatility assessment: Wider spectrum areas indicate higher volatility
- Filter signals: Combine with other indicators and only take signals when price is on the favorable side of the spectrum
This indicator provides both analytical value and aesthetic appeal, making your charts more informative while keeping them visually clean with the adjustable transparency settings.
Vortex Sniper Elite @DaviddTechVortex Sniper Elite @DaviddTech
Vortex Sniper Elite @DaviddTech is a comprehensive trading system designed to deliver high-probability trade setups across all market conditions. By seamlessly integrating adaptive baseline detection, squeeze momentum analysis, and advanced vortex filtering, this indicator provides traders with a complete edge-based approach to market analysis.
🔥 Key Features:
Complete Model Integration:
Baseline: Advanced McGinley Dynamic indicator for superior trend detection
Confirmation #1: Enhanced TTM Squeeze for momentum and volatility analysis
Confirmation #2: Dual Tether Line system for dynamic market structure mapping
Volatility Filter: Specialized Vortex indicator for precision entry timing
Adaptive Stop Loss: Proprietary trailing stop system based on ATR calculations
Advanced Visual Dashboard:
Real-time component analysis with strength metrics
Color-coded signal status for immediate trade assessment
Squeeze state monitoring with visual confirmation
Vortex divergence strength percentage for optimal entries
Premium Signal Detection:
Multi-timeframe compatible system for scaling strategies
Automated buy/sell signals at optimal entry points
Clear exit signals for risk management
Squeeze momentum visualization for timing precision
DaviddTech Alpha Edge System:
Gradient transparency algorithm for visual trend strength confirmation
Bar coloring system based on momentum direction
Background highlighting for active signal states
Dashboard for ease of understanding
💰 Trading Applications:
Sniper Entries: Utilize the Vortex confirmation to pinpoint precise entry points
Trend Alignment: McGinley baseline establishes the primary market direction
Volatility Awareness: TTM Squeeze identifies optimal market conditions
Risk Management: Set stops based on the adaptive trailing stop system
Position Management: Monitor dashboard metrics for changing market conditions
Vortex Sniper Elite @DaviddTech represents the culmination of the DaviddTech methodology in one cohesive system. Whether you're a day trader seeking precise entries or a swing trader looking for significant market moves, this indicator delivers the structured approach needed to consistently extract profits from any market condition.
DaviddTech Trading System Explained:
The DaviddTech methodology follows a strict component-based approach:
The Baseline establishes the primary trend direction, acting as your first filter
Confirmation Indicators validate potential trade setups only when aligned with the baseline
The Volatility/Volume Indicator ensures you only enter trades with sufficient directional momentum
A Trailing Stop System provides mathematically optimized exit points
Vortex Sniper Elite integrates all these components into a visually intuitive system that eliminates guesswork and enforces disciplined trading decisions.
Recommended Settings:
This indicator comes pre-configured with optimized parameters, but feel free to adjust based on your timeframe:
For day trading: Reduce Baseline and TTM lengths by 30-40%
For swing trading: Consider increasing Tether and Trail Stop lengths by 25-50%
For scalping: Focus on Vortex confirmation with shorter timeframes
Best Practices:
Wait for all components to align before entering trades
Use the dashboard to evaluate the strength of each signal
Monitor squeeze states for potential volatility expansion
Let the trailing stop system handle your exits
Backtest across multiple timeframes to find your optimal settings
Blood Moon Dates on BTC ChartBlood Moon Dates
Ah, the ethereal beauty of a Blood Moon! This striking phenomenon occurs during a total lunar eclipse when Earth's shadow engulfs the Moon, giving it a dramatic red tint due to the scattering of sunlight through Earth's atmosphere. It's as if all the sunsets and sunrises on Earth are projected onto the Moon's surface.
Momentum Candle Identifier # Momentum Candle Identifier
This indicator helps traders identify significant momentum candles by analyzing candle body size relative to recent price action (think after consolidation periods). Unlike traditional volatility indicators, this tool specifically focuses on price movement captured by the candle body (open to close distance), filtering out potentially misleading wicks.
## How It Works
- The indicator calculates the average candle body size over a user-defined lookback period
- Momentum candles are identified when their body size exceeds the average by a customizable threshold multiplier
- Bullish momentum candles (close > open) are highlighted in a user defined color
- Bearish momentum candles (close < open) are highlighted in a user defined color
- A real-time information panel displays key metrics including current average body size and threshold values
## Key Features
- Focus on candle body size rather than full range (high to low)
- Custom lookback period to adapt to different timeframes
- Adjustable threshold multiplier to fine-tune sensitivity
- Customizable colors for bullish and bearish momentum candles
- Optional labels for momentum candles
- Information panel showing lookback settings, average size, and momentum candle count
## Usage Tips
- Use shorter lookback periods (3-5) for more signals in choppy markets
- Use longer lookback periods (8-20) to identify only the most significant momentum moves
- Higher threshold multipliers (2.0+) will identify only the strongest momentum candles
- Combine with trend indicators to find potential reversal or continuation signals
- Look for clusters of momentum candles to identify strong shifts in market sentiment
This indicator helps identify candles that represent significant price movement relative to recent activity, potentially signaling changes in market momentum, sentiment shifts, or the beginning of new trends.
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TOP & Bottom FinderThe TOP & Bottom Finder is a trend-reversal detection indicator that identifies potential market tops and bottoms based on RSI (Relative Strength Index), ATR (Average True Range), and price action. It helps traders spot overbought and oversold conditions to anticipate trend reversals.
Key Features:
✔ Identifies market tops & bottoms using RSI-based conditions.
✔ Detects oversold & overbought levels to highlight potential reversals.
✔ Uses ATR to confirm price proximity to support/resistance.
✔ Plots arrows on the chart when conditions for tops or bottoms are met.
How It Works:
Bottom Finder (Detects Market Lows)
1️⃣ RSI must be oversold → RSI below a sensitivity threshold (29).
2️⃣ Price near support level → Close price must be close to a recent low.
3️⃣ Bullish rejection candle → The candle should close higher than it opened.
4️⃣ All conditions must align → A bottom signal (up arrow) is generated.
🟢 Bottom Signal (White Arrow Up) → Indicates a potential bullish reversal.
Top Finder (Detects Market Highs)
1️⃣ RSI-based overbought detection → Uses an alternative RSI method to measure price strength.
2️⃣ High RSI triggers sell signal → When RSI crosses the threshold (89).
3️⃣ A top signal is plotted → Suggesting a possible bearish reversal.
🔴 Top Signal (White Arrow Down) → Indicates a potential bearish reversal.
Interpreting Signals:
✅ Bottom Finder → Suggests a buy opportunity when the market is oversold.
❌ Top Finder → Suggests a sell opportunity when the market is overbought.
The TOP & Bottom Finder is useful for traders looking to enter positions near support and exit near resistance. It works best when combined with other technical indicators like trend analysis, moving averages, or volume-based signals to confirm reversals.
Trendline with Buy/Sell SignalsTry This And Make Some Cash Remember to USe RSI Sell Above 80 and Buy Below 20
AMV HTF LevelsThe HTF Key Levels & Fibonacci Zones indicator is designed for traders who rely on higher timeframe price action to trading. This tool automatically plots essential price levels, including daily, weekly, and monthly open, high, and low levels, alongside the previous day key levels. These levels act as areas for analysis, providing structure to price action and helping traders navigate the market with clarity.
Key Features
🔹 Higher Timeframe Price Levels – Displays daily, weekly, and monthly open, high, and low levels, giving traders a clear reference for major price zones.
🔹 Levels Previous Day – Automatically calculates and plots levels based on the last completed daily range, helping identify potential reaction areas and helps with analysis of price action compared to the previous day
🔹 Customizable Display – Choose between multiple level presets, enable or disable specific HTF levels, and control the visual representation of price zones.
🔹 Dynamic Zone Filling – Highlights key areas with color-coded fills, making it easy to see whether price is trading above or below critical open levels.
🔹 Live vs. Historical Mode – Adjusts levels in real-time on the latest candle while keeping historical reference points intact for better trade planning.
Why Use This Indicator?
Precision Trading – Gain an edge with clearly defined HTF levels.
Stronger Confluence – Combine HTF opens with levels for a better understanding of market context
Trend Confirmation – Use HTF open levels to determine market bias and refine strategy
Adaptability – Whether you trade intraday, swing, or position strategies, this indicator keeps you aligned with the broader market structure on the daily
Whale Activity Indicator (WAI)The Whale Activity Indicator (WAI) is a volume-based trading tool designed to detect large institutional trades and dark pool activities. It helps traders identify potential buying and selling pressure from major market participants by analyzing volume spikes, On-Balance Volume (OBV), and the Money Flow Index (MFI).
Key Features:
✔ Detects institutional and dark pool trades based on volume thresholds.
✔ Identifies volume spikes to highlight unusual trading activity.
✔ Uses OBV and MFI trends to confirm buying or selling pressure.
✔ Generates Buy & Sell signals with visual markers on the chart.
How It Works:
Volume Analysis: Determines whether a trade exceeds institutional or dark pool volume levels.
Volume Spike Detection: Compares the current volume against a moving average to spot unusual surges.
OBV & MFI Confirmation: Analyzes trends in OBV and MFI to validate whether the money flow supports a buy or sell signal.
Interpreting Signals:
🟢 Whale Buy (Green Arrow & Background) → Institutional buying detected.
🔴 Whale Sell (Red Arrow & Background) → Institutional selling detected.
The WAI helps traders spot accumulation and distribution phases and potential market reversals driven by large investors.
👉 Best used with other technical indicators to confirm trends and improve accuracy.
Trend-Based Major Swing Profit StrategySuited for Smart Money Controlled Markets, Particularly Central SOEs and Government-Owned Corporations in Chinese A-Shares.
Strategy Advantages
Trend Confirmation
The dual confirmation system (Yellow-Blue Ladder + Smart Money Flow) reduces false signals.
Adaptive Position Sizing
Graduated position reduction allows for capitalizing on trend continuation while managing risk.
Institutional Insight
The Smart Money component attempts to track market participation from larger, more sophisticated players.
Market Condition Awareness
Volatility and trend strength filters help avoid choppy, directionless markets.
example:300002-1d
Simple Gap IndicatorThe Simple Gap Indicator is a powerful tool designed to detect and visualize price gaps in the market, helping traders identify key levels of support and resistance. Whether you're analyzing gap-up or gap-down scenarios, this indicator provides clear visual cues to enhance your trading decisions.
Key Features:
Gap Detection: Automatically identifies gap-up and gap-down events based on user-defined sensitivity.
Customizable Display Styles: Choose between lines or boxes to represent gaps visually, depending on your preference.
Extend Options: Control how far the lines or boxes extend on the chart (None, Right, Left, Both).
User-Friendly Inputs: Adjust the number of bars to examine and sensitivity to gap size for precise customization.
Dynamic Visualization:
Gap-Up Events: Highlighted in green for easy identification of bullish gaps.
Gap-Down Events: Highlighted in red for bearish gaps.
Smart Money Following StrategyLarge-Cap Low-Volatility
example:000066-1h
Entry Conditions
A buy signal is generated when ALL of the following conditions are met:
Yellow-Blue Ladder shows an entry signal (Fast lower line > Slow lower line)
Institutional Money (MM_RSI) exceeds threshold (>5)
Market volatility is sufficient (ATR% > 3%)
Trend strength is adequate (ADX > 25)
Exit Conditions
Positions are closed when EITHER:
Yellow-Blue Ladder shows an exit signal (Fast upper line < Slow upper line)
Retail Money rises above threshold (>5), indicating excessive retail participation
Multi-Timeframe RSI with Table📌 Описание индикатора "Multi-Timeframe RSI with Table"
🔹 Краткое описание
Этот индикатор анализирует индикатор RSI (Relative Strength Index) на нескольких таймфреймах и отображает таблицу с RSI внутри окна индикатора.
Он помогает отслеживать перекупленность/перепроданность актива на разных временных промежутках, что полезно для скальпинга, среднесрочной и долгосрочной торговли.
📌 Основные функции
✅ График RSI (Relative Strength Index)
Текущий RSI отображается на стандартном графике индикатора.
Линии уровней:
🔴 70 – Перекупленность (возможен разворот вниз).
🟢 30 – Перепроданность (возможен разворот вверх).
⚪ 50 – Средний уровень (баланс между покупателями и продавцами).
✅ Мультифреймовая таблица RSI
Показывает RSI на 5 разных таймфреймах:
🕐 5m (5 минут)
🕐 15m (15 минут)
🕐 1h (1 час)
🕐 4h (4 часа)
🕐 1d (1 день)
Изменяет цвет фона:
🔴 Красный – RSI выше 60 (потенциальная перекупленность).
🟢 Зелёный – RSI ниже 60 (нормальное значение).
Обновляется раз в 5 баров для снижения нагрузки.
✅ Расположение таблицы
Таблица расположена в правой части окна RSI, чтобы не мешать графику.
📌 Как использовать индикатор?
Добавить в TradingView:
Скопировать код в Pine Editor.
Нажать Добавить на график.
Выбрать актив (например, HBAR/USDT).
Открыть нужный таймфрейм (например, 1h).
Оценить RSI на разных таймфреймах:
Если большинство RSI > 60 (🔴 красные ячейки) → возможен откат вниз.
Если большинство RSI < 40 (🟢 зелёные ячейки) → возможен рост.
📌 Как интерпретировать данные?
Когда RSI на всех таймфреймах высок (> 60) → актив перекуплен, может начаться коррекция вниз.
Когда RSI на всех таймфреймах низкий (< 40) → актив перепродан, возможен рост.
Если RSI на младших таймфреймах (5m, 15m) падает, а старшие (1h, 4h, 1d) высокие → возможен разворот вниз.
Если RSI на младших таймфреймах растёт, а старшие всё ещё низкие → возможен разворот вверх.
🔥 Этот индикатор даёт мощный инструмент для мультифреймового анализа RSI и помогает принимать более обоснованные торговые решения! 🚀
Supertrend TP SL (PRO)2. Main Components:
Supertrend Indicator:
Theoretical basis: The Supertrend indicator is based on two main concepts: Average True Range (ATR) and Factor. ATR measures the extent of price fluctuations in a given period of time, while Factor determines the sensitivity of the indicator to price changes.
Mechanism of operation: The indicator calculates two possible lines: one line representing the potential support level and another line representing the potential resistance level. The selection of the appropriate line depends on the current price direction. When the price is above the line, the indicator is considered to be in an uptrend, and vice versa.
Customizable inputs:
atrPeriod: Allows the trader to specify the time period for calculating the ATR. Shorter periods make the indicator more sensitive to price changes, while longer periods reduce its sensitivity.
factor: Allows the adjustment of the factor. Higher values make the indicator less likely to give false signals, but they may also delay entry signals.
Risk Management:
Take Profit and Stop Loss Orders:
TPPoints: Specifies the distance between the entry price and the take profit level. This distance is expressed in points, and is converted to an actual price value using syminfo.mintick (the smallest possible price movement of the traded asset).
SLPoints: Specifies the distance between the entry price and the stop loss level.
Importance: These orders allow the trader to specify the maximum loss he is willing to take and the profit target he is aiming to achieve, which helps in effective risk management.
Activate/Disable Trades:
isLongEnabled: Allows buy trades to be enabled or disabled, which allows the trader to trade in one direction only (for example, only trade in the uptrend during a bull market).
isShortEnabled: Allows sell trades to be enabled or disabled.
isTakeProfitEnabled: Allows take profit orders to be enabled or disabled. The trader may wish to disable them if he prefers to manage his trades manually.
isStopLossEnabled: Allows you to enable or disable stop loss orders. Although disabling them may seem tempting in some cases, it is a very risky move.
Visual Customization:
Line Style and Width:
lineStyle: Allows the trader to choose the style of lines used to draw TP and SL levels (Solid, Dashed, Dotted).
lineWidth: Sets the thickness of the lines.
Label Size:
labelSize: Allows you to set the size of the labels that display TP and SL levels (Small, Normal, Large).
Colors:
bullColor, bearColor, tpColor, slColor: Allows the trader to customize the colors of the different elements on the chart, making visual analysis easier.
3. Strategy Logic:
Determining Entry Signals: The strategy relies on the Supertrend indicator to determine entry signals. When the Supertrend trend changes from bearish to bullish, a buy trade is triggered (if isLongEnabled is enabled). When the trend changes from bullish to bearish, a sell trade is triggered (if isShortEnabled is enabled).
Order Execution: Once the entry signal is triggered, the strategy automatically places buy or sell orders.
Trade Management: After opening a trade, the strategy monitors the price and automatically triggers Take Profit and Stop Loss orders if the price reaches the specified levels.
Visualization: The strategy displays useful information on the chart, such as TP and SL lines, entry and exit signals, which helps the trader understand the strategy’s behavior and evaluate its performance.
4. Advanced Tips:
Optimizing Settings: The strategy’s performance can be improved by adjusting different input values. For example, the trader can experiment with different values for atrPeriod and factor to improve the accuracy of Supertrend signals.
Combining Indicators: This strategy can be combined with other indicators to improve the accuracy of entry signals. For example, the Relative Strength Index (RSI) can be used to confirm Supertrend signals.
Time Analysis: The strategy’s performance can be analyzed over different time periods to evaluate its effectiveness in various market conditions.
Strategy Testing: Before using the strategy in real trading, it should be tested on historical data (Backtesting) to evaluate its performance and determine the optimal settings.
5. Associated Risks:
False Signals: The Supertrend indicator may sometimes give false signals, especially in volatile markets.
Losses: Even with the use of stop loss orders, the trader may be exposed to significant losses.
Over-optimization: Over-optimization of settings on historical data may lead to misleading results. The trader should be careful about generalizing the results to future data.
Over-reliance on automation: The automated strategy should not be relied upon completely. The trader should monitor the trades and make appropriate decisions when necessary.
6. Disclaimer:
I am not a licensed financial advisor. This strategy is provided for educational and illustrative purposes only and should not be considered as investment advice. Trading in financial markets involves significant risks and you may lose your invested capital. Before making any investment decisions, consult a qualified financial advisor and conduct your own research. You alone are responsible for your trading decisions and their results. By using this strategy, you acknowledge and agree that I am not responsible for any losses or damages you may incur.
2. المكونات الرئيسية:
مؤشر Supertrend:
الأساس النظري: يعتمد مؤشر Supertrend على مفهومين رئيسيين هما: متوسط المدى الحقيقي (Average True Range - ATR) ومعامل الضرب (Factor). ATR يقيس مدى تقلبات الأسعار في فترة زمنية محددة، بينما Factor يحدد مدى حساسية المؤشر لتغيرات الأسعار.
آلية العمل: يقوم المؤشر بحساب خطين محتملين: خط يمثل مستوى الدعم المحتمل وخط آخر يمثل مستوى المقاومة المحتمل. يعتمد اختيار الخط المناسب على اتجاه السعر الحالي. عندما يكون السعر أعلى من الخط، يعتبر المؤشر في اتجاه صاعد، والعكس صحيح.
المدخلات القابلة للتخصيص:
atrPeriod: يتيح للمتداول تحديد الفترة الزمنية لحساب ATR. الفترات الأقصر تجعل المؤشر أكثر حساسية لتغيرات الأسعار، بينما الفترات الأطول تقلل من حساسيته.
factor: يسمح بتعديل معامل الضرب. القيم الأعلى تجعل المؤشر أقل عرضة لإعطاء إشارات خاطئة، ولكنها قد تؤخر أيضًا إشارات الدخول.
إدارة المخاطر:
أوامر جني الأرباح وإيقاف الخسارة:
TPPoints: يحدد المسافة بين سعر الدخول ومستوى جني الأرباح. يتم التعبير عن هذه المسافة بالنقاط (Points)، ويتم تحويلها إلى قيمة سعرية فعلية باستخدام syminfo.mintick (أصغر حركة سعرية ممكنة للأصل المتداول).
SLPoints: يحدد المسافة بين سعر الدخول ومستوى إيقاف الخسارة.
الأهمية: تتيح هذه الأوامر للمتداول تحديد الحد الأقصى للخسارة التي يرغب في تحملها والهدف الربحي الذي يسعى لتحقيقه، مما يساعد على إدارة المخاطر بشكل فعال.
تفعيل/تعطيل الصفقات:
isLongEnabled: يسمح بتفعيل أو تعطيل صفقات الشراء، مما يمكن المتداول من التداول في اتجاه واحد فقط (على سبيل المثال، التداول فقط في الاتجاه الصاعد خلال سوق صاعدة).
isShortEnabled: يسمح بتفعيل أو تعطيل صفقات البيع.
isTakeProfitEnabled: يسمح بتفعيل أو تعطيل أوامر جني الأرباح. قد يرغب المتداول في تعطيلها إذا كان يفضل إدارة صفقاته يدويًا.
isStopLossEnabled: يسمح بتفعيل أو تعطيل أوامر إيقاف الخسارة. على الرغم من أن تعطيلها قد يبدو مغريًا في بعض الحالات، إلا أنه يعتبر خطوة محفوفة بالمخاطر للغاية.
التخصيص المرئي:
نمط وعرض الخطوط:
lineStyle: يتيح للمتداول اختيار نمط الخطوط المستخدمة لرسم مستويات TP و SL (Solid, Dashed, Dotted).
lineWidth: يحدد سمك الخطوط.
حجم الملصقات:
labelSize: يسمح بتحديد حجم الملصقات التي تعرض مستويات TP و SL (Small, Normal, Large).
الألوان:
bullColor, bearColor, tpColor, slColor: تتيح للمتداول تخصيص ألوان العناصر المختلفة على الرسم البياني، مما يسهل عملية التحليل البصري.
3. منطق عمل الاستراتيجية:
تحديد إشارات الدخول: تعتمد الاستراتيجية على مؤشر Supertrend لتحديد إشارات الدخول. عندما يتغير اتجاه Supertrend من هابط إلى صاعد، يتم تفعيل صفقة شراء (إذا كانت isLongEnabled مفعلة). وعندما يتغير الاتجاه من صاعد إلى هابط، يتم تفعيل صفقة بيع (إذا كانت isShortEnabled مفعلة).
تنفيذ الأوامر: بمجرد تفعيل إشارة الدخول، تقوم الاستراتيجية بوضع أوامر الشراء أو البيع تلقائيًا.
إدارة الصفقات: بعد فتح الصفقة، تقوم الاستراتيجية بمراقبة السعر وتفعيل أوامر جني الأرباح وإيقاف الخسارة تلقائيًا في حالة وصول السعر إلى المستويات المحددة.
التمثيل المرئي: تعرض الاستراتيجية معلومات مفيدة على الرسم البياني، مثل خطوط TP و SL وإشارات الدخول والخروج، مما يساعد المتداول على فهم سلوك الاستراتيجية وتقييم أدائها.
4. نصائح متقدمة:
تحسين الإعدادات: يمكن تحسين أداء الاستراتيجية من خلال تعديل قيم المدخلات المختلفة. على سبيل المثال، يمكن للمتداول تجربة قيم مختلفة لـ atrPeriod و factor لتحسين دقة إشارات Supertrend.
الجمع بين المؤشرات: يمكن دمج هذه الاستراتيجية مع مؤشرات أخرى لتحسين دقة إشارات الدخول. على سبيل المثال، يمكن استخدام مؤشر القوة النسبية (RSI) لتأكيد إشارات Supertrend.
التحليل الزمني: يمكن تحليل أداء الاستراتيجية على مدى فترات زمنية مختلفة لتقييم مدى فعاليتها في ظروف السوق المتنوعة.
اختبار الاستراتيجية: قبل استخدام الاستراتيجية في التداول الحقيقي، يجب اختبارها على بيانات تاريخية (Backtesting) لتقييم أدائها وتحديد الإعدادات المثلى.
5. المخاطر المرتبطة:
الإشارات الخاطئة: قد يعطي مؤشر Supertrend إشارات خاطئة في بعض الأحيان، خاصة في الأسواق المتقلبة.
الخسائر: حتى مع استخدام أوامر إيقاف الخسارة، قد يتعرض المتداول لخسائر كبيرة.
التحسين المفرط: قد يؤدي التحسين المفرط للإعدادات على بيانات تاريخية إلى نتائج مضللة. يجب أن يكون المتداول حذرًا بشأن تعميم النتائج على البيانات المستقبلية.
الاعتماد الزائد على الأتمتة: يجب عدم الاعتماد بشكل كامل على الاستراتيجية الآلية. يجب على المتداول مراقبة الصفقات واتخاذ القرارات المناسبة عند الضرورة.
6. إخلاء المسؤولية:
أنا لست مستشارًا ماليًا مرخصًا. هذه الاستراتيجية مقدمة لأغراض تعليمية وتوضيحية فقط، ولا ينبغي اعتبارها نصيحة استثمارية. التداول في الأسواق المالية ينطوي على مخاطر كبيرة، وقد تخسر رأس المال المستثمر. قبل اتخاذ أي قرارات استثمارية، استشر مستشارًا ماليًا مؤهلاً وقم بإجراء بحثك الخاص. أنت وحدك المسؤول عن قراراتك التجارية ونتائجها. باستخدام هذه الاستراتيجية، فإنك تقر وتوافق على أنني لست مسؤولاً عن أي خسائر أو أضرار قد تتكبدها.
gosho bot StrategyThis double EMA crossover strategy aims to illustrate a good strategy design.
It is currently the only published script that:
supports a proper date picker for the backtest period
Liquidity Imbalance Index (Li2)How to Use the Liquidity Imbalance Index (Li2)
The Liquidity Imbalance Index (Li2) is designed to track market liquidity and identify significant imbalances between buyers and sellers. Here's how to effectively use this indicator in your trading:
Understanding the Main Components
1. Liquidity Delta Histogram/Line:
- Shows the difference between buy and sell liquidity
- Green bars/line: Buying pressure dominates
- Red bars/line: Selling pressure dominates
- The intensity of color shows the strength of the imbalance
2. Threshold Lines:
- Upper (green) threshold: Marks significant buy pressure
- Lower (red) threshold: Marks significant sell pressure
- Neutral zone: Area between the dotted lines where neither buyers nor sellers dominate
3. Liquidity Zones (circles shown on top/bottom):
- Green circles on upper threshold: Historical bull zones (significant buying interest)
- Red circles on lower threshold: Historical bear zones (significant selling interest)
- These zones require multiple hits, consecutive signals, and optionally volume confirmation
Trading Strategies
For Trend Trading
1. Look for when the Liquidity Delta crosses above the upper threshold for bullish signals
2. Look for when the Liquidity Delta crosses below the lower threshold for bearish signals
3. Especially powerful when crossing occurs with acceleration (darker histogram colors)
For Support and Resistance
1. Identify where the significant bull/bear zones appear (green/red circles)
2. These often align with important price levels where orders cluster
3. Use these zones as potential reversal or confirmation points
For Divergence
1. Watch for price making new highs/lows while liquidity shows the opposite
2. Divergence between price and liquidity can signal potential reversals
Volume Confirmation
1. Pay attention to volume-confirmed signals (small circles at zero line)
2. These indicate stronger conviction behind the liquidity imbalance
Optimal Settings
- For day trading or volatile markets, consider reducing lookback periods and increasing thresholds
- For swing trading, the default settings work well to capture significant zones
- In ranging markets, focus on the zones as they often mark the range boundaries
- In trending markets, follow the overall direction of the liquidity delta
Reading Acceleration Signals
The indicator shows color intensity variations to highlight acceleration in liquidity flows:
- Dark green/red: Strong acceleration (rapid shift in order flow)
- Medium green/red: Medium acceleration
- Light green/red: Weak acceleration
These acceleration signals often precede significant price movements.
JTP MC2 SystemThe MC2 System is a multi-condition trading indicator designed to analyse market trends
Available at: whop.com/jtptrades