Uses a set of Bollinger Bands (user defined deviation, user defined deviation * 2) to determine possible entry set ups. Signals are triggered when price crosses the first band (closest to the baseline MA) in the desired direction. baseline can be your take profit 1 target The inside band determines entry and can be used as a take profit 2 target (Opposite side...
Once I entered a trade, I always wanted to know quickly if I am in a profitable position or losing NOW? Here's the label to do the work for me, and if you like it, please give it a thumb up. *** There's a setting to change your trade type to LONG or SHORT with a commission rate. *** Color setups: - If it's green: profitable position, including the pay for...
This script utilizes this concept. Instead of weighting by volume, it weights by amount of price action on every close price of the rolling window. I assume it can be used as an additional reference point for price mode and price antimode. it is directly connected with Market (not volume) profile, or TPO charts. The algorithm: 1) takes a rolling window of,...
Displays relevant Ampleforth (AMPL) levels: - Target price, based on CPI (PCE) - Equilibrium levels between which there is no rebase
Volatility based VWAP Bands with an Upper band x% higher than the normal VWAP and a Lower band x% lower. The script uses ADX to create much better OVERBOUGHT and OVERSOLD regions. - Settings Guide - ~ 0.01 in settings = 1% +/- VWAP ~ Step increment of 0.005 to make setting changes easier.
This study is used as the top visual for my strategy called "ADX_TSI_Bol Band Trend Chaser". So this modified Bollinger Band and 200 Moving Average is used in conjunction with an ADX and TSI to form a tending strategy. The Bollinger Band Settings and Moving Average can be amended if the user wants to use this in their own way instead of with my trend strategy. NASDAQ:AAPL
This script is a simple ATR cross, where the short-term ATR helps quickly and easily determine whether volatility is "high" or "low" compared to the long-term ATR value. Both values are adjustable, but initially calibrated for the daily chart.
This simple indicator will plot the take profit and stop loss values based on the ATR indicator. It's possible to set how many times the ATR value will be applied to the closing price and what trade type is used, Long or Short.
This is a very special band of long-term Bollinger Bands derived from Fib values, and is specifically made for Bitcoin . It represents one of, if not the strongest dynamic resistance in the BTCUSD market, and divides the market into bull and bear cycles. The BMB uses the BLX long-term data.
The indicator measures and shows a particular ticker's performance for each US president (starting from Grover Cleveland) since taking office
The 'TradingWithDan Volume Price Volatility Risk Range' indicator identifies two risk ranges based on the volatility and volume of the underlying asset. It then uses those to identify when the trend towards the top or bottom of the risk range is potentially reversing and issues a 'long' or 'short' signal. The larger risk range is identified by the red and green...
A slighty modified version of Better Bollinger Bands. The idea of the experiment was to do a thing like the well-known Vortex Indicator, but an overlay: Obvious trading rules are: go Long when the blue line is above other two go Short when the orange line is above other two stop when price crosses the basis line The tool is EXPERIMENTAL . Good luck!
//Every spread & central tendency measure in 1 script with comfortable visualization, including scrips's status line. Spread measures: - Standard deviation (for most cases); - Average deviation (if there are extreme values); - GstDev - Geometric Standard Deviation (exclusively for Geometric Mean); - HstDev - Harmonic Deviation (exclusively for Harmonic...
For first 15 minute range of the day: use D for HighTF and 15 for LowTF For first Day range of the week: use W for HighTF and D for LowTF For first Week range of the month: use M for HighTF and W for LowTF
S&P Merval Index Volume Indicator (Shares, ARS, U$S CCL GGAL) ◾ This indicator reflects a close estimate of the traded volume in the S&P Merval Index BCBA:IMV for nominal shares, traded money in ARS & USD using a financial FX rate. ◾ The constituents of the index "must meet minimum size and liquidity requirements" as it is been declared by S&P Dow Jones Indexes....
This indicator is an information panel. It shows 4 hours, daily and weekly price changes. Lookback period and all three resolutions can be change in indicator settings. It is very easy to add more symbols in the script. Happy trading.
*Modified version of my Scalpy indicator replacing RSI with MFI* It is made up of a 2 main parts. - The cloud comprising of a 10 period SMA and a 30 period SMA . - When the cloud is green you should be looking for long entries. - When the cloud is red you should be looking for short entries. - Price is most bullish above a green cloud and most bearish below a...
About the Oscillator : The Rex Oscillator is a study that measures market behavior based on the relationship of the close to the open, high and low values of the same bar. The theory behind the Rex Oscillator is that a big difference between the high and close on a bar indicates weakness. Conversely, wide disparity between the low and close indicates...