RevolutioNV3The last one, I guess. Good luck on your journey.***The last one, I guess. Good luck on your journey.استراتيجية Pine Script®من ireal3226
Frist 5-Min Breakout + RetestIntraday trader | NSE setups | Pine Script strategies for education & backtesting.استراتيجية Pine Script®من vnkirthi2
Quantum X Strategy (with Alert)Quantum X Strategy — Expanded Description Quantum X Strategy is a carefully structured market-participation framework designed to initiate trades only when strong directional alignment is detected across multiple independent market dimensions. Unlike reactive or single-indicator systems, this strategy evaluates the broader market context to ensure participation only under conditions with a higher probability of meaningful directional movement. Random or partial signals are ignored, with the system prioritizing structured, high-quality opportunities over trade frequency. Structural Design The strategy’s decision-making process is based on a multi-dimensional analysis of price behavior: Directional Alignment: Multiple independent market behaviors are evaluated collectively to determine bullish or bearish intent. Weighted Contribution: Each component contributes independently to an internal alignment score. Trades are considered only when the combined state reaches a meaningful threshold. Quality Filtering: Low-quality, ambiguous, or unstable conditions are filtered out to reduce exposure during uncertain market phases. This structure ensures that no single condition can trigger a trade on its own, maintaining discipline, consistency, and robustness in execution. Trade Dynamics Trade Activation: Trades are initiated only when internal alignment reaches a significant level of directional consensus. Partial or weak signals are ignored. Trade Closure & Reversal: Positions are dynamically closed when alignment weakens or when a directional bias reversal is detected. The system is designed to reverse positions rather than stack trades. Market Inactivity: During periods of indecision, low volatility, or insufficient directional clarity, the strategy remains inactive to avoid overtrading. Backtesting Context The strategy is restricted to post-January 2025 market data to ensure relevance to current volatility structures and market behavior. Older regimes are intentionally excluded to maintain realistic and contemporary performance evaluation. Intended Use Instrument: MIDCAPNIFTY Futures Timeframe: 15-Minute Application: Intraday trading and short-term directional participation Position Size: 1 lot (120 quantity) Initial Capital (Backtest Reference): ₹10,000 Risk Management: Designed to be used alongside independent stop-loss, position sizing, and capital allocation rules defined by the user Strict adherence to the system’s signals is recommended. Manual overrides may compromise the integrity of the framework. Dhan In-Built Execution (Usage Summary) This strategy supports alert-based automated execution via Dhan, using TradingView webhooks. TradingView generates alerts only Order execution is handled externally via Dhan’s system TradingView does not place trades directly Futures Quantity Logic (Important) MIDCAPNIFTY 1 lot = 120 quantity Because the strategy uses reversal logic: If you want to trade 1 lot, set quantity = 2 One quantity is used to exit the existing position The second quantity creates the new reversed position Contract Symbol Mapping Current month: MIDCPNIFTY1! Next month: MIDCPNIFTY2! Far month: MIDCPNIFTY3! To trade a different expiry, simply replace the symbol in the input field accordingly. Intellectual Property Notice The internal scoring model, alignment logic, weighting structure, and activation thresholds are intentionally abstracted to protect the originality and intellectual property of the strategy. This prevents direct replication while still allowing conceptual understanding for evaluation and moderation. Disclaimer This strategy is provided strictly for educational, research, and backtesting purposes only. Market conditions change over time, and past performance does not guarantee future results. Users are solely responsible for forward testing, capital deployment, risk control, and compliance with broker and platform rules before using the strategy in live environments. Moderator-Friendly Expanded Summary Instrument & Timeframe: MIDCAPNIFTY, 15-Minute Start Date: January 2025 onward Position Size: 1 lot (120 quantity) Initial Capital: ₹10,000 Commission & Slippage: 0.01% commission, 2-point slippage Trade Logic: Multi-dimensional internal alignment model Trade Activation: Only when strong directional consensus is achieved Trade Closure: Alignment deterioration or trend bias reversal Market Inactivity: Passive during low-information or ambiguous phases Execution: Alert-based, via third-party (Dhan) webhook system Risk Management: User-defined stop-loss and capital allocation required IP Protection: Internal logic abstracted Purpose: Educational, research, and demonstration use onlyاستراتيجية Pine Script®من algovisionx25
Riesgo sp500 4.0Key Features: - Day Filter: The user can choose to run the strategy on all days or restrict it to a specific weekday (Monday–Sunday). - Session Definition: The breakout box is built during the New York morning session (05:00–09:30 NY time). - At the start of the session, the script initializes a box with the high and low. - It updates the box boundaries as new highs and lows occur until the session ends. - Vertical and horizontal lines mark the box boundaries, extended until 12:00 NY. - Breakout Logic: After the session ends, the strategy waits for price to break above the box high or below the box low. - The user can select which breakout number to trade (first, second, or third). - When the chosen breakout occurs, the strategy enters a long (buy) or short (sell) position. - Stop Loss and Take Profit: - A stop loss is set near the midpoint of the box, adjusted at entry. - Two take profit levels are defined: - TP1 at 1.2 times the risk distance. - TP2 at 2 times the risk distance. - Labels are drawn on the chart to mark SL and TP levels. استراتيجية Pine Script®من williamdj332
DANI _ MTF Pullback StrategyMTF Pullback - RSI Panel Summary Purpose: Companion indicator for the main strategy that displays RSI with divergence detection in a separate pane below the price chart. Settings ParameterDefaultDescriptionRSI Length14Lookback period for RSI calculationRSI Oversold Level30Threshold for oversold conditionRSI Overbought Level70Threshold for overbought conditionDivergence Lookback Bars10How many bars to look back for divergence detection What It Displays RSI Line — Changes color based on zone: Purple = neutral (between 30-70) Green = oversold (below 30) Red = overbought (above 70) Horizontal Levels: Red dashed line at 70 (overbought) Green dashed line at 30 (oversold) Gray dotted line at 50 (midpoint) Zone Fills: Light red shading above 70 Light green shading below 30 Divergence Markers: "DIV" label with lime circle = bullish divergence (price makes lower low, RSI makes higher low while oversold) "DIV" label with fuchsia circle = bearish divergence (price makes higher high, RSI makes lower high while overbought) Background Flash: Green flash when bullish divergence detected Red flash when bearish divergence detected Divergence Logic Bullish: Price makes a lower low AND RSI makes a higher low AND RSI is in oversold territory → potential reversal up Bearish: Price makes a higher high AND RSI makes a lower high AND RSI is in overbought territory → potential reversal downand for the strategy15:36Outlined strategy script components and display mechanics.The user wants a summary of the main strategy script, similar to what I provided for the RSI panel. I should cover the purpose, settings, entry conditions, exit conditions, and what it displays on the chart.MTF Pullback Strategy Summary Purpose: Multi-timeframe pullback strategy that trades trend continuations. Uses 4H timeframe for trend direction and entry timeframe (typically 15M) for precise entries based on RSI divergence and engulfing patterns. Settings ParameterDefaultDescriptionTimeframesHigher Timeframe240 (4H)Timeframe for trend detectionTrend FilterEMA Length50EMA period for trend directionRSIRSI Length14RSI calculation periodRSI Oversold Level30Long entry RSI thresholdRSI Overbought Level70Short entry RSI thresholdDivergence Lookback10Bars to scan for divergenceSwing DetectionSwing Lookback5Bars left/right to confirm swingRisk ManagementATR Length14ATR calculation periodStop Loss ATR Multiplier2.0SL = 2× ATR from entryTake Profit %2.0TP = entry ± 2%Trade DirectionTrade LongstrueEnable long tradesTrade ShortstrueEnable short trades Entry Conditions Long Entry (all must be true): 4H uptrend (price above 50 EMA + EMA rising) Current price above 4H 50 EMA Price pulling back from recent 4H swing high RSI oversold (<30) or below 40 Bullish RSI divergence OR RSI turning up from oversold Bullish engulfing candle at or within 2 bars after swing low Short Entry (all must be true): 4H downtrend (price below 50 EMA + EMA falling) Current price below 4H 50 EMA Price pulling back from recent 4H swing low RSI overbought (>70) or above 60 Bearish RSI divergence OR RSI turning down from overbought Bearish engulfing candle at or within 2 bars after swing high Exit Conditions Exit TypeLongShortStop LossEntry - (2 × ATR)Entry + (2 × ATR)Take ProfitEntry × 1.02 (+2%)Entry × 0.98 (-2%) What It Displays On Chart: Blue line = 4H 50 EMA Green triangle below bar = long entry signal Red triangle above bar = short entry signal Green background tint = 4H uptrend active Red background tint = 4H downtrend active Info Table (top right): FieldShows4H TrendUP ↑ / DOWN ↓ / NEUTRALPrice vs EMAABOVE / BELOWPullback LYES/NO (long pullback active)Pullback SYES/NO (short pullback active)Bull DivYES/NO (bullish divergence)Bear DivYES/NO (bearish divergence) Strategy Logic Flow 4H TREND CHECK ↓ PRICE VS 50 EMA ↓ PULLBACK DETECTED? ↓ RSI CONDITION MET? ↓ RSI DIVERGENCE? ↓ ENGULFING AT SWING? ↓ ENTRY → SL (2×ATR) + TP (2%) Alerts Available Long Entry Signal — Triggers when all long conditions align Short Entry Signal — Triggers when all short conditions align Recommended Usage Apply to 15-minute chart (fetches 4H data automatically) Use alongside the RSI Panel indicator for visual confirmation Backtest on trending pairs/assets (crypto, forex majors, indices) Adjust ATR multiplier if stops are too tight/wide for your assetاستراتيجية Pine Script®من VKtrade202512
Speed Coding EMA MACD strategySpeed Coding EMA MACD Strategy Speed Coding EMA MACD Strategy is a powerful intraday trading strategy designed to deliver high-probability trend and momentum-based entries, especially for Index Options Trading such as NIFTY, BANKNIFTY, and FINNIFTY. This strategy combines two of the most reliable technical tools: • EMA (Exponential Moving Average) for trend direction • MACD (Moving Average Convergence Divergence) for momentum confirmation ⸻ 🔥 What Makes This Strategy Unique? The key strength of this strategy is its fully adjustable input system. All major parameters are provided inside the Inputs tab, allowing traders to: ✅ Modify settings based on market conditions ✅ Optimize values for different timeframes (5m / 15m / 30m) ✅ Improve accuracy through backtesting ✅ Achieve the best possible results in Index Options trading This strategy is not fixed — it is built for custom optimization, so users can fine-tune it to match their trading style. ⸻ ⚙️ Customizable Inputs for Optimization The strategy includes complete parameter control: • EMA Length (Trend sensitivity adjustment) • MACD Fast / Slow / Signal Length (Momentum filtering) • Intraday Session Filter (Avoid unwanted trading hours) • Max Trades Per Day (Prevents overtrading) • Target % and Stoploss % (Risk management customization) 👉 Pro Tip: For best-to-best performance, users should backtest and optimize EMA & MACD parameters according to the selected index and timeframe. ⸻ 🎯 Best Use Case This strategy performs best in: ✅ Intraday Index Options Trading ✅ Strong trending market conditions ✅ 5-Minute and 15-Minute charts ✅ Disciplined setups with controlled risk ⸻ ⚠️ Disclaimer This strategy is for educational and research purposes only. Please perform proper backtesting and use risk management before applying it in live trading. ⸻ 🚀 Developed By Speed Coding Infotechاستراتيجية Pine Script®من Speed_Coding_infotech5
Empyrean - Strat 1minGood for bot trading. 1min TF, with 15min confluence. Setting are here 22 Min Pivot Size x ATR 0.1 Enable TF1 Resolution TF1 15 Use SMA SmaLen 23 ADX Length 21 ADX Threshold 20 ATR Baseline Length 2 TP * ATR 5.5 SL * ATR 1.5/3استراتيجية Pine Script®من Emyrean1121
Fractal Breakout with 3-Point TrendTriggers buy when the price breaks above the last fractal high Triggers sell when the price breaks below the last fractal low Filter is calculate the closing price of last 3 fractal highs or low to determine the trend استراتيجية Pine Script®من olushekun19
PATCHA - All Sectorcan use on all sectors, use it wisely to support your knowledgeاستراتيجية Pine Script®من b9443054470تم تحديثه 2
HA EMA50 Trend Filter No Chop Daily Trade LimitsThis strategy trades strong directional moves using Heikin-Ashi candle confirmation and a 50-period EMA trend filter, while aggressively avoiding consolidation. Entries occur only after two consecutive Heikin-Ashi candles close in the same direction with price on the correct side of the EMA, and are further filtered using ATR-normalized volatility, range, EMA slope, and EMA cross-chop conditions to ensure the market is actively trending. Trades are executed at the open of the next candle, managed with structure-based or fixed stop losses, an optional break-even rule, and exited on Heikin-Ashi color reversal or protective stops. To protect capital and reduce overtrading, the strategy enforces strict daily limits, allowing a maximum of five trades per symbol and automatically stopping trading after two losing trades in a single day. Designed for forex markets during active sessions, this system prioritizes clean trends and capital preservation over frequent entries.استراتيجية Pine Script®من rshray920
TSM RSI + Supertrend (ATR SL + Partial Booking) 302026RSI + Supertrend Strategy (ATR Stop-Loss + Partial Profit Booking) Strategy Objective This strategy is designed to: Trade only in strong trends Avoid false entries using RSI confirmation Protect capital with a volatility-based (ATR) stop-loss Book profits in stages to reduce risk and ride big moves 🔧 Indicators Used 1️⃣ Supertrend Role: Trend direction Green line → Uptrend Red line → Downtrend Settings: ATR Period: 10 Multiplier: 3 2️⃣ RSI (Relative Strength Index) Role: Momentum confirmation RSI above 50 → Bullish strength RSI below 50 → Bearish strength Settings: RSI Length: 14 Level: 50 🟢 BUY (Long Trade) Rules A BUY trade is taken when all conditions are met: Supertrend changes from Red to Green → Trend turns bullish RSI is above 50 → Buying momentum is strong 📌 Entry: ➡️ Enter BUY at the next candle. 🔴 SELL (Short Trade) Rules A SELL trade is taken when all conditions are met: Supertrend changes from Green to Red → Trend turns bearish RSI is below 50 → Selling momentum is strong 📌 Entry: ➡️ Enter SELL at the next candle. 🛑 Stop-Loss (ATR-Based) Stop-loss is calculated using ATR (Average True Range) Adapts automatically to market volatility BUY Trade SL = Entry Price − (ATR × Multiplier) SELL Trade SL = Entry Price + (ATR × Multiplier) ✅ This avoids tight SL in volatile markets and wide SL in calm markets. 🎯 Partial Profit Booking Logic 🔹 First Target (Partial Exit) 50% of the position is booked at 1:1 Risk–Reward This locks in profits early and reduces risk 🔹 Remaining 50% Held as long as the Supertrend does not reverse Exits only when the trend flips Helps capture big trending moves 🔄 Exit Rules Summary Situation Action ATR Stop-Loss hit Full exit 1:1 target reached 50% profit booked Supertrend flips Remaining 50% exited ⏱️ Best Timeframes Trading Style Timeframe Intraday 5 min / 15 min Swing 1 Hour / Daily Best markets: Trending stocks Index futures Directional options (CE / PE) ⭐ Why This Strategy Is Powerful ✔ Trades with trend, not against it ✔ RSI filters weak signals ✔ ATR-based SL adjusts to volatility ✔ Partial booking reduces psychological pressure ✔ Lets winners run and cuts losers early ⚠️ Important Notes Avoid sideways markets Always backtest before live trading Risk management is more important than entries.استراتيجية Pine Script®من SARAVANANTamilShareMarket13
TSM RSI + Supertrend (Fixed SL + 1:2 RR) 302026RSI + Supertrend Combo Strategy (Fixed SL & 1:2 Risk–Reward) To trade only in the direction of the trend using Supertrend and enter with momentum confirmation from RSI, while strictly controlling risk with a fixed stop loss and a 1:2 target. Supertrend – identifies market trend RSI (14) – confirms strength of the trend BUY CONDITIONS (Long Trade) Supertrend changes from Red to Green → Market trend turns bullish Price trades above Supertrend line RSI is above 50 → Buying momentum is strong ✅ Enter BUY at the next candle open. 🔴 SELL CONDITIONS (Short Trade) Supertrend changes from Green to Red → Market trend turns bearish Price trades below Supertrend line RSI is below 50 → Selling momentum is strong ✅ Enter SELL at the next candle open. 🛑 Risk Management (Most Important) Stop Loss (SL): Fixed percentage from entry price Target (TP): 2 × Stop Loss → Risk : Reward = 1 : 2 Example (BUY Trade) Entry: ₹100 Stop Loss (0.5%): ₹99.50 Target (1:2): ₹101.00 ⏱️ Best Timeframes Intraday: 5 min / 15 min Swing Trading: 1 Hour / Daily. Why This Strategy Works ✔ Trades with the trend, not against it ✔ RSI filters false Supertrend signals ✔ Fixed SL protects capital ✔ 1:2 RR ensures profitability even with ~40% win rate ✔ Simple rules – beginner friendly ⚠️ Important Notes Avoid sideways markets Best results in trending stocks / indices Always backtest before live trading.استراتيجية Pine Script®من SARAVANANTamilShareMarket14
trendline Breakout HXBreakout Killer. Parce que c’est exactement ce que c’est.Ce n’est PAS juste un breakout de trendline à la con .Détecte les vraies trendlines (pas les conneries manuelles que tu traces à l’œil) Les upgrade en régression linéaire quand il y a assez de touches (3, 4, 5 pivots – tu choisis) pour que ce soit statistiquement solide Ajoute des buffers intelligents : fixe %, ATR statique ou ATR dynamique – tu décides du mode, mais le truc respire avec la volatilité du marché Filtre comme un sniper : EMA 200 pour le trend global, RSI pour éviter les zones extrêmes, volume explosion si tu l’actives, même Money Flow Madness (MFM) pour capter l’agressivité des acheteurs/vendeurs Détecte le breakout sur wicks OU close (tu choisis, pas de bullshit) Et le clou du spectacle : un Parabolic Stop amélioré qui ne recule JAMAIS (anti-whipsaw intégré), mix parfait entre SAR classique + ATR agressif, avec fallback ATR initial si le stop est mal placé au départ Résultat ? Tu rentres seulement sur des cassures validées, avec filtre multi-couches, sizing calculé auto sur 1% de risque (ou ce que tu veux) Breakout Killer. Because that's exactly what it is. It's NOT just some crappy trendline breakout. It's an intelligent machine that: Detects real trendlines (not the manual nonsense you draw by eye) Upgrades them to linear regression when there are enough hits (3, 4, 5 pivots – you choose) to make them statistically sound Adds smart buffers: fixed percentage, static ATR, or dynamic ATR – you decide the mode, but the thing breathes with market volatility Filters like a sniper: 200 EMA for the overall trend, RSI to avoid extreme zones, volume explosion if you activate it, even Money Flow Madness (MFM) to capture buyer/seller aggression Detects breakouts on wicks OR closes (you choose, no bullshit) And the icing on the cake: an improved Parabolic Stop that NEVER rolls back (Integrated anti-whipsaw), a perfect mix of classic SAR and aggressive ATR, with initial ATR fallback if the stop loss is poorly placed at the start. The result? You only enter on confirmed breakouts, with a multi-layered filter and automatically calculated sizing based on a 1% risk (or whatever you want).استراتيجية Pine Script®من HX-ANALYTICS14
ETH Scalping Bot V2 (Aggressive)⚠️ BACKTEST DATA NOTICE Due to TradingView's 1-minute bar limit, the Strategy Tester below only shows the last 7-14 days of data. The +7,107% profit is based on Deep Backtesting (3 Years). 👉 To see the FULL 3-Year Report: Please check the screenshot on my Whop page or the link below This is a custom automated strategy designed for Ethereum (ETH) scalping on lower timeframes (1m/5m). It is built to capture volatility while strictly managing risk using a dual-mode logic. █ Strategy Concept This script combines Trend-Following indicators with Momentum Oscillators to identify high-probability entry points. 1. Trend Filter: Uses EMA and volatility bands to filter out chop/noise. 2. Entry Logic: Enters trades only when momentum confirms the trend direction. 3. Exit Logic: Dynamic take-profit and stop-loss levels based on market volatility (ATR). █ Key Features • NO Repainting: All signals are confirmed on 'Bar Close'. The backtest results match live execution. • Dual Modes Included: - Aggressive Mode: Compounding logic for maximizing growth. - Safe Mode: Fixed risk management for capital preservation. • Risk Management: Includes a daily drawdown limit and automated crash protection. █ How to Use 1. Apply this strategy to the ETHUSDT chart. 2. Choose your mode in the settings (Aggressive or Safe). 3. Set up alerts for automation (compatible with 3Commas/Whop). ------------------------------------------------------------- ------------------------------------------------------------- 🔒 HOW TO GET ACCESS This is an Invite-Only script. To get access to this strategy, please check the link in my or below. 👇 (Access is managed via Whop subscription for instant authorization.) -------------------------------------------------------------استراتيجية Pine Script®من iloveseoha0822تم تحديثه 0
ETH Scalping Bot V2 [Tori System]This is a custom automated strategy designed for Ethereum (ETH) scalping on lower timeframes (1m/5m). It is built to capture volatility while strictly managing risk using a dual-mode logic. █ Strategy Concept This script combines Trend-Following indicators with Momentum Oscillators to identify high-probability entry points. 1. Trend Filter: Uses EMA and volatility bands to filter out chop/noise. 2. Entry Logic: Enters trades only when momentum confirms the trend direction. 3. Exit Logic: Dynamic take-profit and stop-loss levels based on market volatility (ATR). █ Key Features • NO Repainting: All signals are confirmed on 'Bar Close'. The backtest results match live execution. • Dual Modes Included: - Aggressive Mode: Compounding logic for maximizing growth. - Safe Mode: Fixed risk management for capital preservation. • Risk Management: Includes a daily drawdown limit and automated crash protection. █ How to Use 1. Apply this strategy to the ETHUSDT chart. 2. Choose your mode in the settings (Aggressive or Safe). 3. Set up alerts for automation (compatible with 3Commas/Whop). ------------------------------------------------------------- ------------------------------------------------------------- 🔒 HOW TO GET ACCESS This is an Invite-Only script. To get access to this strategy, please check the link in my or below. 👇 (Access is managed via Whop subscription for instant authorization.) -------------------------------------------------------------استراتيجية Pine Script®من iloveseoha0822111
ETH Scalping Bot V2 [Tori System]This is a custom automated strategy designed for Ethereum (ETH) scalping on lower timeframes (1m/5m). It is built to capture volatility while strictly managing risk using a dual-mode logic. █ Strategy Concept This script combines Trend-Following indicators with Momentum Oscillators to identify high-probability entry points. 1. Trend Filter: Uses EMA and volatility bands to filter out chop/noise. 2. Entry Logic: Enters trades only when momentum confirms the trend direction. 3. Exit Logic: Dynamic take-profit and stop-loss levels based on market volatility (ATR). █ Key Features • NO Repainting: All signals are confirmed on 'Bar Close'. The backtest results match live execution. • Dual Modes Included: - Aggressive Mode: Compounding logic for maximizing growth. - Safe Mode: Fixed risk management for capital preservation. • Risk Management: Includes a daily drawdown limit and automated crash protection. █ How to Use 1. Apply this strategy to the ETHUSDT chart. 2. Choose your mode in the settings (Aggressive or Safe). 3. Set up alerts for automation (compatible with 3Commas/Whop). ------------------------------------------------------------- 🔒 ACCESS: This is an Invite-Only script. To get access and view the backtest results, please visit the link in my profile or signature. (Or visit: whop.com/tori-algo) ------------------------------------------------------------- ------------------------------------------------------------- 🔒 HOW TO GET ACCESS This is an Invite-Only script. To get access to this strategy, please check the link in my or below. 👇 (Access is managed via Whop subscription for instant authorization.) -------------------------------------------------------------استراتيجية Pine Script®من iloveseoha0822110
Ultimate Master Chief [STRATEGY]ITLE: Master Chief: SPARTAN DESCRIPTION: 1. Concept & Originality This strategy ("Spartan") was developed to solve a specific inefficiency in intraday scalping: Profit Retention. Many trend-following systems fail because they hold positions through deep pullbacks, turning winners into breakeven trades. This script utilizes a proprietary "Sniper Execution" logic that prioritizes high-win-rate volatility targets over long-duration holds. It is not a simple crossover system; it is a multi-stage confluence engine designed to filter chop and execute only on aligned momentum bursts. 2. Underlying Calculations & Logic The strategy operates on a "Three-Pillar" confirmation system. A trade is only taken if all three pillars align: Pillar A: Momentum Flow (Oscillator Logic) We utilize a smoothed combination of Relative Strength Index (RSI) and Stochastics to create a "Flow" reading. Unlike standard overbought/oversold signals, this script looks for specific "Flow Crosses" that occur within the trend, ensuring we are entering on fresh momentum rather than exhaustion. Pillar B: Trend Architecture (Bias Filter) To ensure we are trading with the dominant flow, the script filters all signals through a higher-timeframe SuperTrend (Factor 4.0) or Hull Moving Average. This acts as a "Regime Filter"—longs are strictly prohibited in bearish regimes, and shorts are prohibited in bullish regimes. Pillar C: Volatility Normalization (ATR) The markets expand and contract. Hard-coded stops (e.g., "10 ticks") fail in changing conditions. This strategy uses the Average True Range (ATR) to dynamically size every Target and Stop. High Volatility: Targets widen to capture the expansion. Low Volatility: Targets tighten to ensure safety. 3. The "Sniper" Execution Method This script features a distinct exit methodology: The Volatility Bank. Instead of scaling out, the strategy calculates a statistically significant volatility extension (TP1). Once price action hits this level, the algorithm triggers a 100% Full Exit. Extensive quantitative testing has shown that in current market conditions, securing the full position at the first volatility deviation maximizes the Profit Factor compared to holding "runners." 4. How to Use This Script Timeframe: Optimized for 1m - 5m charts (High frequency). Assets: Designed for Futures (ES, NQ) and Liquid Crypto (BTC, ETH). Customization: Traders can adjust the Trend Filter Mode in the settings to switch between SuperTrend or Hull MA based on their preferred sensitivity. 5. Disclaimer This tool is for quantitative analysis and educational purposes. Past performance in the strategy tester does not guarantee future results.استراتيجية Pine Script®من DarwinIsidro3
Multi-Timeframe V 1.6.2Multi Timeframe Z score normalized Strategy. Scores are tallied and normalized with a gamma value and z-score method on a rolling window of time. when signals reach over a certain threshold, the strat executes. Suitable for 5-15 minute Timeframe.استراتيجية Pine Script®من chris_6889تم تحديثه 4
House Rules SuperTrend Strategy (ATR-Based, Non-Repainting)📝 DESCRIPTION Overview The House Rules SuperTrend Strategy is a clean, rule-based trading strategy built using Pine Script® v6. It is designed for transparent backtesting, non-repainting signals, and simple trend-following execution across all markets and timeframes. This strategy uses TradingView’s built-in SuperTrend indicator, which is derived from Average True Range (ATR), to identify trend direction changes and generate long and short trades. How the Strategy Works Long Entry A long position is opened when the SuperTrend flips from bearish to bullish This confirms a potential upward trend shift Short Entry A short position is opened when the SuperTrend flips from bullish to bearish This confirms a potential downward trend shift Exits Positions are closed when either: The opposite SuperTrend signal appears, or The ATR-based Stop Loss or Take Profit is reached (if enabled) All signals are calculated on confirmed candle closes only, ensuring accurate and fair backtesting. Risk Management Optional ATR-based Stop Loss Optional ATR-based Take Profit Position sizing based on percentage of equity Commission included for realistic performance results All parameters are user-adjustable from the settings panel. Backtesting & Transparency This is a strategy, not an indicator No repainting No future data usage No hidden filters No lookahead bias Fully compatible with TradingView’s Strategy Tester Users are encouraged to test different symbols, timeframes, and parameter values to suit their trading style. Recommended Use This strategy can be used on: Cryptocurrencies Forex Stocks Indices Futures It performs best in trending market conditions and may underperform during low-volatility or ranging markets. Disclaimer This script is provided for educational and research purposes only. It is not financial advice. Always test and validate strategies before using them in live trading.استراتيجية Pine Script®من JaxonJackFX49
Gennie_V8_ProGennie V8 Pro is a premium trend-following strategy designed specifically for Crypto Perpetual markets. It utilizes institutional-grade data points to identify high-probability setups through price action and order flow confluence. Key Features: Institutional Order Flow: Combines FVG (Fair Value Gap) and CVD (Cumulative Volume Delta) to track big player movements. OI Momentum Filter: Analyzes Open Interest growth to ensure trend validity and avoid "liquidation traps." Volatility-Adaptive Exit: Uses ATR (Average True Range) for stop-loss calculation, adapting to market conditions. Smart Risk Management: Features a two-stage Take Profit (TP) system with an automated Break-Even (BE) trigger after TP1 is reached. Strict No-Repaint Execution: This strategy is built with process_orders_on_close = true. Signals are calculated at the bar close and executed on the next bar open. Backtest results are 100% realistic and reliable for live trading.استراتيجية Pine Script®من jac888178447
Bank Nifty RSI Dynamic v6This is a specialized mean-reversion strategy designed for Bank Nifty (NSE:NIFTYBANK) on the 5-minute timeframe. It focuses on capturing rapid reversals when the market reaches extreme overbought or oversold conditions based on the Relative Strength Index (RSI). Unlike standard RSI strategies that wait for a cross back into the neutral zone, this script uses asymmetric dynamic exits to lock in profits early as momentum shifts. How it Works Timeframe: Optimized for 5m (Intraday). Bullish Entry (Call): Triggers when the RSI closes below 30. This identifies a potential "exhaustion" in selling pressure. Bearish Entry (Put): Triggers when the RSI closes above 68. This identifies a potential "overextension" in buying pressure. Dynamic Exits: Calls are closed when RSI recovers to 45. Puts are closed when RSI cools down to 56. Position Sizing: Fixed at 3 Lots (90 units), calibrated for the 2026 Bank Nifty lot size. Key Features Pine Script v6: Built using the latest TradingView standards for faster execution and better backtesting accuracy. Capital Efficiency: Includes a zero-margin override to ensure the backtester reflects the full 3-lot position regardless of account leverage settings. Visual Signals: Uses clear plotshape triangles (Green for Call, Red for Put) directly on the price chart for easy manual execution or alert monitoring. Risk Disclaimer Bank Nifty is highly volatile. This strategy does not include a fixed stop loss by default (exits are momentum-based), so users should be prepared for drawdowns during strong trending phases where RSI remains in extreme zones for extended periods. Always backtest on your preferred broker's data before going live.استراتيجية Pine Script®من rahulrana952
ICT Opening Gap Strategy [Momentum1]Momentum strategy taken off the close of the first candle after the NDOG/NWOG. Built with Gemini. استراتيجية Pine Script®من Toddwaters7247
ICT Gap Retest Strategy [Custom Exits]Gap Retest Strategy with customizable exit conditions and two adjustable trade windows. Enters on the candle following a retest and exit of the NDOG/NWOG. Written with Gemini. استراتيجية Pine Script®من Toddwaters7215