Hassi XAUUSD STRATEGY BOTGold (XAUUSD) 15m trend+momentum based signals with EMA(9/21/200), RSI, custom ADX, ATR-based SL/TP & alerts
Works on XAUUSD 15m.
Entry: EMA9/21 cross + price relative to EMA200 + RSI filter + custom ADX trend strength.
Risk: default SL=1.5×ATR, TP=2×ATR (editable).
Notes: No financial advice. Backtest before live use. Avoid high-impact news whipsaws.
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Mutanabby_AI | Ultimate Algo | Remastered+Overview
The Mutanabby_AI Ultimate Algo Remastered+ represents a sophisticated trend-following system that combines Supertrend analysis with multiple moving average confirmations. This comprehensive indicator is designed specifically for identifying high-probability trend continuation and reversal opportunities across various market conditions.
Core Algorithm Components
**Supertrend Foundation**: The primary signal generation relies on a customizable Supertrend indicator with adjustable sensitivity (1-20 range). This adaptive trend-following tool uses Average True Range calculations to establish dynamic support and resistance levels that respond to market volatility.
**SMA Confirmation Matrix**: Multiple Simple Moving Averages (SMA 4, 5, 9, 13) provide layered confirmation for signal strength. The algorithm distinguishes between regular signals and "Strong" signals based on SMA 4 vs SMA 5 relationship, offering traders different conviction levels for position sizing.
**Trend Ribbon Visualization**: SMA 21 and SMA 34 create a visual trend ribbon that changes color based on their relationship. Green ribbon indicates bullish momentum while red signals bearish conditions, providing immediate visual trend context.
**RSI-Based Candle Coloring**: Advanced 61-tier RSI system colors candles with gradient precision from deep red (RSI ≤20) through purple transitions to bright green (RSI ≥79). This visual enhancement helps traders instantly assess momentum strength and overbought/oversold conditions.
Signal Generation Logic
**Buy Signal Criteria**:
- Price crosses above Supertrend line
- Close price must be above SMA 9 (trend confirmation)
- Signal strength determined by SMA 4 vs SMA 5 relationship
- "Strong Buy" when SMA 4 ≥ SMA 5
- Regular "Buy" when SMA 4 < SMA 5
**Sell Signal Criteria**:
- Price crosses below Supertrend line
- Close price must be below SMA 9 (trend confirmation)
- Signal strength based on SMA relationship
- "Strong Sell" when SMA 4 ≤ SMA 5
- Regular "Sell" when SMA 4 > SMA 5
Advanced Risk Management System
**Automated TP/SL Calculation**: The indicator automatically calculates stop loss and take profit levels using ATR-based measurements. Risk percentage and ATR length are fully customizable, allowing traders to adapt to different market conditions and personal risk tolerance.
**Multiple Take Profit Targets**:
- 1:1 Risk-Reward ratio for conservative profit taking
- 2:1 Risk-Reward for balanced trade management
- 3:1 Risk-Reward for maximum profit potential
**Visual Risk Display**: All risk management levels appear as both labels and optional trend lines on the chart. Customizable line styles (solid, dashed, dotted) and positioning ensure clear visualization without chart clutter.
**Dynamic Level Updates**: Risk levels automatically recalculate with each new signal, maintaining current market relevance throughout position lifecycles.
Visual Enhancement Features
**Customizable Display Options**: Toggle trend ribbon, TP/SL levels, and risk lines independently. Decimal precision adjustments (1-8 decimal places) accommodate different instrument price formats and personal preferences.
**Professional Label System**: Clean, informative labels show entry points, stop losses, and take profit targets with precise price levels. Labels automatically position themselves for optimal chart readability.
**Color-Coded Momentum**: The gradient RSI candle coloring system provides instant visual feedback on momentum strength, helping traders assess market energy and potential reversal zones.
Implementation Strategy
**Timeframe Optimization**: The algorithm performs effectively across multiple timeframes, with higher timeframes (4H, Daily) providing more reliable signals for swing trading. Lower timeframes work well for day trading with appropriate risk adjustments.
**Sensitivity Adjustment**: Lower sensitivity values (1-5) generate fewer but higher-quality signals, ideal for conservative approaches. Higher sensitivity (15-20) increases signal frequency for active trading styles.
**Risk Management Integration**: Use the automated risk calculations as baseline parameters, adjusting risk percentage based on account size and market conditions. The 1:1, 2:1, 3:1 targets enable systematic profit-taking strategies.
Market Application
**Trend Following Excellence**: Primary strength lies in capturing significant trend movements through the Supertrend foundation with SMA confirmation. The dual-layer approach reduces false signals common in single-indicator systems.
**Momentum Assessment**: RSI-based candle coloring provides immediate momentum context, helping traders assess signal strength and potential continuation probability.
**Range Detection**: The trend ribbon helps identify ranging conditions when SMA 21 and SMA 34 converge, alerting traders to potential breakout opportunities.
Performance Optimization
**Signal Quality**: The requirement for both Supertrend crossover AND SMA 9 confirmation significantly improves signal reliability compared to basic trend-following approaches.
**Visual Clarity**: The comprehensive visual system enables rapid market assessment without complex calculations, ideal for traders managing multiple instruments.
**Adaptability**: Extensive customization options allow fine-tuning for specific markets, trading styles, and risk preferences while maintaining the core algorithm integrity.
## Non-Repainting Design
**Educational Note**: This indicator uses standard TradingView functions (Supertrend, SMA, RSI) with normal behavior patterns. Real-time updates on current candles are expected and standard across all technical indicators. Historical signals on closed candles remain fixed and unchanged, ensuring reliable backtesting and analysis.
**Signal Confirmation**: Final signals are confirmed only when candles close, following standard technical analysis principles. The algorithm provides clear distinction between developing signals and confirmed entries.
Technical Specifications
**Supertrend Parameters**: Default sensitivity of 4 with ATR length of 11 provides balanced signal generation. Sensitivity range from 1-20 allows adaptation to different market volatilities and trading preferences.
**Moving Average Configuration**: SMA periods of 8, 9, and 13 create multi-layered trend confirmation, while SMA 21 and 34 form the visual trend ribbon for broader market context.
**Risk Management**: ATR-based calculations with customizable risk percentage ensure dynamic adaptation to market volatility while maintaining consistent risk exposure principles.
Recommended Settings
**Conservative Approach**: Sensitivity 4-5, RSI length 14, higher timeframes (4H, Daily) for swing trading with maximum signal reliability.
**Active Trading**: Sensitivity 6-8, RSI length 8-10, intermediate timeframes (1H) for balanced signal frequency and quality.
**Scalping Setup**: Sensitivity 10-15, RSI length 5-8, lower timeframes (15-30min) with enhanced risk management protocols.
## Conclusion
The Mutanabby_AI Ultimate Algo Remastered+ combines proven trend-following principles with modern visual enhancements and comprehensive risk management. The algorithm's strength lies in its multi-layered confirmation approach and automated risk calculations, providing both novice and experienced traders with clear signals and systematic trade management.
Success with this system requires understanding the relationship between signal strength indicators and adapting sensitivity settings to match current market conditions. The comprehensive visual feedback system enables rapid decision-making while the automated risk management ensures consistent trade parameters.
Practice with different sensitivity settings and timeframes to optimize performance for your specific trading style and risk tolerance. The algorithm's systematic approach provides an excellent framework for disciplined trend-following strategies across various market environments.
EMA Buy Sell All-in-One✨ Description (แนะนำให้ใช้ตอนกด Publish):
This all-in-one indicator combines several powerful trading tools into one script:
• EMA Cross Entry System: Customizable fast/slow EMA cross for buy/sell signals
• Dynamic SL/TP System: Choose between swing-based or custom SL/TP; auto-calculated RR support
• HH, HL, LH, LL Labels: Market structure points marked directly on chart (toggle ON/OFF)
• Multi-Timeframe Trend Table: Visual overview of EMA trends across D1 → M1 timeframes
• H1 Trend Change Icons: Alerts when the hourly trend flips direction
➤ Clean and responsive display
➤ Fully customizable via input panel
➤ Great for intraday or swing traders following trend + structure alignment
Feel free to fork or modify. Made for those who want clarity and confluence in one view.
Ayman – Full Smart Suite Auto/Manual Presets + PanelIndicator Name
Ayman – Full Smart Suite (OB/BoS/Liq/FVG/Pin/ADX/HTF) + Auto/Manual Presets + Panel
This is a multi-condition trading tool for TradingView that combines advanced Smart Money Concepts (SMC) with classic technical filters.
It generates BUY/SELL signals, draws Stop Loss (SL) and Take Profit (TP1, TP2) levels, and displays a control panel with all active settings and conditions.
1. Main Features
Smart Money Concepts Filters:
Order Block (OB) Zones
Break of Structure (BoS)
Liquidity Sweeps
Fair Value Gaps (FVG)
Pin Bar patterns
ADX filter
Higher Timeframe EMA filter (HTF EMA)
Two Operating Modes:
Auto Presets: Automatically adjusts all settings (buffers, ATR multipliers, RR, etc.) based on your chart timeframe (M1/M5/M15).
Manual Mode: Fully customize all parameters yourself.
Trade Management Levels:
Stop Loss (SL)
TP1 – partial profit
TP2 – full profit
Visual Panel showing:
Current settings
Filter status
Trend direction
Last swing levels
SL/TP status
Alerts for BUY/SELL conditions
2. Entry Conditions
A BUY signal is generated when all these are true:
Trend: Price above EMA (bullish)
HTF EMA: Higher timeframe trend also bullish
ADX: Trend strength above threshold
OB: Price in a valid bullish Order Block zone
BoS: Structure break to the upside
Liquidity Sweep: Sweep of recent lows in bullish context
FVG: A bullish Fair Value Gap is present
Pin Bar: Bullish Pin Bar pattern detected (if enabled)
A SELL signal is generated when the opposite conditions are met.
3. Stop Loss & Take Profits
SL: Placed just beyond the last swing low (BUY) or swing high (SELL), with a small ATR buffer.
TP1: Partial profit target, defined as a ratio of the SL distance.
TP2: Full profit target, based on Reward:Risk ratio.
4. How to Use
Step 1 – Apply Indicator
Open TradingView
Go to your chart (recommended: XAUUSD, M1/M5 for scalping)
Add the indicator script
Step 2 – Choose Mode
AUTO Mode: Leave “Use Auto Presets” ON – parameters adapt to your timeframe.
MANUAL Mode: Turn Auto OFF and adjust all lengths, buffers, RR, and filters.
Step 3 – Filters
In the Filters On/Off section, enable/disable specific conditions (OB, BoS, Liq, FVG, Pin Bar, ADX, HTF EMA).
Step 4 – Trading the Signals
Wait for a BUY or SELL arrow to appear.
SL and TP levels will be plotted automatically.
TP1 can be used for partial close and TP2 for full exit.
Step 5 – Alerts
Set alerts via BUY Signal or SELL Signal to receive notifications.
5. Best Practices
Scalping: Use M1 or M5 with AUTO mode for gold or forex pairs.
Swing Trading: Use M15+ and adjust buffers/ATR manually.
Combine with price action confirmation before entering trades.
For higher accuracy, wait for multiple filter confirmations rather than acting on the first arrow.
6. Summary Table
Feature Purpose Can Disable?
Order Block Finds key supply/demand zones ✅
Break of Structure Detects trend continuation ✅
Liquidity Sweep Finds stop-hunt moves ✅
Fair Value Gap Confirms imbalance entries ✅
Pin Bar Price action reversal filter ✅
ADX Trend strength filter ✅
HTF EMA Higher timeframe confirmation ✅
MA wiht Logistic [Jsk]This script is published for educational purposes only and does not constitute financial advice. Past performance does not guarantee future results. Trade at your own risk; the author accepts no liability for any financial loss incurred.
Concept
• Direction is defined by the relationship between price and two moving averages (Fast & Slow).
Long: Close > Fast MA > Slow MA
Short: Close < Fast MA < Slow MA
• Three independent exit modes are available:
1) None – positions are closed only when an opposite signal appears.
2) Percentage – fixed take-profit / stop-loss expressed in % of entry price (default +20 % / –5 %).
3) Logistic – a dynamic take-profit / stop-loss based on a logistic transformation of unrealised P&L.
Key Inputs
• MA Type: EMA, SMA or WMA
• Fast / Slow MA length
• Exit Mode: None | Percentage | Logistic
• Percentage TP / SL values (active when Exit Mode = Percentage)
• Logistic settings: slope k, midpoint, TP / SL probability thresholds (active when Exit Mode = Logistic)
Recommended Use
The script works on any market or timeframe, but MA-based trend filters usually perform better in assets with smooth, directional moves. Always verify results in the Strategy Tester and account for commissions and slippage.
Anti Nyangkut – Indikator Karya Anak Bangsa Anti Nyangkut – Indikator Karya Anak Bangsa
Indikator ini khusus buat kamu yang sering beli di pucuk dan jual di support, lalu akhirnya jadi bahan backtest orang lain.
💡 Sinyal buy only - muncul kalau harga udah:
✅ Di atas MA5
✅ Di atas Bollinger Bands Upper
✅ Di atas VWAP (khusus 1H & 4H)
🟢 TP dan SL otomatis muncul — biar gak cuma "niat hold sampe hijau"
📊 Cocok buat scalping & swing di 1H / 4H / 1D
Gak ada sinyal jual. Exit di tangan masing-nasing, jangan lupa pasang SL.
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100% gratis. Bayarnya pakai amal jariyah.
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Anti Nyangkut – An Indicator by the People, for the People
This one's for you if you always buy the top, sell the bottom, and end up becoming someone else's backtest data.
💡 Buy-Only Signals — triggered when price is:
✅ Above MA5
✅ Above Bollinger Bands Upper
✅ Above VWAP (on 1H & 4H only)
🟢 Auto TP & SL lines — so you stop saying "I'll hold until it turns green"
📊 Perfect for scalping & swing trades on 1H / 4H / 1D
There’s no sell signal. Exits are your responsibility — just don’t skip the stop loss.
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100% free. Just pay with good karma.
Momentum Reversal StrategyBEST USE IN 15MIN TIME FRAME EURUSD / XAUSUD
1. Strategy Overview
This strategy hunts short-term momentum reversals at key levels during high-liquidity sessions.
Timeframes: 5-minute for entries; 15-minute for trend context
Sessions: London for EUR/USD & GBP/USD; New York for XAU/USD
Pairs: EUR/USD, GBP/USD, XAU/USD
Indicators (3 max):
EMA(20) and EMA(50) (close)
MACD (12, 26, 9) histogram
Optional: RSI(14) (for divergence filter)
2. Entry Rules
Trend Filter (15 min):
Long only if EMA20 > EMA50; short only if EMA20 < EMA50.
Price-Action Zone (5 min):
Identify recent swing high/low within past 20 bars.
Draw horizontal support (for longs) or resistance (for shorts).
Indicator Alignment (5 min):
MACD histogram crossing from negative to positive for longs, positive to negative for shorts.
Candle close beyond EMA20 in direction of trade.
Candle Confirmation:
Bullish engulfing or hammer at support for longs; bearish engulfing or shooting star at resistance for shorts.
Entry Execution:
Place market order on candle close that meets all above.
3. Exit Rules
Stop-Loss (SL):
Long: 1.5× ATR(14) below entry candle low.
Short: 1.5× ATR(14) above entry candle high.
Take-Profit (TP):
Set at 2× SL distance (RR 1:2).
Trailing SL:
After price moves 1× SL in profit, trail SL to breakeven.
Partial Booking:
Close 50% at 1× SL (50% of TP), move SL to entry.
Close remaining at full TP.
4. Trade Management
False Signal Filter: Skip trades when RSI(14) > 70 for longs or < 30 for shorts (avoids overbought/oversold extremes).
One Trade at a Time: No multiple positions on same pair.
Session Cutoff: Close any open trade 15 minutes before session end.
5. Risk Parameters
Risk per Trade: 1% of account equity.
Reward Target: ≥2% (1:2 RR) per trade.
Win-Rate Expectancy: ≥75% based on indicator confluence and price-action confirmation.
TradePlanner ProPlan smarter. Trade with precision.
TradePlanner Pro is a professional-grade overlay tool designed to streamline your trading decisions by visually organizing your trade plans directly on the chart. Built for traders who value preparation and clarity, this script enables precise entry planning, risk management, and target visualization—all tailored per symbol.
Core Purpose
TradePlanner Pro helps you map out potential trades using pre-defined symbol-based presets. It dynamically calculates position sizes based on your account size or fixed risk, then visualizes key trade levels (Entry, Take Profits, Stop Loss) with profit/loss metrics in both dollar and percentage terms. It's the perfect companion for traders who prepare their setups in advance and want their plans clearly represented on the chart.
Key Features
🔹 Per-Symbol Presets: Define entries, up to 3 take-profit levels, and stop-losses for each ticker.
🔹 Dynamic Risk Sizing: Choose between percentage-based risk or fixed dollar risk per trade.
🔹 Visual Trade Mapping: Automatically plots Entry, TP1–TP3, and SL lines on your chart.
🔹 Real-Time P&L Labels: Displays profit/loss amounts and percentages, with optional R/R ratios.
🔹 Custom Investment Display: Shows how much capital is allocated per trade.
🔹 Clean, Configurable UI: Adjust label positions, font sizes, opacity, and label visibility to match your style.
Whether you're swing trading or day trading, TradePlanner Pro helps you stay disciplined, organized, and confident in your execution.
How to Use TradePlanner Pro – Step-by-Step Guide
TradePlanner Pro is designed to be easy to set up while giving you full control over how your trades are visualized and calculated. Here’s how to get started:
1. Start with Default Settings
By default, the script assumes:
Account Size: $10,000
Max Money per Trade (%): 1.0%
Max Risk (USD): 0 (disabled; only percentage risk is used)
This means the script will size each trade to risk 1% of your account balance per trade unless you override it with a fixed USD risk amount.
2. Set Up Your Symbol Presets
The "Symbol Presets" input is a flexible text area where you define trade setups for each ticker.
Format (one per line):
SYMBOL:Entry,TP1 ,SL
Example:
AAPL:250,260,270,240
MSFT:100,110,90
TSLA:180,200,170
You can include 1 to 3 take-profit levels.
The script will only activate for the current chart’s symbol, matching what's listed.
3. Customize Risk Parameters
You can use:
Account % Risk – Based on account size and % risk.
Fixed USD Risk – When a dollar amount is entered (>0), it takes priority and calculates share size based on the risk per share.
There's also an option to round share quantities down to whole units, which is useful for stock or crypto trading platforms that only allow whole-number units.
4. Choose What to Display
Toggle on/off these elements as needed:
Show Entry/TP/SL Lines
Show P&L Labels – Profit/loss amounts at each target and SL.
Show Amount Invested – Includes total dollar value in the quantity label.
Show Percentages – Adds % gain/loss to each label.
Show Risk/Reward Ratios – Optionally displayed beside or below TP labels.
You can further adjust:
Font size and label opacity
Label position offset – In percent of price range, so they don’t overlap the actual levels.
5. Read the Visual Outputs
Once the preset matches the current chart symbol:
Lines will appear for Entry, TP1-TP3, and Stop Loss.
Labels will display your:
Trade quantity (and invested amount)
Dollar and % profit at each target
Total loss at stop loss
Optional R/R ratios
Everything updates dynamically and adjusts to your current chart scale and bar availabilit
HoLo (Highest Open Lowest Open)HoLo (Highest Open Lowest Open) Method
Overview
HoLo stands for "Highest Open Lowest Open" – a forex trading strategy.
Core Concept
Definition of HoLo:
Highest Open (HO): The highest opening price among all H1 candles of the current trading day
Lowest Open (LO): The lowest opening price among all H1 candles of the current trading day
Trading Day: Starts at Asia Open Session
Strategy Setup
Step 1: Mark Key Levels
Current day's High/Low
Highest Open and Lowest Open (from H1 candles)
Step 2: Define the Area of Interest
Sell Zone: Between the Highest Open and the current day's High
Buy Zone: Between the Lowest Open and the current day's Low
Trade Entry Rules
Sell Trade:
Price goes above the Highest Open
Trigger candle (M5, M15, or M30) closes above the Highest Open
Enter a sell when price revisits the Highest Open level (Sell Stop Order)
Buy Trade:
Price drops below the Lowest Open
Trigger candle closes below the Lowest Open
Enter a buy when price revisits the Lowest Open level (Buy Stop Order)
Trigger Timeframe:
Choose M1, M5, or M15 based on:
Your screen time availability
Personal trading style
Risk and Profit Management
Stop Loss:
For sell: Set SL at the day’s High + spread
For buy: Set SL at the day’s Low + spread
Take Profit (TP) Basic Rule:
You should open 2 positions:
When profit reaches 1R: Take partial profit + move SL to BE (Break Even)
Let the remaining position run using partial TP or trailing stop
Money Management:
Never risk more than 1% per trade
Recommended: 0.5% risk due to multiple opportunities daily
Prioritize major pairs.
The Indicator
How to read data
For Day Traders
Monitor the sell zone (red area) for potential short entries near resistance
Watch the buy zone (blue area) for potential long entries near support
Use cross signals for entry/exit points
Pay attention to timing markers for key market hours
Alert
HO (Highest Open) level changes
LO (Lowest Close) level changes
Price crossing key levels
Timing notifications
Random State Machine Strategy📌 Random State Machine Strategy (Educational)
This strategy showcases a randomized entry model driven by a finite state machine, integrated with user-defined exit controls and a full-featured moving average filter.
🧠 Trade Entry Logic
Entries occur only when:
A random trigger occurs (~5% probability per bar)
The state machine accepts a new transition (sm.step())
Price is:
Above the selected MA for long entries
Below the selected MA for short entries
This ensures that entries are both stochastically driven and trend-aligned, avoiding frequent or arbitrary trades.
⚙️ How It Works
Randomized Triggers
A pseudo-random generator (seeded with time and volume) attempts to trigger state transitions.
Finite State Machine
Transitions are managed using the StateMachine from robbatt/lib_statemachine — credit to @robbatt for the modular FSM design.
Controlled Reset
The state machine resets every N bars (default: 100) if at least two transitions have occurred. This prevents stale or locked states.
Backtest Range
Define a specific test window using Start and End Date inputs.
Risk & Exits
Specify risk in points and a target risk/reward ratio. TP is auto-computed. Timed and MA-based exits can be toggled.
🧪 How to Use
Enable Long or Short trades
Choose your Moving Average type and length
Set Risk per trade and R/R ratio
Toggle TP/SL, timed exit, or MA cross exit
Adjust the State Reset Interval to suit your signal frequency
📘 Notes
Educational use only — not financial advice
Random logic is used to model structure, not predict movement
Thanks to @robbatt for the lib_statemachine integration
Strategy Builder With IndicatorsThis strategy script is designed for traders who enjoy building systems using multiple indicators.
Please note: This script does not include any built-in indicators. Instead, it works by referencing the plot outputs of the indicators you’ve already added to your chart.
For example, if you add a MACD and an ATR indicator to your chart, you can assign their plot values as inputs in the settings panel of this strategy.
• MACD as a trigger
• ATR as a filter
How Filters Work
Filters check whether certain conditions are met before a trade can be opened. For instance, if you set a filter like ATR > 30, then no trade will be executed unless that condition is true — even if the trigger fires.
All filters are linked, meaning every active filter must be satisfied for a trade to occur.
How Triggers Work
Triggers are what actually fire a trade signal — such as a moving average crossover or RSI breaking above a specific level. Unlike filters, triggers are independent. Only one active trigger needs to be true for the trade to execute.
Thanks to its modular structure, this strategy can be used with any indicator of your choice.
⸻
Risk Management Features
In the settings, you’ll find flexible options for:
• Stop Loss (SL)
• Trailing Stop Loss (TSL)
• Multi Take-Profit (TP)
These features enhance trade safety and let you tailor your risk management.
SL types available:
• Tick-based SL
• Percent-based SL
• ATR-based SL
Once you select your preferred SL type, you can fine-tune its distance using the offset field.
Trailing SL allows your stop to follow price as it moves in your favor — helping to lock in profits.
Multi-TP lets you take profits at two different levels, helping you secure gains while leaving room for extended moves.
Breakeven option is also available to automatically move your SL to entry after reaching a profit threshold.
⸻
How to Build a Solid Strategy
Let’s break down a good setup into three key components:
1. Trend Filter
Avoid trading against the trend — that’s like swimming against the current.
Use a filter like:
• Supertrend
• Momentum indicators
• Candlestick bias, etc.
Example: In this case, I used Supertrend and filtered for trades only if the price is above the uptrend line.
2. Trigger Condition
Once we confirm the trend is on our side, we need a trigger to execute at the right moment. This can be:
• RSI cross
• Candlestick patterns
• Trendline breaks
• Moving average crossovers, etc.
Example: I used RSI crossing above 50 as the entry trigger.
3. Risk Management
Even in the right trend at the right time — anything can happen. That’s why you should always define Stop Loss and Take Profit levels.
⸻
And there you have it! Your strategy is ready to backtest, refine, and deploy with alerts for live trading.
Questions or suggestions? Feel free to reach out
MNQ EMA StrategyThis strategy is not perfected yet. ONE MINUTE TIMEFRAME
The goal is to take Longs above the 5 ema when price is above all the 200, 30, and 5 ema.
Short side is when candle closes below the 5 ema and price is below the 300, 30, and 5 ema.
I use candle range blocks for different time zones to avoid excess orders from being triggered. As well as blocks when stoploss is hit or after a profitable trade of certain ticks.
There is an RSI to avoid trades when there isn't too much movement.
My goal is to get an entry when price trades above the 5 ema and then next candle passes it by .25 instead of entering immediately. The stoploss as the low of candle before entry and TP as 3 times the stoploss. I've tried a million times to make it like this but I don't know how to use pine script or Code.
The sell side is basically the same, enter at candle close below 5 ema wait for low to get swept to enter and stoploss above previous high, with TP 3 times the stoploss.
Publishing in hopes anyone knows how to adjust this
CAUTION THIS STRATEGY WORKS WITH CURRENT PRICE ACTION DUE TO ME USING RECENT TICK COUNT RATHER THAN BASED ON CANDLES OR PERCENTAGES. THIS WILL ONLY WORK AS LONG AS MARKET MOVES AS IT HAS BEEN SINCE 2024. CME_MINI:MNQ1!
Profit Guard ProProfitGuard Pro
ProfitGuard Pro is a risk management and profit calculation tool that helps traders optimize their trades by handling position sizing, risk management, leverage, and take profit calculations. With support for both cumulative and non-cumulative take profit strategies, this versatile indicator provides the insights you need to maximize your trading strategy.
How to Use ProfitGuard Pro:
Load the Indicator: Add ProfitGuard Pro to your chart in TradingView.
Set Your Entry Position: Input your desired entry price.
Define Your Stop Loss: Enter the price at which your trade will exit to minimize losses.
Add Take Profit Levels: Input your TP1, TP2, TP3, and TP4 levels, as needed.
If you want fewer take profit levels, adjust the number of TPs in the settings menu. You can choose between 1 to 4 take profit levels based on your strategy.
Adjust Risk Settings: Specify your account size and risk percentage to calculate position size and leverage.
Choose Cumulative or Non-Cumulative Mode: Toggle cumulative profit mode to either recalculate position sizes as each take profit is hit or keep position sizes static for each TP.
Once set up, ProfitGuard Pro will automatically calculate your position size, leverage, and potential profits for each take profit level, providing a clear visual on your chart to guide your trading decisions.
Key Features:
Risk Management:
Calculate your risk percentage based on account size and stop loss.
Visualize risk in dollar terms and percentage of your account.
Position Size & Leverage:
Automatically calculate the ideal position size and leverage for your trade based on your entry, stop loss, and risk settings.
Ensure you are trading with the appropriate leverage for your account size.
Cumulative vs Non-Cumulative Profit Mode:
Cumulative Mode: Adjusts position size after each take profit is reached, recalculating for remaining contracts.
Non-Cumulative Mode: Treats each take profit as a separate calculation using the full position size.
Take Profit Levels:
Set up to 4 customizable take profit levels.
Adjust percentage values for each TP target, and visualize them on your chart with easy-to-read lines.
Profit Calculation:
Displays potential profits for each take profit level based on whether cumulative or non-cumulative mode is selected.
Calculate your risk-reward ratio dynamically at each TP.
Customizable Visuals:
Easily customize the table's size, position, and color scheme to fit your chart.
Visualize key trade details like leverage, contracts, margin, and profits directly on your chart.
Short and Long Position Support:
Automatically adjusts calculations based on whether you're trading long or short.
Volume and Volatility Ratio Indicator-WODI策略名称
交易量与波动率比例策略-WODI
一、用户自定义参数
vol_length:交易量均线长度,计算基础交易量活跃度。
index_short_length / index_long_length:指数短期与长期均线长度,用于捕捉中短期与中长期趋势。
index_magnification:敏感度放大倍数,调整指数均线的灵敏度。
index_threshold_magnification:阈值放大因子,用于动态过滤噪音。
lookback_bars:形态检测回溯K线根数,用于捕捉反转模式。
fib_tp_ratio / fib_sl_ratio:斐波那契止盈与止损比率,分别对应黄金分割(0.618/0.382 等)级别。
enable_reversal:反转信号开关,开启后将原有做空信号反向为做多信号,用于单边趋势加仓。
二、核心计算逻辑
交易量百分比
使用 ta.sma 计算 vol_ma,并得到 vol_percent = volume / vol_ma * 100。
价格波动率
volatility = (high – low) / close * 100。
构建复合指数
volatility_index = vol_percent * volatility,并分别计算其短期与长期均线(乘以 index_magnification)。
动态阈值
index_threshold = index_long_ma * index_threshold_magnification,过滤常规波动。
三、信号生成与策略执行
做多/做空信号
当短期指数均线自下而上突破长期均线,且 volatility_index 突破 index_threshold 时,发出做多信号。
当短期指数均线自上而下跌破长期均线,且 volatility_index 跌破 index_threshold 时,发出做空信号。
反转信号模式(可选)
若 enable_reversal = true,则所有做空信号反向为做多,用于在强趋势行情中加仓。
止盈止损管理
进场后自动设置斐波那契止盈位(基于入场价 × fib_tp_ratio)和止损位(入场价 × fib_sl_ratio)。
支持多级止盈:可依次以 0.382、0.618 等黄金分割比率分批平仓。
四、图表展示
策略信号标记:图上用箭头标明每次做多/做空(或反转加仓)信号。
斐波那契区间:在K线图中显示止盈/止损水平线。
复合指数与阈值线:与原版相同,在独立窗口绘制短、长期指数均线、指数曲线及阈值。
量能柱状:高于均线时染色,反转模式时额外高亮。
Strategy Name
Volume and Volatility Ratio Strategy – WODI
1. User-Defined Parameters
vol_length: Length for volume SMA.
index_short_length / index_long_length: Short and long MA lengths for the composite index.
index_magnification: Sensitivity multiplier for index MAs.
index_threshold_magnification: Threshold multiplier to filter noise.
lookback_bars: Number of bars to look back for pattern detection.
fib_tp_ratio / fib_sl_ratio: Fibonacci take-profit and stop-loss ratios (e.g. 0.618, 0.382).
enable_reversal: Toggle for reversal mode; flips short signals to long for trend-following add-on entries.
2. Core Calculation
Volume Percentage:
vol_ma = ta.sma(volume, vol_length)
vol_percent = volume / vol_ma * 100
Volatility:
volatility = (high – low) / close * 100
Composite Index:
volatility_index = vol_percent * volatility
Short/long MAs applied and scaled by index_magnification.
Dynamic Threshold:
index_threshold = index_long_ma * index_threshold_magnification.
3. Signal Generation & Execution
Long/Short Entries:
Long when short MA crosses above long MA and volatility_index > index_threshold.
Short when short MA crosses below long MA and volatility_index < index_threshold.
Reversal Mode (optional):
If enable_reversal is on, invert all short entries to long to scale into trending moves.
Fibonacci Take-Profit & Stop-Loss:
Automatically set TP/SL levels at entry price × respective Fibonacci ratios.
Supports multi-stage exits at 0.382, 0.618, etc.
4. Visualization
Signal Arrows: Marks every long/short or reversal-add signal on the chart.
Fibonacci Zones: Plots TP/SL lines on the price panel.
Index & Threshold: Same as v1.0, with MAs, index curve, and threshold in a separate sub-window.
Volume Bars: Colored when above vol_ma; extra highlight if a reversal-add signal triggers
Liquidity Grab Strategy (Volume Trap)🧠 Strategy Logic:
Liquidity Grab Detection:
The script looks for a sharp drop in price (bearish engulfing or breakdown candle).
However, volume remains flat (within 5% of the 20-period moving average), suggesting the move is manipulated, not genuine.
Fair Value Gap Confirmation (FVG):
It confirms that a Fair Value Gap exists — a gap between recent candle bodies that price is likely to retrace into.
This gap represents a high-probability entry zone.
Trade Setup:
A limit BUY order is placed at the base of the FVG.
Stop Loss (SL) is placed below the gap.
Take Profit (TP) is placed at the most recent swing high.
📈 How to Use It:
Add the strategy to your TradingView chart (1–5 min or 15 min works well for intraday setups).
Look for green BUY labels and plotted lines:
💚 Green = Entry price
🔴 Red = Stop loss
🔵 Blue = Take profit
The script will automatically simulate entries when conditions are met and exit either at TP or SL.
Use TradingView’s Strategy Tester to review:
Win rate
Net profit
Risk-adjusted performance
WebhookGeneratorLibrary "WebhookGenerator"
Generates Json objects for webhook messages.
GenerateOT(license_id, symbol, action, order_type, trade_type, size, price, tp, sl, risk, trailPrice, trailOffset)
CreateOrderTicket: Establishes a order ticket.
Parameters:
license_id (string) : Provide your license index
symbol (string) : Symbol on which to execute the trade
action (string) : Execution method of the trade : "MRKT" or "PENDING"
order_type (string) : Direction type of the order: "BUY" or "SELL"
trade_type (string) : Is it a "SPREAD" trade or a "SINGLE" symbol execution?
size (float) : Size of the trade, in units
price (float) : If the order is pending you must specify the execution price
tp (float) : (Optional) Take profit of the order
sl (float) : (Optional) Stop loss of the order
risk (float) : Percent to risk for the trade, if size not specified
trailPrice (float) : (Optional) Price at which trailing stop is starting
trailOffset (float) : (Optional) Amount to trail by
Returns: Return Order string
Apex Edge SMC Tactical Suite
🛰 Apex Edge SMC Tactical Suite
Apex Edge SMC Tactical Suite is a precision-engineered multi-signal tool designed for advanced traders who demand real-time edge detection, breakout identification, and smart volatility-based risk placement. Built to blend seamlessly into any price action, SMC, or momentum-based strategy.
🔧 Core Features:
📍 Entry Signals
Green & red arrows appear only when a candle meets strict "Power Candle" criteria:
High momentum breakout
Volume spike confirmation
OBV spike divergence
Trend & HTF filter optional
Volatility-adjusted stop placement
💥 Power Candles
Smart detection of explosive volume+range candles
Custom "fuel score" system ranks their momentum potential
Displays as either candle highlights or subtle labels
📊 Fuel Meter
RSI-based energy tracker with customizable threshold
Plots real-time bar strength on a mini histogram
🧠 Trap Detection + Reversals
Detects stop hunt wicks or "liquidity traps"
Shows reversal diamonds on potential reclaim setups
Built-in swing logic confirms trap reversals
🧮 HTF Filtering
Optional higher-timeframe trend filter via Hull MA
Keeps signals aligned with broader market direction
📦 TP/SL Zones
Risk is calculated using volatility clustering (recent swing zones)
TP auto-calculated using ATR-based expansion
🔔 Alerts Included:
✅ Power Candle Detection
✅ Long/Short Entry Alerts
✅ Exit Signal Alerts
✅ Trap Defense Alerts
✅ Trap Reversal Confirmations
🎯 Ideal For:
SMC / ICT traders
Breakout traders
Trend followers
Scalpers / intraday setups
Momentum + volume combo traders
⚠️ Tip: Best paired with clean chart layouts, market structure, or order block frameworks. Can be combined with internal/external liquidity sweep logic for extra confluence.
Feel free to play around with the code and if you're a professional coder (unlike me) then please tag me into any versions that you can make better. Enjoy!
Disclaimer - This script was created entirely with many hours using the assistance of ChatGPT
Step-Based Trailing Stop-Loss IndicatorThis indicator is built for momentum traders who want to maximize winning trades and minimize losses through a smart, step-based trailing stop-loss system. Instead of using a fixed Take Profit, this tool dynamically protects profits once the trade reaches a favorable RR (Risk-to-Reward) level.
How It Works:
Manual Entry Input
You enter your Entry Price and select Buy/Sell in the settings.
This flexibility allows backtesting or live trade tracking.
Initial Setup
Default SL: 50 ticks(Tested on us30,but works on any pair you just need to adjust SL)
TP for reference: 4R — can be used for benchmarking, but we don't limit profits with a hard TP.
Trailing Logic
Once price reaches 3R in profit:
The SL begins trailing.
It starts at 2R, keeping a 1R cushion behind the max profit.
For every 0.5R gain, SL also moves up by 0.5R:
Example: At 3.5R → SL is at 2.5R
At 5.0R → SL is at 4.0R
This trailing continues until the SL is hit or the trend exhausts.
Chart Features
🟧 Entry Line
🔴 Initial SL
🟢 Reference TP (4R, optional)
🟣 Dynamic Trailing SL
🏷️ Labels for Entry & SL levels
Trend Targets [AlgoAlpha]OVERVIEW
This script combines a smoothed trend-following model with dynamic price rejection logic and ATR-based target projection to give traders a complete visual framework for trading trend continuations. It overlays on price and automatically detects potential trend shifts, confirms rejections near dynamic support/resistance, and displays calculated stop-loss and take-profit levels to support structured risk-reward management. Unlike traditional indicators that only show trend direction or signal entries, this tool brings together a unique mix of signal validation, volatility-aware positioning, and layered profit-taking to guide decision-making with more context.
CONCEPTS
The core trend logic is built on a custom Supertrend that uses an ATR-based band structure with long smoothing chains—first through a WMA, then an EMA—allowing the trend line to respond to major shifts while ignoring noise. A key addition is the use of rejection logic: the script looks for consolidation candles that "hug" the smoothed trend line and counts how many consecutive bars reject from it. This behavior often precedes significant moves. A user-defined threshold filters out weak tests and highlights only meaningful rejections.
FEATURES
Trend Detection : Automatically identifies trend direction using a smoothed Supertrend (WMA + EMA), with shape markers on trend shifts and color-coded bars for clarity.
Rejection Signals : Detects price rejections at the trend line after a user-defined number of consolidation bars; plots ▲/▼ icons to highlight strong continuation setups.
Target Projection : On trend confirmation, plots entry, stop-loss (ATR-based), and three dynamic take-profit levels based on customizable multiples.
Dynamic Updates : All levels (entry, SL, TP1–TP3) auto-adjust based on volatility and are labeled in real time on the chart.
Customization : Users can tweak trend parameters, rejection confirmation count, SL/TP ratios, smoothing lengths, and appearance settings.
Alerts : Built-in alerts for trend changes, rejection events, and when TP1, TP2, or TP3 are reached.
Chart Overlay : Plots directly on price chart with minimal clutter and clearly labeled levels for easy trading.
USAGE
Start by tuning the Supertrend factor and ATR period to fit your asset and timeframe—higher values will catch bigger swings, lower values catch faster moves. The confirmation count should match how tightly you want to filter rejection behavior—higher values make signals rarer but stronger. When the trend shifts, the indicator colors the bars and line accordingly, and if enabled, plots the full entry-TP-SL structure. Rejection markers appear only after enough qualifying bars confirm price pressure at the trend line. This is especially useful for continuation plays where price retests the trend but fails to break it. All calculations are based on volatility (ATR), so targets naturally adjust with market conditions. Add alerts to get notified of important signals even when away from the chart.
XTE+ Optimized Trend Tracker📊 XTE+ Optimized Trend Tracker (OTT)
XTE+ OTT is a powerful, trend-following indicator designed for traders who value clarity, precision, and advanced analytics. It offers not only accurate entry and exit signals but also visual zones, historical signal analysis, and real-time trend monitoring.
🧠 How It Works
XTE+ OTT is based on an improved version of the Optimized Trend Tracker. It utilizes multiple customizable moving average types (VAR, EMA, SMA, WMA, and more) combined with volatility filtering (ATR logic) to generate cleaner, more reliable trend-following signals.
✅ Features
Trend Direction Detection with automatic switch logic
Buy/Sell Signal Icons with distinct large markers
Entry/Exit Zones drawn visually on chart
Custom Take-Profit / Stop-Loss settings for Buy and Sell signals
Statistical Panel showing:
Current Trend (Up/Down)
Number of total signals
Number of winning trades
Win percentage
Configurable Display Options:
Show/hide signals
Show/hide trend zones
Show/hide OTT and MA lines
Supports multiple MA types including EMA, SMA, VAR, ZLEMA, TSF and more
Non-repainting logic — signals are confirmed at bar close
⚙️ Inputs and Customization
OTT Period & Sensitivity (%)
MA Type Selection (VAR, EMA, etc.)
Entry Zone Visualization On/Off
Trend Panel Display On/Off
TP/SL % per direction (Buy/Sell separately)
Option to disable MA or OTT line display
📈 Visuals
Signal icons: BUY (Green Up Label), SELL (Red Down Label)
Entry zones: circles near breakout levels
Trendlines change color dynamically (green for uptrend, red for downtrend)
Trend Panel is pinned in the top-right corner for quick reference
💡 Usage Tips
Best used on higher timeframes (15min, 1H, 4H+) for more meaningful trend signals
Combine with volume/volatility indicators or support/resistance zones for enhanced decision making
Use TP/SL logic to track signal success over time and optimize strategies
📌 Disclaimer
This script is for educational and informational purposes only. It is not financial advice. Always test and validate your strategy before applying it in live markets.
Smart Money Pivot Strategy [Jason Kasei]This strategy is designed to identify key pivot points (Pivot High and Pivot Low) in the market and leverage the "Smart Money" concept to capture price breakout opportunities. It supports both long and short trades, offering customizable stop-loss (SL) and take-profit (TP) settings, while visually plotting pivot points and breakout signals on the chart.
Core Features
Pivot Point Detection:
Utilizes ta.pivothigh and ta.pivotlow functions to detect the highest (Pivot High) and lowest (Pivot Low) points within a specified period (default: 20 bars).
Trading Signals:
Long Signal: Triggered when the price breaks above a previous Pivot High, indicating a potential uptrend.
Short Signal: Triggered when the price breaks below a previous Pivot Low, indicating a potential downtrend.
How It Works
Detects Pivot High (PH) and Pivot Low (PL) over the specified period and records their price and time.
Triggers a long entry when the price breaks above a Pivot High and a short entry when it falls below a Pivot Low.
Sets exit conditions automatically based on predefined SL and TP percentages after entry.
Plots breakout points and levels on the chart for analysis.
Considerations
The strategy relies on accurate pivot point detection; adjust the period parameter based on market volatility.
In highly volatile markets, consider widening the stop loss to avoid frequent triggering.
Combine with other indicators or analysis methods to validate signals and avoid blind trading.
External Signals Strategy TesterExternal Signals Strategy Tester
This strategy is designed to help you backtest external buy/sell signals coming from another indicator on your chart. It is a flexible and powerful tool that allows you to simulate real trading based on signals generated by any indicator, using input.source connections.
🔧 How It Works
Instead of generating signals internally, this strategy listens to two external input sources:
One for buy signals
One for sell signals
These sources can be connected to the plots from another indicator (for example, custom indicators, signal lines, or logic-based plots).
To use this:
Add your indicator to the chart (it must be visible on the same pane as this strategy).
Open the settings of the strategy.
In the fields Buy Signal and Sell Signal, select the appropriate plot (line, value, etc.) from the indicator that represents the buy/sell logic.
The strategy will open positions when the selected buy signal crosses above 0, and sell signal crosses above 0.
This logic can be easily adapted by modifying the crossover rule inside the script if your signal style is different.
⚙️ Features Included
✅ Configurable trade direction:
You can choose whether to allow long trades, short trades, or both.
✅ Optional close on opposite signal:
When enabled, the strategy will exit the current position if an opposite signal appears.
✅ Optional full position reversal:
When enabled, the strategy will close the current position and immediately open an opposite one on the reverse signal.
✅ Risk Management Tools:
You can define:
Take Profit (TP): Position will be closed once the specified profit (in %) is reached.
Stop Loss (SL): Position will be closed if the price drops to the specified loss level (in %).
BreakEven (BE): Once the specified profit threshold is reached, the strategy will move the stop-loss to the entry price.
📌 If any of these values (TP, SL, BE) are set to 0, the feature is disabled and will not be applied.
🧪 Best Use Cases
Backtesting signals from custom indicators, without rewriting the logic into a strategy.
Comparing the performance of different signal sources.
Testing external indicators with optional position management logic.
Validating strategies using external filters, oscillators, or trend signals.
📌 Final Notes
You can visualize where the strategy detected buy/sell signals using green/red markers on the chart.
All parameters are customizable through the strategy settings panel.
This strategy does not repaint, and it processes signals in real-time only (no lookahead bias).
VWAP + Fib + Candlestick Pattern Strategy### **VWAP + Fibonacci + Candlestick Pattern Strategy (v6)**
This indicator is designed to identify high-quality trading setups using a combination of **Anchored VWAP, Fibonacci Retracement Levels, and Candlestick Patterns**. It helps traders find optimal entry points where multiple confluences align, enhancing trade accuracy.
### **Key Features:**
✅ **Anchored VWAP** – Starts from the last pivot low (bullish) or pivot high (bearish) to determine trend strength.
✅ **Fibonacci Levels** – Uses key retracement levels (0.382, 0.5, 0.618, 0.786) for added confluence.
✅ **Candlestick Patterns** – Detects Pin Bars, Engulfing Candles, and Hammer Candles for potential reversals.
✅ **High-Quality Setups** – Highlights strong signals where price aligns with VWAP & Fib zones.
✅ **Alerts** – Get notified when a bullish or bearish setup is detected.
✅ **Risk Management** – Includes Take Profit (TP1, TP2, Final TP) & Stop Loss based on ATR.
✅ **Position Sizing** – Calculates position size based on a fixed dollar risk per trade.
### **How to Use:**
1. Apply the indicator to your chart.
2. Look for signals near Fibonacci retracement levels and VWAP.
3. Use alerts for real-time trade notifications.
4. Manage risk with built-in TP/SL and position sizing.
Perfect for traders who use **Price Action & Smart Money Concepts** to refine their entries! 🚀