Dollar cost averaging This is a testing startergy based on dollar cost averaging and sell on high points.
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MA_Script- Entry Point : base on MA20, MA50, MA100, MA200.
- Exit Point : base on stop loss, MA and trailing stop.
Mean Reversion Strategy v2 [KL]Description :
This strategy will enter a position when the following conditions are met:
a) Main signal: When source data (ATR) diverts from its moving average value, and
b) Confirmation: If predicted direction of trend is favorable.
Assumptions :
During periods of high price volatility, ATR diverts from its moving average value. Eventually, ATR should revert. But since just knowing the magnitude of increase/decrease of ATR does not indicate a trend signal, we need to introduce a model to predict the current trend.
In short:
• Trend Prediction : This strategy calculates the expected logarithmic return of the security (the "Drift") and considers prices to be moving in uptrend if the drift curve is upward sloping.
• Assessment of ATR diversion : To determine "yes/no" regarding whether ATR at a given point in time has diverted, this script conducts a two-tailed hypothesis test at each candlestick period. The null hypothesis (H0) is that the fast moving average value should equal the slow moving average value (say, denoted as H0: atr14 == atr28; it is assumed that atr28 is more meaningful for the purpose of describing the current trend because it has a larger sample size). Investopedia has an article summarizing this topic .
Exit Condition :
When trailing stop loss hits.
Previous version :
This strategy is based on Version 1 published back in September . This older version considers +/- one standard deviation to be the critical values relative to average ATR when testing whether ATR has diverted from the mean. This does not take Standard Error ("SE") into account. As a result, the threshold is often too wide and it generates too many entry signals.
Arch1tect's New Toy (Strategy Tester Version)Description:
The version of Arch1tect's New Toy indicator with Strategy Tester added.
This indicator tries to predict market trends by simply utilising 2 moving averages crossovers.
How it works:
Buy signals are triggered when the faster MA crosses over the slower MA from the downside to the upside.
Sell signals are triggered when the faster MA crosses under the slower MA from the upside to the downside.
How to use:
Take buys when buy signal is triggered AND close existing sell position
Take sells when sell signal is triggered AND close existing buy position
Note:
Settings are optimised for XAUUSD on the M1 chart.
Extra:
Alerts are included.
You can toggle between EMA, WMA and SMA to your liking.
Indicator version:
Moving Average Band - Taylor V1A Very Simple Strategy From Moving Average
- Price Breakout Upper Band = Long
- Price Breakout Lower Band = Short
Moving Average Type = Able to Change RMA, EMA, SMA, WMA
Moving Average Period = Able to Change
Upper Band & Lower Band Gap = Able to Change
With Stop Lose & Take Profit = Able to Change
Bagheri IG Ether v2In this version, the winning ratio has been decreased, but the Risk to Reward Ratio (RRR) has been set to be better than the previous version.
This is a technical trading strategy for Ethereum ( BINANCE:ETHUSDT ). We built and developed it on MetaEditor and optimized it with MetaTrader optimizer.
The main indicators are Donchian Channel, Oscillator of ROC , Bears Power, Balance of Power , and Simple Moving Average ( SMA ). Default values in the input panel are the best combination of these indicators, but you can change any of them and try it for better results.
Please notice that this strategy has been optimized on the 1-minute chart of Ethereum .
For each position, you can see the Take Profit (TP) and Stop Loss (SL) levels. Also, you can find the values of mentioned TP and SL in points from the input panel of the script.
Attention: The price of Ethereum has 2 decimal places.
Therefore, 3000 points for TP means 30 USDT for trading 1 BINANCE:ETHUSDT .
[KL] Double Bollinger Bands Strategy (for Crypto/FOREX)This strategy uses a setup consisting of two Bollinger Bands based on the 20 period 20-SMA +/-
(a) upper/lower bands of two standard deviations apart, and
(b) upper/lower bands of one standard deviation apart.
We consider price at +/- one standard deviation apart from 20-SMA as the "Neutral Zone".
If price closes above Neutral Zone after a period of consolidation, then it's an opportunity for entry. Strategy will long, anticipating for breakout.
The illustration below shows price closing above the Neutral Zone after a period of consolidation.
a.c-dn.net
Position is exited when prices closes at Neutral Zone (being lower than prior bars)
Rate of Change StrategyThis strategy calculates the rate of change over time to determine buy/sell points. This strategy is best run with 1 hour candles .
Configurable values:
SMA Fast (days)
SMA Slow (days)
SMA Reference (days)
ROC Low (%)
ROC High (%)
Order Stake (%)
Look back Candles
SMA Offset StrategyThis strategy uses simple moving averages and some math to determine buy/sell points. We keep a SMA 100 day line as our basis for our offset. If the close price is below the line, we choose our open position based on how low below the line it is goes, this value (Low Offset) is a percentage and can be configured by the user. Same for closing your position, when the close is above our SMA 100 line, we determine how high above the line before selling. If we try to sell too early (while the price is still rising), the trailing stop loss will kick in. Backtested with Bitcoin and Ethereum.
Configurable variables:
SMA Fast (default is 14 days)
SMA Slow (default is 100)
SMA Reference (default is 30)
Low Offset % (default is 0.001)
High Offset % (default is 0.0164)
Order Stake % (default is 0.96)
Trailing stop loss % (default is 1.35)
Bagheri IG EtherThis is a technical trading strategy for Ethereum ( BINANCE:ETHUSDT ). We built and developed it on MetaEditor and optimized it with MetaTrader optimizer.
The main indicators are Donchian Channel, Oscillator of ROC, Bears Power, Balance of Power, and Simple Moving Average (SMA). Default values in the input panel are the best combination of these indicators, but you can change any of them and try it for better results.
Please notice that this strategy has been optimized on the 1-minute chart of Ethereum.
For each position, you can see the Take Profit (TP) and Stop Loss (SL) levels. Also, you can find the values of mentioned TP and SL in points from the input panel of the script.
Attention: The price of Ethereum has 2 decimal places.
Therefore, 3000 points for TP means 30 USDT for trading 1 BINANCE:ETHUSDT .
Crypto swing correlation RSI and SMAThis is a crypto swing strategy, designed for long term periods and correlated pairs with crypto market total(or other coins used as correlation, however I recommend total of crypto or btc)
Its components are:
RSI with a very length
Correlation candles
SMA 9
Rules for entry:
For long : RSI is above 51 level and going higher and close of the candle is above the SMA
For short :RSI is below 49 and going lower and close of the candle is below the SMA
Rules for exit:
We exit when we encountered an opposite condition than the entry one, or based on take profit/stop loss levels.
If you have any questions let me know !
Correlation StrategyThis is strategy determines a level (expressed in a scale from 1 to 100) of correlation
between security A (user defined) and security B (used on the chart) closing prices. If the correlation
is less than the user defined threshold, a buy signal will be possible. To determine the direction
of the trade we can choose between a Simple Moving Average or a Relative Strength Index indicator,
both with user defined lengths.
WFA Explained
This strategy includes a simple Walk Forward Optimisation, which is a technique used to evaluate the robustness
of the strategy, simulating a live trading environment where the future (the "out-of-sample" period) is not visible yet. The "in-sample" period is where you should optimise the values of the Strategy Inputs that match the ones in the WFA section. Default period value is 1 (or 1/3 of all the candles in the chart).
After optimising the first period, the "All" period can be chosen to evaluate the results of
our "in-sample" optimisation in an "out-of-sample" period (="All"-"1"). It is also possible (and recommended) to optimise
each period (1 and 2) independently and then replace the corresponding values in the WFA section of the inputs panel.
The WFA input is used to make those values effective in their corresponding periods.
More info on WFA: en.wikipedia.org
[VJ]Thor for MFIThis is a simple intraday strategy for working on Stocks or commodities . You can modify the start time and end time based on your timezones. Session value should be from market start to the time you want to square-off
Important: The end time should be at least 2 minutes before the intraday square-off time set by your broker
Comment below if you get good returns
Strategy:
Indicators used :
Moving average (MA) is a widely used technical indicator that smooths out price trends by filtering out the “noise” from random short-term price fluctuations. Here moving averages are used to identify trend direction and to determine support and resistance levels. Overbought and oversold regions are also taken into consideration
The Money Flow Index ( MFI ) is a momentum indicator that measures the flow of money into and out of a security over a specified period of time. It is related to the Relative Strength Index ( RSI ) but incorporates volume , whereas the RSI only considers price. The MFI is calculated by accumulating positive and negative Money Flow values (see Money Flow ), then creating a Money Ratio. The Money Ratio is then normalized into the MFI oscillator form.
Using the combination of Overbought and Oversold values and varying MFI and using the MA filter to ensure the direction , we can buy/sell when conditions are met
Buying with MFI
1. MFI drops below 20 and enters inside oversold zone.
2. MFI bounces back above 20.
3. MFI pulls back but remains above 20.
4. A MFI break out above its previous high is a good buy signal.
Selling with MFI
1. MFI rises above 80 and enters inside overbought zone.
2. MFI drops back below 80.
3. MFI rises slightly but remains below 80.
4. MFI drops lower than its previous low is a signal to short sell or profit booking
Usage & Best setting :
Choose a good volatile stock and a time frame - 5m.
MFI factor : 3
Moving Average : 80
Overbought & Oversold - can be varied as per user
There is stop loss and take profit that can be used to optimise your trade
The template also includes daily square off based on your time.
Money Flow Index 5 min Strategy1 - Apply the 3 period Money Flow Index indicator to the 5 minute chart, using 0 and 100 as our oversold and overbought boundaries
2 - Wait for the MFI to reach overbought levels, that indicates the presence of "big sharks" in the market. Price needs to hold up
the first two MFI overbought occurrences of the day to be considered as a bullish entry signal.*
3 - We buy when the MFI = 100 and the next candle is a bullish candle with short wicks.
4 - We place our Stop Loss below the low of the trading day and we Take Profit during the first 60 minutes after taking the trade.
The logic above can be used in a mirrored fashion to take short entries, this is a custom parameter that can be modified from
the strategy Inputs panel.
* I'm using a SMA filter to avoid buying when the price is declining. Time frame was better at 15 min according to my test.
Inside Bar Strategy w/ SL"Inside bars are a two -bar pattern. They can indicate either a continuation of the
existing move or a reversal. A continuation occurs when there is no significant
support or resistance level in sight, while a reversal occurs close to a strong sup-
port or resistance level...
...A lot of traders are aware of inside bars but few manage to make money with
them. Why is this so? It goes back to interpreting price action. A lot of traders look
to trade in geometric ways. What I mean is that they search for fancy shapes on a
chart and think that this is what represents true price action.
This is not the case. A shape is just a shape. The formation by itself means
nothing unless underlying order flow backs it up. This is why it’s extremely
important that you look for inside bars when a trend is already in place.
The best place to look for them is in the beginning of trends."
SMA StrategySMA Strategy for going long or short when a short sma crosses a long sma. This script was published by CaptJava. I added to it the ability to select a back testing date range and choose to go long, short or swap orders. You can enter automated trading buy and sell messages in the properties and then put {{strategy.order.alert_message}} in your webhook alert message and it will dynamically populate your buy or sell message.
Stochastic RSI + WMA + SMA strat// "...an entry signal it's a cross down or up on
// the stochastics. if you're in a downtrend
// on the hourly time frame you
// must also be in a downtrend on the five
// minute so the five period has to be below the 144
// as long as the five period is still trading below
// the 144 period on both the hourly and the five minutes
// we are looking for these short signals crosses down
// in the overbought region of the stochastic. Viceversa for longs"
// Works well with a wide stop with 20 bars lookback
// for the SL level and a 2:1 reward ratio Take Profit .
// These parameters can be modified in the Inputs section of the strategy panel.
4 MA Strategy + Position Management// This is a simple crossover Moving Average strategy, good for long term crypto trades.
// It buys when the MA "X" crosses up the MA "Y", viceversa for shorts.
// Both MAs are selectable from the Inputs section in the front panel.
// There is also a Position Management option thats
// sizes positions to have the same USD risk (using leverage) on each trade,
// based on the percentage distance to the stop loss level.
// If you turn this option on you will see how the profit
// grows exponentially while the drawdown percentage almost remains the same.
HYE Mean Reversion SMA [Strategy]An RSI filtered version of PJ Sutherland's Jaws Mean Reversion algorithm.
"Long" on the close when;
1-) 2 period simple moving average closes 3% or more below the 5 period simple moving average,
2-) 5 period exponential average of the 2 period RSI is below 30.
"Exit Long" on the close when;
1-) 2 period simple moving average closes above the 5 period moving average.
"Short" on the close when;
1-) 2 period simple moving average closes 3% or more above the 5 period simple moving average,
2-) 5 period exponential average of the 2 period RSI is above 70.
"Exit Short" on the close when;
1-) 2 period simple moving average closes below the 5 period moving average.
*** You can change the needed percentage for long and short trades, periods of simple moving averages and RSI levels.
*** You can select the trend direction: "Long Only" , "Short Only" or "Both". Default is "Long Only".
Moving Average - IntradayMoving Average Intraday Strategy
Basic moving average strategy purpose built for intraday trading. It uses two simple moving averages & takes a positions on crossover.
Position is reversed when signal changes by using double quantity. Once the intraday session is over & if the position is open; it is squared off.
Users can define intraday session during which the strategy will run.
Parameters:
Intraday Session - Defines the duration for which the strategy should execute.
Short Term Moving Average Period
Long Term Moving Average Period
ChBrkOutStrategySMAThis script relies on channel breakout strategy and the exit condition is defined by the SMA crossover, this works well on futures and Indices
Morun Astro Trend MAs cross StrategyAstrology machine learning cycles indicator signals with technical MAs indicators strategy, based on signals index of Github project github.com
Trailing Take Profit Trailing Stop LossThis script demonstrated a dual trailing take profit and stop loss strategy. Where you take 50% (configurable) of the profit when a price level is reached and then you get the rest when a trailing stop loss is hit.