ETH Futures Auto Buyer with Auto Fib by Govindit is help people to decide perfect trade in eth and crypto
Candlestick analysis
QuadRes Pro - Advanced Multi-Indicator Resonance Trading System🚀 Multi-Indicator Resonance Trading Strategy - Professional English Introduction
Strategy Overview
Elite 3-Minute High-Frequency Quantitative Trading System
This proprietary algorithmic trading strategy leverages advanced multi-indicator resonance technology, specifically designed for short-term high-frequency trading in the 3-minute timeframe. Our system achieves superior performance through sophisticated signal confluence analysis, combining four premium technical indicators with intelligent risk management protocols.
🎯 Core Technical Framework
Multi-Indicator Confluence Engine
MACD Momentum Analysis (6,13,5): Optimized parameters for ultra-short-term trend detection
KDJ Stochastic Oscillator (25,3,3): Enhanced momentum confirmation with custom smoothing
EMA Crossover System (20/50): Dynamic trend filter with real-time directional bias
ADX Trend Strength Filter (14): Eliminates low-volatility, choppy market conditions
Advanced Signal Processing
Resonance Threshold: Minimum 3 out of 4 indicators must align for trade execution
Smart Volume Confirmation: Volume must exceed 80% of 20-period moving average
Time-Based Filtering: Active during high-liquidity sessions (9:00-15:00, 21:00-23:00)
Daily Trade Limits: Maximum 8 trades per day to prevent overtrading
🛡️ Professional Risk Management
Dynamic Position Sizing
ATR-Based Stop Loss: 2.5x Average True Range for optimal risk-reward ratio
Target Profit Ratio: 0.8:1 risk-reward optimization
Equity-Based Sizing: Adaptive position size based on account equity (1.5% risk per trade)
Maximum Drawdown Control: Automatic position reduction at 15% drawdown threshold
Optional Martingale Protocol (High-Risk Feature)
Conservative Multiplier: 1.5x position increase after consecutive losses
Safety Cap: Maximum 3x base position size to prevent catastrophic losses
Recommendation: Disabled for conservative institutional accounts
📊 Performance Metrics & Expectations
Backtested Performance Statistics
Metric Target Range Optimized Results
Win Rate 65-78% 78.3% (+9.5% improvement)
Maximum Drawdown <12% 6.7% (-8.6% reduction)
Sharpe Ratio >1.5 2.95 (+1.17 improvement)
Total Return >60% 96.8% (+28.6% enhancement)
Daily Trade Frequency 3-6 trades 3.8 trades (-27% noise reduction)
Slippage Impact <10% 6.2% (-64% cost optimization)
Risk Characteristics
Strategy Type: Mean-reversion with trend-following confirmation
Market Suitability: Best performance in trending markets with moderate volatility
Time Sensitivity: Optimal for 3-minute charts, adaptable to 1-5 minute timeframes
Currency Compatibility: Forex majors, crypto, and high-volume equities
🚀 Competitive Advantages
Technological Superiority
Pine Script v6 Optimization: Latest TradingView infrastructure for maximum execution speed
Real-Time Dashboard: Live 4-indicator status monitoring with visual confirmation signals
Smart Alerts: Automated notifications with signal strength and position size recommendations
Dynamic Adaptation: Self-adjusting parameters based on market volatility regimes
Institutional-Grade Features
Equity Curve Protection: Advanced drawdown detection with automatic risk reduction
Volume-Weighted Execution: Ensures optimal entry timing during high-liquidity periods
Multi-Session Compatibility: Seamless operation across global trading sessions
Professional Monitoring: Comprehensive performance tracking with win rate analytics
💼 Target Client Profile
Ideal for:
Proprietary Trading Firms: Seeking consistent alpha generation in short-term strategies
Hedge Funds: Requiring diversified high-frequency trading approaches
Professional Traders: Managing $50K+ accounts with risk management discipline
Algorithmic Trading Platforms: Implementing systematic trading protocols
Capital Requirements
Minimum Account Size: $25,000 (recommended $50,000+)
Leverage Capability: 1:100 maximum for forex, 1:4 for equities
Infrastructure: High-speed internet, VPS hosting recommended for optimal execution
🎖️ Implementation Support
Professional Services Included
Strategy Optimization: Custom parameter tuning for specific market conditions
Risk Assessment: Comprehensive backtesting across multiple market cycles
Performance Monitoring: Monthly performance reports with optimization recommendations
Technical Support: 24/7 assistance for strategy implementation and troubleshooting
Getting Started
Initial Consultation: Strategy suitability assessment and risk profiling
Paper Trading Phase: 30-day simulation with real market conditions
Live Implementation: Gradual capital allocation with continuous monitoring
Performance Review: Quarterly optimization and strategy refinement
⚠️ Important Disclaimer: Past performance does not guarantee future results. This strategy involves substantial risk of loss and is not suitable for all investors. Professional consultation recommended before implementation.
🏆 Proven Excellence: Developed by quantitative trading specialists with 10+ years in algorithmic strategy development and institutional trading experience.
Contact us for personalized strategy consultation and implementation support.
15-30分钟----blue0.2版本Key Features:
Optimized MACD Parameters: Shorter periods (6/13/5) for more signals
Volume Filter: Requires 1.2x average volume or RSI confirmation
Trend Filter: Optional 100 EMA with adjustable strength
Dynamic Exits: ATR-based stop loss (1.5x) and take profit (2.5x)
Visual Signals: Clear buy/sell markers on chart
Alerts: Ready-to-use alert conditions
This strategy is specifically designed for gold (XAUUSD) trading with:
Higher signal frequency than standard MACD
Multiple confirmation filters (volume, trend, RSI)
Proper risk management
Clean visual presentation
半小时与一小时优化策略Script Title:
Genre:
Length:
Logline:
A brief one or two-sentence summary of the story.
Example: "A young detective must solve a mysterious murder in a small town, only to uncover a conspiracy that threatens his own life."
Synopsis:
Example:
"In a futuristic city where emotions are forbidden, a rebellious scientist discovers a way to restore human feelings. Pursued by the authoritarian regime, she teams up with an underground resistance to spread emotion before it’s too late. But as she begins to experience love for the first time, she must choose between her mission and her heart."
Main Characters:
Character Name –
Example: "LENA – A brilliant but lonely scientist, determined to defy the system at any cost."
Character Name –
Character Name –
Key Themes:
Tone & Style:
Target Audience:
Hammer & Shooting Star — StrategyHammer & Shooting Star Strategy for Intraday Trading
This strategy identifies two candlestick patterns commonly used in technical analysis:
Hammer Candles (a bullish reversal signal):
A hammer candle has a small body at the top with a long lower wick. The strategy goes long on the next bar open when a hammer is detected, with a stop loss at the low of the hammer bar and a target at the high.
Shooting Star Candles (a bearish reversal signal):
A shooting star candle has a small body at the bottom with a long upper wick. The strategy goes short on the next bar open when a shooting star is detected, with a stop loss at the high of the shooting star bar and a target at the low.
Geniale Unschlagbare Swing Strategie (GUSS)What is a GUSS?
A GUSS is a strategy for trend trading, a pullback strategy — “Brilliant Unbeatable Swing Strategy” or “Brilliant Unbeatable Scalping Strategy.”
You want three things:
First, you want the price to reach a new high.
Second, you want the price to be far away from the EMA 21.
Third, you want the price to drop in a GUSS, meaning without any counter-movement.
Savage Break–Retest Heikin AshiSavage Break-Retest is a swing trading strategy designed to capture high-probability reversals after a breakout and retest of key price zones.
Quick Breakdown
It was developed and tested on Bitcoin because of its strong cyclical price behavior, but the logic can be applied to other volatile markets.
Best results have been seen using:
• Daily timeframe
• Heikin Ashi candles
• Allowing trades to run for several days or more
Recommended to first test on a live demo account to understand position behavior, holding periods, and risk.
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Detailed Description
Break-Retest is a rules-based swing trading strategy built around the classic breakout–retest–continuation price action pattern.
The core idea is simple:
1. Identify major support and resistance zones from higher timeframes (Daily, 4H, 1H).
2. Wait for a confirmed breakout through one of these zones.
3. Allow price to retest the broken zone with momentum confirmation from Heikin Ashi candles.
4. Enter in the direction of the breakout with a defined stop-loss based on ATR and recent swing points.
5. Target exits using a risk-to-reward multiple, tracking partial profits and full closes visually on the chart.
The strategy was modelled on Bitcoin due to its well-defined cyclical nature and tendency to respect technical zones, but it can be applied to other trending, volatile assets.
It performs best on the daily timeframe with Heikin Ashi candles, often holding trades for multiple days to capture larger swings. The system includes visual trade tracking, live P/L in both USD and BTC, and clear entry/exit markers for transparency.
While backtest results are promising, market conditions can change. It is recommended to run this strategy on a live demo account first, observing its behavior over several months before committing real capital.
EMA纯净版测试The EMA crossover strategy is a widely used technical analysis tool in trading, particularly in the financial markets. It involves the use of two or more Exponential Moving Averages (EMAs) with different time periods to generate buy and sell signals.
For good people only v1Holy Grail, I swear. TradingView gets me to write a description, but this is the Holy grail secret, so I don't reveal anything
blue-0Strategy Logic
1. RSI-Based Entry Signals
Uses weekly (W) RSI (14-period) to detect overbought/oversold conditions:
Buy Signal: RSI crosses above 35 (oversold)
Sell Signal: RSI crosses below 70 (overbought)
2. Dynamic SuperTrend Baseline
The SuperTrend middle line (xy) is calculated as the average of the latest buy and sell signal prices.
The upper and lower bands are derived using:
Upper Band: xy - (Multiplier × ATR(10))
Lower Band: xy + (Multiplier × ATR(10))
Trend Direction:
Bullish (Long): Price closes above SuperTrend
Bearish (Short): Price closes below SuperTrend
3. Trade Execution
Entries:
Long: When the trend changes from downtrend to uptrend
Short: When the trend changes from uptrend to downtrend
Exits:
4 Take-Profit Levels (scaling out):
TP1 (10%), TP2 (20%), TP3 (50%), TP4 (100%)
Stop-Loss (25%)
BLUEStrategy Logic
1. RSI-Based Entry Signals
Uses weekly (W) RSI (14-period) to detect overbought/oversold conditions:
Buy Signal: RSI crosses above 35 (oversold)
Sell Signal: RSI crosses below 70 (overbought)
2. Dynamic SuperTrend Baseline
The SuperTrend middle line (xy) is calculated as the average of the latest buy and sell signal prices.
The upper and lower bands are derived using:
Upper Band: xy - (Multiplier × ATR(10))
Lower Band: xy + (Multiplier × ATR(10))
Trend Direction:
Bullish (Long): Price closes above SuperTrend
Bearish (Short): Price closes below SuperTrend
3. Trade Execution
Entries:
Long: When the trend changes from downtrend to uptrend
Short: When the trend changes from uptrend to downtrend
Exits:
4 Take-Profit Levels (scaling out):
TP1 (10%), TP2 (20%), TP3 (50%), TP4 (100%)
Stop-Loss (25%)
EMA20 Anti-Whipsaw Strategy - Clean Entry & Exit LabelsCrypto Strategy named EMA20 Anti-Whipsaw Strategy - Clean Entry & Exit Labels
استراتژی ساز نئو 01 🇮🇷
A **Strategy Builder** is a tool or framework that lets you **design, test, and optimize** a trading strategy based on predefined rules and conditions.
**Purpose**
The main goal is to remove emotional decision-making from trading by replacing it with systematic, rule-based execution.
**How it works**
1. **Define rules** – You set entry, exit, and risk management conditions (e.g., *Buy when the 50-period moving average crosses above the 200-period moving average*).
2. **Choose parameters** – Such as indicator periods, stop-loss levels, take-profit targets, or position sizing methods.
3. **Backtesting** – The builder tests these rules on historical price data to show how the strategy would have performed in the past.
4. **Optimization** – Adjust the parameters to find the most effective setup while avoiding overfitting.
5. **Deployment** – Use the final strategy either for manual trading or connect it to an automated trading bot.
**Key Benefits**
* **Consistency** – Eliminates impulsive trades.
* **Data-driven decisions** – Every trade is based on tested rules, not guesswork.
* **Time-saving** – Once the rules are set, execution can be automated.
* **Scalability** – You can create multiple strategies for different markets or timeframes.
**Example**
Imagine you want to trade EUR/USD:
* **Entry rule:** Buy when RSI < 30 and the price is above the 50 SMA.
* **Exit rule:** Sell when RSI > 70 or price falls below the 50 SMA.
* **Risk control:** Risk 2% of account balance per trade.
A Strategy Builder lets you input those rules, run them on 5 years of EUR/USD historical data, and see metrics like win rate, maximum drawdown, and profit factor before risking real money.
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If you want, I can give you a **visual diagram** showing how the process flows from idea → testing → optimization → execution. That makes the concept much easier to grasp.
EMA Analysis for NasdaqThis TradingView strategy provides buy and sell entries based on EMA crossovers. It is designed for NASDAQ on the 1-minute timeframe and has high effectiveness. Testing shows that 40% of the entries result in trades with a 4-to-1 ratio of winners to losers.
Estrategia de NY ORB por CPThis strategy marks the New York market opening range during the first 15 minutes and confirms a buy or sell entry once the price returns and retests that range. It’s designed to capture trades of 60 points or more after the range has been retested. I suggest complementing the strategy with an indicator that highlights FVGs (Fair Value Gaps) or order blocks to better understand what price is doing and where it’s heading.
esta estrategia te marca el rango de apertura del mercado de ny de los primeros 15 minutos y te confirma entrada en venta o compra una vez que el precio regrese y retestee el rango. esta diseñada para tener trades de 60 puntos o mas una vez que el rango sea retesteado. sugiero acompañar la estrategia con algun indicador que marque fvg o order blocks para tener una mejor de lo que el precio esta haciendo y hacia donde se dirige.
MACD EMA 200 Strategy (Roche 5min Scalp)Free to use, stay blessed.
I don't believe charging for something that everyone can use.
Please enjoy it.
ZapTeam Pro Strategy v6 — EMA The Pro Strategy v6 script is a versatile trading strategy for TradingView that combines trend indicators, filters, and levels.
Main features:
EMA 21, EMA 50, EMA 200 — trend detection and entry signals via EMA crossovers.
Ichimoku Cloud (optional) — trend filtering and price position relative to the cloud.
ETH Dominance filter (optional) — filters trades based on Ethereum dominance (ETH.D).
ATR Stop-Loss — dynamic stop-loss based on volatility.
Two take-profits (TP1 and TP2) with optional 50/50 split.
Dynamic Fibonacci Levels — automatic or manual swings, with 1.272 and 1.618 extensions.
Custom S/R Levels — user-defined support/resistance levels.
Level lines extend across the chart and automatically adjust when zooming or panning.
Designed for trading in trending market conditions on any timeframe.
The strategy calculates position size based on percentage risk per equity.
CP Strat ORBnew york opening range breakout and retest allows you to enter a trade with a better clarity if the price comes back and retest the range
Expanded Reversal System (4 Pattern Types)Overview
This is the final, refined version of a comprehensive candlestick reversal strategy, built with a core focus on reliability and safety. Its unique execution logic is designed to prevent common backtesting errors and ensure that the integrated risk management works precisely as intended on any timeframe.
The strategy aims to capture high-momentum reversals by identifying an expanded set of classic candlestick patterns and waiting for confirmation before entering a trade.
The "Confirm and Execute" Engine 🛡️
To eliminate bugs seen in simpler backtesting models, this strategy uses a deliberate, three-step execution process:
Signal: It first identifies a high-probability reversal pattern on a "Signal Candle."
Confirmation: It then waits for the next candle to break the high or low of the signal candle. This confirms momentum is moving in the desired direction.
Execution: Finally, it enters a market order on the open of the following candle.
This method ensures a robust and stable entry, allowing the Stop Loss and Take Profit orders to function with 100% reliability.
An Expanded Arsenal of Reversal Signals
This strategy looks for four distinct types of bullish and bearish patterns, giving it more opportunities to find valid trades:
Flexible Pin Bars: Loosened rules for Hammers and Shooting Stars to capture more opportunities.
Classic Engulfing Patterns: Identifies powerful, full-body engulfing candles.
Piercing Patterns & Dark Cloud Covers: Recognizes strong two-candle reversal signals.
Built-in Professional Risk Management 🎯
Automated Position Sizing: Every trade is automatically sized to risk exactly 2% of your current account equity.
Defined Exits: Once a trade is open, it is held until either the pre-calculated Stop Loss or Take Profit is hit. The strategy will not exit early or be influenced by new signals while in a trade.
Asymmetrical Risk/Reward: The strategy targets a 1:6 R:R for long trades and a 1:4 R:R for short trades.
How To Use
Apply the strategy to your chart.
Set your chart's timeframe. This version produced very strong results on the 3-Minute chart.
Review the detailed performance report in the 'Strategy Tester' tab.
Disclaimer: This strategy is provided for informational and educational purposes. All trading involves substantial risk, and past performance is not a guarantee of future results. Please use and adapt this tool responsibly.
Candle stick pattern strategy - No EMA 5MTFOverview
This strategy is designed to maximize trade frequency by identifying an expanded range of high-probability candlestick reversal patterns. It is an unfiltered system, meaning it will act on every valid signal it finds on the 5min timeframe, making it a very active strategy.
The core of the system is its ability to recognise not just the most common reversal signals, but also powerful "second-tier" patterns that often precede strong market moves.
An Expanded Arsenal of Signals 🏹
In addition to the flexible Pin Bars (Hammers/Shooting Stars) and classic Engulfing patterns, this strategy has been upgraded to include two new, powerful two-candle reversal patterns:
Piercing Pattern (Bullish): A strong bullish signal where a green candle opens below the prior red candle's close and then "pierces" more than halfway up into the body of that red candle, showing a decisive rejection of lower prices.
Dark Cloud Cover (Bearish): The opposite of a piercing pattern. A red candle opens above the prior green candle's high and then closes more than halfway down into the body of the green candle, signaling that sellers are taking control.
The inclusion of these patterns significantly increases the number of trading opportunities the strategy can capture.
Trade & Risk Management
Trade Logic: Once a trade is entered, it is held until it reaches its original Stop Loss or Take Profit. The strategy will ignore all new signals while a position is active to ensure each trade follows its plan.
Automated Risk: Every trade is automatically sized to risk exactly 2% of your account equity, providing consistent risk management.
Risk/Reward: The strategy targets a 1:6 R:R for long trades and a 1:4 R:R for short trades.
How To Use
Apply the strategy script to your chart.
Set the chart's timeframe to 5 min
Review the performance and individual trades in the 'Strategy Tester' tab at the bottom of your screen.
Disclaimer: This script is for educational and informational purposes. Trading involves substantial risk, and past performance is not a guarantee of future results. Use this tool at your own risk.
Robotic-ATM V6.6 Professional🤖 Robotic-ATM V6.6 Pro - Advanced Multi-Indicator Algorithmic Trading Strategy
Professional algo system combining 4 proven indicators: R-ATM KISS V5 trend detection, LG_TRSpeed momentum analysis, R-ATM Oscillator scoring, WaveTrend wave analysis. Features 3 signal modes (ALL_IMMEDIATE/ALL_SYNC/PARTIAL_SYNC), advanced risk mgmt with stop-loss/profit targets, daily P&L limits, position controls, and volatility filtering. Real-time dashboard tracks trades, win rate, profit/loss, and drawdown. $300/month subscription, 21-day FREE trial, cancel anytime. 3+3 months free when paying quarterly. Educational purposes only. Past performance doesn't guarantee future results. Trading involves substantial risk. Only trade with capital you can afford to lose. Contact: support@robotic-atm.com | robotic-atm.com | Robotic-ATM Inc.
Engulfing & Pin Bar Breakout StrategyOverview
This strategy automates a classic, powerful trading methodology based on identifying key candlestick reversal patterns and trading the subsequent price breakout. It is designed to be a complete, "set-and-go" system with built-in risk and position size management.
The core logic operates on the 1-Hour timeframe, scanning for four distinct high-probability reversal signals: two bullish and two bearish. An entry is only triggered when the market confirms the signal by breaking a key price level, aiming to capture momentum following a potential shift in market sentiment.
The Strategy Logic
The system is composed of two distinct modules: Bullish (Long) and Bearish (Short).
🐂 Bullish (Long) Setup
The script initiates a long trade based on the following strict criteria:
Signal: Identifies either a Hammer or a Bullish Engulfing pattern. These patterns often indicate that sellers are losing control and buyers are stepping in.
Confirmation: Waits for the very next candle after the signal.
Entry Trigger: A long position is automatically opened as soon as the price breaks above the high of the signal candle.
Stop Loss: Immediately set just below the low of the signal candle.
Take Profit: A fixed target is placed at a 1:5 Risk/Reward Ratio.
🐻 Bearish (Short) Setup
The script initiates a short trade based on the following strict criteria:
Signal: Identifies either a Shooting Star or a Bearish Engulfing pattern. These patterns suggest buying pressure is fading and sellers are taking over.
Confirmation: Waits for the very next candle after the signal.
Entry Trigger: A short position is automatically opened as soon as the price breaks below the low of the signal candle.
Stop Loss: Immediately set just above the high of the signal candle.
Take Profit: A fixed target is placed at a 1:4 Risk/Reward Ratio.
Key Feature: Automated Risk Management
This strategy is designed for disciplined trading. You do not need to calculate position sizes manually.
Fixed Risk: The script automatically calculates the correct position size to risk exactly 2% of your total account equity on every single trade.
Dynamic Sizing: The position size will adjust based on the distance between your entry price and your stop loss for each specific setup, ensuring a consistent risk profile.
How To Use
Apply the script to your chosen chart (e.g., BTC/USD).
Crucially, set your chart's timeframe to 1-Hour (H1). The strategy is specifically calibrated for this interval.
Navigate to the "Strategy Tester" tab below your chart to view backtest results, including net profit, win rate, and individual trades.
Disclaimer: This script is provided for educational and informational purposes only. It is not financial advice. All trading involves substantial risk, and past performance is not indicative of future results. Please use this tool responsibly and at your own risk.
Robotic-ATM V6.6.3/IO🤖 Robotic-ATM V6.6 3.3 IO - Advanced Multi-Indicator Algorithmic Trading Strategy
Professional algo system combining 4 proven indicators: R-ATM KISS V5 trend detection, LG_TRSpeed momentum analysis, R-ATM Oscillator scoring, WaveTrend wave analysis. Features 3 signal modes (ALL_IMMEDIATE/ALL_SYNC/PARTIAL_SYNC), advanced risk mgmt with stop-loss/profit targets, daily P&L limits, position controls, and volatility filtering. Real-time dashboard tracks trades, win rate, profit/loss, and drawdown. $300/month subscription, 21-day FREE trial, cancel anytime. 3+3 months free when paying quarterly. Educational purposes only. Past performance doesn't guarantee future results. Trading involves substantial risk. Only trade with capital you can afford to lose. Contact: sales@robotic-atm.com | robotic-atm.com | Robotic-ATM Inc.