ICT Opening Gap Strategy [Momentum1]Momentum strategy taken off the close of the first candle after the NDOG/NWOG. Built with Gemini. Pine Script® strategyby 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. Pine Script® strategyby Toddwaters7215
ICT Gap Strategy [Swing SL + Sessions]Retest opening gap strategy with London and New York SessionsPine Script® strategyby Toddwaters7212
ICT Opening Gap Strategy [Midpoint Entry]As described in the title. With trailing stoploss. Pine Script® strategyby Toddwaters7215
WAE + WaveTrend + ST Strategy FinaleConfluence Multi-Filter Strategy (WAE + WT + ST + EMA M5) | Pine Script v6 | High R:R This advanced strategy, written in Pine Script v6, is the culmination of combining powerful and tested trading logics. It is specifically optimized for low timeframes (e.g., 1 minute), but the multi-timeframe filters make it highly adaptable. The main goal is to identify high-probability signals when there is a confluence (agreement) between momentum, volatility, and long-term trends, while maintaining exceptional risk control. Key Features: 4-Way Logic: Combines WAE , WaveTrend, an EMA 50M5 (Multi-Timeframe) filter, and an optional SuperTrend filter. Dynamic Risk Management: Uses ATR to automatically calculate tight Stop Losses and a smart Trailing Stop that activates upon reaching the first Take Profit (TP1). Excellent Risk/Reward Ratio (R:R): Designed for aggressive R:R (base 1:3), which can be easily customized in the inputs. Discrete Signals: Keeps the chart clean by only showing entry points (BUY/SELL), SL, and TP with small dots. Maximum Customization: Control which filters to activate (EMA, ST, simplified SMC) using the checkboxes in the inputs. How It Works: The strategy looks for the "perfect storm": Trend Confirmation: The price must be aligned with the long-term EMA 50M5 and/or the SuperTrend. Momentum/Volume: WAE and WaveTrend must signal an explosion of volume and momentum in the same direction. Execution: When confluence occurs, the order is triggered with SL and TP predefined by the ATR. Performance Notes: Recent backtesting results (with specific settings): Profit Factor above 39, minimal Drawdown, and a P&L of +50% in one week with only 3 trades. Please Note: Past performance is not a reliable indicator of future results.Pine Script® strategyby forgionenas2
Demand Index StrategyDescription: This strategy is an automated trading system based on a faithful replica of the Sierra Chart "Demand Index" (Study ID 139). It utilizes the complex pressure/volume calculations developed by James Sibbet to identify high-probability reversal points from oversold territory. 📈 Strategy Logic: "The Deep Recovery" The Demand Index combines price and volume to measure buying vs. selling pressure. This strategy specifically looks for a "Deep Recovery" scenario where selling pressure exhausts itself and momentum shifts back to the upside. The Entry Conditions (Long Only): Deep Oversold Zone: The Demand Index must have visited the deep negative zone (-45) within the recent lookback period. This ensures we are watching a heavily sold-off asset. Recovery Trigger: The Demand Index must cross up through the recovery level (-30). Momentum Confirmation: At the moment of the crossover, the Demand Index must be above its Signal Line (EMA 10) to confirm the immediate trend direction. ⚙️ Default Settings Buy/Sell Power Length: 10 (Shorter term focus for reaction speed). Buy/Sell MA Length: 10. Signal EMA Length: 10. Deep Level: -45 (Configurable). Trigger Level: -30 (Configurable). 🛡️ Risk Management The strategy includes built-in inputs for risk management: Stop Loss: Defaults to 2.0% Take Profit: Defaults to 4.0% Note: These can be toggled off or adjusted in the settings menu. 🔍 About the Indicator Source This script replicates the specific math found in Sierra Chart's documentation for Study ID 139. This includes the unique H0/L0 volatility scaling, where the calculation utilizes the High and Low of the very first loaded bar to normalize the exponential decay of the buying/selling pressure. Disclaimer: Past performance is not indicative of future results. This strategy is provided for educational purposes and demonstrates how to automate James Sibbet's Demand Index based on specific Sierra Chart logic.Pine Script® strategyby p_zerbstUpdated 15
SNIPER EMA 9/21 + MACD + AngleSNIPER EMA 9/21 + MACD + Angle for 3min and 5 min tradingPine Script® strategyby adcf8hn6
SuperTrend StrategyIf you want to receive the same indicators, then write in telegram @RussianObzhina If you want to receive the same indicators, then write in telegram @RussianObzhina If you want to receive the same indicators, then write in telegram @RussianObzhina !The strategy is based on the SuperTrend indicator, a trend indicator that shows the trend direction and potential reversal points. This is a popular indicator for following a trend!Pine Script® strategyby VechStrategy3
Simple Candle StrategyIf you want to receive the same indicators, then write in telegram @RussianObzhina If you want to receive the same indicators, then write in telegram @RussianObzhina If you want to receive the same indicators, then write in telegram @RussianObzhina , The basic concept The strategy is based on the "Outside Bar" pattern with a breakout. This is a classic pattern that is used in price action trading. , The logic of the work TWO TYPES OF SIGNALS: 1. BUY signal (Long) - signalValue = 2 Conditions: The current candle is red (open > close) High > High of the previous candle Low < Low of the previous candle Close < Low of the previous candle (closing below the minimum of the previous candle) What does this mean?: Bearish break down An upward reversal is expected Entry: purchase at the opening of the next candle 2. Sell signal (Short) - signalValue = 1 Conditions: The current candle is green (open < close) Low < Low of the previous candle High > High of the previous candle Close > High of the previous candle (closing above the high of the previous candle) What does this mean?: Bullish Upside breakout A downward reversal is expected Entry: sell at the opening of the next candle , Risk management Stop loss: Calculated in pips (slPips parameter) Default: 250 pips Formula: For Long: Entry Price - (slPips × pipValue) For Short: Entry Price + (slPips × pipValue) Take-profit: Missing from the code (which is interesting!) Positions are closed according to two scenarios: Automatic profit closing: the position is closed if the current price is better than the entry price Stop loss , Statistics from Python code It can be seen from your Python notebook that the strategy was tested on EURUSD and GBPUSD (daily data from 2017 to 2024): Total transactions: 431 Win rate: 87.53% (very high!) Maximum drawdown: -11.23% Average transaction: +0.06% Best Deal: +1.79% Worst deal: -2.60% The strengths of the strategy A high win rate (87.5%) is a statistically significant result. Simple logic - easy to understand and modify Clear entry rules - minimum subjectivity Risk management through stop loss Automatic closing of profitable positions ⚠️ Problems and risks There is no take profit - positions are held until a stop loss or reverse signal is triggered. Small average profit (+0.06%) - commissions can eat up profits Volatility Dependence - The Outside Bar pattern works better in trends False breakouts - there may be frequent losing trades on the side Optimization for historical data - curve fitting is possible If you want to receive the same indicators, then write in telegram @RussianObzhinaPine Script® strategyby VechStrategy4
Momentum Fusion X StrategyMomentum Fusion X Strategy — Conceptual Overview Momentum Fusion X Strategy is a selectively reactive market-participation system designed to engage only when price behavior exhibits structured directional clarity across multiple internal evaluation layers. Rather than responding to isolated indicators or short-term noise, the strategy operates on a confirmation-based framework where trades are activated only when the broader internal state of the market demonstrates sufficient directional agreement. This approach intentionally prioritizes quality of participation over frequency, allowing the system to remain inactive during uncertain or low-information phases. The strategy has demonstrated its strongest performance characteristics on MIDCAPNIFTY, while remaining structurally adaptable to other instruments and market environments. Structural Philosophy The internal architecture is built around a multi-layered decision model: Directional Consensus Framework Trades are considered only when multiple independent internal components align in the same directional bias. No single condition is capable of triggering a trade independently. Momentum Confirmation Logic Price movement is evaluated in a manner that emphasizes continuation strength rather than short-lived reactions. This helps reduce participation during false breakouts or choppy market behavior. Noise Suppression The system actively filters out ambiguous conditions, remaining flat during periods where directional intent lacks clarity or conviction. This structural discipline ensures consistency and prevents over-trading, particularly on lower timeframes. Trade Behaviour & Execution Trade Initiation Positions are initiated only when internal directional alignment reaches a predefined quality threshold. Partial or conflicting conditions are intentionally ignored. Trade Exit Positions are closed dynamically when internal momentum deteriorates or when directional alignment weakens, helping limit exposure during transitions or reversals. Market Inactivity On a 1-minute timeframe, the strategy may show fewer trades in backtests. This is by design and reflects strict filtering rather than missed opportunities, especially given the limited historical depth of 1-minute candle data. Automation & Execution Support The script includes a built-in Dhan webhook alert system, allowing traders to automate execution workflows if desired. Alerts are aligned directly with the strategy’s internal execution logic to maintain consistency between backtest behavior and live alert triggers. Commission and slippage are factored into the strategy configuration to provide a more realistic simulation of execution conditions. Commission: 0.01% Slippage: 2 points Intended Usage Context Timeframe: 1-Minute Performance Note: Best observed on MIDCAPNIFTY, while remaining adaptable across markets Trading Style: Intraday, momentum-based participation Trade Frequency: Selective by design (lower frequency on lower timeframes) Users are encouraged to apply independent capital allocation, position sizing, and risk controls appropriate to their trading plan. Intellectual Property Notice The internal construction, scoring logic, alignment thresholds, and execution conditions are intentionally abstracted. This description explains the conceptual philosophy without exposing implementation details, preserving the originality and intellectual integrity of the strategy. Direct replication of the internal logic is neither implied nor supported by this publication. Disclaimer This strategy is provided strictly for educational, research, and analytical purposes. Market behavior evolves over time, and historical performance does not guarantee future results. Users are responsible for forward testing, execution decisions, and risk management when applying this strategy in live market conditions.Pine Script® strategyby algovisionx23
DCA + Martingale strategy.DCA + Martingale: smart synergy for volatile markets Tame market swings with a powerful hybrid strategy that marries the discipline of Dollar‑Cost Averaging (DCA) with the aggressive recovery logic of the Martingale system. This approach turns price dips into opportunities — systematically building positions while keeping risk in check. How it works: 1. Entry trigger The strategy activates when the asset price drops by a predefined percentage on the 1‑hour timeframe. This ensures you only engage when a meaningful pullback occurs, avoiding premature entries. 2. DCA grid for controlled averaging Once the entry condition is met, a grid of buy orders is deployed: Each subsequent order is placed at progressively lower price levels (e.g., every 2–5% drop). Order sizes can be fixed or follow a progressive scale (e.g., 1x, 1.5x, 2x the initial amount). This dilutes your average entry price, improving the breakeven point as the market corrects. 3. Martingale‑style recovery mechanism After each unsuccessful trade (i.e., price continues falling), the next position size is increased — not necessarily doubled, but scaled according to your risk tolerance. This accelerates recovery potential when the trend reverses. 4. Take‑profit with a fixed percentage target A simple, predefined profit target (e.g., +3–7%) is set for the entire averaged position. Once hit, all open trades close, locking in gains. This prevents over‑exposure during uncertain reversals. Key advantages Psychological edge: removes emotional decision‑making by automating entries and exits. Cost optimization: lowers average entry during downtrends, improving profit potential. Controlled aggression: Martingale logic helps recoup losses faster without infinite scaling. Flexibility: parameters (entry %, grid spacing, position sizing, TP) are fully customizable. Risk management essentials Stop‑loss safeguard: a hard stop‑loss (e.g., 10–15% below the lowest grid level) prevents catastrophic drawdowns in prolonged downtrends. Position sizing: never risk more than 1–3% of capital per grid cycle. Market context: best suited for assets with mean‑reverting behavior and moderate volatility. Avoid strong, sustained trends. Capital buffer: ensure sufficient reserves to withstand multiple grid levels without margin calls. When to use it During sideways or range‑bound markets with regular pullbacks. On assets with historical tendency to recover from short‑term dips. When you expect a bounce but can’t pinpoint the exact bottom. Bottom line DCA + Martingale isn’t a «set‑and‑forget» miracle — it’s a disciplined framework for turning volatility into opportunity. Combine it with rigorous risk rules, and you’ll navigate downtrends with precision, turning market noise into structured profit potential.Pine Script® strategyby lordos2003Updated 23
CTAY Hive Worker 3.3 ProfessionalCTAY Hive Worker 3.3 Professional Intelligent DCA Strategy for Structured, Rule-Based Trading The CTAY Hive Worker 3.3 Professional is an advanced TradingView strategy designed for systematic, transparent, and fully deterministic trading. It combines RSI-based logic, multi-timeframe analysis, and sophisticated DCA and budget management to deliver controlled and reproducible trading behavior. This strategy is built for traders who value clarity, consistency, and risk awareness over black-box automation — both in backtesting and live operation. Key Features: Intelligent RSI-Based Entries • Configurable RSI entry logic • Optional Median-RSI filtering to reduce market noise • Supports both rebound-based and trend-continuation setups Multi-Timeframe Architecture (MTF) • Independent timeframes for entries, filters, and trend evaluation • Automatic validation to prevent indicators from running below chart timeframe • Full synchronization between chart, strategy logic, and alerts Advanced DCA Management • Multi-level safety orders with linear or geometric spacing • Clear separation of base investment, DCA budget, and reinvest budgets • Dynamic safeguards to prevent over-allocation Reinvest & Capital Flow Logic • Optional reinvestment of profits • Separate handling of bot capital, order reinvestment, and savings • Full transparency of all internal capital movements Exit & Take-Profit Logic • Fixed Take-Profit • Optional Trailing Take-Profit • Cycle-based exit logic for clean and traceable trade closures Trend & Market Filters • Optional trend filters (e.g. SuperTrend) • Independent logic for uptrend and downtrend phases • Helps avoid trades against dominant market conditions Deterministic Strategy Design • 100% reproducible behavior across backtests, replay mode, and live trading • No asynchronous side effects • Ideal for systematic analysis and optimization Extensive Visualization & Debug Information • Investment, profit, and status plots • Detailed tables for trades, cycles, and statistics • All relevant internal states visible directly on the chart Alert & Automation Ready • Designed for TradingView alert integration • Compatible with external automation platforms (e.g. API-based broker execution) ⸻ Who Is CTAY Hive Worker For? • Advanced traders focused on structured DCA strategies • Users who require reliable backtests and deterministic live behavior • Educational and seminar environments where transparency matters more than black-box automation ⸻ Important Notice – Limited Demo Version This script is a limited demo version of CTAY Hive Worker 3.3 Professional. Certain features and configuration options are restricted and provided for demonstration and evaluation purposes only. This strategy is intended solely for educational, analytical, and demonstration use and does not constitute financial, investment, or tax advice. ⸻ More Information For further information about CTAY Hive Worker licenses, training content, and background materials, please contact: • Email: demo@ctay.io • YouTube: CTAY – Crypto Trading Academy www.youtube.com Pine Script® strategyby HarlekinSimplexUpdated 2219
Synapse Dynamics LLC - Nature Theory x SMC🎯 Nature Theory × Smart Money Concepts Strategy Overview This strategy combines institutional order flow analysis (Smart Money Concepts) with volatility-based market phase classification (Nature Theory) to filter trade entries. The combination addresses a specific weakness in traditional SMC strategies: taking signals during low-probability corrective/choppy phases. Why This Combination? Problem: Pure SMC strategies often generate false signals during consolidation because structure breaks and liquidity sweeps occur without follow-through momentum. Solution: Nature Theory's volatility classification filters out corrective phases (candle bodies < 0.5× ATR) and only triggers signals during impulsive phases (candle bodies > 1.5× ATR), significantly reducing choppy-market false breakouts. 📊 Technical Methodology Smart Money Concepts Components 1. Market Structure Detection Uses ta.pivothigh() and ta.pivotlow() with configurable left/right bars (default 5/5) Stores swing highs/lows in arrays and tracks most recent significant levels Break of Structure (BOS): Price crosses previous swing level in trend direction by threshold (default 10 pips) Change of Character (CHoCH): Price crosses previous swing level against trend direction 2. Order Block Calculation Identified when displacement candle detected (body size > ATR × 1.2 multiplier) Bullish OB: Saves low/high of last down-candle before upward displacement Bearish OB: Saves low/high of last up-candle before downward displacement Remains valid until price fully penetrates the zone 3. Fair Value Gap Detection Bullish FVG: candle .high < candle .low Bearish FVG: candle .low > candle .high Detects price inefficiencies (gaps between candle 1 high and candle 3 low) Remains active until price mitigates (fills) the imbalance 4. Liquidity Sweep Mechanism Identifies equal highs/lows within lookback period (default 20 bars) Sweep confirmed when: price exceeds level by tolerance (0.1% of price) + reversal candle forms Buy-Side Liquidity (BSL) above equal highs, Sell-Side Liquidity (SSL) below equal lows 5. Premium/Discount Zones Calculated using swing high/low range Above 50% equilibrium = premium (favorable for shorts) Below 50% = discount (favorable for longs) Nature Theory Phase Classification Volatility-Based Detection Measures Average True Range over 14-period (configurable) Impulsive Phase: Candle body size > ATR × 1.5 (strong directional momentum) Corrective Phase: Candle body size < ATR × 0.5 (consolidation/pullback) Strategy only takes signals during impulsive phases Multi-Timeframe Trend Filter Uses security() calls with barmerge.lookahead_off to prevent repainting: Requests Daily and 4H data (configurable) Calculates linear regression slope over last 20 bars of HTF close prices Positive slope = bullish, negative = bearish Three modes: Strict (both HTFs align), Moderate (one HTF aligns), Disabled Kill Zone Timing London Session: 02:00-05:00 EST New York Session: 07:00-10:00 EST Uses time() function converted to chart timezone Filters for periods with historically higher institutional activity 🎯 8-Point Confluence System Each signal scores across 8 independent criteria. Only executes when score ≥ threshold (default 4/8): HTF Trend Alignment - Directional bias matches higher timeframe trend Market Structure Break - Valid BOS (continuation) or CHoCH (reversal) Liquidity Sweep - BSL taken for longs, SSL taken for shorts Premium/Discount Zone - Price in discount for longs, premium for shorts Order Block OR FVG - Price touching active bullish OB/FVG (longs) or bearish (shorts) Impulsive Phase - Market classified as impulsive (strong momentum) Kill Zone Active - Within London or New York session Displacement Candle - Strong directional candle (body > ATR × threshold) Confluence Impact: 8/8 = Maximum confluence (rare, highest probability) 6-7/8 = Strong confluence (selective entries) 4-5/8 = Moderate confluence (default, balanced approach) 3/8 = Minimum viable (aggressive, more trades) ⚙️ Default Strategy Properties & Settings IMPORTANT: These are the exact settings used for the published backtest results. Strategy Properties (Pine Script Settings): Initial Capital: $10,000 (realistic retail account) Order Size: 10% of equity (sustainable position sizing) Commission: 0.08% per trade ($8 per $10k position - typical forex broker) Slippage: 3 ticks (realistic execution) Verify Price for Limit Orders: ON Recalculate: After Order Filled Strategy Input Parameters: Required Confluence Score: 4/8 Risk:Reward Ratio: 2.0 Stop Loss Distance: 50 pips Signal Cooldown: 5 bars HTF1 Timeframe: Daily HTF2 Timeframe: 4 Hour HTF Filter Mode: Moderate HTF Trend Period: 20 bars Swing Detection: 5 left bars, 5 right bars BOS Movement Threshold: 10 pips Liquidity Lookback: 20 bars Volatility Period (ATR): 14 bars Impulsive Threshold: 1.5× ATR Corrective Threshold: 0.5× ATR Displacement Threshold: 1.2× ATR Why These Settings? 10% position size + 50-pip stops = Approximately 5-10% risk per trade (sustainable) $10k account = Realistic for retail traders (generates sufficient sample size) 0.08% commission = Industry-standard forex broker fees 3-tick slippage = Accounts for realistic market execution 4/8 confluence = Balanced trade frequency vs quality (typically 100+ trades per year on 15m charts) Backtest Period: 1 year of data on 15-minute charts with above settings. 🔧 Key Configurable Parameters Trade Management Required Confluence Score: 3-8 (adjust trade frequency vs quality) Risk:Reward Ratio: 0.25-8.0 (supports standard and inverse RR strategies) Stop Loss Distance: 10-500 pips (adjust for symbol volatility) Signal Cooldown: 1-100 bars (prevents overtrading) Structure Detection Swing Detection: 2-20 bars left/right (sensitivity adjustment) BOS Threshold: 1-100 pips (minimum structure break movement) Liquidity Lookback: 5-100 bars (equal high/low detection range) Nature Theory Phases Volatility Period: 5-50 bars (ATR calculation) Impulsive Threshold: 0.5-3.0× ATR (momentum detection) Corrective Threshold: 0.1-1.0× ATR (consolidation detection) 🎓 Educational Value & Use Cases Learning Institutional Order Flow: Understand how smart money creates liquidity through equal highs/lows Recognize the difference between impulsive (trending) and corrective (consolidating) phases Implement systematic confluence analysis vs discretionary pattern trading Develop proper risk management through defined entries/stops/targets Strategy Development: Serves as foundation for building multi-factor trading systems Demonstrates cross-timeframe validation techniques Shows percentage-based calculations for cross-asset compatibility Illustrates phase-filtered entry logic to reduce false signals Optimization Workflow: Start with default parameters (documented above) Backtest minimum 1 year on target symbol/timeframe Adjust confluence threshold first (biggest impact on frequency) Fine-tune stop loss distance for symbol volatility Modify swing sensitivity if breaks too frequent/rare Adjust HTF filter mode for trending vs ranging markets 📊 Cross-Asset Compatibility Universal tolerance calculations (percentage-based, not fixed pips) work across: Forex: EURUSD, GBPUSD, GBPJPY, USDJPY, etc. Metals: XAUUSD, XAGUSD Indices: US30, NAS100, SPX500 Crypto: BTCUSD, ETHUSD All thresholds use ATR-relative or percentage measurements for consistent logic across different price scales. ⚠️ Technical Notes No Repaint Design: All signals use confirmed bars (close values, not real-time) HTF security() calls use lookahead=barmerge.lookahead_off Swing pivots require confirmation bars before detection Order blocks/FVGs only form after displacement confirmation Buffer Limits: Free accounts may encounter buffer limits on very long datasets. If this occurs: Reduce liquidity lookback parameter Reduce swing detection periods Test on shorter timeframes/date ranges Consider TradingView Premium for expanded limits Strategy vs Indicator: This is a complete strategy (not indicator) with entry/exit logic, position management, and P&L tracking. Generates executable long/short signals with predefined SL/TP levels. 🎛️ Real-Time Dashboard Displays live market conditions: HTF Trend Status (Daily/4H directional bias) Current Market Structure (latest BOS/CHoCH) Premium/Discount positioning (percentage) Nature Phase classification (Impulsive/Corrective) Kill Zone status (London/NY session indicator) Active Order Blocks/FVGs Liquidity Sweep alerts (BSL/SSL taken) Live Confluence Scores (long/short out of 8) Open Position Status ⚠️ Risk Disclosure Educational purposes only. Past performance ≠ future results. All trading involves substantial risk of loss. Key risks include: Market risk: Prices can move against positions Slippage risk: Actual fills may differ from backtest assumptions Overfitting risk: Optimized parameters may not work in future conditions Technical risk: Code bugs or execution errors possible Always: Conduct thorough testing before live trading Use proper position sizing (never risk >1-2% per trade) Understand strategy logic completely before deployment Paper trade first to validate performance Monitor live performance and stop if results deviate significantly No strategy is profitable in all market conditions. Continuous monitoring and adjustment required. Not financial advice. Trade at your own risk. Pine Script® strategyby Dewaldnel1111
UT Bot LinReg StrategyThis Scalping Robot is an advanced algorithmic trading system designed for short-term trading opportunities in the Volatile. It uses a UT Bot with Linear Regression strategy to identify buy and sell signals on Candle charts. The system focuses on consistent profitability with controlled risk management. 🔹 Key Features ✅ Target Profit: 5% – 10% monthly ✅ Max Drawdown: 7% – 10% (low-risk exposure) ✅ Strategy Used: UT Bot with Linear Regression filters ✅ Mode: Fully automated scalping robot ✅ Trading Style: Short-term scalping with high-frequency trades Scalping Robot Advantages 🚀 High Profitability – Delivers 5–10% monthly returns. 🔒 Risk Controlled – Maximum drawdown capped at 7–10%. 📊 Long-Term Proven – 16 years of historical backtesting with consistent equity curve. ⚡ Low Win Rate, High Profitability – Despite ~38% win rate, profit factor ensures long-term gains. 🤖 Fully Automated – Reduces emotional bias, executes trades 24/7.This Scalping Robot is an advanced algorithmic trading system designed for short-term trading opportunities in the Volatile. It uses a UT Bot with Linear Regression strategy to identify buy and sell signals on Candle charts. The system focuses on consistent profitability with controlled risk management. 🔹 Key Features ✅ Target Profit: 5% – 10% monthly ✅ Max Drawdown: 7% – 10% (low-risk exposure) ✅ Strategy Used: UT Bot with Linear Regression filters ✅ Mode: Fully automated scalping robot ✅ Trading Style: Short-term scalping with high-frequency trades Scalping Robot Advantages 🚀 High Profitability – Delivers 5–10% monthly returns. 🔒 Risk Controlled – Maximum drawdown capped at 7–10%. 📊 Long-Term Proven – 16 years of historical backtesting with consistent equity curve. ⚡ Low Win Rate, High Profitability – Despite ~38% win rate, profit factor ensures long-term gains. 🤖 Fully Automated – Reduces emotional bias, executes trades 24/7.Pine Script® strategyby forextradingarena17
Visual Pro Trend Master by Herman Sangivera ( Papua )Visual pro Trend Mater by Herman Sangivera ( Papuan Trader ) Overview Visual Pro Trend Master is a high-precision quantitative trading strategy specifically engineered for scalpers operating on lower timeframes (1m, 3m, 5m). The strategy focuses on execution efficiency with a fixed 1:2 Risk-to-Reward (RR) Ratio, powered by a multi-layered filtration system designed to eliminate "whipsaws" and fake signals commonly found in sideways markets. By integrating institutional volume confirmation (VWAP), trend momentum (ADX Slope), and dynamic volatility sensing (Bollinger Band Squeeze), this script ensures that entries are only triggered when the market exhibits high-probability directional intent. Key Technical Features Anti-Sideways Engine: Utilizes Bollinger Band Width to calculate market compression. The strategy automatically enters "standby mode" during a Squeeze, filtering out low-volatility traps. Trend Acceleration Filter: Not only does it check for ADX strength, but it specifically looks for a rising ADX slope. This ensures you enter as momentum is building, not when it is exhausting. Institutional Alignment (VWAP): Acts as the ultimate trend arbiter. The strategy restricts Long positions to prices above VWAP and Short positions to prices below VWAP. Dynamic Risk Management (1:2 RR): Stop Loss (SL) is mathematically determined by the Average True Range (ATR) to account for current market noise. The Take Profit (TP) is automatically set at 2x the risk distance. Professional UI Dashboard: A real-time heads-up display (HUD) in the corner of your chart showing Trend Status, ADX Power, and active Risk Ratios. Visual Interpretation Trend Ribbon (Green/Red): Displays the primary trend zone between EMAs. A gray ribbon indicates a transition or a non-trending phase. Candle Color Coding: Real-time bar coloring provides instant psychological confirmation of trend strength. Gray Background Shading: Indicates a Bollinger Squeeze. This is a "No-Trade Zone" where fakeouts are most likely to occur. Fuchsia Line (VWAP): The "Line in the Sand" for institutional sentiment. Execution Guide Best Timeframes: 1-Minute, 3-Minute, or 5-Minute. Recommended Assets: High-liquidity pairs such as Gold (XAUUSD), Major Forex (EURUSD, GBPUSD), and Top-tier Crypto (BTCUSDT, ETHUSDT). Optimization Tips: * Optimal performance is usually seen during the London and New York session overlaps. Monitor the Dashboard: If ADX Power is below 25, the market lacks the "fuel" needed to hit a 1:2 TP. Disclaimer While this strategy includes advanced risk management and volatility filters, past performance does not guarantee future results. It is highly recommended to paper-trade this strategy first to understand its behavior during high-impact news events.Pine Script® strategyby hermanwomsiwor5
Scalping Reaper Elite- by Herman Sangivera ( Papua ) Scalping Reaper Elite by Herman Sangivera ( Papuan Trader ) Overview Scalping Reaper Elite V5 is a high-precision quantitative trading strategy specifically engineered for scalpers operating on lower timeframes (1m, 3m, 5m). The strategy focuses on execution efficiency with a fixed 1:2 Risk-to-Reward (RR) Ratio, powered by a multi-layered filtration system designed to eliminate "whipsaws" and fake signals commonly found in sideways markets. By integrating institutional volume confirmation (VWAP), trend momentum (ADX Slope), and dynamic volatility sensing (Bollinger Band Squeeze), this script ensures that entries are only triggered when the market exhibits high-probability directional intent. Key Technical Features Anti-Sideways Engine: Utilizes Bollinger Band Width to calculate market compression. The strategy automatically enters "standby mode" during a Squeeze, filtering out low-volatility traps. Trend Acceleration Filter: Not only does it check for ADX strength, but it specifically looks for a rising ADX slope. This ensures you enter as momentum is building, not when it is exhausting. Institutional Alignment (VWAP): Acts as the ultimate trend arbiter. The strategy restricts Long positions to prices above VWAP and Short positions to prices below VWAP. Dynamic Risk Management (1:2 RR): Stop Loss (SL) is mathematically determined by the Average True Range (ATR) to account for current market noise. The Take Profit (TP) is automatically set at 2x the risk distance. Professional UI Dashboard: A real-time heads-up display (HUD) in the corner of your chart showing Trend Status, ADX Power, and active Risk Ratios. Visual Interpretation Trend Ribbon (Green/Red): Displays the primary trend zone between EMAs. A gray ribbon indicates a transition or a non-trending phase. Candle Color Coding: Real-time bar coloring provides instant psychological confirmation of trend strength. Gray Background Shading: Indicates a Bollinger Squeeze. This is a "No-Trade Zone" where fakeouts are most likely to occur. Fuchsia Line (VWAP): The "Line in the Sand" for institutional sentiment. Execution Guide Best Timeframes: 1-Minute, 3-Minute, or 5-Minute. Recommended Assets: High-liquidity pairs such as Gold (XAUUSD), Major Forex (EURUSD, GBPUSD), and Top-tier Crypto (BTCUSDT, ETHUSDT). Optimization Tips: * Optimal performance is usually seen during the London and New York session overlaps. Monitor the Dashboard: If ADX Power is below 25, the market lacks the "fuel" needed to hit a 1:2 TP. Disclaimer While this strategy includes advanced risk management and volatility filters, past performance does not guarantee future results. It is highly recommended to paper-trade this strategy first to understand its behavior during high-impact news events.Pine Script® strategyby hermanwomsiwor13
EMA 13/89 Scalping Strategy# 🎯 EMA 13/89 Scalping Strategy ## What It Does Simple yet powerful scalping strategy based on EMA 13 and EMA 89 crossovers. Get clear entry signals with automated risk management and live performance tracking. BEST SETTING FOR BTCUSDT.P 4H TP %2 SL%2 ## ✨ Key Features **Smart Signals** - 📊 EMA 13 × 89 crossover system - ✅ Non-repaint - signals confirmed on bar close - 🔔 Built-in alerts for LONG/SHORT entries - 🎯 Visual triangle markers for easy identification **Risk Management** - 💚 Customizable Take Profit (default 2%) - 🛑 Customizable Stop Loss (default 1%) - 🎲 TP/SL calculated from entry price, not current price - 🔒 One position at a time - no pyramiding **Live Dashboard** Real-time stats on your chart: - Total trades executed - TP vs SL hit count - Win rate percentage - Net profit/loss - Current position status ## ⚙️ Settings **Adjustable Parameters:** - EMA Short: 13 (default) - EMA Long: 89 (default) - Take Profit %: 2.0 (recommended 1.5-3.0%) - Stop Loss %: 1.0 (recommended 0.5-1.5%) ## 📈 Best Use Cases **Recommended Timeframes:** - Crypto: 1m, 5m, 15m - Forex: 5m, 15m, 30m - Stocks: 15m, 1h **Best Markets:** - ✅ Cryptocurrency (BTC, ETH, altcoins) - ✅ Major Forex pairs (EUR/USD, GBP/USD) - ✅ Liquid stocks with volatility - ⚠️ Avoid ranging/low-volume markets ## 🎮 How to Use 1. **Add to chart** - Works on any timeframe 2. **Adjust TP/SL** - Set your risk tolerance 3. **Set alerts** - Get notified on new signals 4. **Backtest first** - Test before live trading ## 💡 Pro Tips - Keep TP:SL ratio at 2:1 minimum - Backtest at least 3-6 months of data - Works best in trending markets - Consider adding volume confirmation - Start with paper trading ## 🎯 Strategy Logic **LONG Entry:** EMA 13 crosses above EMA 89 **SHORT Entry:** EMA 13 crosses below EMA 89 **Exit:** Automatic at TP or SL levels ## ⚠️ Risk Warning - For educational purposes only - Always use proper risk management - Test before live trading - Past results ≠ future performance ## 📊 Technical Specs - Pine Script v5 - Non-repaint guaranteed - Long & Short positions - Bar close calculation - Alert compatible --- **Found this useful?** 👍 Like | 💬 Comment | 🔔 Follow for more strategies **Happy Trading! 📈** *Risk only what you can afford to lose.* ``` --- ## 📋 Quick Setup ### Tags: ``` EMA, Scalping, Strategy, Dashboard, Crypto, Forex, Automated, NonRepaintPine Script® strategyby Crypto-Wolf-HP82
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PG DMean & Price Sync ver 8.6 Works well for positional trading, more so for high beta instruments. Use hourly or near hourly charts. MA = use count of candles of three sessions, like Nifty has seven 54 min candles in a session, so 21 is a fair number for Base MA. Approx. half of above number can be used for signal MA, Filter use is optional, check with backtesting, if using filter gives better results. Ideal value to be used for filter is same as base MA. Most instruments give best results with either EMA or VWMA, pick the one that gives better results with your instrument. SMA/DEMA/TEMA can be attempted too. 0.5 to 1% hard stop loss can be used. Pine Script® strategyby ipuneet4
Momentum Pivot Breakout ProMomentum Pivot Breakout Pro OVERVIEW Momentum Pivot Breakout Pro is a sophisticated trading strategy designed to identify and capitalize on significant price breakouts in trending markets. This system combines multiple technical analysis concepts to generate high-probability trade setups with disciplined risk management. KEY FEATURES Trend-Aligned Trading - Identifies the dominant market direction - Takes trades only in alignment with the prevailing trend - Filters out counter-trend noise Intelligent Entry Detection - Identifies key price levels automatically - Waits for confirmed breakout conditions - Optional volume confirmation filter Advanced Risk Management - ATR-based initial stop-loss placement - Dynamic trailing stop mechanism - Protects profits while allowing trends to develop - Stop-loss adapts to market volatility Flexible Trade Direction - Trade both directions (Long & Short) - Long-only mode for bullish markets - Short-only mode for bearish markets Customizable Parameters - Adjustable pivot detection sensitivity - Configurable ATR settings - Customizable stop-loss multipliers - Volume filter toggle USER INPUTS Trade Direction: Choose between Both, Long Only, or Short Only P Length (LR): Controls sensitivity of level detection ATR Length: Volatility measurement period Initial SL: Initial stop-loss distance multiplier Trailing SL: Trailing stop distance multiplier Volume SMA Length: Volume filter period Use Volume Filter: Enable/disable volume confirmation WHAT YOU SEE ON CHART - Active Stop Loss (Red Line) - Current protective stop level - Entry Price (White Line) - Your entry point when in trade - Trailing Activation (Orange Circles) - Price level where trailing begins ⚠️ RISK MANAGEMENT This strategy employs a two-stage stop-loss system: 1. Initial Protection: Fixed stop-loss based on ATR at entry 2. Dynamic Trailing: Adjusts stop-loss as price moves favorably The trailing mechanism only activates after the trade moves a specified distance in profit, ensuring you never give back your initial risk capital while allowing winning trades room to grow. BEST PRACTICES ✓ Use on liquid instruments with clear trends ✓ Backtest on your specific market and timeframe ✓ Adjust parameters based on asset volatility ✓ Consider market conditions when selecting trade direction ✓ Use proper position sizing (strategy uses 10% equity default) ✓ Monitor correlation between volume and price action STRATEGY SETTINGS - Overlay: True (plots on price chart) - Pyramiding: Disabled (one position at a time) - Position Size: 10% of equity (customizable) - Execution: Market orders on signal confirmation 🔒 DISCLAIMER This is a technical analysis-based trading strategy for educational and informational purposes. Past performance does not guarantee future results. Trading involves substantial risk of loss. Always: - Conduct thorough backtesting before live trading - Use appropriate position sizing for your risk tolerance - Understand the strategy behavior in different market conditions - Never risk more than you can afford to lose - Consider seeking advice from qualified financial professionals 📧 SUPPORT & UPDATES This is a closed-source strategy. For questions, issues, or feature requests, please contact the author through TradingView messages. Version: 1.0 | © ravi_matrix | All Rights ReservedPine Script® strategyby ravi_matrixUpdated 6
Madstrat StrategyMadstrat 2.0 Strategy **A structured, rules-based trading system designed for forex and gold traders who want consistency over guesswork.** What This Strategy Does Madstrat 2.0 identifies high-probability trade setups by tracking **how the market has moved over the past few days** and waiting for specific conditions to align before entering. It's not a "catch every move" system—it's built for traders who prefer fewer, higher-quality trades with clear entry rules. The strategy watches for **setup days** (when price has been moving in one direction for 2+ days, then shows signs of reversal) and triggers entries when momentum, price structure, and multiple timeframes all agree. Key Features Day Classification System The strategy automatically labels each trading day (Green Setup Day, Red Setup Day, Inside Day, Breakout Day) so you always know where you are in the market cycle. Signals fire on Day 2 or Day 3 of a setup—the highest-probability windows. Multi-Timeframe Confirmation Entries require alignment across your signal timeframe AND higher timeframes. This filters out weak setups where the bigger picture doesn't support the trade. Built-in Risk Management - A and B Setup Grading : Trades are automatically classified by quality. "A" setups (everything aligned) get larger position sizes; "B" setups (minor misalignment) get reduced risk. - Automatic Breakeven : Moves your stop to breakeven after hitting profit targets or key levels. - P artial Profit Taking : Takes profits at previous day's high/low, then weekly levels, letting runners ride. Visual Trading Aids - Session boxes showing Asian, London, and New York ranges - Killzone highlighting for optimal entry windows - ADR (Average Daily Range) levels showing how much room price has left to move - Exhaustion zones marking where price is likely to stall or reverse Who This Is For - Forex traders working major pairs who want structure instead of discretionary guessing - Gold traders looking for a systematic approach to XAU/USD - Traders who prefer **intraday to swing** timeframes (15m and 30m signal systems) - Anyone tired of random entries and looking for **repeatable, rule-based setups** What Makes It Different This isn't a simple indicator that paints arrows everywhere. Madstrat Strategy requires multiple conditions to align before generating a signal—baseline touches, EMA stack alignment, equilibrium rejection, and higher timeframe confirmation. The result is fewer signals, but ones that come with genuine confluence backing them. The built-in status tables show you exactly which conditions are met (or missing) in real-time, so you're never guessing why a signal did or didn't fire. Settings Flexibility - Choose between Live account or Prop Firm risk profiles - Filter signals by session (Asian, London, NY only) - Adjust confluence requirements for more or fewer signals - Enable/disable visual elements to keep your chart clean Best suited for 15-minute and 30-minute charts. Works on forex majors, crosses, and gold.Pine Script® strategyby ChunkeeTradingUpdated 11127
MK 1 MIN EMA 9 / EMA 21 CrossoverEMA 9 / EMA 21 Crossover Strategy (1-Minute Scalping) This strategy is a clean, fast, and reliable EMA crossover system designed specifically for 1-minute intraday scalping. It uses only EMA 9 and EMA 21, keeping the chart uncluttered while delivering clear BUY and SELL signals based on momentum shifts. 🔹 How It Works BUY Signal: When EMA 9 crosses above EMA 21, indicating bullish momentum. SELL Signal: When EMA 9 crosses below EMA 21, indicating bearish momentum. Signals are confirmed visually using: On-chart BUY / SELL text labels Dynamic EMA color highlighting Smart legend (top-right) that remembers the last active signal 🎨 Visual Features EMA 9 plotted in green (turns bright on bullish trend) EMA 21 plotted in red BUY and SELL labels displayed directly on crossover candles Dynamic legend: BUY row stays green after bullish cross SELL row stays red after bearish cross Makes trend direction instantly clear, even on fast charts ⏱ Best Use Timeframe: 1-minute Suitable for: Index scalping Options scalping High-liquidity stocks & ETFs Works best during high-volume market hoursPine Script® strategyby murali_kolipaka130613
EMA Crossover with Pine Logs2We are exclusively licensed Austria Guides and count on smaller groups – this is how communication with the guests works best. Exciting facts and a large portion of humour are part of our tours, just like a lot of experience and knowledge off the beaten track. We even infect die-hard Vienna connoisseurs with our enthusiasm for the city! If you want to get to know Vienna differently than the average tourist, then we are your perfect partner: We make sure that your travel stories are nowhere to be found. Pine Script® strategyby agodovanik7