The Larry Connors RSI 3 Strategy is a short-term mean-reversion trading strategy. It combines a moving average filter and a modified version of the Relative Strength Index (RSI) to identify potential buying opportunities in an uptrend. The strategy assumes that a short-term pullback within a long-term uptrend is an opportunity to buy at a discount before the trend...
Larry Connors’ %b Strategy is a mean-reversion trading approach that uses Bollinger Bands to identify buy and sell signals based on the %b indicator. This strategy was developed by Larry Connors, a renowned trader and author known for his systematic, data-driven trading methods, particularly those focusing on short-term mean reversion. The %b indicator measures...
Strategy: Friday Bond Short Strategy (1H Timeframe) Objective: This strategy aims to open short positions on a specified day and hour (Eastern Time) and close those positions on another specified day and hour. The background color of the chart will turn green when a position is active, providing a visual cue of an open trade. Parameters: 1. Entry...
The 123 Reversal Trading Strategy is a technical analysis approach that seeks to identify potential reversal points in the market by analyzing price patterns. This Pine Script™ code implements a version of this strategy, and here’s a detailed description: Strategy Overview Objective: The strategy aims to identify bullish reversal patterns using the 123 pattern...
Mac N Cheez Strategy (Set a $200 Take profit Manually) It's super cheesy. Strategy does the following: Here's a detailed explanation of what the entire script does, including its key components, functionality, and purpose. 1. Strategy Setup and Input Parameters: Strategy Name: The script is named "NQ Futures $200/day Strategy" and is set as an overlay,...
This strategy uses the Supertrend indicator combined with RSI to generate buy and sell signals, with stop loss (SL) and take profit (TP) conditions based on ATR (Average True Range). Below is a detailed explanation of each part: 1. General Information BINANCE:ETHUSDT.P Strategy Name: "ETH Signal 15m" Designed for use on the 15-minute time frame for the ETH...
5-Minute High-Performance Strategy with Stop Loss/Take Profit Signals
Black-Scholes Option Pricing Model Strategy The strategy is based on the Black-Scholes option pricing model and allows the calculation of option prices, various option metrics (the Greeks), and the creation of synthetic positions through delta hedging. ATTENTION! Trading derivative financial instruments involves high risks. The author of the strategy is not...
The TRIN (Arms Index), also known as the Short-Term Trading Index, is a technical indicator designed to gauge the internal strength or weakness of the market. It compares the number of advancing and declining stocks to the advancing and declining volume (AD Volume). A TRIN value above 1.0 generally indicates bearish market conditions, while a value below 1.0...
Input Parameters These are settings you can adjust: Box Close: Determines if the strategy should consider signals when a "box" (which could be a period of time or a visual representation) closes. Timeframe: The duration of each candlestick on the chart (e.g., 1 minute, 1 hour, 1 day). High/Low Period: How many past candlesticks to look at when...
Simple oversold buy. Aprovecha la media movil de 298 periodos, velas de 15 minutos y la sobreventa del oro, no usa martingala
The Gann + Laplace Smoothed Hybrid Volume Spread Analysis ( GannLSHVSA ) Strategy/Indicator is an trading tool designed to fuse volume analysis with trend detection, offering traders a view of market dynamics. This Strategy/Indicator stands apart by integrating the principles of the upgraded Discrete Fourier Transform (DFT), the Laplace Stieltjes Transform and...
This trading strategy is designed to open long positions on a specific day of the month, with the conditions for entry and exit based on the VIX index and additional risk management techniques. The strategy includes stop-loss and take-profit features to manage risk and lock in profits. Inputs: Entry Day of the Month (entry_day): Specifies which day of the...
Overview The Double CCI Confirmed Hull Moving Average Strategy utilizes hull moving average (HMA) in conjunction with two commodity channel index (CCI) indicators: the slow and fast to increase the probability of entering when the short and mid-term uptrend confirmed. The main idea is to wait until the price breaks the HMA while both CCI are showing that the...
This trading strategy is designed to automate monthly purchases of a security, adjusting the size of each purchase based on the percentage of the portfolio's equity. The key features of this strategy include: Monthly Purchases: The strategy buys the security on a specified day of each month, based on the user's input. Dynamic Position Sizing: The size of each...
90% win rate Will it work on EUR/USD? Yes, it can, especially during range-bound market conditions. Profitability: By implementing a trend filter (e.g., EMA), using ATR for dynamic stop-loss and take-profit levels, and focusing on maintaining a 1:2 or better risk-reward ratio, you can improve profitability. Risk: Make sure to backtest this strategy thoroughly...
Here's the adjusted strategy description in English, aligned with the house rules: --- ### Strategy Name: Zero-lag TEMA Cross Strategy **Purpose:** This strategy aims to identify entry and exit points in the market using Zero-lag Triple Exponential Moving Averages (TEMA). It focuses on minimizing lag and improving the accuracy of trend-following signals. ###...
WODIsMA Strategy is a versatile trading strategy designed to leverage the strength of moving averages and volatility indicators to provide clear trading signals for both long and short positions. This strategy is suitable for traders looking for a systematic approach to trading with adjustable parameters to fit various market conditions and personal trading...