OPEN-SOURCE SCRIPT

Hyper Squeeze Sniper (Fast Breakout + Trailing Stop)

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Hyper Squeeze Sniper (Fast Breakout + Trailing Stop)
Tagline: Catch explosive breakouts early with the "Squeeze & Run" logic. Optimized for NASDAQ and high-growth stocks.

Description
The Hyper Squeeze Sniper is a high-performance momentum indicator designed to identify "explosive moves" before they happen. It combines the power of Volatility Squeeze, Smart Volume, and ATR Trailing Stops to help traders enter trends early and exit before the trend reverses.

Unlike traditional lagging indicators, this script focuses on Market Phases:

Compression (The Squeeze): Smart money accumulation.

Expansion (The Breakout): The price explosion.

Trend Run: Riding the momentum.

Termination: Exiting when momentum fades.

How It Works (The Logic)
1. The Squeeze (Gray Zone)
The script uses Bollinger Bands and Keltner Channels to detect periods of low volatility.

Visual: A Gray Background appears on the chart.

Meaning: The market is "quiet." This is the calm before the storm. Do not trade yet. Wait for the breakout.

2. The Blast Off (Buy Signal)
The indicator waits for a valid breakout from the Squeeze zone.

Visual: A Green Arrow ("GO!") and Lime Green Candle.

Trigger Conditions:

Price breaks above the Upper Bollinger Band.

Momentum is positive (confirmed by Linear Regression).

Volume Spike: Volume must exceed the average by 1.5x (Configurable).

Price closes higher than the open (Green Candle).

Action: BUY at the close of the candle.

3. The Safety Line (Trailing Stop)
Once a trade is active, a red line appears below the price.

Visual: A Red Line trailing below the candles.

Logic: This is an ATR Chandelier Exit (default 3.0x ATR). It moves up as the price rises to lock in profits but never moves down.

Action: HOLD as long as the price stays above the red line.

4. The Exit (Sell Signal)
Visual: A Red Cross ("EXIT").

Trigger: When the price closes below the Trailing Stop line.

Action: SELL immediately to protect your capital or lock in profit.

Settings & Optimization
This script comes with optimized defaults for NASDAQ and high-volatility assets:

Squeeze Settings: Standard BB (2.0) and KC (1.5) deviation.

Volume Filter:

1.5x (Default): Best for NASDAQ/Growth Stocks.

1.2x: Recommended for Large Caps (e.g., SET50, S&P500).

2.0x: Recommended for Crypto/Penny Stocks.

Safety Exit (ATR Trailing Stop):

3.0 (Default): Wide stop to withstand high volatility (NASDAQ style).

2.5: Tighter stop for stable stocks.

Dashboard
A real-time status table is located at the top-right corner:

Phase: Shows if the market is in SQUEEZE, EXPANSION, or DOWN mode.

Volume: Alerts "HIGH" when significant volume flows in.

Status: Tells you whether to "HOLD" or "WAIT."

Best Practice
Timeframe: Works best on Daily (1D) and 4-Hour (4H) charts.

Asset Class: Highly effective on Tech Stocks, Growth Stocks, and Crypto.

Risk Management: Always respect the Red Line. If the line breaks, the trend is likely over.

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