EMA20 Cross Strategy with countertrades and signalsEMA20 Cross Strategy Documentation
Overview
The EMA20 Cross Strategy with Counter-Trades and Instant Signals is a Pine Script (version 6) trading strategy designed for the TradingView platform. It implements an Exponential Moving Average (EMA) crossover system to generate buy and sell signals, with optional trend filtering, session-based trading, instant signal processing, and visual/statistical feedback. The strategy supports counter-trades (closing opposing positions before entering new ones) and operates with a fixed trade size in EUR.
Features
EMA Crossover Mechanism:
Uses a short-term EMA (configurable length, default: 1) and a long-term EMA (default: 20) to detect crossovers.
A buy signal is generated when the short EMA crosses above the long EMA.
A sell signal is generated when the short EMA crosses below the long EMA.
Instant Signals:
If enabled (useInstantSignals), signals are based on the current price crossing the short EMA, rather than waiting for the candle close.
This allows faster trade execution but may increase sensitivity to price fluctuations.
Trend Filter:
Optionally filters trades based on the trend direction (useTrendFilter).
Long trades are allowed only when the short EMA (or price, for instant signals) is above the long EMA.
Short trades are allowed only when the short EMA (or price) is below the long EMA.
Session Filter:
Restricts trading to specific market hours (sessionStart, default: 09:00–17:00) if enabled (useSessionFilter).
Ensures trades occur only during active market sessions, reducing exposure to low-liquidity periods.
Customizable Timeframe:
The EMA calculations can use a higher timeframe (e.g., 5m, 15m, 1H, 4H, 1D, default: 1H) via request.security.
This allows the strategy to base signals on longer-term trends while operating on a shorter-term chart.
Trade Management:
Fixed trade size of €100,000 per trade (tradeAmount), with a maximum quantity cap (maxQty = 10,000) to prevent oversized trades.
Counter-trades: Closes short positions before entering a long position and vice versa.
Trades are executed with a minimum quantity of 1 to ensure valid orders.
Visualization:
EMA Lines: The short EMA is colored based on the last signal (green for buy, red for sell, gray for neutral), and the long EMA is orange.
Signal Markers: Displays buy/sell signals as arrows (triangles) above/below candles if enabled (showSignalShapes).
Background/Candle Coloring: Optionally colors the chart background or candles green (bullish) or red (bearish) based on the trend (useColoredBars).
Statistics Display:
If enabled (useStats), a label on the chart shows:
Total closed trades
Open trades
Win rate (%)
Number of winning/losing trades
Profit factor (gross profit / gross loss)
Net profit
Maximum drawdown
Configuration Inputs
EMA Short Length (emaLength): Length of the short-term EMA (default: 1).
Trend EMA Length (trendLength): Length of the long-term EMA (default: 20).
Enable Trend Filter (useTrendFilter): Toggles trend-based filtering (default: true).
Color Candles (useColoredBars): Colors candles instead of the background (default: true).
Enable Session Filter (useSessionFilter): Restricts trading to specified hours (default: false).
Trading Session (sessionStart): Defines trading hours (default: 09:00–17:00).
Show Statistics (useStats): Displays performance stats on the chart (default: true).
Show Signal Arrows (showSignalShapes): Displays buy/sell signals as arrows (default: true).
Use Instant Signals (useInstantSignals): Generates signals based on live price action (default: false).
EMA Timeframe (emaTimeframe): Timeframe for EMA calculations (options: 5m, 15m, 1H, 4H, 1D; default: 1H).
Strategy Logic
Signal Generation:
Standard Mode: Signals are based on EMA crossovers (short EMA crossing long EMA) at candle close.
Instant Mode: Signals are based on the current price crossing the short EMA, enabling faster reactions.
Trade Execution:
On a buy signal, closes any short position and opens a long position.
On a sell signal, closes any long position and opens a short position.
Position size is calculated as the minimum of €100,000 or available equity, divided by the current price, capped at 10,000 units.
Filters:
Trend Filter: Ensures trades align with the trend direction (if enabled).
Session Filter: Restricts trades to user-defined market hours (if enabled).
Visual Feedback
EMA Lines: Provide a clear view of the short and long EMAs, with the short EMA’s color reflecting the latest signal.
Signal Arrows: Large green triangles (buy) below candles or red triangles (sell) above candles for easy signal identification.
Chart Coloring: Highlights bullish (green) or bearish (red) trends via background or candle colors.
Statistics Label: Displays key performance metrics in a label above the chart for quick reference.
Usage Notes
Initial Capital: €100,000 (configurable via initial_capital).
Currency: EUR (set via currency).
Order Processing: Orders are processed at candle close (process_orders_on_close=true) unless instant signals are enabled.
Dynamic Requests: Allows dynamic timeframe adjustments for EMA calculations (dynamic_requests=true).
Platform: Designed for TradingView, compatible with any market supported by the platform (e.g., stocks, forex, crypto).
Example Use Case
Scenario: Trading on a 5-minute chart with a 1-hour EMA timeframe, trend filter enabled, and session filter set to 09:00–17:00.
Behavior: The strategy will:
Calculate EMAs on the 1-hour timeframe.
Generate buy signals when the short EMA crosses above the long EMA (and price is above the long EMA).
Generate sell signals when the short EMA crosses below the long EMA (and price is below the long EMA).
Execute trades only during 09:00–17:00.
Display green/red candles and performance stats on the chart.
Limitations
Instant Signals: May lead to more frequent signals, increasing the risk of false positives in volatile markets.
Fixed Trade Size: Does not adjust dynamically based on market conditions beyond equity and max quantity limits.
Session Filter: Simplified and may not account for complex session rules or holidays.
Statistics: Displayed on-chart, which may clutter the view in smaller charts.
Customization
Adjust emaLength and trendLength to suit different market conditions (e.g., shorter for scalping, longer for swing trading).
Toggle useInstantSignals for faster or more stable signal generation.
Modify sessionStart to align with specific market hours.
Disable useStats or showSignalShapes for a cleaner chart.
This strategy is versatile for both manual and automated trading, offering flexibility for various markets and trading styles while providing clear visual and statistical feedback.
Индикаторы и стратегии
Optimized ADX DI CCI Strategy### Key Features:
- Combines ADX, DI+/-, CCI, and RSI for signal generation.
- Supports customizable timeframes for indicators.
- Offers multiple exit conditions (Moving Average cross, ADX change, performance-based stop-loss).
- Tracks and displays trade statistics (e.g., win rate, capital growth, profit factor).
- Visualizes trades with labels and optional background coloring.
- Allows countertrading (opening an opposite trade after closing one).
1. **Indicator Calculation**:
- **ADX and DI+/-**: Calculated using the `ta.dmi` function with user-defined lengths for DI and ADX smoothing.
- **CCI**: Computed using the `ta.cci` function with a configurable source (default: `hlc3`) and length.
- **RSI (optional)**: Calculated using the `ta.rsi` function to filter overbought/oversold conditions.
- **Moving Averages**: Used for CCI signal smoothing and trade exits, with support for SMA, EMA, SMMA (RMA), WMA, and VWMA.
2. **Signal Generation**:
- **Buy Signal**: Triggered when DI+ > DI- (or DI+ crosses over DI-), CCI > MA (or CCI crosses over MA), and optional ADX/RSI filters are satisfied.
- **Sell Signal**: Triggered when DI+ < DI- (or DI- crosses over DI+), CCI < MA (or CCI crosses under MA), and optional ADX/RSI filters are satisfied.
3. **Trade Execution**:
- **Entry**: Long or short trades are opened using `strategy.entry` when signals are detected, provided trading is allowed (`allow_long`/`allow_short`) and equity is positive.
- **Exit**: Trades can be closed based on:
- Opposite signal (if no other exit conditions are used).
- MA cross (price crossing below/above the exit MA for long/short trades).
- ADX percentage change exceeding a threshold.
- Performance-based stop-loss (trade loss exceeding a percentage).
- **Countertrading**: If enabled, closing a trade triggers an opposite trade (e.g., closing a long opens a short).
4. **Visualization**:
- Labels are plotted at trade entries/exits (e.g., "BUY," "SELL," arrows).
- Optional background coloring highlights open trades (green for long, red for short).
- A statistics table displays real-time metrics (e.g., capital, win rates).
5. **Trade Tracking**:
- Tracks the number of long/short trades, wins, and overall performance.
- Monitors equity to prevent trading if it falls to zero.
### 2.3 Key Components
- **Indicator Calculations**: Uses `request.security` to fetch indicator data for the specified timeframe.
- **MA Function**: A custom `ma_func` handles different MA types for CCI and exit conditions.
- **Signal Logic**: Combines crossover/under checks with recent bar windows for flexibility.
- **Exit Conditions**: Multiple configurable exit strategies for risk management.
- **Statistics Table**: Updates dynamically with trade and capital metrics.
## 3. Configuration Options
The script provides extensive customization through input parameters, grouped for clarity in the TradingView settings panel. Below is a detailed breakdown of each setting and its impact.
### 3.1 Strategy Settings (Global)
- **Initial Capital**: Default `10000`. Sets the starting capital for backtesting.
- **Effect**: Determines the base equity for calculating position sizes and performance metrics.
- **Default Quantity Type**: `strategy.percent_of_equity` (50% of equity).
- **Effect**: Controls the size of each trade as a percentage of available equity.
- **Pyramiding**: Default `2`. Allows up to 2 simultaneous trades in the same direction.
- **Effect**: Enables multiple entries if conditions are met, increasing exposure.
- **Commission**: 0.2% per trade.
- **Effect**: Simulates trading fees, reducing net profit in backtesting.
- **Margin**: 100% for long and short trades.
- **Effect**: Assumes no leverage; adjust for margin trading simulations.
- **Calc on Every Tick**: `true`.
- **Effect**: Ensures real-time signal updates for precise execution.
### 3.2 Indicator Settings
- **Indicator Timeframe** (`indicator_timeframe`):
- **Options**: `""` (chart timeframe), `1`, `5`, `15`, `30`, `60`, `240`, `D`, `W`.
- **Default**: `""` (uses chart timeframe).
- **Effect**: Determines the timeframe for ADX, DI, CCI, and RSI calculations. A higher timeframe reduces noise but may delay signals.
### 3.3 ADX & DI Settings
- **DI Length** (`adx_di_len`):
- **Default**: `30`.
- **Range**: Minimum `1`.
- **Effect**: Sets the period for calculating DI+ and DI-. Longer periods smooth trends but reduce sensitivity.
- **ADX Smoothing Length** (`adx_smooth_len`):
- **Default**: `14`.
- **Range**: Minimum `1`.
- **Effect**: Smooths the ADX calculation. Longer periods produce smoother ADX values.
- **Use ADX Filter** (`use_adx_filter`):
- **Default**: `false`.
- **Effect**: If `true`, requires ADX to exceed the threshold for signals to be valid, filtering out weak trends.
- **ADX Threshold** (`adx_threshold`):
- **Default**: `25`.
- **Range**: Minimum `0`.
- **Effect**: Sets the minimum ADX value for valid signals when the filter is enabled. Higher values restrict trades to stronger trends.
### 3.4 CCI Settings
- **CCI Length** (`cci_length`):
- **Default**: `20`.
- **Range**: Minimum `1`.
- **Effect**: Sets the period for CCI calculation. Longer periods reduce noise but may lag.
- **CCI Source** (`cci_src`):
- **Default**: `hlc3` (average of high, low, close).
- **Effect**: Defines the price data for CCI. `hlc3` is standard, but users can choose other sources (e.g., `close`).
- **CCI MA Type** (`ma_type`):
- **Options**: `SMA`, `EMA`, `SMMA (RMA)`, `WMA`, `VWMA`.
- **Default**: `SMA`.
- **Effect**: Determines the moving average type for CCI signal smoothing. EMA is more responsive; VWMA weights by volume.
- **CCI MA Length** (`ma_length`):
- **Default**: `14`.
- **Range**: Minimum `1`.
- **Effect**: Sets the period for the CCI MA. Longer periods smooth the MA but may delay signals.
### 3.5 RSI Filter Settings
- **Use RSI Filter** (`use_rsi_filter`):
- **Default**: `false`.
- **Effect**: If `true`, applies RSI-based overbought/oversold filters to signals.
- **RSI Length** (`rsi_length`):
- **Default**: `14`.
- **Range**: Minimum `1`.
- **Effect**: Sets the period for RSI calculation. Longer periods reduce sensitivity.
- **RSI Lower Limit** (`rsi_lower_limit`):
- **Default**: `30`.
- **Range**: `0` to `100`.
- **Effect**: Defines the oversold threshold for buy signals. Lower values allow trades in more extreme conditions.
- **RSI Upper Limit** (`rsi_upper_limit`):
- **Default**: `70`.
- **Range**: `0` to `100`.
- **Effect**: Defines the overbought threshold for sell signals. Higher values allow trades in more extreme conditions.
### 3.6 Signal Settings
- **Cross Window** (`cross_window`):
- **Default**: `0`.
- **Range**: `0` to `5` bars.
- **Effect**: Specifies the lookback period for detecting DI+/- or CCI crosses. `0` requires crosses on the current bar; higher values allow recent crosses, increasing signal frequency.
- **Allow Long Trades** (`allow_long`):
- **Default**: `true`.
- **Effect**: Enables/disables new long trades. If `false`, only closing existing longs is allowed.
- **Allow Short Trades** (`allow_short`):
- **Default**: `true`.
- **Effect**: Enables/disables new short trades. If `false`, only closing existing shorts is allowed.
- **Require DI+/DI- Cross for Buy** (`buy_di_cross`):
- **Default**: `true`.
- **Effect**: If `true`, requires a DI+ crossover DI- for buy signals; if `false`, DI+ > DI- is sufficient.
- **Require CCI Cross for Buy** (`buy_cci_cross`):
- **Default**: `true`.
- **Effect**: If `true`, requires a CCI crossover MA for buy signals; if `false`, CCI > MA is sufficient.
- **Require DI+/DI- Cross for Sell** (`sell_di_cross`):
- **Default**: `true`.
- **Effect**: If `true`, requires a DI- crossover DI+ for sell signals; if `false`, DI+ < DI- is sufficient.
- **Require CCI Cross for Sell** (`sell_cci_cross`):
- **Default**: `true`.
- **Effect**: If `true`, requires a CCI crossunder MA for sell signals; if `false`, CCI < MA is sufficient.
- **Countertrade** (`countertrade`):
- **Default**: `true`.
- **Effect**: If `true`, closing a trade triggers an opposite trade (e.g., close long, open short) if allowed.
- **Color Background for Open Trades** (`color_background`):
- **Default**: `true`.
- **Effect**: If `true`, colors the chart background green for long trades and red for short trades.
### 3.7 Exit Settings
- **Use MA Cross for Exit** (`use_ma_exit`):
- **Default**: `true`.
- **Effect**: If `true`, closes trades when the price crosses the exit MA (below for long, above for short).
- **MA Length for Exit** (`ma_exit_length`):
- **Default**: `20`.
- **Range**: Minimum `1`.
- **Effect**: Sets the period for the exit MA. Longer periods delay exits.
- **MA Type for Exit** (`ma_exit_type`):
- **Options**: `SMA`, `EMA`, `SMMA (RMA)`, `WMA`, `VWMA`.
- **Default**: `SMA`.
- **Effect**: Determines the MA type for exit signals. EMA is more responsive; VWMA weights by volume.
- **Use ADX Change Stop-Loss** (`use_adx_stop`):
- **Default**: `false`.
- **Effect**: If `true`, closes trades when the ADX changes by a specified percentage.
- **ADX % Change for Stop-Loss** (`adx_change_percent`):
- **Default**: `5.0`.
- **Range**: Minimum `0.0`, step `0.1`.
- **Effect**: Specifies the percentage change in ADX (vs. previous bar) that triggers a stop-loss. Higher values reduce premature exits.
- **Use Performance Stop-Loss** (`use_perf_stop`):
- **Default**: `false`.
- **Effect**: If `true`, closes trades when the loss exceeds a percentage threshold.
- **Performance Stop-Loss (%)** (`perf_stop_percent`):
- **Default**: `-10.0`.
- **Range**: `-100.0` to `0.0`, step `0.1`.
- **Effect**: Specifies the loss percentage that triggers a stop-loss. More negative values allow larger losses before exiting.
## 4. Visual and Statistical Output
- **Labels**: Displayed at trade entries/exits with arrows (↑ for buy, ↓ for sell) and text ("BUY," "SELL"). A "No Equity" label appears if equity is zero.
- **Background Coloring**: Optionally colors the chart background (green for long, red for short) to indicate open trades.
- **Statistics Table**: Displayed at the top center of the chart, updated on timeframe changes or trade events. Includes:
- **Capital Metrics**: Initial capital, current capital, capital growth (%).
- **Trade Metrics**: Total trades, long/short trades, win rate, long/short win rates, profit factor.
- **Open Trade Status**: Indicates if a long, short, or no trade is open.
## 5. Alerts
- **Buy Signal Alert**: Triggered when `buy_signal` is true ("Cross Buy Signal").
- **Sell Signal Alert**: Triggered when `sell_signal` is true ("Cross Sell Signal").
- **Usage**: Users can set up TradingView alerts to receive notifications for trade signals.
MTF FVG Confluence v6 — JSON Alerts via alert()This strategy combines multi-timeframe confluence with candlestick analysis and fair value gaps (FVGs) to generate structured long/short entries. It aligns Daily and 4H EMA trends with 1H MACD momentum, then confirms with engulfing candles and FVG zones for precision entries. Risk management is built-in, featuring stop-loss, 3R take-profit targets, and optional break-even logic, with dynamic JSON alerts for webhook automation.
Categories:
Candlestick analysis
Chart patterns
Cycles
dabilThe strategy is probably to go short or long with the trend depending on the case, but if all time units 1 minute then 3 minutes then 5 minutes then 15 minutes then 1 hour all show the same direction, but first the 1 hour must be bullish in which the 1 hour candle closes above the previous one, for example if the trend is bearish then the market wants to change direction, then a 1 hour bullish close must then be followed by a 1 hour bearish close below the bullish candle, then another bullish candle must shoot above the previous bullish candle, then 15 minutes also shoot above the previous 15 bullish candles, then 1 and 2...3.5. Then I can rise with the market by only covering the last 15 bullish candles with my stop loss, if my SL is 50 pips then I want 100 pips and then I'm out.
AlphaFlow — Direcional Pro [Strategy] — Risk % & Dynamic EquityAlphaFlow is a directional strategy designed to capture trend shifts using a dual moving average system, enhanced with RSI and ATR regime filters, and a long-term EMA filter for confirmation.
Key Features
Dynamic Position Sizing: Risk per trade is based on a fixed % of account equity, with optional dynamic equity growth.
Stop-Loss Options: Choose between ATR-based stop or swing-point stop.
Trade Management:
TP1 is placed at a user-defined risk multiple (R).
Once TP1 is hit, an optional ATR trailing stop activates until TP2 is reached or the stop is triggered.
Visual Tools: Fast/slow EMAs, long EMA, ATR channels, and optional divergence markers for context (do not affect entries).
Backtest Ready: Includes configurable commission, capital, and position sizing.
Use Case
This strategy is built for traders who want systematic trend-following entries with structured risk management. Its modular inputs allow adaptation across assets and timeframes.
⚠️ Disclaimer: Past performance does not guarantee future results. Always validate parameters before live use.
AI - 200 EMA with Offsets StrategyLong when close price crosses above +4% offset 200 day EMA
Sell when close price crosses below -6.5% offset 200 day EMA
My Backtest Module### 📊 Universal Backtest Module - Pro Structure
**A Fully Customizable Strategy Framework for Advanced Backtesting & Signal Analysis**
This powerful Pine Script strategy is designed as a **universal testing module** for traders and developers who want to evaluate custom trading logic across multiple conditions, timeframes, and risk parameters — all within a single, flexible structure.
> ⚠️ **Note:** This script is intended for **educational and backtesting purposes only**. It does **not** provide financial advice, nor does it guarantee profits. Always test strategies thoroughly before applying them to live markets.
---
### 🔧 Key Features
✅ **Multi-Source Entry Signals**
Combine up to two independent buy/sell signals using flexible logic:
- **OR Logic**: Trigger on any signal (edge-based).
- **AND Logic (Latched)**: Requires both signals at any point (flip-flop style).
- **AND No Latch**: Both signals must be active simultaneously.
✅ **Dynamic Trade Direction Control**
Choose between:
- Long & Short (Both)
- Long Only
- Short Only
With optional **close-on-opposite-signal** and **wait-for-opposite-reentry** logic.
✅ **Precision Timing Filters**
- Date range filtering (start/end dates)
- Intraday session control (supports up to 3 custom sessions)
- Visual session shading for clarity
✅ **Advanced Risk Management**
- Multiple Stop Loss types:
- Fixed Points / Percent
- ATR-based (adjustable multiplier)
- Swing-based (automatically detects pivots)
- External SL source
- Dynamic position sizing:
- Fixed lot
- % of equity risk (with max fallback)
✅ **Smart Take Profit Options**
- Fixed Points, Percent, RR Ratio, ATR, Fibonacci extensions
- Support for **external TP levels** (user-defined sources)
- Optional **multiple partial exits** with customizable size distribution
- Fibonacci TP levels (1.0, 1.618, 2.618, 4.236) based on SL distance
✅ **Flexible Exit Tools**
- Breakeven stop activation after TP1 hit
- Internal swing-based trailing stop
- External trailing stop (custom source)
- Max holding time (auto-close after X candles)
- Custom close conditions via user-defined logic
- Close & reverse functionality
✅ **Visual Clarity & Feedback**
- Clear visual markers for Buy/Sell signals
- Real-time SL, Entry, and TP lines with color-coded risk/reward zones
- On-chart TP level labels showing prices and allocation percentages
- Session background highlighting
- Trade statistics summary label
---
### 🛠️ Ideal For:
- Testing new indicator combinations
- Validating entry/exit logic under various market filters
- Comparing signal fusion methods (OR vs AND)
- Simulating professional-grade risk management rules
- Educational demonstrations in algorithmic trading
---
### ⚠️ Important Notes
- This is a **backtesting tool**, not a live trading bot.
- Past performance is **not indicative of future results**.
- Strategy performance depends entirely on the quality of input signals.
- Always validate results across multiple assets and timeframes.
- Use in conjunction with sound money management principles.
---
### 📌 How to Use
1. Attach the script to your chart.
2. Configure **Buy/Sell Signal Sources** (e.g., RSI crossovers, moving averages, etc.)
3. Set your preferred **trade direction, session, and date filters**
4. Define **stop loss and take profit rules**
5. Adjust position sizing and exit behavior
6. Run the backtest and analyze results in the **Strategy Tester tab**
💡 *Tip: Combine with other indicators by referencing their output values as signal sources.*
---
### ❌ Disclaimer
This script is shared for **informational and educational purposes only**. By using it, you agree that:
- The author is **not responsible** for any financial losses.
- Trading involves significant risk; only risk capital should be used.
- You are solely responsible for your trading decisions.
🚫 **This script does not promote get-rich-quick schemes, guaranteed profits, or unverified performance claims.**
---
🔁 **Version:** 5 (Pine Script v5)
📦 **Category:** Strategy
📈 **Overlay:** Yes
🧪 **Purpose:** Backtesting, Signal Validation, Risk Modeling
---
✅ **Safe for Public Sharing**
✔ Complies with TradingView’s community standards
✔ No misleading performance claims
✔ No automated trading promises
✔ No copyrighted or plagiarized content
---
> 💬 *"Knowledge is power — test wisely, trade responsibly."*
---
Let me know if you'd like a **short version** for the script's header comment or a **public post summary** for the TradingView feed!
Amazin + Crack Super trend + Moving AveragesMoving averages with super trend mix . great way to catch some momentum buys .
NIFTY_2min_FVG_Buy_StrategySummary
This strategy is designed for scalping Nifty on a 2-minute chart, focusing exclusively on long entries. The script's purpose is to identify and act on specific bullish reversal patterns based on volume analysis and price action.
Concept & Core Logic
The strategy operates on a two-stage confirmation process:
Volume Absorption: The initial condition seeks to identify potential bullish reversals by detecting signs of selling pressure being absorbed by buyers. This suggests that a downward move may be losing momentum.
Fair Value Gap (FVG) Confirmation: After a volume absorption signal, the strategy waits for a Fair Value Gap (FVG) to appear. A long entry signal is generated only after a candle closes above the FVG zone, serving as confirmation of bullish intent.
Risk Management
The strategy employs a fixed take profit and stop loss for each trade, based on the Nifty underlying price:
Take Profit: The exit signal is triggered when a trade reaches a 25-point profit.
Stop Loss: The exit signal is triggered when a trade reaches a 30-point loss.
Intended Use
This tool is intended for traders who:
Utilize mechanical, rule-based systems for intraday trading and scalping.
Are interested in studying a structured approach that combines volume analysis with price action inefficiencies like Fair Value Gaps.
Two bullish candles buy and bearish candles sellA simple strategy for test.
Buy when two consecutive bullish candles.
Sell when two consecutive bearish candles.
EMA MACD - 5-20Based on Crossover and Big timeframe EMA Support and resistance this strategy is developed.
Master Arb Recipes – 3 Commas signal Bot integration Master Arb Recipes – 3 Commas signal Bot integration
Purpose
A systematic arbitrage/accumulation framework with pre-tuned “recipes” for BTC/ETH/XRP/SUI/SOL plus a fully manual mode. It automates signal generation for external execution bots (via alert() JSON), while showing on-chart panels for goals, active parameters, DCA position, and P&L/ROI/CAGR. Backtests simulate market orders with optional slippage and TradingView commissions.
Key ideas
Entries: Intrabar trigger when price drops by the recipe’s Entry drop % from the previous close.
Exits: Profit-taking when price rises by the recipe’s Exit rise % (optionally requiring price above average cost).
DCA accounting: Tracks running quantity, average cost, realized (cash) P&L, and unrealized (coin) P&L.
Capital planning: “ReqCap” column estimates capital = Entry $ × Allowed entries (UI only; does not affect orders).
Alerts (live only): Sends minimal Custom Signal JSON for enter_long / exit_long to your execution bot.
What’s included on chart
Top-Right: Strategy Goals Table
Describes the objective for each preset. Auto-filters by the chart’s base (optional).
Bottom-Left: Active Recipe Panel (with 3C UI column)
Shows the active preset (or custom) with: timeframe, Sell-Above-Cost state, Entry/Exit %, Exit-as-%-of-Entry, min bars between entries, once-per-bar gate, and 3Commas UI guidance for optional filters and per-order dollars.
Top-Left: DCA Panel
Current base quantity, average cost, and realized P&L.
Bottom-Right: P&L + ROI/CAGR Panel
Cash P&L (realized), Coin P&L (unrealized), Total P&L, ROI since first fill, and annualized CAGR. Displays denominators for both StartCap (strategy.initial_capital) and ReqCap (planning).
Presets
BTC: STH1_D, LTH1_6H, LTH2_D, LTH3_W, LTH4_6H
ETH: STH1_D, STH2_D, LTH1_D
XRP: STH1_D, STH2_6H, LTH1_6H, LTH2_1H
SUI: STH1_D, STH2_D, STH3_D
SOL: STH1_D, LTH1_D
Each preset sets Entry drop %, Exit rise %, default Entry $, Exit-as-%-of-Entry, Sell-Above-Cost flag, and a reference timeframe (display only). Custom mode lets you define these manually.
Inputs you’ll use
3Commas Custom Signal: secret, bot_uuid, max_lag_sec.
Start Window: Exact date/time + timezone to begin trading/signals.
Entry/Exit Parameters: Entry drop %, Exit rise %, Sell Above Avg Cost toggle, Exit as % of Entry.
Capital Planning: Allowed entries (for ReqCap), Entry $ override (panel only).
Execution/Sim: Simulated slippage %, once-per-bar gate, minimum bars between entries, TradingView commission.
Panels: Toggles + positions for each table.
Alert / Bot integration
Alerts fire only in realtime (barstate.isrealtime) on order submission.
Create one alert on this script using “Any alert() function call”.
Payload (Custom Signal style) includes:
secret, bot_uuid, max_lag, timestamp, trigger_price, tv_exchange, tv_instrument, action where action ∈ {enter_long, exit_long}.
Sizing: This script does not include per-order sizing in the JSON; size in your bot UI. The on-chart Entry $ / Exit $ values are for planning/backtest display.
3Commas optional filter mapping (shown in the panel’s “3C UI” column):
Entry filters:
Same order: set to –EntryDrop% (ON)
From average entry: set to –EntryDrop% (ON)
Exit filters:
If Sell Above Cost = ON → From average entry +ExitRise% (ON); Same order OFF
If Sell Above Cost = OFF → Same order +ExitRise% (ON); From average entry OFF
Per-order volume: Use your bot’s UI. Panel shows the dollars you planned (Entry $ and Exit $).
Backtest notes & limitations
Uses calc_on_every_tick=true and intrabar checks against the previous close for entry drops; historical behavior won’t perfectly match exchange microstructure.
process_orders_on_close=false; fills are simulated at bar prices with your slippage setting and TV commission.
Alerts and webhook timing depend on TradingView + broker/exchange latencies; use max_lag_sec accordingly.
Required Capital (ReqCap) is for planning only and does not reserve funds or constrain orders.
Recommended markets/timeframes
Crypto spot or futures charts that trade 24/7. Preset labels (D/6H/1H/W) are reference rhythms for volatility; the script runs on any timeframe but results will vary.
Change log (04092025)
Added 3C UI guidance column in Active Recipe panel (dynamic % per recipe).
Restored Goals (top-right) and P&L/ROI/CAGR (bottom-right with StartCap & ReqCap).
Minor UI clarifications; trading logic unchanged.
Disclaimer
This script is for research and education. It is not financial advice and makes no performance promises. Backtests are hypothetical and subject to substantial limitations. Markets involve risk; you can lose capital. Test on paper first and deploy at your own discretion. Licensed under the Mozilla Public License 2.0.
Rev Smart Pivot V5.0 by SJKimRev Smart Pivot V5.0 by SJKim
Rev Smart Pivot V5.0 by SJKim
Rev Smart Pivot V5.0 by SJKim
News Volatility Bracketing StrategyThis is a news-volatility bracketing strategy. Five seconds before a scheduled release, the strategy brackets price with a buy-stop above and a sell-stop below (OCO), then converts the untouched side into nothing while the filled side runs with a 1:1 TP/SL set the same distance from entry. Distances are configurable in USD or %, so it scales to the instrument and can run on 1-second data (or higher TF with bar-magnifier). The edge it’s trying to capture is the immediate, one-directional burst and liquidity vacuum that often follows market-moving news—entering on momentum rather than predicting direction. Primary risks are slippage/spread widening and whipsaws right after the print, which can trigger an entry then snap back to the stop.
AI KNN-Dual SuperTrend MTF - by Trading Pine Lab🇬🇧
The AI KNN-Dual SuperTrend MTF is a next-generation trading strategy that merges two higher-timeframe SuperTrends with dual KNN (K-Nearest Neighbors) classifiers, an ADX/DMI filter, and a Pivot Percentile bias module. This layered architecture ensures stronger signal confirmation by requiring consensus across AI models, multi-timeframe SuperTrends, and statistical filters.
Entries occur only when both SuperTrends align with bullish or bearish KNN labels, while the ADX/DMI filter validates momentum. Exits are managed dynamically with adaptive trailing stops (ST ± ATR × factor) or when market conditions flip according to percentile bias.
All parameters are fully configurable:
-Trading direction filter: Long / Short / Both.
-KNN classifiers: neighbors (K), dataset size (N), smoothing lengths.
-Dual SuperTrend: higher timeframes, ATR length, ATR factor, baseline type.
-ADX/DMI filter: customizable length and timeframe.
-Pivot Percentile module: multi-scale statistical bias.
-Visualization: AI markers, ribbons, aura lines, and per-trend coloring.
Flex-ATR SuperTrend - by Trading Pine Lab🇬🇧
The Flex-ATR SuperTrend is a versatile trading strategy that enhances the classic SuperTrend with adjustable ATR methods, a custom date-range filter, and modern visual styling. By allowing a switch between standard ATR and SMA-based TR, the baseline adapts better to different volatility regimes and market conditions.
Entries are triggered when the SuperTrend flips bullish, while exits occur when it flips bearish. A highlight cloud emphasizes the active trend, and optional BUY/SELL labels provide clear visual confirmation of entry and exit signals.
All parameters are fully configurable:
-ATR settings: period and multiplier, with toggle between classic ATR and SMA-based TR.
-Date range filter: define exact backtesting windows.
-Signal visualization: optional BUY/SELL labels.
-Highlight cloud: cyan/magenta overlay for trend emphasis.
-Customization: enable/disable signals and visuals for a clean or detailed interface.
Dual-BB SuperTrend - by Trading Pine Lab🇬🇧
The Dual-BB SuperTrend is a fusion strategy that builds a BBTrend oscillator from two Bollinger Bands (short & long lookbacks) and then runs a SuperTrend over that oscillator to time entries and exits. The BBTrend captures expansion/contraction between the two bands (structural momentum), while the SuperTrend converts that flow into clear directional flips.
Entries occur on SuperTrend direction flips over the BBTrend series (Long when ST turns bullish, Short when it turns bearish). Optional percentage TP/SL can be applied on top. The chart includes a blue/orange theme for the BBTrend histogram with a subtle glow around the zero line, and BUY/SELL label markers with arrows for clean visual confirmation.
All parameters are fully configurable:
-Trading direction filter: Long / Short / Both.
-Bollinger settings: short length, long length, standard-deviation multiplier.
-SuperTrend over BBTrend: length and ATR factor, contrarian labels toggle, bull/bear colors.
-Risk controls: Take-Profit % and Stop-Loss % with TP/SL/Both/None mode.
-Visualization: BBTrend column colors (blue/orange, strong/weak), zero-line glow, BUY/SELL label styling.
Gaussian Trend Rider - by Trading Pine Lab🇬🇧
The Gaussian Trend Rider is a clean and effective trend-following strategy based on a simulated Gaussian filter (double SMA smoothing).
Long entries are triggered when the price closes above the Gaussian trend line, and positions are exited when the price closes back below it.
The strategy is designed to keep trading simple while still offering visual clarity:
A dynamic trend line that adapts with price.
An optional ATR-based "waterfall cloud", adding subtle context about volatility and confidence.
Entry and exit markers for clear visual confirmation.
This minimalistic approach is ideal for traders who prefer riding established trends without overcomplicating the setup.
Configurable parameters:
-Trend Length (Gaussian smoothing window).
-Styling options (line width, static/dynamic coloring, markers, ATR cloud).
Bull-Bear Power ZScore - by Trading Pine Lab🇬🇧
The Bull-Bear Power ZScore Strategy is an advanced trading framework that integrates Bull-Bear Power (BBP) with a statistical Z-Score model.
BBP measures the relative strength of buyers vs. sellers against an EMA baseline, while the Z-Score standardizes this relationship to detect statistically significant breakouts.
This dual-layer approach provides early trend detection while reducing noise from raw momentum signals.
Entries are triggered when the Z-Score crosses above or below its threshold (long above +T, short below –T). Exits occur when the Z-Score crosses back to zero, ensuring trades close when momentum fades.
A dynamic multi-level take-profit system is integrated, using ATR-based targets (TP1, TP2, TP3) that automatically adapt to **volume context** (high/medium/low) and **percentile analysis** (distribution of price and volume).
This ensures profit targets stretch in strong environments and tighten in weaker conditions, optimizing both risk and reward.
All parameters are fully configurable:
-Bull-Bear Power Settings: EMA length, Z-Score length, Z-Score threshold.
-Take Profit Settings: enable/disable TP system, ATR period, TP1–TP3 multipliers, TP1–TP3 position sizes.
-Volume Analysis: volume MA period, high/medium/low multipliers, adjustment factors.
-Percentile Analysis: percentile lookback period, high/medium/low thresholds, adjustment factors.






















