This strategy is based off of Chris Moody's Vix Fix Indicator . I simply used his indicator and added some rules around it, specifically on entry and exits. Rules : Enter upon a filtered or aggressive entry If there are multiple entry signals, allow pyramiding Exit when there is Stochastic RSI crossover above 80 This works great on a number of...
This is a second attempt at an easy to understand multiple time frame strategy. This one uses ATR for exits. If the position is long, and the price closes below the ATR multiplier, it triggers a close. If the position is short, and the price closes above the ATR/multiplier, it triggers a close. This generates a lot of little trades but is useful because it...
A simple strategy that uses the PPO divergences to open trades and the highs/lows to close them. Credit to Pekipek for this PPO Divergence indicator (I changed the visuals a bit) STRATEGY Purple circle - bullish divergence - enter LONG Orange circle - bearish divergence - enter SHORT Green dot - high point - exit LONG Red dot - low point - exit SHORT That's it....
As we all know, timeframe agreement is a powerful tool. This strategy uses 4 time frames and the Keltner ATR for entries and exits.
Hey everyone, this is one strategy that I have found profitable over time. It is a multiple time frame strategy that utilizes 3 time-frames. Highest time-frame is the trend, medium time-frame is the momentum and short time-frame is the entry point. Long Term: - If closed candle is above entry then we are looking for longs, otherwise we are looking for shorts ...
2nd patch Found an error in the orders. Script was making double orders at times. I fixed it. It is tuned as such: NZDUSD 15 min chart starting $USD to show 1000 contracts for minicontract with FXCM (start date 3-18 $633 ** see note) Indicator plots Starting equity-trade gain and loses-number of trades time spread = net money ** with 1:50 leverage it requires...
Found an error in the orders. Script was making double orders at times. I fixed it. It is tuned as such: NZDUSD 15 min chart starting $USD to show 1000 contracts for minicontract with FXCM (start date 3-18 $633 with 1:50 leverage) Indicator plots ==> Starting equity - (trade gain and loses) - (number of trades) * (spread) = true balance estimate
This strategy is based on my Indicator Integrator. The code sums the distances from the close of the price to an SMA (200 in example) with a summation period of the last 29 bars. I tuned this to NZDUSD 15min chart using 200SMA and 29 period sum. If I am reading strat tester correctly this hits a 39% gain since Mar-13 or 104 days. It has the ability to set stops...
Code takes six pairs that are highly correlated to GBPNZD and determines if their ROC's are increasing or decreasing. If a pair has an increasing ROC it is given a 1, if decreasing a -1. The numbers are all added up (this is similar to a count for counting cards in blackjack). If the count goes positive the strategy enters a long position, if negative a short...
Double Bollinger Strategy. Price crosses inner BB (with increasing outer BB) long is placed. Long is closed when price closes below outer BB. Reversed for short. The numbers are tuned for NZDUSD 15min chart. Pbin = percent on inner BB Pbout = percent on outer BB There are all kinds of other inputs, trailing stop, limit, etc. Errors, questions, suggestions are...
This is a light weight code and strategy. I tuned it for NZDUSD on a 15 min chart. NZDUSD is a slow moving low volatility pair. A single SMA cross over + crossing a .9 BB + the single SMA is increasing. I will be manually trading this with alerts and once I have LUA down I will set it free with FXCM and see what it can do on it own. ** I use BB as a means of...
UPDATE: IMPORTANT!!! MAKE SURE "RECALCULATE AFTER ORDER FILLED" IS CHECKED. I will have it on by default in the future. This is a continuation of my previous scripts of two MACD indicators with a Stochastic RSI indicator. New features: - Alternate MACD time interval You can now set the time interval for the second MACD indicator to a different resolution...
WARNING: despite of strategy doesn't use future data (not repaints) it doesn't consider broker`s commissions, which can be harmful for real life high frequency trading. Strategy will definitely fail on non-ordinary security behavior. But if new behavior will get stable, tuned params should make strategy profitable again. This is the second version of this...
This Strategy goes long when Sharpe Ratio is > 1 and Alpha against the S&P500 is generated. It exits when conditions break away. en.wikipedia.org(finance). Use on daily or 5min.
I've been trying to put a stop loss in the High or Low of the last second bar after I open a position but in this example the only way to close it, is with the opposite action. Does anyone know how to put a stop loss and order with just stop loss and close when there is a bullish or bearish engulfing bar?
WARNING: despite of strategy doesn't use future data (not repaints) it doesn't consider broker`s commissions, which can be harmful for real life high frequency trading. Strategy works well on ES futures short bars like 1min.