Supertrend 3H Strategy VinaySupertrend 3H Strategy Vinay-
Buy or sell using Supertrend, 200 points SL and 400 points target
Indicatori di ampiezza
KA Intradia 2025This indicator plots horizontal levels based on the Daily Open price, providing intraday reference zones for traders.
Each line extends from the day’s open across the chart, and every level is labeled precisely at the right side of the chart for easy visibility—without overlapping the price scale.
The extension length, label positioning, colors, and percentage levels are fully customizable, ensuring the levels remain consistent across all timeframes.
Phato Candle ProjectionsPhato Candle ProjectionsPhato Candle ProjectionsPhato Candle ProjectionsPhato Candle ProjectionsPhato Candle ProjectionsPhato Candle ProjectionsPhato Candle ProjectionsPhato Candle ProjectionsPhato Candle Projections
Relative Sector Index Benchmarking by QuantxQuantX Relative Strength helps traders identify whether a stock is outperforming or underperforming NIFTY. It uses a clean histogram with background highlights and a trend line to spot market leaders, laggards, and strength reversals quickly.
SOL Dashboard v6 — Investor / Swing / Scalp (VWAP, ATR, RS (SCP)
**SOL Dashboard v6 — Investor / Swing / Scalp (VWAP, ATR, RSI, BTC\Ð influence, noise-filters)**
**In short:** a universal indicator for SOLUSDT (Spot/Futures), combining three analysis horizons — Investor (D1), Swing (H1/H4), and Scalp (5m/3m/1m) — in a single script. It provides clean signals (arrows), a summary table of layer states, alerts, as well as a set of noise filters (VWAP/RSI/volume/EMA “gap”/candle body requirement/cooldown). Optional BTC/ETH trend influence filters are available. Suitable for both spot and futures.
---
### What the indicator does
**Investor (HTF, default D1):** market background. EMA(50/200) → defines long-term phase (BULL/BEAR/NEUTRAL).
**Swing (MTF, default H1):** medium-term direction. EMA(20/50) + weekly VWAP (option).
**Scalp (LTF, default 5m):** quick entries. EMA(9/21) → SCALP BUY/SELL arrows strictly at the crossover candle, plus filters.
---
### Visual elements
* EMA lines for each layer (toggled on/off).
* VWAP lines: daily (scalp filter) and weekly (swing filter).
* SCALP BUY / SCALP SELL arrows (optional).
* Table in the top-right corner: Investor/Swing/Scalp modes and hints (including BTC/ETH states if influence is enabled).
* (Optional) Debug label — shows which filter is blocking the signal (RSI/VWAP/GAP/BODY/VOL/AGREE/CD).
---
### Signals (arrow logic)
**Base trigger:** crossover(EMA Fast, EMA Slow) on bar close (default EMA9/21 for LTF).
Arrows appear only if confirmations are met:
1. EMA slope matches signal (both rising for BUY / both falling for SELL).
2. Candle closed on the “correct” side of both EMAs (above/below).
3. Noise filters (toggleable/configurable):
* VWAP (daily): BUY only above VWAP; SELL only below.
* RSI(14): BUY if RSI>50; SELL if RSI<50.
* EMA-Gap (%): minimum difference between Fast/Slow EMAs (avoids micro-crossovers in chop).
* Body ratio: minimum body-to-range ratio (filters out dojis/wicks).
* Volume filter: volume ≥ median over N bars (default 20).
* Cooldown: minimum bars between same-direction signals.
4. Trend agreement (optional): requires alignment with Swing and BTC/ETH Swing modes.
**Result:** an arrow appears at the crossover only if all active filters are satisfied.
---
### Alerts
* **SCALP BUY (filtered):** “ETH/SOL scalp BUY (cross-confirmed)”
* **SCALP SELL (filtered):** “ETH/SOL scalp SELL (cross-confirmed)”
* (Optional) EXIT signals (if included in your build): exit on opposite side of EMA25 or VWAP.
---
### BTC/ETH influence (optional)
* Toggleable trend filters:
* Script checks BTCUSDT and/or ETHUSDT Swing states (EMA20/50 on H1/H4).
* BUY only if BTC/ETH are in BULL and SOL(H1) is BULL.
* SELL only if all corresponding Swing modes are BEAR.
This increases accuracy in trending markets (can be disabled in chop if you want more entries).
---
### Recommended presets
**1) Conservative (cleaner, less noise):**
* LTF = 5m (or 3m); EMA 9/21
* VWAP daily: ON, RSI: ON
* minEmaGapPct: 0.12–0.14%
* minBodyRatio: 0.60–0.70
* cooldownBars: 7–10
* BTC/ETH agreement: ON
* confirmBars: 1 (or 0 in trends)
**2) Base (balanced):**
* LTF = 5m; EMA 9/21
* VWAP: ON, RSI: ON
* minEmaGapPct: 0.08–0.12%
* minBodyRatio: 0.55–0.65
* cooldownBars: 5–7
* BTC/ETH agreement: ON in trend / OFF in chop
* confirmBars: 0 (or 1 in chop)
**3) Aggressive (more entries):**
* LTF = 3m or 1m; EMA 7/14 (or 7/25 if enabled)
* VWAP: ON, RSI: ON
* minEmaGapPct: 0.06–0.08%
* minBodyRatio: 0.50
* cooldownBars: 3–5
* BTC/ETH agreement: OFF in chop
* confirmBars: 0 (or 1 if too many false signals)
---
### How to read the summary table
* **Investor (D1):** EMA50 vs EMA200 → BULL/BEAR/NEUTRAL.
* **Swing (H1/H4):** EMA20 vs EMA50 (+ W-VWAP) → trade direction.
* **Scalp (LTF):** EMA Fast vs EMA Slow → short-term phase.
* **BTC / ETH (Swing):** their states (if influence enabled).
👉 Alignment of Investor + Swing + Scalp in one direction = maximum trend strength.
👉 Disagreement = reduce position size / wait for confirmation.
---
### Practical application
* **Entries:** SCALP arrows in Swing direction (and optionally BTC/ETH) + above/below VWAP.
* **Stops:** recommended ATR(14, LTF) × 1.6–2.0 (or beyond EMA21/EMA25).
* **Targets:** at least 1.8–2.2 R, take 30–50% at +1R, leave remainder as trailing (EMA9/EMA25/VWAP).
* **Trend filter:** trade longs mainly when price > daily VWAP and Swing = BULL (and vice versa).
---
### Settings (key parameters)
* Independent TFs for Investor / Swing / Scalp.
* EMA Fast/Slow set separately for each layer.
* VWAP (Daily/Weekly) as toggleable filters.
* RSI filter (BUY >50 / SELL <50).
* Noise filters: EMA-Gap, Body ratio, Volume ≥ median, Cooldown.
* Trend agreement: BTC/ETH Swing + SOL Swing.
* Debug mode: shows which filter is blocking a signal.
---
### FAQ
**Why no arrows when “crossover is visible”?**
Because arrows are plotted on bar close only if all active filters (VWAP/RSI/GAP/BODY/VOL/AGREE/CD) are satisfied. Enable Debug to see which filter blocks the signal.
**When to enable BTC/ETH influence?**
In trending markets → ON (accuracy ↑). In chop, if you want more entries → OFF.
**Works on Spot/Futures?**
Yes. But remember: futures fees are charged on position notional, not margin — factor this into risk management.
---
### Disclaimer
This is a research tool. Not financial advice. Trading crypto assets and derivatives carries high risk (especially with leverage). Always use stop-losses and manage risk per trade.
---
\#SOL #SOLUSDT #Scalping #Swing #Investor #VWAP #EMA #RSI #ATR #Crypto #Futures #NoiseFilters #BTCInfluence #ETHInfluence #TrendFilter #TradingView
KA IntradiaThis indicator draws horizontal levels based on the daily open price, extending them across the chart for clear intraday reference.
Each level is labeled directly at the right end of the line, ensuring prices remain visible without overlapping the price scale.
You can customize which percentage levels are displayed, the line colors, thickness, and adjust how close the labels sit to the end of the lines.
It’s designed for traders who want precise intraday support/resistance zones anchored to the daily open.
Première H4 du jour • Zone High/Low (NY)This Scrypt find the top and bot of the first day's candle, from your choosen timeframe
MSFusion- MultiScoreFusionThis Pine Script strategy, MSFusion - MultiScoreFusion, combines Ichimoku components and Hull Moving Average (HMA) signals to generate a composite score for each bar.
It evaluates several conditions—such as price crossing above HMA55, Tenkan and Kijun lines, and price position relative to the Ichimoku cloud—and assigns scores to each.
The script displays a label with the total score and a tooltip listing the contributing conditions when a strong bullish signal is detected. This approach helps traders quickly assess market momentum and trend strength using multiple technical criteria.
KA_anualKA Anual
This indicator displays the annual opening price and projected percentage levels above and below it. It helps traders quickly identify whether the market is trading higher or lower relative to the yearly open, providing a clear view of long-term bias and major reference points throughout the year.
KA Weekly Open (Apertura Semanal)KA Weekly Open (Current Week Only)
This indicator automatically plots a horizontal line at the weekly opening price on your chart.
The line updates each week with the new weekly open.
Historical weekly lines remain fixed (not extended).
The current week’s line extends to the left, and the price label is shown on the right side of the chart, near the price scale.
You can adjust the label’s offset from the scale using the input settings.
VWAPs Ancoradas📊 Indicator: Multiple Anchored VWAPs
This indicator plots up to 5 anchored VWAPs (Volume Weighted Average Price) from different customizable starting dates, allowing traders to track the volume-weighted average price from key moments on the chart.
🔎 What is VWAP?
VWAP is one of the most widely used institutional indicators to identify fair value areas. It represents the average price weighted by volume, helping traders spot dynamic support and resistance levels.
⚙️ How the indicator works:
Define up to 5 different anchor dates (e.g., yearly open, quarterly open, major economic events, asset launches, etc.).
From each anchor date, VWAP is recalculated and plotted on the chart.
Each VWAP has a customizable color and label, making it easy to organize.
In addition to the line, the indicator shows the VWAP name on the last bar, with a clean text display (no background box).
Text color can be adjusted in the settings (default is black).
🎯 Practical applications:
Track yearly, quarterly, monthly, or weekly VWAPs.
Compare price behavior across different time periods.
Identify where price stands relative to the average cost of institutional players.
Combine with price action for better entry and exit timing.
✅ Key features:
Up to 5 simultaneous VWAPs.
Fully customizable anchor dates.
Clear colored lines and labels on chart.
Minimalistic and clean layout, without visual clutter.
Monday's Range Superpowerkyu🔔 Settings
You can customize the colors and toggle ON/OFF in the indicator settings.
Works on daily, hourly, and minute charts.
Easily visualize Monday’s high, low, and mid-line range.
📌 1. Support & Resistance with Monday’s Range
Monday High: Acts as the first resistance of the week.
◽ Example: If price breaks above Monday’s high after Tuesday, it signals potential bullish continuation → long setup.
Monday Low: Acts as the first support of the week.
◽ Example: If price breaks below Monday’s low, it signals bearish continuation → short setup.
📌 2. Mid-Line Trend Confirmation
Monday Mid-Line = average price of Monday.
Price above mid-line → bullish bias.
Price below mid-line → bearish bias.
Use mid-line breaks as entry confirmation for long/short positions.
📌 3. Breakout Strategy
Break of Monday’s High = bullish breakout → long entry.
Break of Monday’s Low = bearish breakout → short entry.
Place stop-loss inside Monday’s range for a conservative approach.
📌 4. False Breakout Strategy
If price breaks Monday’s high/low but then falls back inside Monday’s range, it is a False Breakout.
Strategy: Trade in the opposite direction.
◽ False Breakout at High → short.
◽ False Breakout at Low → long.
Stop-loss at the wick (extreme point) of the failed breakout.
📌 5. Range-Based Scalping
Use Monday’s high and low as a trading range.
Sell near Monday’s High, buy near Monday’s Low, repeat until breakout occurs.
📌 6. Weekly Volatility Forecast
Narrow Monday range → higher chance of strong trend later in the week.
Wide Monday range → lower volatility expected during the week.
📌 7. Pattern & Trend Analysis within Monday Range
Look for candlestick patterns around Monday’s High/Low/Mid-Line.
◽ Example: Double Top near Monday’s High = short setup.
◽ Repeated bounce at Mid-Line = strong long opportunity.
✅ Summary
The Monday’s Range (Superpowerkyu) Indicator helps traders:
Identify weekly support & resistance
Confirm trend direction with Mid-Line
Trade breakouts & false breakouts
Apply range scalping strategies
Forecast weekly volatility
⚡ Especially, the False Breakout strategy is powerful as it captures failed moves and sudden sentiment reversals.
主力资金进出监控器Main Capital Flow Monitor-MEWINSIGHTMain Capital Flow Monitor Indicator
Indicator Description
This indicator utilizes a multi-cycle composite weighting algorithm to accurately capture the movement of main capital in and out of key price zones. The core logic is built upon three dimensions:
Multi-Cycle Pressure/Support System
Using triple timeframes (500-day/250-day/90-day) to calculate:
Long-term resistance lines (VAR1-3): Monitoring historical high resistance zones
Long-term support lines (VAR4-6): Identifying historical low support zones
EMA21 smoothing is applied to eliminate short-term fluctuations
Dynamic Capital Activity Engine
Proprietary VARD volatility algorithm:
VARD = EMA
Automatically amplifies volatility sensitivity by 10x when price approaches the safety margin (VARA×1.35), precisely capturing abnormal main capital movements
Capital Inflow Trigger Mechanism
Capital entry signals require simultaneous fulfillment of:
Price touching 30-day low zone (VARE)
Capital activity breaking recent peaks (VARF)
Weighted capital flow verified through triple EMA:
Capital Entry = EMA / 618
Visualization:
Green histogram: Continuous main capital inflow
Red histogram: Abnormal daily capital movement intensity
Column height intuitively displays capital strength
Application Scenarios:
Consecutive green columns → Main capital accumulation at bottom
Sudden expansion of red columns → Abnormal main capital rush
Continuous fluctuations near zero axis → Main capital washing phase
Core Value:
Provides 1-3 trading days early warning of main capital movements, suitable for:
Medium/long-term investors identifying main capital accumulation zones
Short-term traders capturing abnormal main capital breakouts
Risk control avoiding main capital distribution phases
Parameter Notes: Default parameters are optimized through historical A-share market backtesting. Users can adjust cycle parameters according to different market characteristics (suggest extending cycles by 20% for European/American markets).
Formula Features:
Multi-timeframe weighted synthesis technology
Dynamic sensitivity adjustment mechanism
Main capital activity intensity quantification
Early warning function for capital movements
Suitable Markets:
Stocks, futures, cryptocurrencies and other financial markets with obvious main capital characteristics.
指标名称:主力资金进出监控器
指标描述:
本指标通过多周期复合加权算法,精准捕捉主力资金在关键价格区域的进出动向。核心逻辑基于三大维度构建:
多周期压力/支撑体系
通过500日/250日/90日三重时间框架,分别计算:
长期压力线(VAR1-3):监控历史高位阻力区
长期支撑线(VAR4-6):识别历史低位承接区
采用EMA21平滑处理,消除短期波动干扰
动态资金活跃度引擎
独创VARD波动率算法:
当价格接近安全边际(VARA×1.35)时自动放大波动敏感度10倍,精准捕捉主力异动
资金进场触发机制
资金入场信号需同时满足:
价格触及30日最低区域(VARE)
资金活跃度突破近期峰值(VARF)
通过三重EMA验证的加权资金流:
资金入场 = EMA / 618
可视化呈现:
绿色柱状图:主力资金持续流入
红色柱状图:当日资金异动量级
柱体高度直观显示资金强度
使用场景:
绿色柱体连续出现 → 主力底部吸筹
红色柱体突然放大 → 主力异动抢筹
零轴附近持续波动 → 主力洗盘阶段
核心价值:
提前1-3个交易日预警主力资金动向,适用于:
中长线投资者识别主力建仓区间
短线交易者捕捉主力异动突破
风险控制规避主力出货阶段
参数说明:默认参数经A股历史数据回测优化,用户可根据不同市场特性调整周期参数(建议欧美市场延长周期20%)
BIST30 % Above Moving Average (Breadth)
BIST30 % Above Moving Average (Breadth)
This indicator shows the percentage of BIST30 stocks trading above a selected moving average.
It is a market breadth tool, designed to measure the overall health and participation of the market.
How it works
By default, it uses the 50-day SMA.
You can switch between SMA/EMA and choose different periods (5 / 20 / 50 / 200).
The script checks each BIST30 stock individually and counts how many are closing above the chosen MA.
Interpretation
Above 80% → Overbought zone (short-term correction likely).
Below 20% → Oversold zone (potential rebound).
Around 50% → Neutral / indecisive market.
If the index (BIST:XU030) rises while this indicator falls → the rally is narrow-based, led by only a few stocks (a warning sign).
Use cases
Short-term traders → Use MA=5 or 20 for momentum signals.
Swing / Medium-term investors → Use MA=50 for market health.
Long-term investors → Use MA=200 to track bull/bear market cycles.
Notes
This script covers only BIST30 stocks by default.
The list can be updated for BIST100 or specific sectors (e.g., banks, industrials).
Breadth indicators should not be used as standalone buy/sell signals — combine them with price action, volume, and other technical tools for confirmation.
DTrend & Volume Strong BUY Signal: Look for a green WMA, combined with a green circle and a blue triangle.
USD-TRADER-ROYThe USD-TRADER-ROY is a custom TradingView indicator designed for crypto and USD market analysis. It tracks a smoothed ratio between USDT dominance and historical averages (similar to the Puell Multiple concept) to highlight potential buy or sell zones.
Key features include:
Dynamic Buy/Sell Zones: Visual horizontal levels to indicate potential accumulation or profit-taking areas.
Visual Feedback: Colored backgrounds and bar colors to quickly show whether conditions suggest caution, accumulation, or potential selling.
Custom Alerts: Built-in alert conditions that notify traders when the market approaches critical thresholds, making it easier to act on opportunities without constant monitoring.
Flexible Parameters: Adjustable inputs for thresholds and risk levels to suit different strategies or risk tolerances.
This tool is aimed at traders who want a visual, alert-based system for gauging market extremes and managing entries/exits efficiently. It works best when combined with your own analysis and risk management.
FU + SMI Validator (Proper FU, 30m)Overview
The FU + SMI Validator is a sophisticated technical analysis indicator designed to detect Proper FU (Fakeouts or Liquidity Sweeps) on the 30-minute timeframe. This tool aims to help traders identify high-probability reversal setups that occur when price briefly breaks key levels (sweeping liquidity), then reverses with momentum confirmation.
Fakeouts are common market events where price action “hunts stops” before reversing direction. Correctly identifying these events can offer excellent entry points with defined risk. This indicator combines price action logic with momentum and volatility filters to provide reliable signals.
Core Concepts
Proper FU (Fakeout) Detection
At its core, the script identifies proper fakeouts by checking if the current bar’s price:
For bullish fakeouts: dips below the previous bar’s low (sweeping stops) and then closes above the previous bar’s high
For bearish fakeouts: spikes above the previous bar’s high and then closes below the previous bar’s low
This ensures that the breakout is a true sweep rather than just a one-sided close.
Optionally, the script can require one additional confirmation bar after the FU, ensuring that the momentum is sustained and reducing false signals.
SMI-style Momentum Validation
To improve the quality of signals, the indicator uses a proxy for the Stochastic Momentum Index (SMI) by calculating the difference between current and past linear regression slopes of price. This momentum check helps ensure that fakeouts occur alongside actual directional strength.
Key points:
Momentum must be increasing in the direction of the FU signal.
Momentum filters can be enabled or disabled based on user preference.
Squeeze Condition to Avoid Low-Volatility Traps
The script includes a volatility filter based on a squeeze-like condition:
It compares Bollinger Bands (BB) and Keltner Channels (KC).
When BB bands contract inside KC bands, the market is in a squeeze state, signaling low volatility.
Fakeouts during squeeze conditions are often unreliable; the script can filter these out to reduce false alarms.
Killzone Session Timing Filter
Recognizing that liquidity and volatility vary by session, this tool supports optional filtering for:
London Killzone: 09:00 to 10:30 (UK time)
New York Killzone: 13:00 to 14:30 (UK time)
Signals only trigger during these high-activity windows if enabled, helping traders focus on periods with the best liquidity and market participation.
Note: For Killzone filtering to work accurately, your TradingView chart must be set to the UK timezone.
Features & Benefits
Robust FU detection ensures the breakout price action is meaningful, reducing noise.
Momentum filter via linear regression slope captures trend strength in a smooth, mathematically sound way.
Low-volatility squeeze avoidance helps reduce false signals in choppy or range-bound markets.
Killzone timing filter focuses your attention on the most liquid and active market hours.
Optional confirmation bar increases signal reliability.
Raw FU markers allow visualization of all detected fakeouts for pattern recognition and manual analysis.
Alerts built-in for both valid buy and sell FU setups, enabling real-time notification and quicker decision-making.
Customization Options
Killzone usage: Enable or disable the session timing filter.
Sessions: Configure London and New York killzone time ranges.
Momentum alignment: Enable or disable momentum filter based on SMI proxy.
Volatility filter: Avoid signals during squeeze or low-volatility conditions.
FU confirmation: Option to require one additional confirming candle after the initial FU.
Squeeze and momentum parameters: Adjust Bollinger Bands length and multiplier, Keltner Channel length and ATR multiplier.
Raw FU markers: Show or hide all detected fakeouts regardless of filters.
How to Use This Indicator
Apply to 30-minute charts for forex pairs, indices, cryptocurrencies, or other instruments.
Set your chart timezone to UK time if using Killzone filters.
Adjust input parameters based on your preferred sessions and risk tolerance.
Look for green “VALID BUY FU” labels below bars for bullish fakeout entries.
Look for red “VALID SELL FU” labels above bars for bearish fakeout entries.
Use the alert system to receive notifications on setups.
Combine with your existing analysis or risk management strategy for entries, stops, and profit targets.
Why Use FU + SMI Validator?
Fakeouts are some of the most lucrative but tricky setups for many traders. Without proper filters, they can lead to false entries and losses. This script integrates price action, momentum, volatility, and session timing into one package, providing a robust tool to spot high-quality fakeout opportunities and improve trading confidence.
Limitations
Requires chart to be set to UK timezone for session filters.
Designed specifically for 30-minute timeframe — performance on other timeframes may vary.
Momentum is a proxy, not a direct SMI calculation.
Like all indicators, best used in conjunction with sound risk management and other analysis tools.
Potential Enhancements
Conversion into a full strategy script for backtesting entries and exits.
Addition of other momentum indicators (RSI, MACD) or volume filters.
Customizable time zones or auto time zone detection.
Multi-timeframe analysis capabilities.
Visual dashboard for summary of signal stats.
KDJ – Long Only v3.0 (TradingView Strategy)
Overview|概覽
EN
A research strategy that automates long-only entries using a KDJ-centric core with multi-layer confirmations and volatility-aware exits. Default preset targets ETH 5m; other symbols/timeframes can be tuned.
中文
研究用策略,透過 KDJ 核心與多層確認來自動化只做多進場,並以隨波動調整的出場邏輯運作。預設為 ETH 5 分鐘;其他商品/週期可自行調參。
Backtest (hypothetical) example: ETHUSDT.P, 5m, 2024-09-18→2025-09-18, fee 0.05%, slippage 1 tick.(僅示意,屬假設性回測)
What it does|做什麼
EN
Signals are organized into channels:
A KDJ trend core
B OB/FVG touch pullback
CP Double-bottom (buffered neckline)
SR Support/Resistance bounce with rejection/zone checks
D EMA pullback (long EMA length)
E VWAP reclaim (lower-band pierce & recapture)
F Prior-low sweep & reclaim
中文
訊號分成多通道:
A KDJ 順勢核心
B OB/FVG 回踩觸價
CP 雙底(頸線含緩衝)
SR 支撐/阻力觸價不破(含拒絕與區域檢查)
D EMA 回踩(長週期 EMA)
E VWAP 收復(下緣穿越後收回)
F 前低掃回
High-level logic|高層級原理
HTF/Mid-TF context:內建 5/15/1H 或 15/60/4H 組合;以簡化趨勢線/區域提供觸價參考
Trend & structure:本階 EMA(8/21/200) 結構;Structure Breakout(近期高低點 ±ATR 緩衝)/EMA8/21 回踩
Momentum/volume:MACD、KDJ 金叉與低區偵測、量能驗證
Regime:ADX 閘(趨勢/盤整門檻)、EMA 帶寬過濾震盪、Peak Guard 避免過度延伸
No look-ahead:入場不使用前視;樞紐/趨勢線僅作情境參考
Inputs & Features|參數與功能
Market Preset:Generic / ETH(ETH 預設收緊若干門檻,開箱即用)
Entry Mode:KDJ_Core / CandleOnly / KDJ_and_Candle
Session Filter:最多三段交易時窗
Lite Filters:過度延伸、實體大小、DI 差距
S/R 模組:拒絕條件、KDJ 覆核、區域要求、即時 R:R 檢核
OrderBlock/FVG:近棒位移掃描
Chart Pattern:雙底 W,ATR 容差與頸線緩衝
Plotting:EMA200、通道字母標記、可選 TP/SL 標籤
Automation via Alerts(generic)|快訊自動化(通用)
EN
On entries/exits the strategy emits JSON through alert_message. Create alerts with “Any alert() function call” and route them to your own webhook/bridge. Symbol mapping, sizing mode, and user info are configurable in inputs.
中文
進出場時透過 alert_message 輸出 JSON。建立快訊時選 “Any alert() function call”,再由你的 webhook/橋接服務轉單;輸入面板可設定商品代碼、下單型式與使用者資訊。
提示:調整參數後,請重建快訊,並將訊息欄設為 {{strategy.order.alert_message}}。
Position sizing|部位大小
base / quote / percent_local / percent(percent_local 以本地 USD 估值計算)
可選「按數量模式」以便與本地部位同步(position_size sync)
Risk & Exits|風險與出場
SL:ATR / Swing / ATR_or_Swing;TP Cap 以 ATR 或 % 限制上限
Breakeven & Trailing:達指定 R:R 啟動保本;之後以 最高價回看 − ATR×k 追蹤
Same-bar exits:可允許/禁止同根觸發 TP/SL
Pyramiding:pyramiding=2,最多兩筆多單可同時存在(淨倉交易所請留意整體倉位的平倉行為)
Suggested workflow|建議流程
回測目標市場/週期 → 設定時段/濾網與門檻 → 微調 TP/SL 與部位大小 → 建立快訊({{strategy.order.alert_message}})→ 監看執行日誌
Notes & Disclaimer|注意與免責
回測結果仰賴時間框解析與成交規則;棒內路徑與實盤可能不同
僅供研究/教育;非投資建議
本頁無廣告、無外部連結或聯絡資訊
Release Notes|版本說明
2025-09-19
新增:One-shot Force Flat(一鍵清倉僅一次)— 於下一根收盤執行,完成後自動失效
Webhook:進/出場皆輸出 JSON;提醒更新參數後重建快訊
行為澄清:pyramiding=2,允許同圖表最多兩筆多單並存;同棒出場可設定
2025-09-18
Netted venue 說明:在淨倉模式下,出場會影響同商品的整體淨多倉;請留意手動單與策略單的互動
2025-08-28
修正小數顯示;預設優化(ETH/5m);保留隨波動的 RR/SL 邏輯
Buy Signal 50-200 EMA & RSI25 (Alert)Buy signal generate when all given condition achieved Risk to reward ratio is 1:2 minimum
Precision AI Trading ProPrecision AI Trading Pro — TradingView Indicator
EN / 中文雙語說明(No promo, high-level logic, originality stated)
What it does |用途
EN
Trend-aligned entries on 5m/15m (and higher) using multi-layer confirmations. It emphasizes confirmation over prediction, then derives adaptive TP/SL from volatility and recent structure.
中文
在 5/15 分鐘(與更高時框)進行趨勢對齊進場,重確認、不猜轉折;並依波動與近期結構自適應計算 TP/SL。
Why it’s original & useful |原創性與價值
EN
This script implements a custom 11-filter confluence engine and a volatility-aware exit model. Filters are designed to complement each other: HTF context narrows bias, LTF structure checks timing, momentum/volume validate strength, and regime gates avoid chop. Exits use ATR- and swing-based distances with caps to keep results realistic.
中文
本腳本自研 11 重共振濾網 與 隨波動調整的出場模型:HTF 提供方向偏好,LTF 結構掌握時點;動能/量能驗證有效性;型態/趨勢強度門檻過濾震盪;出場以 ATR 與擺動區間計算距離並設上限,使績效更貼近實際。
How it works (high-level) |高層級運作
EN
HTF alignment: EMA(3/8/21) + RSI/MACD on a higher timeframe (confirmed bars only) sets directional bias.
LTF structure: Requires local EMA(3/8/21) alignment, Structure Breakout (recent swing ± ATR buffer), and optional Pullback to EMA8/21.
Regime checks: ADX gate and EMA band width filter out low-trend conditions; Volume confirms pressure.
Risk layer: Peak Guard (overheat/new-high/surge) blocks extended entries.
Trendline/EMA200: Optionally require EMA200 or TL breakout with ATR tolerance.
Exits: SL = max(ATR×k, swing buffer, % floor); TP = min(R×SL, ATR/% caps).
No look-ahead: HTF uses confirmed bars; pivots only annotate context, not used as entry triggers.
中文
HTF 共振:高階時框 EMA(3/8/21)+RSI/MACD(僅採用確認棒)決定方向偏好。
LTF 結構:要求本階 EMA(3/8/21) 一致、結構突破(近期高低點 ± ATR 緩衝),並可選 回踩 EMA8/21。
市況門檻:ADX 閘 與 EMA 帶寬 排除低趨勢環境;量能 驗證推進力。
風險層:Peak Guard(過熱/創高/急漲)避免追價。
趨勢線/EMA200:可選擇要求 EMA200 或趨勢線突破(含 ATR 容忍帶)。
出場:SL = max(ATR×k, 擺動緩衝, % 下限);TP = min(R×SL, ATR/% 上限)。
避免前視:HTF 僅用確認棒;樞紐點僅作標註,不作入場條件。
Filters (11) |濾網(11 項)
HTF Trend / Bright Zone (RSI) / LTF EMA(3/8/21) / MACD / Volume / ADX Gate / Structure Breakout / Pullback to EMA / EMA Band Width / Peak Guard / Trendline or EMA200 Confirmation
(高階趨勢/RSI 亮區/本階 EMA 結構/MACD/量能/ADX 閘/結構突破/回踩 EMA/EMA 窄帶/高位防護/趨勢線或 EMA200 確認)
User can define required passes (default 7).|可自訂需通過的濾網數(預設 7)。
Features |功能
Multi-market presets (Crypto / Gold / US Futures / Forex)|多市場預設
Adaptive TP/SL with labels (dynamic R:R)|自適應 TP/SL(含標註)
Risk-based star rating (0★–5★)|風險星級評分
Signal modes: Conservative / Balanced / Aggressive|訊號模式:保守/平衡/積極
Peak Guard toggle|高位防護可切換
How to use |使用方式
Pick market preset; start with 5m/15m.
Set required filters (default 7) and enable HTF confirmed bars.
Tune TP/SL and risk per symbol/timeframe; use star rating as visual guidance.
In choppy markets, raise ADX min and EMA-band threshold; in trend, relax them slightly.
選擇市場預設(建議 5/15 分鐘起)。
設定需通過的濾網數(預設 7),並啟用 HTF 確認棒。
依商品/時框微調 TP/SL 與風險;以星級作視覺參考。
震盪市提高 ADX 與帶寬門檻;趨勢市可適度放寬。
Notes |注意
Backtest behavior depends on bar resolution and fill rules; intrabar path may differ from live fills.
Educational use only; not financial advice.
No ads/links/contacts.
Changelog |版本紀錄(示例,請用「Update」維護)
2025-09-05: Reversal v2.1 scoring & 2-step confirmation; TL rejection/OB-touch trigger (optional); EMA8 recapture via close; Peak Guard integrated; BTC/ETH/SOL presets refined; alerts expanded; label params cleaned.
2025-08-28: Fixed decimal bug; tuned presets for four markets; kept auto RR/SL logic.






















