LANDRAID BTC 1d Strategylandraid BTC 1d chart strategy base on 1day support and resistance high win rate and high P&N some imortant indicators are WR , MACD , EMA200 , EMA60 , MA20Strategia Pine Script®di landraid2
BTC EMA21/EMA9 + RSI Filters + VWAP Strategy (100% TP)BUY when: • EMA21 crosses above EMA9 • RSI between 45 and 55 • Price above VWAP • Invest exactly USDT 100 SELL when: • Profit reaches 100% of investment (USDT 100 profit), OR • EMA21 crosses below EMA9 • Price below VWAP • RSI below 55Strategia Pine Script®di sanjaysdas993
Daily & Intraday Trend Alignment Strategy (KOSPI)This strategy is designed for the KOSPI market, focusing on the synergy between daily price action and intraday momentum. It is specifically backtested on KODEX 200 Leverage (122630) with a realistic capital of 10,000,000 KRW. Key Logic: Trend Alignment: The script identifies the daily trend by comparing the current price with the previous day's close. Execution: It enters a position only when the intraday candle (15M or 60M) aligns with the daily trend. LONG: Daily Bullish + Intraday Bullish Close. SHORT: Daily Bearish + Intraday Bearish Close. Risk Management: - Follows TradingView House Rules by limiting risk to 10% of equity per trade. Includes realistic 0.04% commission and 2-tick slippage. Features built-in Stop Loss and Take Profit levels. Intraday Focus: Automatically closes all positions at 14:50 KST to avoid overnight market gaps. Strategia Pine Script®di Lab1068
Kill Zone Intraday Momentum Strategy"Re-published in full compliance with TradingView House Rules, featuring realistic risk management and backtesting parameters." This script is an intraday trend-following strategy optimized for the KOSPI market, specifically tested on KODEX 200 Leverage (122630). It utilizes the "Kill Zone" concept to determine the market's directional bias for the day. ### Strategy Logic The strategy focuses on the first hour of the Korean market opening (09:00 - 10:00 KST). Directional Identification: The script analyzes the 1-hour candle formed between 09:00 and 10:00. If the candle is Bullish (Close > Open), it establishes a LONG bias. If the candle is Bearish (Close < Open), it establishes a SHORT bias. Entry Timing: At exactly 10:00 AM, the strategy executes an entry based on the identified bias. Users can toggle between the 1H Close or the 15M Close for the entry price. Exit Strategy (EOD): To mitigate overnight gap risks, all positions are forcibly closed at a user-defined "End of Day" hour (Default: 15:00 KST). ### Realistic Backtesting Parameters To provide transparent and non-misleading results, this strategy adheres to strict risk management: Initial Capital: 10,000,000 KRW Risk Per Trade: 10% of total equity (Sustainable risk management). Cost Simulation: Includes a 0.04% commission and 2 ticks of slippage to reflect actual exchange conditions. Tested Symbol: Optimized for 122630 (KODEX 200 Leverage) on a 15-minute timeframe. ### How to Use Set your chart timezone to Asia/Seoul. Apply the script to a lower timeframe (e.g., 15 minutes) to see the Kill Zone highlights and labels. Use the Dashboard on the top right to monitor real-time statistics like Win Rate and Net Profit. ------- 본 스크립트는 KOSPI 시장의 개장 초기 변동성(Kill Zone)을 활용한 일중 추세 추종 전략입니다. KODEX 200 레버리지(122630) 종목에서 자본금 1,000만 원을 기준으로 최적화되었습니다. 9시부터 10시까지의 1시간봉 방향성을 바탕으로 당일의 매수/매도 우위를 판단하며, 장 마감 시점에 모든 포지션을 정리하여 오버나잇 리스크를 배제합니다. 하우스 룰 준수를 위해 자산의 10%만을 진입 수량으로 설정하고 수수료와 슬리피지를 반영하여 현실적인 백테스트 결과를 제공합니다.Strategia Pine Script®di Lab1066
BTC Session Momentum (UAE Time Logic)BTC Session Momentum (UAE Time Logic): Crypto volatility peaks during forex session overlaps Research confirms that crypto volatility increases when forex sessions overlap because global traders are most active and macro news is released. This framework is designed for BTC, ETH, and high‑liquidity altcoins, and it uses the natural volatility cycles created by global forex sessions. Research confirms that crypto volatility increases when forex sessions overlap because global traders are most active and macro news is released.Strategia Pine Script®di sanjaysdas991
Bollinger + EMA StrategyBollinger Bands + EMA Crossover Strategy This strategy combines: Bollinger Bands (20-period, 2 standard deviations) to identify overbought/oversold conditions Three EMAs (8, 21, 50 periods) to confirm trend direction Entry Signals: BUY (Green arrow): Price closes below lower Bollinger Band AND EMAs are bullishly aligned (8 > 21 > 50) SELL (Red arrow): Price closes above upper Bollinger Band AND EMAs are bearishly aligned (8 < 21 < 50) Exit Rules: Position closes when price crosses the middle Bollinger Band. Concept: Wait for extreme price movements outside Bollinger Bands, but only trade in the direction of the EMA trend alignment for higher probability setups.Strategia Pine Script®di migtradermexico1
Mahseri S2 GoldEnhanced MA Crossover - Fixed Capital & Qty, high quality signals on Gold Strategia Pine Script®di DrAbdllah115
Mahseri S1 GoldEnhanced MA Crossover - Fixed Capital & Qty, high quality signals on GoldStrategia Pine Script®di DrAbdllah114
D.Y Volume Push / Reversal Strategy🚀 D.Y Volume Push / Reversal Strategy 📊 This strategy is designed to analyze abnormal volume behavior at the start of the trading session and use it as a structural reference for intraday trade decisions. 🧠 Core Concept : ⏱️ During the first X minutes of the trading day (default: 5 minutes), the strategy records: The maximum traded volume The opening range high and low 📌 The opening volume peak is treated as a benchmark, not as a direct entry signal. Trades are evaluated only after the sampling window has ended. 📈 Trade Logic 🔍 After the opening range is established, the strategy monitors price behavior relative to that range: Price must break above or below the opening range The breakout candle must show volume exceeding a user-defined percentage of the opening volume peak Breakouts are classified as: ⚡ Initial breakout (first breakout of the day), favoring momentum continuation 🔄 Subsequent breakouts, where the strategy looks for potential reversal behavior 🎯 This breakout-state logic allows the system to dynamically adapt between continuation and reversal scenarios, based on both price structure and volume participation. ⏰ Time & Trade Filters 🕒 To maintain controlled intraday behavior: Trades are allowed only during a limited number of hours after session open A maximum number of trades per day is enforced 🔔 All open positions are automatically closed near the end of the session to avoid overnight exposure 🛡️ Risk Management 📉 Risk is handled dynamically: Stop loss levels are calculated using recent price structure (recent highs/lows) Take profit targets are derived from a configurable Risk/Reward ratio ⚙️ Risk parameters automatically adjust to current market structure and volatility ⚙️ Backtesting Assumptions 💰 The strategy uses the following default testing configuration: Initial capital: $100,000 Position size: Fixed 100 shares per trade Commission & slippage: Enabled to simulate realistic conditions Timeframe: Designed and tested primarily on the 1-minute chart 📌 Best suited for liquid, high-priced equities (approximately $400–$700 per share) 🔧 Users are encouraged to adjust capital, position size, and parameters according to the traded instrument and personal risk tolerance. 📌 Notes 📚 This strategy is intended for educational and research purposes only. 📉 Backtest results may vary depending on market conditions, symbol selection, and parameter configuration.Strategia Pine Script®di Yeruham4
Institutional MA Crossover [Futures] - Great Dane TradingInstitutional MA Crossover - Great Dane Trading The Institutional MA Crossover is a professional-grade trend execution system designed for Index Futures (ES, NQ, YM) and Commodities. It takes the classic "Moving Average Crossover" concept and upgrades it into a complete algorithmic trading engine with institutional filters, multi-timeframe confirmation, and strict risk management protocols. Designed for Prop Firm and professional traders, this system solves the biggest issue with standard trend strategies: filtering out the "chop" and managing downside risk automatically. Key Features: * Universal MA Engine: Choose from 7 different Moving Average types (EMA, SMA, HMA, WMA, etc.) for both Fast and Slow lines to tune the strategy to any asset's volatility signature. * Multi-Timeframe (HTF) Confirmation: Avoid trading against the macro trend. The strategy can check a higher timeframe (e.g., 60m) trend before taking a 5m entry. * Institutional Filters: * VWAP Filter: Ensures you are trading on the right side of value. * Momentum Guard (MFI & ADX): Prevents entries during low-volume chop or exhausted trends. * 200 SMA Filter: Classic "Trend Regime" filter to only take longs above/shorts below the baseline. * Prop Firm Risk Engine: * Daily PnL Limits: Set a daily Profit Target and Max Loss limit. The strategy locks execution once hit to protect gains or stop tilt. * Hard Close: Automatically flattens positions at a specific time (e.g., 16:55 EST) to meet "flat overnight" requirements. * Pro Dashboard: Real-time HUD displaying Daily PnL ($), Trade Counts, and Active Filter status. How It Works: 1. Signal Generation: Detects a crossover of the defined Fast and Slow MAs. 2. Confirmation: Checks HTF trend alignment and intraday filters (VWAP/SMA). 3. Momentum Validation: Ensures ADX is above the threshold and MFI is not overextended. 4. Execution: Enters the trade with attached Fixed or ATR-based stops and targets. 5. Management: Auto-manages the trade with trailing stops and break-even triggers. Access: This is a private, Invite-Only script by Great Dane Trading. To request access, please visit our website or contact us via direct message. ------------------------------------------------------------- CFTC RULE 4.41: HYPOTHETICAL OR SIMULATED PERFORMANCE RESULTS HAVE CERTAIN LIMITATIONS. UNLIKE AN ACTUAL PERFORMANCE RECORD, SIMULATED RESULTS DO NOT REPRESENT ACTUAL TRADING. ALSO, SINCE THE TRADES HAVE NOT BEEN EXECUTED, THE RESULTS MAY HAVE UNDER-OR-OVER COMPENSATED FOR THE IMPACT, IF ANY, OF CERTAIN MARKET FACTORS, SUCH AS LACK OF LIQUIDITY. SIMULATED TRADING PROGRAMS IN GENERAL ARE ALSO SUBJECT TO THE FACT THAT THEY ARE DESIGNED WITH THE BENEFIT OF HINDSIGHT. NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFIT OR LOSSES SIMILAR TO THOSE SHOWN. Futures Trading Risk Warning: Futures and options trading involves substantial risk of loss and is not suitable for every investor. The valuation of futures and options may fluctuate, and, as a result, clients may lose more than their original investment. The impact of leverage can work against you as well as for you. General Disclaimer: The content provided by Great Dane Trading (GDT) is for educational and informational purposes only and does not constitute financial advice. We are not a registered investment advisor. This script is a tool to assist in decision-making; the final decision to trade and the responsibility for any losses rest solely with the user.Strategia Pine Script®di mcward3020
Institutional Volatility Suite [Futures] - Great Dane TradingInstitutional Volatility Suite - Great Dane Trading The Institutional Volatility Suite is an all-in-one execution engine designed specifically for Index Futures (ES, NQ, YM) and Commodities. It consolidates four major institutional pricing models—VWAP, Bollinger Bands, Keltner Channels, and Volume Profile—into a single system, allowing traders to adapt instantly to changing market regimes (Trending vs. Ranging). Designed with Prop Firm and Professional Futures requirements in mind, this strategy emphasizes strict intraday risk management, including hard closes and daily drawdown limits. Key Features: * Multi-Engine Core: Switch logic instantly without changing charts: * VWAP: Institutional benchmark with StdDev bands. * Auto-Volume Profile (AVP): Automatically maps previous day's Value Area (VAH/VAL) and Point of Control (POC). * Bollinger & Keltner: Classic volatility models for breakout or reversion trading. * Prop Firm Risk Engine: * Auto-Flatten / Hard Close: Automatically closes all positions at a specific time (e.g., 16:55 EST) to comply with "flat overnight" rules. * Daily Drawdown Lock: Set a Max Daily Loss in Dollars. If hit, the strategy locks execution until the next session to prevent tilt. * Universal Entry Logic: * Trend Mode: Trades crosses of the Main Line (Basis). * Breakout Mode: Trades expansions outside the volatility bands. * Reversion Mode: Fades price extremes back toward the mean (Mean Reversion). * Confirmation Filters: Integrated MFI (Money Flow), ADX (Trend Strength), and SMMA filters to validate institutional participation. * Pro Dashboard: Real-time HUD displaying Daily PnL ($), Trade Counts, and Risk Status. How It Works: 1. Select your Engine (e.g., VWAP). 2. Select your Mode (e.g., Reversion - Fading the bands). 3. The strategy monitors price action relative to the institutional bands. 4. When momentum (ADX/MFI) confirms the setup, it executes the trade with pre-calculated Tick-based stops and targets. 5. The Risk Engine monitors global equity to ensure daily limits are respected. Access: This is a private, Invite-Only script by Great Dane Trading. To request access, please visit our website or contact us via direct message. ------------------------------------------------------------- CFTC RULE 4.41: HYPOTHETICAL OR SIMULATED PERFORMANCE RESULTS HAVE CERTAIN LIMITATIONS. UNLIKE AN ACTUAL PERFORMANCE RECORD, SIMULATED RESULTS DO NOT REPRESENT ACTUAL TRADING. ALSO, SINCE THE TRADES HAVE NOT BEEN EXECUTED, THE RESULTS MAY HAVE UNDER-OR-OVER COMPENSATED FOR THE IMPACT, IF ANY, OF CERTAIN MARKET FACTORS, SUCH AS LACK OF LIQUIDITY. SIMULATED TRADING PROGRAMS IN GENERAL ARE ALSO SUBJECT TO THE FACT THAT THEY ARE DESIGNED WITH THE BENEFIT OF HINDSIGHT. NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFIT OR LOSSES SIMILAR TO THOSE SHOWN. Futures Trading Risk Warning: Futures and options trading involves substantial risk of loss and is not suitable for every investor. The valuation of futures and options may fluctuate, and, as a result, clients may lose more than their original investment. The impact of leverage can work against you as well as for you. General Disclaimer: The content provided by Great Dane Trading (GDT) is for educational and informational purposes only and does not constitute financial advice. We are not a registered investment advisor. This script is a tool to assist in decision-making; the final decision to trade and the responsibility for any losses rest solely with the user.Strategia Pine Script®di mcward3020
Institutional Vol Profile Futures - Great Dane TradingInstitutional Vol Profile Futures - Great Dane Trading The Institutional Vol Profile Futures is a specialized mean-reversion system designed to identify high-probability reversal zones in Index Futures (ES, NQ, YM) and Commodities. While retail traders often chase late breakouts, this strategy focuses on "Value" — buying when the asset is undervalued (Value Area Low) and selling when it is overvalued (Value Area High). It integrates our proprietary "Guardian" Risk Engine, making it a complete execution system that handles contract sizing, hard stops, and session management automatically. Key Features: * Institutional Value Logic: Automatically calculates the Value Area High (VAH) and Value Area Low (VAL) based on a dynamic lookback period. It targets entries where smart money is stepping in to defend price. * Futures-Specific Risk Engine: * "Guardian" Hard Stop: Protects your capital from "fat finger" errors or flash crashes. You set a Max Loss Per Trade in Dollars, and the script enforces it instantly, overriding technical stops. * Intraday Force Close: Automatically flattens your book at your specified time (e.g., 16:15 EST) to ensure you don't hold positions into the close or overnight session. * Momentum Confirmation: Integrated MFI (Money Flow Index) and ADX filters ensure you aren't catching a falling knife. It only enters when momentum aligns with the reversal. * Real-Time HUD: A professional dashboard displaying Daily PnL, Trade Counts, and Active Filter status in real-time. How It Works: 1. The script maps the Institutional Value Area (where 70% of the volume occurred). 2. It waits for price to probe the "Cheap" (VAL) or "Expensive" (VAH) zones. 3. It validates the reversal using Money Flow (MFI) to ensure buying/selling pressure is returning. 4. It executes the trade with automatic contract sizing and risk limits attached. Access: This is a private, Invite-Only script by Great Dane Trading. To request access, please visit our website or contact us via direct message. ------------------------------------------------------------- CFTC RULE 4.41: HYPOTHETICAL OR SIMULATED PERFORMANCE RESULTS HAVE CERTAIN LIMITATIONS. UNLIKE AN ACTUAL PERFORMANCE RECORD, SIMULATED RESULTS DO NOT REPRESENT ACTUAL TRADING. ALSO, SINCE THE TRADES HAVE NOT BEEN EXECUTED, THE RESULTS MAY HAVE UNDER-OR-OVER COMPENSATED FOR THE IMPACT, IF ANY, OF CERTAIN MARKET FACTORS, SUCH AS LACK OF LIQUIDITY. SIMULATED TRADING PROGRAMS IN GENERAL ARE ALSO SUBJECT TO THE FACT THAT THEY ARE DESIGNED WITH THE BENEFIT OF HINDSIGHT. NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFIT OR LOSSES SIMILAR TO THOSE SHOWN. Futures Trading Risk Warning: Futures and options trading involves substantial risk of loss and is not suitable for every investor. The valuation of futures and options may fluctuate, and, as a result, clients may lose more than their original investment. The impact of leverage can work against you as well as for you. General Disclaimer: The content provided by Great Dane Trading (GDT) is for educational and informational purposes only and does not constitute financial advice. We are not a registered investment advisor. This script is a tool to assist in decision-making; the final decision to trade and the responsibility for any losses rest solely with the user.Strategia Pine Script®di mcward3022
ORB Futures Pro - Great Dane TradingORB Futures Pro - Great Dane Trading The ORB Futures Pro is an institutional-grade execution system designed specifically for the high-volatility environment of Futures (ES, NQ, CL) and Commodities. It moves beyond standard "breakout" indicators by integrating a proprietary Risk & Execution Engine that manages your downside exposure in real-time. Unlike retail indicators that repaint or lag, this strategy focuses on Execution Quality. It combines Open Range Breakout logic with institutional Volume Profile levels to ensure you are trading with the daily order flow, not against it. Key Features: * Universal Asset Engine: One script for all markets. Seamlessly switch between Futures (Intraday Force Close), Stocks (Volume Filters), and Crypto (24/7 Logic). * "Guardian" Hard Stop: Futures leverage can be dangerous. Our proprietary logic allows you to set a Max Loss Per Trade in Dollars. If volatility spikes, the script overrides standard technical stops to protect your account balance instantly. * Smart Position Sizing: Stop manually calculating contract size. The engine auto-sizes your position based on your predefined risk percentage or fixed dollar risk. * Institutional Filters: * Auto-Volume Profile (AVP): Automatically plots yesterday’s POC and Value Area. Prevents buying directly into institutional resistance. * Momentum Guard: Integrated MFI and ADX filters ensure you aren't "chopped up" in low-volatility ranges. * Real-Time Data HUD: A professional on-chart dashboard displaying your Daily PnL, Trade Count, Active Filters, and Session Status. How It Works: The strategy monitors the Opening Range (customizable, default is NY Open) for volatility expansion. A trade is only triggered when: 1. Price breaks out of the range with confirmed momentum. 2. Volume Profile confirms the direction (e.g., we are above yesterday's POC). 3. Risk Checks pass (Daily PnL and Hard Stop limits are safe). Access: This is a private, Invite-Only script by Great Dane Trading. To request access, please visit our website or contact us via direct message. ------------------------------------------------------------- CFTC RULE 4.41: HYPOTHETICAL OR SIMULATED PERFORMANCE RESULTS HAVE CERTAIN LIMITATIONS. UNLIKE AN ACTUAL PERFORMANCE RECORD, SIMULATED RESULTS DO NOT REPRESENT ACTUAL TRADING. ALSO, SINCE THE TRADES HAVE NOT BEEN EXECUTED, THE RESULTS MAY HAVE UNDER-OR-OVER COMPENSATED FOR THE IMPACT, IF ANY, OF CERTAIN MARKET FACTORS, SUCH AS LACK OF LIQUIDITY. SIMULATED TRADING PROGRAMS IN GENERAL ARE ALSO SUBJECT TO THE FACT THAT THEY ARE DESIGNED WITH THE BENEFIT OF HINDSIGHT. NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFIT OR LOSSES SIMILAR TO THOSE SHOWN. Futures Trading Risk Warning: Futures and options trading involves substantial risk of loss and is not suitable for every investor. The valuation of futures and options may fluctuate, and, as a result, clients may lose more than their original investment. The impact of leverage can work against you as well as for you. General Disclaimer: The content provided by Great Dane Trading (GDT) is for educational and informational purposes only and does not constitute financial advice. We are not a registered investment advisor. This script is a tool to assist in decision-making; the final decision to trade and the responsibility for any losses rest solely with the user.Strategia Pine Script®di mcward3020
Mean Reversion Mirror📌 Mean Reversion Mirror — Multi‑Level Mean Reversion Strategy Mean Reversion Mirror is an advanced modular mean‑reversion strategy built around dynamic and static deviation levels from a moving average. The strategy automatically scales into positions across six levels (LONG and SHORT), using both dynamic MA‑based deviation levels and static levels that lock in after entry. 🔍 Core Concept Price tends to revert toward its mean. This strategy exploits that behavior by opening an initial base entry at the first deviation and adding positions as the imbalance grows. Each additional level improves the average entry price and increases the probability of exiting profitably. ⚙️ Key Features 📈 Six Dynamic Deviation Levels Levels are calculated as percentage deviations from a selected MA (WMA, SMA, EMA, RMA, HMA). This makes the strategy adaptive to volatility and market structure. 📉 Six Static Levels Once triggered, each level becomes fixed and no longer changes. This creates a stable averaging grid independent of future MA movement. 🎯 Flexible Take‑Profit System fixed take‑profit or trailing take‑profit with dynamic offset 🖐 Manual Entry Support You can manually set a price for LONG or SHORT, and the strategy will execute the base entry automatically. 📊 Rich Visualization dynamic deviation levels static levels dotted “last chance” levels average position price take‑profit line compact mini‑table with key position metrics 📦 Two Operating Modes STK Mode — fixed unit size Classic Mode — quantity calculated from USD value 🧠 Entry Logic The strategy uses sequences B1–B6 (LONG) and S1–S6 (SHORT): B1/S1 — base entry B2–B6 / S2–S6 — averaging entries as deviation increases L6/S6 — “last chance” level with its own size Each level activates only after the previous one. 📌 Who This Strategy Is For mean‑reversion traders grid/averaging system users pullback‑based investors traders who want clear visual levels users who prefer manual control over entry points ⚠️ Disclaimer This strategy is not financial advice. Always backtest and adjust parameters according to your risk tolerance before using it in live markets.Strategia Pine Script®di olegask68 1 K
QQE + Stoch RSI StrategyStrategy based on QQE and Stochastic RSI. Overbought positions are sold and vice versa. A precise strategy, with some personal adjustments.Strategia Pine Script®di julioleitesp39Aggiornato 4
MACD + EMA200 MTF - WEBHOOK FIXEDHi guys, works best with USDCHF Default settings fit for me, you can tweak how much you want. With default settings works well for 15min and 1min time-frame, for other time-frames, you need to tweak.Strategia Pine Script®di hadriendanner8Aggiornato 33
NASDAQ NY Session Break FVG Strategy⚡ NASDAQ NY Session Break FVG Strategy — Trade Like Institutions During Peak Volatility Stop chasing random breakouts. This strategy automatically detects New York session breaks combined with Fair Value Gap (FVG) confirmation — the exact setup institutional traders use to enter high-probability NASDAQ scalps during peak volume. Built for 1-minute scalpers trading NAS100, this combines ICT Smart Money Concepts with automated risk management for precise entries during the most volatile trading hour. NOW AVAILABLE IN TWO VERSIONS: Choose between conservative single-entry precision or aggressive multi-entry scalping based on your trading style. 💡 How It Works The strategy waits for the NY opening session (9:30-9:45 EST), monitors for session high/low breaks, then confirms entries using Fair Value Gap detection: ✅ Long Setup: Price breaks above NY session high Fair Value Gap forms (bullish gap between candles) Minimum gap threshold met (0.1% default, adjustable) → BUY signal triggers with automatic TP/SL placement ✅ Short Setup: Price breaks below NY session low Fair Value Gap forms (bearish gap between candles) Minimum gap threshold met → SELL signal triggers with automatic TP/SL placement 📦 TWO VERSIONS INCLUDED — CHOOSE YOUR TRADING STYLE VERSION 1: SINGLE-ENTRY PRECISION (Conservative) ✔️ One Trade Per Session — Takes only the FIRST FVG breakout signal per NY session ✔️ Maximum Discipline — Eliminates overtrading, focuses on highest-probability setup ✔️ Lower Risk Exposure — Single position per session caps risk ✔️ Best For: Conservative traders, account preservation, strict daily limits ✔️ Strategy: Wait for session formation → First FVG breakout only → Done for the day VERSION 2: MULTI-ENTRY SCALPING (Aggressive) ✔️ Unlimited Trades Per Session — Takes EVERY valid FVG breakout during NY session ✔️ Maximum Opportunities — Capitalizes on volatile session with multiple entries ✔️ Scalper-Optimized — Designed for active traders seeking volume ✔️ Best For: Experienced scalpers, high-frequency trading, compounding gains ✔️ Strategy: Session range breaks → Multiple FVG confirmations → Stack positions or pyramid BOTH VERSIONS USE IDENTICAL ENTRY LOGIC — Only difference is trade frequency control. Switch between versions instantly based on market conditions or your daily plan. 🔥 Why Traders Choose This Strategy ✅ Session-Based Precision — Only trades the NY opening range breakout (9:30-9:45 EST), avoiding choppy mid-day markets ✅ Smart Money Confirmation — Uses FVG gaps (institutional footprints) to filter false breakouts ✅ 6 Risk Management Options — Choose from Fixed %, Trailing Stop, Break-Even, Candle-Based, Pips, or ATR methods ✅ Visual Session Boxes — Automatically plots NY session range with high/low lines ✅ Non-Repainting Logic — All signals lock on candle close, what you see is what you get ✅ Automation-Ready — Pre-built alerts for 3Commas, PineConnector, Tickerly integration ✅ Fully Customizable — Adjust FVG threshold, TP/SL ratios, session times, version selection, and visual elements ⚙️ Key Features ✔️ NY Session Auto-Detection — 9:30-9:45 EST session box with dotted range outline ✔️ Fair Value Gap Scanner — Detects bullish/bearish FVG zones with adjustable minimum gap % (0.1% default) ✔️ Session Break Logic — Only triggers when price breaks session high/low + FVG confirmation ✔️ Trade Frequency Control — Toggle between Single-Entry (conservative) or Multi-Entry (aggressive) modes ✔️ 6 TP/SL Methods: Fixed Percentage (default: 2% TP, 1% SL) Trailing Stop Loss (locks in profits as price moves) Break-Even Stop Loss (moves SL to entry after 50% profit) Candle-Based Stop Loss (swing high/low protection) Pips-Based Stop Loss (custom pip offset) ATR-Based Stop Loss (dynamic volatility adjustment) ✔️ Visual Trade Management — Entry line, TP zones (green fill), SL zones (red fill) ✔️ Risk-Reward Ratio Control — Default 2:1 RR, fully adjustable ✔️ Timezone Flexibility — UTC offset or exchange timezone options ✔️ Color-Coded Zones — FVG boxes in translucent colors, clear BUY/SELL markers 🎯 Perfect For ✅ 1-Minute NASDAQ Scalpers — Trade NAS100 during peak NY volatility ✅ ICT/Smart Money Traders — Use institutional FVG concepts for precision entries ✅ Session Traders — Focus on high-probability opening range breakouts ✅ Conservative Accounts — Version 1 limits exposure with single daily entry ✅ Aggressive Scalpers — Version 2 maximizes opportunities with unlimited entries ✅ Risk-Conscious Traders — Multiple TP/SL options for different risk tolerances ✅ Automation Users — Compatible with 3Commas, PineConnector, Tickerly via alerts 🧩 What Makes This Different This isn't another basic breakout indicator. It combines three institutional concepts: 1. Session Liquidity Zones — NY session creates predictable high/low ranges where institutions accumulate orders 2. Fair Value Gap Confirmation — Filters breakouts by requiring FVG formation (imbalance zones institutions exploit) 3. Automated Risk Management — 6 different TP/SL methods let you match strategy to your trading style PLUS: Dual Version System — Conservative traders get disciplined single-entry control. Aggressive scalpers get unlimited opportunity capture. Same proven logic, different execution styles. No AI hype, no profit promises — just clean Smart Money logic translated into automated Pine Script signals with professional-grade risk management. 🛠️ Compatibility ✅ TradingView (Free & Pro accounts) ✅ Best Markets: NASDAQ (NAS100), US30, SPX500 ✅ Optimal Timeframe: 1-minute (scalping) ✅ Works on: 5M, 15M (adjust session settings accordingly) ✅ Alert Integrations: 3Commas, PineConnector, Tickerly, TradingView native alerts ✅ Timezone Support: UTC offset or exchange-based ✅ Version Control: Easy toggle between Single-Entry and Multi-Entry modes ⚠️ Disclaimer This tool is for educational and research purposes only. Trading involves risk of loss. Always backtest thoroughly and use proper risk management. Past performance does not guarantee future results. Version 2 (Multi-Entry) can generate significantly more trades per session — ensure you understand position sizing and maximum daily loss limits before use. Start with Version 1 if new to the strategy. Get instant access to both versions and choose your trading style.Strategia Pine Script®di AkkiCodez4
Trade Manager + MOST RSI📌 Trade Manager + MOST RSI — Adaptive Position Management Strategy Overview This strategy combines the MOST‑RSI trend‑reversal model with a fully customizable position management system. It is designed for traders who want a flexible, visual, and systematic approach to scaling into positions, managing risk, and automating exits. The script supports both automatic entries (based on MOST‑RSI signals) and manual entries (user‑defined price levels), making it suitable for hybrid discretionary + algorithmic trading. ✨ Key Features MOST‑RSI Entry Logic Adaptive RSI‑based trend detection VAR‑smoothed moving average Automatic LONG/SHORT signal generation Configurable sensitivity through MOST Percent, MA Type, and RSI Length Smart Position Management Initial order + cascading Safety Orders (SO) Adjustable deviation, step scaling, and volume scaling Independent LONG and SHORT deviation settings Breakeven after N safety orders Automatic TP placement based on average entry price Clean Visual Structure TP lines visible only when a position is open NEXT SO level with dynamic labeling Average price line with subtle styling Transparent background zones for TP, SO, and AVG Real‑time mini‑table showing position metrics Manual Entry Mode Set custom LONG/SHORT entry levels Automatic line drawing One‑click reset Perfect for discretionary setups 📊 Recommended Timeframes 1H — balanced 4H — conservative MOST‑RSI adapts well across different market conditions. 🔧 Optimization Recommendations 1. Deviation (%) Trending markets: 4–7% Ranging markets: 2–3% Optimize LONG and SHORT separately 2. Safety Order Volume Scale Typical range: 1.3–1.6 Higher = faster averaging, higher risk 3. Safety Order Step Scale 1.4–1.7 for safer spacing 1.1–1.3 for tighter spacing 4. Take‑Profit Volatile assets: 2–5% Stable assets: 1.5–2% 5. Risk Management Max SO: 5–10 depending on volatility More SO = safer but more capital required 6. MOST‑RSI Parameters RSI Length: 14 MA Length: 5 MOST Percent: 7–12% 7. Backtesting Use at least 1 year of data Include high‑volatility periods 8. Drawdown Control If drawdown is too high: Lower SO volume scale Reduce max SO Increase SO step scale 📌 Disclaimer This script does not guarantee profits and is not financial advice. Always test strategies on historical data and use proper risk management.Strategia Pine Script®di olegask68444
Q.Logic: Lucy v9.0 [Institutional Order Flow Hunter]Stop Trading Patterns. Start Trading Liquidity. This is Part 1 of the proprietary Quant Logic Dynasty system—an institutional-grade execution interface designed to identify high-probability reversal "floors" with surgical precision. Most retail indicators lag. Lucy waits. Built originally for private fund deployment, this script serves as the "Spotter" in a complex quantitative ecosystem. It does not guess direction; it identifies where the Selling Pressure has exhausted and the Institutional Buying Pressure (Whales) is stepping in. 🚀 Key Metrics (Private Backtest Data): Sharpe Ratio: > 1.0 (Profitable) Sortino Ratio: > 7.0 (The Sniper) Note: A Sortino of 7.0+ indicates near-zero downside volatility. This system refuses to catch falling knives. Settings are adjustable to gain even higher ratios if you want to just use this as a stand alone strategy. ⚔️ How It Works: Floor Detection: Utilizes a custom pivot-based algorithm to identify "Hard Floors" where price action is being defended by limit orders. Volatility Tuning: Features an integrated Auto-Tuner that adjusts Stop Loss and Take Profit targets dynamically based on ATR (Average True Range). It breathes with the market. The Muffled Master: Includes advanced "Anti-Spam" logic to filter out noise during high-volatility events. It only fires when the signal is confirmed. 🛠️ For Automators (PineConnector Ready): This script is engineered to be the "Trigger" for a larger automation stack. Webhook Native: Includes a built-in "Alerts Only" toggle to send clean, syntax-perfect JSON commands directly to PineConnector or your custom webhook. Risk Management: Outputs precise Position Sizing commands (vol_lots) to ensure every trade meets strict risk parameters. ⚠️ Usage Note: This script is Part 1 (The Trigger). It is designed to identify the entry. While it functions exceptionally well as a standalone manual trading tool, it is optimized to feed data into a secondary risk-management engine (Cloud Function/Python). Strategy: Long-Only Dip Hunter (Trend Following). Best Assets: BTCUSD, XAUUSD (Gold). Welcome to the Yacht Yard. For more settings and info on how to automate this using institutional grade tools and strategies hit me up. Disclaimer: Trading financial assets involves high risk. This tool is for educational and analytical purposes only. Past performance (even a Sortino of 7.0) does not guarantee future results.Strategia Pine Script®di jason_jncmarketing22
ORO scalping 1:19 and 21 emas cross. SL is always 20% of ADR. Modify SL and TP from settings with higher or lower volatilityStrategia Pine Script®di vic54ga5
XAUUSD Prop Based IndicatorThis is a trend-following pullback strategy designed for XAUUSD on the 4H timeframe, with built-in prop firm risk management. The system combines dual EMA trend filtering with higher timeframe confirmation, ADX strength validation, and volatility filtering to ensure trades are taken only in strong market conditions. Entries are based on pullbacks to the 34 EMA within established trends, supported by RSI stabilization. Risk management is the core of this strategy. Each trade uses ATR-based dynamic stop loss with fixed dollar and percentage risk caps. Daily drawdown limits, total drawdown protection, and maximum trades per day are included to prevent account violations. The exit system uses partial profit-taking at 1.5R and 3R levels, allowing early risk reduction while letting winners run. Recommended for disciplined traders and prop firm challenges on XAUUSD 4H. This is a risk-controlled swing trading strategy designed for XAUUSD (Gold) on the 4H timeframe. Key Features: - Dual EMA + Higher Timeframe Trend Filter - RSI Pullback Entries - ADX + Volatility Filter - ATR-Based Dynamic Stop Loss - Fixed Dollar Risk Per Trade - Prop Firm Style Drawdown Protection - Daily Trade & Loss Limits - Partial Profit Taking Recommended Settings: Symbol: XAUUSD Timeframe: 4H Higher TF: Daily Risk Disclaimer: This script is for educational purposes only. Trading involves risk and past performance does not guarantee future results. Strategia Pine Script®di shobhitsrvstv2014117
Uptrick: Price Memory Trend StrategyHere are clear, structured notes explaining the Pine Script code — the simplified "LSTM-like" trend predictor you were given earlier. Overall Purpose of the Script The script tries to imitate LSTM memory behavior (long-term memory + selective forgetting/updating) using only Pine Script's basic math and variables — because real LSTM neural networks (with matrices, multiple gates, backpropagation) are not possible in Pine. It creates a persistent memory line that: slowly forgets old information, selectively accepts new price information, tries to act as a trend-following / regime-detecting centerline. Then it uses momentum of this memory line + deviation size to decide whether the market is in an uptrend or downtrend. Key Sections Explained 1. Inputs (tunable parameters) pinescriptmemoryStrength = input.float(0.14, "Forget Gate strength (like 1-f)", step=0.01, minval=0.01, maxval=0.99) inputGate = input.float(0.22, "Input Gate strength", step=0.01, minval=0.01, maxval=1.0) cellDecay = input.float(0.965, "Cell state decay", step=0.001, minval=0.8, maxval=0.999) lookback = input.int(21, "Lookback for momentum", minval=5) sensitivity = input.float(1.35, "Trend sensitivity multiplier", step=0.05) ParameterWhat it controlsTypical effectHigher value means…memoryStrengthHow aggressively old memory is forgottenControls "forget gate" strengthForgets faster, more responsiveinputGateHow much new price is allowed into memoryControls how much price influences cellMemory follows price more closelycellDecayNatural fading of long-term memory per barPrevents memory from living foreverLower = memory fades fasterlookbackPeriod for momentum and deviation calculationSmoothness of trend detectionLonger = smoother, fewer signalssensitivityHow strong momentum must be to flip trendFinal trigger strictnessHigher = fewer but stronger signals 2. Memory Variables (the "LSTM core") pinescriptvar float cell = na // long-term memory ≈ cell state C var float hidden = na // short-term state ≈ hidden state h if bar_index == 0 cell := price hidden := price cell → tries to act like LSTM cell state (long memory) hidden → tries to act like LSTM hidden state (what we actually observe/use) 3. Simplified Gates pinescriptforget = math.tanh(hidden * memoryStrength) i_gate = math.tanh(price * inputGate) candidate = price - hidden forget — value between -1 and +1, but we treat higher positive = forget more i_gate — how much new info we want to accept candidate — the new information we could add (difference from current hidden) Very crude approximation — real LSTM uses sigmoid + learned weights. 4. Core LSTM-like Update Rule pinescriptcell := cell * (1 - forget) + candidate * i_gate cell := cell * cellDecay hidden := cell * 0.65 + price * 0.35 This is the heart of the "fake LSTM": Keep (1 – forget) of old cell Add a portion (i_gate) of the candidate change Apply slow exponential decay (cellDecay < 1) Hidden state = mix between long memory and current price → base = hidden becomes our smoothed, memory-aware centerline. 5. Trend Detection Logic pinescriptmom = ta.change(base, lookback) // how much did memory move in last N bars? dev = math.abs(price - base) // how far is price from memory center? avgDev = ta.ema(dev, lookback * 2) // smoothed deviation size trendScore = (mom / avgDev) * sensitivity // normalized momentum × sensitivity Normalizes momentum by current volatility/deviation High positive → strong upward memory movement → likely uptrend High negative → strong downward memory movement → likely downtrend 6. Trend State Machine (non-repainting flip) pinescriptvar int trend = 0 // 1 = Up, -1 = Down, 0 = Neutral bullCondition = trendScore > 1.0 and trendScore <= 1.0 bearCondition = trendScore < -1.0 and trendScore >= -1.0 if bullCondition trend := 1 else if bearCondition trend := -1 else trend := nz(trend ) Only changes trend when crossing the threshold from the other side Prevents flickering / frequent flipping Persistent until strong opposite signal appears 7. Visualization Summary Background tint (light green/red) Thick memory line (changes color with trend) Dashed ±1.6× deviation bands Big up/down labels on trend flips Alert conditions on every new trend direction Quick Tuning Guide GoalSuggestionFewer but stronger signals↑ sensitivity (1.6–2.2), ↑ lookback (30–60)More responsive / earlier entries↑ inputGate, ↓ cellDecay, ↓ memoryStrengthSmoother memory line↓ inputGate, ↑ cellDecay (0.98+)Better in choppy markets↑ lookback, ↑ sensitivityBetter in trending markets↓ lookback, moderate sensitivity (~1.2–1.5) Most Important Takeaway This is not a real LSTM — it's a hand-crafted, analog-style memory filter inspired by LSTM ideas. It tries to combine: slow-adapting memory (like EMA but with forgetting control) selective update depending on current deviation momentum-of-memory as trend strength Many traders find this kind of memory line more "intelligent" than simple moving averages when tuning the forget/input/decay parameters to match the market personality.Strategia Pine Script®di shravanreddy080880