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Global Indices Weekly Investment Strategy

Atualizado
This strategy aims to provide the optimal times to buy/sell assets on a long term basis. From my testing it works best on a weekly or monthly time frame. The default values are currently set to work best on Global Indices such as the S&P 500. It is very simple in its core, it uses price historical price action to estimate where in a market cycle the asset is. Then combined with a basic Moving-Average-like baseline and long term trend oscillator to gauge direction, it attempts to find the best time to buy/sell an asset to reduce capital draw-down and maximise future profits.

Returns here are based on an account balance and trade sizes of £100,000 with no compounding. Does not take into account exchange fees - 0% commission.

Please let me know if you have found any optimal settings for a given market using this strategy; such as all commodities. Or if you have any suggestions on how the strategy could be improved in general.
Notas de Lançamento
Updated to allow both Long & Short trades.
Notas de Lançamento
Updated to show indicator plotting.
Notas de Lançamento
Updated to improve Trend Indicator
Notas de Lançamento
Updated to allow 'Price Source' and 'MA Type' changes.
Notas de Lançamento
Updated to improve Short trades performance. Streamlined code.
Notas de Lançamento
Updated to add optional Short Term Trend Indicator.
Notas de Lançamento
Updated to improve default settings.
Notas de Lançamento
Updated to improve plotting and colours.
Notas de Lançamento
Updated to add percent Trailing Stop.
investinglong-termMoving AveragessimpleTrend Analysis

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