INVITE-ONLY SCRIPT
Atualizado

#Bot1 (v1.x) (AT)

9 526
This is a momentum based trend following strategy.
It does not trade often because it has to wait for a momentum to confirm up or down. This has the benefit of not getting faked into a trade or out of a trade. If you want to see more trades, simply use the date picker and increase the time range used for the backtest.

This strategy goes Long only.

When does it buy?
When the Price momentum turns up and the Volume is strong.

When does it sell?
When the Price momentum turns down, combined with a weak Volume.
It also sells when the price closes below the "Max-Loss %" setting you have chosen for the asset, to protect from further drawdown.

Which chart to use?
Because this strategy is using the Volume profile to make decisions, you should use the chart from the exchange with the most Volume for the asset you want to trade.
Aka. pick the trading pair from that exchange, where that trading pair has the most daily $Volume.

Date picker
This strategy has a date picker so you can choose the range you want to backtest.
This way you can backtest much more accurately.

"Max-Loss %"
The strategy sells if the price closes this amount of % or more below the entry price of the trade.
Pick the best number for the volatility of the asset your are trading.
One goal could be to have a high Net Profit with a low Max Drawdown. But you decide which KPIs you care most about. Pick this value so that the backtest has the highest probability for your KPIs to be good.

When to use this strategy?
Best for trending assets (e.g. crypto).
Not suited on timeframes lower than 1D.
Not suited for high frequency or scalping.

Strategy properties
This strategy is set to use 100% of the capital to show how compounding effects affect the long term results of the strategy. In real trading you'd do position sizing in your portfolio and put only the funds you want to risk on that one asset.

Don't look at absolute numbers when you check strategy numbers because that depends on your Initial Capital, instead look at the relative values (% and ratios) to determine the strategies risk vs. reward.
Notas de Lançamento
This strategy is based on short to mid-term signals and is heavily optimized to protect the downside. Trades often. Gets out of trades fast when the trend goes against it.

To get access to this automatic trading strategy visit this page: autotrading.vip
Notas de Lançamento
This strategy is based on short to mid-term signals and is heavily optimized to protect the downside. Trades often. Gets out of trades fast when the trend goes against it.

To get access to this automatic trading strategy visit this page: autotrading.vip
Notas de Lançamento
Added parentheses to the name, to have the same exact name everywhere.
Notas de Lançamento
Updated to PineScript v5.
Strategy logic is the same as before.
Notas de Lançamento
Added the Equity Line to the strategy.
Notas de Lançamento
Changed the name of the strategy to comply with TV guidances.
Notas de Lançamento
Updated title.
Notas de Lançamento
Updated chart.
Notas de Lançamento
Update chart.
Notas de Lançamento
Updated default params.
Notas de Lançamento
Updated chart with latest trades to make them visible publicly.
Notas de Lançamento
Added table to chart to display important information.
Trading logic remained the same.

Aviso legal

As informações e publicações não se destinam a ser, e não constituem, conselhos ou recomendações financeiras, de investimento, comerciais ou de outro tipo fornecidos ou endossados pela TradingView. Leia mais nos Termos de Uso.