BTC Price Prediction Model [Global PMI]V2🇺🇸 English Guide
1. Introduction
This indicator was created by GW Capital using Gemini Vibe Coding technology. It leverages advanced AI coding capabilities to reconstruct complex macroeconomic models into actionable trading tools.
2. Credits
Special thanks to the original model author, Marty Kendall. His research into the correlation between Bitcoin's price and macroeconomic factors lays the foundation for this algorithm.
3. Model Principles & Formula
This model calculates the "Fair Value" of Bitcoin based on four key macroeconomic pillars. It assumes that Bitcoin's price is a function of Global Liquidity, Network Security, Risk Appetite, and the Economic Cycle.
💡 Unique Insight: PMI & The 4-Year Cycle
A key distinguishing feature of this model is the hypothesis that Bitcoin's famous "4-Year Halving Cycle" may be intrinsically linked to the Global Business Cycle (PMI), rather than just supply shocks.
Therefore, the model incorporates PMI as a valuation "Amplifier".
Note: Due to TradingView data limitations, US PMI is currently used as the proxy for the global cycle.
The Formula
$$\ln(BTC) = \alpha + (1 + \beta \cdot PMI_{z}) \times $$
Global Liquidity (M2): Sum of M2 supply from US, China, Eurozone, and Japan (converted to USD). Represents the pool of fiat money available to flow into assets.
Network Security (Hashrate): Bitcoin's hashrate, representing the physical security and utility of the network.
Risk Appetite (S&P 500): Used as a proxy for global risk sentiment.
Economic Cycle (PMI Z-Score): US Manufacturing PMI is used to amplify or dampen the valuation based on where we are in the business cycle (Expansion vs. Contraction).
4. How to Use
The indicator plots the Fair Value (White Line) and four sentiment bands based on statistical deviation (Z-Score).
Sentiment Zones
🚨 Extreme Greed (Red Zone): Price > +0.3 StdDev. Historically indicates a market top or overheated sentiment.
⚠️ Greed (Orange Zone): Price > +0.15 StdDev. Bullish momentum is strong but caution is advised.
⚖️ Fair Value (White Line): The theoretical "correct" price based on macro data.
😨 Fear (Teal Zone): Price < -0.15 StdDev. Undervalued territory.
💎 Extreme Fear (Green Zone): Price < -0.3 StdDev. Historically a generational buying opportunity.
Sentiment Score (0-100)
100: Maximum Greed (Top)
50: Fair Value
0: Maximum Fear (Bottom)
5. Usage Recommendations
Timeframe: Daily (1D) or Weekly (1W) ONLY.
Reason: The underlying data sources (M2, PMI) are updated monthly. The S&P 500 and Hashrate are daily. Using this indicator on intraday charts (e.g., 15m, 1h, 4h) adds no value because the fundamental data does not change that fast.
Long-Term View: This is a macro-cycle indicator designed for identifying cycle tops and bottoms over months and years, not for day trading.
6. Disclaimer
This indicator is for educational and informational purposes only. It does not constitute financial advice. The model relies on historical correlations which may not hold true in the future. All trading involves risk. GW Capital and the creators assume no responsibility for any trading losses.
7. Support Us ❤️
If you find this indicator useful, please Boost 👍, Comment, and add it to your Favorites! Your support keeps us going.
🇨🇳 中文说明 (Chinese Version)
1. 简介
本指标由 GW Capital 使用 Gemini Vibe Coding 技术制作。利用先进的 AI 编程能力,将复杂的宏观经济模型重构为可执行的交易工具。
2. 致谢
特别感谢模型原作者 Marty Kendall。他对这一算法的研究奠定了基础,揭示了比特币价格与宏观经济因素之间的深层联系。
3. 模型原理与公式
该模型基于四大宏观经济支柱计算比特币的“公允价值”。它假设比特币的价格是全球流动性、网络安全性、风险偏好和经济周期的函数。
💡 独家洞察:PMI 与 4年周期
本模型的一个核心独特之处在于:我们认为比特币著名的“4年减半周期”背后的真正驱动力,可能与全球商业周期 (PMI) 高度同步,而不仅仅是供应减半。
因此,模型特别引入 PMI 作为估值的“放大器” (Amplifier)。
注:由于 TradingView 数据源限制,目前采用历史数据最详尽的美国 PMI 作为全球周期的代理指标。
模型公式
$$\ln(BTC) = \alpha + (1 + \beta \cdot PMI_{z}) \times $$
全球流动性 (M2): 美、中、欧、日四大经济体的 M2 总量(折算为美元)。代表可流入资产的法币资金池。
网络安全性 (Hashrate): 比特币全网算力,代表网络的物理安全性和实用价值。
风险偏好 (S&P 500): 作为全球风险情绪的代理指标。
经济周期 (PMI Z-Score): 美国制造业 PMI 用于根据商业周期(扩张 vs 收缩)来放大或抑制估值。
4. 指标用法
指标会在图表上绘制 公允价值 (白线) 以及基于统计偏差 (Z-Score) 的四条情绪带。
情绪区间
🚨 极度贪婪 (红色区域): 价格 > +0.3 标准差。历史上通常预示市场顶部或情绪过热。
⚠️ 一般贪婪 (橙色区域): 价格 > +0.15 标准差。多头动能强劲,但需谨慎。
⚖️ 公允价值 (白线): 基于宏观数据的理论“正确”价格。
😨 一般恐惧 (青色区域): 价格 < -0.15 标准差。进入低估区域。
💎 极度恐惧 (绿色区域): 价格 < -0.3 标准差。历史上通常是代际级别的买入机会。
情绪评分 (0-100)
100: 极度贪婪 (顶部)
50: 公允价值
0: 极度恐惧 (底部)
5. 使用建议
周期: 仅限日线 (1D) 或周线 (1W)。
原因: 底层数据源(M2, PMI)是月度更新的。标普500和算力是日度更新的。在日内图表(如15分钟、1小时、4小时)上使用此指标没有任何意义,因为基本面数据不会变化得那么快。
长期视角: 这是一个宏观周期指标,旨在识别数月甚至数年的周期顶部和底部,而非用于日内交易。
6. 免责声明
本指标仅供教育和参考使用,不构成任何财务建议。该模型依赖于历史相关性,未来可能不再适用。所有交易均涉及风险。GW Capital 及制作者不对任何交易损失承担责任。
BTCUSDT
ADX Forecast Colorful [DiFlip]ADX Forecast Colorful
Introducing one of the most advanced ADX indicators available — a fully customizable analytical tool that integrates forward-looking forecasting capabilities. ADX Forecast Colorful is a scientific evolution of the classic ADX, designed to anticipate future trend strength using linear regression. Instead of merely reacting to historical data, this indicator projects the future behavior of the ADX, giving traders a strategic edge in trend analysis.
⯁ Real-Time ADX Forecasting
For the first time, a public ADX indicator incorporates linear regression (least squares method) to forecast the future behavior of ADX. This breakthrough approach enables traders to anticipate trend strength changes based on historical momentum. By applying linear regression to the ADX, the indicator plots a projected trendline n periods ahead — helping users make more accurate and timely trading decisions.
⯁ Highly Customizable
The indicator adapts seamlessly to any trading style. It offers a total of 26 long entry conditions and 26 short entry conditions, making it one of the most configurable ADX tools on TradingView. Each condition is fully adjustable, enabling the creation of statistical, quantitative, and automated strategies. You maintain full control over the signals to align perfectly with your system.
⯁ Innovative and Science-Based
This is the first public ADX indicator to apply least-squares predictive modeling to ADX dynamics. Technically, it embeds machine learning logic into a traditional trend-strength indicator. Using linear regression as a predictive engine adds powerful statistical rigor to the ADX, turning it into an intelligent, forward-looking signal generator.
⯁ Scientific Foundation: Linear Regression
Linear regression is a fundamental method in statistics and machine learning used to model the relationship between a dependent variable y and one or more independent variables x. The basic formula for simple linear regression is:
y = β₀ + β₁x + ε
Where:
y = predicted value (e.g., future ADX)
x = explanatory variable (e.g., bar index or time)
β₀ = intercept
β₁ = slope (rate of change)
ε = random error term
The goal is to estimate β₀ and β₁ by minimizing the sum of squared errors. This is achieved using the least squares method, ensuring the best linear fit to historical data. Once the coefficients are calculated, the model extends the regression line forward, generating the ADX projection based on recent trends.
⯁ Least Squares Estimation
To minimize the error, the regression coefficients are calculated as:
β₁ = Σ((xᵢ - x̄)(yᵢ - ȳ)) / Σ((xᵢ - x̄)²)
β₀ = ȳ - β₁x̄
Where:
Σ = summation
x̄ and ȳ = means of x and y
i ranges from 1 to n (number of data points)
These formulas provide the best linear unbiased estimator under Gauss-Markov conditions — assuming constant variance and linearity.
⯁ Linear Regression in Machine Learning
Linear regression is a foundational algorithm in supervised learning. Its power in producing quantitative predictions makes it essential in AI systems, predictive analytics, time-series forecasting, and automated trading. Applying it to the ADX essentially places an intelligent forecasting engine inside a classic trend tool.
⯁ Visual Interpretation
Imagine an ADX time series like this:
Time →
ADX →
The regression line smooths these values and projects them n periods forward, creating a predictive trajectory. This forecasted ADX line can intersect with the actual ADX, offering smarter buy and sell signals.
⯁ Summary of Scientific Concepts
Linear Regression: Models variable relationships with a straight line.
Least Squares: Minimizes prediction errors for best fit.
Time-Series Forecasting: Predicts future values using historical data.
Supervised Learning: Trains models to predict outcomes from inputs.
Statistical Smoothing: Reduces noise and highlights underlying trends.
⯁ Why This Indicator Is Revolutionary
Scientifically grounded: Based on rigorous statistical theory.
Unprecedented: First public ADX using least-squares forecast modeling.
Smart: Uses machine learning logic.
Forward-Looking: Generates predictive, not just reactive, signals.
Customizable: Flexible for any strategy or timeframe.
⯁ Conclusion
By merging ADX and linear regression, this indicator enables traders to predict market momentum rather than merely follow it. ADX Forecast Colorful is not just another indicator — it’s a scientific leap forward in technical analysis. With 26 fully configurable entry conditions and smart forecasting, this open-source tool is built for creating cutting-edge quantitative strategies.
⯁ Example of simple linear regression with one independent variable
This example demonstrates how a basic linear regression works when there is only one independent variable influencing the dependent variable. This type of model is used to identify a direct relationship between two variables.
⯁ In linear regression, observations (red) are considered the result of random deviations (green) from an underlying relationship (blue) between a dependent variable (y) and an independent variable (x)
This concept illustrates that sampled data points rarely align perfectly with the true trend line. Instead, each observed point represents the combination of the true underlying relationship and a random error component.
⯁ Visualizing heteroscedasticity in a scatterplot with 100 random fitted values using Matlab
Heteroscedasticity occurs when the variance of the errors is not constant across the range of fitted values. This visualization highlights how the spread of data can change unpredictably, which is an important factor in evaluating the validity of regression models.
⯁ The datasets in Anscombe’s quartet were designed to have nearly the same linear regression line (as well as nearly identical means, standard deviations, and correlations) but look very different when plotted
This classic example shows that summary statistics alone can be misleading. Even with identical numerical metrics, the datasets display completely different patterns, emphasizing the importance of visual inspection when interpreting a model.
⯁ Result of fitting a set of data points with a quadratic function
This example illustrates how a second-degree polynomial model can better fit certain datasets that do not follow a linear trend. The resulting curve reflects the true shape of the data more accurately than a straight line.
⯁ What is the ADX?
The Average Directional Index (ADX) is a technical analysis indicator developed by J. Welles Wilder. It measures the strength of a trend in a market, regardless of whether the trend is up or down.
The ADX is an integral part of the Directional Movement System, which also includes the Plus Directional Indicator (+DI) and the Minus Directional Indicator (-DI). By combining these components, the ADX provides a comprehensive view of market trend strength.
⯁ How to use the ADX?
The ADX is calculated based on the moving average of the price range expansion over a specified period (usually 14 periods). It is plotted on a scale from 0 to 100 and has three main zones:
Strong Trend: When the ADX is above 25, indicating a strong trend.
Weak Trend: When the ADX is below 20, indicating a weak or non-existent trend.
Neutral Zone: Between 20 and 25, where the trend strength is unclear.
⯁ Entry Conditions
Each condition below is fully configurable and can be combined to build precise trading logic.
📈 BUY
🅰️ Signal Validity: The signal will remain valid for X bars .
🅰️ Signal Sequence: Configurable as AND or OR .
🅰️ +DI > -DI
🅰️ +DI < -DI
🅰️ +DI > ADX
🅰️ +DI < ADX
🅰️ -DI > ADX
🅰️ -DI < ADX
🅰️ ADX > Threshold
🅰️ ADX < Threshold
🅰️ +DI > Threshold
🅰️ +DI < Threshold
🅰️ -DI > Threshold
🅰️ -DI < Threshold
🅰️ +DI (Crossover) -DI
🅰️ +DI (Crossunder) -DI
🅰️ +DI (Crossover) ADX
🅰️ +DI (Crossunder) ADX
🅰️ +DI (Crossover) Threshold
🅰️ +DI (Crossunder) Threshold
🅰️ -DI (Crossover) ADX
🅰️ -DI (Crossunder) ADX
🅰️ -DI (Crossover) Threshold
🅰️ -DI (Crossunder) Threshold
🔮 +DI (Crossover) -DI Forecast
🔮 +DI (Crossunder) -DI Forecast
🔮 ADX (Crossover) +DI Forecast
🔮 ADX (Crossunder) +DI Forecast
📉 SELL
🅰️ Signal Validity: The signal will remain valid for X bars .
🅰️ Signal Sequence: Configurable as AND or OR .
🅰️ +DI > -DI
🅰️ +DI < -DI
🅰️ +DI > ADX
🅰️ +DI < ADX
🅰️ -DI > ADX
🅰️ -DI < ADX
🅰️ ADX > Threshold
🅰️ ADX < Threshold
🅰️ +DI > Threshold
🅰️ +DI < Threshold
🅰️ -DI > Threshold
🅰️ -DI < Threshold
🅰️ +DI (Crossover) -DI
🅰️ +DI (Crossunder) -DI
🅰️ +DI (Crossover) ADX
🅰️ +DI (Crossunder) ADX
🅰️ +DI (Crossover) Threshold
🅰️ +DI (Crossunder) Threshold
🅰️ -DI (Crossover) ADX
🅰️ -DI (Crossunder) ADX
🅰️ -DI (Crossover) Threshold
🅰️ -DI (Crossunder) Threshold
🔮 +DI (Crossover) -DI Forecast
🔮 +DI (Crossunder) -DI Forecast
🔮 ADX (Crossover) +DI Forecast
🔮 ADX (Crossunder) +DI Forecast
🤖 Automation
All BUY and SELL conditions are compatible with TradingView alerts, making them ideal for fully or semi-automated systems.
⯁ Unique Features
Linear Regression: (Forecast)
Signal Validity: The signal will remain valid for X bars
Signal Sequence: Configurable as AND/OR
Condition Table: BUY/SELL
Condition Labels: BUY/SELL
Plot Labels in the Graph Above: BUY/SELL
Automate and Monitor Signals/Alerts: BUY/SELL
Background Colors: "bgcolor"
Background Colors: "fill"
Linear Regression (Forecast)
Signal Validity: The signal will remain valid for X bars
Signal Sequence: Configurable as AND/OR
Table of Conditions: BUY/SELL
Conditions Label: BUY/SELL
Plot Labels in the graph above: BUY/SELL
Automate & Monitor Signals/Alerts: BUY/SELL
Background Colors: "bgcolor"
Background Colors: "fill"
Trend Line Methods (TLM)Trend Line Methods (TLM)
Overview
Trend Line Methods (TLM) is a visual study designed to help traders explore trend structure using two complementary, auto-drawn trend channels. The script focuses on how price interacts with rising or falling boundaries over time. It does not generate trade signals or manage risk; its purpose is to support discretionary chart analysis.
Method 1 – Pivot Span Trendline
The Pivot Span Trendline method builds a dynamic channel from major swing points detected by pivot highs and pivot lows.
• The script tracks a configurable number of recent pivot highs and lows.
• From the oldest and most recent stored pivot highs, it draws an upper trend line.
• From the oldest and most recent stored pivot lows, it draws a lower trend line.
• An optional filled area can be drawn between the two lines to highlight the active trend span.
As new pivots form, the lines are recalculated so that the channel evolves with market structure. This method is useful for visualising how price respects a trend corridor defined directly by swing points.
Method 2 – 5-Point Straight Channel
The 5-Point Straight Channel method approximates a straight trend channel using five key points extracted from a fixed lookback window.
Within the selected window:
• The window is divided into five segments of similar length.
• In each segment, the highest high is used as a representative high point.
• In each segment, the lowest low is used as a representative low point.
• A straight regression-style line is fitted through the five high points to form the upper boundary.
• A second straight line is fitted through the five low points to form the lower boundary.
The result is a pair of straight lines that describe the overall directional channel of price over the chosen window. Compared to Method 1, this approach is less focused on the very latest swings and more on the broader slope of the market.
Inputs & Menus
Pivot Span Trendline group (Method 1)
• Enable Pivot Span Trendline – Turns Method 1 on or off.
• High trend line color / Low trend line color – Colors of the upper and lower trend lines.
• Fill color between trend lines – Base color used to shade the area between the two lines. Transparency is controlled internally.
• Trend line thickness – Line width for both high and low trend lines.
• Trend line style – Line style (solid, dashed, or dotted).
• Pivot Left / Pivot Right – Number of bars to the left and right used to confirm pivot highs and lows. Larger values produce fewer but more significant swing points.
• Pivot Count – How many historical pivot points are kept for constructing the trend lines.
• Lookback Length – Number of bars used to keep pivots in range and to extend the trend lines across the chart.
5-Point Straight Channel group (Method 2)
• Enable 5-Point Straight Channel – Turns Method 2 on or off.
• High channel line color / Low channel line color – Colors of the upper and lower channel lines.
• Channel line thickness – Line width for both channel lines.
• Channel line style – Line style (solid, dashed, or dotted).
• Channel Length (bars) – Lookback window used to divide price into five segments and build the straight high/low channel.
Using Both Methods Together
Both methods are designed to visualise the same underlying idea: price tends to move inside rising or falling channels. Method 1 emphasises the most recent swing structure via pivot points, while Method 2 summarises the broader channel over a fixed window.
When the Pivot Span Trendline corridor and the 5-Point Straight Channel boundaries align or intersect, they can highlight zones where multiple ways of drawing trend lines point to similar support or resistance areas. Traders can use these confluence zones as a visual reference when planning their own entries, exits, or risk levels, according to their personal trading plan.
Notes
• This script is meant as an educational and analytical tool for studying trend lines and channels.
• It does not generate trading signals and does not replace independent analysis or risk management.
• The behaviour of both methods is timeframe- and symbol-agnostic; they will adapt to whichever chart you apply them to.
BTC EMA 5-9 Flip Strategy AutobotThis strategy is designed for fast and accurate trend-following trades on Bitcoin.
It uses a crossover between EMA 5 and EMA 9 to detect instant trend reversals and automatically flips between Long and Short positions.
How the strategy works
EMA 5 crossing above EMA 9 → Long
EMA 5 crossing below EMA 9 → Short
Automatically closes the opposite trade during a flip
Executes trades only on candle close
Prevents double entries with internal position-state logic
Fully compatible with automated trading via webhooks (Delta Exchange)
Why this strategy works
EMA 5–9 is extremely responsive for BTC’s volatility
Captures trend reversals early
Works best on 15-minute timeframe
Clean, simple logic without over-filtering reduces missed opportunities
Performs well in both uptrends and downtrends
Automation Ready
This strategy includes alert conditions and webhook-ready JSON for automated execution.
This is a fast-reacting BTC bot designed for intraday and swing crypto trend trading.
Market Extreme Zones IndexThe Market Extreme Zones Index is a new mean reversion (valuation) tool focused on catching long term oversold/overbought zones. Combining an enhanced RSI with a smoothed Z-score this indicator allows traders to find oppurtunities during highly oversold/overbought zones.
I will separate the explanation into the following parts:
1. How does it work?
2. Methodologies & Concepts
3. Use cases
How does it work?
The indicator attempts to catch highly unprobable events in either direction to capture reversal points over the long term. This is done by calculating the Z-Score of an enhanced RSI.
First we need to calculate the Enhanced RSI:
For this we need to calculate 2 additional lengths:
Length1 = user defined length
Length2 = Length1/2
Length3 = √Length
Now we need to calculate 3 different RSIs:
1st RSI => uses classic user defined source and classic user defined length.
2nd RSI => uses classic user defined source and Length 2.
3rd RSI => uses RSI 2 as source and Length 2
Now calculate the divergence:
RSI_base => 2nd RSI * 3 - 1st RSI - 3rd RSI
After this we need to calculate the median of the RSI_base over √Length and make a divergence of these 2:
RSI => RSI_base*2 - median
All that remains now is the Z-score calculations:
We need:
Average RSI value
Standard Deviation = a measure of how dispersed or spread out a set of data values are from their average
Z-score = (Current Value - Average Value) / Standard Deviation
After this we just smooth the Z-score with a Weighted Moving average with √Length
Methodology & Concepts
Mean Reversion Methodology:
The methodology behind mean reversion is the theory that asset prices will eventually return to their long-term average after deviating significantly, driven by the belief that extreme moves are temporary.
Z-Score Methodology:
A Z-score, or standard score, is a statistical measure that indicates how many standard deviations a data point is from the mean of a dataset. A positive z-score means the value is above the mean, a negative score means it's below, and a score of zero means the value is equal to the mean.
You might already be able to see where I am going with this:
Z-Score could be used for the extreme moves to capture reversal points.
By applying it to the RSI rather than the Price, we get a more accurate measurement that allow us to get a banger indicator.
Use Cases
Capturing reversal points
Trend Direction
- while the main use it for mean reversion, the values can indicate whether we are in an uptrend or a downtrend.
Advantages:
Visualization:
The indicator has many plots to ensure users can easily see what the indicator signals, such as highlighting extreme conditions with background colors.
Versatility:
This indicator works across multiple assets, including the S&P500 and more, so it is not only for crypto.
Final note:
No indicator alone is perfect.
Backtests are not indicative of future performance.
Hope you enjoy Gs!
Good luck!
BTC Cycle Halving Thirds NicoThe bold black vertical lines are the INDEX:BTCUSD halvings.
The background speak for itself.
Time to be bearish?
MACD Forecast [Titans_Invest]MACD Forecast — The Future of MACD in Trading
The MACD has always been one of the most powerful tools in technical analysis.
But what if you could see where it’s going, instead of just reacting to what has already happened?
Introducing MACD Forecast — the natural evolution of the MACD Full , now taken to the next level. It’s the world’s first MACD designed not only to analyze the present but also to predict the future behavior of momentum.
By combining the classic MACD structure with projections powered by Linear Regression, this indicator gives traders an anticipatory, predictive view, redefining what’s possible in technical analysis.
Forget lagging indicators.
This is the smartest, most advanced, and most accurate MACD ever created.
🍟 WHY MACD FORECAST IS REVOLUTIONARY
Unlike the traditional MACD, which only reflects current and past price dynamics, the MACD Forecast uses regression-based projection models to anticipate where the MACD line, signal line, and histogram are heading.
This means traders can:
• See MACD crossovers before they happen.
• Spot trend reversals earlier than most.
• Gain an unprecedented timing advantage in both discretionary and automated trading.
In other words: this indicator lets you trade ahead of time.
🔮 FORECAST ENGINE — POWERED BY LINEAR REGRESSION
At its core, the MACD Forecast integrates Linear Regression (ta.linreg) to project the MACD’s future behavior with exceptional accuracy.
Projection Modes:
• Flat Projection: Assumes trend continuity at the current level.
• LinReg Projection: Applies linear regression across N periods to mathematically forecast momentum shifts.
This dual system offers both a conservative and adaptive view of market direction.
📐 ACCURACY WITH FULL CUSTOMIZATION
Just like the MACD Full, this new version comes with 20 customizable buy-entry conditions and 20 sell-entry conditions — now enhanced with forecast-based rules that anticipate crossovers and trend reversals.
You’re not just reacting — you’re strategizing ahead of time.
⯁ HOW TO USE MACD FORECAST❓
The MACD Forecast is built on the same foundation as the classic MACD, but with predictive capabilities.
Step 1 — Spot Predicted Crossovers:
Watch for forecasted bullish or bearish crossovers. These signals anticipate when the MACD line will cross the signal line in the future, letting you prepare trades before the move.
Step 2 — Confirm with Histogram Projection:
Use the projected histogram to validate momentum direction. A rising histogram signals strengthening bullish momentum, while a falling projection points to weakening or bearish conditions.
Step 3 — Combine with Multi-Timeframe Analysis:
Use forecasts across multiple timeframes to confirm signal strength (e.g., a 1h forecast aligned with a 4h forecast).
Step 4 — Set Entry Conditions & Automation:
Customize your buy/sell rules with the 20 forecast-based conditions and enable automation for bots or alerts.
Step 5 — Trade Ahead of the Market:
By preparing for future momentum shifts instead of reacting to the past, you’ll always stay one step ahead of lagging traders.
🤖 BUILT FOR AUTOMATION AND BOTS 🤖
Whether for manual trading, quantitative strategies, or advanced algorithms, the MACD Forecast was designed to integrate seamlessly with automated systems.
With predictive logic at its core, your strategies can finally react to what’s coming, not just what already happened.
🥇 WHY THIS INDICATOR IS UNIQUE 🥇
• World’s first MACD with Linear Regression Forecasting
• Predictive Crossovers (before they appear on the chart)
• Maximum flexibility with Long & Short combinations — 20+ fully configurable conditions for tailor-made strategies
• Fully automatable for quantitative systems and advanced bots
This isn’t just an update.
It’s the final evolution of the MACD.
______________________________________________________
🔹 CONDITIONS TO BUY 📈
______________________________________________________
• Signal Validity: The signal will remain valid for X bars .
• Signal Sequence: Configurable as AND or OR .
🔹 MACD > Signal Smoothing
🔹 MACD < Signal Smoothing
🔹 Histogram > 0
🔹 Histogram < 0
🔹 Histogram Positive
🔹 Histogram Negative
🔹 MACD > 0
🔹 MACD < 0
🔹 Signal > 0
🔹 Signal < 0
🔹 MACD > Histogram
🔹 MACD < Histogram
🔹 Signal > Histogram
🔹 Signal < Histogram
🔹 MACD (Crossover) Signal
🔹 MACD (Crossunder) Signal
🔹 MACD (Crossover) 0
🔹 MACD (Crossunder) 0
🔹 Signal (Crossover) 0
🔹 Signal (Crossunder) 0
🔮 MACD (Crossover) Signal Forecast
🔮 MACD (Crossunder) Signal Forecast
______________________________________________________
______________________________________________________
🔸 CONDITIONS TO SELL 📉
______________________________________________________
• Signal Validity: The signal will remain valid for X bars .
• Signal Sequence: Configurable as AND or OR .
🔸 MACD > Signal Smoothing
🔸 MACD < Signal Smoothing
🔸 Histogram > 0
🔸 Histogram < 0
🔸 Histogram Positive
🔸 Histogram Negative
🔸 MACD > 0
🔸 MACD < 0
🔸 Signal > 0
🔸 Signal < 0
🔸 MACD > Histogram
🔸 MACD < Histogram
🔸 Signal > Histogram
🔸 Signal < Histogram
🔸 MACD (Crossover) Signal
🔸 MACD (Crossunder) Signal
🔸 MACD (Crossover) 0
🔸 MACD (Crossunder) 0
🔸 Signal (Crossover) 0
🔸 Signal (Crossunder) 0
🔮 MACD (Crossover) Signal Forecast
🔮 MACD (Crossunder) Signal Forecast
______________________________________________________
______________________________________________________
🔮 Linear Regression Function 🔮
______________________________________________________
• Our indicator includes MACD forecasts powered by linear regression.
Forecast Types:
• Flat: Assumes prices will stay the same.
• Linreg: Makes a 'Linear Regression' forecast for n periods.
Technical Information:
• Function: ta.linreg()
Parameters:
• source: Source price series.
• length: Number of bars (period).
• offset : Offset.
• return: Linear regression curve.
______________________________________________________
______________________________________________________
⯁ UNIQUE FEATURES
______________________________________________________
Linear Regression: (Forecast)
Signal Validity: The signal will remain valid for X bars
Signal Sequence: Configurable as AND/OR
Table of Conditions: BUY/SELL
Conditions Label: BUY/SELL
Plot Labels in the graph above: BUY/SELL
Automate & Monitor Signals/Alerts: BUY/SELL
Linear Regression (Forecast)
Signal Validity: The signal will remain valid for X bars
Signal Sequence: Configurable as AND/OR
Table of Conditions: BUY/SELL
Conditions Label: BUY/SELL
Plot Labels in the graph above: BUY/SELL
Automate & Monitor Signals/Alerts: BUY/SELL
______________________________________________________
📜 SCRIPT : MACD Forecast
🎴 Art by : @Titans_Invest & @DiFlip
👨💻 Dev by : @Titans_Invest & @DiFlip
🎑 Titans Invest — The Wizards Without Gloves 🧤
✨ Enjoy!
______________________________________________________
o Mission 🗺
• Inspire Traders to manifest Magic in the Market.
o Vision 𐓏
• To elevate collective Energy 𐓷𐓏
🎗️ In memory of João Guilherme — your light will live on forever.
VOLUME Full [Titans_Invest]VOLUME Full
Designed for traders who want to take volume analysis to the next level.
This version delivers deeper insight into volume activity, integrating multiple customizable filters to highlight key buying and selling pressure. It's a comprehensive solution for volume-based decision-making.
⯁ WHAT IS THE VOLUME❓
The Volume indicator is a fundamental technical analysis tool that measures the number of shares or contracts traded in a security or market during a given period. It helps traders and investors understand the strength or weakness of a price movement, confirm trends, and predict potential reversals. Volume is typically displayed as a histogram below a price chart, with each bar representing the volume traded during a specific time interval.
⯁ HOW TO USE THE VOLUME❓
The Volume indicator can be used in several ways to enhance trading decisions:
• Trend Confirmation: High volume during a price move confirms the strength of that trend, while low volume can indicate a weak or unsustainable trend.
• Breakouts: A price breakout from a pattern or range accompanied by high volume is more likely to be valid and sustainable.
• Divergence: When the price moves in one direction and volume moves in the opposite direction, it can signal a potential reversal.
• Overbought/Oversold Conditions: Extreme volume levels can sometimes indicate that an asset is overbought or oversold, though this is less straightforward than with oscillators like the RSI.
⯁ ENTRY CONDITIONS
The conditions below are fully flexible and allow for complete customization of the signal.
______________________________________________________
🔹 CONDITIONS TO BUY 📈
______________________________________________________
▪︎ Signal Validity: The signal will remain valid for X bars .
▪︎ Signal Sequence: Configurable as AND or OR .
🔹 volume Positive
🔹 volume Negative
🔹 volume > volume
🔹 volume < volume
🔹 volume > volume_MA
🔹 volume > volume_MA * Trigger Signal (close > open)
🔹 volume > volume_MA * Trigger Signal (Keep State P)
🔹 volume > volume_MA * Trigger Signal (close < open)
🔹 volume > volume_MA * Trigger Signal (Keep State N)
______________________________________________________
______________________________________________________
🔸 CONDITIONS TO SELL 📉
______________________________________________________
▪︎ Signal Validity: The signal will remain valid for X bars .
▪︎ Signal Sequence: Configurable as AND or OR .
🔸 volume Positive
🔸 volume Negative
🔸 volume > volume
🔸 volume < volume
🔸 volume > volume_MA
🔸 volume > volume_MA * Trigger Signal (close > open)
🔸 volume > volume_MA * Trigger Signal (Keep State P)
🔸 volume > volume_MA * Trigger Signal (close < open)
🔸 volume > volume_MA * Trigger Signal (Keep State N)
______________________________________________________
______________________________________________________
🤖 AUTOMATION 🤖
• You can automate the BUY and SELL signals of this indicator.
______________________________________________________
______________________________________________________
⯁ UNIQUE FEATURES
______________________________________________________
Signal Validity: The signal will remain valid for X bars
Signal Sequence: Configurable as AND/OR
Condition Table: BUY/SELL
Condition Labels: BUY/SELL
Plot Labels in the Graph Above: BUY/SELL
Displays Positive & Negative Volume.
Automate and Monitor Signals/Alerts: BUY/SELL
Signal Validity: The signal will remain valid for X bars
Signal Sequence: Configurable as AND/OR
Table of Conditions: BUY/SELL
Conditions Label: BUY/SELL
Plot Labels in the graph above: BUY/SELL
Displays Positive & Negative Volume.
Automate & Monitor Signals/Alerts: BUY/SELL
______________________________________________________
📜 SCRIPT : VOLUME Full
🎴 Art by : @Titans_Invest & @DiFlip
👨💻 Dev by : @Titans_Invest & @DiFlip
🎑 Titans Invest — The Wizards Without Gloves 🧤
✨ Enjoy!
______________________________________________________
o Mission 🗺
• Inspire Traders to manifest Magic in the Market.
o Vision 𐓏
• To elevate collective Energy 𐓷𐓏
Mutanabby_AI | ATR+ | Trend-Following StrategyThis document presents the Mutanabby_AI | ATR+ Pine Script strategy, a systematic approach designed for trend identification and risk-managed position entry in financial markets. The strategy is engineered for long-only positions and integrates volatility-adjusted components to enhance signal robustness and trade management.
Strategic Design and Methodological Basis
The Mutanabby_AI | ATR+ strategy is constructed upon a foundation of established technical analysis principles, with a focus on objective signal generation and realistic trade execution.
Heikin Ashi for Trend Filtering: The core price data is processed via Heikin Ashi (HA) methodology to mitigate transient market noise and accentuate underlying trend direction. The script offers three distinct HA calculation modes, allowing for comparative analysis and validation:
Manual Calculation: Provides a transparent and deterministic computation of HA values.
ticker.heikinashi(): Utilizes TradingView's built-in function, employing confirmed historical bars to prevent repainting artifacts.
Regular Candles: Allows for direct comparison with standard OHLC price action.
This multi-methodological approach to trend smoothing is critical for robust signal generation.
Adaptive ATR Trailing Stop: A key component is the Average True Range (ATR)-based trailing stop. ATR serves as a dynamic measure of market volatility. The strategy incorporates user-defined parameters (
Key Value and ATR Period) to calibrate the sensitivity of this trailing stop, enabling adaptation to varying market volatility regimes. This mechanism is designed to provide a dynamic exit point, preserving capital and locking in gains as a trend progresses.
EMA Crossover for Signal Generation: Entry and exit signals are derived from the interaction between the Heikin Ashi derived price source and an Exponential Moving Average (EMA). A crossover event between these two components is utilized to objectively identify shifts in momentum, signaling potential long entry or exit points.
Rigorous Stop Loss Implementation: A critical feature for risk mitigation, the strategy includes an optional stop loss. This stop loss can be configured as a percentage or fixed point deviation from the entry price. Importantly, stop loss execution is based on real market prices, not the synthetic Heikin Ashi values. This design choice ensures that risk management is grounded in actual market liquidity and price levels, providing a more accurate representation of potential drawdowns during backtesting and live operation.
Backtesting Protocol: The strategy is configured for realistic backtesting, employing fill_orders_on_standard_ohlc=true to simulate order execution at standard OHLC prices. A configurable Date Filter is included to define specific historical periods for performance evaluation.
Data Visualization and Metrics: The script provides on-chart visual overlays for buy/sell signals, the ATR trailing stop, and the stop loss level. An integrated information table displays real-time strategy parameters, current position status, trend direction, and key price levels, facilitating immediate quantitative assessment.
Applicability
The Mutanabby_AI | ATR+ strategy is particularly suited for:
Cryptocurrency Markets: The inherent volatility of assets such as #Bitcoin and #Ethereum makes the ATR-based trailing stop a relevant tool for dynamic risk management.
Systematic Trend Following: Individuals employing systematic methodologies for trend capture will find the objective signal generation and rule-based execution aligned with their approach.
Pine Script Developers and Quants: The transparent code structure and emphasis on realistic backtesting provide a valuable framework for further analysis, modification, and integration into broader quantitative models.
Automated Trading Systems: The clear, deterministic entry and exit conditions facilitate integration into automated trading environments.
Implementation and Evaluation
To evaluate the Mutanabby_AI | ATR+ strategy, apply the script to your chosen chart on TradingView. Adjust the input parameters (Key Value, ATR Period, Heikin Ashi Method, Stop Loss Settings) to observe performance across various asset classes and timeframes. Comprehensive backtesting is recommended to assess the strategy's historical performance characteristics, including profitability, drawdown, and risk-adjusted returns.
I'd love to hear your thoughts, feedback, and any optimizations you discover! Drop a comment below, give it a like if you find it useful, and share your results.
VOLUME Simple [Titans_Invest]VOLUME Simple
A streamlined volume analysis tool crafted for simplicity and smart signal detection.
Although simple in appearance, this indicator brings intelligent volume-based entries through configurable logic. Its design emphasizes clean and effective interpretation of volume signals.
⯁ WHAT IS THE VOLUME INDICATOR❓
The Volume indicator is a fundamental technical analysis tool that measures the number of shares or contracts traded in a security or market during a given period. It helps traders and investors understand the strength or weakness of a price movement, confirm trends, and predict potential reversals. Volume is typically displayed as a histogram below a price chart, with each bar representing the volume traded during a specific time interval.
⯁ HOW TO USE THE VOLUME❓
The Volume indicator can be used in several ways to enhance trading decisions:
• Trend Confirmation: High volume during a price move confirms the strength of that trend, while low volume can indicate a weak or unsustainable trend.
• Breakouts: A price breakout from a pattern or range accompanied by high volume is more likely to be valid and sustainable.
• Divergence: When the price moves in one direction and volume moves in the opposite direction, it can signal a potential reversal.
• Overbought/Oversold Conditions: Extreme volume levels can sometimes indicate that an asset is overbought or oversold, though this is less straightforward than with oscillators like the RSI.
⯁ ENTRY CONDITIONS
The conditions below are fully flexible and allow for complete customization of the signal.
______________________________________________________
🔹 CONDITIONS TO BUY 📈
______________________________________________________
▪︎ Signal Validity: The signal will remain valid for X bars .
🔹 volume > volume_MA * Trigger Signal (close > open)
🔹 volume > volume_MA * Trigger Signal (Keep State)
______________________________________________________
______________________________________________________
🔸 CONDITIONS TO SELL 📉
______________________________________________________
▪︎ Signal Validity: The signal will remain valid for X bars .
🔸 volume > volume_MA * Trigger Signal (close > open)
🔸 volume > volume_MA * Trigger Signal (Keep State)
______________________________________________________
______________________________________________________
🤖 AUTOMATION 🤖
• You can automate the BUY and SELL signals of this indicator.
______________________________________________________
______________________________________________________
⯁ UNIQUE FEATURES
______________________________________________________
Signal Validity: The signal will remain valid for X bars
Condition Table: BUY/SELL
Condition Labels: BUY/SELL
Plot Labels in the Graph Above: BUY/SELL
Automate and Monitor Signals/Alerts: BUY/SELL
Signal Validity: The signal will remain valid for X bars
Table of Conditions: BUY/SELL
Conditions Label: BUY/SELL
Plot Labels in the graph above: BUY/SELL
Automate & Monitor Signals/Alerts: BUY/SELL
______________________________________________________
📜 SCRIPT : VOLUME Simple
🎴 Art by : @Titans_Invest & @DiFlip
👨💻 Dev by : @Titans_Invest & @DiFlip
🎑 Titans Invest — The Wizards Without Gloves 🧤
✨ Enjoy!
______________________________________________________
o Mission 🗺
• Inspire Traders to manifest Magic in the Market.
o Vision 𐓏
• To elevate collective Energy 𐓷𐓏
RSI-Adaptive T3 + Squeeze Momentum Strategy✅ Strategy Guide: RSI-Adaptive T3 + Squeeze Momentum Strategy
📌 Overview
The RSI-Adaptive T3 + Squeeze Momentum Strategy is a dynamic trend-following strategy based on an RSI-responsive T3 moving average and Squeeze Momentum detection .
It adapts in real-time to market volatility to enhance entry precision and optimize risk.
⚠️ This strategy is provided for educational and research purposes only.
Past performance does not guarantee future results.
🎯 Strategy Objectives
The main objective of this strategy is to catch the early phase of a trend and generate consistent entry signals.
Designed to be intuitive and accessible for traders from beginner to advanced levels.
✨ Key Features
RSI-Responsive T3: T3 length dynamically adjusts according to RSI values for adaptive trend detection
Squeeze Momentum: Combines Bollinger Bands and Keltner Channels to identify trend buildup phases
Visual Triggers: Entry signals are generated from T3 crossovers and momentum strength after squeeze release
📊 Trading Rules
Long Entry:
When T3 crosses upward, momentum is positive, and the squeeze has just been released.
Short Entry:
When T3 crosses downward, momentum is negative, and the squeeze has just been released.
Exit (Reversal):
When the opposite condition to the entry is triggered, the position is reversed.
💰 Risk Management Parameters
Pair & Timeframe: BTC/USD (30-minute chart)
Capital (simulated): $30,00
Order size: `$100` per trade (realistic, low-risk sizing)
Commission: 0.02%
Slippage: 2 pips
Risk per Trade: 5%
Number of Trades (backtest period): 181
📊 Performance Overview
Symbol: BTC/USD
Timeframe: 30-minute chart
Date Range: January 1, 2024 – July 3, 2025
Win Rate: 47.8%
Profit Factor: 2.01
Net Profit: 173.16 (units not specified)
Max Drawdown: 5.77% or 24.91 (0.79%)
⚙️ Indicator Parameters
Indicator Name: RSI-Adaptive T3 + Squeeze Momentum
RSI Length: 14
T3 Min Length: 5
T3 Max Length: 50
T3 Volume Factor: 0.7
BB Length: 27 (Multiplier: 2.0)
KC Length: 20 (Multiplier: 1.5, TrueRange enabled)
🖼 Visual Support
T3 slope direction, squeeze status, and momentum bars are visually plotted on the chart,
providing high clarity for quick trend analysis and execution.
🔧 Strategy Improvements & Uniqueness
Inspired by the RSI Adaptive T3 by ChartPrime and Squeeze Momentum Indicator by LazyBear ,
this strategy fuses both into a hybrid trend-reversal and momentum breakout detection system .
Compared to traditional trend-following methods, it excels at capturing early trend signals with greater sensitivity .
✅ Summary
The RSI-Adaptive T3 + Squeeze Momentum Strategy combines momentum detection with volatility-responsive risk management.
With a strong balance between visual clarity and practicality, it serves as a powerful tool for traders seeking high repeatability.
⚠️ This strategy is based on historical data and does not guarantee future profits.
Always use appropriate risk management when applying it.
MACD Full [Titans_Invest]MACD Full — A Smarter, More Flexible MACD.
Looking for a MACD with real customization power?
We present one of the most complete public MACD indicators available on TradingView.
It maintains the classic MACD structure but is enhanced with 20 fully customizable long entry conditions and 20 short entry conditions , giving you precise control over your strategy.
Plus, it’s fully automation-ready, making it ideal for quantitative systems and algorithmic trading.
Whether you're a discretionary trader or a bot developer, this tool is built to seamlessly adapt to your style.
⯁ WHAT IS THE MACD❓
The Moving Average Convergence Divergence (MACD) is a technical analysis indicator developed by Gerald Appel. It measures the relationship between two moving averages of a security’s price to identify changes in momentum, direction, and strength of a trend. The MACD is composed of three components: the MACD line, the signal line, and the histogram.
⯁ HOW TO USE THE MACD❓
The MACD is calculated by subtracting the 26-period Exponential Moving Average (EMA) from the 12-period EMA. A 9-period EMA of the MACD line, called the signal line, is then plotted on top of the MACD line. The MACD histogram represents the difference between the MACD line and the signal line.
Here are the primary signals generated by the MACD:
Bullish Crossover: When the MACD line crosses above the signal line, indicating a potential buy signal.
Bearish Crossover: When the MACD line crosses below the signal line, indicating a potential sell signal.
Divergence: When the price of the security diverges from the MACD, suggesting a potential reversal.
Overbought/Oversold Conditions: Indicated by the MACD line moving far away from the signal line, though this is less common than in oscillators like the RSI.
⯁ ENTRY CONDITIONS
The conditions below are fully flexible and allow for complete customization of the signal.
______________________________________________________
🔹 CONDITIONS TO BUY 📈
______________________________________________________
• Signal Validity: The signal will remain valid for X bars .
• Signal Sequence: Configurable as AND or OR .
🔹 MACD > Signal Smoothing
🔹 MACD < Signal Smoothing
🔹 Histogram > 0
🔹 Histogram < 0
🔹 Histogram Positive
🔹 Histogram Negative
🔹 MACD > 0
🔹 MACD < 0
🔹 Signal > 0
🔹 Signal < 0
🔹 MACD > Histogram
🔹 MACD < Histogram
🔹 Signal > Histogram
🔹 Signal < Histogram
🔹 MACD (Crossover) Signal
🔹 MACD (Crossunder) Signal
🔹 MACD (Crossover) 0
🔹 MACD (Crossunder) 0
🔹 Signal (Crossover) 0
🔹 Signal (Crossunder) 0
______________________________________________________
______________________________________________________
🔸 CONDITIONS TO SELL 📉
______________________________________________________
• Signal Validity: The signal will remain valid for X bars .
• Signal Sequence: Configurable as AND or OR .
🔸 MACD > Signal Smoothing
🔸 MACD < Signal Smoothing
🔸 Histogram > 0
🔸 Histogram < 0
🔸 Histogram Positive
🔸 Histogram Negative
🔸 MACD > 0
🔸 MACD < 0
🔸 Signal > 0
🔸 Signal < 0
🔸 MACD > Histogram
🔸 MACD < Histogram
🔸 Signal > Histogram
🔸 Signal < Histogram
🔸 MACD (Crossover) Signal
🔸 MACD (Crossunder) Signal
🔸 MACD (Crossover) 0
🔸 MACD (Crossunder) 0
🔸 Signal (Crossover) 0
🔸 Signal (Crossunder) 0
______________________________________________________
______________________________________________________
🤖 AUTOMATION 🤖
• You can automate the BUY and SELL signals of this indicator.
______________________________________________________
______________________________________________________
⯁ UNIQUE FEATURES
______________________________________________________
Signal Validity: The signal will remain valid for X bars
Signal Sequence: Configurable as AND/OR
Condition Table: BUY/SELL
Condition Labels: BUY/SELL
Plot Labels in the Graph Above: BUY/SELL
Automate and Monitor Signals/Alerts: BUY/SELL
Signal Validity: The signal will remain valid for X bars
Signal Sequence: Configurable as AND/OR
Table of Conditions: BUY/SELL
Conditions Label: BUY/SELL
Plot Labels in the graph above: BUY/SELL
Automate & Monitor Signals/Alerts: BUY/SELL
______________________________________________________
📜 SCRIPT : MACD Full
🎴 Art by : @Titans_Invest & @DiFlip
👨💻 Dev by : @Titans_Invest & @DiFlip
🎑 Titans Invest — The Wizards Without Gloves 🧤
✨ Enjoy!
______________________________________________________
o Mission 🗺
• Inspire Traders to manifest Magic in the Market.
o Vision 𐓏
• To elevate collective Energy 𐓷𐓏
CHN BUY SELL with EMA 200Overview
This indicator combines RSI 7 momentum signals with EMA 200 trend filtering to generate high-probability BUY and SELL entry points. It uses colored candles to highlight key market conditions and displays clear trading signals with built-in cooldown periods to prevent signal spam.
Key Features
Colored Candles: Visual momentum indicators based on RSI 7 levels
Trend Filtering: EMA 200 confirms overall market direction
Signal Cooldown: Prevents over-trading with adjustable waiting periods
Clean Interface: Simple BUY/SELL labels without clutter
How It Works
Candle Coloring System
Yellow Candles: Appear when RSI 7 ≥ 70 (overbought momentum)
Purple Candles: Appear when RSI 7 ≤ 30 (oversold momentum)
Normal Candles: All other market conditions
Trading Signals
BUY Signal: Triggered when closing price > EMA 200 AND yellow candle appears
SELL Signal: Triggered when closing price < EMA 200 AND purple candle appears
Signal Cooldown
After a BUY or SELL signal appears, the same signal type is suppressed for a specified number of candles (default: 5) to prevent excessive signals in ranging markets.
Settings
RSI 7 Length: Period for RSI calculation (default: 7)
RSI 7 Overbought: Threshold for yellow candles (default: 70)
RSI 7 Oversold: Threshold for purple candles (default: 30)
EMA Length: Period for trend filter (default: 200)
Signal Cooldown: Candles to wait between same signal type (default: 5)
How to Use
Apply the indicator to your chart
Look for yellow or purple colored candles
For LONG entries: Wait for yellow candle above EMA 200, then enter BUY when signal appears
For SHORT entries: Wait for purple candle below EMA 200, then enter SELL when signal appears
Use appropriate risk management and position sizing
Best Practices
Works best on timeframes M15 and higher
Suitable for Forex, Gold, Crypto, and Stock markets
Consider market volatility when setting stop-loss and take-profit levels
Use in conjunction with proper risk management strategies
Technical Details
Overlay: True (plots directly on price chart)
Calculation: Based on RSI momentum and EMA trend analysis
Signal Logic: Combines momentum exhaustion with trend direction
Visual Feedback: Colored candles provide immediate market condition awareness
PORTFOLIO TABLE Full [Titans_Invest]PORTFOLIO TABLE Full
This is a complete table for monitoring your assets or cryptocurrencies in your SPOT wallet without needing to access your broker’s website or app.
⯁ HOW TO USE THIS TABLE❓
Simply select the asset and enter the amount you hold.
The table will display the value of each asset and the total value of your portfolio.
You can monitor up to 19 assets in real time.
⯁ CONVERT VALUES
You can also enable and select a currency for conversion.
For example, cryptocurrencies are calculated in US dollars by default, but you can choose euros as the conversion currency.
The values originally in dollars will then be displayed in euros.
⯁ TRACK THE DAILY VARIATION OF YOUR PORTFOLIO
You’ll be able to monitor your portfolio’s raw daily variation in real time.
🔶 Track your Portfolio in real time:
🔶 Add your local Currency to Convert Values:
🔶 Follow your Portfolio Live:
___________________________________________________________
📜 SCRIPT : PORTFOLIO TABLE Full
🎴 Art by : @Titans_Invest & @DiFlip
👨💻 Dev by : @Titans_Invest & @DiFlip
🎑 Titans Invest — The Wizards Without Gloves 🧤
✨ Enjoy!
___________________________________________________________
o Mission 🗺
• Inspire Traders to manifest Magic in the Market.
o Vision 𐓏
• To elevate collective Energy 𐓷𐓏
PORTFOLIO TABLE Simple [Titans_Invest]PORTFOLIO TABLE Simple
This is a simple table for you to monitor your assets or cryptocurrencies in your SPOT wallet without needing to access your broker’s website or wallet app.
⯁ HOW TO USE THIS TABLE❓
You only need to select the asset and enter the amount of each one.
The table will show how much you have of each asset and the total value of your portfolio.
You’ll be able to monitor up to 39 assets in real time.
⯁ CONVERT VALUES
You can also activate and select a currency for conversion.
For example, cryptocurrency assets are calculated in US dollars, but you can select euros as the conversion currency.
The values originally in dollars will then be displayed in euros.
⯁ Track your Portfolio in real time:
⯁ Add your local Currency to Convert Values:
⯁ Follow your Portfolio Live:
___________________________________________________________
📜 SCRIPT : PORTFOLIO TABLE Simple
🎴 Art by : @Titans_Invest & @DiFlip
👨💻 Dev by : @Titans_Invest & @DiFlip
🎑 Titans Invest — The Wizards Without Gloves 🧤
✨ Enjoy!
___________________________________________________________
o Mission 🗺
• Inspire Traders to manifest Magic in the Market.
o Vision 𐓏
• To elevate collective Energy 𐓷𐓏
ADX Forecast [Titans_Invest]ADX Forecast
This isn’t just another ADX indicator — it’s the most powerful and complete ADX tool ever created, and without question the best ADX indicator on TradingView, possibly even the best in the world.
ADX Forecast represents a revolutionary leap in trend strength analysis, blending the timeless principles of the classic ADX with cutting-edge predictive modeling. For the first time on TradingView, you can anticipate future ADX movements using scientifically validated linear regression — a true game-changer for traders looking to stay ahead of trend shifts.
1. Real-Time ADX Forecasting
By applying least squares linear regression, ADX Forecast projects the future trajectory of the ADX with exceptional accuracy. This forecasting power enables traders to anticipate changes in trend strength before they fully unfold — a vital edge in fast-moving markets.
2. Unmatched Customization & Precision
With 26 long entry conditions and 26 short entry conditions, this indicator accounts for every possible ADX scenario. Every parameter is fully customizable, making it adaptable to any trading strategy — from scalping to swing trading to long-term investing.
3. Transparency & Advanced Visualization
Visualize internal ADX dynamics in real time with interactive tags, smart flags, and fully adjustable threshold levels. Every signal is transparent, logic-based, and engineered to fit seamlessly into professional-grade trading systems.
4. Scientific Foundation, Elite Execution
Grounded in statistical precision and machine learning principles, ADX Forecast upgrades the classic ADX from a reactive lagging tool into a forward-looking trend prediction engine. This isn’t just an indicator — it’s a scientific evolution in trend analysis.
⯁ SCIENTIFIC BASIS LINEAR REGRESSION
Linear Regression is a fundamental method of statistics and machine learning, used to model the relationship between a dependent variable y and one or more independent variables 𝑥.
The general formula for a simple linear regression is given by:
y = β₀ + β₁x + ε
β₁ = Σ((xᵢ - x̄)(yᵢ - ȳ)) / Σ((xᵢ - x̄)²)
β₀ = ȳ - β₁x̄
Where:
y = is the predicted variable (e.g. future value of RSI)
x = is the explanatory variable (e.g. time or bar index)
β0 = is the intercept (value of 𝑦 when 𝑥 = 0)
𝛽1 = is the slope of the line (rate of change)
ε = is the random error term
The goal is to estimate the coefficients 𝛽0 and 𝛽1 so as to minimize the sum of the squared errors — the so-called Random Error Method Least Squares.
⯁ LEAST SQUARES ESTIMATION
To minimize the error between predicted and observed values, we use the following formulas:
β₁ = /
β₀ = ȳ - β₁x̄
Where:
∑ = sum
x̄ = mean of x
ȳ = mean of y
x_i, y_i = individual values of the variables.
Where:
x_i and y_i are the means of the independent and dependent variables, respectively.
i ranges from 1 to n, the number of observations.
These equations guarantee the best linear unbiased estimator, according to the Gauss-Markov theorem, assuming homoscedasticity and linearity.
⯁ LINEAR REGRESSION IN MACHINE LEARNING
Linear regression is one of the cornerstones of supervised learning. Its simplicity and ability to generate accurate quantitative predictions make it essential in AI systems, predictive algorithms, time series analysis, and automated trading strategies.
By applying this model to the ADX, you are literally putting artificial intelligence at the heart of a classic indicator, bringing a new dimension to technical analysis.
⯁ VISUAL INTERPRETATION
Imagine an ADX time series like this:
Time →
ADX →
The regression line will smooth these values and extend them n periods into the future, creating a predicted trajectory based on the historical moment. This line becomes the predicted ADX, which can be crossed with the actual ADX to generate more intelligent signals.
⯁ SUMMARY OF SCIENTIFIC CONCEPTS USED
Linear Regression Models the relationship between variables using a straight line.
Least Squares Minimizes the sum of squared errors between prediction and reality.
Time Series Forecasting Estimates future values based on historical data.
Supervised Learning Trains models to predict outputs from known inputs.
Statistical Smoothing Reduces noise and reveals underlying trends.
⯁ WHY THIS INDICATOR IS REVOLUTIONARY
Scientifically-based: Based on statistical theory and mathematical inference.
Unprecedented: First public ADX with least squares predictive modeling.
Intelligent: Built with machine learning logic.
Practical: Generates forward-thinking signals.
Customizable: Flexible for any trading strategy.
⯁ CONCLUSION
By combining ADX with linear regression, this indicator allows a trader to predict market momentum, not just follow it.
ADX Forecast is not just an indicator — it is a scientific breakthrough in technical analysis technology.
⯁ Example of simple linear regression, which has one independent variable:
⯁ In linear regression, observations ( red ) are considered to be the result of random deviations ( green ) from an underlying relationship ( blue ) between a dependent variable ( y ) and an independent variable ( x ).
⯁ Visualizing heteroscedasticity in a scatterplot against 100 random fitted values using Matlab:
⯁ The data sets in the Anscombe's quartet are designed to have approximately the same linear regression line (as well as nearly identical means, standard deviations, and correlations) but are graphically very different. This illustrates the pitfalls of relying solely on a fitted model to understand the relationship between variables.
⯁ The result of fitting a set of data points with a quadratic function:
_______________________________________________________________________
🥇 This is the world’s first ADX indicator with: Linear Regression for Forecasting 🥇_______________________________________________________________________
_________________________________________________
🔮 Linear Regression: PineScript Technical Parameters 🔮
_________________________________________________
Forecast Types:
• Flat: Assumes prices will remain the same.
• Linreg: Makes a 'Linear Regression' forecast for n periods.
Technical Information:
ta.linreg (built-in function)
Linear regression curve. A line that best fits the specified prices over a user-defined time period. It is calculated using the least squares method. The result of this function is calculated using the formula: linreg = intercept + slope * (length - 1 - offset), where intercept and slope are the values calculated using the least squares method on the source series.
Syntax:
• Function: ta.linreg()
Parameters:
• source: Source price series.
• length: Number of bars (period).
• offset: Offset.
• return: Linear regression curve.
This function has been cleverly applied to the RSI, making it capable of projecting future values based on past statistical trends.
______________________________________________________
______________________________________________________
⯁ WHAT IS THE ADX❓
The Average Directional Index (ADX) is a technical analysis indicator developed by J. Welles Wilder. It measures the strength of a trend in a market, regardless of whether the trend is up or down.
The ADX is an integral part of the Directional Movement System, which also includes the Plus Directional Indicator (+DI) and the Minus Directional Indicator (-DI). By combining these components, the ADX provides a comprehensive view of market trend strength.
⯁ HOW TO USE THE ADX❓
The ADX is calculated based on the moving average of the price range expansion over a specified period (usually 14 periods). It is plotted on a scale from 0 to 100 and has three main zones:
• Strong Trend: When the ADX is above 25, indicating a strong trend.
• Weak Trend: When the ADX is below 20, indicating a weak or non-existent trend.
• Neutral Zone: Between 20 and 25, where the trend strength is unclear.
______________________________________________________
______________________________________________________
⯁ ENTRY CONDITIONS
The conditions below are fully flexible and allow for complete customization of the signal.
______________________________________________________
______________________________________________________
🔹 CONDITIONS TO BUY 📈
______________________________________________________
• Signal Validity: The signal will remain valid for X bars .
• Signal Sequence: Configurable as AND or OR .
🔹 +DI > -DI
🔹 +DI < -DI
🔹 +DI > ADX
🔹 +DI < ADX
🔹 -DI > ADX
🔹 -DI < ADX
🔹 ADX > Threshold
🔹 ADX < Threshold
🔹 +DI > Threshold
🔹 +DI < Threshold
🔹 -DI > Threshold
🔹 -DI < Threshold
🔹 +DI (Crossover) -DI
🔹 +DI (Crossunder) -DI
🔹 +DI (Crossover) ADX
🔹 +DI (Crossunder) ADX
🔹 +DI (Crossover) Threshold
🔹 +DI (Crossunder) Threshold
🔹 -DI (Crossover) ADX
🔹 -DI (Crossunder) ADX
🔹 -DI (Crossover) Threshold
🔹 -DI (Crossunder) Threshold
🔮 +DI (Crossover) -DI Forecast
🔮 +DI (Crossunder) -DI Forecast
🔮 ADX (Crossover) +DI Forecast
🔮 ADX (Crossunder) +DI Forecast
______________________________________________________
______________________________________________________
🔸 CONDITIONS TO SELL 📉
______________________________________________________
• Signal Validity: The signal will remain valid for X bars .
• Signal Sequence: Configurable as AND or OR .
🔸 +DI > -DI
🔸 +DI < -DI
🔸 +DI > ADX
🔸 +DI < ADX
🔸 -DI > ADX
🔸 -DI < ADX
🔸 ADX > Threshold
🔸 ADX < Threshold
🔸 +DI > Threshold
🔸 +DI < Threshold
🔸 -DI > Threshold
🔸 -DI < Threshold
🔸 +DI (Crossover) -DI
🔸 +DI (Crossunder) -DI
🔸 +DI (Crossover) ADX
🔸 +DI (Crossunder) ADX
🔸 +DI (Crossover) Threshold
🔸 +DI (Crossunder) Threshold
🔸 -DI (Crossover) ADX
🔸 -DI (Crossunder) ADX
🔸 -DI (Crossover) Threshold
🔸 -DI (Crossunder) Threshold
🔮 +DI (Crossover) -DI Forecast
🔮 +DI (Crossunder) -DI Forecast
🔮 ADX (Crossover) +DI Forecast
🔮 ADX (Crossunder) +DI Forecast
______________________________________________________
______________________________________________________
🤖 AUTOMATION 🤖
• You can automate the BUY and SELL signals of this indicator.
______________________________________________________
______________________________________________________
⯁ UNIQUE FEATURES
______________________________________________________
Linear Regression: (Forecast)
Signal Validity: The signal will remain valid for X bars
Signal Sequence: Configurable as AND/OR
Condition Table: BUY/SELL
Condition Labels: BUY/SELL
Plot Labels in the Graph Above: BUY/SELL
Automate and Monitor Signals/Alerts: BUY/SELL
Linear Regression (Forecast)
Signal Validity: The signal will remain valid for X bars
Signal Sequence: Configurable as AND/OR
Table of Conditions: BUY/SELL
Conditions Label: BUY/SELL
Plot Labels in the graph above: BUY/SELL
Automate & Monitor Signals/Alerts: BUY/SELL
______________________________________________________
📜 SCRIPT : ADX Forecast
🎴 Art by : @Titans_Invest & @DiFlip
👨💻 Dev by : @Titans_Invest & @DiFlip
🎑 Titans Invest — The Wizards Without Gloves 🧤
✨ Enjoy!
______________________________________________________
o Mission 🗺
• Inspire Traders to manifest Magic in the Market.
o Vision 𐓏
• To elevate collective Energy 𐓷𐓏
ADX Full [Titans_Invest]ADX Full
This is, without a doubt, the most complete ADX indicator available on TradingView — and quite possibly the most advanced in the world. We took the classic ADX structure and fully optimized it, preserving its essence while elevating its functionality to a whole new level. Every aspect has been enhanced — from internal logic to full visual customization. Now you can see exactly what’s happening inside the indicator in real time, with tags, flags, and informative levels. This indicator includes over 22 long entry conditions and 22 short entry conditions , covering absolutely every possibility the ADX can offer. Everything is transparent, adjustable, and ready to fit seamlessly into any professional trading strategy. This isn’t just another ADX — it’s the definitive ADX, built for traders who take the market seriously.
⯁ WHAT IS THE ADX❓
The Average Directional Index (ADX) is a technical analysis indicator developed by J. Welles Wilder. It measures the strength of a trend in a market, regardless of whether the trend is up or down.
The ADX is an integral part of the Directional Movement System, which also includes the Plus Directional Indicator (+DI) and the Minus Directional Indicator (-DI). By combining these components, the ADX provides a comprehensive view of market trend strength.
⯁ HOW TO USE THE ADX❓
The ADX is calculated based on the moving average of the price range expansion over a specified period (usually 14 periods). It is plotted on a scale from 0 to 100 and has three main zones:
Strong Trend: When the ADX is above 25, indicating a strong trend.
Weak Trend: When the ADX is below 20, indicating a weak or non-existent trend.
Neutral Zone: Between 20 and 25, where the trend strength is unclear.
⯁ ENTRY CONDITIONS
The conditions below are fully flexible and allow for complete customization of the signal.
______________________________________________________
🔹 CONDITIONS TO BUY 📈
______________________________________________________
• Signal Validity: The signal will remain valid for X bars .
• Signal Sequence: Configurable as AND or OR .
🔹 +DI > -DI
🔹 +DI < -DI
🔹 +DI > ADX
🔹 +DI < ADX
🔹 -DI > ADX
🔹 -DI < ADX
🔹 ADX > Threshold
🔹 ADX < Threshold
🔹 +DI > Threshold
🔹 +DI < Threshold
🔹 -DI > Threshold
🔹 -DI < Threshold
🔹 +DI (Crossover) -DI
🔹 +DI (Crossunder) -DI
🔹 +DI (Crossover) ADX
🔹 +DI (Crossunder) ADX
🔹 +DI (Crossover) Threshold
🔹 +DI (Crossunder) Threshold
🔹 -DI (Crossover) ADX
🔹 -DI (Crossunder) ADX
🔹 -DI (Crossover) Threshold
🔹 -DI (Crossunder) Threshold
______________________________________________________
______________________________________________________
🔸 CONDITIONS TO SELL 📉
______________________________________________________
• Signal Validity: The signal will remain valid for X bars .
• Signal Sequence: Configurable as AND or OR .
🔸 +DI > -DI
🔸 +DI < -DI
🔸 +DI > ADX
🔸 +DI < ADX
🔸 -DI > ADX
🔸 -DI < ADX
🔸 ADX > Threshold
🔸 ADX < Threshold
🔸 +DI > Threshold
🔸 +DI < Threshold
🔸 -DI > Threshold
🔸 -DI < Threshold
🔸 +DI (Crossover) -DI
🔸 +DI (Crossunder) -DI
🔸 +DI (Crossover) ADX
🔸 +DI (Crossunder) ADX
🔸 +DI (Crossover) Threshold
🔸 +DI (Crossunder) Threshold
🔸 -DI (Crossover) ADX
🔸 -DI (Crossunder) ADX
🔸 -DI (Crossover) Threshold
🔸 -DI (Crossunder) Threshold
______________________________________________________
______________________________________________________
🤖 AUTOMATION 🤖
• You can automate the BUY and SELL signals of this indicator.
______________________________________________________
______________________________________________________
⯁ UNIQUE FEATURES
______________________________________________________
Signal Validity: The signal will remain valid for X bars
Signal Sequence: Configurable as AND/OR
Condition Table: BUY/SELL
Condition Labels: BUY/SELL
Plot Labels in the Graph Above: BUY/SELL
Automate and Monitor Signals/Alerts: BUY/SELL
Signal Validity: The signal will remain valid for X bars
Signal Sequence: Configurable as AND/OR
Table of Conditions: BUY/SELL
Conditions Label: BUY/SELL
Plot Labels in the graph above: BUY/SELL
Automate & Monitor Signals/Alerts: BUY/SELL
______________________________________________________
📜 SCRIPT : ADX Full
🎴 Art by : @Titans_Invest & @DiFlip
👨💻 Dev by : @Titans_Invest & @DiFlip
🎑 Titans Invest — The Wizards Without Gloves 🧤
✨ Enjoy!
______________________________________________________
o Mission 🗺
• Inspire Traders to manifest Magic in the Market.
o Vision 𐓏
• To elevate collective Energy 𐓷𐓏
RTB - Momentum Breakout Strategy V3
📈 RTB - Momentum Breakout Strategy V3 is a directional breakout strategy based on momentum. It combines exponential moving averages (EMAs), RSI, and recent support/resistance levels to detect breakout entries with trend confirmation. The system includes dynamic risk management using ATR-based stop-loss and trailing stop levels. Webhook alerts are supported for external automated trading integrations.
🔎 The strategy was backtested using default parameters on BTCUSDT Futures (Bybit) with 4-hour timeframe and a 0.05% commission per trade.
⚠️ This script is for educational purposes only and does not constitute financial advice. Always do your own research before trading.
Simple APF Strategy Backtesting [The Quant Science]Simple backtesting strategy for the quantitative indicator Autocorrelation Price Forecasting. This is a Buy & Sell strategy that operates exclusively with long orders. It opens long positions and generates profit based on the future price forecast provided by the indicator. It's particularly suitable for trend-following trading strategies or directional markets with an established trend.
Main functions
1. Cycle Detection: Utilize autocorrelation to identify repetitive market behaviors and cycles.
2. Forecasting for Backtesting: Simulate trades and assess the profitability of various strategies based on future price predictions.
Logic
The strategy works as follow:
Entry Condition: Go long if the hypothetical gain exceeds the threshold gain (configurable by user interface).
Position Management: Sets a take-profit level based on the future price.
Position Sizing: Automatically calculates the order size as a percentage of the equity.
No Stop-Loss: this strategy doesn't includes any stop loss.
Example Use Case
A trader analyzes a dayli period using 7 historical bars for autocorrelation.
Sets a threshold gain of 20 points using a 5% of the equity for each trade.
Evaluates the effectiveness of a long-only strategy in this period to assess its profitability and risk-adjusted performance.
User Interface
Length: Set the length of the data used in the autocorrelation price forecasting model.
Thresold Gain: Minimum value to be considered for opening trades based on future price forecast.
Order Size: percentage size of the equity used for each single trade.
Strategy Limit
This strategy does not use a stop loss. If the price continues to drop and the future price forecast is incorrect, the trader may incur a loss or have their capital locked in the losing trade.
Disclaimer!
This is a simple template. Use the code as a starting point rather than a finished solution. The script does not include important parameters, so use it solely for educational purposes or as a boilerplate.
BTC-USDT Liquidity Trend [Ajit Pandit]his script helps traders visualize trend direction and identify liquidity zones where price might react due to past pivot levels. The color-coded candles and extended pivot lines make it easier to spot support/resistance levels and potential breakout points.
Key Features:
1. Trend Detection Using EMA
Uses two EMA calculations to determine the trend:
emaValue: Standard EMA based on length1
correction: Adjusted price movement relative to EMA
Trend: Another EMA of the corrected value
Determines bullish (signalUp) and bearish (signalDn) signals when Trend crosses emaValue.
2. Candlestick Coloring Based on Trend
Candlesticks are colored:
Uptrend → Blue (up color)
Downtrend → Pink (dn color)
Neutral → No color
3. Liquidity Zones (Pivot Highs & Lows)
Identifies pivot highs and lows using a customizable pivot length.
Draws liquidity lines:
High pivot lines (Blue, adjustable width)
Low pivot lines (Pink, adjustable width)
Extends lines indefinitely until price breaks above/below the level.
Removes broken pivot levels dynamically.
Ultimate Volatility Scanner by NHBprod - Requested by Client!Hey Everyone!
I created another script to add to my growing library of strategies and indicators that I use for automated crypto and stock trading! This strategy is for BITCOIN but can be used on any stock or crypto. This was requested by a client so I thought I should create it and hopefully build off of it and build variants!
This script gets and compares the 14-day volatility using the ATR percentage for a list of cryptocurrencies and stocks. Cryptocurrencies are preloaded into the script, and the script will show you the TOP 5 coins in terms of volatility, and then compares it to the Bitcoin volatility as a reference. It updates these values once per day using daily timeframe data from TradingView. The coins are then sorted in descending order by their volatility.
If you don't want to use the preloaded set of coins, you have the option of inputting your own coins AND/OR stocks!
Let me know your thoughts.
Cabal Dev IndicatorThis is a TradingView Pine Script (version 6) that creates a technical analysis indicator called the "Cabal Dev Indicator." Here's what it does:
1. Core Functionality:
- It calculates a modified version of the Stochastic Momentum Index (SMI), which is a momentum indicator that shows where the current close is relative to the high/low range over a period
- The indicator combines elements of stochastic oscillator calculations with exponential moving averages (EMA)
2. Key Components:
- Uses configurable input parameters for:
- Percent K Length (default 15)
- Percent D Length (default 3)
- EMA Signal Length (default 15)
- Smoothing Period (default 5)
- Overbought level (default 40)
- Oversold level (default -40)
3. Calculation Method:
- Calculates the highest high and lowest low over the specified period
- Finds the difference between current close and the midpoint of the high-low range
- Applies EMA smoothing to both the range and relative differences
- Generates an SMI value and further smooths it using a simple moving average (SMA)
- Creates an EMA signal line based on the smoothed SMI
4. Visual Output:
- Plots the smoothed SMI line in green
- Plots an EMA signal line in red
- Shows overbought and oversold levels as gray horizontal lines
- Fills the areas above the overbought level with light red
- Fills the areas below the oversold level with light green
This indicator appears designed to help traders identify potential overbought and oversold conditions in the market, as well as momentum shifts, which could be used for trading decisions.
Would you like me to explain any specific part of the indicator in more detail?
Simple Moving Average with Regime Detection by iGrey.TradingThis indicator helps traders identify market regimes using the powerful combination of 50 and 200 SMAs. It provides clear visual signals and detailed metrics for trend-following strategies.
Key Features:
- Dual SMA System (50/200) for regime identification
- Colour-coded candles for easy trend visualisation
- Metrics dashboard
Core Signals:
- Bullish Regime: Price < 200 SMA
- Bearish Regime: Price > 200 SMA
- Additional confirmation: 50 SMA Cross-over or Cross-under (golden cross or death cross)
Metrics Dashboard:
- Current Regime Status (Bull/Bear)
- SMA Distance (% from price to 50 SMA)
- Regime Distance (% from price to 200 SMA)
- Regime Duration (bars in current regime)
Usage Instructions:
1. Apply the indicator to your chart
2. Configure the SMA lengths if desired (default: 50/200)
3. Monitor the color-coded candles:
- Green: Bullish regime
- Red: Bearish regime
4. Use the metrics dashboard for detailed analysis
Settings Guide:
- Length: Short-term SMA period (default: 50)
- Source: Price calculation source (default: close)
- Regime Filter Length: Long-term SMA period (default: 200)
- Regime Filter Source: Price source for regime calculation (default: close)
Trading Tips:
- Use bullish regimes for long positions
- Use bearish regimes for capital preservation or short positions
- Consider regime duration for trend strength
- Monitor distance metrics for potential reversals
- Combine with other systems for confluence
#trend-following #moving average #regime #sma #momentum
Risk Management:
- Not a standalone trading system
- Should be used with proper position sizing
- Consider market conditions and volatility
- Always use stop losses
Best Practices:
- Monitor multiple timeframes
- Use with other confirmation tools
- Consider fundamental factors
Version: 1.0
Created by: iGREY.Trading
Release Notes
// v1.1 Allows table overlay customisation
// v1.2 Update to v6 pinescript






















