Style boxes are a classification scheme created by Morningstar. They visually provide a graphical representation of investing categories for equity investments. A style box is a valuable tool for investors to use when determining asset allocation. There are 9 categories: Large Value, Large Blend, Large Growth Medium Value, Medium Blend, Medium Growth Small Value,...
The main purpose of the indicator is to make a future price estimation based on the highest dollar-based price of the stock in the past, especially for stocks that exceed their past prices in chart currency terms. There should be no expectation that this prediction will necessarily come true. A table with six columns and 19 rows (excluding the header) is created...
Hello traders, I hereby present to you the second stage of my journey to finding a reliable, profitable trading strategy. The "Millemachine" is based on the "Millebot", my previous published strategy. This means the backbone of the strategy is still the same: a trend following system. Instead of using a fixed TP and SL, a trailing stoploss is now used. To limit...
Hello! This script looks to experiment with historical portfolio performance. However, a hypothetical cash balance is not used; weighted percentage increases and decreases are used. You can select up to 10 assets to include in the portfolio. Long and short positions are possible. Show in the image are the portfolio's weight, the total return of the...
Show percent daily moves with a 5 period look back. This helps visualize recent performance.
How to use: Use the cursor to select the time, entry, stop loss, and target position. Enter the trading fee to calculate the reward/risk ratio and the actual reward/risk ratio (including the commission) according to the price you selected. Known error: Settings of this script can't be saved as default might due to the interactive price selection function. If...
Intro For my first script, I have released Make Your Own Index version 1. It has a long way to go so please stay tuned. Scroll down to read all the updates and notes as they come in. Why it matters Making your index is important to quickly see an index of symbols that you want to chart. Having the ability to assign weightings gives you the opportunity to make...
Here is a Dashboard to find the opportunuty of bigs moves with 20 pairs. The Dashboard is too big for the phone view. I thinks we can use it only on computer view. How it's work ? I look for the CHOP on Weekly and Daily time frame The CHOP give the "tension" of the pair. So i look for the biggest "tension" to take the "big mooves" I look for the align...
A simple table with up to 9 key financials on your chart. Simple, easy and configurable.
"Trading the equity curve" as a risk management method is the process of acting on trade signals depending on whether a system’s performance is indicating the strategy is in a profitable or losing phase. The point of managing equity curve is to minimize risk in trading when the equity curve is in a downtrend. This strategy has two modes to determine the equity...
A helpful indicator for those who follow a systematic long-term investment approach. What it shows: It shows the 60 Day Cumulative Return of $BND Vanguard Total Bond Market ETF against the 60 Day Cumulative Return of $BIL SPDR Bloomberg Barclays 1-3 Month T-Bill ETF. Why: This Indicator will provide you a sense of where the economic environment is at, if the...
Bond Yeild Curve A bond yeild curve is a line that plot the interest rate of bonds of each maturity dates. The slope of the curve give the future of economy cycle. if the slope could be normal (positive), flat or even inverted. This indicator aquired data of bond yeild provided by TradingView. How to use it. Select the country of the bond / another...
LCDT Trade Entry Tool Enter the Offset for the X Axis for the Entry Tool. Enter the Offset for the Y Axis for the Entry Tool. Enter the Price for your Stop Loss in $. Enter your desired Risk Amount in $. Enter the max amount of of Capital per Trade in $. There are toggle buttons in the setup to reveal/remove more data in the label that pops up, as well as a...
This is an accumulation/distribution indicator for BTC/USD (D) based on variations of 1400D and 120D moving averages and logarithmic regression. Yellow plot signals Long Term Accumulation, which is based on 1400D (200W) ALMA, orange plot signals Mid Term Accumulation and is based on 120D ALMA, and finally the red plot signals Long Term Distribution...
There is a wide range of opinion on holding positions overnight due to gap risk. So, out of curiosity, I coded this analysis as a strategy to see what the result of only holding a position overnight on an asset would be. The results really surprised me. The script backtests 10+ years, and here are the findings: Holding a position for 1 hour bar overnight on...
Built with love "Position & Lot Size Calculator" This indiator will help you to calculate your position size for managing the risk Features : 1. Click-able Price Entry & SL (Easier Interface) How to use it : 1. After add the indicator, set the Entry & SL Price with click price line in the chart 2. Set the risk and another parameter Regards, Hanabil
As the profit level increases, the amount of profit taking required to avoid risk asymptotically reaches zero. This indicator displays the % of the established position required to exit in order to ensure the trade is not a loss if the stop is hit. Values in green (at or below 100%) indicate a winning position. Values in red (above 100%) indicate a losing...