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...
GRID trading is a popular trading strategy in Forex and Commodity markets. It it however a tricky strategy when markets become directional. This Directional GRID system adjusts its trading strategy and direction based on Overbought and Oversold RSI conditions on 2 timeframes. It uses the short timeframe (chart) to trigger adjustments, so it delays...
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 improved SuperTrend strategy that makes use of multiple types of risk management options. We have for example : 1. Take profit and stop loss levels based on support and resistence created with RSI and Pivot Lines(dynamic) For example, if we have an oversold level and a pivot low , we can take that low point for support.(or resistence for short) ...
SignalsPirate™ Market Screener provides users with the ability to quickly and easily check the current trend of up to 40 different assets on any timeframe! With a simple ‘Bullish’ or ‘Bearish’ trend easily defined using accurate and reliable calculations, this tool could massively cut down the amount of time your TA takes! The main Input options are 'Reactivity'...
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
First script done! This is my version of the No-Nonsense Forex (NNFX) Strategy This strategy shows you the entry and exit signal with a standard 1.5 x ATR for Stop Loss and 1 x ATR for Taking Profit. You can adjust the settings to your needs. This strategy uses 5 indicators: 1. Average True Range for SL and TP placement, there is a nuance where you can add...
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...
Hi every one you can use this indicator in your trades for money and risk management. Very easy to use. Just enter the requested information of your trade and see the amount of money you need to enter into a transaction. Also you can see your pnl%. Risk = The amount of money that if you lose, does not matter to you. This will be a percentage of your total...
This script is intended to be used as a risk management calculator. It will calculate the best leverage to use based on the maximum percentage of loss you are willing to incur on your trading portfolio. Also calculates the order value and order qty based on your inputs. Please note this calculator does not take into account any trading fees imposed by the exchange...
Hello Friends. This script is only for long positions. How does the algorithm work ? The Relative Momentum Index Relative Strength İndex Average Directional Movement İndex Momentum When rsi and adx produce signals in the same direction, the rmi indicator confirms the signal. After the Confirmed Signal, the buy-side transaction is entered , the...
Displays lines and labels for prices following the SHAD strategy. SHAD strategy consists in selling half the position every time price doubles, thus this indicator displays values for x2, x4, x8 and x16 of current closing price. You can also see "/2" (-50%) and "/4 " (-75%) values. You can edit display colors and labels text size in the indicator's settings