Quant Trading Zero Lag Trend Signals (MTF) StrategyMy own zero lag indicator building on top of algo alpha, but includes
several dynamic exits including
exit with risk/reward,
exist with profit target,
ATR Based Stop Loss & Take Profit,
Profit Target ATR Multiplier
Trailing Stop Loss
Break Even Stop Loss
EMA Exit.
Also added features to long or long and short.
Added Re-Entry on Zero Line (ZLEMA).
Works well, especially with higher lengths and higher timeframes.
Indicators and strategies
Smart Money Cheat Code StrategyOrderblock scalps based strategy! BB is used to detects liquidity sweep with volume spikes. Confirmation for frequent trades.
Backtest with Date Range### 📝 Strategy Description for Publishing
**Title**: SMA Crossover Strategy with Custom Date Range
**Description**:
This strategy implements a classic SMA (Simple Moving Average) crossover system, enhanced with a custom backtesting window defined by start and end dates.
It generates:
* **Buy signals** when the 10-period SMA crosses above the 50-period SMA (bullish momentum).
* **Sell signals** when the 10-period SMA crosses below the 50-period SMA (bearish momentum).
Key features:
* Trades only occur within a user-defined date range, allowing precise control over the backtest period.
* Uses 100% of available capital per trade by default.
* No leverage or stop loss/take profit is applied—pure trend-following logic.
Ideal for users looking to validate moving average-based strategies during specific market conditions or events.
Сига EMA-RSIConditions
- The signal is formed only when the EMA9 and EMA20 intersect and the RSI conditions are met
The precondition is that the RSI should break through the 55 level from top to bottom for long and 45 from bottom to top for short
- The signal is formed when EMA9 and EMA20 intersect and the RSI condition is met
This combination works perfectly on trend reversals.Patterns.
Ma stratégieAlphaTrader – Sunjoku Strategy
Overview:
AlphaTrader – Sunjoku Strategy is a precision intraday trading tool combining three core processes of the Sunjoku method with advanced institutional logic. Built for scalpers and intraday trend followers, it identifies high-probability entries using Initial Balance breakouts, VWAP bands, order blocks (H1 & H4 only), and volume-driven impulses.
Core Features:
✅ Sunjoku 3-Process Logic:
Process 1: Institutional Impulse Recognition
Process 2: Structure Retest after EMA Shift
Process 3: Reversal from Extreme Deviation Zones (VWAP)
✅ Initial Balance Detection & Breakout Filtering (05:00–06:00 UTC)
✅ VWAP Daily & Weekly Bands with Up to 3 Standard Deviations
✅ Order Blocks (H1 & H4 Only) with Auto Buy/Sell Signal Zones
✅ High-Volume Filter + EMA Flux Alignment
✅ Clean Dashboard for Live Conditions
✅ Visual Entry Points + Alerts
✅ Optimized for M15 precision entries
Best Timeframe:
M15 (Main execution)
H1/H4 (Context – Order Block Zones)
Use Cases:
Prop Firm Challenges
High-precision intraday trading
Institutional momentum capture
Structured trade confirmation via volume and imbalance
Note:
This indicator is built to avoid noise and reduce false signals by aligning volume, VWAP structure, and Initial Balance breakouts. Order Blocks are filtered and visible only on H1 and H4, with smart confirmation logic.
Trendline Breakouts Reward > 1 [ Custom by MinhVo ]Trendline Breakouts with Target and Stop Loss Strategy
This script is a customized version of the Trendline Breakouts with Targets indicator. It’s designed to identify breakout opportunities with clearly defined target and stop-loss levels to help manage risk and maximize potential returns.
I'm continuously working to improve this strategy. If you have suggestions or ideas that could help enhance its accuracy or increase its win rate, feel free to reach out!
Features:
- Filter Long/Short Signal by EMA
- Calculate Volume for each order by absolute value or dynamic value by balances percent
- Apply Stoploss value by ATR Stoploss indicator
Email: quangminhvo79@gmail.com
RSI-SMA + ADX + EMA Optimized StrategyRSI-SMA Crossover Strategy for Nifty Option Buying
Strategy Type: Intraday or Swing
Instruments: Nifty ATM Options (Weekly expiry)
Chart Timeframe: 5-minute (for intraday) or 15-minute (for short-term trades)
Indicators Used:
RSI (Relative Strength Index) – 14 period
SMA (Simple Moving Average) of RSI – typically 9 or 10 period
Entry Rules:
Buy ATM Call Option (Bullish Setup):
RSI crosses above its SMA (RSI line crosses above RSI-SMA).
RSI is above 50 at the time of crossover.
Nifty price is above 20 EMA (optional filter for trend confirmation).
Buy ATM Call Option of current week expiry.
Buy ATM Put Option (Bearish Setup):
RSI crosses below its SMA.
RSI is below 50 at the time of crossover.
Nifty price is below 20 EMA (optional).
Buy ATM Put Option of current week expiry.
Exit Rules:
Target: 30–50% profit on premium
Stop-loss: 25–30% of premium OR opposite crossover
Time-based exit: Square off by 3:15 PM (for intraday)
CVD Divergence Strategy – Backtest v6 + UI🚀 Advanced crypto backtesting strategy using CVD divergence, Open Interest simulation, ATR-based entries and exits, and a full visual UI – now with test mode switch!
Designed to help traders explore momentum exhaustion, buyer/seller imbalance, and precise risk/reward setups.
🔍 Features:
✅ CVD Divergence Detection
Detects bullish and bearish divergences between price action and cumulative volume delta
✅ Simulated Open Interest Filter
Signals require rising OI (approximated via volume delta) – optional in test mode
✅ ATR-Based Risk/Reward System
Entry/Stop/Target are dynamically calculated with a customizable R-multiple (e.g. 1.5R)
✅ Direction Filter
Dropdown lets you test Long Only, Short Only, or Both directions
✅ Strategy Tester Integration
Full backtesting support using TradingView’s built-in metrics
✅ 📊 Chart Overlay Reporting
Shows total trades, win rate %, and net profit directly on the chart
✅ 🖥️ Live Dashboard Panel
Displays current signal status, ATR, CVD, OI change and entry mode
✅ 🧪 Built-in TEST MODE
Use the checkbox to activate a simplified signal logic to ensure trades are fired for testing purposes
⚠ Notes:
CVD is based on volume delta: volume * sign(close - open)
Open Interest is simulated using volume changes (since real OI is unavailable in Pine Script)
Best used on futures symbols like BINANCE:BTCUSDT, BYBIT:ETHUSDT.P, etc., in 5–30min timeframes
Grid Tendence V1The “Grid Tendence V1” strategy is based on the classic Grid strategy, only in this case the entries and exits are made in favor of the trend, which allows you to take advantage of large movements to maximize profits, because you can also enter and exit with the entire balance with a controlled risk, because precisely the distance between each Grid works as a natural and adaptive stop loss and take profit.
In version 1 of the script the entries and exits are always at the market, and based on the percentage change of the price, not on the profit or loss of the current position.
However, it is recommended to optimize the parameters so that the strategy is effective for each asset and for each time frame.
FVG Buy/Sell Bot"This strategy detects Fair Value Gaps and generates Buy/Sell signals with a 1:2 Risk-to-Reward setup. Webhook-enabled for automation."
Smart Money Strategy v6Marking all pivot points with imbalance and FVG. Automatically points out secured OB after valid liquidity sweeps with BOS and CHOCH indicator. Levels shows, Volatilities shown with BB. We want to move with smart money.
Crypto Scalping Strategy [Dubic] - LONG OnlyCrypto Scalping Strategy is a high-frequency trading tool designed for scalping volatile crypto pairs like PEPE/USDT on Binance. It features EMA crossover-based entries, volume-confirmed re-entries, fixed take profit (0.10%), trailing take profit (0.01%), and trailing stop loss (0.01%). Alerts are webhook-ready for seamless integration with trading bots. Optimized for fast, responsive trades in trending markets.
Crypto Scalping Strategy [Dubic] - LONG OnlyCrypto Scalping Strategy
A fast-paced scalping strategy built for crypto traders. It uses EMA crossovers for initial entries and confirms re-entries with volume spikes. Includes built-in take profit, trailing take profit, and trailing stop loss settings. Fully optimized for automated trading via webhook alerts. Best suited for high-volatility pairs like PEPE/USDT on Binance.
[OKX][dev][v1.14][candles-modify]Our vision at No Liquid is to become the leading no-code trading automation platform, empowering anyone — even a 3-year-old — to create, test, and run custom trading logic with ease and simplicity
Сига EMA-RSIConditions
- The signal is formed only when the EMA9 and EMA20 intersect and the RSI conditions are met
The precondition is that the RSI should break through the 55 level from top to bottom for long and 45 from bottom to top for short
- The signal is formed when EMA9 and EMA20 intersect and the RSI condition is met
This combination works perfectly on trend reversals.Patterns.
Divergenz Strategie (visible & stable)Divergence Strategy (Visible & Stable)
📖 Description:
This Pine Script strategy detects bullish and bearish divergences across multiple indicators and visualizes them clearly on the chart. It includes filter controls and advanced risk management options for backtesting and live alerts.
🔍 Core Features:
✅ Divergence Detection for:
RSI (default active)
MACD (optional)
OBV (optional)
📊 Clear Visualization:
Entry arrows (long/short)
Optional debug plots to analyze signal conditions
🧠 Filter System:
Trend filter (EMA-based)
Support/Resistance filter (based on swing points)
Cooldown filter (minimum bars between entries)
📈 Backtest-ready:
Customizable Take Profit and Stop Loss
Strategy performance viewable in TradingView strategy tester
⚙️ Inputs & Controls:
Toggle each divergence source (RSI, MACD, OBV)
Enable/disable swing, trend, SR zone, and cooldown filters
Debug mode to display internal filter states
Full control over EMA, SR lookback, buffer %, TP/SL levels
🔔 Alerts:
Alert conditions for bullish and bearish divergences are included
EMA-MACD-RSI Strategy PRO//@version=5
strategy("EMA-MACD-RSI Strategy PRO", overlay=true, default_qty_type=strategy.percent_of_equity, default_qty_value=10)
// === Indicatori ===
ema20 = ta.ema(close, 20)
ema50 = ta.ema(close, 50)
macdLine = ta.ema(close, 12) - ta.ema(close, 26)
signalLine = ta.ema(macdLine, 9)
rsi = ta.rsi(close, 14)
// === Condizioni Long ===
longCond = ta.crossover(ema20, ema50) and macdLine > signalLine and rsi > 50
if (longCond)
strategy.entry("Long", strategy.long)
// === Condizioni Short ===
shortCond = ta.crossunder(ema20, ema50) and macdLine < signalLine and rsi < 50
if (shortCond)
strategy.entry("Short", strategy.short)
// === Uscita ===
exitLong = ta.crossunder(macdLine, signalLine)
exitShort = ta.crossover(macdLine, signalLine)
if (exitLong)
strategy.close("Long")
if (exitShort)
strategy.close("Short")
// === Plot indicatori ===
plot(ema20, title="EMA 20", color=color.orange)
plot(ema50, title="EMA 50", color=color.teal)
// === Dashboard ===
var table dash = table.new(position.top_right, 2, 4, border_width=1)
if bar_index % 1 == 0
table.cell(dash, 0, 0, "Segnale", text_color=color.white, bgcolor=color.gray)
table.cell(dash, 1, 0, longCond ? "LONG" : shortCond ? "SHORT" : "-", text_color=color.white, bgcolor=longCond ? color.green : shortCond ? color.red : color.gray)
table.cell(dash, 0, 1, "RSI", text_color=color.white, bgcolor=color.gray)
table.cell(dash, 1, 1, str.tostring(rsi, format.mintick), text_color=color.white)
table.cell(dash, 0, 2, "MACD > Signal", text_color=color.white, bgcolor=color.gray)
table.cell(dash, 1, 2, str.tostring(macdLine > signalLine), text_color=color.white)
table.cell(dash, 0, 3, "EMA20 > EMA50", text_color=color.white, bgcolor=color.gray)
table.cell(dash, 1, 3, str.tostring(ema20 > ema50), text_color=color.white)
// === Alert ===
alertcondition(longCond, title="Segnale Long", message="LONG: EMA20 > EMA50, MACD > Signal, RSI > 50")
alertcondition(shortCond, title="Segnale Short", message="SHORT: EMA20 < EMA50, MACD < Signal, RSI < 50")
Crypto Scalping Strategy [Dubic] - LONG OnlyThe Dubic Scalping Strategy is a lightweight and effective EMA-based tool designed for fast-paced trading on crypto, forex, and indices.
✅ Initial Buy/Sell signals are triggered by fast EMA crossovers.
✅ Re-entry signals use volume confirmation to catch pullbacks within the trend.
🔔 Includes alert support for webhook automation and manual execution.
Arrows mark trend entries, and colored dots indicate valid re-entries.
Simple. Responsive. Built for scalpers.
VWAP Support/Resistance Strategy - EnhancedVWAP Enhanced Strategy for Gold (15-Min Precision Trading)
Hello Traders,
This strategy is built for traders who demand precision and consistency in their gold trades. Combining the power of VWAP (Volume Weighted Average Price) with price action, liquidity zones, and supply-demand imbalances, this setup helps identify high-probability trade entries with minimal noise.
📌 Key Features:
Anchored VWAP for intraday trend bias
Real-time Supply & Demand Zones
Liquidity sweep and Fair Value Gap detection
Clean Buy/Sell signals only at premium setups
Optimized for 15-minute charts
🎯 Ideal for:
Traders who take 1–2 quality trades per day, aiming for 2x–3x reward-to-risk setups with tight stop losses and clearly defined targets.
🔒 Risk Management Integrated
Follow the smart money flow with calculated risk—no overtrading, just disciplined execution.
SMC Strategy BTC 1H - OB/FVGGeneral Context
This strategy is based on Smart Money Concepts (SMC), in particular:
The bullish Break of Structure (BOS), indicating a possible reversal or continuation of an upward trend.
The detection of Order Blocks (OB): consolidation zones preceding the BOS where the "smart money" has likely accumulated positions.
The detection of Fair Value Gaps (FVG), also called imbalance zones where the price has "jumped" a level, creating a disequilibrium between buyers and sellers.
Strategy Mechanics
Bullish Break of Structure (BOS)
A bullish BOS is detected when the price breaks a previous swing high.
A swing high is defined as a local peak higher than the previous 4 peaks.
Order Block (OB)
A bearish candle (close < open) just before a bullish BOS is identified as an OB.
This OB is recorded with its high and low.
An "active" OB zone is maintained for a certain number of bars (the zoneTimeout parameter).
Fair Value Gap (FVG)
A bullish FVG is detected if the high of the candle two bars ago is lower than the low of the current candle.
This FVG zone is also recorded and remains active for zoneTimeout bars.
Long Entry
An entry is possible if the price returns into the active OB zone or FVG zone (depending on which parameters are enabled).
Entry is only allowed if no position is currently open (strategy.position_size == 0).
Risk Management
The stop loss is placed below the OB low, with a buffer based on a multiple of the ATR (Average True Range), adjustable via the atrFactor parameter.
The take profit is set according to an adjustable Risk/Reward ratio (rrRatio) relative to the stop loss to entry distance.
Adjustable Parameters
Enable/disable entries based on OB and/or FVG.
ATR multiplier for stop loss.
Risk/Reward ratio for take profit.
Duration of OB and FVG zone activation.
Visualization
The script displays:
BOS (Break of Structure) with a green label above the candles.
OB zones (in orange) and FVG zones (in light blue).
Entry signals (green triangle below the candle).
Stop loss (red line) and take profit (green line).
Strengths and Limitations
Strengths:
Based on solid Smart Money analysis concepts.
OB and FVG zones are natural potential reversal areas.
Adjustable parameters allow optimization for different market conditions.
Dynamic risk management via ATR.
Limitations:
Only takes long positions.
No trend filter (e.g., EMA), which may lead to false signals in sideways markets.
Fixed zone duration may not fit all situations.
No automatic optimization; testing with different parameters is necessary.
Summary
This strategy aims to capitalize on price retracements into key zones where "smart money" has acted (OB and FVG) just after a bullish Break of Structure (BOS) signal. It is simple, customizable, and can serve as a foundation for a more comprehensive strategy.
Gap Reversal with External Symbol (XU030 gap, trade on XU030D1!)Gap Reversal with External Symbol (XU030 gap, trade on XU030D1!
CMA Technologies Phantom Divergence Engine 1Minute📢 Welcome to the frontier of algorithmic precision.
🔹 **CMA – Phantom Divergence Engine** is a specialized trading system developed under the CMA Technologies framework — a quantitative infrastructure engineered over thousands of iterations, data trials, and real-time stress environments.
This engine is one of many internal systems that form the foundation of our autonomous trading architecture — a structure that prioritizes real-world applicability over theoretical perfection.
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💼 **What makes this system different?**
We don’t reveal the logic.
We don’t publish blueprints.
Because the edge lies not in the tool, but in how deeply it's been tested — across volatility clusters, outlier events, and structurally fragmented market phases.
While most systems collapse under real-time uncertainty, **Phantom Divergence Engine** is built to absorb it — with dynamic capital control, conditional volatility adaptation, and non-indicator signal integrity.
This isn’t a script you optimize.
This is a structure you deploy.
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🚫 No overfitting.
🚫 No repaints.
🚫 No curve-fitted illusions.
Just a hardened core logic designed to work where most fail: **in the noise**.
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💡 **Who are we?**
We’re **CMA Technologies**, a collective of engineers, data scientists, and quants building autonomous systems that don’t guess — they execute.
Our approach is based on simulation-driven design, not hopes and indicators.
This video is a glimpse into one of our smaller, time-sensitive subsystems — operating under real conditions on the 1-minute chart.
We don’t share strategies.
We prove capability.
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📩 **Want to collaborate or access?**
We’re building a closed global network of system traders and researchers.
🌐 Website: ** (www.cmatech.co)**
📧 Email: **info@cmatech.co**
🔒 Private access available upon request.
#CMA #quant #tradingbot #autonomous #nonrepaint #nondisclosure #phantomengine #1minchart #executionfirst #tradingviewquant
EMA 10/20/50 Alignment Strategy### 📘 **Strategy Name**
**EMA 10/20/50 Trend Alignment Strategy**
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### 📝 **Description (for Publishing)**
This strategy uses the alignment of Exponential Moving Averages (EMAs) to identify strong bullish trends. It enters a long position when the short-term EMA is above the mid-term EMA, which is above the long-term EMA — a classic sign of trend strength.
#### 🔹 Entry Criteria:
* **EMA10 > EMA20 > EMA50**: A bullish alignment that signals momentum in an upward direction.
* The strategy enters a **long position** when this alignment occurs.
#### 🔹 Exit Criteria:
* The long position is closed when the EMA alignment breaks (i.e., the trend weakens or reverses).
#### 🔹 Additional Features:
* Includes a **date range filter**, allowing you to backtest the strategy over a specific period.
* Uses **100% of available capital** for each trade (position size auto-scales with account balance).
* No short positions, stop loss, or take profit are applied — this is a trend-following strategy meant to ride bullish moves.
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### ✅ Best For:
* Traders looking for a **simple, trend-based entry system**
* Testing price momentum strategies during specific market regimes
* Visualizing EMA stacking patterns in historical data