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S1 (Swing System)

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What it is
S1 is a futures swing framework built to produce fewer, higher-quality setups across multi-session moves. It’s designed to reduce decision fatigue and avoid overtrading chop.

How it works (high level)

Regime first: A context layer identifies when swing participation historically behaves better (vs. chop/transition regimes).

Selectivity second: Setup rules are intentionally restrictive; S1 is not built for constant signals.

Risk + hold behavior: Exits are shaped to improve multi-session stability, not to optimize one perfect trade.

How to use

Keep setting defaults initially.

Evaluate by stability across regimes and drawdown clustering, not individual trades.

Initial Capital: 50000
Base currency: Default
Default order size: 1
Pyramiding: 0

Strategy testing disclosure
Backtests vary by symbol, timeframe, session settings, and fill assumptions. Use realistic commission + slippage, avoid oversized % risk, and evaluate a meaningful sample size before drawing conclusions. Published results must match the default Properties/Inputs shown in the script.

Not financial advice. Futures trading involves risk. Past performance does not guarantee future results.

כתב ויתור

המידע והפרסומים אינם מיועדים להיות, ואינם מהווים, ייעוץ או המלצה פיננסית, השקעתית, מסחרית או מכל סוג אחר המסופקת או מאושרת על ידי TradingView. קרא עוד ב־תנאי השימוש.