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DCA Ultimate Backtesting v1.0

I have developed a strategy backtest indicator that allows us to test strategies before live trading. You can test your strategies in either the long or short direction. Additionally, you can use it for live trading by sending signals via webhook to platforms and exchanges for real-time buy and sell operations.

With this strategy indicator, you can choose from 12 different indicators for deal start, including commonly used ones such as RSI, MFI, EMA Cross, MACD, Stochastic, TradingView buy or sell signals, or Heikin-Ashi Candles. The indicators are set to default values, but you can fine-tune them separately for buy and sell signals if desired. You can also mix and use up to three indicators simultaneously.

For the deal end, you can set a TP (Take Profit) ratio or, if desired, use conditions similar to those for deal start. You can also mix indicators for the deal end. When using conditions for the deal end, you can set a minimum TP ratio.

Another feature is that for both deal end methods, you can use TTP (Trailing Take Profit). TTP will track the price according to the ratio you set, and if the value drops below that level, the deal will close.

During the selected period, you can monitor various results and statistics such as total duration, the number of closed deals, the number of winning and losing deals, gross profit/loss, net profit, fees paid, and how many deals were closed after how many SOs (Safety Orders).

Additionally, you can see in advance how much capital will be allocated for BO (Base Order) and SOs through the SO step table, allowing you to adjust your strategy accordingly.

You can also add a cooldown period between deals, allowing as much time as you want. The leverage option allows you to calculate costs based on the leverage you intend to use. The leverage setting does not change the amount of the signal sent; it only lets you track the cost through the table.
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