This indicator calculates Stop-loss and Take-profit limits and plots them on the chart based on the daily ATR value for a given instrument.
The Stop-loss is calculated at the current close price minus 1x ATR and is plotted as a red line by default.
The Take-profit is calculated at the current close price plus 1.5x ATR and is plotted as a green line by...
// Based on Normalized Smoothed MACD by Dreadblitz
Old one was just an oscillator, I changed a few things
1) It now paints the line green/orange
2) The trigger (green/red) is now based on a signal
3) The signal is basically isUp, but with some additional controls, e.g.
4) (new) There is an embedded stoploss. This is a growth/decay function that decays...
This strategy work when ADX line Crossover the 25 value, if the price was above the Alligator lines then its buy signal and if it was under the Alligator Lines then its sell signal
Stop Loss is the Jaw line ( you could choose any of the 3 lines ), and the take profit is 1.5 the stop loss ( also you can change the risk to reward ratio )
I add a filter if the...
This is a demo of ATR based trailing Stop Loss.
This SL strategy uses 2 types of ATR based SL.
tight SL as initial (ATR * 1.5)
slack SL as trailing (ATR * 4)
When any entry singal occurs by the buy/sell conditions, this SL strategy uses the "tight SL" as the initial SL.
Then the SL will chase the price as trailing SL. However, this strategy uses the...
Improved Simple Strategy based on RSI, using overbought or oversold levels.
Backtest: ETHPERP (FTX) - 30m
Set STOP LOSS and GET PROFIT as a percentage (2% and 10% by default).
If strategy.position_size != 0 algorithm convert percentages into points and set stop loss and take profit limit orders.
This script is an enhancement of ATR Indicator.
It is used to determine the stop loss position by using the ATR indicator, in conjunction with the low of the candle.
Formula = Stop Loss = Lowest(Lowest Length) - (ATR Multiplier * ATR (Smoothing, Length))
However, the user needs to manually identify the swing low for a better stop loss placement.
This strategy is a demo for fixed price stop loss.
This strategy enables you to specify fixed price stop loss. Let's say your deposit is USD. When you trade EURCAD, you need to specify the quantity for trade. Here comes three chances for trade.
A: SL pips: 500
B: SL pips: 200
C: SL pips: 100
In these trade, the risk is different for each. ABC risk ratio...
This indicator calculates the probability of touch for a stop loss...the probability that it will be triggered. Does it really calculate probability? Yes, it gives you an idea of the probability of being stopped out of a trade... but results are not guaranteed as this is a theoretical formula I developed on my own. Nevertheless, use this at your own...
You may have heard that it's highly advised you should know where your target and stoploss points are before you enter a trade.
One of the great indicators in history is the average true range a.k.a ATR.
Here is how you can use the ATR to set your target at 1.5 x ATR and stoploss at 2 x ATR:
This indicator shows you where the 1.5 x ATR and 2 x...
A stoploss system that enables traders to exit with limited loss or even trailing loss.
Use the levels of indicator against the candle that has seen signidicant move for running positions and the candle in which a new position is taken.
Example : For long Nifty Future at 14990 levels, when Indicator is showing 14820 at bottom on a 30 min chart, 14820 can be...
We have heard many times that keep your losses small and allow your profits to grow. But what happens is that we often make the mistake of doing high-margin trades that we cannot afford to lose. The main reason for this problem, in my opinion, is the rush to open a position and not paying attention to how much acceptable loss in each trade is for...
Here is a Risk Management Indicator that calculates stop loss and position sizing based on the volatility of the stock. Most traders use a basic 1 or 2% Risk Rule, where they will not risk more than 1 or 2% of their capital on any one trade. I went further and applied four levels of risk: 0.25%, 0.50%, 1% and 2%. How you apply these different levels of risk is...
This indicator uses three moving averages:
2 period low simple ma
2 period high simple ma
9 period least squares ma
The trend is determined by the angle of the moving averages, current close relative the the 9 least squares ma (lsm) and the current close relative to the prior two periods high and low.
When there are consecutive closes inside the prior two...
It is an ATR indicator which filters out outliers.
Outliers are values which are higher than the standard deviation of the true range.
It may be better than normal ATR for stop loss, because it does not keep large values after pump or dump.
It is very useful for high volatile markets like crypto markets.
Ever struggle to know how many shares you should be placing your order with? Risk is different for every person and every stock. This can help.
In the example above, I've added this indicator the the chart.
I then specified:
Risk Amount ($) = $500. (The max amount I'm willing to risk.)
Risk Source = (another indicator) Lower Limit 3 . (See Lower Limits ...