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Strong Trend Flat Signal

The principle of the indicator.

              The Strong Trend Flat Signal (STFS) indicator is the intersection of two, developed by the author, non-lagging moving averages with averaging periods 21 and 63.

              A simple moving average (SMA) with an averaging period (2n + 1) of bars is always obtained lagging by n bars. If SMA or other types of moving averages are the basis for making trading decisions, then their strong delay does not allow  to open positions in time and close positions, which leads to losses.  

           Non-lagging moving averages  calculated at the points (Inf, n + 1) in the usual way, and at the points of the [n, 0] segment, where 0 is the last bar number, is algorithmically and there is a curvilinear sector (cover out the confidence interval) in which the line of the non-lagging moving average fits with the confidence level specified in the indicator settings. It is clear that the more the confidence probability value is taken (which by default is equal to 0.67), the wider the curvilinear sector of the confidence interval is obtained. If we take the confidence probability equal to zero, then the sector of the indicator readings at points [n, 0] will shrink to a curve, which will pass through the most probable values ​​of the non-lagging average. Statistical studies show that the price around the non-remaining average is distributed according to the Laplace law. Knowledge of the distribution law and the algorithm for calculating the most likely non-lagging average on the [n, 0] segment allow us to calculate the confidence interval sector.

  

Trade using the Strong Trend Flat Signal indicator.

              If the lower border slow component of the figure sector of the STFS  indicator moves to the up, then there is an uptrend and you need to open positions on Buy. If the upper boundary of the slow component of the curvilinear sector of the STFS  indicator is oriented downwards, then there is a downward trend and you need to open positions on Sell. In such cases, you can be sure of the correctness of the established trend direction with the confidence level set in the indicator settings.

              If the upper limit  of the slow component of the figure sector of the STFS indicator moves to the up, and the its  lower limit moves down, then there is a flat, which serves as a signal for closing trend positions.

              If the slow component of the indicator determines the flat or channel, but the sector of the fast component is noticeably beyond the sector of the slow component, then this means the breakdown of the channel and serves as a signal to open the corresponding position.

              If the slow component of the indicator determines the trend, but the sector of the fast component noticeably leaves the sector of the slow component from the opposite direction of the trend, this means the end of the trend and serves as the signal to close the corresponding position.

  

Indicator settings.

  • Price type  - applied price. Values: Close price, Open price, High price, Low price, Median price  ((high + low)/2 - default),  Typical price ((high + low + close)/3),    Weighted  price  ((high + low + 2*close)/4). 
  • The averaging method   - Values:  Simple (default), Exponential, Smoothed,  Linear  weighted.
  • The first averaging period    -   Any integer (21 by default).
  • The second averaging period   -   Any integer (63 by default).
  • Confidence probability  - Values:   from 0  to  0.999 (0.67 by default).
  • Global shift - Global shift of the beginning of the indicator readings in bars. Values: any positive integer  (0 default).
  • Color of the first  line.    –   The color of the indicator first  line and its figure sector.
  • Color of the second  line.  – The color of the indicator second  line and its figure sector.
  • Paint over the confidence interval? -  Values:  true  (by default),  false.


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The principle of the indicator.               The StatChannel ( SC ) indicator is a development of the Bollinger Bands indicator ( ВВ ).  BB is a moving average, on both sides of which two lines are drawn, separated from it by standard deviations std multiplied by the corresponding coefficient. At the same time, a moving average with an averaging period (2n + 1) bars is always obtained lagging behind n bars.  Sliding std is also lagging behind on n bars, also calculated by (2n + 1) points. Such
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Indicator is used for: defining price probability distributions. This allows for a detailed representation of the channel and its borders and forecast the probability of a price appearing at each segment of its fluctuations; defining the channel change moment.   Operation principles and features Indicator analyzes a quote history on lower timeframes and calculates a price probability distribution on higher ones. Forecast algorithms allow the indicator to calculate probability distributions and m
The principle of constructing indicator lines and their meaning .               The Signal Channel   indicator uses a robust filtering method based on two moving medians applicable to the High and Low prices, i.e. the lines <High> and <Low>, where <..> is the sign of linear averaging, which are shifted by certain values ​​in an uptrend and by opposite values ​​in a downtrend, which allows you to get a narrow channel, approximately outlining each bar. Sharp kinks of the lines of such a channel a
This   indicator is intended for professionals assessing fundamental market trends.  This indicator calculates the index of any instrument and analyzes it.              The index of the state currency shows the real purchasing power of this currency, and the dynamics of this index shows the dynamics of the economic state of the corresponding state. An analysis of the indices of both currencies included in a currency pair makes it much more reliable to identify the trend of this cur
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Aleksey Ivanov
The StatZigZag  indicator looks like a regular ZigZag , but is built on the basis of completely different algorithms. The StatZigZag  indicator is a broken line built from segments of regression lines of different lengths, the beginning of each of which comes from the end of the previous segment. Each regression segment is built until the variance or spread of price around it begins to exceed a certain critical value, after which the construction of this segment ends and the constr
The Velocity of price change   ( VP ) indicator shows the average rate of price change at those characteristic time intervals where this rate was approximately constant. The robust algorithm used in VP   to smooth out the price from its random jumps, ensures the reliability of the indicator reading, which does not react to simple price volatility and its insignificant movements.             The indicator allows you to track trends and the moments of their reversals , during which t
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Version 2.10 2019.09.04
Improved code reliability.
Version 2.0 2019.05.15
Added global shift to start calculating indicator readings (for visual estimation of the accuracy of its work).