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Asummetry

The principle of the indicator.

             

              The Asummetry  indicator allows you to predict the beginning of a change in the direction of trends, long before their visual appearance on the price chart.

              The author statistically revealed that before changing the direction of the trend, the probability distribution function of the price is made as asymmetric as possible. More precisely, the price movement in any direction always pulls sideways the function of its distribution, but when the third-degree root of asymmetry divided by the standard deviation exceeds the unit in absolute value, the price will change its direction. The indicator operation is based on this regularity. The indicator calculates the value of the third degree root asymmetry normalized to the standard deviation, i.e. magnitude 

              ASUMM=   (< (x - <x>)^3 >)^(1/3)/ (< (x - <x>)^2 >)^(1/2),

where <...> is the averaging sign, which, when it is module exceeded  the unit , serves as a powerful signal to change the direction of a previously established trend.  

               It has also been established that the asymmetry plot changes sign when the price probability density function makes a sharp jump, which is characteristic of price dynamics.

              The sliding asymmetry counted in a particular window, as well as the variance and the moving average, lags behind by about the floor of the averaging period used. Therefore:  (1) For past price values, the asymmetry plot shifts back through history by the amount of delay; (2) To receive a signal in a timely manner, a special compression algorithm for the asymmetry calculation period is applied when approaching the beginning of the current history.  At the same time, to ensure the possibility of calculating such asymmetry (creating a sufficient array of calculated points) on the M5-H4 time frames, be used the data of the minute chart is M1, the daily time frame is - M5, the weekly  - M30, and the monthly - H1.  On M1, this indicator, respectively, is not used.

               The indicator, working on large timeframes, uses information from small timeframes. Therefore, for the indicator to work correctly in the tester, you need to load the history of the analyzed quote  (Tools / History Center )


    

Using the Asummetry indicator in trading.

              The indicator is very sensitive to the current state of the market and, therefore, is dynamic for current values, which is not its disadvantage.  The interval of the indicator readings, that  important for the trader  (for the current history), where the averaging period compression algorithm is used, is colored in other colors than the rest of the indicator readings, and all points of this interval serve to assess the current market situation.

              If the position according to the trend is already open, then even a one-time  exceeding  by the  module  of ASUMM  by  one serves as the signal to close the position, since after that, a trend change is likely to follow.            

              If the position is not open yet, then | ASUMM |> 1 gives the trader a sign that a new trend will begin soon and the trader should then be in a state of readiness to open a position.  But the direction of the trend and the moment of entry into the position need to be determined by another indicator, for example,   Identify_Trend  or Sensitive Signal  or some other sensitive trend indicator.

 

 

Indicator settings.

  • Price type  - applied price. Values: Close price (default)), Open price, High price, Low price, Median price  ((high + low)/2),  Typical price ((high + low + close)/3),    Weighted  price  ((high + low + 2*close)/4). 
  • The averaging period   -  averaging period.  Values: any integer  (15 default).
  • Number of countable bars of the current chart. - Number of calculated indicator graph bars . Values: any positive integer   (1000 default).
  • Global shift - Global shift of the beginning of the indicator readings in bars. Values: any positive integer  (0 default).
  • The non-lagging asymmetry is calculated? -  Values:  true(default),  false.

            

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Cet indicateur examine chaque barre pour la pression d'achat ou de vente et identifie 4 types de modèles de bougies avec le volume le plus élevé. Ces bougies sont ensuite filtrées à l'aide de plusieurs filtres linéaires pour afficher les signaux d'achat ou de vente. Les signaux fonctionnent mieux, en conjonction avec une direction temporelle plus élevée et lorsqu'ils sont négociés pendant les heures de volume élevé. Tous les filtres sont personnalisables et fonctionnent indépendamment. Peut aff
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Cet indicateur est très puissant lorsqu'il est combiné avec notre autre indicateur appelé Katana. Après l'achat, envoyez-nous un message et vous pourrez obtenir Katana GRATUITEMENT en BONUS  ! Le prix augmentera bientôt à 149$ ! Ne manquez pas le prix courant à 65$ ! L'indicateur de prévision de tendance est un outil très unique et simple qui est capable de prédire les mouvements futurs des prix en fonction des signaux générés par MACD. Cela vous aide à avoir une estimation des domaines dans
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How to use Pair Trading Station Pair Trading Station is recommended for H1 time frame and you can use it for any currency pairs. To generate buy and sell signal, follow few steps below to apply Pair Trading Station to your MetaTrader terminal. When you load Pair Trading Station on your chart, Pair Trading station will assess available historical data in your MetaTrader platforms for each currency pair. On your chart, the amount of historical data available will be displayed for each currency pai
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Obtenez votre mise à jour quotidienne du marché avec des détails et des captures d'écran via notre Morning Briefing ici sur mql5 et sur Telegram ! FX Power MT4 NG est la nouvelle génération de notre très populaire indicateur de force des devises, FX Power. Et qu'est-ce que ce compteur de force de nouvelle génération offre ? Tout ce que vous avez aimé de l'original FX Power PLUS Analyse de la force de l'OR/XAU Des résultats de calcul encore plus précis Périodes d'analyse configurables individuel
Le système PRO Renko est un système de trading très précis spécialement conçu pour le trading de graphiques RENKO. Il s'agit d'un système universel qui peut être appliqué à divers instruments de négociation. Le système neutralise efficacement ce qu'on appelle le bruit du marché en vous donnant accès à des signaux d'inversion précis. L'indicateur est très facile à utiliser et n'a qu'un seul paramètre responsable de la génération du signal. Vous pouvez facilement adapter l'outil à n'importe q
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5 (1)
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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
Firstly , the script estimates how many Mx bars of the chart (on which this script is applied) the future trend will most likely continue and what is its quality. Secondly (and most importantly), the script is an auxiliary tool for the extremely mathematically advanced and extremely effective ScientificTrade indicator in trading. The script calculates the optimal averaging period, which is also equal to Mx, of the ScientificTrade indicator, which gives the maximum profit according to the strate
The indicator visualizes the result of the   CalculateScientificTradePeriod    script (which, of course, also needs to be downloaded), which, firstly , estimates how many Mx bars of the active chart the future trend will most likely continue and what is its quality, and, secondly , calculates the optimal the averaging period (which is also equal to Mx) of the ScientificTrade   indicator, which gives the maximum profit according to the extremely effective   ScientificTrade strategy. For the FindS
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Version 1.10 2019.09.04
Improved code reliability.