EMA StdDiv Oscilator Ind
- Indicatori
- Vladimir Utkin
- Versione: 1.0
- Attivazioni: 5
### EMA Oscillator Analysis
**Working Principle:**
1. **Main Line Calculation (BufferV):**
- Computes price deviation from adaptive EMA.
- Formula: `BufferV[i] = Close[i] - (alpha * Close[i] + (1-alpha) * BufferV[i-1])`
- Where `alpha = 2/(ema_period+1)`.
2. **Volatility Bands:**
- `BufferDev`/`BufferNegDev`: ±1 standard deviation.
- `BufferDevLimit`/`BufferNegDevLimit`: ±2 standard deviations (multiplied by `limit_factor`).
- Standard deviation is calculated based on `BufferV` over `ema_period`.
### Advantages
1. **Market Adaptiveness:**
- Automatically widens/narrows bands with volatility changes.
- Suitable for all markets (Forex, stocks, crypto).
2. **Multi-Timeframe Efficiency:**
- Optimal for M15-H4 (swing trading) and D1-W1 (long-term).
3. **Key Strengths:**
- Visual extremes identification via color zones.
- Filters false breakouts using volatility bands.
- Combines trend (EMA) and oscillator analysis.
---
### Trading Strategy: "Volatility Impulse"
**Entry Signals:**
1. **Buy:**
- Histogram transitions from red → blue zone.
- Price closes above EMA.
- Confirmation: Breaches +2σ (bright green).
2. **Sell:**
- Histogram transitions from blue → red zone.
- Price closes below EMA.
- Confirmation: Breaches -2σ (orange).
3. **Strong Signals (Divergence):**
- Bullish: Price makes lower low, histogram doesn’t.
- Bearish: Price makes higher high, histogram doesn’t.
**Risk Management:**
- **Stop-Loss:**
- Buys: Below recent swing low.
- Sells: Above recent swing high.
- **Take-Profit:**
- TP1: Opposite ±1σ band.
- TP2: Opposite ±2σ band.
- **Risk-Reward:** Minimum 1:2.
**Signal Filters:**
- Trade only when exiting ±2σ zones.
- Ignore signals between ±1σ.
- Volume confirmation: Spike on band breakout.
---
### Optimal Settings
| Market | EMA Period | Limit Factor | Timeframes |
|--------------|------------|--------------|------------|
| Forex | 12-14 | 1.8-2.2 | H1-H4 |
| Stocks | 9-11 | 2.0-2.5 | D1 |
| Cryptocurrency| 7-8 | 2.5-3.0 | M30-H1 |
| Commodities | 10-13 | 2.0 | D1-W1 |
---
### Strategy Enhancements
1. **Trend Filter:**
- Add SMA200 to main chart.
- Buy only above SMA200; sell only below SMA200.
2. **Momentum Confirmation:**
- Combine with RSI (period 14).
- Buy when RSI > 50; sell when RSI < 50.
3. **Volatility Control:**
- Use ATR (period 14) filter.
- Disable trades if ATR < 0.0035 (Forex).
---
### Trade Plan Example (EURUSD H1)
1. **Setup:**
- Settings: EMA Period 14, Limit Factor 2.0.
- Trading Window: London/NY sessions.
2. **Buy Entry:**
- Conditions:
- Histogram shifts red → blue.
- Price > SMA200.
- Volume > 20-period average.
- Stop-Loss: 15 pips.
- Take-Profit: 30 pips.
3. **Exit:**
- Close 50% at +1σ.
- Close remainder at +2σ or color reversal.
---
### Conclusion
**Key Benefits:**
- Clear trend strength visualization via color zones.
- Adaptive to market volatility.
- Minimizes false signals with multi-layer filters.
- Universal for all asset classes.
**Recommendations:**
- Backtest on historical data first.
- Practice on a demo account for 1-2 months.
- Use on liquid instruments with low spreads.
- Avoid high-impact news periods.
> **Note:** Most effective in trending markets. Use additional filters during sideways phases. Combine with volume analysis and Price Action for best results.
