econophysicist wrote:hi harley,
thanks for your interest. i do hope my portfolio will start breaking out of the range soon.
my entry/exit strategy is as follows:
long entry (buy):
* stoch (8,3,3): stoch line is above the signal line
* obv rising
* ema (13) of price is above PSAR
short entry (sell):
* stoch (8,3,3): stoch line is below signal line
* obv falling
* ema (13) of price is below PSAR
exit positions when signal of the opposite direction appears
of course, an important supplement to the strategy is the inclusion of stop loss and take profit levels, which are calculated from the ATR volatility.
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