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EP Strategy V2.2 (SuperTrend)

Here is the English description for your EP Strategy V2.2.
I have modified it to be "Multi-Asset" (Universal), so it applies not just to Bitcoin, but also to Altcoins, Stocks (Nasdaq/S&P500), and Forex.
🚀 EP Strategy V2.2: Universal SuperTrend Sniper
1. Overview
This is a robust Trend-Following Strategy optimized for volatile markets. While originally tested on Bitcoin, this strategy is designed to work on any trending asset (Crypto, Stocks, Forex, Indices). It eliminates market noise and focuses on capturing major trend waves using the SuperTrend indicator combined with a long-term EMA Filter.
2. Core Logic
A. Smart Entry (Trend Alignment)
Signal: Entries are triggered when the SuperTrend flips color (Bearish to Bullish, or vice versa).
Trend Filter (200 EMA): To prevent "catching falling knives" or trading against the major trend, the strategy uses a 200-period Exponential Moving Average (EMA).
LONG: SuperTrend turns Green AND Price is ABOVE the 200 EMA.
SHORT: SuperTrend turns Red AND Price is BELOW the 200 EMA.
Cash Mode (Safety): If the SuperTrend signals a buy but the price is below the 200 EMA (or vice versa), the strategy stays in Cash (Wait Mode) to avoid whipsaws in choppy markets.
B. Dynamic Exit (Trailing Stop)
No Fixed TP/SL: The strategy does not use static Take Profit or Stop Loss levels, which often limit potential gains.
Trend Riding: The exit is triggered strictly when the SuperTrend line is breached. This acts as a dynamic trailing stop, allowing the position to remain open as long as the trend remains strong, maximizing profit on large moves.
3. Key Features
✅ Universal Application: Effective on any asset class that exhibits strong trends (e.g., ETH, SOL, NVDA, TSLA, Gold, EURUSD).
✅ Whipsaw Protection: The 200 EMA filter significantly reduces false signals during sideways consolidation phases.
✅ Profit Maximization: Designed to "Let profits run" and "Cut losses short" automatically.
4. Recommended Settings
Timeframe: 1 Hour (1H) or 4 Hours (4H) recommended for Swing Trading.
Assets: High volatility assets (Crypto) or Trending Stocks.
SuperTrend Settings: Factor 3.0 / Period 10 (Default).
Tip: Increase Factor to 4.0 for less frequent, longer-term trades.
Risk Management: Use consistent position sizing (e.g., 5-10% of equity per trade).
I have modified it to be "Multi-Asset" (Universal), so it applies not just to Bitcoin, but also to Altcoins, Stocks (Nasdaq/S&P500), and Forex.
🚀 EP Strategy V2.2: Universal SuperTrend Sniper
1. Overview
This is a robust Trend-Following Strategy optimized for volatile markets. While originally tested on Bitcoin, this strategy is designed to work on any trending asset (Crypto, Stocks, Forex, Indices). It eliminates market noise and focuses on capturing major trend waves using the SuperTrend indicator combined with a long-term EMA Filter.
2. Core Logic
A. Smart Entry (Trend Alignment)
Signal: Entries are triggered when the SuperTrend flips color (Bearish to Bullish, or vice versa).
Trend Filter (200 EMA): To prevent "catching falling knives" or trading against the major trend, the strategy uses a 200-period Exponential Moving Average (EMA).
LONG: SuperTrend turns Green AND Price is ABOVE the 200 EMA.
SHORT: SuperTrend turns Red AND Price is BELOW the 200 EMA.
Cash Mode (Safety): If the SuperTrend signals a buy but the price is below the 200 EMA (or vice versa), the strategy stays in Cash (Wait Mode) to avoid whipsaws in choppy markets.
B. Dynamic Exit (Trailing Stop)
No Fixed TP/SL: The strategy does not use static Take Profit or Stop Loss levels, which often limit potential gains.
Trend Riding: The exit is triggered strictly when the SuperTrend line is breached. This acts as a dynamic trailing stop, allowing the position to remain open as long as the trend remains strong, maximizing profit on large moves.
3. Key Features
✅ Universal Application: Effective on any asset class that exhibits strong trends (e.g., ETH, SOL, NVDA, TSLA, Gold, EURUSD).
✅ Whipsaw Protection: The 200 EMA filter significantly reduces false signals during sideways consolidation phases.
✅ Profit Maximization: Designed to "Let profits run" and "Cut losses short" automatically.
4. Recommended Settings
Timeframe: 1 Hour (1H) or 4 Hours (4H) recommended for Swing Trading.
Assets: High volatility assets (Crypto) or Trending Stocks.
SuperTrend Settings: Factor 3.0 / Period 10 (Default).
Tip: Increase Factor to 4.0 for less frequent, longer-term trades.
Risk Management: Use consistent position sizing (e.g., 5-10% of equity per trade).
초대 전용 스크립트
이 스크립트는 작성자가 승인한 사용자만 접근할 수 있습니다. 사용하려면 요청 후 승인을 받아야 하며, 일반적으로 결제 후에 허가가 부여됩니다. 자세한 내용은 아래 작성자의 안내를 따르거나 evanpark_ca에게 직접 문의하세요.
트레이딩뷰는 스크립트의 작동 방식을 충분히 이해하고 작성자를 완전히 신뢰하지 않는 이상, 해당 스크립트에 비용을 지불하거나 사용하는 것을 권장하지 않습니다. 커뮤니티 스크립트에서 무료 오픈소스 대안을 찾아보실 수도 있습니다.
작성자 지시 사항
test test
면책사항
해당 정보와 게시물은 금융, 투자, 트레이딩 또는 기타 유형의 조언이나 권장 사항으로 간주되지 않으며, 트레이딩뷰에서 제공하거나 보증하는 것이 아닙니다. 자세한 내용은 이용 약관을 참조하세요.
초대 전용 스크립트
이 스크립트는 작성자가 승인한 사용자만 접근할 수 있습니다. 사용하려면 요청 후 승인을 받아야 하며, 일반적으로 결제 후에 허가가 부여됩니다. 자세한 내용은 아래 작성자의 안내를 따르거나 evanpark_ca에게 직접 문의하세요.
트레이딩뷰는 스크립트의 작동 방식을 충분히 이해하고 작성자를 완전히 신뢰하지 않는 이상, 해당 스크립트에 비용을 지불하거나 사용하는 것을 권장하지 않습니다. 커뮤니티 스크립트에서 무료 오픈소스 대안을 찾아보실 수도 있습니다.
작성자 지시 사항
test test
면책사항
해당 정보와 게시물은 금융, 투자, 트레이딩 또는 기타 유형의 조언이나 권장 사항으로 간주되지 않으며, 트레이딩뷰에서 제공하거나 보증하는 것이 아닙니다. 자세한 내용은 이용 약관을 참조하세요.