INVITE-ONLY SCRIPT
업데이트됨 Recovery Adaptive Strategy [Starbots]

🔁 Recovery Adaptive Strategy [Starbots]
Recovery Adaptive Strategy [Starbots] is an advanced, single-position trading strategy designed for professional traders who require adaptive exposure control, dynamic profit targeting, and rule-based recovery mechanics in high-volatility market environments.
The strategy applies a structured loss-streak framework where position sizing and take-profit objectives evolve systematically based on prior trade outcomes, while maintaining strict one-position execution at all times.
🧠 Strategic Framework
This strategy is built around a controlled adaptive execution model:
Only one position is active at any time
Each closed trade directly influences the parameters of the next entry
After a losing trade:
Position size scales according to a defined factor
Take-profit expands proportionally using a configurable multiplier
After a winning trade:
All parameters reset to their base configuration
Scaling progression is capped via a configurable maximum step limit
The methodology is designed to efficiently capitalize on expansion phases, volatility impulses, and directional inefficiencies, making it particularly suitable for high-volatility instruments and regimes.
⚙️ Adaptive Position Management
Position Sizing Modes
Percentage of Equity
Fixed Base Currency Amount (USDT / USD / EUR, etc.)
Each subsequent step applies a configurable size multiplier, enabling precise control over exposure progression across loss streaks.
🎯Dynamic Take-Profit Scaling
Take-profit levels increase automatically with each scaling step
A dedicated TP multiplier allows fine-tuning of profit expansion behavior
All targets are recalculated and updated dynamically while positions are open
Execution Control
Single-position logic (no grid, no concurrent hedging)
Optional forced exit and full reset upon reaching the maximum scaling step
Bar-confirmed execution to avoid signal repainting
📈 Signal Generation & Market Filters
The strategy supports multiple professional-grade entry models, selectable via settings:
MACD (12,26,9)
DMI (14)
RSI (70 / 30)
Stochastic (14,3,3)
Bollinger Bands + RSI
Market Structure (BOS / CHoCH)
Additional execution layers include:
Higher-timeframe signal evaluation
Volatility-based trade filtering
EMA trend alignment
Flat-market detection (optional)
The strategy is optimized for active, volatile markets, where price expansion and follow-through are frequent.
📊 Institutional-Style Analytics & Visualization
Integrated analytics provide full transparency into strategy behavior:
Adaptive Scaling Table
Position size per step
Take-profit expansion per step
Loss-streak hit distribution
On-Chart Execution Labels
Equity Usage Overview
Monthly & Yearly Performance Calendar
Backtest vs. Leverage Projection Dashboard
All dashboards and visual components are optional and configurable.
🧩 Intended Use
This strategy is designed for:
Advanced discretionary traders
Systematic traders
Quantitative research and optimization
High-volatility instruments and environments
It emphasizes structure, adaptability, and execution discipline, rather than static position sizing or fixed targets.
Recovery Adaptive Strategy [Starbots] is an advanced, single-position trading strategy designed for professional traders who require adaptive exposure control, dynamic profit targeting, and rule-based recovery mechanics in high-volatility market environments.
The strategy applies a structured loss-streak framework where position sizing and take-profit objectives evolve systematically based on prior trade outcomes, while maintaining strict one-position execution at all times.
🧠 Strategic Framework
This strategy is built around a controlled adaptive execution model:
Only one position is active at any time
Each closed trade directly influences the parameters of the next entry
After a losing trade:
Position size scales according to a defined factor
Take-profit expands proportionally using a configurable multiplier
After a winning trade:
All parameters reset to their base configuration
Scaling progression is capped via a configurable maximum step limit
The methodology is designed to efficiently capitalize on expansion phases, volatility impulses, and directional inefficiencies, making it particularly suitable for high-volatility instruments and regimes.
⚙️ Adaptive Position Management
Position Sizing Modes
Percentage of Equity
Fixed Base Currency Amount (USDT / USD / EUR, etc.)
Each subsequent step applies a configurable size multiplier, enabling precise control over exposure progression across loss streaks.
🎯Dynamic Take-Profit Scaling
Take-profit levels increase automatically with each scaling step
A dedicated TP multiplier allows fine-tuning of profit expansion behavior
All targets are recalculated and updated dynamically while positions are open
Execution Control
Single-position logic (no grid, no concurrent hedging)
Optional forced exit and full reset upon reaching the maximum scaling step
Bar-confirmed execution to avoid signal repainting
📈 Signal Generation & Market Filters
The strategy supports multiple professional-grade entry models, selectable via settings:
MACD (12,26,9)
DMI (14)
RSI (70 / 30)
Stochastic (14,3,3)
Bollinger Bands + RSI
Market Structure (BOS / CHoCH)
Additional execution layers include:
Higher-timeframe signal evaluation
Volatility-based trade filtering
EMA trend alignment
Flat-market detection (optional)
The strategy is optimized for active, volatile markets, where price expansion and follow-through are frequent.
📊 Institutional-Style Analytics & Visualization
Integrated analytics provide full transparency into strategy behavior:
Adaptive Scaling Table
Position size per step
Take-profit expansion per step
Loss-streak hit distribution
On-Chart Execution Labels
Equity Usage Overview
Monthly & Yearly Performance Calendar
Backtest vs. Leverage Projection Dashboard
All dashboards and visual components are optional and configurable.
🧩 Intended Use
This strategy is designed for:
Advanced discretionary traders
Systematic traders
Quantitative research and optimization
High-volatility instruments and environments
It emphasizes structure, adaptability, and execution discipline, rather than static position sizing or fixed targets.
릴리즈 노트
An optimizer companion script is now available for this strategy.https://www.tradingview.com/script/xcSlkdjO-Recovery-Adaptive-Optimizer-Starbots/
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 Starbots에게 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
For access send me a direct message on TradingView or visit website. http://www.star-bots.com Feel free to reach out with any questions about the script or how it works!
Private strategies and Signaler. star-bots.com
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 Starbots에게 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
For access send me a direct message on TradingView or visit website. http://www.star-bots.com Feel free to reach out with any questions about the script or how it works!
Private strategies and Signaler. star-bots.com
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.