Global Financial IndexIntroducing the "Global Financial Index" indicator on TradingView, a meticulously crafted tool derived from extensive research aimed at providing the most comprehensive assessment of a company's financial health, profitability, and valuation. Developed with the discerning trader and investor in mind, this indicator amalgamates a diverse array of financial metrics, meticulously weighted and balanced to yield optimal results.
Financial Strength:
Financial strength is a cornerstone of a company's stability and resilience in the face of economic challenges. It encompasses various metrics that gauge the company's ability to meet its financial obligations, manage its debt, and generate sustainable profits. In our Global Financial Index indicator, the evaluation of financial strength is meticulously crafted to provide investors with a comprehensive understanding of a company's fiscal robustness. Let's delve into the key components and the rationale behind their inclusion:
1. Current Ratio:
The Current Ratio serves as a vital indicator of a company's liquidity position by comparing its current assets to its current liabilities.
A ratio greater than 1 indicates that the company possesses more short-term assets than liabilities, suggesting a healthy liquidity position and the ability to meet short-term obligations promptly.
By including the Current Ratio in our evaluation, we emphasize the importance of liquidity management in sustaining business operations and weathering financial storms.
2. Debt to Equity Ratio:
The Debt to Equity Ratio measures the proportion of a company's debt relative to its equity, reflecting its reliance on debt financing versus equity financing.
A higher ratio signifies higher financial risk due to increased debt burden, potentially leading to liquidity constraints and solvency issues.
Incorporating the Debt to Equity Ratio underscores the significance of balancing debt levels to maintain financial stability and mitigate risk exposure.
3. Interest Coverage Ratio:
The Interest Coverage Ratio assesses a company's ability to service its interest payments with its operating income.
A higher ratio indicates a healthier financial position, as it implies that the company generates sufficient earnings to cover its interest expenses comfortably.
By evaluating the Interest Coverage Ratio, we gauge the company's capacity to manage its debt obligations without compromising its profitability or sustainability.
4. Altman Z-Score:
The Altman Z-Score, developed by Edward Altman, is a composite metric that predicts the likelihood of a company facing financial distress or bankruptcy within a specific timeframe.
It considers multiple financial ratios, including liquidity, profitability, leverage, and solvency, to provide a comprehensive assessment of a company's financial health.
The Altman Z-Score categorizes companies into distinct risk groups, allowing investors to identify potential warning signs and make informed decisions regarding investment or credit exposure.
By integrating the Altman Z-Score, we offer a nuanced perspective on a company's financial viability and resilience in turbulent market conditions.
Profitability Rank:
Profitability rank is a crucial aspect of investment analysis that evaluates a company's ability to generate profits relative to its peers and industry benchmarks. It involves assessing various profitability metrics to gauge the efficiency and effectiveness of a company's operations and management. In our Global Financial Index indicator, the profitability rank segment is meticulously designed to provide investors with a comprehensive understanding of a company's profitability dynamics. Let's delve into the key components and rationale behind their inclusion:
1. Return on Equity (ROE):
Return on Equity measures a company's net income generated relative to its shareholders' equity.
A higher ROE indicates that a company is generating more profits with its shareholders' investment, reflecting efficient capital utilization and strong profitability.
By incorporating ROE, we assess management's ability to generate returns for shareholders and evaluate the overall profitability of the company's operations.
2. Gross Profit Margin:
Gross Profit Margin represents the percentage of revenue retained by a company after accounting for the cost of goods sold (COGS).
A higher gross profit margin indicates that a company is effectively managing its production costs and pricing strategies, leading to greater profitability.
By analyzing gross profit margin, we evaluate a company's pricing power, cost efficiency, and competitive positioning within its industry.
3. Operating Profit Margin:
Operating Profit Margin measures the percentage of revenue that remains after deducting operating expenses, such as salaries, rent, and utilities.
A higher operating profit margin signifies that a company is efficiently managing its operating costs and generating more profit from its core business activities.
By considering operating profit margin, we assess the underlying profitability of a company's operations and its ability to generate sustainable earnings.
4. Net Profit Margin:
Net Profit Margin measures the percentage of revenue that remains as net income after deducting all expenses, including taxes and interest.
A higher net profit margin indicates that a company is effectively managing its expenses and generating greater bottom-line profitability.
By analyzing net profit margin, we evaluate the overall profitability and financial health of a company, taking into account all expenses and income streams.
Valuation Rank:
Valuation rank is a fundamental aspect of investment analysis that assesses the attractiveness of a company's stock price relative to its intrinsic value. It involves evaluating various valuation metrics to determine whether a stock is undervalued, overvalued, or fairly valued compared to its peers and the broader market. In our Global Financial Index indicator, the valuation rank segment is meticulously designed to provide investors with a comprehensive perspective on a company's valuation dynamics. Let's explore the key components and rationale behind their inclusion:
1. Price-to-Earnings (P/E) Ratio:
The Price-to-Earnings ratio is a widely used valuation metric that compares a company's current stock price to its earnings per share (EPS).
A lower P/E ratio may indicate that the stock is undervalued relative to its earnings potential, while a higher ratio may suggest overvaluation.
By incorporating the P/E ratio, we offer insight into market sentiment and investor expectations regarding a company's future earnings growth prospects.
2. Price-to-Book (P/B) Ratio:
The Price-to-Book ratio evaluates a company's market value relative to its book value, which represents its net asset value per share.
A P/B ratio below 1 may indicate that the stock is trading at a discount to its book value, potentially signaling an undervalued opportunity.
Conversely, a P/B ratio above 1 may suggest overvaluation, as investors are paying a premium for the company's assets.
By considering the P/B ratio, we assess the market's perception of a company's tangible asset value and its implications for investment attractiveness.
3. Dividend Yield:
Dividend Yield measures the annual dividend income received from owning a stock relative to its current market price.
A higher dividend yield may indicate that the stock is undervalued or that the company is returning a significant portion of its profits to shareholders.
Conversely, a lower dividend yield may signal overvaluation or a company's focus on reinvesting profits for growth rather than distributing them as dividends.
By analyzing dividend yield, we offer insights into a company's capital allocation strategy and its implications for shareholder returns and valuation.
4. Discounted Cash Flow (DCF) Analysis:
Discounted Cash Flow analysis estimates the present value of a company's future cash flows, taking into account the time value of money.
By discounting projected cash flows back to their present value using an appropriate discount rate, DCF analysis provides a fair value estimate for the company's stock.
Comparing the calculated fair value to the current market price allows investors to assess whether the stock is undervalued, overvalued, or fairly valued.
By integrating DCF analysis, we offer a rigorous framework for valuing stocks based on their underlying cash flow generation potential.
Earnings Transparency:
Mitigating the risk of fraudulent financial reporting is crucial for investors. The indicator incorporates the Beneish M-Score, a robust model designed to detect earnings manipulation or financial irregularities. By evaluating various financial ratios and metrics, this component provides valuable insights into the integrity and transparency of a company's financial statements, aiding investors in mitigating potential risks.
Overall Score:
The pinnacle of the "Global Financial Index" is the Overall Score, a comprehensive amalgamation of financial strength, profitability, valuation, and manipulation risk, further enhanced by the inclusion of the Piotroski F-Score. This holistic score offers investors a succinct assessment of a company's overall health and investment potential, facilitating informed decision-making.
The weighting and balancing of each metric within the indicator have been meticulously calibrated to ensure accuracy and reliability. By amalgamating these diverse metrics, the "Global Financial Index" empowers traders and investors with a powerful tool for evaluating investment opportunities with confidence and precision.
This indicator is provided for informational purposes only and does not constitute financial advice, investment advice, or any other type of advice. The information provided by this indicator should not be relied upon for making investment decisions. Trading and investing in financial markets involves risk, and you should carefully consider your financial situation and consult with a qualified financial advisor before making any investment decisions. Past performance is not necessarily indicative of future results. The creator of this indicator makes no representations or warranties of any kind, express or implied, about the completeness, accuracy, reliability, suitability, or availability with respect to the indicator or the information contained herein. Any reliance you place on such information is therefore strictly at your own risk. By using this indicator, you agree to assume full responsibility for any and all gains and losses, financial, emotional, or otherwise, experienced, suffered, or incurred by you.
Profitability
Buffett Quality Score [Industry]The Buffett Quality Score is a composite indicator developed to assess the financial health and quality of companies operating within the Industrial sector. It combines a carefully selected set of financial ratios, each weighted with specific thresholds, to provide a comprehensive evaluation of company performance.
Selected Financial Ratios and Criteria:
1. Return on Assets (ROA) > 5%
ROA measures a company's profitability by evaluating how effectively it utilizes its assets. An ROA exceeding 5% earns 1 point.
2. Debt to Equity Ratio < 1.0
The Debt to Equity Ratio reflects a company's leverage. A ratio below 1.0 earns 1 point, indicating lower reliance on debt financing.
3. Interest Coverage Ratio > 3.0
The Interest Coverage Ratio assesses a company's ability to meet interest payments. A ratio above 3.0 earns 1 point, indicating strong financial health.
4. Gross Margin % > 25%
Gross Margin represents the profitability of sales after deducting production costs. A margin exceeding 25% earns 1 point, indicating better pricing power.
5. Current Ratio > 1.5
The Current Ratio evaluates a company's liquidity by comparing current assets to current liabilities. A ratio above 1.5 earns 1 point, indicating sufficient short-term liquidity.
6. EBITDA Margin % > 15%
EBITDA Margin measures operating profitability, excluding non-operating expenses. A margin exceeding 15% earns 1 point, indicating efficient operations.
7. Altman Z-Score > 2.0
The Altman Z-Score predicts bankruptcy risk based on profitability, leverage, liquidity, solvency, and activity. A score above 2.0 earns 1 point, indicating financial stability.
8. EPS Basic One-Year Growth % > 5%
EPS One-Year Growth reflects the percentage increase in earnings per share over the past year. Growth exceeding 5% earns 1 point, indicating positive earnings momentum.
9. Revenue One-Year Growth % > 5%
Revenue One-Year Growth represents the percentage increase in revenue over the past year. Growth exceeding 5% earns 1 point, indicating healthy sales growth.
10. Piotroski F-Score > 6
The Piotroski F-Score evaluates fundamental strength based on profitability, leverage, liquidity, and operating efficiency. A score above 6 earns 1 point, indicating strong fundamental performance.
Score Calculation Process:
Each company is evaluated against these criteria.
For every criterion met or exceeded, 1 point is assigned.
The total points accumulated determine the Buffett Quality Score out of a maximum of 10.
Interpretation of Scores:
0-4 Points: Indicates potential weaknesses across multiple financial areas.
5 Points: Suggests average performance based on the selected criteria.
6-10 Points: Signifies strong overall financial health and quality, meeting or exceeding most of the performance thresholds.
Research and Development:
The selection and weighting of these specific financial ratios underwent extensive research to ensure relevance and applicability to the Industrial sector. This scoring methodology aims to provide valuable insights for investors and analysts seeking to evaluate company quality and financial robustness within the Industrial landscape.
The information provided about the Buffett Quality Score is for educational purposes only. This document serves as an illustrative example of financial evaluation methodology and should not be construed as financial advice, investment recommendation, or a guarantee of future performance. Actual results may vary based on individual circumstances and specific factors affecting each company. We recommend consulting qualified professionals for personalized financial advice tailored to your individual situation.
Profitability Power RatioProfitability Power Ratio
The Profitability Power Ratio is a financial metric designed to assess the efficiency of a company's operations by evaluating the relationship between its Enterprise Value (EV) and Return on Equity (ROE). This ratio provides insights into how effectively a company generates profits relative to its equity and overall valuation.
Qualities and Interpretations:
1. Efficiency Benchmark: The Profitability Power Ratio serves as a benchmark for evaluating how efficiently a company utilizes its equity capital to generate profits. A higher ratio indicates that the company is generating significant profits relative to its valuation, reflecting efficient use of invested capital.
2. Financial Health Indicator: This ratio can be used as an indicator of financial health. A consistently high or improving ratio over time suggests strong operational efficiency and sustainable profitability.
3. Investment Considerations: Investors can use this ratio to assess the attractiveness of an investment opportunity. A high ratio may signal potential for good returns, but it's important to consider the underlying reasons for the ratio's level to avoid misinterpretation.
4. Risk Evaluation: An excessively high Profitability Power Ratio could also signal elevated risk. It may indicate aggressive financial leveraging or unsustainable growth expectations, which could pose risks during economic downturns or market fluctuations.
Interpreting the Ratio:
1. Higher Ratio: A higher Profitability Power Ratio typically signifies efficient capital utilization and strong profitability relative to the company's valuation.
2. Lower Ratio: A lower ratio may suggest inefficiencies in capital allocation or lower profitability relative to enterprise value.
3. Benchmarking: Compare the company's ratio with industry peers and historical performance to gain deeper insights into its financial standing and operational efficiency.
Using the Indicator:
The Profitability Power Ratio is plotted on a chart to visualize trends and fluctuations over time. Users can customize the color of the plot to emphasize this metric and integrate it into their financial analysis toolkit for comprehensive decision-making.
Disclaimer: The Profitability Power Ratio is a financial metric designed for informational purposes only and should not be considered as financial or investment advice. Users should conduct thorough research and analysis before making any investment decisions based on this indicator. Past performance is not indicative of future results. All investments involve risks, and users are encouraged to consult with a qualified financial advisor or professional before making investment decisions.
Business Quality Score (BQS)Business Quality Score (BQS) is an indicator that can be used to determine how strong, safe and efficient a business is. Generally speaking, a negative reading under 0 indicates a poor quality business, a reading between 1-10 indicates an average quality business and a reading above 10 indicates a high quality business. This indicator is only applicable on stocks, not on forex, futures or crypto.
The indicator uses fundamental data to calculate the reading and hence doesn't have any changeable settings for the user. The score is based on the profitability of a business and how efficiently it uses capital to generate shareholder returns. The indicator also looks at the debt, leverage and liquidity of the business to help determine the score. Generally speaking businesses with lot's of debt, high leverage and low liquidity will lead to lower scores.
This indicator is designed more for stock investors with longer timeframes and isn't suited towards short term traders. It can be used as part of an overall investment process to help identify high quality businesses that are suitable for long term investing. It can be used to monitor current investments to see if a stock's overall business quality is improving or deteriorating.
To get access to this indicator PM or email me to my address shown below.
Enjoy :)
Disclaimer: All my scripts and content are for educational purposes only. I'm not a financial advisor and do not give personal finance advice. Past performance is no guarantee of future performance. Please trade at your own risk.
Moving Averages (Self-Adjusting Param for Highest Profitability)Moving Averages (Self-Adjusting Parameters for Highest Profitability)
It is a dual moving average crossover system - Smart Moving Averages .
Moving averages are used to identify current price developments and the potential for a change in an established trend.
The crossover in a dual moving average system can be used as a trigger to buy or to sell an asset, or as a trend reversal indication.
The crossover occurrence depends on the periods for which the moving averages are calculated. Using constant period values may not bring the best results.
The Smart Moving Averages change their periods automatically to get the highest profitability .
The concept is similar to the Smart SuperTrend .
Features:
• Self-Adjusting Period parameters
• The graphs for Profitability, Moving Average 1 Period, Moving Average 2 Period and the Moving Averages themselves are available to choose for display from the indicator settings
• A chart layout can be made just for the Smart Moving Averages, having all the graphs nicely displayed
• Alerts for changes in Trend, Moving Average 1 Period, Moving Average 2 Period, Profitability
• Different types of Moving Averages are available to choose from in the indicator settings (SMA, EMA, RMA, WMA, VWMA, DEMA, TEMA, HullMA, TMA).
The range for Moving Average 1 Period, Moving Average 2 Period and Time can be changed in the indicator settings (suggested optimal values are displayed on the chart).
This affects the loading speed (smaller range, faster to load), as well as the accuracy of the signals.
The indicator switches to the most profitable Moving Average 1 Period and Moving Average 2 Period parameters automatically, in real-time.
It scans across the entire historical data made available by TradingView.
The Smart Moving Average system works on all timeframes and symbols available on TradingView.
Exception for when the Volume Weighted Moving Average is used - it doesn't work for symbols without volume data.
It does not repaint!
But several aspects must be considered:
- 1. TradingView periodically removes access to old data while giving access to new data in real-time.
____ The frequency depends on the timeframe, amount of data. It can happen daily for second charts, weekly for minute charts.
____ Since the Indicator wouldn't have access to that old data anymore, the Profitability may change its value, causing a certain degree of repainting.
- 2. The starting time for Backtest must be inserted in the settings panel.
____ As long as the starting time has available price data, the Smart Moving Averages will NOT get repainted.
____ A suggested starting date for the analysis is shown on the chart. Insert the date in the indicator settings.
This indicator is compatible with the Wrapper Module of the Risk Management System indicator, which means they can work together as a trading bot.
SuperTrend (Self-Adjusting Parameters for Highest Profitability)SuperTrend (Self-Adjusting Parameters for Highest Profitability)
The SuperTrend is a trend-following indicator.
It works best when it is used along with other indicators.
It performs well in trending markets and can give false signals in volatile markets.
It becomes Smart when its Multiplier and Period parameters are automatically detected .
• Self-Adjusting Multiplier and Period parameters
• The graphs for Profitability, SuperTrend Multiplier, SuperTrend Period and the SuperTrend itself are available to choose for display from the indicator settings
• A chart layout can be made just for the Smart SuperTrend, having all the graphs nicely displayed
• Alerts for changes in Trend, Multiplier, Period, Profitability
The range for Multiplier, Period and Time can be changed in the indicator settings.
This affects the loading speed (smaller range, faster to load), as well as the accuracy of the signals.
The indicator switches to the most profitable Multiplier and Period parameters automatically, in real-time .
It scans across the entire historical data made available by TradingView.
The Smart SuperTrend works on all timeframes and symbols available on TradingView.
It does not repaint!
But several aspects must be considered:
- 1. TradingView periodically removes access to old data while giving access to new data in real-time.
____ The frequency depends on the timeframe, amount of data. It can happen daily for second charts, weekly for minute charts.
____ Since the Indicator wouldn't have access to that old data anymore, the Profitability may change its value, causing a certain degree of repainting.
- 2. The starting time for Backtest must be inserted in the settings panel.
____ As long as that starting time has available price data, the SuperTrend will NOT get repainted.
____ A suggested starting date for the analysis is shown on the chart. Insert the date in the indicator settings.
This indicator is compatible with the Wrapper Module of the Risk Management System indicator, which means they can work together as a trading bot .
Altcoin Profitability Tracker 2Ever wonder which altcoins are performing better than Bitcoin? This script plots the profitability of 15 altcoins and BTCUSD so you can quickly determine where to invest your money.
Cryptocurrency Profitability Rankings PRO Customisable ListA good cryptocurrency may multiply your earnings - with the same effort.
This indicator helps crypto traders to find the trading securities that suit their profitability and volatility preference.
This indicator calculates and generate a ranking of profitability from a user-defined list of cryptocurrencies, based on MACD cycles within user-defined time span.
Multiple time frames: This indicator is designed for day trading, so suggested time frames are: 3m, 5m, 15m, 30m, 1H. Users can try other time frames (< 1D) if they find it useful.
This is PRO version of Cryptocurrency Profitability Rankings with Popular List, developed based on Profitability Meter for Day Trading PRO
PRO Version advanced functions:
Customisable(User-Defined) Cryptocurrency List
Option to select Open or Close price as start point for calculation.
Flexible Time Span Type: Hours and Bars, besides Days
More statistics options: Display price change(%) of latest rising/falling MACD cycle
Free trial for two weeks: Please leave a comment asking for a trial, you should get access within 48 hours. In case it doesn't work, please message the author.
Format Configuration:
Profitability Threshold: a percentage of price movement within a MACD cycle that a user thinks can be used to define profitability, defval: 0.8%.
Select open or close as start point: which can affect the results greatly, as difference between open and close can be significant, especially for big time interval.
Statistics Options
timeSpan: time span for statistics
timeSpanType: time span type for statistics
User-defined cryptocurrencies list: up to 10 items
About Customisable List of Cryptocurrency:
At present, in Pine Language, there is no method to plot a string input variable. Therefore, fixed handles are used to represent each symbol name, eg. "Sym_10". User need to remember the order of the list or refer to "Format".
Make sure to input correct tiers, eg. "BITFINEX:ETHUSD"
Related Indicators:
Profitability Meter for Day Trading PRO - Calculating and evaluating individual trading security's profitability.
About Loading Time: It may take up to 2 minutes for your browser to load a new format setting, depending on the your computer and network speed.
List of the author's Indicators
www.tradingview.com
Disclaim: By using or requesting access to this indicator, you acknowledge that you have read and accepted that this indicator is for study purposes only and it does NOT guarantee you will make money.
I am not financial adviser and I am NOT responsible for any profits or losses you may incur by using this indicator!
Users should make their own decisions, carefully assess risks and be responsible for investment and trading activities.
The latest updates override the previous description. Please check the updates.
加密货币赢利潜力排行指标 PRO 自定义列表
优质的交易币种可能倍增你的收益-在付出同样的努力的情况下。
该指标基于Profitability Meter for Day Trading PRO开发,帮助加密货币交易员找到适合其赢利性和波动率偏好的币种。
该指标根据用户定义的时间跨度内的MACD周期,计算和比对用户自定义的一组虚拟货币,生成一个赢利潜力排名。
多时间维度:本指标为日内交易设计,因此建议使用时间维度:3m,5m,15m,30m,1H; 如果用户需要,也可以用于其他小于1D的维度。
免费试用两周:跟帖评论要求试用,您应该在48小时内获得访问权限。 如果没有获得,请私信开发者。
这是Cryptocurrency Profitability Rankings with Popular List的PRO版本
可自定义加密货币列表,上至10个
可选择开盘价或收盘价作为计算起点。
灵活的时间跨度类型:小时,蜡烛数,天数
更多统计选项:显示最近上涨/下跌的MACD周期的价格变动(%)
格式配置:
盈利能力阈值:用户自定义的MACD单次波动的可赢利的百分比,默认为0.8%
选择开盘或者收盘作为起点:这会对结果产生很大影响,因为开盘价和收盘价之间的差异可能很大,特别是在较大的时间维度。
统计选项
timeSpan:统计功能的时间跨度
timeSpanType:统计功能的时间跨度单位
用户自定义的加密货币列表输入栏
关于自定义的加密货币列表:
目前,在Pine Language中,不能打印字符串输入变量。 因此,使用顺序数字字符代表币种名称,例如。“Sym_10”。 用户需要记住其输入币种的顺序或随时参考“格式设置”中的顺序。
确保输入正确的交易所和币种名称,例如。 “BITFINEX:ETHUSD”。
相关指标:
日内交易盈利潜力指示仪PRO (Profitability Meter for Day Trading PRO):用于计算和评估单个交易品种的盈利能力
关于载入新设置:每次载入新的设置可能需要0-2分钟,取决于用户的电脑配置和网络速度。
试用开发者的其他指标
www.tradingview.com
免责声明:在要求获得本指标使用权之前以及在使用本指标之前,用户认可已经完全了解和接受:本指标仅供教育和研究目的, 它不提供任何赢利的可能性。
本指标的开发者并非专业投资顾问,因此不对用户的任何赢亏负责。
用户应独立判断,审慎评估并自负投资和交易风险!
最新更新会覆盖之前的说明。 请检查更新。
Cryptocurrency Profitability Rankings with Popular ListA good cryptocurrency may multiply your earnings - with the same effort.
This indicator helps crypto traders to find the trading securities that suit their profitability and volatility preference.
This indicator calculates and generate a ranking of profitability from a popular list of crypto currencies, based on MACD cycles within user-defined time span.
Multiple time frames: This indicator is designed for day trading, so suggested time frames are: 3m, 5m, 15m, 30m, 1H. Users can try other time frames (< 1D) if they find it useful.
Developed based on Profitability Meter for Day Trading PRO
About popular list of Cryptocurrency:
The author has the right to change the list from time to time without notice.
PRO Version of this Indicator: (invite-only)
Advanced functions:
Customisable(User-Defined) Cryptocurrency List
Option to select Open or Close price as start point for calculation.
Flexible Time Span Type: Hours and Bars, besides Days
More statistics options: Display price change(%) of latest rising/falling MACD cycle
Format Configuration:
Profitability Threshold: a percentage of price movement within a MACD cycle that a user thinks can be used to define profitability, defval: 0.8%.
Statistics Options
timeSpan: time span for statistics
timeSpanType: time span type for statistics
Related Indicators:
Profitability Meter for Day Trading PRO - Calculating and evaluating individual trading securitie's profitability.
About Loading Time: It may take up to 2 minutes for your browser to load a new format setting, depending on the your computer and network speed.
List of the author's Indicators
www.tradingview.com
Disclaim: By using or requesting access to this indicator, you acknowledge that you have read and accepted that this indicator is for study purposes only and it does NOT guarantee you will make money.
I am not financial adviser and I am NOT responsible for any profits or losses you may incur by using this indicator!
Users should make their own decisions, carefully assess risks and be responsible for investment and trading activities.
The latest updates override the previous description. Please check the updates.
加密货币赢利潜力排行指标 热门列表
优质的交易币种可能倍增你的收益-在付出同样的努力的情况下。
该指标基于Profitability Meter for Day Trading PRO开发,帮助加密货币玩家找到适合其赢利性和波动率偏好的币种。
该指标根据用户定义的时间跨度内的MACD周期,计算和比对一组虚拟货币,生成一个赢利潜力排名。
多时间维度:本指标为日内交易设计,因此建议使用时间维度:3m,5m,15m,30m,1H; 如果用户需要,也可以用于其他小于1D的维度。
关于加密货币的热门列表:
作者有权随时更改列表,恕不另行通知。
该指标的PRO版本:Cryptocurrency Profitability Rankings PRO with Customisable List (Invite-Only)
可自定义加密货币列表,上至10个
可选择开盘价或收盘价作为计算起点。
灵活的时间跨度类型:小时,蜡烛数,天数
更多统计选项:显示最近上涨/下跌的MACD周期的价格变动(%)
格式配置:
盈利能力阈值:用户自定义的MACD单次波动的可赢利的百分比,默认为0.8%
统计选项
timeSpan:统计功能的时间跨度
timeSpanType:统计功能的时间跨度单位
相关指标:
日内交易盈利潜力指示仪PRO (Profitability Meter for Day Trading PRO):用于计算和评估单个交易品种的盈利能力
关于载入新设置:每次载入新的设置可能需要0-2分钟,取决于用户的电脑配置和网络速度。
试用开发者的其他指标
www.tradingview.com
免责声明:在要求获得本指标使用权之前以及在使用本指标之前,用户认可已经完全了解和接受:本指标仅供教育和研究目的, 它不提供任何赢利的可能性。
本指标的开发者并非专业投资顾问,因此不对用户的任何赢亏负责。
用户应独立判断,审慎评估并自负投资和交易风险!
最新更新会覆盖之前的说明。 请检查更新。
Profitability Meter for Day Trading PRO [GO8686]For day traders, keeping a position is risky and costly, a popular strategy is to open a position ONLY when volatility is active, in other words, only when profitability is back.
This indicator reveals the movements of the underlying profitability of a trading security in different time dimensions.
This indicator calculates and displays price change percentage of MACD cycles, highlights those MACD cycles that are over the profitability threshold, helping traders identify range area, the start of a new trend and the fading of a trend.
Multiple time frames: This indicator is designed for day trading, so suggested time frames are: 3m, 5m, 15m, 30m, 1H. Users can try other time frames (< 1D) if it fits their trading practice.
Range area in general: a small green column and a small red column appear alternately, or most columns are gray within the period.
The start of a new trend: an outstanding green or red column means the macd cross brought a price change that was higher than the profitability threshold, which could mean a new trend, especially when it was from a range area.
The fading of a trend: for instance, when green columns are getting smaller and red columns appear, a fading of bull trend could be on the way.
This is PRO version of Profitability Meter for Day Trading
PRO excluded functions:
Alert Function: allowing user to set alert for price change with Profitability, or set alert for statistics results.
Statistics within Customisable Time Span: Percentage of MACD cycles with profitability, the average of price change(%) and MACD cycles count. Users can customize the time range by days,hours or bars (up to the maximum backtracking value that Tradingview allows).
Subscribers of this indicator may apply for two-month free-trial of "Crypto Currency Profitability Rankings PRO with Customisable List"
Free trial of two-week: Please leave a comment asking for a trial, you should get access in 48 hours. In case it doesn't happen, please message the author.
Visibility:Invite-Only
Format Configuration:
Profitability Threshold: a percentage of price movement within a MACD cycle that a user thinks is good to define profitability, defval: 0.8%.
Alertthreshold: Threshold percentage for alert.
timeSpan: Time span for statistics
timeSpanType: Time span type for statistics
Related Indicators:
Crypto Currency Profitability Rankings Standard with Popular List (Protected): The Indicator calculates and compares the profitability of a group of popular crypto currencies - based on MACD cycles and user-defined time span, helping traders to find the most suitable trading security.
Crypto Currency Profitability Rankings PRO with Customisable List (Invite-Only): Contact the author for a free trial.
List of the author's Indicators
www.tradingview.com
Disclaim: By using or requesting access to this indicator, you acknowledge that you have read and accepted that this indicator is for study purposes only and it does NOT guarantee you will make money.
I am not financial advisor and I am NOT responsible for any profits or losses you may incur by using this indicator!
Users should make their own decisions, carefully assess risks and be responsible for investment and trading activities.
The latest updates override the previous description. Please check the updates.
日内交易盈利潜力指示仪PRO
这是日内交易盈利潜力指示仪的PRO版本
PRO专属功能:
预设警报:方便用户为赢利性变动和统计学结果设置警报。
统计功能:过去特定时间段的可赢利波动的百分比,波动百分比平均值和MACD周期计数。用户可以自定义时间幅度:可以用天数,小时数,蜡烛数(上至Tradingview最大回溯值)
本指标用户可以申请免费试用两个月“Crypto Currency Profitability Rankings PRO with Customisable List (Invite Only)”
指标特征描述
本指标帮助交易员认知交易标的在不同时间维度的赢利潜力的变化。
对于日内交易,保持仓位是要承担风险和成本的,一种交易策略是只在波动率被激活至可赢利水平后才开仓位。
本指标计算和展示赢利潜力-基于MACD周期的波动百分比,用颜色来突出高赢利性的波动周期。方便交易员辨识非交易区间,新趋势的开始和旧趋势的衰减。
多时间维度:本指标为日内交易设计,因此建议使用时间维度:3m,5m,15m,30m,1H; 如果用户需要,也可以用于其他不大于1D的维度。
盘整区的一般特征:当波动率消减时,波动率低于可赢利门槛,呈现灰色; 或者小的绿色和红色波动率间隔出现。
新趋势的开始:在盘整后期,新出现的绿色或者红色波动率可能标识着新趋势的开始。
旧趋势的衰减:以上升趋势为例,当绿色波动率逐渐缩小,而红色波动率开始出现时,可能标识着上升趋势衰减。
设置:盈利能力阈值:用户自定义的MACD单次波动的可赢利的百分比,默认为0.8%
免费试用两周:跟帖评论, 要求试用,您应该会在48小时内获得访问权限。 如果没有获得,请私信作者。
相关指标:
Crypto Currency Profitability Rankings Standard with popular list (Protected) 加密货币赢利潜力排行指标 标准版 热门列表: 指标计算和比对一组热门虚拟货币的可赢利属性 - 基于MACD波动周期和用户自定义的时间周期,帮助交易员发掘最适合自己赢利和风险偏好的交易品种。
Crypto Currency Profitability Rankings PRO with Customisable List (Invite-Only): 加密货币赢利潜力排行指标 PRO 自定义列表
试用开发者的其他指标
www.tradingview.com
免责声明:在要求获得本指标使用权之前以及在使用本指标之前,用户认可已经完全了解和接受:本指标仅供教育和研究目的, 它不提供任何赢利的可能性。
本指标的开发者并非专业投资顾问,因此不对用户的任何赢亏负责。
用户应独立判断,审慎评估并自负投资和交易风险!
最新更新会覆盖之前的说明。 请检查更新。
Profitability Meter for Day Trading [GO8686]Disclaim:
By using or requesting access to this indicator, you acknowledge that you have read and accepted that this indicator is for study purposes only and it does NOT guarantee you will make money.
I am not financial adviser and I am NOT responsible for any profits or losses you may incur by using this indicator.
Users should make their own decisions, carefully assess risks and be responsible for investment and trading activities.
Indicator Description
Visibility:Protected
This indicator helps traders understand the movements of the underlying profitability of a trading security in different time dimensions.
For day trading, keeping a position is risky and costly, a popular strategy is to open a position ONLY when volatility is active, in other words, only when profitability is back.
This indicator calculates and displays price movement percentage of MACD cycles, highlights those MACD cycles that are over the profitability threshold, helping traders identify range area, the start of a new trend and the fading of a trend.
Multiple time frames: This indicator is designed for day trading, so suggested time frames are: 3m, 5m, 15m, 30m, 1H. Users can try other time frames (< 1D) if they find it useful.
Range area in general: a small green column and a small red column appear alternately, or most columns are gray within the period.
The start of a new trend: an outstanding green or red column means the MACD cross brought a price change that was higher than the profitability threshold, which could mean a new trend, especially when it was from a range area.
The fading of a trend: for instance, when green columns are getting smaller and red columns appear, a fading of bull trend could be on the way.
Format Configuration:
Profitability Threshold: a percentage of price movement within a MACD cycle that a user thinks is good to define profitability, defval: 0.8%.
PRO Version of this Indicator: Profitability Meter for Day Trading - PRO (Invite-Only)
Alert Function: allowing user to set alert for price change with profitability, or set alert for statistics results.
Statistics with Customisable Time Span: Percentage of MACD cycles with profitability, the average of price change(%) and MACD cycles count. Users can customize the time range by days,hours or bars (up to the maximum backtracking value that Tradingview allows).
Related Indicators:
Crypto Currency Profitability Rankings Standard with Popular List (Protected):
This indicator calculates and generate a ranking of profitability from a popular list of crypto currencies, based on MACD cycles within user-defined time span, helping crypto traders to find the trading securities that suit their risk and volatility preference.
Crypto Currency Profitability Rankings PRO with Customisable List (Invite-Only): Contact the author for a free trial.
List of the author's Indicators
www.tradingview.com
The latest updates override the previous description. Please check the updates.
日内交易盈利潜力指示仪
免责声明:在要求获得本指标使用权之前以及在使用本指标之前,用户认可已经完全了解和接受:本指标仅供教育和研究目的, 它不提供任何赢利的可能性。
本指标的开发者并非专业投资顾问,因此不对用户的任何赢亏负责。
用户应独立判断,审慎评估并自负投资和交易风险!
指标特征描述
本指标帮助交易员认知交易标的在不同时间维度的赢利潜力的变化。
对于日内交易,保持仓位是要承担风险和成本的,一种交易策略是只在波动率被激活至可赢利水平后才开仓位。
本指标计算和展示赢利潜力-基于MACD周期的波动百分比,用颜色来突出高赢利性的波动周期。方便交易员辨识非交易区间,新趋势的开始和旧趋势的衰减。
多时间维度:本指标为日内交易设计,因此建议使用时间维度:3m,5m,15m,30m,1H; 如果用户需要,也可以用于其他不大于1D的维度。
盘整区的一般特征:当波动率消减时,波动率低于可赢利门槛,呈现灰色; 或者小的绿色和红色波动率间隔出现。
新趋势的开始:在盘整后期,新出现的绿色或者红色波动率可能标识着新趋势的开始。
旧趋势的衰减:以上升趋势为例,当绿色波动率逐渐缩小,而红色波动率开始出现时,可能标识着上升趋势衰减。
设置:盈利能力阈值:用户自定义的MACD单次波动的可赢利的百分比,默认为0.8%
高级版本功能: Profitability Meter for Day Trading - PRO (Invite Only)
预设警报:方便用户为赢利性变动和统计学结果设置警报。
统计功能:过去特定时间段的可赢利波动的百分比,波动百分比平均值和MACD周期计数。用户可以自定义时间幅度:可以用天数,小时数,蜡烛数(上至Tradingview最大回溯值)
相关指标:
Crypto Currency Profitability Rankings Standard with popular list (Protected) 加密货币获利机会排行指标 标准版 热门列表(保护,开放使用权): 指标计算和比对一组热门虚拟货币的可赢利属性 - 基于MACD波动周期和用户自定义的时间周期,帮助交易员发掘最适合自己赢利和风险偏好的交易品种。
Crypto Currency Profitability Rankings PRO with Customisable List (Invite-Only): 加密货币获利机会排行指标 PRO - 自定义列表
试用开发者的其他指标
www.tradingview.com
最新更新会覆盖之前的说明。 请检查更新。