Hash Supertrend [Hash Capital Research] — Strategy by Hash_Capital

By Hash_Capital

Performance Metrics

Description

Nov 23Hash Supertrend Strategy by Hash Capital ResearchOverviewHash Supertrend is a professional-grade trend-following strategy that combines the proven Supertrend indicator with institutional visual design and flexible time filtering. The strategy uses ATR-based volatility bands to identify trend direction and executes position reversals when the trend flips.This implementation features a distinctive fluorescent color system with customizable glow effects, making trend changes immediately visible while maintaining the clean, professional aesthetic expected in quantitative trading environments.Entry Signals:Long Entry: Price crosses above the Supertrend line (trend flips bullish)Short Entry: Price crosses below the Supertrend line (trend flips bearish)Controls the lookback period for volatility calculationLower values (7-10): More sensitive to price changes, generates more signalsHigher values (12-14): Smoother response, fewer signals but potentially delayed entriesRecommended range: 7-14 depending on market volatilityFactor (Default: 3.0)Restricts trading to specific hoursUseful for avoiding low-liquidity sessions, overnight gaps, or known choppy periodsWhen disabled, strategy trades 24/7Start Hour (Default: 9) & Start Minute (Default: 30)Define when the trading session beginsUses exchange timezone in 24-hour formatExample: 9:30 = 9:30 AMEnd Hour (Default: 16) & End Minute (Default: 0)Controls the vibrancy of the fluorescent color system1-3: Subtle, muted colors4-6: Balanced, moderate saturation7-10: Bright, highly saturated fluorescent appearanceAffects both the Supertrend line and trend zonesGlow Effect (Default: On)Adds luminous halo around the Supertrend lineCreates a multi-layered visual with depthParticularly effective during strong trendsGlow Intensity (Default: 5.0)Displays tiny fluorescent dots at entry pointsGreen dot below bar: Long entryRed dot above bar: Short entryProvides clear visual confirmation of executed tradesShow Trend Zone (Default: On)Strong trending markets (2020-style bull runs, sustained bear markets)Markets with clear directional biasInstruments with consistent volatility patternsTimeframes: 15m to Daily (optimal on 1H-4H)Challenging Conditions:Choppy, range-bound marketsLow volatility consolidation periodsHighly news-driven instruments with frequent gapsVery low timeframes (1m-5m) prone to noiseRecommended AssetsCryptocurrency:Release NotesOptimized Default Settings ImpactSolana 4-Hour Timeframe:Before (ATR: 10, Factor: 3.0): Profit Factor 1.4After (ATR: 16, Factor: 3.11): Profit Factor 1.6+ ✅Improvement: +14% profit factor, fewer whipsaws, better drawdown controlSolana 12-Hour Timeframe:Optimized Settings: Profit Factor 2.0+ ✅Win Rate: ~45%Avg Win/Loss: ~3.5:1Max Drawdown: ~18%Why It Works:Longer ATR (16 vs 10) = smoother volatility calculation, less noise sensitivityHigher Factor (3.11 vs 3.0) = wider bands, requires stronger momentum to flipResult: ~30% fewer false signals, higher quality entries, better risk-reward

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