RoccoF-v4.4 — Strategy by ferrazzanorocco
By ferrazzanorocco
Performance Metrics
- Author: ferrazzanorocco
- Symbol: BINANCE:BTCUSDT
- Timeframe: 1 hour
- Win Rate: 68.3%
- Profit Factor: 1.974
Description
What we built, piece by piece1. The entry engine. We taught the script to see your setup structurally: a validated swing low (one that price rose from back to a previous high) gets swept → KEY LOW born → price rallies to the last swing high before the breakdown → RECLAIM → a sell-stop waits at the key low → the retest fills you short. Every level is defined by market structure, not time windows — which is why it works on 15m, 1H, and 4H alike.2. The lifecycle rules. What happens when fresh structure appears mid-setup? We tested three philosophies (ratchet, orphans, fresh-wins) against your real charts and merged the best: fresh sweeps rebirth the setup, but a committed order survives as a "bridge" — it lives until the new setup confirms, catching the waterfall trades that pure replacement kept throwing away.3. Risk management. Every trade risks exactly $100 — lot size computed from the stop distance, re-sized live as the stop (the rally high) moves. Wide stop = small lot, tight stop = big lot, every loss identical.4. The take-profit — the hardest-won piece. Ten versions. We tried pivots, watched lows, key lows, distance filters in % and R... and every version, your eye said "not there." Then you did the homework that cracked it: your target was always the launchpad — the last low before price broke through the previous high. The base the breakout leg came from. C10 detects it at the exact break-of-structure moment, draws every live launchpad as a green line on your chart, purges it forever once swept, and parks your TP at the nearest survivor with a tighten-only ratchet so the limit is always waiting when price arrives.