10-Factor Super Indicator Strategy (Fixed) by kmarin137

By kmarin137

Performance Metrics

Description

10-Factor Super Indicator Strategy (Fixed) is a multi-signal confluence strategy that combines trend, momentum, volatility, volume, and market regime analysis into one weighted composite score.Instead of relying on a single indicator, this script evaluates 10 different factors:EMA trend, Supertrend, MACD, RSI, ADX/DI, VWAP, Bollinger Bands, Stochastic RSI, OBV, and ATR regime activity.Each factor contributes a bullish or bearish vote based on current market conditions. These votes are weighted and merged into a normalized composite score from -100 to +100, helping identify when market conditions are strongly aligned in one direction.The strategy uses this score together with key trend filters to generate long and short entries:Long trades require bullish confluence, trend confirmation, ADX strength, and active ATR regimeShort trades require bearish confluence, trend confirmation, ADX strength, and active ATR regimeBuilt-in ATR-based stop-loss and take-profit levels are included for risk management, while score-based exit logic helps close trades when overall confluence weakens.Core features:10-indicator confluence modelWeighted bullish/bearish scoring systemComposite market conviction scoreLong and short trade signalsATR-based stop loss and take profitScore-based early exit logicOn-chart signal markersInformational table showing live factor statesThis script is designed for traders who want a broader market view rather than depending on one lagging signal. It works best as a structured confluence framework that can be optimized for different assets, timeframes, and trading styles.A 10-factor confluence trading strategy that combines EMA, Supertrend, MACD, RSI, ADX, VWAP, Bollinger Bands, Stochastic RSI, OBV, and ATR into a single weighted score. The strategy uses this composite score to identify high-conviction long and short setups, with built-in ATR-based risk management and score-driven exits.This strategy combines ten widely used technical indicators into a single weighted confluence model to help identify high-probability market setups. By blending trend, momentum, volatility, volume, and regime filters into one normalized score, it aims to reduce noise and avoid over-reliance on any single indicator. Entries are triggered only when multiple conditions align, while ATR-based stops, take-profit levels, and score deterioration exits help manage risk. Ideal for traders looking for a more systematic, multi-factor approach to chart analysis.

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