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Oat Minervini SET50 Dashboard Autoscan

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# Dr.Oat SEPA SET50 Radar V2.0

**Dr.Oat SEPA SET50 Radar** is a quantitative screening tool designed to scan SET50 stocks using a rules-based framework inspired by SEPA and Stage 2 trend principles.

The indicator focuses on identifying stocks that are:

* In a strong Stage 2 uptrend
* Forming a constructive volatility contraction structure
* Approaching a potential Pivot Point
* Breaking out with expanding volume
* Becoming extended beyond an ideal entry zone

All calculations are performed on the **Daily timeframe**, regardless of the chart timeframe currently being viewed.

Because of Pine Script request limitations, the SET50 universe is divided into two groups:

**SET50 A:** Stocks 1–25
**SET50 B:** Stocks 26–50

For complete SET50 coverage, add the indicator to the chart twice and select one group for each instance.

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# Dashboard Columns

## SEPA

SEPA is the overall setup score from 0 to 100.

The score currently combines:

* Trend Template Quality
* VCP Structure
* Volume Quality
* Pivot Position
* Breakout Quality

Daily RSI is **not included** in the SEPA Score.

A higher score indicates that more elements of the setup are aligned.

General interpretation:

**90–100:** Very Strong Setup
**80–89:** Strong Setup
**70–79:** Developing / Watch
**Below 70:** Lower Priority

A high SEPA Score does not automatically mean the stock should be bought.

Always review the price chart and risk/reward before entering a trade.

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# TT — Trend Template

TT represents the number of Stage 2 Trend Template conditions currently satisfied.

The current model uses **7 conditions**.

### 1. Price Above SMA150 and SMA200

The current closing price must be above both the 150-day and 200-day simple moving averages.

### 2. SMA150 Above SMA200

The intermediate-term moving average must be above the long-term moving average.

### 3. SMA200 Rising

The current SMA200 must be above its value approximately 22 trading days ago.

This helps confirm that the long-term trend is rising.

### 4. SMA50 Above SMA150 and SMA200

The short-term moving average must be above both the intermediate and long-term averages.

### 5. Price at Least 25% Above the 52-Week Low

The current price must have advanced sufficiently from its 52-week low.

### 6. Price Within 25% of the 52-Week High

The current price should remain relatively close to its 52-week high.

### 7. Price Above SMA50

The current closing price must be above the 50-day moving average.

When the Dashboard shows:

**TT = 7/7**

the stock currently satisfies all Trend Template conditions used by this model.

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# VCP Score

The VCP Score is a quantitative approximation of a **Volatility Contraction Pattern**.

The script does not attempt to visually recognize a classical VCP exactly as a discretionary trader would.

Instead, it evaluates several measurable characteristics:

* Base Depth
* Short-Term Range Contraction
* ATR Contraction
* Volume Dry-Up
* Right-Side Tightness

The maximum score is 100.

General interpretation:

**VCP >= 70:** Constructive contraction characteristics are developing

**VCP >= 80:** Stronger volatility contraction structure

The VCP Score should be treated as a screening tool rather than a definitive pattern-recognition signal.

Always inspect the actual chart before trading.

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# RSI(D)

RSI(D) displays the Daily Relative Strength Index.

Default setting:

**RSI Length = 14**

RSI is displayed for momentum information only.

RSI is:

* NOT used in the Trend Template
* NOT used in the VCP Score
* NOT used in the SEPA Score

General interpretation:

**RSI below 50:** Weak or neutral momentum

**RSI 50–60:** Improving momentum

**RSI 60–70:** Strong momentum

**RSI 70–80:** Very strong momentum

**RSI above 80:** Extremely strong momentum; check whether price is becoming extended

A high RSI is not automatically considered a sell signal.

Strong market leaders can remain at elevated RSI levels for extended periods.

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# PIVOT%

PIVOT% shows the percentage distance between the current price and the calculated Pivot Point.

Example:

**-1.20%**

The current price is approximately 1.2% below the Pivot.

Example:

**+0.50%**

The stock is approximately 0.5% above the Pivot.

Values close to zero are particularly useful when monitoring potential breakout setups.

Default settings:

**READY Zone:** Within 5% below the Pivot

**Maximum Chase:** 3% above the Pivot

If price advances too far above the Pivot, the system classifies the stock as **EXTENDED**.

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# RVOL

RVOL represents Relative Volume.

It compares current daily volume with the 50-day average volume.

Examples:

**RVOL = 0.50x**

Current volume is approximately 50% of the 50-day average.

This can be useful when looking for Volume Dry-Up before a breakout.

**RVOL = 1.00x**

Current volume is approximately equal to average volume.

**RVOL = 1.50x**

Current volume is approximately 50% above the 50-day average.

The default model requires approximately:

**RVOL >= 1.50x**

as part of breakout confirmation.

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# STATUS

The Radar classifies each stock into one of five statuses.

## BREAKOUT

The stock:

* Passes the Trend Template
* Meets the minimum VCP requirement
* Trades above the Pivot
* Remains within the maximum chase zone
* Has sufficient Relative Volume

These stocks deserve immediate chart review.

BREAKOUT is not an automatic buy order.

Risk/reward and technical stop placement should still be evaluated.

---

## READY

The stock:

* Passes the Trend Template
* Meets the minimum VCP requirement
* Is trading close to, but still below, the Pivot

READY stocks are particularly useful for building a focused watchlist before a potential breakout.

Example:

**PIVOT% = -0.80%**

The stock is approximately 0.8% below its Pivot.

---

## DEVELOP

The stock is in a valid Stage 2 trend but is not yet classified as READY or BREAKOUT.

The setup may still be developing.

These stocks can remain on the watchlist for further observation.

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## EXTENDED

The stock remains in a strong trend but has advanced beyond the configured Maximum Chase distance above its Pivot.

This status is designed as a warning:

**Do Not Chase**

EXTENDED does not necessarily mean the stock is weak.

It means the current entry location may offer an unfavorable risk/reward profile.

---

## SKIP

The stock does not currently meet the required trend/setup conditions.

It can generally be removed from the immediate trading focus.

---

# Installation

Open TradingView and go to:

**Pine Editor**

Create a new indicator and paste the complete:

**Dr.Oat SEPA SET50 Radar V2.0**

script.

Then select:

**Save → Add to chart**

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# Recommended Setup — Radar A

Open Indicator Settings and select:

**SET50 Group:**
SET50 A (1-25)

**Display Mode:**
Qualified Only

**Maximum Rows:**
15

**Dashboard Position:**
Top Right

---

# Recommended Setup — Radar B

Add the same indicator to the chart a second time.

Then select:

**SET50 Group:**
SET50 B (26-50)

**Display Mode:**
Qualified Only

**Maximum Rows:**
15

**Dashboard Position:**
Bottom Right

This allows the two instances to cover the complete SET50 universe.

---

# Display Modes

## Qualified Only

Displays stocks where:

**TT = 7/7**

and

**VCP Score >= Minimum VCP Score**

This is the recommended default mode.

---

## READY + BREAKOUT

Displays only stocks currently classified as:

**READY**

or

**BREAKOUT**

This is particularly useful for daily trade preparation.

---

## All 25

Displays all stocks in the selected group.

This mode is useful for:

* Verifying data
* Comparing scores
* Reviewing developing stocks
* Troubleshooting the scanner

---

# Recommended Daily Workflow

Start by opening both SET50 Radar A and Radar B.

Then review stocks in the following order.

### 1. BREAKOUT

Check whether any stock is breaking above its Pivot with expanding volume.

### 2. READY

Identify stocks positioned just below their Pivot.

### 3. SEPA Score

Within the same status category, prioritize higher SEPA Scores.

### 4. Trend Template

Prefer stocks showing:

**TT = 7/7**

### 5. VCP Score

Review whether the stock is showing constructive contraction behavior.

### 6. PIVOT%

Determine how close the stock is to the breakout level.

### 7. RVOL

Before breakout, lower volume may indicate constructive Volume Dry-Up.

During breakout, rising RVOL can help confirm demand.

### 8. Review the Actual Chart

Always inspect:

* Base structure
* Pivot quality
* Price action
* Volume behavior
* Overhead supply
* Distance from moving averages

### 9. Define Entry, Stop and Position Size

The Radar is a screening tool.

Trade execution and risk management should be decided separately.

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# Example Interpretation

Example:

**ADVANC**

SEPA = 91
TT = 7/7
VCP = 84
RSI(D) = 65
PIVOT% = -0.80%
RVOL = 0.55x
STATUS = READY

Interpretation:

ADVANC currently satisfies all Trend Template conditions.

Its quantitative VCP characteristics are constructive.

The price is approximately 0.8% below the Pivot.

Relative Volume is low, suggesting reduced trading activity ahead of the potential breakout.

The next step is to monitor whether price breaks the Pivot with expanding volume.

---

Another example:

**DELTA**

SEPA = 94
TT = 7/7
VCP = 88
RSI(D) = 72
PIVOT% = +0.50%
RVOL = 1.85x
STATUS = BREAKOUT

Interpretation:

The stock satisfies the Trend Template and VCP requirements.

Price has moved approximately 0.5% above the Pivot.

Relative Volume is approximately 85% above the 50-day average.

The system therefore classifies the stock as a potential BREAKOUT.

The trader should still evaluate the actual chart, technical stop level and risk/reward before taking a position.

---

# Limitations

Dr.Oat SEPA SET50 Radar is a **screening and decision-support tool**.

It does not evaluate:

* Earnings growth
* Revenue growth
* ROE
* Fundamental quality
* Valuation
* Company-specific news
* Market regime
* Foreign investor flow
* Earnings catalysts
* Portfolio-level risk

A READY or BREAKOUT signal should therefore not be interpreted as an automatic recommendation to buy.

The purpose of the Radar is to reduce the SET50 universe from 50 stocks to a much smaller list of technically interesting candidates that deserve further analysis.

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# Core Workflow

**Scan → Rank → Focus → Review Chart → Manage Risk**

The goal is not to predict which stock will rise.

The goal is to systematically identify stocks showing the strongest combination of trend, contraction, proximity to a Pivot and volume behavior, then focus attention only on the highest-quality candidates.

Exención de responsabilidad

La información y las publicaciones no constituyen, ni deben considerarse como, asesoramiento o recomendaciones financieras, de inversión, de trading u otro tipo, proporcionadas o respaldadas por TradingView. Obtenga más información en Condiciones de uso.