OPEN-SOURCE SCRIPT

Long-Term Investment Manager [Manual]

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Long-Term Investment Manager (Manual) is a portfolio decision support indicator designed for investors managing long-horizon equity or crypto positions with a rules-based, evidence-informed framework.
This script is not a trading signal generator and does not place orders. Instead, it functions as a structured portfolio advisor that contextualizes price action relative to trend, volatility, momentum, and your own cost basis, then translates that context into clear, interpretable guidance.

Core Philosophy
The indicator formalizes how disciplined long-term investors typically think:


Stay invested in primary uptrends


Protect capital when trends break


Trim into strength, not fear


Accumulate selectively during healthy pullbacks


Anchor decisions to entry price and position size, not emotions



What You Configure (Manual by Design)


Average Buy Price – your actual cost basis


Position Size – used for unrealized PnL calculation


Profit Trim Targets – two customizable percentage levels


Volatility Stop Multiplier – controls long-term trailing risk


This ensures the indicator adapts to your portfolio, not a hypothetical backtest.

Evidence-Based Components


200-period Simple Moving Average
Defines the long-term trend using a widely accepted institutional standard.


ATR-based Volatility Stop (Chandelier-style)
Adjusts dynamically to market noise and provides an objective exit when the trend fails.


Relative Strength Index (RSI) + Bollinger Bands
Identifies extension and overheating for profit trimming, and controlled pullbacks for accumulation.



Decision Hierarchy (Capital First)
The logic prioritizes decisions in a strict order:


Exit / Capital Protection
Triggered when price breaks the volatility stop or falls below the long-term trend.


Profit Management
Graduated trimming based on extension and predefined return thresholds.


Accumulation or Hold
Differentiates between healthy pullbacks in an uptrend versus conditions that warrant patience.



Visual & Dashboard Outputs


Entry price and profit targets plotted directly on the chart


Long-term trend and trailing stop visualized clearly


A compact dashboard displaying:


Return on investment percentage


Unrealized profit or loss in currency terms


Current recommended action


Explicit reasoning behind that action


Distance to stop as a quantified risk metric





Intended Use
This tool is best suited for:


Long-term investors managing core positions


Swing-to-position traders seeking structure and discipline


Portfolio managers who prefer rules over reactions


It is intentionally manual, transparent, and conservative—designed to support judgment, not replace it.

Disclaimer:
This indicator is for educational and informational purposes only and does not constitute financial advice. Always integrate broader risk management and personal judgment when making investment decisions.

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