OPEN-SOURCE SCRIPT
업데이트됨 Prison Escape Breakout Strategy

Prison Escape Breakout Strategy
Description:
The Prison Escape strategy is a high-precision momentum trading system optimized for the NYSE Open. It utilizes structural price action geometry to define a high-probability "Volatility Box" and executes breakouts during the market's peak liquidity window. By integrating structural pivots with Fair Value Gap (FVG) Absorption tracking, the strategy provides a comprehensive view of institutional imbalances and range dynamics.
How it Works:
The script operates in four distinct phases to ensure entries are backed by both structural breakouts and momentum:
1. Range Definition (The Alphabet):
Starting at 08:30 AM CST, the script labels price swings with alphabetical anchors (A, B, C...). It identifies the Widest Range Sentiment—the two specific pivots within your chosen letter sequence (e.g., A-D) that represent the greatest distance. This "Prison" range defines the battlefield for the session.
2. Fair Value Gap (FVG) Absorption:
The strategy continuously monitors for institutional imbalances (Fair Value Gaps). It calculates the width of these gaps based on a dynamic ATR filter to ensure only significant gaps are shown.
Mitigation Tracking: Unlike static indicators, this tracks the "absorption" of the gap. It visually displays what percentage of the imbalance has been filled, helping identify where price might find magnets or support/resistance.
3. The Escape (Breakout Trigger):
The strategy waits for price to "break out of prison" with strict confirmation:
Sustained Breakout: Requires two consecutive closes outside of the high or low of the established range to filter out "stop hunts" and "fakeouts."
The Midline Rule: After an initial breakout, the strategy can take a second trade, but only if price has first returned to touch the Midline, ensuring sufficient mean reversion before the next momentum leg.
4. Strict Time Discipline:
Entry Window: New trades can only be initiated between 08:30 AM and 10:30 AM CST.
Trade 1 Duration Filter: Trade 1 is subject to a "Time Multiplier" (1x, 2x, or 3x the range duration). If the breakout happens too late, the trade is voided to avoid low-volume "grinds."
Hard Exit: All positions are market-closed at 12:30 PM CST to eliminate exposure to afternoon chop.
Key Features:
Sentiment Panel: A real-time dashboard displaying the "Selected Range" letters, total bar count, and a Bullish vs. Bearish candle count ratio within the range.
Dynamic Take Profit: Choose between a Fixed Point target or the Midline Distance (which projects a 1:1 move of the range's internal volatility).
Adaptive Stop Loss: Define risk based on the Breakout Line, the Midline, or the Opposite Range Line.
FVG Visualization: Real-time boxes that shrink as they are mitigated, providing a clear map of remaining market imbalances.
Technical Instructions for Users:
Timeframe: Optimized for 1-minute to 5-minute charts.
Symbol: Designed for Indices (NAS100, US30, SPX500) and high-volume instruments.
Timezone: Hardcoded for America/Chicago (CST/CDT) to align precisely with the NYSE bell.
Pine Script Settings Guide:
Zig Zag Depth: Higher = major structural pivots; Lower = micro-swings.
Search Start/End Letter: Defines the window of pivots used to find the "Prison" range (Default: A to D).
Take Profit Source: Use "Midline Distance" for a target that scales automatically with the day's volatility.
FVG Width Filter: Filters out tiny gaps. A setting of 0.5 means the gap must be at least 50% of the current ATR to be displayed.
Description:
The Prison Escape strategy is a high-precision momentum trading system optimized for the NYSE Open. It utilizes structural price action geometry to define a high-probability "Volatility Box" and executes breakouts during the market's peak liquidity window. By integrating structural pivots with Fair Value Gap (FVG) Absorption tracking, the strategy provides a comprehensive view of institutional imbalances and range dynamics.
How it Works:
The script operates in four distinct phases to ensure entries are backed by both structural breakouts and momentum:
1. Range Definition (The Alphabet):
Starting at 08:30 AM CST, the script labels price swings with alphabetical anchors (A, B, C...). It identifies the Widest Range Sentiment—the two specific pivots within your chosen letter sequence (e.g., A-D) that represent the greatest distance. This "Prison" range defines the battlefield for the session.
2. Fair Value Gap (FVG) Absorption:
The strategy continuously monitors for institutional imbalances (Fair Value Gaps). It calculates the width of these gaps based on a dynamic ATR filter to ensure only significant gaps are shown.
Mitigation Tracking: Unlike static indicators, this tracks the "absorption" of the gap. It visually displays what percentage of the imbalance has been filled, helping identify where price might find magnets or support/resistance.
3. The Escape (Breakout Trigger):
The strategy waits for price to "break out of prison" with strict confirmation:
Sustained Breakout: Requires two consecutive closes outside of the high or low of the established range to filter out "stop hunts" and "fakeouts."
The Midline Rule: After an initial breakout, the strategy can take a second trade, but only if price has first returned to touch the Midline, ensuring sufficient mean reversion before the next momentum leg.
4. Strict Time Discipline:
Entry Window: New trades can only be initiated between 08:30 AM and 10:30 AM CST.
Trade 1 Duration Filter: Trade 1 is subject to a "Time Multiplier" (1x, 2x, or 3x the range duration). If the breakout happens too late, the trade is voided to avoid low-volume "grinds."
Hard Exit: All positions are market-closed at 12:30 PM CST to eliminate exposure to afternoon chop.
Key Features:
Sentiment Panel: A real-time dashboard displaying the "Selected Range" letters, total bar count, and a Bullish vs. Bearish candle count ratio within the range.
Dynamic Take Profit: Choose between a Fixed Point target or the Midline Distance (which projects a 1:1 move of the range's internal volatility).
Adaptive Stop Loss: Define risk based on the Breakout Line, the Midline, or the Opposite Range Line.
FVG Visualization: Real-time boxes that shrink as they are mitigated, providing a clear map of remaining market imbalances.
Technical Instructions for Users:
Timeframe: Optimized for 1-minute to 5-minute charts.
Symbol: Designed for Indices (NAS100, US30, SPX500) and high-volume instruments.
Timezone: Hardcoded for America/Chicago (CST/CDT) to align precisely with the NYSE bell.
Pine Script Settings Guide:
Zig Zag Depth: Higher = major structural pivots; Lower = micro-swings.
Search Start/End Letter: Defines the window of pivots used to find the "Prison" range (Default: A to D).
Take Profit Source: Use "Midline Distance" for a target that scales automatically with the day's volatility.
FVG Width Filter: Filters out tiny gaps. A setting of 0.5 means the gap must be at least 50% of the current ATR to be displayed.
릴리즈 노트
Fair Value Gaps only show within the morning session오픈 소스 스크립트
트레이딩뷰의 진정한 정신에 따라, 이 스크립트의 작성자는 이를 오픈소스로 공개하여 트레이더들이 기능을 검토하고 검증할 수 있도록 했습니다. 작성자에게 찬사를 보냅니다! 이 코드는 무료로 사용할 수 있지만, 코드를 재게시하는 경우 하우스 룰이 적용된다는 점을 기억하세요.
면책사항
해당 정보와 게시물은 금융, 투자, 트레이딩 또는 기타 유형의 조언이나 권장 사항으로 간주되지 않으며, 트레이딩뷰에서 제공하거나 보증하는 것이 아닙니다. 자세한 내용은 이용 약관을 참조하세요.
오픈 소스 스크립트
트레이딩뷰의 진정한 정신에 따라, 이 스크립트의 작성자는 이를 오픈소스로 공개하여 트레이더들이 기능을 검토하고 검증할 수 있도록 했습니다. 작성자에게 찬사를 보냅니다! 이 코드는 무료로 사용할 수 있지만, 코드를 재게시하는 경우 하우스 룰이 적용된다는 점을 기억하세요.
면책사항
해당 정보와 게시물은 금융, 투자, 트레이딩 또는 기타 유형의 조언이나 권장 사항으로 간주되지 않으며, 트레이딩뷰에서 제공하거나 보증하는 것이 아닙니다. 자세한 내용은 이용 약관을 참조하세요.