OPEN-SOURCE SCRIPT
Volatility Reversion Scalper

Overview
A strategie don't just blindly buy dips—they hunt for high-probability exhaustion points during market panics. This script combines the legendary a synthetic volatility index with Fibonacci Bollinger Bands to pinpoint exact structural bottoms. It is designed to deploy capital only when the market is fearful and a bullish reversal is technically confirmed.
⚙️ Core Mechanics
Fibonacci Bollinger Bands: Instead of standard deviations, this script utilizes a highly reactive 0.618 Fibonacci multiplier on a 10-period SMA. It wraps tightly around the price action to detect micro-deviations and immediate oversold conditions.
CM Williams Vix Fix: Originally developed by Larry Williams, this component acts as a synthetic VIX for any asset. The strategy waits for the VIX Fix to spike into the 99th percentile, indicating extreme retail capitulation and optimal institutional buying zones.
🎯 Entry Logic (The 3-Key Lock)
A long position is strictly executed when these three conditions align on a confirmed bar:
Volatility Spike: The VIX Fix indicator flashes maximum fear.
Band Pierce: The price opens or closes below the lower Fibonacci Bollinger Band.
Bullish Rejection: The current candle closes green (close > open) following a previous red candle (close[1] < open[1]), signaling immediate buyer step-in and momentum shift.
🛡️ Risk Management & DCA (Dollar Cost Averaging)
Smart Pyramiding: To handle cascading drops and "falling knives," the script features a built-in DCA mechanism. It will only add a new leg to the position if the asset drops 10% or more below your current average entry price.
Fixed Take Profit: The exit logic is purely mechanical and emotionless. A limit order is automatically placed at exactly 5% profit above your average entry price, ensuring rapid capital turnover during high-volatility bounces.
💡 Backtesting & Usage Tips
Timeframe: This logic performs best on Daily (1D) or 4-Hour (4H) charts, where volatility spikes carry true structural weight.
Built-in Date Filter: Includes an adjustable date range (defaulted to 2020–2025) so you can easily stress-test the strategy across specific market regimes, such as the 2020 pandemic crash or the 2022 bear market.
A strategie don't just blindly buy dips—they hunt for high-probability exhaustion points during market panics. This script combines the legendary a synthetic volatility index with Fibonacci Bollinger Bands to pinpoint exact structural bottoms. It is designed to deploy capital only when the market is fearful and a bullish reversal is technically confirmed.
⚙️ Core Mechanics
Fibonacci Bollinger Bands: Instead of standard deviations, this script utilizes a highly reactive 0.618 Fibonacci multiplier on a 10-period SMA. It wraps tightly around the price action to detect micro-deviations and immediate oversold conditions.
CM Williams Vix Fix: Originally developed by Larry Williams, this component acts as a synthetic VIX for any asset. The strategy waits for the VIX Fix to spike into the 99th percentile, indicating extreme retail capitulation and optimal institutional buying zones.
🎯 Entry Logic (The 3-Key Lock)
A long position is strictly executed when these three conditions align on a confirmed bar:
Volatility Spike: The VIX Fix indicator flashes maximum fear.
Band Pierce: The price opens or closes below the lower Fibonacci Bollinger Band.
Bullish Rejection: The current candle closes green (close > open) following a previous red candle (close[1] < open[1]), signaling immediate buyer step-in and momentum shift.
🛡️ Risk Management & DCA (Dollar Cost Averaging)
Smart Pyramiding: To handle cascading drops and "falling knives," the script features a built-in DCA mechanism. It will only add a new leg to the position if the asset drops 10% or more below your current average entry price.
Fixed Take Profit: The exit logic is purely mechanical and emotionless. A limit order is automatically placed at exactly 5% profit above your average entry price, ensuring rapid capital turnover during high-volatility bounces.
💡 Backtesting & Usage Tips
Timeframe: This logic performs best on Daily (1D) or 4-Hour (4H) charts, where volatility spikes carry true structural weight.
Built-in Date Filter: Includes an adjustable date range (defaulted to 2020–2025) so you can easily stress-test the strategy across specific market regimes, such as the 2020 pandemic crash or the 2022 bear market.
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.
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.