OPEN-SOURCE SCRIPT

CS 2.0 Hedge Fund Method

170
The indicator classifies market conditions using a rolling return window (default: 20 bars):

Bull: 20-bar cumulative return ≥ +5%
Bear: 20-bar cumulative return ≤ −5%
Sideways: Anything in between

Each completed regime is treated as a state in a Markov chain. The indicator records transitions from one state to the next and builds a 3×3 transition probability matrix, showing the likelihood of moving between Bull, Bear, and Sideways conditions.

Markov 2.0 Improvements

Penafian

Maklumat dan penerbitan adalah tidak bertujuan, dan tidak membentuk, nasihat atau cadangan kewangan, pelaburan, dagangan atau jenis lain yang diberikan atau disahkan oleh TradingView. Baca lebih dalam Terma Penggunaan.