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eltrad3r strategie

eltrad3r REAL SYSTEM v6 — Consolidation Breakout with Dynamic R:R Management
This indicator automatically identifies the pre-market consolidation range (9:00–9:30 AM ET) and generates entry signals when price breaks out of that range with trend confirmation, using dynamic risk management that adapts to any instrument.
─── HOW IT WORKS ───
During the consolidation window (9:00–9:30 AM) the system plots the High and Low of the range. Once the market opens in full (9:30 AM), it waits for a confirmation candle that closes above the range for LONG, or below for SHORT, with price always on the same side of the EMA 9.
Stop Loss is placed automatically at the Low of the previous candle (LONG) or the High of the previous candle (SHORT). Take Profit is calculated by multiplying that risk by the minimum configured R:R (default 2:1). This makes the system work on any asset — futures, stocks, ETFs, crypto — without needing to adjust fixed points.
─── SIGNALS ───
🟢 LONG — candle closes above the consolidation range and above EMA 9
🔴 SHORT — candle closes below the consolidation range and below EMA 9
⚪ EXIT L / EXIT S — exit when price crosses EMA 9, hits the Stop, or reaches the Target
─── SETTINGS ───
- Minimum R:R — minimum ratio required to open a trade (default 2.0)
- Max trades per day — daily trade limit (default 5)
- Consolidation window — range time window (default 09:00–09:30)
- Trading window — active hours for entries (default 09:30–16:00)
─── COMPATIBILITY ───
Works on any minute timeframe. Optimized for NQ Futures, QQQ, SPY, NVDA, AAPL, MSFT, META and any instrument with a regular US market session. Time windows are fully configurable to adapt to other markets.
─── RISK MANAGEMENT ───
The system never enters a trade where the R:R does not meet the configured minimum. The actual risk per trade is displayed in the info table in real time. Maximum 5 trades per day by default to protect capital on high volatility days.
This indicator is a technical analysis tool. It does not constitute financial advice or guarantee results. Always trade with risk management appropriate to your capital.
This indicator automatically identifies the pre-market consolidation range (9:00–9:30 AM ET) and generates entry signals when price breaks out of that range with trend confirmation, using dynamic risk management that adapts to any instrument.
─── HOW IT WORKS ───
During the consolidation window (9:00–9:30 AM) the system plots the High and Low of the range. Once the market opens in full (9:30 AM), it waits for a confirmation candle that closes above the range for LONG, or below for SHORT, with price always on the same side of the EMA 9.
Stop Loss is placed automatically at the Low of the previous candle (LONG) or the High of the previous candle (SHORT). Take Profit is calculated by multiplying that risk by the minimum configured R:R (default 2:1). This makes the system work on any asset — futures, stocks, ETFs, crypto — without needing to adjust fixed points.
─── SIGNALS ───
🟢 LONG — candle closes above the consolidation range and above EMA 9
🔴 SHORT — candle closes below the consolidation range and below EMA 9
⚪ EXIT L / EXIT S — exit when price crosses EMA 9, hits the Stop, or reaches the Target
─── SETTINGS ───
- Minimum R:R — minimum ratio required to open a trade (default 2.0)
- Max trades per day — daily trade limit (default 5)
- Consolidation window — range time window (default 09:00–09:30)
- Trading window — active hours for entries (default 09:30–16:00)
─── COMPATIBILITY ───
Works on any minute timeframe. Optimized for NQ Futures, QQQ, SPY, NVDA, AAPL, MSFT, META and any instrument with a regular US market session. Time windows are fully configurable to adapt to other markets.
─── RISK MANAGEMENT ───
The system never enters a trade where the R:R does not meet the configured minimum. The actual risk per trade is displayed in the info table in real time. Maximum 5 trades per day by default to protect capital on high volatility days.
This indicator is a technical analysis tool. It does not constitute financial advice or guarantee results. Always trade with risk management appropriate to your capital.
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這些資訊和出版物並非旨在提供,也不構成TradingView提供或認可的任何形式的財務、投資、交易或其他類型的建議或推薦。請閱讀使用條款以了解更多資訊。
開源腳本
秉持TradingView一貫精神,這個腳本的創作者將其設為開源,以便交易者檢視並驗證其功能。向作者致敬!您可以免費使用此腳本,但請注意,重新發佈代碼需遵守我們的社群規範。
免責聲明
這些資訊和出版物並非旨在提供,也不構成TradingView提供或認可的任何形式的財務、投資、交易或其他類型的建議或推薦。請閱讀使用條款以了解更多資訊。