PDH/PDL breakout with SuperTrend filter strategyvsPremium/Discount Zones strategy
PDH/PDL breakout with SuperTrend filter strategy: Prior-day-range breakouts, but only the ones that align with the SuperTrend regime. · Premium/Discount Zones strategy: Buy the discount extreme, fade the premium extreme, exit at equilibrium.
PDH/PDL breakout with SuperTrend filter strategy
Prior-day-range breakouts, but only the ones that align with the SuperTrend regime.
Premium/Discount Zones strategy
Buy the discount extreme, fade the premium extreme, exit at equilibrium.
Indikatoren
- Prior Period Levels
- SuperTrend (ATR 10, factor 3.0)
- SMA(1) close wrapper
- Premium/Discount Zones (lookback 200)
Timeframes
Bias
Long & Short
Long & Short
Marktpassung
Strong directional trends
Range-bound
Eintrittsregeln
- Long when close crosses above PDH AND SuperTrend state = +1.
- Short when close crosses below PDL AND SuperTrend state = -1.
- Long when price is inside the discount zone (current_zone = +1).
- Short when price is inside the premium zone (current_zone = -1).
Ausstiegsregeln
- Opposite-side breakout closes the trade — momentum has flipped.
- 4% trailing stop, 3-bar cooldown.
- Position closes when price returns to equilibrium.
- 4% trailing stop, 5-bar cooldown.
Erwartetes Verhalten
Cleaner than a vanilla PDH/PDL bot — the SuperTrend filter cuts counter-trend breakouts that fizzle. Fewer trades but better quality; sits out range days where prior-range breaks fail.
Range trader — fits balanced markets where extremes get bought / faded back to mid. Stacks losses in strong trends that camp at one extreme for many bars.
Komplexität
Welche passt zu dir?
Abgeleitet aus Bias, Timeframe und Indikator-Profil jeder Strategie — keine Backtest-Prognose.
Wann PDH/PDL breakout with SuperTrend filter strategy wählen
- You expect strong directional trends — the thesis is "Prior-day-range breakouts, but only the ones that align with the SuperTrend regime."
- You want a long & short bot on 15m–4h candles with a balanced rule-set.
- You're comfortable monitoring 3 indicators (Prior Period Levels, SuperTrend (ATR 10, factor 3.0), SMA(1) close wrapper).
Prior-day-range breakouts, but only the ones that align with the SuperTrend regime.
Wann Premium/Discount Zones strategy wählen
- You expect range-bound — the thesis is "Buy the discount extreme, fade the premium extreme, exit at equilibrium."
- You want a long & short bot on 1h–1d candles with a balanced rule-set.
- You're comfortable monitoring 1 indicator (Premium/Discount Zones (lookback 200)).
Buy the discount extreme, fade the premium extreme, exit at equilibrium.
PDH/PDL breakout with SuperTrend filter strategy
Prior-day-range breakouts, but only the ones that align with the SuperTrend regime.
Premium/Discount Zones strategy
Buy the discount extreme, fade the premium extreme, exit at equilibrium.
Verwandte Vergleiche
Andere Paarungen, die eine dieser Strategien enthalten.
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