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Indicatori · Riferimento del motore di strategia

Indicator Reference

Every technical indicator the Noon Barbari strategy engine exposes — its parameters, defaults, and output fields. A reference for building backtestable, rule-based strategies.

12 indicatori base9 indicatori di struttura

21 indicatori

Base

12

RSI

rsiSemplice

Relative Strength Index — momentum oscillator, 0–100.

Parametri

  • Period14 (2–800)

Output

value

EMA

emaSemplice

Exponential moving average — trend, reacts faster than SMA.

Parametri

  • Period20 (2–800)

Output

value

SMA

smaSemplice

Simple moving average — smoothed trend line.

Parametri

  • Period20 (2–800)

Output

value

MACD

macdSemplice

Moving-average convergence/divergence — momentum + crosses.

Parametri

  • Fast12 (2–200)
  • Slow26 (3–400)
  • Signal9 (1–100)

Output

linesignalhistogramfast EMAslow EMA

Bollinger Bands

bollingerSemplice

Volatility envelope around a moving average.

Parametri

  • Period20 (2–200)
  • Std × 2 (0.5–5)

Output

middleupperlower

ATR

atrSemplice

Average True Range — volatility, used for stops/targets.

Parametri

  • Period14 (2–200)

Output

value

ATR (smoothed)

atr_sma

SMA of ATR — a smoother volatility baseline.

Parametri

  • ATR period14 (2–200)
  • SMA period14 (1–200)

Output

valueraw ATR

Stochastic

stochasticSemplice

Stochastic oscillator — %K / %D, overbought/oversold.

Parametri

  • Period14 (2–200)
  • Smooth D3 (1–50)

Output

%K%D

ADX

adxSemplice

Average Directional Index — trend strength + ±DI.

Parametri

  • Period14 (2–200)

Output

ADX+DI-DI

VWAP

vwapSemplice

Volume-weighted average price.

Parametri

  • Anchorsession
  • Rolling period20 (2–500)

Output

value

Volume MA

volume_maSemplice

Moving average of volume — confirm breakouts.

Parametri

  • Period20 (2–500)

Output

value

Donchian Channel

donchian

Highest-high / lowest-low channel — breakouts.

Parametri

  • Period20 (2–500)

Output

upperlowermiddle

Struttura

9

Swing High/Low

swing

Recent swing pivots.

Parametri

  • Lookback1 (1–50)

Output

last highlast lowprev highprev low

SuperTrend

super_trend

ATR trailing-stop trend filter.

Parametri

  • ATR period10 (2–200)
  • Factor3 (0.5–10)

Output

trailstate

Trend Magic

trend_magic

CCI + ATR trend trail.

Parametri

  • CCI period20 (2–200)
  • ATR period5 (2–200)
  • Coefficient1 (0.1–10)

Output

trailstateCCI

Market Structure

market_structure

BOS / CHoCH structural state.

Parametri

  • Swing length50 (2–200)

Output

stateBOSCHoCHpivot highpivot low

Order Block

order_block

Institutional order-block zones (SMC).

Parametri

  • Swing length10 (2–200)

Output

bull topbull bottombear topbear bottombull signalbear signal

Fair Value Gap

fair_value_gap

Imbalance gaps (SMC / ICT).

Parametri

  • Min gap %0 (0–5)

Output

bull topbull bottombear topbear bottombull signalbear signal

Equal Highs/Lows

equal_highs_lows

Liquidity pools at equal highs/lows.

Parametri

  • Swing length3 (2–100)
  • ATR threshold ×0.1 (0.01–5)
  • ATR period200 (10–500)

Output

EQH levelEQL levelEQH signalEQL signal

Prior-Period Levels

prior_period_levels

Prior day/week/month OHLC levels.

Parametri

Nessuno

Output

prev day highprev day lowprev week highprev week lowprev month highprev month low

Premium/Discount

premium_discount_zones

Equilibrium / premium / discount zones (SMC).

Parametri

  • Lookback200 (10–2000)

Output

premium topequilibriumdiscount bottomcurrent zone

Informazioni su questo riferimento

Questi indicatori sono i componenti base delle strategie in Strategy Studio. Configura lì i loro parametri per definire regole di ingresso, uscita e filtro, quindi esegui backtest e paper trading. Questa pagina è solo documentazione di riferimento — non è una consulenza finanziaria.