Channel Volatility

v10.3
Channel Volatility

This indicator is calculated in the same way as Bollinger Bands.
However, it is based on an average of the last 9-26-52 periods, inspired by ichimoku.
The calculated standard deviation is 1

Its objective is to highlight dynamic or non-dynamic phases of the process.
If the price is within the bands over the long term, then a range is likely to be observed over the short term.
The dynamic phases will take place outside the bands in accordance with the long term.

Yours sincerely
IV

 

 

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  1. Fabian • 08/30/2020 #

    Hi IV Mcm,

    have you drawn the rectangles (Dinamic, Range) by yourself in the chart or are they calculated by a separate indicator?

    Thanks,
    Fabian

  2. IV Mcm • 08/30/2020 #

    Myself to illustrate 😉

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