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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Risk disclosure:

No information on this site is investment advice or a solicitation to buy or sell any financial instrument. Past performance is not indicative of future results. Trading may expose you to risk of loss greater than your deposits and is only suitable for experienced investors who have sufficient financial means to bear such risk.

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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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