I want to Design a systematic TradingView Pine Script strategy for intra day trading for BANK NIFTY (https://in.tradingview.com/chart/yBtgdDbs/?symbol=NSE%3ABANKNIFTY) that (a) caps max closed-equity drawdown at ≤ 30 %, (b) targets a win-rate ≥ 55 %, (c) delivers Risk-Adjusted monthly return ~ 4-10% and Profit Factor ≥ 1.7 over 2017-Present. “Use 5-min/15-min for intra day trading ; volume, **open-interest (live OI symbol ‘BANKNIFTY
Place initial SL ; trail SL & profits ; hard-exit at 15:15 IST
Risk ≤ 50 points per lot
Optimise only EMA lengths (5-20), ATR multiplier (0.8-1.5) and VWAP look-back; freeze everything else to avoid over-fitting. If needed use SMC.
Return a markdown table of KPIs plus a plot of equity curve vs BANK NIFTY spot.” Run walk-forward: 2017-19 train / 2020 test, roll yearly; compute Max DD, CAGR, Sharpe, Sortino, Ulcer Index, trade count, average hold time.
No of trades per month should be between 10 to 40. It should be strictly intraday hence better to use 2/5/15 minute candles.
Average Profit per trade more than Average Loss per trade
It should not repaint. Equity curve should be smooth with very less volatility.
Should be able to calculate based on future as well as option sell & option buy
This strategy should give signal in real time on tradingview chart along with giving trigger to execute trade.
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