I'm reconfiguring mine at present, and looking for some ideas or suggestions from fellow users.
I've attached a picture of where I'm up to so far.
From Top Left to Right Bottom:-
1D Chart with Volume, SMA50, SMA200
5m Chart with Volume, VWAP
Single Stock Window
Up Gappers
Biggest Gain from Close
Up in 15m %
Volume Shares for the Day Relative Volume Leaders
15m Volume Burst
Halt/Resume Alerts
Down Gappers
Biggest Losers from Close
Down in 15m %
Multi-Strategy Window (To be created)
For my Multi-Strategy window what I'm thinking of doing so far is:
-Momentum HOD & LOD Break. (Play = Long/Short the Retest)
-Stocks with high volume (shares) and/or relative volume which are bouncing of key levels such as VWAP, Open, Previous Days Close/High/Low (Play = Long/Short Key Levels where there massive volume)
-High Instantaneous volume (Play = Requires analysis - catalyst, key level, S/R Break, earnings etc)
Any feedback, comments/suggestions welcome...
Can you help answer these questions from other members on futures io?
Looking for ideas and suggestions for both long and short plays for filters and alert settings which users here on the forum have had good success with in the past.
Whether they be simple ones or more advanced ones.