Логотип продукта "Risk Appetite - Directional Bias-PRO"
Индикатор
Версия 1.0, Nov 2025
Windows, Mac
Загруженное изображение продукта "Risk Appetite - Directional Bias-PRO"
Загруженное изображение продукта "Risk Appetite - Directional Bias-PRO"
Загруженное изображение продукта "Risk Appetite - Directional Bias-PRO"
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🚀 Risk Appetite & Directional Bias ULTRA (cTrader) is a professional market-regime indicator designed to measure Risk-On / Neutral / Risk-Off conditions and convert them into a clear, actionable directional bias. Instead of relying on a single market, it compares two instruments (a “risk proxy” and a “benchmark”) to build a real-time Risk Score (0–100), highlight regime transitions, and summarize everything through an on-chart dashboard display.


🔧 What the first two parameters mean (and why they matter)

🟠 Risk Asset Symbol (BTC)
This is the risk proxy—the instrument used as a “risk appetite thermometer.” It is labeled “BTC” because the original concept uses Bitcoin as a global risk-on proxy, but you are not forced to use Bitcoin. You can set it to any asset that represents risk sentiment well (e.g., BTC, NASDAQ/US100, high beta indices, etc.).

🔵 Benchmark Symbol (SP/US500)
This is the reference market (benchmark) that you want to track for macro bias. It’s typically US500/SPX500, but it can be any instrument you consider your main “context driver.”

✅ In short:

  • Risk Asset = sentiment sensor (risk appetite source)
  • Benchmark = reference market you want the bias to reflect


❓ Do I have to use it on Bitcoin?

No. You can use the indicator in different ways depending on your goal:

A) Macro “classic” Risk-On/Risk-Off (recommended)

  • Risk Asset: BTCUSD
  • Benchmark: US500 / SPX500
    This gives a clean view of global risk regimes.

B) Trading Bitcoin with macro context

  • Risk Asset: BTCUSD
  • Benchmark: US500 (or another macro reference)
    This helps you understand when macro conditions support or oppose BTC.

C) Multi-asset / custom market relationships

  • Risk Asset: BTC or US100
  • Benchmark: the market you want to filter (GER40, XAUUSD, etc.)
    This turns the indicator into a flexible “sentiment engine.”


⚙️ How it works (core logic)

The model computes the following on both symbols:

📈 Returns (%) (optionally logarithmic for more stability)
📊 Volatility (standard deviation over the selected lookback)
🔗 Rolling correlation between the two return series
🎛️ Dynamic Weight that adjusts the risk proxy’s influence based on:

  • correlation strength
  • relative volatility

This produces an Adjusted Change signal which is:

  • EMA smoothed
  • normalized into a 0–100 Risk Score


📊 How to read it (the most important signals)

🎯 Risk Score (0–100) is your main compass:

🟢 Risk-On (score above the upper threshold, e.g., > 60)
→ risk appetite is strong, the environment often favors momentum/risk assets

🔵 Neutral (between lower and upper thresholds, e.g., 40–60)
→ transition / chop / mixed signals, filtering is recommended

🔴 Risk-Off (score below the lower threshold, e.g., < 40)
→ defensive environment, caution is higher, downside risk is often elevated


🔴 Why the red line “breaks” (and what it means)

In this ULTRA version the visualization is intentional and “regime-based”:

  • A continuous base line (gray) is always visible
  • Colored overlays appear only in their regime:
    • Red overlay only during Risk-Off
    • Green overlay only during Risk-On
    • Blue overlay during Neutral

So when the market leaves Risk-Off and moves into Neutral (or Risk-On), the red overlay becomes empty (NaN) and cTrader stops drawing it—this is why it looks like it “interrupts.” ✅

📌 Important: this does not automatically mean the bearish trend is “over.”
It means the model no longer detects strong, confirmed Risk-Off conditions, so the bearish edge is reduced and the market is likely in transition.


🖥️ What the on-chart display (dashboard) is for — explained line by line

The dashboard is your real-time decision panel. It summarizes regime, confidence, and tactical guidance so you don’t need to guess from the line alone.

Model Status
Shows whether the model is running correctly.

  • ACTIVE = valid data is available and calculations are correct
  • NO DATA = missing symbol data, wrong symbol name, or not enough history/time alignment

🎯 Strategy Pos (Strategy Position)
A suggested stance based on regime:

  • LONG = Risk-On
  • SHORT = Risk-Off
  • FLAT = Neutral

⚠️ Risk Level
A risk intensity measure based on market volatility and uncertainty.

  • VERY LOW / LOW = more stable conditions
  • MEDIUM = normal
  • HIGH / VERY HIGH = higher noise, higher whipsaw risk; reduce size or demand stronger confirmation

🧠 Market Sentiment
A directional tone derived from the score level:

  • BULLISH / BEARISH / NEUTRAL

🌫️ Uncertainty
Shows how “clear” the model is. It increases when:

  • correlation weakens, or
  • volatility rises (more unstable environment)
    Levels: LOW / MODERATE / HIGH

🧪 Signal Quality
A combined rating based on:

  • signal strength (distance from 50)
  • uncertainty level
    Outputs: STRONG / FILTERED / WEAK

🔥 Market Regime
The main classification:

  • Risk-On / Neutral / Risk-Off
    This is the core regime state driving color overlays, shading, and position bias.

📉 Trend
The short-term direction of the score (slope):

  • UPTREND = rising risk appetite
  • DOWNTREND = falling risk appetite
  • FLAT = sideways / low momentum

🗳️ Consensus (X/5)
A simple alignment score that counts how many key conditions agree (direction, slope, correlation alignment, etc.).
Higher = cleaner, more consistent environment.

📏 Position Size
A suggested exposure percentage based on signal strength and uncertainty:

  • strong & low uncertainty → higher size suggestion
  • weak or uncertain → smaller size suggestion


🧭 Multi-timeframe advantage (very powerful in practice)

When you analyze the same market across multiple timeframes, the indicator updates and realigns per timeframe. This makes it easy to spot:

Timeframe alignment (stronger signals)
Timeframe conflict (often more neutral/choppy conditions)

Higher timeframes define the macro regime, lower timeframes help with timing entries inside that regime.


📌 Markers, alerts & notifications (ULTRA features)

Regime markers print on the chart when the regime changes:

  • Risk-On ↔ Neutral ↔ Risk-Off
    This makes transitions instantly visible.

🔔 Alerts & notifications can be enabled so you receive:

  • popup alerts (and optional sound)
  • alerts on bar close (recommended to avoid false triggers while the candle is forming)


💬 Join our (optimizations + presets + tools)

Want the best performance out of this indicator? Join our Discord for:
✅ parameter optimization for your broker symbols
✅ ready-to-use presets (Crypto / Indices / FX)
✅ multi-timeframe setup guidance
✅ advanced tools and updates that improve signal filtering and execution quality


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BTCUSD
Signal
Indices
Crypto
XAUUSD
NAS100
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