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The Directional Indicator (DI) is a component of the Average Directional Index (ADX) and is used to measure the presence of a trend.

The ADX is designed to show trend direction as well as trend strength. The directional movement oscillator converts the two lines of the DMI (Directional Movement Index) into a single oscillator that fluctuates above and below zero. A directional movement oscillator (DIOSC) is calculated by subtracting the -DI from the +DI.


When the Positive Directional Indicator (+DI) is moving up, and above the Negative Directional Indicator (-DI), then the price uptrend is strengthening. When the +DI is moving down, and below the -DI, then the price downtrend is strengthening. Crossovers between the +DI and -DI are sometimes used as trade signals as the crossover indicates the possibility of a new trend emerging.


Directional Indicator Oscillator (DIOSC) is showing the uptrend or downtrend of any calculated trend and using for deciding the movement directions.

Cash Out


Cash Out is only available for premium trading strategies.


Cash Out feature can be seen as a kind of fiduciary that constantly saves on behalf of traders.

The most important emotional and psychological dilemma of the traders is that the facts suddenly lose their meaning after the winning trades and they want to invest all their savings in risky markets with the desire to earn more. Therefore, most of the cumulative savings can be lost for this reason. The Cash Out feature is an innovative and emotionless feature that completely eliminates this situation.


Cash Out feature has been developed by focusing on three concepts. The first of these is the Fibonacci retracement levels. For example, when the cumulatively earned unit reaches 2.618 times, the 1 unit number used at the beginning is parked. And this 1-unit figure is no longer used for trading. The remaining 1,618 units are bought and sold. And so every time a cumulative gain occurs, the same Cash Out logic works and the cumulative accumulation continues exponentially.


The second concept of the Cash Out feature is Limit Cash Out. Limit Cash Out instantly checks the market conditions at the time of trading and the total accumulated figure and Cash Out on the candlesticks of the time period when the trading strategy is working. Thus, Limit Cash Out can perform Cash Out at any time interval. The biggest plus of the Limit Cash Out feature is that a trading strategy doesn't even need to be in the trade to Cash Out while it's running. The main criteria for the Limit Cash Out feature are the market conditions monitored instantly and the cumulative amount accumulated in total.

Officer Cash Out


The third one is Officer Cash Out, working exactly like an officer as the name suggests, focuses on making cash out at certain rates, regardless of how much capital is in the safe during the day. Even if the capital accumulated in the cashier has not reached the Fibonacci Cash Out or Limit Cash Out values, Officer Cash Out performs cash out transactions at the determined rates. In order for these rates to be valid, the "Enable Officer Cash Out" checkbox in the parameter options must be ticked.


The Cash Out feature works as a whole with the concepts of Fibonacci Cash Out, Limit Cash Out and Officer Cash Out. Monsterader trading strategies using Cash Out are unique in terms of use and allow traders to set aside some of their winnings for logical reasons.

Patent Pending

Cash Out is an ultimate blocks of codes for real time trading and created by Monsterader as an unique indicator. Cash Out is one of the most important and useful trading strategy features ever developed by Monsterader. Cash Out is a Patent-Pending trading strategy feature.


This trading strategy uses lots of features and was created with an algorithm that works in Dynamic Plus mode. Dynamic Plus Mode trading strategies allow to change the start and end dates of Safe and Crazy modes offered in Dynamic mode. Thus, you can change the working dates of the modes in Dynamic Plus according to parity, centralized exchanges or trading pairs.

This trading strategy is fully automated with its features.

Please use Modes of Trading Strategies page for more detailed information.

Signal Management

Signal management works on a two-layer architecture. Accordingly, when the triggering conditions occur, the decisions to buy-sell or close the position and open another position are automatically evaluated through these layers.

Signal management always waits for the candlestick close time to take a trade position and enter the position with the incoming buy or sell signal. For this reason, position entry transactions are made not at the moment the signal is given, but when that candlestick is closed and a new candlestick begins and if the signal still exists. Take profit or stop loss signals are executed as soon as signal is given, without waiting for the candlestick close time.

Although there are more than one triggering factor on the same candle, it may not be possible to buy-sell or close a position on that candle. Decision moments are evaluated by looking at more than one parameter on the back and a decision is made as a result of this evaluation. Basically, until an open position is closed, another position cannot be opened.

This feature has been developed to prevent the possibility of exponentially increased and possible reversed positioning. Thus, all transactions can be carried out in accordance with real-time trading.

Parameter Options

Parameter Description
Start Date Defines starting date and time.
End Date Defines ending date and time.
Execution Mode Defines the execution mode.
Safe Mode Begin Day Defines the begin day of safe mode.
Safe Mode End Day Defines the end day of safe mode.
DI Length Defines the Directional Indicator length in bars.
DI Upper Limit Defines the positive DI (+) tolerance limit.
DI Lower Limit Defines the negative DI (-) tolerance limit.
Maximum Contract Limit Defines the maximum contract limit that is bought for a single trade.
Tradable Balance Ratio Defines the balance ratio for a single trade. It eliminates the possible latency conflicts of trade signals and triggers.
Safe Signal Leverage Defines the safe mode signal leverage for entry.
Safe Buy Stop Loss Defines the safe mode buy stop loss limit in ticks for an order.
Safe Buy Take Profit Defines the safe mode buy take profit limit in ticks for an order.
Safe Sell Stop Loss Defines the safe mode sell stop loss limit in ticks for an order.
Safe Sell Take Profit Defines the safe mode sell take profit limit in ticks for an order.
Crazy Signal Leverage Defines the crazy mode signal leverage for entry.
Crazy Buy Stop Loss Defines the crazy mode buy stop loss limit in ticks for an order.
Crazy Buy Take Profit Defines the crazy mode buy take profit limit in ticks for an order.
Crazy Sell Stop Loss Defines the crazy mode sell stop loss limit in ticks for an order.
Crazy Sell Take Profit Defines the crazy mode sell take profit limit in ticks for an order.
Parameter Description
Enable Cash Out Plan Enables Cash Out Plan options.
Show Cash Out Plan Table Enables Cash Out Plan table.
Precision Defines the precision value of cash out parameter.
Enable Officer Cash Out Enables Officer Cash Out options.
Limit Target Cash Out Balance Unit Defines the target balance unit for Officer Cash Out option.
Limit Target Cash Out Divider Defines the ratio of cash out amount for Officer Cash Out option.
Limit Target Cash Out Weight Defines the weight of cash out amount for Officer Cash Out option.
Fibonacci Target Cash Out % Defines the target cash out ratio of Fibonacci Cash Out Plan.
Fibonacci Cash Out % Defines the cash out ratio of Fibonacci Cash Out Plan.
Limit Cash Out % Defines the cash out ratio of Limit Cash Out Plan.

Backtest Results

Important Notes for Backtest Results

  • All Monsterader trading strategies have been tested on multiple parities, multiple centralized exchanges, multiple timeframes based on transactions between 01.01.2021 and 30.09.2022, and are arranged according to the output that gives the best results.
  • There are multiple parametric algorithms behind each trading strategy, and the content, number, behavior and outputs of these parametric algorithms are the main factors in determining the trading strategies.
  • In most of the trading strategies organized with parametric algorithms, there are areas for TradingView users to change and customize according to their own decisions.
  • Please note that Monsterader cannot be held responsible for any transaction made with the automated execution or manual trading options, the profit and loss arising from these transactions, the operation of the connections made with the centralized exchange, or any mishaps that may occur independently of all these areas.
  • Please see our Disclaimer and Terms of Service and Privacy Policy Agreement for more details.


You can use this trading strategy to trade with any parity, any exchange or platform, any timeframe. These backtest results are only shown as examples and capabilities of trading strategies.

Parity Type DEX/Platform Timeframe Net Profit Accuracy Cash Out Count Cash Out Percentage
ETHUSDTPERP Crypto Binance 1D 612x 99% 21 23%
GOOGLUSD Stock NASDAQ 1D 12x 99% 43 41%
BTCUSDTPERP Crypto Binance 12H 603x 89% 156 71%

Important Notes

  • All strategies work in leveraged markets.
  • It is highly recommended to open transactions in isolated mode.
  • The results of real-time trading may change depending on the timeframe, parameters, parities and leveraged exchanges.
  • The commission rate realized in real-time trading transactions is accepted as 0.04. The commission rate can be adjusted from the strategy parameters according to the platform on which the transactions will be executed.
  • Real-time trade data can also be observed in the transactions.

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