Financial Fundamentals Labels for ThinkorSwim

MerryDay

Administrative
Staff member
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This indicator displays fundamental data of a stock, including financial info such as Free Cash Flow, Profit Margin, etc., on your chart.
An overall weighted Score is calculated to gauge the overall financial health.

Use on a Daily Chart. Useful for anyone interested in fundamental stock research.
AiGdPyb.png

Ruby:
#Fundamental Data Labels _Mobius 4/26/20 (found on OneNote)
#
# @MerryDay revised 4/21:
# my interpretation of positive/negative values; should be modified to meet your strategy
# then calculated an overall weighted score based on:
# https://tradestation.tradingappstore.com/products/FundamentalScore/document/Fundamental_Score.pdf
# and other information found on the web
declare lower;
DefineGlobalColor("Pre_Cyan", CreateColor(50, 200, 255)) ;
DefineGlobalColor("LabelGreen",  CreateColor(0, 165, 0)) ;
DefineGlobalColor("LabelRed",  CreateColor(225, 0, 0)) ;
DefineGlobalColor("Violet", CreateColor (200, 125, 255)) ;
DefineGlobalColor("GrayGreen",  CreateColor(155, 167, 76)) ;
DefineGlobalColor("LitePink", CreateColor (220, 180, 180)) ;
DefineGlobalColor("neutral",  color.light_gray) ;
def fp = FiscalPeriod.YEAR;
def EPS = EarningsPerShareTTM(fiscalPeriod = fp);
def PE = round(close / EPS,1);
AddLabel(PE, "P/E ratio = " + Round(PE, 2),
                      if PE < 0 then GlobalColor("LitePink") else
                      if PE < 20 then GlobalColor("LabelGreen") else
                      if PE < 40 then GlobalColor("GrayGreen") else GlobalColor("Pre_Cyan"));

def EarnPerShare = if IsNaN(EarningsPerShareTTM())
                   then EarnPerShare[1]
                   else EarningsPerShareTTM();
AddLabel(EarnPerShare, "EPS-TTM = " + AsDollars(EarnPerShare),
                      if EarnPerShare > 0 then GlobalColor("LabelGreen") else GlobalColor("LitePink"));

def FreeCashFlowPerSh = if isNaN(FreeCashFlowPerShare())
                        then FreeCashFlowPerSh[1]
                        else FreeCashFlowPerShare();
AddLabel(FreeCashFlowPerSh, "Free Cash Flow Per Share = " + AsDollars(FreeCashFlowPerSh),
                  if FreeCashFlowPerSh > 0 then GlobalColor("LabelGreen") else GlobalColor("LitePink"));
def score_EarnCash = if PE <0 and FreeCashFlowPerSh < 0 and EarnPerShare < 0 then 0 else 5;

def Gross_Profit_Margin = if IsNaN(GrossProfitMargin())
                          then Gross_Profit_Margin[1]
                          else GrossProfitMargin();
AddLabel(Gross_Profit_Margin, "Gross Profit Margin = " + Round(Gross_Profit_Margin, 2),
               if Gross_Profit_Margin > 0 then GlobalColor("LabelGreen") else GlobalColor("LitePink"));

def Operating_Profit_Margin = if IsNaN(OperatingProfitMargin())
                              then Operating_Profit_Margin[1]
                              else OperatingProfitMargin();
AddLabel(Operating_Profit_Margin, "Operating Profit Margin = " + Round(Operating_Profit_Margin, 2),            
              if Operating_Profit_Margin > 0 then GlobalColor("LabelGreen") else GlobalColor("LitePink"));


def Net_Profit_Margin = if IsNaN(NetProfitMargin())
                        then Net_Profit_Margin[1]
                        else NetProfitMargin();
AddLabel(Net_Profit_Margin, "Net Profit Margin = " + Round(Net_Profit_Margin, 2),
               if Net_Profit_Margin > 0 then GlobalColor("LabelGreen") else GlobalColor("LitePink"));
def score_Profits = if Gross_Profit_Margin>0 or Net_Profit_Margin>0 or Operating_Profit_Margin > 0 then 3 else 0 ;

def CurRatio = if IsNaN(CurrentRatio())
               then CurRatio[1]
               else CurrentRatio();
AddLabel(CurRatio, "Current Ratio = " + Round(CurRatio, 2),
               if CurRatio > 2  then GlobalColor("GrayGreen") else
               if CurRatio >= 1 then GlobalColor("LabelGreen") else GlobalColor("LitePink"));

def Quick_Ratio = if IsNaN(QuickRatio())
                  then Quick_Ratio[1]
                  else QuickRatio();
AddLabel(Quick_Ratio, "Quick Ratio = " + Round(Quick_Ratio, 2),
               if Quick_Ratio > 2  then GlobalColor("GrayGreen") else
               if Quick_Ratio >= 1 then GlobalColor("LabelGreen") else GlobalColor("LitePink"));
def score_Ratios = if Quick_Ratio >= 1 or CurRatio >= 1 then 3 else 0;

def Return_On_Assets = if IsNaN(ReturnOnAssets())
                       then Return_On_Assets[1]
                       else ReturnOnAssets();
AddLabel(Return_On_Assets, "Return On Assets = " + Round(Return_On_Assets),
              if Return_On_Assets >= 15 then GlobalColor("Pre_Cyan") else
              if Return_On_Assets >= 10 then GlobalColor("LabelGreen") else
              if Return_On_Assets > 0 then GlobalColor("GrayGreen") else GlobalColor("LitePink"));


def Return_On_Equity = if IsNaN(ReturnOnEquity())
                       then Return_On_Equity[1]
                       else ReturnOnEquity();
AddLabel(Return_On_Equity, "Return On Equity = " + Round(Return_On_Equity),
              if Return_On_Equity >= 15 then GlobalColor("Pre_Cyan") else
              if Return_On_Equity >= 10 then GlobalColor("LabelGreen") else
              if Return_On_Equity > 0 then GlobalColor("GrayGreen") else GlobalColor("LitePink"));
def score_Returns = if Return_On_Equity >= 10 or Return_On_Assets >=10 then 1 else 0 ;


def Sales_Per_Share = if IsNaN(SalesPerShare())
                      then Sales_Per_Share[1]
                      else SalesPerShare();
AddLabel(Sales_Per_Share, "Sales Per Share = " + Round(Sales_Per_Share, 2),
                      if Sales_Per_Share > 0 then GlobalColor("LabelGreen") else GlobalColor("LitePink"));
def score_Sales_Per_Share = if Sales_Per_Share > 0 then 1 else 0;

def FixChgCovRatio = if IsNaN(FixedChargeCoverageRatio())
                     then FixChgCovRatio[1]
                     else FixedChargeCoverageRatio();
AddLabel(FixChgCovRatio, "Fixed Charge Coverage Ratio = " + Round(FixChgCovRatio, 2),
                     if FixChgCovRatio >= 1 then GlobalColor("LabelGreen") else GlobalColor("LitePink"));

def Total_Asset_Turnover = if IsNaN(TotalAssetTurnover())
                           then Total_Asset_Turnover[1]
                           else TotalAssetTurnover();
AddLabel(Total_Asset_Turnover, "Total Asset Turnover = " + Round(Total_Asset_Turnover, 2),
               if Total_Asset_Turnover > 1 then GlobalColor("LabelGreen") else  GlobalColor("neutral"));

def FinLev = if IsNaN(FinancialLeverage())
             then FinLev[1]
             else FinancialLeverage();
AddLabel(FinLev, "Financial Leverage = " + Round(FinLev, 2),
                      if FinLev > 0 and FinLev < 2 then GlobalColor("LabelGreen") else GlobalColor("LitePink"));
def score_FinLev = if FinLev < 2 then 1 else 0;

def BookValue = if IsNaN(BookValuePerShare())
                then BookValue[1]
                else BookValuePerShare();
AddLabel(BookValue, "Book Value Per Share = " + Round(BookValue),
                if BookValue < 2 then GlobalColor("Pre_Cyan") else
                if BookValue < 3 then GlobalColor("LabelGreen") else GlobalColor("neutral"));

def Long_Term_Debt_To_Capital = if IsNaN(LongTermDebtToCapital())
                                then Long_Term_Debt_To_Capital[1]
                                else LongTermDebtToCapital();
AddLabel(Long_Term_Debt_To_Capital, "Long Term Debt To Capital = " + Round(Long_Term_Debt_To_Capital, 2),
 if Long_Term_Debt_To_Capital < 5 then GlobalColor("LabelGreen") else GlobalColor("LitePink"));
def score_Long_Term_Debt_To_Capital = if Long_Term_Debt_To_Capital < 5 then 1 else 0;

def Inventory_Turnover = if IsNaN(InventoryTurnover())
                         then Inventory_Turnover[1]
                         else InventoryTurnover();
AddLabel(Inventory_Turnover, "Inventory Turnover = " + Round(Inventory_Turnover, 2),
               if Inventory_Turnover < 5  then GlobalColor("LitePink") else
               if Inventory_Turnover < 10 then GlobalColor("Pre_Cyan") else
               if Inventory_Turnover < 15 then GlobalColor("GrayGreen") else GlobalColor("LitePink"));

def DivPayout = if IsNaN(DividendPayout())
                then DivPayout[1]
                else DividendPayout();
AddLabel(DivPayout, "Dividend Payout = " + round(DivPayout,2) + "%", GlobalColor("neutral"));

def DivPerShare = if IsNaN(DividendsPerShareTTM())
                  then DivPerShare[1]
                  else DividendsPerShareTTM();
AddLabel(DivPerShare, "Dividend Per Share = " + AsDollars(DivPerShare), GlobalColor("neutral"));

def DivYield = if IsNaN(DividendsPerShareTTM())
                  then DivPerShare[1]
                  else DividendsPerShareTTM()/Close;
AddLabel(DivPerShare, "Dividend Yield = " + AsPercent(DivYield), GlobalColor("neutral"));

def Interest_Rate = if IsNaN(InterestRate())
                    then Interest_Rate[1]
                    else InterestRate();
AddLabel(Interest_Rate, "Interest Rate = " + Round(Interest_Rate, 2), GlobalColor("neutral"));

def Tax_Rate = if IsNaN(TaxRate())
               then Tax_Rate[1]
               else TaxRate();
AddLabel(Tax_Rate, "Tax Rate = " + Round(Tax_Rate, 2), GlobalColor("neutral"));

plot score = score_Returns + score_EarnCash + score_ratios + score_Profits
           + score_FinLev + score_Sales_Per_Share + score_Long_Term_Debt_To_Capital;
AddLabel(yes, "SCORE: " + score,
if score >= 12 then GlobalColor("Pre_Cyan") else
if score >= 10 then GlobalColor("LabelGreen") else
if score >= 8 then GlobalColor("GrayGreen") else GlobalColor("LitePink"));
 
Last edited:

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I imported the indicator in my TOS, but I dont see any label in the lower side of the chart. I tried changing different stocks as well.
 
Last edited by a moderator:
@mjlinhle I am SO excited that there is interest in Fundamental Analysis! Both longer-term investors and shorter-term traders may be able to improve their chances of success by using fundamental factors to select stocks, and technical indicators to dictate the ideal entry or exit price.

How P/E Ratio is Calculated:

The P/E ratio shown in this script is: Basic Trailing 12mth Earnings / Price. The internet confirms that Apple's trailing P/E ratio is 42.4 as of the close of Friday January 22nd (this is the diluted EPS which includes convertible securities). The TOS label in this study displays: 42.5 because it is the basic ttm w/o convertible securities.

wHQ5agc.png


What P/E ratio is TOS displaying in its Company Growth pane is a good question. In @STB's chart in post#2 which is a snapshot of just after market close TOS shows: $40.32. The snapshot I just posted now shows $38.82. The difference between these two tells me that the TOS version is using after-hours data. We do not have access to the TOS P/E Ratio so that is just my best guess. HTH

@arihantbaid Here is the Shared Chart Link: http://tos.mx/7UCFTD3
 
Last edited:
Thanks for this! Very well done. I wish there was a way to add the short float or short ratio for each company too lol 🙏
 
Hey @STB , could you please elaborate or show your codes for the labels volume, profile and Trade? It’s pretty similar to verniman chart labels.
Thank you.
 
@MTH Volume just goes green if current volume is greater than previous candle and close>open and turns red if volume greater and close<open.
Profile is green if PCO is greater than mid point of profile and price is above poc, dark green if below poc & vice versa for red and dark red.
Trade is if high> high[1) on ES & ADSPD or vice versa for low<low[1].
Verniman goes by mostly looking for adspd volume and price breaking at the same time with large orders on time sales. I’ve been trying his method which works great for him but I have figured I am not a break out trader I have always been more comfortable fading support an resistance levels, reversion to the mean.
 
I am a LONG time lurker - Never had much to contribute to the forum but am so thankful for everyone who does and gives me something to read. I check out everything posted on the forums indicator wise but really just use the same indicators I have been for the last 10 years. This fundamental indicator is amazing. I really can't thank you enough. What great work! created an account just to say thanks!
 
This code is amazing. It's weird it only works on certain stocks though, that is a fault of TD Ameritrade, not yours. Thank you for putting this together and posting here @MerryDay
When I look at $JNJ, I get the 21 labels like in your picture, if I look at $C, I only get 11, if I look at $DISCA, I get 19, if I look at $CHWY, I get 0 results, it kinda looks like smaller market caps don't show very much at all. some were just showing 0, 1 or 2, which is disappointing.
 
@mjlinhle I am SO excited that there is interest in Fundamental Analysis! Both longer-term investors and shorter-term traders may be able to improve their chances of success by using fundamental factors to select stocks, and technical indicators to dictate the ideal entry or exit price.

How P/E Ratio is Calculated:

The P/E ratio shown in this script is: Basic Trailing 12mth Earnings / Price. The internet confirms that Apple's trailing P/E ratio is 42.4 as of the close of Friday January 22nd (this is the diluted EPS which includes convertible securities). The TOS label in this study displays: 42.5 because it is the basic ttm w/o convertible securities.

wHQ5agc.png


What P/E ratio is TOS displaying in its Company Growth pane is a good question. In @STB's chart in post#2 which is a snapshot of just after market close TOS shows: $40.32. The snapshot I just posted now shows $38.82. The difference between these two tells me that the TOS version is using after-hours data. We do not have access to the TOS P/E Ratio so that is just my best guess. HTH

@arihantbaid Here is the Shared Chart Link: http://tos.mx/7UCFTD3
This is a great script, really helps with picks, Thank you so much for sharing. Just curious if it is possible to install a 3 year or 5 years earnings growth percentage?
 
Found this on a blog by Kevin McGrath its his thinkorswim thinkscript code, im just posting it, i have no clue how the algo portion works, someone may find it interesting. Im posting it more for the labels if someone wasnt to extract the code to take out the algo feel free to post back.


Sharpe & Sortino - CAGR (Compound annual growth rate )-- RoR ( Rate of Return) --- LABELS
image.png



Code:
# StochasticCrossoverSystem_Equity_Stats

# idea by Kevin McGrath
# source: http://www.stockfetcher.com...
#hint: Designed to be used in combination with a 3% trailing stop, NO EXCEPTIONS !.

# ported and adapted by TrendXplorer in cooperation with Aurelia
# blog : www.trendxplorer.info
# email: [email protected]
# build: June 24, 2013
# last update: October 14, 2013

#
# --- start of code ---
#

script Sharpe {
    input price = close;
    def length = 63;
    def AvgPrice63 = Average(price, length);
    def expectedReturn = (price / price[length]) - 1;
# riskfreeReturn: 13-week treasuries as a proxy for a risk free return
    def riskfreeReturn = if !IsNaN( close("IRX"))
then Average(close("IRX"), length) / 100
else riskfreeReturn[1];
    def effectiveReturn = expectedReturn - riskfreeReturn;
    def AvgVariance63 = ( fold i = 0 to length with AV do AV + Sqr(GetValue(price, i) - AvgPrice63) ) / length;
    def sd63 = Sqrt(AvgVariance63);
    def volatility63 = sd63 / AvgPrice63;
    plot Sharpe = Sqrt(length / 252) * (effectiveReturn / volatility63); # annual
}

script Sortino {
    input price = close;
    def length = 63;
    def AvgPrice63 = Average(price, length);
    def expectedReturn = (price / price[length]) - 1;
# riskfreeReturn: 13-week treasuries as a proxy for a risk free return
    def riskfreeReturn = if !IsNaN( close("IRX"))
then Average(close("IRX"), length) / 100
else riskfreeReturn[1];
    def effectiveReturn = expectedReturn - riskfreeReturn;
    def AvgUnderperf63 = ( fold n = 0 to length with AUP do AUP + if GetValue(price, n) - AvgPrice63 > 0
then 0 else Sqr(GetValue(price, n) - AvgPrice63) ) / length;
    def sdUnderperf63 = Sqrt(AvgUnderperf63);
    def volatilityUP63 = sdUnderperf63 / AvgPrice63;
    plot Sortino = Sqrt(length / 252) * (effectiveReturn / volatilityUP63); # annual
}

declare lower;

input longETF = "SSO";
input shortETF = "SDS";

input tradingType = {"LONG ONLY", default "LONG & SHORT"};

input kPeriod = 5;
input dPeriod5 = 5;
input dPeriod10 = 10;

input valueStart = 100000;
input DDcloud = yes;

# stochastic crossover logic for generating long/short triggers & initialization
def notValid = IsNaN(close(longETF)) or IsNaN(close(shortETF));
def D5 = CompoundValue(1, if BarNumber() <= 1 then 0 else if notValid then 0 else -1 * StochasticFull(80,  20,  kPeriod,  dPeriod5,  high,  low,  close,  1, averageType = AverageType.SIMPLE).FullD, 0);
def D10 = CompoundValue(1, if BarNumber() <= 1 then 0 else if notValid then 0 else -1 * StochasticFull(80,  20,  kPeriod,  dPeriod10,  high,  low,  close,  1, averageType = AverageType.SIMPLE).FullD, 0);

# logic for entry, exit and open market position
def length = dPeriod10;
def long = D5[1] crosses above D10[1];
def longOn = CompoundValue(length, if long then 1 else if D5[1] > D10[1] then longOn[1] else 0, 0);
def short = longOn[1] and D5[1] crosses below D10[1];
def shortOn = CompoundValue(length, if short then 1 else if D5[1] < D10[1] then shortOn[1] else 0, 0);

# prices
def buyLong = CompoundValue(length, if long then open(longETF) else buyLong[1], 50);
def buyShort = CompoundValue(length, if short then open(shortETF) else buyShort[1], 50);
def sellLong = if short then open(longETF) else buyLong;
def sellShort = if long then open(shortETF) else buyShort;

# "value" keeps track of dollar value at long/short switching
rec value = CompoundValue(1, if long and shortOn[1] then if tradingType == tradingType."LONG ONLY" then value[1] else value[1] + Floor(value[1] / buyShort) * (sellShort - buyShort) else if short then value[1] + Floor(value[1] / buyLong) * (sellLong - buyLong) else value[1], valueStart);

# floating profit/loss:
def longFPL = (Floor(value[1] / buyLong)) * (open(longETF) - buyLong);
def shortFPL = if tradingType == tradingType."LONG ONLY" then 0 else (Floor(value[1] / buyShort)) * (open(shortETF) - buyShort);
def openFPL = if longOn then longFPL else if shortOn then shortFPL else 0;
def lockFPL = CompoundValue(1, if longOn and shortOn[1] then lockFPL[1] + shortFPL else if shortOn and longOn[1] then lockFPL[1] + longFPL else lockFPL[1], 0);

# realized profits
plot pocketPL = if !IsNaN(close) then lockFPL else Double.NaN;
pocketPL.SetDefaultColor(Color.WHITE);
pocketPL.SetLineWeight(1);
pocketPL.HideBubble();

plot startLevel = if !IsNaN(close) then valueStart else Double.NaN;
startLevel.SetDefaultColor(Color.DARK_GREEN);
startLevel.SetLineWeight(3);
startLevel.HideBubble();
startLevel.HideTitle();

# Net Liquidation Value of portfolio
plot NLV = if !IsNaN(close) then value + openFPL else Double.NaN;
NLV.SetDefaultColor(Color.WHITE);
NLV.AssignValueColor(if longOn then CreateColor(0, 153, 0) else if shortOn then Color.DARK_GREEN else Color.WHITE);
NLV.SetPaintingStrategy(PaintingStrategy.HISTOGRAM);
NLV.SetLineWeight(3);

# calculation of DrawDown percentage and MaxDD percentage:
def peak = Max(NLV, peak[1]);
def peakPL = peak;
def _DD = if NLV <> 0 then 100 * (peak - NLV) / peak else 0;
def mDD = Max(_DD, mDD[1]);
def maxDD = mDD;
def lastBar = if !IsNaN(close) and IsNaN(close[-1]) then 1 else 0;
plot DD = if lastBar then Round(_DD) else Double.NaN;
DD.SetDefaultColor(Color.RED);
DD.HideBubble();

# Rate of Return (RoR) calculation
def RoR = 100 * (NLV - valueStart) / valueStart;

# CAGR calculation
def init = CompoundValue(1, if long then 1 else init[1], 0);
def initBar = CompoundValue(1, if init and !init[1] then BarNumber() else initBar[1], 0);
def endBar = BarNumber();
def chartAgg = GetAggregationPeriod();
def nBarYear = if chartAgg == AggregationPeriod.WEEK then 52 else if chartAgg == AggregationPeriod.DAY then 252 else 0;
def years = (endBar - initBar) / nBarYear;
def CAGR = 100 * (Power( (NLV / valueStart), (1 / years) )) - 100;

# Sharpe & Sortino
def Sharpe = Sharpe(RoR);
def Sortino = Sortino(RoR);

# profit for each ETF
rec profitLong = if shortOn and longOn[1] then profitLong[1] + longFPL else profitLong[1];
rec profitShort = if longOn and shortOn[1] then profitShort[1] + shortFPL else profitShort[1];

# contribution of long and short to total PL
plot totLongPL = profitLong;
plot totShortPL = profitShort;

# default: painting is off
totLongPL.SetDefaultColor(Color.CYAN);
totLongPL.SetLineWeight(2);
totLongPL.Hide();
totLongPL.HideBubble();
totLongPL.HideTitle();
totShortPL.SetDefaultColor(Color.MAGENTA);
totShortPL.SetLineWeight(2);
totShortPL.Hide();
totShortPL.HideBubble();
totShortPL.HideTitle();

# number of trades
def trades = CompoundValue(1, if long or short then trades[1] + 2 else trades[1], 1);
def winTrades = CompoundValue(1, if long or short then if openFPL[1] >= 0 then winTrades[1] + 1 else winTrades[1] else winTrades[1], 0);
def lossTrades = CompoundValue(1, if long or short then if openFPL[1] < 0 then lossTrades[1] + 1 else lossTrades[1] else lossTrades[1], 0);

# Cloud, Bubbles and Labels
AddCloud(if DDcloud then peakPL else Double.NaN, if DDcloud then NLV else Double.NaN, Color.RED);

AddChartBubble(yes and peak == HighestAll(peak) and !(peak[1] == HighestAll(peak)), NLV, Concat("Peak NLV: $ ", Floor(peakPL)), Color.WHITE, yes);
AddChartBubble(yes and maxDD == HighestAll(_DD) and !(maxDD[1] == HighestAll(_DD)), NLV, Concat("Max DD: ", Concat(Concat(Concat(Concat(Round(maxDD), " %"), "\n (= $ "), Floor(peak - NLV)), " )")), Color.RED, no);

AddLabel(yes, Concat("NLV: $ ", Floor(NLV)), if NLV >= valueStart then CreateColor(0, 153, 0) else Color.RED);
AddLabel(yes, Concat("PocketPL: $ ", Floor(pocketPL)), if lockFPL >= 0 then Color.WHITE else Color.RED);
AddLabel(yes, Concat("Open Profit: $ ", Floor(openFPL)), if openFPL >= 0 then Color.GREEN else Color.RED);
AddLabel(yes, " " + longETF + ": $" + Floor(profitLong) + " (" + Floor(100 * profitLong / lockFPL) + "%)", Color.CYAN);
AddLabel(tradingType == tradingType."LONG & SHORT", " " + shortETF + ": $" + Floor(profitShort) + " (" + Floor(100 * profitShort / lockFPL) + "%)", Color.MAGENTA);
AddLabel(yes, Concat(" RoR: ", Concat(Round(RoR), " %")), if RoR >= 0 then Color.LIGHT_GREEN else Color.RED);
AddLabel(yes, Concat(" CAGR: ", Concat(Round(CAGR), " %")), Color.GREEN);
AddLabel(yes, Concat(" Sharpe: ", Round(Sharpe)), Color.VIOLET);
AddLabel(yes, Concat(" Sortino: ", Round(Sortino)), Color.YELLOW);
AddLabel(yes, Concat(" Current DD: ", Concat( Round((_DD) ), " %")), Color.DARK_ORANGE);
AddLabel(yes, Concat(" max DD: ", Concat( Round(maxDD), " %")), Color.RED);
AddLabel(yes, " Round trips: " + (trades - 1) / 2 + " [ Win: " + winTrades + " (" + Round(100 * winTrades / ((trades - 1) / 2)) + "%), Loss: " + lossTrades + " (" + Round(100 * lossTrades / ((trades - 1) / 2)) + "%) ]", Color.PINK);

#
# --- end of code ---
#
 

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