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BTC vs US2000 โ€“ Ratio & Spread (BarDai v6 CLEAN)

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๐Ÿ“Œ How the Indicator Works

BTC vs US2000 โ€” Ratio & Spread

The indicator shows:
who is stronger right now โ€” crypto-risk (BTC) or equity-risk (US2000 / Russell-2000)

๐Ÿ“ˆ Top Panel โ€” RATIO + Risk Regime Signals
๐ŸŽฏ Ratio (cyan line)

Measures BTCโ€™s relative strength versus US2000:

๐Ÿ“ˆ Ratio rising โ†’ BTC outperforming โ†’ Risk-ON environment

๐Ÿ“‰ Ratio falling โ†’ BTC underperforming โ†’ Risk-OFF environment

๐Ÿ“‰ EMA (white line)

A smoothed benchmark.

โžก Key signal โ€” when Ratio crosses the EMA
That marks a shift in the risk regime.

๐ŸŸฉ๐ŸŸฅ Background Coloring (Risk Mode)
Condition Regime Meaning Trading Logic
Ratio above EMA ๐ŸŸฉ Risk-ON Capital flows into risk assets Favor BTC longs
Ratio below EMA ๐ŸŸฅ Risk-OFF Capital flows out of risk Prefer shorts / hedge / cash
๐Ÿงญ SpreadNorm โ€” Bottom Panel

๐ŸŽฏ SpreadNorm shows how strong the deviation is:

๐ŸŸฉ Above 0 โ†’ BTC risk premium

๐ŸŸฅ Below 0 โ†’ Equity-side risk premium (US2000 stronger)

It helps to:

โœ” confirm regime signals
โœ” filter false crossovers
โœ” measure strength of risk move

(Yellow dots mark extreme deviations โ†’ mean-reversion potential)

๐Ÿ“Œ Trading Usage Guide
Scenario Interpretation Action
Ratio above EMA + SpreadNorm green Stable Risk-ON Look for BTC long entries
Ratio below EMA + SpreadNorm red Stable Risk-OFF Avoid aggressive longs
SpreadNorm extreme + yellow dot Reversal potential Take profit / wait for crossover

๐Ÿ“Œ Best used on 30โ€“60m timeframes for intraday decision making.

๐ŸŽ Final Takeaway

The indicator tracks where risk-capital is flowing.
If BTC outperforms equities โ†’ we buy BTC.
If BTC underperforms โ†’ we donโ€™t buy (or short it).

Penafian

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