I mean filter settings that you recommend as a professional not based on my profile settings
3/6/2026 05:34am
**Quick verdict 🏁**
For pure intraday speed and safety, I anchor on *liquidity* and *trend strength* first, then layer in momentum confirmation. The tightest professional “starter pack” looks like this:
1. **Liquidity & Structure**
• Average daily volume > 1 million shares 📊
• Relative volume (RVOL) > 1.5 to spot real-time interest 🔍
• Bid-ask spread tight enough for instant fills (scanner’s job, not a manual filter)
2. **Trend Confirmation**
• ADX above 25 to stay in strong-move territory 📈
• Price above its 20-period SMA (or 50-day for a broader view) to ride the primary flow 🛤️
3. **Momentum & Entry**
• MACD bullish crossover **and** histogram turning up—double-checks direction 🔄
• RSI 40-60 (neither overbought nor oversold) to catch fresh thrusts, not fades 🎯
4. **Risk-First Exit**
• ATR 0.5-3 % so stops aren’t too wide yet not glued to the price 📏
• Pre-define stop at recent swing low or 1 % of capital, whichever is tighter—your 1 % rule is spot-on.
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### Why this combo works 🤓✨
• **ADX > 25** quickly weeds out range-bound noise, letting you focus on markets with real direction.
• **MACD + RSI** together cut false signals; MACD sets the “go” flag, RSI validates healthy momentum.
• **Volume filters** ensure you’re not chasing thin tapes—RVOL > 1.5 is a trader’s gut-check for real participation.
• **ATR window** keeps risk quantifiable; scalpers love 0.5-3 % because it matches typical intraday swings without over-exposing capital.
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### Pro tip for the open 🌅
Run this base filter set live before the bell. If a name clears every box, you already know:
• Liquidity is there,
• A trend exists, and
• Momentum is building.
That leaves only *execution*—place your order, trail stops, and let the market do the rest. 🚀
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**Curious brain-teaser 🎈**
If ADX drops below 20 right after the open, do you sit tight or flip to a range-trading mode? Let’s strategize your next move! 😉