During experiments with the market, I found out that simple strategy is the best solution. However, I decided to bring some of my ideas on the 2 MA strategy. - Instead of SMA - there will be 2 EMA, so the strategy will be more sensitive to the latest data; - There is an option, which regulates the difference between those 2 EMAs, this should protect us from false trend enter; - There is an option "Exit tolerance", which regulates how much could be the difference between 2 EMAs after crossover. This supposed to protect us from the false trend exit.