FX Global Strength — Interpretation & Trading FrameworkFX Global Currency Strength — Interpretation & Trading Framework
Enhance your market reading with real-time global strength lines for all major currencies.
Use this tool to confirm breakout validity, detect early divergences, and understand money flow dynamics across FX pairs.
Tip: I strongly recommend backtesting each technique on your preferred market conditions.
COMPONENTS
• Global Strength Lines
Show the relative performance of each major currency calculated across all their pairs.
You can apply the indicator on any timeframe — M1 to Monthly — and the strength is recalculated based on the selected period.
• Strength Difference (Base vs Quote)
Automatically computes which currency is stronger on the chart pair you are trading.
• Interactive Legend
Clear color-coded layout to instantly recognize each currency’s strength line.
HOW TO READ & INTERPRET
1. Global Currency Strength Lines
Higher line = stronger currency, gaining value across the market.
Lower line = weaker currency, losing value across pairs.
Quickly identify which currencies are being bought or sold globally.
Avoid low-quality setups: when both currencies of a pair are equally strong or equally weak, price tends to range or give false signals.
2. Risk-On / Risk-Off Context
Strength clustering reveals market sentiment:
Risk-On: high-beta currencies (AUD, NZD, GBP) strengthening together while safe havens (JPY, CHF) weaken.
Risk-Off: JPY/CHF strengthening while AUD/NZD/GBP weaken.
This helps confirm trend reliability and reduces the chance of trading against global flows.
3. Breakout Confirmation Using Strength
Before trading a breakout on your chart:
Check if the base currency is rising and the quote currency is dropping.
A breakout is more valid when price action + global strength move in the same direction.
If the chart breaks out but strength lines do not confirm the move, consider it a high probability of a false breakout.
4. Divergence Detection
Global strength lines provide early warnings:
If price makes new highs but base currency strength does not, momentum is fading.
If price makes new lows but quote currency weakens slower, a reversal may form.
This acts like an advanced RSI-style divergence, but measured across the entire FX market, not just one pair.
5. Money Flow Insight
Because the indicator aggregates data across all major pairs:
You can clearly see where capital is flowing across the FX market.
This helps you choose the best pairs to trade, not just the direction.
Example:
If USD is the strongest and JPY is the weakest → USDJPY typically offers strong, clean directional movement.
SUMMARY — Why This Indicator Helps
✓ Confirms your breakout trades
✓ Avoids weak or noisy chart conditions
✓ Catches early divergence before price reverses
✓ Shows market sentiment (risk-on / risk-off)
✓ Helps select the cleanest, most directional currency pairs
✓ Works on any timeframe, adapting to your trading style (scalping, swing, or position trading)
サイクル
Multi Time Frame High/Low LevelsThe indicator displays the High and Low levels of different timeframes independently of the chart’s timeframe. The levels labeled as “Live,” shown with dashed lines, represent the real-time High and Low of the currently active timeframe. When the timeframe closes and a new one begins, the dashed lines turn into solid lines. For each timeframe, up to 10 historical levels are displayed.
The High and Low levels of the current (dashed-line) timeframe move automatically on the chart as they change in real time. The main purpose of the indicator is to make the levels of different timeframes visible while analyzing a chart in a specific timeframe
Trade Setup A+ Full System [XAUUSD]🚀 Trade Setup A+: Liquidity Hunter System
This indicator is designed for XAUUSD (Gold) scalping and swing trading, combining Smart Money Concepts (SMC) with Price Action. The system focuses on high-probability setups by identifying where major liquidity resides.
💎 Key Features:
Auto Order Blocks: Automatically draws Bullish (Green) and Bearish (Red) Order Blocks from 4H/1H timeframes.
Liquidity Levels: Displays Previous Day High (Old High) and Previous Day Low (Old Low) to identify liquidity sweeps.
Trend Filter: Includes a color-coded EMA 14 for 5m momentum confirmation.
Macro Time Zones: Highlights high-volume trading sessions (Asia, London, NY) directly on the chart background.
📈 How to Trade:
SELL: Wait for price to reject a Bearish Order Block or sweep the Old High. Confirm with a break below EMA 14 (5m).
BUY: Wait for price to reject a Bullish Order Block or sweep the Old Low. Confirm with a break above EMA 14 (5m).
Best Times: Focus on highlighted Macro Times (colored background) for better volatility.
⚠️ Disclaimer: This tool is for educational purposes only. Always use proper risk management.
ระบบเทรด "Setup A+" ที่ออกแบบมาเพื่อการเก็งกำไรในทองคำ (XAUUSD) โดยเฉพาะ โดยเน้นความแม่นยำสูง (High Probability) และ Risk Reward Ratio (RR) ที่คุ้มค่าค่ะ
ระบบนี้ผสมผสานระหว่าง Smart Money Concepts (SMC) และ Price Action เพื่อหาจุดที่รายใหญ่เข้าตลาด โดยมีหลักการสำคัญคือ "ตามรอยสภาพคล่อง (Liquidity)" ค่ะ
💎 ทำไมต้องระบบนี้? (Key Concepts)
ตลาดไม่ได้เคลื่อนที่แบบสุ่ม แต่เคลื่อนที่เพื่อไปหา Liquidity (สภาพคล่อง) เสมอค่ะ
ล่า Stop Loss: ก่อนกราฟจะกลับตัวจริง มักจะวิ่งไปกิน Stop Loss ของรายย่อยที่ Old High หรือ Old Low เสมอ
Order Block: เราจะเข้าเทรดในจุดที่ "เจ้ามือ" วางเงินก้อนใหญ่ไว้
Macro Time: เทรดเฉพาะช่วงเวลาที่มี Volume จริงเท่านั้น เพื่อลดการติดดอยและรอราคานาน
🛠️ เครื่องมือที่ใช้ (System Tools)
Auto Order Block: กล่องโซนซื้อขาย (Supply & Demand) จาก Timeframe 4H/1H
Old High / Old Low: เส้นราคา High/Low ของวันก่อนหน้า (จุดดักกิน SL)
EMA 14: เส้นแบ่งทิศทาง Momentum ระยะสั้น (ใช้ใน TF 5m)
Macro Time Zones: แถบสีบอกช่วงเวลาเทรด (Killzones)
📋 กฎการเทรด (Trading Rules)
คู่เงิน: XAUUSD (Gold) Timeframe วิเคราะห์: 4H, 1H Timeframe เข้าออเดอร์: 5m, 15m Winrate คาดหวัง: 80-90% (เมื่อรอ Setup ที่สมบูรณ์)
⏰ ช่วงเวลาเทรด (Macro Time - GMT+7)
เน้นเทรดช่วงที่กราฟวิ่งแรง (Expansion) เพื่อจบงานไวค่ะ:
07:00 - 09:00 (Asia)
14:00 - 15:30 (London Open)
17:00 - 19:00 (London/NY Overlap - แรงสุด)
23:00 - 00:30 (NY PM)
⚠️ เลี่ยงช่วง 20:30 - 22:00 (NY Open) เพราะกราฟมักสบัดหลอกค่ะ
Anup Algo + For Full Version Contact on Whatsapp +918123456805Best indicator For Algo Trading Auto Buys & Sells, Auto Tp & Sl Works for All pairs forex commodities crypto
Contact on Whatsapp +918123456805 for full version
幣Real專屬指標 (試用版-2025/12/31)### English Description
**Overview**
This "Multiple Judgment Indicator" is a comprehensive trading tool designed to filter out market noise and identify high-probability trend reversals. It combines trend analysis with momentum oscillators to generate clear entry and exit signals.
**Key Features & Logic**
The script calculates a composite signal based on the following logic:
1. **Trend Filter:** It uses 【填入指標1,例如: EMA 200】 to determine the overall market direction.
2. **Momentum Confirmation:** It incorporates 【填入指標2,例如: RSI or MACD】 to detect overbought/oversold conditions.
3. **Signal Generation:** A strict "Multiple Judgment" algorithm ensures that signals are only plotted when all conditions align, reducing false positives in choppy markets.
**How to Use**
* **Long Signal:** Look for the 【填入顏色,例如: Green】 label/shape on the chart. This indicates that the trend is bullish and momentum is supportive.
* **Short Signal:** Look for the 【填入顏色,例如: Red】 label/shape. This suggests a potential downward move.
* **Stop Loss:** Suggested stop loss levels can be placed at the recent swing high/low.
**Trial Information**
This script is currently available for a free trial.
* **Expiration Date:** 2025/12/31
* After this date, the indicator will require re-authorization or an update to function.
---------------------------------------
### 中文說明
**概述**
本「多重判定指標」是一個綜合型的交易工具,旨在過濾市場雜訊並識別高機率的趨勢反轉點。它結合了趨勢分析與動能震盪指標,以產生明確的進出場訊號。
**核心功能與邏輯**
本腳本基於以下邏輯計算綜合訊號:
1. **趨勢過濾:** 使用 【填入指標1,例如: EMA 200】 來判斷整體市場方向。
2. **動能確認:** 結合 【填入指標2,例如: RSI 或 MACD】 來偵測超買/超賣區域。
3. **訊號生成:** 嚴格的「多重判定」演算法確保只有在所有條件都一致時才會發出訊號,減少盤整市場中的假突破。
**使用方法**
* **做多訊號:** 當圖表上出現 【填入顏色,例如: 綠色】 標籤/圖形時,代表趨勢看漲且動能支撐。
* **做空訊號:** 當出現 【填入顏色,例如: 紅色】 標籤/圖形時,代表潛在的下跌趨勢。
**試用資訊**
本指標目前提供免費試用。
* **試用期限:** 至 2025/12/31 止。
* 過期後指標將需要重新授權或更新才可繼續使用。
SMT [Basic] by TMUMajor market moves often align with Key Time Cycle SMTs. This indicator helps you detect SMTs on lower timeframes and identify Key Market Reversals in real-time.
For a more advanced free version and to learn more about SMTs, visit: SMTdetector.com.
Basis & APR Table [BTC/ETH]Basis & APR Table
BTC, ETH의 선물 가격과 현물 가격의 차이(베이시스) 그리고 그 차이를 **연 환산 수익률(APR)**로 바꿔서 보여주는 표야.
두 개의 선물 만기(예: 12/26, 03/27)를 동시에 보면서 어떤 만기가 더 매력적인지 비교할 수 있게 만든 거라고 보면 돼.
컬럼별 설명
종목명
코인 이름 (BTC, ETH).
1226 (18일 남음)
12월 26일에 만기되는 선물 가격.
뒤에 적힌 “18일 남음”은 그 만기까지 남은 날짜 수.
갭-1
1226 선물이 현재 현물 가격보다 몇 퍼센트 비싸거나 싼지를 나타내는 값.
양수면 선물이 현물보다 비싸고, 음수면 선물이 더 싼 상태.
APR-1
갭-1을 연 수익률 기준으로 환산한 값.
지금 기준 가격 차이가, 12월 26일까지 같은 비율로 유지된다고 가정했을 때
1년 기준으로 환산하면 몇 퍼센트 수익률이 되는지 보여줌.
0327 (109일 남음)
3월 27일 만기 선물 가격.
괄호 안은 역시 그 만기까지 남은 일수.
갭-2
0327 선물의 현물 대비 가격 차이를 퍼센트로 표시한 값.
해석은 갭-1과 동일.
APR-2
갭-2를 연 수익률 기준으로 환산한 값.
3월 27일 만기까지 들고 있다고 가정했을 때의 연 환산 수익률.
현물
현재 BTC 혹은 ETH의 실제 현물 가격.
기본편비-1 / 기본편비-2
사용자가 미리 정해 둔 기준 베이시스(또는 기준 APR) 값으로 보는 게 자연스러워.
이 숫자와 비교해서
현재 APR이 이 값보다 높으면 “평소보다 베이시스가 많이 붙었다(프리미엄 큼)”
낮으면 “평소보다 베이시스가 작다(프리미엄 작음)”
정도 판단하는 용도로 쓰는 참고 기준치라고 이해하면 돼.
Basis & APR Table
This table displays the futures basis (the price difference between futures and spot) for BTC and ETH,
and converts that difference into an annualized return (APR).
You can compare two expiries (e.g., Dec 26 and Mar 27) to see which one offers a more attractive implied yield
for a basis or cash-and-carry trade.
Column details
Symbol
The asset name (BTC, ETH).
1226 (18 days left)
Futures price that expires on December 26.
“18 days left” shows how many days remain until that expiry.
Gap-1
How many percent the 1226 futures price is above or below the current spot price.
Positive = futures are more expensive than spot (premium).
Negative = futures are cheaper than spot (discount).
APR-1
The annualized return implied by Gap-1.
It tells you what the yield would be on a yearly basis if today’s price difference stayed the same
and you held the position until the Dec 26 expiry.
0327 (109 days left)
Futures price that expires on March 27.
The number in parentheses is the remaining days to that expiry.
Gap-2
Percentage premium or discount of the Mar 27 futures relative to spot.
Interpreted in the same way as Gap-1.
APR-2
Annualized return implied by Gap-2, assuming you hold the position until the Mar 27 expiry.
Spot
The current spot price of BTC or ETH.
Base Basis-1 / Base Basis-2
User-defined reference levels for the “normal” basis or APR for the near and far contracts.
They are used as benchmarks:
If the current APR is above this level, the basis is relatively rich.
If it is below, the basis is relatively cheap.
Swing Aurora v7.0 — The ExecutionerSwing Aurora v7.0 — The Executioner
Swing Aurora v7.0 is a multi-engine swing trading framework that combines trend-following, momentum, HTF confluence and SMC/Fibonacci structure in one script.
This version moves from a rigid gate logic to a scoring + state machine engine, so you can see not only if there is a signal, but how strong that signal really is.
🧠 1. Scoring Engine – A-Grade & B-Grade Signals
Instead of a single if (all conditions == true) check, v7.0 builds a score on every bar:
Trend score – position vs Baseline, slope, Supertrend direction.
Momentum score – MACD, RSI-Stoch triggers, ADX, local HH/LL.
HTF score – alignment with higher timeframe Baseline, Bias EMA, EMAs and RSI.
Confluence flags – divergences, ST flip/retest, SMC zones, VDub context.
Results:
A-Grade (Strong) signals → high score, strong trend + momentum + HTF alignment.
B-Grade (Speculative) signals → early/partial setups, clearly marked as higher risk.
You no longer lose good entries just because one minor filter disagrees, but you can clearly distinguish high-quality setups from speculative ones.
🔁 2. Strict Trade Cycle – State Machine
v7.0 uses a simple state machine:
0 = Flat, 1 = Long, -1 = Short.
When you are Long, the script only looks for exits or reversals, not new BUY entries.
Same for Short.
This enforces a clean, disciplined flow:
BUY → Hold → EXIT → wait for next setup, without label spam or conflicting signals while already in a position.
🛡️ 3. Quality Gates & Anti-FOMO Filters
To avoid buying local tops or chopping yourself to death:
RSI Gate – blocks BUY when RSI is already overbought (and vice-versa for SELL).
ATR Over-Extension filter – no entries when price is too far from the Baseline (parabolic moves).
No-Trade / Chop zone – combines ADX, ATR vs ATR-slow, distance to Baseline, Bollinger/Keltner squeeze and volume behavior.
Volume Gate – requires a real volume spike, not just random price wiggle.
Supertrend Gate – entries are synchronized with ST (flip / early / retest — configurable).
HTF Guardrails – optional: blocks entries against the dominant HTF regime.
📈 4. Visual Layer: Trend Map, Labels & Gradient
BUY/SELL labels with confidence percentage.
Background gradient based on trend direction and strength (ADX).
EMA 13/21 + Baseline with dynamic bull/bear colors.
Optional mini-legend showing: TS / RSI / ADX / HTF status at a glance.
🧩 5. Divergences, VDub & Macro Map
Full divergence engine (classic + hidden) on a basket of indicators (RSI, MACD, CCI, OBV, etc.), with optional lines and count labels.
VDub levels & signals – “smart levels” (solid/dotted) and add-on BUY/SELL signals filtered by market regime.
HTF Macro Map – higher timeframe Baseline, Bias EMA, fast EMAs, RSI and slope, using an auto or user-selected higher TF.
🧱 6. SMC Zones & Fibonacci (v7.0 Logic)
The SMC / Fibo component was refined so it is not hard-wired to the current bar’s entry signal:
Automatic HH / HL / LH / LL market structure labelling.
Demand / Supply zones:
derived from BOS with ATR buffer,
auto-update bar-by-bar,
auto-delete when broken or after a user-defined lifetime.
Fibonacci range:
built from the latest valid swing-high / swing-low,
shows 0 / 0.382 / 0.5 / 0.618 / 1 / 1.618 levels plus equilibrium line,
persists while the range is valid (independent of being in a trade).
AI zone boost (v7.0) – optional: zone opacity adapts dynamically to the underlying confidence score, highlighting higher-quality areas.
⚙️ 7. Modes & Configuration
Modes: Aggressive / Balanced / Conservative – adjust score thresholds and confidence requirements.
Risk & Quality: slope filter, min ATR distance, strict anti-chop, volume gate, HTF guardrails.
Visual toggles: labels on/off, baseline & EMAs, gradient, mini-legend, SMC boxes, Fibonacci.
This script does not trade for you – it provides a structured, consistent framework for reading trend, momentum and structure, plus graded signals so you can execute your own risk management and strategy.
Disclaimer
This script is provided strictly for educational and research purposes. It does not constitute financial advice, investment recommendation or any guarantee of profit. Historical performance, backtests and chart examples do not ensure future results.
Always use your own risk management rules, test the script on multiple instruments and timeframes, and never trade with money you cannot afford to lose. The author and contributors accept no responsibility for any trading decisions made based on this indicator.
RevertX by YCGH CapitalRevertX by YCGH Capital - Professional Bitcoin Trading Strategy
RevertX is a sophisticated mean-reversion trading system designed specifically for Bitcoin and cryptocurrency markets. Built on advanced statistical analysis, this strategy identifies extreme price deviations and capitalizes on market equilibrium forces.
Key Features:
🎯 Intelligent Entry System
Precision-based signal generation using statistical price analysis
Automated entry/exit execution with no manual intervention required
Works on multiple timeframes for flexibility
📊 Comprehensive Performance Tracking
Monthly Returns Table: Visual heat-map style table displaying performance month-by-month and year-by-year
Color-coded results (green for profitable months, red for losses)
Annual performance summaries for quick assessment
Full historical performance visualization
🛡️ Advanced Risk Management
Customizable Stop Loss (default 2%)
Take Profit targets (default 4%)
Trailing Stop Loss with activation threshold - locks in profits as the market moves in your favor
Adjustable trailing offset to protect gains while allowing room for continuation
⚙️ Professional-Grade Execution
Non-repainting signals - what you see in backtest is what you get in live trading
Orders processed on candle close for reliable execution
100% equity deployment for maximum capital efficiency
Built-in slippage and commission modeling (can be adjusted)
📈 Performance Visualization
Monthly returns displayed in an easy-to-read table format
Track your performance across years at a glance
Quickly identify strong and weak periods
Professional presentation suitable for sharing with investors
Perfect For:
Bitcoin traders seeking systematic, emotion-free trading
Those who prefer mean-reversion over trend-following
Traders wanting comprehensive performance analytics
Anyone seeking a proven statistical edge in crypto markets
RevertX removes emotion from trading decisions and provides complete transparency through detailed performance metrics. The strategy is fully backtested and ready for live deployment.
Ready to Trade Like a Pro?
RevertX is a premium strategy with limited availability.
Email brijamohanjha@gmail.com to request access and pricing.
Silver 30m HUD — Trend / Flow / PB / VWAP / TurboSilver 30m HUD is a streamlined Pine Script v5 indicator optimized exclusively for 30-minute silver futures (SIL) charts on TradingView. It displays a compact 2-column middle-right table analyzing trend, flow, momentum, pullback, VWAP, turbo, and final signals with safety stars and risk warnings. Enforces 30m timeframe usage via label alert on other periods.
Key Engines
Trend Fusion
Combines 30m (close vs SMA60) with 2H higher timeframe for UP/DOWN/FLAT consensus; MIXED on divergence. Serves as primary directional filter.
Flow Detection
Identifies volume surges (>2.2x 20-period SMA) as BULL/BEAR SURGE, else defaults to candle direction (UP/DOWN). Captures aggressive buying/selling pressure.
Momentum Composite
QQE/RSI/MFI blend: both >55 = UP, both <45 = DOWN, otherwise EXHAUST. Flags overextended moves.
Pullback Safety
Rates position vs SMA20/50: above both = OK, above 20 but below 50 = Weak, below both = Danger. Prevents chasing extended trends.
VWAP & Turbo
Price vs session VWAP (UP/DOWN); turbo flags >1% candle moves as UP/DOWN acceleration or EXHAUST.
Signals & Risk
Final Signal Logic
BUY requires UP trend + OK PB + UP VWAP + no DOWN mom; SELL needs DOWN trend + non-OK PB + DOWN VWAP; EXHAUST mom = CHOP; else WAIT.
Safety Ratings
BUY stars: 5🟩 (perfect confluence), 3🟩 (basic BUY); SELL: 4🟥 (full signal), 3🟥 (exhaustion).
Risk Alert
Triggers ⚠️ on BUY signals with 2H DOWN trend and <0.20 from resistance (distR), warning multi-timeframe conflict + overhead supply. Displays S/R levels and distances in mintick format.
HUD Layout
12-row table prioritizes scannability: metrics left (gray), statuses right (color-coded green/red/gray), bottom shows Dist to R/S, levels, and RISK. Ideal for quick 30m SIL scalping decisions balancing confluence and safety.
AMORY Dashboard VIPAmory VIP Dashboard: Indicators visually display Trend (EMA), RSI, ADX, ATR, Volume and buy/sell signals right on the chart. Current volume is 100% accurate, STRONG/BUY/SELL classified signals, easy-to-read right-hand corner dashboard with distinguishing colors, updated according to the last candle.
Phenom(指標版:EMA 交叉訊號 v8.8 + 結構與風險)標題 (Title): Phenom Intelligence: Trend & Risk Structure System (v8.8)
內文 (Description):
Introduction Phenom Intelligence v8.8 is a comprehensive trading system designed to capture trends while strictly managing risk. It integrates Dynamic EMA Structures, Momentum Filters, and Risk Boundaries (ATR & Pivots) into one chart, providing a complete decision-making framework.
Key Features
Dynamic EMA Ribbon: Automatically adjusts EMA lengths based on the selected mode (Swing, Scalping, Trend-Following, or Long-Term Investment).
ATR Risk Channel: Visualizes volatility risk. A close below the lower ATR band signals a potential structure break and suggests defensive measures.
Pivot Points (Auto-Structure): Automatically plots Pivot (P), Resistance (R1), and Support (S1) levels to identify optimal take-profit and stop-loss zones.
Golden Confluence Signals: High-quality buy/sell signals are triggered only when Trend, Momentum (MACD), RSI, and Multi-Timeframe (MTF) conditions align.
Disclaimer This script is "Invite-Only" and intended for educational purposes. It does not constitute financial advice.
系統簡介 Phenom Intelligence v8.8 是一套專為捕捉波段趨勢與風險控管而設計的綜合交易系統。整合了「趨勢結構」、「動能濾網」與「風險邊界」,協助交易者在進場前具備完整的決策依據。
核心功能
智能趨勢均線 (Dynamic EMA): 內建四種戰略模式,系統會根據選定的模式自動調整均線週期。
ATR 動態風險通道: 以均線為軸心繪製波動率通道。當價格跌破下通道時,視為結構破壞警訊,提供客觀的離場參考。
結構支撐壓力 (Pivots): 自動計算關鍵結構點位。R1 (阻力) 可作為獲利調節目標,S1 (支撐) 作為防守區。
黃金共振訊號: 當 EMA 趨勢、MACD 動能、RSI 強度與多週期狀態完全共振時,才會觸發特定訊號,過濾雜訊。
免責聲明 本指標僅供技術分析參考與教育用途,不代表任何形式的投資建議。
LTD Buy/Sell Stoch, MACD, RSI and ADX With Trend Filter V4.2This indicator is based upon Stoch, MACD and RSI overbought/oversold levels. In addition some 200 EMAs are added for trend confirmation. Some more features will be added on next version
Here are the following features it have
- Multiple EMAs filter added for trend based signals only
- Added Pullback Protection with volume
- Added Buy only or Sell only filters
- Added ATR Stop loss calculator
- Added Lot Calculator
One Point Global Net Liquidity The "Fuel" Behind the MarketMost traders look at price action, but price is often just a reflection of the money supply available in the system. This indicator tracks Global Net Liquidity—the actual amount of fiat currency available to flow into risk assets like Crypto and Equities.
Unlike standard "Money Supply" (M2) charts, this indicator focuses on Central Bank Balance Sheets, which is a more direct proxy for "Quantitative Easing" (QE) and "Quantitative Tightening" (QT).
How It Works (The Formula)
This script aggregates the balance sheets of the "Big 4" Central Banks, which represent ~90% of global liquidity. It automatically converts all values to USD Trillions for a standardized view.
{Global Liquidity} = {US Net Liquidity} + {ECB} + {PBoC} + {BoJ}
1. US Net Liquidity (The "Trader's" Formula) We do not just use the Fed's Total Assets. We subtract the money that is "stuck" outside the private economy:
(+) Fed Balance Sheet: Total Assets.
(-) TGA (Treasury General Account): The government's checking account. When this goes up, liquidity is drained from markets.
(-) RRP (Reverse Repo): Money parked by banks at the Fed overnight. When this goes up, liquidity is removed from the system.
2. Global Additions
ECB (Eurozone): Converted to USD.
PBoC (China): Converted to USD.
BoJ (Japan): Converted to USD.
How to Use This Indicator This indicator is designed as an Overlay on the main chart (using the Left Scale).
Correlation: Generally, when the Orange Line (Liquidity) trends up, Bitcoin and the S&P 500 trend up. When Central Banks tighten (line down), risk assets struggle.
The "Divergence" Signal (Alpha):
Bullish: If Price makes a Lower Low but Liquidity makes a Higher Low, it often signals seller exhaustion and a potential bottom.
Bearish: If Price makes a New High but Liquidity fails to follow (or drops), the rally may be unsupported and prone to a reversal.
Settings
Scale: This indicator is pinned to the Scale Left to allow it to overlay price action without distortion.
Data: Uses daily data from ECONOMICS and FRED feeds.
Previous Day/Week High and Low • Ahmed SiddiquiThe script shows Previous Day's Candle High and Low & Previous Week's Candle High and Low which updates automatically everyday and every week. There are few more modification will be done in next versions.
GBM Prob: nearest unswept H/L (up to 50 bars)This indicator is designed to analyze market structure and price behavior in relation to previous highs and lows. It automatically identifies prior swing highs and lows and tracks whether they have been taken by the current price movement.
The main goal of the indicator is to show which side of the market has already been cleared of liquidity and where untouched liquidity remains. Based on this data, it calculates the percentage of liquidity taken, helping traders assess the directional bias of price.
The indicator can be used as a higher timeframe filter (D1, H4) and as contextual guidance for entries on lower timeframes during the London and New York sessions. It works especially well with ICT / SMC concepts, OTE zones, and liquidity-based analysis.
Suitable for both intraday and swing trading, the indicator helps traders make more informed decisions and avoid trading against already swept liquidity.
BlackboxBlackbox is a comprehensive multi-session trading indicator designed for serious traders who need professional-level market structure analysis across all major trading sessions. This all-in-one toolkit combines institutional-grade session tracking, market structure identification, and key price level analysis into a single, powerful visualization tool.
Sazonalidade FullTitle: Seasonality Full
Description:
Unlock the "Market Memory" with Institutional Precision.
The Seasonality Full is the ultimate evolution of seasonal analysis tools. It combines the robust mathematical engine of classic institutional seasonality with a modern, data-driven dashboard.
Designed for both professional traders and serious students of the market, this version features Educational Tooltips on every setting, teaching you the "Why" behind the "How".
🔥 Key Features:
1. True Institutional Mathematics:
Trading Days Engine: Calculates seasonality based on actual trading days (252/year), ignoring weekends/holidays for perfect candle alignment.
Forced Detrending: Automatically removes long-term trend bias to isolate pure cyclical peaks and troughs. This reveals "cheap" vs. "expensive" zones regardless of the broader market trend.
2. The Sniper Dashboard (HUD): Real-time statistical validation of the seasonal pattern:
🎯 WinRate: Historical probability of a positive close for the current month.
📊 Avg/Target (Smart Volatility): Expected return dynamically adjusted to the asset's volatility profile (e.g., knows that 1% is huge for Forex but normal for Crypto).
⚠️ Risk (StdDev): Identifies if the seasonal pattern is "Stable" (reliable) or "Chaotic" (high variance).
🔍 Correlation (Pearson): The "Lie Detector". Compares the current price action against the projected seasonality.
Green: Price is respecting history (High Confidence).
Red: Price has decoupled from history (Caution).
3. Smart Visualization (Auto-Stack):
Percentage Stacking: A unique control to adjust chart layout.
0%: Overlay mode (compare relative strength).
100%: Joyplot mode (clean, stacked lines).
Dark Mode Optimized: Professional aesthetic designed for long hours of screen time.
4. Built-in Education:
Hover over the "i" icon on any setting to read a detailed explanation of its impact on the analysis. Perfect for learning while trading.
🚀 How to Use:
Use this indicator as a Directional Bias Filter:
Check Confluence: Do the 5, 10, and 15-year lines align?
Validate: Is the Correlation Positive? Is the WinRate favorable?
Execute: If the statistical bias aligns with your Price Action setup, you have a high-probability trade.
Master the cycles. Trade with the flow.
MACD Zero-Line Dominance (no ta.sum)Description Option 1 (Simple & Clear)
“This indicator compares how many recent bars have the MACD line above the zero line versus below it.
It plots the resulting strength as a green/red histogram showing whether bullish or bearish momentum is dominating.”
“MACD Zero-Line Dominance measures the strength balance between bullish and bearish momentum by counting how many candles in a lookback period have MACD above or below the zero line.
The histogram turns green when bullish pressure dominates and red when bearish momentum takes control.
Useful for trend confirmation, regime detection, and higher-timeframe alignment.”
Institutional AlgorithmA powerful tool that tracks how the biggest players move their money and spot market manipulations. It reveals where banks and institutions push prices, highlighting optimal points to enter the market.
Copper_to_Gold_Ratio by Zeche Cu/Au Ratio – LINES + LABELS is a clean, macro-oriented indicator built around the Copper/Gold price ratio — a well-known gauge of economic strength, market sentiment, and shifts between risk-taking and risk-aversion.
The script calculates:
the 120-day SMA of the Copper/Gold ratio
the standard deviation over the same period
the ±1σ, ±1.5σ, and ±2σ deviation bands
automatic labels on the last bar for maximum clarity
The design is minimalistic and visually optimized so users can quickly understand where the current ratio sits relative to long-term norms. The deviation zones help highlight moments when the market transitions into RISK-ON or RISK-OFF behavior.
How to interpret the signals:
Above +2σ → RISK-OFF environment (defensive tone, macro stress)
Below −2σ → RISK-ON environment (increased risk appetite)
±1σ bands represent normal cyclical movements
The SMA acts as the long-term equilibrium level
天然氣季節性策略 (假日順延修正版)Strategy Overview:
Period A (Early Injection Season Strategy):
Action: Establishes a long position on April 25 and exits on May 10 by default.
Logic: This captures the price support zone driven by the end of winter, depleted inventories, and rigid restocking demand.
Period B (Winter Premium Strategy):
Action: Establishes a long position on September 1 and exits on October 15 by default.
Logic: This capitalizes on the major uptrend fueled by the peak hurricane season compounded by the winter contract premium.
Trading Parameters:
Initial Capital: 100,000 USD
Position Size per Trade: 1 Contract
Commission per Trade: 2 USD
YCGH Ultimate Stocks Breakout Sniper📈 YCGH Ultimate Stocks Breakout Sniper
Overview
A sophisticated momentum-based breakout strategy designed to capture high-probability directional moves during volatility expansion phases. This system identifies breakout opportunities when price decisively breaks through established ranges, combining multiple technical filters to enhance signal quality and minimize false breakouts.
🎯 Strategy Features
Core Methodology:
Proprietary breakout detection algorithm
Multi-layered confirmation filters for signal validation
Adaptive trailing stops for profit protection
Systematic risk management with daily drawdown controls
Key Components:
✅ Volatility Expansion Filter - Only trades during periods of elevated market volatility to avoid choppy, range-bound conditions
✅ Optional Trend Alignment - Configurable trend filter (EMA/SMA/RMA/WMA) to align entries with broader market direction
✅ ROC Momentum Filter - Daily rate-of-change filter to capture strong momentum days (optional)
✅ Comprehensive Exit Strategy:
Fixed stop-loss (default 2%)
Take-profit targets (default 9%)
Dynamic trailing stops (2% activation, 0.5% offset)
✅ Flexible Direction Trading:
Auto-detect mode: Long+Short for perpetuals, Long-only for spot/equities
Manual override options available
Suitable for both crypto and stock markets
📊 Market Applicability
Optimized for: Cryptocurrency perpetual contracts and equity markets (1H-4H timeframes)
Also effective on: Futures and high-liquidity spot markets
The strategy adapts to different market regimes through configurable volatility and trend filters, making it versatile across various trading instruments and timeframes.
⚙️ Risk Management
Position Sizing: Percentage-based allocation with leverage support
Intraday Loss Limit: Maximum 10% drawdown protection (configurable)
Realistic Cost Modeling: 0.025% commission + 1 tick slippage
No Pyramiding: Single position management for controlled risk exposure
📈 Performance Visualization
Includes a comprehensive monthly returns table displaying:
Year-by-year performance breakdown
Monthly profit/loss percentages
Visual color-coding (green for profits, red for losses)
Clean, modern design with transparent styling
🔐 Access & Pricing
This is a PROTECTED, invite-only strategy.
The source code is not open-source and requires paid access for usage.
How to Get Access:
📧 Email: brijamohanjha@gmail.com
Include in your email:
Your TradingView username
Markets/assets you plan to trade
Preferred timeframe
What You'll Receive:
Full strategy access with invite-only permissions
Complete parameter documentation
Setup and optimization guidance
Implementation support
⚠️ Important Disclosures
Backtesting Parameters:
Commission: 0.025% per trade
Slippage: 1 tick
Results reflect realistic trading conditions
Risk Warning:
Past performance does not guarantee future results. This strategy involves substantial risk and may not be suitable for all investors. Users should thoroughly understand the risks and customize parameters based on their risk tolerance and market conditions.
📞 Contact for Access
Email: brijamohanjha@gmail.com
For questions about functionality, pricing, optimization, or market-specific settings, please reach out via email.
Note: This is a premium, paid strategy. Access is granted manually after consultation and payment confirmation.






















