Volatility Heat-Map, momentum ribbon and divergence detectorThis is a comprehensive volatility + momentum + volume + ATR dashboard with table visualization, momentum ribbon, and divergence detection. It’s optimized for visual clarity with dynamic coloring and is suitable for both trend-following and mean-reversion traders.
Table shows:
Oscillator values with arrows and K/D status.
Current & Daily ATR with tops/bottoms.
Volume & % change, rising/falling indicator.
Volatility regime (Low/Normal/High) with color coding.
Momentum strength (strong/weak bullish/bearish).
Oscillator
stoch = hh != ll ? 100 * (src - ll) / (hh - ll) : 0
k = smooth(stoch, kSmoothing)
d = smooth(k, dSmoothing)
Standard stochastic normalization.
Smoothing based on selected type (SMA/EMA/WMA).
diff between K and D is normalized for the momentum ribbon color:
Greenish for bullish, red for bearish, silver for neutral.
Overbought / Oversold lines: 80/20, midline at 50.
4. BBWP Calculation
bbwp = f_bbwp(i_priceSrc, i_bbwpLen, i_bbwpLkbk, i_basisType)
bbwpSMA5 = f_maType(bbwp, 5, "SMA")
Heatmap Thresholds:
Low < 15%
High > 85%
Otherwise Normal.
Colors dynamically assigned for histogram and table background.
Plotted as columns if table
Bullish and Bearish divergence labels plotted, both regular and hidden.
ダイバージェンス
Volume Delta & Divergence (VDD) by CoryP1990 – Quant ToolkitVolume Delta & Divergence (VDD) visualizes directional order flow by tracking session-aware Cumulative Volume Delta (CVD) and highlighting structural mismatches between price pivots and CVD. It’s designed to catch persistent buying/selling pressure and to flag divergences where price moves without supporting order flow.
How it works
Per-bar delta: classify ticks as uptick or downtick using price change inside each bar; compute delta = uptickVol − downtickVol.
Cumulative Delta (CVD): sum delta across the session (optional continuous mode available).
Smooth: apply an EMA to the CVD (CVD-EMA) to reduce noise and reveal structural shifts.
Divergence detection: detect price pivots (left/right = X bars); sample the CVD-EMA at the exact pivot bars and compare the last two price pivots vs the corresponding CVD-EMA values.
Bear divergence: price makes a higher high while CVD-EMA makes a lower high → fading buy pressure at the top.
Bull divergence: price makes a lower low while CVD-EMA makes a higher low → improving buying pressure into the lows.
Markers: non-repainting pivot confirmation requirement (markers appear only after pivots are confirmed) and markers are placed on the actual pivot bar for clarity.
Visuals / legend
Teal line: CVD-EMA (smoothed cumulative delta). Rising → net buying pressure; falling → net selling pressure.
Red triangle (above): Bear divergence - price HH vs CVD LH.
Green triangle (below): Bull divergence - price LL vs CVD HL.
No background tint - VDD is a structural order flow tool (markers + CVD line only). Use the VWMA / trend overlays to provide directional context.
Use cases
Detect hidden exhaustion at highs (fade setups) and hidden accumulation at lows (bounce setups).
Confirm or invalidate momentum moves: price rising but CVD falling warns the move lacks order flow support.
Spot campaign-style pressure across a session (session reset) versus multi-day campaigns (disable reset).
Combine with VWMA(50) or higher-TF alignment to filter signals and increase quality.
Defaults
CVD EMA length = 34
Pivot left/right = 5
Reset CVD at session start = ON (recommended for intraday)
Show raw CVD = OFF
Marker size = small (use normal for screenshots)
Example — META (5m, 5-day view)
The 5-day time range 5-minute interval on META shows the pattern VDD is built for: a midday bear divergence (price ticks to a marginal high while the CVD-EMA flattens and then rolls lower) that precedes a multi-hour drift lower, and later bull divergences near intraday lows where the CVD-EMA prints higher lows as price prints lower lows, followed by constructive bounces. With resetSession=ON you can see these flows replay across sessions and judge whether a divergence is isolated or repeated (higher-quality).
Practical tips
Default demo: 5-minute chart on liquid names (META, AAPL, SPY) - lenEMA=34, pivot=5, resetSession=ON.
Scalp: 1m with shorter EMA (e.g., 13) and pivot=3.
Swing / campaign: 4H/Daily with resetSession=OFF and longer EMA (e.g., 89).
Filter with VWMA(50) and require above-average volume at the pivot region for higher-probability signals.
Use alerts (script exposes bear/bull alertconditions) to monitor divergences in real time.
Limitations / disclaimers
Markers are confirmation-based (non-repainting), i.e. they appear after the pivot completes, not as a predictive tick.
No single divergence equals a trade; combine with trend, volume, and risk management.
Part of the Quant Toolkit — transparent, open-source indicators for modern quantitative analysis. Built by CoryP1990.
Ultimate RSI Suite [BigBeluga]🔵 OVERVIEW
The Ultimate RSI Suite elevates the classic RSI into a full professional trading system.
It combines momentum analysis, advanced divergence detection, volatility-based RSI channels, multi-timeframe signals, deviation tracking, and reversal alerts into one powerful tool.
This is no ordinary RSI — it’s a complete momentum intelligence engine designed to identify trend strength, exhaustion, breakout conditions, and reliable reversal points with high precision.
⚠️ Note:
This suite enhances RSI with MTF dashboards, dynamic channels, deviation logic, and smart alerting — ideal for scalpers, swing traders, and institutional-style trend followers.
🔵 CONCEPTS
Measures market momentum to detect overbought/oversold zones and trend health
Tracks RSI behavior relative to dynamic channels (BB/Keltner/Donchian)
Identifies regular bullish & bearish divergences
Detects deviation moves after divergence to confirm trend continuation or exhaustion
Multi-timeframe RSI conditions reveal higher-timeframe confluence
Reversal triggers confirm early momentum shifts
Overbought/oversold gradients visually highlight exhaustion zones
🔵 FEATURES
Classic + Enhanced RSI with configurable lookback & price source
RSI-Channel System (Bollinger, Keltner, Donchian) for volatility-adaptive trend structure
RSI-Smoothing MA for trend direction filters
RSI Reversal Signals for early trend inflection detection
RSI Reversal Signals Deviation Levels +1 / +2 for advanced continuation confirmation
Overbought/Oversold Gradient Zones at 35/65 or user-defined levels
Divergence Engine for bullish & bearish momentum exhaustion signals
On-Chart Divergence & Signals (full overlay capability)
Divergence Engine Deviation Levels +1 / +2 for advanced continuation confirmation
Multi-Timeframe Dashboard (RSI OB/OS, signals, divergences, channel breaks)
• Hover your mouse over any signal cell to see how many bars ago it was triggered
• Signals automatically expire after 50 bars
Smart Alerts for divergence, reversals, channel breaks, and deviation triggers
🔵 HOW TO USE
Enter long when RSI reverses from oversold & prints bullish divergence or a ▲ signal
Enter short when RSI reverses from overbought & prints bearish divergence or ▼
Use channel breaks to confirm momentum expansions or trend shifts
Look for deviation crosses (+1 / +2) for strong confirmation after divergence
Track MTF table — more timeframe agreement = stronger conviction
Avoid trading against MTF RSI extremes (OB/OS stacked zones)
Combine with market structure or volume-based tools for maximum precision
🔵 ALERTS
Includes full automation suite:
Bullish / Bearish divergence
Reversal signals (▲ / ▼)
Channel breakouts (Up/Down)
Deviation +1 / +2 confirmation triggers
Extra RSI signal deviation alerts for precision continuation reads
Great for automated systems, confirmation models, and high-probability intraday/swing entries.
🔵 CONCLUSION
The Ultimate RSI Suite transforms RSI into a smart momentum-analysis system.
With multi-timeframe logic, dynamic channels, advanced divergence/deviation systems, and powerful visual cues, it offers institutional-grade trend, exhaustion, and reversal detection.
If you rely on RSI, this toolkit provides superior clarity, deeper context, and stronger execution timing — making it an elite upgrade for professional traders.
TPAmacd — Free MACD with Divergence (by TPA OG)💎 TPAMACD — Free by TPA OG
The most powerful MACD divergence indicator on TradingView — designed for traders who demand clarity, precision, and results.
🎯 What Makes TPAMACD Different
TPAMACD automatically detects bullish & bearish divergences, adapts to any timeframe, and alerts you the moment momentum shifts — all in one clean visual package.
🔹 Auto-detected Bullish / Bearish Divergences
🔹 Multi-Timeframe MACD Confirmation
🔹 Alerts for Histogram Reversals
🔹 Fully Customizable Colors & MA Types (EMA / SMA)
⚡ Combine TPAMACD + TPA OG = Pro Level Accuracy
Used together with the original TPA OG – Trend & Price Action Pro, traders gain next-level signal confirmation and trend precision — achieving up to 92 % accuracy in trending markets.
🔥 Join the TPA OG ecosystem — advanced tools built for serious traders who want consistency, control, and clarity across Forex, Crypto, and Stocks.
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QFI Pro - Adaptive Flow with SCT & Divergence Scanner█ OVERVIEW
QFI Pro is an advanced momentum oscillator combining adaptive volume flow analysis, pattern recognition, and multi-timeframe divergence detection. Features proprietary Support/Challenge/Test (SCT) line system with infinite extension capability for dynamic price level identification.
█ COMPLETE FEATURE SET
Core Oscillator:
- Quantum Flow Index: -100 to +100 normalized scale
- Adaptive kernel smoothing with volatility-based bandwidth
- Volume-weighted momentum with optional RSI fusion
- Real-time and historical pivot detection
- QFI Candle visualization mode
Pattern Recognition:
- Automatic divergence detection (regular & hidden)
- Multi-divergence scanner with threshold filtering
- Higher High/Higher Low/Lower Low/Lower High labeling
- Head and shoulders pattern identification
- Trend breakout detection
SCT System:
- Dynamic support/resistance from momentum shifts
- Infinite or fixed-length line extensions
- Multi-divergence SCT with enhanced confirmation
- Chart overlay or oscillator panel display modes
- Customizable line styles (solid/dotted/dashed)
Technical Overlays:
- Multiple MA types: SMA/EMA/WMA/HMA/ALMA/VWMA
- Bollinger Bands with adjustable deviation
- Stochastic QFI (K/D with smoothing)
- QFI-MA histogram for momentum visualization
- MACD histogram overlay on QFI values
- Normal bar marking for non-pivot candles
Visual Components:
- Overbought/Oversold dot markers
- Real-time QFI value label
- Optional information table with component breakdown
- Customizable color schemes
- Background highlighting for extreme zones
█ SIGNAL INTERPRETATION
Primary Signals:
- QFI crosses above 30 → Bullish signal + Green SCT line
- QFI crosses below -30 → Bearish signal + Red SCT line
- QFI > 70 → Strong bullish/overbought zone
- QFI < -70 → Strong bearish/oversold zone
Divergence Signals:
- BULL DIV: Price makes lower low, QFI makes higher low
- BEAR DIV: Price makes higher high, QFI makes lower high
- Multi-Divergence: Divergence + extreme QFI levels (blue/orange SCT)
Pattern Labels:
- HH = Higher High (bearish continuation)
- LH = Lower High (bearish reversal)
- HL = Higher Low (bullish reversal)
- LL = Lower Low (bearish continuation)
█ ALERT CONDITIONS
The indicator includes 6 customizable alerts:
1. QFI Buy Signal (crosses above threshold)
2. QFI Sell Signal (crosses below threshold)
3. Strong Buy Condition (QFI > 70)
4. Strong Sell Condition (QFI < -70)
5. Stochastic Oversold (K crosses above 20)
6. Stochastic Overbought (K crosses below 80)
█ INPUT PARAMETERS
Core Configuration:
- Lookback Period : Sensitivity control
- Buy Threshold : Bullish signal trigger
- Sell Threshold : Bearish signal trigger
Component Weights (must sum to 100%):
- Volume Weight : Volume flow influence
- Pattern Weight : Pattern detection influence
- Momentum Weight : Momentum calculation influence
- Volatility Weight : Volatility factor influence
- RSI Weight : RSI fusion influence (when enabled)
SCT System:
- Max SCT Lines : Concurrent lines displayed
- SCT Bars : Line extension length
- Infinite Lines: Toggle infinite extension
- Display Mode: Chart overlay vs oscillator panel
Divergence Settings:
- Divergence Lookback : Pivot detection period
- High Threshold : Multi-divergence overbought level
- Low Threshold : Multi-divergence oversold level
- Show HH/HL/LL/LH: Toggle pattern labels
Display Options:
- Moving Average Type & Length
- Bollinger Band StdDev multiplier
- Stochastic K/D/Smooth periods
- QFI Candles toggle
- Info Table toggle
- Various visual elements toggles
█ TECHNICAL METHODOLOGY
Mathematical Foundation:
- Hyperbolic tangent (tanh) normalization for bounded outputs
- Gaussian kernel regression with adaptive bandwidth
- Volume-price divergence via OBV trend analysis
- Multi-period momentum aggregation (5/10/20 bars)
- ATR-based volatility scoring with historical comparison
Calculation Pipeline:
1. Adaptive bandwidth determination from market volatility
2. Component calculation (volume/pattern/momentum/volatility)
3. Weighted aggregation with normalized coefficients
4. EMA smoothing for final QFI output
5. Secondary calculations (MA, Stochastic, Divergence)
█ RECOMMENDED SETTINGS
Scalping (1-15min):
- Lookback: 20-30, SCT Bars: 20-30, Max Lines: 2-3
Day Trading (15min-1H):
- Lookback: 35-50, SCT Bars: 50, Max Lines: 3-5
Swing Trading (1H-4H):
- Lookback: 50-75, SCT Bars: 100, Max Lines: 3-5, Infinite: ON
Position Trading (Daily+):
- Lookback: 75-100, SCT Bars: 200+, Max Lines: 5-10, Infinite: ON
█ BEST PRACTICES
- Use on liquid instruments with reliable volume
- Combine with price action for confirmation
- SCT lines are dynamic - adjust stops accordingly
- Divergences work best in ranging markets
- Monitor multiple timeframes for confluence
- Reduce position size in low volatility periods
█ LIMITATIONS
- Requires volume data (not suitable for some instruments)
- May lag during rapid price movements
- SCT lines are projections, not guarantees
- False signals possible during news events
- Divergences need additional confirmation
- Not optimized for markets with frequent gaps
█ DISCLAIMER
This indicator is for educational and informational purposes only. It should not be considered as financial advice or a recommendation to buy or sell any financial instrument. Past performance does not guarantee future results. Trading involves substantial risk of loss. Always conduct your own analysis and consider your financial situation before making trading decisions.
█ VERSION
Version 1.0 | Pine Script™ v5
Tested on: Forex, Indices, Cryptocurrencies, Stocks
Minimum timeframe: 15 minutes recommended
© 2025 Professional Trading Tools
────────────────────
For support and updates, check the comment section below.
Pivot Orderflow DeltaThis indicator analyzes order flow by calculating a continuous Cumulative Volume Profile Delta (CVPD). It plots this delta as a series of "delta candles" and identifies divergences and structural pivot levels.
Key Features:
Statistical Delta Engine: For each bar, the indicator builds a high-resolution volume profile on a lower 'Intra-Bar Timeframe'. It uses statistical models ('PDF' allocation) and advanced classifiers ('Dynamic' split) to determine the buy/sell pressure, which is then accumulated.
Cumulative Delta Candle Visualization: The indicator plots the continuous, accumulated delta as a series of candles, where for each bar:
Open: Is the cumulative delta value of the previous bar.
Close: Is the new total cumulative delta.
High/Low: Represent the peak/trough cumulative delta reached during that bar's formation.
Dynamic Pivot Baseline: The indicator plots a separate dynamic baseline ('Impulse Start') that adjusts when a new price pivot is confirmed.
When a price high forms, the baseline moves to the lower of its previous level or the peak delta (max of delta candle O/C) at the pivot.
When a price low forms, the baseline moves to the higher of its previous level or the trough delta (min of delta candle O/C) at the pivot.
Full Divergence Suite (Class A, B, C): A built-in divergence engine automatically detects and plots Regular (A), Hidden (B), and Exaggerated (C) divergences between price and the peak/trough of the delta candles (High/Low).
Detailed Pivot Confluence: The indicator plots distinct markers to differentiate between pivots occurring only on the price chart, only on the delta oscillator, or on both simultaneously.
Note on Confirmation (Lag): Divergence and pivot signals rely on a confirmation method. A pivot is only plotted after the Pivot Right Bars input has passed, which introduces an inherent lag.
Integrated Alerts: Includes 23 comprehensive alerts for:
The start and end of all 6 divergence types.
The detection of a new Impulse Start pivot.
Delta/volume agreement/disagreement.
Delta crossing the zero line.
The formation of price-only or delta-only pivots.
Caution: Real-Time Data Behavior (Intra-Bar Repainting) This indicator uses high-resolution intra-bar data. As a result, the values on the current, unclosed bar (the real-time bar) will update dynamically as new intra-bar data arrives. This behavior is normal and necessary for this type of analysis. Signals should only be considered final after the main chart bar has closed.
DISCLAIMER
For Informational/Educational Use Only: This indicator is provided for informational and educational purposes only. It does not constitute financial, investment, or trading advice, nor is it a recommendation to buy or sell any asset.
Use at Your Own Risk: All trading decisions you make based on the information or signals generated by this indicator are made solely at your own risk.
No Guarantee of Performance: Past performance is not an indicator of future results. The author makes no guarantee regarding the accuracy of the signals or future profitability.
No Liability: The author shall not be held liable for any financial losses or damages incurred directly or indirectly from the use of this indicator.
Signals Are Not Recommendations: The alerts and visual signals (e.g., crossovers) generated by this tool are not direct recommendations to buy or sell. They are technical observations for your own analysis and consideration.
Cumulative Volume Profile DeltaThis indicator calculates the Cumulative Volume Profile Delta (CVPD). It constructs a high-resolution volume profile for each bar using intra-bar data, then derives and accumulates the delta from that profile to show net buying/selling pressure.
Key Features:
Statistical Volume Profile Engine: For each bar, the indicator builds a high-resolution volume profile on a lower 'Intra-Bar Timeframe'. Instead of simple tick counting, it uses statistical models ('PDF' allocation) to distribute volume across price levels and advanced classifiers ('Dynamic' split) to determine the buy/sell pressure before accumulation.
Periodic Accumulation: The CVPD accumulation is anchored to a user-defined 'Anchor Timeframe' (e.g., daily, weekly). This cyclical reset allows to analyze the build-up of pressure within specific trading periods.
"Delta Candle" Visualization: The periodic CVPD is shown as a candle, where:
Open: The CVPD value at the start of the period (or zero).
High/Low: Represent the peak buying (CVD High) and selling (CVD Low) pressure within that period's profile.
Close: The final net delta value (CVD) for the period.
Dual CVD & Divergence Engine: The indicator calculates two CVPDs: a Periodic one (for plotting) and a Continuous one (non-resetting). The continuous line is used as a stable source for the built-in divergence engine (detecting Regular, Hidden, and Exaggerated).
Dynamic Divergence Plotting: Divergence markers are plotted relative to the periodic (candle) CVPD. They automatically adjust their vertical position after a reset to remain visually aligned with the plotted candles.
Note on Confirmation (Lag): Divergence signals rely on a pivot confirmation method to ensure they do not repaint.
The Start of a- divergence is only detected after the confirming pivot is fully formed (a delay based on Pivot Right Bars).
The End of a divergence is detected either instantly (if the signal is invalidated by price action) or with a delay (when a new, non-divergent pivot is confirmed).
Multi-Timeframe (MTF) Capability:
MTF Output: The entire analysis (Delta Candles, Divergences) can be calculated on a higher timeframe (using the Timeframe input), with standard options to handle gaps (Fill Gaps) and prevent repainting (Wait for...).
Limitation: The Divergence detection engine (pivDiv) is disabled if a Higher Timeframe (HTF) is selected.
Integrated Alerts: Includes 18 comprehensive alerts for:
The start and end of all 6 divergence types.
The periodic CVPD crossing the zero line.
Conditions of agreement or disagreement between the delta and the main bar's direction.
Caution: Real-Time Data Behavior (Intra-Bar Repainting) This indicator uses high-resolution intra-bar data. As a result, the values on the current, unclosed bar (the real-time bar) will update dynamically as new intra-bar data arrives. This behavior is normal and necessary for this type of analysis. Signals should only be considered final after the main chart bar has closed.
DISCLAIMER
For Informational/Educational Use Only: This indicator is provided for informational and educational purposes only. It does not constitute financial, investment, or trading advice, nor is it a recommendation to buy or sell any asset.
Use at Your Own Risk: All trading decisions you make based on the information or signals generated by this indicator are made solely at your own risk.
No Guarantee of Performance: Past performance is not an indicator of future results. The author makes no guarantee regarding the accuracy of the signals or future profitability.
No Liability: The author shall not be held liable for any financial losses or damages incurred directly or indirectly from the use of this indicator.
Signals Are Not Recommendations: The alerts and visual signals (e.Example: crossovers) generated by this tool are not direct recommendations to buy or sell. They are technical observations for your own analysis and consideration.
Cumulative Volume DeltaThis Cumulative Volume Delta (CVD) indicator analyzes intra-bar volume dynamics. It introduces a periodic reset mechanism, anchoring the accumulation to a user-defined timeframe (e.g., daily, weekly) for cyclical analysis.
Key Features:
Dual CVD Calculation: The indicator computes two CVD values simultaneously:
Periodic CVD: Resets on the user-defined 'Anchor Timeframe'. This is plotted as "Delta Candles".
Continuous CVD: Accumulates volume continuously (non-resetting) and is used as the source for divergence detection.
Intra-Bar Delta Analysis: Uses a lower timeframe ('Intra-Bar Timeframe') to calculate buy/sell pressure based on the direction of the intra-bar candles.
"Delta Candle" Visualization: The periodic CVD is shown as a candle, where:
Open: The CVD value at the start of the period (or zero).
High/Low: Represent the peak buying (CVD High) and selling (CVD Low) pressure within that period.
Close: The final net delta value for that period.
Full Divergence Suite (Class A, B, C): A built-in engine automatically detects and plots Regular (A), Hidden (B), and Exaggerated (C) divergences between price and the continuous CVD line.
Dynamic Divergence Plotting: Divergence markers are plotted relative to the periodic (candle) CVD. They automatically adjust their vertical position after a reset to remain visually aligned with the plotted candles.
Note on Confirmation (Lag): Divergence signals rely on a pivot confirmation method to ensure they do not repaint.
The Start of a- divergence is only detected after the confirming pivot is fully formed (a delay based on Pivot Right Bars).
The End of a divergence is detected either instantly (if the signal is invalidated by price action) or with a delay (when a new, non-divergent pivot is confirmed).
Multi-Timeframe (MTF) Capability:
MTF Output: The entire dual-CVD analysis can be run on a higher timeframe (using the Timeframe input), with standard options to handle gaps (Fill Gaps) and prevent repainting (Wait for...).
Limitation: The Divergence detection engine (pivDiv) is disabled if a Higher Timeframe (HTF) is selected.
Integrated Alerts: Includes 18 comprehensive alerts for:
The start and end of all 6 divergence types.
The periodic CVD crossing the zero line.
Conditions of agreement or disagreement between the delta and the main bar's direction.
Caution: Real-Time Data Behavior (Intra-Bar Repainting) This indicator uses high-resolution intra-bar data. As a result, the values on the current, unclosed bar (the real-time bar) will update dynamically as new intra-bar data arrives. This behavior is normal and necessary for this type of analysis. Signals should only be considered final after the main chart bar has closed.
DISCLAIMER
For Informational/Educational Use Only: This indicator is provided for informational and educational purposes only. It does not constitute financial, investment, or trading advice, nor is it a recommendation to buy or sell any asset.
Use at Your Own Risk: All trading decisions you make based on the information or signals generated by this indicator are made solely at your own risk.
No Guarantee of Performance: Past performance is not an indicator of future results. The author makes no guarantee regarding the accuracy of the signals or future profitability.
No Liability: The author shall not be held liable for any financial losses or damages incurred directly or indirectly from the use of this indicator.
Signals Are Not Recommendations: The alerts and visual signals (e.g., crossovers) generated by this tool are not direct recommendations to buy or sell. They are technical observations for your own analysis and consideration.
Volume Weighted Price OscillatorThis indicator calculates the Percentage Price Oscillator (PPO), a momentum oscillator similar to the MACD. It displays the distance between two moving averages as a percentage, making it comparable across different assets. This implementation enhances the PPO with optional volume weighting and a built-in divergence engine.
Key Features:
Customizable MA & Volume Weighting: Both the fast and slow moving averages (and the signal line) can be customized using different MA types (e.g., EMA, SMA, WMA). An option (Volume weighted) applies volume weighting to all three MAs.
MACD-Style Display: Provides the three core components: the PPO line (momentum), a signal line (trigger), and a histogram (momentum acceleration). The histogram is color-coded to show increasing or decreasing momentum.
Full Divergence Suite (Class A, B, C): A built-in divergence engine automatically detects and plots all three major divergence classes between price and the PPO line:
Regular (A): Signals potential trend reversals.
Hidden (B): Signals potential trend continuations.
Exaggerated (C): Signals weakness at double tops/bottoms.
Divergence Filtering and Visualization:
Price Tolerance Filter: Divergence detection is enhanced with a percentage-based price tolerance (pivPrcTol) to filter out insignificant market noise.
Persistent Visualization: Divergence markers are plotted for the entire duration of the signal and are visually anchored to the PPO level of the confirming pivot.
Note on Confirmation (Lag): Divergence signals rely on a pivot confirmation method to ensure they do not repaint.
The Start of a- divergence is only detected after the confirming pivot is fully formed (a delay based on Pivot Right Bars).
The End of a divergence is detected either instantly (if the signal is invalidated by price action) or with a delay (when a new, non-divergent pivot is confirmed).
Multi-Timeframe (MTF) Capability:
MTF PPO Lines: The PPO, signal line, and histogram can be calculated on a higher timeframe, with standard options to handle gaps (Fill Gaps) and prevent repainting (Wait for...).
Limitation: The Divergence detection engine (pivDiv) is disabled if a timeframe other than the chart's timeframe is selected. Divergences are only calculated on the active chart timeframe.
Integrated Alerts: Includes 18 comprehensive alerts for:
The start and end of all 6 divergence types.
The PPO line crossing its signal line.
The PPO line crossing the zero line.
The histogram changing direction (reverting).
DISCLAIMER
For Informational/Educational Use Only: This indicator is provided for informational and educational purposes only. It does not constitute financial, investment, or trading advice, nor is it a recommendation to buy or sell any asset.
Use at Your Own Risk: All trading decisions you make based on the information or signals generated by this indicator are made solely at your own risk.
No Guarantee of Performance: Past performance is not an indicator of future results. The author makes no guarantee regarding the accuracy of the signals or future profitability.
No Liability: The author shall not be held liable for any financial losses or damages incurred directly or indirectly from the use of this indicator.
Signals Are Not Recommendations: The alerts and visual signals (e.g., crossovers) generated by this tool are not direct recommendations to buy or sell. They are technical observations for your own analysis and consideration.
Volume Weighted Stochastic RSIThis indicator calculates the Stochastic RSI, enhanced with optional Volume Weighting (VWStochRSI). It measures the level of a (Volume-Weighted) RSI relative to its high-low range over a set period, providing a sensitive momentum oscillator.
Key Features:
Volume-Weighted Core: The indicator is built on a Relative Strength Index (RSI) that can be optionally volume-weighted (Volume weighted).
Customizable Smoothing: The %K and %D lines are smoothed using a customizable moving average. The MA type (Smooth Method) can be selected (e.g., EMA, SMA, WMA) and will also be volume-weighted if the main Volume weighted option is enabled.
Full Divergence Suite (Class A, B, C): The primary feature is the integrated divergence engine. It automatically detects and plots all three major types of divergences:
Regular (A): Signals potential trend reversals.
Hidden (B): Signals potential trend continuations.
Exaggerated (C): Signals weakness at double tops/bottoms.
Divergence Filtering and Visualization:
Price Tolerance Filter: Divergence detection is enhanced with a percentage-based price tolerance (pivPrcTol) to filter out insignificant market noise.
Persistent Visualization: Divergence markers are plotted for the entire duration of the signal and are visually anchored to the %K line level of the confirming pivot.
Note on Confirmation (Lag): Divergence signals rely on a pivot confirmation method to ensure they do not repaint.
The Start of a- divergence is only detected after the confirming pivot is fully formed (a delay based on Pivot Right Bars).
The End of a divergence is detected either instantly (if the signal is invalidated by price action) or with a delay (when a new, non-divergent pivot is confirmed).
Multi-Timeframe (MTF) Capability:
MTF VWStochRSI Lines: The %K and %D lines can be calculated on a higher timeframe, with standard options to handle gaps (Fill Gaps) and prevent repainting (Wait for...).
Limitation: The Divergence detection engine (pivDiv) is disabled if a timeframe other than the chart's timeframe is selected. Divergences are only calculated on the active chart timeframe.
Integrated Alerts: Includes 20 comprehensive alerts for:
The start and end of all 6 divergence types.
The %K line crossing the %D line.
The %K line crossing the Overbought, Oversold, or 50-level lines.
DISCLAIMER
For Informational/Educational Use Only: This indicator is provided for informational and educational purposes only. It does not constitute financial, investment, or trading advice, nor is it a recommendation to buy or sell any asset.
Use at Your Own Risk: All trading decisions you make based on the information or signals generated by this indicator are made solely at your own risk.
No Guarantee of Performance: Past performance is not an indicator of future results. The author makes no guarantee regarding the accuracy of the signals or future profitability.
No Liability: The author shall not be held liable for any financial losses or damages incurred directly or indirectly from the use of this indicator.
Signals Are Not Recommendations: The alerts and visual signals (e.g., crossovers) generated by this tool are not direct recommendations to buy or sell. They are technical observations for your own analysis and consideration.
Volume Weighted Relative Strength IndexThis indicator calculates the Relative Strength Index (RSI) and enhances it with optional volume weighting (VWRSI). It also includes a customizable signal line and a built-in divergence detection engine.
Key Features:
Volume-Weighted Calculation: An option (Volume weighted) allows for volume to be incorporated into the calculation of both the RSI itself and its moving average signal line, making the oscillator more sensitive to high-volume price changes.
Customizable Signal Line: Includes an optional moving average of the VWRSI, which serves as a signal line. The type of MA (Smooth Method) and its length can be customized.
Full Divergence Suite (Class A, B, C): The primary feature is the integrated divergence engine. It automatically detects and plots all three major types of divergences:
Regular (A): Signals potential trend reversals.
Hidden (B): Signals potential trend continuations.
Exaggerated (C): Signals weakness at double tops/bottoms.
Divergence Filtering and Visualization:
Price Tolerance Filter: Divergence detection is enhanced with a percentage-based price tolerance (pivPrcTol) to filter out insignificant market noise.
Persistent Visualization: Divergence markers are plotted for the entire duration of the signal and are visually anchored to the VWRSI level of the confirming pivot.
Note on Confirmation (Lag): Divergence signals rely on a pivot confirmation method to ensure they do not repaint.
The Start of a- divergence is only detected after the confirming pivot is fully formed (a delay based on Pivot Right Bars).
The End of a divergence is detected either instantly (if the signal is invalidated by price action) or with a delay (when a new, non-divergent pivot is confirmed).
Multi-Timeframe (MTF) Capability:
MTF VWRSI Line: The VWRSI and its signal line can be calculated on a higher timeframe, with standard options to handle gaps (Fill Gaps) and prevent repainting (Wait for...).
Limitation: The Divergence detection engine (pivDiv) is disabled if a timeframe other than the chart's timeframe is selected. Divergences are only calculated on the active chart timeframe.
Integrated Alerts: Includes 20 comprehensive alerts for:
The start and end of all 6 divergence types.
The VWRSI crossing its signal line.
The VWRSI crossing the Overbought, Oversold, or 50-level lines.
DISCLAIMER
For Informational/Educational Use Only: This indicator is provided for informational and educational purposes only. It does not constitute financial, investment, or trading advice, nor is it a recommendation to buy or sell any asset.
Use at Your Own Risk: All trading decisions you make based on the information or signals generated by this indicator are made solely at your own risk.
No Guarantee of Performance: Past performance is not an indicator of future results. The author makes no guarantee regarding the accuracy of the signals or future profitability.
No Liability: The author shall not be held liable for any financial losses or damages incurred directly or indirectly from the use of this indicator.
Signals Are Not Recommendations: The alerts and visual signals (e.g., crossovers) generated by this tool are not direct recommendations to buy or sell. They are technical observations for your own analysis and consideration.
Relative Distance to Moving AverageThis indicator calculates the Relative Distance to a Moving Average (RDMA), a momentum oscillator that measures how overextended a price is from its moving average baseline. It expresses this distance as a percentage, oscillating around a zero line. High positive values may indicate overbought conditions, while large negative values may suggest oversold conditions.
Key Features:
Customizable MA Baseline: The oscillator's baseline is a moving average. Users can select from a wide range of MA types (e.g., EMA, SMA, WMA) and apply volume weighting (Volume weighted) for enhanced responsiveness.
Normalization (Geometric Average): Includes an optional 'Normalize' mode. When enabled, the indicator uses a Geometric Moving Average (GMA) as its baseline and measures the percentage distance from this compound growth average, making it suitable for exponential markets.
Full Divergence Suite (Class A, B, C): The indicator's primary feature is its integrated divergence engine. It automatically detects and plots all three major divergence classes between price and the RDMA:
Regular (A): Signals potential trend exhaustion and reversals.
Hidden (B): Signals potential trend continuations during pullbacks.
Exaggerated (C): Signals weakness at double tops/bottoms.
Divergence Filtering and Visualization:
Price Tolerance Filter: Divergence detection is enhanced with a percentage-based price tolerance (pivPrcTol) to filter out insignificant market noise.
Persistent Visualization: Divergence markers are plotted for the entire duration of the signal and are visually anchored to the RDMA level of the confirming pivot.
Note on Confirmation (Lag): Divergence signals rely on a pivot confirmation method to ensure they do not repaint.
The Start of a- divergence is only detected after the confirming pivot is fully formed (a delay based on Pivot Right Bars).
The End of a divergence is detected either instantly (if the signal is invalidated by price action) or with a delay (when a new, non-divergent pivot is confirmed).
Multi-Timeframe (MTF) Capability:
MTF RDMA Line: The RDMA oscillator itself can be calculated on a higher timeframe, with standard options to handle gaps (Fill Gaps) and prevent repainting (Wait for...).
Limitation: The Divergence detection engine (pivDiv) is disabled if a timeframe other than the chart's timeframe is selected. Divergences are only calculated on the active chart timeframe.
Integrated Alerts: Includes 14 comprehensive alerts for:
The start and end of all 6 divergence types.
The RDMA oscillator crossing the zero line.
DISCLAIMER
For Informational/Educational Use Only: This indicator is provided for informational and educational purposes only. It does not constitute financial, investment, or trading advice, nor is it a recommendation to buy or sell any asset.
Use at Your Own Risk: All trading decisions you make based on the information or signals generated by this indicator are made solely at your own risk.
No Guarantee of Performance: Past performance is not an indicator of future results. The author makes no guarantee regarding the accuracy of the signals or future profitability.
No Liability: The author shall not be held liable for any financial losses or damages incurred directly or indirectly from the use of this indicator.
Signals Are Not Recommendations: The alerts and visual signals (e.g., crossovers) generated by this tool are not direct recommendations to buy or sell. They are technical observations for your own analysis and consideration.
Chaikin Money FlowThis indicator provides an implementation of the classic Chaikin Money Flow (CMF), a volume-weighted oscillator designed to measure money flow pressure. It is enhanced with a customizable signal line and a built-in divergence detection engine.
Key Features:
Full Divergence Suite (Class A, B, C): The primary feature is the integrated divergence engine. It automatically detects and plots all three major types of divergences:
Regular (A): Signals potential trend reversals.
Hidden (B): Signals potential trend continuations.
Exaggerated (C): Signals weakness at double tops/bottoms.
Divergence Filtering and Visualization:
Price Tolerance Filter: Divergence detection is enhanced with a percentage-based price tolerance (pivPrcTol) to filter out insignificant market noise, leading to more robust signals.
Persistent Visualization: Divergence markers are plotted for the entire duration of the signal and are visually anchored to the CMF level of the confirming pivot.
Customizable Signal Line: Includes an optional moving average of the CMF, which serves as a signal line. The type of MA (Signal Smoothing) and its length can be customized. This signal line can also be optionally volume-weighted (Volume weighted).
Note on Confirmation (Lag): Divergence signals rely on a pivot confirmation method to ensure they do not repaint.
The Start of a- divergence is only detected after the confirming pivot is fully formed (a delay based on Pivot Right Bars).
The End of a divergence is detected either instantly (if the signal is invalidated by price action) or with a delay (when a new, non-divergent pivot is confirmed).
Multi-Timeframe (MTF) Capability:
MTF CMF & Signal Lines: The CMF and its signal line can be calculated on a higher timeframe, with standard options to handle gaps (Fill Gaps) and prevent repainting (Wait for...).
Limitation: The Divergence detection engine (pivDiv) is disabled if a timeframe other than the chart's timeframe is selected. Divergences are only calculated on the active chart timeframe.
Integrated Alerts: Includes 16 comprehensive alerts for:
The start and end of all 6 divergence types.
The CMF crossing its signal line.
The CMF crossing the zero line.
DISCLAIMER
For Informational/Educational Use Only: This indicator is provided for informational and educational purposes only. It does not constitute financial, investment, or trading advice, nor is it a recommendation to buy or sell any asset.
Use at Your Own Risk: All trading decisions you make based on the information or signals generated by this indicator are made solely at your own risk.
No Guarantee of Performance: Past performance is not an indicator of future results. The author makes no guarantee regarding the accuracy of the signals or future profitability.
No Liability: The author shall not be liable for any financial losses or damages incurred directly or indirectly from the use of this indicator.
Signals Are Not Recommendations: The alerts and visual signals (e.g., crossovers) generated by this tool are not direct recommendations to buy or sell. They are technical observations for your own analysis and consideration.
Accumulation Distribution LineThis indicator provides an implementation of the classic Accumulation/Distribution Line (ADL). It enhances the standard indicator with a built-in divergence detection engine.
Key Features:
Full Divergence Suite (Class A, B, C): The primary feature is the integrated divergence engine. It automatically detects and plots all three major types of divergences:
Regular (A): Signals potential trend reversals.
Hidden (B): Signals potential trend continuations.
Exaggerated (C): Signals weakness at double tops/bottoms.
Divergence Filtering and Visualization:
Price Tolerance Filter: Divergence detection is enhanced with a percentage-based price tolerance (pivPrcTol) to filter out insignificant market noise, leading to more robust signals.
Persistent Visualization: Divergence markers are plotted for the entire duration of the signal and are visually anchored to the ADL level of the confirming pivot.
Note on Confirmation (Lag): Divergence signals rely on a pivot confirmation method to ensure they do not repaint.
The Start of a- divergence is only detected after the confirming pivot is fully formed (a delay based on Pivot Right Bars).
The End of a divergence is detected either instantly (if the signal is invalidated by price action) or with a delay (when a new, non-divergent pivot is confirmed).
Multi-Timeframe (MTF) Capability:
MTF ADL Line: The ADL line itself can be calculated on a higher timeframe, with standard options to handle gaps (Fill Gaps) and prevent repainting (Wait for...).
Limitation: The Divergence detection engine (pivDiv) is disabled if a timeframe other than the chart's timeframe is selected. Divergences are only calculated on the active chart timeframe.
Integrated Alerts: Includes 12 comprehensive alerts that trigger on the start and end of all 6 divergence types (e.g., "Regular Bullish Started", "Regular Bullish Ended").
DISCLAIMER
For Informational/Educational Use Only: This indicator is provided for informational and educational purposes only. It does not constitute financial, investment, or trading advice, nor is it a recommendation to buy or sell any asset.
Use at Your Own Risk: All trading decisions you make based on the information or signals generated by this indicator are made solely at your own risk.
No Guarantee of Performance: Past performance is not an indicator of future results. The author makes no guarantee regarding the accuracy of the signals or future profitability.
No Liability: The author shall not be held liable for any financial losses or damages incurred directly or indirectly from the use of this indicator.
Signals Are Not Recommendations: The alerts and visual signals (e.g., crossovers) generated by this tool are not direct recommendations to buy or sell. They are technical observations for your own analysis and consideration.
On Balance VolumeThis indicator provides an implementation of the classic On Balance Volume (OBV) momentum indicator, enhanced with a built-in divergence detection engine.
Key Features:
Full Divergence Suite (Class A, B, C): The primary feature is the integrated divergence engine. It automatically detects and plots all three major types of divergences:
Regular (A): Signals potential trend reversals.
Hidden (B): Signals potential trend continuations.
Exaggerated (C): Signals weakness at double tops/bottoms.
Divergence Filtering and Visualization:
Price Tolerance Filter: Divergence detection is enhanced with a percentage-based price tolerance (pivPrcTol) to filter out insignificant market noise, leading to more robust signals.
Persistent Visualization: Divergence markers are plotted for the entire duration of the signal and are visually anchored to the OBV level of the confirming pivot.
Note on Confirmation (Lag): Divergence signals rely on a pivot confirmation method to ensure they do not repaint.
The Start of a- divergence is only detected after the confirming pivot is fully formed (a delay based on Pivot Right Bars).
The End of a divergence is detected either instantly (if the signal is invalidated by price action) or with a delay (when a new, non-divergent pivot is confirmed).
Multi-Timeframe (MTF) Capability:
MTF OBV Line: The OBV line itself can be calculated on a higher timeframe, with standard options to handle gaps (Fill Gaps) and prevent repainting (Wait for...).
Limitation: The Divergence detection engine (pivDiv) is disabled if a timeframe other than the chart's timeframe is selected. Divergences are only calculated on the active chart timeframe.
Integrated Alerts: Includes 12 comprehensive alerts that trigger on the start and end of all 6 divergence types (e.g., "Regular Bullish Started", "Regular Bullish Ended").
DISCLAIMER
For Informational/Educational Use Only: This indicator is provided for informational and educational purposes only. It does not constitute financial, investment, or trading advice, nor is it a recommendation to buy or sell any asset.
Use at Your Own Risk: All trading decisions you make based on the information or signals generated by this indicator are made solely at your own risk.
No Guarantee of Performance: Past performance is not an indicator of future results. The author makes no guarantee regarding the accuracy of the signals or future profitability.
No Liability: The author shall not be held liable for any financial losses or damages incurred directly or indirectly from the use of this indicator.
Signals Are Not Recommendations: The alerts and visual signals (e.g., crossovers) generated by this tool are not direct recommendations to buy or sell. They are technical observations for your own analysis and consideration.
APXTradez - Swing RSI🔹 APXTradez Swing RSI — Summary & Usage Guide
Purpose
- The APXTradez Swing RSI measures momentum strength and exhaustion in a stock’s price movement.
- It tells you when price is overextended, balanced, or reversing, helping you time entries, exits, and confirmation on swing trades.
This version is tuned for clean visual momentum tracking during 2-to-5-day swings or multi-week trends.
Core Components
-RSI (14-period)
- Uses a standard 14-bar calculation on the closing price (or whichever source you choose).
- Ranges between 0 and 100, showing how strong the recent price push has been.
- Smooth enough for swing trading; reactive enough to catch early turns.
- Color-Coded RSI Line
White = Neutral zone (healthy price action).
Lime = Oversold (< 30) → buying opportunity or short-covering zone.
Red = Overbought (> 70) → profit-taking or potential pullback zone.
Color shifts automatically as RSI crosses key thresholds, so you see sentiment flips instantly.
Horizontal Levels
70 = Overbought (red dashed line)
30 = Oversold (lime dashed line)
50 = Midline (gray dotted line, optional toggle)
These levels frame the RSI’s “zones of strength.”
How to Use It
1️⃣ Identify Momentum Regime
-Above 50 → Bullish Bias
Momentum favors buyers. Use this to confirm call or long positions.
- Below 50 → Bearish Bias
Momentum favors sellers. Confirms put or short setups.
- The 50 midline is your “momentum compass.”
Crosses above or below often precede trend reversals.
2️⃣ Spot Extremes (30 / 70 Zones)
RSI > 70 = Overbought
Price is stretched; risk of pullback or short-term cooling.
→ Good area to trim longs or watch for reversal candles.
RSI < 30 = Oversold
Price is washed out; potential bounce forming.
→ Good area to look for bullish reversal + volume confirmation.
3️⃣ Combine with APX TTM Squeeze and Overlay
- When RSI > 50 and rising + TTM histogram bright teal + Squeeze fires black dot up → high-probability long swing.
- When RSI < 50 and falling + TTM histogram bright yellow + Squeeze fires down → high-probability short swing.
- When RSI flat around 50 → trendless; wait for compression + momentum confirmation.
4️⃣ Divergences (Advanced Use)
- Bullish Divergence: Price makes a lower low, RSI makes a higher low → momentum turning up before price.
- Bearish Divergence: Price makes a higher high, RSI makes a lower high → momentum weakening.
- These signals are strongest when combined with a Squeeze firing or EMA crossover from your Swing Overlay.
Best Timeframes
Daily / 4-Hour: Ideal for swing entries and momentum tracking.
1-Hour: For fine-tuning entries inside larger setups.
- The APXTradez Swing RSI gives you a clean, visual read on who controls momentum and when that strength is fading or reversing.
- It’s not meant to predict exact tops or bottoms — it’s a confirmation and rhythm tool:
Use the 50-line for trend bias.
Use 30/70 for exhaustion.
Use color shifts for quick sentiment reads.
Combine with your APX Squeeze and Overlay for the complete swing-timing system.
CCI [Hash Adaptive]Adaptive CCI Pro: Professional Technical Analysis Indicator
The Commodity Channel Index is a momentum oscillator developed by Donald Lambert in 1980. CCI measures the relationship between an asset's price and its statistical average, identifying cyclical turns and overbought/oversold conditions. The indicator oscillates around zero, with values above +100 indicating overbought conditions and values below -100 suggesting oversold conditions.
Standard CCI Formula: (Typical Price - Moving Average) / (0.015 × Mean Deviation)
This indicator transforms the traditional CCI into a sophisticated visual analysis tool through several key enhancements:
Implements dual exponential moving average smoothing to eliminate market noise
Preserves signal integrity while reducing false signals
Adaptive smoothing responds to market volatility conditions
Dynamic Color Visualization System
Continuous gradient transitions from red (bearish momentum) to green (bullish momentum)
Real-time color intensity reflects momentum strength
Eliminates discrete color jumps for fluid visual interpretation
Adaptive Intelligence Features
Dynamic overbought/oversold thresholds adapt to market conditions
Reduces false signals during high volatility periods
Maintains sensitivity during low volatility environments
Momentum Vector Analysis
Incorporates velocity calculations for early trend identification
Crossover detection with momentum confirmation
Advanced signal filtering reduces market noise
Extreme Level Analysis
Values above +100: Strong overbought conditions, potential reversal zones
Values below -100: Strong oversold conditions, potential buying opportunities
Zero-line crossovers: Momentum shift confirmation
Optimization Parameters
CCI Period (Default: 14)
Shorter periods (10-12): Increased sensitivity, more signals
Standard periods (14-20): Balanced responsiveness and reliability
Longer periods (21-30): Reduced noise, stronger signal confirmation
Smoothing Factor (Default: 5)
Lower values (1-3): Maximum responsiveness, suitable for scalping
Medium values (4-6): Balanced approach for swing trading
Higher values (7-10): Institutional-grade smoothness for position trading
Signal Sensitivity (Default: 6)
Conservative (7-10): High-probability signals, reduced frequency
Balanced (5-6): Optimal risk-reward ratio
Aggressive (1-4): Maximum signal generation, requires additional confirmation
Strategic Implementation
Oversold reversals in red zones with momentum confirmation
Zero-line breaks with sustained color transitions
Extreme readings followed by momentum divergence
Risk Management
Use extreme levels (+100/-100) for position sizing decisions
Monitor color intensity for momentum strength assessment
Combine with price action analysis for comprehensive market view
Market Context Application
Trending markets: Focus on momentum direction and extreme readings
Range-bound markets: Utilize overbought/oversold levels for mean reversion
Volatile markets: Increase smoothing parameters and signal sensitivity
Professional Advantages
Instantaneous momentum assessment through color visualization
Reduced cognitive load compared to traditional oscillators
Professional presentation suitable for client reporting
Adaptive Technology
Self-adjusting parameters reduce manual optimization requirements
Consistent performance across varying market conditions
Advanced mathematics eliminate common CCI limitations
The Adaptive CCI Pro represents the evolution of momentum analysis, combining Lambert's foundational CCI concept with modern computational techniques to deliver institutional-grade market intelligence through an intuitive visual interface.
Smart Volume Imbalance (SVI) — Lower Panel (MNQ tuned)How to use & interpret (quick guide — tuned for MNQ)
What SVI shows
SVI > 0 — price move is directionally efficient with supportive volume (bullish smart flow).
SVI < 0 — price move is directionally efficient with selling pressure (bearish smart flow).
Large |SVI| (default threshold ±1.5) indicates institutional-strength moves worth respecting.
Absorption (orange/yellow marker): high volume but small candle body → potential smart accumulation/distribution (often precedes directional moves).
Primary signals
Entry (momentum): SVI crosses above +svThresh on pullbacks aligned with trend (use price structure to confirm).
Fade / Short: SVI falls below -svThresh at or near resistance, especially with bearish divergence.
Divergence: Price makes higher high but SVI makes lower high → likely smart-money sell; be cautious.
Default parameter reasoning for MNQ
volLen = 20, spreadLen = 20 — balances responsiveness and noise for a fast future.
normLen = 50, smoothLen = 8 — reduces tick noise but still responsive to MNQ spikes.
absorbVolMul = 1.8 — flags volume ~80% above average as significant; tweak if your data source reports higher/lower baseline.
Tuning tips
If you see too many false signals, increase normLen or smoothLen (more smoothing).
If you want earlier signals (more noise), lower smoothLen and normLen.
For lower-timeframes (1s/1m) you may need shorter SMAs; for higher-timeframes (5m+) defaults often work well.
Practical workflow
Use SVI in a separate lower panel while trading MNQ on your preferred timeframe (1m–5m are common).
Combine SVI with structure: only take bullish SVI signals above a prior structure support / after CHoCH, etc.
Watch absorption zones near highs/lows — they often signal where smart money is stepping in/out.
Mean Reversion Oscillator [Alpha Extract]An advanced composite oscillator system specifically designed to identify extreme market conditions and high-probability mean reversion opportunities, combining five proven oscillators into a single, powerful analytical framework.
By integrating multiple momentum and volume-based indicators with sophisticated extreme level detection, this oscillator provides precise entry signals for contrarian trading strategies while filtering out false reversals through momentum confirmation.
🔶 Multi-Oscillator Composite Framework
Utilizes a comprehensive approach that combines Bollinger %B, RSI, Stochastic, Money Flow Index, and Williams %R into a unified composite score. This multi-dimensional analysis ensures robust signal generation by capturing different aspects of market extremes and momentum shifts.
// Weighted composite (equal weights)
normalized_bb = bb_percent
normalized_rsi = rsi
normalized_stoch = stoch_d_val
normalized_mfi = mfi
normalized_williams = williams_r
composite_raw = (normalized_bb + normalized_rsi + normalized_stoch + normalized_mfi + normalized_williams) / 5
composite = ta.sma(composite_raw, composite_smooth)
🔶 Advanced Extreme Level Detection
Features a sophisticated dual-threshold system that distinguishes between moderate and extreme market conditions. This hierarchical approach allows traders to identify varying degrees of mean reversion potential, from moderate oversold/overbought conditions to extreme levels that demand immediate attention.
🔶 Momentum Confirmation System
Incorporates a specialized momentum histogram that confirms mean reversion signals by analyzing the rate of change in the composite oscillator. This prevents premature entries during strong trending conditions while highlighting genuine reversal opportunities.
// Oscillator momentum (rate of change)
osc_momentum = ta.mom(composite, 5)
histogram = osc_momentum
// Momentum confirmation
momentum_bullish = histogram > histogram
momentum_bearish = histogram < histogram
// Confirmed signals
confirmed_bullish = bullish_entry and momentum_bullish
confirmed_bearish = bearish_entry and momentum_bearish
🔶 Dynamic Visual Intelligence
The oscillator line adapts its color intensity based on proximity to extreme levels, providing instant visual feedback about market conditions. Background shading creates clear zones that highlight when markets enter moderate or extreme territories.
🔶 Intelligent Signal Generation
Generates precise entry signals only when the composite oscillator crosses extreme thresholds with momentum confirmation. This dual-confirmation approach significantly reduces false signals while maintaining sensitivity to genuine mean reversion opportunities.
How It Works
🔶 Composite Score Calculation
The indicator simultaneously tracks five different oscillators, each normalized to a 0-100 scale, then combines them into a smoothed composite score. This approach eliminates the noise inherent in single-oscillator analysis while capturing the consensus view of multiple momentum indicators.
// Mean reversion entry signals
bullish_entry = ta.crossover(composite, 100 - extreme_level) and composite < (100 - extreme_level)
bearish_entry = ta.crossunder(composite, extreme_level) and composite > extreme_level
// Bollinger %B calculation
bb_basis = ta.sma(src, bb_length)
bb_dev = bb_mult * ta.stdev(src, bb_length)
bb_percent = (src - bb_lower) / (bb_upper - bb_lower) * 100
🔶 Extreme Zone Identification
The system automatically identifies when markets reach statistically significant extreme levels, both moderate (65/35) and extreme (80/20). These zones represent areas where mean reversion has the highest probability of success based on historical market behavior.
🔶 Momentum Histogram Analysis
A specialized momentum histogram tracks the velocity of oscillator changes, helping traders distinguish between healthy corrections and potential trend reversals. The histogram's color-coded display makes momentum shifts immediately apparent.
🔶 Divergence Detection Framework
Built-in divergence analysis identifies situations where price and oscillator movements diverge, often signaling impending reversals. Diamond-shaped markers highlight these critical divergence patterns for enhanced pattern recognition.
🔶 Real-Time Information Dashboard
An integrated information table provides instant access to current oscillator readings, market status, and individual component values. This dashboard eliminates the need to manually check multiple indicators while trading.
🔶 Individual Component Display
Optional display of individual oscillator components allows traders to understand which specific indicators are driving the composite signal. This transparency enables more informed decision-making and deeper market analysis.
🔶 Adaptive Background Coloring
Intelligent background shading automatically adjusts based on market conditions, creating visual zones that correspond to different levels of mean reversion potential. The subtle color gradations make pattern recognition effortless.
1D
3D
🔶 Comprehensive Alert System
Multi-tier alert system covers confirmed entry signals, divergence patterns, and extreme level breaches. Each alert type provides specific context about the detected condition, enabling traders to respond appropriately to different signal strengths.
🔶 Customizable Threshold Management
Fully adjustable extreme and moderate levels allow traders to fine-tune the indicator's sensitivity to match different market volatilities and trading timeframes. This flexibility ensures optimal performance across various market conditions.
🔶 Why Choose AE - Mean Reversion Oscillator?
This indicator provides the most comprehensive approach to mean reversion trading by combining multiple proven oscillators with advanced confirmation mechanisms. By offering clear visual hierarchies for different extreme levels and requiring momentum confirmation for signals, it empowers traders to identify high-probability contrarian opportunities while avoiding false reversals. The sophisticated composite methodology ensures that signals are both statistically significant and practically actionable, making it an essential tool for traders focused on mean reversion strategies across all market conditions.
AlphaMACD - Adaptive MACD with Efficiency RatioOVERVIEW
AlphaMACD is an adaptive implementation of the classic MACD indicator that dynamically adjusts its calculation periods based on market efficiency. Unlike traditional MACD which uses fixed periods (typically 12, 26, 9), this indicator adapts its fast and slow EMA periods in real-time based on how efficiently the market is trending.
WHAT MAKES THIS ORIGINAL
This is not a simple MACD with different settings or colors. The core innovation is the adaptive period calculation using Kaufman's Efficiency Ratio, which was originally developed for the Adaptive Moving Average (AMA). This indicator applies that adaptive logic to MACD itself.
Key Differences from Standard MACD:
- Periods dynamically adjust between user-defined ranges (default: 8-21 for fast, 21-55 for slow)
- Uses Kaufman's Efficiency Ratio to measure market trendiness
- Implements gap protection to prevent extreme spikes from market gaps
- Includes market regime detection to filter signals in choppy conditions
- Provides multi-timeframe trend confirmation
HOW IT WORKS
1. Efficiency Ratio Calculation:
The indicator calculates market efficiency by comparing the absolute price change over a period to the sum of absolute price changes within that period. High efficiency = strong trending market. Low efficiency = choppy/sideways market.
2. Adaptive Period Adjustment:
- In trending markets (high efficiency): Periods move toward the minimum values for faster response
- In choppy markets (low efficiency): Periods move toward the maximum values for slower, more stable signals
- The "Sensitivity" parameter controls how aggressively periods adapt (0.5 to 5.0)
3. Gap Protection:
The custom adaptive EMA function detects abnormal price gaps (moves larger than 3x the typical ATR-based change) and limits their impact on the calculation. This prevents weekends or news gaps from causing extreme MACD spikes.
4. Signal Quality Filtering:
- Market regime detection identifies trending vs sideways conditions
- Momentum filter (RSI-based) prevents signals during overextended moves
- Signal strength calculation helps identify high-confidence setups
- Sideways market signals are marked with warning symbols
5. Multi-Timeframe Analysis:
The indicator compares current timeframe MACD with a higher timeframe (default 60 min) to provide context and filter against-trend signals.
HOW TO USE IT
Settings:
- Core Settings: Define the minimum and maximum periods for fast/slow EMAs
- Sensitivity: Higher values make the indicator more responsive to market changes
- Multi-timeframe: Set a higher timeframe for trend confirmation
- Visual options: Customize appearance and enable/disable features
Signal Interpretation:
- Strong bullish/bearish signals (large triangles): High-confidence entries in trending markets
- Warning signals (small ⚠): Crossovers in sideways markets - use caution or skip
- Divergence labels ("DIV"): Price and MACD diverging - potential reversal
- Background color: Green tint = trending market, Orange tint = sideways market
The Information Table shows:
- Current market regime (trending or sideways)
- Market efficiency percentage (how clean the trend is)
- Current adaptive fast and slow periods
- Higher timeframe trend direction
- Current signal strength
Best Practices:
- In trending markets: Trust strong signals, avoid warning signals
- In sideways markets: Reduce position sizes or skip trades entirely
- Use higher timeframe confirmation for better signal quality
- Adjust sensitivity based on your trading timeframe (higher for intraday, lower for swing)
TECHNICAL DETAILS
Calculation Method:
- Efficiency Ratio = ABS(Close - Close ) / SUM(ABS(Close - Close ), Period)
- Smoothed Efficiency = EMA(Efficiency Ratio, 5)
- Fast Period = Fast_Min + (Fast_Max - Fast_Min) × (1 - Smoothed_Efficiency × Sensitivity)
- Slow Period = Slow_Min + (Slow_Max - Slow_Min) × (1 - Smoothed_Efficiency × Sensitivity)
- Adaptive EMA uses standard EMA formula with gap detection and limiting
- MACD = Fast Adaptive EMA - Slow Adaptive EMA
- Signal = EMA(MACD, Signal Period)
- Histogram = MACD - Signal
The adaptive periods are calculated on every bar, so the MACD responds faster in trending conditions and stabilizes during consolidation.
WHAT THIS SOLVES
Standard MACD Problems:
- Fixed periods don't adapt to changing market conditions
- Too many false signals in sideways markets
- Whipsaws during low-volatility consolidation
- Price gaps can cause misleading spikes
AlphaMACD Solutions:
- Periods automatically adjust to market state
- Market regime filter identifies and warns about sideways conditions
- Adaptive smoothing reduces whipsaws
- Gap protection prevents false extremes
LIMITATIONS
- Like all indicators, this does not predict the future
- Requires trending markets for optimal performance
- Adaptive calculation means backtesting results will differ from fixed-period MACD
- More complex than standard MACD - requires understanding of adaptive concepts
- The adaptive periods mean you cannot directly compare this to traditional MACD studies
This indicator is best used as part of a complete trading system, not as a standalone signal generator.
EDUCATIONAL VALUE
For traders learning about:
- Adaptive indicators and market efficiency concepts
- Kaufman's Adaptive Moving Average principles applied to oscillators
- Market regime detection and signal filtering
- Gap handling in technical indicators
- Multi-timeframe analysis integration
Not Financial advice.
MACD Pro - Multi-Filter Smart Divergence System# MACD Pro - Multi-Filter Smart Divergence System
## Professional MACD with Advanced Filtering & Automatic Divergence Detection
Transform the classic MACD indicator with professional-grade filters, automated divergence detection, and pre-optimized profiles for different markets.
---
## KEY FEATURES
### Smart Signal Filtering
- **Zero-Line Territory Filter** - Eliminates weak crossovers
- **3-Period Confirmation** - Reduces false signals
- **Minimum Distance Threshold** - Filters out noise
- **Multi-Indicator Confirmation** - RSI + Volume validation
### Automatic Divergence Detection
- **Visual Divergence Lines** - Connects price and MACD pivots automatically
- **Bullish/Bearish Recognition** - Real-time identification
- **Customizable Lookback** - Adjust sensitivity
- **Clean Display** - Managed line limits
### Pre-Optimized Market Profiles
- **S&P 500** (2/60/2) - Tested +3.63% annual
- **Gold** (14/48/3) - Optimized for volatility
- **Forex 30m** (24/52/9) - 24/7 market adapted
- **Scalping 1m** (5/13/6) - Quick trades
- **Linda Raschke** (3/10/16) - Classic scalping
- **Swing Trading** (8/24/9) - Higher timeframes
### Advanced Technical Features
- **ATR Normalization** - Volatility adaptation
- **Predictive Forecast** - Linear regression projection
- **Multi-Timeframe View** - Higher TF overlay
- **Volume Analysis** - Spike confirmation
- **Professional Dashboard** - Real-time metrics
---
## HOW TO USE
**Quick Start:**
1. Enable "Use Optimized Profile"
2. Select your market type
3. Watch for signal arrows and divergence lines
4. Confirm with dashboard metrics
**Signal Types:**
- 🔺 Green Triangle = Bullish crossover (filtered)
- 🔻 Red Triangle = Bearish crossover (filtered)
- ⚪ Small Circle = Conservative zero-line cross
- 🟢 Green Line = Bullish divergence
- 🔴 Red Line = Bearish divergence
---
## CUSTOMIZATION
**Filters:** Toggle each filter independently for your risk tolerance
**Divergence:** Adjust lookback period, line width, and maximum displayed lines
**Confirmation:** Customize RSI levels and volume spike thresholds
**Display:** Choose histogram, forecast, and multi-timeframe options
---
## ALERT CONDITIONS
- MACD Long Signal
- MACD Short Signal
- Bullish Divergence
- Bearish Divergence
---
## IMPORTANT NOTES
**Repainting:** Divergence detection uses historical pivots and may redraw. Crossover signals are non-repainting.
**Disclaimer:** Pre-optimized profiles based on historical data. Past performance does not guarantee future results. This indicator is for educational purposes only, not financial advice.
---
## BEST PRACTICES
**Timeframes:**
- 1-5m → Scalping profile
- 15-30m → Forex profile
- 1-4h → Swing profile
- Daily → S&P 500/Gold profiles
**Market Conditions:**
- Trending → Focus on momentum
- Ranging → Enable all filters, watch divergences
- Volatile → Use ATR normalization
**Combine With:** Support/resistance levels, trendlines, moving averages, and price action analysis.
---
## WHY MACD PRO?
| Feature | Standard MACD | MACD Pro |
|---------|--------------|----------|
| Signal Filters | ❌ | ✅ 5 Advanced |
| Divergence | ❌ Manual | ✅ Automatic |
| Market Profiles | ❌ | ✅ 7 Optimized |
| Volume Filter | ❌ | ✅ Built-in |
| Multi-Timeframe | ❌ | ✅ Yes |
| ATR Adaptation | ❌ | ✅ Yes |
---
**If you find this indicator useful, please boost 🚀**
*Protected source code. Compatible with all TradingView plans.*
Divergences + Alerts (ANY Indicator)📊 Divergences + Alerts (ANY Indicator)
This versatile indicator detects four types of divergences between price action and an oscillator:
Buyer Exhaustion
Buyer Absorption
Seller Exhaustion
Seller Absorption
Each divergence type is automatically identified and visually marked on the chart with colored lines. The indicator also includes built-in alert conditions for all four divergence types, allowing traders to receive real-time notifications when potential reversal signals occur.
By default, the oscillator is a candle-style visualization of the Money Flow Index (MFI), enhanced with volatility filtering via a VWMA-based ATR. However, users can replace the default MFI oscillator with any external source using the “Plug External Source” input, enabling full customization and compatibility with other indicators.
Key features:
🔍 Detects both exhaustion and absorption divergences
🔔 Alerts for each divergence type
🕯️ Candle-style oscillator visualization
🔌 Optional input for external indicator sources
⚙️ ATR-based filtering for precision
Ideal for traders seeking to spot early signs of trend reversals or momentum shifts with customizable flexibility.
Bollinger Band ToolkitBollinger Band Toolkit
An advanced, adaptive Bollinger Band system for traders who want more context, precision, and edge.
This indicator expands on the classic Bollinger Bands by combining statistical and volatility-based methods with modern divergence and squeeze detection tools. It helps identify volatility regimes, potential breakouts, and early momentum shifts — all within one clean overlay.
🔹 Core Features
1. Adaptive Bollinger Bands (σ + ATR)
Classic 20-period bands enhanced with an ATR-based volatility adjustment, making them more responsive to true market movement rather than just price variance.
Reduces “overreacting” during chop and avoids bands collapsing too tightly during trends.
2. %B & RSI Divergence Detection
🟢 Green dots: Positive %B divergence — price makes a lower low, but %B doesn’t confirm (bullish).
🔴 Red dots: Negative %B divergence — price makes a higher high, but %B doesn’t confirm (bearish).
✚ Red/green crosses: RSI divergence confirmation — momentum fails to confirm the price’s new extreme.
These signals highlight potential reversal or slowdown zones that are often invisible to the naked eye.
3. Bollinger Band Squeeze (with Volume Filter)
Yellow squares (■) show periods when Bollinger Bands are at their narrowest relative to recent history.
Volume confirmation ensures the squeeze only triggers when both volatility and participation contract.
Often marks the “calm before the storm” — breakout potential zones.
4. Multi-Timeframe Breakout Markers
Optionally displays breakouts from higher or lower timeframes using different colors/symbols.
Lets you see when a higher timeframe band break aligns with your current chart — a strong trend continuation signal.
5. Dual- and Triple-Band Visualization (±1σ, ±2σ, ±3σ)
Optional inner (±1σ) and outer (±3σ) bands provide a layered volatility map:
Price holding between ±1σ → stable range / mean-reverting behavior
Price riding near ±2σ → trending phase, sustained momentum
Price touching or exceeding ±3σ → volatility expansion or exhaustion zone
This triple-band layout visually distinguishes normal movement from statistical extremes, helping you read when the market is balanced, expanding, or approaching its limits.
⚙️ Inputs & Customization
Choose band type (SMA/EMA/SMMA/WMA/VWMA)
Adjust deviation multiplier (σ) and ATR multiplier
Toggle individual features (divergence dots, squeeze markers, inner bands, etc.)
Multi-timeframe and colour controls for advanced users
🧠 How to Use
Watch for squeeze markers followed by a breakout bar beyond ±2σ → volatility expansion signal.
Combine divergence dots with RSI or price structure to anticipate slowdowns or reversals.
Confirm direction using multi-timeframe breakouts and volume expansion.
💬 Why It Works
This toolkit transforms qualitative chart reading (tight bands, hidden divergence) into quantitative, testable conditions — giving you objective insights that can be backtested, coded, or simply trusted in live setups.






















