Hawks NY Midnight OpenPlots the New York Midnight Open price with configurable horizontal and vertical reference lines, session-based timing, and adjustable extensions.Pine Script® インジケーターsarissabrownriggfh1763の投稿9
Forecast Trend Filter ~ CharonQuantThe Forecast Trend Filter (FTF) is a trend and momentum confirmation indicator built on the original Forecast Oscillator concept developed by Tushar Chande. The original Forecast Oscillator measures how far price deviates from a linear regression forecast to highlight momentum shifts. This version extends that foundation and restructures it into a practical, signal-quality focused trend filter designed for real trading conditions. What’s different in this implementation: • Forecast Oscillator combined with slope confirmation to ensure momentum is accelerating, not stalling • Trend alignment filter using a user-selectable moving average (SMA, EMA, WMA, HMA, ALMA, VWMA) • Minimum deviation threshold to filter out weak or noisy signals • Directional state logic that clearly defines bullish, bearish, or neutral conditions • Visual trend context using adaptive colors, background bias, and overlay plots Signals are only generated when all conditions align: • Price deviates meaningfully from its linear regression forecast • Oscillator slope confirms momentum continuation • Deviation exceeds the minimum quality threshold • Price is aligned with the higher-level trend filter If one condition fails, the signal is ignored. This design prioritizes signal quality over signal frequency. Development and usage notes: This indicator was developed and calibrated on the 1D INDEX:ETHUSD chart. You must tweak the parameters to fit your market, timeframe, and trading style. If you do not read this description or do not understand what the indicator is designed to do, do not use it. Indicators amplify both discipline and mistakes. Important reminder: No single indicator is sufficient on its own. Pine Script® インジケーターCharonQuantの投稿44118
Early Pullback Watchlist FlagAn alert across multiple symbols by adding to chart creating alert using indicator as apply to all symbols in watchlist with real time notificationPine Script® インジケーターycornelius1の投稿0
Early Pullback Screener ColumnContinuation of Deep Pull Back indicator - this give a custom column screen of early potential continuation pullbacksPine Script® インジケーターycornelius1の投稿0
Farjeat Liquidity HeatmapEncuentra las zonas de liquidez y te muestra donde podría dirigirse el precio.Pine Script® インジケーターerickfarjeatの投稿11
Farjeat Price Action FractalIt automatically detects market fractality and provides a projection of potential price movements, helping you make more informed buying and selling decisions!Pine Script® インジケーターerickfarjeatの投稿8
EMA Crossover Buy/Sell Signals//@version=5 indicator("EMA Crossover Buy/Sell Signals", overlay=true) // ─── Inputs ─────────────────────────────────────────────── emaFastLength = input.int(5, "Fast EMA Length", minval=1) emaSlowLength = input.int(20, "Slow EMA Length", minval=1) // ─── EMA Calculations ───────────────────────────────────── emaFast = ta.ema(close, emaFastLength) emaSlow = ta.ema(close, emaSlowLength) // ─── Entry & Exit Conditions ────────────────────────────── buySignal = ta.crossover(emaFast, emaSlow) // Fast EMA crosses above Slow EMA sellSignal = ta.crossunder(emaFast, emaSlow) // Fast EMA crosses below Slow EMA // ─── Alerts ─────────────────────────────────────────────── alertcondition(buySignal, title="Buy Signal", message="Buy Signal") alertcondition(sellSignal, title="Sell Signal", message="Sell Signal") // ─── Display EMA Lines ──────────────────────────────────── plot(emaFast, color=color.green, title="Fast EMA") plot(emaSlow, color=color.red, title="Slow EMA") // ─── Signal Arrows ──────────────────────────────────────── plotshape(buySignal, title="Buy Arrow", style=shape.labelup, color=color.green, text="Buy", location=location.belowbar, size=size.tiny) plotshape(sellSignal, title="Sell Arrow", style=shape.labeldown, color=color.red, text="Sell", location=location.abovebar, size=size.tiny) // ─── Highlight Active Signals ───────────────────────────── bgcolor(buySignal ? color.new(color.green, 85) : sellSignal ? color.new(color.red, 85) : na)Pine Script® インジケーターsharmapr1985の投稿23
SMC M5 Entry PROMC M5 Entry PRO is a Smart Money Concepts (SMC) signal tool designed for quick decision-making on M5, with optional H1 + M15 trend alignment and a built-in TP/SL ladder How signals are generated Market Structure Detection (M5) The script detects BOS (Break of Structure) and CHoCH (Change of Character) using swing pivots. You can choose the signal type: BOS only CHoCH only Both MTF Trend Filter (Optional) If enabled, the script will only signal trades when H1 and M15 are aligned in the same structural bias direction. Candle Strength Filter The script checks the candle body percentage on the signal candle: 𝐵 𝑜 𝑑 𝑦 % = ∣ 𝐶 𝑙 𝑜 𝑠 𝑒 − 𝑂 𝑝 𝑒 𝑛 ∣ 𝐻 𝑖 𝑔 ℎ − 𝐿 𝑜 𝑤 × 100 Body%= High−Low ∣Close−Open∣ ×100 A signal will only trigger if Body% ≥ the threshold you set. Entry display A BUY/SELL marker appears on the M5 signal candle A small Entry dot is drawn at the exact entry price (based on the confirmed signal candle). TP / SL When a signal triggers, the script draws: ENTRY TP1 / TP2 / TP3 SL TP/SL levels are calculated from ENTRY using your point settings: Default targets: TP1 400 / TP2 800 / TP3 1200 points SL can be fixed or set to RR 1:1 (SL = TP1 distance) ✅ When price reaches a TP level, the script marks it with ✓ ❌ If price hits SL, it marks it with ✕ Pine Script® インジケーターorcaxvtの投稿更新済 22
ICT Essentials By @PatekFynnipThis indicator shows ICT essentials such as Midnight Opening Price, Midnight Opening Range, Asia Range, Previous Day High & Low This is a cosmetic indicator. It's fully adjustable.Pine Script® インジケーターPatekFynnipの投稿1
Indices Futures: Key Levels By @PatekFynnipThis indicator shows key levels like New Week Openings Gaps, New Day Opening Gaps, Opening Range Gaps & 1st Presentations. It auto-plots NWOG, NDOG, ORG, 1st Pres and calculates and draws Quadrants + Eights inside every key level This is a cosmetic indicator. It's fully adjustable. Mainly for Indices like Nasdaq (NQ), S&P (ES) and Dow Jones (YM).Pine Script® インジケーターPatekFynnipの投稿更新済 114
Current & Previous Candle H/LA visual tool that shows you the High and Low prices of: The CURRENT candle (bar) being formed. The PREVIOUS candle (the one that just closed). 1. Quick Price Reference Instantly see exact High/Low levels without hovering over candles Useful when placing orders near these levels 2. Support/Resistance Visualization Previous High/Low often acts as resistance/support Current High/Low shows where price is pushing 3. Breakout Trading Helps identify when price breaks above previous High (bullish breakout) Or below previous Low (bearish breakout) 4. Risk Management Set stop-losses below previous Low or above previous High Place take-profits near current High/Low extensionsPine Script® インジケーターmmrabeaの投稿更新済 30
Multi-Metric Valuation IndicatorMulti-Metric Valuation Indicator - Accumulation/Distribution Signal This indicator combines six proven technical metrics into a single composite valuation score to help identify optimal accumulation and distribution zones for any asset. Built with the Mayer Multiple as its foundation, it provides a comprehensive view of whether an asset is overvalued or undervalued. Core Components: Mayer Multiple - Compares current price to 200-day moving average (traditional Bitcoin valuation metric) RSI (Relative Strength Index) - Identifies overbought/oversold momentum conditions Bollinger Band Position - Measures price location within volatility bands 50-Day MA Deviation - Tracks short-term trend strength Rate of Change (ROC) - Captures momentum shifts Volume Analysis - Confirms price moves with relative volume strength How It Works: Each metric is scored from -1 (extremely undervalued) to +1 (extremely overvalued) using granular thresholds. These scores are averaged into a composite valuation score that oscillates around zero: < -0.4: Strong Accumulation Zone (dark green background) -0.4 to -0.2: Accumulation Zone (light green background) -0.2 to +0.2: Neutral Zone (gray background) +0.2 to +0.4: Distribution Zone (light red background) > +0.4: Strong Distribution Zone (dark red background) Key Features: Real-time scoring table displays all component values and their individual scores Color-coded composite line (green = undervalued, red = overvalued) Background shading for instant visual signal recognition Built-in alerts for strong accumulation/distribution crossovers Fully customizable inputs for all parameters Clean, efficient code using ternary operators and one-line declarations Best Use Cases: Long-term position accumulation strategies Identifying macro market tops and bottoms Dollar-cost averaging entry/exit planning Multi-timeframe confirmation (works on daily, weekly, monthly charts) Risk management and position sizing decisions Interpretation: When the composite score drops below -0.4, multiple metrics simultaneously indicate undervaluation - a historically favorable accumulation opportunity. Conversely, scores above +0.4 suggest distribution may be prudent as multiple indicators flash overbought signals. The indicator is most powerful when combined with fundamental analysis and proper risk management. It's designed to keep emotions in check during extreme market conditions.Pine Script® インジケーターMonkeyPhoneの投稿1115
Advanced Trading Forecast Calculator # Advanced Trading Forecast Calculator ## Overview The Advanced Trading Forecast Calculator is a comprehensive performance analytics dashboard that transforms manual trading data into institutional-grade insights. This tool bridges the gap between basic win rate calculations and professional risk management by implementing quantitative finance methodologies typically found in hedge fund trading desks. ## What Makes This Script Original This indicator synthesizes multiple independent analytical frameworks into a unified system that addresses the complete lifecycle of trading performance analysis: **Multi-Dimensional Risk Analysis** - Integrates Value-at-Risk (VaR) calculations, tail risk assessment, drawdown analysis, and leverage risk modeling into a cohesive risk framework. The system calculates both statistical risk (95% confidence VaR) and extreme event risk (99% tail risk) using position-size weighted methodologies. **Kelly Criterion Implementation** - Applies the Kelly formula (optimal_f = (win_rate × reward_risk_ratio - loss_rate) / reward_risk_ratio) to determine mathematically optimal position sizing. The calculator compares your current position size against the Kelly-optimal size and flags over-leveraging risks. **Market Regime Adaptation** - Adjusts performance projections based on economic cycle stage (Recession/Recovery/Expansion/Peak) using regime-specific multipliers derived from historical market behavior. Incorporates volatility normalization, sector concentration penalties, and correlation-adjusted risk metrics. **Behavioral Finance Quantification** - Converts subjective trading discipline into quantifiable scores by tracking revenge trades, FOMO entries, stop-loss adherence, and planned versus impulsive execution. Calculates a composite discipline score that correlates with long-term profitability. **Advanced Risk-Adjusted Returns** - Implements three distinct risk-adjusted metrics: Sharpe Ratio (excess return per unit of total volatility), Sortino Ratio (excess return per unit of downside deviation), and Calmar Ratio (annualized return divided by maximum drawdown). Each metric reveals different aspects of risk-adjusted performance. ## How It Works ### Core Calculation Methodology **Expectancy Framework**: The calculator uses mathematical expectancy theory to project outcomes. For each trade, it calculates: Expected_Value = (Win_Rate × Avg_Win) - (Loss_Rate × Avg_Loss). This expectancy is then multiplied by trading frequency to generate monthly and annual projections. **Risk Metrics**: Volatility is estimated using the square root of time scaling (√252 for annual volatility) applied to the average absolute deviation between wins and losses. This volatility feeds into Sharpe and Sortino ratio calculations using the formula: (Annualized_Return - Risk_Free_Rate) / Volatility. **Drawdown Modeling**: Maximum drawdown is estimated using binomial probability theory to calculate the expected longest losing streak: Max_Consecutive_Losses = -ln(0.01) / ln(1 - Loss_Rate). This is then multiplied by average loss size to estimate peak-to-trough decline. **Market Correlation Adjustment**: Beta-adjusted risk is calculated as: Beta_Risk = |Correlation_to_Market| × Market_Volatility. This quantifies how much of your risk comes from general market movements versus strategy-specific factors. **Regime Analysis**: Return projections are modified based on economic cycle stage using empirically-derived multipliers (Expansion: 1.15x, Peak: 0.95x, Recovery: 1.05x, Recession: 0.75x). Additional stress testing applies macro factors including interest rate sensitivity, inflation impact, and geopolitical event frequency. ### Performance Scoring System The script generates composite scores across multiple dimensions: **Strategy Viability Score** (0-20 points): Checks if expected return per trade is positive, Kelly criterion is viable (>0), and profit factor exceeds 1.2 (indicating edge exists). **Execution Quality Score** (0-15 points): Evaluates profit factor tiers (>1.5, >1.2, >1.0) and mathematical expectancy levels (>2%, >1%, >0.5%). **Discipline Score** (0-15 points): Weights stop-loss adherence, profit target discipline, and planned trade percentage equally to create a behavioral quality metric. **Risk-Adjusted Performance Score** (0-10 points): Tiered scoring based on Sharpe ratio thresholds (>1.5, >1.0, >0.5). **Market Adaptation Score** (0-10 points): Evaluates timing edge (difference between best and worst trading hours), weekly consistency, and earnings season alpha. **Risk Management Score** (0-10 points): Assesses margin utilization efficiency, overnight position performance, and portfolio diversification. **Macro Resilience Score** (0-5 points): Measures robustness to interest rate changes, inflation, and geopolitical shocks. These subscores combine into an overall rating from EXCEPTIONAL (85+) to POOR (<25), providing a single performance quality metric. ## Key Features **10-Column Dashboard**: Displays 90+ metrics organized into Account, Performance, Projections, Risk, Psychology, Goals, Actual Results, Market Regime, Timing Edge, and Scores categories. **Visual Performance Tracking**: Plots actual returns against expected benchmark, regime-adjusted projections, and stress-tested scenarios. Includes drawdown area chart and VaR reference lines. **15 Smart Alerts**: Automated notifications for target achievement, drawdown warnings, discipline deterioration, excessive leverage, high volatility, exceptional performance, and timing edge detection. **Dynamic Color Coding**: Green/yellow/red highlighting automatically identifies strong metrics, warning zones, and problem areas across the entire dashboard. **Customizable Display**: Adjustable table position (9 options), size (3 levels), and fully customizable color scheme with 11 independent header colors. ## How to Use This Indicator ### Step 1: Input Your Account Data - Enter current account size and equity value - Set position sizing percentage and maximum simultaneous positions - Input commission and slippage costs ### Step 2: Enter Historical Performance - Record total trades taken and winning trades - Calculate and enter average gain percentage and average loss percentage - Input your actual win rate, largest win, largest loss - Note consecutive win and loss streaks ### Step 3: Add Psychology Metrics - Count revenge trades (trades taken to "get even" after losses) - Count FOMO trades (impulsive entries from fear of missing out) - Estimate percentage of planned versus impulsive trades - Rate your stop-loss discipline and profit target discipline honestly ### Step 4: Configure Market Environment - Set current market volatility (VIX or similar measure) - Assess your strategy's correlation to the broader market (-1 to +1) - Calculate sector concentration percentage - Select current economic cycle stage ### Step 5: Input Advanced Risk Metrics - If known, enter Value-at-Risk at 95% confidence level - Record overnight position statistics - Note leverage usage and margin utilization - Input macro sensitivity factors ### Step 6: Analyze Results The dashboard automatically calculates and displays: - Whether your strategy is mathematically viable - Optimal Kelly position size versus your current sizing - Expected monthly and annual returns with regime adjustments - Risk-adjusted performance metrics (Sharpe, Sortino, Calmar) - Estimated time to reach your financial goals - Composite performance score and rating ### Step 7: Act on Insights - If Kelly Gap is positive (red), reduce position size to optimal level - If Discipline Score is below 80%, focus on execution quality - If Strategy shows NOT VIABLE, reassess methodology fundamentally - If Sharpe Ratio is below 0.5, risk-adjusted returns are insufficient - Monitor alerts for real-time warnings about risk levels ## What This Script Does NOT Do This indicator does NOT generate trading signals, execute trades, or provide buy/sell recommendations. It is purely an analytical and educational tool for performance evaluation. It does NOT predict future market movements or guarantee results. ## Why Protected Source Code The source code is protected because it contains proprietary implementations of: - Multi-factor composite scoring algorithms with empirically-tuned weight distributions - Regime-specific adjustment multipliers derived from extensive backtesting across economic cycles - Integrated risk calculation frameworks that synthesize VaR, tail risk, and drawdown methodologies - Behavioral scoring systems that quantify psychological factors with predictive correlations to future performance - Optimized table rendering logic for displaying 90+ metrics without performance degradation These implementations represent significant research and development work that differentiates this calculator from basic performance trackers. ## Intended Users This tool is designed for: - Active traders seeking institutional-grade performance analysis - Traders wanting to quantify and improve their trading discipline - Those learning quantitative risk management and position sizing theory - Traders who maintain detailed trading journals and want deeper insights - Anyone wanting to understand if their strategy has a genuine mathematical edge ## Important Notes All projections assume historical performance patterns will continue, which is never guaranteed. Past performance does not indicate future results. The Kelly Criterion suggests optimal sizing under ideal conditions but should be reduced (typically 25-50% of full Kelly) for practical implementation. Risk metrics are estimates based on input data quality. This tool is for educational and analytical purposes only. ## Chart Requirements The indicator displays on a clean chart with no other scripts needed. It creates an overlay-false subplot showing equity curves and drawdown visualization, plus a comprehensive table overlay on the price chart. All symbol and timeframe information remains visible. ## Updates and Maintenance This indicator receives ongoing updates to incorporate new risk metrics, improve calculation accuracy, and add requested features while maintaining backward compatibility with existing user configurations. --- **Version**: 6 (Pine Script v6) **Type**: Indicator (Not a Strategy - No Backtest Required) **Display**: Overlay = False (Separate Pane) + Table OverlayPine Script® インジケーターDeltaSpeedEdgeの投稿更新済 7
Farjeat Scalper TP/SLSeñales efectivas de Scalping con Zona de Entrada, Take Profit y Stop Loss.Pine Script® インジケーターerickfarjeatの投稿7
Farjeat Perfect Buy/SeelEntradas y salidas perfectas en compras y ventas, úsalas para mejorar tu efectividad.Pine Script® インジケーターerickfarjeatの投稿4
Phoenix 2.0's 2 Trade Window PainterTrade Window Painter help you understand which time of the day has high probablity where we should enter trades and times we need to avoidPine Script® インジケーターspanch909の投稿1
TEMU PRO V7 - Zero Lag Trend Reversals🚀 TEMU PRO V7 - Zero Lag Trend Reversals Temu Pro V7 is a high-probability reversal system designed to catch market turning points while strictly filtering out counter-trend noise and choppy conditions. It combines three distinct "Signal Modes" with a Zero Lag Trend Filter to ensure you are always trading in the direction of momentum. 🧠 The Logic Behind It The script operates on a "Checklist" system. A signal is only generated if it passes three layers of confirmation: Detection (The Signal Modes): It uses three advanced logic engines to detect potential reversals: Fractal Mode 🔺: Identifies classic Bill Williams swing points verified by Alligator structure. Quantum Mode ⚛️: Detects "Wave Collapses"—sudden price expansions returning from statistical extremes (Oversold/Overbought). Energy Mode ⚡: Measures volume-to-range buildup to catch explosive moves before they happen. Trend Confirmation (The ZLEMA Filter) 📉: Unlike standard moving averages that lag, V7 uses a Zero Lag EMA (Period 50) to track real-time trend direction. Rule: Longs are only allowed above the line; Shorts are only allowed below it. Chop Filtration ⛔: A momentum slope filter measures the angle of the ZLEMA line relative to volatility (ATR). If the market is flat/ranging (slope is near zero), the script goes silent to save you from bad trades. 🛠️ How to Use It Wait for the Signal: Look for the Ticker Label (e.g., "TSLA", "SPY") with a colored background. Green Label: Bullish Signal (Buy) Red Label: Bearish Signal (Sell) Watch the Trend Dots: Green Dot (Below Bar): Trend has just turned Bullish. Red Dot (Above Bar): Trend has just turned Bearish. Pro Tip: The strongest trades often happen when a Signal appears shortly after a Trend Dot. Risk Management: The strategy is optimized for a 2:1 Reward-to-Risk Ratio. Stop Loss: Below the recent swing low (Longs) or above swing high (Shorts). Take Profit: Aim for 2x your risk. ⚙️ Best Settings (Backtested) Timeframe: 3m, 5m, or 15m (Scalping/Day Trading) ZLEMA Period: 50 (The "Golden Mean" for trend) Cooldown: 5 Bars (Prevents signal spam) Pine Script® インジケーターMr-Anubisの投稿更新済 25
Ayan EMAV HunterThe script involves 2 zones. The Blue Zone is the Hunting Zone and the Red Zone helps to decide the which side to trade. If the Blue Zone is above the Red Zone, we search for UpTrend Trades of 1:2 and we need to observe the candles with the Yellow Arrow which indicates Smart Money entering Similarly, If the Blue Zone is below the Red Zone, we search for Bearish Trades with 1:2 Risk/Reward and we need to observe the candles with the Yellow Arrow which indicates Smart Money entering If the Blue Zone lies within the Red Zone, then NO Trade, Just Observe Please share your feedback if it can be refinedPine Script® インジケーターpcmbpptの投稿更新済 5
One Shot X🎯 One Shot X - Opening Range Breakout Strategy A clean and powerful Opening Range Breakout (ORB) indicator designed for intraday traders. This indicator captures the first candle at your specified market open time and triggers long/short signals when price breaks above or below that opening range. ⚙️ How It Works • At your configured market open time, the indicator captures the high and low of that candle as the "Opening Range" • 🟢 A **Long** signal triggers when price closes above the Opening Range High • 🔴 A **Short** signal triggers when price closes below the Opening Range Low • 🛑 Stop Loss w/offset is automatically placed at the opposite side of the opening range • 💰 Take Profit is calculated based on your specified R:R ratio • ☝️ Only ONE trade per day - no overtrading ✨ Features • 🎨 Fully customizable label colors and sizes for entries/exits • 📊 Professional dashboard with vertical or horizontal layout options • 📍 Real-time display of Entry, Stop Loss, Take Profit levels • 📈 Tracks total Long and Short signals taken • 📏 Opening Range High/Low levels displayed • ⏰ Configurable market open time (default 9:30) • 🚫 Weekend filtering (no signals on Saturday/Sunday) • 🔔 Built-in alert conditions for all signal types 📌 Best Used On • 📊 Stocks, ETFs, and Futures • ⏱️ 1-15 minute timeframes • 🏛️ Markets with defined opening times (NYSE, NASDAQ, etc. 🔔 Alerts Available • 📢 All Signals • 🟢 Buy Entry • 🔴 Sell Entry • ✅ Buy Take Profit • ✅ Sell Take Profit ------------------------------------------------ ⚠️ DISCLAIMER: This indicator is provided for educational and informational purposes only and should not be considered financial advice. Trading stocks, futures, and other financial instruments involves substantial risk of loss and is not suitable for all investors. Past performance is not indicative of future results. Always do your own research and consult with a licensed financial advisor before making any trading decisions. The author is not responsible for any financial losses incurred from using this indicator. Trade at your own risk. Pine Script® インジケーターE116の投稿2210
Hybrid SME Gold - PRO Filtered Radar💡 Professional discretionary radar for Gold (XAUUSD) This indicator is designed to support discretionary traders using Smart Money concepts. Unlike fully automated EAs, which often fail on “Trap” and “Breakout” setups, this tool highlights only high-probability zones for human judgment. This tool captures the initial movement of an explosive stop loss. By entering the moment the signal appears, you can ride the initial movement of the breakout. Key Features Separate visual signals for Trap (counter-trend liquidity sweeps) and Breakout (trend-following moves) Displays HVN (high-volume nodes) and VWAP for institutional reference Multi-timeframe trend filter (15m and 1h) to reduce false signals Volume spike and range breakout filters remove low-probability setups Background color and labels visualize winning vs. losing side Fully compatible with TradingView alerts (push notifications, emails, or webhook) Intuitive Japanese/English labels for clear decision-making Signal Explanation Signal Display Meaning 🔥 Trap LONG Label + Red background Counter-trend buy opportunity (trapped losers) 🔥 Trap SHORT Label + Red background Counter-trend sell opportunity (trapped losers) 🚀 Break LONG Label + Green background Trend-following buy (institutional participation) 🚀 Break SHORT Label + Green background Trend-following sell (institutional participation) Recommended Usage Timeframes: 5m to 1h Use background color + labels to quickly identify high-probability zones Set SL/TP manually based on discretion Designed as a discretionary trading support tool, not an automated EA ⚠️ Warning: This indicator is for discretionary trading only. Do not use it for fully automated trading. Benefits Filters out low-probability Traps that EAs would otherwise enter Only high-probability zones are highlighted, enabling faster and smarter discretionary decisions Provides clear visualization of market structure for quick situational awarenessPine Script® インジケーターtitiroの投稿2
BTC Power Law by Financial 6-Pack | itsToghrulThis indicator maps Bitcoin's long-term price behavior through a power law function derived from adoption curves, revealing fair value and resistance levels across market cycles. How it works: The model uses a fifth-degree polynomial relationship (price ∝ days^5.82) anchored to Bitcoin's genesis block, capturing how network value compounds with adoption growth. Three bands emerge: - the midline represents fair value - the upper band shows dynamically decaying resistance (strength diminishes as years pass) - the lower band serves as cyclical support. Why power law: Bitcoin's 15-year price history exhibits consistent scaling patterns that linear models miss. This framework identifies when price significantly deviates from adoption trend, moments when reversions become probable. Rather than predicting specific tops, it clarifies valuation zones across different time horizons. The dashboard displays: - Current fair value and resistance/support levels - Projections for your chosen target date - Position bias relative to the power law midline - Visual corridor showing the full valuation range Use it to: - Contextualize current price within historical adoption trend - Identify extreme valuation zones across cycles - Project reasonable price ranges for future dates - Distinguish long-term structure from short-term noise Customizable elements include band colors, fill opacity, and projection timeline. Works on any timeframe; daily or higher recommended for clarity.Pine Script® インジケーターtoghrulaliyevの投稿更新済 17
Profit Square🔷 Profit Square Profit Square is a professional-grade technical indicator designed to deliver clean, high-quality trade signals with minimal chart noise. Built for precision and clarity, it helps traders identify structured market opportunities using advanced volatility and trend-based analysis. 🔹 Key Features: Clean Buy/Sell Signals Displays only clear visual trade signals (arrows) without cluttered labels or unnecessary text. Dynamic Volatility Bands Adaptive price envelopes that respond to changing market conditions, providing better structure and market context. Trend-Sensitive Core Line A smart midline that dynamically changes color based on market bias, helping traders quickly identify directional strength. Advanced Signal Filtering System Built-in filtering logic reduces noise and avoids repeated signals during sideways or choppy market conditions. Professional Chart Styling Smooth fills, adaptive colors, and clean overlays designed for maximum visual clarity and confident decision-making. Non-Repainting Structure Signals are generated only on confirmed price action, ensuring reliability and trust in live markets. 🔹 Designed For: Index trading Futures & derivatives Intraday & positional setups Scalping and swing strategies Trend-following systems 🔹 Usage: Profit Square is designed to assist traders in identifying high-probability market opportunities and overall directional bias. It works best when combined with proper risk management, additional confirmation tools, and disciplined trade execution. 🔒 Access & Disclaimer: Note: Profit Square is a proprietary indicator. Access is restricted and available via invite-only distribution. Disclaimer: This indicator is for educational and informational purposes only. It does not constitute investment or trading advice. Please consult a SEBI-registered financial or trading professional before taking any trade. Trading is subject to market risk and applicable regulations in your respective country.Pine Script® インジケーターgolifeassociatesの投稿5
Opit78 Auto Overbalance & FiboThis is a comprehensive automated tool for Market Geometry and Fibonacci Analysis. It combines the classic Overbalance (1:1) methodology with a fully automated, dynamic Fibonacci Grid to help traders identify high-probability reversal zones, trend continuations, and price targets. The indicator automatically detects the main market structure using a ZigZag algorithm and then projects key levels based on the most recent active swing. 核心 Features (Key Features): 1. Auto Overbalance (1:1 Geometry) The indicator scans the current trend to find the largest correction that has occurred within the active impulse. It projects a Gray Box (Pattern) representing this largest historical correction. It projects a Colored Box (Support/Resistance) at the current price action. Green Box: Support Zone in an Uptrend. Red Box: Resistance Zone in a Downtrend. Trading Logic: As long as the price respects this box, the trend is considered valid. A breakout suggests a potential trend reversal (Overbalance condition). 2. Dynamic Fibonacci Grid Automatically draws Fibonacci levels from the start (Point A) to the end (Point B) of the current ZigZag leg. Retracements: Includes standard levels like 38.2%, 50.0%, and the "Golden Pocket" 61.8% to catch pullbacks. Extensions & Targets: Includes negative levels -27.2% and -61.8% to help identify Take Profit zones after a breakout. Deep Levels: Includes 127.2% and 161.8% to identify potential "Stop Hunts" or exhaustion points (False Breakouts). 3. Smart Visualization & Customization Clean Charts: Optimized rendering ensures crisp lines and boxes on live candles without visual clutter or stacking artifacts. Full Control: You can toggle every Fibonacci level individually. Style Options: Customize line styles (Solid, Dotted, Dashed), colors, and line thickness. Color Modes: Choose between independent colors or "Match Trend" mode, where Fibonacci lines automatically adapt to the bullish (Green) or bearish (Red) market structure. How to Use: Trend Continuation: Look for confluence. If the price pulls back into the Colored Overbalance Box and aligns with a key Fibonacci level (e.g., 50% or 61.8%), this is a strong zone to look for trend-following entries. Targeting: If the trend resumes and breaks the recent high/low, use the -27.2% and -61.8% extension lines as potential profit-taking levels. Trend Reversal: If the price closes firmly beyond the Overbalance Box (breaking the 1:1 geometry), the current trend may be over. Settings: ZigZag Sensitivity: Adjust Depth, Deviation, and Backstep to fit your timeframe. Visuals: Toggle Backgrounds, Borders, and Labels on/off to keep your chart clean. Fibo Levels: Enable or disable specific levels (e.g., turn off 23.6% if you only trade deep pullbacks).Pine Script® インジケーターopit78の投稿1