Relative Valuation Oscillator [QuantAlgo]🟢 Overview
The Relative Valuation Oscillator identifies statistical price deviations from fair value using logarithmic price analysis and standard deviation bands. It calculates how far current price has deviated from its mean on a logarithmic scale, normalized by volatility, to generate a centered oscillator that highlights periods when price is statistically stretched above or below its historical average, helping traders identify potential mean reversion opportunities and extreme valuation conditions across different timeframes and markets.
🟢 How It Works
The indicator's core methodology lies in its statistical approach to price valuation, where deviations are measured using logarithmic returns and normalized by standard deviation:
log_price = math.log(close)
mean_log_price = ta.sma(log_price, lookback_period)
standard_deviation = ta.stdev(log_price, lookback_period)
valuation_score = (log_price - mean_log_price) / standard_deviation
First, the script converts price to logarithmic form to account for percentage-based price movements rather than absolute dollar changes, ensuring the indicator works consistently across different price levels and asset classes.
Then, it calculates the mean log price over the specified lookback period to establish a baseline fair value reference:
mean_log_price = ta.sma(log_price, lookback_period)
Next, standard deviation measurement quantifies the typical volatility of log price around this mean, providing a statistical framework for defining normal versus extreme price behavior:
standard_deviation = ta.stdev(log_price, lookback_period)
The valuation score is then derived by measuring how many standard deviations the current log price sits from its mean, creating a normalized oscillator that fluctuates around zero:
valuation_score = (log_price - mean_log_price) / standard_deviation
Finally, threshold-based signal detection identifies extreme conditions when the valuation score exceeds user-defined standard deviation multiples:
is_overvalued = valuation_score > threshold_mult
is_undervalued = valuation_score < -threshold_mult
This creates a statistical mean reversion system that identifies when price has deviated significantly from its historical average on a volatility-adjusted basis, providing traders with objective measurements of relative over or undervaluation.
🟢 Signal Interpretation
▶ Undervalued Zone (Below Negative Threshold): Oscillator falling below the negative threshold line indicates price has deviated significantly below its statistical mean = Potential long/buy opportunities for mean reversion strategies
▶ Overvalued Zone (Above Positive Threshold): Oscillator rising above the positive threshold line indicates price has deviated significantly above its statistical mean = Potential short/sell or profit-taking opportunities
▶ Fair Value Range (Between Thresholds): Oscillator remaining between positive and negative threshold lines indicates price is trading within normal statistical bounds. Within this range, the zero line acts as a directional filter: oscillator above zero but below the upper threshold suggests bullish trend/momentum with price trading above its statistical mean = Trend-following long positions can be maintained; oscillator below zero but above the lower threshold suggests bearish trend/momentum with price trading below its statistical mean = Trend-following short positions can be maintained. The oscillator can remain in these directional zones during sustained trends until mean reversion occurs, signaled by crosses back toward zero or transitions to the opposite extreme threshold.
▶ Zero Line Crosses: Oscillator crossing above zero indicates transition from below-average to above-average valuation, confirming shift to bullish momentum = Potential trend-following long entry; crossing below zero indicates transition from above-average to below-average valuation, confirming shift to bearish momentum = Potential trend-following short entry or long exit. These crosses can signal both the start of directional trends and early mean reversion from extreme conditions.
🟢 Features
▶ Preconfigured Presets: Three optimized parameter sets for different trading approaches and timeframes. "Default" provides balanced sensitivity for swing trading on 4-hour and daily charts, generating signals at statistically significant deviations. "Fast Response" delivers more frequent signals for intraday trading on 5-minute to 1-hour charts, reacting quickly to short-term deviations with increased signal frequency. "Smooth Trend" focuses on major extremes for position trading on daily to weekly timeframes, filtering noise to identify only the most significant statistical outliers.
▶ Built-in Alerts: Five alert conditions enable automated monitoring of valuation extremes and transitions. "Overvalued Threshold Crossed" triggers when the oscillator crosses above the positive threshold, signaling potential overvaluation. "Undervalued Threshold Crossed" activates when the oscillator crosses below the negative threshold, signaling potential undervaluation. "Crossed Above Fair Value (0)" and "Crossed Below Fair Value (0)" provide alerts for zero line transitions, indicating shifts between above-average and below-average valuation. "Any Extreme Valuation" offers a combined alert for any threshold breach regardless of direction, allowing traders to monitor both extremes with a single alert setup.
▶ Color Customization: Six visual themes (Classic, Aqua, Cosmic, Cyber, Neon, plus Custom) accommodate different chart backgrounds and visual preferences, with distinct colors for overvalued, undervalued, and fair value conditions. Optional background highlighting with adjustable transparency (0-100%) tints the main chart background during extreme valuation periods, providing immediate visual context without requiring continuous oscillator monitoring. Optional overlay signals display small circle markers directly on the price chart above bars during overvaluation and below bars during undervaluation, allowing correlation of statistical extremes with specific price levels and candlestick patterns.
ファンダメンタル分析
AI Market Assistant [FundedLab]AI Market Assistant – Your Institutional-Grade Co-Pilot
Do you know exactly where you stand in the market cycle? Most retail traders fail because they trade against the dominant trend.
I created the AI Market Assistant to solve this problem. It is a comprehensive dashboard that processes multi-timeframe data and Macroeconomics to provide a clear, objective market bias.
⚙️ Customizable Trend Logic:
The system adapts to your specific trading personality:
Fully Adjustable Timeframes: You are not limited to the default settings. You can freely select your preferred Lower Timeframe (LTF) and Higher Timeframe (HTF) in the settings to match your scalping or swing trading strategy.
Select "VWAP" for Intraday Precision : Ideal for catching moves that align with today’s institutional volume.
Select "EMA 200" for Swing Structure : Ideal for holding positions and riding the broader market wave.
🚀 Advanced Capabilities:
Macro Analysis Panel: Automatically analyzes the Dollar Index (DXY) and US10Y Yields to determine if the macro environment supports your trade (Bullish vs. Bearish Impact).
Multi-Language Support: Fully localized for 🇹🇭 🇬🇧 🇨🇳 🇰🇷.
Zero-Lag Decision Engine: Utilizing "Stable Mode" to ensure signals are confirmed on closed bars—eliminating false signals and repainting.
💡 Why You Need This Tool:
No More Noise: The AI filters out choppy markets (Sideways) and tells you to "WAIT" instead of forcing a trade.
Conflict Detection: It checks if the Short-term trend (LTF) agrees with the Long-term trend (HTF). If they disagree, it saves you from a bad trade.
Macro Safety: Real-time warnings based on DXY/Bond movements. Don't buy Gold if the DXY is skyrocketing—this tool warns you first.
Level up your trading desk with the same data the pros use.
Key Price Levels V1📌 Key Price Levels V1 – FVG Confluence Tool
Key Price Levels V1 is a clean, price-action focused indicator that plots automatic key price levels and shows Fair Value Gaps (FVG / Imbalance) only when they form near those levels.
The goal is simple: reduce noise and highlight only high-probability, level-based opportunities.
This tool is designed for:
Forex
Gold (XAUUSD)
Indices (US30, NAS100, SPX, etc.)
With manual scaling control, you can adapt it to any market.
🔧 Main Features
✅ Plots 6 Key Levels
3 levels above current price
3 levels below current price
Lines extend left & right across the chart
Price labels shown on the right side (no candle overlap)
✅ Fair Value Gap (FVG / Imbalance) Detection
Shows Bullish & Bearish FVG
Filters FVGs so they appear ONLY near key levels
Keeps chart clean and focused on high-quality zones
✅ Manual Scaling Control
Toggle: Use Pip/Tick Scaling
ON → Best for Forex (inputs in pips)
OFF → Best for Gold & Indices (inputs in price/points)
✅ Customizable Inputs
Step Size (distance between levels)
Near Distance (how close FVG must be to a level)
Levels Mode: 00, 50, or Auto
Label offset (push labels to the right side)
⚙️ How to Set It Up
🔹 For Forex (EURUSD, GBPUSD, etc.)
Turn ON: Use Pip/Tick Scaling
Example settings:
Step Size = 50 → 50 pips grid
Near Distance = 20 → 20 pips filter
🔹 For Gold (XAUUSD)
Turn OFF: Use Pip/Tick Scaling
Example settings:
Step Size = 1.0
Near Distance = 0.2
🔹 For Indices (US30, NAS100, etc.)
Turn OFF: Use Pip/Tick Scaling
Example settings:
Step Size = 50 or 100
Near Distance = 10
🧠 Trading Concept (Built-in Rules)
Use this indicator as a confluence tool, not alone.
✅ Trade only New York Time: 02:30 to 07:00 (London Open)
✅ If FVG forms on a key price level → follow the trend on 5–15 min
✅ If a wick sweeps a price level → look for strong rejection
✅ If you get BPR on a price level → strong trend continuation signal
✅ If price is rejecting between two levels → wait for CISD
✅ Enter on Imbalance (FVG) → Target next price level or long wick liquidity
🎯 Best Use Case
Mark important price levels automatically
Wait for liquidity sweep / displacement
Enter using FVG near a level
Target the next key level
Keep risk tight, structure-based
⚠️ Disclaimer
This indicator is for educational and analytical purposes only.
It does not provide financial advice. Always use proper risk management and confirm with your own trading plan.
XAUUSD Position calculator **XAUUSD Funded Position Calculator — Pro Risk Suite**
The XAUUSD Funded Position Calculator is a professional risk management and position sizing tool specifically designed for Gold traders and prop firm accounts.
This indicator allows traders to visually plan, size, and manage trades directly from the chart using a simple click-based workflow. Users can mark Entry, Stop Loss, and Take Profit levels, and the tool automatically calculates precise lot size based on account balance and selected risk percentage.
Key features include a real Break-Even engine that adjusts for fees and spread using position size, Risk-Reward analysis with a dynamic quality meter, and visual R-Lock levels (1R / 2R) to help traders secure profits systematically.
The integrated data panel displays both target risk and actual risk exposure, profit projections, lot size formatted for MT4/MT5 standards, and real-time trade quality evaluation.
Designed for funded traders, scalpers, and Gold specialists, this tool enhances execution discipline, capital protection, and trade planning efficiency — all within a clean, professional chart interface.
**Core Features**
• Click-to-set Entry / SL / TP
• Funded account risk % sizing
• Real Break-Even price calculation
• 1R & 2R profit lock levels
• Dynamic Risk-Reward meter
• Actual vs Target risk display
• MT4/MT5 lot formatting
• Clean visual trade panel
Built for precision. Designed for discipline. Optimized for funded trading.
Spike Fade Indicator [Eloni] This indicator was made for the vix. it works since when vix jumps it will slowly fade.
Please enjoy. thank you.
Ict + Alert (Realtime) - Optimized v2📊 Description
This indicator implements the ICT (Inner Circle Trader) strategy using Fair Order Blocks (FOB) to identify demand and supply zones in the market. Optimized for XAUUSD (Gold) trading with real-time alerts.
🎯 How It Works
The indicator analyzes price movements to identify:
Bullish Fair Order Blocks: Zones where price left uncovered liquidity (gap) during an upward movement
Bearish Fair Order Blocks: Zones where price left uncovered liquidity during a downward movement
When price returns to these zones, the indicator generates:
📦 Colored boxes on the chart (green for long, red for short)
🔔 Real-time alerts with automatically calculated Entry, Stop Loss, and Take Profit
📍 Visual signals (triangles) to easily spot trading opportunities
⚙️ Key Features
Smart Alerts
Realtime: receive instant notifications when a setup forms
Configurable Risk/Reward: set your preferred risk/reward ratio (default 1:3)
Session filter: focus signals during London (08:00-10:00) and New York (14:30-16:30) sessions
Stop Loss with buffer: configurable additional protection
Operating Modes
Realtime Mode: immediate alerts as soon as condition triggers (faster)
Confirmation Mode: alerts only on bar close (more reliable)
Visualization
FOB boxes with adjustable transparency
Optional midline to identify precise entry
Visual indicators (triangles) for long/short signals
USDT + USDC DominanceUSDT + USDC Dominance
USDT/USDC Dominance Indicator
This indicator measures the relative dominance of USDT and USDC on the market. It calculates the share of each stablecoin compared to the total of the two, and displays it as a percentage.
USDT Dominance (%) = (USDT value / (USDT value + USDC value)) × 100
USDC Dominance (%) = 100 − USDT Dominance
The indicator plots both dominance values on the chart, allowing you to see which stablecoin has a higher share at any given time. It can help identify shifts in market preference between USDT and USDC.
Optional features:
Horizontal 50% line for reference.
Highlight when USDT or USDC exceeds 50% dominance.
Works with price or market capitalization data depending on available data sources.
SMC IRONCORE Contact: t.me
📌 SMC IRONCORE™ — Smart Money Concepts PRO
SMC IRONCORE™ is an advanced Smart Money Concepts (SMC) indicator designed for traders who focus on market structure, institutional liquidity, and high-probability zones, without cluttering the chart or relying on automated buy/sell signals.
The script combines real market structure, order flow, liquidity, order blocks, FVG, SFP, and key multi-timeframe levels, using an optimized and configurable logic.
🧠 Market Structure
CHoCH and BOS (confirmed and anticipated)
HH / HL / LH / LL (strong & weak)
Internal and external trend detection
Build Sweeps on BOS and CHoCH
Configurable bubbles and labels
Optimized calculation window for performance
📦 Volumetric Order Blocks
Bullish and bearish Order Blocks
Mitigation by Close / Wick / Average
Breaker Order Blocks
Volume metrics per OB
OB mid-line
Smart overlap filtering
Internal Buy/Sell activity visualization
⚡ Fair Value Gaps (FVG)
Bullish and bearish FVGs
Breaker FVGs
Touch and mitigation detection
Automatic overlap management
Integrated with structure and liquidity
🎯 Liquidity Concepts
Buy-side & Sell-side liquidity
Sweep areas and liquidation zones
Liquidity Prints (institutional style)
Equal Highs / Equal Lows (EQH / EQL) with ATR-based tolerance
Zones displayed as areas or lines, depending on preference
🧲 Swing Failure Pattern (SFP) – Institutional Style
Bullish and bearish SFPs
Swing lines, wick lines, and confirmation lines
Labels and confirmation triangles
Logic based on real swings (no repaint)
🗓️ Multi-Timeframe Highs & Lows
Daily High / Low
Weekly
Monthly
Quarterly
Yearly
Customizable styles and colors
🚨 Alert System
Individual and specific alerts (no generic “Any alert”):
CHoCH
BOS
Sweeps
OB Touch
OB Break / Breaker
Liquidity Print
Separate bullish and bearish events
Designed for TradingView alerts and external automation.
⚙️ Design & Philosophy
Not a simple “buy/sell” signal indicator
Built for context, confirmation, and professional execution
Clean, modular, and highly configurable visuals
No repaint on key signals
Optimized for both lower and higher timeframes
Fixed Zone Flow (ABO SALTAN)//@version=5
indicator("Fixed Zone Flow (ABO SALTAN)", overlay=false)
// ===== INPUTS =====
lenFast = input.int(10, "Fast Length")
lenSlow = input.int(21, "Slow Length")
signal = input.int(4, "Signal Smooth")
buyLevel = input.int(-60, "BUY Level (Fixed)")
sellLevel = input.int(60, "SELL Level (Fixed)")
// ===== CORE =====
price = hlc3
basis = ta.ema(price, lenFast)
dev = ta.ema(math.abs(price - basis), lenFast)
ci = (price - basis) / (0.015 * dev)
fzf = ta.ema(ci, lenSlow)
sig = ta.sma(fzf, signal)
// ===== FIXED BUY / SELL =====
fixedBuy = ta.crossover(fzf, buyLevel)
fixedSell = ta.crossunder(fzf, sellLevel)
// ===== PLOTS =====
plot(fzf, title="FZF", color=color.aqua, linewidth=2)
plot(sig, title="Signal", color=color.orange)
hline(buyLevel, "FIXED BUY", color=color.green, linestyle=hline.style_dashed)
hline(sellLevel, "FIXED SELL", color=color.red, linestyle=hline.style_dashed)
hline(0, "Zero", color=color.gray)
// ===== SIGNAL MARKERS =====
plotshape(fixedBuy, title="BUY",
style=shape.labelup,
location=location.bottom,
color=color.lime,
text="BUY",
textcolor=color.black)
plotshape(fixedSell, title="SELL",
style=shape.labeldown,
location=location.top,
color=color.red,
text="SELL",
textcolor=color.white)
Nexus Alpha# Nexus Alpha: Institutional-Grade Fundamental Scoreboard
## 🔍 Overview
**Nexus Alpha** is a sophisticated fundamental analysis engine designed to instantly evaluate the "quality" of a stock or asset. While most TradingView indicators focus on technical price action, Nexus Alpha focuses on the underlying business value.
By aggregating over **16 data points** (Financials, Ratios, Growth Metrics), it normalizes mixed data types into a single, actionable **"Hunter Score" (0-100)**. This allows traders to filter out low-quality assets and focus only on financially robust companies.
---
## 💡 Concepts & Methodology
The script solves a critical problem: **Fundamental Data is hard to compare.**
*How do you compare a Market Cap of $2T (Billions) with a P/E Ratio of 25 (Ratio) and a Net Margin of 15% (Ag percentage)?*
Nexus Alpha uses a proprietary **3-Stage Logic Pipeline** to solve this:
### 1. Normalization (The Scoring Engine)
Every raw metric is run through a scoring algorithm that converts it into a standardized **0-10 Score** based on institutional thresholds.
* **Example (P/E Ratio):**
* `< 15` = Super Undervalued (Score: 10/10)
* `15 - 25` = Fair Value (Score: 5-8/10)
* `> 25` = Overvalued (Score: 2/10)
* **Example (Debt/Equity):**
* `< 0.5` = Healthy (Score: 10/10)
* `> 2.0` = Risky (Score: 2/10)
### 2. The Three Pillars
metrics are grouped into three logical categories to evaluate different aspects of the business:
* **📊 Valuation (Default Weight: 30%)**: Are you paying too much? (P/E, PEG, Market Cap).
* **💰 Profitability (Default Weight: 40%)**: Is the company making money efficiently? (Revenue, Net Income, EPS, Net Margin, ROE).
* **🏦 Financial Health (Default Weight: 30%)**: Is the company safe from bankruptcy? (Free Cash Flow, Cash/Debt, Debt/Assets, Debt/Equity).
### 3. Dynamic Growth Tracking
Beyond static numbers, the script compares current data (TTM/FQ) against previous periods.
* **"Growth Points"** are awarded if a metric has improved (e.g., Revenue is higher than last year, or Debt is lower than last year).
* This visualizes **Momentum** in the fundamentals before it shows up in the price.
---
## 🛠 Features & Uniqueness
Many scripts simply plot `request.financial` data on a chart. **Nexus Alpha is unique because:**
1. **It Interprets, It Doesn't just Display:** instead of showing "EPS is 4.2", it tells you if 4.2 is *good* or *bad* relative to benchmarks.
2. **Composite "Hunter Score":** A final weighted average that gives you a quick "Buy/Avoid" bias for long-term holds.
3. **Visual Comparison Table:** Instantly see "Current vs Previous" values with color-coded (Green/Red) growth indicators.
4. **Fully Customizable:** If you care more about Growth than Safety, you can adjust the weights (e.g., set Profitability to 80% and Valuation to 0%).
---
## 📖 How to Use
1. **Add to Chart:** The indicator panel will appear (Default: Bottom Right).
2. **Read the Score:**
* **🟢 > 70 (Strong):** Institutional Grade. High profitability, low debt, fair valuation.
* **🟡 50 - 70 (Neutral):** Good company but maybe expensive or slightly leveraged.
* **🔴 < 50 (Weak):** Speculative. High debt, unprofitable, or extremely overvalued.
3. **Analyze Growth:** Look at the "Growth" column. Green backgrounds indicate the metric is improving quarter-over-quarter or year-over-year.
---
## ⚙️ Settings
* **Weights:** Customize the influence of Valuation, Profitability, and Health on the final score.
* **Data Period:** Switch between **TTM** (Trailing Twelve Months), **FY** (Financial Year), or **FQ** (Financial Quarter).
* **Display:** Toggle specific metrics on/off to declutter the table.
---
## 🚫 Disclaimer
*This tool is for educational purposes and assists in data visualization. It does not constitute financial advice. All scoring is based on pre-defined algorithms and standard financial benchmarks which may not apply to all sectors (e.g., REITs or Banks may require different interpretation).*
---
**Access:**
*To request access to this script, please follow the instructions in the "Author's Instructions" field below or contact me privately.*
Dashboard Analytics Ranges++ [LP]Dashboard Analytics Ranges++
Professional Multi-Timeframe Range Analytics Dashboard
A comprehensive statistical analysis tool designed for institutional-grade market range assessment across multiple time horizons. This indicator provides quantitative volatility measurements and predictive price level projections based on historical market behavior patterns.
Use Cases
Pre-session range expectation modeling
Stop-loss and take-profit level optimization
Volatility regime identification
Multi-timeframe confluence analysis
Risk-adjusted position sizing calculations
Sniper Macro Dashboard PRO (Momentum)Stop trading Forex blindly. It is not trendlines or RSI levels that drive long-term currency trends—it is Capital Flows. Smart Money always flows to where it expects the highest yield and economic stability.
This script, the Sniper Macro Dashboard PRO, automates the complex macroeconomic analysis usually reserved for hedge funds. It automatically fetches and compares economic data for the current currency pair to calculate the Yield Spread, giving you a clear institutional directional bias.
🚀 The 3 Pillars of Analysis
The indicator analyzes three layers of fundamental data:
🔮 Government Bonds (10Y Yields) – The Prophet: This is your most important leading indicator. The bond market moves in real-time, pricing in future interest rate changes. If yields for a currency rise faster than its pair, capital flows in.
Use case: The fastest signal for trend reversals.
🔥 Inflation (CPI YoY) – The Fuel: Shows the inflationary pressure. Rising inflation often forces Central Banks to hike rates (bullish for the currency).
Use case: Confirmation for the bond yields.
🏦 Central Bank Rates – The Rearview Mirror: The current official interest rate. It is often a lagging indicator but important for Carry Traders.
📊 The Dashboard Features
The panel on your chart provides an instant overview of the fundamental facts:
BIAS (Long/Short):
🟢 GREEN (LONG): The Base Currency has a fundamental advantage (higher yields/inflation).
🔴 RED (SHORT): The Quote Currency is stronger. Look for Short setups only.
MOM (Momentum – The Arrow):
This is your Early Warning System. It compares today's spread with the spread from 5 days ago (1 trading week).
A Red Arrow (↘️) inside a Green Box warns you: "The bullish trend is losing steam, capital is leaving!" — often long before the price turns.
⚠️ Automatic Divergence Detection
The indicator automatically scans for discrepancies between Price and Macro Data:
▼ Bearish Divergence: Price makes a Higher High, but the Yield Spread is already dropping. (Warning: Potential Bull Trap).
▲ Bullish Divergence: Price makes a Lower Low, but the Yield Spread is already rising. (Smart Money is buying the dip).
🛠 How to use this tool (Workflow)
Use this indicator as a Directional Filter, not as a blind entry signal.
Check the Trend: Analyze your chart structure (e.g., Daily or Weekly).
Check the Dashboard:
Are Bonds & CPI RED? -> Only look for Short Setups (Supply Zones).
Are Bonds & CPI GREEN? -> Only look for Long Setups (Demand Zones).
Check Momentum:
Does the Arrow point in the same direction as the Bias? -> A+ Setup (Full Conviction).
Does the Arrow point in the opposite direction? -> Caution (Trend might be turning / Take Profit).
Settings
Chart Curve Mode: Choose which data to display as the background curve (Default: Bonds).
Sensitivity: Adjust how fast divergences are detected (Default: 2).
Table: Customize the position and size of the dashboard to fit your screen
Multi TF confirmations + SIBISI & MACDMulti-TF HUD + MACD + SIBI/BISI by theArchitectProject
🎯 ULTIMATE MULTI-TIMEFRAME DASHBOARD
Real-time bias across ALL timeframes in one glance.
📊 FEATURES:
• Vertical HUD (top-right): M/W/D/S | 4H/1H/30m/15m/5m/3m/1m
• 4 columns: TF | Status(🟢🟡🔴) | Bull% (0-100%) | MACD(Buy/Sell)
• 4 sizes: Tiny/Small/Normal/Large (mobile-friendly)
• Toggle any timeframe on/off
🔥 ICT/SMT SIGNALS (sparse, high-probability only):
🟪 SIBI: Structure break + Daily EMA50 confirmation
🟦 BISI: Volume surge + 4H price/EMA divergence
✅ WORKS ON:
Forex | Indices | Stocks | ETFs | Crypto | Metals | Oil
⚙️ HOW IT WORKS:
EMA bias (20/50) + MACD(12,26) → Real-time % score
🟢 60%+ = Strong Bull | 🟡 40-60% = Neutral | 🔴 <40% = Bear
💎 PRO VERSION (Patreon):
Custom TFs | Killzones | FVG detection | Discord alerts
(version is still in progress but soon to be done as well)
I HOPE YOU WILL ENJOY THIS ONE!
👻 patreon.com/TheArchitectProject
thearchitectproject/2026
PULL-BACK PANDA TRADING Overview
Advanced trading indicator specifically designed for *Buy positions* across Forex, Crypto, Indices, Commodities, and more. This indicator automatically detects high-probability short setups using pattern recognition and logarithmic price scaling for precise entry and exit levels.
🎯 Key Features
Automated Pattern Detection
- Logarithmic price scaling for accurate level calculations across all asset classes
- Real-time pattern validation with customizable error tolerance
- Automatic signal generation when valid short setups appear
*Multi-Entry System*
- Entry 1 (E1): Primary Buy entry zone
- Entry 2 (E2): Secondary entry for position scaling
- Flexible entry strategy allows partial or full position entries
Comprehensive Risk Management
- Clearly defined Stop Loss levels above entry
- 6 Take Profit targets for systematic profit-taking
- Dynamic risk-reward calculations
- Position sizing guidance through pip calculations
📊 Visual Elements
Clean Chart Display
- Color-coded entry levels (cyan by default)
- Red stop loss markers
- Green take profit levels
- Minimal clutter with smart label placement
Real-Time Signals
- Triangle markers at entry points
- Diamond markers at take profit hits
- X-cross markers at stop loss hits
- All signals appear in real-time with proper confirmation
Statistics Dashboard
- Live win rate tracking
- Total signals count
- Entry 2 activation rate
- Stop loss hit counter
- Performance metrics at a glance
Entry Strategy
- Conservative: Enter only at E1, wait for confirmation
- Aggressive: Scale in at both E1 and E2
- Dynamic: Use E1 as main entry, E2 for adding to position
Exit Strategy
- TP1: Quick profit target, secure partial profits
- TP2-TP3: Medium-term targets
- TP4-TP6: Extended targets for trend continuation
- Trail stop loss as targets are hit
---
⚙️ Customization Options
Detection
- Precision: Adjust sensitivity (default: 10)
- Error Tolerance: Fine-tune pattern matching (default: 10%)
- Balance between signal frequency and accuracy
Visual Settings
- Customizable colors for entries, stops, and targets
- Adjustable line widths
- Clean interface with minimal distractions
Alert System
- Enable/disable all alerts globally
- Detailed alert messages with pip calculations
- Entry notifications (E1, E2)
- Target hit confirmations (TP1-TP6)
- Stop loss warnings
- Compatible with TradingView mobile alerts
Display Options
- Show/hide statistics table
- Performance tracking metrics
- Win rate monitoring
Target Hit Alerts:
- Individual notifications for each TP level
- Pip gain calculations
- Quick glance profit tracking
⚠️ Important Notes
- This indicator is for educational and informational purposes only
- Always practice proper risk management
- Past performance does not guarantee future results
- Combine with your own analysis and market understanding
- Test thoroughly on demo accounts before live trading
- Not financial advice - trade at your own risk
Unkn0wn SignalsUnkn0wn Signals is a private, invite-only trading system designed exclusively for XAUUSD (Gold) traders.
It delivers clear BUY and SELL signals combined with an automatic Risk/Reward guide to help traders manage entries, targets, and stop losses with structure and consistency.
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✅ FEATURES
━━━━━━━━━━━━━━━━━━━━
✔ Buy & Sell Signals
✔ XAUUSD Only (Gold-Focused System)
✔ Auto Risk/Reward Guide Box (Dynamic Colors: Green if hit TP, Red if hit SL)
✔ Built-in Alert Notifications
✔ Works on All Timeframes
✔ HUD Display for the system's Entry, TP, SL
━━━━━━━━━━━━━━━━━━━━
🎯 DESIGNED FOR
━━━━━━━━━━━━━━━━━━━━
• Gold scalpers, day traders, and swing traders
• Traders who want simple, clean signals
• Traders who value structured risk management
• Beginners and advanced traders
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⚠️ DISCLAIMER
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This indicator is for educational purposes only.
Not financial advice. Trading involves risk.
Past performance does not guarantee future results.
Institutional Aggregated Volume Proxy (BTC) + vpinDescription:
This indicator is a comprehensive suite for analyzing institutional market activity, designed to detect "smart money" flow, order flow toxicity, and hidden accumulation/distribution patterns. It aggregates data from multiple liquidity sources (Binance, CME, ETFs, Coinbase) to create a single composite "Institutional Pressure Index."
Key Features:
Composite Institutional Index: A weighted signal combining 5 layers of institutional activity:
OI Conviction: Aggregated Open Interest Delta from major exchanges (Binance, Bybit, OKX) weighted by price direction.
CME Flow: Institutional futures flow derived via Bulk Volume Classification (BVC), gated by daily OI changes.
Coinbase Premium: Detects US institutional spot buying pressure.
ETF Flow: Tracks creation/redemption pressure from US Spot ETFs (IBIT, FBTC, etc.) relative to NAV.
Funding Basis: Identifies crowded trades and potential contrarian reversals.
Real VPIN (Volume-Synchronized Probability of Informed Trading):
Implements a Volume-Clock simulation using 1-minute lower timeframe (LTF) data to fill dynamic volume buckets.
Measures Order Flow Toxicity: Differentiates between healthy liquidity provision (low VPIN) and aggressive, toxic informed trading (high VPIN).
Regime Detection: Classifies market states into "Passive Accumulation" (Healthy) vs. "Toxic Breakout" (Aggressive).
Aggregated Delta Bars: Visualizes the net buying/selling volume across Spot, Futures, and ETFs in a single histogram.
"Rabbit" Labels: Highlights bars where a specific institutional group (e.g., CME, ETFs) dominates the price action.
How to Use:
Green Line (Index): Rising index indicates net institutional buying.
VPIN Line (Purple):
Low (<50%): Healthy market, safe for trend following (Passive Accumulation).
High (>75%): Toxic flow, aggressive takers active. Expect volatility or reversals.
Divergences: Look for price making new highs while the Institutional Index makes lower highs (weakness).
Note: This script uses request.security_lower_tf and requires a higher plan for full historical resolution.
Russian (Русский)
Название: Institutional Aggregated Volume Proxy (BTC) + VPIN v5
Описание:
Этот индикатор представляет собой комплексный инструмент для анализа институциональной активности, разработанный для обнаружения потоков «умных денег», токсичности ордер-флоу и скрытых паттернов накопления/распределения. Он агрегирует данные из нескольких источников ликвидности (Binance, CME, ETF, Coinbase) в единый композитный «Индекс Институционального Давления».
Ключевые особенности:
Композитный Индекс: Взвешенный сигнал, объединяющий 5 слоев институциональной активности:
OI Conviction (Открытый Интерес): Агрегированная дельта OI с основных бирж (Binance, Bybit, OKX), взвешенная по направлению цены.
Поток CME: Поток фьючерсов, классифицированный через BVC (Bulk Volume Classification) и фильтруемый дневным изменением OI.
Coinbase Premium: Определяет давление спотовых покупок со стороны институционалов США.
Поток ETF: Отслеживает давление создания/погашения паев спотовых ETF США (IBIT, FBTC и др.) относительно NAV.
Фандинг и Базис: Определяет перегретые позиции и потенциальные развороты.
Real VPIN (Вероятность Информированной Торговли):
Реализует симуляцию «Объемных Баров» (Volume-Clock), используя минутные данные (LTF) для заполнения динамических корзин объема.
Измеряет Токсичность Потока (Toxicity): Различает здоровое предоставление ликвидности (низкий VPIN) и агрессивную инсайдерскую торговлю (высокий VPIN).
Определение Режимов: Классифицирует состояние рынка на «Пассивное Накопление» (Healthy) и «Токсичный Пробой» (Aggressive).
Агрегированная Дельта: Гистограмма, показывающая чистый объем покупок/продаж по Споту, Фьючерсам и ETF.
Метки "Rabbit" (Кролики): Подсвечивает бары, где определенная группа (например, CME или ETF) доминирует в движении цены.
Как использовать:
Зеленая линия (Индекс): Рост индекса указывает на чистые институциональные покупки.
Линия VPIN (Фиолетовая):
Низкий (<50%): Здоровый рынок, безопасно для трендовых стратегий (Пассивное накопление).
Высокий (>75%): Токсичный поток, работают агрессивные тейкеры. Ожидайте волатильность.
Дивергенции: Ищите моменты, когда цена делает новый максимум, а Индекс показывает более низкий максимум (слабость движения).
Примечание: Скрипт использует request.security_lower_tf и требует соответствующий тарифный план TradingView для отображения полной истории.
JPX 33Sect IndexThe indicator, “JPX 33Sect-IDX,”is designed to compare Japan’s Tokyo Stock Exchange sector indices, JPX-33, with stock prices. It allows you to compare the price movements of various sectors with those of individual stocks, and also to identify sector-specific price trends.
This indicator automatically sets the value at the left edge of the displayed chart to 100 and when viewing sector index trends over the short term, you can quickly see which sectors have been strong or weak recently. Over the long term, the indicator helps you grasp sector cycles. As reference indicators, the Nikkei 225 can also be displayed simultaneously.
Moving averages (MA) can be applied to indicators to identify trends using smoothed lines.
note:
Due to Pine Script's plot limit, some sectors have been consolidated. Additionally, a semiconductor sector has been added, which is considered desirable to track as a separate sector in recent years.
This indicator is intended for trading Japanese stocks, so please note that the display uses Japanese text.
HTF+ Timeframe CountdownThis indicator allows you to display a timeframe countdown on any chart of your choosing. It gives you the ability to execute more precisely by keeping your eyes on the prize instead of eyeing every candles closure.
MANMANDER SNIPER NO1MANMANDER SNIPER NO1 is a multi-layer analytical indicator designed to help traders visualize market structure, momentum behavior, and potential reaction zones within a single integrated system.
The script combines oscillator-based analysis, trend filtering, divergence detection, structural zones (POI/Trap), and visual alerts to provide a clearer understanding of market conditions. The goal of the indicator is to improve chart awareness and assist decision-making by presenting market information in a structured and visual format.
This indicator is intended for analytical and educational purposes only and does not provide financial advice.
Key Features
• Multi Engine Momentum Core
Multiple calculation engines allow users to adapt oscillator behavior to different market environments and volatility conditions:
Classic Plasma (RSI-based structure)
Quantum Pulse (MACD-style momentum)
Time Warp Flux
Hyper Streak
Nebula Hybrid
Gravity Flow
Warp Vector
Each engine interprets price momentum differently, allowing flexibility across assets and timeframes.
• RSI Energy Zones (Overbought / Oversold)
The indicator highlights momentum extremes using background zones and optional alerts when RSI enters overbought or oversold areas.
These zones are intended to identify potential exhaustion or extended momentum conditions and should be interpreted alongside trend and market structure.
• RSI-Based Support & Resistance Tracking
Historical price levels are created when RSI reaches extreme zones and extended forward as dynamic support and resistance references.
The system identifies:
Breakouts beyond historical levels
Liquidity sweeps and rejections
This feature helps visualize how price reacts around historically significant areas.
• POI & Trap Zones (Supply / Demand Concept)
The script detects impulse-based supply and demand areas and converts them into Points of Interest (POI).
When price revisits these areas, Trap Zones may be generated to highlight potential retest regions. These zones are intended for observation and analysis rather than automatic trade entries.
• Regular Divergence Detection
Bullish and bearish divergence is detected by comparing price pivots with oscillator pivots. Divergence may indicate weakening momentum or possible shifts in market behavior.
An optional real-time shadow mode provides early visual indication during live bar formation.
• Trend & Momentum Filters
Optional filters help reduce signals during low-quality market conditions:
EMA 200 trend direction filter
EMA 50 medium trend filter
Momentum EMA comparison
ADX strength filter
RSI safety filter
Users can adjust filters to balance signal frequency and confirmation strength.
• Multi-Level Signal System
Signals are categorized to provide context rather than a single binary entry:
NOW — Immediate reaction signals
SNIPER — Deep momentum signals
PRIME — Main filtered signals
FAST — Faster signals with lighter filtering
FOLLOW TREND — Trend continuation signals
Users may select which signal types align with their trading approach.
• Command Console Dashboard
A built-in dashboard summarizes current market conditions, including:
Trend direction
Momentum state
Strength measurement (ADX)
RSI condition status
Divergence scanning status
This allows quick interpretation of market context without multiple indicators.
• Alert & Notification System
Alerts can be configured for:
RSI entering extreme zones
Divergence detection
Creation of new POI or Trap zones
Price interaction with zones
BUY / SELL / EXIT conditions
Alert messages can optionally be forwarded to external systems through webhooks. Any automation or execution is fully controlled and managed by the user.
Recommended Usage
Test different engines depending on asset and timeframe.
Combine signals with price action and structural analysis.
Increase filter strength during sideways markets.
Perform manual backtesting before live usage.
This indicator is designed to support analysis, not replace trader judgment.
Best Market Conditions
Trending markets with clear momentum
Markets with recurring structure reactions
Medium to higher timeframes where noise is reduced
Performance may vary depending on market volatility and user configuration.
Important Notes & Limitations
Some features rely on pivot calculations and may update during live bar formation.
Visual elements or signals may change before candle close.
Using alerts set to “Once Per Bar Close” is recommended for more stable behavior.
No analytical tool can provide consistent accuracy in all market conditions.
Risk Disclaimer
Trading involves substantial risk and may result in loss of capital. This script is provided for educational and analytical purposes only and does not constitute financial advice. Users are solely responsible for their trading decisions, risk management, and any external integrations connected to alerts.
Always test in a demo environment before using in live trading conditions.
Open Interest Aggregated by BikoTradingOpen Interest Aggregated by BikoTrading
We aggragated data from top 2 excahnges
Binance
Bybit
in a futue we plan to add Hyperliquid and OKX
Intraday Refuges/Shelters (RID)==========================================
RID (INTRADAY SHELTERS/REFUGES) INDICATOR
==========================================
*Fair warning: this may be more words than a humble, simple indicator truly
needs… but Claude insisted.
// ** INTRODUCTION ** //
RID (Intraday Shelters/Refuges) is a lightweight, fast, and easy-to-implement
indicator designed for monitoring price action on intraday timeframes — the same
ones used by institutional operators to execute their trades within each market session.
The indicator generates a framework of support and resistance levels automatically
calculated from the asset's Daily Opening Price (D.O.P.). These levels are established
using fixed percentages that have proven their effectiveness in institutional trading
for decades, constituting "textbook" references widely adopted by market professionals.
RID integrates as an optional module within our Weekly Shelters (RS) indicator, allowing
the operator to simultaneously control their weekly positions and, when conditions warrant,
move down to intraday operations without loading additional indicators or losing sight
of the higher timeframe.
// ** INDICATOR FUNDAMENTALS ** //
The foundation of RID rests on a proven market principle: the daily opening price acts
as a "psychological anchor" that influences participant behavior throughout the entire session.
Why does this method work?
• UNIVERSAL REFERENCE POINT: The daily opening price is objective data, visible to all
market participants simultaneously. Institutions, algorithms, and retail traders use it
as a common reference to calibrate their decisions.
• STANDARD PERCENTAGE LEVELS: The percentages used (0.382%, 1.0%, 1.5%, 2.0%, 2.5% and
extensions) are not arbitrary. They represent intraday volatility thresholds that have
historically acted as inflection points across multiple asset classes.
• SELF-FULFILLING PROPHECY EFFECT: When a critical mass of operators place orders at the
same percentage levels —whether for profit-taking, protective stops, or entries—
these levels become high-probability price reaction zones.
• INSTITUTIONAL RISK MANAGEMENT: Institutional trading desks frequently define their daily
loss limits and profit targets in percentage terms relative to the open. RID captures
this logic and makes it visible for retail operators.
The ±0.382% level deserves special mention: it's a derivation of the Fibonacci golden ratio
(0.382) applied to the intraday context, representing the first significant movement threshold
from the opening.
// ** INDICATOR OBJECTIVES ** //
1) Facilitate manual intraday trade execution by providing a framework of target prices
established under a scheme of mathematical certainty, eliminating subjectivity in
defining entries, exits, and stops.
2) Serve as a lightweight and modular tool, easily integrable —either as an overlay or
source code— with strategies and indicators specialized in intraday trade execution,
both manual and automated.
3) Provide a visual reference framework that allows the operator to quickly assess the
intraday market "temperature": Is price near a key support or resistance? Has it already
reached the session's typical movement target? Is it time to seek entries or protect profits?
// ** INDICATOR TECHNICAL FEATURES ** //
• 21 CONFIGURABLE LEVELS: 11 main levels (±0.382%, ±1.0%, ±1.5%, ±2.0%, ±2.5% and D.O.P.)
plus 10 extended levels (±3.0% to ±5.0%) for high volatility sessions. Each level can
be individually enabled or disabled according to operator needs.
• AUTOMATIC D.O.P. DETECTION: The indicator automatically identifies the start of each daily
session and captures the opening price without user intervention.
• CONFIGURABLE HISTORY LIMIT: Option to limit processing to the last N days (default: 3),
optimizing performance on very low timeframes (1m, 5m) where excess historical data can
slow down the chart.
• PROFESSIONAL VISUALIZATION: Labels with formatted price (thousands separators) and
percentage, placeable with configurable offset. The D.O.P. level (0%) is highlighted
with differentiated width.
• VERTICAL REFERENCE LINES: From D.O.P. to each level, facilitating visualization of the
percentage distance traveled.
• FULL CUSTOMIZATION: Colors, widths, line styles (solid, dashed, dotted), label opacity,
and forward extension fully adjustable.
• PRICE SCALE INTEGRATION: Levels can be displayed on the right margin of TradingView,
controllable from the indicator's Style tab.
• BAR REPLAY COMPATIBILITY: Works perfectly with Bar Replay for back-testing
intraday strategies.
• OPTIMIZED PERFORMANCE: Efficient architecture with persistent arrays and intelligent
updating, suitable for timeframes down to 1 minute.
// ** OPERATING INSTRUCTIONS ** //
INITIAL SETUP:
1) Load the indicator on a chart with 4H or lower timeframe (1H, 30m, 15m, 5m, 1m).
2) Enable "Limit history by days" and adjust "Maximum days to display" according to your needs:
• For scalping (1m-5m): 1-2 days
• For day trading (15m-1H): 2-3 days
• For intraday swing (4H): 3-5 days
OPERATIONAL USE:
3) Identify the D.O.P. (0% line): This is your central reference point for the session.
4) Observe current price position relative to levels:
• Price above D.O.P. → Session with bullish bias
• Price below D.O.P. → Session with bearish bias
5) Use levels as:
• ENTRIES: Look for reversal signals when price reaches S1-S5 (buys) or R1-R5 (sells)
• TARGETS: Set take-profits at the next resistance level (longs) or support (shorts)
• STOPS: Place protective stops beyond the immediate opposite level
PRACTICAL RULES:
6) The ±1.0% and ±2.0% levels are historically most respected; prioritize them.
7) If price exceeds ±2.5% from open, it might be time to take profits and close your position
or consider enabling extended levels (±3.0% to ±5.0%).
8) High volatility days (news, earnings): wait for price to respect at least one level
before trading in its direction.
9) Combine RID with other indicators from our ecosystem (RS, RMP, RLP/RLPS) to confirm level
confluence across multiple timeframes.
VISUAL OPTIMIZATION:
10) For clean charts: keep enabled only main levels (±0.382% to ±2.5%).
11) For detailed volatile asset analysis: also enable extended levels.
12) Adjust "Label margin" to prevent overlap with current price.
// ** INTEGRATION WITH OTHER SHELTER VALUE INDICATORS ** //
RID is part of a complete shelter-based analysis ecosystem we have developed:
• RLP (Long-Term Shelters): For automatic determination of the preponderant phase
of a Zigzag, which institutional investors choose as the base of a Fibo whose
levels calculate order placement projection over the following months and years.
• RLPS (Simplified Long-Term Shelters): Simplified version of RLP where known
coordinates of the preponderant phase are captured, obtained through own analysis
or automatically with the RLP indicator.
• RMP (Medium-Term Shelters): Provides psychological shelter and resistance levels
that institutional investors establish at the beginning of each year. They
constitute the main framework used by professionals to plan operations
throughout the year.
• RS (Weekly Shelters): For short-term tactical analysis (4H, 1H) based on selected
phases of one or two Zigzags that define Fibo tracing, over recent major and minor
degree pauses, whose levels take effect during the current and following weeks.
• RID (Intraday Shelters): This indicator. For intraday operations based on levels
calculated from daily opening price, designed for 4H or lower timeframes,
including scalping strategies.
By combining RID with RLP/RLPS, RMP and RS, a multilevel scaffolding is built that
allows trading with clarity on any time horizon, from minute positions to operations
projected over months and years.
// ** NOTES ** //
• All comments regarding detected errors and improvement suggestions are welcome and deeply appreciated. Your feedback helps us refine these tools.
• To our Hispanic speaking friends, we sincerely regret to inform you that we have not
included the Spanish translation in the published version, due to our latent concern
regarding the ambiguous rules about prohibitions on publishing indicators documented
or described in languages other than English.
• Sharing is motivating because there’s no better way to receive genuine feedback
of real acceptance.
• RECOMMENDED VALIDATION METHOD: Use TradingView's Bar Replay to verify, session by
session, how price of your favorite asset interacts with RID levels. This personal
validation will give you statistical confidence before incorporating the indicator
into your actual trading.
Happy hunting in this magnificent jungle!






















