Best strategy for TradingView (fake)Hello everyone! I want to show you this strategy so you don't fall for the tricks of scammers. On TradingView, you can write an algorithm (probably more than one) that will show any profit you want: from 1% to 100,000% in one year (maybe more)! This can be done, for example, using the built-in linebreak () function and several conditions for opening long and short.
I am sure that sometimes scammers show up on TradingView showing their incredible strategies. Will a smart person sell a profitable quick strategy? When a lot of people start using the quick strategy, it stops working. Therefore, no smart person would sell you a quick strategy. It is acceptable to sell slow strategies: several transactions per month - this does not greatly affect the market.
So, don't fall for the tricks of scammers, write quick strategies yourself.
About this strategy, I can say that the linebreak () function does not work correctly in it. Accordingly, the lines are not drawn correctly on the chart. They are drawn in such a way as to show the maximum profit. I watched this algorithm on a 1m timeframe - no lines are drawn in real time. This is a fake!
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NYSE Volume UP FLOW VS Down FLOW ULTIMATE VOLDNYSE Volume UP FLOW VS Down FLOW ULTIMATE StokedStocks
BASED OFF THE VOLD INDEX
The VOLD (also $VOLD) is the difference between the up volume and down volume on the NYSE. i.e. NYSE $UVOL minus $DVOL; the net up volume.
If you consider that VOLD is the net value between UVOL (up volume) and DVOL (down volume) then you need to understand these two to understand VOLD.
UVOL or DVOL are a total of the volume on all stocks that are up or down in price. Up or down is based on the previous session's closing price. The size of the stock's price change is irrelevant.
If the stock is up only $.01, then its volume is grouped into the UVOL total. If that stock's price then drops by $.02 it will be down $.01 and the day's volume for that stock will now be grouped with the DVOL total.
Note that when a stock moves from being an up stock to a down stock its volume will be removed from the UVOL total and added to the DVOL total. Say the stocks volume is 1 million shares when it moves from up to down. The DVOL will increase by 1 million and the UVOL will decrease by 1 million which means that VOLD will decrease by 2 million.
NYSE Up/Down Volume Ratio is often used as a barometer for stocks trading on all U.S. Exchanges even though it is calculated based on stocks listed on the New York Stock Exchange.
NYSE Up/Down ratio represents the volume of NYSE stocks that are advancing divided by the volume of declining stocks.
The volume of advancing stocks or upside volume is the sum of the volume or the number of shares traded associated with stocks that closed higher.
The downside volume is the total number of shares traded that are associated with stocks that closed lower.
The interpretation of the NYSE Up/Down ratio is rather simple. A value higher than one indicates that there is more volume associated with up stocks than with down stocks and it is usually interpreted as a bullish signal.
Obviously, a bearish signal occurs when the NYSE Up/Down ratio is lower than one, which tells us that there are more volume associated with down stocks than with up stocks.
Check out my other indicators and website stokedstocks.wordpress.com for tons of free stock training books and pictures and settings
Market BuySell RatioA script using 1m small candle size (configurable) to compute the volume of buy (up) vs sell (down) candles (instead of actual market buy vs sell orders which are not available in pine script).
It then plots the buy vs sell ratio as an oscillator below the cart.
This gives traders an idea of current order flow in the market.
To compute the small candles this script uses the "Smart Volume" script which can be found here:
CCI Extreme and OBV DivergenceThis is my second set of two indicators combined utilize Multi time frame analysis of 5 minutes and 15 minutes.
CCI:
Green = uptrending
Red = downtrending
Bright Green = overbought, look to go SHORT
Bright Red = oversold, look to go LONG
OBV:
this use to predict the market direction buy drawing trend line.
It is also very good indicator to sport Smart Money moment. When price move higher but OBV trend lower, smart money is taking profit and reversing their position, look to go Short to you spot this type of divergence.
Also else already not there is no holy grail indicator so I also use this set of indicator to improve the signal
DCA Percent SignalOverview
The DCA Percent Signal Indicator generates buy and sell signals based on percentage drops from all-time highs and percentage gains from lowest lows since ATH. This indicator is designed for pyramiding strategies where each signal represents a configurable percentage of equity allocation.
Definitions
DCA (Dollar-Cost Averaging): An investment strategy where you invest a fixed amount at regular intervals, regardless of price fluctuations. This indicator generates signals for a DCA-style pyramiding approach.
Gann Bar Types: Classification system for price bars based on their relationship to the previous bar:
Up Bar: High > previous high AND low ≥ previous low
Down Bar: High ≤ previous high AND low < previous low
Inside Bar: High ≤ previous high AND low ≥ previous low
Outside Bar: High > previous high AND low < previous low
ATH (All-Time High): The highest price level reached during the entire chart period
ATL (All-Time Low): The lowest price level reached since the most recent ATH
Pyramiding: A trading strategy that adds to positions on favorable price movements
Look-Ahead Bias: Using future information that wouldn't be available in real-time trading
Default Properties
Signal Thresholds:
Buy Threshold: 10% (triggers every 10% drop from ATH)
Sell Threshold: 30% (triggers every 30% gain from lowest low since ATH)
Price Sources:
ATH Tracking: High (ATH detection)
ATL Tracking: Low (low detection)
Buy Signal Source: Low (buy signals)
Sell Signal Source: High (sell signals)
Filter Options:
Apply Gann Filter: False (disabled by default)
Buy Sets ATL: False (disabled by default)
Display Options:
Show Buy/Sell Signals: True
Show Reference Lines: True
Show Info Table: False
Show Bar Type: False
How It Works
Buy Signals: Trigger every 10% drop from the all-time highest price reached
Sell Signals: Trigger every 30% increase from the lowest low since the most recent all-time high
Smart Tracking: Uses configurable price sources for signal generation
Key Features
Configurable Thresholds: Adjustable buy/sell percentage thresholds (default: 10%/30%)
Separate Price Sources: Independent sources for ATH tracking, ATL tracking, and signal triggers
Configurable Signals: Uses low for buy signals and high for sell signals by default
Optional Gann Filter: Apply Gann bar analysis for additional signal filtering
Optional Buy Sets ATL: Option to set ATL reference point when buy signals occur
Visual Debug: Detailed labels showing signal parameters and values
Usage Instructions
Apply to Chart: Use on any timeframe (recommended: 1D or higher for better signal quality)
Risk Management: Adjust thresholds based on your risk tolerance and market volatility
Signal Analysis: Monitor debug labels for detailed signal information and validation
Signal Logic
Buy signals are blocked when ATH increases to prevent buying at peaks
Sell signals are blocked when ATL decreases to prevent selling at lows
This ensures signals only trigger on subsequent bars, not the same bar that establishes new reference points
Buy Signals:
Calculate drop percentage from ATH to buy signal source
Trigger when drop reaches threshold increments (10%, 20%, 30%, etc.)
Always blocked on ATH bars to prevent buying at peaks
Optional: Also blocked on up/outside bars when Gann filter enabled
Sell Signals:
Calculate gain percentage from lowest low to sell signal source
Trigger when gain reaches threshold increments (30%, 60%, 90%, etc.)
Always blocked when ATL decreases to prevent selling at lows
Optional: Also blocked on down bars when Gann filter enabled
Limitations
Designed for trending markets; may generate many signals in sideways/ranging markets
Requires sufficient price movement to be effective
Not suitable for scalping or very short timeframes
Implementation Notes
Signals use optimistic price sources (low for buys, high for sells), these can be configured to be more conservative
Gann filter provides additional signal filtering based on bar types
Debug information available in data window for real-time analysis
Detailed labels on each signal show ATH, lowest low, buy level, sell level, and drop/gain percentages
RSI Colored by Relative StrengthThis indicator enhances the traditional RSI by combining it with Relative Strength (RS) — the ratio of an asset’s price to a chosen benchmark (e.g., SPY, QQQ, BTCUSD) — to create a more accurate, powerful, and dynamic momentum confirmation tool.
Instead of relying solely on RSI’s internal momentum, this version color-codes RSI values and backgrounds based on whether the asset is outperforming, underperforming, or neutral relative to the benchmark, not only identifying the RSI value, but color codes it in relation to the overall market to give more accurate confirmations.
• RS > 1 → The asset is outperforming the benchmark (relative strength).
• RS < 1 → The asset is underperforming.
• RS ≈ 1 → Neutral or moving in sync with the benchmark.
Gradient background zones:
• Green tones = outperformance (RS > 1).
• Red tones = underperformance (RS < 1).
• Gray neutral band = parity (RS ≈ 1).
Intensity adjusts dynamically based on how far RS deviates from 1, giving an at-a-glance view of market leadership strength.
• Color-coded RSI line: Green when RS > 1, red when RS < 1.
• Optional markers and labels show confirmed RS+RSI crossovers with smart spacing to prevent clutter.
• Alerts included for bullish and bearish RS+RSI alignment events.
How to Use
1. Add your preferred benchmark symbol (default: SPY).
2. Move this indicator into the same pane as your RSI (No need to overlay, does so automatically) and can also be used standalone.
3. Watch for:
• Green RSI & background: Significant momentum strength (asset trending upward and outpacing the market).
• Red RSI & background: False or insignificant momentum (asset lagging).
• Gray zone: neutral phase — consolidation or rotation period.
Use this as a trend-confirmation filter rather than a signal generator.
For example:
• Confirm and refine breakout entries when RS > 1 (RSI support = stronger conviction).
• Take profits when RSI weakens and RS slips below 1.
Alpha Candles-Candlestick Pattern Recognition — Multi-Pattern DeCandlestick Pattern Recognition — Multi-Pattern Detector
Description:
This Pine Script intelligently scans price action to automatically detect and label multiple candlestick patterns directly on your TradingView chart. It’s designed for traders who want to combine price psychology and pattern-based setups into their technical analysis.
Using built-in and custom logic, the script identifies both bullish and bearish reversal & continuation patterns, dynamically marking them on the chart for quick visual recognition.
✨ Key Features
🔍 Pattern Detection: Automatically identifies major candlestick formations such as:
Bullish Reversal Patterns: Hammer, Morning Star, Bullish Engulfing, Piercing Line, Three White Soldiers
Bearish Reversal Patterns: Shooting Star, Evening Star, Bearish Engulfing, Dark Cloud Cover, Three Black Crows
Continuation Patterns: Rising Three, Falling Three, Marubozu, Doji, Spinning Top
🧠 Smart Filtering: Optionally filters signals based on trend direction, volume confirmation, or body-to-wick ratios for higher accuracy.
🕯️ Custom Labels: Each detected pattern is plotted with a clean, color-coded label (green for bullish, red for bearish).
⚙️ Adjustable Sensitivity: Fine-tune thresholds like wick size, body ratio, or lookback periods to adapt detection to your preferred timeframe or asset class.
📈 Multi-Timeframe Ready: Works seamlessly across intraday, daily, and weekly charts.
How It Works
The script measures the relative body and wick sizes of recent candles and compares them against pattern-specific ratios.
For example:
A Bullish Engulfing is confirmed when the latest candle’s body fully engulfs the previous candle’s body, following a downtrend.
A Hammer is identified when the lower wick is at least twice the body size, appearing after a price decline.
These detections are then plotted as visual markers on your chart, helping you instantly spot momentum shifts or trend exhaustion zones.
Use Case
Perfect for:
Traders using price action-based entries
Backtesting pattern-based strategies
Educators demonstrating candlestick psychology
Analysts combining pattern recognition with indicators (RSI, EMAs, etc.)
RSI Value Table – match builtin🧭 Overview
“RSI Value Table – match builtin” displays the exact RSI value (identical to TradingView’s built-in RSI) for any selected timeframe — directly on your chart.
It’s designed for professional traders who need quick RSI confirmation without switching panels or opening multiple indicators.
⚙️ Core Logic
Reads RSI from any timeframe using request.security() with gaps_off and lookahead_off — ensuring a perfect match with the native RSI.
Optional EMA smoothing (non-standard) for visual stability.
Color-coded cell:
🟩 Green → RSI > 50 (bullish momentum)
🟥 Red → RSI < 50 (bearish momentum)
🟨 Yellow → Neutral zone around 50
Adjustable table position: top/bottom, left/right corners.
⚡ Alerts
Built-in alert conditions trigger automatically:
RSI > 50 → bullish momentum confirmation.
RSI < 50 → bearish momentum confirmation.
📈 How to Use
Select your preferred RSI timeframe (e.g., Daily, Weekly, 4H).
Watch the color-coded cell:
Green → trade long bias only.
Red → short bias only.
Ideal as a confirmation module for multi-timeframe systems or smart signal engines.
Trend Pivot Retracements [TradeEasy]▶ OVERVIEW
Trend Pivot Retracements identifies market trend direction using a Donchian-style channel and dynamically highlights retracement zones during trending conditions. It calculates the percentage pullbacks from recent highs and lows, plots labeled zones with varying intensity, and visually connects key retracement pivots. The indicator also emphasizes price proximity to trend boundaries by dynamically adjusting the thickness of plotted trend bands.
▶ TREND DETECTION & BAND STRUCTURE
The indicator determines the current trend by checking for new 50-bar extremes:
Uptrend: If a new highest high is made, the trend is considered bullish.
Downtrend: If a new lowest low is made, the trend is considered bearish.
Uptrend Band: Plots the 50-bar lowest low as a trailing support level.
Downtrend Band: Plots the 50-bar highest high as a trailing resistance level.
Thickness Variation: The thickness of the band increases the further price moves from it, indicating overextension.
▶ RETRACEMENT LABELING SYSTEM
During a trend, the indicator monitors pivot points in the opposite direction to measure retracements:
Bullish Retracement:
Triggered when a pivot low forms during an uptrend.
Measures % pullback from the most recent swing high (searched up to 20 bars back).
Plots a bold horizontal line at the low and a dashed diagonal from the previous swing high.
Adds a “-%” label above the low; intensity is based on recent 50 pullbacks.
Bearish Retracement:
Triggered when a pivot high forms during a downtrend.
Measures % pullback from the previous swing low (up to 20 bars back).
Plots a bold horizontal line at the high and a dashed diagonal from the prior swing low.
Adds a “%” label below the high with gradient color based on the past 50 extremes.
▶ PIVOT CONNECTION LINES
Each retracement includes a visual connector:
A diagonal dashed line linking the swing extreme (20 bars back) to the retracement point.
This line visually traces the path of price retreat within the trend.
Helps traders understand where the retracement originated and how steep it was.
▶ TREND SWITCH SIGNALS
When trend direction changes:
A diamond marker is plotted on the new pivot confirming the trend shift.
Green diamonds signal new bullish trends at fresh lows.
Magenta diamonds signal new bearish trends at fresh highs.
▶ COLOR INTENSITY & CONTEXTUAL AWARENESS
To help interpret the magnitude of retracements:
The % labels are color-coded using a gradient scale that references the max of the last 50 pullbacks.
Stronger pullbacks result in deeper color intensity, signaling more significant corrections.
Trend bands also use standard deviation normalization to adjust line thickness based on how far price has moved from the band.
This creates a visual cue for potential exhaustion or volatility extremes.
▶ USAGE
Trend Pivot Retracements is a powerful tool for traders who want to:
Identify trend direction and contextual pullbacks within those trends.
Spot key retracement points that may serve as entry opportunities or reversal signals.
Use visual retracement angles to understand market pressure and trend maturity.
Read dynamic band thickness as an alert for price stretch, potential mean reversion, or breakout setups.
▶ CONCLUSION
Trend Pivot Retracements gives traders a clean, visually expressive way to monitor trending markets, while capturing and labeling meaningful retracements. With adaptive color intensity, diagonal connectors, and smart trend switching, it enhances situational awareness and provides immediate clarity on trend health and pullback strength.
Volume Profile Pro
Volume Profile Pro is an advanced market analysis tool that displays trading activity distribution across price levels. It identifies key market structure levels including Point of Control (POC), Value Area High (VAH), and Value Area Low (VAL) based on actual volume data.
ORIGINALITY & VALUE:
This indicator provides unique volume distribution analysis with intelligent timeframe detection, real-time profile development, and professional visualization. Unlike basic volume indicators, it calculates precise volume distribution across price levels and identifies high-volume nodes that act as dynamic support/resistance zones.
KEY FEATURES:
Smart Timeframe Detection - Automatically uses chart timeframe with manual override option
Value Area Calculation - Customizable percentage (68% recommended for standard deviation)
Real-time Profile Updates - Live developing profile during active trading sessions
Session Awareness - Adjusts for regular vs extended trading hours
Professional Visualization - Clean, customizable display with multiple placement options
Advanced Alert System - POC breach detection with multiple extension options
CORE COMPONENTS:
Point of Control (POC) - Price level with highest traded volume (market consensus price)
Value Area (VA) - Price range containing specified percentage of total volume
Value Area High (VAH) - Upper boundary of value area (Orange)
Value Area Low (VAL) - Lower boundary of value area (Bright Blue)
Volume Distribution - Visual histogram showing volume concentration at price levels
TRADING APPLICATIONS:
Dynamic Support/Resistance - POC and Value Area act as evolving S/R levels
Breakout Confirmation - Volume-backed breakouts from Value Area
Mean Reversion - Trading opportunities at Value Area boundaries
Market Structure - Understanding volume distribution and market acceptance
Risk Management - Using Value Area for strategic stop placement
SETUP INSTRUCTIONS:
Timeframe: Uses current chart timeframe by default (customizable in settings)
Value Area: Set to 68% for standard market profile or adjust based on volatility
Profile Placement: Choose Left for historical analysis or Right for current session
Alerts: Enable POC breach alerts for real-time trading signals
Visualization: Customize colors and widths to match your trading style
This indicator provides institutional-grade market structure analysis in an accessible format, helping traders identify high-probability trading zones based on actual volume data rather than just price action.
ICT HTF Volume Candles (Based on HTF Candles by Fadi)# ICT HTF Volume Candles - Multi-Timeframe Volume Analysis
## Overview
This indicator provides multi-timeframe volume visualization designed to complement price action analysis. It displays volume data from up to 6 higher timeframes simultaneously in a separate panel, allowing traders to identify volume spikes, divergences, and institutional activity without switching between timeframes.
**Original Concept Credits:** This indicator builds upon the HTF Candles framework by Fadi, adapting it specifically for volume analysis with enhanced features including gap-filling for extended hours, multiple scaling methods, and advanced synchronization.
## What Makes This Script Original
### Key Innovations:
1. **Three Volume Scaling Methods:**
- **Per-HTF Auto Scale:** Each timeframe scales independently for detailed comparison
- **Global Auto Scale:** All timeframes use unified scale for relative volume comparison
- **Manual Scale:** User-defined maximum for consistent analysis across sessions
2. **Bullish/Bearish Volume Differentiation:**
- Volume bars colored based on price movement (close vs open)
- Separate styling for bullish (green) and bearish (red) volume periods
- Helps identify whether volume supports price direction
3. **Advanced Time Synchronization:**
- Custom daily candle open times (Midnight, 8:30 AM, 9:30 AM ET)
- Timezone-aware calculations for New York trading hours
- Real-time countdown timers for each timeframe
- **Gap-filling technology** for continuous display during extended hours and weekends
4. **Flexible Display Options:**
- Configurable spacing and positioning
- Label placement (top, bottom, or both)
- Day-of-week or time interval labels on candles
- Works reliably in backtesting and live trading
## How It Works
### Volume Calculation
The indicator uses `request.security()` with optimized parameters to fetch volume data from higher timeframes:
- **Volume Open/High/Low/Close (OHLC):** Tracks volume changes within each HTF candle
- **Color Logic:** Compares HTF close vs open prices to determine bullish/bearish classification
- **Alignment:** All volume bars share a common baseline for easy visual comparison
- **Gap Handling:** Uses `gaps=barmerge.gaps_off` to maintain continuity during non-trading hours
### Technical Implementation
```
1. Monitors HTF timeframe changes using request.security() with lookahead
2. Creates new VolumeCandle object when HTF bar opens
3. Updates current candle's volume H/L/C on each chart bar
4. Applies selected scaling method to normalize display height
5. Repositions all candles and labels on each bar update
6. Fills gaps automatically during extended hours for consistent display
```
### Scaling Methods Explained
**Method 1 - Auto Scale per HTF:**
Each timeframe displays volume relative to its own maximum. Best for identifying patterns within each individual timeframe.
**Method 2 - Global Auto Scale:**
All timeframes share the same scale based on the highest volume across all HTFs. Best for comparing relative volume strength between timeframes.
**Method 3 - Manual Scale:**
User sets maximum volume value. Best for maintaining consistent scale across different trading sessions or instruments.
## How to Use This Indicator
### Setup
1. Add indicator to your chart (it appears in a separate panel below price)
2. Configure up to 6 higher timeframes (default: 5m, 15m, 1H, 4H, 1D, 1W)
3. Set number of candles to display for each timeframe
4. Choose volume scaling method based on your analysis needs
5. Enable "Fix gaps in non-trading hours" for extended hours trading (enabled by default)
### Interpretation
**Volume Spikes:**
- Sudden increase in volume height indicates institutional activity or strong conviction
- Compare volume between timeframes to identify where the real money is moving
- Look for volume spikes that appear across multiple timeframes simultaneously
**Bullish vs Bearish Volume:**
- **Green volume bars:** Price closed higher (buying pressure)
- **Red volume bars:** Price closed lower (selling pressure)
- High green volume during uptrend = confirmation of strength
- High red volume during downtrend = confirmation of weakness
- High volume opposite to trend = potential reversal warning
**Multi-Timeframe Context:**
- **5m/15m:** Scalping and day trading activity
- **1H/4H:** Swing trading and intraday institutional flows
- **Daily/Weekly:** Major position building and long-term trends
**Divergences:**
- Price making new highs but volume declining = weakening trend
- Volume increasing while price consolidates = potential breakout brewing
- Price breaks level but volume doesn't confirm = likely false breakout
### Practical Examples
**Example 1 - Institutional Confirmation:**
Price breaks above resistance. Check volume across timeframes:
- 5m shows spike = retail interest
- 15m + 1H + 4H all show spikes = institutional confirmation
- **Trade confidence: HIGH**
**Example 2 - False Breakout Detection:**
Price breaks resistance with:
- High volume on 5m only
- Normal/low volume on 1H and 4H
- **Interpretation:** Likely retail trap, institutions not participating
- **Action:** Wait for pullback or avoid
**Example 3 - Accumulation Phase:**
Price ranges sideways but:
- Daily volume gradually increasing
- Weekly volume above average
- **Interpretation:** Smart money accumulating
- **Action:** Prepare for breakout in direction of volume
**Example 4 - Volume Divergence:**
Price makes new high:
- Current high has lower volume than previous high across all timeframes
- **Interpretation:** Weakening momentum
- **Action:** Consider profit-taking or reversal trade
## Configuration Parameters
### Timeframe Settings
- **HTF 1-6:** Select timeframes (must be higher than chart timeframe)
- **Max Display:** Number of candles to show per timeframe (1-50)
- **Limit to Next HTFs:** Display only first N enabled timeframes (1-6)
### Styling
- **Bull/Bear Colors:** Separate colors for body, border, and wick
- **Padding from current candles:** Distance offset from live price action
- **Space between candles:** Gap between individual volume bars
- **Space between Higher Timeframes:** Gap between different timeframe groups
- **Candle Width:** Thickness of volume bars (1-4, multiplied by 2)
### Volume Settings
- **Volume Scale Method:** Choose 1, 2, or 3
- 1 = Auto Scale per HTF (each TF independent)
- 2 = Global Auto Scale (all TF unified)
- 3 = Manual Scale (user-defined max)
- **Auto Scale Volume:** Enable/disable automatic scaling
- **Manual Scale Max Volume:** Set maximum when using Method 3
### Label Settings
- **HTF Label:** Show/hide timeframe names with color and size options
- **Label Positions:** Display at Top, Bottom, or Both
- **Label Alignment:** Align centered or Follow Candles
- **Remaining Time:** Show countdown timer until next HTF candle
- **Interval Value:** Display day-of-week or time on each candle
### Custom Daily Candle
- **Enable Custom Daily:** Override default daily candle timing
- **Open Time Options:**
- **Midnight:** Standard 00:00 ET daily open
- **8:30 AM:** Align with economic data releases
- **9:30 AM:** Align with NYSE market open
- Useful for specific trading strategies or market alignment
### Advanced Settings
- **Fix gaps in non-trading hours:** Maintains alignment during extended hours and weekends (recommended: ON)
- Prevents visual gaps during forex weekend closures
- Ensures consistent display during crypto 24/7 trading
- Improves backtesting reliability
## Best Practices
1. **Pair with Price Action:** Use alongside HTF price candles indicator for complete picture
2. **Start Simple:** Enable 2-3 timeframes initially (e.g., 15m, 1H, 4H), add more as needed
3. **Match Settings:** Use same candle width/spacing as companion price indicator for visual alignment
4. **Scale Appropriately:**
- Use **Global scale** (Method 2) when comparing timeframes
- Use **Per-HTF scale** (Method 1) for pattern analysis within each timeframe
- Use **Manual scale** (Method 3) for consistent day-to-day comparison
5. **Watch for Volume Clusters:** High volume appearing simultaneously across multiple HTFs signals significant market events
6. **Confirm Breakouts:** Always check if volume supports the price movement across higher timeframes
7. **Extended Hours:** Keep "Fix gaps" enabled for 24/7 markets (Forex, Crypto) and weekend analysis
## Technical Notes
- **Timezone:** All calculations use America/New_York timezone for consistency
- **Real-time Updates:** Volume and timers update on each tick during market hours
- **Performance:** Optimized with max_bars_back=5000 for extensive historical analysis
- **Compatibility:** Works on all instruments with volume data (Stocks, Forex, Crypto, Futures)
- **Gap Handling:** Uses `barmerge.gaps_off` to fill data gaps during non-trading periods
- **Backtesting:** Uses `lookahead=barmerge.lookahead_on` for stable historical data without repainting
- **Data Continuity:** Automatically handles market closures, weekends, and extended hours
## Updates & Improvements
**Version 2.0 (Current):**
- ✅ Fixed alignment issues during extended hours and weekends
- ✅ Eliminated repainting in backtesting
- ✅ Added gap-filling technology for continuous display
- ✅ Improved data synchronization across all timeframes
- ✅ Enhanced NA value handling for data integrity
- ✅ Added advanced settings group for user control
## Support
For questions, suggestions, or feedback, please comment on the publication or message the author.
---
**Disclaimer:** This indicator is for educational and informational purposes only. It does not constitute financial advice. Past performance is not indicative of future results. Always perform your own analysis and implement proper risk management before making trading decisions.
Luxy Adaptive MA Cloud - Trend Strength & Signal Tracker V2Luxy Adaptive MA Cloud - Professional Trend Strength & Signal Tracker
Next-generation moving average cloud indicator combining ultra-smooth gradient visualization with intelligent momentum detection. Built for traders who demand clarity, precision, and actionable insights.
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WHAT MAKES THIS INDICATOR SPECIAL?
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Unlike traditional MA indicators that show static lines, Luxy Adaptive MA Cloud creates a living, breathing visualization of market momentum. Here's what sets it apart:
Exponential Gradient Technology
This isn't just a simple fill between two lines. It's a professionally engineered gradient system with 26 precision layers using exponential density distribution. The result? An organic, cloud-like appearance where the center is dramatically darker (15% transparency - where crossovers and price action occur), while edges fade gracefully (75% transparency). Think of it as a visual "heat map" of trend strength.
Dynamic Momentum Intelligence
Most MA clouds only show structure (which MA is on top). This indicator shows momentum strength in real-time through four intelligent states:
- 🟢 Bright Green = Explosive bullish momentum (both MAs rising strongly)
- 🔵 Blue = Weakening bullish (structure intact, but momentum fading)
- 🟠 Orange = Caution zone (bearish structure forming, weak momentum)
- 🔴 Deep Red = Strong bearish momentum (both MAs falling)
The cloud literally tells you when trends are accelerating or losing steam.
Conditional Performance Architecture
Every calculation is optimized for speed. Disable a feature? It stops calculating entirely—not just hidden, but not computed . The 26-layer gradient only renders when enabled. Toggle signals off? Those crossover checks don't run. This makes it one of the most efficient cloud indicators available, even with its advanced visual system.
Zero Repaint Guarantee
All signals and momentum states are based on confirmed bar data only . What you see in historical data is exactly what you would have seen trading live. No lookahead bias. No repainting tricks. No signals that "magically" appear perfect in hindsight. If a signal shows in history, it would have triggered in real-time at that exact moment.
Educational by Design
Every single input includes comprehensive tooltips with:
- Clear explanations of what each parameter does
- Practical examples of when to use different settings
- Recommended configurations for scalping, day trading, and swing trading
- Real-world trading impact ("This affects entry timing" vs "This is visual only")
You're not just getting an indicator—you're learning how to use it effectively .
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THE GRADIENT CLOUD - TECHNICAL DETAILS
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Architecture:
26 precision layers for silk-smooth transitions
Exponential density curve - layers packed tightly near center (where crossovers happen), spread wider at edges
75%-15% transparency range - center is highly opaque (15%), edges fade gracefully (75%)
V-Gradient design - emphasizes the action zone between Fast and Medium MAs
The Four Momentum States:
🟢 GREEN - Strong Bullish
Fast MA above Medium MA
Both MAs rising with momentum > 0.02%
Action: Enter/hold LONG positions, strong uptrend confirmed
🔵 BLUE - Weak Bullish
Fast MA above Medium MA
Weak or flat momentum
Action: Caution - bullish structure but losing strength, consider trailing stops
🟠 ORANGE - Weak Bearish
Medium MA above Fast MA
Weak or flat momentum
Action: Warning - bearish structure developing, consider exits
🔴 RED - Strong Bearish
Medium MA above Fast MA
Both MAs falling with momentum < -0.02%
Action: Enter/hold SHORT positions, strong downtrend confirmed
Smooth Transitions: The momentum score is smoothed using an 8-bar EMA to eliminate noise and prevent whipsaws. You see the true trend , not every minor fluctuation.
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FLEXIBLE MOVING AVERAGE SYSTEM
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Three Customizable MAs:
Fast MA (default: EMA 10) - Reacts quickly to price changes, defines short-term momentum
Medium MA (default: EMA 20) - Balances responsiveness with stability, core trend reference
Slow MA (default: SMA 200, optional) - Long-term trend filter, major support/resistance
Six MA Types Available:
EMA - Exponential; faster response, ideal for momentum and day trading
SMA - Simple; smooth and stable, best for swing trading and trend following
WMA - Weighted; middle ground between EMA and SMA
VWMA - Volume-weighted; reflects market participation, useful for liquid markets
RMA - Wilder's smoothing; used in RSI/ADX, excellent for trend filters
HMA - Hull; extremely responsive with minimal lag, aggressive option
Recommended Settings by Trading Style:
Scalping (1m-5m):
Fast: EMA(5-8)
Medium: EMA(10-15)
Slow: Not needed or EMA(50)
Day Trading (5m-1h):
Fast: EMA(10-12)
Medium: EMA(20-21)
Slow: SMA(200) for bias
Swing Trading (4h-1D):
Fast: EMA(10-20)
Medium: EMA(34-50)
Slow: SMA(200)
Pro Tip: Start with Fast < Medium < Slow lengths. The gradient works best when there's clear separation between Fast and Medium MAs.
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CROSSOVER SIGNALS - CLEAN & RELIABLE
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Golden Cross ⬆ LONG Signal
Fast MA crosses above Medium MA
Classic bullish reversal or trend continuation signal
Most reliable when accompanied by GREEN cloud (strong momentum)
Death Cross ⬇ SHORT Signal
Fast MA crosses below Medium MA
Classic bearish reversal or trend continuation signal
Most reliable when accompanied by RED cloud (strong momentum)
Signal Intelligence:
Anti-spam filter - Minimum 5 bars between signals prevents noise
Clean labels - Placed precisely at crossover points
Alert-ready - Built-in ALERTS for automated trading systems
No repainting - Signals based on confirmed bars only
Signal Quality Assessment:
High-Quality Entry:
Golden Cross + GREEN cloud + Price above both MAs
= Strong bullish setup ✓
Low-Quality Entry (skip or wait):
Golden Cross + ORANGE cloud + Choppy price action
= Weak bullish setup, likely whipsaw ✗
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REAL-TIME INFO PANEL
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An at-a-glance dashboard showing:
Trend Strength Indicator:
Visual display of current momentum state
Color-coded header matching cloud color
Instant recognition of market bias
MA Distance Table:
Shows percentage distance of price from each enabled MA:
Green rows : Price ABOVE MA (bullish)
Red rows : Price BELOW MA (bearish)
Gray rows : Price AT MA (rare, decision point)
Distance Interpretation:
+2% to +5%: Healthy uptrend
+5% to +10%: Getting extended, caution
+10%+: Overextended, expect pullback
-2% to -5%: Testing support
-5% to -10%: Oversold zone
-10%+: Deep correction or downtrend
Customization:
4 corner positions
5 font sizes (Tiny to Huge)
Toggle visibility on/off
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HOW TO USE - PRACTICAL TRADING GUIDE
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STRATEGY 1: Trend Following
Identify trend : Wait for GREEN (bullish) or RED (bearish) cloud
Enter on signal : Golden Cross in GREEN cloud = LONG, Death Cross in RED cloud = SHORT
Hold position : While cloud maintains color
Exit signals :
• Cloud turns ORANGE/BLUE = momentum weakening, tighten stops
• Opposite crossover = close position
• Cloud turns opposite color = full reversal
STRATEGY 2: Pullback Entries
Confirm trend : GREEN cloud established (bullish bias)
Wait for pullback : Price touches or crosses below Fast MA
Enter when : Price rebounds back above Fast MA with cloud still GREEN
Stop loss : Below Medium MA or recent swing low
Target : Previous high or when cloud weakens
STRATEGY 3: Momentum Confirmation
Your setup triggers : (e.g., chart pattern, support/resistance)
Check cloud color :
• GREEN = proceed with LONG
• RED = proceed with SHORT
• BLUE/ORANGE = skip or reduce size
Use gradient as confluence : Not as primary signal, but as momentum filter
Risk Management Tips:
Never enter against the cloud color (don't LONG in RED cloud)
Reduce position size during BLUE/ORANGE (transition periods)
Place stops beyond Medium MA for swing trades
Use Slow MA (200) as final trend filter - don't SHORT above it in uptrends
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PERFORMANCE & OPTIMIZATION
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Tested On:
Crypto: BTC, ETH, major altcoins
Stocks: SPY, AAPL, TSLA, QQQ
Forex: EUR/USD, GBP/USD, USD/JPY
Indices: S&P 500, NASDAQ, DJI
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TRANSPARENCY & RELIABILITY
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Educational Focus:
Detailed tooltips on every input
Clear documentation of methodology
Practical examples in descriptions
Teaches you why , not just what
Open Logic:
Momentum calculation: (Fast slope + Medium slope) / 2
Smoothing: 8-bar EMA to reduce noise
Thresholds: ±0.02% for strong momentum classification
Everything is transparent and explainable
═══════════════════════════════════════════════
COMPLETE FEATURE LIST
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Visual Components:
26-layer exponential gradient cloud
3 customizable moving average lines
Golden Cross / Death Cross labels
Real-time info panel with trend strength
MA distance table
Calculation Features:
6 MA types (EMA, SMA, WMA, VWMA, RMA, HMA)
Momentum-based cloud coloring
Smoothed trend strength scoring
Conditional performance optimization
Customization Options:
All MA lengths adjustable
All colors customizable (when gradient disabled)
Panel position (4 corners)
Font sizes (5 options)
Toggle any feature on/off
Signal Features:
Anti-spam filter (configurable gap)
Clean, non-overlapping labels
Built-in alert conditions
No repainting guarantee
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IMPORTANT DISCLAIMERS
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This indicator is for educational and informational purposes only
Not financial advice - always do your own research
Past performance does not guarantee future results
Use proper risk management - never risk more than you can afford to lose
Test on paper/demo accounts before using with real money
Combine with other analysis methods - no single indicator is perfect
Works best in trending markets; less effective in choppy/sideways conditions
Signals may perform differently in different timeframes and market conditions
The indicator uses historical data for MA calculations - allow sufficient lookback period
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CREDITS & TECHNICAL INFO
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Version: 2.0
Release: October 2025
Special Thanks:
TradingView community for feedback and testing
Pine Script documentation for technical reference
═══════════════════════════════════════════════
SUPPORT & UPDATES
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Found a bug? Comment below with:
Ticker symbol
Timeframe
Screenshot if possible
Steps to reproduce
Feature requests? I'm always looking to improve! Share your ideas in the comments.
Questions? Check the tooltips first (hover over any input) - most answers are there. If still stuck, ask in comments.
═══════════════════════════════════════════════
Happy Trading!
Remember: The best indicator is the one you understand and use consistently. Take time to learn how the cloud behaves in different market conditions. Practice on paper before going live. Trade smart, manage risk, and may the trends be with you! 🚀
🚀 DocBrown V73++ EstrategiaStrategy Overview
The "DocBrown V73+ Unified Strategy" is a complex and multifaceted algorithmic trading system designed to operate in trending markets. Its core strategy is following the main trend, but its main strength lies in the numerous risk management modules and market filters it uses to protect capital and optimize trade exits.
The strategy combines classic trend indicators (EMAs, MACD, ADX) with volatility analysis (Bollinger Band Width) and volume to identify high-probability entry points. However, its most distinctive feature is its sophisticated exit system, which includes multiple Stop Loss (SL) and Take Profit (TP) types that adapt to various market conditions.
Entry Logic
To open a position (long or short), the strategy evaluates a set of conditions. The main entry is based on:
Market Regime Filter: This is a master filter that ensures trading is only carried out in favorable trend conditions. To do this, it simultaneously requires:
A minimum ADX to confirm the strength of the trend.
A minimum Bollinger Band Width (BBW) to ensure sufficient volatility.
A minimum slope in the slow EMA to confirm the market's direction.
EMA Alignment: Uses three Exponential Moving Averages (fast, medium, and slow). A long entry requires the fast EMA to be above the average, and the average above the slow EMA. For a short entry, the condition is the reverse.
Momentum Confirmation: The MACD must be crossed in the direction of the trade (the MACD line must be above the signal line for longs, and vice versa for shorts).
Volume Filter: The volume of the current candle must exceed a minimum ratio compared to its moving average to avoid signals of low market interest.
Trend Exhaustion Filter: Prevents new entries if the ADX, after reaching a very high peak, begins to decline, suggesting that the trend may be losing strength.
It also includes an alternative entry condition based on a "3-Candle Momentum," which looks for three consecutive candles in the same direction with progressively increasing volume, signaling a possible explosive move.
Risk Management and Exit Strategies
This is the most complex and robust part of the strategy, with multiple defense and profit-taking mechanisms:
Take Profit (TP)
Dynamic TP (Enabled by default): Instead of a fixed target, the strategy calculates the TP based on the nearest support and resistance levels. For a long position, it will look for the next resistance, and for a short position, the next support.
Trailing After a Breakout: If the price breaks an S&R level and the trade continues in favor, the strategy can move the SL to that broken level and recalculate a new TP target.
Stop Loss (SL) and Defensive Closes
The strategy features an arsenal of different types of Stop Losses for different situations:
Breakeven SL: Once the trade reaches a predefined profit percentage, the SL automatically moves to the entry price plus a small buffer to cover commissions. This ensures that a winning trade doesn't turn into a losing one.
Safety Bracket (Anti-Liquidation): This is an "emergency stop" that can be activated to prevent catastrophic losses. It is calculated based on the ATR or a fixed percentage of the price.
Adverse Volume Spike SL: Closes the position if a candle appears against the trade with abnormally high volume, which may indicate a violent reversal.
Consecutive Candle SL: If a certain number of candles (for example, 3.5) form in a row against the position, the strategy closes the trade to cut the loss.
Stagnant Stop: Closes the trade if it enters a loss and the price then remains sideways (without movement) for a defined number of bars, avoiding being trapped in a directionless position.
Derivative Stop (Anti-Trend and Counter-Trend): An advanced system that monitors price momentum and acceleration. If it detects that the price begins to move sharply against the trend after accumulating a certain amount of profit, it closes the position to protect profits.
Drawdown Stop (Loss): A special trailing stop that is only activated while the trade is in a loss. If the price attempts to recover but then falls again, this Stop is adjusted to minimize the loss from the peak of that small recovery.
Counter-Trend SL (BB-CT): Closes the position if, despite being in profit, the market shows clear signs of a trend reversal, such as the price returning within the Bollinger Bands and the MACD crossing against it.
Additional Features
Multi-Timeframe (MTF) Analysis: The strategy can run on a single chart (e.g., 1-minute) but makes all its decisions based on data from a longer timeframe (e.g., 5 or 15 minutes), allowing it to filter out market noise.
Frequency Control: Includes options to limit trades to one per candle and to set a cooldown period after closing a trade, preventing overtrading.
Date Filter: Allows backtesting over a specific timeframe.
Information Panel: Displays key data such as the strategy status, current TP/SL levels, unrealized profits (MFE), and the status of internal signals in real time on the chart.
Full Display: Draws S&R levels, EMAs, Bollinger Bands, and active entry, TP, and SL levels on the chart.
IMPORTANT:
Use in Isolated Leverage x5 (limit), start small and test tokens before jumping in.
DONATIONS: Token: USDT - Network: BSC Binance Smart Chain
Wallet: 0xe87b4589a53443d8ffed2e9b5a7ef58f261f087c
MACD AI Flux Pro Dashboard V. 2Acknowledgment
This indicator is built upon the MACD-V (Volatility-Normalized MACD) methodology originally created by Alex Spiroglou, CMT, whose research (2015–2022) introduced the principle of normalizing MACD momentum by volatility (MACD/ATR). Full acknowledgment and credit are hereby given to Mr. Spiroglou as the original author of the MACD-V concept and framework.
Indicator Overview — MACD-V Flux Pro Dashboard V.2
The MACD-V Flux Pro Dashboard advances Spiroglou’s volatility-normalized foundation into a comprehensive multi-system architecture that unifies momentum, trend, volatility, and compression analytics in one visual framework. It is engineered for precision decision-making in both intraday and swing-trading environments.
Key Dashboard Features:
Dynamic Probability Engine: Calculates real-time long and short probabilities by weighting momentum, slope, compression, and volume pressure components into a composite score.
Multi-Timeframe Confirmation (HTF Tiles): Displays live directional agreement across fast, mid, and slow timeframes for confidence filtering and signal validation.
Regime Detection System: Automatically classifies the market as Trend Up, Trend Down, Compression, or Transition, applying background color cues for instant context.
Risk and News Filters: Integrates ATR-based risk gating and customizable “mute windows” to block trade signals during high-volatility or scheduled news events.
VWAP and Adaptive Bands: Plots VWAP with configurable ATR or standard-deviation bands to highlight over-extension and pullback zones.
Trend-Day and Opening-Range Logic: Monitors RTH (Regular Trading Hours) price behavior to identify potential trend-day conditions.
Smart Entry Arrows: Generates visual long/short signals only when multiple subsystems confirm direction, slope strength, and proximity to VWAP within defined thresholds.
On-Chart Dashboard Panel: Presents live metrics including probability bias, regime state, ATR level, risk status, and news filters with adaptive color-coding and optional emoji cues for intuitive interpretation.
Chart Display Summary:
All elements are presented directly on the main chart, combining price structure, VWAP bands, EMAs, and regime background shading with the real-time dashboard panel. The design eliminates the need for a secondary pane, offering a consolidated and context-rich view of market dynamics
OfficalQLBacktestingMetricsLibrary "OfficalQLBacktestingMetrics"
TODO: credits to elicobra and bikelife76
curve(disp_ind)
Call function to get a certain curve of your strategy.
Parameters:
disp_ind (string)
Returns: Returns type of curve plot.
quantlapseTable(option, position)
Assign this function to a random variable to get the "Performance Table"
Parameters:
option (simple string)
position (simple string)
OfficialQLBacktestingMetrics is a comprehensive backtesting metrics and visualization library for Pine Script v6.
It provides an advanced set of quantitative performance tools to evaluate and visualize the robustness of any TradingView strategy. Designed for precision and clarity, this library calculates key trading metrics, generates visual performance tables, and applies dynamic color grading to highlight strengths and weaknesses across critical performance dimensions.
🔍 Key Features
Comprehensive Statistical Engine:
Calculates advanced metrics including Sharpe Ratio, Sortino Ratio, Omega Ratio, Profit Factor, Max Equity Drawdown, Intra-Trade Drawdown, Win/Loss consistency, Long/Short profit ratios, and more.
Visual Performance Table:
The quantlapseTable() function creates a fully customizable performance dashboard directly on your chart. Choose between:
Full — displays all available statistics.
Simple — compact view of key performance metrics.
None — hides the table when not needed.
Dynamic Color Grading:
Metrics are visually ranked through gradient color logic to help quickly identify strong vs weak areas in strategy performance.
Curve and Filtering Utilities:
Use curve() and cleaner() to easily access and manage equity curves, profit data, and strategy-specific plots for further analysis or visualization.
Smart Statistical Adjustments:
The library automatically scales statistical measures such as Sharpe and Sortino ratios according to the chart’s timeframe, ensuring accurate normalization across daily, weekly, or intraday data.
Robustness Scoring System (“Slap Score”):
A built-in performance quality evaluator that scores a strategy’s overall robustness based on multiple key performance thresholds.
🧩 Main Functions
Function Description
curve(disp_ind) Returns selected equity or profit curve.
cleaner(disp_ind, plot) Filters plots to show only selected display types.
stat_calc() Core metric computation engine. Returns all major backtesting stats.
quantlapseTable(option, position) Generates performance table (Full, Simple, or None).
f_colors(metric, value) Assigns gradient colors to metrics for visual evaluation.
maxEquityDrawDown() / maxTradeDrawDown() Calculates drawdowns at equity and trade levels.
consecutive_wins() / consecutive_losses() Measures streaks of profitable/unprofitable trades.
long_profit() / short_profit() Evaluates long/short side profitability ratios.
⚙️ Usage Example
//version=6
import QuantLapse/OfficalQLBacktestingMetrics/1 as ql
disp_ind = input.string ("Equity" , title = "Display Curve" , tooltip = "Choose which data you would like to display", options= , group = "🌌𝙌𝙪𝙖𝙣𝙩𝙇𝙖𝙥𝙨𝙚 𝘽𝙖𝙘𝙠𝙩𝙚𝙨𝙩𝙞𝙣𝙜🚀")
pos_table = input.string("Middle Right", "Table Position", options = , group = "🌌𝙌𝙪𝙖𝙣𝙩𝙇𝙖𝙥𝙨𝙚 𝘽𝙖𝙘𝙠𝙩𝙚𝙨𝙩𝙞𝙣𝙜🚀")
type_table = input.string("Full", "Table Type", options = , group = "🌌𝙌𝙪𝙖𝙣𝙩𝙇𝙖𝙥𝙨𝙚 𝘽𝙖𝙘𝙠𝙩𝙚𝙨𝙩𝙞𝙣𝙜🚀")
ql.quantlapseTable("Full", "Top Right")
plot(ql.curve(disp_ind), color = color.teal, linewidth = 2)
ql.quantlapseTable(type_table, pos_table)
🧠 Credits
Created by elicobra and bikelife76 tweaked my QuantLapse
ICT First Presented FVG with Volume Imbalance [1st P. FVG + VI]The indicator identifies and highlights the first presented Fair Value Gap (FVG) occurringthe morning (09:30–10:00) and afternoon (13:30–14:00) session's first 30 minutes. It includes an optional feature to extend FVG zones when a volume imbalance (V.I.) is detected, providing additional context for areas of potential price inefficiency. This powerful combination helps traders identify significant market structure gaps that often act as support/resistance zones and potential price targets.
What is an FVG?
A Fair Value Gap, often abbreviated as FVG, is a price range on a chart where there is an inefficiency or imbalance in trading. This typically happens when price moves rapidly in one direction, leaving a gap between the wicks or bodies of three consecutive candles. For example, in a bullish move, if the low of the third candle is higher than the high of the first candle, the space between them is the FVG.
What is a Volume Imbalance?
A volume imbalance is a smaller, more precise inefficiency within price action, often visible as a "crack" or thin area in the price delivery. It represents a spot where the volume traded was not balanced between buyers and sellers, often seen as a thin wick or a gap between candle bodies.
FVG + Volume Imbalance:
When you have a fair value gap that contains a volume imbalance, it becomes a more significant area of interest. ICT teaches that you should not ignore a volume imbalance if it’s part of an FVG. In fact, you should use the volume imbalance in conjunction with the FVG to define your trading range more accurately
📊 Volume Imbalance Integration
Toggle Option: Enable/disable volume imbalance detection based on preference
Extended Boundaries: When enabled, FVG boundaries expand to include volume imbalance zones
Accurate Gap Sizing: Total gap calculation includes volume imbalance extensions
Multi-Scenario Support: Handles volume imbalances at start, end, or both sides of FVG formations
📈 Multiple Display Modes
Current Day: Shows only today's FVGs for clean chart analysis
Current Week: Displays all weekly FVGs for broader context
Forward Extension: Extends FVG boxes and CE, Upper/Lower Quadrant lines into the future
📊 Visualization
Bullish FVGs appear in semi-transparent blue or purple zones (depending on session).
Bearish FVGs appear in red or orange zones.
Optional dotted lines mark the CE (midpoint) of each FVG for additional reference.
Quadrant Division: Additional 25%/75% lines for large FVGs (configurable minimum gap size)
🎯 Smart Filtering
First Presentation Only: Only displays the initial FVG in each session, avoiding clutter
Minimum Gap Size: Configurable tick-based thresholds for AM and PM sessions
Core FVG Validation: Ensures only valid Fair Value Gaps are displayed
⚙️ Configuration Options
Display Settings
Show Mode: Current Day or Current Week view
Forward Extension: 1-500 bars projection
Day Labels: Toggle weekday labels in weekly mode
Text Color: Customizable label colors
Volume Imbalance Settings
Include Volume Imbalance: Master toggle for enhanced boundary calculation
Automatic Detection: Identifies imbalance scenarios without additional input
Session-Specific Settings
AM Session (09:30-10:00):
Enable/disable AM FVG detection
Customizable bullish/bearish colors
CE line visibility and coloring
Minimum gap size in ticks
PM Session (13:30-14:00):
Enable/disable PM FVG detection
Customizable bullish/bearish colors
CE line visibility and coloring
Minimum gap size in ticks
Quadrant Settings
Enable/Disable: Toggle quadrant line display
Minimum Gap: Tick threshold for quadrant activation
Line Style: Dotted, dashed, or solid
Color: Customizable quadrant line color
How It Works
FVG Boundary Calculation
Traditional FVG: High to Low (bullish) or Low to High (bearish)
Enhanced FVG: Extended boundaries to include volume imbalance zones when enabled
Total Gap Size: Calculated including any volume imbalance extensions
Volume Imbalance Detection
The indicator identifies volume imbalances by detecting bars where:
Bullish Imbalance: Current bar's body is completely above previous bar's body
Bearish Imbalance: Current bar's body is completely below previous bar's body
⚠️ Disclaimer
This script is a technical visualization tool only.
It does not provide financial advice, signals, or predictions. Always perform independent analysis and manage risk appropriately before making trading decisions.
MechArt ATR Box 12 V1.1MechArt ATR Box 12 V1.1 — Auto ATR Edition
Overview:
The MechArt ATR Box 12 is a precision visualization tool for tracking ATR-based trade levels across multiple tickers. It automatically plots your +1 ATR roll zone, -2 ATR stop, and -3 ATR emergency exit, providing a clear visual map of your trade’s range and time horizon.
Key Features:
Auto ATR on Entry Date: For each configured ticker, the indicator automatically pulls the historical ATR(14) value that matches your entry date — no manual ATR entry needed. This refreshes each time the ticker is revisited.
Smart Defaults for Other Tickers:
If a ticker isn’t listed in the code, the indicator defaults to your current price as the entry, calculates ATR live, and sets expiration 21 days out, aligned to the next Friday.
Multi-Ticker Setup (12 Slots):
You can predefine up to 12 tickers inside the code, each with its own entry price, entry date and expiration date. Once saved, the indicator recognizes and loads them automatically when you open that chart.
Customizable Appearance:
Adjustable opacity and colors for each ATR box
Line width, style, and transparency controls
DTE/ATR label with adjustable font size
Dynamic Labels:
Displays the remaining days to expiration (DTE) and the ATR value used for calculations.
Use Case:
Designed for swing traders and options traders managing multiple active tickers. Each ATR box visually represents your trade window — from entry through expiration — with clear risk and roll boundaries.
How It Works:
Simply open the code once and enter your 12 tickers, each with its entry date and price. The script handles ATR lookups and expiration alignment automatically. Any ticker not included will generate its own default 21-day box.
SALSA MultiStrategy DashboardENGLISH VERSION (Primary)
Why I Created This Unified Dashboard
The Problem with Analysis Fragmentation:
As an active trader, I found myself constantly struggling with chart clutter - having 5-8 separate indicators open simultaneously. This created cognitive overload and made it difficult to identify confluence across different technical approaches. The constant switching between indicators and managing multiple windows was disrupting my trading workflow and decision-making process.
My Solution:
I developed the SALSA MultiStrategy Dashboard to solve this specific problem by integrating complementary technical methodologies into a single, cohesive view. This isn't just a random collection of indicators, but a carefully curated selection that work together to provide comprehensive market analysis.
What Makes This Dashboard Unique
Integrated Analysis Framework:
Squeeze Momentum System: Identifies consolidation periods and potential breakout directions with color-coded momentum signals
ADX Trend Strength Analysis: Customizable key level (default: 23) for trend strength assessment with visual scaling
RSI with Built-in Divergence: Dual-timeframe RSI analysis with automatic divergence detection
Multi-Timeframe Confirmation: Additional oscillators (MFI, Stochastic, AO, MACD, CCI) for signal validation
Key Innovations:
Unified Scaling System: All indicators share a common scale, making visual comparison intuitive
Integrated Divergence Detection: Consistent divergence logic applied across both Squeeze Momentum and RSI
Smart Color Coding: Visual cues that highlight momentum shifts and trend strength
Trading Status Module: Real-time market condition assessment based on multiple factor confluence
How It Works - Technical Foundation
Squeeze Momentum Component:
Uses Bollinger Bands® and Keltner Channels to detect market compression
Momentum calculation based on linear regression of price action
Color transitions indicate momentum shifts (Cyan/Blue for bullish, Yellow/Orange for bearish)
ADX with Custom Key Levels:
Implements Wilder's ADX with adjustable key level threshold
Visual scaling adapts to market conditions
Separate +DI/-DI plotting options for additional trend direction insight
Advanced RSI System:
Standard RSI with fast-slow momentum divergence detection
Configurable overbought/oversold levels
SMA smoothing for reduced noise
Practical Usage Guidelines
For Trend Identification:
Watch for Squeeze Momentum breaking above/below zero with corresponding ADX above key level
Look for RSI confirmation in the same direction
Use additional oscillators for secondary confirmation
For Divergence Trading:
Monitor for regular and hidden divergences on both Squeeze and RSI
Wait for price action confirmation
Use ADX trend strength to filter high-probability setups
Customization Options:
Toggle individual components on/off based on your trading style
Adjust sensitivity parameters for different timeframes
Modify key levels to match specific market conditions
SPANISH VERSION (Secondary)
Por Qué Creé Este Dashboard Unificado
El Problema con la Fragmentación del Análisis:
Como trader activo, me encontraba constantemente luchando con el desorden en los gráficos - teniendo 5-8 indicadores separados abiertos simultáneamente. Esto creaba sobrecarga cognitiva y dificultaba identificar confluencia entre diferentes enfoques técnicos. El cambio constante entre indicadores y la gestión de múltiples ventanas estaba interrumpiendo mi flujo de trabajo y proceso de decisión.
Mi Solución:
Desarrollé el SALSA MultiStrategy Dashboard para resolver este problema específico integrando metodologías técnicas complementarias en una vista única y cohesiva. Esto no es solo una colección aleatoria de indicadores, sino una selección cuidadosamente curada que trabajan juntos para proporcionar análisis de mercado integral.
Componentes Principales y Su Función
Sistema de Momento Squeeze:
Detecta períodos de consolidación y direcciones potenciales de ruptura
Señales de momento codificadas por colores para identificación visual rápida
Análisis de Fuerza de Tendencia ADX:
Nivel clave personalizable (por defecto: 23) para evaluación de fuerza de tendencia
Escalado visual adaptativo a condiciones de mercado
RSI con Detección de Divergencia Integrada:
Análisis RSI de doble marco temporal con detección automática de divergencias
Niveles de sobrecompra/sobreventa configurables
Cómo Utilizar el Dashboard
Para Trading de Tendencia:
Squeeze Momentum rompiendo arriba/abajo de cero con ADX sobre nivel clave
Confirmación RSI en la misma dirección
Osciladores adicionales para confirmación secundaria
Para Trading por Divergencia:
Monitorear divergencias regulares y ocultas en Squeeze y RSI
Esperar confirmación de acción del precio
Usar fuerza de tendencia ADX para filtrar setups de alta probabilidad
Important Compliance Notes:
Title: "SALSA MultiStrategy Dashboard" (English only, no emojis)
Language: English first, Spanish translation provided
Originality: Focus on solving the specific problem of analysis fragmentation
Chart Requirements: Clean chart showing only this indicator's output
Open Source: Complete transparency about methodology and calculations
Trading Disclaimer:
This tool is designed for educational and analytical purposes to help traders develop a systematic approach to market analysis. It is not financial advice. Always conduct your own research and backtesting before making trading decisions.
HA Reversal + Doji 🔥 Heikin Ashi Reversal + Stochastic Filter (Precision Entry System)
This indicator is designed to detect high–quality reversal entries using a Heikin Ashi candle pattern (Doji + 2 no–wick confirmation) combined with a strict Stochastic filter that uses memory of extreme touches to control trade direction.
✅ Entry Logic
🔹 Bullish BUY Signal
A BUY is triggered only when:
A valid reversal pattern is detected:
Doji candle (pivot) 3 bars back
Followed by 2 bullish candles with no lower wicks
Stochastic touched Oversold (≤ 20) at least once before the signal
Pattern + Stoch alignment = BUY
🔹 Bearish SELL Signal
A SELL is triggered only when:
Valid bearish reversal pattern:
Doji candle (pivot) 3 bars back
Followed by 2 bearish candles with no upper wicks
Stochastic touched Overbought (≥ 80) before the signal
Pattern + Stoch alignment = SELL
🧠 Stochastic “Memory” Filter
This is not a basic OB/OS filter — it uses event memory:
If Stochastic touches Oversold, the system becomes ready for BUY
If it touches Overbought, it becomes ready for SELL
Both directions can be armed at once
Once a BUY or SELL actually triggers, memory resets to neutral
Prevents “signal spam” during chop and keeps direction meaningful
🎯 Why This Works
✔ Filters out random countertrend noise
✔ Only trades after momentum exhaustion
✔ Uses strict Heikin Ashi reversal structure
✔ Works great across crypto, forex, indices, metals
✔ Designed for precision entries and swing continuation traps
⚙️ Customizable Options
Doji detection mode (body % / ticks / hybrid)
Wick tolerance
Heikin Ashi source (chart or calculated)
Stochastic source (raw or smoothed)
Option to avoid duplicate same-direction signals
Visual aids: pattern markers, blocked signals, doji debugging
📌 Best Use Cases
Reversal scalping on 5m/15m
Swing entries on 1H/4H
Trend exhaustion confirmation
Smart Money Concepts entry refinement
Entry timing after liquidity sweeps
🚨 Important
This is not a repainting system. Signals are generated at bar close only. Always combine with proper risk management and market context.
Let me know if you want:
✅ A shorter description
✅ An SEO optimized TradingView title
✅ A strategy version with backtesting
✅ Alerts version for automation
Whales buy & sell🐋 Whales on Wall Street — Buy & Sell Signal Indicator
The Whales on Wall Street Signal Indicator is a precision-built trading tool designed to simplify your decision-making and give you real-time clarity in the market.
It automatically identifies high-probability reversal zones, momentum shifts, and trend confirmations — marking exact Buy (green) and Sell (red) signals based on price action, volume confirmation, and momentum strength.
Built for day traders and scalpers, this indicator eliminates the guesswork by combining multiple technical confluences such as:
EMA & RSI alignment for trend direction
Smart volume spikes for institutional activity
Volatility filters to reduce false signals
Dynamic alerts for entries and exits in real time
Whether you’re trading SPY, QQQ, NVDA, or Tesla, this indicator adapts to any ticker and timeframe — giving you crystal-clear entries, cleaner exits, and the confidence to trade like a whale.
多周期趋势动量面板加强版(Multi-Timeframe Trend Momentum Panel - User Guide)多周期趋势动量面板(Multi-Timeframe Trend Momentum Panel - User Guide)(english explanation follows.)
📖 指标功能详解 (精简版):
🎯 核心功能:
1. 多周期趋势分析 同时监控8个时间周期(1m/5m/15m/1H/4H/D/W/M)
2. 4维度投票系统 MA趋势+RSI动量+MACD+布林带综合判断
3. 全球交易时段 可视化亚洲/伦敦/纽约交易时间
4. 趋势强度评分 0100%量化市场力量
5. 智能警报 强势多空信号自动推送
________________________________________
📚 重要名词解释:
🔵 趋势状态 (MA均线分析):
名词 含义 信号强度
强势多头 快MA远高于慢MA(差值≥0.35%) ⭐⭐⭐⭐⭐ 做多
多头倾向 快MA略高于慢MA(差值<0.35%) ⭐⭐⭐ 谨慎做多
震荡 快慢MA缠绕,无明确方向 ⚠️ 观望
空头倾向 快MA略低于慢MA ⭐⭐⭐ 谨慎做空
强势空头 快MA远低于慢MA ⭐⭐⭐⭐⭐ 做空
简单理解: 快MA就像短跑运动员(反应快),慢MA是长跑运动员(稳定)。短跑远超长跑=强势多头,反之=强势空头。
________________________________________
🟠 动量状态 (RSI力度分析):
名词 含义 操作建议
动量上攻↗ RSI>60且快速上升 强烈买入信号
动量高位 RSI>60但上升变慢 警惕回调,可减仓
动量中性 RSI在4060之间,平稳 等待方向明确
动量低位 RSI<40但下跌变慢 警惕反弹,可止盈
动量下压↘ RSI<40且快速下降 强烈卖出信号
简单理解: RSI就像汽车速度表。"动量上攻"=油门踩到底加速,"动量高位"=已经很快但不再加速了。
________________________________________
🟣 辅助信号:
MACD:
• MACD多头 = 柱状图>0 = 买方力量强
• MACD空头 = 柱状图<0 = 卖方力量强
布林带(BB):
• BB超买 = 价格在布林带上轨附近 = 可能回调
• BB超卖 = 价格在布林带下轨附近 = 可能反弹
• BB中轨 = 价格在中间位置 = 平衡状态
________________________________________
💡 快速上手 3步看懂面板:
第1步: 看"综合结论标签" (K线上方)
• 绿色"多头占优" → 可以做多
• 红色"空头占优" → 可以做空
• 橙色"震荡/均衡" → 观望
第2步: 看"票数 多/空" (面板最下方)
• 多头票数远大于空头 (差距>2) → 趋势强
• 票数接近 (差距<1) → 震荡市
第3步: 看"趋势强度" (综合标签中)
• 强度>70% → 强势趋势,可重仓
• 强度5070% → 中等趋势,正常仓位
• 强度<50% → 弱势,轻仓或观望
________________________________________
🎨 时段背景色含义:
• 紫色背景 = 亚洲时段 (东京交易时间) 波动较小
• 橙色背景 = 伦敦时段 (欧洲交易时间) 波动增大
• 蓝色背景 = 纽约凌晨 美盘准备阶段
• 红色背景 = 纽约关键5分钟 (09:3009:35) ⚠️ 最重要! 市场最活跃,趋势易形成
• 绿色背景 = 纽约上午后段 延续早盘趋势
交易建议: 重点关注红色关键时段,这5分钟往往决定全天方向!
________________________________________
⚙️ 三大市场推荐设置
🥇 黄金: Hull MA 12/EMA 34, 阈值0.250.35%
₿ 比特币: EMA 21/EMA 55, 阈值0.801.20%
💎 以太坊: TEMA 21/EMA 55, 阈值0.600.80%
参数优化建议
黄金 (XAUUSD)
快速MA: Hull MA 12 (超灵敏捕捉黄金快速波动)
慢速MA: EMA 34 (斐波那契数列)
RSI周期: 9 (加快反应)
强趋势阈值: 0.25%
周期: 5, 15, 60, 240, 1440
比特币 (BTCUSD)
快速MA: EMA 21
慢速MA: EMA 55
RSI周期: 14
强趋势阈值: 0.8% (波动大,阈值需提高)
周期: 15, 60, 240, D, W
外汇 EUR/USD
快速MA: TEMA 10 (快速响应)
慢速MA: T3 30, 因子0.7 (平滑噪音)
RSI周期: 14
强趋势阈值: 0.08% (外汇波动小)
周期: 5, 15, 60, 240, 1440
📖 Indicator Function Details (Concise Version):
🎯 Core Functions:
1. MultiTimeframe Trend Analysis Monitors 8 timeframes simultaneously (1m/5m/15m/1H/4H/D/W/M)
2. 4Dimensional Voting System Comprehensive judgment based on MA trend + RSI momentum + MACD + Bollinger Bands
3. Global Trading Sessions Visualizes Asia/London/New York trading hours
4. Trend Strength Score Quantifies market strength from 0100%
5. Smart Alerts Automatically pushes strong bullish/bearish signals
📚 Key Term Explanations:
🔵 Trend Status (MA Analysis):
| Term | Meaning | Signal Strength |
| | | |
| Strong Bull | Fast MA significantly > Slow MA (Diff ≥0.35%) | ⭐⭐⭐⭐⭐ Long |
| Bullish Bias | Fast MA slightly > Slow MA (Diff <0.35%) | ⭐⭐⭐ Caution Long |
| Ranging | MAs intertwined, no clear direction | ⚠️ Wait & See |
| Bearish Bias | Fast MA slightly < Slow MA | ⭐⭐⭐ Caution Short |
| Strong Bear | Fast MA significantly < Slow MA | ⭐⭐⭐⭐⭐ Short |
Simple Understanding: Fast MA = sprinter (fast reaction), Slow MA = longdistance runner (stable). Sprinter far ahead = Strong Bull, opposite = Strong Bear.
🟠 Momentum Status (RSI Analysis):
| Term | Meaning | Trading Suggestion |
| | | |
| Momentum Up ↗ | RSI >60 & rising rapidly | Strong Buy Signal |
| Momentum High | RSI >60 but rising slower | Watch for pullback, consider reducing position |
| Momentum Neutral | RSI between 4060, stable | Wait for clearer direction |
| Momentum Low | RSI <40 but falling slower | Watch for rebound, consider taking profit |
| Momentum Down ↘ | RSI <40 & falling rapidly | Strong Sell Signal |
Simple Understanding: RSI = car speedometer. "Momentum Up" = full throttle acceleration, "Momentum High" = already fast but not accelerating further.
🟣 Auxiliary Signals:
MACD:
MACD Bullish = Histogram >0 = Strong buyer power
MACD Bearish = Histogram <0 = Strong seller power
Bollinger Bands (BB):
BB Overbought = Price near upper band = Possible pullback
BB Oversold = Price near lower band = Possible rebound
BB Middle = Price near middle band = Balanced state
💡 Quick Start 3 Steps to Understand the Panel:
Step 1: Check "Composite Conclusion Label" (Above the chart)
Green "Bulls Favored" → Consider Long
Red "Bears Favored" → Consider Short
Orange "Ranging/Balanced" → Wait & See
Step 2: Check "Votes Bull/Bear" (Bottom of the panel)
Bull votes significantly > Bear votes (Difference >2) → Strong Trend
Votes close (Difference <1) → Ranging Market
Step 3: Check "Trend Strength" (In the composite label)
Strength >70% → Strong Trend, consider heavier position
Strength 5070% → Moderate Trend, normal position size
Strength <50% → Weak Trend, light position or wait & see
🎨 Trading Session Background Color Meanings:
Purple = Asian Session (Tokyo hours) Lower volatility
Orange = London Session (European hours) Increased volatility
Blue = NY Early Morning US session preparation phase
Red = NY Critical 5 Minutes (09:3009:35) ⚠️ Most Important! Market most active, trends easily form
Green = NY Late Morning Continuation of early session trend
Trading Tip: Focus on the red critical period; these 5 minutes often determine the day's direction!
⚙️ Recommended Settings for Three Major Markets
🥇 Gold (XAUUSD):
Fast MA: Hull MA 12 (Highly sensitive for gold's fast moves)
Slow MA: EMA 34 (Fibonacci number)
RSI Period: 9 (Faster reaction)
Strong Trend Threshold: 0.25%
Timeframes: 5, 15, 60, 240, 1440
₿ Bitcoin (BTCUSD):
Fast MA: EMA 21
Slow MA: EMA 55
RSI Period: 14
Strong Trend Threshold: 0.8% (High volatility, requires higher threshold)
Timeframes: 15, 60, 240, D, W
💎 Ethereum (ETHUSD):
Fast MA: TEMA 21
Slow MA: EMA 55
RSI Period: 14
Strong Trend Threshold: 0.600.80%
Timeframes: 15, 60, 240, D, W
💱 Forex EUR/USD:
Fast MA: TEMA 10 (Fast response)
Slow MA: T3 30, Factor 0.7 (Smooths noise)
RSI Period: 14
Strong Trend Threshold: 0.08% (Forex has low volatility)
Timeframes: 5, 15, 60, 240, 1440
Pro Scalper - Kalman Supertrend with Dynamic OB/OS Zones═══════════════════════════════════════════════════════════════════
PRO SCALPER - KALMAN SUPERTREND WITH DYNAMIC OB/OS ZONES
Developed by Zakaria Safri
═══════════════════════════════════════════════════════════════════
A powerful day trading and scalping indicator designed for the 30-minute
timeframe, combining advanced Kalman filtering with Supertrend analysis
and VWMA-based overbought/oversold detection for stocks and cryptocurrencies.
🎯 KEY FEATURES
═══════════════════════════════════════════════════════════════════
✅ Kalman-Filtered Supertrend
• Advanced noise reduction using Kalman Filter mathematics
• Reduces false signals by filtering market noise
• Adaptive trend-following with dynamic support/resistance
✅ Clear Buy/Sell Signals
• Green "BUY" labels for long entries
• Red "SELL" labels for short entries
• Signals trigger on confirmed trend reversals
• Matrix-style candle coloring (Green=Bull, Red=Bear)
✅ Dynamic Overbought/Oversold Zones
• VWMA-based adaptive zones
• Automatically adjusts to market volatility
• Visual zone highlighting with fills
✅ Reversal Signal Detection
• "R" markers identify potential reversals
• Vertical lines highlight reversal bars
• Based on price rejection from OB/OS zones
✅ Smart Take Profit System
• Automatic TP levels at OB/OS zones
• "X" markers when targets are hit
• Based on higher-high/lower-low logic
✅ Live Entry Price Table
• Shows current trend direction
• Displays last signal type (BUY/SELL)
• Real-time entry price tracking
✅ Comprehensive Alert System
• Buy/Sell signal alerts
• Reversal detection alerts
• Take profit hit notifications
• All alerts are non-repainting
📊 HOW IT WORKS
═══════════════════════════════════════════════════════════════════
1. KALMAN FILTER
The indicator applies Kalman filtering to price and ATR data, using
mathematical equations derived from Rudolf E. Kalman's work. This
advanced filtering technique:
• Smooths price data while maintaining responsiveness
• Removes outliers and reduces market noise
• Adapts to changing market conditions
• Improves signal accuracy and reliability
2. MODIFIED SUPERTREND
A customized Supertrend calculation that uses:
• Kalman-filtered HL2 price instead of raw prices
• Filtered ATR for volatility measurement
• Adaptive trailing bands that follow price
• Trend detection with minimal lag
3. VWMA DYNAMIC ZONES
Volume-Weighted Moving Average bands that:
• Calculate from highest/lowest prices over lookback period
• Adapt to current volatility and price range
• Identify true overbought/oversold conditions
• Provide logical take-profit targets
4. SIGNAL GENERATION
• BUY: When price breaks above Supertrend (trend flips bullish)
• SELL: When price breaks below Supertrend (trend flips bearish)
• REVERSAL: When price rejects from OB/OS zones
• TAKE PROFIT: When price reaches target zones or forms HH/LL
⚙️ SETTINGS GUIDE
═══════════════════════════════════════════════════════════════════
🔧 KALMAN FILTER SETTINGS
┌─────────────────────────────────────────────────────────────┐
│ Gain (0.7) → Higher = More responsive, Less smooth │
│ Momentum (0.3) → Higher = More momentum, Less filtering │
└─────────────────────────────────────────────────────────────┘
📈 SUPERTREND SETTINGS
┌─────────────────────────────────────────────────────────────┐
│ ATR Period (10) → Lookback for volatility calculation │
│ ATR Multiplier (3.0) → Distance of bands (lower = more sigs)│
└─────────────────────────────────────────────────────────────┘
📊 VWMA BANDS (OB/OS ZONES)
┌─────────────────────────────────────────────────────────────┐
│ VWMA Length (20) → Smoothing period │
│ Overbought Multiplier (1.5) → OB zone distance │
│ Oversold Multiplier (1.5) → OS zone distance │
│ Band Lookback (20) → Range calculation period │
└─────────────────────────────────────────────────────────────┘
💡 USAGE INSTRUCTIONS
═══════════════════════════════════════════════════════════════════
RECOMMENDED SETUP:
• Timeframe: 30 minutes (optimized for intraday trading)
• Markets: Stocks, Cryptocurrencies, Forex
• Risk Management: Always use stop losses
• Confirmation: Combine with volume and support/resistance
ENTRY SIGNALS:
1. Wait for BUY/SELL label to appear
2. Check trend direction (candle color)
3. Confirm entry on next candle open
4. Set stop loss below/above Supertrend line
EXIT SIGNALS:
1. Take profit at "X" markers
2. Exit on opposite signal
3. Exit on reversal "R" if against your position
4. Manual exit at predetermined R:R ratio
REVERSAL TRADING:
1. Wait for "R" marker in OB/OS zone
2. Confirm with candlestick pattern
3. Enter counter-trend trade
4. Target middle VWMA or opposite zone
🎨 VISUAL ELEMENTS
═══════════════════════════════════════════════════════════════════
• GREEN LINE → Bullish Supertrend (support)
• RED LINE → Bearish Supertrend (resistance)
• CYAN LINE → VWMA baseline
• RED ZONE → Overbought area
• GREEN ZONE → Oversold area
• GREEN CANDLES → Bullish trend active
• RED CANDLES → Bearish trend active
• BUY LABEL → Long entry signal
• SELL LABEL → Short entry signal
• R MARKER → Reversal signal
• X MARKER → Take profit hit
⚠️ IMPORTANT NOTES
═══════════════════════════════════════════════════════════════════
✓ NON-REPAINTING: All signals are confirmed on candle close
✓ BACKTESTING: Test on your specific market before live trading
✓ RISK MANAGEMENT: Use proper position sizing and stop losses
✓ MARKET CONDITIONS: Works best in trending and range-bound markets
✓ CONFLUENCE: Combine with other analysis for best results
⚡ Best Performance:
• Trending markets with clear momentum
• Moderate to high volatility environments
• 30-minute to 1-hour timeframes
• Liquid markets with tight spreads
⚠️ Avoid Using:
• During major news events (high slippage)
• In extremely choppy/sideways markets
• On illiquid assets with wide spreads
• Without proper risk management
📚 METHODOLOGY
═══════════════════════════════════════════════════════════════════
This indicator combines three proven technical analysis methods:
1. TREND FOLLOWING (Supertrend)
Captures major price movements and momentum
2. MEAN REVERSION (VWMA Zones)
Identifies extremes and potential reversals
3. NOISE FILTERING (Kalman)
Reduces false signals and improves accuracy
By integrating these approaches with volume weighting and adaptive
calculations, the Pro Scalper provides a comprehensive trading system
suitable for active traders and scalpers.
⚖️ DISCLAIMER
═══════════════════════════════════════════════════════════════════
This indicator is provided for educational and informational purposes
only. It does not constitute financial advice, and past performance
does not guarantee future results.
Trading carries substantial risk of loss and is not suitable for all
investors. Always:
• Do your own research and analysis
• Use proper risk management
• Never risk more than you can afford to lose
• Test thoroughly before live trading
• Consult a financial advisor if needed
The creator (Zakaria Safri) assumes no liability for trading losses
incurred using this indicator.
📞 ABOUT THE DEVELOPER
═══════════════════════════════════════════════════════════════════
Developer: Zakaria Safri
Specialization: Advanced algorithmic trading indicators
Focus: Noise reduction, signal filtering, and trend analysis
• Regular updates and improvements
• Community feedback integration
• Bug fixes and optimization
• Feature requests welcome
📋 VERSION INFO
═══════════════════════════════════════════════════════════════════
Version: 1.0
Created: 2024
License: Mozilla Public License 2.0
Author: Zakaria Safri
═══════════════════════════════════════════════════════════════════
Happy Trading! 📈
Developed with precision by Zakaria Safri
═══════════════════════════════════════════════════════════════════
多周期趋势动量面板(Multi-Timeframe Trend Momentum Panel - User Guide)多周期趋势动量面板(Multi-Timeframe Trend Momentum Panel - User Guide)(english explanation follows.)
📖 指标功能详解 (精简版):
🎯 核心功能:
1. 多周期趋势分析 同时监控8个时间周期(1m/5m/15m/1H/4H/D/W/M)
2. 4维度投票系统 MA趋势+RSI动量+MACD+布林带综合判断
3. 全球交易时段 可视化亚洲/伦敦/纽约交易时间
4. 趋势强度评分 0100%量化市场力量
5. 智能警报 强势多空信号自动推送
________________________________________
📚 重要名词解释:
🔵 趋势状态 (MA均线分析):
名词 含义 信号强度
强势多头 快MA远高于慢MA(差值≥0.35%) ⭐⭐⭐⭐⭐ 做多
多头倾向 快MA略高于慢MA(差值<0.35%) ⭐⭐⭐ 谨慎做多
震荡 快慢MA缠绕,无明确方向 ⚠️ 观望
空头倾向 快MA略低于慢MA ⭐⭐⭐ 谨慎做空
强势空头 快MA远低于慢MA ⭐⭐⭐⭐⭐ 做空
简单理解: 快MA就像短跑运动员(反应快),慢MA是长跑运动员(稳定)。短跑远超长跑=强势多头,反之=强势空头。
________________________________________
🟠 动量状态 (RSI力度分析):
名词 含义 操作建议
动量上攻↗ RSI>60且快速上升 强烈买入信号
动量高位 RSI>60但上升变慢 警惕回调,可减仓
动量中性 RSI在4060之间,平稳 等待方向明确
动量低位 RSI<40但下跌变慢 警惕反弹,可止盈
动量下压↘ RSI<40且快速下降 强烈卖出信号
简单理解: RSI就像汽车速度表。"动量上攻"=油门踩到底加速,"动量高位"=已经很快但不再加速了。
________________________________________
🟣 辅助信号:
MACD:
• MACD多头 = 柱状图>0 = 买方力量强
• MACD空头 = 柱状图<0 = 卖方力量强
布林带(BB):
• BB超买 = 价格在布林带上轨附近 = 可能回调
• BB超卖 = 价格在布林带下轨附近 = 可能反弹
• BB中轨 = 价格在中间位置 = 平衡状态
________________________________________
💡 快速上手 3步看懂面板:
第1步: 看"综合结论标签" (K线上方)
• 绿色"多头占优" → 可以做多
• 红色"空头占优" → 可以做空
• 橙色"震荡/均衡" → 观望
第2步: 看"票数 多/空" (面板最下方)
• 多头票数远大于空头 (差距>2) → 趋势强
• 票数接近 (差距<1) → 震荡市
第3步: 看"趋势强度" (综合标签中)
• 强度>70% → 强势趋势,可重仓
• 强度5070% → 中等趋势,正常仓位
• 强度<50% → 弱势,轻仓或观望
________________________________________
🎨 时段背景色含义:
• 紫色背景 = 亚洲时段 (东京交易时间) 波动较小
• 橙色背景 = 伦敦时段 (欧洲交易时间) 波动增大
• 蓝色背景 = 纽约凌晨 美盘准备阶段
• 红色背景 = 纽约关键5分钟 (09:3009:35) ⚠️ 最重要! 市场最活跃,趋势易形成
• 绿色背景 = 纽约上午后段 延续早盘趋势
交易建议: 重点关注红色关键时段,这5分钟往往决定全天方向!
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⚙️ 三大市场推荐设置
🥇 黄金: Hull MA 12/EMA 34, 阈值0.250.35%
₿ 比特币: EMA 21/EMA 55, 阈值0.801.20%
💎 以太坊: TEMA 21/EMA 55, 阈值0.600.80%
参数优化建议
黄金 (XAUUSD)
快速MA: Hull MA 12 (超灵敏捕捉黄金快速波动)
慢速MA: EMA 34 (斐波那契数列)
RSI周期: 9 (加快反应)
强趋势阈值: 0.25%
周期: 5, 15, 60, 240, 1440
比特币 (BTCUSD)
快速MA: EMA 21
慢速MA: EMA 55
RSI周期: 14
强趋势阈值: 0.8% (波动大,阈值需提高)
周期: 15, 60, 240, D, W
外汇 EUR/USD
快速MA: TEMA 10 (快速响应)
慢速MA: T3 30, 因子0.7 (平滑噪音)
RSI周期: 14
强趋势阈值: 0.08% (外汇波动小)
周期: 5, 15, 60, 240, 1440
📖 Indicator Function Details (Concise Version):
🎯 Core Functions:
1. MultiTimeframe Trend Analysis Monitors 8 timeframes simultaneously (1m/5m/15m/1H/4H/D/W/M)
2. 4Dimensional Voting System Comprehensive judgment based on MA trend + RSI momentum + MACD + Bollinger Bands
3. Global Trading Sessions Visualizes Asia/London/New York trading hours
4. Trend Strength Score Quantifies market strength from 0100%
5. Smart Alerts Automatically pushes strong bullish/bearish signals
📚 Key Term Explanations:
🔵 Trend Status (MA Analysis):
| Term | Meaning | Signal Strength |
| | | |
| Strong Bull | Fast MA significantly > Slow MA (Diff ≥0.35%) | ⭐⭐⭐⭐⭐ Long |
| Bullish Bias | Fast MA slightly > Slow MA (Diff <0.35%) | ⭐⭐⭐ Caution Long |
| Ranging | MAs intertwined, no clear direction | ⚠️ Wait & See |
| Bearish Bias | Fast MA slightly < Slow MA | ⭐⭐⭐ Caution Short |
| Strong Bear | Fast MA significantly < Slow MA | ⭐⭐⭐⭐⭐ Short |
Simple Understanding: Fast MA = sprinter (fast reaction), Slow MA = longdistance runner (stable). Sprinter far ahead = Strong Bull, opposite = Strong Bear.
🟠 Momentum Status (RSI Analysis):
| Term | Meaning | Trading Suggestion |
| | | |
| Momentum Up ↗ | RSI >60 & rising rapidly | Strong Buy Signal |
| Momentum High | RSI >60 but rising slower | Watch for pullback, consider reducing position |
| Momentum Neutral | RSI between 4060, stable | Wait for clearer direction |
| Momentum Low | RSI <40 but falling slower | Watch for rebound, consider taking profit |
| Momentum Down ↘ | RSI <40 & falling rapidly | Strong Sell Signal |
Simple Understanding: RSI = car speedometer. "Momentum Up" = full throttle acceleration, "Momentum High" = already fast but not accelerating further.
🟣 Auxiliary Signals:
MACD:
MACD Bullish = Histogram >0 = Strong buyer power
MACD Bearish = Histogram <0 = Strong seller power
Bollinger Bands (BB):
BB Overbought = Price near upper band = Possible pullback
BB Oversold = Price near lower band = Possible rebound
BB Middle = Price near middle band = Balanced state
💡 Quick Start 3 Steps to Understand the Panel:
Step 1: Check "Composite Conclusion Label" (Above the chart)
Green "Bulls Favored" → Consider Long
Red "Bears Favored" → Consider Short
Orange "Ranging/Balanced" → Wait & See
Step 2: Check "Votes Bull/Bear" (Bottom of the panel)
Bull votes significantly > Bear votes (Difference >2) → Strong Trend
Votes close (Difference <1) → Ranging Market
Step 3: Check "Trend Strength" (In the composite label)
Strength >70% → Strong Trend, consider heavier position
Strength 5070% → Moderate Trend, normal position size
Strength <50% → Weak Trend, light position or wait & see
🎨 Trading Session Background Color Meanings:
Purple = Asian Session (Tokyo hours) Lower volatility
Orange = London Session (European hours) Increased volatility
Blue = NY Early Morning US session preparation phase
Red = NY Critical 5 Minutes (09:3009:35) ⚠️ Most Important! Market most active, trends easily form
Green = NY Late Morning Continuation of early session trend
Trading Tip: Focus on the red critical period; these 5 minutes often determine the day's direction!
⚙️ Recommended Settings for Three Major Markets
🥇 Gold (XAUUSD):
Fast MA: Hull MA 12 (Highly sensitive for gold's fast moves)
Slow MA: EMA 34 (Fibonacci number)
RSI Period: 9 (Faster reaction)
Strong Trend Threshold: 0.25%
Timeframes: 5, 15, 60, 240, 1440
₿ Bitcoin (BTCUSD):
Fast MA: EMA 21
Slow MA: EMA 55
RSI Period: 14
Strong Trend Threshold: 0.8% (High volatility, requires higher threshold)
Timeframes: 15, 60, 240, D, W
💎 Ethereum (ETHUSD):
Fast MA: TEMA 21
Slow MA: EMA 55
RSI Period: 14
Strong Trend Threshold: 0.600.80%
Timeframes: 15, 60, 240, D, W
💱 Forex EUR/USD:
Fast MA: TEMA 10 (Fast response)
Slow MA: T3 30, Factor 0.7 (Smooths noise)
RSI Period: 14
Strong Trend Threshold: 0.08% (Forex has low volatility)
Timeframes: 5, 15, 60, 240, 1440