Introduction Uptrick: Oracle Metrics + is a multi-dimensional trading indicator designed to consolidate various technical and risk-oriented signals into one accessible framework. It allows traders to observe market volatility, identify potential reversal points, and assess numerous performance metrics, all within a single interface.
Purpose The main goal of this indicator is to simplify a broad array of market insights. It merges trend analysis, volatility indicators, on-chart signals, and risk-performance metrics to help traders quickly evaluate the state of a market and make more informed decisions.
Features
1. Cloud Visualization A colored cloud overlays the chart, indicating market conditions. When the cloud narrows, it can signal upcoming breakout scenarios, as volatility compresses and price movement may accelerate. In contrast, when the cloud is wide, this could hint at an extended trend that might be nearing a pullback or retracement. Observing shifts between narrow and wide phases helps anticipate shifts in momentum.
This can be seen here:
Simple Cloud Overlay You can also use the cloud like this: when it turns purple you sell when it turns aqua color you buy. These signals are not very accurate in ranging markets but therefore they are usually better on almost all timeframes and assets in trending markets. :
Bounces of cloud. The cloud can also be used as a type of support/resistance. In the example below you can see how the trend bounces off of the cloud. For example, you could add up to your position every time it touches the cloud and then you could fully exit when the cloud turns purple or the trend breaks below the cloud:
An example of a way you could use this indicator as a confirmation is here. In the image below, a fake signal is generated, you can eliminate this signal by waiting for the cloud to turn purple in order to have confirmation for a potential downward move:
2. Bar Coloring for Volatility and System States Traders can choose between two bar-coloring methods: โข Volatility: Bars change color intensity based on the level of current volatility relative to a historical average. This helps in spotting abrupt changes in market behavior, where bars become more pronounced when volatility is higher. You can see the volatility information in the volatility table.
โข System Score: Bars receive a color gradient determined by the indicatorโs final overall score. This simplifies spotting bullish, bearish, or neutral phases without needing to inspect multiple metrics separately. The closer the final score is to zero the less the color difference between bullish and bearish is.
3. Reversion Signals and Potential Reversal Alerts Two sets of on-chart markers help in spotting sudden shifts in momentum:
โข Reversion Signals marked with the letter R: These signals combine RSI thresholds, stochastic crossovers, and EMA confirmation to identify potential reversals. RSI highlights overbought (above 70) or oversold (below 30) conditions, while stochastic crossovers confirm shifts in momentum. The EMA ensures signals align with the broader trend, reducing false positives in volatile markets. Together, these components provide a reliable way to spot potential market corrections or reversals.
โข Potential Reversal Signals marked with small circles: These signals detect subtle shifts in momentum using a smoothed RSI (via TEMA) and changes in its slope. When the slope turns positive or negative near key levels, it highlights early-stage reversals. This approach helps traders identify timely entry or exit opportunities by capturing potential trend changes before they fully develop.
4. Main Metrics Table A primary dashboard shows detailed performance measures and market analytics. Next to each value, there is a bullish or bearish arrow to hint at the current direction of that metric. The table includes the following:
โข Sharpe Ratio: Offers a view of risk-adjusted returns, hinting at whether rewards outweigh the variability in price. โข Sortino Ratio: A variation of risk-adjusted return focusing more on downside risk. โข Treynor Ratio: Displays returns relative to systematic risk, referencing a user-provided beta. โข Information Ratio: Shows how the instrument is outperforming or underperforming a benchmark, scaled by tracking error. โข ROC: Rate of change in price over a specified period, reflecting momentum. โข MACD Histogram: The difference between fast and slow moving average convergence, illustrating momentum shifts. โข CMF: Chaikin Money Flow, evaluating buying or selling pressure by combining price and volume. โข Ulcer Index: A measure of drawdown intensity to gauge how severe downtrends or pullbacks have been. โข Amihud Ratio: Assesses illiquidity by comparing price impact to volume. โข Market Depth Ratio: Looks at price ranges relative to volume activity, indicating how deeply the market can absorb trades. โข S2F Ratio: Incorporates the assetโs circulating supply relative to its yearly production, sometimes referenced in markets with a defined issuance schedule. โข NVT Ratio: A network value to transactions ratio, typically applied to on-chain data. โข MVRV Ratio: Compares the assetโs market value with its realized value, highlighting overall valuation conditions. โข Autocorrelation: Shows how current price movement may be echoing previous price changes. โข Alpha: Measures excess return over what might be expected from a risk-free rate plus systematic market exposure. โข Skewness: Reveals the asymmetry of the return distribution. โข Kurtosis: Looks at whether returns have heavier or lighter tails than typical distributions. โข Max Drawdown: The largest peak-to-trough drop within a lookback window, a key measure of downside risk. โข Calmar Ratio: Evaluates returns in light of drawdowns, relating performance to the severity of pullbacks. โข Omega Ratio: Considers gains versus losses around a threshold return level to measure reward-to-risk balance. โข January Performance: A snapshot of how price behaves in January over a lookback, connected to the idea of seasonality. โข Bid-Ask Spread: Reflects the percentage difference between highest and lowest price in a period, hinting at market liquidity costs.
5. Final Score Table After analyzing individual metrics, the indicator calculates an overall score that determines if the broader environment appears bullish, bearish, or neutral. This final score then influences optional color schemes across the chart, allowing traders to see at a glance how multiple data points combine into one stance. For those who prefer a visual โgauge,โ an additional grid table can be enabled, where boxes fill with varying color intensities based on the current score. The score calculation is complex and uses a similar technique to TPI. It assigns values to each metric and then divides the score by the amount of metrics. The score is then visualized in the System Generation bar coloring option according to how intense the signal is.
Grids (visualization of how much more the score needs to be a full signal.):
6. Volatility Table A separate table focuses on how current volatility compares with an average measure. When current volatility differs significantly from historical norms, the bars become more vividly colored. If volatility nears its average, the bars are more subdued. This helps traders know when to be cautious of sudden moves or to adapt their position sizing.
Indicator Inputs Users can tailor numerous inputs to suit the nature of each instrument:
โข Risk-Free Rate (annualized rate used for risk calculations) โข Benchmark Return (expected return of the market benchmark) โข Beta (measure of systematic risk, particularly for Treynor Ratio calculations) โข Lookback Period (window of time used for many rolling calculations) โข ROC Period (time span for the rate of change calculation) โข CMF Period (window for the Chaikin Money Flow measure) โข Ulcer Index Period (depth for the Ulcer Index reading) โข Amihud Illiquidity Period (period for measuring price impact relative to volume) โข Market Depth Ratio Period (time range for examining price breadth versus volume) โข Circulating Supply (used for the stock-to-flow calculation) โข Yearly Production (helps update the stock-to-flow ratio) โข Market Cap (overall value of the instrument, often used in ratio metrics) โข Transaction Volume (on-chain or traded volume data for NVT ratio) โข Realized Value (alternative valuation data, used in MVRV calculation) โข Threshold Return for Omega (sets a custom threshold above which returns are considered favorable) โข Bar Coloring Method (choose between volatility-based or final-score-based color themes) โข Table Text Size (adjust the display size of table entries) โข Additional parameters related to internal signals (like RSI lengths or smoothing settings) can be fine-tuned for different market behaviors. It is important to customize these fields according to the characteristics of the specific asset you are trading.
Important!
Adjust the inputs according to your current asset! The inputs under the 'Vital' section have to be adjusted so that the metrics function properly. If not well adjusted to your asset, your final score will be mixed up and System Bar coloring as well! These inputs include: Circulating Supply, Yearly Production, Market Cap, Transaction Volume, and Realized Value!
Originality and Uniqueness Uptrick: Oracle Metrics + stands out by combining complex metrics, including calculations similar to the Trend Probability Indicator (TPI), to provide a deeper analysis of market conditions. The indicator offers multiple signals tailored to different trading scenarios, allowing users to filter and customize them manually through a variety of features. This flexibility, combined with its advanced risk and trend analysis tools, makes it a versatile solution for both momentum and long-term trading strategies.
Warnings In some scenarios, overlapping numbers or markers may crowd the chart. A practical fix for any visual overlap is removing the indicator and then reapplying it, which generally resets the tables and color overlays.
Summary Uptrick: Oracle Metrics + merges cloud-based analytics, bar-coloring for volatility or system state, reversion alerts, and a detailed metrics dashboard into one seamless interface. This synergy of short-term signals and long-term performance metrics aims to give traders a fuller perspective on risk, trend changes, and valuation. By tuning the inputs to each asset, traders can capture more relevant data, while the color-coded approach simplifies quick decision-making in a dynamic market environment.
Disclaimer The Uptrick: Oracle Metrics + indicator is a tool designed to assist traders in analyzing market conditions and making informed decisions. It is not a guarantee of future performance or a substitute for independent financial advice. Trading involves significant risk, and past results do not guarantee future outcomes. Users are advised to conduct their own research, consider their financial situation, and consult with a licensed financial professional if necessary. Uptrick and its affiliates are not responsible for any financial losses incurred while using this indicator. Use at your own discretion and risk.
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