DBG X WOLONG📊 USER GUIDE – DBG X WOLONG ALGORITHM
🎯 OVERVIEW
The DBG X WOLONG Future Algorithm is a Pine Script v5 that integrates multiple advanced technical indicators, enabling traders to analyze markets and make precise trading decisions.
⚙️ MAIN SETTINGS
🔹 Sensitivity
Value: 1–20 (Default: 6)
Function: Adjusts the sensitivity of the SuperTrend signal
Guidelines:
Low value (1–5): Fewer signals, higher accuracy
High value (15–20): More signals, but with possible noise
🎨 DISPLAY SETTINGS
🔹 Candle Colors
Version 1: Based on MACD histogram
Version 2: Based on SuperTrend
🔹 Color Themes
Theme 1: Traditional Green/Red
Theme 2: Gold/Purple
Theme 3: Blue/Orange
No Fill: No background color displayed
📊 TRADING SIGNALS
🔹 Buy/Sell Signals
BUY 🚀 appears when:
SuperTrend shifts from bearish to bullish
Closing price > SMA 13
Braid Filter confirms
SELL appears when:
SuperTrend shifts from bullish to bearish
Closing price < SMA 13
Braid Filter confirms
🔹 Reversal Signals
▲ (Up Arrow): Buy signal when RSI crosses above 30
▼ (Down Arrow): Sell signal when RSI crosses below 70
🔹 Pullback Signals
▲ Purple: Pullback in bullish trend
▼ Purple: Pullback in bearish trend
🎯 TAKE PROFIT & STOP LOSS
🔹 TP Modes
Version 1: TP based on pivot points
Version 2: TP based on regression line
Close Price: TP at candle close
🔹 TP/SL Settings
TP Ratio: 2.0 (Default)
TP Length: 150 (Default)
ATR SL Length: 10
ATR SL Risk: 1.9
🔹 Labels Displayed
ENTRY: Entry point
STOP LOSS: Stop loss point
TP 1/2/3: 3 take profit levels
☁️ MOVING AVERAGE CLOUD
🔹 Supported MA Types
SMA – Simple Moving Average
EMA – Exponential Moving Average
WMA – Weighted Moving Average
HMA – Hull Moving Average
ALMA – Arnaud Legoux Moving Average
McGinley – McGinley Dynamic
FRAMA – Fractal Adaptive Moving Average
🔹 Cloud Cycles
Default: 2, 6, 11, 18, 21, 24, 28, 34
Customizable: All 8 cycles
🔹 Ribbon Cycles
Default: 6, 13, 20, 28, 36, 45, 55, 444
Customizable: All 8 cycles
🔧 BRAID FILTER
🔹 Function
Filters out noise signals
Confirms strong trends
🔹 Settings
MA Filter: McGinley (Recommended)
Filter Strength: 80% (Default)
📈 TRENDS & INDICATORS
🔹 SuperTrend
Main trend indicator
Generates primary buy/sell signals
🔹 Advanced Ichimoku
Tenkan-Sen: Blue line
Kijun-Sen: Orange line
Senkou Span A/B: Ichimoku cloud
🔹 Trend Tracking
Based on EMA 10 vs EMA 20
Candle colors follow trend direction
🔹 Trend Catcher
Range Filter with multiple options
Adjustable sensitivity
📊 MULTI-TIMEFRAME TREND PANEL
🔹 Displayed Timeframes
1m, 3m, 5m
15m, 30m, 1H
2H, 4H, 8H, Daily
🔹 Displayed Info
Current Position: Bullish/Bearish
Trend: Per timeframe
Volume: Current trading volume
🔹 Panel Positioning
9 selectable positions
Sizes: Large, Normal, Small, Extra Small
🚀 TRADE EXECUTION
📈 LONG ENTRY
✅ Entry Conditions
BUY 🚀 signal appears
SuperTrend turns from red to green
Price > SMA 13
Braid Filter confirms (green)
Trend Panel shows "Bullish" across multiple TFs
📊 Additional Confirmations
MACD Histogram > 0 and rising
RSI crosses above 30 (if reversal signal)
EMA Pullback shows ▲ purple
🎯 Trade Management
Entry: According to ENTRY label
Stop Loss: According to STOP LOSS label
Take Profit: TP1 → TP2 → TP3
📉 SHORT ENTRY
✅ Entry Conditions
SELL signal appears
SuperTrend turns from green to red
Price < SMA 13
Braid Filter confirms (red)
Trend Panel shows "Bearish" across multiple TFs
📊 Additional Confirmations
MACD Histogram < 0 and declining
RSI crosses below 70 (if reversal signal)
EMA Pullback shows ▼ purple
🎯 Trade Management
Entry: According to ENTRY label
Stop Loss: According to STOP LOSS label
Take Profit: TP1 → TP2 → TP3
🎛️ RECOMMENDED SETTINGS
👥 For Beginners
Sensitivity: 6
Candle Colors: Version 1
Buy/Sell Signals: ON
Reversal Signals: OFF
Trend Panel: ON
🏆 For Experienced Traders
Sensitivity: 4–8 (depending on market)
Reversal Signals: ON
Pullback: ON
All indicators: ON
ATR SL Risk: 1.5–2.0
⚡ For Scalping
Sensitivity: 8–12
Timeframes: 1m, 3m, 5m
Use only: SuperTrend + Braid Filter
Quick TP: Only TP1
📊 For Swing Trading
Sensitivity: 4–6
Timeframes: 1H, 4H, 1D
Use all: Full signals
TP: All 3 levels (TP1, TP2, TP3)
⚠️ IMPORTANT NOTES
🔴 Avoid Trading When
Signals conflict across timeframes
Market is strongly ranging/sideways
Abnormally low volume
Price is at major support/resistance zones
🟢 Prefer Trading When
At least 2–3 confirmations align
Clear trend across multiple timeframes
Strong volume surge
Breakout from consolidation zone
💡 Usage Tips
Always wait for confirmation: Never enter with just 1 signal
Risk management: Place SL according to STOP LOSS label
Follow trend panel: Prioritize overall trend
Use multiple timeframes: Analyze top-down
Backtest first: Test strategy on historical data
🛠️ TROUBLESHOOTING
❓ No signals appear
Check if inputs are enabled
Adjust sensitivity
Try switching timeframe
❓ Too many false signals
Lower sensitivity
Increase Braid Filter strength
Trade only with main trend
❓ Trend panel not showing
Enable "Display Dashboard"
Select proper panel position
Adjust panel size
📞 SUPPORT
If you encounter issues using this script, please:
Carefully read this guide
Practice on a demo account
Backtest thoroughly before live trading
📈 Wishing you successful trading! 🚀
Media mobile esponenziale (EMA)
EMA20/EMA100 RSI Cross – Simpler than SimpleThis indicator combines the clarity of EMA20–EMA100 crossovers with the strength of RSI confirmation, giving traders a straightforward yet effective tool for spotting momentum shifts.
Designed with simplicity in mind, it delivers clear visual signals and instant alerts whenever price conditions align, works perfectly well in every timeframe (my choice is 15M timeframe).
No clutter, no overcomplication – just clean, intuitive signals to help you stay on top of the market.
I want to give it back to Tradingview society, so feel free to try and experience.
Best,
@lpha Trader Dashboardmarket open gui dashboard
gui is to provide market open and countdown candle chart times , highlights when candle due to expire
Option Buying Indicator5-period Exponential Moving Average (EMA): A short-term average of price, giving more weight to recent data. It reacts quickly to price changes.
50-period Exponential Moving Average (EMA): A longer-term average of price, indicating the medium-term trend.
Volume-Weighted Average Price (VWAP): The average price of a stock during a specific period, weighted by the volume traded at each price level. VWAP is often used by large institutional traders to gauge entry and exit points.
Pivot Points: Technical analysis indicators used to determine the overall trend of the market over different time frames. They are calculated based on the previous day's high, low, and closing prices and are used to identify potential support and resistance levels.
5ema&1maI wanted a simple indicator that had 5 EMAs and 1 MA. But I wanted to be able to change the values for all averages depending on my use.
This is a simple script that does that.
Wda Elite Sniper (Golden Duck Runner)Golden Duck Runner With Targets - Professional Trading Indicator
Overview
The "Golden Duck Runner With Targets" is a sophisticated technical analysis indicator designed for active traders seeking precise entry and exit points in trending markets. This indicator combines dual EMA trend analysis with pullback detection and implements a comprehensive fixed-tick risk management system with automatic position cleanup functionality.
Key Features
Dual EMA System
- Fast EMA (18-period): Golden line that tracks short-term price momentum
- Trend Filter EMA (111-period): Thick line for major trend identification
- Teal Color: Bullish trend (Fast EMA > Trend Filter EMA)
- Orange Color: Bearish trend (Fast EMA < Trend Filter EMA)
Advanced Signal Generation
The indicator employs a sophisticated pullback detection algorithm that ensures high-probability entries:
Long Signal Requirements:
- Market must be in uptrend (18 EMA > 111 EMA)
- Price must pull back below the 18 EMA while staying above the 111 EMA
- Price must then close back above the 18 EMA with bullish momentum
- No duplicate signals until position is closed
Short Signal Requirements:
- Market must be in downtrend (18 EMA < 111 EMA)
- Price must pull back above the 18 EMA while staying below the 111 EMA
- Price must then close back below the 18 EMA with bearish momentum
- No duplicate signals until position is closed
Fixed-Tick Risk Management System
The indicator uses predefined tick values for consistent risk management across all instruments:
Risk Levels (Fixed Tick Values):
- Stop Loss: 36 ticks (customizable)
- Take Profit 1: 30 ticks (1:0.83 risk-reward)
- Take Profit 2: 50 ticks (1:1.39 risk-reward)
- Take Profit 3: 75 ticks (1:2.08 risk-reward)
Automatic Position Management
Clean Chart Technology:
- Positions automatically close when TP3 or Stop Loss levels are hit
- All risk management lines are automatically removed upon trade completion
- Charts remain clean and focused on active opportunities only
- Maximum holding period of 20 bars prevents stale signals
Real-Time Monitoring:
- Live position tracking via information dashboard
- Hit detection for all take profit and stop loss levels
- Automatic line cleanup upon position exit
- Visual confirmation of level hits with checkmarks/X marks
Visual Elements
- Golden Entry Level: Clearly marks exact entry price
- Color-Coded Risk Lines: Dark red for stop loss, teal for TP1/TP2, gold for TP3
- Golden Arrow Signals: Easy-to-spot entry points with BUY/SELL labels
- Entry Candle Highlighting: Gold-colored candles mark signal bars
- Information Dashboard: Real-time display of trend, position, entry price, and duration
- Professional Color Scheme: Consistent golden theme throughout
Trading Applications
Best Suited For:
- Scalping on 1-5 minute charts
- Day trading on 15-minute to 1-hour charts
- Swing trading on 4-hour to daily charts
- All liquid markets: Forex, Stocks, Crypto, Commodities
Optimal Market Conditions:
- Trending markets with clear directional bias
- Moderate to high volatility environments
- Liquid instruments with tight spreads
- Active trading sessions with good volume
Technical Specifications
Pine Script Details:
- Version: Pine Script v5
- Chart Type: Overlay indicator
- Non-repainting signals (confirmed on bar close)
- Real-time updates with live dashboard
- Full TradingView alert support
- Resource optimized for smooth performance
Customizable Parameters:
- Fast EMA period (default: 18)
- Trend Filter EMA period (default: 111)
- Stop Loss ticks (default: 36)
- Take Profit levels in ticks (30, 50, 75)
- Display toggles for all visual elements
Usage Instructions
Setup
1. Apply indicator to your preferred timeframe
2. Verify EMA periods suit your trading style
3. Adjust tick values if needed for your instrument
4. Enable TradingView alerts for signal notifications
#Signal Identification
1. Trend Confirmation: Monitor EMA positioning and colors
2. **Pullback Recognition: Wait for price to test 18 EMA level
3. Entry Signal: Golden arrow confirms valid setup completion
Position Management
1. Enter at signal candle close
2. Use provided stop loss level (dark red line)
3. Scale out at take profit levels (teal and gold lines)
4. Monitor dashboard for trade status
Educational Value
This indicator serves as an excellent learning tool for:
Technical Analysis:
- EMA trend following strategies
- Pullback trading methodology
- Support and resistance concepts
- Risk-reward optimization
Trading Discipline:
- Systematic entry and exit rules
- Patient setup selection
- Proper risk management practices
- Emotional control through automation
Performance Features
Signal Quality Control:
- Trend structure validation
- Momentum confirmation requirements
- Anti-whipsaw protection
- Duplicate signal prevention
Risk Management:
- Consistent tick-based calculations
- Multiple profit-taking opportunities
- Automatic position cleanup
- Time-based exit rules (20 bars maximum)
Alert Integration
Built-in alert conditions for:
- Long entry signals
- Short entry signals
- Take Profit 1 hits
- Take Profit 2 hits
- Take Profit 3 hits
- Stop Loss hits
Customization Options
Display Controls:
- Toggle EMA visibility
- Show/hide signal arrows
- Enable/disable information dashboard
Parameter Adjustment:
- Modify EMA periods
- Adjust risk levels in ticks
- Customize visual styling
Important Considerations
Market Suitability:
- Works best in trending market conditions
- Less effective in sideways/choppy markets
- Requires adequate volatility for tick-based targets
Risk Management:
- Always use appropriate position sizing
- Consider instrument characteristics when setting tick values
- Monitor correlation when trading multiple signals
- Maintain detailed trading records
Backtesting Recommendations
Users should conduct thorough testing across:
- Different timeframes
- Various market conditions
- Multiple asset classes
- Extended historical periods
Disclaimer
Educational Purpose: This indicator is designed for educational and analytical purposes. It provides technical analysis signals based on moving average relationships and pullback patterns.
Risk Warning: Trading involves substantial risk of loss. Past performance does not guarantee future results. Users should conduct their own analysis and risk assessment before making trading decisions.
No Investment Advice: This tool provides technical analysis, not investment advice. Users are solely responsible for their trading decisions and outcomes.
Conclusion
The Golden Duck Runner With Targets offers a comprehensive approach to trend-following with precise entry timing and systematic risk management. Its clean visual design, automatic cleanup features, and educational value make it suitable for traders seeking a professional-grade analytical tool.
The fixed-tick risk management system provides consistency across different instruments while the dual EMA framework ensures trades align with the prevailing trend direction. Combined with sophisticated pullback detection, this indicator helps traders develop disciplined approaches to market analysis and position management.
Developed for traders who demand precision, reliability, and professional-grade technical analysis with clean, automated chart management.
Simple EMA IndicatorSimple EMA Indicator by Ashwin Kumar. Includes all prominent timeframe moving averages on a single indicator.
Altcoins % Above Weekly EMA21 Top50-550The indicator shows the percentage of altcoins trading above the weekly EMA21 within a selected group (Top50, Top150, Top550, or Personal).
It helps assess overall altcoin market strength, identify overbought/oversold zones, and spot potential entry or exit points.
Daily High/Low (15m) + EMA Pre-Market H/L + ORBStraightforward:
I built a swing-trading indicator with ChatGPT that plots 15-minute highs and lows, draws pre-market high/low lines, and adds a 15-minute opening-range breakout feature.
Technical:
Using ChatGPT, I developed a swing-trade indicator that calculates 15-minute highs/lows, overlays pre-market high and low levels, and includes a 15-minute Opening Range Breakout (ORB) module.
Promotional:
I created a ChatGPT-powered swing-trading indicator that maps 15-minute highs/lows, marks pre-market levels, and features a 15-minute Opening Range Breakout for clearer entries.
[Wda Inner Circle] Golden Duck Runner With TargetsThe "Golden Duck Runner With Targets" is a sophisticated technical analysis indicator designed for active traders seeking precise entry and exit points in fast-moving markets. This indicator combines dual EMA trend analysis with pullback detection and implements a comprehensive risk management system based on candle size calculations with automatic position cleanup functionality.
Key Features
Dual EMA System
- Fast EMA (18-period): Golden line (linewidth=2) that tracks short-term price momentum
- Trend Filter EMA (111-period): Extra thick line (linewidth=4) for major trend identification
- Blue: Bullish trend (Fast EMA > Slow EMA)
- Red: Bearish trend (Fast EMA < Slow EMA)
Advanced Signal Generation
The indicator employs a sophisticated pullback detection algorithm that ensures high-probability entries:
Long Signal Requirements:
- Market must be in uptrend (18 EMA > 111 EMA)
- Price must pull back below the 18 EMA while staying above the 111 EMA
- Price must then close back above the 18 EMA with bullish momentum
- No duplicate signals until position is closed
Short Signal Requirements:
- Market must be in downtrend (18 EMA < 111 EMA)
- Price must pull back above the 18 EMA while staying below the 111 EMA
- Price must then close back below the 18 EMA with bearish momentum
- No duplicate signals until position is closed
This methodology ensures traders enter positions only after proper trend confirmation and healthy pullback completion. Dynamic Risk Management System
Unlike static risk management approaches, this indicator calculates Stop Loss and Take Profit levels based on the actual volatility of the entry candle, providing adaptive risk management:
Risk Levels (Based on Entry Candle Size):
- Stop Loss: 2x entry candle size (providing adequate breathing room)
- Take Profit 1: 3x entry candle size (1.5:1 reward-to-risk ratio)
- Take Profit 2: 5x entry candle size (2.5:1 reward-to-risk ratio)
- Take Profit 3: 8x entry candle size (4:1 reward-to-risk ratio)
Automatic Position Management
Clean Chart Technology:
- Positions automatically close when TP3 or Stop Loss levels are hit
- All risk management lines are automatically removed upon trade completion
- Charts remain clean and focused on active opportunities only
- Maximum holding period of 20 bars prevents stale signals
Visual Elements
- Golden Entry Level: Clearly marks your exact entry price
- Color-Coded Risk Lines: Dark red for stop loss, blue for take profits
- Golden Arrow Signals: Easy-to-spot entry points with BUY/SELL labels
- Entry Candle Highlighting: Gold-colored candles mark signal bars
- Information Dashboard: Real-time display of trend direction, position status, entry price, and bars held
- Professional Color Scheme: Consistent golden theme throughout
Trading Applications
Best Suited For:
- Scalping: Short-term trades in liquid markets (1-5 minute charts)
- Day Trading: Intraday momentum plays (15-minute to 1-hour charts)
- Swing Trading: Multi-day position holding (4-hour to daily charts)
- Forex Markets: Major currency pairs with good liquidity
- Stock Trading: High-volume equities and indices
- Cryptocurrency: Bitcoin, Ethereum, and major altcoins
- Commodities: Gold, Silver, Oil, and other liquid futures
Optimal Market Conditions:
- Trending Markets: Works best when clear trend direction is established
- Moderate Volatility: Candle-based risk management adapts to market conditions
- Liquid Markets: Ensures accurate execution at calculated levels
- Session Overlaps: Forex majors during London/New York overlap
- News-Driven Moves: Captures momentum after fundamental catalysts
Risk Management Philosophy
This indicator implements a position sizing approach that adapts to market volatility through several key principles:
Adaptive Risk Calculation:
- Risk levels scale with actual market volatility (candle size)
- Larger candles = wider stops and targets
- Smaller candles = tighter risk management
- Maintains consistent risk-reward ratios across all market conditions
Professional Exit Strategy:
- Multiple take profit levels allow for position scaling
- Automatic cleanup prevents chart clutter
- Real-time monitoring of all risk levels
- Maximum 20-bar holding period prevents overholding
Market-Neutral Approach:
- Works equally well in bull and bear markets
- Trend-following methodology captures major moves
- Pullback timing ensures favorable entry prices
Usage Instructions
Setup Phase:
1. Apply to Chart: Add indicator to your preferred timeframe
2. Verify Settings: Confirm EMA periods (18 and 111) suit your style
3. Enable Alerts: Set up TradingView alerts for entry signals
4. Plan Position Size: Determine risk per trade before signals appear
Signal Identification:
1. Trend Confirmation: Monitor EMA colors and positioning
- Bullish Setup: 18 EMA (golden) above 111 EMA (blue)
- Bearish Setup: 18 EMA (golden) below 111 EMA (red)
2. Wait for Pullback: Price must retrace to 18 EMA level
- Long: Price pulls back below 18 EMA but stays above 111 EMA
- Short: Price pulls back above 18 EMA but stays below 111 EMA
3. Entry Confirmation: Golden arrow appears when conditions are met
- BUY signal: Price closes back above 18 EMA with momentum
- SELL signal: Price closes back below 18 EMA with momentum
Position Management:
1. Entry Execution: Enter trade at signal candle close price
2. Risk Placement: Use provided stop loss level (dark red line)
3. Profit Taking: Scale out at blue TP levels (TP1: 3x, TP2: 5x, TP3: 8x)
4. Position Monitoring: Watch dashboard for trade status and duration
Exit Management:
- Automatic Cleanup: Lines disappear when TP3 or SL is hit
- Time Exit: Position closes after 20 bars if targets not reached
- Manual Override: Traders can exit earlier based on discretion
Advanced Features
Pullback Quality Control
The indicator uses sophisticated logic to ensure only high-quality setups:
- Trend Structure Validation: Pullbacks must respect major trend EMAs
- Momentum Confirmation: Requires decisive close through 18 EMA
- No Whipsaw Protection: Prevents signals during choppy conditions
- Duplicate Prevention: Only one signal per trend move
Real-Time Monitoring System
- Live Position Tracking: Dashboard shows current status
- Automatic Level Updates: Lines adjust to current bar position
- Alert Integration: Built-in notifications for all signal types
- Performance Metrics: Entry price and duration tracking
Customization Options
Display Controls:
- Toggle Fast EMA visibility
- Toggle Trend Filter EMA visibility
- Enable/disable signal arrows
- Show/hide information dashboard
Parameter Adjustment:
- Modify Fast EMA period (default: 18)
- Adjust Trend Filter EMA period (default: 111)
- Customize alert messages
Market Analysis Benefits
Trend Following Advantage:
- Captures major directional moves early
- Avoids counter-trend trades in strong markets
- Adapts to changing market conditions automatically
Timing Optimization:
- Enters after healthy pullbacks for better prices
- Avoids chasing momentum at extremes
- Provides multiple profit-taking opportunities
Risk Control:
- Volatility-adjusted stop losses prevent random exits
- Excellent risk-reward ratios (up to 4:1)
- Automatic position management reduces emotional decisions
Educational Value
This indicator serves as an excellent learning tool for understanding:
Technical Analysis Concepts:
- EMA crossover strategies and trend identification
- Pullback trading methodology and timing
- Support and resistance level recognition
- Momentum confirmation techniques
Risk Management Principles:
- Position sizing based on market volatility
- Multiple take profit level strategies
- Stop loss placement using market structure
- Time-based exit rules
Trading Psychology:
- Systematic approach reduces emotional trading
- Clear rules for entry and exit decisions
- Patience waiting for quality setups
- Disciplined risk management practices
Performance Optimization Tips
Timeframe Selection:
- Lower Timeframes (1-15m): More signals, requires faster execution
- Higher Timeframes (1h-4h): Fewer but higher quality signals
- Daily Charts: Swing trading with excellent risk-reward ratios
Market Selection:
- High Liquidity: Ensures accurate execution at calculated levels
- Trending Assets: Maximizes strategy effectiveness
- Volatile Periods: Provides larger profit targets
- Session Timing: Trade during active market hours
Risk Management:
- Never risk more than 1-2% of account per trade
- Use position sizing that allows for multiple concurrent trades
- Consider correlation between instruments when trading multiple markets
- Maintain trading journal to track performance
Backtesting and Validation
Historical Performance Analysis:
Users are encouraged to conduct thorough backtesting across different:
- Market conditions (trending vs. ranging)
- Volatility environments (high vs. low)
- Time periods (various years and seasons)
- Asset classes (forex, stocks, crypto, commodities)
Forward Testing Recommendations:
- Start with paper trading to understand signal timing
- Use small position sizes during learning phase
- Track all trades for performance analysis
- Gradually increase position size as confidence builds
Technical Specifications
Pine Script Details:
- Version: Pine Script v5
- Chart Type: Overlay indicator
- Resource Limits: max_lines_count=500, max_labels_count=500
- Repainting: Non-repainting signals (confirmed on bar close)
- Real-time Updates: Yes, with live dashboard
- Alert Compatibility: Full TradingView alert support
System Requirements:
- TradingView account (Basic or higher recommended)
- Stable internet connection for real-time data
- Compatible with all TradingView supported markets
- Works on desktop, mobile, and web platforms
Disclaimer and Risk Warning
IMPORTANT: This indicator is designed for educational and analytical purposes only.
Risk Acknowledgment:
- No Guarantee of Profits: Past performance does not predict future results
- Substantial Risk of Loss: Trading involves risk and is not suitable for all investors
- Market Volatility: Cryptocurrency and forex markets can be extremely volatile
- Technical Analysis Limitations: No indicator is 100% accurate
- Leverage Warning: Using leverage amplifies both profits and losses
User Responsibilities:
- Personal Research: Always conduct independent analysis
- Risk Assessment: Only trade with money you can afford to lose
- Position Sizing: Use appropriate risk management for your account size
- Market Knowledge: Understand the markets you're trading
- Professional Advice: Consult financial advisors when needed
Legal Disclaimer:
- This tool provides analysis, not investment advice
- Users are solely responsible for trading decisions
- No warranty is provided regarding accuracy or profitability
- Historical results do not guarantee future performance
- Seek professional guidance for investment decisions
Support and Development
Continuous Improvement:
This indicator is actively maintained and updated to ensure:
- Compatibility with TradingView platform changes
- Bug fixes and performance optimizations
- Feature enhancements based on user feedback
- Documentation updates and educational content
Conclusion
The "Golden Duck Runner With Targets" represents a comprehensive approach to technical analysis that combines trend following, pullback timing, and adaptive risk management. Its automatic cleanup functionality and professional visual design make it suitable for traders of all experience levels who demand precision and reliability in their analytical tools.
By focusing on high-probability setups with excellent risk-reward ratios, this indicator helps traders develop disciplined trading habits while providing the flexibility to adapt to various market conditions and trading styles.
Remember: Successful trading requires patience, discipline, and continuous learning. This tool provides the analysis - the trading decisions and their consequences remain entirely with the user.
Developed for serious traders who demand precision, reliability, and professional-grade risk management with clean, clutter-free chart visualization.
Golden Duck Runner With TargetsThe "Golden Duck Runner With Targets" is a sophisticated technical analysis indicator designed for active traders seeking precise entry and exit points in fast-moving markets. This indicator combines dual EMA trend analysis with pullback detection and implements a comprehensive risk management system based on candle size calculations with automatic position cleanup functionality.
Key Features
Dual EMA System
- Fast EMA (18-period): Golden line (linewidth=2) that tracks short-term price momentum
- Trend Filter EMA (111-period): Extra thick line (linewidth=4) for major trend identification
- Blue: Bullish trend (Fast EMA > Slow EMA)
- Red: Bearish trend (Fast EMA < Slow EMA)
Advanced Signal Generation
The indicator employs a sophisticated pullback detection algorithm that ensures high-probability entries:
Long Signal Requirements:
- Market must be in uptrend (18 EMA > 111 EMA)
- Price must pull back below the 18 EMA while staying above the 111 EMA
- Price must then close back above the 18 EMA with bullish momentum
- No duplicate signals until position is closed
Short Signal Requirements:
- Market must be in downtrend (18 EMA < 111 EMA)
- Price must pull back above the 18 EMA while staying below the 111 EMA
- Price must then close back below the 18 EMA with bearish momentum
- No duplicate signals until position is closed
This methodology ensures traders enter positions only after proper trend confirmation and healthy pullback completion. Dynamic Risk Management System
Unlike static risk management approaches, this indicator calculates Stop Loss and Take Profit levels based on the actual volatility of the entry candle, providing adaptive risk management:
Risk Levels (Based on Entry Candle Size):
- Stop Loss: 2x entry candle size (providing adequate breathing room)
- Take Profit 1: 3x entry candle size (1.5:1 reward-to-risk ratio)
- Take Profit 2: 5x entry candle size (2.5:1 reward-to-risk ratio)
- Take Profit 3: 8x entry candle size (4:1 reward-to-risk ratio)
Automatic Position Management
Clean Chart Technology:
- Positions automatically close when TP3 or Stop Loss levels are hit
- All risk management lines are automatically removed upon trade completion
- Charts remain clean and focused on active opportunities only
- Maximum holding period of 20 bars prevents stale signals
Visual Elements
- Golden Entry Level: Clearly marks your exact entry price
- Color-Coded Risk Lines: Dark red for stop loss, blue for take profits
- Golden Arrow Signals: Easy-to-spot entry points with BUY/SELL labels
- Entry Candle Highlighting: Gold-colored candles mark signal bars
- Information Dashboard: Real-time display of trend direction, position status, entry price, and bars held
- Professional Color Scheme: Consistent golden theme throughout
Trading Applications
Best Suited For:
- Scalping: Short-term trades in liquid markets (1-5 minute charts)
- Day Trading: Intraday momentum plays (15-minute to 1-hour charts)
- Swing Trading: Multi-day position holding (4-hour to daily charts)
- Forex Markets: Major currency pairs with good liquidity
- Stock Trading: High-volume equities and indices
- Cryptocurrency: Bitcoin, Ethereum, and major altcoins
- Commodities: Gold, Silver, Oil, and other liquid futures
Optimal Market Conditions:
- Trending Markets: Works best when clear trend direction is established
- Moderate Volatility: Candle-based risk management adapts to market conditions
- Liquid Markets: Ensures accurate execution at calculated levels
- Session Overlaps: Forex majors during London/New York overlap
- News-Driven Moves: Captures momentum after fundamental catalysts
Risk Management Philosophy
This indicator implements a position sizing approach that adapts to market volatility through several key principles:
Adaptive Risk Calculation:
- Risk levels scale with actual market volatility (candle size)
- Larger candles = wider stops and targets
- Smaller candles = tighter risk management
- Maintains consistent risk-reward ratios across all market conditions
Professional Exit Strategy:
- Multiple take profit levels allow for position scaling
- Automatic cleanup prevents chart clutter
- Real-time monitoring of all risk levels
- Maximum 20-bar holding period prevents overholding
Market-Neutral Approach:
- Works equally well in bull and bear markets
- Trend-following methodology captures major moves
- Pullback timing ensures favorable entry prices
Usage Instructions
Setup Phase:
1. Apply to Chart: Add indicator to your preferred timeframe
2. Verify Settings: Confirm EMA periods (18 and 111) suit your style
3. Enable Alerts: Set up TradingView alerts for entry signals
4. Plan Position Size: Determine risk per trade before signals appear
Signal Identification:
1. Trend Confirmation: Monitor EMA colors and positioning
- Bullish Setup: 18 EMA (golden) above 111 EMA (blue)
- Bearish Setup: 18 EMA (golden) below 111 EMA (red)
2. Wait for Pullback: Price must retrace to 18 EMA level
- Long: Price pulls back below 18 EMA but stays above 111 EMA
- Short: Price pulls back above 18 EMA but stays below 111 EMA
3. Entry Confirmation: Golden arrow appears when conditions are met
- BUY signal: Price closes back above 18 EMA with momentum
- SELL signal: Price closes back below 18 EMA with momentum
Position Management:
1. Entry Execution: Enter trade at signal candle close price
2. Risk Placement: Use provided stop loss level (dark red line)
3. Profit Taking: Scale out at blue TP levels (TP1: 3x, TP2: 5x, TP3: 8x)
4. Position Monitoring: Watch dashboard for trade status and duration
Exit Management:
- Automatic Cleanup: Lines disappear when TP3 or SL is hit
- Time Exit: Position closes after 20 bars if targets not reached
- Manual Override: Traders can exit earlier based on discretion
Advanced Features
Pullback Quality Control
The indicator uses sophisticated logic to ensure only high-quality setups:
- Trend Structure Validation: Pullbacks must respect major trend EMAs
- Momentum Confirmation: Requires decisive close through 18 EMA
- No Whipsaw Protection: Prevents signals during choppy conditions
- Duplicate Prevention: Only one signal per trend move
Real-Time Monitoring System
- Live Position Tracking: Dashboard shows current status
- Automatic Level Updates: Lines adjust to current bar position
- Alert Integration: Built-in notifications for all signal types
- Performance Metrics: Entry price and duration tracking
Customization Options
Display Controls:
- Toggle Fast EMA visibility
- Toggle Trend Filter EMA visibility
- Enable/disable signal arrows
- Show/hide information dashboard
Parameter Adjustment:
- Modify Fast EMA period (default: 18)
- Adjust Trend Filter EMA period (default: 111)
- Customize alert messages
Market Analysis Benefits
Trend Following Advantage:
- Captures major directional moves early
- Avoids counter-trend trades in strong markets
- Adapts to changing market conditions automatically
Timing Optimization:
- Enters after healthy pullbacks for better prices
- Avoids chasing momentum at extremes
- Provides multiple profit-taking opportunities
Risk Control:
- Volatility-adjusted stop losses prevent random exits
- Excellent risk-reward ratios (up to 4:1)
- Automatic position management reduces emotional decisions
Educational Value
This indicator serves as an excellent learning tool for understanding:
Technical Analysis Concepts:
- EMA crossover strategies and trend identification
- Pullback trading methodology and timing
- Support and resistance level recognition
- Momentum confirmation techniques
Risk Management Principles:
- Position sizing based on market volatility
- Multiple take profit level strategies
- Stop loss placement using market structure
- Time-based exit rules
Trading Psychology:
- Systematic approach reduces emotional trading
- Clear rules for entry and exit decisions
- Patience waiting for quality setups
- Disciplined risk management practices
Performance Optimization Tips
Timeframe Selection:
- Lower Timeframes (1-15m): More signals, requires faster execution
- Higher Timeframes (1h-4h): Fewer but higher quality signals
- Daily Charts: Swing trading with excellent risk-reward ratios
Market Selection:
- High Liquidity: Ensures accurate execution at calculated levels
- Trending Assets: Maximizes strategy effectiveness
- Volatile Periods: Provides larger profit targets
- Session Timing: Trade during active market hours
Risk Management:
- Never risk more than 1-2% of account per trade
- Use position sizing that allows for multiple concurrent trades
- Consider correlation between instruments when trading multiple markets
- Maintain trading journal to track performance
Backtesting and Validation
Historical Performance Analysis:
Users are encouraged to conduct thorough backtesting across different:
- Market conditions (trending vs. ranging)
- Volatility environments (high vs. low)
- Time periods (various years and seasons)
- Asset classes (forex, stocks, crypto, commodities)
Forward Testing Recommendations:
- Start with paper trading to understand signal timing
- Use small position sizes during learning phase
- Track all trades for performance analysis
- Gradually increase position size as confidence builds
Technical Specifications
Pine Script Details:
- Version: Pine Script v5
- Chart Type: Overlay indicator
- Resource Limits: max_lines_count=500, max_labels_count=500
- Repainting: Non-repainting signals (confirmed on bar close)
- Real-time Updates: Yes, with live dashboard
- Alert Compatibility: Full TradingView alert support
System Requirements:
- TradingView account (Basic or higher recommended)
- Stable internet connection for real-time data
- Compatible with all TradingView supported markets
- Works on desktop, mobile, and web platforms
Disclaimer and Risk Warning
IMPORTANT: This indicator is designed for educational and analytical purposes only.
Risk Acknowledgment:
- No Guarantee of Profits: Past performance does not predict future results
- Substantial Risk of Loss: Trading involves risk and is not suitable for all investors
- Market Volatility: Cryptocurrency and forex markets can be extremely volatile
- Technical Analysis Limitations: No indicator is 100% accurate
- Leverage Warning: Using leverage amplifies both profits and losses
User Responsibilities:
- Personal Research: Always conduct independent analysis
- Risk Assessment: Only trade with money you can afford to lose
- Position Sizing: Use appropriate risk management for your account size
- Market Knowledge: Understand the markets you're trading
- Professional Advice: Consult financial advisors when needed
Legal Disclaimer:
- This tool provides analysis, not investment advice
- Users are solely responsible for trading decisions
- No warranty is provided regarding accuracy or profitability
- Historical results do not guarantee future performance
- Seek professional guidance for investment decisions
Support and Development
Continuous Improvement:
This indicator is actively maintained and updated to ensure:
- Compatibility with TradingView platform changes
- Bug fixes and performance optimizations
- Feature enhancements based on user feedback
- Documentation updates and educational content
Conclusion
The "Golden Duck Runner With Targets" represents a comprehensive approach to technical analysis that combines trend following, pullback timing, and adaptive risk management. Its automatic cleanup functionality and professional visual design make it suitable for traders of all experience levels who demand precision and reliability in their analytical tools.
By focusing on high-probability setups with excellent risk-reward ratios, this indicator helps traders develop disciplined trading habits while providing the flexibility to adapt to various market conditions and trading styles.
Remember: Successful trading requires patience, discipline, and continuous learning. This tool provides the analysis - the trading decisions and their consequences remain entirely with the user.
Developed for serious traders who demand precision, reliability, and professional-grade risk management with clean, clutter-free chart visualization.
Golden Duck Runner With TargetsGolden Duck Runner With Targets - Advanced EMA Pullback Strategy with Dynamic Risk Management
The "Golden Duck Runner With Targets" is a sophisticated technical analysis indicator designed for active traders seeking precise entry and exit points in fast-moving markets. This indicator combines dual EMA trend analysis with pullback detection and implements a comprehensive risk management system based on candle size calculations with automatic position cleanup functionality.
Key Features
Dual EMA System
- Fast EMA (18-period): Golden line (linewidth=2) that tracks short-term price momentum
- Trend Filter EMA (111-period): Extra thick line (linewidth=4) for major trend identification
- Blue: Bullish trend (Fast EMA > Slow EMA)
- Red: Bearish trend (Fast EMA < Slow EMA)
Advanced Signal Generation
The indicator employs a sophisticated pullback detection algorithm that ensures high-probability entries:
Long Signal Requirements:
- Market must be in uptrend (18 EMA > 111 EMA)
- Price must pull back below the 18 EMA while staying above the 111 EMA
- Price must then close back above the 18 EMA with bullish momentum
- No duplicate signals until position is closed
Short Signal Requirements:
- Market must be in downtrend (18 EMA < 111 EMA)
- Price must pull back above the 18 EMA while staying below the 111 EMA
- Price must then close back below the 18 EMA with bearish momentum
- No duplicate signals until position is closed
This methodology ensures traders enter positions only after proper trend confirmation and healthy pullback completion. Dynamic Risk Management System
Unlike static risk management approaches, this indicator calculates Stop Loss and Take Profit levels based on the actual volatility of the entry candle, providing adaptive risk management:
Risk Levels (Based on Entry Candle Size):
- Stop Loss: 2x entry candle size (providing adequate breathing room)
- Take Profit 1: 3x entry candle size (1.5:1 reward-to-risk ratio)
- Take Profit 2: 5x entry candle size (2.5:1 reward-to-risk ratio)
- Take Profit 3: 8x entry candle size (4:1 reward-to-risk ratio)
Automatic Position Management
Clean Chart Technology:
- Positions automatically close when TP3 or Stop Loss levels are hit
- All risk management lines are automatically removed upon trade completion
- Charts remain clean and focused on active opportunities only
- Maximum holding period of 20 bars prevents stale signals
Visual Elements
- Golden Entry Level: Clearly marks your exact entry price
- Color-Coded Risk Lines: Dark red for stop loss, blue for take profits
- Golden Arrow Signals: Easy-to-spot entry points with BUY/SELL labels
- Entry Candle Highlighting: Gold-colored candles mark signal bars
- Information Dashboard: Real-time display of trend direction, position status, entry price, and bars held
- Professional Color Scheme: Consistent golden theme throughout
Trading Applications
Best Suited For:
- Scalping: Short-term trades in liquid markets (1-5 minute charts)
- Day Trading: Intraday momentum plays (15-minute to 1-hour charts)
- Swing Trading: Multi-day position holding (4-hour to daily charts)
- Forex Markets: Major currency pairs with good liquidity
- Stock Trading: High-volume equities and indices
- Cryptocurrency: Bitcoin, Ethereum, and major altcoins
- Commodities: Gold, Silver, Oil, and other liquid futures
Optimal Market Conditions:
- Trending Markets: Works best when clear trend direction is established
- Moderate Volatility: Candle-based risk management adapts to market conditions
- Liquid Markets: Ensures accurate execution at calculated levels
- Session Overlaps: Forex majors during London/New York overlap
- News-Driven Moves: Captures momentum after fundamental catalysts
Risk Management Philosophy
This indicator implements a position sizing approach that adapts to market volatility through several key principles:
Adaptive Risk Calculation:
- Risk levels scale with actual market volatility (candle size)
- Larger candles = wider stops and targets
- Smaller candles = tighter risk management
- Maintains consistent risk-reward ratios across all market conditions
Professional Exit Strategy:
- Multiple take profit levels allow for position scaling
- Automatic cleanup prevents chart clutter
- Real-time monitoring of all risk levels
- Maximum 20-bar holding period prevents overholding
Market-Neutral Approach:
- Works equally well in bull and bear markets
- Trend-following methodology captures major moves
- Pullback timing ensures favorable entry prices
Usage Instructions
Setup Phase:
1. Apply to Chart: Add indicator to your preferred timeframe
2. Verify Settings: Confirm EMA periods (18 and 111) suit your style
3. Enable Alerts: Set up TradingView alerts for entry signals
4. Plan Position Size: Determine risk per trade before signals appear
Signal Identification:
1. Trend Confirmation: Monitor EMA colors and positioning
- Bullish Setup: 18 EMA (golden) above 111 EMA (blue)
- Bearish Setup: 18 EMA (golden) below 111 EMA (red)
2. Wait for Pullback: Price must retrace to 18 EMA level
- Long: Price pulls back below 18 EMA but stays above 111 EMA
- Short: Price pulls back above 18 EMA but stays below 111 EMA
3. Entry Confirmation: Golden arrow appears when conditions are met
- BUY signal: Price closes back above 18 EMA with momentum
- SELL signal: Price closes back below 18 EMA with momentum
Position Management:
1. Entry Execution: Enter trade at signal candle close price
2. Risk Placement: Use provided stop loss level (dark red line)
3. Profit Taking: Scale out at blue TP levels (TP1: 3x, TP2: 5x, TP3: 8x)
4. Position Monitoring: Watch dashboard for trade status and duration
Exit Management:
- Automatic Cleanup: Lines disappear when TP3 or SL is hit
- Time Exit: Position closes after 20 bars if targets not reached
- Manual Override: Traders can exit earlier based on discretion
Advanced Features
Pullback Quality Control
The indicator uses sophisticated logic to ensure only high-quality setups:
- Trend Structure Validation: Pullbacks must respect major trend EMAs
- Momentum Confirmation: Requires decisive close through 18 EMA
- No Whipsaw Protection: Prevents signals during choppy conditions
- Duplicate Prevention: Only one signal per trend move
Real-Time Monitoring System
- Live Position Tracking: Dashboard shows current status
- Automatic Level Updates: Lines adjust to current bar position
- Alert Integration: Built-in notifications for all signal types
- Performance Metrics: Entry price and duration tracking
Customization Options
Display Controls:
- Toggle Fast EMA visibility
- Toggle Trend Filter EMA visibility
- Enable/disable signal arrows
- Show/hide information dashboard
Parameter Adjustment:
- Modify Fast EMA period (default: 18)
- Adjust Trend Filter EMA period (default: 111)
- Customize alert messages
Market Analysis Benefits
Trend Following Advantage:
- Captures major directional moves early
- Avoids counter-trend trades in strong markets
- Adapts to changing market conditions automatically
Timing Optimization:
- Enters after healthy pullbacks for better prices
- Avoids chasing momentum at extremes
- Provides multiple profit-taking opportunities
Risk Control:
- Volatility-adjusted stop losses prevent random exits
- Excellent risk-reward ratios (up to 4:1)
- Automatic position management reduces emotional decisions
Educational Value
This indicator serves as an excellent learning tool for understanding:
Technical Analysis Concepts:
- EMA crossover strategies and trend identification
- Pullback trading methodology and timing
- Support and resistance level recognition
- Momentum confirmation techniques
Risk Management Principles:
- Position sizing based on market volatility
- Multiple take profit level strategies
- Stop loss placement using market structure
- Time-based exit rules
Trading Psychology:
- Systematic approach reduces emotional trading
- Clear rules for entry and exit decisions
- Patience waiting for quality setups
- Disciplined risk management practices
Performance Optimization Tips
Timeframe Selection:
- Lower Timeframes (1-15m): More signals, requires faster execution
- Higher Timeframes (1h-4h): Fewer but higher quality signals
- Daily Charts: Swing trading with excellent risk-reward ratios
Market Selection:
- High Liquidity: Ensures accurate execution at calculated levels
- Trending Assets: Maximizes strategy effectiveness
- Volatile Periods: Provides larger profit targets
- Session Timing: Trade during active market hours
Risk Management:
- Never risk more than 1-2% of account per trade
- Use position sizing that allows for multiple concurrent trades
- Consider correlation between instruments when trading multiple markets
- Maintain trading journal to track performance
Backtesting and Validation
Historical Performance Analysis:
Users are encouraged to conduct thorough backtesting across different:
- Market conditions (trending vs. ranging)
- Volatility environments (high vs. low)
- Time periods (various years and seasons)
- Asset classes (forex, stocks, crypto, commodities)
Forward Testing Recommendations:
- Start with paper trading to understand signal timing
- Use small position sizes during learning phase
- Track all trades for performance analysis
- Gradually increase position size as confidence builds
Technical Specifications
Pine Script Details:
- Version: Pine Script v5
- Chart Type: Overlay indicator
- Resource Limits: max_lines_count=500, max_labels_count=500
- Repainting: Non-repainting signals (confirmed on bar close)
- Real-time Updates: Yes, with live dashboard
- Alert Compatibility: Full TradingView alert support
System Requirements:
- TradingView account (Basic or higher recommended)
- Stable internet connection for real-time data
- Compatible with all TradingView supported markets
- Works on desktop, mobile, and web platforms
Disclaimer and Risk Warning
IMPORTANT: This indicator is designed for educational and analytical purposes only.
Risk Acknowledgment:
- No Guarantee of Profits: Past performance does not predict future results
- Substantial Risk of Loss: Trading involves risk and is not suitable for all investors
- Market Volatility: Cryptocurrency and forex markets can be extremely volatile
- Technical Analysis Limitations: No indicator is 100% accurate
- Leverage Warning: Using leverage amplifies both profits and losses
User Responsibilities:
- Personal Research: Always conduct independent analysis
- Risk Assessment: Only trade with money you can afford to lose
- Position Sizing: Use appropriate risk management for your account size
- Market Knowledge: Understand the markets you're trading
- Professional Advice: Consult financial advisors when needed
Legal Disclaimer:
- This tool provides analysis, not investment advice
- Users are solely responsible for trading decisions
- No warranty is provided regarding accuracy or profitability
- Historical results do not guarantee future performance
- Seek professional guidance for investment decisions
Support and Development
Continuous Improvement:
This indicator is actively maintained and updated to ensure:
- Compatibility with TradingView platform changes
- Bug fixes and performance optimizations
- Feature enhancements based on user feedback
- Documentation updates and educational content
Conclusion
The "Golden Duck Runner With Targets" represents a comprehensive approach to technical analysis that combines trend following, pullback timing, and adaptive risk management. Its automatic cleanup functionality and professional visual design make it suitable for traders of all experience levels who demand precision and reliability in their analytical tools.
By focusing on high-probability setups with excellent risk-reward ratios, this indicator helps traders develop disciplined trading habits while providing the flexibility to adapt to various market conditions and trading styles.
Remember: Successful trading requires patience, discipline, and continuous learning. This tool provides the analysis - the trading decisions and their consequences remain entirely with the user.
Developed for serious traders who demand precision, reliability, and professional-grade risk management with clean, clutter-free chart visualization.
Lucid Lion Entry Sniper V1The Lucid Lion Entry Sniper V1 is not your average indicator — it’s your private trading edge, built to help you pinpoint high-probability entries with laser accuracy. Designed for serious traders, this invite-only tool gives you the clarity you need to act with confidence in fast-moving markets
The Entry Sniper analyzes multiple layers of price action and market behavior to highlight potential setups in real-time. When conditions align, you get instant visual cues right on your chart — helping you react faster and with greater confidence.
This tool is invite-only and is not available in the TradingView public library.
To request access send and email to: LucidLionLLC@icloud.com
Trading involves risk. The Lucid Lion Entry Sniper V1 is designed as a market analysis tool to support your decision-making process — it does not guarantee profits. Always trade responsibly and manage your risk.
EMAS + SuperTrend+ Key Levels SpacemanBTC IDWMEma 200 800 supertrend and key levels.
Thanks to spaceman for making the code available.
RCI Buy/Sell Signals RCI Buy/Sell Signals — Dual-RCI State Machine with EMA Bias (Protected)
A purpose-built signal tool that combines two RCI horizons with a deterministic state machine and an EMA-based background bias. It is not a simple mashup: the components are designed to work together so that trend context, timing, and exits form a coherent workflow.
The code remains closed-source to protect a proprietary implementation; this description explains what it does and how the pieces interact so traders can evaluate it.
What it does
On-chart signals: Marks potential BUY/SELL entries and EXITs directly on the chart (markers are drawn with a −1 bar offset for readability).
Trend bias at a glance: Background shading reflects EMA context:
Green when price is above both EMA1 and EMA2
Red when price is below both EMA1 and EMA2
No shading otherwise
(EMA lengths and timeframes are user-configurable.)
Deterministic state machine: Ensures only one active side at a time (flat → long/short → exit), so entries/exits do not overlap or contradict each other.
How it works (conceptual)
Two-horizon RCI framework:
A MID-RCI monitors regime transitions using mid-range thresholds.
A LONG-RCI acts as a slower directional filter/validator.
Two timing modes (you can enable either or both):
Steadily — MID-RCI transitions across mid-band thresholds (e.g., around −50/50) govern entries; LONG-RCI direction is used to confirm/align.
Above — LONG-RCI crosses its pivotal level (around zero) with directional agreement.
These modes are integrated—not stacked randomly—so that one provides timing, the other directional context.
Exits & risk guard: Exits trigger on MID-RCI reaching extreme bands (e.g., ±85) or when price violates a simple N-bar extremum stop (default: 20-bar low/high), whichever comes first. This makes exits explicit rather than relying on a trailing overlay.
Why this is not “just a merge”
The EMAs are not a separate indicator pasted on top; they only provide a binary bias that gates background shading and helps filter entries visually.
The RCI pair is functionally split (timing vs. confirmation) and then synchronized through a state machine that prevents conflicting signals and enforces clean transitions.
The script ships with signal placement discipline (−1 offset markers for clarity) and built-in exit logic based on RCI extremes plus a simple context stop—an integrated design choice, not an ad-hoc mix.
Inputs (overview)
Display: Show Entry Signals / Show Exit Signals / Show Background
Context: EMA1/EMA2 lengths & timeframes (background bias only)
RCI: Long/Mid lengths and source
How to use
Apply the script on a clean chart (no other indicators unless you explain why).
Use the background color as high-level bias, then use the on-chart signals for timing.
Optionally set alerts with “Any alert() function call” to receive signal notifications.
Confirm with your own risk management, liquidity checks, and higher-timeframe confluence.
Notes on publication (for moderators & traders)
Closed-source rationale: The specific RCI ranking/threshold scheme and the state-machine selection logic are part of ongoing proprietary research; the code is protected.
This description details the concepts and interactions sufficiently to understand what the script does and how components work together, while preserving implementation specifics.
Disclaimer
For educational/informational purposes only; not financial advice. Test thoroughly before live use. Trading involves risk.
Infinite EMA with Alpha Control♾️ Infinite EMA with Alpha Control
What Makes This EMA "Infinite"?
Unlike traditional EMA indicators that are limited to typical periods (1-5000), this Infinite EMA breaks all boundaries. You can create EMAs with periods of 1,000, 10,000, or even 1,000,000 bars - that's why it's called "infinite"! Also Infinite EMA starts working immediately from the very first bar on your chart
Why This EMA is "Infinite":
1. Mathematically: When N → ∞, alpha → 0, meaning infinitely long "memory"
2. Practically: You can set any period - even 100,000 bars
3. Flexibility: Alpha allows precise control over the "forgetting speed"
How Does It Work?
The magic lies in the Alpha parameter. While regular EMAs use fixed formulas, this indicator gives you direct control over the EMA's "memory" through Alpha values:
• High Alpha (0.1-0.2): Fast reaction, short memory
• Medium Alpha (0.01-0.05): Balanced response
• Low Alpha (0.0001-0.001): Extremely slow reaction, very long memory
• Ultra-low Alpha (0.000001): Almost frozen in time
The Mathematical Formula:
Alpha = 2 / (Period + 1)
This means you can achieve any EMA period by adjusting Alpha, giving you infinite flexibility!
Expanded "Infinite EMA" Table:
Period EMA (N) - Alpha (Rounded) - Alpha (Exact) - Description
10 - 0.1818 - 0.181818... - Fast EMA
20 - 0.0952 - 0.095238... - Short-term
50 - 0.0392 - 0.039215... - Medium-term
100 - 0.0198 - 0.019801... - Long-term
200 - 0.0100 - 0.009950... - Standard long-term
500 - 0.0040 - 0.003996... - Very long-term
1,000 - 0.0020 - 0.001998... - Super long-term
2,000 - 0.0010 - 0.000999... - Ultra long-term
5,000 - 0.0004 - 0.000399... - Mega long-term
10,000 - 0.0002 - 0.000199... - Giga long-term
25,000 - 0.00008 - 0.000079... - Century-scale EMA
50,000 - 0.00004 - 0.000039... - Practically motionless
100,000 - 0.00002 - 0.000019... - "Glacial" EMA
500,000 - 0.000004 - 0.000003... - Geological timescale
1,000,000 - 0.000002 - 0.000001... - Approaching constant
5,000,000 - 0.0000004 - 0.0000003... - Virtually static
10,000,000 - 0.0000002 - 0.0000001... - Nearly flat line
100,000,000 - 0.00000002 - 0.00000001... - Mathematical infinity
Formula: Alpha = 2/(N+1) where N is the EMA period
Key Features:
Dual EMA System: Run fast and slow EMAs simultaneously
Crossover Signals: Automatic buy/sell signals with customizable alerts
Alpha Control: Direct mathematical control over EMA behavior
Infinite Periods: From 1 to 100,000,000+ bars
Visual Customization: Colors, fills, backgrounds, signal sizes
Instant Start: Works accurately from the very first bar
Update Intervals: Control calculation frequency for noise reduction
Why Choose Infinite EMA?
1. Unlimited Flexibility: Any period you can imagine
2. Mathematical Precision: Direct alpha control for exact behavior
3. Professional Grade: Suitable for all trading styles
4. Easy to Use: Simple settings with powerful results
5. No Warm-up Period: Accurate values from bar #1
Simple Explanation:
Think of EMA as a "memory system":
• High Alpha = Short memory (forgets quickly, reacts fast)
• Low Alpha = Long memory (remembers everything, moves slowly)
With Infinite EMA, you can set the "memory length" to anything from seconds to centuries!
⚡ Instant Start Feature - EMA from First Bar
Immediate Calculation from Bar #1
Unlike traditional EMA indicators that require a "warm-up period" of N bars before showing accurate values, Infinite EMA starts working immediately from the very first bar on your chart.
How It Works:
Traditional EMA Problem:
• Standard 200-period EMA: Needs 200+ bars to become accurate
• First 200 bars: Shows incorrect/unstable values
• Result: Large portions of historical data are unusable
Infinite EMA Solution:
Bar #1: EMA = Current Price (perfect starting point)
Bar #2: EMA = Alpha × Price + (1-Alpha) × Previous EMA
Bar #3: EMA = Alpha × Price + (1-Alpha) × Previous EMA
...and so on
Key Benefits:
No Warm-up Period: Start trading signals from day one
Full Chart Coverage: Every bar has a valid EMA value
Historical Accuracy: Backtesting works on entire dataset
New Markets: Works perfectly on newly listed assets
Short Datasets: Effective even with limited historical data
Practical Impact:
Scenario Traditional EMA Infinite EMA
New cryptocurrency Unusable for first 200 days ✅ Works from day 1
Limited data (< 200 bars) Inaccurate values ✅ Fully functional
Backtesting Must skip first 200 bars ✅ Test entire history
Real-time trading Wait for stabilization ✅ Trade immediately
Technical Implementation:
if barstate.isfirst
EMA := currentPrice // Perfect initialization
else
EMA := alpha × currentPrice + (1-alpha) × previousEMA
This smart initialization ensures mathematical accuracy from the very first calculation, eliminating the traditional EMA "ramp-up" problem.
Why This Matters:
For Backesters: Use 100% of available data
For Live Trading: Get signals immediately on any timeframe
For Researchers: Analyze complete datasets without gaps
Bottom Line: Infinite EMA is ready to work the moment you add it to your chart - no waiting, no warm-up, no exceptions!
Unlike traditional EMAs that require a "warm-up period" of 200+ bars before showing accurate values, Infinite EMA starts working immediately from bar #1.
This breakthrough eliminates the common problem where the first portion of your chart shows unreliable EMA data. Whether you're analyzing a newly listed cryptocurrency, working with limited historical data, or backtesting strategies, every single bar provides mathematically accurate EMA values.
No more waiting periods, no more unusable data sections - just instant, reliable trend analysis from the moment you apply the indicator to any chart.
🔄 Update Interval Bars Feature
The Update Interval feature allows you to control how frequently the EMA recalculates, providing flexible noise filtering without changing the core mathematics.
Set to 1 for standard behavior (updates every bar), or increase to 5-10 for smoother signals that update less frequently. Higher intervals reduce market noise and false signals but introduce slightly more lag. This is particularly useful on volatile timeframes where you want the EMA's directional bias without every minor price fluctuation affecting the calculation.
Perfect for swing traders who prefer cleaner, more stable trend lines over hyper-responsive indicators.
Conclusion
The Infinite EMA transforms the traditional EMA from a fixed-period tool into a precision instrument with unlimited flexibility. By understanding the Alpha-Period relationship, traders can create custom EMAs that perfectly match their trading style, timeframe, and market conditions.
The "infinite" nature comes from the ability to set any period imaginable - from ultra-fast 2-bar EMAs to glacially slow 10-million-bar EMAs, all controlled through a single Alpha parameter.
________________________________________
Whether you're a beginner looking for simple trend following or a professional researcher analyzing century-long patterns, Infinite EMA adapts to your needs. The power of infinite periods is now in your hands! 🚀
Go forward to the horizon. When you reach it, a new one will open up.
- J. P. Morgan
Multi EMA/SMA with labels of period and timeframe(Any timeframe)Now you can select anykind of Moving Averages(SMA/EMA) with any period AND anytime frame.Specially for those who love to work with multi moving averages. In addition to MAs you dont need to confuse with the lines as all MA lines will have timeframe and period in front of them
Multi EMA/SMA with labels (Any timeframe)Now you can select anykind of Moving Averages(SMA/EMA) with any period AND anytime frame.Specially for those who love to work with multi moving averages
Multi EMA/SMA with labels (Any timeframe)Now you can select anykind of Moving Averages(SMA/EMA) with any period AND anytime frame.Specially for those who love to work with multi moving averages
Multi EMA/SMA with labels (Any timeframe)Now you can select anykind of Moving Averages(SMA/EMA) with any period AND anytime frame.Specially for those who love to work with multi moving averages
EMA's Rainbow: 5/10/20/50/100/150/200/250All major EMA's color coded to look like a rainbow, and configurable