FLOW DEPTH Price BreathingFLOW DEPTH is a visual, psychology-based indicator designed to reveal how the market breathes through phases of compression and expansion. Instead of relying on traditional trend lines or lagging indicators, it focuses on the depth of price movement around its natural balance, allowing traders to feel market rhythm rather than chase signals.
The indicator paints a smooth flow line and subtle background shading to highlight whether the market is exhaling (expansion) or inhaling (compression). This creates a calm, premium chart experience while still delivering meaningful insight into momentum and price behavior.
FLOW DEPTH is ideal for traders who prefer clean charts, visual clarity, and market structure awareness without clutter. It works especially well on XAUUSD, BTC, and major forex pairs, across intraday and swing timeframes.
🔍 How to Use
Green flow → Market is expanding (momentum phase)
Red flow → Market is compressing (rest phase)
Flow shift dots → Transition between market phases
Use FLOW DEPTH as a context tool, not a signal generator. Combine it with price action, structure, or session logic for best results.
Forex
Smart Money Structure FilterEnglish Description
Overview
Smart Money Structure Analyzer is a professional trading tool that implements Smart Money Concepts (SMC) to identify key market structure shifts, Break of Structure (BOS), and Change of Character (CHoCH) patterns. This indicator helps traders follow the "smart money" flow by detecting institutional order flow patterns on any timeframe.
Key Features
Swing Point Detection - Identifies significant highs and lows using fractal-based logic
Market Structure Analysis - Classifies market conditions as Uptrend, Downtrend, or Consolidation
Break of Structure (BOS) - Detects when price breaks key structural levels
Change of Character (CHoCH) - Identifies potential trend reversals
Mitigation Levels - Shows potential retracement targets after structure breaks
How It Works
The indicator analyzes price action through several layers:
Swing Detection Algorithm
Uses a configurable swing period (3-21 bars)
Identifies valid swing highs and lows that are confirmed by surrounding price action
Stores the last 20 swings for structure analysis
Structure Determination
Uptrend: Higher Highs (HH) + Higher Lows (HL)
Downtrend: Lower Lows (LL) + Lower Highs (LH)
Consolidation: Mixed structure or ranging market
Break of Structure (BOS) Logic
Bearish BOS: Price closes below the last confirmed Higher Low (HL)
Bullish BOS: Price closes above the last confirmed Lower High (LH)
Change of Character (CHoCH) Logic
Bearish CHoCH: After a bearish BOS, price forms a Lower Low (confirms trend reversal)
Bullish CHoCH: After a bullish BOS, price forms a Higher High (confirms trend reversal)
Mitigation Levels
Calculates potential retracement levels after BOS (typically ±0.2% from broken structure)
Visual Elements
Fractals: Swing points (optional display)
Structure Lines: Last Higher Low (blue) and Last Lower High (purple)
BOS Signals: Triangles marking structure breaks
CHoCH Signals: Circles confirming trend changes
Mitigation Levels: Dotted orange lines for potential retracements
Info Label: Real-time structure status and key levels
Alerts
The indicator provides alerts for:
Break of Structure (BOS) events
Change of Character (CHoCH) confirmations
Settings
Swing Period: Sensitivity of swing detection (default: 3)
Show Fractals: Toggle swing point markers
Show Structure Lines: Display key structure levels
Show Break of Structure: Display BOS signals
Show Change of Character: Display CHoCH signals
Show Mitigation Levels: Display retracement levels
Best Practices
Use on higher timeframes (1H+) for more reliable signals
Combine with volume analysis for confirmation
Wait for CHoCH confirmation before entering trades
Use mitigation levels as potential entry zones
Русское описание
Обзор
Smart Money Structure Analyzer - профессиональный торговый инструмент, реализующий концепции Smart Money (SMC) для определения ключевых сдвигов рыночной структуры, Break of Structure (BOS) и Change of Character (CHoCH). Индикатор помогает отслеживать поток "умных денег", выявляя паттерны институционального ордерного потока на любом таймфрейме.
Ключевые возможности
Определение свингов - Выявляет значимые максимумы и минимумы с помощью фрактальной логики
Анализ структуры рынка - Классифицирует состояние рынка: Восходящий тренд, Нисходящий тренд или Консолидация
Break of Structure (BOS) - Обнаружение пробития ключевых уровней структуры
Change of Character (CHoCH) - Определение потенциальных разворотов тренда
Уровни митигации - Показывает потенциальные цели отката после пробоя структуры
Принцип работы
Индикатор анализирует ценовое действие через несколько уровней:
Алгоритм определения свингов
Использует настраиваемый период свинга (3-21 свечи)
Определяет валидные максимумы и минимумы, подтвержденные окружающим движением цены
Сохраняет последние 20 свингов для анализа структуры
Определение структуры
Восходящий тренд: Higher Highs (HH) + Higher Lows (HL)
Нисходящий тренд: Lower Lows (LL) + Lower Highs (LH)
Консолидация: Смешанная структура или флет
Логика Break of Structure (BOS)
Медвежий BOS: Цена закрывается ниже последнего Higher Low (HL)
Бычий BOS: Цена закрывается выше последнего Lower High (LH)
Логика Change of Character (CHoCH)
Медвежий CHoCH: После медвежьего BOS формируется Lower Low (подтверждает разворот)
Бычий CHoCH: После бычьего BOS формируется Higher High (подтверждает разворот)
Уровни митигации
Расчет потенциальных уровней отката после BOS (обычно ±0.2% от сломанной структуры)
Визуальные элементы
Фракталы: Точки свингов (опционально)
Линии структуры: Последний Higher Low (синий) и последний Lower High (фиолетовый)
Сигналы BOS: Треугольники, отмечающие пробой структуры
Сигналы CHoCH: Круги, подтверждающие изменение тренда
Уровни митигации: Пунктирные оранжевые линии для потенциальных откатов
Инфо-метка: Статус структуры и ключевые уровни в реальном времени
Оповещения
Индикатор предоставляет алерты для:
Событий Break of Structure (BOS)
Подтверждений Change of Character (CHoCH)
Настройки
Период свинга: Чувствительность определения свингов (по умолчанию: 3)
Показывать фракталы: Включение/выключение маркеров свингов
Показывать линии структуры: Отображение ключевых уровней структуры
Показывать Break of Structure: Отображение сигналов BOS
Показывать Change of Character: Отображение сигналов CHoCH
Показывать уровни митигации: Отображение уровней отката
Рекомендации по использованию
Используйте на старших таймфреймах (1H+) для более надежных сигналов
Комбинируйте с анализом объема для подтверждения
Ждите подтверждения CHoCH перед входом в сделку
Используйте уровни митигации как потенциальные зоны входа
Технические особенности
Максимальное количество меток: 500
Работает на любых таймфреймах
Не перерисовывает прошлые сигналы
Эффективно использует ресурсы благодаря ограничению хранения свингов
Индикатор предназначен для трейдеров, работающих с Price Action и концепциями Smart Money, и помогает систематизировать анализ рыночной структуры в соответствии с подходами институциональных трейдеров.
Smart Money Sessions + Liquidity + FVGSmart Money Sessions + Liquidity + Fair Value Gap is a clean and professional price-action based indicator designed for Gold (XAUUSD) and Forex traders who follow Smart Money Concepts (SMC) and ICT methodology.
This indicator focuses on where liquidity is taken, when structure shifts, and where imbalance (FVG) is created, without cluttering the chart or repainting signals.
🔍 Key Features
🕒 Session High & Low (Killzones)
Automatically plots Asia, London, and New York session highs and lows
Helps identify:
Asia range manipulation
London fakeouts
New York continuations
💧 Liquidity Sweep Detection
Detects wick-based liquidity grabs
Highlights areas where stop-losses are likely taken
Ideal for spotting smart money entries
🔁 Market Structure Shift (MSS)
Simple and clean bullish & bearish structure shifts
Helps confirm trend continuation or reversal
Non-repainting logic
📦 Fair Value Gap (FVG)
Uses true 3-candle imbalance logic
Highlights bullish and bearish FVG zones
Clean visualization without over-plotting
✅ Why This Indicator?
❌ No repainting
❌ No lagging indicators
❌ No unnecessary colors
✅ Based purely on price action
✅ Beginner-friendly & professional-grade
✅ Optimized for Gold (XAUUSD)
🎯 Best Use Cases
Gold scalping & intraday trading
London & New York session trades
Liquidity-based entries
ICT / Smart Money strategies
⚠️ Disclaimer
This indicator is a visual analysis tool, not a buy/sell signal generator.
Always combine it with proper risk management and your own trading plan.
PSP with Color ThemesEnglish Description
The PSP with Color Themes indicator is a sophisticated tool for detecting price swing divergences between the current trading instrument and a selected reference asset. This indicator implements PSP (Price Swing Divergence) logic to identify moments when price movements between two correlated assets diverge from their typical relationship. Traders can select from multiple professionally designed color themes or customize their own color scheme, with adjustable opacity for optimal chart visibility. The core functionality compares candlestick patterns between the current chart and the reference symbol, highlighting bullish signals when the current asset rises while the reference falls (or vice versa in inverse mode). This divergence detection helps identify potential momentum shifts and trading opportunities before they become apparent in single-asset analysis. The indicator offers flexible configuration including inverse correlation mode for negatively correlated pairs and a clean visual presentation that doesn't clutter the price chart while providing immediate visual cues through colored candlesticks.
Русское описание
Индикатор PSP с цветовыми темами представляет собой продвинутый инструмент для обнаружения дивергенций колебаний цены между текущим торговым инструментом и выбранным эталонным активом. Этот индикатор реализует логику PSP (Price Swing Divergence) для выявления моментов, когда движения цен между двумя коррелирующими активами отклоняются от их типичной взаимосвязи. Трейдеры могут выбирать из нескольких профессионально разработанных цветовых тем или настраивать собственную цветовую схему с регулируемой прозрачностью для оптимальной видимости на графике. Основная функция сравнивает свечные модели между текущим графиком и эталонным символом, выделяя бычьи сигналы, когда текущий актив растет, а эталонный падает (или наоборот в инверсном режиме). Это обнаружение дивергенций помогает выявить потенциальные сдвиги импульса и торговые возможности до того, как они станут очевидными при анализе одного актива. Индикатор предлагает гибкую настройку, включая режим обратной корреляции для отрицательно коррелированных пар, и чистое визуальное представление, которое не загромождает ценовой график, обеспечивая при этом мгновенные визуальные подсказки через окрашенные свечи.
Cinematic Session Fade [Pro]🎬 Cinematic Session Fade — A Clean Way to See Market Mood
This indicator is designed to enhance visual clarity, not clutter your chart.
Instead of adding more lines, boxes, or signals, it uses soft cinematic session shading to show how market behavior naturally changes throughout the day.
🌍 Session-Based Market Atmosphere
Asia Session (Calm Blue)
Represents balance, low volatility, and range-building conditions.
London Session (Warm Gold)
Highlights the transition phase where momentum often starts to build.
New York Session (Deep Red)
Emphasizes decision-making hours, volatility, and directional moves.
The session colors fade smoothly in the background, creating a professional and distraction-free viewing experience.
🎨 Why This Indicator Looks Clean & Professional
No indicators stacked on price
No buy/sell arrows or noisy labels
Soft, eye-friendly background shading
Clean candle colors for clear price focus
Optimized for dark mode charts
This makes the chart easy to read, easy on the eyes, and visually attractive for both analysis and screenshots.
🧠 How Traders Use It
Identify which session the market is in at a glance
Adjust expectations for volatility and behavior
Combine with your own strategy (structure, SMC, trend, or price action)
Perfect for education, market commentary, and clean chart presentations
📈 Best Markets
Forex
Gold (XAUUSD)
Bitcoin & Crypto
Indices
🎯 Final Note
This tool does not predict price.
It simply provides context and atmosphere, helping traders stay aligned with market rhythm while keeping charts elegant and professional.
If you value clarity over clutter, this indicator is built for you.
Engulfing Bar Paradigm [Blaz]Version 1.0 – Published Jan 2026: Initial release
1. Overview & Purpose
The Engulfing Bar Paradigm (EBP) is a multi-timeframe price-action tool built to help traders identify important engulfing candles on higher timeframes and use them to define daily market bias and structure.
At its core, the indicator detects strong high-timeframe engulfing candles. These are candles where price takes one side of the previous candle’s range and closes beyond its body, suggesting a shift in control. When this happens, it provides a structural reference that traders use to interpret directional context, making these candles useful for setting bias rather than reacting to short-term noise.
Once an EBP forms, the indicator automatically highlights and measures the key parts of that engulfing move. This helps traders understand how price is behaving after the displacement and how structure develops across lower timeframes.
The indicator is designed to work across multiple asset classes and timeframes, allowing traders to align intraday price action with higher-timeframe intent. It does not provide buy or sell signals. Instead, it offers a structured way to read the market, build bias, and make more informed decisions based on price behaviour and context.
2. Core Functionality & Key Features
The Engulfing Bar Play (EBP) is built around a mechanical and rule-based interpretation of engulfing price action, enhanced through multi-timeframe analysis and contextual structure mapping.
2.1. High-Timeframe Engulfing Detection
The indicator monitors a user-selected higher timeframe and automatically identifies valid bullish and bearish engulfing candles. These engulfing moves represent strong participation and often mark areas where control shifts in the market. Each detected EBP acts as a reference point for bias and subsequent price interaction.
2.2. Directional Bias Control
Users can choose to display bullish only, bearish only, or both types of setups. This helps traders stay aligned with their intended market bias and avoid distractions from opposing setups.
2.3. Engulfing Range Mapping
Once an EBP forms, the indicator plots the full engulfing range and divides it into four equal sections (quartiles). These levels help traders understand how price interacts within the range and where reactions are more likely to occur.
2.4. Fair Value Gaps (FVGs) Inside the EBP
The indicator detects Fair Value Gaps created during the engulfing move. These gaps highlight areas of imbalance where price may later react. Traders can choose whether to display mitigated and unmitigated gaps for cleaner analysis.
2.5. Expansion Projections
Optional projection levels extend beyond the engulfing range, helping traders frame potential continuation or expansion once price moves away from the structure. These levels are intended to support expectations, not predictions.
2.6. Session Liquidity Integration
EBPs can be filtered to appear only after session liquidity has been taken, allowing traders to focus on engulfing structures that occur after stop-runs or range sweeps. Multiple session windows are supported, with built-in checks to ensure logical use.
2.7. Advanced HTF Candle Visualisation
To improve clarity, the indicator includes a higher-timeframe candle display, showing multiple HTF candles directly on the chart. This helps traders stay aware of where price is trading within the broader context.
Displayed elements include:
HTF candle bodies and wicks
HTF open
HTF Fair Value Gaps
HTF Volume imbalances
Chosen EBP timeframe label
Clear time labels for orientation
2.8. Built-In Safeguards
The indicator automatically validates timeframe relationships and session settings. If an invalid configuration is detected, features are disabled and a warning is shown, helping traders maintain clean and reliable analysis.
3. How to Use the Indicator
3.1. Select the Higher Timeframe
Begin by choosing a higher timeframe for the EBP (such as Daily or 4H). This timeframe defines where the indicator will look for engulfing structures. The chosen timeframe should be equal to or higher than the chart timeframe.
3.2. Identify the Active Engulfing Structure
When a valid engulfing structure forms on the selected higher timeframe, the indicator highlights the engulfing range on the chart. This structure becomes the reference point for understanding current market conditions and directional bias.
3.3. Establish a Bias
Use the direction of the engulfing structure to frame bias for the session. A bullish engulfing structure suggests bullish intent, while a bearish structure suggests bearish intent. Bias filters can be used to display only the setups that align with your directional view.
3.4. Observe Price Interaction Within the Range
As price develops on lower timeframes, observe how it interacts with the engulfing range, its internal levels and FVGs. This helps traders assess whether price is respecting the structure, consolidating, or expanding away from it.
3.5. Use HTF Context for Intraday Navigation
The higher-timeframe candle display provides additional context by showing where current price sits relative to recent HTF opens, imbalances, and structure. This helps maintain alignment with the broader market narrative throughout the session.
3.6. Combine With Your Existing Execution Model
The EBP indicator can complement your existing strategy or execution model. It provides context and structure, allowing traders to make decisions with higher-timeframe awareness rather than reacting to short-term price fluctuations.
4. Protected Logic & Original Design
The Engulfing Bar Paradigm (EBP) is the result of original development and systematic engineering. While the concept of engulfing candles is widely known in technical analysis, the logic, structure, and implementation used in this indicator are original to this indicator’s design.
This indicator does not rely on simple candlestick comparisons. Instead, it applies a rule-based, multi-timeframe framework that evaluates engulfing behaviour within a broader structural context. The way engulfing structures are detected, filtered, measured, and visualised—along with how internal ranges, imbalances, projections, and higher-timeframe elements are handled—reflects an original design approach developed specifically for this indicator.
5. Disclaimer
This indicator is provided for educational and analytical purposes only. It does not constitute financial advice, investment recommendations, or trading signals. All trading and investment decisions remain solely the responsibility of the user.
Trading financial instruments involves substantial risk of loss. Past performance of any trading methodology or indicator does not guarantee future results. Users should conduct their own research and consider consulting with qualified financial professionals before making trading decisions.
The indicator's pattern detection is based on technical analysis principles and should be used as part of a comprehensive trading approach. No trading tool can guarantee profitable outcomes or eliminate market risk.
By using this indicator, users acknowledge they understand these risks and accept full responsibility for their trading decisions and outcomes.
Eagle Algo HyperConcept & Overview
Eagle Algo Hyper is a specialized technical analysis tool designed for scalping and trend-following strategies. It integrates trend detection with momentum filtering to identify high-probability entry zones. Unlike standard indicators that generate signals on every bar condition, this script employs a sequential "State Machine" logic. This ensures that trades are managed in a specific order (Signal -> Result -> Recovery Step) without overlapping, offering a cleaner visual representation for backtesting and live execution.
Underlying Logic
The strategy operates on a multi-stage confirmation process:
Trend Filter: The primary trend is determined using a combination of the Supertrend algorithm and a 20-period Exponential Moving Average (EMA). Long signals are only valid when the price is above the EMA and the Supertrend is bullish (and vice-versa for shorts).
Momentum Validation: To avoid false breakouts, the script utilizes RSI (Relative Strength Index) and Stochastic Oscillators. It seeks entries where momentum aligns with the trend but is not exhausted.
Volatility Filtering: An ADX (Average Directional Index) filter is included to prevent trading during flat or choppy markets. Additionally, Bollinger Bands are used to gauge relative price extremes.
Candle Strength: The script calculates the body size of the signal candle relative to the asset's tick size to ensure there is sufficient volume and conviction behind the move.
Unique Features
Sequential Signal Engine: The script uses persistent variables to track the state of a trade. If a signal is generated, the script waits for the outcome (Win/Loss) or a single-step recovery attempt (Martingale logic) before searching for a new signal.
Automated Market Structure: It automatically identifies and plots Support & Resistance zones and Order Blocks (Bullish/Bearish) based on pivot highs/lows and price action, aiding in manual analysis.
Performance Dashboard: A real-time information panel displays the total number of signals, wins, losses, and calculated accuracy based on the chart's visible history.
Settings & Customization
Traders can adjust the strategy to fit their risk profile:
Filters: Toggle ADX, Stochastic, and Bollinger Band filters on or off.
Sensitivity: Adjust the lengths for Supertrend and momentum indicators.
Visuals: Customize colors for Order Blocks and S/R zones.
Disclaimer
This tool is intended for educational purposes and market analysis. The "Accuracy" shown on the dashboard is based on historical data on the current chart and does not guarantee future performance. Traders should always use proper risk management.
Access
This is an Invite-Only script. To obtain access, please refer to the contact information provided in the Author's Signature below.
Adaptive Trend Flow (ATF)Adaptive Trend Flow (ATF) is a custom trend-following indicator designed to work reliably across all markets and all timeframes.
It uses an adaptive moving average that automatically adjusts to market conditions, combined with trend slope analysis and a volatility filter to reduce noise during ranging periods.
Unlike traditional fixed moving averages, ATF reacts faster during strong trends and slows down during consolidation, helping traders stay aligned with meaningful price movements.
🔍 How It Works
Uses an adaptive smoothing algorithm to track price efficiently
Confirms trend direction using trend slope
Filters out low-volatility and choppy conditions using ATR-based logic
Does not repaint — signals are based only on confirmed data
📊 Visual Interpretation
🟢 Green line / background → Bullish trend
🔴 Red line / background → Bearish trend
⚪ Gray → No clear trend (range / low volatility)
⚙️ Features
Works on Crypto, Forex, Stocks, Futures
Compatible with all timeframes
Optional trend-change signals
Optional background highlighting
Fully customizable inputs
Alert-ready
🎯 Best Use Cases
Trend filter for entries and exits
Directional bias for scalping, day trading, or swing trading
Strategy backbone when combined with price action or momentum tools
⚠️ Disclaimer
This indicator is for educational and analytical purposes only and does not constitute financial advice. Always manage risk appropriately.
RegimeWorks AUDUSD 4H Regime and Sessions FREEWhat this tool does
RegimeWorks applies a higher-timeframe regime filter (4H) combined with session awareness to classify market conditions as either permitted or blocked.
It shows:
• HTF regime validity (trend + volatility context)
• Directional bias (LONG / SHORT / NONE)
• Volatility state (expanding vs flat)
• Tokyo / London / New York session status
• A clear final outcome: PERMITTED or WAITING
No trade entries.
No exits.
No alerts.
Just decision-level context.
What this tool does not do
This is not a signal indicator.
It intentionally does not include:
• entry logic
• stop loss or take profit rules
• risk sizing
• automation
• strategy backtests
Execution belongs in a separate layer.
Why it exists
Most losses don’t come from bad entries —
they come from trading when no edge exists.
RegimeWorks is built around the idea that permission comes before execution.
If the regime is invalid, the correct trade is often no trade.
How to use it
Use this indicator as a gate, not a trigger.
• If the outcome is WAITING, stay flat
• If the outcome is PERMITTED, then look to your own execution rules
• Combine with your own risk management and strategy
This tool does not replace a trading system —
it protects one.
Part of a larger framework
This AUDUSD release is part of the RegimeWorks multi-market framework, which applies the same regime logic consistently across instruments.
Also available:
• USDJPY
• XAUUSD
Same philosophy. Same structure. Different markets.
RegimeWorks
Rule-based. Regime-gated. Capital-first.
Range Finder Speed CodingThis indicator is based on a Range Filter concept and helps traders identify market direction and strength.
It provides clear information about candle structure, including candle count and range behavior, which helps in understanding price movement more accurately.
The indicator is useful for spotting trend continuation and potential entry zones in ranging and trending markets.
Best suited for intraday and swing trading.
Works well on Forex, Crypto, and Stock markets.
Disclaimer:
This indicator is for educational purposes only. Trading involves risk. Please use proper risk management.
[Sumit Ingole] 200-EMA SUMIT INGOLE
Indicator Name: 200 EMA Strategy Pro
Overview
The 200-period Exponential Moving Average (EMA) is widely regarded as the "Golden Line" by professional traders and institutional investors. This indicator is a powerful tool designed to identify the long-term market trend and filter out short-term market noise.
By giving more weight to recent price data than a simple moving average, this EMA reacts more fluidly to market shifts while remaining a rock-solid trend confirmation tool.
Key Features
Trend Filter: Instantly distinguish between a Bull market and a Bear market.
Price above 200 EMA: Bullish Bias
Price below 200 EMA: Bearish Bias
Dynamic Support & Resistance: Acts as a psychological floor or ceiling where major institutions often place buy or sell orders.
Institutional Benchmark: Since many hedge funds and banks track this specific level, price reactions near the 200 EMA are often highly significant.
Reduced Lag: Optimized exponential calculation ensures you stay ahead of the curve compared to traditional lagging indicators.
How to Trade with 200 EMA
Trend Confirmation: Only look for "Buy" setups when the price is trading above the 200 EMA to ensure you are trading with the primary trend.
Mean Reversion: When the price stretches too far away from the 200 EMA, it often acts like a magnet, pulling the price back toward it.
The "Death Cross" & "Golden Cross": Use this in conjunction with shorter EMAs (like the 50 EMA) to identify major trend reversals.
Exit Strategy: Can be used as a trailing stop-loss for long-term positional trades.
Best Used On:
Timeframes: Daily (1D), 4-Hour (4H), and Weekly (1W) for maximum accuracy.
Assets: Highly effective for Stocks, Forex (Major pairs), and Crypto (BTC/ETH).
Disclaimer: This tool is for educational and analytical purposes only. Trading involves risk, and it is recommended to use this indicator alongside other technical analysis tools for better confirmation.
Liquidity Sweep Buy/Sell Setup
Liquidity Sweep Buy/Sell Setup — Multi-Timeframe FVG Confirmation
This indicator detects high-probability liquidity sweep setups and provides clear buy/sell triggers using a multi-timeframe confirmation system.
📌 Core Concept:
The indicator identifies liquidity sweeps (fake breaks of key levels) and tracks them over a customizable time window. It then confirms the setup when price reclaims the swept liquidity, generating a clean BUY/SELL trigger.
🔥 How It Works (User-Friendly, Non-Technical)
The indicator marks potential liquidity sweep zones using anchor candles and confirmation candles.
It automatically draws dynamic horizontal levels (sweep levels) and tracks them for the set number of candles.
Once price breaks the level and then reclaims it, the indicator triggers a BUY or SELL signal.
🧠 Multi-Timeframe Confirmation (FVG Based)
This indicator is built for FVG (Fair Value Gap) traders, especially those who rely on higher timeframe confirmation:
✔️ Daily FVG
Use H1 or H4 to confirm the daily FVG signal
Shows high probability entries after daily imbalance is validated on lower timeframes
✔️ Weekly FVG
Confirm weekly FVG on Daily and H4
Helps you catch major market moves with strong confirmation
✔️ H1 FVG
Confirm H1 FVG on M15 or H1
Great for intraday traders seeking fast and reliable confirmation
📌 Why Traders Love It
Automatically tracks liquidity sweeps
Provides clean triggers without clutter
Multi-timeframe confirmation built-in
Works perfectly with FVG strategies
Helps identify smart money behavior and stop hunts
🎯 Best Use Cases
Trend continuation after liquidity sweep
Reversal setups at major structure levels
Confirmation of FVGs across multiple timeframes
Filter false breaks and reduce bad entries
⚙️ Settings (Simple & Powerful)
Monitoring Window: Customize how many candles the setup remains active
Buy/Sell visibility: Toggle either side on/off
Countdown table: Shows active setups and candles left
Alert-ready: Set alerts for confirmed setups
XAUMO ECON DS OSCXAUMO — ECON DS OSC (XAUUSD)
DeltaProxy • Sweep/Reclaim • Sessions • MTF BlendNet • Dynamic Colors • BG Regimes • Alerts
Execution TF: 15m | Bias TF: 1H | Script Session TZ: Europe/London
EDUCATIONAL ONLY — Not financial advice — Not trade signals.
───────────────────────────────────────────
OVERVIEW
───────────────────────────────────────────
XAUMO — ECON DS OSC is a Demand/Supply pressure oscillator built for intraday
execution on gold. It converts candle structure + relative volume behavior into
three actionable lines (Demand, Supply, and a blended decision net), then adds
“proof layers” (session normalization, sweep/reclaim validation, imbalance
dominance filters, and MTF confluence) so you can separate real pressure from
noise.
This is NOT a “buy/sell arrow” script. It is a decision framework:
PRESSURE → PROOF → TRIGGER → ENTRY → RISK (SL1/SL2) → TARGETS (TP1/TP2)
───────────────────────────────────────────
WHAT YOU SEE ON THE CHART (3 LINES)
───────────────────────────────────────────
1) Demand (LTF) = buying pressure estimate
2) Supply (LTF) = selling pressure estimate
3) Net Blend (LTF+HTF) = decision line (institutional filter)
Definitions:
- LTF Net = Demand - Supply
- HTF Net = (HTF Demand - HTF Supply) on your chosen bias timeframe
- BlendNet = (1 - weight)*LTF Net + weight*HTF Net
Trader meaning:
- Demand above Supply = bullish pressure
- Supply above Demand = bearish pressure
- BlendNet = execution is 15m, bias is 1H (filter + confluence)
───────────────────────────────────────────
SCREENSHOT WALKTHROUGH (THE PROVIDED 15m/1H CHART)
───────────────────────────────────────────
On the attached chart:
- HTF Demand is above HTF Supply → the 1H bias is bullish
- LTF Demand stays above LTF Supply → local pressure supports the bias
- Net Blend stays positive → LTF pressure is aligned with HTF context
- “SW” markers show Sweep/Reclaim events → liquidity taken then reclaimed
- Background regimes highlight cross / net shift / sweep / dominance states
Use this to avoid one common mistake:
Do not chase tops. Wait for proof (SW/IMB) and enter on structure, not emotion.
───────────────────────────────────────────
PROOF LAYERS (WHY THIS IS NOT “JUST AN OSCILLATOR”)
───────────────────────────────────────────
1) Session Normalization (Europe/London)
Raw volume differs by session (Asia vs London vs NY). When enabled, the script
normalizes volume by session baselines so “high volume” means “high relative to
this session,” not an absolute number.
2) DeltaProxy Pressure Model (wick-aware)
For XAUUSD, wicks matter (stop-runs, liquidity grabs). DeltaProxy infers intent
from body direction + wick bias, then adjusts by ATR/spread (clamped) to avoid
fake extremes. Output is bounded for stability.
3) Sweep → Reclaim Validation (liquidity proof)
A sweep is only meaningful if price reclaims (closes back inside). You can use:
- Swing sweeps (structure)
- VWAP/VA sweeps (mean/value behavior)
- Gate sweeps (manual XAUMO levels)
- Any (broad coverage)
4) Imbalance Dominance Filter (validated triggers)
Imbalance logic confirms DOMINANCE using thresholds such as:
- ratio (Demand/Supply)
- dominance share
- z-score of net pressure vs baseline
Optional: require a sweep/reclaim proof before validating imbalance.
5) MTF BlendNet Confluence (15m execution filtered by 1H context)
The HTF net is blended into the LTF net via a weight:
Higher weight = safer/slower entries
Lower weight = faster/more aggressive entries
───────────────────────────────────────────
BACKGROUND REGIMES + MARKERS (FAST VISUAL READ)
───────────────────────────────────────────
Each background layer can be toggled ON/OFF:
BG #1 Cross (Demand/Supply) = early flips (fast, can whipsaw in chop)
BG #2 Net Cross (BlendNet) = stronger shift with HTF influence
BG #3 Sweep/Reclaim = liquidity-proof timing layer
BG #4 Imbalance Regime = dominance regime (avoid fading while active)
Markers:
- SW = sweep/reclaim event (proof)
- IMB D = bullish validated imbalance (dominance trigger)
- IMB S = bearish validated imbalance (dominance trigger)
───────────────────────────────────────────
ALERTS (SCANNING + EXECUTION)
───────────────────────────────────────────
A) Individual alerts (alertcondition)
Typical conditions:
- Bull/Bear Demand–Supply cross
- Bull/Bear Net Blend cross
- Bull/Bear Sweep/Reclaim
- Bull/Bear Validated Imbalance
B) Master alert() (dynamic message, recommended)
If you use dynamic values in the message, create alert using:
Create Alert → Condition → “Any alert() function call”
This is best for webhooks and execution bots.
───────────────────────────────────────────
PRACTICAL PLAYBOOK (HOW TRADERS USE IT)
───────────────────────────────────────────
Setup A — Continuation (intraday bread-and-butter)
1) 1H Bias clear:
Bull: HTF Demand > HTF Supply
Bear: HTF Supply > HTF Demand
2) BlendNet aligned and sloping (not flat)
3) Trigger:
Best: IMB validated in bias direction
Next: Net Cross in bias direction
4) Entry:
Trigger candle close OR first pullback after trigger (preferred)
5) Risk:
SL1 (mitigated) = beyond last 15m micro swing / reclaim reference
SL2 (tailgate) = beyond deeper structure OR ~1.2–1.5 ATR(15m)
6) Targets:
TP1 = first friction/reaction
TP2 = only while BlendNet remains aligned (no fading/flattening)
Setup B — Sweep → Reclaim Reversal (sniper)
1) SW prints (bull or bear)
2) Confirmation within 1–3 candles:
Best: IMB validated in sweep direction
OK: Cross after SW
3) Entry:
Reclaim close OR clean retest of reclaim reference
4) Risk:
SL1 = beyond swept level (reclaim ref)
SL2 = beyond next major structure swing
5) Targets:
TP1 = mean return / first friction
TP2 = only if BlendNet flips and holds
───────────────────────────────────────────
RISK MODEL (SL1 + SL2)
───────────────────────────────────────────
SL1 (mitigated) = “trade idea is wrong quickly” (tight structural stop)
SL2 (tailgate) = “survive spikes” (deeper structure / ATR emergency stop)
TP1 = reduce risk and pay yourself
TP2 = only if BlendNet stays aligned and not fading
If you did not define SL1 and SL2 before entry, do not enter.
───────────────────────────────────────────
NOTES / LIMITATIONS
───────────────────────────────────────────
- This is an indicator, not a guarantee of performance.
- Volume/wick inference depends on feed quality.
- Session normalization may require tuning per broker/feed.
- Close-confirmed logic reduces false triggers, but chop can still whipsaw.
───────────────────────────────────────────
DISCLAIMER
───────────────────────────────────────────
EDUCATIONAL ONLY — Not financial advice — Not trade signals.
Trading involves substantial risk, including the risk of loss.
You are responsible for your own decisions, risk management, and execution.
───────────────────────────────────
───────────────────────────────────
───────────────────────────────────
XAUMO — ECON DS OSC (XAUUSD)
DeltaProxy • Sweep/Reclaim • Sessions • MTF BlendNet • Dynamic Colors • BG Regimes • Alerts
إطار التنفيذ: 15 دقيقة | إطار الانحياز: 1 ساعة | توقيت الجلسات داخل السكربت: Europe/London
للتعليم فقط — ليس نصيحة مالية — ليس إشارات تداول.
───────────────────────────────────────────
نظرة عامة
───────────────────────────────────────────
XAUMO — ECON DS OSC هو أوسيليتور ضغط طلب/عرض مصمم لتنفيذ تداولات الذهب داخل
اليوم. يقوم بتحويل بنية الشمعة + سلوك الحجم النسبي إلى 3 خطوط عملية (الطلب،
العرض، وصافي قرار ممزوج)، ثم يضيف “طبقات إثبات” (تطبيع الجلسات، تحقق
Sweep/Reclaim، فلاتر سيادة عدم التوازن، وتوافق متعدد الأطر) حتى تميّز الضغط
الحقيقي من الضوضاء.
هذا ليس سكربت “أسهم شراء/بيع”. هذا إطار قرار واضح:
ضغط → إثبات → زناد → دخول → مخاطرة (SL1/SL2) → أهداف (TP1/TP2)
───────────────────────────────────────────
ماذا ترى على الشارت (3 خطوط)
───────────────────────────────────────────
1) الطلب (LTF) = تقدير ضغط الشراء
2) العرض (LTF) = تقدير ضغط البيع
3) صافي Blend (LTF+HTF) = خط القرار (فلتر “مؤسسي”)
التعريفات:
- صافي LTF = الطلب - العرض
- صافي HTF = (طلب HTF - عرض HTF) على إطار الانحياز المختار
- BlendNet = (1 - الوزن)*صافي LTF + الوزن*صافي HTF
المعنى للمتداول:
- الطلب فوق العرض = ضغط صاعد
- العرض فوق الطلب = ضغط هابط
- BlendNet = التنفيذ 15د، والانحياز 1س (فلتر + توافق)
───────────────────────────────────────────
شرح اللقطة (الشارت المرفق 15م/1س)
───────────────────────────────────────────
على الشارت المرفق:
- طلب HTF أعلى من عرض HTF → الانحياز على 1س صاعد
- طلب LTF يظل أعلى من عرض LTF → الضغط المحلي يدعم الانحياز
- صافي Blend يظل موجب → ضغط 15د متوافق مع سياق 1س
- علامات “SW” تُظهر أحداث Sweep/Reclaim → سيولة تُسحب ثم تُستعاد بالإغلاق
- أنظمة الخلفية تُبرز حالات: تقاطع / تحوّل صافي / سويب / سيادة
قاعدة عملية لتجنب خطأ شائع:
لا تطارد القمم. استنَ الإثبات (SW/IMB) وادخل على بنية مؤكدة، لا على انفعال.
───────────────────────────────────────────
طبقات الإثبات (لماذا هذا ليس “أوسيليتور عادي”)
───────────────────────────────────────────
1) تطبيع الجلسات (Europe/London)
الحجم الخام يختلف بين الجلسات (آسيا/لندن/نيويورك). عند تفعيل التطبيع يقوم
السكربت بتطبيع الحجم بخطوط أساس لكل جلسة، فيصبح “حجم مرتفع” = مرتفع مقارنة
بهذه الجلسة، وليس رقمًا مطلقًا.
2) نموذج الضغط DeltaProxy (ذكي مع الذيول)
في الذهب، الذيول مهمة (Stop-runs وسحب سيولة). DeltaProxy يستنتج النية من
اتجاه الجسم + انحياز الذيول، ثم يضبط بعامل ATR/Spread (ضمن حدود) لتجنب
التطرفات الوهمية. الناتج محدود لاستقرار أفضل.
3) تحقق Sweep → Reclaim (إثبات السيولة)
السويب لا يهم إلا إذا حدث Reclaim (إغلاق داخل النطاق مرة أخرى). يمكنك اختيار:
- Swing sweeps (بنية/سوينجات)
- VWAP/VA sweeps (قيمة/متوسط)
- Gate sweeps (مستويات XAUMO اليدوية)
- Any (تغطية واسعة)
4) فلتر سيادة عدم التوازن (Triggers مُتحققة)
منطق عدم التوازن يؤكد “السيادة” باستخدام عتبات مثل:
- Ratio (الطلب/العرض)
- Dominance Share (حصة السيطرة)
- Z-Score لصافي الضغط مقابل خط الأساس
اختياري: اشتراط وجود Sweep/Reclaim قبل اعتماد عدم التوازن.
5) توافق متعدد الأطر عبر BlendNet (تنفيذ 15د مفلتر بسياق 1س)
يتم مزج صافي HTF داخل صافي LTF عبر وزن:
وزن أعلى = دخول أأمن/أبطأ
وزن أقل = دخول أسرع/أكثر عدوانية
───────────────────────────────────────────
أنظمة الخلفية + العلامات (قراءة بصرية سريعة)
───────────────────────────────────────────
يمكن تفعيل/تعطيل كل طبقة خلفية:
BG #1 تقاطع الطلب/العرض = قلب مبكر (سريع وقد يضرب في التذبذب)
BG #2 تقاطع الصافي BlendNet = تحوّل أقوى بتأثير HTF
BG #3 Sweep/Reclaim = طبقة توقيت بإثبات سيولة
BG #4 نظام عدم التوازن = سيادة (تجنب معاكسة الطرف المسيطر)
العلامات:
- SW = حدث Sweep/Reclaim (إثبات)
- IMB D = عدم توازن صاعد مُتحقق (زناد سيادة)
- IMB S = عدم توازن هابط مُتحقق (زناد سيادة)
───────────────────────────────────────────
التنبيهات (Scanning + Execution)
───────────────────────────────────────────
A) تنبيهات فردية (alertcondition)
أمثلة شائعة:
- تقاطع صاعد/هابط بين الطلب والعرض
- تقاطع صاعد/هابط لصافي BlendNet
- Sweep/Reclaim صاعد/هابط
- عدم توازن مُتحقق صاعد/هابط
B) تنبيه رئيسي عبر alert() (رسالة ديناميكية — مُفضل)
إذا كانت رسالتك تحتوي قيَم ديناميكية، أنشئ التنبيه باستخدام:
Create Alert → Condition → “Any alert() function call”
وهذا أفضل للـwebhooks وبوتات التنفيذ.
───────────────────────────────────────────
دليل عملي (كيف يستخدمه المتداولون)
───────────────────────────────────────────
Setup A — استمرار مع الانحياز (شغل اليوم)
1) انحياز 1س واضح:
صاعد: طلب HTF > عرض HTF
هابط: عرض HTF > طلب HTF
2) BlendNet متوافق ومائل (غير مسطح)
3) الزناد:
الأفضل: IMB مُتحقق في اتجاه الانحياز
التالي: تقاطع صافي في اتجاه الانحياز
4) الدخول:
إغلاق شمعة الزناد أو أول Pullback بعدها (مُفضل)
5) المخاطرة:
SL1 (مخفف) = وراء آخر Micro Swing على 15د / مرجع الـReclaim
SL2 (Tailgate) = وراء بنية أعمق أو ~1.2–1.5 ATR(15m)
6) الأهداف:
TP1 = أول احتكاك/رد فعل
TP2 = فقط طالما BlendNet متوافق (لا بهتان/لا تسطح)
Setup B — سويب ثم استرجاع (قنّاص انعكاس)
1) ظهور SW (صاعد أو هابط)
2) تأكيد خلال 1–3 شمعات:
الأفضل: IMB مُتحقق في اتجاه السويب
مقبول: تقاطع بعد SW
3) الدخول:
إغلاق الـReclaim أو إعادة اختبار نظيفة لمرجع الـReclaim
4) المخاطرة:
SL1 = وراء المستوى المسحوب (مرجع الـReclaim)
SL2 = وراء سوينج بنيوي أكبر
5) الأهداف:
TP1 = رجوع للمتوسط / أول احتكاك
TP2 = فقط إذا BlendNet انقلب وثبت
───────────────────────────────────────────
نموذج المخاطرة (SL1 + SL2)
───────────────────────────────────────────
SL1 (مخفف) = “فكرة الصفقة غلط بسرعة” (ستوب بنيوي قريب)
SL2 (Tailgate) = “تحمّل السبايكس” (بنية أعمق / ستوب طوارئ ATR)
TP1 = خفف المخاطرة وادفع نفسك
TP2 = فقط إذا BlendNet يظل متوافقًا ولا يبهت
لو لم تحدد SL1 وSL2 قبل الدخول، لا تدخل.
───────────────────────────────────────────
ملاحظات / حدود الاستخدام
───────────────────────────────────────────
- هذا مؤشر، وليس ضمانًا لأي نتائج.
- استنتاج الحجم/الذيول يعتمد على جودة الـFeed.
- تطبيع الجلسات قد يحتاج ضبط حسب الوسيط/البيانات.
- منطق الإغلاق المؤكد يقلل الإشارات الكاذبة، لكن التذبذب قد يسبب Whipsaws.
───────────────────────────────────────────
إخلاء مسؤولية
───────────────────────────────────────────
للتعليم فقط — ليس نصيحة مالية — ليس إشارات تداول.
التداول ينطوي على مخاطر كبيرة بما فيها خسارة رأس المال.
أنت مسؤول عن قراراتك وإدارة المخاطر والتنفيذ.
[SUMIT] Trade line strategy 05:00pm to 11:00pm Trade line strategy 05:00pm to 11:00pm
This trading indicator is created by Sumit Ingole, an active trader from Maharashtra, India, with real-time market experience.
Based on practical trading and proven market understanding, it focuses on clarity and discipline.
Designed to support traders with clean structure and decision-making.
Best used with proper risk management and consistency.
This is a custom-built trading indicator designed to help traders identify clear market direction and high-probability entry zones.
The indicator focuses on: • Trend direction
• Strong price levels
• Clear buy and sell signals
• Easy-to-read structure
It is beginner-friendly and does not require complex market knowledge. The signals are based on pure price behavior and smart market movement, helping traders avoid confusion and overtrading.
This indicator works best when used with proper risk management and discipline. It can be applied on multiple timeframes and is suitable for intraday as well as swing trading.
Note:
This indicator is a support tool, not a guarantee of profits. Always follow your trading plan and manage risk properly.
PSP with Color ThemesPSP (Price State Parity) Indicator
This indicator identifies Price State Parity between the current trading instrument and a reference asset. It visually highlights candles where price movements show significant correlation patterns.
Key Features:
Dual Mode Operation:
Divergence Mode (Default): Highlights candles where current and reference assets move in opposite directions
Convergence Mode (Inverse): Highlights candles where both assets move in the same direction
Customizable Visualization:
Separate color selection for bullish and bearish PSP candles
Adjustable transparency for optimal chart visibility
Non-PSP candles remain unchanged for clear price action reading
Flexible Reference Asset:
Compare against any TradingView symbol (crypto, forex, stocks, indices)
Default: ETH/USDT for crypto correlation analysis
Use Cases:
Crypto Correlation Trading: Spot divergence/convergence between crypto pairs
Inter-Market Analysis: Compare stocks with sector ETFs or indices
Forex Pairs Correlation: Analyze currency pair relationships
Hedging Opportunities: Identify when correlated assets decouple
How to Use:
Select your reference symbol in settings
Choose between Divergence or Convergence mode
Customize colors to match your trading style
Watch for highlighted candles indicating PSP signals
Indicator Logic:
Bullish PSP: Current candle bullish + Reference candle bearish (or same in inverse mode)
Bearish PSP: Current candle bearish + Reference candle bullish (or same in inverse mode)
ICT SMT [Pro] (fadi)Smart Money Technique (SMT) is a powerful tool used to identify institutional accumulation or distribution. It occurs when one asset makes a lower low (or higher high) while a correlated asset fails to do so, making a higher low (or lower high) instead. This divergence shows strong buying or selling pressure on the asset that failed to break its level.
While SMT is a high-probability confluence, tracking it manually is a distraction. It forces you to take your focus away from price action to constantly monitor highs and lows across two or more different charts.
ICT SMT automates this entire process , identifying the "crack in correlation" in real-time so you can stay focused on your trade execution, and draws the SMT levels right on your chart.
Core Functionality & Logic
✅ Intelligent Symbols Matching
When you load a chart, ICT SMT will look for the best matching symbols by parsing your current chart to understand its asset type and exchange. It will then run propriety logic to match contract size and exchange, if needed.
It intelligently recognizes contract sizes. If you are viewing NQ, it automatically compares it against ES. If you switch to MNQ (Micro), it instantly adapts to compare against MES (Micro).
And if you are trading Forex or Crypto for example, accuracy in SMT is often ruined by comparing data from different liquidity providers. ICT SMT automatically identifies your current chart's provider and reuses that same exchange for the target asset whenever possible (e.g., OANDA to OANDA). This ensures the divergence is based on synchronized price feeds, eliminating "fake" signals caused by exchange price gaps.
Global Mapping: This system works across all asset classes. While it provides optimized defaults, traders have full control via a flexible mapping system to pair any symbol or override the defaults as needed.
✅ Live SMT Detection
ICT SMT evaluates price action as the current candle develops. An SMT is identified the moment one asset breaks its logical level while the other fails to do so, providing real-time feedback before the candle even closes.
Depth Sensitivity: Users can select the depth of analysis via a dropdown menu (Small, Medium, or Large) to define how the engine builds its logical levels.
✅ Session-Specific Filtering
To ensure the highest probability setups, ICT SMT uses time-based logic to enable or disable the calculation engine. You can configure up to four custom trading sessions (e.g., London, NY AM, NY PM). SMTs are only processed within these windows, keeping the chart clean and optimized for peak performance.
✅Alert Engine
Stay informed of market shifts without needing to hover over the screen. The script includes a professional alert suite:
• SMT Detected (Intra-Candle): Triggers the moment a divergence begins forming in real-time.
• SMT Confirmed: Triggers once the candle closes, validating that the divergence held through the completion of the interval.
How it Works
Add the indicator to your chart
Make sure the assets you trade are on the list, modify it if needed
You are done! Trade and navigate your charts as usual
When a new symbol is loaded, the indicator identifies the symbol type and exchange
Performs a lookup to find matching pairs in the mapping list
Based on the type, automatically adjusts the matching pairs to match the exchange and size for data consistency.
As new candles are formed, the indicator builds a list of the best logical levels to compare from each symbol and compares the two in real-time to identify the divergence.
Settings & Configurations
✅ General Settings
Show no more than - Limits the number of active SMT labels visible on the chart at once to prevent visual clutter.
Type of SMT to show - Choose between Bullish SMT, Bearish SMT, or \'Both\' to filter the signals based on your current market bias.
Lookback depth - Determines the lookback period for our proprietary pivot logic. Higher values analyze a longer history; lower values prioritize the most recent institutional movements.
Show 2 Candles SMT - When enabled, the indicator looks for SMT divergences occurring within a tight 2-candle window, ideal for high-speed \'Intra-Candle\' scalping setups.
Detect one SMT per pivot - Ensures that each logical swing high or low only generates a single signal, preventing duplicate labels on the same price move.
Delete irrelevant SMT - Automatically removes SMT labels if price moves past the pivot point, keeping your chart focused only on valid, tradeable confluences.
✅ Display Settings
Link - Customizes the appearance of the line connecting the two assets\' price points. Adjust the color and thickness to match your chart theme.
Label - Toggles the SMT text labels. You can adjust the color, size, and transparency to ensure the signals are visible but not distracting.
✅ Session
Sessions 1 to 4 - Defines a specific trading window. Enable to filter SMT detection within your chosen times to minimize market noise.
✅ Alerts
Alert on real-time SMT (Noisy) - Triggers the moment a divergence is detected in real-time. This provides an early warning during the formation of a wick, but may disappear if price action recovers before the candle closes
Alert on confirmed SMT - Triggers only after the candle closes. This ensures the SMT is locked in and validated by the final price, eliminating temporary signals.
✅ Pairing
Pairs - This is the Global Mapping engine. By default, it automatically detects your chart (e.g., NQ to ES). Use these fields to manually override or add specific pairs (e.g., DXY or specific Crypto exchanges). Invert: "Flips the price calculation for the secondary symbol. This is essential when comparing positively correlated assets against negatively correlated ones, such as EURUSD vs. DXY.
🔥 Usage Methodology
In ICT theory, SMT is a powerful confluence, not a standalone signal. It is important to note that Traders should not rely on SMT alone for entries. This tool is designed to support existing trade ideas, such as confirming a daily bias, a Fair Value Gap (FVG), or a run on liquidity. It acts as a "confirmation of intent" within your broader trading framework.
Disclaimer: Trading involves significant risk. ICT SMT is a technical analysis tool and does not constitute financial advice or a guarantee of profit.
Finlu CONTINUACION PROFinlu CONTINUACIÓN PRO is an oscillator designed to detect trend continuation signals after a pullback.
The logic is based on:
A normalized momentum similar to Finlu Momentum PRO.
A central neutral zone: when momentum pulls back into this zone without fully changing direction, it is treated as a pullback within the trend.
Internal impulse levels (1, 2 and 3) to distinguish mild pullbacks from strong impulses.
A signal line used to confirm crossovers or separation between the main line and the signal.
An optional directional filter (DMI/ADX-style) that checks trend strength before allowing a signal.
Typical usage conditions:
Bullish continuation signals when there is prior upside momentum, the oscillator pulls back into the neutral zone and then turns up again, meeting the crossover/separation condition and the directional filter.
Bearish continuation signals in the opposite scenario.
The colored background shows the dominant side of momentum and helps visualize which sections of the chart favor long or short setups.
This indicator is intended as a support tool for traders already working with market structure and supply/demand zones. It does not guarantee results and does not replace risk management or the trader’s own judgement.
Finlu Momentum PROFinlu Momentum PRO is a momentum oscillator designed to detect exhaustion zones and potential short-term reversals.
The indicator calculates a smoothed momentum from price changes and normalizes it around 0. On top of that momentum, it builds:
Overbought and oversold levels: when the main line enters these zones, it highlights extreme momentum conditions.
Central neutral zone: helps distinguish strong momentum phases from consolidation phases.
Signal line: a moving average of the momentum itself, used to confirm crossovers and exits from extreme zones.
Repetition filters: limit the number of consecutive signals to reduce noise when the market is ranging.
Reversal detection: additional conditions that require momentum to turn from extreme zones before enabling a signal.
Divergences: compares price highs and lows with the momentum line to highlight potential exhaustion of the move.
Basic usage:
Sell signals when momentum comes from overbought, loses strength and crosses below the signal line, while passing the reversal and repetition filters.
Buy signals when the opposite occurs from oversold levels.
Bearish divergences appear when price makes a higher high, but momentum makes a lower high.
Bullish divergences appear when price makes lower lows, but momentum makes higher lows.
This indicator is designed to be combined with your own price-action and market structure analysis. It is not a buy/sell recommendation or a standalone automated system. The user remains fully responsible for risk management, instrument selection and timeframe choice.
Manus Forex Alpha Pro Indicator (Trend-Momentum Hybrid)ใช้ AI Manus ช่วยผสมผสานให้ ใช้งานง่ายดี
น่าจะไม่ต้องอธิบายนะครับ เพราะเป็นพื้นฐานการใช้งาน
เพียงแต่มี แดชบอร์ด ช่วยให้อ่านง่ายขึ้น
การลงทุนมีความเสี่ยง ไม่มีเครื่องมือใดคาดการณ์ถูกต้อง 100%
เรียนรู้ ฝึกฝน มีวินัย ควบคุมความเสี่ยง ด้วยตนเอง
Using AI Manus helps integrate it, making it easy to use.
I don't think I need to explain this, as it's basic usage.
The dashboard simply makes it easier to read.
Investing involves risk; no tool is 100% accurate.
Learn, practice, be disciplined, and manage your own risk.
ColorFlow EMA📊 ColorFlow EMA — Trend Flow & Bias Indicator
🔹 What This Indicator Does
ColorFlow EMA is a clean, visual trend-flow indicator designed to show directional bias and momentum state at a glance.
It uses two exponential moving averages:
Fast EMA (default: 10)
Slow EMA (default: 20)
The area between the EMAs is color-shaded to clearly display whether price is in a bullish or bearish flow.
🎨 Visual Logic
🔵 Blue shading → Bullish flow
(Fast EMA above Slow EMA)
🔴 Red shading → Bearish flow
(Fast EMA below Slow EMA)
Optional crossover markers can be enabled for visual confirmation when EMA alignment changes.
🧠 How to Use ColorFlow EMA
This indicator is not a standalone strategy and is not intended for signal-chasing.
It is best used as a context and bias filter alongside:
Price action
Market structure (HH/HL, LH/LL)
Support & resistance or supply & demand zones
Pullbacks vs premium/discount
Typical use cases:
Favor longs when the flow is blue
Favor shorts when the flow is red
Avoid forcing trades when EMAs are tangled or flat
Wait for pullbacks into structure instead of chasing price
⚠️ Important Notes
EMA crossovers alone do not guarantee profitable trades
Market conditions, structure, and location always matter
Works best in trending or transitioning markets
Not designed for ranging/choppy environments without context
⚙️ Customization
EMA lengths can be adjusted
Crossover markers can be toggled on/off
Designed to stay visually clean and uncluttered
🎯 Who This Indicator Is For
Traders who prioritize price action over indicators
Intraday traders (forex, indices, ETFs, stocks)
Traders who want clarity, not noise
📝 Final Thought
ColorFlow EMA answers one simple question:
“Should I be looking for longs or shorts here?”
Use it for bias, not prediction.
ColorFlow EMA📊 ColorFlow EMA — Trend Flow & Bias Indicator
🔹 What This Indicator Does
ColorFlow EMA is a clean, visual trend-flow indicator designed to show directional bias and momentum state at a glance.
It uses two exponential moving averages:
Fast EMA (default: 10)
Slow EMA (default: 20)
The area between the EMAs is color-shaded to clearly display whether price is in a bullish or bearish flow.
🎨 Visual Logic
🔵 Blue shading → Bullish flow
(Fast EMA above Slow EMA)
🔴 Red shading → Bearish flow
(Fast EMA below Slow EMA)
Optional crossover markers can be enabled for visual confirmation when EMA alignment changes.
🧠 How to Use ColorFlow EMA
This indicator is not a standalone strategy and is not intended for signal-chasing.
It is best used as a context and bias filter alongside:
Price action
Market structure (HH/HL, LH/LL)
Support & resistance or supply & demand zones
Pullbacks vs premium/discount
Typical use cases:
Favor longs when the flow is blue
Favor shorts when the flow is red
Avoid forcing trades when EMAs are tangled or flat
Wait for pullbacks into structure instead of chasing price
⚠️ Important Notes
EMA crossovers alone do not guarantee profitable trades
Market conditions, structure, and location always matter
Works best in trending or transitioning markets
Not designed for ranging/choppy environments without context
⚙️ Customization
EMA lengths can be adjusted
Crossover markers can be toggled on/off
Designed to stay visually clean and uncluttered
🎯 Who This Indicator Is For
Traders who prioritize price action over indicators
Intraday traders (forex, indices, ETFs, stocks)
Traders who want clarity, not noise
📝 Final Thought
ColorFlow EMA answers one simple question:
“Should I be looking for longs or shorts here?”
Use it for bias, not prediction.
Ranked Exchange Volume (REV)📊 Ranked Exchange Volume (REV) - Multi-Venue Volume Distribution Visualizer
## Stop Guessing Where the Real Volume Is. See It.
Most traders look at aggregate volume and miss the critical story: **where** that volume actually traded. Ranked Exchange Volume (REV) solves this by revealing the complete liquidity landscape across multiple trading venues in a single, elegant visualization.
This isn't just another volume indicator—it's a **dynamic stratified histogram** that automatically reorganizes exchange layers by magnitude on every bar, showing you **instant market dominance** at a glance.
---
## 🎯 The Core Innovation: Self-Organizing Volume Layers
REV displays volume from up to 10 different exchanges as **stacked, color-coded bars** where the largest volume source literally rises to the top. Watch as exchanges compete for dominance in real-time:
- **Largest volume = Top of the bar** (most visible position)
- **Smallest volume = Bottom of the bar** (foundation layer)
- **Everything in between = Automatically sorted on every candle**
This visual hierarchy makes it instantly obvious which venues are leading the market—no mental math required.
---
## ✨ Key Features
### 🔄 **Dynamic Layer Sorting**
Unlike static stacked charts, REV uses real-time stratification. If Binance had 60% of volume last bar but Coinbase takes 70% this bar, you'll see Coinbase jump to the top. The hierarchy reflects current reality, not a fixed order.
### 🎨 **10 Fully Customizable Exchange Slots**
Each exchange slot offers complete control:
- **Enable/Disable toggle** - Turn exchanges on/off without losing your configuration
- **Custom prefix** - Track ANY exchange on TradingView (BINANCE, KRAKEN, OANDA, FXCM, etc.)
- **Custom suffix** - Specify quote currency (USDT, USD, EUR, or leave blank for stocks/forex)
- **Display name** - Control how exchanges appear in the rankings table
- **Color selection** - Match your chart theme or use brand colors for instant recognition
### 📊 **Live Rankings Table**
A real-time leaderboard shows:
- **Rank** - Current position (1 = highest volume)
- **Exchange name** - With color-coded background
- **Volume** - Intelligently formatted with K/M/B units
- **Percentage** - Exact market share
**Table positioning:** Choose from 9 screen positions (top/middle/bottom × left/center/right) to keep your chart clean.
### 🧮 **Intelligent Volume Formatting**
REV automatically detects volume magnitude and applies the appropriate scale:
- **Billions** - Displays as "1.5B" for readability
- **Millions** - Displays as "342.8M"
- **Thousands** - Displays as "45.2K"
- **Full numbers option** - Toggle to see complete values (23,456,789)
The scale adjusts per-bar, so you always see the clearest representation.
### 🚨 **Three Built-In Alert Conditions**
1. **Exchange Dominance Alert (>50%)**
- Triggers when a single venue controls majority of volume
- Signals potential liquidity concentration risk or exchange-specific events
2. **Volume Spike Alert (>2x average)**
- Detects unusual aggregate activity across all venues
- Catches breakouts, news events, or institutional flow
3. **Liquidity Migration Alert**
- Fires when market leadership shifts between exchanges
- Reveals arbitrage opportunities or changing market structure
### 📈 **Optional Total Volume Line**
Display aggregate volume from all exchanges as a reference overlay with customizable color.
---
## 🌍 Market Compatibility: Beyond Crypto
While optimized for cryptocurrency (its primary design), REV works across multiple asset classes:
### ✅ **Cryptocurrency (Perfect Fit)**
**Why it excels:** Crypto trades 24/7 across dozens of global exchanges simultaneously. REV reveals true price discovery.
**Example configurations:**
- **BTC/USDT:** Compare Binance, Coinbase, OKX, Bybit, Kraken, Bitget
- **ETH/USD:** Track institutional venues (Coinbase, Kraken, Gemini) vs retail (Binance, Gate.io)
- **Altcoins:** Identify which exchanges have the deepest liquidity before placing large orders
**Trading applications:**
- **Arbitrage detection** - Spot when volume migrates between venues (price differential opportunities)
- **Exchange risk** - Don't trade on exchanges with suspiciously low volume
- **Whale tracking** - Sudden Coinbase dominance often signals institutional activity
- **Market maker identification** - Consistent Binance leadership suggests MM concentration
### ✅ **Forex (Excellent Fit)**
**Why it works:** Forex doesn't have centralized exchanges—it trades OTC across multiple broker feeds. REV shows which data providers are seeing the action.
**Example configurations:**
- **EUR/USD:** Compare OANDA, FXCM, FOREX.COM, FX_IDC, CAPITALCOM
- **GBP/JPY:** Track volatility across broker feeds
- **Exotics:** Verify liquidity before trading thin pairs
**Setup notes:**
- Leave **suffix field blank** for forex
- Use broker prefixes: OANDA, FXCM, FOREXCOM, FX_IDC, SAXO
- Symbol constructs as "OANDA:EURUSD"
**Trading applications:**
- **Spread verification** - Higher volume feeds typically offer tighter spreads
- **News event tracking** - See which brokers capture the most flow during announcements
- **Session analysis** - Watch London/NY volume shifts across different providers
### ⚠️ **Stocks (Limited But Useful)**
**Where it works:**
- **Dual-listed stocks** - Canadian companies on TSX and NYSE
- **International ADRs** - Same company, different exchanges
- **ETF arbitrage** - Compare volume across regional listings
**Example configurations:**
- **Shopify (SHOP):** Compare TSX vs NYSE volume
- **Alibaba (BABA):** NYSE vs HKEX volume
- **European stocks:** Compare primary exchange vs secondary listings
**Setup notes:**
- Leave **suffix field blank**
- Use exchange prefixes: NYSE, NASDAQ, TSX, LSE, XETRA
- Note: TradingView doesn't show per-venue volume for U.S. equities (NYSE vs BATS vs ARCA all aggregate)
**Limitations:** Most stocks trade primarily on one exchange, so REV is less valuable than in crypto/forex.
### ❌ **Futures (Not Recommended)**
Futures contracts differ by exchange (CME's ES ≠ EUREX's FESX), so volume isn't comparable.
---
## 📚 Practical Use Cases
### 1. **Pre-Trade Liquidity Analysis**
Before entering a large position, check which exchanges have sufficient volume to fill your order without slippage.
**Example:** You want to sell 50 BTC. REV shows Binance has 2,340 BTC volume this hour while a smaller exchange has only 87 BTC. Route your order to Binance for better execution.
### 2. **Exchange Risk Management**
Identify "fake volume" or wash trading by comparing venues.
**Red flag pattern:** An exchange consistently shows 10x the volume of competitors but with minimal price impact—likely artificial.
### 3. **Arbitrage Opportunity Detection**
When volume suddenly concentrates on one exchange, price premiums/discounts often appear.
**Alert pattern:** Liquidity Migration alert fires → Check price differences → Execute arb if spread exceeds fees.
### 4. **Institutional Flow Tracking**
In crypto, institutions typically use regulated exchanges (Coinbase, Kraken, Gemini).
**Pattern to watch:** Coinbase volume spikes to 60%+ dominance → Often precedes directional moves as institutions position.
### 5. **Market Structure Analysis**
Watch long-term trends in exchange dominance to understand market evolution.
**Example insight:** "Binance's market share has dropped from 70% to 45% over 6 months as traders diversify to OKX and Bybit."
### 6. **Event Response Comparison**
During major news events, see which exchanges react first.
**Analysis:** If one exchange shows volume spike 5 minutes before others, that feed may have faster news incorporation.
---
## ⚙️ Technical Specifications
- **Maximum exchanges:** 10 simultaneous venues
- **Sorting algorithm:** Bubble sort (O(n²) but optimal for n=10, prioritizes stability)
- **Update frequency:** Real-time, every bar
- **Data handling:** Gracefully ignores invalid symbols, treats NA as zero
- **Chart type:** Non-overlay (separate pane below price)
- **Performance:** Lightweight, no lag on any timeframe
---
## 🚀 Getting Started
### Quick Setup (5 Minutes)
**For Crypto Traders (Default Configuration):**
1. Add indicator to any crypto chart (BTC, ETH, SOL, etc.)
2. Works immediately—top 10 exchanges pre-configured
3. Customize colors if desired
4. Position table to your preference
**For Forex Traders:**
1. Open any forex pair (EUR/USD, GBP/JPY, etc.)
2. Go to Exchange 1 settings
3. Change prefix to "OANDA" (or your preferred broker)
4. **Clear the suffix field** (leave it blank)
5. Repeat for other exchanges (FXCM, FOREXCOM, FX_IDC, etc.)
6. Disable any unused exchange slots
**For Stock Traders (Dual-Listed):**
1. Open a dual-listed stock (e.g., SHOP on TSX)
2. Exchange 1: Prefix = "TSX", Suffix = blank, Name = "Toronto"
3. Exchange 2: Prefix = "NYSE", Suffix = blank, Name = "New York"
4. Disable exchanges 3-10
5. Compare volume distribution
### Advanced Customization
**Tracking Regional Markets:**
Want to compare Korean vs Japanese crypto exchanges?
- Exchange 1: UPBIT (Korean)
- Exchange 2: BITHUMB (Korean)
- Exchange 3: BITFLYER (Japanese)
- Exchange 4: COINCHECK (Japanese)
**Isolating Institutional Volume:**
Focus only on regulated U.S. exchanges:
- Enable: Coinbase, Kraken, Gemini
- Disable: All others
- Watch for >50% dominance alerts
---
## 👥 Who Is This For?
### ✅ **Perfect for:**
- **Crypto day traders** - Need to know where liquidity actually is
- **Arbitrage traders** - Spot cross-exchange inefficiencies
- **Institutional traders** - Validate execution venues before large orders
- **Forex scalpers** - Compare broker feeds for best execution
- **Market structure analysts** - Track long-term exchange dominance trends
### ❌ **Less useful for:**
- **Long-term investors** who don't care about short-term liquidity
- **Single-exchange traders** who never compare venues
- **Futures traders** (contracts differ by exchange)
---
## 🎓 Understanding the Visualization
**What each colored segment means:**
Each horizontal stripe represents one exchange's volume contribution. The **height** of each stripe shows that exchange's volume relative to others.
**Reading the pattern:**
- **Dominant top layer** (50%+ of bar) = Clear market leader
- **Evenly distributed layers** (10-15% each) = Fragmented liquidity
- **Sudden layer reorganization** = Liquidity migration event
- **Shrinking bottom layers** = Exchanges losing market share
**Color coding strategy:**
The indicator defaults to exchange brand colors for instant recognition:
- Yellow = Binance (their signature gold)
- Blue = Coinbase (their brand blue)
- Purple = Kraken (their brand purple)
- etc.
You can customize all colors to match your chart theme.
---
## 🔧 Configuration Tips
### **Best Practices:**
1. **Start with defaults** - Test on BTC/USDT to understand behavior
2. **Disable unused exchanges** - Cleaner visualization, faster computation
3. **Match your trading venues** - Only track exchanges you actually use
4. **Use brand colors initially** - Helps build visual pattern recognition
5. **Enable alerts strategically** - Don't spam yourself; focus on actionable signals
### **Common Mistakes to Avoid:**
❌ Tracking too many irrelevant exchanges (creates visual noise)
❌ Forgetting to clear suffix for forex/stocks (symbol won't construct properly)
❌ Using the same color for multiple exchanges (defeats instant recognition)
❌ Hiding the table permanently (you lose the percentage data)
---
## 📊 Performance Notes
- **Lightweight computation** - No impact on chart performance
- **Works on all timeframes** - 1-minute to monthly
- **Historical analysis** - Full bar history available (max_bars_back=5000)
- **Multi-monitor friendly** - Table positioning adapts to any screen layout
---
## 🆕 Future Enhancements (Planned)
While the current version is feature-complete, potential additions include:
- Volume-weighted average price (VWAP) overlay per exchange
- Historical dominance charts (which exchange led most this week/month)
- Correlation matrix (do exchanges move together or independently?)
**User feedback shapes development** - Comment with your requests!
---
## 💡 Pro Tips
### **Tip 1: The "Whale Exchange" Filter**
In crypto, institutions use Coinbase/Kraken. Enable ONLY these two exchanges to isolate professional flow and ignore retail noise.
### **Tip 2: The "Arbitrage Scanner"**
Set Liquidity Migration alert on 1-minute timeframe. When it fires, check price across exchanges—often there's a temporary premium/discount.
### **Tip 3: The "Liquidity Gauge"**
Before placing a large market order, switch to 5-minute timeframe and check last 10 bars. If your target exchange consistently has <20% of volume, you'll face slippage.
### **Tip 4: The "Market Structure Tracker"**
Take screenshots of the table weekly. Over time, you'll see exchange market share trends that reveal fundamental shifts in trader preferences.
### **Tip 5: The "News Event Validator"**
During major announcements (Fed decisions, earnings, etc.), watch which exchange shows volume first. That's where informed traders are positioned.
---
## 🎯 Summary
**Ranked Exchange Volume (REV) transforms volume analysis from a single number into a complete market microstructure view.**
Instead of seeing "1.2M volume," you see:
- Binance: 640K (53%)
- Coinbase: 280K (23%)
- OKX: 180K (15%)
- Bybit: 100K (9%)
**That's actionable intelligence.**
Whether you're executing a large crypto trade, arbitraging forex across brokers, or validating liquidity before buying a dual-listed stock, REV shows you **where the market actually is**—not where you assume it is.
---
## 📖 Quick Reference Card
| Feature | What It Does | Why It Matters |
|---------|-------------|----------------|
| **Dynamic Sorting** | Largest volume rises to top | Instant dominance identification |
| **10 Custom Slots** | Track any exchanges | Works for YOUR trading venues |
| **Live Rankings** | Real-time leaderboard | Precise market share data |
| **Smart Formatting** | Auto K/M/B scaling | Always readable, never cluttered |
| **Dominance Alert** | Warns at >50% concentration | Risk management for large orders |
| **Migration Alert** | Fires on leadership change | Arbitrage opportunity signal |
| **Spike Alert** | Detects 2x volume surges | Breakout/news confirmation |
| **Total Line** | Shows aggregate volume | Reference for overall activity |
| **Table Positioning** | 9 screen locations | Adapts to your layout |
| **Full/Short Toggle** | Complete vs abbreviated numbers | Flexibility for different assets |
---
## ✅ Installation & Support
**Install:** Add to your TradingView favorites, apply to any chart
**Updates:** Automatic through TradingView
**Support:** Comment with questions—active developer community
**Like this indicator?** Leave a ⭐ rating and share with fellow traders who need better volume intelligence.
---
**🚀 Start seeing the complete volume picture. Add Ranked Exchange Volume to your charts today.**






















