Carpe Diem Trading Algo - CoreCarpe Diem Trading Algo - CORE is the central signal engine of the Carpe Diem suite, built to select, track, and score multiple entry methods inside one unified framework. It is designed for traders who want one clean BUY/SELL stream that adapts to the market regime instead of juggling separate indicators.
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CORE is inspired by wellโknown technical analysis ideas (trend vs range regimes, ZโScore, Stoch, structure breaks, money flow, ATRโbased risk), but every component is implemented from scratch and then extended, so it is not a wrapper or clone of any public script. What you see on the chart is a custom architecture that combines these concepts into a single regimeโaware, multiโengine signal and risk/EDGE system.
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At the base layer, CORE uses a custom range/regime engine that classifies price into bullish, bearish, or neutral conditions using an ATRโnormalized oscillator around a regime moving average. It measures the distance between price and a configurable MA, normalizes that distance by ATR, smooths it, and then applies a dead zone and โavoid ranging / only rangingโ options to define where the system is allowed to trade. All signal engines run through this regime layer, so the same method behaves differently in clean trends vs choppy ranges instead of firing blindly in all conditions.
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On top of the regime filter, CORE offers eight interchangeable signal engines that all feed the same BUY/SELL plots, each using classic ideas in a bespoke way:
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DER ColorโMatch: builds bullish/bearish pressure from weighted positive and negative returns, then creates a separate spike line and requires colorโmatched agreement between signal and spike to confirm entries; this is a custom directional returns model, not a port of any public โDERโ or โdeltaโ script.
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ZโScore: computes the Zโscore of price over a configurable lookback, smooths it and uses zeroโline crosses only when they align with the background regime; this is a tailored Zโscore implementation inside the CORE regime system, not a direct copy of any existing Zโscore indicator.
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TPR (TrendโPullbackโResume): detects trend extensions away from the regime MA, waits for a controlled pullback into ATRโscaled proximity bands, then looks for a resume of momentum with strict timeouts for each phase; this threeโstage pattern is coded specifically for CORE and is not based on any one published script.
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WTMF Blend: combines a WaveTrendโstyle oscillator and a Money Flow measure into a single normalized blend with configurable weights and a โlockโuntilโoppositeโ behavior; the formulas and blending logic are customized, and CORE does not reuse a public WaveTrend or moneyโflow script.
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MSB Structure Break & Retest: tracks swing highs/lows, detects breaks using either closes or wicks, and optionally waits for an ATRโscaled retest window with relaxed or strict modes; it is built specifically for this algo and is not a clone of any existing โMSB/CHOCHโ script.
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Stoch Regime: uses a centered, sensitivityโcontrolled Stoch K/D pair that is only allowed to signal in alignment with the bullish/bearish background regime; this is a custom, regimeโaware Stoch implementation rather than a direct lift of any public Stoch strategy.
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Spike Thresholds: computes ATRโnormalized deviation from a moving average, smooths it, and uses separate long/short thresholds to detect spikes that also agree with the regime filter; it is a bespoke spike engine, not a republish of classic โspikeโ indicators.
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Trajectory Momentum: measures ATRโnormalized momentum between fast and slow EMAs plus EMAโsmoothed acceleration, with the option to โlock until oppositeโ so trends are not exited on every minor correction; this is a custom trajectory design, not a copy of a known openโsource trend tool.
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In addition to the main engines, CORE includes proprietary extension/exhaustion markers that run in the background as context only. They use a custom halfโcycle calculation with a configurable halfโlength and ATRโbased bands around a composite price (close/open/high/low/median/typical/weighted/average) to track where price is pressing into statistically extended zones. When enabled, these markers plot small Xโs at potential extension highs/lows and can trigger optional alerts, giving you an exhaustion layer that is designed specifically for COREโs regime logic rather than copied from any public โexhaustionโ or โextension bandโ script.
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CORE also includes a dedicated DER Spike Strength filter that is unique to this script. It measures both distance and slope between the DER signal and its spike line, builds adaptive baselines over a dynamic lookback, and then derives dynamic thresholds that can gate DER entries or even invalidate an existing DER state when strength fades. You can choose whether strength is only an entry qualifier or also a postโentry filter.
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To evaluate methods over time, CORE runs an internal EDGE tracker that converts trade outcomes into an Rโbased score per method and per context. For each BUY or SELL trigger, the script simulates a position with ATRโbased TP and SL, tracks how price evolves over a fixed evaluation window, and assigns an outcome within a bounded R range, including penalties for unresolved trades or both TP and SL being touched in the same bar. Those outcomes feed exponential moving statistics and are mapped into a 0โ100 EDGE value. The EDGE model itself is a completely proprietary scoring framework that was designed specifically for CORE.
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The risk panel in the topโright is a persistent table rather than a simple label. For every engine, it shows the last persistent state (BUY, SELL, or FLAT) according to that engineโs logic and the current regime, plus a compact EDGE number that represents the recent average R performance of that engine in context (trend vs. range, long vs. short). The panel uses this EDGE value to drive a trafficโlight color scheme for each engineโs main cell: high EDGE values are shown with a green background to indicate lower historical risk and better recent performance, low EDGE values are shown with a red background to indicate higher historical risk and weaker recent performance, and midโrange EDGE values are shown in a more neutral tone between those extremes. Cells that are still warming up, or for engines that are not currently being computed, are displayed in a neutral gray so you can immediately distinguish between active, proven engines and inactive or unready rows. This lets you read the panel as โWhich engine currently carries the most favorable risk profile here?โ instead of only seeing raw signals, and you can use it to avoid running a method that is currently underperforming in this regime while rotating toward engines that have demonstrated stronger recent R outcomes. Optional alerts can fire when the selected engineโs risk state flips between favorable and unfavorable zones so you are notified when the underlying EDGE profile for your chosen method materially changes.
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Because this is a vendorโgrade, inviteโonly tool, CORE also includes an automatic profile system to help avoid overfitting without forcing you to retune everything manually. Timeframeโaware defaults adjust core inputs such as range length, deadโzone size, DER length, ZโScore lookback, and adaptive strength parameters depending on your chart resolution, and those defaults are further modified by profile (Conservative, Balanced, or Aggressive) and asset preset (Crypto, FX, Indices, or Stocks). You can override any parameter, but the auto profile is designed to give you robust starting points that already respect volatility and instrument behavior.
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Usage guidelines:
Use the risk/EDGE panel as a live risk dashboard: focus on engines whose cells show strong green tones with higher EDGE numbers when you want to lean into the current regime, and treat red or gray cells with low EDGE as higherโrisk engines to deprioritize until their recent performance improves.โ
Choose a signal engine that matches your style (for example, DER or Trajectory for momentum, TPR or MSB for swing structure, or Stoch or ZโScore for regimeโaware mean reversion).
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Keep the range/regime and deadโzone filters enabled if you want fewer but higherโquality signals that avoid sideways noise.
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Optionally enable extension/exhaustion markers as a context layer to highlight areas where price is statistically stretched, then combine that information with the main BUY/SELL engine (for example, taking TPR or Trajectory signals that align with exhaustion at the edge of a regime zone).
By default, signals are confirmed at bar close to avoid intrabar repaint of entries; you can still enable debug or extra plots for research, but the standard template is the clean BUY/SELL output with the risk/EDGE panel and, optionally, the extension markers.
โFinal points โ
The source code is inviteโonly because the combination of the regime engine, DER + adaptive strength framework, multiโengine signal routing, proprietary extension/exhaustion context, and the fully proprietary Rโbased EDGE and risk panel is original to the Carpe Diem suite. While CORE uses wellโknown concepts, the way they are integrated and extended in this script is proprietary and not a reproduction of any specific openโsource indicator or strategy
Oscillatori
TDL: Wave Oscillator Confluence Proโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
WAVE OSCILLATOR CONFLUENCE PRO
Multi-Factor Confluence Scoring System
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Wave Oscillator Confluence Pro is a multi-factor confluence scoring system that synthesizes five independent market dimensions into quantified Buy/Sell strength. Instead of stacking separate indicators and visually "guessing" alignment, this script runs a Confluence Scoring Engine that weights and sums agreement across Momentum, Volatility Regime, VWAP Context, and Order-Flow-style divergence to produce graded signals (Moderate vs Strong).
Why this is not a mashup: every module feeds a single decision framework (Buy score vs Sell score โ Net Confluence โ graded signals + background intensity). You can audit and tune the contribution of each factor via weights and thresholds.
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๐ METHODOLOGY ATTRIBUTION
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RSI concepts based on J. Welles Wilder's RSI
TTM Squeeze mechanics inspired by John Carter's BB/KC volatility compression framework
Wave-style smoothing concepts popularized by LazyBear / WaveTrend-style presentations
CVD logic based on general order-flow principles, implemented here as a candle/volume-derived proxy
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๐ข CONFLUENCE FACTORS (5)
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1๏ธโฃ RSI State Machine (Momentum + Transitions)
Tracks overbought/oversold zones using a smoothed RSI "wave candle" view
Maintains state memory (last extreme) and detects transition behavior (e.g., first neutral candle after an extreme)
Scores extremes separately from transition states to reduce "staying extreme" noise
2๏ธโฃ TTM Squeeze (Volatility Regime)
Compression detection using Bollinger Bands vs Keltner Channels
Three compression levels (Low / Medium / High)
Detects squeeze release ("firing") for volatility expansion timing
Optional higher timeframe squeeze mode
3๏ธโฃ CVD Divergence Spikes (Order-Flow Proxy)
Builds a cumulative delta-style line using lower timeframe intrabar volume direction (via request.security_lower_tf)
Normalizes CVD vs price momentum and detects statistical spikes using StdDev thresholds
Includes session/anchor-based cumulative tracking to reset/segment flow
Note: This is an order-flow proxy derived from OHLC/volume behavior (not true bid/ask delta).
4๏ธโฃ Session VWAP Deviation Context
Calculates a session-based VWAP (custom ET start/end) with standard deviation bands (ฯ)
Generates VWAP signals when price is extended beyond bands during RSI transition gating
Designed to provide context around mean-reversion/extension conditions
5๏ธโฃ RSI Divergence Detection (Structure Confirmation)
Regular bullish/bearish divergence
Hidden bullish/bearish divergence (continuation patterns)
Automatic pivot detection with configurable lookback/range constraints
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๐ฏ SIGNAL TYPES (LEGEND)
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โ Strong Confluence โ Large Diamond โ High-confidence multi-factor alignment (score โฅ Strong threshold)
โ Moderate Confluence โ Small Diamond โ Moderate alignment (score โฅ Moderate threshold)
โฒ VWAP Signal โ Triangle โ RSI transition + VWAP band breach (context layer)
โ CVD Spike โ Circle โ CVD/price divergence spike (statistical outlier)
๐ Divergence โ Label + line โ Regular/hidden divergence detected
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๐จ VISUAL ELEMENTS
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RSI Candles: Green (oversold), Red (overbought), Gray (neutral)
Squeeze Dots (around the 50 line): show compression state vs release
Background Shading: intensity reflects Net Confluence (Buy โ Sell)
Confluence Label (optional): displays Net score + Buy/Sell components
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โ๏ธ SETTINGS GUIDE
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Confluence Thresholds
Strong Signal (default 2.5): typically requires multiple aligned factors
Moderate Signal (default 1.5): fewer factors aligned
Weight Customization
Each factor's contribution is adjustable, including:
RSI Extreme vs RSI Transition
Squeeze Building vs Squeeze Fire
VWAP Deviation
CVD Spike
Regular vs Hidden Divergence
This lets you tune the engine for different instruments/timeframes.
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๐ HOW TO USE (PRACTICAL WORKFLOW)
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1. Start with Diamonds (permission layer):
Strong diamonds = highest agreement across modules; Moderate = partial agreement.
2. Use Squeeze regime for timing:
Compression = patience; release/expansion = momentum opportunity (or risk of chasing).
3. Use VWAP deviation for context:
Best interpreted as extension/mean-reversion context when paired with RSI transitions.
4. Use CVD spikes + divergence as confirmation or warning:
Spikes often highlight disagreement between flow proxy and price; divergence highlights momentum structure shifts.
5. Combine with price action & levels:
This tool quantifies confluence โ it's strongest when used alongside structure/levels/risk management.
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๐ NOTES & LIMITATIONS (TRANSPARENCY)
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MTF Squeeze: if enabled, higher timeframe values can update until the HTF candle closes (expected HTF behavior).
Pivot-based divergence: divergence signals are confirmed with a right-lookback, so they appear after pivots are established.
CVD: this is not exchange bid/ask delta; results can vary by symbol/data feed.
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๐ ALERTS AVAILABLE
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Strong/Moderate Buy/Sell Confluence
Regular/Hidden Bullish/Bearish Divergence
High Compression Squeeze + Squeeze Fired
VWAP Buy/Sell Signals
CVD Bullish/Bearish Spikes
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โ ๏ธ RISK DISCLAIMER
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Educational/informational use only. Trading involves substantial risk. Past performance is not indicative of future results. Do not trade solely based on indicator signals โ always use risk management.
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RSI Level Candles [fmb]RSI Level Candles
What it is
RSI Level Candles is a minimal, high-signal overlay that keeps your attention on price. It paints candles by RSI regime and adds tiny edge dots to highlight extreme momentum. The design goal is speed and clarity with no clutter.
Why it was built
Most RSI tools sit in a separate pane and introduce noise with extra lines, labels, and overlapping thresholds. This indicator moves the information onto price itself. You see regime directly on the candles and only the most important alerts when RSI is in extreme territory.
What it does
Candles change color according to RSI. Above the neutral high (default 60) they turn green. At the high extreme (default 70, or 80 if you prefer) they turn lime. Between 40 and 60 you may show a soft yellow neutral band or leave candles unpainted. Below the neutral low (default 40) candles turn red, and at or below the low extreme (default 30, or 20 if you prefer) they turn maroon. The indicator also prints small dots at the top and bottom of the pane to spotlight extremes. A green dot appears at the top on any bar with RSI at or above the high extreme. A red dot appears at the bottom on any bar with RSI at or below the low extreme.
How this helps
You get an instant read on momentum regime without leaving the price chart. Extremes are easy to spot which helps manage chase or exhaustion risk. The neutral band behavior helps distinguish trend days from range days and supports cleaner add or trim decisions within an existing trend.
Best practices
Treat 60 and 40 as momentum gates. Above 60 favors a long bias and additive entries on pullbacks. Below 40 favors a defensive posture on longs or a short bias. Use extremes for management rather than automatic reversal calls. In strong trends RSI can remain extreme for extended periods. Look for a change in market structure or a clear reclaim of 60 or 40 before shifting bias. Combine this overlay with simple structure and trend filters such as support and resistance, a 20 or 50 period moving average, and volume or volatility context.
Inputs
You can set RSI source and length, choose neutral low and high, and choose extreme low and high. The neutral band can be shown in soft yellow between 40 and 60 or turned off entirely. You can also toggle candle painting on or off if you only want the extreme dots.
Reading the colors
Lime indicates the extreme bullish zone. Green indicates bullish momentum. Yellow indicates the optional neutral band. Red indicates bearish momentum. Maroon indicates the extreme bearish zone. A small green dot at the top means the bar is in the high extreme. A small red dot at the bottom means the bar is in the low extreme.
Use cases
For trend following, stay aligned with the prevailing regime while avoiding overreactions to small fluctuations. For swing entries, buy pullbacks while RSI holds above 40 in uptrends, and fade bounces that stall under 60 in downtrends. For risk control, trim strength that pushes into extremes and stalls, then re-add on momentum reclaims.
Limitations
RSI measures momentum, not direction by itself. Do not use it in isolation. Extremes can persist during strong trends, so wait for structure or momentum re-tests before changing bias. Very illiquid symbols can create noisy signals.
Notes
Dots are designed to appear on every bar that sits inside the extreme zones. If you prefer single entry dots, change the logic to look for crosses rather than conditions. There is no separate RSI pane, no text labels, and no cross markers. The objective is simplicity and speed.
Augury Grid - Multi-Timeframe ScannerAugury Grid - Multi-Timeframe Scanner
A real-time scanner that monitors 7 symbols across 3 timeframes simultaneously, ranking signals by quality and displaying them in a single organized table. Instead of flipping between charts, the grid brings potential setups to you, complete with entry prices, stop losses, and take profit targets.
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๐ถ ๐ข๐ฉ๐๐ฅ๐ฉ๐๐๐ช
Augury Grid scans 21 symbol-timeframe combinations every bar (7 symbols ร 3 timeframes) and displays only the setups that pass multiple quality filters. Each signal receives a quality score based on trend alignment, momentum confirmation, and volume participation. The grid ranks signals from strongest to weakest and automatically removes signals when their stop loss level is hit.
The scanner works across any market: crypto, forex, indices, stocks, or commodities. Eight built-in symbol presets provide instant access to popular watchlists, and a Custom mode allows scanning any 7 symbols of your choice.
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๐ถ ๐๐ข๐ช ๐๐ง ๐ช๐ข๐ฅ๐๐ฆ
The scanner evaluates each symbol-timeframe combination through several analytical layers. Here is what each component does and how to interpret its output.
๐ง๐ฟ๐ฒ๐ป๐ฑ ๐๐น๐ถ๐ด๐ป๐บ๐ฒ๐ป๐
What it does: Compares the 21 EMA against the 55 EMA to determine trend direction, and checks price position relative to the 200 EMA for major trend context.
How to interpret: Bullish signals require price above EMA 200 with the fast EMA above the slow EMA. Bearish signals require the opposite. This dual-layer trend check helps filter signals that go against the dominant market structure.
๐ ๐๐๐ ๐๐ฟ๐ผ๐๐๐ผ๐๐ฒ๐ฟ
What it does: Monitors the MACD histogram for zero-line crossovers, which indicate shifts in short-term momentum.
How to interpret: A bullish signal triggers when the histogram crosses above zero during an uptrend. A bearish signal triggers when the histogram crosses below zero during a downtrend. The histogram amplitude is also measured to filter out weak, choppy crosses.
๐๐๐ซ ๐ง๐ฟ๐ฒ๐ป๐ฑ ๐ฆ๐๐ฟ๐ฒ๐ป๐ด๐๐ต
What it does: Measures the strength of the current trend using the Average Directional Index.
How to interpret: Signals require ADX above a configurable minimum (default 20) to confirm meaningful trend strength. Rising ADX adds bonus points to the quality score. ADX below the threshold blocks signals entirely, as ranging markets tend to produce whipsaws.
๐ฉ๐ผ๐น๐๐บ๐ฒ ๐๐ผ๐ป๐ณ๐ถ๐ฟ๐บ๐ฎ๐๐ถ๐ผ๐ป
What it does: Compares current volume against the 20-bar average.
How to interpret: Signals require volume at or above a configurable multiplier (default 1.3ร) of the average. Volume participation suggests institutional interest and increases the probability that a move will follow through.
๐ฅ๐ฆ๐ ๐๐ถ๐น๐๐ฒ๐ฟ๐ถ๐ป๐ด
What it does: Checks RSI position to avoid overbought and oversold extremes, and awards bonus points for mid-range readings.
How to interpret: Bullish signals are blocked when RSI exceeds 70 (overbought). Bearish signals are blocked when RSI falls below 30 (oversold). Signals with RSI in the configurable mid-range (default 40-60) receive bonus points because they have more room to run before hitting extremes.
๐๐
๐๐ฒ๐ป๐๐ถ๐ผ๐ป ๐๐ต๐ฒ๐ฐ๐ธ
What it does: Measures how far price has moved from the 21 EMA in terms of ATR multiples.
How to interpret: If price is more than the configured threshold (default 2.5 ATR) from the EMA, the signal is blocked. Extended moves carry higher risk of mean reversion, so avoiding them helps filter chasing behavior.
๐ค๐๐ฎ๐น๐ถ๐๐ ๐ฆ๐ฐ๐ผ๐ฟ๐ถ๐ป๐ด
What it does: Combines all factors into a single score from 0-100, displayed as stars in the Bias column.
How to interpret: โ
indicates a score of 70-84, โ
โ
indicates 85-94, and โ
โ
โ
indicates 95 or higher. Higher scores typically mean more factors are aligned: rising ADX, mid-range RSI, growing histogram, and volume participation all contribute bonus points.
๐ ๐๐น๐๐ถ-๐ง๐ ๐๐ผ๐ป๐ณ๐น๐๐ฒ๐ป๐ฐ๐ฒ
What it does: Detects when the same symbol has signals on multiple timeframes pointing in the same direction.
How to interpret: A ๐ symbol appears when 2 timeframes agree, and ๐๐ appears when all 3 timeframes agree. These confluence signals receive bonus points (+15 for 2 TFs, +30 for 3 TFs) and often represent stronger setups because multiple perspectives align.
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๐ถ ๐ช๐๐ฌ ๐ง๐๐๐ฆ๐ ๐๐ข๐ ๐ฃ๐ข๐ก๐๐ก๐ง๐ฆ ๐ช๐ข๐ฅ๐ ๐ง๐ข๐๐๐ง๐๐๐ฅ
Each filter addresses a different aspect of trade quality. Trend alignment ensures the signal follows the dominant direction. MACD crossovers provide timing for momentum shifts. ADX confirms the trend has strength behind it. Volume validates institutional participation. RSI filtering prevents chasing into extremes. Extension checks prevent chasing runaway moves.
The scoring system synthesizes these elements into a single ranking. Rather than treating all passing signals equally, the scanner weights signals by how many favorable conditions align. A signal with rising ADX, mid-range RSI, and growing histogram will rank higher than a signal that just barely passes the minimum thresholds.
The multi-timeframe confluence detection adds another dimension. When the 15-minute, 4-hour, and daily timeframes all show bullish signals for the same symbol, the alignment across perspectives often indicates a higher-quality opportunity than a signal appearing on just one timeframe.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐๐ข๐ช ๐ง๐ข ๐จ๐ฆ๐
Step 1: Select a Display Preset based on your screen size. Desktop shows all 9 columns at normal text size, positioned in the top right corner. Mobile uses tiny text optimized for phone screens, positioned at the bottom right to avoid interfering with price action. Minimal shows only 5 essential columns (#, Symbol, TF, Bias, Entry) for users who want a quick-glance view without the extra detail. Custom unlocks full control over every display setting: text size, position, abbreviations, row count, and individual column visibility.
Step 2: Choose a Symbol Preset or create a custom watchlist. The scanner includes presets for Crypto Majors on Binance (BTC, ETH, SOL, BNB, XRP, ADA, AVAX), Crypto Majors on Bybit (same symbols, different exchange), Altcoins (ADA, AVAX, DOT, LINK, NEAR, ATOM, UNI), Meme Coins (DOGE, SHIB, PEPE, FLOKI, LUNC, PEOPLE, WIF), Forex Majors (EUR/USD, GBP/USD, USD/JPY, AUD/USD, USD/CAD, USD/CHF, NZD/USD), US Indices (SPY, QQQ, DIA, IWM, VTI, VOO, XLF), US Tech Giants (AAPL, MSFT, GOOGL, NVDA, TSLA, META, AMZN), and Commodities (Gold, Silver, Oil, Gas, Copper, Platinum, Palladium). Select Custom to define your own 7 symbols.
Step 3: Configure your timeframes. The defaults are 15-minute, 4-hour, and Daily, providing coverage across intraday scalping, swing trading, and position trading perspectives. Adjust these to match your preferred trading style. Day traders might use 5m, 15m, 1H. Swing traders might use 1H, 4H, D. Position traders might use 4H, D, W.
Step 4: Set your target multipliers. Stop Loss and Take Profit distances are calculated as ATR multiples. The defaults are 1.5ร ATR for stop loss, 2ร ATR for first target (TP1), and 3ร ATR for the runner target (TP2). Tighter stops mean smaller losses but more frequent stop-outs. Wider stops give trades more room but increase risk per trade.
Step 5: Read the grid from top to bottom. The highest-ranked signal appears at position 1. Each row displays: rank number, symbol ticker, timeframe, direction with quality stars and confluence markers, signal age (how long ago it triggered), entry price (where the signal fired), stop loss level, take profit level, and current P&L percentage showing unrealized profit or loss.
Step 6: Use confluence indicators for stronger setups. When you see ๐ next to a signal, that symbol has matching direction on 2 timeframes. When you see ๐๐, all 3 timeframes agree. These confluence signals receive automatic score bonuses and often represent more reliable opportunities because the setup is confirmed across multiple time perspectives.
Step 7: Monitor signal age and P&L. Fresh signals (age under 1 hour) show developing momentum. Older signals with positive P&L may be extended. Older signals with negative P&L approaching stop loss may soon be removed from the grid. The scanner automatically removes any signal when current price crosses the stop loss level.
๐๐
๐ฎ๐บ๐ฝ๐น๐ฒ ๐ฆ๐ฐ๐ฒ๐ป๐ฎ๐ฟ๐ถ๐ผ๐
*Example Scenario A (Trend Continuation):*
Grid shows BTC with Bull โ
โ
โ
๐๐ on the 4H timeframe, ranked first. Signal age is 2 days, current P&L shows +1.5%. The triple star rating indicates strong factor alignment (rising ADX, mid-range RSI, growing histogram). The double confluence marker shows 15m, 4H, and Daily all agree bullish. This type of setup suggests the trend has conviction across multiple perspectives.
*Example Scenario B (Momentum Fading):*
ETH appears with Bull โ
โ
on the 15m, but the P&L column shows -2.3%. The signal triggered 6 hours ago but price has moved against the entry. The stop loss column shows 3,450 and current price is approaching that level. When price hits stop loss, the scanner will automatically remove this signal and begin looking for fresh setups.
*Example Scenario C (Exhaustion Warning):*
SOL shows Bear โ
at position 5 in the grid. The single star indicates minimum passing score (70-84 range). No confluence marker appears, meaning only one timeframe shows bearish. This type of signal has fewer confirming factors and may warrant additional caution or smaller position sizing.
*Example Scenario D (Fresh Signal Appearing):*
The grid has been showing 4 signals for the past hour. A new row appears at position 2 with BNB Bull โ
โ
โ
and Age showing 3m. The fresh signal just triggered on the 4H timeframe with high quality score. When new signals appear near the top of the grid with strong ratings, they often indicate developing momentum that passed all filters at the current bar.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐ก๐๐ฉ๐๐๐๐ง๐๐ก๐ ๐๐๐๐๐๐ฅ๐๐ก๐ง ๐ ๐๐ฅ๐๐๐ง ๐๐ข๐ก๐๐๐ง๐๐ข๐ก๐ฆ
๐ง๐ฟ๐ฒ๐ป๐ฑ๐ถ๐ป๐ด ๐ ๐ฎ๐ฟ๐ธ๐ฒ๐๐
During strong trends, the grid typically shows multiple signals in the same direction across different symbols. Higher ADX readings produce more โ
โ
and โ
โ
โ
signals. Confluence markers appear more frequently as timeframes align. The scanner works well in trending conditions because its filters are designed to identify trend-following setups.
๐ฅ๐ฎ๐ป๐ด๐ถ๐ป๐ด ๐ ๐ฎ๐ฟ๐ธ๐ฒ๐๐
During sideways consolidation, the grid may show fewer signals or signals with lower quality scores. ADX typically falls below 20, which blocks most signals. This is intentional: the scanner reduces output during choppy conditions to avoid whipsaw trades. If the grid shows few or no signals, it may indicate the market lacks clear directional bias.
๐ฉ๐ผ๐น๐ฎ๐๐ถ๐น๐ฒ ๐ ๐ฎ๐ฟ๐ธ๐ฒ๐๐
High volatility periods may produce signals that hit stop losses quickly. The P&L column helps track which signals are working and which are struggling. The automatic SL-hit removal feature keeps the grid focused on active opportunities rather than failed setups. Consider widening stop loss multipliers during high-volatility regimes.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐ง๐๐๐๐ก๐๐๐๐ ๐๐๐ง๐๐๐๐ฆ
The scanner uses exponential moving averages for trend detection, with fast and slow periods optimized for swing trading timeframes. MACD uses standard parameters for histogram calculation. RSI uses a standard lookback period for overbought and oversold detection. ADX uses a standard smoothing period for trend strength measurement. ATR calculates volatility for position sizing and extension detection.
All signal detection runs on confirmed bars to prevent repainting. The scanner remembers the entry price, ATR, and timestamp when each signal triggers, allowing accurate stop loss and take profit calculations even as the market moves. Stop loss hit detection compares current price against the stored entry and ATR values.
The scoring system weights each factor based on empirical testing across multiple market conditions. Mandatory factors (trend, MACD cross, ADX minimum, volume, RSI extremes, extension) must all pass for a signal to appear. Bonus factors (rising ADX, mid-range RSI, growing histogram, confluence) add points to the quality score.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐จ๐ก๐๐ค๐จ๐ ๐๐๐๐ง๐จ๐ฅ๐๐ฆ
โข Multi-symbol, multi-timeframe scanning in a single indicator (21 combinations)
โข Automatic signal invalidation when stop loss is hit
โข Quality scoring with star ratings for quick visual assessment
โข Multi-timeframe confluence detection with ๐ indicators
โข Eight built-in symbol presets covering crypto, forex, indices, and commodities
โข Four display presets optimized for different screen sizes
โข Configurable signal thresholds for ADX, RSI, volume, and extension
โข Real-time P&L tracking for each active signal
โข Actionable alerts with entry, stop loss, and take profit included
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐ฆ๐๐ง๐ง๐๐ก๐๐ฆ ๐ข๐ฉ๐๐ฅ๐ฉ๐๐๐ช
๐๐ถ๐๐ฝ๐น๐ฎ๐ ๐๐ฟ๐ผ๐๐ฝ
โข Display Preset: Desktop, Mobile, Minimal, or Custom
โข Text Size: Tiny, Small, Normal, or Large (Custom only)
โข Position: 9 positions available (Custom only)
โข Abbreviate: Shorter text labels (Custom only)
โข Show Rows: 1-7 rows displayed (Custom only)
โข Column toggles: Show or hide each of the 9 columns (Custom only)
๐๐ผ๐น๐ผ๐ฟ๐ ๐๐ฟ๐ผ๐๐ฝ
โข Bullish, Bearish, Neutral colors
โข Header and row background colors
โข Entry, Stop Loss, Take Profit, Timeframe text colors
๐๐ถ๐น๐๐ฒ๐ฟ๐ ๐๐ฟ๐ผ๐๐ฝ
โข Min Score: Minimum quality score to display (0-100)
โข Show Top N: Maximum signals to display (1-7)
๐ฆ๐ถ๐ด๐ป๐ฎ๐น ๐ง๐๐ป๐ถ๐ป๐ด ๐๐ฟ๐ผ๐๐ฝ
โข ADX Minimum: Trend strength threshold (10-40)
โข RSI Range Low/High: Mid-range bonus bounds (20-50, 50-80)
โข Volume Spike ร: Volume multiplier requirement (1.0-3.0)
โข Extension ATR: Maximum distance from EMA (1.0-5.0)
๐ง๐ฎ๐ฟ๐ด๐ฒ๐๐ ๐๐ฟ๐ผ๐๐ฝ
โข SL รATR: Stop loss distance as ATR multiple
โข TP1 รATR: First take profit as ATR multiple
โข TP2 รATR: Runner target as ATR multiple
๐ง๐ถ๐บ๐ฒ๐ณ๐ฟ๐ฎ๐บ๐ฒ๐ ๐๐ฟ๐ผ๐๐ฝ
โข TF 1, TF 2, TF 3: The three timeframes to scan
๐ฆ๐๐บ๐ฏ๐ผ๐น ๐ฃ๐ฟ๐ฒ๐๐ฒ๐ ๐๐ฟ๐ผ๐๐ฝ
โข Preset: Crypto Majors (Binance), Crypto Majors (Bybit), Altcoins, Meme Coins, Forex Majors, US Indices, US Tech Giants, Commodities, or Custom
โข Custom Symbols 1-7: Your own symbols when preset is Custom
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐๐๐๐ฅ๐ง๐ฆ
The scanner provides 45 alert conditions.
๐๐ฐ๐๐ถ๐ผ๐ป๐ฎ๐ฏ๐น๐ฒ ๐๐น๐ฒ๐ฟ๐๐ (42)
Each symbol-timeframe-direction combination has its own dynamic alert. Alert messages include the symbol, timeframe, direction, entry price, stop loss, and take profit. Example message: "๐ข BTC 4H BULL | Entry: 89,500 | SL: 88,200 | TP: 91,100"
To receive these alerts, create an alert on this indicator and select "Any alert() function call" as the condition.
๐ฆ๐ถ๐บ๐ฝ๐น๐ฒ ๐๐น๐ฒ๐ฟ๐๐ (3)
โข Any Bullish (Simple): Triggers when any bullish signal appears
โข Any Bearish (Simple): Triggers when any bearish signal appears
โข Any Signal (Simple): Triggers when any signal appears
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐๐๐ ๐๐ง๐๐ง๐๐ข๐ก๐ฆ
โข Your chart timeframe must be EQUAL TO or LOWER than your lowest scanner timeframe (TF 1). Scanning 15m data from a 4H chart causes memory errors. If you see "Memory limits exceeded", lower your chart TF or raise TF 1.
โข Maximum of 7 symbols can be scanned simultaneously due to TradingView's security function limits
โข Signals are based on confirmed bar data; intrabar movements are not evaluated until bar close
โข The scanner identifies potential setups based on technical criteria; it does not predict future price movement
โข Performance varies across different market conditions; trending markets typically produce better results than ranging markets
โข Symbol presets are fixed; adding or removing symbols from presets requires code modification
โข Alerts fire once per bar close; rapid intrabar signals are not captured
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐๐ข๐ก๐๐๐จ๐ฆ๐๐ข๐ก
Augury Grid consolidates multi-symbol, multi-timeframe scanning into a single organized display. The quality scoring system helps prioritize signals, the confluence detection identifies cross-timeframe agreement, and the automatic stop loss tracking keeps the grid focused on active opportunities. Whether scanning crypto majors, forex pairs, or stock indices, the scanner provides a structured approach to identifying and ranking potential setups across your watchlist.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐๐๐ฆ๐๐๐๐๐ ๐๐ฅ
Trading is risky and most traders lose money. This indicator is provided for informational and educational purposes only. It does not constitute financial advice, and past performance does not guarantee future results. All content, tools, and analysis should not be considered as recommendations to buy or sell any asset. Users are solely responsible for their own trading decisions. Always use proper risk management and consider consulting a qualified financial advisor before making trading decisions.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Questions or feedback? Send a private message.
ADX DMI SqueezeOverview
This indicator combines:
ADX / DMI โ Measures trend strength and direction
ADX Squeeze Histogram โ Shows when the trend is accelerating or โsqueezingโ for a breakout
Triangles โ Highlight potential expansion points
Optional DI+ / DIโ lines โ Show bullish/bearish dominance
ADX Threshold Lines (15 / 20) โ Help filter weak trends
Early ADX Acceleration Dots โ Provide an early heads-up before a squeeze fires
It can be used standalone or alongside other trend tools like VWAP for better entry timing.
Entry Guidelines
Long Trades (Buy):
Histogram above 0
Green triangle appears
ADX rising or above threshold (15/20 recommended)
Optional: DI+ > DIโ confirms bullish strength
Short Trades (Sell):
Histogram above 0
Red triangle appears
ADX rising or above threshold (15/20 recommended)
Optional: DIโ > DI+ confirms bearish strength
Avoid trades if:
Histogram negative
Triangles appear but ADX below threshold or trend not confirmed by DI linesOptional Filters
Require ADX acceleration: Only shows signals when ADX is increasing โ avoids late or false entries
VWAP Bias: Session-anchored institutional positioning (best for open & intraday scalps).
MA Bias: Time-based trend direction (best for continuation & trend days).
Tips
Best on 30-min or higher timeframes for swing/short-term trend trades
Can be combined with VWAP Moving averages , support/resistance, or Bollinger Bands
Use DI lines toggle if you want extra visual trend confirmation
Adjust DMI length (sensitivity) and ADX smoothing for your preferred timeframe
Interpretation
Histogram turning green above 0 + triangle โ strong bullish move forming
Histogram turning red above 0 + triangle โ strong bearish move forming
ADX above 20 โ strong trend, more reliable
ADX below 15 โ weak trend, signals less reliable
In short:
Long = Green bars above 0 + Green triangleโจShort = Red bars above 0 + Red triangleโจConfirm with ADX above threshold and optionally DI lines
yesterday
Institutional Volume RSI [Adaptive]The Institutional Volume RSI is a next-generation momentum oscillator designed to solve the two biggest problems with standard RSI: Price Deception and Static Thresholds.
Standard RSI uses fixed 70/30 levels to define "Overbought" and "Oversold." This is flawed because in a strong institutional trend, the market can stay "Overbought" for weeks. Selling just because RSI hit 70 is a guaranteed way to lose money.
This tool fixes that.
It replaces static lines with Adaptive Volatility Bands . These bands breathe with the marketโexpanding during trends and contracting during squeezesโgiving you a dynamic, statistically significant view of true momentum.
How It Works
The engine runs on three institutional concepts:
1. Volume-Weighted Source (VWMA) ๐
We calculate RSI based on Volume Weighted Moving Average , not just Close price.
Low Volume Move: RSI ignores it (Fakeout).
High Volume Move: RSI reacts aggressively (True Momentum).
2. Adaptive Volatility Bands ๐
Instead of fixed lines, we use dynamic bands (similar to Bollinger Bands) applied directly to the RSI.
The Trend Ride: As long as the RSI line stays inside or above the Upper Band, the trend is strong. Do not sell.
The Squeeze: When the bands contract (get tight), it signals that volatility is dead and a massive explosive move is imminent.
3. Dynamic Sentiment Coloring ๐จ
Green Line: RSI is above the baseline (Bullish Control).
Red Line: RSI is below the baseline (Bearish Control).
White Dots: These appear when RSI breaks outside the bands, signaling an extreme statistical anomaly (often a climax top or bottom).
The "Elastic Snap" Strategy
Recommended Companion: Hooke's Law: Market Elasticity
This indicator is the perfect "Trigger" for a Mean Reversion system. We recommend pairing it with a Reversal indicator (like Hooke's Law) to create a complete Setup + Trigger system.
The Strategy Rules:
1. The Setup (The Stretch) ๐
Wait for your Reversal Indicator (e.g., Hooke's Law) to identify an overextended market condition (Overbought/Oversold).
Context: The rubber band is stretched tight.
2. The Trigger (The Snap) ๐ซ
Do not enter blindly! Look at the IV-RSI :
For Shorts: Wait for the RSI line to turn RED . This confirms that momentum has actually rolled over.
For Longs: Wait for the RSI line to turn GREEN . This confirms that buyers have stepped in.
3. The Filter (The Safety) ๐ก๏ธ
If price hits your Stop Loss level before the IV-RSI changes color, cancel the trade . This prevents you from shorting a strong trend that is simply "melting up" without volume exhaustion.
Settings & Configuration
RSI Length: Default is 14.
Source Type: VWMA (Volume Weighted) is recommended for institutional analysis.
Bands Multiplier: Default is 2.0 (Standard Deviation). Increasing this to 2.5 will make the "White Dot" extremes rarer and more significant.
Disclaimer
Trading involves a high level of risk and is not suitable for all investors. The content provided here is for educational purposes only and does not constitute financial advice. Past performance is not indicative of future results. The author (abgthecoder) is not responsible for any financial losses incurred from the use of this indicator. Always use proper risk management and never trade with money you cannot afford to lose. This tool is provided "as is" with open source code for the benefit of the trading community.
EMA 8 Break & Retest ScalperEMA 8 Break & Retest, Candle Close und Wick
BUY / SELL Signale
Scalping
EMA 8 Break & Retest, Candle Close and Wick
BUY / SELL Signals
Scalping
Martell Liquidation Reversal Premium๐ Recommended Settings by Timeframe
โฑ๏ธ 1โMinute Timeframe (Aggressive Scalping)
Best for traders seeking fast entries during highโvolatility conditions.
Z Score Length: 150
ZโScore Threshold: 3.5
Liquidation Timeout Bars: 12
Min Transparency: 40
Max Transparency: 80
Bullish Base Color: Bright Green
Bearish Base Color: Bright Red
Neutral Candle Color: Light Gray
๐ Higher threshold to reduce noise. Faster reaction time for quick scalps.
โฑ๏ธ 3โMinute Timeframe (Moderate Scalping)
Balanced configuration for precision and stability.
Z Score Length: 200
ZโScore Threshold: 3.2
Liquidation Timeout Bars: 18
Min Transparency: 30
Max Transparency: 70
Bullish Base Color: Standard Green
Bearish Base Color: Standard Red
Neutral Candle Color: Medium Gray
๐ Ideal balance between sensitivity and confirmation.
โฑ๏ธ 5โMinute Timeframe (Conservative Scalping / Intraday)
Designed for cleaner signals and reduced drawdown.
Z Score Length: 300
ZโScore Threshold: 3.0
Liquidation Timeout Bars: 24
Min Transparency: 30
Max Transparency: 70
Bullish Base Color: Dark Green
Bearish Base Color: Dark Red
Neutral Candle Color: Dark Gray
๐ More filtered signals, fewer false reversals, stronger trend confirmation.
Macro Compass: COT+ PCR + Volatility Sentiment w 5-Gate Signals
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
MACRO COMPASS - Institutional Sentiment & COT Analysis
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Macro Compass provides institutional-grade sentiment analysis by combining Commitment of Traders (COT) data with Put/Call Ratios and Volatility indices through a proprietary Five-Gate Signal System .
Unlike simple COT indicators that just display positioning data, this tool implements a confluence-based methodology - signals only fire when multiple uncorrelated conditions align. The indicator automatically adapts its analysis based on asset class, using the appropriate COT report type and contrarian metric for each market.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ฆ THE FIVE-GATE SIGNAL SYSTEM
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
This is the core innovation. Each gate represents an independent analysis dimension:
๐ฏ GATE 1: Price Location
Is price at a significant technical level?
ATR Proximity โ Price within NรATR of range extremes
Manual Levels โ User-defined support/resistance zones
Percentage Range โ Price within X% of 52-week high/low
๐ GATE 2: COT Index Extreme
Is Smart Money positioning at a historical extreme?
Normalizes net positioning over configurable lookback (default: 52 weeks)
Bullish when index โฅ 90 (institutions extremely long)
Bearish when index โค 10 (institutions extremely short)
๐ GATE 3: Absolute Position Extreme
Is raw positioning at multi-year extremes?
Uses extended lookback (2ร normal period) for longer-term context
Confirms Gate 2 signal with additional validation
Filters noise from short-term normalization
โ๏ธ GATE 4: Smart Money vs Contrarian Divergence
Are institutions positioned opposite to "dumb money"?
Equities: Smart Money vs Retail (Nonreportable)
Commodities: Managed Money vs Commercial Hedgers
Currencies/Bonds: Speculators vs Commercials
Requires minimum spread between groups
๐ง GATE 5: Sentiment Confirmation (PCR + VIX)
Is market sentiment at a contrarian extreme?
BULLISH: High PCR (>1.15) = Fear | High VIX (>25) = Panic
BEARISH: Low PCR (<0.70) = Greed | Low VIX (<12) = Complacency
Configurable: Require BOTH or EITHER to confirm
Signal Generation:
Default Mode: Requires 3 of 5 gates to pass
Strict Mode: Requires all 5 gates
Cooldown period prevents signal spam
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ ASSET-CLASS AWARE ANALYSIS
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
The indicator automatically selects the appropriate COT data source:
๐ Equity Indices (ES, NQ, YM, RTY, VX, BTC, ETH)
โ Report: Financial | Smart: Leveraged Funds | Contrarian: Retail
๐ฅ Commodities (GC, SI, CL, NG, ZC, ZS, etc.)
โ Report: Disaggregated | Smart: Managed Money | Contrarian: Commercial
๐ฑ Currencies (6E, 6J, 6B, 6A, 6C, 6S, DX)
โ Report: Legacy | Smart: Noncommercial | Contrarian: Commercial
๐ Bonds (ZN, ZB, ZT, ZF)
โ Report: Legacy | Smart: Noncommercial | Contrarian: Commercial
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ HOW TO READ THE CHART
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Main Plot Lines:
๐ข Green Line โ Smart Money positioning (0-100 normalized)
๐ด Red/Orange Line โ Contrarian positioning (adapts to asset class)
Background Shading:
Green tint = Price in demand zone (Gate 1 bullish)
Red tint = Price in supply zone (Gate 1 bearish)
Gradient intensity = Smart Money conviction level
Signal Labels:
"BULLISH X/5 Gates" = Multiple gates aligned bullish
"BEARISH X/5 Gates" = Multiple gates aligned bearish
Small circles (bottom) = Hidden accumulation detected
Small circles (top) = Hidden distribution detected
Reference Lines:
Upper dashed (90) = Bullish extreme threshold
Lower dashed (10) = Bearish extreme threshold
Middle dotted (50) = Neutral line
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ GATE STATUS PANEL (Bottom Left)
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Real-time status of all five gates:
โ = Gate condition met | โ = Gate condition not met
Shows current values for each gate
Gate 5 displays sentiment status (FEAR / GREED / Neutral)
Bottom row shows total confluence count (X/5)
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ MAIN DASHBOARD (Top Right)
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
COT Section:
Smart Money โ Current normalized positioning with insight
Contrarian โ Retail or Commercial (adapts to asset class)
Z-Score โ Statistical deviation (>2 = extreme)
Sentiment Section:
VIX โ S&P 500 fear gauge
VXN โ Nasdaq volatility / tech fear gauge
PCC โ Total Put/Call ratio (primary for Gate 5)
PCCI โ Institutional Put/Call (smart money options)
PCCE โ Equity Put/Call (retail options activity)
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ HIDDEN ACCUMULATION / DISTRIBUTION
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Detects when Smart Money is quietly positioning opposite to price:
Accumulation โ Price falling but Smart Money buying โ Bullish
Distribution โ Price rising but Smart Money selling โ Bearish
This often precedes major reversals as institutions build positions before the move becomes obvious.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ SUPPORTED MARKETS (40+)
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Indices: ES, NQ, YM, RTY, VX, BTC, ETH
Metals: GC, SI, HG, PL, PA
Energy: CL, NG, HO, RB
Currencies: 6E, 6J, 6B, 6A, 6C, 6S, DX
Bonds: ZN, ZB, ZT, ZF
Grains: ZC, ZS, ZW, ZL, ZM
Softs: KC, SB, CT, CC
Meats: LE, HE, GF
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ๏ธ SETTINGS OVERVIEW
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Data Source โ Auto-detects symbol or manual override from 40+ futures
COT Settings โ Lookback period (default 52 weeks), optional smoothing
Gate 1 โ Detection method (ATR/Manual/Percentage), ATR multiplier
Gate 2 & 3 โ Bullish/bearish thresholds, extreme percentile
Gate 4 โ Minimum divergence spread, contrarian thresholds
Gate 5 โ PCR/VIX thresholds, require both or either confirmation
Signals โ Minimum gates required (2-5), cooldown period
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ ALERTS INCLUDED
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Bullish/Bearish Signal (5-Gate Confluence)
Entered Demand/Supply Zone (Gate 1)
COT Extreme Bullish/Bearish (Gate 2)
Sentiment Fear/Greed Extreme (Gate 5)
Hidden Accumulation/Distribution
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ
BEST PRACTICES
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Use Daily or Weekly timeframes โ COT is weekly, sentiment is daily
Wait for 4+ gates โ Higher gate count = higher probability setup
Gate 5 confirms extremes โ PCR + VIX often mark turning points
Combine with price action โ Use as confluence, not standalone
Monitor the spread โ Larger Smart/Contrarian gap = stronger signal
Watch hidden signals โ Accumulation/distribution precedes moves
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ IMPORTANT NOTES
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
COT data released weekly (Friday for previous Tuesday)
PCR and VIX data updates daily
Values normalized to 0-100 scale for easy interpretation
Uses TradingView's official LibraryCOT for reliability
Works on any timeframe but data has inherent lag
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Cruzamento MACD 15 min sauloCruzamento macd nos 15 min, quando acontece o cruzamento o indicador da o sinal de compra e venda.
eXquTrading | Smart Money ICTeXquTrading | Smart Money ICT
An ICT/SMC-style โmarket mapโ overlay indicator that combines trend context, market-structure events, nearest FVG/BPR zones, volumized order blocks, and 8X confirmations in a single viewโdesigned to support cleaner and more systematic decision-making.
Features
EMA 9/21/50: Core EMA set for structure & trend reading.
144/169 Cloud Trend: Trend zone and directional filtering.
Market Structure: CHoCH / BOS / IDM / Sweeps markers.
Nearest FVG + BPR: Draws the closest bull/bear FVG and marks BPR overlap when present.
Volumized Order Blocks: Volume-based OB zones with invalidation rules (Wick/Close) and zone count options (High/Medium/Low/One).
Dashboards:
Top-right: oscillator-based analysis panel + decision row
Bottom-right: multi-timeframe trend summary based on EMA(50)
8X Labels: Multi-confirmation BUY/SELL labels.
Watermark: Title/subtitle plus symbol/time info.
How to Use (Quick Workflow)
Define direction: Use the cloud + MTF trend panel for overall bias.
Wait for structure: Track CHoCH/BOS and observe IDM/Sweep interactions.
Pick a reaction zone: Focus on FVG/BPR and/or OB areas.
Confirm & filter: Use 8X labels and dashboards to filter trade quality.
Disclaimer
Not financial advice. Trading involves substantial risk. Always use proper risk management.
Alerts
8X SCALP BUY
8X SCALP SELL
CPR OI Toolkit - All in one indicatorThis is experimental indicator which is an extend my pre triple EMA indicator. I have been using this indicator to identify potential entry and exit for commodity market. I had used it for couple of week and it helps.
I would like to share with you. It is meant identify and analyze then plan your trade. I have developed this indicator using Google Antigravity , which is an awesome tool for developing trading indicator and strategies.
My CPR OI tool kit includes following.
Triple EMA
Stochastic - for trend catching
Previous Low/high base trial and visual indication
Price action concepts
Reversion logic.
Visual indication - buy / sell / setup initialization / exit
Visual dashboard.
---
## ๐จ Visual Signal Guide
| Marker | Meaning | Action |
|--------|---------|--------|
| ๐ต Tiny Blue Circle | Stochastic bullish setup START | Wait for EMA + breakout |
| ๐ข Green Triangle UP | **LONG ENTRY** - All conditions met | **ENTER LONG** |
| ๐ด Red Triangle DOWN | **SHORT ENTRY** | **ENTER SHORT** |
| ๐ Orange Circle | **EXIT** - EMA1/2 cross | **CLOSE POSITION** |
| ๐ง Aqua "R" | Mean reversion long | Scalp opportunity |
| ๐ Fuchsia "R" | Mean reversion short | Scalp opportunity |
---
## ๐ฐ Open Interest Interpretation
| Status | Price vs Prev | OI Change | Meaning |
|--------|---------------|-----------|---------|
| **Long Accumulation**๐ข | โ | โ | Bulls building positions |
| **Short Accumulation**๐ด | โ | โ | Bears building positions |
| **Short Covering**๐ก | โ | โ | Bears exiting (bullish) |
| **Long Unwinding**๐ | โ | โ | Bulls exiting (bearish) |
---
## ๐ Alerts (All Enabled by Default)
1. "LONG Signal | Stochastic confirmed | EMA Bullish"
2. "SHORT Signal | Stochastic confirmed | EMA Bearish"
3. "EMA Alignment: BULLISH/BEARISH"
4. "Position CLOSED - Trailing Stop Hit"
---
V7 BOOM SNIPER PRO P2 free trial๐ฅ V7 BOOM SNIPER PRO (P1 & P2)
Iโve published two advanced TradingView indicators on my profile, built to help traders analyze the market more clearly and avoid weak entries.
๐น Clear trend and market structure
๐น High-quality entry zones with controlled risk
๐น Smart filtering to reduce false signals
๐น Supply & Demand, Order Blocks, and Break & Retest logic
๐น Suitable for scalping, intraday, and swing trading
๐น Works across all markets and timeframes
Youโre welcome to test the indicators directly on my TradingView page and explore how they behave on real charts.
this is part 2
RSI Momentum SignalRSI Momentum Signal is a technical analysis indicator designed to highlight potential momentum-based reversal points using the Relative Strength Index (RSI).
This script combines short-term RSI momentum behavior with basic candle structure to visualize possible bullish and bearish reaction zones directly on the chart.
How It Works
A fast RSI-based momentum calculation is used to color price bars when short-term momentum reaches extreme levels.
Buy and Sell signals are generated when momentum conditions align with RSI overbought or oversold levels and basic candle direction.
All signals are plotted visually on the chart to support discretionary analysis.
Intended Use
This indicator is not a standalone trading system.
It is designed to be used as a supportive analytical tool together with other technical analysis methods such as trend structure, price action, and support/resistance levels.
Disclaimer
This script does not provide financial advice and does not guarantee any trading results.
All trading decisions remain the sole responsibility of the user.
Use this indicator for educational and analytical purposes only.
Orca Trade Pendulum Pro Orca Trade Pendulum Pro โ Momentum Flip & Market Context
Orca Trade Pendulum Pro is a momentum-based oscillator designed to identify market flips near exhaustion zones and provide a clear PASS / NO PASS decision framework.
The indicator focuses on clarity and discipline, helping traders understand when a flip matters and when it should be ignored. It is built for traders who value context over noise.
Core Logic:
Momentum Flip Detection
Flips are detected after Overbought / Oversold conditions
Based on confirmed candle closes (no repaint)
Filter Pass System:
Every flip is evaluated before being considered valid
Popup clearly shows:
Filter Pass: YES / NO
Direction: LONG / SHORT
A NO PASS flip is informational only and should not be treated as a trade signal
Market Flow Context (Visual)
Built-in lower and higher timeframe flow visualization
Flow elements are contextual only and do not alter flip detection
How to Use:
Treat flips as momentum shift alerts, not automatic entries
Focus on flips with Filter Pass: YES
Use higher-timeframe structure and your own risk management
Best used as a confirmation and timing tool
Important Notes:
This script does not repaint
It does not execute trades
It is not a standalone strategy
Designed for discretionary and educational trading
Access
This script is shared through the Orca Trade community.
Access instructions are published in the Orca Trade Telegram channel.
Edo ControlEdo Control โ Market Context, State and Coherence Indicator
Edo Control is a market context and structural analysis indicator designed to help traders evaluate the quality, stability and coherence of market conditions before considering any trading decision.
The indicator does not generate buy or sell signals, does not provide entries or exits, does not predict price direction, and does not replace risk management or trader judgment.
Its purpose is to answer a question that comes before any system or setup:
Do current market conditions justify considering a trade at all?
โโโโโโโโโโโโโโโโโโโโโโโโ
GENERAL CONCEPTUAL FRAMEWORK
โโโโโโโโโโโโโโโโโโโโโโโโ
Edo Control evaluates the market as a dynamic system composed of:
โข Relative price position
โข Strength and expansion of the movement
โข Internal behavior and transitions
โข Coherence across multiple timeframes
These dimensions are analyzed together and represented visually as states, not trading signals.
โโโโโโโโโโโโโโโโโโโโโโโโ
CONCEPTUAL CALCULATION BASIS (HIGH LEVEL)
โโโโโโโโโโโโโโโโโโโโโโโโ
The indicator combines two main families of metrics:
1) A price positioning metric based on oscillator-type logic, evaluating where price is located within its operational range and relative to an internal equilibrium level.
2) A movement strength and expansion metric based on trend-type logic, measuring whether the current movement is gaining, maintaining or losing intensity.
Both dimensions are dynamically compared and integrated into a normalized score representing the structural quality of the movement, not future direction.
This continuous score is used to classify the market into contextual states that are then displayed through candles, heatmaps and multi-timeframe panels.
โโโโโโโโโโโโโโโโโโโโโโโโ
INDICATOR COMPONENTS
โโโโโโโโโโโโโโโโโโโโโโโโ
1) Contextual Candles (Control Candles)
Colored candles represent internal market states, not trading signals.
Each color encodes specific combinations of:
โข Structural continuation
โข Momentum expansion
โข Movement degradation
โข Transitional phases
โข Internal behavioral changes
They allow traders to visually distinguish between stable structure, weakening structure and instability zones.
They do not indicate entries or exits, do not repaint, and are calculated using confirmed data only.
2) Internal State Heatmap
The heatmap represents the intensity, acceleration and internal health of the movement, not trading triggers.
Three display modes are available:
โข Multicolor: shows gradual transitions between exhaustion, balance and acceleration.
โข Bicolor: summarizes relative strength based on dominant directional context.
โข Hybrid: simplifies the reading into healthy or warning states.
The heatmap should be interpreted as internal pressure, balance or exhaustion, never as an entry signal.
3) Integrated Multi-Timeframe Analysis
Edo Control applies the same conceptual framework across multiple timeframes simultaneously.
Each timeframe is represented by a normalized value, typically on a 0 to 1 scale, reflecting the structural quality of the movement on that timeframe.
These values allow traders to assess:
โข Timeframe alignment
โข Contextual conflicts
โข Progressive transitions
โข Structural slope and evolution
The goal is to avoid trading against dominant higher-timeframe conditions and to understand the broader market context before executing on lower timeframes.
4) Trading Profiles
The indicator includes predefined profiles for:
โข Scalping
โข Intraday trading
โข Swing trading
โข Long-term / position trading
Each profile internally adapts the multi-timeframe structure and contextual sensitivity to the selected trading horizon, without manual optimization or curve fitting.
5) Learning Mode
Edo Control includes an optional learning mode designed to support historical and educational analysis.
This mode allows users to:
โข Visualize past states
โข Display explanatory labels
โข Enable descriptive tooltips
โข Study contextual evolution across different market conditions
It can be enabled or disabled freely and does not alter the indicatorโs core logic.
6) Modular System and Configuration
All visual components can be enabled or disabled independently:
โข Contextual candles
โข Heatmap
โข Multi-timeframe panels
โข Legends and guides
โข Learning mode
Users may adjust visual parameters such as opacity, size and layout, while the core logic remains protected to ensure consistent readings and prevent misconfiguration.
โโโโโโโโโโโโโโโโโโโโโโโโ
PROTECTED CODE AND JUSTIFICATION
โโโโโโโโโโโโโโโโโโโโโโโโ
Edo Control is a closed-source indicator.
Code protection is required because its value lies in:
โข The specific combination of metrics
โข The normalization system
โข The state classification logic
โข Multi-timeframe coherence
โข The resulting contextual interpretation
This description provides all necessary conceptual information to understand what the indicator does and how it should be interpreted, without exposing implementation details.
โโโโโโโโโโโโโโโโโโโโโโโโ
FINAL NOTES
โโโโโโโโโโโโโโโโโโโโโโโโ
โข Edo Control does not issue trading signals
โข No alerts are generated
โข It does not replace risk management
โข It is designed as a contextual and market quality pre-filter
Use Edo Control to decide WHEN to trade, not HOW to trade.
The final trading decision always remains with the trader.
RSI + Stoch Divergence ProThis indicator combines the Relative Strength Index (RSI) and Stochastic Oscillator in a single panel and automatically detects bullish and bearish divergences using RSI pivot structure. It is designed to provide a clean, momentum-focused view with divergence confirmation and overbought/oversold context.
The RSI is plotted as a thick primary momentum line, while the Stochastic %K and %D lines are shown as fast momentum overlays. Built-in divergence logic draws lines and labels (โBullโ / โBearโ) directly on the oscillator to highlight potential reversal zones.
Features:
RSI and Stochastic displayed together (shared 0โ100 scale)
Automatic bullish and bearish RSI divergence detection
Visual divergence lines and labels
Clear overbought/oversold levels for both RSI and Stochastic
Clean, solid-line visual style by default
Suitable for scalping, intraday, and swing trading
Typical use:
Look for divergence signals near overbought/oversold zones and confirm with Stochastic momentum shifts or crossovers for higher-probability setups.
MicroChainAi Momentum Phase๐ MicroChainAi Momentum Phase๏ฝๅพฎ้พๆบๆงใปๅจ่ฝ็ธไฝ
MicroChainAi Momentum Phase ๆฏไธๆฌพ็จไบๅป็ปๅธๅบๅจ่ฝๅผบๅผฑไธ้ถๆฎตๅๅ็็ปผๅๅจ่ฝๅๆๆๆ ๏ผ้่ฟๅค็ง็ปๅ
ธๅจ่ฝไธ่ถๅฟๅผบๅบฆๆจกๅ็็ปๅ๏ผ่พ
ๅฉ่ฏๅซ่กๆ
ๆๅค็ๅจ่ฝๅบ้ดใ่กฐ็ซญ้ถๆฎตไธๆฝๅจ่ฝฌๆข็ชๅฃใ่ฏฅๆๆ ็จไบๆไพๅจ่ฝ็ฏๅขๅคๆญ๏ผ่้ไฝไธบๅไธไบคๆไฟกๅทๅทฅๅ
ทใ
MicroChainAi Momentum Phase is a composite momentum analysis indicator designed to evaluate momentum strength, exhaustion, and phase transitions. By integrating multiple classical momentum and trend-strength models, it helps assess the current momentum regime and potential transition windows, rather than generating standalone trading signals.
------------------------------
๐งฉ ไธป่ฆๅ่ฝไธ็น็น๏ฝMain Features & Characteristics
๐ ๅจ่ฝๅผบๅผฑๅป็ป๏ฝMomentum Strength Evaluation
้่ฟๅค็ฑปๅจ่ฝๆฏ่กไธ่ถๅฟๅผบๅบฆๆๆ ๏ผ็ปผๅๅ็ฐๅธๅบๅจ่ฝ็ๆฉๅผ ใๅๅผฑไธๆ็ซฏ็ถๆ๏ผ้ฟๅ
ๅไธๆๆ ่ง่งใ
Combines multiple momentum oscillators and trend-strength measures to present expansion, weakening, and extreme momentum states, reducing reliance on any single indicator.
๐ ๅจ่ฝ้ถๆฎต่ฏๅซ๏ฝMomentum Phase Identification
่พ
ๅฉๅบๅๅจ่ฝๅฏๅจใๅ ้ใ่กฐ็ซญไธๅ่ฝ้ถๆฎต๏ผ็จไบๅคๆญ่กๆ
ๆฏๅฆไปๅ
ทๆ็ปญๆจๅจๅใ
Helps distinguish between momentum initiation, acceleration, exhaustion, and decay phases to evaluate whether directional drive remains intact.
โ๏ธ ๅคๆจกๅๅ
ฑๆฏๅ่๏ฝMulti-Model Confluence
ๅฐไธๅ็ฑปๅ็ๅจ่ฝๆจกๅ็ฝฎไบๅไธๅ่ๆกๆถไธญ๏ผ็จไบ่งๅฏๅจ่ฝไฟกๅท็ไธ่ดๆงๆๅๆญง็ถๆใ
Places different momentum models within a unified framework to observe alignment or divergence across momentum signals.
๐งญ ๅจ่ฝ็ฏๅข่ฟๆปค๏ฝMomentum Context Filtering
็จไบ่ฟๆปคๅจ่ฝๆททไนฑๆ่กฐๅ้ถๆฎต๏ผ่พ
ๅฉๅจๅจ่ฝๆกไปถๆดๆธ
ๆฐ็็ฏๅขไธๆง่กไบคๆ็ญ็ฅใ
Filters out noisy or deteriorating momentum conditions, supporting execution within clearer momentum environments.
โ ๏ธ ้ฃ้ฉไธ่กฐ็ซญๆ็คบ๏ฝExhaustion & Risk Awareness
ๅจๅจ่ฝ่ฟๅบฆๅปถไผธๆๆพ่ๅๅผฑ้ถๆฎตๆไพๆ็คบๅ่๏ผ็จไบ้ฃ้ฉ็ฎก็่้้ๅฟๆไฝไพๆฎใ
Provides awareness cues during overextended or rapidly weakening momentum phases for risk management, not counter-trend execution.
------------------------------
๐ ไฝฟ็จๅปบ่ฎฎ๏ฝUsage Notes
ๅฝๅค้กนๅจ่ฝๆจกๅไฟๆๅๅๅ
ฑๆฏๆถ๏ผ้ๅธธไปฃ่กจ่กๆ
ๅคไบ่พ็จณๅฎ็ๆจๅจ้ถๆฎต
When multiple momentum models align in the same direction, it often reflects a stable momentum-driven phase.
ๅฝๅจ่ฝๆๆ ๅบ็ฐๆๆพๅๆญงๆๅฟซ้ๅ่ฝๆถ๏ผ้่ญฆๆๅจ่ฝ่กฐ็ซญๆ้ถๆฎตๅๆข
When momentum indicators diverge or deteriorate rapidly, it may signal exhaustion or a phase transition.
ๅปบ่ฎฎ็ปๅ่ถๅฟ็ปๆไธๅ
ณ้ฎไปทไฝไฝฟ็จ๏ผไปฅ้ฟๅ
ๅจ็บฏๅจ่ฝ่ง่งไธไบง็่ฏฏๅค
It is recommended to use this indicator alongside trend structure and key price levels to avoid misinterpretation from momentum alone.
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โ ๏ธ ้ฃ้ฉๆ็คบ๏ฝRisk Disclaimer
ๆฌๆๆ ไป
็จไบ่กๆ
ๅจ่ฝๅๆไธ็ ็ฉถๅ่๏ผไธๆๆไปปไฝๆ่ตๅปบ่ฎฎ
This indicator is intended for momentum analysis and research purposes only and does not constitute investment advice.
ๆๆๅคๆญๅบไบๅๅฒไปทๆ ผไธๆไบคๆฐๆฎ๏ผๅฏ่ฝๅญๅจๆปๅๆ้ถๆฎตๆงๅคฑๆ
All interpretations are based on historical price and volume data and may exhibit lag or regime-specific failure.
่ฏทๅฟๅฐไปปไฝๅไธๅจ่ฝไฟกๅทไฝไธบไบคๆๅณ็ญ็ๅฏไธไพๆฎ
Do not rely on any single momentum signal as the sole basis for trading decisions.
VWAP Tension Bands + Osc Sigma Gap [MAXmks]Hello Traders,
This indicator started as an accident. I was building a different tool โ a multi-metric dashboard โ and added VWAP deviation as one of the components. I expected it to help catch falling knives. It didn't.
But I noticed something else. During cooling-off periods โ when volatility fades and price just sits there, not really going anywhere โ VWAP deviation on lower timeframes would start climbing quietly. And more often than not, a pullback followed. Sometimes a liquidity sweep first, then a pullback. I watched this pattern for months before deciding to build a dedicated tool around it, adding oscillator confirmation to filter the noise.
This is that tool.
The core idea
Markets act like a rubber band around VWAP โ the further price stretches, the higher the tension. But raw deviation isn't enough. The real question: is momentum confirming the stretch, or lagging behind?
The ฯ-Gap captures when these two disagree โ price pushed hard, but internals haven't caught up. That's where mean-reversion setups tend to appear.
The indicator tracks VWAP deviation across 2m / 5m / 15m simultaneously and compares it against a composite of momentum oscillators (Williams %R, CVD-based metrics). Signals require multi-timeframe consensus โ no single timeframe can trigger alone.
Adaptive thresholds
What counts as "extreme" isn't fixed. Distance is measured in standard deviations (ฯ) , not pips or percentages โ so the indicator adapts to volatility automatically. Thresholds scale with regime and historical distribution, adjusting to current market conditions in real time.
Two modes
Standard โ adaptive thresholds, more signals. Good for active sessions and exploration.
High Precision โ adds divergence confirmation from multiple oscillators (MFI, Delta RSI, CVD Z-Score). Fewer signals, higher selectivity.
Extreme Tension
When ฯ-Gap exceeds 1.6ร the threshold, the indicator can fire without full confirmation. Rare, but these are the "overstretched" moments worth watching.
Filters (so you don't trade ghosts)
RVOL filter blocks signals during low activity. Session close filter avoids entries near VWAP reset. 24h volume filter skips illiquid instruments. Cooldown prevents signal clustering in the same direction.
Best use case
Built for short-term mean-reversion โ quick snapback plays on 5mโ15m charts where price overextends and reverts within a few candles. The engine is optimized for this rhythm, not for trend-following or swings.
On-chart
Tension Bands show dynamic threshold zones around VWAP. Signals are non-repainting and confirmed on bar close. Compact HUD displays all metrics, filter states, and signal status in real time.
Alerts
Pre-signal alerts when conditions start forming. Confirmed signal alerts with full breakdown: VWAP deviation values, ฯ-Gap readings, divergences detected, current mode.
Volume matters
This is a VWAP-based indicator. No volume data = no signal. If your instrument shows "No Volume" in the dashboard, switch to a data feed that provides it (crypto spot, futures, stocks with real volume).
A note on expectations
I use this logic in my own research and it has shown useful results for me in my backtesting scenarios. But this is an indicator for analysis , not a magic button. Your execution, fees, slippage, and market regime all matter. Treat signals as context, not commands. DYOR.
Feedback welcome.
For educational and analysis purposes only. Not financial advice.
Harmonic Oscillator - Multi-Component Momentum ConsensusHarmonic Oscillator - Multi-Component Momentum Consensus
Harmonic Oscillator is a seven-component momentum analysis system that transforms standard oscillators into a unified consensus framework. The indicator combines RSI, Stochastic RSI, MACD, EMA Trend, Momentum, Volume, and Divergence Zone detection into a single composite oscillator with automatic regime classification and qualified voting.
Rather than monitoring multiple separate indicators, traders can observe how these momentum calculations align or diverge through a single panel displaying vote count (X/7), regime state (TRENDING/BIAS/RANGING), and a normalized composite line.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐ข๐ฉ๐๐ฅ๐ฉ๐๐๐ช
Traditional momentum analysis often requires monitoring multiple oscillators simultaneously: RSI for momentum strength, Stochastic for extreme zones, MACD for trend-following momentum, and so on. Each indicator has its own scale, its own interpretation rules, and its own blind spots.
Harmonic Oscillator addresses this by implementing a voting system where seven independent components each cast a vote based on their specific criteria. The indicator then:
โข Counts votes to show consensus level (displayed as X/7)
โข Blends three oscillators into a single normalized composite line (0-100 scale)
โข Classifies market regime based on composite position and baseline confirmation
โข Detects divergences between price structure and oscillator structure
โข Filters signals through optional higher timeframe trend alignment
The result is a unified view of momentum conditions that may help traders identify when multiple factors are agreeing versus conflicting.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐๐ข๐ช ๐๐ง ๐ช๐ข๐ฅ๐๐ฆ
The indicator is built around one core principle: momentum readings are more meaningful when multiple independent calculations agree.
๐ง๐ต๐ฒ ๐ฆ๐ฒ๐๐ฒ๐ป ๐ฉ๐ผ๐๐ถ๐ป๐ด ๐๐ผ๐บ๐ฝ๐ผ๐ป๐ฒ๐ป๐๐
Each component analyzes a different aspect of momentum and casts a bullish, bearish, or neutral vote:
๐ญ. ๐ฅ๐ฆ๐ (๐ ๐ผ๐บ๐ฒ๐ป๐๐๐บ-๐๐๐ฎ๐ฟ๐ฒ)
What it does: RSI is calculated with additional RMA smoothing to reduce noise. The voting logic requires both threshold position AND slope confirmation. RSI must be above 50 with rising slope to vote bullish, or below 50 with falling slope to vote bearish. Special conditions detect potential reversals (RSI below 30 but rising).
How to interpret it: A green RSI arrow in the panel indicates bullish momentum with directional confirmation. A red arrow indicates bearish. Gray dash means RSI is not showing clear directional conviction.
๐ฎ. ๐ฆ๐๐ผ๐ฐ๐ต๐ฎ๐๐๐ถ๐ฐ ๐ฅ๐ฆ๐ (๐ฆ๐น๐ผ๐ฝ๐ฒ ๐๐ป๐ฎ๐น๐๐๐ถ๐)
What it does: Stochastic RSI uses EMA smoothing on K and D lines for stability. The vote requires K-line momentum alignment: K above D with positive slope for bullish, K below D with negative slope for bearish.
How to interpret it: This component captures turning points in momentum. When SRSI votes while RSI doesn't (or vice versa), it may indicate the oscillators are at different phases of a move.
๐ฏ. ๐ ๐๐๐ (๐๐ถ๐๐๐ผ๐ด๐ฟ๐ฎ๐บ ๐๐ฐ๐ฐ๐ฒ๐น๐ฒ๐ฟ๐ฎ๐๐ถ๐ผ๐ป)
What it does: Rather than voting on histogram direction alone, MACD votes on histogram acceleration, which is the rate of change of the histogram. This approach aims to identify momentum shifts before the histogram crosses zero.
How to interpret it: MACD acceleration can signal momentum changes early. A bullish vote means histogram is positive and accelerating, OR negative but accelerating upward.
๐ฐ. ๐๐ ๐ ๐ง๐ฟ๐ฒ๐ป๐ฑ (๐ฃ๐ผ๐๐ถ๐๐ถ๐ผ๐ป + ๐ฆ๐น๐ผ๐ฝ๐ฒ)
What it does: Requires both price position relative to EMA AND slope confirmation. Price above EMA with positive EMA slope = bullish vote. Price below EMA with negative slope = bearish vote.
How to interpret it: This prevents votes in ambiguous situations where price is above a falling EMA or below a rising EMA. The EMA vote indicates clear trend alignment.
๐ฑ. ๐ ๐ผ๐บ๐ฒ๐ป๐๐๐บ (๐ฅ๐ฎ๐๐ฒ ๐ผ๐ณ ๐๐ต๐ฎ๐ป๐ด๐ฒ)
What it does: Uses smoothed Rate of Change (ROC) with the same qualification requirement: ROC positive AND increasing for bullish, ROC negative AND decreasing for bearish.
How to interpret it: Pure momentum measurement. When MOM agrees with trend components, directional conviction may be higher.
๐ฒ. ๐ฉ๐ผ๐น๐๐บ๐ฒ (๐๐ผ๐ป๐ณ๐ถ๐ฟ๐บ๐ฎ๐๐ถ๐ผ๐ป)
What it does: Compares current volume to recent average. Votes bullish when volume is elevated (1.2x+ average) on an up candle. Votes bearish when elevated volume accompanies a down candle.
How to interpret it: Volume confirmation adds weight to directional moves. Low volume readings during directional moves may indicate less conviction.
๐ณ. ๐๐ถ๐๐ฒ๐ฟ๐ด๐ฒ๐ป๐ฐ๐ฒ ๐ญ๐ผ๐ป๐ฒ
What it does: Detects when price and oscillator are in extreme zones with structural disagreement. Votes bullish when oscillator is oversold but price is making higher lows. Votes bearish when oscillator is overbought but price is making lower highs.
How to interpret it: This component specifically looks for potential reversal setups where momentum and price structure are disagreeing.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐ช๐๐ฌ ๐ง๐๐๐ฆ๐ ๐๐ข๐ ๐ฃ๐ข๐ก๐๐ก๐ง๐ฆ ๐ช๐ข๐ฅ๐ ๐ง๐ข๐๐๐ง๐๐๐ฅ
The seven components are designed to capture different aspects of momentum:
1. ๐ฅ๐ฆ๐ + ๐ฆ๐๐ผ๐ฐ๐ต๐ฎ๐๐๐ถ๐ฐ ๐ฅ๐ฆ๐: Two approaches to measuring momentum strength and turning points
2. ๐ ๐๐๐ + ๐ ๐ผ๐บ๐ฒ๐ป๐๐๐บ: Trend-following momentum and pure rate of change
3. ๐๐ ๐ ๐ง๐ฟ๐ฒ๐ป๐ฑ: Price position relative to moving average with slope confirmation
4. ๐ฉ๐ผ๐น๐๐บ๐ฒ: Participation confirmation on directional moves
5. ๐๐ถ๐๐ฒ๐ฟ๐ด๐ฒ๐ป๐ฐ๐ฒ ๐ญ๐ผ๐ป๐ฒ: Structural disagreement detection in extreme zones
When multiple factors align (RSI slope confirms, MACD accelerates, EMA trend agrees, volume confirms), this represents broad momentum agreement. Such conditions may warrant attention, though they do not guarantee any particular outcome.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐๐ข๐ช ๐ง๐ข ๐จ๐ฆ๐
This section provides step-by-step guidance for interpreting the indicator's visual elements.
๐ฆ๐๐ฒ๐ฝ ๐ญ: ๐๐ต๐ฒ๐ฐ๐ธ ๐๐ต๐ฒ ๐ฅ๐ฒ๐ด๐ถ๐บ๐ฒ ๐๐น๐ฎ๐๐๐ถ๐ณ๐ถ๐ฐ๐ฎ๐๐ถ๐ผ๐ป
The regime label at the top of the status panel provides immediate market context:
โข TRENDING โฒ or TRENDING โผ: Composite oscillator at extremes (above 65 or below 35) with 200 EMA baseline confirming direction. This may indicate sustained directional momentum.
โข BIAS โฒ or BIAS โผ: Composite showing moderate lean (above 55 or below 45) without extreme readings. Directional tendency without full momentum extension.
โข RANGING: Composite near midpoint (45-55 zone). This may indicate consolidation, indecision, or transition between directional moves.
The regime classification helps contextualize other readings. A high vote count during TRENDING may indicate trend continuation. The same vote count during RANGING may indicate an emerging directional move.
๐ฆ๐๐ฒ๐ฝ ๐ฎ: ๐ข๐ฏ๐๐ฒ๐ฟ๐๐ฒ ๐๐ต๐ฒ ๐ฉ๐ผ๐๐ฒ ๐๐ผ๐๐ป๐
The vote count (displayed as X/7) shows how many components currently agree:
โข 6/7 or 7/7: High consensus. Most or all components showing directional agreement through their different calculation methods.
โข 4/7 or 5/7: Moderate consensus. Majority agreement with some components neutral or conflicting.
โข 1/7 to 3/7: Low consensus. Components are in disagreement or showing mixed readings.
The consensus meter bar at the bottom of the oscillator panel also visualizes this. Brighter colors indicate higher consensus.
๐ฆ๐๐ฒ๐ฝ ๐ฏ: ๐ฅ๐ฒ๐ฎ๐ฑ ๐๐ต๐ฒ ๐๐ผ๐บ๐ฝ๐ผ๐๐ถ๐๐ฒ ๐ข๐๐ฐ๐ถ๐น๐น๐ฎ๐๐ผ๐ฟ
The main oscillator line blends RSI, Stochastic RSI, and MACD using winsorized normalization:
โข Above 75 zone: Extended bullish momentum (overbought region)
โข Above 85 zone: Extreme overbought
โข Below 25 zone: Extended bearish momentum (oversold region)
โข Below 15 zone: Extreme oversold
โข 45-55 zone: Neutral/consolidation area
The signal line (thinner line) provides crossover reference. When composite crosses above signal = bullish momentum shift. Below = bearish shift.
Important: Like all oscillators, the composite can remain at extremes during strong directional moves. Overbought does not mean "sell"; it means momentum is extended.
๐ฆ๐๐ฒ๐ฝ ๐ฐ: ๐๐ต๐ฒ๐ฐ๐ธ ๐๐ป๐ฑ๐ถ๐๐ถ๐ฑ๐๐ฎ๐น ๐๐ผ๐บ๐ฝ๐ผ๐ป๐ฒ๐ป๐๐
The status panel shows each component's current vote with arrows:
โข โฒ (green): Component voting bullish
โข โผ (red): Component voting bearish
โข โ (gray): Component neutral/no vote
This breakdown helps identify which factors are agreeing and which are diverging. For example, if RSI and SRSI show bullish but MACD shows bearish, momentum may be mixed.
๐ฆ๐๐ฒ๐ฝ ๐ฑ: ๐ช๐ฎ๐๐ฐ๐ต ๐ณ๐ผ๐ฟ ๐๐ถ๐๐ฒ๐ฟ๐ด๐ฒ๐ป๐ฐ๐ฒ๐
Divergence labels appear when price and oscillator structure disagree:
โข โฒ DIV (bullish): Price makes lower low, oscillator makes higher low. Appears only in oversold zone (below 25).
โข โผ DIV (bearish): Price makes higher high, oscillator makes lower high. Appears only in overbought zone (above 75).
Divergences indicate structural disagreement that may precede reversals. However, divergences can persist or resolve without reversal. They are one input for analysis, not standalone signals.
๐ฆ๐๐ฒ๐ฝ ๐ฒ: ๐๐ผ๐บ๐ฏ๐ถ๐ป๐ฒ ๐ ๐๐น๐๐ถ๐ฝ๐น๐ฒ ๐๐ฎ๐ฐ๐๐ผ๐ฟ๐
The indicator provides the most context when multiple elements align:
Example Scenario A (Trend Continuation):
Composite holding above 65 for eight bars. Regime reads TRENDINGโฒ, votes at 6/7, no divergence labels. The oscillator hasn't touched the 85 extreme zone yet. Components are aligned with room to extend before reaching overbought conditions.
Example Scenario B (Momentum Fading):
Regime shows BIASโผ during a two-day selloff. But votes just dropped from 5/7 to 3/7, and the composite crossed above the signal line. The regime label says bearish while components are losing agreement. This type of disconnect often appears before moves stall or reverse.
Example Scenario C (Exhaustion Warning):
After a rally, composite hits 87 in the extreme zone. A โผ DIV label appears. Votes drop from 7/7 to 4/7 over three bars. None of this guarantees reversal, but multiple warning signs appearing together (extreme reading, divergence, falling consensus) suggest caution.
Example Scenario D (Breakout From Consolidation):
Regime has shown RANGING for two days, composite hovering 48-52, votes stuck at 2/7 to 3/7. Then regime flips to BIASโฒ, votes jump to 5/7, composite breaks above 55. When all three shift together after a quiet period, consolidation may be resolving into a directional move.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐ก๐๐ฉ๐๐๐๐ง๐๐ก๐ ๐๐๐๐๐๐ฅ๐๐ก๐ง ๐ ๐๐ฅ๐๐๐ง ๐๐ข๐ก๐๐๐ง๐๐ข๐ก๐ฆ
๐ง๐ฟ๐ฒ๐ป๐ฑ๐ถ๐ป๐ด ๐ ๐ฎ๐ฟ๐ธ๐ฒ๐๐
In trending conditions, traders may observe the regime classification showing "TRENDING" with baseline confirmation, composite remaining in the upper or lower half of the range, and high consensus readings (5-7 votes) persisting across multiple bars. The qualification requirements help maintain agreement during trends. A sustained move where RSI stays above 50 with positive slope, MACD histogram accelerates, and EMA slope confirms will show consistent directional votes. Divergences may appear in extreme zones but may not resolve immediately during strong trends.
๐ฅ๐ฎ๐ป๐ด๐ถ๐ป๐ด ๐ ๐ฎ๐ฟ๐ธ๐ฒ๐๐
In ranging or consolidating conditions, the regime classification will often show "RANGING" or alternate between brief directional readings. The composite typically oscillates around the 50 line without reaching sustained extremes, and vote counts fluctuate without reaching high consensus for extended periods. Divergences appearing at range extremes may be more significant in these conditions, potentially indicating range boundaries.
๐๐ถ๐ด๐ต ๐ฉ๐ผ๐น๐ฎ๐๐ถ๐น๐ถ๐๐ ๐๐๐ฒ๐ป๐๐
During high volatility events, components may respond rapidly to price changes. Vote counts can swing from high bullish to high bearish consensus quickly. The regime classification helps contextualize whether these swings are occurring within a larger trending structure or representing genuine momentum reversals. The composite may reach extreme zones (85+ or 15-) during volatility spikes.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐ง๐๐๐๐ก๐๐๐๐ ๐๐๐ง๐๐๐๐ฆ
โข Normalization uses winsorized statistics: extreme values are clipped before scaling to prevent outliers from dominating the composite blend
โข Qualification logic requires directional confirmation (slope, acceleration) beyond simple threshold positions
โข Divergence detection uses pivot comparison with left/right bar lookback, filtered to extreme zones only
โข Regime classification combines composite position thresholds with 200 EMA slope direction
โข HTF data uses confirmed bars only with request.security() lookahead disabled
โข All signals fire on bar close only (non-repainting): historical display matches live behavior
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐จ๐ก๐๐ค๐จ๐ ๐๐๐๐ง๐จ๐ฅ๐๐ฆ
โข ๐ฆ๐ฒ๐๐ฒ๐ป-๐๐ผ๐บ๐ฝ๐ผ๐ป๐ฒ๐ป๐ ๐ฉ๐ผ๐๐ถ๐ป๐ด: Each component uses qualification criteria beyond simple thresholds, reducing noise from single-indicator false signals
โข ๐ค๐๐ฎ๐น๐ถ๐ณ๐ถ๐ฒ๐ฑ ๐ฉ๐ผ๐๐ฒ๐: Components only vote when showing directional conviction (slope confirmation, acceleration, etc.), not just static positions
โข ๐๐ผ๐บ๐ฝ๐ผ๐๐ถ๐๐ฒ ๐ก๐ผ๐ฟ๐บ๐ฎ๐น๐ถ๐๐ฎ๐๐ถ๐ผ๐ป: Three oscillators blended using winsorized statistics for a smoother, more stable reading than any single oscillator
โข ๐๐๐๐ผ๐บ๐ฎ๐๐ถ๐ฐ ๐ฅ๐ฒ๐ด๐ถ๐บ๐ฒ ๐๐ฒ๐๐ฒ๐ฐ๐๐ถ๐ผ๐ป: TRENDING/BIAS/RANGING classification provides immediate market context
โข ๐๐ง๐ ๐๐ถ๐๐ฒ๐ฟ๐ด๐ฒ๐ป๐ฐ๐ฒ ๐๐ถ๐น๐๐ฒ๐ฟ: When enabled, divergence signals are filtered by higher timeframe trend direction to reduce counter-trend noise
โข ๐ก๐ผ๐ป-๐ฅ๐ฒ๐ฝ๐ฎ๐ถ๐ป๐๐ถ๐ป๐ด: All calculations use confirmed bar data only. Historical display matches what was shown in real-time.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐ฆ๐๐ง๐ง๐๐ก๐๐ฆ ๐ข๐ฉ๐๐ฅ๐ฉ๐๐๐ช
๐๐ผ๐ฟ๐ฒ ๐ฆ๐ฒ๐๐๐ถ๐ป๐ด๐
โข ๐ฆ๐ถ๐ด๐ป๐ฎ๐น ๐ ๐ผ๐ฑ๐ฒ: Alert threshold only (no visual change). Controls when High Consensus alerts fire:
- Conservative = 6+ votes to trigger alert
- Balanced = 5+ votes (default)
- Aggressive = 4+ votes
โข ๐๐ง๐ ๐๐ถ๐น๐๐ฒ๐ฟ: When enabled, divergence signals are filtered by higher timeframe trend. Bullish divergences only appear when HTF is bullish (price above HTF EMA). Bearish divergences only appear when HTF is bearish. Helps avoid counter-trend signals.
โข ๐๐ง๐ ๐ง๐ถ๐บ๐ฒ๐ณ๐ฟ๐ฎ๐บ๐ฒ: Timeframe used for HTF filter (default 4H). The indicator checks if price is above/below the 50 EMA on this timeframe.
๐๐ถ๐๐ฝ๐น๐ฎ๐ ๐ฆ๐ฒ๐๐๐ถ๐ป๐ด๐
โข Show Divergences: Toggle divergence labels on/off
โข Show Consensus Meter: Toggle vote count bar at bottom of oscillator
โข Show Status Panel: Toggle the info table
โข Show OB/OS Zone Fills: Toggle colored fill zones for extreme areas
๐ง๐ฎ๐ฏ๐น๐ฒ ๐ฆ๐ฒ๐๐๐ถ๐ป๐ด๐
โข Table Position: 9 position options (corners, centers, edges)
โข Table Font Size: Tiny/Small/Normal
โข Table Layout: Horizontal (wide, desktop) or Vertical (compact, mobile-friendly)
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐๐๐๐ฅ๐ง๐ฆ
14 alert conditions available:
๐๐ถ๐๐ฒ๐ฟ๐ด๐ฒ๐ป๐ฐ๐ฒ ๐๐น๐ฒ๐ฟ๐๐
โข Bullish Divergence / Bearish Divergence: Divergence detected in extreme zone
โข Any Divergence: Either type detected
๐๐ฟ๐ผ๐๐๐ผ๐๐ฒ๐ฟ ๐๐น๐ฒ๐ฟ๐๐
โข Bullish Crossover / Bearish Crossover: Composite crosses signal line
โข Any Crossover: Either type detected
๐๐
๐๐ฟ๐ฒ๐บ๐ฒ ๐ญ๐ผ๐ป๐ฒ ๐๐น๐ฒ๐ฟ๐๐
โข Extreme Overbought / Extreme Oversold: Composite enters 85/15 zones
โข Exit Overbought / Exit Oversold: Composite exits 85/15 zones
๐ฅ๐ฒ๐ด๐ถ๐บ๐ฒ ๐๐น๐ฒ๐ฟ๐๐
โข Regime to Bullish / Regime to Bearish: Regime classification changes direction
๐๐ผ๐ป๐๐ฒ๐ป๐๐๐ ๐๐น๐ฒ๐ฟ๐๐
โข High Bull Consensus / High Bear Consensus: Vote count reaches Signal Mode threshold (6+/5+/4+ depending on mode). Alert only, no visual change.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐๐๐ ๐๐ง๐๐ง๐๐ข๐ก๐ฆ
โข ๐๐ป๐ฎ๐น๐๐๐ถ๐ ๐๐ผ๐ผ๐น, ๐ป๐ผ๐ ๐ฎ ๐๐ถ๐ด๐ป๐ฎ๐น ๐ด๐ฒ๐ป๐ฒ๐ฟ๐ฎ๐๐ผ๐ฟ: This indicator displays consensus, regime state, and divergences for the trader to interpret. It does not tell you when to buy or sell.
โข ๐๐ผ๐ป๐๐ฒ๐ป๐๐๐ ๐ฐ๐ฎ๐ป ๐น๐ฎ๐ด: By the time all components agree, price movement may have already begun. High consensus readings indicate current agreement, not future direction.
โข ๐๐
๐๐ฟ๐ฒ๐บ๐ฒ๐ ๐ฐ๐ฎ๐ป ๐ฝ๐ฒ๐ฟ๐๐ถ๐๐: Like all oscillators, the composite can remain at extremes during strong directional moves. Overbought does not mean "must reverse."
โข ๐๐ถ๐๐ฒ๐ฟ๐ด๐ฒ๐ป๐ฐ๐ฒ๐ ๐ฎ๐ฟ๐ฒ ๐ป๐ผ๐ ๐ด๐๐ฎ๐ฟ๐ฎ๐ป๐๐ฒ๐ฒ๐ฑ: Divergences indicate structural disagreement. They may precede reversals but can also persist or resolve without reversal.
โข ๐๐ฎ๐ด๐ด๐ถ๐ป๐ด ๐ถ๐ป๐ฑ๐ถ๐ฐ๐ฎ๐๐ผ๐ฟ: All signals are derived from historical price data and confirm on bar close.
โข ๐ฃ๐ฎ๐๐ ๐ฝ๐ฎ๐๐๐ฒ๐ฟ๐ป๐ ๐ฑ๐ผ ๐ป๐ผ๐ ๐ด๐๐ฎ๐ฟ๐ฎ๐ป๐๐ฒ๐ฒ ๐ณ๐๐๐๐ฟ๐ฒ ๐ฟ๐ฒ๐๐๐น๐๐.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ถ ๐๐ข๐ก๐๐๐จ๐ฆ๐๐ข๐ก
Harmonic Oscillator provides a structured framework for analyzing momentum through seven independent components, a normalized composite oscillator, and automatic regime classification. The indicator is designed to help traders identify when multiple momentum factors are agreeing versus conflicting, which may provide useful context for analysis.
The voting system, qualification requirements, and regime detection work together to present a unified view of momentum conditions that would otherwise require monitoring multiple separate indicators.
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๐ถ ๐๐๐ฆ๐๐๐๐๐ ๐๐ฅ
Trading is risky and most traders lose money. This indicator is provided for informational and educational purposes only. It does not constitute financial advice, and past performance does not guarantee future results. All content, tools, and analysis should not be considered as recommendations to buy or sell any asset. Users are solely responsible for their own trading decisions. Always use proper risk management and consider consulting a qualified financial advisor before making trading decisions.
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Built with PineScript v6. Non-repainting. All signals confirmed on bar close.
RSI: Evolved [DAFE]RSI: Evolved : The Ultimate Momentum Intelligence Engine
30+ RSI Engines. 15+ Zero-Lag Smoothers. The Revolutionary Quantum Horizon. This is Not Just an RSI. This is the Evolution of Momentum.
โ PHILOSOPHY: BEYOND THE OSCILLATOR, INTO THE NEXUS
The standard Relative Strength Index is a relic. It is a brilliant, timeless concept trapped in a rigid, one-dimensional formula developed in the 1970s. It assumes all market momentum is uniform, that all volatility is equal, and that a single mathematical lens is sufficient to view the infinitely complex character of modern markets. It is not.
RSI: Evolved was not created to be another RSI. It was engineered to be the definitive evolution of momentum analysis. This is not an indicator; it is a powerful, interactive research environment. It is a laboratory where you, the trader, can move beyond the static "one-size-fits-all" approach and forge a momentum oscillator that is perfectly adapted to the unique physics of your market, timeframe, and trading style.
This suite deconstructs the very DNA of the RSI, rebuilding it with a library of over 30 distinct, mathematically diverse calculation engines . From timeless classics and exotic variations to proprietary DAFE quantum models, this suite provides an unparalleled arsenal for quantifying the unseen forces of market momentum.
โ THE EVOLUTION: WHAT MAKES THIS UNLIKE ANY OTHER RSI?
This is not just a collection of features; it is a seamlessly integrated, multi-layered analytical system. It stands in a class of its own for several key reasons:
The 30+ Algorithm Core: At its heart is a library of over 30 unique RSI calculation engines. You can now choose an engine based on its mathematical propertiesโwhether you need the zero-lag responsiveness of a Hull RSI, the time-warping capability of a Laguerre RSI, or the predictive power of a DAFE Quantum Fusion RSI.
Advanced Post-Processing: After the RSI is calculated, it passes through a multi-stage refinement process. First, choose from over 15+ professional-grade smoothing algorithms to create a crystal-clear signal. Then, activate the intelligent Filter Module to scale the RSI's output based on trend, volatility, or momentum regimes.
The Quantum Horizon & Temporal Wave: This is a revolutionary leap in data visualization. The indicator projects the historical momentum waves from higher timeframes directly onto your main price chart as a futuristic, holographic overlay. You can now see the alignment (or divergence) of macro momentum without ever looking away from price action. This is multi-timeframe analysis evolved into an art form.
Dynamic, Volatility-Adaptive Zones: Static 70/30 levels are obsolete. Evolved's "Quantum Zones" are alive; they "breathe" with market volatility. They automatically widen during powerful trends to keep you in a winning trade and tighten during choppy consolidation to help you catch reversals with greater precision.
Comprehensive Analytical Modules: This is a full suite of institutional-grade tools, including a powerful regular and hidden Divergence Engine , a multi-timeframe Consensus Dashboard , and dynamic RSI Bands (Bollinger, Keltner, etc.) plotted directly on the oscillator.
โ THE QUANTUM HORIZON & TEMPORAL WAVE: SEEING MOMENTUM IN 4D
This groundbreaking feature fundamentally changes how you interact with multi-timeframe momentum data. The Quantum Horizon is a dedicated visualization module that projects up to three "Temporal Waves" directly onto your main price chart. Each wave is a historical representation of a momentum oscillator (RSI, MFI, or Stoch RSI) pulled from a higher timeframe of your choice. Instead of flipping between charts or cluttering your screen with multiple indicators, you get an immediate, intuitive, and aesthetically stunning view of the market's complete momentum structure.
Each Temporal Wave is a self-contained universe, rendered as a glowing, flowing line within its own gridded channel. This channel is not just for show; it represents the 0-100 scale of the oscillator, with key 30, 50, and 70 levels marked for reference. You can see the history of momentum, its peaks, its troughs, and its crossovers with its own signal line. This allows you to visually identify macro divergences, trend alignment, and exhaustion points on your primary trading chart, transforming your analysis from a fragmented process into a single, unified experience. This is no longer just an indicator; it is a true Heads-Up Display for the flow of time and momentum.
โ THE ARSENAL: A DEEP DIVE INTO THE RSI & SMOOTHING ENGINES
This is your library of mathematical DNA. Understanding your tools is the first step to mastery. The 30+ RSI types are grouped into distinct families, each with a unique philosophy.
THE RSI ENGINE FAMILIES
The Classics (Wilder's, Cutler's, EMA, WMA): These are the foundational building blocks of momentum analysis. They provide a reliable, time-tested baseline. Wilder's uses the RMA for a unique smoothing characteristic, while Cutler's uses the SMA for a more direct, arithmetic average of gains and losses. The EMA and WMA versions offer increased responsiveness by weighting recent price action more heavily.
The Low-Lag Warriors (DEMA, TEMA, Hull, ZLEMA): This family is engineered specifically to combat the inherent lag of classical averages. The Double and Triple EMA (DEMA, TEMA) use a composite of multiple EMAs to reduce latency. The Zero-Lag EMA (ZLEMA) attempts to remove lag by adjusting the source price with its own past data. The Hull RSI is a standout, using a weighted moving average calculation to achieve a remarkable balance of extreme smoothness and near-zero lag, making it ideal for scalping.
The Exotics (Laguerre, Connors, Fisher, KAMA): These engines employ advanced mathematical concepts to view momentum through a different lens. The Laguerre RSI , based on John Ehlers' work, uses a time-warping, non-linear filter that can be extremely responsive to changes in trend. The Fisher Transform RSI normalizes the output to a Gaussian distribution, making peaks and troughs sharper and more defined for clearer signals. The KAMA Adaptive RSI is a "smart" algorithm that automatically slows its calculation in choppy markets and speeds it up in strong trends.
The Volume-Based (Volume-Weighted, MFI, VWAP-Weighted): This family infuses price momentum with volume data, providing a measure of conviction. They answer not just "how fast is price moving?" but "how much participation is behind the move?". The Money Flow RSI (MFI) is a classic, while the Volume-Weighted and VWAP-Weighted versions directly incorporate volume into the gain/loss calculation, giving more weight to high-volume bars.
The DAFE Proprietary Engines (The "God Mode" Algos): The crown jewels of the Laboratory, these are custom-built, proprietary algorithms you will not find anywhere else.
DAFE Quantum Fusion: This engine calculates RSI on three harmonic timeframes simultaneously (based on the Golden Ratio) and "superimposes" them using a dynamic weighting system based on volume and momentum confidence. It is the most robust and balanced all-rounder.
DAFE Kinetic Energy: Based on the physics principle that Momentum = Mass ร Velocity. Standard RSI only sees Velocity (price change). Kinetic RSI weights every price move by Relative Volume (Mass), measuring the true "force" of the market.
DAFE Spectral: This engine uses concepts from Digital Signal Processing to analyze the frequency of price moves. It automatically differentiates between the "Signal" (the underlying trend) and the "Noise" (the chop), and adapts its calculation speed accordingly.
DAFE Entropy Flow: A unique engine that uses Information Theory to measure market "disorder." In chaotic, high-entropy markets, it automatically dampens its own signal to avoid whipsaws. In orderly, low-entropy trends, it sharpens its signal to be more responsive.
THE POST-SMOOTHING FILTERS
After your primary RSI is calculated, you can pass it through one of over 15 advanced filters for unparalleled clarity.
Low-Lag (Hull, DEMA, TEMA): Ideal for responsive smoothing that tracks the raw RSI closely.
Adaptive (KAMA, VIDYA): Perfect for smart, regime-aware smoothing that is slow in chop and fast in trends.
DSP & Scientific (SuperSmoother, Butterworth, Gaussian, Jurik-Style): The pinnacle of signal processing. These filters provide the absolute cleanest signal with minimal lag, leveraging advanced digital signal processing techniques to surgically remove noise.
โ THE ANALYTICAL MODULES: BEYOND THE LINE
Dynamic Zones: Your overbought/oversold levels (e.g., 70/30) are no longer static lines. They are living, breathing zones that respond to market volatility. They automatically widen during powerful, high-volatility trends to prevent you from selling a strong uptrend too early. Conversely, they tighten during low-volatility consolidation, allowing you to catch smaller, mean-reverting moves with greater precision. This is a crucial evolution for trading in modern, dynamic markets.
Divergence Engine: The automated engine works tirelessly in the background to detect critical disconnects between price and momentum. It automatically identifies and plots both Regular Divergences (which often signal major trend reversals) and Hidden Divergences (which often signal trend continuations after a pullback) with clear on-chart and in-pane markers and lines.
MTF Dashboard: Context is everything. This module provides an instant read on the momentum across three higher timeframes of your choice. The "Consensus" reading tells you if all timeframes are aligned ("ALL BULL" or "ALL BEAR"), providing powerful contextual confirmation for your trades and helping you avoid taking signals that go against the macro flow.
RSI Bands: This module applies a full-fledged band methodology (Bollinger Bands, Keltner Channels, etc.) directly to the RSI line itself. A pierce of the upper or lower band is a powerful sign of a statistical extreme, often preceding a sharp reversion back to the mean. A "squeeze" in the RSI bands often precedes an explosive move in momentum.
Signal Line & Histogram: The fast-moving RSI line is paired with a slower, smoother Signal Line of your choice. Crossovers between these two lines can be used as effective entry/exit triggers that are often more reliable than simple overbought/oversold levels. The histogram visually represents the momentum (the velocity and acceleration) of the RSI itself, turning from light to dark green in a strengthening uptrend, for example.
โ DEVELOPMENT PHILOSOPHY
RSI: Evolved was forged from a single, guiding principle: momentum is not a fixed property; it is a dynamic, multi-faceted force with a unique character in every market. This tool was designed for the trader who is no longer satisfied with a one-size-fits-all indicator. It is for the analyst, the tinkerer, the scientistโthe individual who seeks to deconstruct, understand, and master the hidden physics of market momentum. This is a tool for forging your own alpha, not just following a lagging line.
RSI: Evolved is designed to give you that patience and discipline, providing a crystal-clear, multi-dimensional view of momentum so you can act with precision when the perfect setup finally arrives.
โ DISCLAIMER AND BEST PRACTICES
THIS IS AN ADVANCED ANALYTICAL TOOL: This indicator provides intelligence on momentum, not financial advice. It should be used as a core component of a complete trading strategy.
RISK MANAGEMENT IS PARAMOUNT: All trading involves substantial risk. Never risk more capital than you are prepared to lose.
START WITH A ROBUST BASE: The "DAFE Quantum Fusion" engine with the "SuperSmoother" is an exceptionally powerful and well-balanced starting point for most markets.
USE CONFLUENCE: The highest probability signals occur when multiple modules agree. For example: a Regular Bullish Divergence, as the RSI crosses up from an Extreme Oversold Dynamic Zone, while the Quantum Horizon shows the higher timeframes are also starting to turn up.
"The hard part is not making the decision to buy or sell, but having the patience and discipline to wait for the right setup."
โ Mark Weinstein
Taking you to school. - Dskyz, Trade with Anticipation. Trade with Strength. Trade with RSI: Evolved
PPAO - Propagator Price Action Oscillator
How PPAO works in one cycle (what it does every candle)
PPAO has 3 moving parts that run every bar:
1) It measures new candle pressure (the โpushโ)
This is the forcing term.
Return (ret): did price go up or down from last close?
Body: did the candle close above or below its open?
CLV: did the candle close near the high or near the low of its range?
With Option B, the โprice action pushโ is directional:
Body is positive on bullish candles, negative on bearish candles.
CLV is:
near +1 if the candle closes near the high (buying strength),
near -1 if it closes near the low (selling strength).
So a candle that closes weak (near the low) pushes PPAO downward even if the candle range is large.
2) It decides how much to remember vs forget (the โfrictionโ)
This is damping / decay.
High volatility (noisy market) โ forget faster
Low volatility (cleaner market) โ remember longer
So PPAO adapts: in chop it wonโt hold bias for long; in smooth trends it will.
3) It updates a hidden โmomentum engineโ (state)
Internally it keeps two numbers (p and q) that store the marketโs impulse with memory.
Every candle:
it shrinks the old state (decay),
rotates it a bit (momentum/volatility creates oscillation),
then adds the candle push (forcing).
Finally, it converts that hidden state into a 0โ100 line:
> 50 means the state is aligned bullish,
< 50 means itโs aligned bearish.
The image below will give you an example of a deep analysis using the Propagator Price Action Oscillator (PPAO).
PPAO below 30
What that means mechanically
Below 30 = bearish impulse extreme.
It happens when the recent candles are consistently โbearish pressureโ according to the forcing inputs:
returns are negative and/or
candles close weak inside their range (CLV negative) and/or
bodies are bearish (close < open)
Also, if volatility is elevated, damping can make this flip faster and stay extreme during a strong impulse.
What it means behaviorally
PPAO < 30 is not โprediction.โ It is diagnosis:
โRecent candle pressure has been strongly bearish.โ
This can show up in two common market contexts:
Continuation context
Price is breaking structure down, and candles keep closing weak โ PPAO stays < 30.
Distribution / hidden weakness context (important)
Price may look stable or near a high, but candles are repeatedly closing poorly inside their ranges (negative CLV).
That makes PPAO drop under 30 even if price hasnโt collapsed yet.
That second case is exactly why Option B (Body + CLV) is useful: it can flag weak closes / selling absorption earlier than โprice-onlyโ oscillators.
PPAO above 70
What that means mechanically
Above 70 = bullish impulse extreme.
It occurs when the forcing inputs are strongly positive:
returns are positive and/or
candles close strong inside their range (CLV positive) and/or
bodies are bullish (close > open)
If volatility is not exploding, damping wonโt erase the accumulated bullish state quickly, so PPAO can stay above 70 during sustained buying pressure.
What it means behaviorally
Again: not a prophecy, but an impulse read:
โRecent candle pressure has been strongly bullish.โ
Two common contexts:
Trend continuation
Price is pushing higher and closes are strong โ PPAO remains > 70.
Exhaustion risk
If price is hitting major resistance/liquidity and you start seeing weaker closes (CLV drops) while PPAO stops making new highs โ thatโs where reversals begin to appear.
The key takeaway using both images
PPAO extremes are best understood as:
Below 30: โSellers are currently dominating candle pressure.โ
Above 70: โBuyers are currently dominating candle pressure.โ
Whether that dominance leads to continuation or reversal depends on what price does next (structure + where you are on the chart). PPAO is measuring pressure, not guaranteeing outcome.
USDJPY Timing Composite (5-Component)Overview
A sophisticated multi-component oscillator designed specifically for intraday USDJPY trading. This indicator combines five key market drivers to provide high-probability timing signals by isolating true USD strength and JPY weakness from noise.
Components & Methodology
The indicator uses z-score normalization (default 20-period lookback) to make five distinct market signals comparable and combines them into a single composite reading:
Primary USD Strength Signals (60%):
-EURUSD (30%) - Inverted EUR/USD measures USD strength against the Euro
USDCHF (30%) - USD strength against the Swiss Franc
Yield Differential (25%):
US02Y (25%) - 2-Year Treasury yield captures Fed policy expectations and carry trade dynamics
JPY Weakness Confirmation (15%):
CHFJPY (7.5%) - CHF/JPY cross isolates JPY-specific weakness
EURJPY (7.5%) - EUR/JPY cross provides additional JPY context
Key Features
โ
Multi-Source Validation - Separates real USD strength from currency-specific noise
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JPY Context Filter - Confirms whether moves are driven by USD strength, JPY weakness, or both
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Alignment Indicator - Visual dots show when 4+ components agree (high-confidence setups)
โ
Mean-Reversion Zones - Overbought/oversold thresholds at ยฑ1.5 standard deviations
โ
Clean Visualization - Candle-based display (no wicks) for easy interpretation
How to Use
Basic Signals:
Green candles = Bullish USDJPY pressure (USD strengthening / JPY weakening)
Red candles = Bearish USDJPY pressure (USD weakening / JPY strengthening)
Above +1.5 = Overbought zone โ look for mean-reversion shorts
Below -1.5 = Oversold zone โ look for mean-reversion longs
High-Confidence Setups (Alignment Dots):
Lime dot at top = 4+ components bullish โ strong long bias
Magenta dot at bottom = 4+ components bearish โ strong short bias
No dots = Mixed signals โ reduce position size or wait for clarity
Divergence Trading:
USDJPY makes new high but composite doesn't confirm โ potential reversal down
USDJPY makes new low but composite doesn't confirm โ potential reversal up
Best Practices
Timeframes: 5-minute to 15-minute charts for intraday trading
Session Focus: London and New York overlap (peak liquidity)
Pair With: Support/resistance levels, volume profile, or session highs/lows
Risk Management: Use alignment indicator to size positions (larger size when dots present)
Weight Adjustments:
Fed data days (CPI, NFP, FOMC): Increase US02Y weight to 30-35%
Pure FX sessions: Increase -EURUSD/USDCHF weights to 35% each
Risk-off events: Monitor CHFJPY/EURJPY for safe-haven JPY flows
Technical Details
Calculation Method: Z-score normalization with configurable lookback period
Default Weights: -EURUSD 30% | USDCHF 30% | US02Y 25% | CHFJPY 7.5% | EURJPY 7.5%
Extreme Threshold: ยฑ1.5 standard deviations (adjustable)
Alignment Trigger: 4 out of 5 components in agreement
Customizable Parameters:
Z-score lookback period (default: 20)
Individual component weights
Extreme threshold levels
Alignment indicator on/off
Advantages Over Simple Indicators
Unlike single-pair or DXY-based indicators, this composite:
Filters false signals - USD strength confirmed by two independent FX pairs
Identifies source of moves - Separates USD dynamics from JPY-specific flows
Reduces noise - JPY crosses prevent misreading EUR/CHF weakness as USD strength
Adapts to regimes - Adjustable weights for different market conditions
Suggested Complementary Analysis
Price action at key technical levels
Session opening ranges
Economic calendar (especially Fed events)
Correlation with US equity markets during risk-off periods
Intermarket analysis with JGB yields for JPY policy context
Disclaimer
This indicator is a technical analysis tool and does not guarantee profitable trades. Always use proper risk management, consider fundamental factors, and backtest any strategy before live trading. Past performance does not indicate future results.






















