RISK ROTATION MATRIX ║ BullVision [3.0]🔍 Overview
Introducing the Risk Rotation Matrix – a sophisticated macro-market sentiment tool that transforms dozens of global economic and cross-asset metrics into a single, adaptive composite signal. By converting key liquidity, macroeconomic, crypto, and risk data into standardized z-scores, this indicator provides a clear and dynamic visualization of the market’s current risk regime—helping users identify transitions across phases like Risk-On, Risk-Off, Recovery, and Weakening.
🧠 Key Features
🔢 Multi-Group Z-Score Normalization
Each input is converted to a z-score based on its own historical mean and deviation, allowing otherwise incomparable signals to be unified on the same scale. Inputs are categorized into four data domains:
- Liquidity: DXY, Global M2 Supply, Global Liquidity Index, Fed Balance, China Liquidity Proxy
- Macroeconomic: SPX500, MBA Index, China Blue Chips, Emerging Markets, URTH
- Crypto/Commodities: BTC SOPR, MVRV Z-Score, BTC/Silver Ratio, Total Crypto Cap
- Risk/Volatility: MOVE Index, VVIX/VIX, Credit Stress, SKEW Index, USDT Dominance
📊 Dynamic Aggregation & Smoothing
Group averages are combined into one global composite score, smoothed using user-defined filters (SMA, EMA, ALMA, etc.). This smoothing filters out noise while preserving critical phase transitions, without making any assumptions about future behavior.
⚙️ Customizable Inputs
Each user can enable or disable metrics, and adjust the analysis period per component—offering full control and adaptability across different markets, cycles, and volatility conditions.
🎨 Advanced Visual Display – Animated Quadrant Matrix
A dynamic quadrant chart (inspired by Ehlers loops) visualizes current market momentum as a glowing trail shifting between four regimes:
🟢 Risk-On (growth & confidence)
🟠 Weakening (loss of momentum)
🔵 Recovery (stabilizing after drop)
🔴 Risk-Off (panic & de-risking)
These states are dynamically colored, animated, and supported by labels and trails for easy interpretation. Candlestick coloring and background overlays enhance usability.
📋 Integrated Risk Dashboard
An embedded data table breaks down the real-time z-scores of each component across the four domains, including group averages and a final score. This feature allows fast scanning of which dimensions are driving current market behavior.
⚙️ How It Works
🧮 Z-Score Calculation & Group Aggregation
Every data feed is normalized via z-score to neutralize scale differences. Then, groups (Liquidity, Macro, Crypto, Risk) are averaged independently and finally blended into a composite value.
🔁 Composite Smoothing & Signal Generation
The user can apply smoothing (ALMA, EMA, etc.) to highlight trends and reduce noise. Smoothing length, type, and parameters are fully customizable for different trading styles.
🎯 Color Feedback & Market Regimes
Visual dynamics (color gradients, labels, trails, and quadrant placement) offer an at-a-glance interpretation of the market’s evolving risk environment—without forecasting or forward-looking assumptions.
🔧 Parameters Explained
📌 Data Group Toggles
Choose which sources are active in each group (liquidity, macro, crypto, risk). Set the z-score lookback period for each component.
📌 Smoothing Engine
Pick between SMA, EMA, ALMA, etc., and define smoothing intensity (length, offset, sigma).
📌 Display Options
Enable/disable:
Quadrant overlays
Particle trails
Candlestick coloring
Dashboard data matrix
Phase background shading
🧪 Use Cases
🔍 Market Analysts
Cross-verify macro themes and structural shifts with data-driven quadrant transitions.
🚀 Swing & Position Traders
Identify broad market regime shifts, helping avoid exposure in Risk-Off phases.
💎 Why It’s Worth Paying For
While the Risk Matrix leverages several well-known components (e.g., M2, SOPR, VIX), it uniquely combines them into a real-time, quadrant-based visual framework that is not available in any public script or built-in indicator.
Unlike traditional mashups, this tool:
Uses adaptive z-score normalization and cross-domain composite modeling
Features a live animated quadrant display with dynamic trail rendering
Integrates a modular risk dashboard and color-coded phase detection
Is designed to be asset-agnostic and macro-compatible for cross-market analysis
Moreover, the script includes several proprietary composite tickers, such as:
A custom FED liquidity formula blending multiple balance sheet components
A Chinese liquidity proxy combining rate spreads and FX-adjusted monetary aggregates
A refined Global Liquidity Index (GLI) assembled from macro credit indicators
A global M2 composite derived from multi-country M2 data and FX normalization
These ticker combinations are entirely personal constructions that are not publicly available or replicated, requiring significant research and intellectual structuring. As such, they represent a layer of original IP (intellectual property) that justifies the invite-only distribution.
The overall system delivers institution-grade market regime detection in a compact, visual format—ideal for traders seeking actionable macro signals without noise or prediction bias.
⚠️ Disclaimer
This tool does not and cannot predict future market behavior. It simply visualizes standardized historical data. Use it in combination with sound risk management. Past performance does not guarantee future results.
Indicatori e strategie
RSI Crossover Strategy with Buy Sell signal1. Buy sell signal generated on the crossover of RSI 1(which is of smaller period) & RSI 2.
2. RSI 3 if someone wants to have for more analysis with on off switch.
3. you can choose differnt symbols and color options as per your choice.
4. Works good on RSI 14 and RSI 50 periods on 15MTF
profit Purify algo strategyThe "Profit Purify" strategy is designed to filter high-probability trades while purifying (removing) unprofitable market noise. It combines trend confirmation with momentum filters to enter positions only when multiple conditions align favorably.
ERA ERA is specifically designed for short-term trading on the 5-minute time frame. It is optimized to capture intraday trends while managing risk with a disciplined approach.
Key Features:
Color-Coded Trend Detection:
Green Background: Indicates a bullish trend. A Buy Signal is generated when the background turns green.
Red Background: Indicates a bearish trend. A Sell Signal is generated when the background turns red.
These visual cues make it easy for traders to identify potential entries at a glance.
Risk Management – Fixed Stop Loss:
Each trade comes with a fixed stop loss of 1% based on the entry (cost) price.
This strict risk control helps preserve capital and maintain a favorable risk-reward ratio.
Unlimited Profit Potential:
There is no fixed take-profit level. Trades are held until the background color changes (signaling a trend reversal).
This allows profits to run during strong trends, maximizing returns without prematurely closing positions.
Best Use Case:
This indicator performs best in high-volatility or trending markets, where clear directional movement can be exploited.
Ideal for scalpers and intraday traders looking for a systematic, visually intuitive entry/exit system with built-in risk control.
매집-매도 구간This script is a buy/sell zone detection tool designed to identify accumulation and distribution phases based on price statistics over a customizable period.
It offers two price reference modes — average price and median price — to calculate central tendencies.
In addition, it supports an ATR-based mode for volatility-adjusted buy/sell thresholds, making it flexible for various market conditions.
Bmulti / Smulti: Percentage-based multipliers for buy/sell zone calculation
Batr / Satr: ATR multipliers for dynamic zone adjustment based on market volatility
The indicator visually highlights buy and sell zones using colored fills and provides real-time entry/exit signals via circular markers.
Suitable for high-volatility assets such as BTC, and works well for long-term trading strategies.
Moving Averages Cross DetectorThis is a multiple MA indicator with triggers to alert when SMA is broken and holds
Version 1
The first version of the adapter is in development and is intended for testing and optimization. In the future, support for Martingale will be added, as well as the ability to configure pyramiding, making the strategy more flexible in terms of position management. It is very important to work with different timeframes to ensure that each tool fits its style and trading conditions. This will help improve the accuracy and effectiveness of trading decisions.
Further updates and improvements are planned to enhance functionality and expand configuration options.
If anyone is familiar with connecting strategies to different brokers or platforms, such as Bybit or Interactive Brokers, please share your knowledge. I am interested in understanding how to integrate this with various trading systems for automated operations.
20 SMA Cross DetectorSimple 20 SMA Play to follow the path to statistical futures of goodness. Follows and gives signals when 20 or selected SMA is crossed and next candle continues.
ALGO HIGH PROFIT - [Crossover & Crossunder][Strategy]Welcome!
::: Algorithm Features:
ALGO HIGH PROFIT - validates the crossover of exponential moving averages and simple moving averages with a high level of accuracy and effectiveness in low and high volatility environments.
The strategy is supported by coding that allows it to trade with the trend, validates candle closes relative to previous candles, and other parameters that allow you to identify the best opportunity to enter the market.
Once the strategy determines the start of a strong trend, it opens the first position (long or short) and initiates an infinite sequence of buys and sells, entering one at a time after the previous position has been closed.
::: Market:
ALGO HIGH PROFIT - has been extensively tested in the crypto market, serving as the primary source of information for in-depth analysis of everything required to operate with the strategy and achieve maximum returns.
Trading in the crypto market has allowed us to observe the strategy's performance in a highly volatile environment without investor intervention, operating completely automatically and achieving high returns.
This suggests that with proper risk management, the strategy can also be highly effective in other markets such as the NYSE, NASDAQ, SP500, DOW JONES, FOREX, IBEX 35, CAC40, DAX30, EURO STOXX 50, FTSE 100, and MIB.
::: Risk management:
ALGO HIGH PROFIT - performs outstandingly if parameters are met that protect both capital and performance.
:: The main parameters you need to meet to trade successfully with this strategy are the following:
1. Trade with only 25% of the total available funds you have in your exchange account.
2. Use the Trading View results simulator to conduct a responsible search for the asset you will select to trade .
3. Trade with CROSS margin, not isolated margin.
4. Trade in UNILATERAL position mode, not in hedged position mode.
5. Trade with MARKET orders, not limit orders.
6. Trade with leverage between 5X and 30X.
7. Trade on a timeframe of 10 minuts or longer.
8. Trade the strategy on multiple assets simultaneously .
9. Always set the current start date/time for your strategy so you can analyze its results from the start using the Trading View simulator.
10. Trade each asset on different timeframes (two assets on each timeframe could significantly increase the strategy's performance).
::: Exchanges:
ALGO HIGH PROFIT - has been tested primarily on the BINANCE Exchange futures market but can operate perfectly on any Exchange that supports setting up automated alerts using webhooks: BIBIT, OKX, BITGET, among others.
::: Profit:
This algorithm achieves consistent returns from the outset; however, given that it operates in highly volatile environments, there may be a temporary performance squeeze until the market re-enters a trend.
To ensure returns and account balance, it is necessary to be disciplined and consistent with risk management.
The ROI of the automated strategy will depend on the assets you trade, the leverage, and the time horizon.
However, if you meet all the parameters indicated above, the strategy's ROI could reach 198% of your operating capital in the first 7 DAYS.
* Suggestion:
You can achieve superior results if you combine your automated trading with our other two available strategies:
ALGO HIGH PROFIT -
ALGO HIGH PROFIT -
Good luck with your investments!
Algo High Profit Team
Quant Sentiment with Replay Date This indicator works on options data and underlying data. This calculates the combined z-score on ATM+-4 strikes to determine the bull/bear and rangebound phases. For intraday, ideal usage should be on 1 and 3min timeframe. This indicator can be used in conjunction with supertrend(10,3) and applied on your existing option strategies. We would keep publishing the ideas and updates with this indicator in the future.
🔴🟢🟡 PATRONES DE VELA6-pattern analyzer to confirm entries. Trends filtered with ADX and EMA, both MTFs. The oscillator also averages the candlestick swings in a TF selected by the user, allowing for better stop-loss level calculations.
Analizador de 6 patrones para confirmar entradas. Tendencias filtradas con adx y ema ambas MTF. Igualmente el oscilador promedia la oscilación de la velas en un TF que el usuario elija, ello permite calcular de una mejor manera el nivel de Stoploss.
lucy EMA 50 High & EMA 20 LowTechnical Description (Code Functionality)
This Pine Script calculates and displays:
✅ 1. EMA 50 of the High Price
ema50High = ta.ema(high, 50)
This is the 50-period Exponential Moving Average (EMA) calculated using the high price of each candle.
It reacts slower than shorter EMAs, smoothing out short-term noise to help identify broader trend direction using the upper extremes of price.
✅ 2. EMA 20 of the Low Price
ema20Low = ta.ema(low, 20)
This is a 20-period EMA calculated using the low price of each candle.
Being shorter in length, it reacts faster to price changes, showing short-term momentum or pressure, but based on lower extremes of price.
✅ 3. Plotting and Visualization
Both EMAs are plotted on the chart using different colors:
Orange for EMA 50 High
Blue for EMA 20 Low
There's also a gray shaded area ("zone") filled between the two EMAs to visually highlight the range or channel created by these two levels.
📈 Trading Interpretation
This setup can be used in several ways, depending on strategy:
🔍 Trend Filter
If price stays between or above the EMA 50 High and EMA 20 Low, it may indicate an uptrend with strength and follow-through.
If EMA 20 Low crosses below EMA 50 High, it might suggest weakening bullish momentum or a potential trend reversal.
🟩 Buy Zone Concept
Some traders interpret the space between these EMAs as a potential entry zone in uptrends:
Price pulls back toward the EMA 20 Low (support) but doesn't break below EMA 50 High — this could signal a buy-the-dip opportunity.
🟥 Sell Signal / Bearish Shift
If price closes below both EMAs, or if EMA 20 Low crosses below EMA 50 High, it could be a signal for:
Exit
Short entry
Trend weakening
🛡️ Risk Management Tips
Avoid trading just on the crossover; use this with volume, MACD, RSI, or price action confirmation.
Place stop-loss below the EMA 20 Low (for long entries) to account for volatility.
Use EMA crossbacks (where EMA 20 re-crosses above EMA 50) as confirmation for re-entry.
Palace Swing Key Features:
1. Triple-Layer Confirmation:
- Trend: 8/21 EMA crossover + price position
- Momentum: RSI filtered mid-range (40-70 for buys, 30-60 for sells)
- Volume: Above 34-period average
2. False Signal Protection:
- Requires minimum candle size (1.5x ATR)
- Pullback/reversal price structure
- Volume confirmation
- RSI mid-range only (avoids overbought/sold extremes)
3. Swing Capture Logic:
- Buys only in uptrends after pullbacks
- Sells only in downtrends after rallies
- Requires strong closing momentum (bull/bear bars)
4. Optimized for 1-min ES:
- Uses ATR-based dynamic size filter
- Volume validation
- Quick-reaction settings for futures
### How to Use:
1. Buy Signals (Green Triangles):
- Appear below bars when all conditions align
- Valid only when price is above slow EMA
- Requires pullback + strong bullish bar
2. Sell Signals (Red Triangles):
- Appear above bars during downtrends
- Requires failed rally + strong bearish bar
- Confirmed by volume spike
3. Trend Filter:
- Blue line = Fast EMA (8)
- Orange line = Slow EMA (21)
- Only trade in direction of EMA crossover
This system focuses on quality over quantity by requiring multiple confirming factors. Historical testing shows best results between 9:30 AM - 11:30 AM EST when ES exhibits the strongest directional moves. Always confirm with price action near key support/resistance levels.
> Note: For optimal results, combine with:
> - 5-min chart trend direction
> - Key S/R levels (previous day high/low)
> - VWAP confluence during regular session
ALGO HIGH PROFIT - [Buy & Sell][Strategy]Welcome!
::: Algorithm Features:
ALGO HIGH PROFIT - incorporates instructions in its coding that allow it to determine a SUPERTREND with a high level of accuracy and effectiveness in low and high volatility environments.
The strategy relies on coding that allows it to identify the highest highs through candlestick readings, data obtained from the RSI and ATR indicator, and other parameters that allow it to identify the best opportunity to enter the market.
Once the strategy determines the start of a strong trend, it opens the first position (long or short) and initiates an infinite sequence of buys and sells, entering one at a time after the previous position has been closed.
::: Market:
ALGO HIGH PROFIT - has been extensively tested in the crypto market, serving as the primary source of information for in-depth analysis of everything required to operate with the strategy and achieve maximum returns.
Trading in the crypto market has allowed us to observe the strategy's performance in a highly volatile environment without investor intervention, operating completely automatically and achieving high returns.
This suggests that with proper risk management, the strategy can also be highly effective in other markets such as the NYSE, NASDAQ, SP500, DOW JONES, FOREX, IBEX 35, CAC40, DAX30, EURO STOXX 50, FTSE 100, and MIB.
::: Risk management:
ALGO HIGH PROFIT - performs outstandingly if parameters are met that protect both capital and performance.
:: The main parameters you need to meet to trade successfully with this strategy are the following:
1. Trade with only 25% of the total available funds you have in your exchange account.
2. Use the Trading View results simulator to conduct a responsible search for the asset you will select to trade .
3. Trade with CROSS margin, not isolated margin.
4. Trade in UNILATERAL position mode, not in hedged position mode.
5. Trade with MARKET orders, not limit orders.
6. Trade with leverage between 5X and 30X.
7. Trade on a timeframe of 1 minut or longer.
8. Trade the strategy on multiple assets simultaneously .
9. Always set the current start date/time for your strategy so you can analyze its results from the start using the Trading View simulator.
10. Trade each asset on different timeframes (two assets on each timeframe could significantly increase the strategy's performance).
::: Exchanges:
ALGO HIGH PROFIT - has been tested primarily on the BINANCE Exchange futures market but can operate perfectly on any Exchange that supports setting up automated alerts using webhooks: BIBIT, OKX, BITGET, among others.
::: Profit:
This algorithm achieves consistent returns from the outset; however, given that it operates in highly volatile environments, there may be a temporary performance squeeze until the market re-enters a trend.
To ensure returns and account balance, it is necessary to be disciplined and consistent with risk management.
The ROI of the automated strategy will depend on the assets you trade, the leverage, and the time horizon.
However, if you meet all the parameters indicated above, the strategy's ROI could reach 198% of your operating capital in the first 7 DAYS.
* Suggestion:
You can achieve superior results if you combine your automated trading with our other two available strategies:
ALGO HIGH PROFIT -
ALGO HIGH PROFIT -
Good luck with your investments!
Algo High Profit Team
Swing Volume Profiles [BNFOREX]
### **Swing Volume Profiles - Indicator Description**
#### **Overview**
This advanced volume analysis tool identifies key price levels by examining trading activity between swing points. Built on Pine Script v5 and inspired by LuxAlgo's work, it helps traders visualize where the market has shown the most interest through volume concentration.
#### **Key Features**
1. **Smart Swing Detection**
- Automatically identifies swing highs/lows using a customizable length (default: 47 bars)
- Tracks price movements between these critical points
2. **Volume Profile Visualization**
- Displays volume distribution across price levels between swings
- Clear color differentiation:
- Gold (`#fbc02d` at 85% opacity) for high-volume Value Areas
- Gray (`#434651` at 35% opacity) for low-volume zones
3. **Critical Reference Levels**
- **Point of Control (POC)**: Price with highest trading volume (red)
- **Value Area**: Contains 68% of total volume (adjustable)
- VAH (Value Area High) and VAL (Value Area Low) in blue (50% opacity)
4. **Customizable Display**
- Adjustable profile width (default: 79%)
- 39 price rows for detailed analysis
- Option to show developing POC in real-time
5. **Advanced Features**
- Liquidity void detection (cyan zones)
- Multiple display modes (Present/Historical)
- Custom alert conditions for key level breaks
#### **Usage Recommendations**
- **Best Timeframes**: Works well on H4 and daily charts
- **Trading Signals**:
- Consider long positions when price approaches VAL with increasing volume
- Look for short opportunities near VAH with volume confirmation
- **Confirmation**: Combine with other indicators (e.g., RSI, moving averages)
#### **Customization Options**
- Adjust all colors and opacity levels
- Modify Value Area percentage (default: 68%)
- Choose between left/right profile placement
- Extend POC display options
#### **Alert Conditions**
- Price crossing POC line
- Price touching VAH or VAL
- Custom alerts available through script modification
#### **Optimized Defaults**
- 1600 bars historical analysis
- Clean, unobtrusive display that complements price action
This professional description highlights the indicator's capabilities while giving credit to the original inspiration. It's structured to appeal to both technical traders and those new to volume profile analysis.
Triple Bollinger [SimpleTrade]Triple Bollinger Bands plot three concentric sets of Bollinger Bands—typically using the same moving average but different standard-deviation multipliers (e.g. ±1σ, ±2σ, ±3σ). This gives you:
Inner Band (±1σ): captures ~68% of price action—good for identifying normal volatility and early trend moves.
Middle Band (±2σ): the classic Bollinger range (~95% of prices)—signals medium-strength breakouts or pullbacks.
Outer Band (±3σ): extreme volatility (~99.7% of prices)—marks overbought/oversold or major exhaustion points.
By watching how price interacts with each band, traders can gauge trend strength, spot gradual reversals at inner bands, and prepare for sharp moves (or reversals) when outer bands are touched.
BUY/SELL DAM MAY Strong SignalsThe "BUY/SELL DAM MAY Strong Signals" is a custom TradingView indicator designed to identify strong buy and sell opportunities using a combination of the Madrid Ribbon (a set of 19 EMAs), Q-Trend logic, and ATR-based breakout detection. It highlights buy signals when the price breaks upward and is above all EMAs, and sell signals when the price breaks downward and is below all EMAs. The indicator also identifies “STRONG” signals when the breakout happens near recent highs or lows, and confirms major trend shifts using a DEC detection system based on multiple EMA crossovers. Users can customize parameters such as the period, ATR settings, and crossover thresholds, and receive alerts for each signal type, making this tool especially useful for trend-following strategies.
[RuiSteve]Nen khong rauChỉ báo nến không râu của RUISTEVE.
Đánh dấu các nến tăng, giảm đột ngột mà không có râu nến!
RSI y ADXR Combinados RSI and ADXR Combined
Description
This indicator combines the RSI (Relative Strength Index) and ADXR (Average Directional Index Rating) in a single window to provide a comprehensive view of momentum and trend strength.
Features
- **RSI**: Momentum oscillator that identifies overbought and oversold conditions
- **ADXR**: Smoothed version of ADX that measures trend strength
- Automatic reference levels for easier interpretation
- Optimized configuration for multiple timeframes
Recommended Settings
- RSI Period: 18
- DI Period: 18
- ADX Smoothing: 1
- ADXR Period: 18
Interpretation
**RSI (Blue Line):**
- Values > 70: Overbought zone (possible bearish correction)
- Values < 30: Oversold zone (possible bullish bounce)
**ADXR (Red Line):**
- Values > 25: Strong trend established
- Values < 25: Weak trend or sideways market
Recommended Use
- Confirmation of entry and exit signals
- Identification of trending vs. sideways markets
- Momentum analysis combined with trend strength
- Works on all timeframes
Advantages
- Combines two complementary indicators
- Reduces market noise
- Provides more reliable signals
- Easy visual interpretation
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mando | spaghettiThis indicator visually tracks the percentage change of multiple assets over a selected time period, helping traders identify relative performance across different cryptocurrencies.
Key Features:
Multi-Asset Performance Tracking: Compares up to 9 tickers and plots their relative percentage change.
Custom Time Periods: Resets calculations based on user-defined time intervals (e.g., 1D, 1W, 1M).
Dynamic Gradient & Highlighting: Colors lines based on performance, with options to highlight the top 3 and bottom 3 assets.
Mean Performance Calculation: Plots the average performance of the group for trend comparison.
Customizable Labels & Table Display: Option to show a performance ranking table with additional data like Beta correlation.
Adaptable Plot Styles: Supports multiple line styles and color gradients.
This indicator helps traders quickly spot outperforming and underperforming assets, making it ideal for relative strength analysis and portfolio tracking.
Fully Custom Daily Vertical Lines10 customizable vertical lines:
- Enable/Disable
- GMT selection
- Custom text
- Custom color
- Custom style
- Custom hours and minutes
Reflex HacimREFLEX Volume indicator. Simple and well-known volume indicator. Designed to be used together with the main indicator.
BG MACD MTF (Optimized)🟩 BG MACD MTF (Optimized) – Multi-Timeframe MACD Table Display
This indicator provides a clean and optimized table view of the MACD (Moving Average Convergence Divergence) across multiple timeframes, helping you spot momentum shifts and convergence/divergence setups at a glance.
🔍 Features:
Multi-Timeframe Overview: Displays MACD, Signal, and Histogram values for 1m, 3m, 5m, 15m, 30m, 1h, and 4h timeframes.
Directional Arrows: ▲ or ▼ symbols indicate whether the MACD line is increasing or decreasing compared to the previous value.
Dynamic Background Colors:
Green for positive values
Red for negative values
Header and TF Column Highlighting: Stylish grey background for easy readability.
Customizable Settings:
Table position: Top/Bottom Left, Right, or Center
Text size: Tiny to Large
MACD settings: Fast, Slow, Signal periods
🛠️ How to Use:
Use this table to assess MACD alignment across timeframes. Look for:
Bullish momentum: Most MACD and Histograms are positive with ▲ arrows
Bearish momentum: Most values are negative with ▼ arrows
Divergence alerts: Opposing trends between higher and lower TFs
💡 Tip:
Combine this tool with price action or trend indicators for enhanced confluence.
Enjoy your trading journey with this powerful visual! 🚀
Feel free to share and give credit: @BAB & GINO