Tablero Dirección Velas – MultiTF (JorgeChutoFX)A read-only indicator that displays the candle bias (bullish, bearish, or neutral) across multiple timeframes using color-coded boxes. All timeframes are fully customizable, giving a quick visual overview of market direction.
Indicatori e strategie
Institutional Valuation SuiteStandard volatility indicators often fail on long-term growth charts because they measure volatility in dollars rather than percentages. This causes bands to break or become irrelevant during exponential price moves (e.g., Bitcoin going from $1,000 to $100,000).
The Institutional Valuation Suite solves this by utilising Geometric (Log-Normal) Standard Deviation. This allows the model to adapt to the asset's price scale, providing accurate valuation zones regardless of price magnitude.
The model functions as a mean-reversion tool, visualizing price as an elastic band anchored to a "Fair Value" baseline. It identifies when the asset is statistically overextended (Bubble/FOMO) or undervalued (Deep Discount).
Key Features
1. Log-Normal Math Engine
Geometric Mode (Default): Calculates volatility in percentage terms. Essential for Crypto and Growth Stocks.
Arithmetic Mode: Available for Forex or range-bound assets where linear standard deviation is preferred.
2. Sentiment Heat map
Visualises valuation directly on the candles to remove interpretation bias.
GREEN: Deep Value / Accumulation Zone (< -0.5σ).
ORANGE: Overvalued / FOMO Zone (> 2.0σ).
RED: Speculative Bubble Zone (> 3.0σ).
3. Reversion Signals
"VALUE RECLAIM": Triggers when price re-enters the bottom band from below, filtering out "falling knife" scenarios.
"TOP EXIT": Triggers when price breaks down from the speculative top zone.
4. Statistical Dashboard
Displays the real-time Z-Score to quantify how "stretched" the price is relative to its baseline.
> 3.0: Statistical Anomaly (Top).
< -0.5: Statistical Discount (Bottom).
Optimisation Cheat Sheet
The "Cycle Length" input determines the lookback period for the baseline. Recommended settings:
Crypto Macro: 200 (Approx. 4 Years).
Altcoins: 100 (Approx. 2 Years).
Stocks (S&P 500): 50 (1 Year Trend).
Day Trading: Set "Timeframe Lock" to "Chart".
Technical Note
This indicator uses strict offset logic (`barmerge.lookahead_on`) to ensure historical consistency. The signals displayed on historical bars match exactly what would have appeared in real-time.
*Disclaimer: This script provides statistical analysis based on historical volatility and does not constitute financial advice.*
Kai GoNoGo 2mKai GoNoGo 2m is a multi-factor trend confirmation system designed for fast intraday trading on the 2-minute chart.
It combines EMAs, MACD, RSI and ADX through a weighted scoring model to generate clear Go / NoGo conditions for both CALL (long) and PUT (short) setups.
The indicator paints the candles with pure colors to show the current strength of the trend:
Strong Go (Bright Blue): Full bullish alignment across EMAs, momentum and trend strength.
Weak Go (Light Blue): Bullish structure but with softer momentum.
Weak NoGo (Light Pink): Bearish structure starting to develop.
Strong NoGo (Bright Pink): Full bearish alignment across all components.
Neutral (Gray): No trend, compression or transition phase.
Components included:
EMA Trend Structure (9/21/50/100/200)
MACD Momentum (12-26-9)
RSI Confirmation (14)
ADX Trend Strength Filter via DMI (14,14)
Scoring system inspired by the original GoNoGo concept, improved for speed-based trading.
Designed for:
Scalping, 0DTE options, FAST trend continuation entries, and momentum confirmation on QQQ, SPY, NQ, ES and high-beta names.
This version uses pure colors (no gradients) for maximum clarity when trading fast charts.
[iQ]PRO True Opens+🔱 PRO True Opens+: Dynamic Session Anchors for Elite Market Analysis
The PRO True Opens+ indicator, meticulously crafted by MarketMakerlQ, is an essential tool designed for serious traders seeking to leverage the significance of key session openings as structural market anchors. This premium, closed-source solution provides unparalleled clarity on critical price levels across multiple trading periods.
Unlocking High-Value Price Clarity
This advanced overlay indicator dynamically plots and manages lines corresponding to the Open price at four pivotal times in the New York (NY) trading day:
00:00 NY Open (Midnight): The official start of the global trading day for many major instruments.
08:30 NY Open: A crucial time often associated with significant financial news releases and volume spikes.
09:30 NY Open: The official opening bell for the major US stock exchanges, marking a period of high volatility and liquidity.
13:30 NY Open: A mid-afternoon period often coinciding with the close of European markets and subsequent shifts in momentum.
By clearly visualizing these True Open prices on your chart, the indicator empowers users to identify potential support and resistance zones and observe how price action reacts to these time-based anchors.
Adaptive and Persistent History
A core differentiating feature is its sophisticated history management system. Unlike simpler indicators, PRO True Opens+ is engineered with a robust 18:00 ET rollover mechanism that intelligently "freezes" the prior session's open levels.
Historical Lookback: Users gain control over the market's memory, setting a custom History Lookback (Days) to display historical open lines. This provides context on multi-day price development relative to prior session starting points.
Persistent Anchors: The indicator maintains the integrity and persistence of these key levels across bars and sessions, ensuring they remain relevant structural references for your analysis.
Enhanced Flexibility and Customization
The tool is built with an extensive suite of user-defined inputs, ensuring maximum adaptability to any trading style or instrument:
Independent Control: Each of the four major opens (00:00, 08:30, 09:30, 13:30) can be individually enabled/disabled and customized with unique Color, Line Style, and Line Width.
Current Timeframe Open (C.O.): It also tracks and displays the Current Timeframe Open (C.O.), providing an instant reference point for the current bar's session start, with an option to manage its historical persistence at the 18:00 rollover.
Display Precision: Inputs for Right Pad (bars) and Label Pad (bars) allow for precise control over the visual extension and positioning of the price labels and lines on the right edge of the chart, optimizing for a clean and efficient display.
PRO True Opens+ offers a powerful, professionally engineered lens through which to view market structure. It's a non-repainting, foundational tool for traders who demand precision in their analysis of time-and-price relationships.
Use together with Market Sessions+ and other tools coming for best personal strategy empowerments!
EMA 21 y EMA 55 [KEKG]EMA 21 & 55 is a simple and clean indicator for identifying the direction of the trend in real time. It displays two exponential moving averages: EMA 21 (green) and EMA 55 (red). Ideal for day trading, scalping, and trend trading in forex, indices, gold, and cryptocurrencies.
ATT: KEKG
AnAn Master: VWAP + EMA9/21 + Spike Arrows (simple)AnAn Master: VWAP + EMA9/21 + Spike Arrows (simple)AnAn Master: VWAP + EMA9/21 + Spike Arrows (simple)
Quantum Flow ScannerOverview
The Quantum Flow Scanner is a comprehensive technical analysis indicator that combines trend detection, momentum analysis, and dynamic band systems to identify potential market opportunities. This indicator uses advanced filtering techniques and multi-factor detection strength calculations to help traders make informed decisions.
Key Features
Trend Detection System
Dual-period momentum analysis (Fast/Slow periods configurable)
Pattern recognition engine that analyzes recent price movements
Normalized momentum calculations adjusted for volatility
Bull and Bear detection generation based on trend changes
Dynamic Band System
Adaptive bands that adjust to market volatility using ATR (Average True Range)
Customizable band width and distance multipliers
Optional midline, upper band, and lower band displays
Visual channel fill options for enhanced clarity
Background color coding for trend direction
Detection Strength Rating
Multi-factor detection strength calculation (25-92% range)
Considers volatility, momentum, trend duration, and volume
Higher timeframe alignment analysis
Swing position evaluation
Real-time percentage display on detections
Performance Tracking
Live performance statistics table
Total detections counter
Successful detections vs unsuccessful detections tracking based on configurable stop loss and take profit levels
Success rate percentage calculation
Average detection strength monitoring
How It Works
The indicator employs a sophisticated filtering mechanism based on pole-zero placement algorithms to smooth price data and calculate dynamic bands. When price crosses these bands in conjunction with momentum shifts, the indicator generates Bull or Bear detections.
Detection strength is calculated using eight weighted factors:
Market volatility assessment
Momentum cluster analysis
Distance from dynamic midline
Trend consistency duration
Higher timeframe trend alignment
Volume profile analysis
Candle strength evaluation
Swing position context
Configuration Options
Period Settings:
Fast Period (1-200): Controls short-term momentum sensitivity
Slow Period (1-500): Defines longer-term trend context
Pattern Recognition Length (5-50): Sets momentum analysis window
Sensitivity Controls:
Distance Multiplier (1.0-10.0): Adjusts band width relative to volatility
Cluster Size (1-15): Number of bars analyzed for momentum clustering
Display Options:
Customizable detection colors
Optional detection markers and percentage labels
Dynamic band visibility toggles
Channel fill options
Background color coding
Performance Tracking:
Configurable stop loss and take profit levels (in points)
Optional performance statistics table
Success rate monitoring
Use Cases
This indicator is designed for:
Trend identification across multiple timeframes
Entry and exit timing optimization
Market volatility assessment
Detection quality evaluation through strength ratings
Strategy performance tracking
Important Notes
This indicator is for educational and informational purposes only
Past performance does not guarantee future results
Always use proper risk management and position sizing
Detections should be used as part of a comprehensive trading strategy
Test thoroughly on historical data before live trading
No indicator is 100% accurate; losses are part of trading
GURULifeline – Tier 1: Flag Engine + Trend-Health SystemGURULifeline is the new standard in modern trading — a flag-driven trend-health system engineered for precision, clarity, and institutional-grade momentum analysis. This isn’t another indicator. This is a complete trading framework built to expose real trend shifts, recession alerts, and structural reversals with unmatched accuracy.
Works on every timeframe with the same universal rules.
Core Components (with color logic):
• Baseline (Blue) — structural trend anchor; reveals trend stability or fragility
• Blanket (Orange) — dynamic trend filter; confirms directional integrity and pressure shifts
• Flag Engine (Green/Red Flags) — the ONLY entry/exit triggers; identifies true momentum breaks
• Candle System (Green/Red/White/Yellow) — micro-trend revelations showing internal market conditions
Candle Revelations:
• Green — trend strength intact
• Red — structural weakness / breakdown
• White — hesitation inside the trend engine
• Yellow — volatility compression; major move loading
How it’s traded:
Enter on Flag signals , confirm structure with the Blue Baseline , validate direction with the Orange Blanket , and read internal momentum through the candle revelation system.
Exit only on the opposite Flag.
No predictions. No forecasting. Pure reaction-based clarity for retail traders demanding a precision edge beyond traditional analysis.
Paired with weekly stock and SP:SPX trend-health breakdowns hosted by Elaina Mae Kingsley , GURULifeline delivers a full ecosystem — not just a tool.
If you trade trend, structure, or momentum…
this becomes your new foundation.
M30-H1It is a long established fact that a reader will be distracted by the readable content of a page when looking at its layout. The point of using Lorem Ipsum is that it has a more-or-less normal distribution of letters, as opposed to using 'Content here, content here', making it look like readable English. Many desktop publishing packages and web page editors now use Lorem Ipsum as their default model text, and a search for 'lorem ipsum' will uncover many web sites still in their infancy. Various versions have evolved over the years, sometimes by accident, sometimes on purpose (injected humour and the like).
AnAn Master: VWAP + EMA9/21 + Volume Spike ArrowsAnAn Master: VWAP + EMA9/21 + Volume Spike Arrows to help with spikes
[iQ]PRO Market Sessions+🌐 PRO Market Sessions+: The Architecture of Market Time
Elevate your market analysis with the PRO v1 Time Cycles indicator—a sophisticated, proprietary framework engineered to meticulously map and visualize critical, high-probability time segments across global trading sessions. This tool transcends conventional session highlighting by providing a multi-layered, time-boxed view of market behavior, offering unparalleled clarity on structural shifts and key price levels.
This tool is optimized for professional traders, providing an edge by focusing on the fractal nature of market timing.
⏳ Precision Time Segmentation
The core functionality revolves around the hyper-precise segmentation of the trading day, anchored to the New York (EST) timezone to capture institutional flow.
Global Overlap Coverage: Integrates key Asia and London sessions with the comprehensive New York trading day, allowing for the analysis of transitional volatility and overlap strategies.
Structured Cycles: Deploys a unique system of 270-minute cycles, nested with 90-minute and 30-minute subdivisions. This hierarchical structure reveals how market structure evolves from macro-sessions down to critical, granular pivots.
New York Focus: Features distinct AM and PM 270-minute cycles, further broken down into 90-minute tranches (AM1, AM2, AM3 / PM1, PM2, PM3) and fine-tuned with 30-minute and even 10-minute boxes for exceptional high-resolution analysis.
London Depth: The London session is captured as a 270-minute block, with its own nested 90/30-minute structures, providing a complete view of the European market's structural integrity before the US open.
✨ Dynamic Structural Analysis
Beyond mere visualization, the indicator computes and projects critical structural levels within each time box, acting as dynamic reference points for price action.
Dynamic Price Anchors: Each time-cycle box is calculated to reveal key price metrics, including the Open Price and the Equilibrium (EQ) Level (Mid-Range). These lines serve as potent technical levels, often representing institutional reference points for deviation and reversion.
High/Low Capture: The extreme High and Low of each significant time segment are captured and marked, forming the boundaries of the structural range and identifying potential areas of liquidity draw.
Persistent Levels: Projects Previous Day, Week, and Month High/Low levels. These crucial historical benchmarks act as magnets or barriers to current price movement, providing essential macro-context to intra-day analysis.
🎨 Customizable & Non-Intrusive
The PRO v1 Time Cycles is designed for seamless integration into any chart setup, offering extensive customization without cluttering the price action.
Control over Granularity: Users maintain complete control over which time cycles (270, 90, 30, 10-minute) are displayed, ensuring the chart reflects the specific trading strategy and timeframe required.
Aesthetic Flexibility: Features highly detailed options for color, border styles, text alignment, and line thickness for every major session and nested cycle, allowing for a fully personalized and professional workspace.
This tool is a fundamental component of the iQ PRO suite, providing the essential temporal context required to execute sophisticated, time-based trading strategies. Its robust architecture is built to empower the discerning trader with a clearer, more structured view of the market's inner workings.
經典-M30-H1時間框架indicator("經典-M30-H1時間框架", overlay = true, max_lines_count = 500)
//------------------------------------------------------
// ★★ 水平(模式)★★
//------------------------------------------------------
useClassic = input.bool(true, "經典水平", group = "水平")
useBreakout = input.bool(false, "突破水平", group = "水平")
ema_sw_alligatorA powerful and visually intuitive trading indicator that plots four exponential moving averages (EMA 8, 13, 48, 200) with customizable offsets and dynamic gradient visualization between the fast EMAs.
key features:
- four ema periods: displays ema 8, 13, 48, and 200 with customizable lengths
- customizable offsets: each ema can be shifted forward or backward in time (default: ema 200 offset 20, ema 48 offset 5, ema 13 offset 10, ema 8 offset 0)
- dynamic gradient system: visual color gradient between ema 8 and ema 13 that changes based on momentum:
-- green gradient when ema 8 crosses above ema 13 (bullish momentum)
-- red gradient when ema 8 crosses below ema 13 (bearish momentum)
- full customization:
- toggle individual ema visibility on/off
- customize colors for each ema line
- adjust gradient colors and transparency
- modify offset values for each ema
trading strategy:
ENTRY (Long)
- DAILY Chart
- 8 EMA crosses above 200 and 13 EMA
- Price remains above 200 EMA
- Break of Structure
Stay in:
- IF price stays above 8/13 and 48EMA after Entry
EXIT / STOP:
- Stop under recent swing low
- Exit when price crosses below 13 EMA IF under Entry
- Exit when price crosses below 48 EMA IF under Entry
trading applications:
- identify trend direction using the ema alignment
- spot potential entry points when ema 8 crosses ema 13 with gradient color confirmation
- use ema 48 and ema 200 as longer-term trend filters
- the offset feature helps anticipate potential support/resistance levels
- clear entry and exit rules based on EMA crossovers and price structure
settings overview:
- adjust ema lengths according to your trading style
- modify offsets to fine-tune the indicator's responsiveness
- customize colors for better visual clarity
- control gradient transparency to balance visibility and chart readability
perfect for swing traders, day traders, and anyone who uses moving average crossovers in their trading strategy. the visual gradient makes it easy to identify momentum shifts at a glance, while the clear trading rules provide a systematic approach to entries and exits.
Thirdeyechart Gold Simulation Final 2Gold Simulation – Final Version 2 (Safe/Unsafe Trade Detection)
The Gold Simulation Final Version is a comprehensive TradingView indicator designed for traders who want an immediate understanding of gold market dynamics. This version monitors multiple XAU pairs simultaneously and integrates an advanced logic to detect Safe and Unsafe trade conditions in real time.
Key features:
Safe Trade: Indicates situations where market direction shows clear dominance and higher probability of trend continuity.
Unsafe Trade: Highlights areas where price movement is uncertain or potentially volatile, signaling traders to be cautious.
Multi-Timeframe Analysis: Calculates percentage changes across Weekly (W), Daily (D), 4-Hour (H4), and 1-Hour (H1), and combines them into a Total Average Trend Strength for a consolidated market view.
Clean Visual Layout: All data is displayed in a solid boxed table, making trend strength, direction, and safety status immediately clear.
Logic Overview
Percent change per timeframe:
pct_tf = ((close_tf - open_tf) / open_tf) * 100
Collect all timeframe values for each XAU pair:
values =
Total Average Strength:
Total_Avg = sum(values) / 4
Safe/Unsafe conditions are determined by configurable thresholds comparing dominance between buyers and sellers across timeframes.
This version helps traders quickly identify where trend is strong and stable versus where market conditions are uncertain, allowing better planning and risk management.
Disclaimer
This indicator is for educational and analytical purposes only. It does not provide financial or trading advice. Users are fully responsible for their own trading decisions, and markets carry risk.
© 2025 Ajik Boy. All rights reserved. Redistribution or commercial use without permission is prohibited.
Volume Spike Bars (AnAn Edition)volume spike indicators that will help show you when volume is spiking
Key Levels by ROMKey Levels Pro — Long Description
Key Levels Pro is a precision-built market structure indicator designed to instantly identify the most influential price zones driving intraday and swing-level movement. Using adaptive algorithms that track liquidity pockets, volume concentration, volatility shifts, and historical reaction points, the indicator automatically plots dynamic support and resistance levels that institutions consistently respect.
Unlike static horizontal lines or manually drawn zones, Key Levels Pro continuously updates as new order-flow and volatility data comes in. This ensures the indicator reflects the real-time balance of buyers and sellers, not outdated swing points.
The system classifies levels by strength, frequency of reaction, and current market interest. This helps traders instantly see which levels are likely to produce continuation, reversals, or liquidity grabs. High-probability zones are clearly highlighted, allowing you to plan entries, scale-outs, stop placements, and invalidations with confidence.
Whether you trade futures, equities, crypto, or forex, Key Levels Pro becomes the backbone of your strategy. It simplifies complex price action into clean, actionable zones—and makes it easy to anticipate where momentum pauses, accelerates, or completely shifts.
5 MA Length Custom [wjdtks255]Indicator Title: 5 MA Length Custom
This indicator is a minimalist tool designed for pure trend visualization across five user-defined periods using Simple Moving Averages (SMAs). It contains no built-in signals or dynamic features—it serves strictly as a trend filter and confirmation layer.
Key Features and Customization
The indicator plots five fixed-color, fixed-thickness moving average lines. Only the Length (period) of each MA can be changed in the settings, offering clean, focused market analysis.
MA 1 (Default 5): Immediate price action.
MA 2 (Default 20): Short-term momentum.
MA 3 (Default 60): Key Mid-term Trend Line.
MA 4 (Default 40): Proxy for the standard Bollinger Band Center Line.
MA 5 (Default 120): Major Long-term Trend.
🧭 Trading Strategy: MA Filtered Reversion
This strategy uses the MA hierarchy for trend filtering and bias confirmation when executing trades based on an external signal indicator (e.g., a volatility/reversal signal like BB OPT EN).
🟢 Long Bias Confirmation (Buy)
The short-term trend must support the mid-term trend. This is confirmed when MA 2 (20) is positioned above MA 3 (60). When this alignment occurs, you should only take external Buy signals (reversal signals) for higher probability trades.
🔴 Short Bias Confirmation (Sell)
The short-term trend must align with the bearish direction. This is confirmed when MA 2 (20) is positioned below MA 3 (60). When this alignment occurs, you should only take external Sell signals (reversal signals) for higher probability trades.
New York Session Volume Momentum SystemNew York Session Volume Momentum System
This indicator is specifically designed for stock trading during New York market hours on the 1-hour timeframe. It combines volume spike detection with adaptive volatility bands and directional momentum filtering to identify high-probability entry points during the most liquid trading sessions.
Optimal Usage:
Timeframe: 1-Hour chart (critical for proper signal generation)
Market: U.S. stocks during New York open (9:30 AM - 4:00 PM EST)
Asset Class: Equities with sufficient volume characteristics
Technical Methodology:
Volume Spike Detection:
Continuously monitors volume relative to a 14-period moving average
Identifies abnormal volume events (threshold: 1.0x average) which typically occur at market open and during significant price moves
Volume confirmation reduces false signals during low-liquidity periods
Adaptive Volatility Bands:
Uses an 8-period volatility measurement (Average True Range) to create dynamic upper and lower bands
Bands automatically tighten during volume spikes (0.8x multiplier) to capture early momentum shifts
Trailing mechanism adjusts based on price action to lock in directional bias
Directional Momentum Filter:
Employs dual exponential moving averages (8-period fast, 21-period slow) to determine market bias
When fast MA > slow MA: System only generates buy signals (bullish environment)
When fast MA < slow MA: System only generates sell signals (bearish environment)
Filter can be toggled off for range-bound markets
Signal Generation Logic:
VOL BUY/SELL: High-confidence signals requiring both momentum shift AND volume confirmation
TREND FLIP: All momentum reversals (green to red or red to green) regardless of volume
Signals only trigger on candle close to eliminate intra-bar repainting
Visual labels placed dynamically using volatility-based spacing for clarity
Risk Management Framework:
This system is designed around a fixed risk-reward ratio methodology:
Required Target: 2R (2x your initial risk)
Stop Loss Placement: Place stops beyond the green/red momentum line (not the candle wick). This line represents the validated support/resistance level based on volatility and volume dynamics.
Position Sizing: Calculate risk per trade based on distance from entry to stop loss
Example: If your stop loss is $1 away from entry, your profit target should be $2 away
The 2R target aligns with the statistical distribution of price moves following volume-confirmed momentum shifts on the 1-hour timeframe. Historical testing shows this ratio provides optimal balance between achievable targets and favorable win rates.
Critical Entry Rules:
AVOID EARNINGS REPORTS:
Never trade signals on stocks during their earnings announcement days or the immediate session following earnings releases. Earnings volatility creates unpredictable price action that invalidates the volume/momentum relationship this system relies upon. Always check the earnings calendar before taking positions.
Large Opening Candle Strategy:
If the first 1-hour candle after New York open (9:30-10:30 AM EST) shows an unusually large range:
DO NOT enter immediately on the signal
WAIT for the second candle to form a pullback toward the momentum line
Enter on the pullback candle when price approaches the green (for buys) or red (for sells) momentum line
Benefit: This gives you a much tighter stop loss placement directly below/above the colored line, improving your risk-reward ratio significantly
Why it works: Large opening candles often retrace before continuing, allowing better entry positioning without changing your 2R target
Why 1-Hour and New York Open?
The 1-hour timeframe captures institutional order flow without the noise of lower timeframes while remaining responsive enough for intraday position management. New York market hours provide the highest volume and liquidity for U.S. equities, making volume spike signals more statistically significant and reliable.
Settings Overview:
Volatility Period: 8 (optimized for 1H)
Volatility Multiplier: 3.0
Volume MA Period: 14
Volume Spike Threshold: 1.0
Fast/Slow MA: 8/21 (responsive for hourly trading)
Trend Filter: Enabled by default
Alert options for both VOL signals and all trend flips
Important Disclaimers:
This indicator does not predict future price movements. It identifies historical patterns and volume anomalies based on mathematical calculations. The 2R target is a risk management guideline, not a performance guarantee. Market conditions vary, and not all setups will reach their targets.
Proper position sizing, stop loss discipline, and understanding of market context are essential. This tool is most effective when combined with broader market analysis, sector rotation awareness, and sound trading psychology.
Past signal accuracy does not guarantee future results. All trading involves risk of loss. Users should paper trade and backtest on their specific instruments before risking capital.
Aggressive ScalpingA high-precision intraday indicator designed for Nasdaq futures scalpers who need fast, reliable, and clean signals. This tool blends trend structure (Fast/Slow EMAs), volatility compression (ADX), momentum (RSI), and VWAP positioning to identify high-quality entries during the most active parts of the trading day.
Key Components
• EMA Trend Engine
Fast EMA vs Slow EMA alignment helps identify micro-trend direction and early momentum shifts.
• ADX Compression Filter
ADX below a user-defined threshold highlights low-trend, high-compression zones—ideal for quick scalps and mean-reversion entries. Background shading optionally highlights these squeeze periods.
• VWAP Context Filter
An optional VWAP filter ensures long signals only trigger above VWAP and short signals only below—improving directional quality during intraday sessions.
• RSI Extremes
RSI helps prevent taking late momentum entries near exhaustion levels (overbought/oversold).
Signal Conditions
Long Signal
• Fast EMA > Slow EMA
• RSI below overbought
• ADX < threshold (range/compression mode)
• Price above VWAP (optional filter)
Short Signal
• Fast EMA < Slow EMA
• RSI above oversold
• ADX < threshold
• Price below VWAP (optional filter)
Alerts fire automatically when Fast EMA crosses Slow EMA and conditions confirm.
Trend Dashboard (for Beast Mode)Trend Dashboard for Beast Mode 2.0
Upgrade your trading with this intelligent AI-powered dashboard that gives you a real-time overview of trend strength, momentum, volatility, and confirmation filters — all in one clean panel.
🔍 Features:
✅ Trend Detection – Displays current trend direction (Bullish, Bearish, or Neutral) using EMA/SMA logic.
✅ Trend Strength – Dynamically calculates the strength of the current trend using price structure and ADX.
✅ Composite Score – Combines momentum, distance from moving averages, and RSI alignment into a score.
✅ HTF Confirmation – Confirms alignment with higher timeframe trend.
✅ Volume Spike Detection – Highlights breakouts supported by strong volume.
✅ Volatility Check – Uses ATR to confirm if current market conditions are trade-worthy.
✅ Dashboard Position Selector – Move your panel to any of 8 screen locations (top/bottom/middle, left/center/right).
✅ Clean Visuals – Background styling, text alignment, and size filters included for customization.
📈 How to Use:
Confirm Trend & Score – Look for strong trends (🟢 Bullish / 🔴 Bearish) with strength >40 and score >60.
Match Higher Timeframe – Ensure HTF Match is ✔ for added confluence.
Avoid Chop – If volatility or volume filter shows ✘, conditions may not be ideal.
Customize Panel – Use input options to move the dashboard and adjust size.
Beast Mode 2.0🧠 BEASTMODE Futures Scalping AI
BEASTMODE is a high-performance indicator optimized for scalping and short-term trading on Forex, Futures, and Crypto.
🚀 Features
AI Dashboard (Top Left)
Trend Strength %, Bias, and Volatility info
Breakout Detection
Smart breakout zones from recent highs/lows
Green/Red lines with optional Retest confirmation
Breakout Candle Highlights
“BO” label and triangle markers on breakout bars
Separate visuals for bullish/bearish moves
Signal Strength Score (Top Right)
Analyzes volume, trend, and volatility
🔥 Strong / ⚠️ Moderate / ❄️ Weak quality labels
Risk/Reward Panel (Bottom Right)
Real-time position sizing
Risk per trade ($) and R:R ratio
Automatically syncs with live signals
🛠 How to Use
Apply on 1–5 minute charts (best for scalping).
Use settings to toggle breakout lines, BO labels, dashboards.
Enter on breakouts with strong score + dashboard confirmation.
Monitor "Retest ✅" labels for secondary entries.
Size trades using the risk panel for better discipline.






















