james S/R Trend Pro v6//@version=6
strategy("jaems_MACD+RSI ", shorttitle="jaems_MACD+RSI ", overlay=false, initial_capital=10000, currency=currency.USD, default_qty_type=strategy.percent_of_equity, default_qty_value=10, commission_type=strategy.commission.percent, commission_value=0.05, calc_on_every_tick=false)
// =============================================================================
// 1. 설정 (Inputs)
// =============================================================================
group_macd = "📊 MACD 설정"
fastLen = input.int(12, "Fast Length", group=group_macd)
slowLen = input.int(26, "Slow Length", group=group_macd)
sigLen = input.int(9, "Signal Smoothing", group=group_macd)
src = input.source(close, "Source", group=group_macd)
group_col = "🎨 시각화 색상"
col_up = input.color(color.new(#00E676, 0), "상승 (Neon Green)", group=group_col)
col_dn = input.color(color.new(#FF1744, 0), "하락 (Red)", group=group_col)
col_sig = input.color(color.new(#FFEA00, 0), "Signal 기본색", group=group_col)
// =============================================================================
// 2. 계산 (Calculations)
// =============================================================================
fastMA = ta.ema(src, fastLen)
slowMA = ta.ema(src, slowLen)
macd = fastMA - slowMA
signal = ta.ema(macd, sigLen)
hist = macd - signal
// 교차 확인 (Crossovers)
bool crossUp = ta.crossover(macd, signal)
bool crossDn = ta.crossunder(macd, signal)
// 추세 상태 확인
bool isBullish = macd >= signal
// =============================================================================
// 3. 전략 실행 (Execution)
// =============================================================================
if crossUp
strategy.entry("Long", strategy.long)
if crossDn
strategy.entry("Short", strategy.short)
// =============================================================================
// 4. 시각화 (Visualization) - 수정된 부분
// =============================================================================
// 4.1 MACD 라인 색상 동적 변경
color macdDynamicColor = isBullish ? col_up : col_dn
// 4.2 라인 그리기
plot(macd, title="MACD Line", color=macdDynamicColor, linewidth=2)
plot(signal, title="Signal Line", color=col_sig, linewidth=1)
// 4.3 교차점 도트 (Thick Dots) - 괄호 오류 방지를 위해 명시적 변수 할당
float dotLevelUp = crossUp ? signal : na
float dotLevelDn = crossDn ? signal : na
plot(dotLevelUp, title="Golden Cross Dot", style=plot.style_circles, color=col_up, linewidth=5)
plot(dotLevelDn, title="Dead Cross Dot", style=plot.style_circles, color=col_dn, linewidth=5)
// 4.4 히스토그램 색상 (오류 수정: 중첩 삼항연산자 제거 -> if-else 변환)
color histColor = na
if isBullish
// 상승 추세일 때: 히스토그램이 직전보다 커지면 진한색, 작아지면 연한색
if hist < hist
histColor := col_up
else
histColor := color.new(col_up, 50)
else
// 하락 추세일 때: 히스토그램이 직전보다 커지면(덜 음수면) 연한색, 작아지면 진한색
if hist < hist
histColor := color.new(col_dn, 50)
else
histColor := col_dn
plot(hist, title="Histogram", style=plot.style_columns, color=histColor)
// 4.5 기준선
hline(0, "Zero Line", color=color.gray, linestyle=hline.style_dotted)
Cerca negli script per "GOLD"
5MA + TrendMagic + Disparity Scalping + Volume Spikes5MA + Trend Magic + Disparity Scalping + Volume Spikes
This indicator is a multi-layer scalping and intraday framework designed to combine trend context, volatility expansion, mean-reversion opportunities, and volume-based turning points into a single chart.
It is especially effective for fast markets such as GOLD (XAUUSD) and lower timeframes.
Key Components
1. 5 Moving Average Structure
EMA 9 / 20 / 50 / 100 / 200
Provides instant trend direction, compression, and dynamic support/resistance
Useful for filtering scalp signals in trend vs range conditions
2. Trend Magic (CCI + ATR Based)
Modified Trend Magic line using CCI direction and ATR trailing logic
Clearly defines bullish / bearish bias
Acts as a trend filter to avoid counter-trend scalps during strong moves
3. Ultra Fast Disparity Scalper
Detects short-term overextension from EMA9 and EMA20
Uses:
Price–EMA disparity
RSI overbought / oversold
RVI momentum prediction
Designed for quick mean-reversion scalps, not trend entries
Includes a simple overheating filter that grays out signals during extreme conditions
4. GOLD Volatility Expansion Detector
Specialized logic for explosive moves using:
ATR expansion
Bollinger Band breakouts
Historical Volatility vs Realized Volatility divergence
Generates signals only when volatility regime shifts, not during noise
Ideal for catching impulsive breakout phases
5. Volume Spike Reversal Signals
Detects abnormal volume spikes relative to volume SMA
Optional filters:
Valid swing high / low only
Hammer / Shooting Star candles
Same candle color confirmation
Session-based filtering
Designed to highlight potential exhaustion and reaction points
Signals are plotted on the previous bar for accuracy
How to Use
Use EMA structure + Trend Magic to define market context
Take Disparity Scalping signals only when price is stretched and momentum weakens
Use Volume Spikes to confirm exhaustion or reaction zones
Use GOLD volatility signals to stay with expansion moves, not fade them
This indicator is not a single-entry system, but a decision-support tool that helps align trend, momentum, volatility, and volume for high-probability intraday trading.5MA + Trend Magic + Disparity Scalping + Volume Spikes
This indicator is a multi-layer scalping and intraday framework designed to combine trend context, volatility expansion, mean-reversion opportunities, and volume-based turning points into a single chart.
It is especially effective for fast markets such as GOLD (XAUUSD) and lower timeframes.
Key Components
1. 5 Moving Average Structure
EMA 9 / 20 / 50 / 100 / 200
Provides instant trend direction, compression, and dynamic support/resistance
Useful for filtering scalp signals in trend vs range conditions
2. Trend Magic (CCI + ATR Based)
Modified Trend Magic line using CCI direction and ATR trailing logic
Clearly defines bullish / bearish bias
Acts as a trend filter to avoid counter-trend scalps during strong moves
3. Ultra Fast Disparity Scalper
Detects short-term overextension from EMA9 and EMA20
Uses:
Price–EMA disparity
RSI overbought / oversold
RVI momentum prediction
Designed for quick mean-reversion scalps, not trend entries
Includes a simple overheating filter that grays out signals during extreme conditions
4. GOLD Volatility Expansion Detector
Specialized logic for explosive moves using:
ATR expansion
Bollinger Band breakouts
Historical Volatility vs Realized Volatility divergence
Generates signals only when volatility regime shifts, not during noise
Ideal for catching impulsive breakout phases
5. Volume Spike Reversal Signals
Detects abnormal volume spikes relative to volume SMA
Optional filters:
Valid swing high / low only
Hammer / Shooting Star candles
Same candle color confirmation
Session-based filtering
Designed to highlight potential exhaustion and reaction points
Signals are plotted on the previous bar for accuracy
How to Use
Use EMA structure + Trend Magic to define market context
Take Disparity Scalping signals only when price is stretched and momentum weakens
Use Volume Spikes to confirm exhaustion or reaction zones
Use GOLD volatility signals to stay with expansion moves, not fade them
This indicator is not a single-entry system, but a decision-support tool that helps align trend, momentum, volatility, and volume for high-probability intraday trading.
KDJ在 TradingView 发表脚本时,**描述(Description)** 非常重要。审核员要求描述必须详细说明脚本的**原理、独特性以及用法**,否则容易被驳回。
由于你的参数 (63, 21, 5) 非常特殊,属于“长周期/季度线”级别的设置,我在撰写描述时重点突出了它**“过滤噪音”**和**“捕捉中长期趋势”**的特点。
以下是为你准备的发布文案,包含**标题**和**正文(中英双语)**。你可以直接复制使用。
---
### 标题 (Title)
**KDJ Trend Filter (63, 21, 5) **
### 描述正文 (Description)
*(复制以下内容到 TradingView 的描述框中)*
** **
**Overview**
This is a custom KDJ indicator designed for **medium-to-long term trend analysis**. Unlike the default parameters (9, 3, 3) which are often too sensitive and prone to false signals in volatile markets, this script uses a specific set of parameters **(63, 21, 5)** to smooth out the noise.
**Why these parameters?**
* **N = 63 (Calculation Period):** Represents approximately one quarter (3 months) of trading days. This aligns the indicator with the quarterly trend rather than weekly fluctuations.
* **M1 = 21 (Smooth K):** A significantly higher smoothing factor for the K-line. This reduces the "jitter" and ensures that a crossover usually indicates a genuine shift in momentum.
* **M2 = 5 (Smooth D):** The smoothing period for the D-line.
**How to use**
1. **Trend Identification:** Due to the long period, this KDJ acts more like a trend-following tool than a typical oscillator.
2. **Crossovers:**
* **Golden Cross (K > D):** Suggests a potential start of a medium-term bullish trend.
* **Dead Cross (K < D):** Suggests a potential start of a medium-term bearish trend.
3. **Filtering:** This setup is excellent for filtering out market noise. It will react slower than standard KDJ but provides more reliable signals for swing traders.
**Settings**
* Calculation Period: 63
* MAC1 (K Smoothing): 21
* MAC2 (D Smoothing): 5
---
** **
**概述**
这是一个专为**中长期趋势分析**设计的 KDJ 指标。标准的 KDJ 参数(9, 3, 3)在震荡行情中过于敏感,容易产生虚假信号。本脚本采用了特定的长周期参数 **(63, 21, 5)**,旨在过滤短期市场噪音,捕捉更稳健的趋势方向。
**参数逻辑**
* **计算周期 (N) = 63:** 大约对应一个季度(3个月)的交易日。这意味着指标关注的是季度级别的价格位置,而非短期波动。
* **MAC1 (M1) = 21:** K值的平滑周期。相比默认值,21的平滑度极高,这使得 K 线非常平稳,只有在趋势发生实质性改变时才会转向。
* **MAC2 (M2) = 5:** D值的平滑周期。
**使用方法**
1. **趋势识别:** 由于周期较长,该指标具有“钝化”的特性,更适合作为趋势跟踪工具,而非短线超买超卖指标。
2. **交叉信号:**
* **金叉 (K上穿D):** 通常意味着中级行情的启动。
* **死叉 (K下穿D):** 通常意味着中级调整的开始。
3. **过滤噪音:** 在横盘震荡期间,该参数设置能有效减少频繁的交叉信号,帮助交易者拿住波段。
**默认设置**
* 计算周期:63
* MAC1:21
* MAC2:5
---
### 💡 发表前的检查清单 (Checklist)
1. **代码确认**:确保你的 Pine Script 代码中 `overlay=false`(因为 KDJ 是副图指标)。
2. **图表展示**:在点击发表前,最好在图表上画几条线或标记,展示一下金叉和死叉的位置,这样更容易通过审核,也能让用户一眼看懂。
3. **分类 (Category)**:建议选择 **"Trend Analysis" (趋势分析)** 和 **"Oscillators" (震荡指标)**。
如果你需要我帮你微调代码以符合上述描述(例如添加颜色填充或特定的信号标记),请告诉我!
Institutional Scanner FixHere is a professional Pine Script (Version 5) for TradingView. It is optimized to precisely identify the "Absorption" and "Reversal" signals.
What this script does for you:
Auto-Fibonacci: It automatically calculates the 0.618 Golden Ratio of the last 50 candles.
Volume Delta Check: It calculates the delta (buy volume minus sell volume) per candle.
Signal: It marks a "Buy Absorption" when the price touches the 0.618 level but the delta turns positive (green arrow).
The Volume Multiplier is your scanner's "sensitivity knob." It determines how much more volume compared to the average must flow for a signal to be classified as institutionally relevant. Here is the bank standard for calibration, based on your trading strategy and the asset's liquidity:
The rule-of-thumb values for the multiplier
Strategy Type | Recommended Value | Logic
Conservative (High Conviction) | 2.0 to 2.5 | Only extreme volume spikes are marked. Good for swing trades on a daily basis.
Standard (Day Trading) | 1.5 to 1.8 | The "sweet spot." Marks volume that is approximately 50-80% above average.
Aggressive (Scalping) | 1.2 to 1.3 | Reacts very quickly to small order flow changes but produces more "noise" (false signals).
FVG Finder | NRP | ProjectSyndicate🥇 ProjectSyndicate Fair Value Gap (FVG) Finder — Pine Script v6 • NRP Non-Repainting
📌 SMC Imbalance Zones Built for Clean Entries, Targets & Mitigation Tracking
The ProjectSyndicate FVG Finder is a professional TradingView indicator designed for traders who want clean, high-probability Fair Value Gaps price imbalances mapped instantly on-chart—without manual marking or clutter.
Fair Value Gaps form during aggressive displacement when price delivers inefficiently, leaving a void that price often returns to rebalance. This tool helps you spot those zones fast, track whether they’re still fresh, and plan entries with confidence. ✅
________________________________________
🚀 Why Traders Like It
✅ NRP Logic (Non-Repainting): Signals are built to remain stable once confirmed
✅ Real-Time FVG Detection: Automatically identifies bullish + bearish FVG zones as they form
📦 Clean Zone Visualization: Boxed imbalance areas that are easy to trade from
🧹 Auto-Cleanup (Mitigation): Zones update based on your chosen fill rule (Touch / 50% / Full)
🎛️ Anti-Noise Filtering: Minimum size + optional ATR filter to remove weak gaps
⚡ Pine Script v6: Built on the latest TradingView engine for stability and performance
🔔 Alerts + Markers: Get notified when new FVGs print + optional triangle signals
________________________________________
Gold H1 TF active FVGs
Eur Usd M30 TF active FVGs
NQ H1 TF active FVGs
🧠 Detection Logic — Simple, Effective, Battle-Tested
📈 Bullish Fair Value Gap (Demand Imbalance):
A 3-candle imbalance where the low of Candle 3 is above the high of Candle 1
➡️ Signals strong buy-side displacement / inefficient delivery
📉 Bearish Fair Value Gap (Supply Imbalance):
A 3-candle imbalance where the high of Candle 3 is below the low of Candle 1
➡️ Signals strong sell-side displacement / inefficient delivery
________________________________________
🧹 Mitigation Options — Choose How Filled Works
Your strategy decides what counts as used:
👆 Touch: Zone considered mitigated on first interaction
🎯 50% Fill: Mitigated once price fills half the gap
✅ Full Fill: Mitigated only when the entire zone is filled
Optional: Keep mitigated zones visible or hide them for ultra-clean charts.
________________________________________
🛠 Recommended Settings (ATR Multiplier Presets)
Use these as solid starting points on M30 / H1:
•🥇 XAUUSD (Gold) M30/H1: 0.5
•💻 NQ (Nasdaq) M30/H1: 0.25
•🛢️ USOIL M30/H1: 0.25
•₿ BTCUSD M30/H1: 0.25
•💶 EURUSD / GBPUSD M30/H1: 0.25 – 0.50
✅ Other markets are supported too just adjust the ATR Multiplier based on how many signals you want:
•More signals → lower multiplier
•Higher quality → higher multiplier
________________________________________
✅ Best Use-Cases
🎯 Mark imbalance zones instantly without manual drawing
🧲 Wait for price to return to FVG for cleaner entries
🛡️ Use zone boundaries for clear invalidation / stop placement
📊 Combine with trend bias + BOS/CHoCH + premium/discount for higher confirmation
🎯 Use FVGs as both entries and profit targets
________________________________________
⭐ How You Can Support ProjectSyndicate (3 Steps)
1. ✅ Click “Add to Favorites” to save this script to your TradingView Favorites
2. 🔎 Check out our other scripts to complete your SMC toolkit
3. 👤 Follow ProjectSyndicate for the latest updates, upgrades, and new releases
Order Block Finder | Gold | ProjectSyndicate
Breaker Blocks Finder | Gold | ProjectSyndicate
ICT Algo: Sweep + MSS + High Prob FVG/IFVGThis script is a comprehensive execution tool based on Inner Circle Trader (ICT) concepts, specifically designed to identify high-probability entries by combining Liquidity Sweeps, Market Structure Shifts (MSS), and Fair Value Gaps (FVG/IFVG).
Unlike standard FVG indicators that highlight every gap on the chart, this "Algo" version filters for gaps that occur specifically after a liquidity purge and a shift in structure, ensuring you are only looking at setups with institutional backing.
How It Works
The script follows a strict 3-step validation process before plotting a signal:
Liquidity Sweep (The Context): The script tracks Higher Timeframe (HTF) levels including Previous Day High/Low, Weekly High/Low, and Monthly High/Low. A setup is only considered valid if price has recently "swept" one of these levels, indicating a hunt for liquidity.
Market Structure Shift (The Confirmation): Once a sweep occurs, the script looks for a displacement in the opposite direction. It identifies a "Pivot High/Low" (customizable length) and waits for a candle body to close beyond it (MSS).
Filtered Entry (The Trigger): * FVG: Plots a standard Fair Value Gap if it forms within a "Deep Value" zone (Discount for longs, Premium for shorts).
IFVG (Inversion FVG): Highlights failed FVGs that have been reclaimed by price to act as support or resistance.
Key Features
Multi-Timeframe Liquidity Filters: Automatically plots PDH/L, PWH/L, PMH/L, and PYH/L. You can toggle which levels act as your sweep triggers.
Deep Value Logic: The script uses built-in logic to ensure Bullish FVGs are only highlighted when price is below a key liquidity level (Discount), and Bearish FVGs when price is above (Premium).
Dynamic Box Management: To keep your chart clean, boxes for FVGs and IFVGs are automatically shortened ("cut") once they are mitigated by price.
Inversion Logic: Includes a specialized toggle for Inversion Fair Value Gaps, allowing you to trade "failed" gaps that flip their polarity.
Settings & Customization
Entry Setup Bias: Choose to see only Bullish, only Bearish, or Both setups.
MSS Pivot Length: Adjust how "sensitive" the Market Structure Shift detection is. A higher number requires a more significant swing to be broken.
Sweep Lookback: Defines how many bars back the script looks for a liquidity sweep to remain "active" for a setup.
Include Opens: Optional toggle to include Previous Day/Week/Month Opens as liquidity points.
Usage Tips
The Golden Setup: Look for a sweep of a Previous Day High, followed by a Bearish MSS, and an entry at the Red FVG box.
Risk Management: This indicator is designed for entry identification. Always use stop losses (usually placed above/below the candle that created the FVG or the MSS swing point).
Timeframes: Best used on execution timeframes (1m, 5m, 15m) while the script handles the HTF levels automatically.
Disclaimer: This script is an educational tool and does not constitute financial advice. Trading involves significant risk. Past performance of a strategy does not guarantee future results.
Credits: Concepts based on the teachings of Michael J. Huddleston (ICT).
yaman short longThis indicator provides clear Long and Short signals to help traders identify potential market direction and trading opportunities with higher confidence.
It is designed to follow price momentum and trend strength, allowing traders to enter trades when the market shows clear directional bias. The indicator focuses on clean signals and avoids unnecessary noise, making it suitable for both beginners and experienced traders.
Key Features:
Clear Long and Short signals displayed on the chart
Helps identify potential trend continuation and reversals
Designed to reduce false signals during choppy market conditions
Suitable for scalping, intraday, and swing trading
Works across multiple markets and timeframes
How to Use:
Long Signal: Indicates potential upward movement when bullish conditions align
Short Signal: Indicates potential downward movement when bearish conditions align
Best used with proper stop-loss and risk management rules
Can be combined with support/resistance or higher timeframe confirmation
Best Markets:
Forex pairs
Gold (XAUUSD)
Cryptocurrencies
Indices
Notes:
Signals are generated after candle close
The indicator does not repaint
This tool is meant to assist decision-making, not guarantee profits
Supply & Demand Sniper369Indicator Philosophy: The Convergence of Structure and Liquidity
The Supply & Demand Sniper369 is not just another signal generator; it is a professional-grade execution framework built on the principles of Institutional Order Flow and Liquidity Engineering. While standard indicators often lag or provide signals in "no-man's land," this script is designed to identify high-probability reversal points by combining macro-structural zones with micro-execution triggers.
What Makes This Script Original?
Most scripts treat Supply/Demand and Entry Triggers as separate entities. The originality of the Sniper369 lies in its Strict Hierarchical Logic. It employs a "Two-Factor Authentication" system for trades:
1. Structural Validation: Identifying where "Smart Money" has historically left unfilled orders.
2. Liquidity Sweep Confirmation: Using the Enigma 369 logic to detect a specific manipulation pattern (a stop-run or "sweep") that occurs exclusively within those structural zones.
By using Pine Script v6 Object-Oriented Programming, the script manages dynamic arrays of boxes and lines that auto-delete upon mitigation, ensuring your chart remains a clean, actionable workspace.
Underlying Concepts & Calculations
1. Macro: Structural Supply & Demand
The indicator calculates zones based on Pivot Strength and Volatility Scaling.
Calculations: It scans for major structural pivots ( and ). Once a pivot is confirmed, it doesn't just draw a line; it calculates a zone width based on the Average True Range (ATR).
Why it works: Institutions do not enter at a single price; they enter in "pockets" of liquidity. Using ATR-based zones ensures that on high-volatility pairs (like Gold or GBP/JPY), your zones are appropriately wide, while on lower-volatility pairs, they remain tight and precise.
2. Micro: The Enigma 369 Sniper Logic
Once price enters a zone, the "Sniper" logic activates. This is based on the Institutional Wick-Liquidity concept.
The Sweep: The script looks for a candle that breaks the high/low of the previous candle (trapping "breakout" traders) but fails to hold that level.
The Mean Threshold (50% Wick): A core calculation of the Enigma logic is the midpoint of the rejection wick.
Calculation: for Sells.
Logic: Institutions often re-test the 50% level of a long wick to fill the remaining orders before the real move starts.
How to Use the Indicator
Step 1: Wait for Structural Alignment
Observe the Teal (Demand) and Red (Supply) boxes. These are your "Points of Interest" (POI). Do not take any trades until the price is physically touching or inside these boxes.
Step 2: Monitor for the Sniper Trigger
When the price is inside a zone, look for the appearance of the Solid and Dotted lines.
The Solid Line: This is the extreme of the manipulation candle. It serves as your structural invalidation level (Stop Loss).
The Dotted Line: This is the 50% Wick level. It is your "Sniper Entry" target.
Step 3: Execution & Alerts
The script features a built-in alert system that notifies you the moment a Sniper activation occurs inside a zone.
Conservative Entry: Place a Limit Order at the Dotted Line.
Aggressive Entry: Market enter on the close of the Sniper candle if the price has already reacted strongly.
Exit: Target the opposing Supply or Demand zone for a high Risk-to-Reward ratio.
Technical Summary for Traders
Trend Detection: Uses an EMA-50 Filter to ensure Snipers only fire in the direction of the dominant trend (optional).
Scalping/Day Trading: Optimized for the 1m, 5m, and 15m timeframes, but functions perfectly on 4H/Daily for swing traders.
Dynamic Cleanup: The script automatically deletes lines if the price closes past them, signaling that the "Liquidity Grab" was actually a breakout, thus preventing you from entering a losing trade.
Signal Architect Stop-Hunt GOLD 5MINSignal Architect™ — Developer Note
These daily posts are intentional.
They are designed to help potential users visually observe consistency—not just in outcomes, but in process—across multiple futures products, market conditions, and timeframes, using the Stop Hunt Indicator alongside my proprietary Signal Architect™ framework.
The goal is simple:
To show how structure, behavior, and probability repeat—every day—despite a constantly changing market.
If you follow these posts over time, you will begin to recognize that:
• The same behaviors appear across different futures contracts
• The same reactions occur on multiple timeframes
• The same structural traps and stop events repeat regardless of volatility regime
That consistency is not coincidence.
Consistency is the signal.
Over time, that consistency should become familiar—
and familiarity should become your edge.
________________________________________
🧠 What You’re Seeing (And Why It Matters)
This indicator includes a limited visual preview of a proprietary power signal I have personally developed and refined across:
• Futures
• Algorithmic trading systems
• Options structure
• Equity market behavior
Every tool I release is built around one core principle:
Clarity of direction without over-promising or over-fitting.
That is why all Signal Architect™ tools emphasize:
• Market structure first
• High-probability directional context
• Clear, visual risk framing
• No predictive claims
• No curve-fit illusions
What you see publicly is not the full system—only controlled, educational previews meant to demonstrate how structure and probability align in real markets.
________________________________________
📊 Background & Scope
Over the years, I have personally developed 800+ programs, including:
• Equity systems
• Futures strategies
• Options structure tools
• Dividend & income frameworks
• Portfolio construction and allocation logic
This includes 40+ Nasdaq-100 trading bots, several operating under extremely strict rule-sets and controlled deployment conditions.
Nothing shared publicly represents my complete internal framework.
Public posts exist for education, observation, and pattern recognition—not signals, not advice, and not promises.
________________________________________
🤝 For Those Who Find Value
If these daily posts help you see the market more clearly:
• Follow, boost, and share my scripts, Ideas, and MINDS posts
• Feel free to message me directly with questions or build requests
• Constructive feedback and collaboration are always welcome
For traders who want to go deeper, optional memberships may include:
• Additional signal access
• Early previews
• Occasional free tools and upgrades
🔗 Membership & Signals:
trianchor.gumroad.com
________________________________________
⚠️ Final Note
Everything published publicly is educational and analytical only.
Markets carry risk.
Discipline, patience, and risk management always come first.
Watch the consistency.
Study the structure.
Let the market repeat itself.
— Signal Architect™
________________________________________
🔗 Personally Developed GPT Tools
• AuctionFlow GPT
chatgpt.com
• Signal Architect™ Gamma Desk – Market Intelligence
chatgpt.com
• Gamma Squeeze Watchtower™
chatgpt.com
ALTINS1 Darphane Altin Sertifikasi Fair Value Tracker [ALPAY.B]This indicator displays the fair value of the Darphane Gold Certificate (ALTINS1) traded on Borsa Istanbul.
It calculates the theoretical price based on 0.01 grams of Spot Gold (XAU/USD) converted to Turkish Lira (USD/TRY). This tool is essential for investors to monitor whether the certificate is trading at a significant premium or discount compared to its intrinsic gold value.
Key Features:
Real-time Fair Value calculation.
Live Premium/Discount percentage tracking.
Visual background warnings for overvalued conditions.
Elder AutoEnvelope 1m/5mOverview
This script is an advanced implementation of Dr. Alexander Elder’s AutoEnvelope, specifically optimized for 1-minute (1m) and 5-minute (5m) low-timeframe trading.
The logic treats the market as a "manic-depressive" entity:
Center Line (26 EMA): Represents the fair value consensus.
Fast Line (13 EMA): Captures short-term price momentum.
Envelopes (Bands): Represent the limits of price "sanity." Under normal conditions, 95% of price action should remain within these bands.
Key Features
Powered by Pine Script V6: Built on the latest engine for maximum precision and performance.
Real-time Coverage Tracker: A dashboard in the top-right corner displays the percentage of price bars contained within the bands over the lookback period. The goal is to adjust the Multiplier until coverage is ~95%.
Dual Smoothing: To combat high-frequency noise on 1m/5m charts, this script applies a secondary smoothing layer to the channel width, preventing the "jagged" lines found in standard indicators.
Recommended Settings
Lookback: Defaulted to 300. On a 1m chart, this represents 5 hours of data, providing a much more robust "normal" range than the standard 100-period setting.
Multiplier: Usually ranges between 2.0 and 3.5 depending on the asset's volatility. Tune this until the Coverage Panel shows ~95%.
SmoothLen: Defaulted to 20. Increase this value for even smoother, more "parallel" bands during high-noise sessions.
Practical Trading Advice
Take Profit Zones: In an uptrend, treat the Upper Band as a primary target. When price pierces the band and closes back inside, it’s often the climax of the move.
Mean Reversion: When price touches the Lower Band while significantly stretched away from the yellow Center Line, look for a bounce back to the value area, especially if the Purple Fast Line begins to flatten.
Trend Filtering:
Price above Fast Line (Purple) + Upward slope: Bullish bias. Only look for Longs or Profit Taking.
Price below Fast Line (Purple) + Downward slope: Bearish bias. Only look for Shorts or Covering.
Asset Calibration: When switching assets (e.g., Gold to BTC), always fine-tune the Multiplier. The bands are only statistically valid when the Coverage Panel stays between 94% and 96%.
指标简介
本脚本是基于亚历山大·爱尔德博士(Dr. Alexander Elder)著名的“自动包络线”(AutoEnvelope)理论开发的进阶版本,特别针对 1分钟(1m)和 5分钟(5m) 等短周期高频交易进行了优化。
该指标的核心逻辑是将市场视为一个“躁郁症患者”:
中心线 (26 EMA):代表市场的平均价值认同。
快线 (13 EMA):代表短期价格动能。
包络线 (Bands):代表价格波动的极端边界(95% 的价格应运行在通道内)。
核心功能
V6 引擎驱动:采用最新的 Pine Script V6 编写,计算更精准,内存占用更低。
实时覆盖率统计:右上角实时显示过去 300 根 K 线中有多少比例落在通道内。目标是手动调整倍数(Multiplier)使该数值维持在 95% 左右。
双重平滑处理:针对短线噪音,对通道宽度进行了二次平滑,避免了传统指标在 1 分钟图上常见的“锯齿状”变形。
参数设置建议
Lookback (回溯周期):默认 300。在 1m 图上代表过去 5 小时,能提供比默认 100 周期更稳定的边界。
Multiplier (偏离倍数):根据不同品种调整(通常在 2.0 - 3.5)。请观察右上角面板,当覆盖率接近 95% 时,该倍数最为准确。
SmoothLen (平滑系数):默认 20。如果觉得轨道太乱,可调高此值。
实际交易建议
波段止盈点:在上升趋势中,当价格刺破上轨且 K 线实体收回上轨下方时,是绝佳的多头平仓位。
均值回归:当价格偏离中心线触碰下轨,且快线(紫色)开始走平时,预示即将反弹回中心线。
趋势过滤:
价格在快线(紫色)上方且快线斜率向上:只做多或平多,不逆势抄顶。
价格在快线(紫色)下方且快线斜率向下:只做空或平空。
覆盖率校准:切换交易品种(如从黄金切换到比特币)后,务必微调 Multiplier,确保覆盖率处于 94%-96% 之间,此时的边界才具有统计学意义。
The MF Rounded LevelsThis is a standalone utility indicator designed to draw a custom horizontal grid on your chart. It focuses on "Rounded Levels" (psychological price levels like 1900.00, 1905.00, etc.), which are often significant in trading assets like Gold (XAUUSD).
Here is a breakdown of how it works:
1. Dynamic Visible Range
Smart Drawing: Unlike standard grid tools that might draw lines everywhere, this script calculates the High and Low of the prices currently visible on your screen.
Efficiency: It only draws lines within that specific vertical range. If you scroll the chart, it recalculates and redraws the lines instantly.
2. Two-Tier Grid System
It distinguishes between two types of levels to help you visualize price structure better:
Primary Step: The base increment (default is 5.0). These are the standard grid lines.
Major Step: A larger increment (default is 15.0). These lines overlap with the primary ones but can be styled differently (e.g., thicker, darker, or solid) to mark more significant levels.
3. Customization & Styling
You have full control over the visuals via the settings menu:
Styles: Choose between Solid, Dotted, or Dashed lines.
Colors & Widths: Set different colors and line thicknesses for Primary vs. Major lines.
4. Auto-Hide Feature
Timeframe Filter: The script includes logic to automatically hide the grid if you switch to a timeframe higher than 4 Hours (H4). This prevents the chart from looking cluttered on Daily or Weekly views where 5-point increments would be too dense.
eBacktesting - Learning: Fibonacci RetracementeBacktesting - Learning: Fibonacci Retracement helps you practice one of the most common “pullback” tools in trading: Fibonacci retracements.
It automatically finds the most recent swing and draws your chosen Fibonacci levels (for example 0.382, 0.5, 0.618, 0.786) so you can clearly see where price is pulling back into “discount/premium” areas. When price taps a level (or the Golden Zone), the indicator marks it so you can review what happened next and build pattern recognition.
These indicators are built to pair perfectly with the eBacktesting extension, where traders can practice these concepts step-by-step. Backtesting concepts visually like this is one of the fastest ways to learn, build confidence, and improve trading performance.
Educational use only. Not financial advice.
SwissSignals GOLDWhen trading, your order is:
Status WAITING → do nothing
Status SETUP → pay attention
LIVE signal → take control of the market (if you want)
TP1 → BE is active
Either TP2/TP3/TP4 or exit BE
PLOW/PLHW (Potential weekly highs/lows)AP Capital – PLOW / PLHW (Potential Weekly Low / High)
This indicator highlights Potential Weekly Lows (PLOW) and Potential Weekly Highs (PLHW) in real time, using current-week price action, session context, and confirmed candle closes.
It is designed for intraday and swing traders who want early-week and late-week structure levels without repainting or hindsight bias.
🔹 How It Works
Potential Weekly Low (PLOW)
Detected during early week sessions
Triggers when price prints the current week’s lowest low
Confirmed only on candle close
Typically aligns with liquidity grabs, stop runs, or accumulation
Potential Weekly High (PLHW)
Detected during late week sessions
Triggers when price prints the current week’s highest high
Confirmed only on candle close
Often marks distribution or exhaustion zones
📊 Visual Elements
Clean weekly high & low levels
Optional weekly midpoint
Session-aware confirmation
Non-repainting labels
Minimalist layout (no clutter)
⚙️ Key Features
Works on any intraday timeframe
Fully non-repainting
Session-based logic (early vs late week)
Optional weekly range info panel
Suitable for Gold, FX, Indices, Crypto
🧠 Best Use Cases
Fade moves into weekly extremes
Combine with:
Previous Day High / Low
Liquidity sweeps
Market structure shifts
Identify high-probability reversals
Avoid chasing price late in the week
⚠️ Important Notes
This is NOT predictive — levels are confirmed from live price action
Best used as context, not a standalone entry system
Designed to complement price action & liquidity-based trading
📌 Disclaimer
This indicator is for educational purposes only.
Not financial advice. Always manage risk.
Old Glory Exhaustion Detector / In Chart Oscillator SignalsThis custom oscillator-based indicator detects potential trend exhaustion and reversal points through overextension thresholds. It highlights overextended candle bodies in gold and plots diamonds for buy/sell signals (red/blue), regular divergences (yellow), and hidden divergences (silver). Customize lengths, thresholds, and all colors via inputs for flexible analysis across timeframes.
Cloud Gold TrendTrend Filter (Ichimoku): If the price is above the cloud (Kumo), look only for "Long" signals. If it is below, look only for "Short" signals.
Entry Signal (Bollinger): When the price touches the Lower Band while you are above the Cloud, it could be a great buying point in an uptrend.
Volatility Confirmation: If the Bollinger Bands squeeze within the cloud, get ready for a strong directional move as soon as the price breaks one of the two levels.
GoldenZoneORBTOS Draws High/Low of Opening 15 Minutes of the day and then adds in Key Fib levels off that range with a middle golden zone for retracement/support/resistance based on ORB. Works well combined with other indicators like Anchored VWAP
EDUVEST QQE Signal v3.0 - Multi-Timeframe Scoring SystemEDUVEST QQE Signal v3.0 - Multi-Timeframe Scoring System
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█ ORIGINALITY
This indicator combines QQE (Quantitative Qualitative Estimation) with HMA (Hull Moving Average) and introduces a unique AI-based scoring system that rates signal quality from 0-100. Unlike traditional QQE indicators that show simple buy/sell signals, this version categorizes signals into four strength levels: BIG CHANCE, SUPER, POWER, and STRONG.
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█ WHAT IT DOES
- Generates scored BUY/SELL signals with quality ratings (60-100 points)
- Categorizes signals into 4 strength levels for easy decision making
- Supports Multi-Timeframe (MTF) analysis
- Auto-detects asset type and applies optimized QQE factors
- Provides customizable alerts based on score thresholds
Signal Hierarchy:
- 💰 BIG CHANCE (90-100): Highest probability setups
- ⚡ SUPER (80-89): Very strong signals
- 🚀 POWER (70-79): Strong signals with HMA confluence
- 💪 STRONG (60-69): Standard quality signals
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█ HOW IT WORKS
【QQE Calculation】
QQE is based on a smoothed RSI with dynamic bands:
1. Calculate RSI with specified period (default: 14)
2. Apply EMA smoothing to RSI (Smoothing Factor, default: 5)
3. Calculate ATR of the smoothed RSI
4. Create dynamic bands: RSI ± (ATR × QQE Factor)
The QQE Factor is automatically adjusted per asset:
- Forex (USDJPY, EURUSD): 3.8 - 4.238
- Gold (XAUUSD): 8.0
- Crypto (BTC): 12.0, (ETH): 10.0
- Indices (NASDAQ): 4.238
【HMA Calculation】
Hull Moving Average for trend confirmation:
HMA = WMA(2 × WMA(price, n/2) - WMA(price, n), √n)
【Signal Generation】
- BUY: QQE crosses above its band (QQExlong == 1)
- SELL: QQE crosses below its band (QQExshort == 1)
【AI Scoring System】
The score is calculated from multiple factors:
Signal Base (0-35 points):
- QQE + HMA confluence: +35
- QQE or HMA alone: +25
QQE Strength (10-25 points):
- RSI distance from 50 (momentum strength)
- >30 distance: +25, >20: +20, >10: +15, else: +10
Volatility Score (-10 to +15 points):
- ATR ratio 1.1-2.0: +15 (optimal volatility)
- ATR ratio <0.8: -10 (low volatility warning)
Volume Confirmation (-5 to +15 points):
- Volume > 120% of average: +15
- Volume < 80% of average: -5
Base Points: +15
Final Score = Clamped(0, 100, sum of all factors)
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█ HOW TO USE
【Recommended Settings】
- Timeframe: 5M, 15M, 1H, 4H
- Best on: Forex, Gold, NASDAQ, BTC/ETH
- Minimum Score: 60 (adjustable)
【Reading Signals】
- BIG CHANCE (Gold label, 90+): Highest conviction - consider larger position
- SUPER (Yellow label, 80-89): Very strong - standard position
- POWER (Cyan/Magenta label, 70-79): Strong with trend confirmation
- STRONG (Green/Red label, 60-69): Valid but use additional confirmation
【MTF Feature】
Enable MTF to analyze signals from a higher timeframe while viewing lower timeframe charts. The indicator auto-selects 5-minute as the analysis timeframe, or you can set it manually.
【Alert Setup】
1. Enable alerts in settings
2. Set minimum score threshold (default: 60)
3. Create alert with "Any alert() function call"
【Important Notes】
- Signals are confirmed at bar close (no repainting)
- Higher scores = higher probability, not guaranteed profits
- Always use proper risk management
- Consider market context and support/resistance levels
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█ SETTINGS
⏱️ MTF Settings
- MTF Use: Enable multi-timeframe analysis
- Manual Timeframe: Override auto-detection
- Show Panel: Display info panel (default: OFF)
🎨 Design
- Neon Colors: Vibrant color scheme
- Show HMA Line: Display HMA on chart
- Minimum Score: Filter weak signals
- Label Transparency: Adjust label opacity
- Large Labels: Mobile-friendly sizing
🔧 QQE Settings
- RSI Period: RSI calculation period
- Smoothing: EMA smoothing factor
- AI Score: Enable scoring system
🔔 Alerts
- Enable Alerts: Turn on/off notifications
- Minimum Score: Alert threshold
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█ CREDITS
QQE concept originally developed by John Ehlers.
HMA (Hull Moving Average) by Alan Hull.
Enhanced with scoring system and MTF support by EduVest.
License: Mozilla Public License 2.0
EDUVEST UTBOT ADJ - Adaptive ATR Trailing StopEDUVEST UTBOT ADJ - Adaptive ATR Trailing Stop with Session-Based Sensitivity
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█ ORIGINALITY
This indicator is an enhanced version of the classic UT Bot concept, featuring automatic session-based ATR sensitivity adjustment. Unlike the original UT Bot which uses a fixed sensitivity value, this version dynamically adapts to different trading sessions (Tokyo, London, New York) and automatically detects asset characteristics to optimize signal generation.
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█ WHAT IT DOES
- Generates BUY and SELL signals based on ATR trailing stop crossovers with a moving average
- Automatically adjusts sensitivity based on current trading session (Tokyo/London/NY)
- Auto-detects asset type and applies optimized parameters for each instrument
- Displays real-time session information and volatility status
- Provides alert functionality with customizable cooldown periods
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█ HOW IT WORKS
【Core Logic: ATR Trailing Stop】
The indicator calculates an ATR-based trailing stop using the formula:
Trailing Stop = Price ± (Sensitivity × ATR)
When price is above the trailing stop and rising, the stop trails below price.
When price is below the trailing stop and falling, the stop trails above price.
【Signal Generation】
- BUY Signal: Price crosses above the trailing stop AND Moving Average crosses above the trailing stop
- SELL Signal: Price crosses below the trailing stop AND Moving Average crosses below the trailing stop
【Session-Based Sensitivity Adjustment】
The indicator adjusts ATR sensitivity based on trading session (JST timezone):
- Tokyo (08:00-15:00): Lower sensitivity (reduced by adjustment value) - typically quieter markets
- London (15:00-23:00): Base sensitivity - moderate volatility
- New York (23:00-08:00): Higher sensitivity (increased by adjustment value) - higher volatility
【Dynamic ATR Adjustment】
When enabled, the indicator compares current ATR to its smoothed average:
- ATR Ratio = Current ATR / SMA(ATR, smoothing period)
- Volatility Multiplier = 1.0 + (Sensitivity × (2.0 - ATR Ratio))
This reduces sensitivity during high volatility (fewer false signals) and increases sensitivity during low volatility (faster response).
【Auto Asset Detection】
The indicator automatically detects the traded instrument and applies optimized parameters:
- Stable pairs (USDJPY, EURUSD, USDCHF): Base sensitivity 1.5-1.8
- Moderate pairs (AUDUSD, USDCAD, EURJPY): Base sensitivity 2.0-2.3
- Volatile pairs (GBPUSD): Base sensitivity 2.8
- Commodities (GOLD/XAUUSD): Base sensitivity 3.5
- Indices (NASDAQ/NAS100): Base sensitivity 4.0
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█ HOW TO USE
【Recommended Settings】
- Timeframe: 15 minutes or higher (15M, 1H, 4H recommended)
- Best performance on: Forex majors, Gold, NASDAQ
- Enable "Auto Asset Detection" for optimized parameters
【Entry Rules】
- BUY: Enter long when green BUY label appears
- SELL: Enter short when pink SELL label appears
【Session Panel】
The top-right panel displays:
- Current trading session (Tokyo/London/NY)
- Volatility status (High Chance/Medium Chance/Caution)
- Mode (AUTO/MANUAL)
【Alert Setup】
1. Enable "Viewer Alert Display" in settings
2. Set cooldown period (default: 15 minutes) to avoid signal spam
3. Create alert with "Any alert() function call" condition
【Important Notes】
- This indicator does not repaint - signals are confirmed at bar close
- Lower timeframes (1M, 5M) may generate excessive signals
- Always use proper risk management and confirm with other analysis
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█ SETTINGS OVERVIEW
🎯 Alert Settings
- Viewer Alert Display: Enable/disable alert labels
- Cooldown Function: Prevent rapid consecutive signals
- Cooldown Time: Minutes between alerts (5-60)
🔧 Dynamic ATR Settings
- Enable Dynamic ATR: Auto-adjust based on volatility
- ATR Period: Calculation period (default: 14)
- ATR Smoothing: Smoothing period for ratio calculation
- Volatility Sensitivity: How much to adjust (0.1-1.0)
🕐 Session ATR Adjustment
- Enable Time Adjustment: Session-based sensitivity
- Show Session Info: Display session panel
📊 Asset Settings
- Auto Asset Detection: Automatically optimize for instrument
- Manual settings available when auto-detection is disabled
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█ CREDITS
Based on the original UT Bot concept by QuantNomad.
Enhanced with session-based adaptation and auto-asset detection by EduVest.
License: Mozilla Public License 2.0
Purra Buy Sell Signalsindicator.lk's purra buy sell is a precision-tuned indicator designed specifically for XAU/USD (Gold) 5-minute scalping. It combines a smoothed trend-filter (based on a multi-stage EMA cascade with adaptive smoothing) and an ATR-based trailing stop logic to generate high-confidence Buy and Sell signals directly on the price chart.
Ideal for short-term traders seeking clean, responsive entries with minimal lag, this tool helps you:
Catch early trend reversals
Avoid choppy false signals
Execute fast scalps during active gold sessions (London & Asian overlap)
Built with risk-aware logic and visual clarity in mind—green labels = long opportunities, red labels = short setups. Fully compatible with alerts for automated trade execution.
Optimized for XAUUSD on the 5-minute timeframe. Works best during high-liquidity hours.
🛠️ How to Use (for Gold 5-Minute Scalping)
Apply to Chart: Add the indicator to XAU/USD (Gold) on the 5-minute timeframe.
Signal Interpretation:
Green "Buy" label below bar: Strong bullish momentum—consider long entry.
Red "Sell" label above bar: Strong bearish momentum—consider short entry.
Confirmation Tips:
Trade only when the background ribbon or trend line (if enabled) aligns with the signal direction (green = uptrend, red = downtrend).
Avoid signals during major news events or low volatility (e.g., late NY session).
For higher accuracy, combine with price action (e.g., rejection candles, break of micro structure).
Risk Management:
Use tight stop-losses just beyond recent swing points.
Target 1:1 or 1:2 risk-reward; gold moves fast on 5M!
Alerts: Enable TradingView alerts on “Purra Long” / “Purra Short” conditions for real-time notifications.
Institutional Confluence Mapper [JOAT]Institutional Confluence Mapper (ICM)
Introduction
The Institutional Confluence Mapper is an open-source multi-factor analysis tool that combines five analytical modules into a unified confluence scoring system. It synthesizes institutional trading concepts including Relative Rotation analysis, Smart Money flow detection, Liquidity zone mapping, Session-based timing, and Volatility regime classification.
Rather than relying on a single indicator, ICM evaluates market conditions through multiple lenses simultaneously, presenting a clear confluence score (0-100%) that reflects the alignment of various market factors.
This script is fully open-source under the Mozilla Public License 2.0.
Originality and Purpose
This indicator is NOT a random mashup of existing indicators. It is an original implementation that creates a unified institutional analysis framework:
Why Multiple Modules? Most retail traders struggle because they rely on single indicators that provide conflicting signals. Institutional traders evaluate markets through multiple frameworks simultaneously. ICM bridges this gap by providing a unified view of complementary analysis methods.
The Confluence Scoring System: Each module contributes to a weighted confluence score (0-100%). Scores above 65% indicate bullish confluence; below 35% indicates bearish confluence.
How Components Work Together:
RRG (Relative Rotation) determines macro bias - is this asset outperforming or underperforming its benchmark?
Institutional Flow confirms smart money activity - are institutions accumulating or distributing?
Volatility Regime determines strategy selection - trend-follow or mean-revert?
Liquidity Detection identifies key levels - where are the stop hunts happening?
Session Analysis optimizes timing - when should you trade?
The Five Core Modules
1. Relative Rotation Momentum Matrix (RRG)
Compares the current symbol against a benchmark (default: SPY) using the JdK RS-Ratio methodology with double-smoothed EMA. Assets rotate through four quadrants:
LEADING: Outperforming with positive momentum (strongest bullish)
WEAKENING: Outperforming but losing momentum
LAGGING: Underperforming with negative momentum (strongest bearish)
IMPROVING: Underperforming but gaining momentum
2. Institutional Flow Analysis
Analyzes volume patterns to detect smart money activity:
Volume Z-Score measures how unusual current volume is
Buy/Sell pressure estimation based on candle structure
Unusual volume detection highlights institutional activity
3. Volatility Regime System
Uses ATR percentile ranking to classify market conditions:
COMPRESSION: Low volatility (ATR < 20th percentile) - potential breakout
EXPANSION: High volatility (ATR > 80th percentile) - trending
TRENDING_BULL/BEAR: Directional trends based on EMA alignment
RANGING: Sideways consolidation
4. Liquidity Detection
Identifies institutional liquidity targets using swing point analysis:
Swing highs/lows are tracked and displayed as dashed lines
Purple dashed lines mark resistance/sell-side liquidity
Teal dashed lines mark support/buy-side liquidity
Gold diamonds appear when liquidity sweeps are detected (potential reversals)
5. Session Momentum Profiler
Tracks trading sessions based on your selected timezone:
Asian Session: 7PM - 4AM EST
London Session: 3AM - 12PM EST
New York Session: 9:30AM - 4PM EST
London/NY Overlap: 8AM - 12PM EST (peak liquidity)
Visual Elements
Main Dashboard (Top-Right):
BIAS: Overall direction with confluence percentage
RRG: Current quadrant and momentum
FLOW: Smart money bias and volume status
REGIME: Market condition and volatility percentile
SESSION: Active trading session and current time
LIQUIDITY: Active zones and grab signals
SIGNAL: Actionable recommendation
Chart Elements:
Gold Diamond: Liquidity grab (potential reversal point)
Teal Dashed Line: Support / Buy-side liquidity zone
Purple Dashed Line: Resistance / Sell-side liquidity zone
EMA 21/55/200: Trend structure with cloud fill
Volatility Bands: ATR-based channels
How to Use
Step 1: Check the BIAS row for overall market direction
Step 2: Check REGIME to understand market conditions
Step 3: Identify key levels using liquidity zones and EMAs
Step 4: Wait for confluence above 65% (bullish) or below 35% (bearish)
Step 5: Look for gold diamond signals at key levels
Best Setups
Bullish: Confluence >65%, RRG in LEADING/IMPROVING, bullish flow, price near teal support zone.
Bearish: Confluence <35%, RRG in LAGGING/WEAKENING, bearish flow, price near purple resistance zone.
Reversal: Gold diamond appears after price sweeps a liquidity zone.
Key Input Parameters
Benchmark Symbol: Compare against (default: SPY)
RS-Ratio/Momentum Lookback: RRG calculation periods
Volume Analysis Period: Flow detection lookback
Swing Length: Liquidity zone detection
ATR Period/Rank Period: Regime classification
Timezone: Session detection timezone
Alerts
Liquidity Grab Bull: Bullish sweep detected
Liquidity Grab Bear: Bearish sweep detected
High Confluence Bull: Confluence above 70%
High Confluence Bear: Confluence below 30%
Best Practices
Use on 1H, 4H, or Daily timeframes for reliable signals
Combine with price action for confirmation
Respect the regime - don't fight strong trends
Trade during London/NY overlap for best liquidity
Wait for high confluence scores before entering
Always use proper risk management
Limitations
Works best on liquid markets with sufficient volume
Session features optimized for forex/crypto markets
RRG requires a valid benchmark symbol
No indicator predicts the future - use proper risk management
Disclaimer
This indicator is for educational and informational purposes only. It is not financial advice. Trading involves substantial risk of loss. Past performance does not guarantee future results.
-Made with passion by officialjackofalltrades
Stock-Bond Correlation (60/40 Killer)Inspired by David Dredge
Why It Matters:
When correlation > 0:
❌ Bonds don't provide cushion when stocks fall
❌ Both portfolio engines fail simultaneously
❌ Rebalancing makes losses worse
✅ Long volatility strategies outperform
✅ Gold often benefits
Trading Signals:
When Correlation Crosses Above 0:
Action:
Reduce 60/40 allocation
Add long volatility positions
Consider gold/commodities
Increase cash buffer
When Correlation > 0.3:
Action:
Emergency mode
Maximum long vol exposure
Defensive positioning
Review all correlations
When Correlation Returns Negative:
Action:
Can resume 60/40
Scale back volatility hedges
Return to normal risk






















