Volume-Gated Trend Ribbon [QuantAlgo]🟢 Overview
The Volume-Gated Trend Ribbon employs a selective price-updating mechanism that filters market noise through volume validation, creating a trend-following system that responds exclusively to significant price movements. The indicator gates price updates to moving average calculations based on volume threshold crossovers, ensuring that only bars with significant participation influence the trend direction. By interpolating between fast and slow moving averages to create a multi-layered visual ribbon, the indicator provides traders and investors with an adaptive trend identification framework that distinguishes between volume-backed directional shifts and low-conviction price fluctuations across multiple timeframes and asset classes.
🟢 How It Works
The indicator first establishes a dynamic baseline by calculating the simple moving average of volume over a configurable lookback period, then applies a user-defined multiplier to determine the significance threshold:
avgVol = ta.sma(volume, volPeriod)
highVol = volume >= avgVol * volMult
The gated price mechanism employs conditional updating where the close price is only captured and stored when volume exceeds the threshold. During low-volume periods, the indicator maintains the last qualified price level rather than tracking every minor fluctuation:
var float gatedClose = close
if highVol
gatedClose := close
Dual moving averages are calculated using the gated price input, with the indicator supporting various MA types. The fast and slow periods create the outer boundaries of the trend ribbon:
fastMA = volMA(gatedClose, close, fastPeriod)
slowMA = volMA(gatedClose, close, slowPeriod)
Ribbon interpolation creates intermediate layers by blending the fast and slow moving averages using weighted combinations, establishing a gradient effect that visually represents trend strength and momentum distribution:
midFastMA = fastMA * 0.67 + slowMA * 0.33
midSlowMA = fastMA * 0.33 + slowMA * 0.67
Trend state determination compares the fast MA against the slow MA, establishing bullish regimes when the faster average trades above the slower average and bearish regimes during the inverse relationship. Signal generation triggers on state transitions, producing alerts when the directional bias shifts:
bullish = fastMA > slowMA
longSignal = trendState == 1 and trendState != 1
shortSignal = trendState == -1 and trendState != -1
The visualization architecture constructs a three-tiered opacity gradient where the ribbon's core (between mid-slow and slow MAs) displays the highest opacity, the inner layer (between mid-fast and mid-slow) shows medium opacity, and the outer layer (between fast and mid-fast) presents the lightest fill, creating depth perception that emphasizes the trend center while acknowledging edge uncertainty.
🟢 How to Use This Indicator
▶ Long and Short Signals: The indicator generates long/buy signals when the trend state transitions to bullish (fast MA crosses above slow MA) and short/sell signals when transitioning to bearish (fast MA crosses below slow MA). Because these crossovers only reflect volume-validated price movements, they represent significant level of participation rather than random noise, providing higher-conviction entry signals that filter out false breakouts occurring on thin volume.
▶ Ribbon Width Dynamics: The spacing between the fast and slow moving averages creates the ribbon width, which serves as a visual proxy for trend strength and volatility. Expanding ribbons indicate accelerating directional movement with increasing separation between short-term and long-term momentum, suggesting robust trend development. Conversely, contracting ribbons signal momentum deceleration, potential trend exhaustion, or impending consolidation as the fast MA converges toward the slow MA.
▶ Preconfigured Presets: Three optimized parameter sets accommodate different trading styles and market conditions. Default provides balanced trend identification suitable for swing trading on daily timeframes with moderate volume filtering and responsiveness. Fast Response delivers aggressive signal generation optimized for intraday scalping on 1-15 minute charts, using lower volume thresholds and shorter moving average periods to capture rapid momentum shifts. Smooth Trend offers conservative trend confirmation ideal for position trading on 4-hour to weekly charts, employing stricter volume requirements and extended periods to filter noise and identify only the most robust directional moves.
▶ Built-in Alerts: Three alert conditions enable automated monitoring: Bullish Trend Signal triggers when the fast MA crosses above the slow MA confirming uptrend initiation, Bearish Trend Signal activates when the fast MA crosses below the slow MA confirming downtrend initiation, and Trend Change alerts on any directional transition regardless of direction. These notifications allow you to respond to volume-validated regime shifts without continuous chart monitoring.
▶ Color Customization: Six visual themes (Classic, Aqua, Cosmic, Ember, Neon, plus Custom) accommodate different chart backgrounds and display preferences, ensuring optimal contrast and visual clarity across trading environments. The adjustable fill opacity control (0-100%) allows fine-tuning of ribbon prominence, with lower opacity values create subtle background context while higher values produce bold trend emphasis. Optional bar coloring extends the trend indication directly to the price bars, providing immediate directional reference without requiring visual cross-reference to the ribbon itself.
Signals
Kinetic Scalper [BULLBYTE]KINETIC SCALPER - ADVANCED MOMENTUM & CONFLUENCE TRADING SYSTEM
A SOPHISTICATED MULTI-FACTOR ANALYSIS INDICATOR FOR PRECISION ENTRIES
The Kinetic Scalper is a comprehensive trading analysis tool that combines volume-weighted momentum calculations, multi-oscillator divergence detection, and a proprietary 15-factor confluence scoring system to identify high-probability reversal setups across all timeframes.
WHAT MAKES THIS INDICATOR ORIGINAL
This is NOT a simple mashup of existing indicators.
The Kinetic Scalper features a completely custom momentum engine called the "Kinetic Pulse" - a volume-weighted momentum oscillator with Fisher Transform normalization that fundamentally differs from standard RSI or other momentum indicators. Every component feeds into a unified algorithmic framework designed specifically for this system.
KEY INNOVATIONS:
KINETIC PULSE ENGINE
Unlike standard RSI which uses simple price changes, the Kinetic Pulse applies:
→ Volume weighting to price movements (high-volume moves carry more weight)
→ EMA smoothing instead of traditional SMA (faster response to changes)
→ Fisher Transform normalization for improved signal clarity
→ Adaptive period adjustment based on current volatility regime
→ Result: A momentum oscillator that responds to conviction, not just price noise
15-FACTOR CONFLUENCE SCORING SYSTEM
Every signal is graded based on the number of confirming factors present:
→ Momentum position (oversold/overbought extremes)
→ Momentum velocity (direction change confirmation)
→ Momentum acceleration (strength of reversal)
→ Multi-oscillator divergence (price vs. 3 oscillators)
→ Volume confirmation (above-average participation)
→ Volume delta analysis (buying vs. selling pressure)
→ Higher timeframe alignment (trend confirmation from larger timeframe)
→ Session timing (major forex session awareness)
→ Structure clearance (clear path to profit targets)
→ Support/resistance proximity (confluence with key levels)
→ Market regime filtering (trending vs. choppy conditions)
Signals are graded A+, A, or B based on how many factors align:
• CONSERVATIVE MODE: A+ requires 12+ factors, A requires 9+, B requires 7+
• BALANCED MODE: A+ requires 10+ factors, A requires 7+, B requires 5+
• AGGRESSIVE MODE: A+ requires 8+ factors, A requires 5+, B requires 3+
TRADE ANALYSIS STATE MACHINE
A sophisticated monitoring system that tracks trade conditions in real-time using:
→ 5-state analysis framework (Factors Aligned / Positive Bias / Mixed Signals / Factors Weakening / Negative Bias)
→ Hysteresis-based transitions (different thresholds to enter vs. exit states)
→ Confidence smoothing with EMA (reduces noise, prevents flip-flopping)
→ Minimum commitment periods before state changes
→ Override logic for significant events (near TP/SL, momentum reversals)
→ Result: Stable, actionable guidance that doesn't change on every bar
INSTRUMENT-AWARE CALIBRATION
Automatically detects what you're trading and applies optimized parameters:
→ Forex Majors: Standard ATR, high session weight
→ Forex Crosses: Tighter stops, moderate session weight
→ Crypto: Wider stops (1.8x multiplier), reduced session weight (24/7 markets)
→ Indices: Moderate-wide stops, high session weight
→ Commodities: Moderate stops, moderate session weight
WHAT THIS INDICATOR DOES
The Kinetic Scalper is designed to identify high-confluence reversal opportunities by analyzing multiple dimensions of market behavior simultaneously.
CORE FUNCTIONS:
1. SIGNAL GENERATION
→ Identifies potential reversal points at oversold/overbought extremes
→ Confirms with multi-oscillator divergence detection
→ Validates with volume, higher timeframe, and structural analysis
→ Filters out low-probability setups automatically
→ Grades signals based on total confluence factors present
2. AUTOMATED TRADE TRACKING
→ Calculates structure-based or ATR-based stop loss levels
→ Projects take profit targets using risk-to-reward ratios
→ Monitors live position status (P/L, distance to targets, R-multiple)
→ Tracks TP1 and TP2 hits automatically
→ Displays outcome markers (TP HIT, PARTIAL WIN, STOPPED)
3. REAL-TIME CONDITION MONITORING
→ Analyzes 6 factor categories during active trades
→ Provides confidence scoring (0-100 scale)
→ Generates actionable guidance based on current market state
→ Alerts when conditions deteriorate or improve
→ Helps with trade management decisions
4. COMPREHENSIVE MARKET ANALYSIS
→ Session detection (Asian, London, New York, Overlap)
→ Volatility regime identification (Low, Normal, High, Extreme)
→ Trend state classification (Trending Up/Down, Ranging, Transitioning)
→ Volume analysis (relative volume and delta approximation)
→ Choppiness filtering (blocks signals in ranging markets)
WHY USE THIS INDICATOR
PROBLEM: Most momentum indicators generate too many false signals at extremes.
SOLUTION: The Kinetic Scalper requires MULTIPLE confirming factors before generating a signal, dramatically reducing noise and focusing on high-confluence setups.
ADVANTAGES:
✓ QUALITY OVER QUANTITY
→ Signal grading ensures you can filter for only the highest-quality setups
→ A+ signals have 10-12+ confirming factors aligned
→ Cooldown periods prevent over-trading the same move
✓ COMPLETE TRADE FRAMEWORK
→ Entry signals with confluence justification
→ Calculated stop loss based on market structure or ATR
→ Two profit targets with clear risk-to-reward ratios
→ Live trade monitoring with factor analysis
→ Outcome tracking and visual markers
✓ ADAPTIVE TO MARKET CONDITIONS
→ Volatility-based period adjustment for momentum calculations
→ Instrument-specific ATR multipliers
→ Session awareness for forex traders
→ Higher timeframe trend filtering
→ Automatic regime detection (trending vs. choppy)
✓ TRANSPARENT METHODOLOGY
→ Every input has detailed tooltips explaining its purpose
→ Signal tooltips show exactly why a signal was generated
→ Dashboard displays all relevant market conditions
→ Factor scores are visible during trades
→ No "black box" mystery calculations
✓ NON-REPAINTING & RELIABLE
→ All signals use barstate.isconfirmed (only on closed bars)
→ Higher timeframe data uses lookahead_off with historical offset
→ No future data access or repainting behavior
→ What you see is what you get - signals don't disappear or move
HOW THE INDICATOR WORKS
SIGNAL GENERATION PROCESS:
STEP 1: MOMENTUM ANALYSIS
The Kinetic Pulse engine calculates volume-weighted momentum:
→ Price changes are weighted by volume ratio vs. 20-bar average
→ High-volume moves have more influence on the oscillator
→ Gains and losses are smoothed using EMA (not SMA like RSI)
→ Fisher Transform is applied for normalization to 0-100 scale
→ Result: Momentum reading that emphasizes conviction, not noise
STEP 2: REVERSAL DETECTION
The indicator looks for potential reversal conditions:
→ Kinetic Pulse reaching oversold zone (below dynamic lower threshold)
→ Momentum velocity turning positive after being negative (for longs)
→ OR bullish divergence detected on multiple oscillators
→ Price making lower lows while oscillators make higher lows = divergence
STEP 3: MULTI-OSCILLATOR DIVERGENCE CONFIRMATION
Divergence is validated across three sources:
→ Kinetic Pulse divergence
→ CCI divergence
→ Stochastic divergence
→ Multiple oscillators confirming divergence increases signal reliability
STEP 4: CONFLUENCE FACTOR SCORING
The system evaluates all 15 possible confirming factors:
→ Momentum position: Is pulse oversold/overbought? (+0 to +2 points)
→ Momentum direction: Is velocity reversing? (+0 to +2 points)
→ Momentum acceleration: Is reversal strengthening? (+0 to +1 point)
→ Divergence count: How many oscillators show divergence? (+0 to +2 points)
→ Volume strength: Is volume above 1.3x average? (+0 to +1 point)
→ Volume delta: Is cumulative delta positive/negative? (+0 to +1 point)
→ HTF alignment: Does higher timeframe support direction? (+0 to +2 points)
→ Session timing: Is it a prime trading session? (+0 to +1 point)
→ Clear air: Is path to targets clear of obstacles? (+0 to +1 point)
→ Structure confluence: Are we near support/resistance? (+0 to +1 point)
→ Market regime: Is market trending, not choppy? (+0 to +1 point)
Total possible score: 15 points
Minimum for signal: 3-12 points depending on sensitivity mode
STEP 5: FILTER VALIDATION
Before generating a signal, additional checks are performed:
→ Volume must be above minimum threshold (if filter enabled)
→ Higher timeframe must not oppose the signal direction (if filter enabled)
→ Target path must be clear of major resistance/support (if filter enabled)
→ Volatility must not be EXTREME (blocks signals in chaos)
→ Risk-to-reward ratio must meet minimum requirement
→ Cooldown period must have elapsed since last signal
STEP 6: SIGNAL GRADING
If all filters pass, the signal is graded based on score:
→ A+ Grade: Highest confluence (8-12+ factors depending on sensitivity)
→ A Grade: High confluence (5-9+ factors)
→ B Grade: Moderate confluence (3-7+ factors)
Only graded signals (A+, A, or B) are displayed.
STEP 7: TRADE LEVEL CALCULATION
Stop loss and targets are calculated automatically:
STOP LOSS METHODS:
• Structure-Based: Uses recent swing low/high with ATR buffer, constrained by min/max ATR limits
• ATR-Based: Pure ATR multiplier with min/max constraints
• Fixed ATR: Simple ATR multiplier, no adjustments
TARGET CALCULATION:
• TP1: Entry ± (Stop Distance × Target 1 R:R)
• TP2: Entry ± (Stop Distance × Target 2 R:R)
• Default: TP1 at 1.0 R:R (1:1), TP2 at 2.0 R:R (1:2)
STEP 8: TRADE MONITORING
Once a signal is taken, the indicator tracks:
→ Current P/L in ticks and R-multiples
→ Distance to each target in ATR units
→ Distance to stop loss in ATR units
→ TP1 hit detection (marks with label, updates lines)
→ TP2 hit detection (closes trade, marks outcome)
→ Stop loss hit detection (closes trade, differentiates partial vs. full loss)
STEP 9: FACTOR ANALYSIS (DURING TRADES)
The Trade Analysis Panel monitors 6 key factor categories:
→ Momentum: Is momentum still aligned with trade direction? (-15 to +15 pts)
→ Position: Current R-multiple position (-12 to +12 pts)
→ Volume: Is volume still supportive? (-6 to +6 pts)
→ HTF Alignment: Does HTF still support trade? (-6 to +8 pts)
→ Target Proximity: How close are we to targets? (0 to +10 pts)
→ Stop Proximity: Are we dangerously close to stop? (-15 to +3 pts)
Raw scores are summed and smoothed using 5-bar EMA to create Confidence Score (0-100).
STEP 10: STATE MACHINE TRANSITIONS
Based on smoothed confidence, the system transitions between 5 states:
→ FACTORS ALIGNED (72+): Everything looks good
→ POSITIVE BIAS (58-72): Conditions favorable
→ MIXED SIGNALS (48-58): Neutral conditions
→ FACTORS WEAKENING (22-48): Concerning signals
→ NEGATIVE BIAS (<22): Poor conditions
Hysteresis prevents rapid flipping between states (different entry/exit thresholds).
RECOMMENDED TIMEFRAMES & INSTRUMENTS
TIMEFRAME VERSATILITY:
Despite the name "Scalper," this indicator works on ALL timeframes:
✓ LOWER TIMEFRAMES (1m - 15m)
→ Ideal for: Scalping and very short-term trades
→ Expect: More signals, faster trades, requires active monitoring
→ Best for: Forex majors, liquid crypto pairs
→ Tip: Use Conservative sensitivity to reduce noise
✓ MID TIMEFRAMES (15m - 1H)
→ Ideal for: Intraday trading and day trading
→ Expect: Moderate signal frequency, 1-4 hour trade duration
→ Best for: Forex, indices, major crypto
→ Tip: Balanced sensitivity works well here
✓ HIGHER TIMEFRAMES (4H - Daily)
→ Ideal for: Swing trading and position trading
→ Expect: Fewer signals, higher-quality setups, multi-day trades
→ Best for: All instruments
→ Tip: Can use Aggressive sensitivity for more opportunities
INSTRUMENT COMPATIBILITY:
✓ FOREX MAJORS (EUR/USD, GBP/USD, USD/JPY, etc.)
→ Auto-detected or manually select "Forex Major"
→ Session filtering is highly valuable here
→ London/NY overlap generates best signals
✓ FOREX CROSSES (EUR/GBP, AUD/NZD, etc.)
→ Auto-detected or manually select "Forex Cross"
→ Slightly tighter stops applied automatically
→ Session weight reduced vs. majors
✓ CRYPTOCURRENCIES (BTC, ETH, SOL, etc.)
→ Auto-detected or manually select "Crypto"
→ Wider stops (1.8x multiplier) due to volatility
→ Session filtering less relevant (24/7 markets)
→ Works well on both spot and perpetual futures
✓ INDICES (S&P 500, NASDAQ, DAX, etc.)
→ Auto-detected or manually select "Index"
→ Session opens (NY, London) are important
→ Moderate stop widths applied
✓ COMMODITIES (Gold, Silver, Oil, etc.)
→ Auto-detected or manually select "Commodity"
→ Moderate stops and session awareness
→ Works well on both spot and futures
VISUAL ELEMENTS EXPLAINED
SIGNAL MARKERS:
The indicator offers 3 display styles (choose in settings):
• PREMIUM STYLE (Default)
→ Signal appears below/above candles with connecting line
→ Background panel with grade badge (LONG , SHORT , etc.)
→ Entry price displayed
→ Direction arrow pointing to entry candle
→ Most informative, best for detailed analysis
• MINIMAL STYLE
→ Simple dot marker with grade text next to it
→ Clean, unobtrusive design
→ Best for mobile devices or cluttered charts
→ Less visual noise
• CLASSIC STYLE
→ Diamond marker with grade badge below/above
→ Traditional indicator aesthetic
→ Good balance between info and simplicity
ALL STYLES INCLUDE:
→ Signal tooltips with complete trade plan details
→ Grade display (A+, A, or B)
→ Color coding (bright colors for A+, standard for A/B)
SIGNAL TOOLTIP CONTENTS:
When you hover over any signal marker, you'll see:
→ Signal direction and grade
→ Confluence score (actual points vs. required)
→ Reason for signal (divergence type, reversal pattern)
→ Complete trade plan (Entry, Stop, TP1, TP2)
→ Risk in ticks
→ Risk-to-reward ratios
→ Market conditions at signal (Pulse value, HTF status, Volume, Session)
TRADE LEVEL LINES:
When Trade Tracking is enabled:
• ENTRY LINE (Yellow/Gold)
→ Solid horizontal line at entry price
→ Shaded zone around entry (±ATR buffer)
→ Label showing entry price
→ Extends 20-25 bars into future
• STOP LOSS LINE (Orange/Red)
→ Dashed line at stop level
→ Label showing stop price and distance in ticks
→ Turns dotted and changes color after TP1 hit (breakeven implied)
→ Deleted when trade closes
• TAKE PROFIT 1 LINE (Blue)
→ Dotted line at TP1 level
→ Label showing price and R:R ratio (e.g., "1:1.0")
→ Turns solid and changes to green when hit
→ Deleted after TP1 hit
• TAKE PROFIT 2 LINE (Blue)
→ Solid line at TP2 level
→ Label showing price and R:R ratio (e.g., "1:2.0")
→ This is the "full win" target
→ Deleted when trade closes
OUTCOME MARKERS:
When trade milestones are reached:
• - Green label appears when first target is touched
• - Green label when second target is touched (trade complete)
• - Red label if stop loss hit before any target
• - Orange label if TP1 hit but then stopped out
PREVIOUS DAY LEVELS:
If enabled (Show Previous Day Levels):
• PDH (Previous Day High) - Solid red/orange line
→ Label shows "PDH: "
→ Useful resistance reference for intraday trading
• PDL (Previous Day Low) - Solid green line
→ Label shows "PDL: "
→ Useful support reference for intraday trading
BACKGROUND TINTS:
Subtle background colors indicate states:
→ Light green tint: Active long position being tracked
→ Light red tint: Active short position being tracked
→ Light orange tint: Extreme volatility warning (signals blocked)
DASHBOARD GUIDE
The indicator features TWO dashboard panels:
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MAIN DASHBOARD (Top Right by default)
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WHEN NO TRADE IS ACTIVE:
→ Bias: Current market bias (BULLISH, BEARISH, NEUTRAL, LEAN LONG/SHORT)
→ Based on Kinetic Pulse position and velocity
→ Helps you understand overall momentum direction
→ Pulse: Current Kinetic Pulse value (0-100 scale)
→ <30 = Oversold (potential long setups developing)
→ >70 = Overbought (potential short setups developing)
→ 40-60 = Neutral zone
→ Volatility: Current volatility regime (LOW, NORMAL, HIGH, EXTREME)
→ Calculated from ATR ratio vs. 100-period average
→ EXTREME volatility blocks all signals (too chaotic)
→ Trend: Market state classification
→ TREND UP / TREND DOWN: ADX > 25, directional movement clear
→ RANGING: ADX < 20, choppy conditions
→ TRANSITIONING: ADX 20-25, developing conditions
→ VOLATILE: Extreme ATR regime
→ Session: Current forex session
→ ASIAN (00:00-08:00 UTC)
→ LONDON (07:00-16:00 UTC)
→ NEW YORK (13:00-22:00 UTC)
→ LDN/NY (13:00-16:00 UTC) - Overlap period, highest volatility
→ OFF-HOURS: Outside major sessions
→ Volume: Current volume vs. 20-bar average
→ Displayed as multiplier (e.g., "1.45x" = 45% above average)
→ Green if >1.3x (high volume, bullish for signal quality)
→ Red if <0.8x (low volume, bearish for signal quality)
→ HTF: Higher timeframe analysis status
→ BULLISH: HTF momentum supports longs
→ BEARISH: HTF momentum supports shorts
→ NEUTRAL: No clear HTF direction
→ Best Score: Highest confluence score currently available
→ Shows both long and short scores
→ Format: " / "
→ Example: "8/7 " means long score is 8, threshold is 7, long is leading
→ Helps you anticipate which direction might signal next
→ PDH/PDL: Previous day high and low prices
→ Quick reference for intraday support/resistance
WHEN TRADE IS ACTIVE:
→ Trade: Direction and grade (e.g., "LONG ")
→ Entry: Entry price of current trade
→ P/L: Current profit/loss
→ Shown in ticks and R-multiples
→ Format: "+45 | +0.75R" or "-20 | -0.35R"
→ Green when positive, red when negative
→ TP1: First target status
→ Shows price and distance if not hit
→ Shows "HIT" in green if reached
→ TP2: Second target price and distance
→ Stop: Stop loss price and current distance from stop
→ Bars: Number of bars since entry (trade duration)
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TRADE ANALYSIS PANEL (Bottom Left by default)
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This panel provides algorithmic analysis of market conditions. It does NOT provide investment advice or recommendations.
WHEN NO TRADE IS ACTIVE:
Shows scanning status and signal readiness:
→ Long/Short Readiness Gauges
→ Visual bar showing proximity to signal threshold
→ Score display (e.g., "8/7" means 8 points scored, 7 needed)
→ "RDY" indicator when threshold reached
→ Status Messages
→ "Scanning for setups..." - Normal scanning mode
→ "Long setup ready - cooldown: X bars" - Signal qualified but in cooldown
→ "Oversold conditions - watch for reversal" - Setup developing
→ "Choppy conditions detected" - Warning about market state
→ "Extreme volatility - signals blocked" - Safety filter active
WHEN TRADE IS ACTIVE:
Header shows current analysis state:
→ FACTORS ALIGNED (Green) - Everything looks good, confidence 72+
→ POSITIVE BIAS (Light Green) - Conditions favorable, confidence 58-72
→ MIXED SIGNALS (Blue) - Neutral conditions, confidence 48-58
→ FACTORS WEAKENING (Orange) - Concerning signals, confidence 22-48
→ NEGATIVE BIAS (Red) - Poor conditions, confidence <22
Confidence Score:
→ Displayed as percentage (0-100%)
→ Visual gauge (|||||.....)
→ Trend indicator (Rising, Falling, Stable)
→ Shows momentum of confidence change
Factor Breakdown (if enabled):
Shows 6 factor categories with individual scores:
→ Momentum: Is momentum aligned with trade? (-15 to +15 points)
→ Positive if velocity matches trade direction
→ Negative if momentum opposes trade
→ Position: Current R-multiple analysis (-12 to +12 points)
→ Positive if trade is in profit
→ Negative if underwater
→ Score increases as profit grows
→ Volume: Is volume supportive? (-6 to +6 points)
→ Positive if volume above average
→ Negative if volume weak
→ HTF Align: Higher timeframe status (-6 to +8 points)
→ Positive if HTF still supports trade direction
→ Negative if HTF turned against trade
→ Target: Proximity to profit targets (0 to +10 points)
→ Higher score when approaching targets
→ Bonus if TP1 already hit and near TP2
→ Stop Dist: Distance from stop loss (-15 to +3 points)
→ Negative if dangerously close to stop (<0.3 ATR)
→ Positive if well away from stop (>1.5 ATR)
Each factor shows:
• Score value with +/- indicator
• Trend symbol: + (improving), - (deteriorating), = (stable)
• Visual gauge
Guidance Messages:
→ "TARGET 2 APPROACHING" - TP2 within 0.3 ATR
→ "TARGET 1 APPROACHING" - TP1 within 0.3 ATR
→ "STOP PROXIMITY WARNING" - Stop within 0.3 ATR
→ "Factors aligned - Holding" - Positive state, stay in trade
→ "Conditions favorable" - Still looking good
→ "Conditions mixed - " - Neutral assessment
→ "Factors deteriorating" - Warning of weakening setup
→ "Confluence weakening - secure gains" - Consider exit if profitable
COMPACT MODE (Mobile-Friendly):
→ Reduces panel size by showing only essential info
→ Factor icons instead of full breakdowns
→ Simplified guidance messages
→ Perfect for smaller screens
SETTINGS GUIDE
MASTER SETTINGS:
Instrument Type
→ Purpose: Optimizes ATR multipliers and session weights for your asset
→ Options: Auto-Detect (recommended), Forex Major, Forex Cross, Crypto, Index, Commodity
→ Default: Auto-Detect
→ When to change: If auto-detection is incorrect for your symbol
Signal Sensitivity
→ Purpose: Controls how many factors required before generating signals
→ Options:
• Conservative: Requires 12+ for A+, 9+ for A, 7+ for B (fewer, highest quality)
• Balanced: Requires 10+ for A+, 7+ for A, 5+ for B (recommended)
• Aggressive: Requires 8+ for A+, 5+ for A, 3+ for B (more frequent)
→ Default: Balanced
→ When to change: If you want fewer signals (Conservative) or more opportunities (Aggressive)
Enable Trade Signals
→ Purpose: Master on/off switch for signal generation
→ Default: ON
→ When to disable: If you only want to use the analysis dashboards without signals
Enable Trade Tracking
→ Purpose: Tracks active trades and monitors conditions until TP/SL hit
→ Default: ON
→ When to disable: If you manage trades manually and don't want automatic tracking
Show Entry/Stop/Target Levels
→ Purpose: Displays trade plan lines and labels on chart
→ Default: ON
→ When to disable: If you prefer clean charts or manage levels yourself
DISPLAY SETTINGS:
Color Theme
→ Purpose: Optimizes colors for your chart background
→ Options: Dark (for dark charts), Light (for light charts)
→ Default: Dark
Signal Display Style
→ Purpose: Visual style of signal markers
→ Options:
• Premium: Badge with line and background panel (most detailed)
• Minimal: Simple dot with grade text (cleanest)
• Classic: Diamond marker with badge (traditional)
→ Default: Premium
Signal Distance
→ Purpose: How far signal labels appear from price bars (in ATR units)
→ Range: 0.5 to 10.0
→ Default: 2.0
→ When to adjust: Increase to 3.0-4.0 if signals hide behind candle wicks
TP/SL Label Distance
→ Purpose: Spacing of price labels to prevent overlap
→ Range: 0.5 to 5.0
→ Default: 1.5
Show Previous Day Levels
→ Purpose: Display PDH/PDL reference lines
→ Default: ON
→ Best for: Intraday traders who respect previous day levels
MAIN DASHBOARD:
Show Main Dashboard
→ Purpose: Toggle visibility of market conditions table
→ Default: ON
Main Dashboard Position
→ Options: Top Right, Top Left, Bottom Right, Bottom Left
→ Default: Top Right
→ When to change: To avoid overlap with TradingView's built-in panels
TRADE ANALYSIS PANEL:
Show Trade Analysis Panel
→ Purpose: Toggle factor analysis dashboard
→ Default: ON
Analysis Panel Position
→ Options: Top Right, Top Left, Bottom Right, Bottom Left, Middle Right, Middle Left
→ Default: Bottom Left
→ Recommended: Bottom Right or Middle Right to avoid overlap with Main Dashboard
Compact Mode
→ Purpose: Reduces panel size for mobile or smaller screens
→ Default: OFF
→ When to enable: Mobile trading, small screens, or minimalist preference
Show Factor Details
→ Purpose: Displays individual factor scores vs. overall confidence only
→ Default: ON
→ When to disable: For more compact view showing only state and confidence
RISK MANAGEMENT:
Stop Loss Method
→ Purpose: How stop loss distance is calculated
→ Options:
• Structure-Based: Uses swing highs/lows with ATR buffer (recommended)
• ATR-Based: Pure ATR multiplier with min/max constraints
• Fixed ATR: Simple multiplier, no adjustments
→ Default: Structure-Based
→ Impact: Structure-Based respects market geometry but constrains within safe limits
ATR Stop Multiplier
→ Purpose: Multiplier for ATR-based stop calculation
→ Range: 0.5 to 3.0
→ Default: 1.5
→ When to adjust:
• Increase to 2.0-2.5 for more breathing room (fewer false stops)
• Decrease to 1.0-1.2 for tighter stops (but more stop-outs)
Maximum Stop Distance (ATR)
→ Purpose: Cap on stop width to prevent excessive risk
→ Range: 1.0 to 5.0
→ Default: 2.5
→ Impact: If structure-based stop exceeds this, ATR-based stop is used instead
Minimum Stop Distance (ATR)
→ Purpose: Floor on stop width to avoid noise-induced stops
→ Range: 0.2 to 1.0
→ Default: 0.5
→ Impact: Prevents stops too tight to survive normal volatility
Target 1 Risk/Reward Ratio
→ Purpose: R:R for first profit target
→ Range: 0.5 to 2.0
→ Default: 1.0 (1:1 ratio)
→ Common values: 1.0 for quick profit taking, 1.5 for patient trading
Target 2 Risk/Reward Ratio
→ Purpose: R:R for second profit target (full win)
→ Range: 1.0 to 4.0
→ Default: 2.0 (1:2 ratio)
→ Common values: 2.0-3.0 for balanced risk/reward
Minimum R:R Required
→ Purpose: Filters out signals with poor risk/reward
→ Range: 0.5 to 2.0
→ Default: 1.0
→ Impact: Signals where potential reward doesn't meet this ratio are rejected
→ WARNING: Always ensure your position sizing means a stop loss = no more than 1-2% of your account, regardless of R:R ratio
SIGNAL FILTERS:
Session Awareness
→ Purpose: Weights signals higher during major forex sessions
→ Default: ON
→ Impact: Doesn't block signals, but session quality factors into scoring
→ Best for: Forex traders
Session Timezone
→ Purpose: Timezone for session calculations
→ Options: UTC, America/New_York, Europe/London, Asia/Tokyo, Asia/Hong_Kong
→ Default: UTC
→ When to change: Match your broker's server time
Higher Timeframe Alignment
→ Purpose: Checks HTF momentum before generating signals
→ Default: ON
→ Impact: Filters counter-trend signals, improves quality
→ Recommended: Keep enabled
HTF Timeframe
→ Purpose: Which higher timeframe to check
→ Default: Auto (blank field)
→ Auto selection:
• 1m chart → 5m HTF
• 5m chart → 15m HTF
• 15m chart → 1H HTF
• 1H chart → 4H HTF
• 4H+ chart → Daily HTF
→ Manual override: Enter any timeframe (e.g., "60" for 1-hour)
Volume Confirmation
→ Purpose: Requires above-average volume for signals
→ Default: ON
→ Impact: Filters low-liquidity false signals
→ Recommended: Keep enabled
Minimum Volume Ratio
→ Purpose: Volume threshold vs. 20-bar average
→ Range: 0.3 to 2.0
→ Default: 0.8 (80% of average)
→ When to adjust:
• Increase to 1.2-1.5 for only high-volume signals
• Decrease to 0.5-0.7 for more permissive filtering
Structure Clearance Check
→ Purpose: Ensures clear path to targets (no nearby resistance/support)
→ Default: ON
→ Impact: Prevents trades with immediate obstacles
→ Recommended: Keep enabled
Minimum Bars Between Signals
→ Purpose: Cooldown period after each signal
→ Range: 1 to 10
→ Default: 3
→ Impact: After a signal, this many bars must pass before another in same direction
→ When to adjust:
• Increase to 5-7 to prevent over-trading
• Decrease to 1-2 for faster re-entries
ADVANCED TUNING:
Momentum Period
→ Purpose: Base period for Kinetic Pulse calculation
→ Range: 5 to 30
→ Default: 14
→ When to adjust:
• Lower (8-10): More responsive, noisier
• Higher (18-21): Smoother, slower to react
→ Note: If Adaptive Period enabled, this is adjusted automatically
Adaptive Period
→ Purpose: Auto-adjusts momentum period based on volatility
→ Default: ON
→ Impact: Shortens period in high volatility, lengthens in low volatility
→ Recommended: Keep enabled for automatic optimization
Divergence Lookback
→ Purpose: How far back to search for divergence patterns
→ Range: 10 to 60
→ Default: 30
→ When to adjust:
• Shorter (15-20): Only recent divergences
• Longer (40-50): Catches older divergences (may be less relevant)
Swing Detection Bars
→ Purpose: Bars required on each side to confirm swing high/low
→ Range: 2 to 7
→ Default: 3
→ Impact on stops:
• Lower (2-3): More swing points, potentially tighter stops
• Higher (5-7): Only major swings, wider stops
Choppiness Index Threshold
→ Purpose: Threshold above which market considered choppy
→ Range: 38.2 to 80.0
→ Default: 61.8
→ Impact:
• Lower (50-55): Stricter quality filter (fewer signals in ranging markets)
• Higher (65-70): More permissive (allows signals in choppier conditions)
HOW TO READ SIGNALS
SIGNAL ANATOMY:
When a signal appears, you'll see:
1. DIRECTIONAL MARKER
→ Arrow, dot, or diamond pointing to entry candle (depends on style)
→ Positioned below price for LONG, above price for SHORT
→ Connected to price with line (Premium style)
2. GRADE BADGE
→ Displays signal quality: LONG , SHORT , etc.
→ Color coding:
• Bright green/cyan for A+ longs
• Standard green for A/B longs
• Bright pink/magenta for A+ shorts
• Standard red for A/B shorts
3. ENTRY PRICE (Premium style only)
→ Shows exact entry price at signal generation
4. TOOLTIP (all styles)
→ Hover over signal to see complete trade plan
→ Includes: Entry, Stop, TP1, TP2, Risk, R:R ratios, market conditions, signal reason, confluence score
INTERPRETING GRADES:
→ A+ SIGNALS (Highest Quality)
• 8-12+ confirming factors aligned
• Multiple divergences OR strong momentum reversal
• HTF alignment + volume + session timing + clear structure
• These are your highest-probability setups
• Recommended action: Give these priority, consider larger position size
→ A SIGNALS (High Quality)
• 5-9+ confirming factors aligned
• Good confluence, most key factors present
• Missing 1-2 optimal conditions
• These are still quality trades
• Recommended action: Standard position size, solid setups
→ B SIGNALS (Moderate Quality)
• 3-7+ confirming factors aligned
• Minimum viable confluence
• May be missing HTF alignment, volume, or session timing
• Higher variance outcomes
• Recommended action: Smaller position size or skip if conservative
SIGNAL NARRATIVE:
Each signal tooltip includes a narrative explaining WHY it was generated:
→ "Multi-divergence at oversold extreme"
• Multiple oscillators showing bullish divergence
• Kinetic Pulse in oversold zone
• High-quality reversal setup
→ "Bullish divergence near support"
• Divergence detected
• Price near key support level (swing low or PDL)
• Structure confluence
→ "Momentum reversal with HTF alignment"
• Kinetic Pulse velocity reversing
• Higher timeframe supports direction
• Strong trend-following setup
→ "Oversold momentum reversal"
• Extreme Kinetic Pulse reading reversing
• May not have divergence but strong momentum shift
READING THE TRADE PLAN:
Every signal comes with a complete trade plan:
→ ENTRY: The close price of the signal candle
• This is where the signal triggered
• If using limit orders, you might improve on this price
→ STOP: Calculated stop loss level
• Based on your Stop Loss Method setting
• Distance shown in ticks
• Risk tolerance: Ensure this represents ≤1-2% of your account
→ TP1: First profit target
• Default: 1:1 risk-reward
• This is your partial profit or first exit
• Consider taking 50% off at TP1
→ TP2: Second profit target
• Default: 1:2 risk-reward
• This is your "full win" target
• Hold remaining position for this level
SIGNAL FREQUENCY EXPECTATIONS:
Frequency varies by timeframe, sensitivity, and market conditions:
→ AGGRESSIVE MODE
• Lower timeframes (1m-5m): 5-15 signals per day
• Mid timeframes (15m-1H): 2-5 signals per day
• Higher timeframes (4H-D): 1-3 signals per week
→ BALANCED MODE (Default)
• Lower timeframes: 3-8 signals per day
• Mid timeframes: 1-3 signals per day
• Higher timeframes: 2-5 signals per week
→ CONSERVATIVE MODE
• Lower timeframes: 1-4 signals per day
• Mid timeframes: 0-2 signals per day
• Higher timeframes: 1-3 signals per week
Note: Frequency also depends on market volatility and trending vs. ranging conditions.
Example - Kinetic Scalper Trade Sequence
Here's an example showing the complete trade lifecycle with all dashboard transitions, annotations, and descriptions.
INSTRUMENT & TIMEFRAME DETAILS
Symbol: Nifty 50 Index (NSE)
Date: December 15, 2025
Session: London session (active trading hours)
Instrument Type: Index (auto-detected)
TRADE SEQUENCE BREAKDOWN
SCREENSHOT 1: Pre-Signal Setup Building (Image 1)
Time: ~12:00-14:30 UTC+5:30(approx.)
Price Action: Uptrend showing signs of exhaustion near 26,200
Market State: Price at session highs
Main Dashboard (Top Right):
- Bias: LEAN SHORT
- Pulse: 58.9 (approaching overbought)
- Volatility: NORMAL
- Trend: TRANSITIONING
- Session: LONDON (favorable timing)
- Volume: 0.98x (slightly below average)
- HTF: BULLISH (caution for counter-trend)
- Best Score: 9/5 (Short score building)
- PDH/PDL: 26098.25 / 25938.95
Trade Analysis Panel (Bottom Left):
- Status: NO ACTIVE TRADE
- Long Score: 5/5 (RDY)
- Short Score: 9/5 (RDY)
- Panel Message: "Short pattern developing - score: 9"
Description :
Setup Development Phase: The indicator identifies a potential short opportunity as price reaches the previous day's high. The short confluence score has climbed to 9/15 points, meeting the 'Balanced' sensitivity threshold for a Grade B signal. Notice the 'LEAN SHORT' bias and the Kinetic Pulse reading of 58.9 approaching overbought territory. The Trade Analysis panel shows 'Short pattern developing' with 9/5 factors aligned. Key factors: momentum approaching reversal zone, price at resistance (PDH), and London session providing favorable conditions.
SCREENSHOT 2: Signal Generated & Trade Entered (Image 2)
Time: ~13:00 UTC+5:30 (signal bar)
Entry Price: 26,184.65
Signal Grade: Grade
Main Dashboard (Top Right):
- Trade: SHORT
- Entry: 26184.65
- P/L: 5.95 pts | +0.2R (early positive movement)
- TP1: 26157.00 (33.2 pts away)
- TP2: 26129.35 (60.84 pts away)
- Stop: 26212.30 (22.1 pts away)
- Bars: 1 (just entered)
Trade Analysis Panel (Bottom Left):
- Header: TRADE ANALYSIS
- Status Bar: "Conditions mixed - improving 57%"
- Confidence: 57% RISING
- Factor Breakdown:
- Momentum: -4 (velocity not yet aligned)
- Position: +4 (slight profit)
- Volume: +2 = (volume present)
- HTF Align: +2 = (not strongly aligned)
- Target: +0 - (far from TP)
- Stop Dist: +3 - (good distance)
- Bottom Status: "Conditions mixed - Monitoring"
- Disclaimer: "Analysis only - Not financial advice"
Description:
Signal Activation: A Grade A short signal triggers at 26,184.65 after the short confluence score reached qualifying levels. The indicator places a structure-based stop loss at 26,212.30 (27.65 points risk) with dual targets at 1:1 and 1:2 risk-reward ratios.
The Trade Analysis Panel immediately begins monitoring with an initial confidence score of 57% - classified as 'MIXED SIGNALS' but showing a 'RISING' trend. Factor analysis reveals: momentum not yet aligned (-4 points as price just reversed), position slightly favorable (+4 points already +0.2R), volume adequate (+2), HTF showing weak alignment (+2 as we're counter-trend), stop well-placed (+3), but targets still distant (0 points).
Notice how the Main Dashboard switches from market scanning mode to active trade tracking, now displaying entry price, live P/L in both points (5.95 pts) and R-multiples (+0.2R), and distances to all key levels. The analysis panel provides real-time factor scoring to help monitor trade health.
SCREENSHOT 3: TP1 Hit - Trade Performing Well (Image 3)
Time: ~14:20 UTC+5:30(approx)
Price: ~26,154 (TP1 zone)
Bars in Trade: 29
Main Dashboard (Top Right):
- Trade: SHORT
- Entry: 26184.65
- P/L: 30.85 pts | +1.12R (excellent progress)
- TP1: HIT (displayed in green)
- TP2: 26129.35 (24.44 pts away)
- Stop: 26212.30 (58.5 pts away - well protected)
- Bars: 29
Trade Analysis Panel (Bottom Left):
- Header: TRADE ANALYSIS
- Status Bar: "Multiple factors positive"
- Confidence: 78% RISING
- Factor Breakdown:
- Momentum: +8 = (ALIGNED)
- Position: +8 + (strong profit zone)
- Volume: +2 + (continued support)
- HTF Align: +8 = (now strongly aligned)
- Target: +10 + (TP1 achieved, approaching TP2)
- Stop Dist: +3 + (excellent cushion)
- Bottom Status: "Multiple factors positive"
- Visual State: Green background (FACTORS ALIGNED state)
Description:
Trade Execution Phase - First Target Achieved: After 29 bars , price reaches the first take-profit target at 26,157.00. The ' ' marker confirms partial profit taking. Current P/L shows +30.85 points (+1.12R), exceeding the initial 1:1 risk-reward.
The Trade Analysis Panel shows dramatic improvement - confidence has surged to 78% (FACTORS ALIGNED state) with most factors now positive:
- Momentum factor improved to +8 (velocity aligned with trade direction)
- Position factor at +8 (over +1R profit zone)
- HTF Align jumped to +8 (higher timeframe now confirming the move)
- Target factor maxed at +10 (TP1 achieved, TP2 within reach)
- Stop Distance at +3 (58.5 points cushion providing safety)
Notice the panel status displays 'Multiple factors positive' with a green-tinted background, indicating optimal trade conditions. The confidence trend shows 'RISING' suggesting continued momentum. With TP1 secured and only 24.44 points to TP2, the trade is well-positioned for a full 1:2R win.
SCREENSHOT 4: TP2 Reached - Trade Complete (Image 4)
Time: ~15:00+ UTC+5:30
Final Exit: 26,129.35 (TP2)
Final Result: Full TP2 win
Main Dashboard (Top Right):
- Bias: NEUTRAL (reverted to scanning mode)
- Pulse: 45.2 (returned to neutral zone)
- Volatility: NORMAL
- Trend: TREND DOWN (confirmed the move)
- Session: LONDON
- Volume: 1.26x (increased as move developed)
- HTF: BEARISH (fully aligned post-trade)
- Best Score: 5/5 (neutral after completion)
Trade Analysis Panel (Bottom Left):
- Status: NO ACTIVE TRADE (reverted)
- Long Score: 5/5 (RDY)
- Short Score: 5/5 (RDY)
- Panel Message: "Scanning - prime session active"
- Light blue/cyan background (back to scanning mode)
Description:
Trade Completion - Full Target Achieved: The short trade reaches its second take-profit target at 26,129.35, securing a complete 1:2 risk-reward win. The ' ' marker confirms the exit. Final results:
- Entry: 26,184.65
- Exit: 26,129.35
- Profit: 55.30 points (approximately +2.0R)
- Outcome: Full TP2 success
Post-Trade Analysis: After trade closure, the indicator automatically returns to market scanning mode. The Main Dashboard reverts to showing market conditions rather than trade metrics. Notice how the 'Trend' now displays 'TREND DOWN' - confirming the move we captured. Volume increased to 1.26x during the winning move, validating the signal quality.
The Trade Analysis Panel switches back to 'NO ACTIVE TRADE' status and resumes displaying long/short setup scores. The confidence-based factor monitoring was instrumental throughout the trade:
- Initial entry at 57% confidence (MIXED SIGNALS)
- Peak confidence of 78% at TP1 (FACTORS ALIGNED)
- Real-time factor updates helped confirm trade validity
This example demonstrates the indicator's complete workflow: setup identification → signal generation → entry execution → live trade monitoring → systematic exit at targets.
KEY FEATURES DEMONSTRATED
1. Dual Dashboard System
- Main Dashboard: Market conditions (scanning) → Trade metrics (active position)
- Analysis Panel: Setup scores (scanning) → Factor-based confidence (in-trade)
2. Visual Trade Management
- Color-coded entry zones (yellow)
- Risk levels clearly marked (red dashed stop)
- Profit targets with R:R ratios labeled
- Achievement markers ( , )
3. Real-Time Factor Analysis
- 6-factor scoring system (Momentum, Position, Volume, HTF, Target, Stop Dist)
- Confidence percentage with trend indicators
- State machine (MIXED → FACTORS ALIGNED)
- Hysteresis prevents false state changes
4. Risk Management
- Structure-based stop placement (respects swing highs)
- Multiple take-profit levels (1:1 and 1:2 R:R)
- Live P/L tracking in points and R-multiples
- Distance monitoring to all key levels
This complete example showcases the indicator's progression from setup identification through trade completion, demonstrating how the dual-dashboard system and factor-based analysis provide continuous trade guidance. The structured stop-loss and dual-target approach delivered the planned 1:2 risk-reward ratio with systematic, rule-based execution.
ALERT SYSTEM
The indicator includes 9 built-in alert conditions:
SIGNAL ALERTS:
→ High-Grade Long Signal (A+)
• Triggers only on A+ long signals
• For traders who want only the highest-quality longs
• Message: "KINETIC SCALPER: LONG @ "
→ High-Grade Short Signal (A+)
• Triggers only on A+ short signals
• For traders who want only the highest-quality shorts
• Message: "KINETIC SCALPER: SHORT @ "
→ Long Signal
• Triggers on ANY qualified long signal (A+, A, or B)
• For traders who want all long opportunities
• Message: "KINETIC SCALPER: LONG @ "
→ Short Signal
• Triggers on ANY qualified short signal
• For traders who want all short opportunities
• Message: "KINETIC SCALPER: SHORT @ "
TRADE MANAGEMENT ALERTS:
→ TP1 Hit
• Triggers when first profit target is reached
• Useful for partial profit taking notifications
• Message: "KINETIC SCALPER: TP1 REACHED"
→ TP2 Reached
• Triggers when second profit target is reached
• Trade is complete, full win achieved
• Message: "KINETIC SCALPER: TP2 REACHED"
→ Stop Loss Hit
• Triggers when stop loss is reached
• Important for trade management and risk tracking
• Message: "KINETIC SCALPER: STOP LOSS"
ANALYSIS STATE ALERTS:
→ Analysis State: Negative Bias
• Triggers when factor analysis enters "Negative Bias" state
• Warning that trade conditions are deteriorating
• Consider reducing position or preparing to exit
• Message: "KINETIC SCALPER: Analysis state changed to NEGATIVE BIAS"
→ Analysis State: Factors Weakening
• Triggers when factor analysis enters "Factors Weakening" state
• Caution that confluence is diminishing
• Monitor trade closely
• Message: "KINETIC SCALPER: Analysis state changed to FACTORS WEAKENING"
HOW TO SET UP ALERTS:
1. Click the "Create Alert" button in TradingView
2. Condition: Select "Kinetic Scalper "
3. Choose your desired alert from the dropdown
4. Configure your alert options:
→ Once Per Bar Close (recommended for non-repainting)
→ Frequency: Once Per Bar Close or Only Once
5. Set expiration and notification methods (popup, email, webhook, etc.)
6. Create alert
RECOMMENDED ALERT STRATEGY:
For active traders:
→ Set "Long Signal" and "Short Signal" alerts for all opportunities
→ Set "TP1 Hit", "TP2 Reached", and "Stop Loss Hit" for trade management
→ Consider "Analysis State: Negative Bias" for trade monitoring
For selective traders:
→ Set only "High-Grade Long Signal (A+)" and "High-Grade Short Signal (A+)"
→ Focus on the absolute highest-quality setups
→ Set TP/SL alerts for position management
USAGE TIPS & BEST PRACTICES
SIGNAL SELECTION:
✓ GRADE MATTERS
→ A+ signals have statistically more confluence factors
→ If you're conservative, trade only A+ signals
→ B signals can work but require more discretion
✓ CONFLUENCE WITH YOUR ANALYSIS
→ Use this indicator as CONFIRMATION, not sole decision criteria
→ Combine with your own support/resistance analysis
→ Check for fundamental events (news, economic data)
→ Respect major round numbers and psychological levels
✓ SESSION TIMING (Forex)
→ Best signals often occur during London/NY overlap
→ Avoid signals 10 minutes before major news releases
→ Asian session signals can be valid but lower liquidity
✓ TIMEFRAME CONFLUENCE
→ If you get an A+ signal on 15m, check if 1H chart agrees
→ Higher timeframe confirmation adds conviction
→ Avoid signals that oppose the daily/4H trend
TRADE MANAGEMENT:
✓ POSITION SIZING
→ ALWAYS size positions so stop loss = 1-2% of account
→ Never risk more than you can afford to lose
→ Smaller position on B signals, standard on A, larger on A+ (within limits)
✓ PARTIAL PROFIT TAKING
→ Consider taking 50% off at TP1
→ Move stop to breakeven after TP1 hit
→ Let remaining position run to TP2
✓ TRAILING STOPS
→ The indicator doesn't auto-trail stops (manual decision)
→ After TP1, you might manually move stop to entry (breakeven)
→ Consider ATR-based trailing stop for runners
✓ WATCH THE ANALYSIS PANEL
→ If state changes to "Factors Weakening" while in profit, consider exit
→ "Negative Bias" during a trade is a strong warning
→ "Factors Aligned" confirms your trade thesis is still valid
RISK MANAGEMENT:
✓ NEVER IGNORE STOPS
→ The calculated stop is there for a reason
→ Moving stop further away increases risk exponentially
→ If stopped out, accept it and wait for next setup
✓ AVOID REVENGE TRADING
→ If you get stopped out, resist urge to immediately re-enter
→ Signal cooldown helps with this
→ Wait for next qualified signal
✓ RESPECT VOLATILITY WARNINGS
→ If indicator shows "EXTREME" volatility, signals are blocked for a reason
→ Don't force trades in chaotic conditions
→ Wait for regime to normalize
✓ CORRELATION RISK
→ Be aware of correlation if trading multiple pairs
→ EUR/USD and GBP/USD are highly correlated
→ Don't stack risk on correlated instruments
OPTIMIZATION:
✓ START WITH DEFAULTS
→ Default settings are well-tested
→ Don't over-optimize for recent market behavior
→ Give settings at least 20-30 trades before judging
✓ TIMEFRAME-SPECIFIC ADJUSTMENTS
→ Lower timeframes: Consider increasing Signal Distance to 3.0-4.0
→ Higher timeframes: ATR Stop Multiplier might go to 2.0-2.5
→ Crypto: Ensure Instrument Type is set to "Crypto" for proper stops
✓ SENSITIVITY CALIBRATION
→ Too many signals? Switch to Conservative
→ Missing good setups? Try Balanced or Aggressive
→ Quality > Quantity always
✓ KEEP A JOURNAL
→ Track which signal grades work best for you
→ Note which sessions produce best results
→ Review stopped trades for patterns
THINGS TO AVOID:
✗ DON'T chase signals after several bars have passed
✗ DON'T ignore the stop loss or move it further away
✗ DON'T overtrade by taking every B-grade signal
✗ DON'T trade during major news if you're not experienced
✗ DON'T use this as your only analysis tool
✗ DON'T expect 100% win rate (no indicator has this)
✗ DON'T risk more than 1-2% per trade regardless of signal grade
UNDERSTANDING THE METHODOLOGY
WHY VOLUME WEIGHTING?
Traditional momentum oscillators treat all price moves equally. A 10-point move on low volume is weighted the same as a 10-point move on high volume.
The Kinetic Pulse corrects this by:
→ Calculating volume ratio vs. 20-bar average
→ Applying square root transformation to volume ratio (prevents extreme weights)
→ Multiplying price changes by volume weight
→ Result: High-volume moves influence the oscillator more than low-volume noise
This helps filter false breakouts and emphasizes moves with participation.
WHY FISHER TRANSFORM?
Fisher Transform is a mathematical transformation that:
→ Normalizes probability distributions
→ Creates sharper turning points
→ Amplifies extremes while compressing the middle
→ Makes overbought/oversold levels more distinct
Applied to the Kinetic Pulse, it helps identify genuine extremes vs. noise.
WHY MULTI-OSCILLATOR DIVERGENCE?
Single-source divergence can give false signals. By requiring divergence confirmation across multiple oscillators (Kinetic Pulse, CCI, Stochastic), the system filters out:
→ Divergences caused by calculation quirks in one oscillator
→ Temporary momentum anomalies
→ False divergence on noisy, low-timeframe charts
Multiple sources confirming the same pattern increases reliability.
WHY ADAPTIVE PERIODS?
Fixed periods can be:
→ Too slow during high volatility (miss fast reversals)
→ Too fast during low volatility (generate noise)
The adaptive system:
→ Shortens period when ATR ratio > 1.3 (high volatility = need faster response)
→ Lengthens period when ATR ratio < 0.7 (low volatility = need noise filtering)
→ Keeps period in reasonable range (60% to 140% of base period)
→ Result: Oscillator adjusts to current market pace automatically
WHY HYSTERESIS IN STATE MACHINE?
Without hysteresis, the analysis state would flip-flop on every bar, creating:
→ Confusing, contradictory guidance
→ Analysis paralysis
→ Lack of actionable information
Hysteresis solves this by:
→ Using different thresholds to ENTER vs. EXIT a state
→ Example: Enter "Factors Aligned" at 72+ confidence, but don't exit until <62
→ This creates stable states that persist through minor fluctuations
→ Requires minimum commitment period (3 bars) before state changes
→ Overrides commitment for significant events (near TP/SL)
→ Result: Stable, trustworthy analysis that changes only when truly warranted
WHY CONFIDENCE SMOOTHING?
Raw factor scores fluctuate bar-by-bar based on momentary conditions. Smoothing:
→ Uses 5-period EMA on raw confidence scores
→ Filters out single-bar anomalies
→ Preserves genuine trends in confidence
→ Prevents false state transitions
→ Result: More reliable assessment of actual trade health
WHY INSTRUMENT-SPECIFIC PARAMETERS?
Different instruments have different characteristics:
→ Forex is highly liquid, respects technical levels well, standard ATR works
→ Crypto is extremely volatile, needs wider stops (1.8x) to avoid false stops
→ Indices respect session opens strongly, session weighting is important
→ Commodities fall in between
Auto-detection applies research-based multipliers automatically.
WHY STRUCTURE-BASED STOPS?
ATR-based stops can:
→ Place stop in middle of consolidation (easily hit)
→ Ignore obvious invalidation levels
→ Be too tight during expansion or too wide during contraction
Structure-based stops:
→ Use actual swing highs/lows (where traders actually place stops)
→ Add small ATR buffer to avoid stop hunting
→ Constrain within min/max ATR limits for safety
→ Result: Stops that respect market geometry while managing risk
DISCLAIMER & RISK WARNING
READ THIS CAREFULLY BEFORE USING THIS INDICATOR
This indicator is provided for EDUCATIONAL and INFORMATIONAL purposes only.
❌ NOT FINANCIAL ADVICE
This indicator does NOT constitute financial advice, investment recommendations, or solicitation to buy or sell any financial instrument. All information is for educational purposes only.
❌ NO GUARANTEES
→ Past performance does NOT guarantee future results
→ No indicator can predict future price movements with certainty
→ Signal grades represent confluence, NOT win probability
→ A+ signals can lose, B signals can win - markets are probabilistic
❌ SUBSTANTIAL RISK
Trading financial instruments involves SUBSTANTIAL RISK of loss:
→ You can lose your entire investment
→ Leveraged trading amplifies both gains AND losses
→ Never trade with money you cannot afford to lose
→ Never risk more than 1-2% of your account per trade
❌ YOUR RESPONSIBILITY
→ All trading decisions are YOUR responsibility
→ You must conduct your own analysis before entering trades
→ Consult a licensed financial advisor before trading
→ Understand the risks specific to your jurisdiction and situation
→ Only trade with capital you can afford to lose completely
❌ NO HOLY GRAIL
→ This indicator is a TOOL, not a complete trading system
→ It should be used as part of a broader analysis framework
→ Combine with your own technical analysis, risk management, and judgment
→ No indicator works 100% of the time in all market conditions
❌ ANALYSIS PANEL DISCLAIMER
The "Trade Analysis Panel" provides ALGORITHMIC ANALYSIS of market factors.
→ It does NOT provide investment advice or recommendations
→ Factor scores are mathematical calculations, not predictions
→ Guidance messages are informational, not directives
→ All trading decisions remain your responsibility
❌ BACKTESTING LIMITATIONS
→ This is an indicator, not a strategy, so no backtesting results are provided
→ Any backtesting you perform includes hindsight bias and optimization bias
→ Historical performance does not indicate future performance
→ Slippage, commissions, and real-world execution differ from backtests
❌ MARKET CONDITIONS
→ This indicator performs differently in trending vs. ranging markets
→ Extreme volatility can produce false signals or whipsaws
→ Low liquidity periods increase execution risk
→ Major news events can invalidate technical analysis
BY USING THIS INDICATOR, YOU ACKNOWLEDGE:
→ You have read and understood this disclaimer
→ You accept full responsibility for your trading decisions
→ You understand the substantial risks involved in trading
→ You will not hold the author liable for any losses incurred
→ You are using this tool as part of your own due diligence process
KEY FEATURES SUMMARY
✅ Volume-Weighted Kinetic Pulse Engine (proprietary momentum calculation)
✅ 15-Factor Confluence Scoring System (graded signals: A+, A, B)
✅ Multi-Oscillator Divergence Detection (Pulse + CCI + Stochastic)
✅ Higher Timeframe Trend Alignment Filter
✅ Adaptive Period Adjustment (volatility-responsive)
✅ Instrument-Aware Calibration (Forex, Crypto, Indices, Commodities)
✅ Structure-Based Stop Loss Calculation (respects swing highs/lows)
✅ Automated Trade Tracking (entry, stop, TP1, TP2, P/L)
✅ Real-Time Factor Analysis State Machine (5-state system with hysteresis)
✅ Session Awareness (Asian, London, New York, Overlap)
✅ Volatility Regime Detection (blocks signals in extreme conditions)
✅ Choppiness Filter (reduces signals in ranging markets)
✅ Volume Confirmation (relative volume and delta analysis)
✅ Clean Air Check (validates clear path to targets)
✅ Comprehensive Dashboards (market conditions + trade analysis)
✅ Customizable Display (3 signal styles, color themes, positioning)
✅ 9 Built-In Alert Conditions (signals, TP/SL hits, state changes)
✅ Fully Non-Repainting (barstate.isconfirmed, lookahead_off)
✅ Previous Day Levels (PDH/PDL reference lines)
✅ Mobile-Friendly Compact Mode (for smaller screens)
TECHNICAL SPECIFICATIONS
→ Pine Script Version: v6
→ Indicator Type: Overlay (displays on price chart)
→ License: Mozilla Public License 2.0
→ Copyright: BULLBYTE
→ Object Limits: 300 labels, 100 lines, 50 boxes
→ Memory Management: Automatic cleanup system (FIFO queue)
→ Repainting: Non-repainting (signals confirmed on bar close)
→ Timeframe Support: All timeframes (1s to Monthly)
→ Instrument Support: Forex, Crypto, Indices, Commodities, Stocks
→ HTF Data Handling: lookahead_off with historical offset
VERSION HISTORY
v1.0 - Initial Release
→ Kinetic Pulse engine with volume weighting and Fisher Transform
→ 15-factor confluence scoring system
→ Trade analysis state machine with hysteresis
→ Automated trade tracking and monitoring
→ Dual dashboard system (market conditions + factor analysis)
→ 9 alert conditions
→ 3 signal display styles
→ Instrument-aware calibration
→ Full risk management framework
WHO IS THIS INDICATOR FOR?
IDEAL FOR:
✓ Scalpers and day traders seeking high-confluence reversal entries
✓ Swing traders who want quality over quantity
✓ Traders who appreciate systematic, rules-based analysis
✓ Multi-timeframe traders who value HTF confirmation
✓ Forex traders who respect session timing
✓ Crypto traders needing volatility-adjusted parameters
✓ Traders who want complete trade management (entry, stop, targets)
✓ Analytical traders who want transparency in signal generation
NOT IDEAL FOR:
✗ Traders seeking a "set and forget" holy grail system
✗ Traders who don't want to learn the methodology
✗ Traders unwilling to accept losing trades as part of the process
✗ Traders who need constant signals (this is a quality-focused system)
✗ Traders who ignore risk management
FINAL THOUGHTS
The Kinetic Scalper is the result of extensive research into momentum behavior, volume confirmation, and multi-factor confluence analysis. It's designed to identify high-probability reversal setups while maintaining strict risk management and providing complete transparency.
This is NOT a magic solution. It's a sophisticated TOOL that requires:
→ Understanding of the methodology
→ Proper risk management discipline
→ Patience to wait for quality setups
→ Willingness to accept losses as part of trading
→ Integration with your own analysis and judgment
Used properly as part of a complete trading plan, the Kinetic Scalper can help you identify high-confluence opportunities and manage trades systematically.
Remember: Quality over quantity. Discipline over emotion. Risk management over everything.
Trade smart. Trade safe.
© 2025 BULLBYTE | Kinetic Scalper v1.0 | For Educational Purposes Only
Reversal Signal by Vahid.jafarzadehReversal Signal by Vahid.j is a technical analysis tool designed to identify potential market turning points using a combination of Donchian channels, Fibonacci levels, and multi-oscillator divergences. This indicator calculates dynamic support and resistance levels based on recent highs and lows, applies key Fibonacci retracement zones, and evaluates divergences across multiple oscillators including RSI, MACD, Momentum, CCI, OBV, Stochastic, DI Oscillator, VWMA, CMF, and MFI.
Signals are displayed as bull 🐂 and bear 🐻 icons on the chart to indicate potential buy and sell zones. The indicator also tracks the cumulative divergence count, offering a quantitative perspective of market strength and trend reversal probability.
Alerts can be set for both bullish and bearish signals, enabling timely entries and exits based on divergence and Donchian-Fibonacci confluence.
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فارسی :
سیگنال بازگشت توسط Vahid.j یک ابزار تحلیل تکنیکال است که برای شناسایی نقاط احتمالی تغییر جهت بازار طراحی شده و از ترکیبی از کانالهای دونچیان، سطوح فیبوناچی و واگرایی چند نوسانگر استفاده میکند. این اندیکاتور سطوح حمایت و مقاومت پویا را بر اساس بالاترین و پایینترین قیمتهای اخیر محاسبه کرده، سطوح کلیدی فیبوناچی را اعمال میکند و واگراییها را در چندین نوسانگر شامل RSI، MACD، مومنتوم، CCI، OBV، استوکاستیک، DI اسیلاتور، VWMA، CMF و MFI ارزیابی میکند.
سیگنالها به صورت آیکون گاو 🐂 و خرس 🐻 روی چارت نمایش داده میشوند تا مناطق خرید و فروش احتمالی را نشان دهند. همچنین این اندیکاتور تعداد واگراییهای تجمعی را ردیابی میکند و دید کمی نسبت به قدرت بازار و احتمال بازگشت روند ارائه میدهد.
امکان فعالسازی آلارم برای سیگنالهای صعودی و نزولی وجود دارد تا بر اساس همگرایی واگرایی و سطوح دونچیان-فیبوناچی، ورود و خروجهای به موقع انجام شود
AlphaSignals Pro🟠OVERVIEW
AlphaSignals Pro™ is a comprehensive trading indicator suite developed by A1TradingHub. The
system combines trend analysis, momentum indicators, and proprietary signal algorithms to identify
high-probability trading opportunities across all market conditions and timeframes.
Core Components
■ Long/Short Signals — Clear entry markers based on trend reversals and momentum shifts
■ Golden Call/Put — Premium signals for high-conviction directional trades
■ Support & Resistance — Dynamic price zones with visual highlighting
■ Moving Averages — Trend direction with color-coded crossover signals
■ Keltner Channels — Volatility bands for breakout and mean-reversion setups
■ Signal Dashboard — Multi-symbol overview with trend and momentum status
🟠Long & Short Entry Signals
The core signal system identifies optimal entry points by analyzing price action, momentum, and
trend structure. LONG signals appear at potential reversal points for upward moves, while SHORT
signals indicate bearish opportunities at resistance.
◆ Green 'LONG' labels mark buy zones at support levels
◆ Red 'SHORT' labels indicate sell zones at resistance
◆ Momentum confirmation filters out false signals
◆ Works across all timeframes (1min to daily)
🟠Trend Direction Arrows
Small directional arrows provide real-time trend feedback. ▲ Green arrows confirm bullish
momentum, ▼ red arrows signal bearish pressure. These micro-signals help traders stay aligned with
the dominant trend.
◆ Green up arrows during bullish momentum phases
◆ Red down arrows indicate bearish momentum shifts
◆ Confirms entry signals and aids trade management
◆ Minimalist design preserves chart clarity
🟠 Golden Put Signal
The Golden Put identifies high-probability short opportunities. Triggers when multiple bearish factors
align: price rejection at resistance, momentum divergence, and volume confirmation. These premium
signals represent the highest-conviction bearish trades.
◆ Triggered at major resistance with momentum divergence
◆ Red 'GOLDEN PUT' label marks premium short entries
◆ Designed for options traders seeking directional plays
◆ Lower frequency, higher accuracy than standard signals
🟠 Golden Call Signal
The Golden Call is the bullish counterpart, identifying premium long opportunities. Appears when
price finds strong support with bullish momentum divergence and institutional volume patterns. Marks
optimal entry points for aggressive upside plays.
◆ Yellow 'GOLDEN CALL' highlights premium buy setups
◆ Triggers at key support with momentum confirmation
◆ Ideal for call options or leveraged positions
◆ Signals typically precede significant advances
🟠 Moving Average System
The dual moving average system provides trend context and dynamic support/resistance. The red
line is the fast MA (shorter period), the green line is the slow MA. Color transitions indicate trend
changes and crossover signals.
◆ Red MA: Fast period for short-term direction
◆ Green MA: Slow period for primary trend
◆ Bullish crossover: Fast crosses above slow
◆ Bearish crossover: Fast crosses below slow
◆ MAs act as dynamic support/resistance
🟠 Keltner Channel Bands
Volatility-based price envelopes that adapt to market conditions. Bands expand during high volatility,
contract during consolidation. Price at outer bands signals mean-reversion opportunities; breakouts
beyond bands may indicate trend continuation.
◆ Upper/lower bands adapt to current volatility
◆ Pink outer bands mark extreme price zones
◆ Cyan middle band shows baseline trend
◆ Band touches signal reversal or breakout setups
◆ Shaded fill visualizes the volatility range
🟠 Support & Resistance Zones
Automatic detection of key price levels with visual highlighting. Green zones mark support where
buying pressure emerges, red zones highlight resistance with selling pressure. Dashed lines show
precise price levels.
◆ Green shaded areas: Support zones (buy interest)
◆ Red shaded areas: Resistance zones (sell interest)
◆ Horizontal dashed lines mark exact levels
◆ Zones update dynamically as new levels form
◆ Essential for targets and stop-loss placement
🟠 Golden Signal Dashboard
Multi-symbol dashboard provides comprehensive market overview. Track multiple instruments with
real-time trend status, momentum readings, active signals, and freshness indicators. Perfect for
scanning opportunities across your watchlist.
◆ SYMBOL: Tracked instruments (SPY, QQQ, IWM, TSLA)
◆ PRICE & CHG%: Current price and daily change
◆ MOMENTUM: Bullish/Bearish classification
◆ SIGNAL: Active Golden Call or Put signals
◆ BARS: Bars since last signal
◆ STATUS: Signal temperature (HOT/WARM/COLD)
🟠 Best Practices
✓ Confirm signals with dominant trend (use MAs)
✓ Prioritize Golden signals — higher probability
✓ Use S/R zones for stop-loss placement
✓ Check dashboard for multi-timeframe confluence
✓ Combine with your own analysis
Trend Fusion Indicator🎯 Trend Fusion Indicator🎯
Professional trading indicator combining EMA momentum with Supertrend volatility for high-probability signals.
📊KEY FEATURES:
• 9 EMA & Supertrend (10,3) crossover signals
• Visual trend direction with colored fills
• Buy/Sell arrows at crossover points
• Real-time trend tracking
• Clean, professional interface
⚡SIGNAL LOGIC:
✅ BUY: When EMA crosses ABOVE Supertrend
✅ SELL: When EMA crosses BELOW Supertrend
🎨VISUAL INDICATORS:
• Green Zone/Fill: Bullish trend (EMA > Supertrend)
• Red Zone/Fill: Bearish trend (EMA < Supertrend)
• Triangle Arrows: Entry signals
• Background Colors: Trend confirmation
⚙️CUSTOMIZABLE SETTINGS:
• EMA Length (Default: 9)
• Supertrend ATR Length (Default: 10)
• Supertrend Factor (Default: 3.0)
🔔ALERTS INCLUDED:
• Buy Alert: EMA crosses above Supertrend
• Sell Alert: EMA crosses below Supertrend
📈 BEST FOR:
• Swing Trading
• Day Trading
• Trend Following
• Market Reversals
⚠️ DISCLAIMER: This indicator is for educational purposes only.
Trading involves risk. Not financial advice. Use at your own risk.
POWER INDICATOR PREMIUM WITH MANY FUNCTIONS BY OeZkAn
👑 POWER INDICATOR PRO PREMIUM V24: Predictive Intelligence Meets Precision ExecutionThe POWER INDICATOR PRO PREMIUM V24 is the pinnacle of algorithmic trading intelligence. This system transcends traditional indicators by utilizing a sophisticated framework of advanced mathematical equations to predict the impending trend direction before the market moves. It combines Smart Money Concepts (SMC), Multi-Timeframe (MTF) convergence, and Dynamic Risk Management to deliver unparalleled clarity and execution confidence.If you seek a trading partner that provides leading, predictive signals and high-probability entries, this system is your definitive solution.
🧠 The Core Element: Predictive Market Context & Directional ForecastThe foundational strength of the POWER INDICATOR is its ability to forecast the market's bias through advanced quantification:
🚀 Directional Pre-Cognition (LRC & Mathematical Models):The system utilizes the Linear Regression Curve (LRC) and proprietary statistical models as its core mathematical engine. This process extrapolates the probable trend path and generates a Directional Forecast for the coming bars, enabling you to anticipate moves rather than react to them. This forecast serves as the ultimate bias filter.
🧠 The Convictional Filter: Quantifying Probability ($60\%$ Confidence):This filter is our proprietary Probability Brain. It eliminates market noise by forcing convergence across multiple high-level factors (MTF agreement, Momentum, SMC levels).High-Conviction Threshold: Independent analysis confirms that the Conviction Filter provides an exceptionally high win rate and signal quality starting at just $60\%$. Setting your threshold at this level ensures you only consider trades where the predictive mathematical components are in strong alignment.
🌊 FVG & GP Predictive Zones:The system automatically identifies and projects critical Fair Value Gaps (FVG/LSOB) and the Golden Pocket (GP) Re-Test Zone. These zones are algorithmically identified as high-probability targets for pullbacks and reversals, providing a clear map of where liquidity will be sought.
💡 The Convictional Trading Workflow: A 3-Step Guide to ExecutionContext Check: Confirm the LRC Directional Forecast aligns with your trade and the Conviction Score Meter is above your desired threshold (minimum $60\%$).Optimal Entry: Wait for the signal to trigger at a high-R:R entry point (GP, FVG, or Aggressive Impulse), guided by your chosen trading mode.Dynamic Management: Let the system handle risk, utilizing Structural SL and automatic Multi-Method Trailing Stops post-TP1.
🎯 Mode Selection: Matching Strategy to MarketThe indicator's power lies in its Modularity. Selecting the correct mode is crucial for optimizing your results.Trading StyleRecommended ModesPrimary Rationale & Entry LogicHigh-Frequency ScalpingCT Scalp-OnlyDesigned for counter-trend entries in a pullback towards the Golden Pocket (GP). Uses tighter SL/TP multipliers for quick profit-taking. (Fast, high-R:R)ATR Channel Scalp (ACS)Utilizes volatility channels (ATR bands) for quick mean-reversion trades when price overextends.Strategic Day Trading / Swing TradingUltimate Fusion Mode (UFM)The highest probability mode. Best for catching major shifts confirmed by SMC (LRC, GP, FVG, MSS). Waits for a deep, high-R:R Re-Test Entry.Haupttrend & Scalp (Kombi)Excellent general-purpose mode. Focuses on trend continuation but allows for high-R:R pullback entries at key levels (GP/FVG). (Balanced)FVG Mitigation Entry (FME)Ideal for SMC traders. Waits for the price to precisely re-test and mitigate an unmitigated Fair Value Gap (FVG) or Liquidity Sweep (LSOB) zone before entry.Breakout & Momentum TradingBand Breakout-OnlyTriggers an entry only when price decisively breaks outside the SMA Volatility Bands (configurable). Filtered by momentum requirements.Dynamic Range Expansion (DRE)Specifically detects low-volatility consolidation before an anticipated high-momentum expansion phase.
🔔 The Master Alert System: Your Execution EdgeThe powerful Alert functionality ensures you can monitor multiple assets and timeframes without being glued to the screen.1.
✅ Dynamic MASTER ALARM (Compact Text)The core alert uses a compact, dynamic JSON/text message that contains all necessary information for quick execution:Action: BUY / SELLMode Used: Conviction Score: Key Level: 2. LRC/GP Combo-Alert (High-R:R)This is the most valuable alert for strategic traders. It triggers only when the LRC direction is confirmed and the price enters the Golden Pocket (GP) Re-Test Zone, indicating an optimal high-R:R pullback opportunity.Final Note: To maximize the predictive power, ensure the useConvictionFilter is set to a minimum of $60\%$ and the useStructureSL is activated to protect your capital with intelligent stop placement.Stop reacting. Start predicting. Activate the POWER INDICATOR PRO PREMIUM V24 and lead the market today!
⚠️ IMPORTANT NOTICE: Full Version vs. Public Release
This current version, the POWER INDICATOR PRO PREMIUM V24 (Full Feature Test Release), is publicly available only for demonstration and testing purposes to showcase the system's full potential (including all 12 Dynamic Modes and the advanced Convictional Filter).
A slightly streamlined Public Version will remain permanently free and accessible to the community. However, the Full Premium Version—featuring the complete 12-Mode selection, all predictive functionalities, and crucial additions such as enhanced, precise Entry/Exit Labels and Dynamic Stop Loss/Take Profit Labels directly calculated by the algorithm—will soon be available exclusively for subscribers.
Test the power now and be ready for the subscription launch!
Vega Convexity Engine [PRO]ENGINEERED ASYMMETRY.
This is the flagship Stage 2 Specialist Model of the Vega Crypto Strategies ecosystem.
While the free "Regime Filter" tells you when to trade (filtering out chop), the Convexity Engine tells you how to trade. It activates only when the Regime Filter confirms an Impulse, classifying the specific vector of the market move to maximize risk-adjusted returns.
PRO FEATURES
This script visualizes the output of our Hierarchical Machine Learning Engine:
🚀 Directional Classification:
It does not just say "Buy." It classifies volatility into 4 distinct probability classes:
- EXPLOSION: High-confidence, high-velocity upside (Fat-Tail).
- RALLY: Standard trend continuation.
- PULLBACK: Short-term correction opportunity.
- CRASH: High-confidence downside (Long Squeeze Detection).
🛡️ Dynamic Risk Engine (Intraday Stops):
The "+" markers on your chart represent the Vega Institutional Stop Loss . These levels dynamically adjust based on Average True Range (ATR) and Volatility Z-Scores.
Strategy: If price breaches the "+" marker, the hypothesis is invalidated. Exit immediately.
📊 Institutional HUD:
A professional heads-up display showing the current Regime, Vector, and Risk Deployment status in real-time.
THE PHILOSOPHY
"Convexity" means limited downside with unlimited upside. By combining the Regime Filter (sitting in cash during noise) with Dynamic Stops (cutting losers fast), this engine is designed to capture the "fat tails" of the crypto market distribution.
🔒 HOW TO GET ACCESS
This is an Invite-Only script. It is strictly for members of Vega Crypto Strategies .
To unlock access, please visit the link in the Author Profile below or check our signature. Once subscribed via Whop, your TradingView username will be automatically authorized instantly.
Disclaimer: This tool is for educational purposes only. Past performance is not indicative of future results. Trading cryptocurrencies involves significant risk.
Filtered TEMA CrossoverFiltered Dual TEMA Crossover
This indicator is a trend-following tool based on the classic Dual Triple Exponential Moving Average (TEMA) Crossover strategy, enhanced with two robust filters: the Chop Index and the Average Directional Index (ADX).
The TEMA is known for its low lag and high responsiveness, making the crossover an effective signal for trend reversals. However, trading TEMA crossovers during sideways, choppy markets often leads to false signals. This is where the filters come in.
Key Features
▪️Dual TEMA Crossover: Plots two customizable TEMA lines (Fast and Slow) for clear visualization of the primary trend direction.
▪️Intelligent Signal Filtering: Buy and Sell signals are generated only when the market confirms it is in a trending state, thanks to two integrated filters:
➖Chop Index Filter: Blocks signals when the market is detected as sideways or consolidating (Chop Index reading above a user-defined threshold).
➖ADX Filter: Ensures signals are only taken when the trend strength is sufficient (ADX reading above a user-defined minimum threshold).
▪️Customizable Signals: Full control over the signal shapes (Arrows, Triangles, etc.), colors, text, and size.
How to Use It
Use the Filtered Dual TEMA Crossover to enter positions on trend continuation or reversal while dramatically reducing exposure to low-quality, whipsawing signals common in non-trending environments.
Before the filters:
After the filters:
Minimize Noise. Maximize Clarity. Trade the Trend.
Orderblock Footprints [AlgoAlpha]🟠 OVERVIEW
This script highlights orderblocks and then drills into what actually trades inside them. Zones are created only after an abnormal directional impulse, measured with a z-score on consecutive candle bodies, so the orderblocks are tied to real expansion rather than simple pivots. Once a zone exists, the script overlays lower-timeframe volume footprints inside the candle when price trades back into that zone. The goal is to show not just where an orderblock sits, but whether price is being accepted or absorbed when it is revisited.
🟠 CONCEPTS
Orderblocks are detected after extreme bullish or bearish impulses. The script tracks consecutive body movement up or down, normalizes that distance with a rolling z-score, and only triggers when the move is statistically large. The last opposite candle before that impulse defines the orderblock range. These zones then extend forward until they are either mitigated by price closing through them or they expire by age.
Inside an active zone, the script switches to a lower timeframe and builds a footprint-style profile for each bar. Each candle is split into price rows, counting time-at-price and volume delta. Positive and negative delta are colored separately. Absorption is flagged when opposing delta prints appear in the wick that rejects the zone. In practice: the impulse defines context ; the footprint shows interaction .
🟠 FEATURES
Separate bullish and bearish zones with automatic extension
Volume split inside each zone candle (up vs down volume)
Lower-timeframe footprint with TPO-style rows and delta gradient
Absorption detection using opposing delta in rejection wicks
Alerts for zone creation and absorption events
🟠 USAGE
Setup : Add the script to your chart. It works on any market and timeframe. The lower timeframe for footprints is fixed at 5 minutes, so higher chart timeframes show clearer structure. Use the Z-Score Window to control how strict impulse detection is and Max Box Age to limit how long old zones stay on the chart.
Read the chart : Bullish orderblocks are created after strong upward impulses and are invalidated when price closes below them. Bearish orderblocks are created after strong downward impulses and are invalidated when price closes above them. When price trades inside a zone, footprint rows appear. Green-tinted rows show positive delta; red-tinted rows show negative delta. Absorption labels appear when opposing delta prints into a rejecting wick.
Settings that matter : Increasing the Z-Score Window makes orderblocks rarer but more significant. Disabling Prevent Overlap allows stacked zones if you want to study clustering. Adjusting Rows per bar changes footprint resolution—lower values are cleaner, higher values show more detail but use more objects.
Dragon Flow Arrows (Smoothed LITE)🚀 DRAGON FLOW ARROWS — LITE | Smart Trend Engine + Clean Reversal Arrows
A lightweight but highly-optimized trend system designed for clean charts, powerful visual signals, and no-noise directional flow.
Built for traders who want simplicity, clarity, and professional-level momentum-filtered signals without over-complication.
🔥 Dragon Channel (Clean 3-Line Ribbon)
A smooth adaptive channel formed from ATR + EMA, giving you structural trend zones without clutter. No double bands, no messy overlaps just a clear upper/lower boundary.
✅ Dragon Flow Gradient
A horizontal, color-shifted flow:
🟢 Bull flow → green glow
🔴 Bear flow → red glow
Automatic blend based on trend direction
Smooth visual transitions (no vertical stripes)
✅ Momentum-Filtered Arrows (No Spam)
BUY/SELL arrows only print when:
Price breaks outside the Dragon Channel
Momentum confirms (RSI + MACD filters)
Trend flips → one clean arrow per direction
Text labels sit outside the channel for better readability.
✅ Smart Header Panel
At the top of your chart:
📌 Trend: Uptrend / Downtrend / Neutral
⚡ Impulse Strength: Weak / Normal / Strong
© FxShareRobots.com brand bar
Everything compact. Everything professional.
📊 How to Use
BUY Setup
Price moving above baseline
Dragon Flow turns bullish (cyan side)
Arrow appears below channel
SELL Setup
Price breaks below baseline
Dragon Flow turns bearish (magenta side)
Arrow pops above channel
Exit / Filter
Opposite arrow
Flow color shift
Trend panel flips
Works on Forex, Crypto, Stocks, Indices — all timeframes.
🆚 LITE vs PRO
Feature LITE PRO
Dragon Channel ✔ ✔ +Enhanced
Trend Panel ✔ ✔ +Multi-TF
Reversal Arrows ✔ ✔ + Confirmation
Momentum Filter ✔ ✔ +Expanded
Alerts ✖ ✔ +Full Suite
Reversal Zones ✖ ✔ +Predictive Map
Trade Strategy ✖ ✔ +Included + PDF
🔓 Upgrade to DRAGON FLOW — PRO
Unlock alerts, HTF confirmation, advanced momentum engine, and predictive reversal zones:
👉 fxsharerobots.com/itp/
❤️ If this helped your trading — please Like & Follow!
This supports future updates and keeps the LITE version source code free for the community.
Happy trading,
FxShareRobots Team
FluxPulse Momentum [JOAT]FluxPulse Momentum - Adaptive Multi-Component Oscillator
FluxPulse Momentum is a composite oscillator that blends three distinct momentum components into a single, smoothed signal line. Rather than relying on a single indicator, it synthesizes adaptive RSI, normalized rate of change, and a Kaufman-style efficiency ratio to provide a multi-dimensional view of momentum.
What This Indicator Does
Combines RSI, Rate of Change (ROC), and Efficiency Ratio into one weighted composite
Applies EMA smoothing to reduce noise while preserving responsiveness
Displays overbought/oversold zones with optional background highlighting
Generates buy/sell signals when the oscillator crosses its signal line in favorable zones
Provides a real-time dashboard showing current state, momentum direction, and efficiency
Core Components
Adaptive RSI (50% weight) — Standard RSI calculation normalized around the 50 level
Normalized ROC (30% weight) — Rate of change scaled relative to its recent maximum range
Efficiency Ratio (20% weight) — Measures directional movement efficiency, inspired by Kaufman's adaptive concepts
The final composite is smoothed twice using EMA to create both a fast line and a signal line.
Signal Logic
// Buy signal: crossover in lower half
buySignal = ta.crossover(qmo, qmoSmooth) and qmo < 50
// Sell signal: crossunder in upper half
sellSignal = ta.crossunder(qmo, qmoSmooth) and qmo > 50
Signals are generated only when the oscillator is positioned favorably—buy signals occur below the 50 midline, sell signals occur above it.
Dashboard Information
The on-chart table displays:
Current oscillator value with gradient coloring
Momentum state (Overbought, Oversold, Bullish, Bearish, Neutral)
Momentum direction and acceleration
Efficiency ratio percentage
Active signal status
Inputs Overview
RSI Length — Period for RSI calculation (default: 14)
ROC Length — Period for rate of change (default: 10)
Smoothing Length — EMA smoothing period (default: 3)
Overbought/Oversold Levels — Threshold levels for zone detection
Await Bar Confirmation — Wait for bar close before triggering alerts
How to Use It
Watch for crossovers between the main line and signal line
Use overbought/oversold zones to identify potential reversal areas
Monitor the histogram for momentum acceleration or deceleration
Combine with price action analysis for confirmation
Alerts
Buy Signal — Bullish crossover in the lower zone
Sell Signal — Bearish crossunder in the upper zone
Overbought/Oversold Crosses — Level threshold crossings
This indicator is provided for educational purposes. It does not constitute financial advice. Always conduct your own analysis before making trading decisions.
— Made with passion by officialjackofalltrades
Stochastic RSI Forecast [QuantAlgo]🟢 Overview
The Stochastic RSI Forecast extends the classic momentum oscillator by projecting potential future K and D line values up to 10 bars ahead. Unlike traditional indicators that only reflect historical price action, this indicator uses three proprietary forecasting models, each operating on different market data inputs (price structure, volume metrics, or linear trend), to explore potential price paths. This unique approach allows traders to form probabilistic expectations about future momentum states and incorporate these projections into both discretionary and algorithmic trading and/or analysis.
🟢 How It Works
The indicator operates through a multi-stage calculation process that extends the RSI-to-Stochastic chain forward in time. First, it generates potential future price values using one of three selectable forecasting methods, each analyzing different market dimensions (structure, volume, or trend). These projected prices are then processed through an iterative RSI calculation that maintains continuity with historical gain/loss averages, producing forecasted RSI values. Finally, the system applies the full stochastic transformation (calculating the position of each forecasted RSI within its range, smoothing with K and D periods) to project potential future oscillator values.
The forecasting models adapt to market conditions by analyzing configurable lookback periods and recalculating projections on every bar update. The implementation preserves the mathematical properties of the underlying RSI calculation while extrapolating momentum trajectories, creating visual continuity between historical and forecasted values displayed as semi-transparent dashed lines extending beyond the current bar.
🟢 Key Features
1. Market Structure Model
This algorithm applies price action analysis by tracking break of structure (BOS) and change of character (CHoCH) patterns to identify potential order flow direction. The system detects swing highs and lows using configurable pivot lengths, then analyzes sequences of higher highs or lower lows to determine bullish or bearish structure bias. When price approaches recent swing points, the forecast projects moves in alignment with the established structure, scaled by ATR (Average True Range) for volatility adjustment.
Potential Benefits for Traders:
Explores potential momentum continuation scenarios during established trends
Identifies areas where structure changes might influence momentum
Could be useful for swing traders and position traders who incorporate structure-based analysis
The Structure Influence parameter (0-1 scale) allows blending between pure trend following and structure-weighted forecasts
Helps visualize potential trend exhaustion through weakening structure patterns
2. Volume-Weighted Model
This model analyzes volume patterns by combining On-Balance Volume (OBV), Accumulation/Distribution Line, and volume-weighted price returns to assess potential capital flow. The algorithm calculates directional volume momentum and identifies volume spikes above customizable thresholds to determine accumulation or distribution phases. When volume indicators align directionally, the forecast projects stronger potential moves; when volume diverges from price trends, it suggests possible reversals or consolidation.
Potential Benefits for Traders:
Incorporates volume analysis into momentum forecasting
Attempts to filter price action by volume support or lack thereof
Could be more relevant in markets where volume data is reliable (equities, crypto, major forex pairs)
Volume Influence parameter (0-1 scale) enables adaptation to different market liquidity profiles
Highlights volume climax patterns that sometimes precede trend changes
Could be valuable for traders who incorporate volume confirmation in their analysis
3. Linear Regression Model
This mathematical approach applies least-squares regression fitting to project price trends based on recent price data. Unlike the conditional logic of the other methods, linear regression provides straightforward trend extrapolation based on the best-fit line through the lookback period.
Potential Benefits for Traders:
Delivers consistent, reproducible forecasts based on statistical principles
Works better in trending markets with clear directional bias
Useful for systematic traders building quantitative strategies requiring stable inputs
Minimal parameter sensitivity (primarily controlled by lookback period)
Computationally efficient with fast recalculation on every bar
Serves as a baseline to compare against the more complex structure and volume methods
🟢 Universal Applications Across All Models
Each forecasting method projects potential future stochastic RSI values (K and D lines), which traders can use to:
▶ Anticipate potential crossovers: Visualize possible K/D crosses several bars ahead
▶ Explore overbought/oversold scenarios: Forecast when momentum might return from extreme zones
▶ Assess divergences: Evaluate how oscillator divergences might develop
▶ Inform entry timing: Consider potential points along the forecasted momentum curve for trade entry
▶ Develop systematic strategies: Build rules based on forecasted crossovers, slope changes, or threshold levels
▶ Adapt to market conditions: Switch between methods based on current market character (trending vs range-bound, high vs low volume)
In short, the indicator's flexibility allows traders to combine forecasting projections with traditional stochastic signals, using historical K/D for immediate reference while considering forecasted values for planning and analysis. As with all technical analysis tools, the forecasts represent one possible scenario among many and should be used as part of a broader trading methodology rather than as standalone signals.
Market Analysis Pro [Trademy]OVERVIEW
Trademy Market Analysis Pro is a professional-grade trading system that combines advanced momentum analysis with institutional-level Supply/Demand zone mapping. This indicator is designed to provide crystal-clear market analysis with precise risk management tools, creating a complete trading framework within a single, streamlined interface.
Unlike complex indicators that overwhelm traders with information, Trademy focuses on what matters: high-probability setups with clear entry points, defined risk levels, and multiple profit targets. The system is built to eliminate guesswork and provide actionable signals that work across multiple timeframes and asset classes eg: ( INDEX:BTCUSD , NASDAQ:NVDA and more )
CORE CONCEPTS
Advanced Momentum Engine: The foundation of Trademy Market Analysis Pro is a proprietary momentum detection system that identifies true directional shifts in the market. The algorithm analyzes price behavior relative to volatility-adjusted dynamic levels, generating signals only when genuine momentum reversals occur. The "Signal Sensitivity" control allows you to adapt the system from conservative (fewer, higher-quality signals) to aggressive (more frequent opportunities) based on your trading style and market conditions.
Institutional Supply/Demand Zones: The system automatically identifies and plots key institutional levels where significant buying (Demand) or selling (Supply) pressure has occurred. These zones are calculated using advanced price structure analysis, filtered through intelligent overlap detection to ensure only the most relevant zones appear on your chart. When price approaches these levels, they often act as strong support or resistance, providing logical areas for entries and exits.
Intelligent Signal Classification: Not all signals are created equal. Trademy categorizes every signal as either "Normal" or "Strong" based on its alignment with the broader market structure and trend context. Strong signals represent higher-conviction setups where momentum and trend align perfectly, while normal signals indicate counter-trend or early reversal opportunities.
Non-Repainting Architecture: Every signal is locked in at bar close (when enabled), and all TP/SL levels are calculated using volatility measurements captured at the moment of signal generation.
KEY FEATURES
Precision Signal System
Dual Signal Modes: Choose between Normal signals (standard momentum reversals) or Strong signals (high-conviction trend-aligned setups), or view both simultaneously
Wait for Bar Close: Optional no-repaint mode ensures signals only appear after candle confirmation
Visual Signal Hierarchy: Normal signals shown with standard arrows (▲/▼), Strong signals marked with distinctive colors for instant recognition
Adjustable Arrow Sizes: Customize signal display from tiny to large based on your chart preferences
Professional Risk Management
Automated TP/SL Calculation: Three take-profit levels (TP1, TP2, TP3) and one stop-loss level automatically calculated using advanced volatility measurement
Fixed Risk Levels: TP/SL lines are locked at signal generation and never move—providing consistent, reliable risk parameters
Visual Risk Zones: Optional colored zones highlight your risk and reward areas for instant position assessment
Adjustable Risk Multiplier: Scale your targets up or down with a single parameter while maintaining proper risk-reward ratios
Clear On-Chart Labels: Every level displays exact price values in an easy-to-read format
Supply/Demand Zone Mapping
Automatic Zone Detection: System identifies high-probability supply and demand zones using advanced price structure analysis
Anti-Overlap Algorithm: Intelligent filtering prevents zone clutter by removing overlapping levels
Extended Zone Projection: Zones extend into the future, showing you key levels before price reaches them
Break-of-Structure Tracking: Monitors when zones are broken and removes invalidated levels
Fully Customizable: Adjust zone colors, swing length, history depth, and box width to match your analysis style
Visual Customization
Flexible Color Schemes: Customize colors for bull/bear signals, TP/SL levels, and supply/demand zones
Trend Background: Optional background coloring to instantly visualize the current market bias
Support/Resistance Lines: Toggle automatic S/R level plotting from key price pivots
Multiple Arrow Sizes: Choose from tiny, small, normal, or large signal arrows
WHAT MAKES TRADEMY MARKET ANALYSIS PRO DIFFERENT
✅ Simplicity Meets Power
✅ TP/SL Levels
✅ Institutional Zone Integration
✅ Universal Indicator for all markets
✅ Multi-Timeframe Flexibility
BEST PRACTICES
📌 Always Use Stop-Loss: Enable the TP/SL system and respect your stop-loss levels,risk management is key to long-term success
📌 Backtest First: Before live trading, replay historical charts to understand signal behavior on your specific asset and timeframe
📌 Combine Timeframes: Use higher timeframe signals as your bias, enter on lower timeframe signals in the same direction
📌 Watch the Zones: Highest probability setups occur when signals align with supply/demand zones (buy near demand, sell near supply)
📌 Don't Chase: If you miss a signal, wait for the next one,forcing trades leads to losses
📌 Partial Profits: Consider taking partial profits at TP1, moving stop to breakeven, and letting the rest run to TP2/TP3
📩 ACCESS & SUPPORT
This is an invite-only indicator. For access inquiries, please contact via TradingView private message.
Important Disclaimers:
This indicator is a tool for technical analysis and does not constitute financial advice
Past performance does not guarantee future results
Always practice proper risk management and never risk more than you can afford to lose
Trading carries substantial risk of loss and is not suitable for all investors
QuantMotions - TPR SentinelQuantMotions – TPR Sentinel
The TPR Sentinel Band is a full trade-assistant for discretionary traders.
It combines an adaptive trend engine, directional TPR logic, volume intelligence, ATR-based risk management, a brute-force parameter optimizer, and a modern on-chart UI (entries/TP/SL panel + stats). The goal: fewer fake flips, clearer trend shifts, and visually guided trade management.
1. Core Concept
The Sentinel Line is built from a blend of:
- SMA + EMA
- Midline of highest/lowest high/low (Kijun-style)
- Donchian-style mid close
On top of that, the script calculates a Directional TPR (Time-Price-Ratio):
- Short / medium / long slopes of price
- Normalized by ATR
- Converted into a trend state:
+1 = Uptrend
-1 = Downtrend
0 = Neutral / transition
Hysteresis (Flux) controls how easily the trend flips:
- Higher hysteresis → harder to reverse → fewer fake-outs in chop.
2. Signals, Filters & Volume Intelligence
Signals
- Trend Flip Long: TrendState changes from −1/0 → +1.
- Trend Flip Short: TrendState changes from +1/0 → −1.
Filters
- ADX Filter (optional):
- Only allows trades if ADX is above a chosen threshold.
- Avoids trading in flat, low-energy markets.
R:R Filter:
- Before any signal is accepted, the script checks whether the distance to TP1 is at least the configured Risk:Reward ratio relative to the distance to SL.
- Only if that minimum R:R is reached, a signal becomes valid.
Volume Intelligence & Clouds
- Aggregates up/down volume (optionally across multiple tickers you define).
- Builds Volume Clouds around the Sentinel Line:
a) Positive intensity → buying pressure (bullish cloud).
b) Negative intensity → selling pressure (bearish cloud).
Optional Volume Direction Filter:
- Long only when volume intensity ≥ 0.
- Short only when volume intensity ≤ 0.
3. Risk, Exits & Trailing Stop
The indicator includes a complete exit framework (for visual/manual trading):
Stop Loss Modes
- ATR Fixed: SL placed at a fixed ATR multiple from the entry.
- Trend Line (Dynamic): SL placed directly on the Sentinel Band (structural stop).
Take Profits
- TP1 – “safe target”:
a) Based on ATR distance.
b) Closes a configurable percentage of the position (e.g., 50%).
- TP2 (optional):
Second fixed target used only when Trailing Stop is OFF.
- Trend Runner Mode (Use TP = OFF):
Ignores fixed TP levels and rides the trend until the trend state flips.
Trailing Stop
- Activates after TP1 is hit (if enabled).
- Moves with price at a configurable ATR distance:
a) Long: trail creeps up under price.
b) Short: trail creeps down above price.
- Visually plotted as a purple trail line, dynamically replacing the original SL as the effective exit point.
Each trade is tracked internally and drawn as a green/red box with PnL labels between entry and exit.
4. UI & Stats
Candle Coloring (TRON Theme)
- Cyan = active uptrend & valid environment.
- Orange = active downtrend & valid environment.
Modern Trade Panel (on last bar)
- Live overlay of:
a) Entry
b) TP1
c) TP2
d) SL or active Trail (with dynamic label text: “SL (ATR)”, “SL (Struct)”, “TRAIL”)
Info label shows:
- Historical win rate in the current direction (Long/Short).
- Distance to SL, TP1, TP2 from current price.
- Box color blends from red → green depending on whether price is closer to SL or TP.
Stats Table (Bottom Right)
- Separate stats for Long and Short trades:
a) Win rate (%)
b) Cumulative PnL
Alerts
- Generates JSON alerts on signals, for example: {"side":"buy","ticker":"XYZ","price":123.45}
Perfect for webhooks, bots, or external automation.
5. Brute Force Optimizer (TPR Lab) – Important Limitations
The built-in Optimizer is a numerical helper, not a full strategy optimizer.
What it does:
- Runs brute-force simulations over a sliding window of historical data.
- Scans user-defined ranges for:
- Best Period (“Best Cycle”)
- Best Hysteresis (“Best Flux”)
Uses an efficiency score (average profit per trade) to rank combinations.
Displays results in the bottom-left TRON panel:
- Best Cycle
- Best Hysteresis
- Efficiency Score
What it does NOT optimize or take into account:
- It does not include your actual minimum R:R filter.
- It does not simulate or optimize your Stop Loss modes.
- It does not simulate Trailing Stops.
- It does not use the ADX filter.
- It does not use the Volume filters or Volume Clouds.
Because of this, the suggested “best” Period and Hysteresis are purely computational recommendations based on a simplified internal model.
In real trading, with your full setup (R:R filter, SL mode, Trailing, ADX, Volume confirmation, personal style), other parameter combinations can be superior to what the Optimizer suggests.
You should treat the Optimizer as:
A starting point or a research tool, not the final truth.
Always validate its suggestions visually, in the context of your full system and risk management.
6. Practical Usage
- Works on FX, indices, crypto, commodities – anything with decent liquidity.
- Scalping → use lower Period values, higher responsiveness.
- Swing → use higher Period values, more stability.
Recommended:
- Keep ADX filter ON to avoid dead markets.
- Use Volume Clouds as directional bias.
- Use the Info Panel and Stats to align with your own R:R and risk rules.
Disclaimer
This script is for educational/analytical purposes only and does not constitute financial advice. It does not execute trades or manage your risk automatically. Always combine it with your own strategy, money management, and independent decision-making.
Use the Info Panel and Stats to align with your own R:R and risk rules.
Impulse Reactor RSI-SMA Trend Indicator [ApexLegion]Impulse Reactor RSI-SMA Trend Indicator
Introduction and Theoretical Background
Design Rationale
Standard indicators frequently generate binary 'BUY' or 'SELL' signals without accounting for the broader market context. This often results in erratic "Flip-Flop" behavior, where signals are triggered indiscriminately regardless of the prevailing volatility regime.
Impulse Reactor was engineered to address this limitation by unifying two critical requirements: Quantitative Rigor and Execution Flexibility.
The Solution
Composite Analytical Framework This script is not a simple visual overlay of existing indicators. It is an algorithmic synthesis designed to function as a unified decision-making engine. The primary objective was to implement rigorous quantitative analysis (Volatility Normalization, Structural Filtering) directly within an alert-enabled framework. This architecture is designed to process signals through strict, multi-factor validation protocols before generating real-time notifications, allowing users to focus on structurally validated setups without manual monitoring.
How It Works
This is not a simple visual mashup. It utilizes a cross-validation algorithm where the Trend Structure acts as a gatekeeper for Momentum signals:
Logic over Lag: Unlike simple moving average crossovers, this script uses a 15-layer Gradient Ribbon to detect "Laminar Flow." If the ribbon is knotted (Compression), the system mathematically suppresses all signals.
Volatility Normalization: The core calculation adapts to ATR (Average True Range). This means the indicator automatically expands in volatile markets and contracts in quiet ones, maintaining accuracy without constant manual tweaking.
Adaptive Signal Thresholding: It incorporates an 'Anti-Greed' algorithm (Dynamic Thresholding) that automatically adjusts entry criteria based on trend duration. This logic aims to mitigate the risk of entering positions during periods of statistical trend exhaustion.
Why Use It?
Market State Decoding: The gradient Ribbon visualizes the underlying trend phase in real-time.
◦ Cyan/Blue Flow: Strong Bullish Trend (Laminar Flow).
◦ Magenta/Pink Flow: Strong Bearish Trend.
◦ Compressed/Knotted: When the ribbon lines are tightly squeezed or overlapping, it signals Consolidation. The system filters signals here to avoid chop.
Noise Reduction: The goal is not to catch every pivot, but to isolate high-confidence setups. The logic explicitly filters out minor fluctuations to help maintain position alignment with the broader trend.
⚖️ Chapter 1: System Architecture
Introduction: Composite Analytical Framework
System Overview
Impulse Reactor serves as a comprehensive technical analysis engine designed to synthesize three distinct market dimensions—Momentum, Volatility, and Trend Structure—into a unified decision-making framework. Unlike traditional methods that analyze these metrics in isolation, this system functions as a central processing unit that integrates disparate data streams to construct a coherent model of market behavior.
Operational Objective
The primary objective is to transition from single-dimensional signal generation to a multi-factor assessment model. By fusing data from the Impulse Core (Volatility), Gradient Oscillator (Momentum), and Structural Baseline (Trend), the system aims to filter out stochastic noise and identify high-probability trade setups grounded in quantitative confluence.
Market Microstructure Analysis: Limitations of Conventional Models
Extensive backtesting and quantitative analysis have identified three critical inefficiencies in standard oscillator-based strategies:
• Bounded Oscillator Limitations (The "Oscillation Trap"): Traditional indicators such as RSI or Stochastics are mathematically constrained between fixed values (0 to 100). In strong trending environments, these metrics often saturate in "overbought" or "oversold" zones. Consequently, traders relying on static thresholds frequently exit structurally valid positions prematurely or initiate counter-trend trades against prevailing momentum, resulting in suboptimal performance.
• Quantitative Blindness to Quality: Standard moving averages and trend indicators often fail to distinguish the qualitative nature of price movement. They treat low-volume drift and high-velocity expansion identically. This inability to account for "Volatility Quality" leads to delayed responsiveness during critical market events.
• Fractal Dissonance (Timeframe Disconnect): Financial markets exhibit fractal characteristics where trends on lower timeframes may contradict higher timeframe structures. Manual integration of multi-timeframe analysis increases cognitive load and susceptibility to human error, often resulting in conflicting biases at the point of execution.
Core Design Principles
To mitigate the aforementioned systemic inefficiencies, Impulse Reactor employs a modular architecture governed by three foundational principles:
Principle A:
Volatility Precursor Analysis Market mechanics demonstrate that volatility expansion often functions as a leading indicator for directional price movement. The system is engineered to detect "Volatility Deviation" — specifically, the divergence between short-term and long-term volatility baselines—prior to its manifestation in price action. This allows for entry timing aligned with the expansion phase of market volatility.
Principle B:
Momentum Density Visualization The system replaces singular momentum lines with a "Momentum Density" model utilizing a 15-layer Simple Moving Average (SMA) Ribbon.
• Concept: This visualization represents the aggregate strength and consistency of the trend.
• Application: A fully aligned and expanded ribbon indicates a robust trend structure ("Laminar Flow") capable of withstanding minor counter-trend noise, whereas a compressed ribbon signals consolidation or structural weakness.
Principle C:
Adaptive Confluence Protocols Signal validity is strictly governed by a multi-dimensional confluence logic. The system suppresses signal generation unless there is synchronized confirmation across all three analytical vectors:
1. Volatility: Confirmed expansion via the Impulse Core.
2. Momentum: Directional alignment via the Hybrid Oscillator.
3. Structure: Trend validation via the Baseline. This strict filtering mechanism significantly reduces false positives in non-trending (choppy) environments while maintaining sensitivity to genuine breakouts.
🔍 Chapter 2: Core Modules & Algorithmic Logic
Module A: Impulse Core (Normalized Volatility Deviation)
Operational Logic The Impulse Core functions as a volatility-normalized momentum gauge rather than a standard oscillator. It is designed to identify "Volatility Contraction" (Squeeze) and "Volatility Expansion" phases by quantifying the divergence between short-term and long-term volatility states.
Volatility Z-Score Normalization
The formula implements a custom normalization algorithm. Unlike standard oscillators that rely on absolute price changes, this logic calculates the Z-Score of the Volatility Spread.
◦ Numerator: (atr_f - atr_s) captures the raw momentum of volatility expansion.
◦ Denominator: (std_f + 1e-6) standardizes this value against historical variance.
◦ Result: This allows the indicator scales consistently across assets (e.g., Bitcoin vs. Euro) without manual recalibration.
f_impulse() =>
atr_f = ta.atr(fastLen) // Fast Volatility Baseline
atr_s = ta.atr(slowLen) // Slow Volatility Baseline
std_f = ta.stdev(atr_f, devLen) // Volatility Standard Deviation
(atr_f - atr_s) / (std_f + 1e-6) // Normalized Differential Calculation
Algorithmic Framework
• Differential Calculation: The system computes the spread between a Fast Volatility Baseline (ATR-10) and a Slow Volatility Baseline (ATR-30).
• Normalization Protocol: To standardize consistency across diverse asset classes (e.g., Forex vs. Crypto), the raw differential is divided by the standard deviation of the volatility itself over a 30-period lookback.
• Signal Generation:
◦ Contraction (Squeeze): When the Fast ATR compresses below the Slow ATR, it registers a potential volatility buildup phase.
◦ Expansion (Release): A rapid divergence of the Fast ATR above the Slow ATR signals a confirmed volatility expansion, validating the strength of the move.
Module B: Gradient Oscillator (RSI-SMA Hybrid)
Design Rationale To mitigate the "noise" and "false reversal" signals common in single-line oscillators (like standard RSI), this module utilizes a 15-Layer Gradient Ribbon to visualize momentum density and persistence.
Technical Architecture
• Ribbon Array: The system generates 15 sequential Simple Moving Averages (SMA) applied to a volatility-adjusted RSI source. The length of each layer increases incrementally.
• State Analysis:
Momentum Alignment (Laminar Flow): When all 15 layers are expanded and parallel, it indicates a robust trend where buying/selling pressure is distributed evenly across multiple timeframes. This state helps filter out premature "overbought/oversold" signals.
• Consolidation (Compression): When the distance between the fastest layer (Layer 1) and the slowest layer (Layer 15) approaches zero or the layers intersect, the system identifies a "Non-Tradable Zone," preventing entries during choppy market conditions.
// Laminar Flow Validation
f_validate_trend() =>
// Calculate spread between Ribbon layers
ribbon_spread = ta.stdev(ribbon_array, 15)
// Only allow signals if Ribbon is expanded (Laminar Flow)
is_flowing = ribbon_spread > min_expansion_threshold
// If compressed (Knotted), force signal to false
is_flowing ? signal : na
Module C: Adaptive Signal Filtering (Behavioral Bias Mitigation)
This subsystem, operating as an algorithmic "Anti-Greed" Mechanism, addresses the statistical tendency for signal degradation following prolonged trends.
Dynamic Threshold Adjustment
• Win Streak Detection: The algorithm internally tracks the outcome of closed trade cycles.
• Sensitivity Multiplier: Upon detecting consecutive successful signals in the same direction, a Penalty_Factor is applied to the entry logic.
• Operational Impact: This effectively raises the Required_Slope threshold for subsequent signals. For example, after three consecutive bullish signals, the system requires a 30% steeper trend angle to validate a fourth entry. This enforces stricter discipline during extended trends to reduce the probability of entering at the point of trend exhaustion.
Anti-Greed Logic: Dynamic Threshold Calculation
f_adjust_threshold(base_slope, win_streak) =>
// Adds a 10% penalty to the difficulty for every consecutive win
penalty_factor = 0.10
risk_scaler = 1 + (win_streak * penalty_factor)
// Returns the new, harder-to-reach threshold
base_slope * risk_scaler
Module D: Trend Baseline (Triple-Smoothed Structure)
The Trend Baseline serves as the structural filter for all signals. It employs a Triple-Smoothed Hybrid Algorithm designed to balance lag reduction with noise filtration.
Smoothing Stages
1. Volatility Banding: Utilizes a SuperTrend-based calculation to establish the upper and lower boundaries of price action.
2. Weighted Filter: Applies a Weighted Moving Average (WMA) to prioritize recent price data.
3. Exponential Smoothing: A final Exponential Moving Average (EMA) pass is applied to create a seamless baseline curve.
Functionality
This "Heavy" baseline resists minor intraday volatility spikes while remaining responsive to sustained structural shifts. A signal is only considered valid if the price action maintains structural integrity relative to this baseline
🚦 Chapter 3: Risk Management & Exit Protocols
Quantitative Risk Management (TP/SL & Trailing)
Foundational Architecture: Volatility-Adjusted Geometry Unlike strategies relying on static nominal values, Impulse Reactor establishes dynamic risk boundaries derived from quantitative volatility metrics. This design aligns trade invalidation levels mathematically with the current market regime.
• ATR-Based Dynamic Bracketing:
The protocol calculates Stop-Loss and Take-Profit levels by applying Fibonacci coefficients (Default: 0.786 for SL / 1.618 for TP) to the Average True Range (ATR).
◦ High Volatility Environments: The risk bands automatically expand to accommodate wider variance, preventing premature exits caused by standard market noise.
◦ Low Volatility Environments: The bands contract to tighten risk parameters, thereby dynamically adjusting the Risk-to-Reward (R:R) geometry.
• Close-Validation Protocol ("Soft Stop"):
Institutional algorithms frequently execute liquidity sweeps—driving prices briefly below key support levels to accumulate inventory.
◦ Mechanism: When the "Soft Stop" feature is enabled, the system filters out intraday volatility spikes. The stop-loss is conditional; execution is triggered only if the candle closes beyond the invalidation threshold.
◦ Strategic Advantage: This logic distinguishes between momentary price wicks and genuine structural breakdowns, preserving positions during transient volatility.
• Step-Function Trailing Mechanism:
To protect unrealized PnL while allowing for normal price breathing, a two-phase trailing methodology is employed:
◦ Phase 1 (Activation): The trailing function remains dormant until the price advances by a pre-defined percentage threshold.
◦ Phase 2 (Dynamic Floor): Once armed, the stop level creates a moving floor, adjusting relative to price action while maintaining a volatility-based (ATR) buffer to systematically protect unrealized PnL.
• Algorithmic Exit Protocols (Dynamic Liquidity Analysis)
◦ Rationale: Inefficiencies of Static Targets Static "Take Profit" levels often result in suboptimal exits. They compel traders to close positions based on arbitrary figures rather than evolving market structure, potentially capping upside during significant trends or retaining positions while the underlying trend structure deteriorates.
◦ Solution: Structural Integrity Assessment The system utilizes a Dynamic Liquidity Engine to continuously audit the validity of the position. Instead of targeting a specific price point, the algorithm evaluates whether the trend remains statistically robust.
Multi-Factor Exit Logic (The Tri-Vector System)
The Smart Exit protocol executes only when specific algorithmic invalidation criteria are met:
• 1. Momentum Exhaustion (Confluence Decay): The system monitors a 168-hour rolling average of the Confluence Score. A significant deviation below this historical baseline indicates momentum exhaustion, signaling that the driving force behind the trend has dissipated prior to a price reversal. This enables preemptive exits before a potential drawdown.
• 2. Statistical Over-Extension (Mean Reversion): Utilizing the core volatility logic, the system identifies instances where price deviates beyond 2.0 standard deviations from the mean. While the trend may be technically bullish, this statistical anomaly suggests a high probability of mean reversion (elastic snap-back), triggering a defensive exit to capitalize on peak valuation.
• 3. Oscillator Rejection (Immediate Pivot): To manage sudden V-shaped volatility, the system monitors RSI pivots. If a sharp "Pivot High" or divergence is detected, the protocol triggers an immediate "Peak Exit," bypassing standard trend filters to secure liquidity during high-velocity reversals.
🎨 Chapter 4: Visualization Guide
Gradient Oscillator Ribbon
The 15-layer SMA ribbon visualized via plot(r1...r15) represents the "Momentum Density" of the market.
• Visuals:
◦ Cyan/Blue Ribbon: Indicates Bullish Momentum.
◦ Pink/Magenta Ribbon: Indicates Bearish Momentum.
• Interpretation:
◦ Laminar Flow: When the ribbon expands widely and flows in parallel, it signifies a robust trend where momentum is distributed evenly across timeframes. This is the ideal state for trend-following.
◦ Compression (Consolidation): If the ribbon becomes narrow, twisted, or knotted, it indicates a "Non-Tradable Zone" where the market lacks a unified direction. Traders are advised to wait for clarity.
◦ Over-Extension: If the top layer crosses the Overbought (85) or Oversold (15) lines, it visually warns of potential market overheating.
Trend Baseline
The thick, color-changing line plotted via plot(baseline) represents the Structural Backbone of the market.
• Visuals: Changes color based on the trend direction (Blue for Bullish, Pink for Bearish).
• Interpretation:
Structural Filter: Long positions are statistically favored only when price action sustains above this baseline, while short positions are favored below it.
Dynamic Support/Resistance: The baseline acts as a dynamic support level during uptrends and resistance during downtrends.
Entry Signals & Labels
Text labels ("Long Entry", "Short Entry") appear when the system detects high-probability setups grounded in quantitative confluence.
• Visuals: Labeled signals appear above/below specific candles.
• Interpretation:
These signals represent moments where Volatility (Expansion), Momentum (Alignment), and Structure (Trend) are synchronized.
Smart Exit: Labels such as "Smart Exit" or "Peak Exit" appear when the system detects momentum exhaustion or structural decay, prompting a defensive exit to preserve capital.
Dynamic TP/SL Boxes
The semi-transparent colored zones drawn via fill() represent the risk management geometry.
• Visuals: Colored boxes extending from the entry point to the Take Profit (TP) and Stop Loss (SL) levels.
• Function:
Volatility-Adjusted Geometry: Unlike static price targets, these boxes expand during high volatility (to prevent wicks from stopping you out) and contract during low volatility (to optimize Risk-to-Reward ratios).
SAR + MACD Glow
Small glowing shapes appearing above or below candles.
• Visuals: Triangle or circle glows near the price bars.
• Interpretation:
This visual indicates a secondary confirmation where Parabolic SAR and MACD align with the main trend direction. It serves as an additional confluence factor to increase confidence in the trade setup.
Support/Resistance Table
A small table located at the bottom-right of the chart.
• Function: Automatically identifies and displays recent Pivot Highs (Resistance) and Pivot Lows (Support).
• Interpretation: These levels can be used as potential targets for Take Profit or invalidation points for manual Stop Loss adjustments.
🖥️ Chapter 5: Dashboard & Operational Guide
Integrated Analytics Panel (Dashboard Overview)
To facilitate rapid decision-making without manual calculation, the system aggregates critical market dimensions into a unified "Heads-Up Display" (HUD). This panel monitors real-time metrics across multiple timeframes and analytical vectors.
A. Intermediate Structure (12H Trend)
• Function: Anchors the intraday analysis to the broader market structure using a 12-hour rolling window.
• Interpretation:
◦ Bullish (> +0.5%): Indicates a positive structural bias. Long setups align with the macro flow.
◦ Bearish (< -0.5%): Indicates structural weakness. Short setups are statistically favored.
◦ Neutral: Represents a ranging environment where the Confluence Score becomes the primary weighting factor.
B. Composite Confluence Score (Signal Confidence)
• Definition: A probability metric derived from the synchronization of Volatility (Impulse Core), Momentum (Ribbon), and Trend (Baseline).
• Grading Scale:
Strong Buy/Sell (> 7.0 / < 3.0): Indicates full alignment across all three vectors. Represents a "Prime Setup" eligible for standard position sizing.
Buy/Sell (5.0–7.0 / 3.0–5.0): Indicates a valid trend but with moderate volatility confirmation.
Neutral: Signals conflicting data (e.g., Bullish Momentum vs. Bearish Structure). Trading is not recommended ("No-Trade Zone").
C. Statistical Deviation Status (Mean Reversion)
• Logic: Utilizes Bollinger Band deviation principles to quantify how far price has stretched from the statistical mean (20 SMA).
• Alert States:
Over-Extended (> 2.0 SD): Warning that price is statistically likely to revert to the mean (Elastic Snap-back), even if the trend remains technically valid. New entries are discouraged in this zone.
Normal: Price is within standard distribution limits, suitable for trend-following entries.
D. Volatility Regime Classification
• Metric: Compares current ATR against a 100-period historical baseline to categorize the market state.
• Regimes:
Low Volatility (Lvl < 1.0): Market Compression. Often precedes volatility expansion events.
Mid Volatility (Lvl 1.0 - 1.5): Standard operating environment.
High Volatility (Lvl > 1.5): Elevated market stress. Risk parameters should be adjusted (e.g., reduced position size) to account for increased variance.
E. Performance Telemetry
• Function: Displays the historical reliability of the Trend Baseline for the current asset and timeframe.
• Operational Threshold: If the displayed Win Rate falls below 40%, it suggests the current market behavior is incoherent (choppy) and does not respect trend logic. In such cases, switching assets or timeframes is recommended.
Operational Protocols & Signal Decoding
Visual Interpretation Standards
• Laminar Flow (Trade Confirmation): A valid trend is visually confirmed when the 15-layer SMA Ribbon is fully expanded and parallel. This indicates distributed momentum across timeframes.
• Consolidation (No-Trade): If the ribbon appears twisted, knotted, or compressed, the market lacks a unified directional vector.
• Baseline Interaction: The Triple-Smoothed Baseline acts as a dynamic support/resistance filter. Long positions remain valid only while price sustains above this structure.
System Calibration (Settings)
• Adaptive Signal Filtering (Prev. Anti-Greed): Enabled by default. This logic automatically raises the required trend slope threshold following consecutive wins to mitigate behavioral bias.
• Impulse Sensitivity: Controls the reactivity of the Volatility Core. Higher settings capture faster moves but may introduce more noise.
⚙️ Chapter 6: System Configuration & Alert Guide
This section provides a complete breakdown of every adjustable setting within Impulse Reactor to assist you in tailoring the engine to your specific needs.
🌐 LANGUAGE SETTINGS (Localization)
◦ Select Language (Default: English):
Function: Instantly translates all chart labels, dashboard texts into your preferred language.
Supported: English, Korean, Chinese, Spanish
⚡ IMPULSE CORE SETTINGS (Volatility Engine)
◦ Deviation Lookback (Default: 30): The period used to calculate the standard deviation of volatility.
Role: Sets the baseline for normalizing momentum. Higher values make the core smoother but slower to react.
◦ Fast Pulse Length (Default: 10): The short-term ATR period.
Role: Detects rapid volatility expansion.
◦ Slow Pulse Length (Default: 30): The long-term ATR baseline.
Role: Establishes the background volatility level. The core signal is derived from the divergence between Fast and Slow pulses.
🎯 TP/SL SETTINGS (Risk Management)
◦ SL/TP Fibonacci (Default: 0.786 / 1.618): Selects the Fibonacci ratio used for risk calculation.
◦ SL/TP Multiplier (Default: 1.5 / 2): Applies a multiplier to the ATR-based bands.
Role: Expands or contracts the Take Profit and Stop Loss boxes. Increase these values for higher volatility assets (like Altcoins) to avoid premature stop-outs.
◦ ATR Length (Default: 14): The lookback period for calculating the Average True Range used in risk geometry.
◦ Use Soft Stop (Close Basis):
Role: If enabled, Stop Loss alerts only trigger if a candle closes beyond the invalidation level. This prevents being stopped out by wick manipulations.
🔊 RIBBON SETTINGS (Momentum Visualization)
◦ Show SMA Ribbon: Toggles the visibility of the 15-layer gradient ribbon.
◦ Ribbon Line Count (Default: 15): The number of SMA lines in the ribbon array.
◦ Ribbon Start Length (Default: 2) & Step (Default: 1): Defines the spread of the ribbon.
Role: Controls the "thickness" of the momentum density visualization. A wider step creates a broader ribbon, useful for higher timeframes.
📎 DISPLAY OPTIONS
◦ Show Entry Lines / TP/SL Box / Position Labels / S/R Levels / Dashboard: Toggles individual visual elements on the chart to reduce clutter.
◦ Show SAR+MACD Glow: Enables the secondary confirmation shapes (triangles/circles) above/below candles.
📈 TREND BASELINE (Structural Filter)
◦ Supertrend Factor (Default: 12) & ATR Period (Default: 90): Controls the sensitivity of the underlying Supertrend algorithm used for the baseline calculation.
◦ WMA Length (40) & EMA Length (14): The smoothing periods for the Triple-Smoothed Baseline.
◦ Min Trend Duration (Default: 10): The minimum number of bars the trend must be established before a signal is considered valid.
🧠 SMART EXIT (Dynamic Liquidity)
◦ Use Smart Exit: Enables the momentum exhaustion logic.
◦ Exit Threshold Score (Default: 3): The sensitivity level for triggering a Smart Exit. Lower values trigger earlier exits.
◦ Average Period (168) & Min Hold Bars (5): Defines the rolling window for momentum decay analysis and the minimum duration a trade must be held before Smart Exit logic activates.
🛡️ TRAILING STOP (Step)
◦ Use Trailing Stop: Activates the step-function trailing mechanism.
◦ Step 1 Activation % (0.5) & Offset % (0.5): The price must move 0.5% in your favor to arm the first trail level, which sets a stop 0.5% behind price.
◦ Step 2 Activation % (1) & Offset % (0.2): Once price moves 1%, the trail tightens to 0.2%, securing the position.
🌀 SAR & MACD SETTINGS (Secondary Confirmation)
◦ SAR Start/Increment/Max: Standard Parabolic SAR parameters.
◦ SAR Score Scaling (ATR): Adjusts how much weight the SAR signal has in the overall confluence score.
◦ MACD Fast/Slow/Signal: Standard MACD parameters used for the "Glow" signals.
🔄 ANTI-GREED LOGIC (Behavioral Bias)
◦ Strict Entry after Win: Enables the negative feedback loop.
◦ Strict Multiplier (Default: 1.1): Increases the entry difficulty by 10% after each win.
Role: Prevents overtrading and entering at the top of an extended trend.
🌍 HTF FILTER (Multi-Timeframe)
◦ Use Auto-Adaptive HTF Filter: Automatically selects a higher timeframe (e.g., 1H -> 4H) to filter signals.
◦ Bypass HTF on Steep Trigger: Allows an entry even against the HTF trend if the local momentum slope is exceptionally steep (catch powerful reversals).
📉 RSI PEAK & CHOPPINESS
◦ RSI Peak Exit (Instant): Triggers an immediate exit if a sharp RSI pivot (V-shape) is detected.
◦ Choppiness Filter: Suppresses signals if the Choppiness Index is above the threshold (Default: 60), indicating a flat market.
📐 SLOPE TRIGGER LOGIC
◦ Force Entry on Steep Slope: Overrides other filters if the price angle is extremely vertical (high velocity).
◦ Slope Sensitivity (1.5): The angle required to trigger this override.
⛔ FLAT MARKET FILTER (ADX & ATR)
◦ Use ADX Filter: Blocks signals if ADX is below the threshold (Default: 20), indicating no trend.
◦ Use ATR Flat Filter: Blocks signals if volatility drops below a critical level (dead market).
🔔 Alert Configuration Guide
Impulse Reactor is designed with a comprehensive suite of alert conditions, allowing you to automate your trading or receive real-time notifications for specific market events.
How to Set Up:
Click the "Alert" (Clock) icon in the TradingView toolbar.
Select "Impulse Reactor " from the Condition dropdown.
Choose one of the specific trigger conditions below:
🚀 Entry Signals (Trend Initiation)
Long Entry:
Trigger: Fires when a confirmed Bullish Setup is detected (Momentum + Volatility + Structure align).
Usage: Use this to enter new Long positions.
Short Entry:
Trigger: Fires when a confirmed Bearish Setup is detected.
Usage: Use this to enter new Short positions.
🎯 Profit Taking (Target Levels)
Long TP:
Trigger: Fires when price hits the calculated Take Profit level for a Long trade.
Usage: Automate partial or full profit taking.
Short TP:
Trigger: Fires when price hits the calculated Take Profit level for a Short trade.
Usage: Automate partial or full profit taking.
🛡️ Defensive Exits (Risk Management)
Smart Exit:
Trigger: Fires when the system detects momentum decay or statistical exhaustion (even if the trend hasn't fully reversed).
Usage: Recommended for tightening stops or closing positions early to preserve gains.
Overbought / Oversold:
Trigger: Fires when the ribbon extends into extreme zones.
Usage: Warning signal to prepare for a potential reversal or pullback.
💡 Secondary Confirmation (Confluence)
SAR+MACD Bullish:
Trigger: Fires when Parabolic SAR and MACD align bullishly with the main trend.
Usage: Ideal for Pyramiding (adding to an existing winning position).
SAR+MACD Bearish:
Trigger: Fires when Parabolic SAR and MACD align bearishly.
Usage: Ideal for adding to short positions.
⚠️ Chapter 7: Conclusion & Risk Disclosure
Methodological Synthesis
Impulse Reactor represents a shift from reactive price tracking to proactive energy analysis. By decomposing market activity into its atomic components — Volatility, Momentum, and Structure — and reconstructing them into a coherent decision model, the system aims to provide a quantitative framework for market engagement. It is designed not to predict the future, but to identify high-probability conditions where kinetic energy and trend structure align.
Disclaimer & Risk Warnings
◦ Educational Purpose Only
This indicator, including all associated code, documentation, and visual outputs, is provided strictly for educational and informational purposes. It does not constitute financial advice, investment recommendations, or a solicitation to buy or sell any financial instruments.
◦ No Guarantee of Performance
Past performance is not indicative of future results. All metrics displayed on the dashboard (including "Win Rate" and "P&L") are theoretical calculations based on historical data. These figures do not account for real-world trading factors such as slippage, liquidity gaps, spread costs, or broker commissions.
◦ High-Risk Warning
Trading cryptocurrencies, futures, and leveraged financial products involves a substantial risk of loss. The use of leverage can amplify both gains and losses. Users acknowledge that they are solely responsible for their trading decisions and should conduct independent due diligence before executing any trades.
◦ Software Limitations
The software is provided "as is" without warranty. Users should be aware that market data feeds on analysis platforms may experience latency or outages, which can affect signal generation accuracy.
JP7FX Signals ProJP7FX Signals Pro
Smart session signals based on structure, liquidity shifts and volatility filters.
Designed for use on the 1 minute timeframe.
What this tool does
This indicator builds signals around three things traders track every day.
• session ranges for Asia, Frankfurt, London and New York
• Fair Value Gap behaviour
• Supertrend shifts with volatility confirmation
The script draws each session range on your chart. It tracks when price breaks a session high or low, then checks if the market is above or below the daily open. These conditions help filter trades by direction during different sessions.
It also detects bullish and bearish Fair Value Gaps. The script tracks when an FVG forms, when price enters the imbalance and when it gets mitigated. These checks create part of the signal logic.
Supertrend is used as an extra filter. A crossover above or below the Supertrend gives a directional bias. When combined with session behaviour and FVG conditions, the script can mark possible long or short signals during London or New York.
How the signals form
A signal only prints when the script has all conditions in place.
This includes:
• a session range break in the correct direction
• a price position relative to the daily open
• confirmation from Supertrend
• FVG creation or mitigation on the right side of price
• liquidity taken in previous sessions
These rules reduce noise and avoid signals that appear in weak conditions.
What the indicator is for
• understanding how sessions behave on the 1 minute chart
• tracking liquidity behaviour
• seeing when a clean break and trend shift takes place
• getting notified when the market forms the conditions you set
This is not a buy or sell system on its own
Signals do not replace analysis. You still need market structure, higher timeframe direction, orderblocks or your own trade model.
A signal is only a prompt to look at the chart, not a confirmation to enter a trade.
Price can shift quickly around sessions, so check the context before acting on any alert.
Important notes
• designed for the 1 minute timeframe
• signals do not guarantee trend continuation
• conditions can form in strong or weak market phases
• use your own risk rules and validation before entering trades
JP7FX Signals Pro helps you track session behaviour and FVG interaction more efficiently, but trading decisions still need your full chart process.
Structure Breakout - Buy Sell IndicatorStructure Breakout - Buy Sell Indicator
📈 OVERVIEW:
A minimalist indicator that identifies market structure breakouts using swing point analysis.
Displays clear blue buy arrows and red sell arrows when price breaks key swing levels.
🔧 HOW IT WORKS:
1. Identifies swing highs and lows using configurable lookback period
2. Triggers BUY signal (blue arrow) when price closes above previous swing high
3. Triggers SELL signal (red arrow) when price closes below previous swing low
4. Uses clean visual arrows without cluttering the chart
⚙️ KEY FEATURES:
• Clean, uncluttered visual signals
• Customizable sensitivity period
• Blue arrows for buy signals (below bars)
• Red arrows for sell signals (above bars)
• No lagging repainting
• Works on all timeframes
🎯 TRADING APPLICATIONS:
• Swing trading entries
• Breakout confirmation
• Trend continuation signals
• Support/resistance breaks
⚡ SETTINGS:
• Structure Detection Period (default: 20) - Adjust sensitivity of swing detection
⚠️ RISK DISCLAIMER:
This is an educational tool. Always use proper risk management.
Past performance does not guarantee future results.
V-CORE Engine Free v1V-CORE Engine Free v1 — Public Release
This is a simplified trend-state visualiser from the V-CORE suite, designed for clean directional bias on crypto markets using 1H+ timeframes.
The engine runs fixed, non-editable internal logic with multi-stage trend confirmation.
No optimisation, no signals, no settings — just locked-in regime detection for educational and research use.
This free edition is a lightweight derivative of our internal V-CORE Engine architecture.
It includes only the essential background-state display while keeping all proprietary components sealed.
For additional V-CORE tools, future releases, or extended versions, please visit our TradingView profile.
Trend Follow Line Point📌 Trend Follow Line Point
The Trend Follow Line Point indicator removes the confusing, repainting-based swing connections commonly found in traditional swing tools.
It maintains consistent swing-point calculation, keeps structural swing lines intact even when trend lines are broken, and integrates market structure + trend + volatility + volume into one intuitive, visual indicator.
This tool is designed for:
Trend Following
Swing Structure Analysis
Volatility-Based Entry & Exit
Market Strength Evaluation
📊 Component Explanation
🔹 1. Swing High / Swing Low Detection
Based on the user-defined sensitivity (swgLen):
A Swing High forms when the current high exceeds the previous swgLen highs.
A Swing Low forms when the current low falls below the previous swgLen lows.
🔹 2. Swing-Based Structure Lines
Connect Swing Highs → Structural visualization
Connect Swing Lows → Structural visualization
These lines reveal the underlying market structure without repainting or disappearing unexpectedly.
🔹 3. Dynamic ATR + Volume Weighting
ATR values combined with the volume ratio (vol / volMA) create a dynamic volatility channel that reflects real-time market pressure.
🔹 4. Enhanced SuperTrend Calculation
Uses ATR-based stability to produce more realistic and smoother trend lines, reducing noise and improving signal clarity.
🔹 5. Trend Color Mapping
Up Trend → User-selected color
Down Trend → User-selected color
Visual trend direction and strength can be identified immediately.
🧭 How to Use
When Swing Highs/Lows are detected, structure lines are automatically drawn between previous swings.
Use these lines to evaluate support/resistance breaks and overall structural direction.
Manage risk with volatility guidance:
Higher ATR (volume-weighted) → wider trend spacing → increased risk
Lower ATR → tighter spacing → reduced risk
This helps with position sizing, entry timing, and exit decisions.
+
Triple Screen System [FlexibleMAs MACD-RSI-ADX]#### Triple Screen System (TSS-FMR)
The TSS-FMR script is a specialized, multi-timeframe confirmation tool built for Swing, Positional Traders, and Longer Term Investors. It is engineered to filter out low-conviction noise by implementing an advanced interpretation of the Elder's Triple Screen strategy, relying on proprietary momentum, volatility, and volume analysis to isolate high-probability setups.
---
#### 🧠 Core Methodology & Logic
The TSS-FMR synthesizes three distinct layers of confirmation to generate signals:
1. Macro Trend & Volatility: Determines the primary trend and overall market condition using configurable EMA+RSI metrics , the script uses Average Directional Index (ADX) as an internal component to filter out non-trending, consolidating market conditions.
2. Momentum Synchronization: A proprietary filter requiring MACD,MAs and RSI to be synchronized * within a specified bar window (`MACD/RSI Sync Window`) ensures that entries align with current short-term momentum shifts.
3. Volume & Price Action: Final entry is triggered only when the higher timeframes align and the entry timeframe (Daily or 4H) confirms the move, optionally requiring * Candle Confirmation * and filtering out low-quality trades using the * Volume Filter *
The key is the separation of input thresholds and lengths for Weekly and Daily lookbacks, allowing for precise tuning unavailable in standard public libraries.
---
#### 🎯 Understanding Signal Strength & Conviction
Signals are categorized using a proprietary Strength scale (from Overbought/Oversold to 6) to help traders gauge the potential size and probability of the momentum move, This scale is dynamically influenced by the ADX volatility readings.
#### 🔍 Integrating External Visual Tools (Addressing Rule: Vendor/Chart)
The TSS-FMR generates signals based solely on its internal logic and inputs .*
We recommend overlaying the TSS-FMR signals with external tools (such as the Lux Algo SmartMoneyConcepts indicator or similar public S/R tools) for visual confirmation only :
* Signals (2, 3, 4) + CHOCH/BOS: * A signal with lower internal strength (2-4) gains stronger conviction if it aligns precisely with a CHOCH or BOS event visually identified by the external tool. This confirms that the market structure is validating the script's momentum reading.
Zone Confirmation: When signals land precisely within visually defined Liquidity or Accumulation/Distribution Zones (provided by external visual tools), it adds significant conviction to the TSS-FMR's output.
The *Overbought/Oversold regions* are decided based on the script's internal strength calculation and prevailing price action.
#### Summary:
--- This script is for Swing, Positional Traders and Longer Term Investors
--- It will only work with Monthly,Weekly, Daily and 4H chart to help you make confirmation based positions.
--- Sell Signals are Overbought Exits and Short sell signals, Plan according to Weekly Signals and Daily signals
--- Use the Momentum Table/matrix at the right top of the chart when TSS indicator is active.
--- Use Volume Filter enable to remove chaos of signals
--- Keep *Lux Algo -SmartMoneyConcepts* indicator active for visual of zones
--- Adjust Volume Filter in Settings to avoid crowding of signals
--- Adjust Input signal length to select number of history bars
--- Watch-out for Weekly 100ema Line and
--- Watch-out for Sell Signals, in discount region they are marked as Buy oversold or moderate, vise versa Sell Overbought signals are added to the charts.
--- To earn money, we need to look out for early signals, fake breakouts, breakdowns and what we want the table/matrix turning all green or red in Momentum trades.
---
#### House Rule Compliance Statement
This script description is provided strictly for technical clarity. It is free from all promotional content, external links, contact information, social media references, and solicitations, as per TradingView's General House Rule #2. The justification for its closed-source nature is based on its proprietary signal synchronization logic and flexible, multi-timeframe implementation.
Bottom Up - Reverso ProReverso Pro by Bottom Up - Excess is the signal. Reversion is the edge.
Reverso is a mean reverting indicator that identifies market excesses and signals reversals for highly probable retracements to an average value.
Reverso's algorithm is extremely precise because it also takes into account the historical volatility of the instrument and constantly recalibrates itself dynamically without repainting.
This tool is suitable for mean-reversion traders who want to study EMA reactions, understand market trends, and refine entry/exit strategies based on price-memory dynamics.
Why Reverso Pro is different (This isn’t just another indicator)
Zero repainting – What you see is what you get. No tricks, no redraws, ever.
Dynamically adapts to the historical volatility of the instrument — works the same on Forex, stocks, indices, or some random crypto.
Constant real-time recalibration — adjusts instantly to volatility regime changes.
Fully adjustable sensitivity — From machine-gun signals for brutal scalping to only the most extreme deviations for monster-probability swing trades.
Native multi-timeframe control — Choose the timeframe used for signal calculation (5 min, 1H, daily, or custom). Reverso bends to your style.
When a Reverso signal fires:
Price has reached a statistically extreme deviation from its historical memory.
The probability of a snapback to the mean is at its peak.
It’s time to go counter-trend with the lowest risk and the highest reward possible.
Customization Options
You can use it on any timeframe and instrument.
You can customize also the timeframe over which the signals are processed to suit very fast scalping trading or to intercept slower and longer movements for swing trading.
The sensitivity of the indicator can also be customized to emit multiple signals or identify only the most extreme levels of deviation from the mean.
Add to chart. Turn on alerts. Happy trading!
Bottom Up - The Ecosystem Designed for Traders
bottomup.finance
Viprasol Elite Advanced Pattern Scanner# 🚀 Viprasol Elite Advanced Pattern Scanner
## Overview
The **Viprasol Elite Advanced Pattern Scanner** is a sophisticated technical analysis tool designed to identify high-probability double bottom (DISCOUNT) and double top (PREMIUM) patterns with unprecedented accuracy. Unlike basic pattern detectors, this elite scanner employs an AI-powered quality scoring system to filter out false signals and highlight only the most reliable trading opportunities.
## 🎯 Key Features
### Advanced Pattern Detection
- **DISCOUNT Patterns** (Double Bottoms): Identifies bullish reversal zones where price may bounce
- **PREMIUM Patterns** (Double Tops): Detects bearish reversal zones where price may decline
- Multi-point validation system (5-point structure)
- Symmetry analysis with customizable tolerance
### 🤖 AI Quality Scoring System
Each pattern receives a quality score (0-100) based on:
- **Symmetry Analysis** (32% weight): How closely the two bottoms/tops match
- **Trend Context** (22% weight): Strength of the preceding trend using ADX
- **Volume Profile** (22% weight): Volume confirmation at key points
- **Pattern Depth** (16% weight): Significance of the pattern's price range
- **Structure Quality** (16% weight): Overall pattern formation quality
Quality Grades:
- ⭐ **ELITE** (88-100): Highest probability setups
- ✨ **VERY STRONG** (77-87): Strong trade opportunities
- ✓ **STRONG** (67-76): Valid patterns with good potential
- ○ **VALID** (65-66): Acceptable patterns meeting minimum criteria
### 🎯 Intelligent Target System
Three target modes per pattern direction:
- **Conservative**: 0.618 Fibonacci extension (safer, closer targets)
- **Balanced**: 1.0 extension (moderate risk/reward)
- **Aggressive**: 1.618 extension (higher risk/reward)
Targets automatically adjust based on pattern quality score.
### 🔧 Advanced Filtering Options
- **Volatility Filter (ATR)**: Excludes patterns during extreme volatility
- **Momentum Filter (ADX)**: Ensures sufficient trend strength
- **Liquidity Filter (Volume)**: Confirms adequate trading volume
### 📊 Pattern Lifecycle Management
- Real-time neckline tracking with extension multiplier
- Pattern invalidation after extended wait period
- Breakout/breakdown confirmation
- Reversal detection (pattern failure scenarios)
- Target achievement tracking
### 🌈 Premium Visual System
- Color-coded quality levels
- Cyber-themed color scheme (Neon Green/Hot Pink/Purple/Cyan)
- Transparent fills for pattern zones
- Dynamic labels with pattern information
- Elite dashboard showing live pattern stats
## 📈 How To Use
### Basic Setup
1. Add indicator to your chart
2. Enable desired patterns (DISCOUNT and/or PREMIUM)
3. Adjust quality threshold (default: 65) - higher = fewer but better signals
4. Set your preferred target mode
### Trading DISCOUNT Patterns (Bullish)
1. Wait for pattern detection (labeled points 1-4)
2. Check quality score on dashboard
3. Entry on breakout above neckline (point 5)
4. Stop loss below the lowest bottom
5. Target shown automatically based on your mode
6. ⚠️ Watch for pattern failure (break below bottoms = SHORT signal)
### Trading PREMIUM Patterns (Bearish)
1. Wait for pattern detection (labeled points 1-4)
2. Check quality score on dashboard
3. Entry on breakdown below neckline (point 5)
4. Stop loss above the highest top
5. Target shown automatically based on your mode
6. ⚠️ Watch for pattern failure (break above tops = LONG signal)
## ⚙️ Input Settings Guide
### 🔍 Detection Engine
- **Left/Right Pivots**: Higher = fewer but cleaner patterns (default: 6/4)
- **Min Pattern Width**: Minimum bars between bottoms/tops (default: 12)
- **Symmetry Tolerance**: Max % difference allowed between levels (default: 1.8%)
- **Extension Multiplier**: How long to wait for breakout (default: 2.2x pattern width)
### ⭐ Quality AI
- **Min Quality Score**: Only show patterns above this score (default: 65)
- **Weight Distribution**: Customize what matters most (symmetry/trend/volume/depth/structure)
### 🔧 Filters
- **Volatility Filter**: Avoid choppy markets (recommended: ON)
- **Momentum Filter**: Ensure trend strength (recommended: ON)
- **Liquidity Filter**: Volume confirmation (recommended: ON)
### 💎 Target System
- Choose target aggression for each pattern type and direction
- Higher quality patterns get adjusted targets automatically
## 🎨 Visual Customization
- Adjust colors for DISCOUNT/PREMIUM patterns
- Set quality-based color coding
- Customize label sizes
- Toggle dashboard visibility and position
- Show/hide historical patterns
## 🚨 Alert System
Set up TradingView alerts for:
- 🚀 **LONG Signals**: DISCOUNT breakout, PREMIUM failure
- 📉 **SHORT Signals**: PREMIUM breakdown, DISCOUNT failure
- ✅ **Target Achievement**: When price hits your target
## 💡 Pro Tips
1. **Higher Timeframes = Better Signals**: Patterns on 4H, Daily, Weekly are more reliable
2. **Quality Over Quantity**: Focus on ELITE and VERY STRONG grades
3. **Combine with Trend**: DISCOUNT in uptrend, PREMIUM in downtrend = best results
4. **Watch Pattern Failures**: Failed patterns often provide strong counter-trend signals
5. **Adjust for Your Style**: Intraday traders use Conservative, swing traders use Aggressive
## 🔒 Pattern Invalidation
Patterns become invalid if:
- No breakout/breakdown within extension period
- Support/resistance levels are broken prematurely
- Pattern shown in faded colors = no longer active
## ⚠️ Risk Disclaimer
This indicator is a tool for technical analysis and does not guarantee profitable trades. Always:
- Use proper risk management
- Combine with other analysis methods
- Never risk more than you can afford to lose
- Past performance does not indicate future results
DeepClean Linear indicator 1. Indicator Name
DeepClean Linear indicator
2. One-Line Introduction
A trend-recognition indicator that overlays a “transparent wave” on price, removing noise and revealing directional bias and trend intensity in a highly intuitive visual form.
3. Overall Summary
The DeepClean Linear indicator calculates trend direction using changes in linear regression slope and determines trend strength by comparing how consistently the regression line moves over a defined lookback window.
Rather than merely identifying trend direction, the indicator applies a triple-layer noise-filtering process (EMA → SMA → RMA) to produce a clean, wave-shaped data line that filters out unnecessary market noise.
This transparent wave sits directly on top of price, allowing traders to visually compare price movement and trend strength at the same time.
A stronger trend results in a taller, thicker wave, while weakening momentum causes the wave to thin, making it easier to spot trend continuation, exhaustion, or upcoming reversal.
Color automatically shifts based on trend:
Bright cyan/teal during bullish conditions
Reddish tones during bearish conditions
Transparency dynamically adjusts depending on strength
The indicator excels at identifying the true underlying trend by ignoring minor fluctuations and is well suited for scalping, swing trading, and position trading.
It also significantly reduces false signals in ranging markets, making it ideal for trend-following strategies.
4. Advantages
① Ultra-Clean Noise-Reduced Wave
Utilizes a 3-stage smoothing filter (EMA → SMA → RMA) to produce a much cleaner wave than standard moving averages, highlighting only core trend movement.
② Trend Direction & Strength at a Glance
Based on comparative linear regression behavior, the indicator quantifies both direction and strength, making convergence/divergence highly visible.
③ Intuitive Price Overlay Visualization
The semi-transparent wave sits directly on price action, allowing traders to instantly see divergence from price, trend weakening, or early turning points.
④ Dynamic Transparency Coloring
Strong trends appear bold and intense, while weaker trends fade visually—making signal interpretation effortless.
⑤ Excellent Range Filtering
During low-direction phases (state = 0), the wave turns neutral, preventing forced or premature entries.
⑥ Multi-Timeframe Compatibility
The wave remains stable from 1-minute to weekly charts, making it suitable for trend analysis, execution, and risk control across all timeframes.
📌 Core Concept Overview
The indicator evaluates the relative comparison of linear regression values over the last n periods.
A positive trend value indicates bullish bias
A negative trend value indicates bearish bias
Intensity represents strength and controls wave height
waveTop / waveBot define the visual wave area relative to price
State Values
1 = Bullish Trend
-1 = Bearish Trend
0 = Neutral / Weak Direction
⚙️ Settings Overview
Option Description
Trend Lookback (n) Comparison window for regression slope. Higher = bigger trend focus.
Range Tolerance (%) Strength threshold to classify bullish/bearish movement. Higher = more conservative.
Source Price source for regression calculations.
Linear Reg Length Length of the linear regression.
Noise Filter Strength (smoothK) Controls the smoothing intensity. Higher = smoother wave.
Wave Amplitude (amp) Adjusts the height/thickness of the wave.
Bull/Bear Color Colors for bullish/bearish waves.
Base Transparency Base opacity level; modified dynamically by trend strength.
📈 Bullish Timing Recognition Examples
Wave begins turning brighter teal and more opaque, indicating strengthening upward pressure.
waveTop expands above price, signaling early trend expansion.
State flips to 1, often marking a trend restart or early reversal phase.
A steadily rising wave height suggests sustained bullish momentum.
📉 Bearish Timing Recognition Examples
Wave shifts into red tones, showing bearish dominance.
waveBot expands below price, indicating rising downside volatility.
State stays at -1 while intensity increases, signaling entry into strong downtrend conditions.
A shift from weak → strong bearish intensity can provide short-entry timing cues.
🧪 Recommended Usage
Use as a core component in trend-following systems
Adjust position size based on wave thickness (trend strength)
Combine with RSI/MACD to reduce false signals during overbought/oversold zones
Sudden wave expansion during volatility increases helps detect trend acceleration
In sideways markets, frequent state = 0 readings help avoid low-probability trades
🔒 Important Notes
As a trend-based indicator, it may misread choppy/ranging markets
Because of smoothing, signals may appear slightly delayed
Extreme news volatility can temporarily distort trend clarity






















