BINANCE 15m Alt Breakout Radar (TABLE)BINANCE 15m Alt Breakout Radar (TABLE) "At the 15th installment of Binance Altcoin Breaking High + Explosive Volume + Surging Stock View at a glance with **indicator (table)**, not alarm"אינדיקטור Pine Script®מאת kamsakang3
TSS Garuda 2TSS GARUDA will give you clear trend for bullish and bearish moves.אינדיקטור Pine Script®מאת adityakumar33614
Custom Long ProjectionDo custom Long Projection Do custom Long Projection Do custom Long Projection Do custom Long Projection Do custom Long Projection Do custom Long Projection Do custom Long Projection Do custom Long Projection Do custom Long Projection Do custom Long Projection Do custom Long Projection Do custom Long Projection Do custom Long Projection Do custom Long Projectionאינדיקטור Pine Script®מאת Kestino17
VWAP --S/W/M/Q/Y-- (mk)VWAP — S / W / M / Q / Y (mk) This indicator plots multi-timeframe anchored VWAPs on a single chart, allowing you to view Session, Weekly, Monthly, Quarterly, and Yearly VWAPs simultaneously, each with optional standard-deviation bands. It is designed for traders who use VWAP as a fair value reference across multiple market horizons and want higher-timeframe context without switching charts. 🔹 What it shows Session VWAP (daily reset) Weekly VWAP Monthly VWAP Quarterly VWAP Yearly VWAP Each VWAP can be enabled or disabled individually. 🔹 VWAP Bands For every VWAP, the indicator can optionally plot: ±1 standard deviation ±2 standard deviations ±3 standard deviations These bands help identify: Overextended price moves Mean-reversion zones Higher-timeframe support and resistance 🔹 Key Features True anchored VWAP using volume-weighted calculations Automatic resets based on timeframe changes Clean, color-coded levels for each timeframe Independent visibility controls for each VWAP and its bands Works on any market and timeframe with volume data 🔹 How to use it Use higher-timeframe VWAPs (Monthly / Quarterly / Yearly) as major bias and balance levels Use Session and Weekly VWAPs for intraday execution and mean-reversion setups Combine VWAP confluence across timeframes for high-probability zones Watch price behavior around ±1 / ±2 / ±3 bands for acceptance or rejectionאינדיקטור Pine Script®מאת eliteeways6
MTF Confluence Reporter - Trend & Momentum AlignmentThis indicator is a multi-timeframe confluence dashboard designed to answer one question clearly: “Across my key timeframes, is the market leaning Bullish, Bearish, or Mixed—and how strong is that lean?” It combines two separate “votes” per timeframe: 4MA Direction (trend alignment / slope bias) StochRSI State (momentum bias) Those votes are then blended into a single Confluence result, shown as a clean readout with a 0–100 Strength score, plus hysteresis to reduce flicker near the decision boundary. What you see in the table 1) 4MA This is the trend component. It summarizes whether the selected timeframes are generally Bull or Bear based on the moving-average direction logic (your 4MA engine). 2) Stoch This is the momentum component. It summarizes whether StochRSI across the selected timeframes is leaning Bull or Bear. 3) Qualified (YES/NO) A safety gate. “Qualified = YES” means the internal conditions required for a valid confluence read are met (i.e., enough alignment/consistency to treat the output as actionable). If it’s NO, treat the market as mixed / transitional and tighten risk. 4) Strength (0–100) Your blended score (trend + momentum). Higher = stronger agreement across timeframes. A simple way to interpret it: 80–100: Strong alignment (clean regime) 60–79: Moderate alignment (tradable, but expect chop) 50–59: Weak / transitioning (be cautious) < 50: Bearish side of the regime logic (or mixed turning down) 5) Strength Bar A visual “battery meter” for the Strength score. This is meant to be read at a glance during fast decision-making. 6) Confluence (BULL/BEAR) The actual regime output. This is the “final answer” based on the Strength score and hysteresis rules. 7) Hysteresis (Enter / Exit thresholds) This is the anti-flicker system. Example shown on the chart: Enter > 60 Exit < 50 Meaning: The script only “flips ON” a Bull regime when strength becomes convincingly Bullish (above 60). It won’t “flip OFF” until strength meaningfully weakens (below 50). This reduces rapid flipping during 50/50 conditions. How to use it (practical workflow) Step 1 — Use Confluence as your “market mode” BULL: Favor longs, trend-following entries, buying pullbacks. BEAR: Favor defense, shorts/hedges (if you trade them), or wait for reset. Qualified = NO: Reduce size, tighten stops, or wait—conditions are not clean. Step 2 — Use Strength to time aggressiveness Strength rising: Momentum is joining trend → entries tend to have better follow-through. Strength falling: Alignment is fading → take profit quicker or tighten risk. Step 3 — Use hysteresis as your “noise filter” If you’re a swing trader, hysteresis is your friend: Don’t overreact to a single bar change. Let the regime confirm and stay confirmed. Best use-cases Swing trading / position bias (daily/weekly context) Hedge decisions (when alignment flips and stays flipped) Filtering entries from other tools (only take signals that match the regime) Settings notes: This script is designed to be flexible: You can choose which timeframes matter most to you (commonly 1H / 4H / 1D / 1W / 1M). If your version includes weighting, you can tune weights to match your trading style (short-term vs swing). Thresholds (Enter/Exit) can be tightened for faster flips or widened for smoother regimes. Important notes / disclaimer (TradingView-safe) This tool is an informational confluence dashboard, not financial advice. No indicator can predict the future. Always confirm with market structure, risk management, and your own plan. Past behavior on a chart does not guarantee future results. How I Use This Indicator (Example Workflow) I use this tool primarily as a market-bias and risk-filter, not as a standalone entry signal. Establish the regime first I start by checking the Confluence row: BULL: I focus on long-side ideas and bullish continuation setups. BEAR: I become defensive, avoid counter-trend trades, or look for short/hedge opportunities where applicable. Qualified = NO: I treat the market as transitional and reduce risk. Use Strength to adjust aggressiveness When Strength is elevated and rising, I am more comfortable holding positions and allowing trades more room to develop. When Strength is declining, I tighten stops, reduce position size, or manage trades more actively. Let hysteresis do the work I do not react to every minor fluctuation near the midpoint. The built-in hysteresis thresholds help me stay aligned with the prevailing regime instead of over-trading during indecision. Entries come from other tools Actual entries are taken using price structure, support/resistance, or other indicators. This dashboard simply tells me whether the broader environment supports that idea or not. In short, I treat this indicator as a context and confirmation layer—it helps answer when to be aggressive, cautious, or patient.אינדיקטור Pine Script®מאת Dinjin21
Sessions USASessions indicator for time frames for US stock indicesאינדיקטור Pine Script®מאת Yurii_Kviatkovskyi30
NQ2K# Intelligent Trend Identification **Adaptive Channels**: Utilizes dynamically adjusted volatility channels that automatically optimize parameters based on market volatility **Bull-Bear Judgment**: Monitors trend direction changes in real-time, accurately capturing bull-to-bear conversion opportunities **Signal Confirmation**: Multiple condition verification ensures the reliability of trading signals # ⏰ Precise Timing Control **Scheduled Execution**: Built-in intelligent timing trading system that automatically executes during optimal periods **Cross-day Processing**: Comprehensive handling of overnight positions and cross-trading day logic **Time Filtering**: Customizable trading time windows to focus on high-probability periods # 🛡️ Strict Risk Control System **Automatic Stop Loss**: Risk control mechanism based on fixed percentage **Position Management**: Zero pyramiding strategy, strictly controlling single exposure risk **Real-time Monitoring**: Continuous tracking of position status, timely execution of risk control measures # 📊 Professional Visualization **Trend Visualization**: Clearly displays current trend direction and strength **Signal Marking**: Intuitive buy/sell point markers and trend conversion prompts **Candlestick Coloring**: Real-time candlestick color changes reflect bull-bear power comparison # Applicable Markets **Main Products**: Stock index futures, commodity futures, forex, and other products with moderate volatility **Time Frames**: Suitable for multiple time periods, recommended for daily or 4-hour charts **Market Conditions**: Particularly suitable for markets with clear trends and moderate volatility # Strategy Advantages **Clear Rules**: All trading logic is fully quantified, avoiding subjective judgment interference **Strong Adaptability**: Dynamic parameter adjustment mechanism adapts to different market environments **Rigorous Execution**: Strict timing control and risk management system **Intuitive and Easy to Use**: Clear chart displays and signal prompts for easy monitoring and decision-makingאסטרטגיית Pine Script®מאת winds110
Pips Signals with Alert From B#/S#Pips Signals B#/S# – Price‑Based Sequential Signal System Pips Signals B#/S# is a price‑action‑driven indicator that generates sequential buy and sell signals based purely on pip movement, without relying on traditional oscillators or lagging indicators. It is designed for traders who prefer clean, rule‑based signals derived directly from market structure and price expansion. How It Works The indicator tracks the distance between the current price and the most recent signal. When price moves a user‑defined number of pips away from the last signal, a new signal is generated: • B1, B2, B3… for consecutive bullish signals • S1, S2, S3… for consecutive bearish signals If price continues in the same direction, the sequence number increases. If price reverses by the required pip distance, the sequence resets and flips direction. This makes the tool useful for identifying momentum continuation as well as structured reversals. Key Features • Pure price‑action logic based on pip distance • Sequential labeling (B#/S#) to visualize directional strength • Configurable pip size and signal distance • Customizable label size and colors • Alerts that can trigger starting from a specific sequence number • Works on all markets and timeframes • No repainting — signals only appear after price completes the required movement Why It’s Useful This indicator helps traders track directional expansions, identify momentum continuation, spot structured reversals, and filter noise by requiring a minimum pip movement before any signal appears. It is suitable for scalpers, intraday traders, and swing traders who want a clean, objective method to monitor directional price movement. Notes This tool does not predict future price movement. It provides a systematic way to visualize and quantify directional shifts based on pip expansion, allowing traders to incorporate it into their own strategies and risk‑management rules. אינדיקטור Pine Script®מאת nmroe2
Chaos Chameleon Risk Reactor [JOAT]# Chaos Chameleon Risk Reactor Chaos Chameleon Risk Reactor is a Pine Script v6 indicator that fuses pattern-based reversal detection with real-time risk telemetry. It answers two questions on every chart: Is a reversal developing with genuine confluence? And if I take it, what does my risk profile look like right now? Note: This script is published as an invite-only INDICATOR. It does not generate backtesting results or automated trade execution. Access requires authorization through the script's access control settings. ## Why This Script Merits Invite-Only Protection This indicator combines multiple analytical dimensions that individually exist as separate tools across the trading community. The value proposition lies in the specific integration methodology and risk-gated scoring system that synthesizes: Pattern intelligence engine detecting 10 candlestick patterns with weighted scoring and configurable thresholds Multi-timeframe confirmation using dual higher timeframes with adjustable weight multipliers Volatility context engine with shock index, compression detection, and squeeze identification Risk architecture calculating VaR proxy, drawdown tracking, heat metrics, and position sizing guidance Signal gating logic requiring pattern score + RR + volume + trend alignment before any signal fires Persistent risk console dashboard displaying 28 real-time metrics across 14 rows The proprietary elements include the mathematical scoring normalization system, the volatility penalty multipliers during shock conditions, the priority-based label cooldown system preventing overlap, and the multi-module integration logic that prevents conflicting signals. While individual components like EMAs and RSI are standard, their specific combination, the composite risk-gated methodology, and the multi-module integration represent original development work that justifies source code protection. ## How Components Work Together The indicator's value comes from how its modules interact, not from any single component: Data Flow: Pattern detection identifies candlestick formations and assigns weighted scores (0-20 scale) Multi-timeframe EMAs establish directional bias across primary and secondary confirmation timeframes Volatility engine assesses shock conditions and compression states, applying penalty multipliers Risk architecture calculates RR ratios, VaR proxy, drawdown, and heat metrics Signal gating requires ALL conditions to align before any entry signal appears Dashboard displays all metrics persistently so risk is never hidden during trade management Integration Logic: Each module produces normalized scores that feed into the final signal decision: Pattern score normalized to 0-1 scale against 20-point maximum EMA trend bias applies 1.0x multiplier when aligned, 0.6x when counter-trend RSI momentum applies 1.0x when favorable (>55 bull, <45 bear), 0.8x otherwise Volatility shock applies 0.92x penalty during active shock conditions Final signal requires smoothed score ≥ 0.55, RR ≥ floor, volume confirmed, EMA aligned, no emergency Why This Integration Matters: A standard pattern detector might signal "buy" on a hammer while volatility is in shock mode, RR is below minimum, and volume is below baseline. The risk-gated scoring system catches these conflicts and suppresses the signal. This multi-dimensional validation is what separates this indicator from simple pattern detectors that fire on any match. ## Core Functionality This indicator addresses the challenge of combining reversal detection with persistent risk visibility. Most pattern indicators show entries but leave risk management to guesswork. This script keeps risk math in your field of view throughout the trade. What This Script Does: Detects 10 candlestick patterns: Hammer, Inverted Hammer, Doji, Bullish/Bearish Engulfing, Morning Star, Evening Star, Piercing Pattern, Dark Cloud Cover, Tweezer Top/Bottom, Continuation Flags Multi-timeframe confirmation using two configurable higher timeframes with weight multipliers RSI divergence detection at confirmed pivot points with configurable pivot span Liquidity sweep identification when price breaks recent extremes then reverses Volatility shock detection combining body-to-ATR ratio with ATR expansion metrics Squeeze/compression detection tracking ATR relative to baseline Risk/Reward calculation using ATR-based stop and target projections VaR proxy calculation using log-return standard deviation with configurable confidence levels Drawdown and heat tracking as exposure proxies with emergency thresholds Position sizing guidance based on account size and risk per trade percentage Adaptive trailing stop that updates as price moves favorably 28-metric risk console dashboard with real-time updates ## Technical Architecture ### Pattern Intelligence Module The indicator detects 10 candlestick patterns with configurable parameters and weighted scoring: Hammer/Inverted Hammer (weight: 2.0) - Configurable lower shadow ≥ body × 2.5, upper shadow ≤ body × 0.5, body ≤ range × 0.35 Doji (weight: 0.5) - Body ≤ range × 0.1 threshold Bullish/Bearish Engulfing (configurable weight, default: 1.5) - Current candle engulfs prior candle body Morning Star/Evening Star (weight: 1.8) - Three-candle reversal with doji middle Piercing Pattern/Dark Cloud Cover (configurable weight, default: 1.1) - Two-candle reversal patterns Tweezer Top/Bottom (configurable weight, default: 1.0) - Equal highs/lows within 15% tolerance Continuation Flags (configurable weight, default: 0.75) - 7-bar high/low with volume confirmation Each pattern contributes to a cumulative score (0-20 scale) that gets normalized, filtered through trend/volume confirmation, and penalized during volatility shock before any signal appears. ### Multi-Timeframe Confirmation Engine The script uses two confirmation timeframes to establish directional bias: Primary Confirmation Timeframe (default: 240m/4H) - Higher TF Weight multiplier (default: 1.5x) Secondary Confirmation Timeframe (default: 60m/1H) - Secondary TF Weight multiplier (default: 1.0x) MTF data uses request.security with lookahead_off to prevent future data leakage. EMA bias from higher timeframes increases pattern score weight. RSI values from both timeframes are fused into a consensus score for composite confidence calculation. ### Volatility Context Engine Shock Index - Combines body-to-ATR ratio (threshold: 1.8x) with ATR expansion relative to baseline (threshold: 1.4x) Compression Lab - Tracks ATR compression ratio (lookback: 21 bars, threshold: 0.85) to identify squeeze conditions Squeeze Detection - Identifies when compression ratio falls below threshold; tracks squeeze initiation and release Volatility Penalty - During active shock, pattern scores receive 0.92x multiplier to reduce false signals ### Risk Architecture Risk/Reward Calculation - Uses ATR × Exit Stop Multiplier (default: 1.2) for stop, ATR × Exit Target Multiplier (default: 2.4) for target VaR Proxy - Log-return standard deviation × Z-score (90%: 1.28, 95%: 1.65, 99%: 2.33) × √horizon days × account size Drawdown Tracking - Percentage decline from highest close over lookback period (default: 200 bars) Heat Metric - ATR% × correlation factor as exposure proxy Emergency Exit - Triggers when drawdown ≥ threshold (default: 12%), heat ≥ threshold (default: 18%), or RR below floor Position Sizing - (Account size × risk%) ÷ dollar risk per share ### Signal Gating Logic A signal only prints when ALL conditions align: Smoothed pattern score ≥ 0.55 (normalized) Risk/Reward ≥ minimum floor (default: 1.6) Volume > baseline × confirmation multiplier (default: 1.25x) EMA bias confirms direction (Fast EMA vs Slow EMA alignment) No emergency condition active ### Exit Engineering EMA Exit - Price crosses EMA with ATR buffer (default: 0.25 ATR) Time Exit - Configurable bar count since signal (default: 120 bars) Emergency Exit - Drawdown, heat, or RR threshold breach Adaptive Trailing Stop - ATR × trail multiplier (default: 0.85), updates as price moves favorably ### Priority-Based Label System A cooldown mechanism (default: 8 bars) prevents label overlap. Labels are prioritized: Priority 1: Bull/Bear Signal (Long/Short labels with score) Priority 2: RSI Divergence (RSI Div triangles) Priority 3: Liquidity Sweep (Sweep arrows) Priority 4: Continuation (Flag circles) Priority 5: EMA Exit (EMA Exit crosses) Priority 6: Time Exit (Time Exit diamonds) Priority 7: Burst (compression release diamonds) Only the highest priority signal displays per cooldown period. ## Visual Elements Primary Source as Open with Confirmation TimeFrames as 4hr and Daily. Signal Labels: "Long" / "Short" - Primary entry signals when all gating conditions pass, displays smoothed score (0.00-1.00) Pattern Markers: "Sweep" (Arrow up/down) - Liquidity sweep detected, price broke recent extreme then reversed "RSI Div" (Triangle up/down) - RSI divergence at confirmed pivot points "Flag" (Circle) - Continuation pattern with volume confirmation "Burst" (Diamond at top) - Compression release, squeeze ending "Pred" (Flag shape) - Predator mode: bull signal + low heat + ADX > 25 + no squeeze "EMA Exit" (Cross) - Price crossed EMA with ATR buffer "Time Exit" (Diamond) - Time-based exit threshold reached "Emergency" (X-cross at top) - Emergency exit conditions active Camouflage Bands: EMA-based bands (default: 34-period) with ATR envelopes (default: 1.8x multiplier): Above upper band = bullish tone (lime color) Inside bands = neutral tone (gray color) Below lower band = bearish tone (red color) Transparency adjusts dynamically based on distance from midline Execution Guides: Stop line (red) - ATR × Exit Stop Multiplier from entry Target line (green) - ATR × Exit Target Multiplier from entry Trail line (yellow) - Adaptive trailing stop, updates as price moves favorably Bias Bar Coloring: Bars colored based on net bias (bull score minus bear score). Emergency conditions override with red. Transparency reflects bias magnitude. Background Tint: Red tint - Emergency exit conditions active Gray tint - Squeeze/compression active ## Risk Console Dashboard Showing Emergency Bearish Signals, and Burst into Bullish Structure on Chart: The dashboard displays 28 metrics across 14 rows in a 4-column table (bottom-right position): Row 1 - Pattern Scores: Bull Score - Current bullish pattern strength (0.00-1.00) Bear Score - Current bearish pattern strength (0.00-1.00) Row 2 - Volatility & Trend: ATR% - ATR as percentage of price ADX - Average Directional Index strength Row 3 - Risk/Reward: RR Long - Risk/Reward ratio for long positions RR Short - Risk/Reward ratio for short positions Row 4 - Exposure Metrics: Drawdown% - Chart-level drawdown from highest close Heat% - Volatility-based exposure proxy Row 5 - Bias Analysis: Net Bias - Bull score minus bear score Confidence - Level (High/Medium/Developing/Forming) with bias label (Bullish/Bearish/Balanced) Row 6 - Risk Metrics: VaR - Value at Risk proxy with configured confidence level Shock - Volatility shock status with multiplier (Active/Calm) Row 7 - Momentum: Slope - Smoothed RSI momentum slope Div / Sweep - Last divergence and sweep events Row 8-9 - Execution Levels: Stop L / Stop S - Current stop levels for long/short Trail L / Trail S - Adaptive trailing stop levels Row 10 - Position Sizing: Pos Size L / Pos Size S - Recommended position sizes based on account and risk settings Row 11 - Exit Status: Emergency - Emergency exit status (ACTIVE/Clear) Time Exit - Time-based exit status (Pending/n/a) Row 12 - Performance Proxies: Sharpe* - Sharpe ratio proxy (annualized from chart data) Sortino* - Sortino ratio proxy Row 13 - Additional Metrics: Hit Rate - Win rate proxy from chart data Camouflage - Band position (Above/Inside/Below) + Squeeze status (Coiled/Expansion/Normal) with compression ratio Proxy Disclaimer: VaR, Sharpe, Sortino, and Hit Rate are derived from chart data with simplified assumptions. They provide context, not audited performance statistics. ## Complete Configuration Reference Customized Settings with a new Primary Source, and New Risk: ### Trend & Confirmation Group Primary Source (default: close) - Price source for calculations. Options: open, high, low, close, hl2, hlc3, ohlc4, hlcc4 Fast EMA Length (default: 21) - Fast exponential moving average period Slow EMA Length (default: 55) - Slow exponential moving average period Confirmation Timeframe (default: 240/4H) - Primary higher timeframe for trend confirmation Higher TF Weight (default: 1.5) - Weight multiplier for primary timeframe signals Secondary Confirmation TF (default: 60/1H) - Secondary timeframe for additional confirmation Secondary TF Weight (default: 1.0) - Weight multiplier for secondary timeframe signals Pattern Score Smoothing (default: 3, range: 1-15) - EMA smoothing applied to pattern scores ### Pattern Intelligence Group Hammer Lower Shadow ≥ Body × (default: 2.5) - Minimum lower shadow to body ratio for hammer detection Hammer Upper Shadow ≤ Body × (default: 0.5) - Maximum upper shadow to body ratio for hammer detection Hammer Body ≤ Range × (default: 0.35) - Maximum body to candle range ratio for hammer detection Doji Body ≤ Range × (default: 0.1) - Maximum body to range ratio for doji detection Engulfing Weight (default: 1.5) - Score weight for engulfing patterns Continuation Pattern Weight (default: 0.75) - Score weight for continuation patterns Piercing / Dark Cloud Weight (default: 1.1) - Score weight for piercing and dark cloud patterns Tweezer Weight (default: 1.0) - Score weight for tweezer patterns Volume Lookback (default: 30) - Bars for volume baseline calculation Volume Confirmation Multiplier (default: 1.25) - Volume must exceed baseline × this value RSI Divergence Pivot Span (default: 5, range: 1-20) - Bars for pivot detection in divergence analysis Show RSI Divergence Markers (default: true) - Toggle RSI divergence labels Highlight Liquidity Sweeps (default: true) - Toggle liquidity sweep detection Liquidity Sweep Lookback (default: 20) - Bars to look back for sweep floor/ceiling ### Risk Architecture Group ATR Length (default: 14) - Period for Average True Range calculation ATR Position Sizing Multiplier (default: 1.5) - Multiplier for ATR-based position sizing Account Size (default: 100,000) - Base currency account size for position sizing Risk Per Trade % (default: 1.0%, range: 0.1-10%) - Percentage of account to risk per trade Correlation Heat Factor (default: 1.0, range: 0.5-3.0) - Multiplier for heat metric calculation VaR Confidence (default: 95%) - Confidence level for VaR calculation. Options: 90%, 95%, 99% VaR Lookback (default: 100, min: 20) - Bars for VaR standard deviation calculation VaR Holding Horizon (default: 1 day, range: 1-10) - Days for VaR projection Drawdown Lookback (default: 200, min: 50) - Bars for drawdown calculation Emergency Drawdown Threshold % (default: 12%, range: 2-50%) - Drawdown level triggering emergency exit Portfolio Heat Threshold % (default: 18%, range: 5-50%) - Heat level triggering emergency exit Minimum Risk/Reward (default: 1.6, min: 0.5) - Minimum RR required for signal generation Performance Lookback (default: 60, range: 20-500) - Bars for Sharpe/Sortino/Hit Rate calculations ### Flow & Volatility Group Shock Index Lookback (default: 20, min: 5) - Bars for shock baseline calculation Shock Sensitivity (default: 1.8) - Body ÷ ATR threshold for shock detection Volatility Shock Threshold (default: 1.4) - ATR ÷ baseline threshold for shock detection Momentum Slope Length (default: 21) - Bars for RSI slope calculation ### Exit Engineering Group Exit Stop ATR × (default: 1.2, min: 0.5) - ATR multiplier for stop placement Exit Target ATR × (default: 2.4, min: 0.5) - ATR multiplier for target placement EMA Exit ATR Buffer (default: 0.25, range: 0-5) - ATR buffer for EMA exit detection Time-Based Exit Bars (default: 120, min: 10) - Bars before time exit triggers Show Adaptive Trailing Guides (default: true) - Toggle trailing stop visualization Trailing Stop ATR × (default: 0.85, range: 0.2-5) - ATR multiplier for trailing stop ### Visualisation Group Show Reversal Labels (default: true) - Toggle main Long/Short signal labels Show Continuation Labels (default: true) - Toggle Flag continuation labels Display Risk Console Table (default: true) - Toggle dashboard visibility Show Execution Bands (default: true) - Toggle stop/target level lines Show Risk Pulse Panel (default: true) - Toggle heat ratio histogram in separate pane Show Pattern Heat Histogram (default: true) - Toggle bull/bear pattern strength histogram in separate pane Bias Bar Coloring (default: true) - Toggle bias-based bar coloring Show Camouflage Bands (default: true) - Toggle EMA envelope bands Show Tactical Markers (default: true) - Toggle Burst/Predator markers Label Cooldown Bars (default: 8, range: 1-50) - Minimum bars between labels to prevent overlap Camouflage EMA Length (default: 34, min: 2) - Period for camouflage band midline Camouflage ATR Multiplier (default: 1.8, min: 0.5) - ATR multiplier for band width Squeeze Lookback (default: 21, min: 5) - Bars for squeeze baseline Squeeze Compression Threshold (default: 0.85, range: 0.1-2.0) - Ratio below which squeeze is active ### Color Customization Bull Skin Color (default: lime) - Primary bullish color for camouflage bands Bear Skin Color (default: red) - Primary bearish color for camouflage bands Neutral Skin Color (default: gray 60%) - Neutral/inside band color Accent Color (default: teal) - Accent for continuation patterns Bull Primary (default: lime) - Bull signal and metric color Bear Primary (default: red) - Bear signal and metric color Neutral Tone (default: gray 75%) - Neutral background tone Pulse Accent (default: aqua) - Heat pulse accent color ## Alert System The script includes six alert conditions: Bull Signal - Fires when bullish reversal detected with all gating conditions met (pattern score ≥ 0.55, RR ≥ floor, volume confirmed, EMA aligned, no emergency) Bear Signal - Fires when bearish reversal detected with all gating conditions met Long Exit - Fires when exit logic triggered for long positions (EMA break, time exit, or emergency) Short Exit - Fires when exit logic triggered for short positions Squeeze Release - Fires when compression ends and expansion begins (potential breakout) Predator Mode - Fires when strong trend alignment with favorable conditions (bull signal + low heat + ADX > 25 + no squeeze) All alerts fire once per bar at bar close. Bearish Alert Signal: ## Technical Implementation Notes Pine Script v6 compliant All request.security calls use barmerge.gaps_off and barmerge.lookahead_off to prevent historical repainting RSI divergence and liquidity sweep detection rely on confirmed pivot points only All calculations include nz() wrappers and division-by-zero guards for real-time stability Label cooldown system prevents visual overlap using priority-based filtering Dashboard updates only on last confirmed history bar or realtime to optimize performance Plot count optimized to stay within TradingView's 64-plot limit ## Usage Considerations Timeframe Selection: The indicator works across all timeframes. Default confirmation timeframes (4H/1H) are optimized for swing and intraday trading. Scalpers may prefer 15m/5m confirmation; position traders may extend to Daily/4H. Market Compatibility: Tested on forex, crypto, stocks, and indices. Pattern detection works best on liquid markets with clean price action. Adjust volume lookback for markets with irregular volume data. Signal Interpretation: Signals indicate confluence across multiple dimensions but do not guarantee profitable outcomes. Use in conjunction with risk management and market context. The indicator is a tool for analysis, not a standalone trading system. Resource Usage: With all features enabled, the script operates within TradingView's resource budgets. Disable unused visual elements (camouflage bands, pattern heat histogram, risk pulse panel) if running multiple instances on a single layout. ## Limitations & Compromises Heat, drawdown, and performance values are chart-derived proxies dependent on your inputs-they do not reflect actual portfolio performance The indicator does not know your broker fills, fees, leverage, slippage, or actual portfolio holdings VaR, Sharpe, Sortino, and Hit Rate are simplified proxies using chart data, not audited statistics Pattern detection may produce false signals during extended consolidation or low-volume conditions Multi-timeframe confirmation requires sufficient historical data on higher timeframes Signals are informational-always use broker-side risk controls and proper position sizing Past pattern performance does not guarantee future results The indicator is optimized for trending and reversal markets. Performance may degrade during extended sideways consolidation or during major news events when patterns become unreliable. ## Disclaimer This script is provided for informational and educational purposes only and does not constitute financial advice. Trading involves substantial risk of loss. You are solely responsible for your own trading decisions. Past results shown on any chart do not guarantee future performance. Always conduct your own analysis and use appropriate risk management. If anyone has any questions please feel free to talk to me on anything! Would love to help everyone out! Made with passion by officialjackofalltrades אינדיקטור Pine Script®מאת officialjackofalltrades15
EMA 9/24/50/100/200 with Labels on chart lines This Pine Script® v6 indicator plots five distinct Exponential Moving Averages (EMAs) onto a single trading chart to help identify trend direction and momentum. By calculating the 9, 24, 50, 100, and 200-period averages, the script allows you to visualize short-term price action alongside long-term support and resistance levels. It uses a color-coded hierarchy and varying line thicknesses to make the different timeframes easy to distinguish at a glance. with labels on the lines אינדיקטור Pine Script®מאת magnergycal5
ATANASOV BSL/SSLThis indicator highlights significant BSL (Break Support Levels) and SSL (Swing Supply Levels) on your chart, helping you identify key price zones. You can toggle the display of already swept BSL and SSL points, giving you a clean view of only active levels or a full history of all levels.אינדיקטור Pine Script®מאת alexatanasovמעודכן 23
Desk Overlay Alerts: AMD/PLTR/NVDA (PUTS ONLY) VWApDesk Overlay Alerts: AMD/PLTR/NVDA (PUTS ONLY) VWAP Reject/Breakdownאינדיקטור Pine Script®מאת HotHandz441
Desk Overlay Alerts: AMD/PLTR/NVDA VWAP Reclaim/RejectDesk Overlay Alerts: AMD/PLTR/NVDA VWAP Reclaim/Rejectאינדיקטור Pine Script®מאת HotHandz440
Desk Alerts: AMD / PLTR / NVDA (VWAP + EMA + Volume)Desk Alerts: AMD / PLTR / NVDA (VWAP + EMA + Volume)אינדיקטור Pine Script®מאת HotHandz445
Structure Lines + BOS (3-Candle Wick Swings)FOLLOW: THE_TRADING_SNIPER THE SNIPER StructureThis indicator automatically identifies market structure using a 3-candle swing-point model based on WICKS, then projects orange structure lines and detects Break of Structure (BOS) when price closes through them. It is designed to match real price behavior, not lagging indicators. Lines + BOS (3-Candle Wick Swings)אינדיקטור Pine Script®מאת TTSniper10013
BTC Mul-VolIncludes total trading volume of BTC from primary exchanges. Includes: CME COINBASE BINANCE KRAKEN OKEX HUOBI You can manually adjust the Confidence for each exchange. When the Confidence is set to 0, the volume from that exchange will be excluded from the calculation.”אינדיקטור Pine Script®מאת HEXUAN-REPORTמעודכן 0
Awesome OscillatorAO/ MacD 8/34/5 My edge - works for the best ............................................................................................................אינדיקטור Pine Script®מאת norievarga10
7 Moving Averages7 moving average, including 10MA, 20MA, 50MA & 200MAאינדיקטור Pine Script®מאת torazama0
SKYLERBOTV2updated one last one was bad very bad like I got them confused or something but apparently this ones the good one used with my strategy on whop called divergence lab if you want to join אינדיקטור Pine Script®מאת jotrader0024מעודכן 3
GoldenEA trendcatcher STRATEGY📈 GoldenEA Trendcatcher – Strategy Description GoldenEA Trendcatcher is a precision-built intraday trading strategy designed for traders who prefer clarity, discipline, and controlled risk. It focuses on capturing high-probability market moves while maintaining strict trade management and capital protection. This strategy is session-aware and operates only during user-defined trading hours, helping traders avoid low-liquidity and unfavorable market conditions. It automatically limits the number of trades per day, ensuring disciplined execution and preventing overtrading. 🔒 Smart Risk & Trade Management Built-in dynamic risk control with automatic stop-loss and profit-target handling Breakeven protection that activates once price moves favorably, with an optional buffer to account for brokerage and commissions Clear visual markers on the chart for breakeven and profit milestones Automatic exits to protect profits and reduce emotional decision-making 📊 Visual & Analytical Clarity Clean chart presentation with optional historical plotting Real-time risk-to-reward visualization for every trade On-chart boxes and labels that help traders understand trade structure at a glance Designed to stay lightweight and non-intrusive ⚙️ Fully Customizable Adjustable trade session timing Configurable daily trade limits User-defined profit targets, breakeven levels, and visual styles Works seamlessly across intraday timeframes 🎯 Who Is This For? GoldenEA Trendcatcher is ideal for traders who: Want rule-based execution without constant monitoring Prefer visual confirmation over complex indicators Value risk management first, profits second Trade intraday and want consistency over randomness Note: This strategy is intended for educational and backtesting purposes. Always test thoroughly on demo accounts before considering live deployment.אסטרטגיית Pine Script®מאת Intradayindexprofiterמעודכן 3
RABIDHIMAN TRADEoption buying strategy for sensex and Indian market also for crypto אינדיקטור Pine Script®מאת ganeshchandranaskar99218
Session Dominance Profile [Pointalgo]Session Dominance Profile is a visual volume-distribution tool that shows which global trading session (Asia, London, or New York) dominates price activity across different price levels within a defined historical range. The indicator builds a horizontal volume profile using candle close prices and volume, then classifies each price level by the session that contributed the highest volume. How It Works : The script analyzes a configurable lookback period Price range is divided into multiple horizontal bins Volume is accumulated per price level Each bin is split into three session buckets: Asia Session (Yellow) London Session (Blue) New York Session (Red) The session with the highest volume at that price level determines the color This results in a Session-based Dominance Profile, helping traders visually identify: Where major sessions were most active Session-specific acceptance or rejection zones Potential intraday and swing reaction areas Practical Use Cases : Identify price levels dominated by a specific session Understand session rotation and participation Combine with: Market structure Support & resistance VWAP or moving averages Useful for intraday, scalping, and swing trading Inputs Explained: Lookback – Number of historical bars used to build the profile Resolution – Number of price bins (higher = more detail) Fixed Width (Bars) – Maximum horizontal width of the profile Offset (Bars) – Distance of the profile from the current bar Profile Direction – Left-to-Right or Right-to-Left rendering Session Time Reference: All sessions are calculated using UTC time. Important Notes: This indicator is visual and analytical only It does not generate buy or sell signals No repainting: the profile is calculated on the last bar only Designed for educational and research purposes Disclaimer: This script does not provide financial advice. Trading involves risk, and past volume behavior does not guarantee future results. Always confirm signals using additional analysis and proper risk management. אינדיקטור Pine Script®מאת pointalgo50
SSL MACD - nhuthang83supertrend method, supertrend method, supertrend method, supertrend method, supertrend method, אסטרטגיית Pine Script®מאת webwhopad12