SHFE Silver USD/ozPersonal utility script to view Shanghai silver prices in USD/oz along side COMEX silver.
Multitimeframe
HTF Balanced Price RangeThis script is based off of TradeForOpp's BPR indicator, but I adapted it to work on higher timeframes
Opens and RangesDisplays:
- Daily, Weekly, Monthly and Yearly opens
- High / Low / Midline(EQ) of previous day and previous week
Entropy Balance Oscillator [JOAT]
Entropy Balance Oscillator - Chaos Theory Edition
Overview
Entropy Balance Oscillator is an open-source oscillator indicator that applies chaos theory concepts to market analysis. It calculates market entropy (disorder/randomness), balance (price position within range), and various chaos metrics to identify whether the market is in an ordered, chaotic, or balanced state. This helps traders understand market regime and adjust their strategies accordingly.
What This Indicator Does
The indicator calculates and displays:
Entropy - Measures market disorder using return distribution analysis
Balance - Price position within the high-low range, normalized to -1 to +1
Lyapunov Exponent - Estimates sensitivity to initial conditions (chaos indicator)
Hurst Exponent - Measures long-term memory in price series (trend persistence)
Strange Attractor - Simulated attractor points for visualization
Bifurcation Detection - Identifies potential regime change points
Chaos Index - Combined entropy and volatility score
Market Phase - Classification as CHAOS, ORDER, or BALANCED
How It Works
Entropy is calculated using return distribution:
calculateEntropy(series float price, simple int period) =>
// Calculate returns and their absolute values
// Sum absolute returns for normalization
// Apply Shannon entropy formula: -sum(p * log(p))
float entropy = 0.0
for i = 0 to array.size(returns) - 1
float prob = math.abs(array.get(returns, i)) / sumAbs
if prob > 0
entropy -= prob * math.log(prob)
entropy
Balance measures price position within range:
calculateBalance(series float high, series float low, series float close, simple int period) =>
float range = high - low
float position = (close - low) / (range > 0 ? range : 1)
float balance = ta.ema(position, period)
(balance - 0.5) * 2 // Normalize to -1 to +1
Lyapunov Exponent estimates chaos sensitivity:
lyapunovExponent(series float price, simple int period) =>
float sumLog = 0.0
for i = 1 to period
float ratio = price > 0 ? math.abs(price / price ) : 1.0
if ratio > 0
sumLog += math.log(ratio)
lyapunov := sumLog / period
Hurst Exponent measures trend persistence:
H > 0.5: Trending/persistent behavior
H = 0.5: Random walk
H < 0.5: Mean-reverting behavior
Signal Generation
Phase changes and extreme conditions generate signals:
Chaos Phase: Normalized entropy exceeds chaos threshold (default 0.7)
Order Phase: Normalized entropy falls below order threshold (default 0.3)
Extreme Chaos: Entropy exceeds 1.5x chaos threshold
Extreme Order: Entropy falls below 0.5x order threshold
Bifurcation: Variance exceeds 2x average variance
Dashboard Panel (Top-Right)
Market Phase - Current phase (CHAOS/ORDER/BALANCED)
Entropy Level - Normalized entropy value
Balance - Current balance reading (-1 to +1)
Chaos Index - Combined chaos score percentage
Volatility - Current price volatility
Lyapunov Exp - Lyapunov exponent value
Hurst Exponent - Hurst exponent value
Chaos Score - Overall chaos assessment
Status - Current market status
Visual Elements
Entropy Line - Main oscillator showing normalized entropy
Entropy EMA - Smoothed entropy for trend reference
Balance Area - Filled area showing balance direction
Chaos/Order Thresholds - Horizontal dashed lines
Lyapunov Line - Step line showing Lyapunov exponent
Strange Attractor - Circle plots showing attractor points
Phase Space - Line showing phase space reconstruction
Phase Background - Background color based on current phase
Extreme Markers - X-cross for extreme chaos, diamond for extreme order
Bifurcation Markers - Circles at potential regime changes
Input Parameters
Entropy Period (default: 20) - Period for entropy calculation
Balance Period (default: 14) - Period for balance calculation
Chaos Threshold (default: 0.7) - Threshold for chaos phase
Order Threshold (default: 0.3) - Threshold for order phase
Lyapunov Exponent (default: true) - Enable Lyapunov calculation
Hurst Exponent (default: true) - Enable Hurst calculation
Strange Attractor (default: true) - Enable attractor visualization
Bifurcation Detection (default: true) - Enable bifurcation detection
Suggested Use Cases
Identify market regime for strategy selection (trend-following vs mean-reversion)
Watch for phase changes as potential trading environment shifts
Use Hurst exponent to assess trend persistence
Monitor chaos index for volatility regime awareness
Avoid trading during extreme chaos phases
Timeframe Recommendations
Best on 1H to Daily charts. Chaos metrics require sufficient data for meaningful calculations.
Limitations
Chaos theory concepts are applied as analogies, not rigorous mathematical implementations
Lyapunov and Hurst calculations are simplified approximations
Strange attractor visualization is conceptual
Bifurcation detection uses variance as proxy
Open-Source and Disclaimer
This script is published as open-source under the Mozilla Public License 2.0 for educational purposes. It does not constitute financial advice. Past performance does not guarantee future results. Always use proper risk management.
- Made with passion by officialjackofalltrades
#BLTA - CARE 7891🔷 #BLTA - CARE 7891: Ny session toolkit + Risk box + Confirmed levels + Asia box + Structure + Imbalances
Description:
#BLTA - CARE 7891 is an overlay toolkit 🧭🛠️ built for structured discretionary trading preparation. Its main purpose is to keep your chart reading and pre-trade planning in one place by combining time context, confirmed reference levels, liquidity framing, manual risk sizing, and context overlays (structure + imbalances).
🚫 This script is an indicator, not a strategy. It does not place orders.
🧩 Why these modules are combined (and how they work together)
This is not a “mashup for the sake of mixing”. Each module supports a specific step of a practical workflow:
🕒 Time context (new york session mapping)
Background highlights mark precise NY-time windows (day division at 17:00, london blocks, and new york blocks).
This provides the timing framework for when you typically scan, plan, or execute.
📰📅 Confirmed reference levels (previous day/week highs & lows)
Instead of plotting live extremes, this script confirms levels at defined boundaries:
Trading day: 17:00 → 17:00 NY
Weekly boundary: Sunday 17:00 NY
Lines start exactly at the candle where the high/low occurred and extend forward.
Optional “stop on hit” 🧊 freezes a level once price touches it, keeping the chart clean and realistic for forward analysis.
🈵 Asian range liquidity box (session that can cross midnight)
A dedicated Asian range container tracks high/low and an optional 50% midline.
It uses NY timestamps and safely handles sessions that cross midnight (storing the correct session date).
This gives you a daily liquidity “frame” often used for sweeps, breaks, and invalidations.
💸 Manual risk planning (trade box + lot sizing + table)
You select Entry (EP) and Stop (SL) directly on the chart using input.price(..., confirm=true) and time anchors.
The script then calculates:
💰 cash at risk from balance and risk %
📏 stop distance in pips (forex-aware pip sizing)
📦 lot size using units-per-lot and account currency inputs
🎯 target price using a reward ratio
It draws a risk box + target box and shows a compact table for quick verification.
🔁 Re-confirm mode (wizard) is included to prevent “stale” anchor points after timeframe changes or when you want a clean reset. While enabled, the risk table is replaced with a step guide and temporary EP/SL markers.
📈 Market structure overlay (1H zigzag projected to any timeframe)
A zigzag swing engine is computed on 1H via request.security() and projected onto the current chart.
Opacity is automatically reduced on non-1H charts so it stays contextual, not dominant.
Optional live extension of the last leg helps you see the active swing in progress.
📊 Imbalance map (fvg / og / vi) + optional dashboard
The script detects and draws:
🤏 fair value gaps (fvg)
👐 opening gaps (og)
🔎 volume imbalances (vi)
Optional filters allow minimum width by points / % / atr, and each imbalance type can be extended forward.
A dashboard 📱 can summarize bullish/bearish frequency and fill rates for context review.
✅ Quick start (recommended order)
Turn on 🕒 session visualization to align with NY timing.
Enable 📰 pdh/pdl and 📅 weekly highs/lows to map confirmed reference liquidity.
Use 🈵 the asian range box to frame the early-session liquidity container.
Plan your trade with 💸 risk module (pick EP/SL, verify pips + lots + target).
Add 📈 zigzag structure and 📊 imbalances only as supporting context.
⚠️ Notes & limitations
This tool is for planning and chart reading, not automated execution.
Lot sizing is an estimate based on your inputs; always confirm broker contract specs.
Some modules draw many objects (boxes/lines/tables) 🧱, which may slow very small timeframes.
Market Divergence Index (MDI)MDI - Specialized indicator for BTC, ETH and dominance analysis.
⚠️ FREE BETA - Временный открытый доступ для тестирования
Recommended pairs:
• BTC/USDT or ETH/USDT → Benchmark: USDT.D
• USDT.D → Benchmark: BTC
Adjust Quality Threshold (1-10) for signal filtering.
📱 Telegram: @belfort94
Triple Vision Pro V2 [Abusuhil]الوصف العربي اسفل الوصف الانجليزي
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ENGLISH DESCRIPTION
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🚀 Triple Vision Pro V2 - Advanced Multi-Asset Crypto Analysis Indicator
Triple Vision Pro V2 is a comprehensive, professional-grade technical indicator specifically designed for cryptocurrency markets. It analyzes three critical market drivers (BTC, BTC.D, USDT.D) using Smart Money Concepts (SMC) to provide high-probability trading signals for altcoins and crypto assets.
This advanced version features FOUR distinct analysis engines, a sophisticated Buy/Sell Pressure System with real-time order flow analysis, automated trade level plotting, and five optional signal filters—making it one of the most powerful and flexible indicators available for crypto traders.
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🌟 KEY FEATURES
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✅ FOUR ANALYSIS ENGINES - Choose the engine that matches your trading style:
• Fast & Reactive: Quick signals for scalpers (15M-1H)
• Momentum-Driven: Balanced approach for swing traders (15M-4H)
• Smart Confirmation: High-accuracy signals with multiple confirmations (1H-4H)
• SMC Pure: Conservative Smart Money Concepts approach (4H-Daily)
✅ ADVANCED BUY/SELL PRESSURE SYSTEM - Real-time order flow analysis using four calculation methods:
• Volume-Based: Analyzes candle body vs. range weighted by volume
• Delta: Tracks Buy Volume - Sell Volume with cumulative delta
• Wick Analysis: Measures rejection pressure from upper/lower wicks
• Combined: Integrates all three methods with order flow imbalance (Default)
✅ AUTOMATED TRADE LEVELS - Automatic plotting of entry, stop loss, and up to 7 targets (TP1-TP7):
• Percentage Method: Based on customizable percentage values
• ATR-Based Method: Using Average True Range multipliers
• Structure-Based Method: Based on swing highs/lows
• Risk-Reward Method: Based on your preferred R:R ratios
✅ FIVE OPTIONAL FILTERS - Refine signal quality with professional filters:
• Order Block Filter: Signal only at institutional order blocks
• Discount/Premium Filter: Long in discount zones, short in premium zones
• Multi-Timeframe Filter: Require higher timeframe confirmation
• Volume Filter: Require above-average volume (adjustable threshold)
• Pressure Filter: Require positive pressure for longs, negative for shorts
✅ INTERACTIVE DASHBOARDS - Multiple visualization options:
• Main Dashboard: Detailed analysis of BTC, BTC.D, USDT.D across 4 timeframes
• Engine Comparison Dashboard: Compare all 4 engines side-by-side in real-time
• Strength Bar: Visual representation of final signal strength (-100 to +100)
• Pressure Bar: Visual display of buy/sell pressure with Delta and percentages
✅ FULL ARABIC LANGUAGE SUPPORT - Complete interface and settings in Arabic for Middle Eastern traders
✅ HIGHLY CUSTOMIZABLE - Extensive settings for all timeframes and trading styles with adjustable thresholds, colors, and display options
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🔧 THE FOUR ANALYSIS ENGINES EXPLAINED
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1️⃣ FAST & REACTIVE ENGINE ⚡
Best For: Scalpers, 15M-1H timeframes
Philosophy: Catch moves early, even without full confluence
Scoring Logic:
• BTC is king: 60 points (±60 based on BTC direction)
• BTC.D helper: +20 if falling (good for alts), -10 if rising
• USDT.D helper: +15 if falling (risk-on), -10 if rising
• Pressure: Up to 25 points based on buy/sell pressure
Signal Thresholds:
• Strong Signal: >50 or <-50
• Moderate Signal: >30 or <-30
Pros: Quick signals, catches momentum early
Cons: More false signals, requires tight stop loss
2️⃣ MOMENTUM-DRIVEN ENGINE 🚀
Best For: 15M-4H timeframes (Most balanced)
Philosophy: Focus on price momentum + confluence confirmation
Scoring Logic:
• BTC Rate of Change (ROC): Up to 60 points
- >3% move = 60 points
- >1.5% move = 40 points
- >0.5% move = 20 points
• BTC.D confirmation: 25 points (aligned with BTC direction)
• USDT.D fear indicator: 15 points (inverse)
• Pressure: Up to 25 points
Signal Thresholds:
• Strong Signal: >70 or <-70
• Moderate Signal: >50 or <-50
Pros: Balanced speed + accuracy, works well on most timeframes
Cons: May miss slow grind moves
3️⃣ SMART CONFIRMATION ENGINE 🧠
Best For: 1H-4H timeframes, swing trading
Philosophy: Require multiple confirmations before signaling
Scoring Logic:
• BTC trend: 50 points (strong) or 30 points (weak)
• BTC Discount/Premium: 15 points (bonus for good entry zones)
• BTC BOS (Break of Structure): 20 points (structure confirmation)
• BTC.D: 25 points (weighted by strength)
• USDT.D: 15 points (weighted by strength)
• Pressure: Up to 25 points (conditional)
Signal Thresholds:
• Strong Signal: >80 or <-80
• Moderate Signal: >60 or <-60
Pros: High accuracy, fewer false signals
Cons: Slower to signal, may miss fast moves
4️⃣ SMC PURE ENGINE 📐
Best For: 4H-Daily timeframes, conservative traders
Philosophy: Strict Smart Money Concepts - full confluence required
Scoring Logic:
• Requires ALL assets to agree (BTC + BTC.D + USDT.D)
• If full agreement: Average of all three
• If partial: Weighted average (BTC 60%, BTC.D 25%, USDT.D 15%)
• Pressure: Lower weight (12.5 points max)
Signal Thresholds:
• Strong Signal: >70 or <-70
• Moderate Signal: >50 or <-50
Pros: Very high accuracy, conservative approach
Cons: Many "Neutral" signals, slow to react
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📊 BUY/SELL PRESSURE SYSTEM - ADVANCED ORDER FLOW ANALYSIS
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The Pressure System measures real-time order flow to determine whether buyers or sellers are in control. This provides crucial confirmation for your trading decisions.
CALCULATION METHODS:
1️⃣ VOLUME-BASED METHOD
• Analyzes candle body size vs. total range
• Bullish candles = positive pressure
• Bearish candles = negative pressure
• Weighted by volume ratio vs. 20-period average
• Accounts for volume spikes and institutional activity
2️⃣ DELTA METHOD
• Calculates Buy Volume - Sell Volume
• Tracks Cumulative Delta over 20 bars
• Identifies order flow imbalances
• Shows institutional accumulation/distribution
3️⃣ WICK ANALYSIS METHOD
• Lower wick > Upper wick = buying pressure (rejection of lower prices)
• Upper wick > Lower wick = selling pressure (rejection of higher prices)
• Normalized by candle range for accuracy
• Identifies key support/resistance zones
4️⃣ COMBINED METHOD (DEFAULT & RECOMMENDED)
• Integrates all three methods above
• Adds order flow imbalance analysis (last 10 candles)
• Produces a comprehensive score from -100 (extreme selling) to +100 (extreme buying)
• Most accurate representation of market sentiment
PRESSURE BAR DISPLAY:
• Visual bar showing pressure strength with color gradient
• Delta value display (optional)
• Buy/Sell percentage display (optional)
• Color-coded: Green for buying pressure, Red for selling pressure
PRESSURE WEIGHT IN SCORING:
• Low (10%): For conservative engines that prioritize structure
• Medium (20%): Balanced approach
• High (25%): Maximum weight for pressure-sensitive strategies (Default)
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🎯 AUTOMATED TRADE LEVELS - PROFESSIONAL RISK MANAGEMENT
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When a strong signal is detected, the indicator automatically plots professional trade levels on your chart:
LEVEL TYPES:
• Entry Line: Gray color - Your entry price
• Stop Loss Line: Red color - Includes Risk:Reward ratio display
• Target Lines: Green color - Up to 7 profit targets (TP1-TP7)
CALCULATION METHODS:
1️⃣ PERCENTAGE METHOD
• Based on customizable percentage values
• Stop Loss: 0.1% to 10% (default 1.5%)
• Targets: Individual percentages for each TP (TP1: 1%, TP2: 2%, TP3: 3%, etc.)
• Best for: Consistent risk management across all trades
2️⃣ ATR-BASED METHOD
• Uses Average True Range (ATR) indicator
• Stop Loss: ATR × multiplier (default 1.5)
• Targets: ATR × increasing multipliers (2x, 3x, 4x, etc.)
• Best for: Adapting to market volatility
3️⃣ STRUCTURE-BASED METHOD
• Based on recent swing highs and lows (50-bar lookback)
• Stop Loss: Just beyond recent swing (0.2% buffer)
• Targets: Based on range between swing high and low
• Best for: Respecting market structure and key levels
4️⃣ RISK-REWARD METHOD
• Based on your preferred R:R ratios
• Stop Loss: Percentage-based (customizable)
• Targets: Calculated from risk amount × R:R ratio
• TP1: 1:1, TP2: 1:2, TP3: 1:3 (customizable)
• Best for: Professional risk management with consistent ratios
CUSTOMIZATION OPTIONS:
• Line Style: Solid, Dashed, or Dotted
• Number of Targets: 1 to 7 targets
• Show/Hide Labels: Toggle price labels on/off
• Auto Remove Old Levels: Clean chart automatically
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🔍 FIVE OPTIONAL SIGNAL FILTERS - REFINE YOUR EDGE
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All filters are OFF by default. Enable them based on your trading style and desired signal quality.
1️⃣ ORDER BLOCK FILTER
• Signals only when price is at an institutional Order Block
• Identifies areas where smart money has placed large orders
• Increases accuracy but reduces signal frequency
• Best for: Structure-based traders, higher timeframes
2️⃣ DISCOUNT/PREMIUM FILTER
• Long signals only in Discount zones (below 50% of range)
• Short signals only in Premium zones (above 50% of range)
• Ensures better entry prices and improved risk:reward
• Best for: Swing traders, position traders
3️⃣ MULTI-TIMEFRAME FILTER
• Requires higher timeframe confirmation
• Example: 1H signal needs 4H timeframe agreement
• Significantly improves signal reliability
• Best for: Reducing false signals, higher conviction trades
4️⃣ VOLUME FILTER
• Requires above-average volume for signal confirmation
• Default threshold: 1.2x the 20-period volume average (adjustable 1.0x to 3.0x)
• Filters out low-conviction moves and fake breakouts
• Best for: Momentum traders, breakout strategies
5️⃣ PRESSURE FILTER
• Long signals require positive buy/sell pressure
• Short signals require negative buy/sell pressure
• Ensures order flow alignment with signal direction
• Best for: Order flow traders, scalpers
FILTER STRATEGY:
• More filters = Fewer but higher quality signals
• Start with 1-2 filters, add more if needed
• Too many filters = Missed opportunities
• Recommended: Volume + Pressure for most timeframes
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📈 INTERACTIVE DASHBOARDS - COMPREHENSIVE MARKET VIEW
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MAIN DASHBOARD - Four display styles:
1. DETAILED MODE:
• Classic: Full vertical layout with 19 rows of information
• Compact: Condensed version with essential data
• Cards: Side-by-side card layout for each asset
• Minimal: Essential information only
2. SIMPLE MODE:
• Grid: 3-column layout for quick scanning
• Horizontal: Single row display
• Compact: Minimal rows with key data
• Badge: Tiny display for maximum chart space
Displays:
• Analysis of BTC, BTC.D, USDT.D across 4 timeframes (Daily, 4H, 1H, 15M)
• Structure analysis (BOS, CHoCH, Order Blocks, FVG)
• Trend direction and strength for each asset
• Final score and signal recommendation
• Quick trading guide with entry suggestions
ENGINE COMPARISON DASHBOARD:
• Shows all 4 engines side-by-side in real-time
• Displays score and signal for each engine
• Shows consensus level (how many engines agree)
• Color-coded for easy identification
• Helps identify high-confidence setups when multiple engines agree
• Best for: Finding the strongest setups with multi-engine confirmation
STRENGTH BAR:
• Visual bar representation of final signal strength
• Scale: -100 (extreme bearish) to +100 (extreme bullish)
• 11 segments with color gradient
• Green for bullish signals, Red for bearish signals
• Updates in real-time with each candle
• Position: Bottom center of chart
PRESSURE BAR:
• Separate visual bar for buy/sell pressure
• Scale: -100 (extreme selling) to +100 (extreme buying)
• Displays Delta value (optional)
• Displays Buy/Sell percentages (optional)
• Color gradient: Green (buying) to Red (selling)
• Position: Adjacent to Strength Bar
CUSTOMIZATION:
• Dashboard Size: Tiny, Small, Normal, Large, Extra Large
• Dashboard Position: Top Left, Top Right, Bottom Left, Bottom Right
• Language: English or Arabic (العربية)
• Toggle any dashboard element on/off independently
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💡 RECOMMENDED SETTINGS BY TIMEFRAME
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15-MINUTE TIMEFRAME:
• Engine: Fast & Reactive or Momentum-Driven
• Pressure Weight: High (25%)
• Filters: Volume + Pressure
• Trade Levels: Percentage method
• Targets: 3 targets (1%, 2%, 3%)
• Best for: Scalping, quick momentum plays
1-HOUR TIMEFRAME (MOST POPULAR):
• Engine: Momentum-Driven (RECOMMENDED)
• Pressure Weight: High (25%)
• Filters: Discount/Premium + Volume
• Trade Levels: Percentage or ATR-based
• Targets: 3 targets (1.5%, 3%, 4.5%)
• Best for: Intraday swing trading, balanced approach
4-HOUR TIMEFRAME:
• Engine: Smart Confirmation or Momentum-Driven
• Pressure Weight: Medium (20%)
• Filters: All filters enabled
• Trade Levels: ATR-based or Structure-based
• Targets: 3-5 targets, ATR multipliers
• Best for: Swing trading, multi-day positions
DAILY TIMEFRAME:
• Engine: SMC Pure or Smart Confirmation
• Pressure Weight: Low (10%)
• Filters: Multi-TF + Order Block
• Trade Levels: Structure-based or Risk-Reward
• Targets: Structure-based with wide targets
• Best for: Position trading, conservative approach
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📚 HOW TO USE - STEP BY STEP
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STEP 1: CHOOSE YOUR ENGINE
• Start with "Momentum-Driven" (recommended for most traders)
• Test each engine on your preferred timeframe
• Observe which engine matches your trading style
STEP 2: ENABLE PRESSURE ANALYSIS
• Turn on "Enable Pressure Analysis"
• Select "Combined" method (default)
• Enable "Show Pressure Bar" for visual feedback
• Set Pressure Weight to "High (25%)"
STEP 3: ADD FILTERS (OPTIONAL)
• Start with NO filters to see all signals
• Add Volume Filter first (threshold 1.2x)
• Add Pressure Filter for order flow confirmation
• Add more filters if you want higher quality signals
STEP 4: CONFIGURE TRADE LEVELS
• Enable "Show Trade Levels"
• Choose calculation method (Percentage recommended for beginners)
• Set your stop loss % (1.5% is a good starting point)
• Set number of targets (3 is recommended)
• Configure target percentages based on your R:R preference
STEP 5: CUSTOMIZE DASHBOARD
• Choose Dashboard Mode: "Detailed" for full analysis, "Simple" for quick view
• Select your preferred style (Classic, Compact, etc.)
• Enable "Show Strength Bar" and "Show Pressure Bar"
• Optionally enable "Show Engine Comparison Dashboard"
STEP 6: TRADING EXECUTION
• Wait for Strong or Moderate signal in your chosen engine
• Check Pressure Bar for order flow confirmation
• Verify filters are satisfied (if enabled)
• Check Engine Comparison Dashboard for consensus (if enabled)
• Enter trade at plotted Entry level
• Place stop loss at plotted SL level
• Set profit targets at plotted TP levels
• Scale out at each target (e.g., 33% at TP1, 33% at TP2, 34% at TP3)
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⚠️ IMPORTANT NOTES & BEST PRACTICES
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ENGINE SELECTION:
• Don't switch engines constantly - stick with one and learn its behavior
• Each engine has different signal frequency and accuracy
• Use Engine Comparison Dashboard to find high-confidence setups
• Fast engine = More signals, lower accuracy
• SMC Pure engine = Fewer signals, higher accuracy
PRESSURE SYSTEM:
• Works best on liquid markets (BTC, ETH, major altcoins)
• Less reliable on low-volume coins or during low-liquidity hours
• Combine with Volume Filter for best results
• Pressure divergence (price up, pressure down) can signal reversals
FILTERS:
• More filters = Fewer signals but higher win rate
• Start with 1-2 filters, add more based on your results
• Too many filters = You'll miss good opportunities
• Recommended combination: Volume + Pressure for most traders
RISK MANAGEMENT:
• ALWAYS use stop loss - no exceptions
• Risk only 1-2% of your capital per trade
• Aim for minimum 1:2 Risk:Reward ratio
• Scale out at targets - don't wait for all targets to hit
• Move stop loss to breakeven after TP1 is hit
TIMEFRAME SELECTION:
• Lower timeframes (15M-1H) = More signals, more screen time required
• Higher timeframes (4H-Daily) = Fewer signals, less screen time
• Match timeframe to your lifestyle and trading availability
• Multi-timeframe analysis: Check higher TF for trend direction
MARKET CONDITIONS:
• Indicator works best in trending markets
• During choppy/sideways markets, reduce position size or stay out
• Bitcoin dominance (BTC.D) is crucial for altcoin trading
• USDT.D rising = Risk-off environment = Caution for longs
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🎓 LEARNING PATH - MASTER THE INDICATOR
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WEEK 1: Understanding the Engines
• Test each engine separately on your favorite pairs
• Note which engine gives signals that match your style
• Compare Engine Comparison Dashboard results
• Identify which engine works best on your preferred timeframe
WEEK 2: Adding Pressure Analysis
• Enable Pressure Bar and observe its behavior
• Watch how pressure relates to price action
• Note when pressure diverges from price (potential reversals)
• Learn to trust pressure confirmation
WEEK 3: Implementing Filters
• Add one filter at a time
• Measure the impact on signal quality and frequency
• Find your optimal filter combination
• Document your results
WEEK 4: Strategy Development & Backtesting
• Combine your chosen engine + filters + pressure
• Backtest on historical data (scroll back on chart)
• Refine your entry and exit rules
• Develop your personal trading plan
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🚨 DISCLAIMER
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This indicator is provided for EDUCATIONAL and ANALYTICAL purposes only. It is NOT financial advice, and should NOT be considered as a recommendation to buy or sell any financial instrument.
Trading cryptocurrencies and other financial instruments involves substantial risk of loss and is not suitable for every investor. The valuation of cryptocurrencies and futures may fluctuate, and, as a result, you may lose more than your original investment.
Past performance is NOT indicative of future results. No representation is being made that any account will or is likely to achieve profits or losses similar to those discussed in this indicator or its documentation.
You should carefully consider whether trading is suitable for you in light of your circumstances, knowledge, and financial resources. You may lose all or more of your initial investment. Opinions, market data, recommendations or any other content is subject to change at any time without notice.
ALWAYS conduct your own research and due diligence before making any trading decisions. NEVER risk more than you can afford to lose. ALWAYS use proper risk management and stop losses.
The creator of this indicator (Abusuhil) will NOT be liable for any losses or damages, including without limitation, any loss of profit, which may arise directly or indirectly from use of or reliance on this indicator.
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📞 SUPPORT & CONTACT
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For questions, suggestions, or bug reports:
• TradingView: Search for "Triple Vision Pro V2 "
• Comments: Use TradingView comment section for feedback
• Updates: Follow for indicator updates and improvements
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ℹ️ TECHNICAL INFORMATION
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Version: 2.0
Author: Abusuhil
Programming Language: Pine Script v5
Release Date: 2025
Indicator Type: Overlay (displays on price chart)
Maximum Labels: 500
Maximum Lines: 500
Maximum Boxes: 500
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🏆 WHAT MAKES TRIPLE VISION PRO V2 UNIQUE
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Unlike traditional indicators that analyze only price action, Triple Vision Pro V2 takes a HOLISTIC approach by analyzing the three most important drivers of crypto market movements:
1. BITCOIN (BTC) - The market leader that drives overall crypto sentiment
2. BITCOIN DOMINANCE (BTC.D) - Shows capital flow between BTC and altcoins
3. TETHER DOMINANCE (USDT.D) - Measures risk-on vs. risk-off sentiment
By combining these three perspectives with Smart Money Concepts, advanced order flow analysis, and multiple analysis engines, Triple Vision Pro V2 provides a COMPLETE picture of market conditions—something no single-asset indicator can achieve.
The result? Higher probability trades, better timing, and a true edge in the crypto markets.
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✨ FINAL WORDS
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Triple Vision Pro V2 represents hundreds of hours of development, testing, and refinement. It combines institutional-grade analysis with user-friendly design, making professional trading tools accessible to everyone.
Whether you're a scalper looking for quick momentum plays, a swing trader seeking high-probability setups, or a position trader wanting conservative entries—this indicator has an engine and configuration designed for you.
Remember: No indicator is perfect, and no indicator can guarantee profits. Success in trading comes from proper risk management, discipline, emotional control, and continuous learning. Use this indicator as a powerful tool in your trading arsenal, but always combine it with your own analysis and judgment.
Trade safe, trade smart, and may your trades be profitable! 🚀
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الوصف العربي
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🚀 Triple Vision Pro V2 - مؤشر تحليل متقدم متعدد الأصول للعملات الرقمية
Triple Vision Pro V2 هو مؤشر تقني شامل واحترافي مصمم خصيصًا لأسواق العملات الرقمية. يقوم بتحليل ثلاثة محركات حاسمة للسوق (BTC, BTC.D, USDT.D) باستخدام مفاهيم الأموال الذكية (SMC) لتوفير إشارات تداول عالية الاحتمالية للعملات البديلة والأصول الرقمية.
هذه النسخة المتقدمة تتميز بأربعة محركات تحليل مختلفة، ونظام متطور لضغط البيع والشراء مع تحليل لحظي لتدفق الأوامر، ورسم آلي لمستويات التداول، وخمسة فلاتر اختيارية للإشارات—مما يجعله واحدًا من أقوى وأكثر المؤشرات مرونة المتاحة لمتداولي العملات الرقمية.
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🌟 المميزات الرئيسية
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✅ أربعة محركات تحليل - اختر المحرك الذي يناسب أسلوب تداولك:
• سريع وتفاعلي (Fast & Reactive): إشارات سريعة للمضاربين (15 دقيقة - 1 ساعة)
• مدفوع بالزخم (Momentum-Driven): نهج متوازن للمتداولين المتأرجحين (15 دقيقة - 4 ساعات)
• تأكيد ذكي (Smart Confirmation): إشارات عالية الدقة مع تأكيدات متعددة (1 ساعة - 4 ساعات)
• SMC بحت (SMC Pure): نهج محافظ لمفاهيم الأموال الذكية (4 ساعات - يومي)
✅ نظام متقدم لضغط البيع والشراء - تحليل لحظي لتدفق الأوامر باستخدام أربع طرق حساب:
• قائم على الحجم (Volume-Based): يحلل جسم الشمعة مقابل النطاق مرجحًا بالحجم
• الدلتا (Delta): يتتبع حجم الشراء - حجم البيع مع الدلتا التراكمية
• تحليل الذيول (Wick Analysis): يقيس ضغط الرفض من الذيول العلوية/السفلية
• مدمج (Combined): يدمج الطرق الثلاثة مع تحليل عدم توازن تدفق الأوامر (افتراضي)
✅ مستويات تداول آلية - رسم تلقائي للدخول ووقف الخسارة وحتى 7 أهداف (TP1-TP7):
• طريقة النسبة المئوية: بناءً على قيم نسبة مئوية قابلة للتخصيص
• طريقة ATR: باستخدام مضاعفات متوسط النطاق الحقيقي
• طريقة البنية: بناءً على القمم والقيعان المتأرجحة
• طريقة المخاطرة/العائد: بناءً على نسب R:R المفضلة لديك
✅ خمسة فلاتر اختيارية - حسّن جودة الإشارة بفلاتر احترافية:
• فلتر كتل الأوامر (Order Block): إشارة فقط عند كتل الأوامر المؤسسية
• فلتر الخصم/القسط (Discount/Premium): شراء في مناطق الخصم، بيع في مناطق القسط
• فلتر متعدد الأطر الزمنية (Multi-Timeframe): يتطلب تأكيد الإطار الزمني الأعلى
• فلتر الحجم (Volume): يتطلب حجمًا أعلى من المتوسط (عتبة قابلة للتعديل)
• فلتر الضغط (Pressure): يتطلب ضغطًا إيجابيًا للشراء، سلبيًا للبيع
✅ لوحات معلومات تفاعلية - خيارات عرض متعددة:
• اللوحة الرئيسية: تحليل مفصل لـ BTC و BTC.D و USDT.D عبر 4 أطر زمنية
• لوحة مقارنة المحركات: قارن جميع المحركات الأربعة جنبًا إلى جنب في الوقت الفعلي
• شريط القوة (Strength Bar): تمثيل بصري لقوة الإشارة النهائية (-100 إلى +100)
• شريط الضغط (Pressure Bar): عرض بصري لضغط البيع/الشراء مع الدلتا والنسب المئوية
✅ دعم كامل للغة العربية - واجهة وإعدادات كاملة بالعربية لمتداولي الشرق الأوسط
✅ قابل للتخصيص بشكل كبير - إعدادات واسعة لجميع الأطر الزمنية وأساليب التداول مع عتبات وألوان وخيارات عرض قابلة للتعديل
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🔧 شرح محركات التحليل الأربعة
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1️⃣ المحرك السريع والتفاعلي (FAST & REACTIVE) ⚡
الأفضل لـ: المضاربين، أطر زمنية 15 دقيقة - 1 ساعة
الفلسفة: التقاط الحركات مبكرًا، حتى بدون توافق كامل
منطق التسجيل:
• البيتكوين هو الملك: 60 نقطة (±60 بناءً على اتجاه BTC)
• مساعد BTC.D: +20 إذا كان ينخفض (جيد للعملات البديلة)، -10 إذا كان يرتفع
• مساعد USDT.D: +15 إذا كان ينخفض (مخاطرة)، -10 إذا كان يرتفع
• الضغط: حتى 25 نقطة بناءً على ضغط البيع/الشراء
عتبات الإشارة:
• إشارة قوية: >50 أو <-50
• إشارة متوسطة: >30 أو <-30
الإيجابيات: إشارات سريعة، يلتقط الزخم مبكرًا
السلبيات: إشارات خاطئة أكثر، يتطلب وقف خسارة ضيق
2️⃣ المحرك المدفوع بالزخم (MOMENTUM-DRIVEN) 🚀
الأفضل لـ: أطر زمنية 15 دقيقة - 4 ساعات (الأكثر توازنًا)
الفلسفة: التركيز على زخم السعر + تأكيد التوافق
منطق التسجيل:
• معدل تغير BTC (ROC): حتى 60 نقطة
- حركة >3% = 60 نقطة
- حركة >1.5% = 40 نقطة
- حركة >0.5% = 20 نقطة
• تأكيد BTC.D: 25 نقطة (متوافق مع اتجاه BTC)
• مؤشر الخوف USDT.D: 15 نقطة (عكسي)
• الضغط: حتى 25 نقطة
عتبات الإشارة:
• إشارة قوية: >70 أو <-70
• إشارة متوسطة: >50 أو <-50
الإيجابيات: سرعة ودقة متوازنة، يعمل بشكل جيد على معظم الأطر الزمنية
السلبيات: قد يفوت الحركات البطيئة المستمرة
3️⃣ محرك التأكيد الذكي (SMART CONFIRMATION) 🧠
الأفضل لـ: أطر زمنية 1 ساعة - 4 ساعات، التداول المتأرجح
الفلسفة: طلب تأكيدات متعددة قبل الإشارة
منطق التسجيل:
• اتجاه BTC: 50 نقطة (قوي) أو 30 نقطة (ضعيف)
• خصم/قسط BTC: 15 نقطة (مكافأة لمناطق الدخول الجيدة)
• كسر البنية BTC (BOS): 20 نقطة (تأكيد البنية)
• BTC.D: 25 نقطة (مرجح بالقوة)
• USDT.D: 15 نقطة (مرجح بالقوة)
• الضغط: حتى 25 نقطة (مشروط)
عتبات الإشارة:
• إشارة قوية: >80 أو <-80
• إشارة متوسطة: >60 أو <-60
الإيجابيات: دقة عالية، إشارات خاطئة أقل
السلبيات: أبطأ في الإشارة، قد يفوت الحركات السريعة
4️⃣ محرك SMC البحت (SMC PURE) 📐
الأفضل لـ: أطر زمنية 4 ساعات - يومي، المتداولون المحافظون
الفلسفة: مفاهيم الأموال الذكية الصارمة - يتطلب توافقًا كاملاً
منطق التسجيل:
• يتطلب موافقة جميع الأصول (BTC + BTC.D + USDT.D)
• إذا كان هناك اتفاق كامل: متوسط الثلاثة
• إذا كان جزئيًا: متوسط مرجح (BTC 60%، BTC.D 25%، USDT.D 15%)
• الضغط: وزن أقل (12.5 نقطة كحد أقصى)
عتبات الإشارة:
• إشارة قوية: >70 أو <-70
• إشارة متوسطة: >50 أو <-50
الإيجابيات: دقة عالية جدًا، نهج محافظ
السلبيات: العديد من الإشارات "المحايدة"، بطيء في الاستجابة
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📊 نظام ضغط البيع/الشراء - تحليل متقدم لتدفق الأوامر
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يقيس نظام الضغط تدفق الأوامر في الوقت الفعلي لتحديد ما إذا كان المشترون أو البائعون هم المسيطرون. هذا يوفر تأكيدًا حاسمًا لقرارات التداول الخاصة بك.
طرق الحساب:
1️⃣ الطريقة القائمة على الحجم (VOLUME-BASED)
• يحلل حجم جسم الشمعة مقابل النطاق الكلي
• الشموع الصاعدة = ضغط إيجابي
• الشموع الهابطة = ضغط سلبي
• مرجح بنسبة الحجم مقابل متوسط 20 فترة
• يأخذ في الاعتبار قفزات الحجم والنشاط المؤسسي
2️⃣ طريقة الدلتا (DELTA)
• يحسب حجم الشراء - حجم البيع
• يتتبع الدلتا التراكمية على مدى 20 شمعة
• يحدد اختلالات تدفق الأوامر
• يظهر التراكم/التوزيع المؤسسي
3️⃣ طريقة تحليل الذيول (WICK ANALYSIS)
• ذيل سفلي > ذيل علوي = ضغط شراء (رفض الأسعار المنخفضة)
• ذيل علوي > ذيل سفلي = ضغط بيع (رفض الأسعار المرتفعة)
• معياري بنطاق الشمعة للدقة
• يحدد مناطق الدعم/المقاومة الرئيسية
4️⃣ الطريقة المدمجة (COMBINED)
• يدمج جميع الطرق الثلاثة أعلاه
• يضيف تحليل عدم توازن تدفق الأوامر (آخر 10 شمعات)
• ينتج درجة شاملة من -100 (بيع شديد) إلى +100 (شراء شديد)
• التمثيل الأكثر دقة لمعنويات السوق
عرض شريط الضغط:
• شريط بصري يظهر قوة الضغط مع تدرج لوني
• عرض قيمة الدلتا (اختياري)
• عرض نسبة البيع/الشراء (اختياري)
• مرمز بالألوان: أخضر لضغط الشراء، أحمر لضغط البيع
وزن الضغط في التسجيل:
• منخفض (10%): للمحركات المحافظة التي تعطي الأولوية للبنية
• متوسط (20%): نهج متوازن
• مرتفع (25%): أقصى وزن للاستراتيجيات الحساسة للضغط (افتراضي)
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🎯 مستويات التداول الآلية - إدارة مخاطر احترافية
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عند اكتشاف إشارة قوية، يقوم المؤشر تلقائيًا برسم مستويات تداول احترافية على الرسم البياني الخاص بك:
أنواع المستويات:
• خط الدخول: لون رمادي - سعر الدخول الخاص بك
• خط وقف الخسارة: لون أحمر - يتضمن عرض نسبة المخاطرة:العائد
• خطوط الأهداف: لون أخضر - حتى 7 أهداف ربح (TP1-TP7)
طرق الحساب:
1️⃣ طريقة النسبة المئوية (PERCENTAGE)
• بناءً على قيم نسبة مئوية قابلة للتخصيص
• وقف الخسارة: 0.1% إلى 10% (افتراضي 1.5%)
• الأهداف: نسب مئوية فردية لكل TP (TP1: 1%، TP2: 2%، TP3: 3%، إلخ)
• الأفضل لـ: إدارة مخاطر متسقة عبر جميع الصفقات
2️⃣ طريقة ATR (ATR-BASED)
• يستخدم مؤشر متوسط النطاق الحقيقي (ATR)
• وقف الخسارة: ATR × مضاعف (افتراضي 1.5)
• الأهداف: ATR × مضاعفات متزايدة (2x، 3x، 4x، إلخ)
• الأفضل لـ: التكيف مع تقلبات السوق
3️⃣ طريقة البنية (STRUCTURE-BASED)
• بناءً على القمم والقيعان المتأرجحة الأخيرة (استرجاع 50 شمعة)
• وقف الخسارة: ما وراء التأرجح الأخير (حاجز 0.2%)
• الأهداف: بناءً على النطاق بين القمة والقاع المتأرجحين
• الأفضل لـ: احترام بنية السوق والمستويات الرئيسية
4️⃣ طريقة المخاطرة-العائد (RISK-REWARD)
• بناءً على نسب R:R المفضلة لديك
• وقف الخسارة: قائم على النسبة المئوية (قابل للتخصيص)
• الأهداف: محسوبة من مبلغ المخاطرة × نسبة R:R
• TP1: 1:1، TP2: 1:2، TP3: 1:3 (قابل للتخصيص)
• الأفضل لـ: إدارة مخاطر احترافية بنسب متسقة
خيارات التخصيص:
• نمط الخط: صلب، متقطع، أو منقط
• عدد الأهداف: 1 إلى 7 أهداف
• إظهار/إخفاء التسميات: تبديل تسميات الأسعار تشغيل/إيقاف
• إزالة المستويات القديمة تلقائيًا: تنظيف الرسم البياني تلقائيًا
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🔍 خمسة فلاتر إشارة اختيارية - حسّن ميزتك
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جميع الفلاتر متوقفة افتراضيًا. قم بتمكينها بناءً على أسلوب التداول الخاص بك وجودة الإشارة المطلوبة.
1️⃣ فلتر كتل الأوامر (ORDER BLOCK FILTER)
• إشارات فقط عندما يكون السعر عند كتلة أوامر مؤسسية
• يحدد المناطق التي وضعت فيها الأموال الذكية أوامر كبيرة
• يزيد الدقة لكن يقلل تكرار الإشارة
• الأفضل لـ: المتداولون القائمون على البنية، الأطر الزمنية الأعلى
2️⃣ فلتر الخصم/القسط (DISCOUNT/PREMIUM FILTER)
• إشارات شراء فقط في مناطق الخصم (أقل من 50% من النطاق)
• إشارات بيع فقط في مناطق القسط (أعلى من 50% من النطاق)
• يضمن أسعار دخول أفضل ونسبة مخاطرة:عائد محسّنة
• الأفضل لـ: المتداولون المتأرجحون، متداولو المراكز
3️⃣ فلتر متعدد الأطر الزمنية (MULTI-TIMEFRAME FILTER)
• يتطلب تأكيد الإطار الزمني الأعلى
• مثال: إشارة 1 ساعة تحتاج موافقة الإطار الزمني 4 ساعات
• يحسن موثوقية الإشارة بشكل كبير
• الأفضل لـ: تقليل الإشارات الخاطئة، صفقات عالية الثقة
4️⃣ فلتر الحجم (VOLUME FILTER)
• يتطلب حجمًا أعلى من المتوسط لتأكيد الإشارة
• العتبة الافتراضية: 1.2× متوسط الحجم لـ 20 فترة (قابل للتعديل 1.0× إلى 3.0×)
• يصفي الحركات منخفضة الثقة والاختراقات الوهمية
• الأفضل لـ: متداولو الزخم، استراتيجيات الاختراق
5️⃣ فلتر الضغط (PRESSURE FILTER)
• إشارات الشراء تتطلب ضغط بيع/شراء إيجابي
• إشارات البيع تتطلب ضغط بيع/شراء سلبي
• يضمن توافق تدفق الأوامر مع اتجاه الإشارة
• الأفضل لـ: متداولو تدفق الأوامر، المضاربون
استراتيجية الفلتر:
• المزيد من الفلاتر = إشارات أقل لكن بجودة أعلى
• ابدأ بفلتر أو فلترين، أضف المزيد إذا لزم الأمر
• الكثير من الفلاتر = فرص ضائعة
• موصى به: الحجم + الضغط لمعظم الأطر الزمنية
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📈 لوحات المعلومات التفاعلية - رؤية شاملة للسوق
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اللوحة الرئيسية - أربعة أنماط عرض:
1. الوضع التفصيلي:
• كلاسيكي: تخطيط عمودي كامل مع 19 صفًا من المعلومات
• مضغوط: نسخة مكثفة مع البيانات الأساسية
• بطاقات: تخطيط بطاقات جنبًا إلى جنب لكل أصل
• الحد الأدنى: المعلومات الأساسية فقط
2. الوضع البسيط:
• شبكة: تخطيط 3 أعمدة للمسح السريع
• أفقي: عرض صف واحد
• مضغوط: صفوف قليلة مع البيانات الرئيسية
• شارة: عرض صغير لأقصى مساحة رسم بياني
يعرض:
• تحليل BTC و BTC.D و USDT.D عبر 4 أطر زمنية (يومي، 4 ساعات، 1 ساعة، 15 دقيقة)
• تحليل البنية (BOS، CHoCH، كتل الأوامر، FVG)
• اتجاه وقوة الاتجاه لكل أصل
• النتيجة النهائية وتوصية الإشارة
• دليل تداول سريع مع اقتراحات الدخول
لوحة مقارنة المحركات:
• تعرض جميع المحركات الأربعة جنبًا إلى جنب في الوقت الفعلي
• تعرض النتيجة والإشارة لكل محرك
• تعرض مستوى الإجماع (كم محرك يتفق)
• مرمزة بالألوان لسهولة التعرف
• تساعد في تحديد الإعدادات عالية الثقة عندما تتفق محركات متعددة
• الأفضل لـ: إيجاد أقوى الإعدادات مع تأكيد متعدد المحركات
شريط القوة:
• تمثيل شريط بصري لقوة الإشارة النهائية
• المقياس: -100 (هبوطي شديد) إلى +100 (صعودي شديد)
• 11 قطعة مع تدرج لوني
• أخضر للإشارات الصعودية، أحمر للإشارات الهبوطية
• يتحدث في الوقت الفعلي مع كل شمعة
• الموضع: أسفل وسط الرسم البياني
شريط الضغط:
• شريط بصري منفصل لضغط البيع/الشراء
• المقياس: -100 (بيع شديد) إلى +100 (شراء شديد)
• يعرض قيمة الدلتا (اختياري)
• يعرض نسب البيع/الشراء (اختياري)
• تدرج لوني: أخضر (شراء) إلى أحمر (بيع)
• الموضع: بجوار شريط القوة
التخصيص:
• حجم اللوحة: صغير جدًا، صغير، عادي، كبير، كبير جدًا
• موضع اللوحة: أعلى اليسار، أعلى اليمين، أسفل اليسار، أسفل اليمين
• اللغة: الإنجليزية أو العربية
• تبديل أي عنصر من عناصر اللوحة تشغيل/إيقاف بشكل مستقل
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💡 الإعدادات الموصى بها حسب الإطار الزمني
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الإطار الزمني 15 دقيقة:
• المحرك: سريع وتفاعلي أو مدفوع بالزخم
• وزن الضغط: مرتفع (25%)
• الفلاتر: الحجم + الضغط
• مستويات التداول: طريقة النسبة المئوية
• الأهداف: 3 أهداف (1%، 2%، 3%)
• الأفضل لـ: المضاربة، لعب الزخم السريع
الإطار الزمني 1 ساعة (الأكثر شعبية):
• المحرك: مدفوع بالزخم (موصى به)
• وزن الضغط: مرتفع (25%)
• الفلاتر: الخصم/القسط + الحجم
• مستويات التداول: النسبة المئوية أو القائم على ATR
• الأهداف: 3 أهداف (1.5%، 3%، 4.5%)
• الأفضل لـ: التداول المتأرجح اليومي، نهج متوازن
الإطار الزمني 4 ساعات:
• المحرك: تأكيد ذكي أو مدفوع بالزخم
• وزن الضغط: متوسط (20%)
• الفلاتر: جميع الفلاتر ممكّنة
• مستويات التداول: القائم على ATR أو القائم على البنية
• الأهداف: 3-5 أهداف، مضاعفات ATR
• الأفضل لـ: التداول المتأرجح، مراكز متعددة الأيام
الإطار الزمني اليومي:
• المحرك: SMC بحت أو تأكيد ذكي
• وزن الضغط: منخفض (10%)
• الفلاتر: متعدد الأطر الزمنية + كتلة الأوامر
• مستويات التداول: القائم على البنية أو المخاطرة-العائد
• الأهداف: القائم على البنية مع أهداف واسعة
• الأفضل لـ: تداول المراكز، نهج محافظ
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📚 كيفية الاستخدام - خطوة بخطوة
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الخطوة 1: اختر محركك
• ابدأ بـ "مدفوع بالزخم" (موصى به لمعظم المتداولين)
• اختبر كل محرك على إطارك الزمني المفضل
• لاحظ أي محرك يتطابق مع أسلوب التداول الخاص بك
الخطوة 2: تمكين تحليل الضغط
• قم بتشغيل "تمكين تحليل الضغط"
• اختر طريقة "مدمج" (افتراضي)
• قم بتمكين "إظهار شريط الضغط" للحصول على ردود فعل بصرية
• اضبط وزن الضغط على "مرتفع (25%)"
الخطوة 3: إضافة الفلاتر (اختياري)
• ابدأ بدون فلاتر لرؤية جميع الإشارات
• أضف فلتر الحجم أولاً (عتبة 1.2×)
• أضف فلتر الضغط لتأكيد تدفق الأوامر
• أضف المزيد من الفلاتر إذا كنت تريد إشارات ذات جودة أعلى
الخطوة 4: تكوين مستويات التداول
• قم بتمكين "إظهار مستويات التداول"
• اختر طريقة الحساب (النسبة المئوية موصى بها للمبتدئين)
• اضبط نسبة وقف الخسارة الخاصة بك (1.5% نقطة بداية جيدة)
• اضبط عدد الأهداف (3 موصى به)
• قم بتكوين نسب الأهداف بناءً على تفضيل R:R الخاص بك
الخطوة 5: تخصيص اللوحة
• اختر وضع اللوحة: "تفصيلي" للتحليل الكامل، "بسيط" للعرض السريع
• اختر النمط المفضل لديك (كلاسيكي، مضغوط، إلخ)
• قم بتمكين "إظهار شريط القوة" و "إظهار شريط الضغط"
• اختياريًا قم بتمكين "إظهار لوحة مقارنة المحركات"
الخطوة 6: تنفيذ التداول
• انتظر إشارة قوية أو متوسطة في محركك المختار
• تحقق من شريط الضغط لتأكيد تدفق الأوامر
• تحقق من استيفاء الفلاتر (إذا كانت ممكّنة)
• تحقق من لوحة مقارنة المحركات للإجماع (إذا كانت ممكّنة)
• ادخل الصفقة عند مستوى الدخول المرسوم
• ضع وقف الخسارة عند مستوى SL المرسوم
• اضبط أهداف الربح عند مستويات TP المرسومة
• قم بالتدرج عند كل هدف (مثلاً 33% عند TP1، 33% عند TP2، 34% عند TP3)
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⚠️ ملاحظات مهمة وأفضل الممارسات
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اختيار المحرك:
• لا تبدل المحركات باستمرار - التزم بواحد وتعلم سلوكه
• كل محرك له تكرار ودقة إشارة مختلفة
• استخدم لوحة مقارنة المحركات لإيجاد إعدادات عالية الثقة
• محرك سريع = إشارات أكثر، دقة أقل
• محرك SMC بحت = إشارات أقل، دقة أعلى
نظام الضغط:
• يعمل بشكل أفضل في الأسواق السائلة (BTC، ETH، العملات البديلة الرئيسية)
• أقل موثوقية على العملات منخفضة الحجم أو خلال ساعات السيولة المنخفضة
• ادمج مع فلتر الحجم للحصول على أفضل النتائج
• اختلاف الضغط (السعر لأعلى، الضغط لأسفل) يمكن أن يشير إلى انعكاسات
الفلاتر:
• المزيد من الفلاتر = إشارات أقل لكن معدل فوز أعلى
• ابدأ بفلتر أو فلترين، أضف المزيد بناءً على نتائجك
• الكثير من الفلاتر = ستفوتك فرص جيدة
• المزيج الموصى به: الحجم + الضغط لمعظم المتداولين
إدارة المخاطر:
• استخدم دائمًا وقف الخسارة - بدون استثناءات
• خاطر فقط بـ 1-2% من رأس مالك لكل صفقة
• استهدف نسبة مخاطرة:عائد 1:2 كحد أدنى
• قم بالتدرج عند الأهداف - لا تنتظر ضرب جميع الأهداف
• انقل وقف الخسارة إلى نقطة التعادل بعد ضرب TP1
اختيار الإطار الزمني:
• الأطر الزمنية الأقل (15 دقيقة - 1 ساعة) = إشارات أكثر، وقت شاشة أكثر مطلوب
• الأطر الزمنية الأعلى (4 ساعات - يومي) = إشارات أقل، وقت شاشة أقل
• طابق الإطار الزمني مع نمط حياتك وتوفر التداول
• تحليل متعدد الأطر الزمنية: تحقق من الإطار الزمني الأعلى لاتجاه الاتجاه
ظروف السوق:
• يعمل المؤشر بشكل أفضل في الأسواق ذات الاتجاه
• خلال الأسواق المتقلبة/الجانبية، قلل حجم المركز أو ابق خارجًا
• هيمنة البيتكوين (BTC.D) حاسمة لتداول العملات البديلة
• ارتفاع USDT.D = بيئة خالية من المخاطر = حذر من الشراء
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🎓 مسار التعلم - إتقان المؤشر
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الأسبوع 1: فهم المحركات
• اختبر كل محرك بشكل منفصل على أزواجك المفضلة
• لاحظ أي محرك يعطي إشارات تتطابق مع أسلوبك
• قارن نتائج لوحة مقارنة المحركات
• حدد أي محرك يعمل بشكل أفضل على إطارك الزمني المفضل
الأسبوع 2: إضافة تحليل الضغط
• قم بتمكين شريط الضغط ولاحظ سلوكه
• راقب كيف يرتبط الضغط بحركة السعر
• لاحظ عندما يختلف الضغط عن السعر (انعكاسات محتملة)
• تعلم الثقة في تأكيد الضغط
الأسبوع 3: تنفيذ الفلاتر
• أضف فلترًا واحدًا في كل مرة
• قس التأثير على جودة وتكرار الإشارة
• ابحث عن مزيج الفلتر الأمثل لديك
• وثق نتائجك
الأسبوع 4: تطوير الاستراتيجية والاختبار الخلفي
• ادمج محركك المختار + الفلاتر + الضغط
• اختبر على البيانات التاريخية (قم بالتمرير للخلف على الرسم البياني)
• حسّن قواعد الدخول والخروج الخاصة بك
• طور خطة التداول الشخصية الخاصة بك
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🚨 إخلاء المسؤولية
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يتم توفير هذا المؤشر لأغراض تعليمية وتحليلية فقط. إنه ليس نصيحة مالية، ولا ينبغي اعتباره توصية لشراء أو بيع أي أداة مالية.
ينطوي تداول العملات الرقمية والأدوات المالية الأخرى على مخاطر كبيرة من الخسارة وليس مناسبًا لكل مستثمر. قد يتقلب تقييم العملات الرقمية والعقود الآجلة، ونتيجة لذلك، قد تخسر أكثر من استثمارك الأولي.
الأداء السابق ليس مؤشرًا على النتائج المستقبلية. لا يتم تقديم أي تمثيل بأن أي حساب سيحقق أو من المحتمل أن يحقق أرباحًا أو خسائر مماثلة لتلك التي تمت مناقشتها في هذا المؤشر أو وثائقه.
يجب عليك النظر بعناية فيما إذا كان التداول مناسبًا لك في ضوء ظروفك ومعرفتك ومواردك المالية. قد تخسر كل أو أكثر من استثمارك الأولي. الآراء أو بيانات السوق أو التوصيات أو أي محتوى آخر عرضة للتغيير في أي وقت دون إشعار.
قم دائمًا بإجراء أبحاثك الخاصة والعناية الواجبة قبل اتخاذ أي قرارات تداول. لا تخاطر أبدًا بأكثر مما يمكنك تحمل خسارته. استخدم دائمًا إدارة المخاطر المناسبة ووقف الخسائر.
لن يكون منشئ هذا المؤشر (Abusuhil) مسؤولاً عن أي خسائر أو أضرار، بما في ذلك دون حصر، أي خسارة في الربح، والتي قد تنشأ بشكل مباشر أو غير مباشر من استخدام أو الاعتماد على هذا المؤشر.
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📞 الدعم والتواصل
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للأسئلة أو الاقتراحات أو تقارير الأخطاء:
• TradingView: ابحث عن "Triple Vision Pro V2 "
• التعليقات: استخدم قسم التعليقات في TradingView للملاحظات
• التحديثات: تابع للحصول على تحديثات وتحسينات المؤشر
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ℹ️ المعلومات التقنية
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الإصدار: 2.0
المطور: Abusuhil
لغة البرمجة: Pine Script v5
تاريخ الإصدار: 2025
نوع المؤشر: Overlay (يعرض على الرسم البياني للسعر)
الحد الأقصى للتسميات: 500
الحد الأقصى للخطوط: 500
الحد الأقصى للمربعات: 500
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🏆 ما الذي يجعل Triple Vision Pro V2 فريدًا
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على عكس المؤشرات التقليدية التي تحلل حركة السعر فقط، يتبع Triple Vision Pro V2 نهجًا شاملاً من خلال تحليل ثلاثة من أهم محركات حركات سوق العملات الرقمية:
1. البيتكوين (BTC) - قائد السوق الذي يدفع المعنويات العامة للعملات الرقمية
2. هيمنة البيتكوين (BTC.D) - يظهر تدفق رأس المال بين BTC والعملات البديلة
3. هيمنة التيثر (USDT.D) - يقيس معنويات المخاطرة مقابل عدم المخاطرة
من خلال الجمع بين هذه المنظورات الثلاثة مع مفاهيم الأموال الذكية، وتحليل تدفق الأوامر المتقدم، ومحركات التحليل المتعددة، يوفر Triple Vision Pro V2 صورة كاملة لظروف السوق—شيء لا يمكن لأي مؤشر أصل واحد تحقيقه.
النتيجة؟ صفقات ذات احتمالية أعلى، توقيت أفضل، وميزة حقيقية في أسواق العملات الرقمية.
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✨ كلمات أخيرة
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يمثل Triple Vision Pro V2 مئات الساعات من التطوير والاختبار والتحسين. إنه يجمع بين التحليل على مستوى المؤسسات والتصميم سهل الاستخدام، مما يجعل أدوات التداول الاحترافية متاحة للجميع.
سواء كنت مضاربًا يبحث عن لعب زخم سريع، أو متداولًا متأرجحًا يبحث عن إعدادات عالية الاحتمالية، أو متداول مراكز يريد مداخل محافظة—هذا المؤشر لديه محرك وتكوين مصمم لك.
تذكر: لا يوجد مؤشر مثالي، ولا يمكن لأي مؤشر ضمان الأرباح. يأتي النجاح في التداول من إدارة المخاطر المناسبة، والانضباط، والسيطرة العاطفية، والتعلم المستمر. استخدم هذا المؤشر كأداة قوية في ترسانة التداول الخاصة بك، ولكن اجمعه دائمًا مع تحليلك وحكمك الخاص.
تداول بأمان، تداول بذكاء، وليكن تداولك مربحًا! 🚀
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Velocity Divergence Radar [JOAT]
Velocity Divergence Radar - Momentum Physics Edition
Overview
Velocity Divergence Radar is an open-source oscillator indicator that applies physics concepts to market analysis. It calculates price velocity (rate of change), acceleration (rate of velocity change), and jerk (rate of acceleration change) to provide a multi-dimensional view of momentum. The indicator also includes divergence detection and force vector analysis.
What This Indicator Does
The indicator calculates and displays:
Velocity - Rate of price change over a configurable period, smoothed with EMA
Acceleration - Rate of velocity change, showing momentum shifts
Jerk (3rd Derivative) - Rate of acceleration change, indicating momentum stability
Force Vectors - Volume-weighted acceleration representing market force
Kinetic Energy - Calculated as 0.5 * mass (volume ratio) * velocity squared
Momentum Conservation - Tracks momentum relative to historical average
Divergence Detection - Identifies when price and velocity diverge at pivots
How It Works
Velocity is calculated as smoothed rate of change:
calculateVelocity(series float price, simple int period) =>
float roc = ta.roc(price, period)
float velocity = ta.ema(roc, period / 2)
velocity
Acceleration is the change in velocity:
calculateAcceleration(series float velocity, simple int period) =>
float accel = ta.change(velocity, period)
float smoothAccel = ta.ema(accel, period / 2)
smoothAccel
Jerk is the change in acceleration:
calculateJerk(series float acceleration, simple int period) =>
float jerk = ta.change(acceleration, period)
float smoothJerk = ta.ema(jerk, period / 2)
smoothJerk
Force is calculated using F = m * a (mass approximated by volume ratio):
calculateForceVector(series float mass, series float acceleration) =>
float force = mass * acceleration
float forceDirection = math.sign(force)
float forceMagnitude = math.abs(force)
Signal Generation
Signals are generated based on velocity behavior:
Bullish Divergence: Price makes lower low while velocity makes higher low
Bearish Divergence: Price makes higher high while velocity makes lower high
Velocity Cross: Velocity crosses above/below zero line
Extreme Velocity: Velocity exceeds 1.5x the upper/lower zone threshold
Jerk Extreme: Jerk exceeds 2x standard deviation
Force Extreme: Force magnitude exceeds 2x average
Dashboard Panel (Top-Right)
Velocity - Current velocity value
Acceleration - Current acceleration value
Momentum Strength - Combined velocity and acceleration strength
Radar Score - Composite score based on velocity and acceleration
Direction - STRONG UP/SLOWING UP/STRONG DOWN/SLOWING DOWN/FLAT
Jerk - Current jerk value
Force Vector - Current force magnitude
Kinetic Energy - Current kinetic energy value
Physics Score - Overall physics-based momentum score
Signal - Current actionable status
Visual Elements
Velocity Line - Main oscillator line with color based on direction
Velocity EMA - Smoothed velocity for trend reference
Acceleration Histogram - Bar chart showing acceleration direction
Jerk Area - Filled area showing jerk magnitude
Vector Magnitude - Line showing combined vector strength
Radar Scan - Oscillating pattern for visual effect
Zone Lines - Upper and lower threshold lines
Divergence Labels - BULL DIV / BEAR DIV markers
Extreme Markers - Triangles at velocity extremes
Input Parameters
Velocity Period (default: 14) - Period for velocity calculation
Acceleration Period (default: 7) - Period for acceleration calculation
Divergence Lookback (default: 10) - Bars to scan for divergence
Radar Sensitivity (default: 1.0) - Zone threshold multiplier
Jerk Analysis (default: true) - Enable 3rd derivative calculation
Force Vectors (default: true) - Enable force analysis
Kinetic Energy (default: true) - Enable energy calculation
Momentum Conservation (default: true) - Enable momentum tracking
Suggested Use Cases
Identify momentum direction using velocity sign and magnitude
Watch for divergences as potential reversal warnings
Use acceleration to detect momentum shifts before price confirms
Monitor jerk for momentum stability assessment
Combine force and kinetic energy for conviction analysis
Timeframe Recommendations
Works on all timeframes. Higher timeframes provide smoother readings; lower timeframes show more granular momentum changes.
Limitations
Physics analogies are conceptual and not literal market physics
Divergence detection uses pivot-based lookback and may lag
Force calculation uses volume ratio as mass proxy
Kinetic energy is a derived metric, not actual energy
Open-Source and Disclaimer
This script is published as open-source under the Mozilla Public License 2.0 for educational purposes. It does not constitute financial advice. Past performance does not guarantee future results. Always use proper risk management.
- Made with passion by officialjackofalltrades
Consolidated Technical ScorecardConsolidated Technical Scorecard (CTS)
The Consolidated Technical Scorecard (CTS) is a structured trend-strength and leadership-quality framework designed to help traders quickly assess whether a stock or index is displaying characteristics of a high-quality up-trend, a constructive developing phase, or a weak / high-risk environment.
Rather than relying on a single indicator or signal, CTS consolidates information from trend structure, momentum conditions, and multi-timeframe alignment into a unified visual scorecard panel on the chart. The goal is to give traders a clear, objective snapshot of where the instrument currently stands in the broader trend hierarchy.
What CTS Helps You Identify
Whether price action reflects true leadership behavior or just short-term strength
When a stock is trending cleanly vs. transitioning / weakening
The quality and durability of the current trend phase
When conditions shift from constructive → strong or strong → vulnerable
A quick, at-a-glance assessment instead of reading multiple indicators manually
CTS is particularly useful for:
> momentum traders
> trend-followers
> position traders
> portfolio screening and strength filtering
> leadership-based stock selection
How the Score Works (High-Level Overview)
CTS evaluates price behaviour across three key pillars:
Trend Structure & Leadership Characteristics
- evaluates whether price structure is consistent with strong trend behaviour
Momentum & Regime Quality
- checks whether momentum supports the prevailing trend environment
Multi-Timeframe Confirmation & Alignment
- validates whether strength is supported across higher-timeframe conditions
Each pillar contributes to an overall 16-point composite score, which is then expressed as a percentage “CTS Strength” reading and a corresponding qualitative verdict (such as High-Quality Up-Trend or Constructive / Watch).
Internal scoring rules and calculation details are proprietary and intentionally abstracted to preserve the design philosophy and intellectual property of the framework.
Scorecard Output Panel
The on-chart panel displays:
> Trend Score
> Momentum Score
> Multi-TF Confirmation Score
> CTS Strength (%)
> Verdict label summarising the current state
Score cell backgrounds use hierarchical colour-grading to provide instant visual context for strength vs. risk conditions. The panel can be positioned or resized via settings, and includes a Light / Dark text-theme option for visibility on any chart background.
Customisation & Display Controls
The CTS Scorecard includes several user-configurable display options to improve usability across different chart layouts and backgrounds:
> Table Positioning - The panel can be placed anywhere on the chart (top-right, top-left, bottom-right, centre positions, etc.) based on user preference.
> Font Size Adjustment - Users can choose from multiple font-size presets to improve readability across different screen sizes and resolutions.
> Light / Dark Mode Text Theme - The indicator includes a selectable text-theme option to ensure optimal visibility on both light and dark chart backgrounds, while retaining consistent scorecard styling.
These controls allow the scorecard to adapt to different workspace setups without affecting the underlying model or scoring behaviour.
Important Notes
> CTS is not a buy/sell signal generator
> It is a trend-assessment and confirmation tool
> It is most effective when combined with:
- price action analysis
- risk management
- broader market context
> Like any analytical model, it should support decision-making — not replace it
> The CTS Scorecard is intentionally designed to work only on the Daily timeframe. When applied on other timeframes, the indicator displays a notice prompting users to switch back to Daily mode.
Best Use Cases
Identify potential leadership-grade stocks
Filter out weak or low-quality trend setups
Avoid participation during deteriorating phases
Track how trend quality evolves over time
Strength-based watchlist and screening workflows
Credits & Philosophy
CTS is built around a price-first, evidence-based trading approach, influenced by institutional trend-following principles and leadership-quality frameworks used by professional momentum and position traders.
The emphasis is on clarity, alignment, discipline, and trend quality over noise.
www.alphasndeltas.in
NIFTY 5-Strike Straddle - CURRENT + LAST 2 TRADING DAYS H/LJust add the Nifty option strikes and it will calculate the live straddle price along with 3 days high and low of CE & Pe
Whale Momentum BarsWhale Momentum Bars is a custom Visual Range Volume Profile (VRVP) for the last N bars that shows total volume only (no POC/VA/VAL). It builds a 55-row volume-by-price histogram (fully adjustable) using a more accurate method: each candle’s volume is distributed across price bins based on the candle’s high/low overlap.
The key idea is filtering: every row’s bar width is normalized to the highest-volume bin in the range. Only bins that reach a user-defined threshold (e.g. 33% or 50% of the max bin) are drawn. Low-volume areas vanish, high-volume nodes stay, and gaps are preserved—so the heavy-volume “whale zones” pop instantly.
You can draw the profile inside the selected range, choose left or right, control the max width (in bars) and offset, and customize color, transparency, and borders.
Optional labels mark the price levels of the top N local peaks (true volume nodes), so you see the most important high-volume levels without labeling adjacent “peak neighbor” bins.
THE ELVINATORTHE ELVINATOR is my trend-following momentum indicator built on the 20 EMA, 50 EMA, and 200 EMA, designed for trading **XAUUSD during the New York session (9:30–17:00 NY time), Monday through Friday**.
**How to trade it:**
* **Trend filter:** Only take **longs above the 200 EMA** and **shorts below the 200 EMA**. This keeps trades aligned with Gold’s dominant direction.
* **Long setups:** A **20 EMA cross above the 50 EMA** signals bullish momentum. Best entries come after a pullback into the 20–50 EMA zone followed by strong continuation candles.
* **Short setups:** A **20 EMA cross below the 50 EMA** signals bearish momentum. Look for pullbacks into the EMA zone and rejection before continuation lower.
* **Timing:** Focus on NY open and high-volume moves. Avoid choppy conditions and late-session exhaustion.
* **Risk & exits:** Place stops beyond recent swings or EMA structure. Targets can be prior highs/lows or scaled with trend continuation.
THE ELVINATOR is built for **structure, patience, and disciplined execution**, allowing traders to capitalize on Gold’s volatility without chasing noise.
Nadaraya-Watson Envelope + EMA Filter (Optimized for BTC)Best Way to Use This Nadaraya-Watson EnvelopeThis indicator is not a standalone "holy grail" system — it's a powerful predictive tool that estimates where price is "likely" to go based on historical patterns.Core Idea:The orange line = predicted "fair value" or mean price path
The blue cloud = expected range (dynamic support/resistance)
Price tends to mean-revert to the orange line
Best Practices:Trade bounces in ranging markets:BUY at lower band (green) when price is below orange line
SELL at upper band (red) when price is above orange line
Target: the orange line or opposite band
Trade breakouts in trending markets:If price breaks and closes strongly outside the cloud → potential trend start
Wait for pullback to orange line for entry in trend direction
Best timeframes:5m–15m: Scalping bounces
1H–4H: Swing trading mean reversion
Add confluence for higher win rate:Only take BUY if price is above EMA 200 (uptrend bias)
Combine with volume spike or RSI oversold/overbought
Use with support/resistance levels
Risk management:Stop loss: just outside the envelope
Take profit: at orange line or next band
enjoy
OHCL { Pachi }This script will show the D, W, M, 2,3,4,6 Months.
you can select what you want to show and change the label style.
MTF EMAs: 200 EMA (1hr & 15m), 8 EMA (5m)Using the 200 ema on 1hr and 15 min timeframe to ID entry points for scalping.
NY Open Auto-DST (GMT+8)This script is an automated tool designed for traders in the GMT+8 timezone to track the US Market Open window accurately throughout the year.
Key Features:
Automatic DST Detection: Uses mathematical rules to identify US Daylight Saving Time for any year (2025, 2026, etc.), removing the need for manual updates.
Dynamic Highlighting : * Summer (DST): Highlights 9:30 PM – 11:30 PM MYT.
Winter (Standard) : Highlights 10:30 PM – 12:30 AM MYT.
Visual Dashboard : Displays the current year and the active session time in a small table on your chart for quick verification.
Manual Override : Includes a toggle to switch between automatic calendar detection and manual time selection.
Warpath Structure + Liquidity Tool V5 (limited dash) Warpath v5 is designed to clean up your chart and surface only the key information needed to make educated trading decisions — not to tell you what trades to take. This version removes automated setup signals in favor of giving you the raw data to form your own bias.
If you prefer the full dashboard experience with Setup Bias and Trade Favor, v3 remains available.
What's New in v5:
Expanded HTF Liquidity Levels — Now pulls swing highs/lows and Equal Highs/Equal Lows from 1H, 4H, Daily, and Weekly timeframes. Touch count labels (2x, 3x) show how many times a level has been tested, helping you identify the most significant liquidity pools.
1M and 5M Bias Options — The HTF Bias Dashboard now supports 1-minute and 5-minute timeframes for scalpers and those who want granular confirmation alongside higher timeframe context.
Built-In EMA — Adds an 80 EMA (or any length you choose) directly on the chart with customizable color and width. Great for traders on the free plan looking to reduce indicator count.
Simplified Dashboards — Removed the Setup Bias dashboard and FAVOR row from the Positioning dashboard. What remains: clean trend bias across timeframes and objective positioning data (range %, VWAP deviation, volume, volatility).
Full Color Customization — Every section (structure labels, sweep zones, session levels, dashboards) can be tailored to your preference.
Core Features:
1. Market Structure Labels
Automatically plots HH / HL / LH / LL at pivot points on your current timeframe. Makes directional bias immediately obvious and helps prevent counter-trend entries during strong expansions.
2. Liquidity Sweep Detection
Identifies true liquidity sweeps using wick behavior — price pierces a level but closes back inside. Highlights the sweep wick and draws a swept-zone box extending forward to show where liquidity was grabbed. Designed to distinguish fuel from reversal.
3. Key Session Levels
Automatically plots:
Asian Session High / Low
London Session High / Low
NY Session High / Low
Previous Day High / Low
Smart label merging combines overlapping levels (e.g., "PDH/AsH") to reduce clutter.
4. HTF Liquidity Levels (Equal Highs/Lows + Swings)
Draws significant swing points and equal levels from 1H, 4H, Daily, and Weekly charts. Labels include touch count so you can see which levels have been tested multiple times — these are your highest-probability liquidity targets.
5. Multi-Timeframe Bias Dashboard
Displays trend bias for 1M, 5M, 15M, 1H, 4H, and Daily (user-selectable). Each timeframe score is calculated from:
EMA Stack (8/21/50 alignment)
Structure (HH/HL vs LH/LL)
Momentum (recent candle direction)
Shows confluence scores (e.g., "BULLS (4)") so you see signal strength, not just direction. Overall bias weights higher timeframes more heavily.
6. Trade Positioning Dashboard
Gives you objective context without telling you what to do:
Range Position: Where price sits within your selected range (Previous Session, Previous Day, or Weekly) as a percentage — Deep Discount, Discount, Equilibrium, Premium, Deep Premium.
VWAP Deviation: Distance from VWAP in standard deviations. Beyond ±1.5σ = meaningful extension. Beyond ±2σ = caution on continuation.
Volume: Relative volume vs 20-period average.
ATR: Current volatility vs recent average.
7. Alerts
Built-in alerts for:
Buy-side sweeps (highs taken)
Sell-side sweeps (lows taken)
Any sweep
Philosophy:
Warpath shows you structure, liquidity, and context. You decide what to do with it. The goal is fewer indicators, less noise, and more clarity — everything you need to analyze the chart on one overlay.Small tweaks made to security calls
Bar Countdown ClockBar Countdown Clock
Description:
Displays the remaining time for the current bar on the chart. The countdown label follows the previous EMA5 price to stay stable during high-volatility markets. Font size and label position are fully customizable. Works well on BTC, Gold, Forex, and other trading instruments.
How to Use:
Add the indicator to your chart.
Adjust Clock Color, Font Size, and X Offset to suit your preference.
The label will automatically track the previous EMA5 price.
The countdown updates in real-time until the current bar closes.
Tips:
Increase X Offset if the label overlaps the current bar.
For high-volatility instruments, the label remains stable by following EMA5.
EMA Length can be adjusted to change the anchor point for the label.
4-SMA <Mikee>This is a simple modifiable 4 SMA (default on 20,50,100,200).
The script will switch to a daily ratio SMA for 1h to 24h time frames.
All others times frame (minutes, daily, weekly...) the SMAs will switch back to the normal SMA.
SMM By SagarSMM by Sagar. It marks almost all the important levels used in the strategy CMM taught by my mentor the OG Fahad Siddiqui from TWS.
Fractal Market Geometry [JOAT]
Fractal Market Geometry
Overview
Fractal Market Geometry is an open-source overlay indicator that combines fractal analysis with harmonic pattern detection, Fibonacci retracements and extensions, Elliott Wave concepts, and Wyckoff phase identification. It provides traders with a geometric framework for understanding market structure and identifying potential reversal patterns with multi-factor signal confirmation.
What This Indicator Does
The indicator calculates and displays:
Fractal Detection - Identifies fractal highs and lows using Williams-style pivot analysis with configurable period
Fractal Dimension - Calculates market complexity using range-based dimension estimation
Harmonic Patterns - Detects Gartley, Butterfly, Bat, Crab, Shark, Cypher, and ABCD patterns using Fibonacci ratios
Fibonacci Retracements - Key levels at 38.2%, 50%, and 61.8%
Fibonacci Extensions - Projection level at 161.8%
Elliott Wave Count - Simplified wave counting based on pivot detection (1-5)
Wyckoff Phase - Volume-based phase identification (Accumulation, Markup, Distribution, Neutral)
Golden Spiral Levels - ATR-based support and resistance levels using phi (1.618) ratio
Trend Detection - EMA crossover trend identification (20/50 EMA)
How It Works
Fractal detection uses a configurable period to identify swing points:
detectFractalHigh(simple int period) =>
bool result = true
float centerVal = high
for i = 0 to period - 1
if high >= centerVal or high >= centerVal
result := false
break
Harmonic pattern detection uses Fibonacci ratio analysis between swing points. Each pattern has specific ratio requirements:
Gartley: AB 0.382-0.618, BC 0.382-0.886, CD 1.27-1.618
Butterfly: AB 0.382-0.5, BC 0.382-0.886, CD 1.618-2.24
Bat: AB 0.5-0.618, BC 1.13-1.618, CD 1.618-2.24
Crab: AB 0.382-0.618, BC 0.382-0.886, CD 2.24-3.618
Shark: AB 0.382-0.618, BC 1.13-1.618, CD 1.618-2.24
Cypher: AB 0.382-0.618, BC 1.13-1.414, CD 0.786-0.886
Wyckoff phase detection analyzes volume relative to price movement:
wyckoffPhase(simple int period) =>
float avgVol = ta.sma(volume, period)
float priceChg = ta.change(close, period)
string phase = "NEUTRAL"
if volume > avgVol * 1.5 and math.abs(priceChg) < close * 0.02
phase := "ACCUMULATION"
else if volume > avgVol * 1.5 and math.abs(priceChg) > close * 0.05
phase := "MARKUP"
else if volume < avgVol * 0.7
phase := "DISTRIBUTION"
phase
Signal Generation
Signals use multi-factor confirmation for accuracy:
BUY Signal: Fractal low + Uptrend (EMA20 > EMA50) + RSI 30-55 + Bullish candle + Volume confirmation
SELL Signal: Fractal high + Downtrend (EMA20 < EMA50) + RSI 45-70 + Bearish candle + Volume confirmation
Pattern Detection: Label appears when harmonic pattern completes at current bar
Dashboard Panel (Top-Right)
Dimension - Fractal dimension value (market complexity measure)
Last High - Most recent fractal high price
Last Low - Most recent fractal low price
Pattern - Current harmonic pattern name or NONE
Elliott Wave - Current wave count (Wave 1-5) or OFF
Wyckoff - Current market phase or OFF
Trend - BULLISH, BEARISH, or NEUTRAL based on EMA crossover
Signal - BUY, SELL, or WAIT status
Visual Elements
Fractal Markers - Small triangles at fractal highs (down arrow) and lows (up arrow)
Geometry Lines - Dashed lines connecting the most recent fractal high and low
Fibonacci Levels - Clean horizontal lines at 38.2%, 50%, and 61.8% retracement levels
Fibonacci Extension - Horizontal line at 161.8% extension level
Golden Spiral Levels - Support and resistance lines based on ATR x 1.618
3D Fractal Field - Optional depth layers around swing levels (OFF by default)
Harmonic Pattern Markers - Small diamond shapes when Crab, Shark, or Cypher patterns detected
Pattern Labels - Text label showing pattern name when detected
Signal Labels - BUY/SELL labels on confirmed multi-factor signals
Input Parameters
Fractal Period (default: 5) - Bars on each side for fractal detection
Geometry Depth (default: 3) - Complexity of geometric calculations
Pattern Sensitivity (default: 0.8) - Tolerance for pattern ratio matching
Show Fibonacci Levels (default: true) - Display retracement levels
Show Fibonacci Extensions (default: true) - Display extension level
Elliott Wave Detection (default: true) - Enable wave counting
Wyckoff Analysis (default: true) - Enable phase detection
Golden Spiral Levels (default: true) - Display spiral support/resistance
Show Fractal Points (default: true) - Display fractal markers
Show Geometry Lines (default: true) - Display connecting lines
Show Pattern Labels (default: true) - Display pattern name labels
Show 3D Fractal Field (default: false) - Display depth layers
Show Harmonic Patterns (default: true) - Display pattern markers
Show Buy/Sell Signals (default: true) - Display signal labels
Suggested Use Cases
Identify potential reversal zones using harmonic pattern completion
Use Fibonacci levels for entry, stop-loss, and target planning
Monitor Wyckoff phases for accumulation/distribution awareness
Track Elliott Wave counts for trend structure analysis
Use fractal dimension to gauge market complexity
Wait for multi-factor signal confirmation before entering trades
Timeframe Recommendations
Best on 1H to Daily charts. Lower timeframes produce more fractals but with less significance. Higher timeframes provide stronger levels and more reliable signals.
Limitations
Harmonic pattern detection uses simplified ratio ranges and may not match all textbook definitions
Elliott Wave counting is basic and does not include all wave rules
Wyckoff phase detection is volume-based approximation
Fractal dimension calculation is simplified
Signals require fractal confirmation which has inherent lag equal to the fractal period
Open-Source and Disclaimer
This script is published as open-source under the Mozilla Public License 2.0 for educational purposes. It does not constitute financial advice. Past performance does not guarantee future results. Always use proper risk management.
- Made with passion by officialjackofalltrades
PA SystemPA System - Price Action Trading System
价格行为交易系统
📊 概述 / Overview
PA System is a comprehensive price action trading indicator that combines Smart Money Concepts (SMC), market structure analysis, and multi-timeframe confirmation to identify high-probability trade setups. Designed for both manual traders and algorithmic trading systems.
PA System 是一个综合性价格行为交易指标,结合了Smart Money概念(SMC)、市场结构分析和多时间框架确认,用于识别高概率交易机会。适用于手动交易者和算法交易系统。
✨ 核心特性 / Key Features
🎯 Four-Phase Signal System / 四阶段信号系统
H1 (First Pullback) - Initial bullish retracement in uptrend
H2 (Confirmed Entry) - Breakout confirmation for long entries
L1 (First Bounce) - Initial bearish bounce in downtrend
L2 (Confirmed Entry) - Breakdown confirmation for short entries
中文说明:
H1(首次回调) - 上升趋势中的初次回撤信号
H2(确认入场) - 突破确认的做多入场点
L1(首次反弹) - 下降趋势中的初次反弹信号
L2(确认入场) - 跌破确认的做空入场点
📐 Market Structure Detection / 市场结构识别
HH (Higher High) - Uptrend confirmation / 上升趋势确认
HL (Higher Low) - Bullish pullback / 多头回调
LH (Lower High) - Bearish bounce / 空头反弹
LL (Lower Low) - Downtrend confirmation / 下降趋势确认
💎 Smart Money Concepts (SMC) / 智能资金概念
BoS (Break of Structure) - Trend continuation signal / 趋势延续信号
CHoCH (Change of Character) - Potential trend reversal / 潜在趋势反转
📈 Dynamic Trendlines / 动态趋势线
Auto-drawn support and resistance trendlines / 自动绘制支撑阻力趋势线
Real-time extension to current bar / 实时延伸至当前K线
Slope-filtered for accuracy / 斜率过滤确保准确性
🎚️ Multi-Timeframe Analysis / 多时间框架分析
Higher timeframe trend filter (default 4H) / 大周期趋势过滤(默认4小时)
Prevents counter-trend trades / 防止逆势交易
Configurable timeframe / 可配置时间周期
📊 Volume Confirmation / 成交量确认
Filters signals based on volume strength / 基于成交量强度过滤信号
20-period volume MA comparison / 与20期成交量均线对比
High-volume bars highlighted / 高成交量K线高亮显示
🎯 Risk Management Tools / 风险管理工具
Automatic SL/TP calculation and display / 自动计算并显示止损止盈
Visual stop loss and take profit lines / 可视化止损止盈线条
Risk percentage and R:R ratio display / 显示风险百分比和盈亏比
Dynamic stop loss sizing (0.3% - 1.5%) / 动态止损范围(0.3% - 1.5%)
📱 Real-Time Alerts / 实时警报
Instant notifications on H2/L2 signals / H2/L2信号即时通知
Webhook support for automation / 支持Webhook自动化
Mobile, email, and popup alerts / 手机、邮件和弹窗警报
📊 Professional Dashboard / 专业仪表盘
Real-time market state (CHANNEL/RANGE/BREAKOUT) / 实时市场状态
Local and MTF trend indicators / 本地及大周期趋势指标
Order flow status (HIGH VOL / LOW VOL) / 订单流状态
Last signal tracker / 最新信号追踪
🔧 参数设置 / Parameter Settings
Structure Settings / 结构设置
Parameter Default Range Description
Swing Length / 摆动长度 5 2-20 Pivot detection sensitivity / 枢轴点检测灵敏度
Trend Confirm Bars / 趋势确认根数 3 2-10 Consecutive bars for breakout / 突破所需连续K线数
Channel ATR Mult / 通道ATR倍数 2.0 1.0-5.0 Range detection threshold / 区间检测阈值
Signal Settings / 信号设置
Parameter Default Description
Enable H2 Longs / 启用H2做多 ✅ Toggle long signals / 开关做多信号
Enable L2 Shorts / 启用L2做空 ✅ Toggle short signals / 开关做空信号
Micro Range Length / 微平台长度 3 Breakout detection bars / 突破检测K线数
Close Strength / 收盘强度 0.6 Minimum close position in bar / K线内最小收盘位置
Filter Settings / 过滤设置
Parameter Default Description
Use MTF Filter / 大周期过滤 ✅ Enable higher timeframe filter / 启用大周期过滤
MTF Timeframe / 大周期时间框架 240 (4H) Higher timeframe period / 大周期时间
Use Volume Filter / 成交量过滤 ✅ Require high volume confirmation / 需要高成交量确认
Volume MA Length / 成交量均线周期 20 Volume comparison period / 成交量对比周期
Fast EMA / 快速EMA 20 Short-term trend / 短期趋势
Slow EMA / 慢速EMA 50 Long-term trend / 长期趋势
Risk Management / 风险管理
Parameter Default Description
Risk % / 风险百分比 1.0% Risk per trade / 每笔交易风险
R:R Ratio / 盈亏比 2.0 Reward to risk ratio / 盈亏比率
Max SL ATR / 最大止损ATR 3.0 Maximum stop loss in ATR / 最大止损ATR倍数
Min SL % / 最小止损百分比 0.3% Minimum stop loss percentage / 最小止损百分比
Max SL % / 最大止损百分比 1.5% Maximum stop loss percentage / 最大止损百分比
📖 使用方法 / How to Use
1. 基础设置 / Basic Setup
For Day Trading (5-15 min charts) / 日内交易(5-15分钟图)
text
Swing Length: 5
MTF Timeframe: 240 (4H)
Risk %: 1.0%
R:R: 2.0
For Swing Trading (1-4H charts) / 波段交易(1-4小时图)
text
Swing Length: 8
MTF Timeframe: D (Daily)
Risk %: 0.5%
R:R: 3.0
For Scalping (1-5 min charts) / 剥头皮(1-5分钟图)
text
Swing Length: 3
MTF Timeframe: 60 (1H)
Risk %: 0.5%
R:R: 1.5
Use Volume Filter: ✅
2. 信号识别 / Signal Identification
Long Entry / 做多入场
✅ Dashboard shows "Local Trend: BULL" / 仪表盘显示"本地趋势:多头"
✅ MTF Trend shows "BULLISH" / 大周期趋势显示"看涨"
✅ Green circle (H1) appears below bar / 绿色圆点(H1)出现在K线下方
⏳ Wait for H2 signal (green triangle ▲) / 等待H2信号(绿色三角▲)
📊 Check volume bar is cyan (HIGH VOL) / 检查成交量柱为青色(高成交量)
🎯 Enter at close of H2 bar / 在H2 K线收盘价入场
🛡️ Set SL at red dashed line / 止损设在红色虚线位置
🎁 Set TP at green dashed line / 止盈设在绿色虚线位置
Short Entry / 做空入场
✅ Dashboard shows "Local Trend: BEAR" / 仪表盘显示"本地趋势:空头"
✅ MTF Trend shows "BEARISH" / 大周期趋势显示"看跌"
✅ Red circle (L1) appears above bar / 红色圆点(L1)出现在K线上方
⏳ Wait for L2 signal (red triangle ▼) / 等待L2信号(红色倒三角▼)
📊 Check volume bar is cyan (HIGH VOL) / 检查成交量柱为青色(高成交量)
🎯 Enter at close of L2 bar / 在L2 K线收盘价入场
🛡️ Set SL at red dashed line / 止损设在红色虚线位置
🎁 Set TP at green dashed line / 止盈设在绿色虚线位置
3. 警报设置 / Alert Setup
Step-by-Step / 分步操作
Click the "⏰" alert icon on chart / 点击图表上的"⏰"警报图标
Select "PA System - Indicator Version" / 选择"PA System (V1.1) - Indicator Version"
Condition: "Any alert() function call" / 条件:选择"Any alert() function call"
Choose notification method: / 选择通知方式:
📱 Mobile Push / 手机推送
📧 Email / 邮件
🔗 Webhook URL (for automation) / Webhook网址(用于自动化)
Set frequency: "Once Per Bar Close" / 频率:选择"Once Per Bar Close"
Click "Create" / 点击"创建"
Webhook Example for IBKR API / IBKR API的Webhook示例
json
{
"signal": "{{strategy.order.action}}",
"ticker": "{{ticker}}",
"entry": {{close}},
"stop_loss": {{plot_0}},
"take_profit": {{plot_1}},
"timestamp": "{{timenow}}"
}
4. 交易管理 / Trade Management
Position Sizing / 仓位计算
text
Account: $10,000
Risk per Trade: 1% = $100
Entry Price: $690.45
Stop Loss: $687.38
Risk per Share: $690.45 - $687.38 = $3.07
Position Size: $100 / $3.07 = 32 shares
Partial Profit Taking / 部分止盈
Close 50% position at 1:1 R:R / 在1:1盈亏比时平仓50%
Move SL to breakeven / 移动止损至保本位
Let remaining 50% run to 2R target / 让剩余50%跑向2R目标
🎨 视觉元素说明 / Visual Elements Guide
Chart Markers / 图表标记
Symbol Color Meaning
⚫ Small Circle / 小圆点 🟢 Green / 绿色 H1 - First bullish pullback / 首次多头回调
▲ Triangle / 三角形 🟢 Green / 绿色 H2 - Confirmed long entry / 确认做多入场
⚫ Small Circle / 小圆点 🔴 Red / 红色 L1 - First bearish bounce / 首次空头反弹
▼ Inverted Triangle / 倒三角 🔴 Red / 红色 L2 - Confirmed short entry / 确认做空入场
Structure Labels / 结构标签
Label Position Meaning
HH Above high / 高点上方 Higher High - Bullish / 更高的高点-看涨
HL Below low / 低点下方 Higher Low - Bullish / 更高的低点-看涨
LH Above high / 高点上方 Lower High - Bearish / 更低的高点-看跌
LL Below low / 低点下方 Lower Low - Bearish / 更低的低点-看跌
BoS/CHoCH Lines / 破位线条
Type Color Width Meaning
BoS 🔵 Teal / 青色 2px Break of Structure - Trend continues / 结构突破-趋势延续
CHoCH 🔴 Red / 红色 2px Change of Character - Trend reversal / 性质改变-趋势反转
Trendlines / 趋势线
Type Color Style Meaning
Bullish / 看涨 🔵 Teal / 青色 Solid / 实线 Uptrend support / 上升趋势支撑
Bearish / 看跌 🔴 Red / 红色 Solid / 实线 Downtrend resistance / 下降趋势阻力
Risk Lines / 风险线条
Type Color Style Meaning
Stop Loss / 止损 🔴 Red / 红色 Dashed / 虚线 Suggested stop loss level / 建议止损位
Take Profit / 止盈 🟢 Green / 绿色 Dashed / 虚线 Suggested take profit level / 建议止盈位
Dashboard Colors / 仪表盘颜色
Status Color Meaning
BULL / 多头 🟢 Green / 绿色 Bullish trend / 看涨趋势
BEAR / 空头 🔴 Red / 红色 Bearish trend / 看跌趋势
NEUTRAL / 中性 ⚪ Gray / 灰色 No clear trend / 无明确趋势
BREAKOUT / 突破 🟡 Lime / 黄绿 Strong momentum / 强劲动能
HIGH VOL / 高成交量 🔵 Cyan / 青色 High volume confirmation / 高成交量确认
💡 交易策略建议 / Trading Strategy Tips
✅ High Probability Setups / 高概率设置
Trend Alignment / 趋势一致
Local Trend = BULL + MTF Trend = BULLISH / 本地多头 + 大周期看涨
Or: Local Trend = BEAR + MTF Trend = BEARISH / 或:本地空头 + 大周期看跌
Volume Confirmation / 成交量确认
H2/L2 signal appears with cyan volume bar / H2/L2信号伴随青色成交量柱
Volume > 20-period MA / 成交量 > 20期均线
Trendline Support / 趋势线支撑
H2 appears near bullish trendline / H2出现在看涨趋势线附近
L2 appears near bearish trendline / L2出现在看跌趋势线附近
BoS Confirmation / BoS确认
Recent BoS in same direction / 最近同方向的BoS
No CHoCH against the trade / 无逆向的CHoCH
❌ Avoid These Setups / 避免这些情况
Conflicting Trends / 趋势冲突
Local BULL but MTF BEARISH / 本地多头但大周期看跌
Market State = RANGE / 市场状态 = 区间
Low Volume / 低成交量
Order Flow shows "LOW VOL" / 订单流显示"低成交量"
Volume bar is red (below MA) / 成交量柱为红色(低于均线)
Against Trendline / 逆趋势线
Shorting at bullish trendline support / 在看涨趋势线支撑处做空
Buying at bearish trendline resistance / 在看跌趋势线阻力处做多
Recent CHoCH / 近期CHoCH
CHoCH appeared within 10 bars / 10根K线内出现CHoCH
Potential trend reversal zone / 潜在趋势反转区域
🔄 优化建议 / Optimization Tips
For Different Markets / 针对不同市场
Stocks / 股票
text
Swing Length: 5-8
MTF: 240 (4H) or D (Daily)
Risk %: 0.5-1.0%
Best on: SPY, QQQ, AAPL, TSLA
Forex / 外汇
text
Swing Length: 5
MTF: 240 (4H)
Risk %: 1.0-2.0%
Best on: EUR/USD, GBP/USD, USD/JPY
Use Volume Filter: OFF (Forex volume is unreliable)
Crypto / 加密货币
text
Swing Length: 3-5
MTF: 240 (4H)
Risk %: 0.5-1.0% (high volatility)
Max SL %: 2.0-3.0%
Best on: BTC, ETH, SOL
Futures / 期货
text
Swing Length: 5
MTF: 240 (4H)
Risk %: 1.0-1.5%
Best on: ES, NQ, RTY, CL
🤖 自动化集成 / Automation Integration
Python + IBKR API Example / Python + IBKR API示例
python
import requests
from ib_insync import *
def handle_tradingview_alert(alert_data):
"""
Receives webhook from TradingView alert
接收来自TradingView警报的webhook
"""
signal = alert_data # "H2 LONG" or "L2 SHORT"
ticker = alert_data # "SPY"
entry = alert_data # 690.45
stop_loss = alert_data # 687.38
take_profit = alert_data # 696.59
# Connect to IBKR
ib = IB()
ib.connect('127.0.0.1', 7497, clientId=1)
# Create contract
contract = Stock(ticker, 'SMART', 'USD')
# Calculate position size (1% risk)
account_value = ib.accountValues() .value
risk_amount = float(account_value) * 0.01
risk_per_share = abs(entry - stop_loss)
quantity = int(risk_amount / risk_per_share)
# Place order
if "LONG" in signal:
order = MarketOrder('BUY', quantity)
else:
order = MarketOrder('SELL', quantity)
trade = ib.placeOrder(contract, order)
# Set stop loss and take profit
ib.placeOrder(contract, StopOrder('SELL', quantity, stop_loss))
ib.placeOrder(contract, LimitOrder('SELL', quantity, take_profit))
ib.disconnect()
TradersPost Integration / TradersPost集成
Create TradersPost account / 创建TradersPost账户
Connect IBKR broker / 连接IBKR券商
Get Webhook URL / 获取Webhook网址
Add to TradingView alert / 添加到TradingView警报
Test with paper trading / 用模拟账户测试
📊 性能指标 / Performance Metrics
Expected Performance (Backtested) / 预期表现(回测)
Metric Value Notes
Win Rate / 胜率 60-75% With all filters enabled / 启用所有过滤器
Avg R:R / 平均盈亏比 1.8-2.2 Using 2R target / 使用2R目标
Max Drawdown / 最大回撤 8-12% 1% risk per trade / 每笔1%风险
Profit Factor / 盈利因子 1.8-2.5 Trend-following bias / 趋势跟随偏向
Best Markets / 最佳市场 Trending Avoid ranging markets / 避免区间市场
⚠️ Disclaimer: Past performance does not guarantee future results. Always test in paper trading first.
⚠️ 免责声明:历史表现不保证未来结果。请先在模拟账户测试。
🛠️ 故障排除 / Troubleshooting
Problem: No signals appearing / 问题:没有信号出现
Solution / 解决方案:
Disable MTF Filter temporarily / 暂时关闭大周期过滤
Disable Volume Filter / 关闭成交量过滤
Reduce Swing Length to 3 / 将摆动长度降至3
Check if market is ranging (no clear trend) / 检查市场是否处于区间(无明确趋势)
Problem: Too many signals / 问题:信号太多
Solution / 解决方案:
Enable MTF Filter / 启用大周期过滤
Enable Volume Filter / 启用成交量过滤
Increase Swing Length to 8 / 将摆动长度增至8
Enable Break Filter / 启用破位过滤
Problem: Alerts not working / 问题:警报不工作
Solution / 解决方案:
Check "Enable Alerts" is ON / 检查"启用警报"已开启
Verify alert condition is "Any alert() function call" / 确认警报条件为"Any alert() function call"
Check notification settings in TradingView / 检查TradingView通知设置
Test alert with "Test" button / 用"测试"按钮测试警报
Problem: SL/TP lines not showing / 问题:止损止盈线不显示
Solution / 解决方案:
Enable "Show SL/TP Labels" in settings / 在设置中启用"显示止损止盈标签"
Check if signal is recent (lines expire after 10 bars) / 检查信号是否近期(线条在10根K线后消失)
Zoom in to see lines more clearly / 放大图表以更清楚地看到线条
📚 常见问题 FAQ
Q1: Can I use this on any timeframe? / 可以在任何时间框架使用吗?
A: Yes, but works best on 5min-4H charts. Recommended: 15min (day trading), 1H (swing trading).
可以,但在5分钟-4小时图表效果最佳。推荐:15分钟(日内交易),1小时(波段交易)。
Q2: Do I need to enable all filters? / 需要启用所有过滤器吗?
A: No. Start with all enabled, then disable based on your risk tolerance. MTF filter is highly recommended.
不需要。从全部启用开始,然后根据风险承受能力禁用。强烈推荐MTF过滤器。
Q3: Can I automate this with IBKR? / 可以与IBKR自动化吗?
A: Yes! Use TradingView alerts + Webhook + Python script + IBKR API. See automation example above.
可以!使用TradingView警报 + Webhook + Python脚本 + IBKR API。参见上方自动化示例。
Q4: What's the difference between Strategy and Indicator version? / 策略版和指标版有什么区别?
A: Strategy = backtesting only. Indicator = real-time alerts + automation. Use both: backtest with strategy, trade with indicator.
策略版=仅回测。指标版=实时警报+自动化。两者结合使用:用策略版回测,用指标版交易。
Q5: Why does H2 appear but no trade? / 为什么出现H2但没有交易?
A: This is an indicator, not a strategy. You need to manually place orders or use automation via alerts.
这是指标,不是策略。你需要手动下单或通过警报使用自动化。
⚖️ 免责声明 / Disclaimer
IMPORTANT / 重要提示:
This indicator is for educational purposes only. Trading involves substantial risk of loss. Past performance does not guarantee future results. Always:
本指标仅供教育目的。交易涉及重大亏损风险。历史表现不保证未来结果。请务必:
✅ Test in paper trading first / 先在模拟账户测试
✅ Use proper risk management (1-2% max per trade) / 使用适当风险管理(每笔最多1-2%)
✅ Never risk more than you can afford to lose / 永远不要冒超出承受能力的风险
✅ Understand the strategy before using / 使用前理解策略原理
Not financial advice. Trade at your own risk.
非投资建议。交易风险自负。
Precision EMA Position Engine PRO🟦 Precision EMA Position Engine PRO
Structured Long-Term Trend Interpretation & Position Discipline Framework
Product Class: Trend Structure Framework, Position Trading Support, Momentum Exit Awareness
Designed For: Long-term traders, position investors, disciplined trend followers across Crypto, Forex, Stocks, Commodities, and Indices
🟦 Overview
Precision EMA Position Engine PRO is a professional trend interpretation framework engineered to bring clarity, structure, and disciplined awareness to long-term trading and position management.
Using layered EMA structure, visual environmental confirmation, and momentum exit awareness, it helps traders understand when markets transition from neutral to structured bullish phases — and when strength begins weakening.
The purpose is not to predict markets, but to provide a calm, organized, easy-to-read visual environment that encourages rational decisions instead of emotional reactions.
🟦 Concepts
The system is built on five disciplined principles:
Macro Trend Structure
Defines the foundational trend environment.
Micro Structural Alignment
Confirms whether shorter structure supports the dominant trend.
Momentum Confirmation
Ensures trends are supported rather than artificially drifting.
Color-Based Market Clarity
Visual states make trend health easier to interpret.
Discipline Over Emotion
The framework supports patience, maturity of structure, and controlled exits.
🟦 Key Features
✔ Multi-layer EMA structure clarity
✔ Visual bullish and weakening condition zones
✔ Entry 1 signal for full bullish alignment
✔ Entry 2 signal for major structural transition confirmation
✔ Customizable exit system using EMA 5 vs EMA 8 logic
✔ Optional candle-close confirmation to reduce noise
✔ Compatible with all markets and timeframes DAILY TO MONTH
This is a professional position framework, not a signal toy.
🟦 Customization & Flexibility
Users retain full control while the original design philosophy remains intact.
Trend Framework
• Adjustable EMA lengths
• Structured fill and line color control
Signals
• Fully customizable entry and exit colors
• Adjustable signal placement
• Independent exit-engine configuration
Behavior Control
• Optional candle-close confirmation
• Visual clarity optimization settings
This allows personal adaptation while maintaining disciplined structure integrity.
🟦 Usage Guidance
Recommended workflow:
1️⃣ Apply to chart
2️⃣ First understand macro EMA backbone structure
3️⃣ Look for alignment rather than forcing trades
4️⃣ Allow bullish structure to properly mature
5️⃣ Treat exit momentum warnings as early awareness signals
6️⃣ Combine with broader analytical logic and personal strategy
Higher timeframes generally provide stronger stability, clearer context, and fewer emotional decisions.
🟦 Example Scenario
The market transitions from sideways behavior into organized bullish structure.
EMAs align positively.
Supportive bullish fill zones appear.
Entry confirmation triggers.
A position is maintained while strength persists.
Eventually, EMA 5 weakens relative to EMA 8.
An exit warning appears — before deep structural collapse occurs — giving the trader time to reassess, manage exposure, and act rationally.
🟦 Settings Overview
EMA Backbone
• EMA 50 and EMA 100 macro structure foundation
Structural Layers
• Layered EMA fills establishing visual clarity
Signals
• Entry 1 confirmation
• Entry 2 structural transition validation
Exit Engine
• EMA 5 vs EMA 8 momentum weakening
• Candle-close optional security
Customization Panel
• Colors
• Signal placement
• Confirmation preferences
🟦 Conclusion
Precision EMA Position Engine PRO is created for traders who value clarity, structure, discipline, and responsible trading behavior.
It does not promise miracles or unrealistic outcomes.
It delivers a logical, organized visual framework that supports better long-term trading confidence, consistency, and understanding.
🟦 Disclaimer
This tool does not provide financial advice and does not guarantee performance outcomes.
Markets involve risk. Users remain responsible for execution, risk management, and trading decisions.






















