IFVGs [NINE]Overview
The IFVG Indicator is a precision-engineered tool designed to identify and display Inversion Fair Value Gaps (IFVGs), a powerful price action concept rooted in ICT (Inner Circle Trader) methodology. This indicator automatically detects when price closes through an existing Fair Value Gap, causing the zone to "invert" and flip its directional bias, signaling potential areas of institutional interest for future price reactions.
What is an Inversion Fair Value Gap?
A Fair Value Gap (FVG) is a three-candle pattern where a gap exists between the wicks of the first and third candles, representing an imbalance in price delivery. These zones often act as magnets for price to return and "fill" the inefficiency.
An Inversion Fair Value Gap (IFVG) occurs when price doesn't just tap into an FVG, it closes through it with a candle body. This "inversion" transforms the zone:
A Bullish FVG that gets closed through becomes a Bearish IFVG (potential resistance/supply zone)
A Bearish FVG that gets closed through becomes a Bullish IFVG (potential support/demand zone)
IFVGs represent areas where the market has shown its hand — institutional order flow has aggressively moved through a prior inefficiency, and the inverted zone now becomes a point of interest for potential reversals or continuations.
Key Features
Automatic IFVG Detection
The indicator continuously monitors for Fair Value Gaps and automatically converts them to IFVGs when price body closes through the zone. No manual identification required.
Multiple Display Styles
Choose from four distinct visualization modes to match your chart aesthetic:
Level — Clean, minimal single line at the IFVG extreme (top for bullish, bottom for bearish)
Normal — Filled zone with dashed borders and dot label
Minimalist — High/low boundary lines with connecting link
Classic — Filled box with 50% midline only
Full Customization
Independent colors for bullish and bearish IFVGs
Adjustable transparency for zone fills
Optional 50% midline (Consequent Encroachment level)
Flexible label styles: "IFVG" or "+/−" notation
Multiple label sizes: Tiny, Small, Normal, Large
Smart Extension Options
Extend to Current Bar — Zones dynamically extend as price progresses
Extend to Confirmation — Zones end at the bar where inversion occurred
Manual Offset — Fine-tune extension length in bars
Clustered IFVG Filter
Prevents chart clutter by ensuring only one IFVG per direction forms within a 5-bar cooldown period. When a single candle closes through multiple FVGs, only the first IFVG of that directional series is displayed — eliminating redundant signals and keeping your chart clean.
FVG Lookback Control
Limit which FVGs can become IFVGs based on their age. Options include 10, 50, 100, 200, or 300 bars. This filters out old, stale FVGs that may create less relevant inversions.
Session Time Filters
Optional time-based filtering allows you to focus on specific trading sessions:
Configurable session windows (e.g., 9:30 AM - 12:00 PM)
Support for two independent session filters
Multiple timezone options including New York, London, Tokyo, and more
Volume Imbalance Detection
Optionally include Volume Imbalances (VIs) — gaps between candle bodies rather than wicks — expanding the scope of detectable inefficiencies.
Invalidation Tracking
IFVGs are automatically invalidated when price closes back through the zone in the opposite direction, with optional display of invalidated zones.
How to Use
Entry Confirmation
IFVGs serve as areas for trade entries. When price returns to a confirmed IFVG:
Bullish IFVG — Look for long entries as price taps the zone from above
Bearish IFVG — Look for short entries as price taps the zone from below
Settings Reference
Inversion Fair Value Gaps
Show IFVGs? — Master toggle for IFVG display
Style — Level, Normal, Minimalist, or Classic
Transparency % — Zone fill opacity (0-100)
Historical Display — Maximum IFVGs to show per direction
Bullish/Bearish Colors — Independent color selection
Show Invalidated? — Display IFVGs that have been invalidated
Extend IFVGs? — Enable dynamic zone extension
Extension Mode — Current Bar or Confirmation
Manual Offset — Additional bars to extend
High/Low Lines — Show boundary lines (Minimalist style)
50% Midline — Show Consequent Encroachment level
Show Labels? — Display zone labels
Label Style — IFVG or +/− notation
FVG Lookback — Maximum age of FVGs that can invert
Clustered Filter — Prevent multiple same-direction IFVGs in quick succession
Volume Imbalances — Include body gaps in detection
Session Filters
Enable 1st/2nd Time Filter — Activate session filtering
Session Times — Define active trading windows
Timezone — Reference timezone for session calculations
Disclaimer
This indicator is provided for educational and informational purposes only. It is not financial advice, and nothing contained herein constitutes a recommendation, solicitation, or offer to buy or sell any securities, options, or other financial instruments.
Trading involves substantial risk of loss and is not suitable for all investors. Past performance is not indicative of future results. You should carefully consider your investment objectives, level of experience, and risk appetite before making any trading decisions.
The developer of this indicator makes no representations or warranties regarding the accuracy, completeness, or reliability of the information provided. You are solely responsible for your own trading decisions and any profits or losses that may result.
Always conduct your own research and consider seeking advice from a licensed financial professional before trading.
אינדיקטורים ואסטרטגיות
MWTI Introduction onChartMarket Wave TransIndex (MWTI)
Colors show when to attack and when to rest.
• Background = current market wave
• Masked zones = low momentum (rest)
• Upper dots = higher timeframe bias
No symbols, no predictions.
Just read the market state.
Works on any market, any timeframe.
Introduction (sample) is optimized for the 15m chart.
Try it on any market in 15m.
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Neural Markets [Institutional]Neural Markets is a proprietary technical analysis algorithm designed for structural trend identification and volatility filtering.
The script combines two core engines to generate high-probability market insights:
1. Volatility Engine:
Uses dynamic standard deviation bands (Volatility Bands) adjusted by a proprietary multiplier to filter out market noise. The logic adapts to expanding or contracting market phases to reduce false signals during consolidation.
2. Trend Filter (Smart Mode):
Integrates an Institutional EMA-based logic (Exponential Moving Average) to determine the macro-bias. Signals are only generated when price action aligns with the dominant trend, filtering out counter-trend noise.
KEY FEATURES:
- Non-Repainting Logic: All signals are permanent once the candle closes.
- Military Dashboard (HUD): Real-time display of Trend, Volatility, and Algorithm Status.
- Visual Cloud: Instant identification of the support/resistance zones based on volatility.
- Clean Chart: Optimized for professional use, minimizing visual clutter.
WARNING:
This is an Invite-Only script. Access is restricted to authorized members for educational and analytical purposes only. It does not constitute financial advice.
Clean chart visualization suitable for professional trading.
WARNING: This is a restricted access tool (Invite-Only). It is strictly for educational and analytical purposes.
Daily OpenThis is a protected/private script. To request access, please provide:
TradingView username (required)
Your main market(s) and timeframe(s)
Intended use (education / backtesting / live trading)
(Optional) Any proof of eligibility if applicable
Once your request is reviewed, access will be granted to the username provided.
Usage Terms:
No copying, modifying, distributing, publishing, or reselling of this script or its logic
Access is granted to approved accounts only
This script is a tool for analysis and not financial advice; you assume all trading risks
The author reserves the right to update the script or revoke access at any time
CFO Y+QOperating Cash Flow (CFO) – Annual + Quarterly
This indicator plots a company’s Operating Cash Flow (CFO) for both Annual (FY) and Quarterly (FQ) reporting periods in a single pane. CFO represents the net cash generated (or used) by the firm’s core operations during the period, as reported in the cash flow statement.
How to read it:
Positive CFO generally indicates the business is generating cash from operations.
Negative CFO may indicate cash burn from operations, often due to operating losses or adverse working-capital movements.
Viewing FY and FQ together helps you compare long-term operating cash generation with shorter-term quarterly volatility.
Scaling:
The indicator includes an optional scaling setting (Raw / Millions / Billions / Auto) to improve readability. In Auto mode, both series are displayed using the same scale for consistent comparison.
Sideways Zone Breakout 📘 Sideways Zone Breakout – Indicator Description
Sideways Zone Breakout is a visual market-structure indicator designed to identify low-volatility consolidation zones and highlight potential breakout opportunities when price exits these zones.
This indicator focuses on detecting periods where price trades within a tight range, often referred to as sideways or consolidation phases, and visually marks these zones directly on the chart for clarity.
🔍 Core Concept
Markets often spend time moving sideways before making a directional move.
This indicator aims to:
Detect price compression
Visually highlight the sideways zone
Signal when price breaks above or below the zone boundaries
Instead of predicting direction, it simply reacts to range expansion after consolidation.
⚙️ How the Indicator Works
1️⃣ Sideways Zone Detection
The indicator looks back over a user-defined number of candles
It calculates the highest high and lowest low within that window
If the total price range remains within a defined percentage of the current price, the market is considered sideways
This helps filter out trending and highly volatile conditions.
2️⃣ Visual Zone Representation
When a sideways condition is detected:
A clear price zone is drawn between the recent high and low
The zone is displayed using a soft gradient fill for better visibility
Outer borders are added to enhance zone clarity without cluttering the chart
This makes consolidation areas easy to spot at a glance.
3️⃣ Breakout Identification
Once a sideways zone is active:
A bullish breakout is marked when price closes above the upper boundary
A bearish breakout is marked when price closes below the lower boundary
Directional arrows and labels are plotted directly on the chart to indicate these events.
📊 Visual Elements Included
Sideways consolidation zones with gradient fill
Upper and lower zone boundaries
Buy and Sell arrows on breakout
Optional text labels for clear interpretation
All visuals are designed to remain lightweight and readable on any chart theme.
🔧 User Inputs
Sideways Lookback (candles): Controls how many past candles are used to define the range
Max Range % (tightness): Determines how tight the range must be to qualify as sideways
Adjusting these inputs allows users to adapt the indicator to different instruments and timeframes.
📈 Usage Guidelines
Can be applied to any market or timeframe
Works well as a context or confirmation tool
Best used alongside volume, trend, or risk management tools
Signals should be validated with proper trade planning
⚠️ Disclaimer
This indicator is provided as open-source for educational and analytical purposes only.
It does not generate trade recommendations or guarantee outcomes.
Market conditions vary, and users are responsible for their own trading decisions.
Institutional Supply/Demand (Unmitigated)Title: Institutional Supply/Demand (Unmitigated)
What it does: This indicator automatically detects and highlights Fresh Institutional Supply and Demand Zones based on market structure (Swing Highs and Swing Lows). It is designed to keep your chart clean by only showing levels that have not yet been tested.
Key Features:
Auto-Detection:
Red Boxes (Supply): Appear at major Swing Highs. These represent potential Sell Limit orders from institutions.
Green Boxes (Demand): Appear at major Swing Lows. These represent potential Buy Limit orders.
Mitigation Logic (The "Clean-Up"):
The script actively monitors price action.
If price touches a box, the box is instantly deleted.
This ensures you are never looking at "old" or "used" levels. If a box is visible on your chart, it means price has never returned to that level since it was created.
Customizable Structure:
Structure Lookback: Adjusts how sensitive the detection is.
Setting 5 (Default): Finds major, significant structure points.
Setting 3: Finds smaller, internal structure points (more zones).
How to Trade:
Wait for Price to Return: Watch for price to approach a visible Red or Green box.
Reaction: Since these are "Fresh" levels, look for a rejection (wick) or a reversal pattern as soon as price taps the zone.
No Clutter: You don't need to manually delete old lines; the script does it for you.
Suspension Blocks [TakingProphets]-----------------------------------------------------------------------------------------------
SUSPENSION BLOCKS
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Suspension Blocks are a new ICT concept designed to highlight price inefficiencies created by displacement and body-to-body gaps across a precise 3-candle sequence. These structures represent areas where price was temporarily “suspended” before continuation, often acting as high-probability reaction zones on future revisits.
This indicator automatically detects, visualizes, manages, and invalidates Suspension Blocks in real time, while intelligently limiting chart clutter to only the most relevant structures near current price.
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PURPOSE AND SCOPE
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- Detect ICT-style Bullish and Bearish Suspension Blocks using strict 3-candle body relationships
- Require measurable body-to-body separation defined in true ticks (instrument-aware)
- Automatically draw and extend Suspension Blocks forward in time
- Invalidate blocks only when price decisively closes beyond the defining boundary
- Optionally display Consequent Encroachment (50% equilibrium) within each block
- Limit on-chart visibility to the closest N blocks per side relative to current price
- Provide session-based, directional alerting for new block formations
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WHAT IS A SUSPENSION BLOCK
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A Suspension Block is a 3-candle displacement pattern defined by body gaps on both sides of a middle candle.
Bullish Suspension Block logic:
- Candle 1 close is BELOW Candle 2 open by at least the Minimum Body Separation
- Candle 3 open is ABOVE Candle 2 close by at least the Minimum Body Separation
- Candle 3 open is ABOVE Candle 1 close to ensure a valid vertical range
- The block spans from Candle 1 close (low) to Candle 3 open (high)
- The block remains valid until price CLOSES below Candle 1 close
Bearish Suspension Block logic (mirror conditions):
- Candle 1 close is ABOVE Candle 2 open by at least the Minimum Body Separation
- Candle 3 open is BELOW Candle 2 close by at least the Minimum Body Separation
- Candle 3 open is BELOW Candle 1 close to ensure a valid vertical range
- The block spans from Candle 1 close (high) to Candle 3 open (low)
- The block remains valid until price CLOSES above Candle 1 close
All calculations are performed using true tick values via `syminfo.mintick` to ensure precision across instruments.
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GENERAL SETTINGS
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- Minimum Body Separation (ticks)
- Defines the minimum required body-to-body gap between candles
- Measured in true ticks (0.25 = quarter tick, 1.0 = full tick, etc.)
- Max Visible Blocks per Side
- Limits the number of bullish and bearish blocks displayed
- Only the closest blocks to current price remain visible
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VISUALIZATION SETTINGS
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- Bullish Suspension Blocks
- Toggle bullish block visibility
- Custom fill color with adjustable transparency
- Optional border with selectable line style (Solid / Dashed / Dotted)
- Bearish Suspension Blocks
- Toggle bearish block visibility
- Custom fill color with adjustable transparency
- Optional border with selectable line style (Solid / Dashed / Dotted)
- Consequent Encroachment (CE)
- Optional 50% equilibrium line drawn inside each block
- Custom color and line style
- Automatically extends with the block
Blocks dynamically extend to the current bar and are hidden or shown based on proximity to price to keep the chart clean and actionable.
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BLOCK MANAGEMENT & INVALIDATION
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- Each block is stored persistently and extended forward bar-by-bar
- Bullish blocks are invalidated only when price CLOSES below the block low
- Bearish blocks are invalidated only when price CLOSES above the block high
- Invalidated blocks and their CE lines are automatically removed
- Visibility logic ensures only the most relevant structures are emphasized
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ALERT SYSTEM
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- Optional alerts when new Suspension Blocks form
- Independent toggles for bullish and bearish alerts
- Fully customizable alert messages
- Alerts can be restricted to specific trading sessions:
- Session 1 (default: 09:30–16:00 NY)
- Session 2 (optional)
- Session 3 (optional)
- Alerts include ticker and timeframe context automatically
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BEST USE CASES
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- High-probability reaction zones after displacement
- Confluence with liquidity, PD arrays, and market structure
- Execution refinement within ICT-based models
- Intraday and higher-timeframe contextual bias
- Clean, rules-based identification of inefficiency zones
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DISCLAIMER
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This indicator is provided for educational and analytical purposes only. It does not constitute financial advice. Trading involves risk, and past performance is not indicative of future results.
© TakingProphets
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GNC Trading - Corr FinderGNC Trading - Correlation Finder lets you easily find the correlation between currency pairs.
Indicator Settings:
Series 1 Symbol: Fixed currency pair to compare
Series 2 Symbol: Leading currency pair to compare
Time Resolution: 1 day (Do not change)
Return Window: How many bars of logarithmic change will be calculated. 30, 60, or 90 attempts can be made. If 30 is selected, the change to the last candle 30 days prior will be calculated.
Correlation Window: How many bars will be scanned. 155 (Short term) or 365 (Long term) can be used.
Example: Scans 155 bars according to the entered return. 155 bars represents the 30-day change of each bar compared to the past.
Series 2 Lag: Does the added symbol in Series 2 have a leading character? You can add entries 0 - 30 - 60 - 90 - 120 - 180 here and use the 2nd symbol as a leading character.
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MNQ Quant Oscillator Lab v2.1MNQ Quant Oscillator Lab v2.1 — Clean Namespaces
Adaptive LinReg Oscillator + Auto Regime Switching + MTF Confirmation + MOEP Gate + Research Harness
MNQ Quant Oscillator Lab is a research-grade oscillator framework designed for MNQ/NQ (and other liquid futures/indices) on 1-minute and intraday timeframes. It combines a linear-regression-based detrended oscillator with quant-style normalization, adaptive parameterization, regime switching, multi-timeframe confirmation, and an optional MOEP (Minimum Optimal Entry Point) gate. The goal is to provide a customizable signal laboratory that is stable in real time, non-repainting by default, and suitable for systematic experimentation.
What this indicator does
1) Core oscillator (quant-normalized)
The indicator computes a linear regression (LinReg) detrended signal and expresses it as a z-scored oscillator for portability across volatility regimes and assets. You can switch the oscillator “transform family” via Oscillator type:
LinReg Residual / Residual Z: detrended residual (mean-reversion sensitive)
LinReg Slope Z: regression slope (trend-derivative sensitive)
LogReturn Z: log-return oscillator (momentum-style)
VolNorm Return Z: volatility-normalized returns (risk-scaled)
This yields a single oscillator that is comparable over time, not tied to raw point values.
2) Adaptive length (dynamic calibration)
When enabled, the regression length is automatically adapted using a volatility-regime proxy (ATR% z-scored → logistic mapping). High volatility typically shortens the effective lookback; low volatility allows longer lookbacks. This helps the oscillator remain responsive during expansions while staying stable in compressions.
Important: the adaptive logic is implemented with safe warmup behavior, so it will not throw NaN errors on early bars.
3) Adaptive thresholds (dynamic bands)
Instead of static overbought/oversold levels, the indicator can compute dynamic upper/lower bands from the oscillator’s own distribution (rolling mean + sigma). This creates thresholds that adjust automatically to regime changes.
4) Auto regime switching (Trend vs Mean Reversion)
With Auto regime switch enabled, the indicator selects whether to behave as a Trend system or a Mean Reversion system using an interpretable heuristic:
Trend regime when EMA-spread is strong relative to ATR and ATR is rising
Otherwise defaults to Mean Reversion
This prevents running mean-reversion logic in trend breakouts and reduces “mode mismatch.”
5) Multi-timeframe (MTF) confirmation (optional)
MTF confirmation can be enabled to require that the higher timeframe oscillator sign aligns with the direction of the signal. This is useful for reducing noise on MNQ 1m by requiring higher-timeframe structure agreement (e.g., 5m or 15m).
6) MOEP Gate (optional “institutional” filter)
The MOEP gate is a confluence score filter intended to reduce low-quality signals. It aggregates multiple components into a 0–100 score:
BB/KC squeeze condition
Expansion proxy
Trend proxy
Momentum proxy (RSI-based)
Volume catalyst (volume z-score)
Structure break (highest/lowest break)
You can set:
Score threshold (minimum score required)
Minimum components required (forces diversity of evidence)
When enabled, a signal must satisfy both oscillator logic and MOEP confluence conditions.
7) Research harness (NON-CAUSAL, OFF by default)
A built-in research mode evaluates signals using future bars to compute basic forward excursion statistics:
MFE (max favorable excursion)
MAE (max adverse excursion)
Simple win-rate proxy based on MFE vs MAE
This feature is strictly for offline analysis and tuning. It is disabled by default and should not be considered “live-safe” because it uses future information for evaluation.
Signals and interpretation
Mean Reversion regime
Long: oscillator is below the lower band and turns back upward across it
Short: oscillator is above the upper band and turns back downward across it
Trend regime
Long: oscillator crosses above zero (optionally requires structure break confirmation)
Short: oscillator crosses below zero (optionally requires structure break confirmation)
Hybrid
When Hybrid is selected (manual mode), the indicator allows both trend and mean-reversion triggers, but still respects the filters and gates you enable.
Recommended starting configuration (MNQ 1m)
If you want stable, high-quality signals first, then expand into research:
Use RTH only: ON
Auto regime switch: ON
Adaptive length: ON
Adaptive bands: ON
MTF confirmation: OFF initially (turn ON later with 5m)
MOEP Gate: OFF initially (turn ON after you confirm base behavior)
Research harness: OFF (only enable for tuning studies)
Practical notes / transparency
The indicator is designed to be stable on live bars (optional confirmed-bar behavior reduces flicker).
No repainting logic is used for signals.
Any “performance” numbers shown under Research harness are not tradable metrics; they are forward-looking evaluation outputs intended strictly for experimentation.
Disclaimer
This script is provided for educational and research purposes only and does not constitute financial advice. Futures trading involves substantial risk, including the possibility of loss exceeding initial investment.
Cash Conversion Ratio (CFO / Net Income)This indicator measures how effectively a company converts its accounting profits into cash generated from core operations. It is calculated as:
Cash Conversion Ratio = Operating Cash Flow (CFO) ÷ Net Income
A value around 1.0 (or 100%) generally indicates strong earnings quality, meaning reported profits are broadly supported by operating cash inflows. Values above 1.0 suggest operating cash flow exceeds net income, while values below 1.0 may indicate weaker cash conversion, often due to working-capital changes (e.g., receivables, inventory) or other timing effects. Negative or near-zero net income can make the ratio volatile or less interpretable.
The Golden Reaper 🟡 THE GOLDEN REAPER
HTF OTE + EMA50 — Futures Scalping Framework
The Golden Reaper is a high-timeframe execution framework designed specifically for futures scalpers who trade with precision, patience, and structure.
This indicator focuses on HTF market structure, Optimal Trade Entry (OTE) zones, and equilibrium (50%) reclaim confirmation to identify high-probability execution areas for fast, controlled scalps.
It is not a signal spam tool.
It is a framework built for disciplined traders who wait for price to come to them.
⸻
🔑 Designed For
✔ Futures markets (ES, NQ, MNQ, MES, GC, MGC, CL, etc.)
✔ Scalpers & intraday traders
✔ 1H structure → 5m / 1m execution
✔ Traders who prefer few high-quality setups
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🧠 Core Logic (How It Works)
1️⃣ High-Timeframe Structure (HTF)
The indicator identifies the most recent HTF swing high and low to define the active trading leg.
2️⃣ OTE Zone (Premium / Discount)
Price is expected to react within the OTE zone where liquidity is commonly targeted.
3️⃣ Golden Entry (EQ 50%)
The 50% equilibrium level is marked as the Golden Entry.
Price must reclaim this level for a setup to become valid.
4️⃣ Golden Execution Zone
After reclaim, a golden execution zone appears to define where entries are allowed.
5️⃣ EMA 50 Trend Filter
Trades are taken only in the direction of the HTF EMA 50 to avoid counter-trend scalps.
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⚡ How Futures Scalpers Use It
Recommended Timeframes
• HTF Structure: 1 Hour
• Execution: 5 Minute / 1 Minute
Process
• Wait for price to reach the OTE zone
• Allow the setup to arm
• Enter only after price reclaims the Golden Entry
• Execute within the Golden Execution Zone
• Manage stops and targets manually
This approach helps scalpers:
✔ Avoid chasing price
✔ Reduce over-trading
✔ Improve entry precision
✔ Maintain consistency
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🔔 Alerts Included
• OTE Touched – Setup is armed
• C-Reclaim Confirmed – Entry condition met
(Alerts are designed to assist — not replace — trader judgment.)
⸻
⚠️ Important Notes
• Designed for futures markets only
• Best used with price action confirmation
• No built-in stop loss or take profit (manual risk management required)
• Not financial advice
⸻
🧬 Who This Indicator Is For
✔ Futures scalpers
✔ ICT / Smart Money traders
✔ Structure-based traders
✔ Traders who value patience over frequency
❌ Not for:
• Signal chasers
• Indicator stacking
• Automated trading
• Beginners who want instant entries
⸻
🟡 Created By
ChartReaper / Tactiko
Instagram:
@officialchartreaper
@tactiko
Beast Mode PRO v4.0# Beast Mode PRO v4.0 - Advanced Multi-Regime Trading System
## Overview
Beast Mode PRO v4.0 is a sophisticated technical analysis indicator designed for active traders seeking high-probability setups across multiple timeframes. This system combines machine learning-inspired clustering algorithms with traditional technical analysis to identify market regimes and generate precision entry signals. The indicator adapts to different trading styles through intelligent preset configurations and multiple trading modes.
---
## Core Methodology
### Signal Generation Framework
The indicator employs a **multi-component voting system** that analyzes market conditions through several independent technical perspectives:
**Technical Components:**
- **RSI (Relative Strength Index)**: Momentum oscillator measuring overbought/oversold conditions
- **Fisher Transform**: Price transformation technique that normalizes price distributions for clearer turning points
- **DMI (Directional Movement Index)**: Trend strength indicator measuring directional pressure
- **Z-Score Analysis**: Statistical measure identifying price deviations from historical norms
- **Moving Average Ratio**: Price relationship to its moving average baseline
- **MFI (Money Flow Index)**: Volume-weighted momentum indicator
- **Stochastic Oscillator**: Momentum indicator comparing closing price to price range
- **CCI (Commodity Channel Index)**: Measures current price level relative to average price level
### Clustering Engine
The system utilizes a **k-means inspired clustering algorithm** that categorizes each technical indicator's normalized values into distinct market regimes (bullish, bearish, neutral). This approach:
1. **Normalizes** all indicators using z-score transformation over a historical lookback window
2. **Clusters** normalized values using percentile-based thresholds
3. **Aggregates** individual votes into a composite score ranging from -100 to +100
4. **Smooths** the composite score using selectable methods (SMA, EMA, WMA, HMA, TEMA, DEMA)
The clustering percentiles adapt dynamically based on current market volatility (ATR-normalized), ensuring the system remains responsive across different market conditions.
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## Trading Modes
### 1. Normal Mode
Standard crossover-based signals using fixed thresholds (+10/-10). Suitable for balanced trading with moderate signal frequency.
### 2. Scalper Mode
Dynamic threshold adjustment based on recent score volatility. Generates more frequent signals by adapting to short-term price movements.
### 3. Aggressive Mode
Reversal-focused approach that triggers signals when the composite score crosses extreme levels (+80/-80), targeting major trend reversals.
### 4. Hybrid Mode
Combines Normal and Aggressive signals, capturing both standard crossovers and extreme reversals for comprehensive market coverage.
### 5. Super Scalper Mode
Ultra-responsive mode using signal line crossovers (14-period HMA of composite score) for maximum trade frequency.
### 6. Sniper Mode (Premium Feature)
Multi-confirmation system requiring alignment of:
- Composite score threshold breach
- Positive fast momentum (10-period SMI)
- Positive trend momentum (200-period SMI)
- Price above/below smart trend filter MA
This mode prioritizes precision over frequency, filtering out low-probability setups.
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## Timeframe Presets
Pre-optimized configurations for common trading timeframes:
### 1 Minute Preset
- Fast smoothing (10-period WMA)
- Tight chop filter (61.8 threshold)
- Optimized for rapid scalping with minimal lag
### 2 Minute Preset
- Balanced smoothing (12-period EMA)
- Enhanced volume filtering
- Moderate cooling period (5 bars)
### 3 Minute Preset
- HMA smoothing for reduced lag
- Stochastic and CCI enabled
- Balanced approach for intraday trading
### 5 Minute Preset
- TEMA smoothing for trend following
- Stronger filters to reduce noise
- Extended lookback (1000 bars)
### 15 Minute Preset
- DEMA smoothing for swing positions
- Maximum filtering configuration
- All technical indicators enabled
- Suitable for swing trading and position building
Users can also select "Custom" to manually configure all parameters.
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## Advanced Filtering System
### 1. Choppy Market Filter
Uses Choppiness Index calculation to identify consolidating markets. When CI exceeds the threshold, signals are suppressed to avoid whipsaw trades.
### 2. Smart Trend Filter
Configurable moving average (SMA/EMA/WMA/HMA/TEMA/DEMA/VWMA/RMA) that prevents counter-trend signals. Long signals require price above the MA, shorts require price below.
### 3. Volume Filter
Compares current volume to its moving average. Signals are suppressed when volume falls below the specified multiplier of average volume.
### 4. ATR Volatility Filter
Prevents trading during low volatility periods when ATR falls below its moving average multiplied by the specified factor.
### 5. Session Filter
Time-based filtering for Asia, London, New York, or combined sessions. Ensures trading only during preferred market hours.
### 6. Multi-Timeframe Confirmation
Optionally requires higher timeframe alignment before generating signals, adding confluence for higher probability trades.
### 7. Cooling Off Period
Prevents signal clustering by enforcing a minimum number of bars between consecutive signals.
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## Smart Money Concepts Integration
### Order Block Detection
Identifies institutional supply/demand zones using multi-timeframe analysis:
- Detects strong directional candles followed by breakout moves
- Volume confirmation ensures significance
- Customizable timeframe selection (current TF or higher TF: 5m, 15m, 30m, 1H, Daily)
- Visual boxes mark active order blocks with automatic expiration after lookback period
- Price interaction alerts when touching active zones
### Liquidity Zones
Marks equal highs (EQH) and equal lows (EQL) where stop losses typically cluster, indicating potential reversal or breakout points.
---
## Momentum Analysis
### Fast Momentum (Default: 10-period)
Short-term momentum oscillator using Stochastic Momentum Index (SMI) calculation. Provides early warning of momentum shifts.
### Trend Momentum (Default: 200-period)
Long-term momentum gauge confirming overall trend direction. Used in Sniper Mode for multi-confirmation.
### Momentum Divergence Detection
Automatically identifies:
- **Regular Divergence**: Price makes new high/low but momentum doesn't (reversal signal)
- **Hidden Divergence**: Price makes higher low/lower high but momentum doesn't (continuation signal)
---
## Visual Components
### Price Chart Overlay
- **Smart Trend MA**: Dynamically colored moving average based on price position
- **EMA Cloud**: 50/200 EMA cloud showing long-term trend (background shading)
- **Trend Background**: Subtle background coloring based on composite score
- **Order Block Boxes**: Institutional supply/demand zones
- **Entry/Exit Markers**: Clear visual signals with emoji labels
- **Liquidity Markers**: EQH/EQL identification
### Bar Coloring
Bars change color based on active mode and market regime:
- **Sniper Mode**: Purple (bull) / Pink (bear)
- **Aggressive Mode**: Bright Green / Bright Red
- **Super Scalper**: Neon Green / Neon Red
- **Timeframe Presets**: Unique color schemes per preset
- **Choppy/Neutral**: Always gray regardless of mode
### Oscillator Pane
- **Composite Score Line**: Gradient-colored stepline showing current regime strength
- **Fast/Trend Momentum**: Optional overlays (gold/cyan colors)
- **Divergence Markers**: Visual alerts for regular, hidden, and momentum divergences
- **Power Zones**: Overbought/oversold regions (80/-80 levels)
- **Dynamic/Fixed Thresholds**: Visual reference lines based on active mode
### Interactive Dashboards
**Main Dashboard** displays:
- Active preset/mode configuration
- Real-time indicator values and votes
- Current market status (active/choppy/counter-trend/low volume/low ATR/MTF misalignment)
- Regime classification (Strong Long/Long/Neutral/Short/Strong Short)
- Smart Trend MA status
**Performance Dashboard** shows:
- Exit strategy (Fixed TP/SL, Trailing Stop, Opposite Signal)
- Total trades and win rate
- Total points and average per NY session
- Profit factor and recovery factor
- Best/worst trades and max drawdown
- Maximum winning/losing streaks
- Sharpe ratio and average risk:reward
**TP Optimizer** (33 variations tested):
- Tests take profit levels from 40 to 200 ticks (5-tick increments)
- Sortable by: Profit Factor, Win Rate, Total Points, Sharpe Ratio
- Displays top 5 configurations with full metrics
- Real-time optimization during backtesting
---
## Backtest Engine
### Exit Strategies
**1. Fixed TP/SL**
- Configurable in Ticks, ATR multiples, or Percentage
- Precise risk management with predefined targets
**2. Exit on Opposite Signal**
- Closes position when counter-signal appears
- Adapts to changing market conditions
- Useful for trend-following approaches
**3. Trailing Stop**
- Dynamic stop loss that follows profitable moves
- Configurable trailing offset percentage
- Locks in profits while allowing trends to develop
### Risk Management
- Optional minimum risk:reward filter
- Prevents trades below specified R:R threshold
- Date range filtering for historical analysis
- Session-based performance tracking
### Performance Metrics
- Win rate, profit factor, Sharpe ratio
- Maximum drawdown and recovery factor
- Consecutive win/loss streaks
- Average win/loss analysis
- Gross profit vs gross loss breakdown
---
## Alert System
Comprehensive alert conditions for:
- Entry signals (Long/Short)
- Exit events (TP/SL/Opposite/Trailing)
- Trend signals (Strong bullish/bearish)
- Divergences (Regular/Hidden/Momentum)
- Order block detection and touches
- Multi-condition strong signals (all confirmations aligned)
---
## How to Use
### Quick Start
1. Select your preferred timeframe preset (1m, 2m, 3m, 5m, 15m, or Custom)
2. Choose a trading mode (Normal, Scalper, Aggressive, Hybrid, Super Scalper, or Sniper)
3. Configure session filter to match your trading hours
4. Enable desired filters (choppy, trend, volume, ATR, MTF)
5. Set your exit strategy and TP/SL levels
6. Monitor signals on price chart and oscillator pane
### Optimization Workflow
1. Enable "Run TP Optimizer" in backtest settings
2. Run backtest on historical data
3. Review Optimizer Dashboard for best TP levels
4. Sort by preferred metric (Profit Factor, Win Rate, Total Points, Sharpe)
5. Apply winning configuration to live trading
### Advanced Configuration
- Customize individual indicator lengths and enable/disable specific components
- Adjust clustering parameters (lookback window, percentiles, cluster count)
- Fine-tune smoothing methods and lengths
- Configure order block detection timeframe and sensitivity
- Set cooling off period to control signal frequency
---
## Unique Features
1. **Adaptive Clustering**: Volatility-adjusted percentiles ensure consistent performance across market conditions
2. **Multi-Mode Architecture**: Six distinct trading modes from conservative to ultra-aggressive
3. **Timeframe Intelligence**: Pre-optimized presets eliminate guesswork for common timeframes
4. **Smart Money Integration**: Order block detection and liquidity zone marking
5. **Comprehensive Backtesting**: Three exit strategies with 33-variation TP optimization
6. **Visual Clarity**: Mode-specific bar coloring and clean chart presentation
7. **Filter Stack**: Seven-layer filtering system prevents low-quality signals
8. **Real-Time Metrics**: Live performance tracking with advanced statistics
---
## Benefits
- **Reduced False Signals**: Multi-confirmation clustering approach filters noise
- **Adaptability**: Works across timeframes and market conditions through preset system
- **Transparency**: Open visualization of all component votes and filtering status
- **Risk Management**: Built-in TP/SL optimization and R:R filtering
- **Time Efficiency**: Preset configurations save hours of manual optimization
- **Educational Value**: Dashboard shows exactly why signals trigger or get filtered
- **Professional Tools**: Institutional concepts (order blocks, liquidity zones) accessible to retail traders
---
## Best Practices
- Use Sniper Mode for high-probability setups during volatile markets
- Enable choppy filter during consolidation periods
- Combine Smart Trend Filter with MTF confirmation for swing trades
- Run TP Optimizer monthly to adapt to changing market dynamics
- Monitor Sharpe Ratio in addition to win rate for risk-adjusted performance
- Use session filters to avoid low-liquidity hours
- Start with preset configurations before custom optimization
---
## Technical Requirements
- TradingView Premium/Pro/Pro+ for full feature access
- Minimum chart history: 500 bars (adjustable in clustering settings)
- Works on all instruments (stocks, forex, crypto, futures)
- Compatible with standard candles (Heikin Ashi optional but not recommended for backtesting)
---
## Disclaimer
This indicator is a technical analysis tool designed to assist trading decisions. It does not guarantee profits and should be used in conjunction with proper risk management, fundamental analysis, and personal trading experience. Past performance does not indicate future results. Users should thoroughly test the indicator on demo accounts before live trading.
---
**Version**: 4.0
**Language**: Pine Script v6
**Type**: Overlay Indicator with Oscillator Pane
**Calculation**: On bar close (default) or real-time (configurable)
Session Highlighter with Kill Zones [Exponential-X]Session Highlighter with Kill Zones
Overview
This indicator provides comprehensive visualization of major forex trading sessions (Asian, London, and New York) with integrated kill zone detection and real-time session analytics. It helps traders identify optimal trading times by highlighting high-volatility periods and tracking session-specific price ranges.
What Makes This Original
While session indicators are common, this script uniquely combines several features that work together:
Kill Zone Integration: Highlights specific high-volatility windows within sessions (London: 02:00-05:00 EST, NY: 08:30-11:00 EST) when institutional activity typically peaks
Session Overlap Detection: Automatically detects and highlights when major sessions overlap (London-NY, Asian-London) with distinct visual cues
Real-Time Range Tracking: Calculates and displays percentage-based session ranges as they develop, not just historical data
Dynamic Statistics Dashboard: Live table showing current active session, session times, and comparative range percentages
Customizable Visual System: Flexible styling options including background shading, box overlays, and configurable line styles for session boundaries
How It Works
Session Detection Logic
The script uses timezone-normalized session detection based on EST/EDT times. It converts the current bar's timestamp to New York time and determines which session(s) are active using minute-based calculations. This approach ensures accurate session detection regardless of your chart's timezone settings.
Kill Zones
Kill zones represent periods within sessions when institutional traders are most active. The London kill zone (02:00-05:00 EST) captures pre-London open volatility, while the NY kill zone (08:30-11:00 EST) aligns with US economic data releases and market open activity.
Range Calculations
Session highs, lows, and opens are tracked from the first bar of each session and updated in real-time. Range percentages are calculated as: ((High - Low) / Low) × 100 , providing a volatility measure that's comparable across different instruments and price levels.
Visual System
Background shading: Color-coded zones for each session
Session boxes: Outline entire session ranges
H/L lines: Dynamic lines showing current session extremes
Open lines: Reference levels from session start
Overlap highlighting: Distinct colors when multiple sessions are active simultaneously
How to Use
Intraday Trading: Use kill zones to time entries during high-liquidity periods
Session Breakouts: Monitor for price breaks above/below session highs/lows
Range Trading: Trade between session boundaries during consolidation
Session Continuity: Observe how price behaves as sessions transition
Volatility Assessment: Compare current session ranges to typical values
Recommended Timeframes: Works on any timeframe, but most useful on 1m to 1H charts for intraday trading.
Settings Explained
Sessions Group
Toggle each major session on/off independently
Customize colors for visual clarity
Enable/disable overlap highlighting
Levels Group
Show/hide session high/low lines
Show/hide session open levels
Choose line styles (Solid/Dashed/Dotted)
Kill Zones Group
Toggle kill zone highlighting
Select which kill zones to display
Customize kill zone color intensity
Display Group
Show/hide statistics table
Show/hide session labels on chart
Important Notes
All times are displayed in EST/EDT
Session ranges reset at the start of each new session
Kill zones are session sub-periods, not separate sessions
Overlap colors override individual session colors when multiple sessions are active
The statistics table updates in real-time and shows percentage-based ranges for cross-instrument comparison
Session Times Reference
Asian Session: 19:00 - 04:00 EST (Tokyo open through early Sydney close)
London Session: 03:00 - 12:00 EST (Full European trading hours)
New York Session: 08:00 - 17:00 EST (US market hours)
London Kill Zone: 02:00 - 05:00 EST (Pre-London volatility spike)
NY Kill Zone: 08:30 - 11:00 EST (US open and news releases)
Alerts Available
The script includes six pre-configured alert conditions:
London Kill Zone start
NY Kill Zone start
London-NY Overlap start
Asian Session open
London Session open
NY Session open
Create alerts through TradingView's alert system to get notified when specific sessions or kill zones begin.
Disclaimer: This indicator is for informational purposes only. Session times and kill zones are based on typical market patterns but do not guarantee specific trading outcomes. Always use proper risk management.
S&R + EMA ToolkitThis script is a market-structure toolkit that combines several indicators into a single view to help understand where price is, where it may react, and what the current trend context is.
EMAs (12, 26, 50, 200)
Help define short-, medium-, and long-term trend context and momentum alignment.
Support & Resistance Channels
Help identify key price zones where the market has historically reacted (areas of acceptance, rejection, and consolidation).
Supertrend
Helps confirm directional bias and trend persistence.
Oversold / Overbought RSI Zones (external source)
Help identify market conditions rather than timing entries.
SB-VDEMA + PivotsBest use - Intraday Scalping ( 1 Mt, 3 Mts, 5 Mts )
Uses Volatility weighted DEMA for smoother and reliable signals.
One can use dynamic colour coding of VWDEMA for entering call or puts. VWAP and Henkin ashi Supertrend is also there but, i think VWDEMA is quite enogh for decision making.
Malama's Range BreakoutMalama's Range Breakout is a dynamic Pine Script v6 indicator designed to automatically detect periods of price consolidation (tight ranges) on any timeframe or market, visually highlight them with expandable boxes, and generate actionable signals for breakouts and wick-based reversals.
Key Features
Adaptive Consolidation Detection: Uses a volatility-adjusted threshold (ATR multiplier) over a user-defined lookback period to identify genuinely tight ranges, avoiding false detections in trending or high-volatility conditions.
Preset Profiles: Quickly switch between optimized settings for different trading styles:
Tight Ranges (Scalping): Short lookback, low threshold for frequent small-range setups.
Normal Ranges (Intraday): Balanced for day trading.
Swing Trading: Longer lookback for larger consolidations.
Options Selling (Chop): Very low threshold to capture extended sideways/choppy phases.
Custom: Full manual control.
Visual Elements: Draws semi-transparent boxes around detected ranges (with optional dashed midline), dynamically extending them until a valid breakout occurs. Limits historical boxes for clean charts.
Breakout Signals: Triggers buy/sell labels and alerts only on confirmed breakouts, optionally requiring a volume spike (above SMA threshold) for higher-probability momentum moves.
Wick Reversal Signals: Detects rejection wicks touching range boundaries (without closing outside), signaling potential fakeouts or early reversals. Optional next-bar confirmation (e.g., bearish candle after upper wick) reduces false signals.
Built-in Alerts: Separate alert conditions for range detection, bullish/bearish breakouts, and confirmed/unconfirmed wick reversals.
How It Works
The script continuously monitors the price range over the selected lookback period. When the range contracts below the ATR-based threshold, it initiates a consolidation box starting from the tightest point. The box expands with new highs/lows while price remains inside.
A true breakout closes outside the box (with optional volume confirmation) → ends the range and plots a directional signal.
Wicks probing boundaries without closing outside → flags potential rejection/reversal zones inside the range.
This combination helps traders anticipate volatility expansion after compression, while distinguishing strong momentum breakouts from traps/false breaks.
Why It's Useful
Unlike fixed-time Opening Range Breakout (ORB) tools or simple consolidation detectors, this indicator adapts to current market volatility (via ATR) and works across all timeframes—ideal for scalping tight intraday ranges, capturing swing consolidations, or identifying chop for premium-selling strategies. The volume filter and wick reversal detection add confluence, helping avoid low-conviction trades in ranging markets.
Usage Tips
Best on liquid assets (stocks, futures, forex, crypto).
Combine breakouts with trend filters (e.g., higher-timeframe EMA) for directional bias.
Use wick signals cautiously in strong trends—they shine in ranges or at key levels.
Test presets on your preferred timeframe; "Normal" is a solid default for most intraday work.
No repainting: All logic based on confirmed closes.
Gogreen.2.0The SRV EMA Pivot Volume – Trend Only indicator is designed to identify high-probability market trends by combining EMA Pivot direction, key Support & Resistance zones, and Volume strength.
This indicator focuses only on trend confirmation, helping traders stay aligned with strong market moves and avoid ranging or low-probability conditions.
TP Sniper Pro**TP Sniper Pro - Dynamic Take Profit Level Indicator**
Instantly visualize your take profit targets on any chart with clean, adjustable horizontal lines.
**Features:**
• Switch between Futures (250/500/1000), Forex (25/50/100), and Commodities (25/50/100) TP levels
• Toggle between Long and Short positions
• Set custom entry price or use current price automatically
• Clean horizontal lines that don't clutter your chart
• Adjustable line length (5-100 bars)
• Clear labels showing each TP level
• Works on any timeframe and any pair
**Perfect for:**
Traders who want quick visual reference for their take profit levels without manually drawing lines on every trade.
HTF Fair Value Gaps🔍 What This Indicator Does
1. Multi-Timeframe Fair Value Gap Mapping
Displays Fair Value Gaps from:
1H
4H
Daily (optional)
These HTF FVGs are projected onto lower timeframes (5M / 15M) so you can:
trade in alignment with HTF imbalance,
avoid entering directly into opposing zones,
understand where reactions are likely.
2. Bullish & Bearish FVG Clarity
Bullish FVGs highlight areas of inefficiency below price
Bearish FVGs highlight areas of inefficiency above price
Zones are color-coded and extend forward for clarity
This helps traders immediately identify:
pullback targets in trends,
continuation zones,
areas of potential reaction or acceleration.
3. Clean, Non-Cluttered Visualization
No lower-timeframe noise
No redundant boxes
HTF gaps only — intentional and selective
This keeps execution charts readable and focused.
DR.SS.SMART BUY/SMARTSELL SCALPER1️⃣ BEST TIMEFRAME
Use this as a scalper / intraday trend tool
✅ Best
5 min
15 min
⚠️ Avoid
1 min (too noisy)
Daily (signals become late)
2️⃣ FIRST CHECK – MARKET CONDITION (Dashboard)
Before taking any trade, look at the Smart Panel (Dashboard):
✔ Trade ONLY when:
Market State = Trending
Volatility = Active
Trend Pressure = Bullish or Bearish
At least 3–4 MTF boxes are same color
❌ Avoid trades when:
Market State = No trend / Ranging
Purple candles (ADX sideways)
Remember:
T-V-T rule → Trend + Volatility + Timeframe agree
3️⃣ BUY SETUP (LONG TRADE)
✅ Conditions in your code:
Price crosses ABOVE Supertrend
Close ≥ SMA 13
Bar color turns BLUE
Price above EMA 200 → Smart Buy
ADX not sideways (no purple bars)
📍 Chart shows label:
“Buy” → normal buy
“Smart Buy” → high-probability trade (BEST)
🔵 HOW TO ENTER BUY
Enter at candle CLOSE where Buy / Smart Buy appears
Do NOT enter mid-candle
🛑 STOP LOSS (Auto from code)
SL = ATR-based stop
Shown as red SL line
👉 Safe rule:
Never widen SL
🎯 TARGETS (Auto plotted)
TP1 = 1:1
TP2 = 2:1
TP3 = 3:1
📌 Recommended management:
Book 50% at TP1
Move SL to Entry
Hold rest till TP2 / Trail
4️⃣ SELL SETUP (SHORT TRADE)
✅ Conditions:
Price crosses BELOW Supertrend
Close ≤ SMA 13
Bar color turns RED
Price below EMA 200 → Smart Sell
No sideways (ADX > 15)
📍 Label shown:
“Sell”
“Smart Sell” (BEST)
🔴 HOW TO ENTER SELL
Enter at close of signal candle
Follow same SL & TP rules
5️⃣ SUPPLY & DEMAND CONFIRMATION (POWER FILTER)
🔹 Best Buy:
Price near Demand Zone
Then Smart Buy appears
🔹 Best Sell:
Price near Supply Zone
Then Smart Sell appears
👉 These are institutional entries
6️⃣ WHEN NOT TO TRADE ❌
Avoid trades when:
Purple candles (Sideways)
Supertrend flipping repeatedly
MTF dashboard mixed colors
During low-volume sessions
7️⃣ SESSION WISE BEST PERFORMANCE
From your session logic:
✅ Best Scalping:
London
London + New York overlap
⚠️ Avoid:
Mid-Tokyo (low volatility)
8️⃣ PERFECT TRADE CHECKLIST (SAVE THIS)
Before clicking BUY/SELL, ask:
✔ Smart Buy / Smart Sell?
✔ Price above/below EMA 200?
✔ Dashboard trend agrees?
✔ No sideways candles?
✔ Volatility Active?
👉 If 4 out of 5 = YES → TAKE TRADE
9️⃣ SIMPLE ONE-LINE STRATEGY
Trade only Smart Buy/Sell in trending market, book partial at 1:1, trail rest with Smart Trail
✅ BEST TRADING SESSIONS (Use ONLY these)
🥇 LONDON SESSION (BEST & SAFE)
🕒 12:30 PM – 4:30 PM IST
Why best for your script
Clean trends
Good volatility
Less fake signals
Supertrend + EMA200 works perfectly
👉 This should be your PRIMARY session
🥈 LONDON → NEW YORK OVERLAP (MOST POWERFUL)
🕒 6:00 PM – 8:30 PM IST
Why
Institutional money enters
Strong breakouts
Smart Buy / Smart Sell accuracy highest
👉 Use only Smart signals in this session
🥉 NEW YORK SESSION (Early Part Only)
🕒 6:00 PM – 9:00 PM IST
Use when
Market State = Trending
Volatility = Active
MTF mostly same color
⚠️ Stop after 9:00 PM IST
❌ SESSIONS TO AVOID
🚫 TOKYO SESSION
🕒 5:30 AM – 10:30 AM IST
Low volatility
Sideways (purple candles)
Many fake reversals
🚫 SYDNEY SESSION
🕒 2:30 AM – 5:30 AM IST
Very low volume
Not suitable for scalping
🚫 INDIAN MIDDAY
🕒 11:00 AM – 12:15 PM IST
Choppy
Stop-hunting candles
📌 BEST DAILY ROUTINE (Follow This)
Time (IST) Action
9:15 – 10:30 ❌ Avoid (fake moves)
12:30 – 4:30 ✅ TRADE (Best zone)
6:00 – 8:30 ✅ TRADE (High accuracy)
After 9:00 ❌ Avoid
🧠 EASY MEMORY RULE (Your Style)
“LON → NY = MONEY” 💰
“ASIA = NO TRADE” ❌
🎯 FINAL RECOMMENDATION
If you want only ONE session:
👉 Trade ONLY: 12:30 PM – 4:30 PM IST
This will give:
Less stress
Higher win-rate
Cleaner Smart Buy/Sell signals
🇮🇳 BEST TRADING SESSIONS (INDIA – IST)
🥇 LONDON SESSION – BEST FOR INDIAN TRADERS
🕒 12:30 PM – 4:30 PM IST
✅ THIS IS THE BEST SESSION
Strong trend moves
High accuracy Smart Buy / Smart Sell
Less sideways (purple candles reduce)
Works perfectly with Supertrend + EMA 200
👉 Use this as your MAIN session
🥈 LONDON → NEW YORK OVERLAP (POWER SESSION)
🕒 6:00 PM – 8:30 PM IST
✅ Very strong moves
Institutional activity
Best breakouts
High RR trades (2:1 / 3:1)
⚠️ Trade only Smart Buy / Smart Sell
⚠️ Avoid over-trading
🥉 INDIAN MARKET OPEN (LIMITED USE)
🕒 9:20 AM – 10:15 AM IST
✔ Use only if:
Dashboard = Trending
Volatility = Active
Direction same as higher TF
❌ Avoid after 10:30 AM
❌ SESSIONS TO AVOID (INDIA)
Session Time (IST) Reason
Tokyo 5:30 – 10:30 AM Sideways / fake moves
Mid-day Chop 11:00 – 12:15 PM Low volume
Late NY After 9:00 PM Whipsaws
📌 BEST DAILY ROUTINE (INDIA)
Time What to Do
9:15 – 9:20 ❌ No trade
9:20 – 10:15 ⚠️ Only clean Smart signals
12:30 – 4:30 ✅ MAIN TRADING WINDOW
6:00 – 8:30 ✅ HIGH PROBABILITY
After 9:00 ❌ Stop trading
🧠 EASY MEMORY RULE
“INDIA → LONDON → MONEY” 💰
“ASIA MIDDAY → NO TRADE” ❌
🎯 FINAL ANSWER (ONE-LINE)
👉 For India (IST), trade ONLY between
12:30 PM – 4:30 PM and 6:00 PM – 8:30 PM






















