Prophet Model [TakingProphets]OVERVIEW
The Prophet Model is a structured, logic-driven indicator designed for traders who follow ICT (Inner Circle Trader) methodologies. It integrates multiple ICT concepts into a single, cohesive framework, giving traders a clear visual representation of institutional price delivery while minimizing chart clutter.
This tool does not provide buy/sell signals — instead, it enhances your workflow by automating the identification of key ICT-based criteria used to confirm high-probability trade setups.
WHAT THE INDICATOR DOES
The Prophet Model consolidates several advanced ICT concepts into a streamlined, real-time decision-support system:
Higher Timeframe PD Array Identification
-Automatically scans higher timeframes to locate unmitigated Fair Value Gaps (FVGs) and plots them on your lower timeframe charts, helping traders align with institutional price delivery.
Candle Range Theory (CRT) Validation
-Monitors higher timeframe candles to confirm directional bias using ICT’s Candle Range Theory, providing insight into delivery shifts without needing to change timeframes.
Liquidity Sweep Detection
-Identifies where price has taken buy-side or sell-side liquidity and highlights these zones visually to help traders anticipate potential reversals or continuations.
Change in State of Delivery (CISD)
-Detects moments of significant displacement that indicate structural shifts in price delivery, marking key opportunities for entry confirmation.
Enhanced Entry Precision (EPE)
-Automatically refines entry points by detecting overlapping internal FVGs within the displacement candle structure, improving execution accuracy.
Dynamic Risk Management Levels
-Plots Stop Loss (SL), Break-Even (BE), and Take Profit (TP) levels based on real structural movements — not fixed pip distances — giving traders clarity on risk exposure.
Real-Time Setup Checklist
-A built-in checklist confirms when all ICT-based confluence factors (HTF PDAs, CRT validation, liquidity sweep, CISD) align, helping traders maintain discipline.
HOW IT WORKS
Scan Higher Timeframes
-The indicator automatically identifies and marks institutional areas of interest like FVGs and PD Arrays from higher timeframes.
Confirm Market Bias
-Uses CRT analysis to validate directional conviction based on higher timeframe candle behavior.
Track Liquidity & Displacement
-Highlights liquidity sweeps and displacement candles, providing insight into when price is likely to expand, reverse, or redistribute.
Refine Entry Points
-Adjusts potential entry levels dynamically when internal imbalances overlap within CISD structures.
Visual Risk Management
-Automatically calculates realistic TP/SL levels based on the actual range of price delivery.
WHY ITS WORTH USING
Consolidates Multiple ICT Concepts
-Instead of relying on multiple scripts, the Prophet Model integrates FVGs, CRT, liquidity sweeps, and CISD detection into one cohesive tool.
Improves Efficiency
-Traders can analyze HTF and LTF confluence visually without switching charts or manually plotting levels.
Keeps Execution Disciplined
-The real-time checklist prevents overtrading by confirming only the setups that meet predefined ICT criteria.
Adaptable to Different Styles
-Whether you’re scalping, day trading, or swing trading, the model adapts to various timeframes and trading approaches.
IMPORTANT CONSIDERATIONS
This indicator is intended for traders with a working understanding of ICT methodology.
It does not generate standalone trading signals — users must incorporate narrative analysis and risk management.
Past performance of any ICT concept does not guarantee future results.
אינדיקטורים ואסטרטגיות
CRT [TakingProphets]Overview
The CRT (Candle Range Theory) indicator is a real-time ICT-inspired tool designed for traders who want to visualize higher timeframe (HTF) candles, detect Candle Range Transitions (CRTs), and identify Smart Money Divergence (SMT) without switching charts.
By combining HTF bias, CRT structure, and SMT divergence, this indicator helps traders organize price action across multiple timeframes while maintaining a clear visual map on their active chart.
Concept & Background
Candle Range Theory stems from ICT methodology, focusing on how institutional price delivery leaves footprints when a three-candle sequence forms..
A Bearish CRT occurs when price attempts to continue higher but fails, creating a higher high with a lower close.
A Bullish CRT occurs when price attempts to continue lower but fails, creating a lower low with a higher close.
These moments can highlight areas where liquidity has been manipulated and where institutional flows may shift. This indicator automates the detection of these CRT patterns and integrates them with SMT divergence to enhance context and decision-making.
How It Works
HTF Candle Visualization
Overlay candles from any timeframe (1m to 1M) directly on your chart.
Displays the three most recent HTF candles with full body/wick precision.
CRT Detection
-Identifies potential bullish and bearish CRT formations based on how the middle candle behaves relative to the prior range.
-Marks these visually to help traders spot potential traps or reversal points.
SMT Divergence Integration
-Compares price action against a correlated asset (e.g., NQ vs ES, EURUSD vs GBPUSD).
-Highlights divergences between instruments, which can confirm potential CRT signals or invalidate false setups.
Real-Time Candle Projections
-Projects the current HTF candle’s open, high, low, and close dynamically throughout the session.
-These levels often act as reference points for bias, support/resistance, or target planning.
Custom Display Engine
-Full control over candle widths, label sizes, colors, and transparency.
-Optional Info Box shows the asset, timeframe, and date for quick reference.
SMT Divergence Lines & Alerts
-Automatically draws labeled lines (“BULLISH SMT” or “BEARISH SMT”) when divergence is detected.
-Includes dedicated alerts for SMT and CRT formations so you never miss a key setup.
How to Use It
Select Higher Timeframes
-Configure any timeframe overlays to add context to your lower-timeframe execution chart.
Monitor CRT Formations
-Watch for bullish or bearish CRT patterns that indicate failed continuations.
Use SMT Divergence for Confluence
-Compare behavior across correlated assets to validate or filter setups.
Plan Entries & Targets
-Use the projected HTF levels or CRT boundaries to define decision zones within your trading model.
Why It’s Useful
The CRT indicator doesn’t provide buy/sell signals or promise accuracy. Instead, it organizes institutional price action concepts into a visual, easy-to-interpret framework:
-Helps traders understand HTF context while operating intraday.
-Automates the identification of CRT traps and SMT divergences.
-Enhances decision-making by combining multiple ICT-inspired concepts in one place.
HTF Rejection Block [TakingProphets]Overview
The HTF Rejection Block indicator is designed to help traders identify and visualize Higher Timeframe Rejection Blocks—price zones where liquidity grabs often result in aggressive rejections. These areas can serve as high-probability decision points when combined with other ICT-based tools and concepts.
Unlike simple support/resistance markers, this indicator automates the detection of Rejection Blocks, maps them across up to four custom higher timeframes, and updates them in real time as price evolves. It provides traders with a structured framework for analyzing institutional price behavior without supplying direct buy/sell signals.
Concept & Background
The idea of Rejection Blocks was popularized by Powell, a respected educator within the ICT trading community. He highlighted how aggressive wicks—where price sweeps liquidity and sharply rejects—often reveal institutional activity and can hint at future directional bias.
This script builds upon that foundation by integrating several ICT-aligned concepts into a single, cohesive tool:
Liquidity Sweep Recognition → Identifies where price aggressively moves beyond a key level before snapping back.
Rejection Block Mapping → Highlights the candle bodies representing institutional rejection zones.
Multi-Timeframe Context → Lets you monitor rejection zones from higher timeframes while operating on your execution timeframe.
Equilibrium-Based Planning → Optional midpoint plotting offers a precise way to evaluate premium/discount within each block.
By combining these elements, the indicator makes it easier to see where liquidity events may influence price and how they relate to broader ICT-based setups.
How It Works
Detection Logic
A Rejection Block forms when price runs liquidity past a prior high/low but fails to hold and closes back inside the range.
These setups are detected automatically and marked as bullish or bearish zones.
Multi-Timeframe Analysis
Monitor up to four higher timeframes at once (e.g., 1H, 4H, 1D, 1W) while trading on your preferred execution timeframe.
Each block is clearly labeled and color-coded for visual clarity.
50% Equilibrium Levels
Optionally plot the midpoint of each rejection block, commonly used by ICT traders as a precision-based entry or target zone.
Auto-Mitigated Zones
When price fully trades through a rejection block, the zone is automatically removed to keep your chart clean.
Info Box for Context
An optional information panel displays the symbol, timeframe, and relevant data, helping you stay organized during active trading sessions.
Practical Usage
Select Higher Timeframes
Configure up to four HTFs based on your strategy (e.g., 1H, 4H, 1D, Weekly).
Identify Rejection Blocks
Watch for new blocks forming after liquidity sweeps beyond significant highs or lows.
Combine With Other ICT Concepts
Use alongside STDV, displacement, SMT divergence, or OTE retracements for confirmation and added confluence.
Plan Entry Zones
Leverage the 50% midpoint or body extremes of each block to build structured trade setups.
Why It’s Useful
This tool doesn’t generate trading signals or claim accuracy. Instead, it provides a visual framework for applying ICT’s Rejection Block methodology systematically across multiple timeframes.
Its value lies in helping traders:
Recognize where institutional activity may leave footprints.
Map key liquidity-based zones without manual marking.
Stay aligned with higher timeframe narratives while executing on lower timeframes.
S7F Alpha
S7F Alpha — The Complete Trading Suite
The S7F Alpha is an all-in-one trading framework built to give traders clarity, precision, and confidence in every trade. Designed for both intraday scalps and swing positions, it combines multiple proven strategies into one streamlined tool.
I’ve personally used this indicator for over 4 years, flipping accounts and refining my entries with sniper-level precision. If you want to see it in action, follow my YouTube channel where I trade live with S7F Alpha every day.
### 🔑 Key Features
* Multi-Session Mapping : Automatically highlights Asia, London, and New York sessions with high/low ranges for precise timing.
* Smart Baselines : Dynamic EMA & Ichimoku cloud filters to instantly identify trend bias.
* Pivot Levels & Quarters Theory : Auto-plotted daily/weekly/monthly pivot s with advanced quarter-level zones for sniper entries.
* Bollinger & RSI/TDI Engine : Detects overbought/oversold conditions, reversals, and momentum continuation.
* Session Alerts : Real-time alerts for London/NY crossovers , baseline flips, and stop-hunt setups.
* Accountability Tools : Session boxes, key levels, and color-coded bars keep your charts structured and easy to read.
### ✅ Best For
* Intraday traders (15m / 1h scalps).
* Prop firm challenge passes.
* Account flipping strategies (\$100 → \$1,000).
* Traders who want an **all-in-one dashboard** instead of 5–6 indicators cluttering charts.
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👉 The **S7F Alpha** turns your chart into a **complete trading machine**, so you can focus on execution and consistency.
Greer Fair Value✅ Greer Fair Value
Greer Fair Value: Graham intrinsic value + Buffett-style DCF with auto EPS/FCF and auto growth (CAGR of FCF/share), defaulting to a simple GFV badge that color-codes opportunity at a glance.
📜 Full description
Greer Fair Value is inspired by the valuation frameworks of Benjamin Graham and Warren Buffett. It combines Graham’s rate-adjusted intrinsic value with a two-stage, per-share DCF. The script auto-populates EPS (TTM) and Free Cash Flow per share (FY/FQ/TTM) from request.financial(), and can auto-estimate the near-term growth rate (g₁) using the CAGR of FCF/share over a user-selected lookback (with sensible caps). All assumptions remain editable.
Default view: only the GFV badge is shown to keep charts clean.
Badge color logic:
Gold — both DCF and Graham fair values are above the current price
Green — exactly one of them is above the current price
Red — the current price is above both values
Show more detail (optional):
Toggle “Show Graham Lines” and/or “Show DCF Lines” to plot fair values (and optional MoS bands) over time.
Toggle “Show Dashboard” for a compact data table of assumptions and outputs.
Optional summary label can be enabled for a quick on-chart readout.
Inputs you can customize: EPS source/manual fallback, FCF/share source (FY/FQ/TTM), g₁ auto-CAGR lookback & caps, terminal growth gT, discount rate r, MoS levels, step-style plots, table position, and decimals.
Note: TradingView’s UI controls whether “Inputs/Values in Status Line” are shown. If you prefer a clean status line, open the indicator’s settings and uncheck those options, then Save as default.
Disclaimer: For educational/informational purposes only; not financial advice. Markets involve risk—do your own research.
Price-Volume RelationshipVolume is the relationship between price and performance. Set the candlestick quantity in the settings. It analyzes price and volume based on the number of candlesticks you specify to determine price expectations.
MomentumScriptThis is Momentum Tracker based on Richard Driehaus' research:
1) 12–1 momentum (return from t-12 months to t-1 month
2) FIP / path efficiency (many small up days > one big gap)
3) Proximity to 52-week high/low
AlphaFlow — Direcional ProThe AlphaFlow — Direcional Pro is a complete trading suite designed to give traders a clear, structured view of market direction, volatility, and momentum.
📌 Key Features:
Trend Detection with Dual EMAs: Fast and slow EMAs for directional bias, plus an optional 200 EMA filter for long-term context.
Volatility Regime Filter (ATR): Confirms market conditions by comparing current ATR with its average.
RSI Confirmation: Adaptive RSI filter to validate bullish and bearish regimes.
Directional Signals (BUY/SELL): Clear chart markers with bar coloring for instant trend visualization.
Swing Structure with Star Markers: Automatic detection of HH, HL, LH, LL swings, highlighted with color-coded ★ stars.
RSI Divergences: Automatic bullish/bearish divergence spotting for early trend reversal signals.
VWAP Levels: Daily, Weekly, and Anchored VWAP for institutional reference points.
Trade Management Tools: Automatic plotting of Entry, Stop-Loss, TP1, and TP2 levels, with optional trailing ATR stop.
Multi-Timeframe Support: Generate signals from a higher timeframe and confirm on chart close.
Alerts: Pre-configured alerts for entries, SL, TP1, TP2, and divergences.
✨ With its combination of trend, volatility, swing structure, and divergence analysis, AlphaFlow provides both short-term signals and long-term directional context — making it a versatile tool for intraday traders, swing traders, and investors.
JoeySS Daily Pivot PointsDaily Pivots based on ADR with mods to ADR calcs. Pivot is based on previous day VPOC. Levels should encompass expected daily range based on the ADR calculations.
Replay time-fix last candleReplay indicator to avoid showing the fully closed last candle on higher timeframes.
This indicator displays the last candle up to the current point of the replay instead of the full candle.
For example, if you are on a 4H chart at the 1:00 candle and the replay is at 2:00, it will show the last candle from 1:00 → 2:00 only.
Important: To see the correct candles, go to your chart settings and untick the checkboxes for: "Body", "Borders", "Wick", and "Last price line".
SMC Concepts (Sessions, Lookback Gaps) | קונספטים SMCThe indicator marks the Asian session and the London session in order to see liquidity taking - in addition, it gently marks gaps throughout the entire chart - the indicator marks gaps of a 24/12/6/3 hour back time - from the New York session. The marking of these gaps will be throughout the entire chart until the New York session. Options for selecting a specific time precisely.האינדיקטור מסמן את סשן אסיה ואת סשן לונדון על מנת לראות לקיחת נזילות -בנוסף מסמן בעדינות גאפים לאורך כל הגרף -האינדיקטור מסמן גאפים של זמן לאחור של 24/12/6/3 שעות- מזמן סשן נויורק סימון הגאפים האלו יהיה לאורך כל הגרף עד לסשן נויורק . אפשרויות לבחירת זמן מסוים בדווקה .
Sinyal Dominasi Volatilitas (dengan Alarm)sinyal perbandingan btc dan total3 perbedaan yang signifikan di candle TF15 menit
5/9/21 EMA – Toggle Source (CLOSE or EMA)Allows you to set 5/9/221 EMA but change inputs to either be CLOSE or EMA. The EMA setting provides more smoothing.
A1TradeHub - Oscillator Matrix [1.0]A1TradeHub Oscillator Matrix — Quick Use
🟩 Buy Zone (Oversold)
Enter calls when the fast line (yellow) crosses up the signal (white) from green and price confirms at support (PDL/PM L/EMA 48–200).
🟥 Sell Zone (Overbought)
Enter puts when the fast line crosses down the signal from red and price rejects resistance (PDH/PM H/EMA 48–200).
📈 Trend Filter (Matrix tag)
Trade with the tag: Trend: BULLISH → prefer calls, Trend: BEARISH → prefer puts. Opposite-trend = scalp only.
⚡ Trigger Quality
Stronger when both lines exit a zone together and expand; weak if they flatten or weave near the 0-line.
0️⃣ Midline (0 level)
First scale at the 0-line; flips here often start the next leg.
🎯 Targets & Exits
Target next S/R; take +40–60% and trail the 13 EMA. Exit if the fast line re-crosses or wave fails to leave the zone.
🚫 No-Trade
Avoid entries when lines chop inside the middle band or momentum waves are small/flat.
🔔 Heads-Up
“OB” near the red band = watch for reversal puts; mirrored idea for deep green = call bounces.
High Volume CandlesInspired by Key bars from Option Stalker Pro.
This one is meant to be used on charts where the interval is <1D.
Highlights candles in chart with Volume > 1.4 * last 30 candles average volume.
Helps to not accidentally miss that a candle move happened on high volume (or that it did not happen on high volume...), like potential reversals or resistance/support breaks.
Make sure to move this indicator above the ticker in the Object Tree, so that it is drawn on top of the ticker's candles.
More infos: www.reddit.com
Riz SMC + Wyckoff + VSAAll-in-one confluence engine that blends Smart Money Concepts (SMC), Wyckoff logic, VSA, multi-timeframe bias, cumulative delta, RSI/MACD divergences, sessions/killzones, and rule-based risk management. Built for scalpers, day traders, and swing traders with plug-and-play presets and a clean info panel + legend.
What it plots
Market Structure (HTF/Internal)
Major/minor swings with BOS / CHoCH, ATR sensitivity, noise throttling, and minimum spacing between breaks.
Liquidity Toolkit
Equal highs/lows (pools), confirmed liquidity sweeps with immediate reversal + volume, session highs/lows (optional).
Order Blocks & Breaker Logic
Auto-boxed OBs from impulsive moves (volume + range), optional mitigation tracking (fades after fill).
Fair Value Gaps (FVG)
ATR-scaled gaps with volume validation and forward boxes.
Wyckoff Events + Phase Hints
Spring, UTAD, SOS, SOW, Tests, Stopping Volume, Absorption → running phase labelling (Accumulation/Distribution B–E).
VSA Layer (visual optional)
Buying/Selling climax, No Demand/No Supply, professional activity, effort vs result, dry-up, weakness/strength tags.
Cumulative Delta (price-based)
Delta pressure diamonds, hidden accumulation/distribution, bullish/bearish delta divergences.
Divergences (visual)
RSI / MACD regular divergences + “Strong” (both agree). No impact on signals unless you enable confirmations.
Volume Profile (lightweight)
POC + VAH/VAL (periodic calc for speed).
Sessions & Killzones
Asian/London/NY shading, London/NY/NY-Lunch KZ highlights; optional first-30-min avoidance.
Signals + Strength
BUY / SELL labels from a 0–10 Confluence Score (Structure, Liquidity, OB/FVG, Wyckoff, VSA, HTF bias, Session/KZ, Volume, Delta, Confirmations). Score threshold adapts to your Trading Mode.
Risk & Trade Lines
Structure-based SL, TP1/TP2/TP3 (RR-driven), partials, auto BE at TP1, ATR trailing after TP1, adaptive position sizing by signal strength & mode.
Trading modes (presets)
Scalping / Day Trading / Swing Trading / Custom
When Auto-Adjust is ON, the indicator tunes:
Minimum confluence required
Divergence lookback sensitivity
Structure ATR multiplier
You can always override in Custom.
Key inputs (high level)
Entry Confirmation: require confirmation candles, volume confirm; momentum confirm (optional); set Min Confluence Score.
Structure: Major only / add internal, CHoCH toggle, ATR filter & depths.
SMC: Liquidity pools/sweeps, FVG (ATR min), Order Blocks + mitigation, Breakers, POIs.
Wyckoff & VSA: Event toggles, thresholds, volume profile lookback.
Delta: Lookback & plot toggles for pressure/hidden Acc-Dist.
Filters: Trend (ADX threshold), spread cap (ATR), optional news (manual), session first-30-min block.
Risk: RR, structure stops, partial TP %, move SL→BE at TP1, ATR trailing, adaptive position sizing.
MTF Bias: Up to 3 higher TFs with weighted bias.
Panels & UX
Info Panel (top-right): mode + min score, HTF bias, structure, Wyckoff phase, session/KZ, volume & spread states, RSI/MACD status & divs, ADX trend, delta pressure & Acc/Dist, confluence scores (bull/bear), liquidity state, trade status & position size.
Legend (bottom-left): quick key for labels/shapes so charts stay readable.
Alerts (ready to automate)
Signals: Strong Buy / Strong Sell
Wyckoff: Spring, UTAD, SOS, SOW
Liquidity: Bullish/Bearish Liquidity Grab
Divergences: RSI, MACD, and Strong (both)
Delta: Significant Buy/Sell Pressure, Hidden Accumulation/Distribution
Trade mgmt: TP1 hit
Quick start
1- Pick Trading Mode (start with Day Trading) and keep Auto-Adjust ON.
2- Enable Liquidity, OB, FVG, Wyckoff (and VSA/Delta if you want deeper context).
3- Keep Trend/Spread filters ON to avoid low-quality prints.
4- Watch the Info Panel: HTF bias + Confluence Score (≥ preset threshold) + Session/KZ alignment.
5- Use structure-based SL, scale-out at TP1, let the ATR trailer work after BE.
Notes & best practices
Divergences are visual only unless you explicitly require confirmations.
Works on FX, indices, crypto, metals, and liquid equities.
Timeframes: Scalping 1–5m, Day 5–15m, Swing 1H–4H (guidelines, not rules).
This tool does not guarantee outcomes. Always forward-test, manage risk, and respect your plan.
SMC+Wyckoff+VSA confluence with MTF bias, delta, divergences, liquidity sweeps, OB/FVG, adaptive presets, and structured risk (BE/partials/trailing). Prints BUY/SELL with a 0–10 score, session/KZ awareness, panels, and alerts.
Muzyorae - Quarterly CyclesQuarterly Theory — NY Session Macro Model
The Quarterly Theory is a time-based framework for analyzing intraday market behavior during the New York session. It divides the session into four sequential quarters (Q1–Q4), each reflecting institutional activity, liquidity accumulation, and directional bias.
Q1 – Accumulation (9:30–10:00 AM): Early positioning, initial liquidity sweeps, and potential early breakouts (AMDX - XAMD patterns).
Q2 – Manipulation/Expansion (10:00–11:30 AM): Main directional move with structure breaks, fair value gaps, and liquidity sweeps.
Q3 – Distribution/Retracement (11:30 AM–1:30 PM): Consolidation, profit-taking, and market chop.
Q4 – Final Expansion/Repricing (1:30–4:00 PM): Trend continuation, reversals, and session high/low formation.
Key Features:
Fractal-based cycles scalable across intraday or multi-day timeframes.
Supports AMDX (Accumulation → Manipulation → Distribution → Expansion) and XAMD reversal sequences.
Highlights early Q1 expansions, Q2 open reference, and critical liquidity zones.
Fully synchronized to NY time and compatible with ICT concepts (SMT, FVGs, OBs, BOS).
Professional visualization with optional labels and vertical markers.
Purpose:
Provides traders a systematic framework to align with institutional flow, anticipate liquidity accumulation, identify optimal entry/exit zones, and structure trades around high-probability intraday cycles.
Quick Overview - 5mInspired by Option Stalker Pro, it shows RS/RW on 15m and 30m.
Meant to be used on the 5m chart.
Ideally you want to have RS/RW on as many time scales as possible!
More infos: www.reddit.com
🐋 Radar de Ballenas v3 + PanelEvaluate areas of high interest by gathering information based on the fluctuation of the bar graph + information panel for decision-making
KING_HPM_LPM_SPYName: KING_HPM_LPM_SPY
This indicator identifies and plots the high (HPM) and low (LPM) of the pre-market session for the SPY ticker (or any chart it's applied to), based on the New York timezone (04:00 - 09:30 AM).
Functionality:
Tracks the high and low during the premarket hours.
When the premarket ends (09:30 AM NY time), it draws horizontal lines at the premarket high and low levels.
It also adds labels:
"HPM" for the high
"LPM" for the low
These lines and labels are customizable (style, width, color).
It keeps the plotted lines/labels for a user-defined number of days (default = 2).
If the number of stored days exceeds the limit, it automatically deletes the oldest lines and labels to maintain only the most recent days visible.
BIST/TL_RSI+MA+FibThis indicator combines RSI, Moving Averages, ATR-based volatility bands, and Fibonacci levels into a powerful multi-strategy scanner.
Features:
Selectable combinations: RSI, MA, ATR, or mixed conditions (RSI+ATR, MA+RSI, RSI under 50, RSI < Fib 0.5, etc.)
Customizable Moving Averages (EMA, SMA, WMA, VWMA, TEMA, etc.)
ATR bands for dynamic volatility-based support/resistance zones
RSI with Fibonacci retracements for confluence signals
Multiple timeframe & screening group selection
Use this tool to spot momentum shifts, volatility breakouts, and Fibonacci-based RSI reversals across BIST stocks or your own custom list.