FVG Session Break Strategy with ATR RR🧠 FVG Session Break Strategy with ATR RR — Timezone-Aware, Session-Savvy, and Risk-Calibrated
This strategy captures high-probability reversals and continuations by combining Fair Value Gap (FVG) imbalances with session-based breakout logic and ATR-calibrated risk management. It’s designed for traders who want to exploit structural inefficiencies during key market sessions — with precision and portability across global exchanges.
🔍 Core Logic:
Fair Value Gap Detection: Identifies bullish and bearish FVGs using a 3-bar displacement pattern.
Session Breakout Engine: Tracks session highs and lows (Asian, London, NY) and triggers trades only when price breaks these levels — ensuring trades occur at meaningful inflection points.
ATR-Based RR Control: Dynamically sizes stop-loss and take-profit levels using ATR × multiplier, maintaining consistent risk across volatility regimes.
🌐 Timezone-Aware Session Logic:
Session boundaries are defined in UTC-5 (e.g., NY: 0930–1600) but automatically converted to the exchange’s local timezone using timestamp("Etc/GMT+5", ...). This ensures:
Accurate session detection across all markets and assets
No manual timezone adjustments needed
Robust performance on crypto, forex, and global equities
📈 Visuals:
Session highs and lows plotted in orange
Bullish and bearish FVGs marked with green and red triangles
Strategy entries and exits shown on chart with full RR logic
This strategy is ideal for traders who want to combine structural edge with session context and disciplined risk.
אינדיקטורים ואסטרטגיות
The Butterfly Elephant EffectStrategy Overview: The Butterfly Elephant Effect
Concept & Philosophy:
Welcome to "The Butterfly Elephant Effect," a sophisticated multi-indicator strategy that operates on the principle that small, precise technical signals (the Butterfly) can trigger significant market moves (the Elephant Effect). This strategy is designed to identify high-probability reversal points by combining three powerful analytical systems into one cohesive framework. It seeks to catch major trend reversals at key support and resistance levels, using a confluence of volume, momentum, and overbought/oversold oscillators.
Core Components:
The strategy intelligently synthesizes three distinct systems:
Lucky Balls System (Volume & Trend):
Utilizes the Negative Volume Index (NVI) and Positive Volume Index (PVI) to understand smart money activity and trend strength.
Plots these indices on the price chart, scaled to the recent price range for actionable signals.
Generates signals when price interacts with a moving average envelope, identifying potential exhaustion points.
Momentum Confirmation System:
Combines RSI, CCI, and PPO momentum oscillators into a single, refined line.
This "Momentum Composite" line is used to confirm the strength of a reversal signal as it crosses the dynamic envelope bands.
Lucky Table System (Market Breadth & Confluence):
This is the heart of the strategy's filtering mechanism. It runs 36 different oscillator readings across 6 different timeframes for Stochastic, Williams %R, RSI, and MACD.
It counts the number of these oscillators that are in extreme overbought or oversold territory.
A "Lucky Table" signal is generated when the number of matching oscillators exceeds your customizable threshold (e.g., 30 out of 36), indicating a massive, multi-timeframe consensus on market exhaustion.
The Ultimate Signals:
The strategy's most powerful entries are the specially named signals that require a perfect storm of conditions:
🐘 Elephant Long Signal: Triggers when the Momentum System gives a buy, the Lucky Table shows extreme oversold consensus, AND the price is at or below the adjusted lower envelope band. This represents a potential major bullish reversal from a support zone.
🦋 Butterfly Short Signal: Triggers when the Momentum System gives a sell, the Lucky Table shows extreme overbought consensus, AND the price is at or above the adjusted upper envelope band. This represents a potential major bearish reversal from a resistance zone.
Key Features:
Visual Clarity: A rich set of plotshapes (🪜, 🐍, 🐸, ✈️, ⚽) makes it easy to identify the contributing signals from each subsystem on the chart.
Comprehensive Dashboard: A real-time table displays all 36 oscillator values from the Lucky Table, color-coded for quick assessment of market conditions.
Flexible Risk Management: Includes optional Profit Target and Stop Loss based on a percentage of entry price.
Highly Customizable: Every parameter—from lookback lengths and scale factors to the crucial match threshold—can be adjusted to fit your trading style and instrument.
How to Use:
Add the strategy to your chart.
Look for the primary Elephant (🐘) or Butterfly (🦋) signals near the envelope boundaries.
Use the Lucky Table on the top-right to confirm the strength of the oversold/overbought conditions.
Manage your trade using the built-in PT/SL or your own discretion.
Ideal For: Swing traders and position traders looking for high-conviction entries at potential market turning points.
Disclaimer: This is a complex strategy designed for educational and research purposes. Always test and forward-test any strategy in a simulated environment before committing real capital. Past performance is not indicative of future results.
PS Look out for the Frog :-)
oppliger trendfollow📈 Strategy Overview: SMA25 vs SMA200 – Gap Momentum Trend Strategy
This strategy is a trend-following system designed to capture strong, accelerating uptrends while exiting early when momentum begins to fade.
It uses the relationship between two moving averages — the 25-period SMA and the 200-period SMA — and monitors the gap (distance) between them as a measure of trend strength.
🟢 Entry Conditions (Go Long)
A long position is opened only when all of the following conditions are true:
Uptrend confirmation:
The 25-period SMA is above the 200-period SMA
→ confirms a clear upward trend.
Price momentum:
The closing price is above the SMA25 line,
→ showing that the market currently trades with bullish momentum.
Trend acceleration:
The gap between SMA25 and SMA200 has been increasing for the last 5 consecutive bars.
→ mathematically:
gap_t > gap_(t-1) > gap_(t-2) > gap_(t-3) > gap_(t-4)
→ indicates that the short-term trend is pulling away from the long-term trend and accelerating upward.
✅ When all three conditions are met, the strategy enters a long trade at the close of the current candle.
🔴 Exit Conditions (Close Long)
The position is closed when the uptrend starts to lose strength:
Trend deceleration:
The gap between SMA25 and SMA200 has been shrinking for 3 consecutive bars.
→ mathematically:
gap_t < gap_(t-1) < gap_(t-2)
→ signals that the short-term moving average is converging toward the long-term average, showing weakening momentum.
🚪 When this condition is met, the strategy closes the position at market price.
⚙️ Summary of Logic
Phase Condition Meaning
Entry SMA25 > SMA200 Long-term trend is up
Entry Close > SMA25 Short-term momentum is bullish
Entry Gap rising 5 bars Trend is accelerating
Exit Gap falling 3 bars Trend is weakening
💡 Interpretation
This strategy aims to:
Enter only when a strong, accelerating uptrend is confirmed.
Stay in the trade as long as momentum remains intact.
Exit early when the market starts losing strength, before the trend fully reverses.
It works best in trending markets and helps avoid false entries during sideways or weak phases.
QQQ TimingThis is a trend-following position trading strategy designed for the QQQ and the leveraged ETF QLD (ProShares Ultra QQQ). The primary goal is to capture multi-month holds for maximal profit.
Key Instruments & Performance
The strategy performs best with QLD, which yields far superior results compared to QQQ.
TQQQ (triple-leveraged) results in higher drawdowns and is not the optimal choice.
Important: The system is not intended for use with other indexes, individual stocks, or investments (like crypto or gold), as performance can vary widely.
Buy Signals
The strategy's signals are rooted in the S&P 500 Index (SPX), as testing showed it provides more reliable triggers than using QQQ itself.
Primary Buy Signal (Credit to IBD/Mike Webster): The SPX triggers a buy when its low closes above the 21-day Exponential Moving Average (EMA) for three consecutive days.
Refinement with Downtrend Lines: During corrective or bear periods, results and drawdowns can be significantly improved by incorporating downtrend lines. These lines connect lower highs. The strategy waits for the price to close above a drawn downtrend line before executing a buy. This refinement can modify the primary signal, either by allowing for an earlier entry or, in some cases, completely nullifying a false signal until the trend change proves itself.
Risk Management & Exit Strategy
Initial Buy Risk: A 3.7% stop loss is applied immediately upon the initial entry.
Initial Exit Rule: An exit is required if the QQQ's low drops below the 50-day Simple Moving Average (SMA).
Note: The 3.7% stop often provides protection when the initial buy occurs below the 50-day SMA. However, if QQQ is already trading above its 50-day SMA at the time of the SPX signal (indicating relative strength), historically, it has been better to use the 50-day SMA rule to give the position more room to run.
Trend Exit (Profit-Taking): To stay in a strong trend for the optimal amount of time, the long position is exited when a moving average crossover to the downside is triggered, based around the 107-day Simple Moving Average (SMA).
RastaRasta — Educational Strategy (Pine v5)
Momentum · Smoothing · Trend Study
Overview
The Rasta Strategy is a visual and educational framework designed to help traders study momentum transitions using the interaction between a fast-reacting EMA line and a slower smoothed reference line.
It is not a signal generator or profit system; it’s a learning tool for understanding how smoothing, crossovers, and filters interact under different market conditions.
The script displays:
A primary EMA line (the fast reactive wave).
A Smoothed line (using your chosen smoothing method).
Optional fog zones between them for quick visual context.
Optional DNA rungs connecting both lines to illustrate volatility compression and expansion.
Optional EMA 8 / EMA 21 trend filter to observe higher-time-frame alignment.
Core Idea
The Rasta model focuses on wave interaction. When the fast EMA crosses above the smoothed line, it reflects a shift in short-term momentum relative to background trend pressure. Cross-unders suggest weakening or reversal.
Rather than treating this as a trading “signal,” use it to observe structure, study trend alignment, and test how smoothing type affects reaction speed.
Smoothing Types Explained
The script lets you experiment with multiple smoothing techniques:
Type Description Use Case
SMA (Simple Moving Average) Arithmetic mean of the last n values. Smooth and steady, but slower. Trend-following studies; filters noise on higher time frames.
EMA (Exponential Moving Average) Weights recent data more. Responds faster to new price action. Momentum or reactive strategies; quick shifts and reversals.
RMA (Relative Moving Average) Used internally by RSI; smooths exponentially but slower than EMA. Momentum confirmation; balanced response.
WMA (Weighted Moving Average) Linear weights emphasizing the most recent data strongly. Intraday scalping; crisp but potentially noisy.
None Disables smoothing; uses the EMA line alone. Raw comparison baseline.
Each smoothing method changes how early or late the strategy reacts:
Faster smoothing (EMA/WMA) = more responsive, good for scalping.
Slower smoothing (SMA/RMA) = more stable, good for trend following.
Modes of Study
🔹 Scalper Mode
Use short EMA lengths (e.g., 3–5) and fast smoothing (EMA or WMA).
Focus on 1 min – 15 min charts.
Watch how quick crossovers appear near local tops/bottoms.
Fog and rung compression reveal volatility contraction before bursts.
Goal: study short-term rhythm and liquidity pulses.
🔹 Momentum Mode
Use moderate EMA (5–9) and RMA smoothing.
Ideal for 1 H–4 H charts.
Observe how the fog color aligns with trend shifts.
EMA 8 / 21 filter can act as macro bias; “Enter” labels will appear only in its direction when enabled.
Goal: study sustained motion between pullbacks and acceleration waves.
🔹 Trend-Follower Mode
Use longer EMA (13–21) with SMA smoothing.
Great for daily/weekly charts.
Focus on periods where fog stays unbroken for long stretches — these illustrate clear trend dominance.
Watch rung spacing: tight clusters often precede consolidations; wide rungs signal expanding volatility.
Goal: visualize slow-motion trend transitions and filter whipsaw conditions.
Components
EMA Line (Red): Fast-reacting short-term direction.
Smoothed Line (Yellow): Reference trend baseline.
Fog Zone: Green when EMA > Smoothed (up-momentum), red when below.
DNA Rungs: Thin connectors showing volatility structure.
EMA 8 / 21 Filter (optional):
When enabled, the strategy will only allow Enter events if EMA 8 > EMA 21.
Use this to study higher-trend gating effects.
Educational Applications
Momentum Visualization: Observe how the fast EMA “breathes” around the smoothed baseline.
Trend Transitions: Compare different smoothing types to see how early or late reversals are detected.
Noise Filtering: Experiment with fog opacity and smoothing lengths to understand trade-off between responsiveness and stability.
Risk Concept Simulation: Includes a simple fixed stop-loss parameter (default 13%) for educational demonstrations of position management in the Strategy Tester.
How to Use
Add to Chart → “Strategy.”
Works on any timeframe and instrument.
Adjust Parameters:
Length: base EMA speed.
Smoothing Type: choose SMA, EMA, RMA, or WMA.
Smoothing Length: controls delay and smoothness.
EMA 8 / 21 Filter: toggles trend gating.
Fog & Rungs: visual study options only.
Study Behavior:
Use Strategy Tester → List of Trades for entry/exit context.
Observe how different smoothing types affect early vs. late “Enter” points.
Compare trend periods vs. ranging periods to evaluate efficiency.
Combine with External Tools:
Overlay RSI, MACD, or Volume for deeper correlation analysis.
Use replay mode to visualize crossovers in live sequence.
Interpreting the Labels
Enter: Marks where fast EMA crosses above the smoothed line (or when filter flips positive).
Exit: Marks where fast EMA crosses back below.
These are purely analytical markers — they do not represent trade advice.
Educational Value
The Rasta framework helps learners explore:
Reaction time differences between moving-average algorithms.
Impact of smoothing on signal clarity.
Interaction of local and global trends.
Visualization of volatility contraction (tight DNA rungs) and expansion (wide fog zones).
It’s a sandbox for studying price structure, not a promise of profit.
Disclaimer
This script is provided for educational and research purposes only.
It does not constitute financial advice, trading signals, or performance guarantees. Past market behavior does not predict future outcomes.
Users are encouraged to experiment responsibly, record observations, and develop their own understanding of price behavior.
Author: Michael Culpepper (mikeyc747)
License: Educational / Open for study and modification with credit.
Philosophy:
“Learning the rhythm of the market is more valuable than chasing its profits.” — Rasta
EMA Wick A+ Retest StrategyThe EMA Wick A+ Retest Strategy is a precision pullback system built for high-probability trend entries. It uses a combination of:
EMA 21 dynamic trend filtering
ATR-based stop-loss and reward targeting (1:1.5 RR)
Wick retest logic, where the lower wick must touch the EMA and represent at least 50% of the candle's range
Optional filter: RSI > 50 for bullish momentum confirmation
This strategy is designed to capture institutional-style entries after a clean pullback in an uptrend.
✅ Clean signals
✅ High risk-to-reward setups
✅ Built for swing trading or intraday with strong trend bias
Ideal for Forex, Crypto, and Indices.
Use responsibly. Backtest before live trading.
SMA25 vs SMA150 – Reentry nur bei Gap-Expansion version 1📈 Strategy: SMA25 vs. SMA150 – Reentry with Gap Expansion
This trend-following strategy trades long positions only during strong uptrends.
It combines mid-term trend confirmation (SMA150) with short-term momentum (SMA25), and includes strict entry, reentry, and exit conditions to capture sustained bullish phases while cutting weak setups early.
🟢 Entry Rules
A long position is opened only if all of the following conditions are met:
Trend filter: The closing price is above SMA150 → confirms an uptrend.
Bullish candle: Current candle closes higher than it opens.
SMA range: SMA25 is 8% to 60% above SMA150.
Momentum slope: SMA25 has increased more strongly than SMA150 over the last 5 candles and is rising.
Trend confirmation: SMA25 has remained above SMA150 for at least 5 candles.
Price distance: The close is at least 0.5% above SMA25.
Stability: The previous two candles also closed above SMA25.
Short-term breakout: Current close is higher than the last 3 closes.
Reentry condition: Allowed only after 20 candles since the last exit and only if a gap expansion occurs above the previous high.
🔴 Exit Rules
A trade is closed as soon as any of the following conditions is triggered:
Dynamic trailing exit:
Close falls 3% below the highest SMA25 value since entry.
Hard stop-loss:
The low of the candle falls 5% or more below the entry price (intrabar trigger).
Early weakness filter:
If any of the first 3 candles after entry closes below the entry price, the trade is exited immediately.
⚙️ Additional Details
Long trades only (no shorts)
No pyramiding – only one position open at a time
Chart background color:
Green = position open
Red = no position
This system targets clean, established uptrends, avoids premature entries, and exits quickly when momentum fades.
It’s designed for swing and position traders who prefer systematic, trend-based setups with tight risk control and clear structure.
Adaptive ATR Guardian PRO+ (Locked Lines)🎯 核心交易功能 / Core Trading Features
1. 智能参数配置系统 / Intelligent Parameter Configuration
多风格选择:稳健/激进/保守三种交易风格
Multi-style Selection: Conservative/Aggressive/Moderate trading styles
多时间周期:M5/M15/H1三种时间框架
Multi-timeframe: M5/M15/H1 timeframes
自适应参数:根据风格自动调整所有技术参数
Adaptive Parameters: Automatically adjusts all technical parameters based on style
2. 高级信号生成系统 / Advanced Signal Generation
双均线策略:快慢EMA交叉信号
Dual MA Strategy: Fast/Slow EMA crossover signals
趋势过滤:100周期EMA作为趋势方向过滤
Trend Filter: 100-period EMA for trend direction filtering
ADX强度确认:ADX > 最小值才确认趋势有效
ADX Strength Confirmation: ADX > minimum value for valid trend
交易时段控制:可设置交易开始和结束时间
Trading Session Control: Configurable start and end times
3. 智能风险管理 / Intelligent Risk Management
动态止损:基于ATR的智能止损计算
Dynamic Stop Loss: ATR-based intelligent stop loss calculation
分批止盈:TP1平仓50%,TP2平仓剩余50%
Partial Take Profit: TP1 closes 50%, TP2 closes remaining 50%
追踪止损:TP2部分启用追踪止损功能
Trailing Stop: TP2 portion uses trailing stop functionality
品种自适应:BTC和黄金品种特殊参数调整
Symbol Adaptation: Special parameter adjustments for BTC and Gold
4. 专业订单管理 / Professional Order Management
自动平仓:新信号自动平掉反向仓位
Auto Close: New signals automatically close opposite positions
仓位管理:基于账户权益的百分比仓位
Position Management: Percentage-based position sizing
佣金计算:包含交易佣金成本
Commission Calculation: Includes trading commission costs
📊 高级可视化功能 / Advanced Visualization Features
1. 实时交易线系统 / Real-time Trading Lines System
入场线:蓝色虚线,显示入场价格
Entry Line: Blue dashed line showing entry price
止损线:红色实线,显示止损价格
Stop Loss Line: Red solid line showing stop loss price
TP1线:青色实线,显示第一目标位
TP1 Line: Teal solid line showing first target
TP2线:青色实线,显示第二目标位
TP2 Line: Teal solid line showing second target
2. 智能标签管理 / Intelligent Label Management
动态字号:根据时间周期自动调整标签大小
Dynamic Font Size: Auto-adjusts label size based on timeframe
位置优化:标签固定在入场K线右侧3根位置
Position Optimization: Labels fixed 3 bars right of entry candle
实时更新:线条和标签随图表滚动延伸
Real-time Updates: Lines and labels extend with chart scrolling
3. 专业信息面板 / Professional Information Panel
策略状态:交易风格、时间周期、持仓方向
Strategy Status: Trading style, timeframe, position direction
指标数据:ADX强度、ATR波动率数值
Indicator Data: ADX strength, ATR volatility values
交易信息:入场价格、止损价格、止盈价格
Trade Information: Entry price, stop loss, take profit prices
实时更新:每根K线更新最新数据
Real-time Updates: Updates data on every candle
4. 模式状态标签 / Mode Status Label
顶部状态栏:显示周期、风格、ADX、ATR、持仓状态
Top Status Bar: Shows timeframe, style, ADX, ATR, position status
颜色编码:蓝色主题,专业视觉效果
Color Coding: Blue theme, professional visual appearance
⚙️ 技术特色功能 / Technical Special Features
1. 自适应波动率调整 / Adaptive Volatility Adjustment
ATR基准:基于14周期ATR计算
ATR Baseline: Based on 14-period ATR calculation
波动率调整:ATR相对于50周期均线的调整系数
Volatility Adjustment: ATR adjustment coefficient relative to 50-period MA
动态止盈:止盈距离根据波动率动态调整
Dynamic Take Profit: TP distances dynamically adjusted based on volatility
2. 多品种优化 / Multi-Symbol Optimization
BTC特殊处理:更大的止损倍数和TP2倍数
BTC Special Handling: Larger stop loss and TP2 multipliers
黄金特殊处理:适中的参数调整
Gold Special Handling: Moderate parameter adjustments
通用品种:标准参数适用于其他品种
General Symbols: Standard parameters for other symbols
3. 时间智能控制 / Intelligent Time Control
交易时段:可配置的交易时间窗口
Trading Sessions: Configurable trading time windows
时段逻辑:支持跨午夜的时间段设置
Session Logic: Supports cross-midnight time periods
时间过滤:只在交易时段内产生信号
Time Filtering: Only generates signals during trading hours
4. 内存管理优化 / Memory Management Optimization
自动清理:平仓时自动删除所有线条和标签
Auto Cleanup: Automatically deletes all lines and labels on position close
资源回收:避免图表元素堆积
Resource Recycling: Prevents chart element accumulation
性能优化:高效的实时更新机制
Performance Optimization: Efficient real-time update mechanism
🛡️ 风险控制功能 / Risk Control Features
1. 多层过滤系统 / Multi-layer Filtering System
趋势方向过滤 / Trend direction filtering
ADX强度过滤 / ADX strength filtering
交易时间过滤 / Trading time filtering
品种特性过滤 / Symbol characteristic filtering
2. 动态参数系统 / Dynamic Parameter System
快慢均线周期自适应 / Fast/slow MA period adaptation
止损倍数动态调整 / Stop loss multiplier dynamic adjustment
止盈倍数风格化配置 / Take profit multiplier style-based configuration
追踪止损灵敏度设置 / Trailing stop sensitivity settings
3. 资金管理 / Money Management
固定百分比仓位 / Fixed percentage position sizing
佣金成本计入 / Commission costs included
无金字塔加仓 / No pyramiding (no adding to positions)
自动反向平仓 / Automatic opposite position closing
📈 用户体验功能 / User Experience Features
1. 可视化定制 / Visualization Customization
交易线显示/隐藏开关 / Trading lines show/hide toggle
信息面板显示控制 / Information panel display control
线条延伸长度可调 / Line extension length adjustable
颜色方案统一管理 / Color scheme unified management
2. 实时监控 / Real-time Monitoring
持仓状态实时显示 / Real-time position status display
关键价格水平标记 / Key price level markings
指标数值动态更新 / Indicator values dynamic updates
交易统计信息 / Trading statistics information
3. 专业布局 / Professional Layout
右上角信息面板 / Top-right information panel
顶部状态标签 / Top status label
图表交易线条 / Chart trading lines
整洁的视觉层次 / Clean visual hierarchy
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MaayaTrippleST_Bullish_PROD
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KriptoBotik 5 min TFCryptobot is effective on a 5-minute timeframe on any coin (with appropriate settings), with a grid of 10 averages, where each average is equal to the sum of previous entries, with a stop-loss. It can be configured for both local volatility and strong channel coverage, with adjustable entry amounts for each average and a percentage grid between averages. It can be connected to any exchange via API keys.
KriptoBotik 15 min TFCryptobot is effective on a 15-minute timeframe on any coin (with appropriate settings), with a grid of 10 averages (5 averages are sufficient with global settings), where each average is equal to the sum of previous entries, with a stop-loss. It can be configured for both local volatility and strong channel coverage, with adjustable entry amounts for each average and a percentage grid between averages. It can be connected to any exchange using API keys.
Real-Time EMA Cross Strategy For Fast Scalping📊 Overview
A professional-grade EMA crossover strategy with real-time execution capabilities. Designed for traders who need instant signal execution and seamless position management, this strategy adapts to any trading style with fully customizable EMA periods.
⚡ Core Features
Instant Execution Technology: Enter/exit positions immediately when signals occur
Seamless Position Switching: Automatically reverses positions without gaps or delays
Customizable EMA Periods: Adapt to any market or timeframe with adjustable settings
Real-Time & Bar-Close Modes: Choose your execution preference
Smart Position Management: No overlapping positions, clean entries and exits
Professional Dashboard: Live monitoring of indicators and position status
🎯 Ideal For
Scalpers requiring instant execution
Day traders seeking responsive strategies
Swing traders who need reliable crossover signals
Anyone looking for a clean, professional trading system
💎 What Makes This Special
No Lag: Real-time mode executes trades the moment crossover occurs
Clean Code: Optimized Pine Script v5 with best practices
Visual Clarity: Color-coded zones, clear signal markers, and info panel
Flexibility: Works across all timeframes and markets
Professional Grade: Includes proper position sizing and risk management
📈 How It Works
Long Signal: Fast EMA crosses above Slow EMA
Short Signal: Fast EMA crosses below Slow EMA
Position Management: Automatic reversal on opposite signals
Execution Options: Choose between instant or bar-close execution
⚙️ Customization
Adjust both EMA periods to match your strategy (2/5, 4/9, 9/21, 12/26, etc.)
Toggle real-time execution on/off
Full control over position sizing
Customizable visual elements
🔔 Built-in Alerts
Long entry signals
Short entry signals
Position reversal notifications
📝 Tips for Best Results
Lower timeframes (1-15min) for scalping with fast EMAs
Higher timeframes (1H-4H) for swing trading with slower EMAs
Test different EMA combinations to find your edge
Always use proper risk management
🚀 Version 3 Improvements
Enhanced crossover detection algorithm
Improved real-time execution logic
Better position management
Cleaner visual interface
More reliable signal generation
ETH Short-Term VWAP+EMA/RSI (ATR Risk, <1h) (James Logan)ETH Short-Term VWAP + EMA / RSI Strategy (ATR-based Risk Control)
A short-term (< 1 hour) ETH trading system designed for intraday scalps and momentum swings on 5- to 15-minute charts.
It blends trend confirmation (EMA 50 / 200) with intrabar structure (EMA 21 pullback & VWAP filter) and RSI momentum triggers, managing exits dynamically through ATR-based stop, take-profit, and trailing stop targets.
Core logic
• Long when RSI crosses above the threshold within an up-trend (EMA 50 > EMA 200) and price is above VWAP.
• Short when RSI crosses below threshold within a down-trend (EMA 50 < EMA 200) and price is below VWAP.
• Optional pullback confirmation to the 21-EMA for cleaner entries.
• Risk defined by ATR-multiples for stop-loss, take-profit, and an adaptive trailing stop.
• Automatic flat-out exit after a set number of bars (time-based close).
Best use
• 5 min – 15 min ETH/USDT charts (Binance, Bybit, Coinbase, etc.)
• Works with both spot and perpetual data.
• Tune ATR and RSI thresholds per venue; defaults are balanced for 0.05 % per-side fees.
Key parameters
• ATR SL × 1.6 ATR TP × 2.2 ATR Trail × 2.0
• RSI 50 cross | EMA 50/200 trend filter | VWAP confirmation
• Default position sizing = USD-based (e.g. $1 000 per trade).
Notes
• All orders and exits are simulated at bar close; use 1-minute bar magnifier for finer fill modeling.
• No repainting—uses only confirmed bar data.
• Best validated with ≥ 200 trades and profit factor > 1.25 over multi-month backtests.
Blackflag FTS Strategy – Based on Extremum (Fractional CF/AB)Example of usage concepts of Fractional calculus Math rules, script use two type of kernel (Caputo-Fabrizio and Atangana-Baleanu), basic parametr alpha ( independently for each kernel) could be change in range 0.1-0.9.
Final Scalping Strategy - RELAXED ENTRY, jangan gopoh braderEMA Scalping System (MTF) Guide (1HR direction, 15 min entry)
Objective
To capture small, consistent profits by entering trades when 15-minute momentum aligns with the 1-hour trend.
Trades are executed only during high-liquidity London and New York sessions to increase the probability of execution and success.
Strategy Setup
Chart Timeframe (Execution): 15-Minute (M15).
Trend Filter (HTF): 1-Hour (H1) chart data is used for the long-term EMA.
Long-Term Trend Filter: 50-Period EMA (based on H1 data).
Short-Term Momentum Signal: 20-Period EMA (based on M15 data).
Risk
Metric: 14-period ATR for dynamic Stop Loss calculation.
✅ Trading Rules🟢
Long (Buy) Entry Conditions
Session: Must be within the London (0800-1700 GMT) or New York (1300-2200 GMT) sessions.
HTF Trend: Current price must be above the 1-Hour EMA 50.
Momentum Signal: Price crosses above the 15-Minute EMA 20.
Confirmation: The bar immediately following the crossover must close above the 15-Minute EMA 20.
Ent
ry: A market order is executed on the close of the confirmation candle.
🔴 Short (Sell) Entry Conditions
Session: Must be within the London (0800-1700 GMT) or New York (1300-2200 GMT) sessions.
HTF Trend: Current price must be below the 1-Hour EMA 50.
Momentum Signal: Price crosses below the 15-Minute EMA 20.
Confirmation: The bar immediately following the crossover must close below the 15-Minute EMA 20.
Entry: A market order is executed on the close of the confirmation candle.
🛑 Trade Management & Exits
Stop Loss (SL): Placed dynamically at 2.0 times the 14-period ATR distance from the entry candle's low (for Buys) or high (for Sells).
Take Profit (TP): Placed dynamically to achieve a 1.5 Risk-Reward Ratio (RR) (TP distance = 1.5 x SL d
istance).
📊 On-Chart Visuals
Detailed Labels: A box appears on the entry bar showing the action, SL/TP prices, Risk/Reward in Pips, and the exact R:R ratio.
Horizontal Lines: Dashed lines display the calculated SL (Red) and TP (Green) levels while the trade is active.
Background: The chart background is shaded to highlight the active London and New York tradi
ng sessions.
Machiavelli v2.5The purpose of this script is straightforward — to provide a reliable source of passive income.
Results speak for themselves.
XAutoTrade Alert Builder v1.1Automate Your NinjaTrader Trading with TradingView Alerts
The XAutoTrade Alert Builder is a flexible Pine Script strategy that bridges TradingView alerts with
NinjaTrader automated trading. Design custom entry signals, configure exit strategies, and execute trades
automatically on your NinjaTrader account - all from TradingView charts.
Key Features
📊 Flexible Signal Logic
- Configure buy/sell signals independently
- Compare any two indicators or price sources using crossover, crossunder, greater than, or less than
logic
- Visual buy/sell markers on chart for easy signal verification
🎯 Multiple Exit Methods
1. ATM Strategy - Leverage your existing NinjaTrader ATM templates for advanced order management
2. Source Signals - Exit positions based on opposite entry signals
3. Fixed Levels - Set stop loss and profit targets using ticks or percentage
⚙️ NinjaTrader Integration
- Direct webhook integration with XAutoTrade backend service
- Multi-account support (trade multiple accounts simultaneously)
- Position sizing and max position limits
- Market or limit order types with configurable offset
- Time-in-force options (DAY/GTC)
- Active hours filter (US ET timezone) to control when alerts execute
🔐 Secure & Reliable
- Webhook secret authentication
- Symbol override capability
- Real-time status indicator showing configuration readiness
How It Works
1. Configure Entry Signals - Choose your buy/sell logic by comparing any two data sources (price,
indicators, etc.)
2. Set Exit Strategy - Select ATM templates, signal-based exits, or fixed stop/profit levels
3. Connect to NinjaTrader - Enter your XAutoTrade webhook secret and account details
4. Create Alert - Use the strategy's alert system to send formatted JSON payloads to your XAutoTrade
webhook
5. Trade Futures & Stocks Automatically - TradingView alerts trigger real trades in your NinjaTrader account
Perfect For
- Traders wanting to automate TradingView strategies in NinjaTrader
- Users with existing ATM templates who want TradingView signal automation
- Multi-account traders managing several NinjaTrader accounts
- Anyone seeking a no-code bridge between TradingView and NinjaTrader
Requirements
- Active XAutoTrade account and subscription
- NinjaTrader 8 with XAutoTrade AddOn installed
- TradingView Premium/Pro account (for webhook alerts)
NEXT GEN INSPIRED BY OLIVER VELEZDYOR NFA
1. Initial Setup & Application
Load the Strategy to your desired chart (e.g., EURUSD M5, as suggested by the script's backtest).
Overlay: Ensure the script is set to overlay=true (which it is) so the signals and Moving Averages plot directly on the price chart.
Equity Management: Review the initial strategy settings for capital and position sizing:
Initial Capital: Defaults to 10,000.
Default Qty Type: Set to strategy.percent_of_equity (22%), meaning 22% of your available equity is used per trade. Adjust this percentage based on your personal risk tolerance.
2. Reviewing Key Indicator Inputs
The script uses default values that are optimized, but you can adjust them in the settings panel:
Fast EMA: Defaults to 9 (e.g., a 9-period Exponential Moving Average).
Slow EMA: Defaults to 21 (e.g., a 21-period Exponential Moving Average). These EMAs define the short-term trend.
ATR: Defaults to 14 (Average True Range). Used to dynamically calculate volatility for SL/TP distances.
Final R:R: Defaults to 4.5 (minimum R:R required for a signal). This is the core of the strategy's high reward goal.
3. Interpreting Entry Signals
A trade signal is generated only when all conditions—EMA trend, "Elephant Logic" momentum, and non-ranging market—are met.
Long Signal: Appears as a green triangle (▲) below the bar, labeled "COMBO".
Short Signal: Appears as a red triangle (▼) above the bar, labeled "COMBO".
Live Plan: Upon signal, a detailed label is immediately plotted on the chart showing the FULL BATTLE PLAN:
SL: Calculated Stop Loss price.
TP: Calculated Take Profit price (based on the Final R:R).
Risk/Reward Pips: The calculated pips for the trade's risk and reward.
R:R = 1:4.5: The exact Risk-to-Reward ratio.
4. Understanding Market Conditions & Visuals
The script provides visuals to help you understand the current market state:
Trend EMAs: The 9 EMA (green) and 21 EMA (purple/magenta) are plotted to show the underlying trend.
Long trades only fire when Price > 9 EMA > 21 EMA.
Short trades only fire when Price < 9 EMA < 21 EMA.
Ranging Market (Rejection): Bars turn a light gray/silver when the proprietary "Reject Ranging" logic is active, indicating a low-volatility period. No new trades will be taken during these bars.
Momentum Bar: Bars turn a gold/yellow color when the "Elephant Logic" (high-momentum, large-body candles over 2-3 periods) is detected, highlighting powerful price movement.
5. Execution and Exit Logic
The strategy handles entry, scaling, and exit automatically:
Entry: A market order is placed (strategy.entry) immediately upon the bar where the longSetup or shortSetup condition is met.
Scaling Out (+1R): If the trade moves favorably by an amount equal to the initial risk (1R), the script closes a portion of the position (strategy.close with comment "+1R"). This partial exit locks in profit equivalent to the initial risk.
Re-entry (Pyramiding): After the +1R exit, the strategy attempts a re-entry (LONG RE/SHORT RE diamond plot) if the price meets certain criteria near the 9 EMA, trying to capitalize on further trend continuation.
Final Exits:
Take Profit: A limit order is set at the calculated TP level (stopDist * minRR).
Stop Loss: A stop order is set at the calculated SL level (stopDist * 1.3), slightly wider than the initial SL distance, likely to account for spread/slippage, ensuring the maximum loss is defined.
Trailing Stop: A trailing stop is applied to the re-entry positions (LONG RE/SHORT RE) to protect profits as the market moves further in the direction of the trade.
WMAX-D-TPS1 (USD setup)Here I show you a strategy that I have been developing for years based on breakouts of maximum and minimum price levels.This work good in 1d
Range Trading StrategyOVERVIEW
The Range Trading Strategy is a systematic trading approach that identifies price ranges
from higher timeframe candles or trading sessions, tracks pivot points, and generates
trading signals when range extremes are mitigated and confirmed by pivot levels.
CORE CONCEPT
The strategy is based on the principle that when a candle (or session) closes within the
range of the previous candle (or session), that previous candle becomes a "range" with
identifiable high and low extremes. When price breaks through these extremes, it creates
trading opportunities that are confirmed by pivot levels.
RANGE DETECTION MODES
1. HTF (Higher Timeframe) Mode:
Automatically selects a higher timeframe based on the current chart timeframe
Uses request.security() to fetch HTF candle data
Range is created when an HTF candle closes within the previous HTF candle's range
The previous HTF candle's high and low become the range extremes
2. Sessions Mode:
- Divides the trading day into 4 sessions (UTC):
* Session 1: 00:00 - 06:00 (6 hours)
* Session 2: 06:00 - 12:00 (6 hours)
* Session 3: 12:00 - 20:00 (8 hours)
* Session 4: 20:00 - 00:00 (4 hours, spans midnight)
- Tracks high, low, and close for each session
- Range is created when a session closes within the previous session's range
- The previous session's high and low become the range extremes
PIVOT DETECTION
Pivots are detected based on candle color changes (bullish/bearish transitions):
1. Pivot Low:
Created when a bullish candle appears after a bearish candle
Pivot low = minimum of the current candle's low and previous candle's low
The pivot bar is the actual bar where the low was formed (current or previous bar)
2. Pivot High:
Created when a bearish candle appears after a bullish candle
Pivot high = maximum of the current candle's high and previous candle's high
The pivot bar is the actual bar where the high was formed (current or previous bar)
IMPORTANT: There is always only ONE active pivot high and ONE active pivot low at any
given time. When a new pivot is created, it replaces the previous one.
RANGE CREATION
A range is created when:
(HTF Mode) An HTF candle closes within the previous HTF candle's range AND a new HTF
candle has just started
(Sessions Mode) A session closes within the previous session's range AND a new session
has just started
Or Range Can Be Created when the Extreme of Another Range Gets Mitigated and We Have a Pivot low Just Above the Range Low or Pivot High just Below the Range High
Range Properties:
rangeHigh: The high extreme of the range
rangeLow: The low extreme of the range
highStartTime: The timestamp when the range high was actually formed (found by looping
backwards through bars)
lowStartTime: The timestamp when the range low was actually formed (found by looping
backwards through bars)
highMitigated / lowMitigated: Flags tracking whether each extreme has been broken
isSpecial: Flag indicating if this is a "special range" (see Special Ranges section)
RANGE MITIGATION
A range extreme is considered "mitigated" when price interacts with it:
High is mitigated when: high >= rangeHigh (any interaction at or above the level)
Low is mitigated when: low <= rangeLow (any interaction at or below the level)
Mitigation can happen:
At the moment of range creation (if price is already beyond the extreme)
At any point after range creation when price touches the extreme
SIGNAL GENERATION
1. Pending Signals:
When a range extreme is mitigated, a pending signal is created:
a) BEARISH Pending Signal:
- Triggered when: rangeHigh is mitigated
- Confirmation Level: Current pivotLow
- Signal is confirmed when: close < pivotLow
- Stop Loss: Current pivotHigh (at time of confirmation)
- Entry: Short position
Signal Confirmation
b) BULLISH Pending Signal:
- Triggered when: rangeLow is mitigated
- Confirmation Level: Current pivotHigh
- Signal is confirmed when: close > pivotHigh
- Stop Loss: Current pivotLow (at time of confirmation)
- Entry: Long position
IMPORTANT: There is only ever ONE pending bearish signal and ONE pending bullish signal
at any given time. When a new pending signal is created, it replaces the previous one
of the same type.
2. Signal Confirmation:
- Bearish: Confirmed when price closes below the pivot low (confirmation level)
- Bullish: Confirmed when price closes above the pivot high (confirmation level)
- Upon confirmation, a trade is entered immediately
- The confirmation line is drawn from the pivot bar to the confirmation bar
TRADE EXECUTION
When a signal is confirmed:
1. Position Management:
- Any existing position in the opposite direction is closed first
- Then the new position is entered
2. Stop Loss:
- Bearish (Short): Stop at pivotHigh
- Bullish (Long): Stop at pivotLow
3. Take Profit:
- Calculated using Risk:Reward Ratio (default 2:1)
- Risk = Distance from entry to stop loss
- Target = Entry ± (Risk × R:R Ratio)
- Can be disabled with "Stop Loss Only" toggle
4. Trade Comments:
- "Range Bear" for short trades
- "Range Bull" for long trades
SPECIAL RANGES
Special ranges are created when:
- A range high is mitigated AND the current pivotHigh is below the range high
- A range low is mitigated AND the current pivotLow is above the range low
In these cases:
- The pivot value is stored in an array (storedPivotHighs or storedPivotLows)
- A "special range" is created with only ONE extreme:
* If pivotHigh < rangeHigh: Creates a range with rangeHigh = pivotLow, rangeLow = na
* If pivotLow > rangeLow: Creates a range with rangeLow = pivotHigh, rangeHigh = na
- Special ranges can generate signals just like normal ranges
- If a special range is mitigated on the creation bar or the next bar, it is removed
entirely without generating signals (prevents false signals)
Special Ranges
REVERSE ON STOP LOSS
When enabled, if a stop loss is hit, the strategy automatically opens a trade in the
opposite direction:
1. Long Stop Loss Hit:
- Detects when: position_size > 0 AND position_size <= 0 AND low <= longStopLoss
- Action: Opens a SHORT position
- Stop Loss: Current pivotHigh
- Trade Comment: "Reverse on Stop"
2. Short Stop Loss Hit:
- Detects when: position_size < 0 AND position_size >= 0 AND high >= shortStopLoss
- Action: Opens a LONG position
- Stop Loss: Current pivotLow
- Trade Comment: "Reverse on Stop"
The reverse trade uses the same R:R ratio and respects the "Stop Loss Only" setting.
VISUAL ELEMENTS
1. Range Lines:
- Drawn from the time when the extreme was formed to the mitigation point (or current
time if not mitigated)
- High lines: Blue (or mitigated color if mitigated)
- Low lines: Red (or mitigated color if mitigated)
- Style: SOLID
- Width: 1
2. Confirmation Lines:
- Drawn when a signal is confirmed
- Extends from the pivot bar to the confirmation bar
- Bearish: Red, solid line
- Bullish: Green, solid line
- Width: 1
- Can be toggled on/off
STRATEGY SETTINGS
1. Range Detection Mode:
- HTF: Uses higher timeframe candles
- Sessions: Uses trading session boundaries
2. Auto HTF:
- Automatically selects HTF based on current chart timeframe
- Can be disabled to use manual HTF selection
3. Risk:Reward Ratio:
- Default: 2.0 (2:1)
- Minimum: 0.5
- Step: 0.5
4. Stop Loss Only:
- When enabled: Trades only have stop loss (no take profit)
- Trades close on stop loss or when opposite signal confirms
5. Reverse on Stop Loss:
- When enabled: Hitting a stop loss opens opposite trade with stop at opposing pivot
6. Max Ranges to Display:
- Limits the number of ranges kept in memory
- Oldest ranges are purged when limit is exceeded
KEY FEATURES
1. Dynamic Pivot Tracking:
- Pivots update on every candle color change
- Always maintains one high and one low pivot
2. Range Lifecycle:
- Ranges are created when price closes within previous range
- Ranges are tracked until mitigated
- Mitigation creates pending signals
- Signals are confirmed by pivot levels
3. Signal Priority:
- Only one pending signal of each type at a time
- New signals replace old ones
- Confirmation happens on close of bar
4. Position Management:
- Closes opposite positions before entering new trades
- Tracks stop loss levels for reverse functionality
- Respects pyramiding = 1 (only one position per direction)
5. Time-Based Drawing:
- Uses time coordinates instead of bar indices for line drawing
- Prevents "too far from current bar" errors
- Lines can extend to any historical point
USAGE NOTES
- Best suited for trending and ranging markets
- Works on any timeframe, but HTF mode adapts automatically
- Sessions mode is ideal for intraday trading
- Pivot detection requires clear candle color changes
- Range detection requires price to close within previous range
- Signals are generated on bar close, not intra-bar
The strategy combines range identification, pivot tracking, and signal confirmation to
create a systematic approach to trading breakouts and reversals based on price structure, past performance does not in any way predict future performance
RSI + MACD Multi-Timeframe StrategyThis strategy combines the Relative Strength Index (RSI) from the daily timeframe with the Moving Average Convergence Divergence (MACD) from the 4-hour timeframe to generate precise long entry and exit signals.
The system uses a multi-timeframe approach to align longer-term trend conditions with shorter-term momentum shifts — allowing traders to catch dips with confirmation and exit before reversals.
🧠 Strategy Logic
✅ Long Entry Condition:
- RSI on the daily (1D) timeframe is oversold (below your defined threshold)
- MACD on the 4H timeframe crosses above the signal line
→ A long trade is opened when these two align
✅ Long Exit Condition:
- RSI on the daily timeframe is overbought
- MACD on the 4H timeframe crosses below the signal line
→ The long trade is closed when these two conditions are met
💡 This strategy currently supports long entries only. Short logic can be added if needed.
📊 Indicator Components
🔹 RSI (Relative Strength Index):
- A momentum oscillator that measures the speed and magnitude of price changes.
- Helps identify overbought (potential sell) and oversold (potential buy) conditions.
- Applied on the 1D timeframe (by default) to reflect broader market trend or exhaustion levels.
🔹 MACD (Moving Average Convergence Divergence):
- A trend-following momentum indicator based on moving averages.
- The MACD Line (fast EMA - slow EMA) crossing above the Signal Line indicates bullish momentum.
- Used here on the 4-hour timeframe (by default) for shorter-term momentum confirmation.
🔹 Multi-Timeframe (MTF) Logic:
- Uses request.security() to pull higher timeframe data (1D for RSI, 4H for MACD).
- Ensures no repainting, as it only uses closed candles from the higher timeframe.
- Aligns longer-term signals with shorter-term entries, reducing false signals.
📈 Plotting Options
The script includes a plot selector input allowing you to toggle between:
- RSI Plot (with overbought/oversold lines)
- MACD Plot (MACD line and signal line)
- This helps visualize signal conditions clearly on your chart.
🛠 Customization
- RSI & MACD settings are fully configurable
- RSI and MACD timeframes can be adjusted independently
⚠️ Disclaimer
This strategy is provided for educational and informational purposes only.
It is not financial advice or a recommendation to buy or sell any asset.
Past performance does not guarantee future results. Always test strategies in a simulated environment before live use, and consult with a licensed financial advisor for investment decisions.
Velocity SmartMoney Engine work - Delta Exchange📈 Velocity SmartMoney Engine
Adaptive Breakout & Order Block Strategy with Dynamic Risk Control
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🔍 Overview
The Velocity SmartMoney Engine is a next-generation trading strategy that fuses Smart Money breakout logic , Order Block structure detection , and Supertrend-based directional filtering into one precision-built system.
It identifies institutional-level breakouts , manages positions with ATR-based adaptive risk , and executes disciplined exits using stop-loss, trailing stop, and profit target logic.
Designed for swing and short-term system traders, this strategy performs excellently on BTC, ETH, NIFTY, BANKNIFTY, Gold, and major FX pairs — best on 15m to 4h timeframes .
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⚙️ Core Components
1️⃣ Smart Money Breakout Logic
Detects real breakouts using dynamic support/resistance pivots.
Confirms entries only during strong volatility bursts.
Avoids false breakouts in sideways markets.
2️⃣ Order Block Gap Detection
Finds institutional imbalance zones (Smart Money footprints).
Bullish gaps = Long bias; Bearish gaps = Short bias.
Works with candle confirmation and momentum validation.
3️⃣ Supertrend Directional Filter
Trades only in direction of Supertrend bias.
Exits instantly when Supertrend flips.
Prevents entries against dominant trend.
4️⃣ ATR-Based Risk & Volatility Filter
Uses ATR × multiplier for adaptive stop sizing.
Volatility filter ensures trades trigger only during active markets.
Avoids whipsaw zones.
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💰 Position Management
Stop-Loss: Adaptive ATR-based.
Take-Profit: Default 5% target (editable input).
Trailing Stop: Auto-adjusts to lock profits.
No-Exit Hold: Hold position for defined candles before exits.
Supertrend Flip Exit: Instant trend-based closure.
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🧠 Built-In Trade Discipline
One-trade-per-bar guard prevents duplicate entries.
Volatility-weighted breakout validation.
Clean and conflict-free exit hierarchy.
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🎯 Key Features
✅ Smart Money breakout + Order Block fusion
✅ Supertrend-based trend confirmation
✅ ATR dynamic stop + 5% profit target
✅ Adaptive trailing logic
✅ One-trade-per-bar control
✅ Works across Crypto, Indices, FX, Commodities
✅ Ideal for 1h–4h swing setups
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📊 Recommended Settings
Parameter | Typical Value | Purpose
--- | --- | ---
Levels Period | 20 | Pivot lookback for S/R zones
Volatility Filter | 20–40 | Filters out low-momentum areas
ATR Multiplier | 1.5 | Adjust stop size by volatility
Supertrend Length | 10 | ATR period for trend bias
Supertrend Multiplier | 3.0 | Supertrend sensitivity
Target Profit | 5% | Default take-profit level
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⚡ Suggested Use
• Best suited for swing entries on 1H / 4H charts .
• Combine with session filters or trend confluence for automation.
• Ideal as a base module for TradingView + Broker integrations .
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🧩 Disclaimer
This script is for educational purposes only .
Past performance does not guarantee future returns.
Use responsibly. The developer assumes no liability for financial losses.
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💬 Community & Access
Developed by: Shubham Singh
Version: Velocity SmartMoney Engine v1.0
For premium modules & automation: DM "Velocity Access" on chat to request access.
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© 2025 Velocity SmartMoney Engine — All Rights Reserved






















