Fibonacci Analytical System (FAS) – מייסד השיטה אביאור אביטל הThis script is an analytical tool designed to detect specific patterns in sequential data over different timeframes.
The script performs the following actions:
Retrieves numerical data from an external source, based on the current chart timeframe.
Compares the current value to the previous one to determine a binary state (true/false).
Displays this state clearly on the chart, allowing you to see when the condition is met.
Allows the creation of automatic alerts that trigger only when the condition occurs.
The script does not modify prices or data, but rather scans and analyzes existing information and highlights specific cases that may require attention. FPMARKETS:US100
אינדיקטורים ואסטרטגיות
Simple SuperTrend & MACD Trend Follow
📈 SuperTrend-MACD Trend Follow Indicator
This indicator is composed of the following two main components:
SuperTrend: A filter that shows the direction of the long-term trend and a trailing stop level. A green color indicates an uptrend, and a red color indicates a downtrend.
MACD (Moving Average Convergence Divergence): Captures changes in short-term momentum to determine entry and exit timings.
📈 SuperTrend-MACD Trend Follow Indicator
This indicator is composed of the following two main components:
SuperTrend: A filter that shows the direction of the long-term trend and a trailing stop level. A green color indicates an uptrend, and a red color indicates a downtrend.
MACD (Moving Average Convergence Divergence): Captures changes in short-term momentum to determine entry and exit timings.
■日本語(Japanese)
トレンドフォローをわかりやすく売買シグナルを出すようにカスタマイズ
1. トレンド方向の把握 (SuperTrend)チャート上に表示されるスーパートレンドラインの色を確認します。
🟢 緑色: 上昇トレンド(ロングを狙う)
🔴 赤色: 下降トレンド(ショートを狙う)
2. 売買シグナルの条件
・BUY (買い):
1.SuperTrendが緑色であること。(上昇トレンドフィルター)
2.MACDがゴールデンクロス(MACDラインがシグナルラインを上抜け)したこと。(エントリータイミング)
・SELL (売り):
1.SuperTrendが赤色であること。(下降トレンドフィルター)
2.MACDがデッドクロス(MACDラインがシグナルラインを下抜け)したこと。(エントリータイミング)
3. 設定調整のポイントご自身のトレードスタイルに合わせて、設定(Inputs)を調整できます。
1.設定項目デフォルト調整の方向性SuperTrend Factor3.0上げると感度が下がり、シグナルが減る(大きなトレンド重視)
2.SuperTrend ATR Period10上げると滑らかになり、シグナルが減る
3.MACD Lengths12, 26, 9基本はデフォルト推奨。より速いエントリーを求めるなら短くする
[Yorsh] BJN iFVG Model RC1 BJN iFVG Model - Mechanical Trading System
Description:
The BJN iFVG Model is not just an indicator; it is a full-scale, semi-automated trading architecture designed to mechanically execute the specific "BJN" Inverted FVG strategy.
Designed for precision traders operating on Lower Timeframes (1m to 5m), this script eliminates the cognitive load of manual analysis. It automates every single step of the mechanical model—from Higher Timeframe narrative building to tick-perfect structural validation and risk calculation.
This tool transforms your chart into a professional trading cockpit, split into three intelligent engines:
1. The Matrix (Context Engine)
Before looking for an entry, you must understand the narrative. The Matrix handles the heavy lifting of multi-timeframe analysis without cluttering your chart:
Real-Time Delivery State: Automatically detects if price is reacting from valid HTF PD Arrays (1H, 4H, Daily) to confirm a "Delivery" state.
Liquidity Sweeps: Tracks Fractals across three dimensions (1H, 15m, and Micro-Structure) to identify liquidity raids instantly.
Advanced SMT Divergence: A built-in, multi-mode SMT engine scans for correlation breaks (Pivot SMT, Adjacent Wick SMT, and FVG SMT) between NQ/ES (or custom tickers) in real-time.
Time & Macro Tracking: Automatically visualizes Killzones and highlights high-probability Macro windows.
2. The Executioner (Entry Engine)
Once the context is set, the Executioner handles the specific Inverted FVG (iFVG) entry model with strict mechanical rules:
Structural Integrity: Automatically identifies the Invalidation Point (IP), Floor/Ceiling, and Break-Even levels for every setup.
Hazard Detection: The script proactively scans the "Trading Leg" for opposing unmitigated FVGs (Hazards). If the path isn't clean, the trade is flagged or invalidated.
Composite Logic: Intelligently merges "noisy" price action into Composite FVGs to reduce false signals.
Integrated Position Sizer: When a trade is confirmed, a visual box appears showing your precise Entry, Stop Loss, Hard Stop, and Take Profit levels, along with a calculated Contract Quantity based on your risk tolerance.
3. The Ranking System (Quality Control)
Not all trades are created equal. This system grades every single confirmed setup in real-time based on confluence factors:
Grades: Ranges from A++ (Perfect Confluence) to C (Low Probability).
Confluence Check: Checks for Delivery, Sweeps (HTF/LTF), SMT, and Macro alignment at the exact moment of the trigger.
Live Status Panel: A dashboard on your chart displays the current live trade status (Armed, Triggered, Confirmed) and its Rank, so you never miss a beat.
Optimization & Performance
Trading on the 1-minute timeframe requires speed. This script has been rigorously optimized for high-frequency environments:
Smart Garbage Collection: The script manages its own memory, cleaning up old data arrays to prevent lag, ensuring the chart remains fluid even after days of data accumulation.
Tunnel Vision: Calculations are strictly focused on the relevant trading leg, ignoring historical noise to maximize execution speed.
Zero-Repaint: All historical analysis is strictly non-repainting to ensure backtesting reliability.
How to Use
Timeframes: Optimized for 1m, 2m, 3m, 4m, 5m execution.
Alerts: Configure the robust alert system to notify you only when setups meet your standards (e.g., "Alert only on Rank B+ or higher").
Strategy: Wait for the Status Panel to show a "CONFIRMED" signal. Use the on-screen Position Sizer to execute the trade with the displayed risk parameters.
Stop analyzing; start executing. Welcome to mechanical trading.
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RISK DISCLAIMER:
The content, tools, and signals generated by this script are strictly for educational and informational purposes only. This script does not constitute financial advice, investment recommendations, or a solicitation to buy or sell any securities, futures, or other financial instruments.
Trading financial markets involves a high degree of risk and is not suitable for all investors. The "Position Sizer" and "Trade Setups" displayed are hypothetical simulations designed to demonstrate the mechanics of the BJN methodology; they do not guarantee future performance.
Use this tool at your own risk. The author assumes no responsibility or liability for any trading losses or damages incurred in connection with the use of this script. Always consult with a qualified financial advisor and practice proper risk management.
X-RAY v5.6 Ai⚡X-RAY v5.6 Ai is a state-of-the-art, non-repainting technical indicator designed to give traders a definitive edge in the market.
It goes beyond conventional oscillators by leveraging a proprietary algorithm that normalizes price momentum against a dynamically calculated volatility range. This allows X-RAY to filter market noise and pinpoint high-probability turning points with exceptional precision.
🧩 Core Methodology
At its core, X-RAY operates through a multi-layered computational engine that performs advanced mathematical and statistical analysis. It doesn’t just track price; it measures the energy of a price move relative to its recent volatility.
This involves:
Complex smoothing functions
Advanced statistical modeling
A real-time adaptive normalized oscillator
The outcome? A powerful tool that uncovers the true strength or weakness of a trend often before it becomes visible on the chart.
⚡ Signal Generation
X-RAY provides three actionable signals for systematic trading. All signals are confirmed at bar close and do not repaint.
🟢 BUY Signal
Generated at the end of a strong downtrend, this signal identifies:
Maximum bearish momentum exhaustion
A potential market capitulation
A high-probability entry for long positions
🎯 TP (Take Profit) Signal
Triggered when bullish momentum peaks, signaling:
The first signs of faltering after an upward move
The optimal zone to secure maximum gains
❌ EXIT Signal
A risk management alert activated when:
Momentum shifts decisively against your position
The trend loses structural integrity
Immediate position closure is required to protect capital
🚀 Optimized Performance & Best Use Cases
Through extensive backtesting, X-RAY proves most effective on the following timeframes:
Cryptocurrency: 15m Chart
Forex: 3h Chart
Gold (XAU/USD): 1m Chart
🧭 Conclusion
X-RAY v5.6 Ai is more than an indicator—it’s a complete analytical framework for traders seeking:
Precision ⚖️
Statistical rigor 📐
Non-repainting logic ⏱️
By focusing on momentum vs. volatility, X-RAY provides a clear and objective roadmap to navigate the markets confidently.
⚠️ Disclaimer:
This indicator is for educational and informational purposes only. It is not investment advice. Past performance is not indicative of future results. Always conduct your own analysis and trade responsibly.
MSS(5m) + HTF(1h) OB & Sweep Strategy (heuristic) v6My first (hopefully) working strategy. Have fun printing guys
HTF Scanner Pro | High Tight Flag | Leif Soreide📊 HTF Scanner Pro| High Tight Flag Pattern Detector
🎯 Overview
HTF Scanner Pro is a professional-grade pattern recognition indicator designed to identify one of the most powerful and rare chart patterns in technical analysis: the High Tight Flag (HTF). Based on the rigorous research of William O'Neil (founder of Investor's Business Daily and creator of CANSLIM) and refined by Leif Soreide's extensive pattern studies, this indicator provides institutional-level pattern detection with a premium visual experience.
The High Tight Flag pattern historically delivers 69-85% success rates when properly identified, making it one of the most reliable bullish continuation patterns. However, it's extremely rare—you might only see 2-5 valid setups per year across thousands of stocks. This indicator does the heavy lifting of scanning and scoring potential setups so you never miss an opportunity.
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⚡ Key Features
🔬 6-Component Scoring System (0-10 Scale)
Each potential HTF pattern is analyzed across six critical dimensions:
│ Pole │ 25% │ Explosive advance (90-120%+ in 4-8 weeks)
│ Flag │ 25% │ Tight consolidation (10-25% pullback, above 50-MA)
│ Volume │ 20% │ Heavy pole volume, dry flag volume, breakout surge
│ Technical │ 15% │ New highs, relative strength, MA positioning
│ Breakout │ 10% │ Proximity to pivot, R:R ratio, target potential
│ Catalyst │ 5% │ Fundamental catalyst proxy via price/volume action
📈 Pattern Detection Criteria (O'Neil/Soreide Standards)
THE POLE (Flagpole):
- ✅ Minimum 90% advance (100-120%+ is ideal)
- ✅ Occurs within 4-8 weeks (20-40 trading days)
- ✅ Heavy volume (40-100%+ above average)
- ✅ More up days than down days (clean advance)
- ✅ Usually triggered by fundamental catalyst
THE FLAG (Consolidation):
- ✅ Shallow pullback of only 10-25% from pole high
- ✅ Duration: 1-3 weeks ideal, max 5 weeks
- ✅ MUST stay above 50-day moving average
- ✅ Volume dries up significantly (supply exhaustion)
- ✅ Tight, low-volatility price action
BREAKOUT CONFIRMATION:
- ✅ Price breaks above flag high + $0.10 (classic O'Neil rule)
- ✅ Volume surges 50%+ above average
- ✅ Risk/Reward typically 3:1 or better
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🎨 Premium Visual Features
Interactive Dashboard
- Real-time pattern scoring with letter grades (A+ to F)
- Component-by-component breakdown with color coding
- Trade setup display (Entry, Target, Stop, R:R)
- Status indicators for flag tightness and pole recency
- Customizable position (6 locations)
Pattern Zone Highlighting
- Pole Zone: Subtle green/blue gradient background
- Flag Zone: Subtle gold/orange gradient background
- Ghost transparency to not obscure price action
Price Level Visualization
- Entry Line (Blue): Flag high + $0.10 breakout level
- Target Line (Green): Projected measured move target
- Stop Line (Red): Below flag low for risk management
Signal Labels
- Large green label for valid HTF signals
- Orange label for partial/forming setups
- Complete trade plan in label (Entry, Target, R:R)
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📊 How to Use
Signal Interpretation
┌─────────┬───────────────────────────┐
│ Score │ Grade │ Signal │ Action ├─────────┼─────────┼─────────────────┤
│ 8.0+ │ A-/A/A+ │ HIGH TIGHT FLAG │ Valid setup - prepare for entry │
├─────────┼───────────────────────────┤
│ 5.5-7.9 │ C/B │ PARTIAL SETUP │ Monitor - some criteria missing │
├─────────┼─────────┼─────────────────
│ <5.5 │ D/F │ NO SIGNAL │ Not an HTF pattern │
└─────────┴─────────┴────────────────┘
Entry Strategy
- Wait for Setup: Score reaches 8.0+ with all major criteria met
- Entry Point: Buy on breakout above the blue ENTRY line with volume confirmation
- Stop Loss: Place stop just below the red STOP line (flag low)
- Target: Use the green TARGET line as your profit objective
- Position Size: Calculate based on the displayed R:R ratio
Component Checklist
Before entering, verify in the dashboard:
- ✅ Pole shows ✓ with 90%+ gain
- ✅ Flag shows ✓ (above 50-MA)
- ✅ Volume shows ✓ (1.4x+ pole volume)
- ✅ Technical shows ✓ (above 50-MA)
- ✅ Footer shows "◆ TIGHT" and "◆ RECENT"
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⚙️ Input Settings
Pattern Detection
- Pole Min Period: Minimum pole duration (default: 20 days / 4 weeks)
- Pole Max Period: Maximum pole duration (default: 40 days / 8 weeks)
- Minimum Gain %: Minimum pole advance (default: 90%)
- Good Gain %: Strong pole advance (default: 100%)
- Excellent Gain %: Exceptional pole advance (default: 120%)
Flag Consolidation
- Min Pullback %: Minimum flag pullback (default: 10%)
- Max Pullback %: Maximum flag pullback (default: 25%)
- Min Duration: Minimum flag duration (default: 5 days)
- Max Duration: Maximum flag duration (default: 25 days)
Signal Thresholds
- HTF Signal: Score threshold for valid HTF (default: 8.0)
- Partial Setup: Score threshold for partial setup (default: 5.5)
Visual Settings
- Show Dashboard: Toggle analysis dashboard
- Show Pattern Zones: Toggle pole/flag highlighting
- Show Price Levels: Toggle entry/target/stop lines
- Show Signal Labels: Toggle pattern labels
- Show Moving Averages: Toggle 50 & 200 MA display
- Dashboard Position: Choose from 6 positions
Technical Parameters
- 50-day MA: Period for 50-day moving average
- 200-day MA: Period for 200-day moving average
- RS Period: Lookback for relative strength (default: 126 days / 6 months)
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🔔 Alerts
Four built-in alert conditions:
- 🚀 HTF BREAKOUT: Price breaks above entry level with volume confirmation
- ⚡ HTF Setup Ready: Valid HTF at pivot, watch for breakout
- ⚡ Early Entry Signal: Volume expanding near pivot (Leif's specialty)
- ◇ Partial Setup: Forming setup worth monitoring
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📚 Educational Notes
Why HTF Patterns Work
The High Tight Flag represents the ultimate supply/demand imbalance:
- Explosive Pole: Institutions aggressively accumulate, driving price up 100%+
- Tight Flag: Weak hands sell, but no significant supply emerges
- Breakout: Remaining supply absorbed, price explodes to new highs
Historical Performance
According to O'Neil's research and Soreide's studies:
- Success rate: 69-85% when all criteria are met
- Average gain from breakout: 100-200%+
- Failure rate increases significantly if criteria are relaxed
Common Mistakes to Avoid
❌ Buying before breakout confirmation
❌ Ignoring volume requirements
❌ Trading flags that broke below 50-MA
❌ Accepting pullbacks deeper than 25%
❌ Trading old poles (flag must form immediately afterpole)
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This indicator is a tool to assist with pattern identification and should not be considered financial advice. Always:
- Conduct your own due diligence
- Manage risk appropriately
- Use proper position sizing
- Consider fundamental analysis alongside technical signals
Past performance of the High Tight Flag pattern does not guarantee future results.
📝 Credits & References
- William O'Neil - "How to Make Money in Stocks", CANSLIM methodology
- Leif Soreide - HTF Masterclass, pattern refinement research
- Investor's Business Daily - Pattern recognition standards
KIRA INVESTORS📈 KIRA MOMENTUM STRATEGY – BUY & SELL
Title: KIRA EMA 9–21 + VWAP
🟢 BUY RULE
EMA 9 crosses above EMA 21
Price closes above VWAP
🔴 SELL RULE
EMA 9 crosses below EMA 21
Price closes below VWAP
🚫 NO TRADE ZONE
EMAs tangled
Price chopping near VWAP
🎯 TIMEFRAMES & RISK
TF: 5–15 min
Stop-loss: Swing high / low
Risk ≤ 1% per trade
💡 WHY IT WORKS
EMA crossover → Trend direction
VWAP → Confirms institutional bias
Only trades strong momentum moves
缠中禅V6Pro"ChanLun" is a highly regarded technical analysis method originating in China. Since its introduction in 2006, ChanLun has quickly gained significant attention and a strong following in the Chinese trading community due to its remarkable ability to navigate complex market dynamics.
ChanLun places great emphasis on market structure, price action, momentum, and the intricate interactions between market forces. It recognizes that the market operates in cyclical patterns and aims to capture the underlying structure and rhythm of price movements. Through detailed analysis of the intricate relationship between price and time, it provides traders with a unique perspective on market trends, potential reversals, and key turning points.
🟠 Algorithm
🔵 Step 1: Candlestick Conversion
In ChanLun, candlestick analysis pays less attention to the opening/closing prices and wicks, focusing instead on the range that the stock price reaches. Therefore, the first step in ChanLun involves converting each candlestick to include only the high and low prices, ignoring other elements.
🔵 Step 2: Candlestick Standardization
In the second step, the converted candlesticks are standardized to ensure strict directional consistency and to eliminate the presence of inner or outer bars. For any two adjacent candlesticks A and B, if one price range completely contains the other, A and B are merged into a new candlestick C. If A is in an uptrend from the previous candlestick, C is defined as High(C) = max(High(A), High(B)) and Low(C) = max(Low(A), Low(B)). If A is in a downtrend from the previous candlestick, C is defined as High(C) = min(High(A), High(B)) and Low(C) = min(Low(A), Low(B)).
After completing these steps, when considering any adjacent candlesticks A and B, we can always observe one of the following conditions:
1. High(A) > High(B) and Low(A) > Low(B)
2. High(A) < High(B) and Low(A) < Low(B)
The diagram below illustrates how the candlesticks are displayed after this step.
🔵 Step 3: Fractals
A "fractal" refers to a pattern formed by three consecutive "normalized" candlesticks, where the middle candlestick shows significantly higher or lower values compared to the surrounding candlesticks. When considering three adjacent candlesticks A, B, and C, we have one of two conditions:
1. High (B) > High (A) and High (B) > High (C) and Low (B) > Low (A) and Low (B) > Low (C)
2。 High (B) < Low (A) and High (B) < Low (C) and Low (B) < Low (A) and Low (B) < Low (C) For
In #1 above, we refer to the combination of A, B, and C as the "top fractal", while for #2 we specify it as the "bottom fractal".
The image below illustrates all fractals, with the red triangle indicating the top fractal and the green triangle indicating the bottom splitting.
🔵 Step 4: Strokes
A "stroke" is a line that connects the top fractal and the bottom fractal, following these rules:
1. There must be at least one "free" candlestick between these fractals, which means it is not part of the top or bottom split. This guarantees that the stroke contains at least five candlesticks from start to finish.
2. The top fractal must have a higher price compared to the bottom fractal.
3. The end fractal should represent the highest or lowest point within the entire stroke range. (There is an option in this indicator to enable or disable this rule.)
Brushstrokes enable traders to identify and visualize significant price movements or trends while effectively filtering out minor fluctuations.
🔵 Step 5: Segmentation
A "subdivision" is a higher-level line that connects the start and end points of at least three consecutive strokes, reflecting the trend of the current market structure. As new strokes emerge, it continues to extend until there is a break in the market structure. A breakout occurs when an uptrend forms lower highs and lower lows, or when a downtrend forms higher highs and higher lows. It is important to note that within the trading range, the brushstrokes typically exhibit higher highs and lower lows or higher lows and lower highs patterns (similar to the inner and outer bars). In this case, the brushstrokes will merge in a similar manner to the candlesticks described earlier until there is a clear breakout in the market structure. Contrary to brushstrokes, segments provide a relatively stable depiction of market trends on higher time frames.
It is important to note that the algorithm used to calculate line segments from strokes can again be applied recursively to the generated line segments, forming higher-level line segments that represent market trends over a larger time frame.
🔵 Step 6: Pivot
In ChanLun, the term "pivot" does not represent a price reversal point. Instead, it refers to a trading range where the security's price tends to fluctuate. Within a given "Segment," a pivot is determined by the overlap of two consecutive strokes moving in opposite directions along the segment. When two downward trend strokes, A and B, form a pivot P within an upward trend segment S, the upper and lower boundaries of the pivot are defined as follows:
1. Upper limit (P) = min(high(A), high(B))
2. Lower limit (P) = max(low(A), low(B))
The pivot range is usually where consolidation and high trading volume occur.
If future strokes moving in the opposite direction along the current segment overlap with the upper and lower boundaries of the pivot, those strokes will merge into the existing pivot, extending it along the x-axis. A new pivot is formed when two consecutive strokes moving in the opposite direction along the current segment intersect each other without overlapping the previous pivot.
Similarly, pivots can be recursively identified in higher-level segments. The blue boxes below indicate "Segment Pivots" identified in the context of higher-level segments.
🔵 Step 7: Buy/Sell Points
ChanLun defines three types of buy/sell points.
1. Type 1 Buy and Sell Points: Also called trend reversal points. These points mark where an old segment ends and a new segment begins.
2. Type 2 Buy and Sell Points: Also called trend continuation points. These points occur when the price is in a trend, indicating trend continuation. In an uptrend, Type 2 buy points are rebound points after the price retraces to previous lows or support levels, signaling a likely continuation of the upward movement. In a downtrend, Type 2 sell points are pullback points after the price bounces to previous highs or resistance levels, signaling a likely continuation of the downward movement.
3. Type 3 Buy and Sell Points: These points represent retests of a pivot range breakout. The presence of these retest points indicates that the price may continue to move up/down above/below the pivot level.
Astute readers may notice that these buy/sell points are lagging indicators. For example, multiple candlesticks will have occurred by the time a new segment is confirmed at a Type 1 buy/sell point in that segment. In fact, buy/sell points do lag behind actual market movements. However, ChanLun addresses this issue through multi-timeframe analysis. By examining buy/sell points confirmed in lower timeframes, additional confidence can be gained in determining the overall trend of higher timeframes.
🔵 Step 8: Divergence
Another core technique in ChanLun is using divergence to predict the occurrence of Type 1 buy/sell points. While MACD is the most commonly used indicator for detecting divergence, other indicators like RSI can also serve this purpose.
🟠 Summary
Essentially, ChanLun is a powerful technical analysis method that combines careful examination and interpretation of price charts, the application of technical indicators and quantitative tools, and keen attention to multiple timeframes. Its goal is to identify current market trends and uncover potential trading opportunities. What sets ChanLun apart is its holistic approach, which integrates both qualitative and quantitative analysis to facilitate informed and successful trading decisions.
“缠论”是一种起源于中国的备受推崇的技术分析方法。自 2006 年推出以来,ChanLun 凭借其驾驭复杂市场动态的非凡能力,迅速在中国交易社区中获得了极大的关注和强大的追随者。
ChanLun 非常重视市场结构、价格行为、动量以及市场力量之间错综复杂的相互作用。它认识到市场以周期性模式运作,旨在捕捉价格变动的底层结构和节奏。通过对价格和时间之间错综复杂的关系的细致分析,它为交易者提供了关于市场趋势、潜在逆转和关键转折点的独特视角。
该指标提供了 ChanLun 理论的细致而全面的实施。它有助于对所有基本组成部分进行深入分析和可视化表示,包括 “Candlestick Conversion”, “Candlestick Standardization”, “Fractal”, “Stroke”, “Segment”, “Pivot” 和 “Buying/Selling Point”。
🟠 算法
🔵 1 步:烛台转换
在 ChanLun 中,烛台分析较少关注开盘价/收盘价和灯芯,而是强调股价达到的价格范围。因此,ChanLun 的第一步涉及将每根烛条转换为仅包含最高价和最低价,而忽略其他元素。
🔵 第 2 步:烛台标准化
在第二步中,对转换后的烛台进行标准化,以确保严格的方向一致性,并消除内柱线或外柱线的存在。对于任何相邻的两根烛条 A 和 B,其中一根的价格范围完全包含另一根,A 和 B 被合并为新的烛条 C。如果 A 从前一根蜡烛开始呈上升趋势,则 C 将被定义为最高价 (C) = 最大值(最高价 (A), 最高价 (B)) 和最低价 (C) = 最大值(最低价 (A), 最低价 (B))。如果 A 从前一根蜡烛开始呈下降趋势,则 C 将被定义为最高价 (C) = min(最高价 (A), 最高价 (B)) 和最低价 (C) = min(最低价 (A), 最低价 (B))。
完成这些步骤后,在考虑任何相邻的烛条 A 和 B 时,我们始终可以观察到以下任一条件:
1. 最高价 (A) > 最高价 (B) 和最低价 (A) >最低价 (B)
2。最高价 (A) <最高价 (B) 和最低价 (A) <最低价 (B)
下图说明了此步骤后烛台的显示方式。
🔵 第 3 步:分形
“分形”是指由三个连续的“标准化”烛台形成的形态,其中中间的烛台与周围的烛台相比显示出明显的更高或更低的值。当考虑三个相邻的烛台 A、B 和 C 时,我们有以下两个条件之一:
1. 最高价 (B) > 最高价 (A) 和高点 (B) >最高价 (C) 和最低价 (B) >最低价 (A) 和最低价 (B) >最低价 (C)
2。高 (B) < 低 (A) 和高 (B) < 低 (C) 和低 (B) < 低 (A) 和低 (B) < 低 (C)对于
上面的 #1,我们将 A、B 和 C 的组合称为“顶部分形”,而对于 #2,我们将其指定为“底部分形”。
下图说明了所有分形,其中红色三角形表示顶部分形,绿色三角形表示底部分形。
🔵 第 4 步:笔画
“笔画” 是连接顶部分形和底部分形的一条线,遵循以下规则:
1. 在这些分形之间必须至少有一个 “自由” 烛台,这意味着它不是顶部或底部分形的一部分。这保证了笔画从头到尾至少包含五根烛条。
2. 与底部分形相比,顶部分形必须具有更高的价格。
3. 端点分形应表示整个笔画范围内的最高点或最低点。(此指示器中有一个选项用于启用或禁用此规则。
笔触使交易者能够识别和可视化重大的价格波动或趋势,同时有效地过滤掉微小的波动。
🔵 第 5 步:细分
“细分”是一条更高级别的线,连接至少连续三个笔画的起点和终点,反映了当前市场结构的趋势。随着新笔触的出现,它继续延伸,直到市场结构出现中断。当上升趋势形成较低的高点和较低的低点,或者当下降趋势形成更高的高点和更高的低点时,就会发生突破。值得注意的是,在交易区间内,笔触通常表现出更高的高点和更低的低点或更高的低点和更低的高点形态(类似于内柱和外柱)。在这种情况下,笔触将以与前面描述的烛台类似的方式合并,直到市场结构出现明显的突破。与笔触相反,分段在更高的时间范围内提供了对市场趋势的相对稳定的描述。
需要注意的是,用于从笔画计算线段的算法可以再次递归地应用于生成的线段,形成更高级别的线段,代表更大时间范围内的市场趋势。
🔵 第 6 步:枢轴
在 ChanLun 中,“枢轴”一词并不表示价格反转点。相反,它代表证券价格趋于波动的交易区间。在给定的 “Segment” 中,枢轴由沿线段相反方向移动的两个连续笔画的重叠决定。当两个下降趋势笔触 A 和 B 在上升趋势段 S 内形成枢轴 P 时,枢轴的上限和下限定义如下:
1. 上限 (P) = min(最高 (A), 最高 (
pein:
B)
2. 下限 (P) = 最大值(最低 (A), 最低 (B))
枢轴范围通常是发生盘整和交易量高的地方。
如果沿当前线段的相反方向移动的未来笔触与枢轴的上限和下限重叠,则该笔划将合并到现有枢轴中,并沿 x 轴延伸枢轴。当沿当前线段的相反方向移动的两个连续笔触彼此相交而不与前一个轴重叠时,将形成新的枢轴。
同样,也可以在更高级别的 segment 中递归识别 pivots。下面的蓝色框表示在更高级别区段的上下文中标识的“Segment Pivots”。
🔵 第 7 步:购买/出售积分
ChanLun 中定义了三种类型的购买/出售积分。
1. 类型 1 买入和卖出点:也称为趋势反转点。这些点是旧路段终止和生成新路段的位置。
2. 类型 2 买入和卖出点:也称为趋势延续点。这些点发生在价格处于趋势中时,标志着趋势的延续。在上升趋势中,类型 2 买点是价格回撤至先前低点或支撑位后的反弹点,表明价格可能会继续上涨。在下跌趋势中,类型 2 卖点是价格反弹至前高点或阻力位后的回调点,表明价格可能会继续下跌。
3. 类型 3 买入和卖出点:这些点表示对枢轴范围突破的重新测试。这些重新测试点的存在表明,价格有可能在枢轴水平上方/下方继续向上/向下移动。
挑剔的读者可能会注意到这些买入/卖出点是滞后指标。例如,当确认新区段时,自该区段的类型 1 买入/卖出点以来已经发生了多根烛台。
事实上,买入/卖出点确实落后于实际市场走势。然而,ChanLun 通过使用多时间框架分析解决了这个问题。通过检查较低时间框架中确认的买入/卖出点,可以在确定较高时间框架的整体趋势方面获得额外的信心。
🔵 第 8 步:背离
ChanLun 的另一个核心技术是应用背离来预测 1 型买入/卖出点的出现。虽然 MACD 是检测背离最常用的指标,但 RSI 等其他指标也可用于此目的。
🟠 总结
从本质上讲,ChanLun 是一种强大的技术分析方法,它结合了对价格图表的仔细检查和解释、技术指标和定量工具的应用以及对多个时间框架的敏锐关注。其目标是确定当前的市场趋势并发现潜在的交易前景。ChanLun 的与众不同之处在于其整体方法,该方法融合了定性和定量分析,以促进明智和成功的交易决策。
RSI os/ob overlay on candle - RichFintech.comRSI os/ob overlay on candle - RichFintech.com reduce the time your eyes must to look two pane, easier to analysis and tired eyes
SignalSquad Lite: SMC Structure Mapper © 2025Free Lite: Map SMC Structure (Pivots + BOS).
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EMA Divergence Channel (Only Above EMA 200)shows ema divergence above 200 ema. When the 7 ema diverges from 21 and 50 really fast, the channel shows up
Confluence Engine [BullByte]CONFLUENCE ENGINE
Multi-Factor Technical Analysis Framework
OVERVIEW
Confluence Engine is a multi-dimensional technical analysis framework that evaluates market conditions across five distinct analytical pillars simultaneously. Rather than relying on a single indicator or signal source, this tool synthesizes Structure, Momentum, Volume, Volatility, and Pattern analysis into a unified scoring system that identifies high-probability trading opportunities when multiple technical factors align.
The core philosophy behind this indicator stems from a fundamental observation: isolated signals frequently fail, but when multiple independent analytical methods agree, the probability of a successful trade increases substantially. This indicator was developed after extensive research into why traders often receive conflicting signals from different indicators on their charts, leading to analysis paralysis and poor decision-making.
THE PROBLEM AND SOLUTION
The Problem:
Most traders use multiple indicators independently, often receiving contradictory signals. One indicator says "buy" while another says "wait." This creates confusion and leads to missed opportunities, premature entries based on incomplete analysis, difficulty quantifying how strong a setup actually is, and inconsistent decision-making across different market conditions.
The Solution:
Confluence Engine addresses this by providing a single, unified score (0-100) that represents the aggregate strength of a trading setup. Instead of mentally weighing five different indicators, traders receive a clear numerical score indicating setup quality, visual tier classification (ULTRA, HIGH, STANDARD), specific identification of which factors are strong or weak, and actionable guidance on what to watch for next.
THE FIVE ANALYTICAL DIMENSIONS
Each dimension was selected because it measures a fundamentally different aspect of market behavior:
STRUCTURE ANALYSIS
Evaluates price position relative to key levels and recent swing points. Markets respect structure - previous highs, lows, and areas where price reversed. This dimension identifies when price interacts with these critical levels and measures the quality of that interaction.
What it detects: Price approaching or sweeping swing highs/lows, reclaim patterns after false breakouts, EMA alignment and trend structure, exhaustion after extended moves.
MOMENTUM ANALYSIS
Measures the underlying strength and direction of price movement. Strong moves are characterized by momentum preceding price. This dimension evaluates whether momentum supports the current price direction.
What it detects: Oversold/overbought conditions with reversal potential, momentum divergence states, directional movement strength (ADX-based), momentum shifts before price confirmation.
VOLUME ANALYSIS
Volume validates price movement. Significant moves require participation. This dimension measures current volume relative to recent averages to determine if market participants are genuinely committing to the move.
What it detects: Volume spikes confirming price action, below-average volume warning of weak moves, climactic volume at potential reversals, volume confirmation of rejection patterns.
VOLATILITY ANALYSIS
Markets alternate between compression (low volatility) and expansion (high volatility). This dimension identifies these phases and recognizes when compression is likely to resolve into directional movement.
What it detects: Volatility squeeze conditions (Bollinger inside Keltner), squeeze release direction, ATR expansion indicating breakout potential, compression duration for timing breakouts.
PATTERN ANALYSIS
Candlestick patterns reflect the battle between buyers and sellers within each bar. This dimension evaluates the quality and context of reversal and continuation patterns.
What it detects: Engulfing patterns with quality scoring, hammer and shooting star formations, rejection wicks indicating trapped traders, pattern confluence with other factors.
WHAT MAKES THIS INDICATOR ORIGINAL Not a mashup
This is NOT a mashup of indicators displayed together. The Confluence Engine represents an integrated analytical framework with the following unique characteristics:
Unified Scoring System: All five dimensions feed into a proprietary scoring algorithm that weights and combines their signals. The output is a single 0-100 score, not five separate readings.
Multi-Factor Gate: Beyond just scoring, the system requires a minimum number of factors to be "active" (meeting their individual thresholds) before allowing signals. This prevents signals based on one extremely strong factor masking four weak ones.
Regime-Aware Adjustments: The engine detects the current market regime (trending, ranging, volatile, weak) and automatically adjusts factor weights and score multipliers. A structure signal means something different in a trending market versus a ranging market.
Adaptive Risk Management: Take-profit and stop-loss levels are not static. They adapt based on current volatility, market regime, and signal quality - providing tighter targets in low-volatility environments and wider targets when volatility expands.
Liquidity Sweep Detection: A distinctive feature that identifies when price has swept beyond a swing high/low and then reclaimed back inside. This pattern often indicates stop hunts followed by reversals.
Signal Quality Tiers: Rather than just "signal" or "no signal," the engine classifies setups into tiers. ULTRA (80+) represents highest probability setups with all factors aligned. HIGH (70-79) represents strong setups with multiple factors confirming. STANDARD meets minimum threshold for acceptable setups.
HOW THE SCORING WORKS
Each of the five factors generates a raw score from 0-100 based on current market conditions. These raw scores are then weighted according to the selected trading style (Balanced, Scalper, Swing, Range, Trend), adjusted based on current market regime detection, modified by higher timeframe alignment (if enabled), bonused when multiple factors exceed their activation thresholds simultaneously, and multiplied by session factors (if session filter is enabled).
The result is a final Bull Score and Bear Score, each ranging from 0-100, representing the current strength of long and short setups respectively.
Signal Generation Requirements:
- Score meets minimum threshold (configurable: 60-95)
- Required number of factors are "active" (default: 3 of 5)
- Market regime is not blocked (if blocking enabled)
- Higher timeframe alignment passes (if required)
- Cooldown period from last signal has elapsed
UNDERSTANDING THE DASHBOARDS
Main Dashboard (Top Right)
The main dashboard displays real-time scores and market context:
LONG Score - Current bullish setup strength (0-100) with quality tier displayed
SHORT Score - Current bearish setup strength (0-100) with quality tier displayed
Regime - Current market state showing TREND UP, TREND DN, VOLATILE, RANGE, or WEAK
HTF - Higher timeframe alignment showing BULL, BEAR, NEUT, or OFF
Squeeze - Volatility state showing SQZ (in squeeze), REL+ (bullish release), REL- (bearish release), or NORM
Gate - Factor count versus requirement, for example 4/3 means 4 factors active with 3 required
Sweep L/S - Liquidity sweep status for long and short setups
ATR% - Current ATR as percentile of recent range indicating relative volatility
Vol - Current volume relative to 20-period average
R:R - Current risk-reward ratio based on adaptive TP/SL calculations
Trade - Active trade status and unrealized profit/loss percentage
Analysis Dashboard (Bottom Left)
The analysis dashboard provides actionable guidance:
Signal Readiness - Visual progress bars showing how close each direction is to generating a signal
Blocking Factors - Identifies which specific factor is weakest and preventing signals
Recommended Action - Context-aware guidance such as WATCH, WAIT, MANAGE, or SCAN
Watch For - Specific events to monitor for setup completion
Opportunity Level - Overall market opportunity rating from EXCELLENT to VERY POOR
Timing - Contextual timing guidance based on current conditions
Status Bar (Bottom Center)
Compact view displaying Long Score, Gate Status, Current State, Gate Status, and Short Score in a single row for quick reference.
Dashboard Size - Auto Mode Explained
When Dashboard Size is set to "Auto", the indicator intelligently adjusts text size based on your current chart timeframe to optimize readability:
Auto-Sizing Logic:
1-Minute to 5-Minute Charts → Tiny
- Lower timeframes show more bars on screen
- Tiny text prevents dashboard from obscuring price action
- Recommended for scalping and high-frequency monitoring
15-Minute Charts → Small
- Balanced size for intraday trading
- Readable without being intrusive
1-Hour to Daily Charts → Normal
- Standard size for most trading styles
- Optimal readability for swing trading
Weekly and Monthly Charts → Large
- Larger text for position trading
- Fewer bars visible so space is available
Manual Override:
You can override auto-sizing for any dashboard individually:
- Dashboard Size (All): Sets master size applied to all dashboards
- Main Dashboard Size: Override for top-right dashboard specifically
- Analysis Panel Size: Override for bottom-left panel specifically
- Status Bar Size: Override for bottom-center bar specifically
Example Use Case:
Trading on 5m chart (default = Tiny) but you have good eyesight and large monitor:
- Set "Dashboard Size (All)" to "Small" or "Normal" for better readability
- Individual dashboards will use your override instead of auto-sizing
Recommendation:
Start with Auto mode and only adjust if dashboards are too large or too small for your monitor/eyesight.
UNDERSTANDING SIGNAL LABELS
When a signal generates, a label appears with trade information:
Minimal Style Example:
LONG 85
Shows tier icon, direction, and score only.
Detailed Style Example:
ULTRA LONG
Score: 85
Entry: 50250.50
TP1: 50650.25
TP2: 51500.75
SL: 49850.25
R:R 1:2.5
Regime: TREND UP
HTF: BULL
Tier Icons Explained:
indicates ULTRA quality with score 80 or higher
indicates HIGH quality with score between 70 and 79
indicates STANDARD quality with score meeting minimum threshold
UNDERSTANDING TRADE ZONES
When a signal generates, visual elements appear on the chart:
Entry Line (Purple) marks the entry price level
TP1 Line (Blue Dashed) marks the first take-profit target
TP2 Line (Cyan Dashed) marks the final take-profit target
SL Line (Orange Dotted) marks the stop-loss level
Trade Zone Box shows shaded area from SL to TP2
These elements extend forward as price progresses. When TP1 is hit, its line becomes solid to indicate achievement. When the trade completes at either TP2 or SL, all elements are cleaned up and the entry label converts to a compact ghost label for historical reference.
Exit Labels Explained:
+X.XX% indicates first target reached with partial profit secured
+X.XX% indicates full target reached with maximum profit achieved
-X.XX% indicates stop-loss triggered
TP1 Hit, SL... indicates stopped out after TP1 was already hit (optional display)
OPPOSITE SIGNAL HANDLING
When market conditions shift dramatically, the engine may generate a signal in the opposite direction while an existing trade is active. This represents a significant change in confluence and is handled automatically:
Automatic Trade Reversal Process:
1. Detection: New signal triggers opposite to current trade direction (e.g., SHORT signal while LONG trade is active)
2. Current Trade Closure:
- All visual elements (entry line, TP/SL lines, trade zone) are deleted
- Current trade is marked as closed
3. Entry Label Conversion:
- The detailed entry label is converted to a compact ghost label
- Ghost label shows direction + score (e.g., "LONG 75")
- Marked with "OPP" outcome to indicate opposite signal closure
- Moved to a non-interfering position below/above price
4. New Trade Initialization:
- Fresh entry label created for new direction
- New TP1, TP2, SL levels calculated based on new signal quality
- Trade zone and price lines drawn for new trade
Example Scenario:
You enter a LONG trade at score 72. Price moves sideways for 8 bars, then market structure breaks down. Confluence shifts heavily bearish with a sweep reclaim bear + momentum + volume spike, generating a SHORT signal at score 81. The engine automatically:
- Closes the LONG trade
- Converts "LONG 72" entry label to a small ghost label
- Opens new SHORT trade at current price
- Displays new SHORT entry label with full trade details
Trading Implication:
This behavior ensures the engine is always aligned with the highest-probability direction based on current confluence. It prevents you from holding a position when all five factors have flipped against you.
Note: This does NOT happen for every small score change. The opposite signal must meet all signal generation requirements (minimum score, gate pass, regime check, HTF alignment) before triggering. Typically occurs during strong trend reversals or major support/resistance breaks.
EXAMPLE TRADE : LONG
Instrument and Exchange: Bitcoin / TetherUS (BTC/USDT) on Binance
Timeframe: 5-minute
Timestamp: Nov 27, 2025 12:39 UTC
Indicator Script: Confluence Engine v1.0
Trade Type: Long (Example Trade)
Setting Used: Default
Signal Details:
- Tier: HIGH
- Score: 70
- Entry Price: 90040.70
- TP1 Target: 90868.63
- TP2 Target: 92110.52
- Stop Loss: 89325.94
- Risk Reward: 1:2.9
Trade Outcome:
- TP1 hit after 12 bars (+0.95%)
- TP2 hit after 28 bars (+2.85%)
- Total gain: +2.85% on full position
EXAMPLE TRADE : SHORT with Dashboard Explanation and interpretation
Instrument and Exchange: Ethereum / U.S. Dollar (ETH/USD) — Coinbase
Timeframe: 1-hour
Timestamp (screenshot): Nov 28, 2025 16:41 UTC
Indicator Script: Confluence Engine v1.0
Trade Type: Short (Example Trade)
Setting Used: Default
Signal Details
-Tier: STANDARD (STD)
-Score: 64
-Entry Price: 3037.26
-TP1 Target: 2981.61 (-55.65 pts)
-TP2 Target: 2898.12 (-139.14 pts)
-Stop Loss: 3099.79 (+62.53 pts)
-Risk:Reward: ≈ 1 : 2.2 (TP2/SL)
-Market Context at Signal
-Regime: TREND UP (contextual regime at time of signal) — mixed environment for shorts
-HTF Alignment: OFF (no higher-timeframe confirmation)
-Gate Status: 3 / 3 (minimum factor groups active — gate passed)
-Squeeze Status: NORM (no active compression breakout)
-Volume: ~1.8× average (elevated participation)
-ATR%: 57% (elevated volatility)
Analysis Dashboard Reading (what the user sees)
-Long Readiness: Needs +36 points to qualify.
-Short Readiness: Needs +11 points to qualify (closer but not auto-entering).
-Blocking Factors: Structure = 0 — the single decisive blocker preventing fresh signals.
-Opportunity Level: VERY POOR (roughly 20 / 100) — low quality environment for adding positions.
-Timing: Wait for better setup (do not add new positions).
-Trade Outcome (screenshot moment)
-Trade state: Active SHORT (opened earlier).
-Live P&L (snapshot): +0.14% (managing trade).
-TP1/TP2: Targets shown on chart (TP1 2981.61, TP2 2898.12). Not closed yet at screenshot.
-Visuals: Entry label, TP/SL lines and trade zone are displayed and being extended while trade is active.
Interpretation
The engine produced a standard short (Score 64) while the market showed elevated volume and volatility but no HTF confirmation. Although the Gate passed (3/3), Structure = 0 blocks the indicator from issuing fresh entries — this is intentional and by design: one missing factor (structure) is enough to prevent new signals even when other factors look supportive. The currently open short is being managed (partial targets and SL visible), but the system's recommendation is to manage the existing trade only and not open new shorts until structure or HTF alignment improves.
Why this example matters (teaching point)
-Gate ≠ Go: Gate pass (factor count) alone does not force fresh trades — the system enforces additional checks (structure, regime, HTF) to avoid lower-quality setups.
-Volume & Volatility are necessary but not sufficient: High volume and wide ATR create movement but do not replace structural validation.
-Active trade vs new entries: The script will continue to manage an already open trade but will not create a new signal while a blocking factor remains. This prevents overtrading and reduces false positives.
-Practical trader actions shown by the example
-Manage existing SHORT only: Trail to breakeven if TP1 is taken; scale out at TP1; hold remaining if price respects trend and structure reclaims.
-Do not add fresh positions: Wait for Structure > 0 or a HTF alignment that lifts the block.
-Watch for signals that matter: Sweep reclaim, HTF alignment turning bullish for shorts (i.e., HTF changes to BEAR), or a squeeze release with volume spike — these can clear the blocker and validate new entries.
RECOMMENDED TIMEFRAMES
For Scalping on 1m, 5m, or 15m charts: Use higher factor thresholds and shorter cooldowns. The faster pace requires stricter filtering.
For Day Trading on 15m, 30m, or 1H charts: This provides a balance of signal frequency and reliability suitable for most active traders.
For Swing Trading on 1H, 4H, or Daily charts: Expect higher quality signals with longer hold periods and fewer false signals.
For Position Trading on Daily or Weekly charts: Focus on ULTRA signals only for maximum conviction on longer-term positions.
Higher Timeframe Alignment Recommendations:
When trading 5m, use 1H as your HTF
When trading 15m, use 1H or 4H as your HTF
When trading 1H, use 4H or Daily as your HTF
When trading 4H, use Daily as your HTF
The general rule is to select an HTF that is 4 to 12 times your trading timeframe.
TRADING STYLE PRESETS
Balanced (Default)
Equal weighting across all five factors at 20% each. Suitable for most market conditions and recommended as starting point.
Scalper
Emphasizes Volume at 30% and Volatility at 30%. Designed for quick in-and-out trades on lower timeframes where immediate momentum and volatility expansion matter most.
Swing Trader
Emphasizes Structure at 30% and Momentum at 30%. Focuses on catching larger moves where trend direction and key levels are paramount.
Range Trader
Emphasizes Structure at 35% and Pattern at 25%. Optimized for sideways markets where support/resistance levels and reversal patterns dominate.
Trend Follower
Emphasizes Momentum at 40%. Designed for trending markets where staying with the dominant direction is the priority.
QUALITY MODE SETTINGS
Custom Mode
Set your own minimum score threshold. Lower thresholds between 60 and 65 generate more signals but with lower average quality. Higher thresholds of 75 or above generate fewer but higher-quality signals.
High Quality Mode
Uses minimum score of 70. Recommended for most users as it filters out marginal setups while still providing reasonable signal frequency.
Ultra Only Mode
Uses minimum score of 80 for maximum selectivity. Only the highest-conviction setups generate signals. Recommended for swing and position traders or during uncertain market conditions.
REGIME DETECTION
The engine continuously evaluates market conditions and classifies them into five states:
TREND UP
Characteristics: Strong ADX reading with EMAs aligned in bullish order
Trading Implications: Long signals receive score boost while short signals are suppressed. Momentum factor gains additional weight.
TREND DN
Characteristics: Strong ADX reading with EMAs aligned in bearish order
Trading Implications: Short signals receive score boost while long signals are suppressed. Momentum factor gains additional weight.
VOLATILE
Characteristics: High ATR percentile, wide Bollinger Bands, elevated volume
Trading Implications: Both directions remain viable but wider stops are recommended. Volume factor gains additional weight.
RANGE
Characteristics: Low ADX reading, narrow Bollinger Bands, low ATR percentile
Trading Implications: Structure signals are emphasized while momentum signals are suppressed. Pattern recognition becomes more important.
WEAK
Characteristics: Unclear or mixed conditions that do not fit other categories
Trading Implications: Reduced confidence in all signals. Consider waiting for clearer market conditions.
Filter Mode Options:
Off - Regime is detected and displayed but no score adjustments are applied
Adjust Scores - Automatically modifies factor weights based on current regime
Block Weak Regimes - Prevents signals from generating when regime is RANGE or WEAK
VOLATILITY SQUEEZE DETECTION
A volatility squeeze occurs when Bollinger Bands contract inside the Keltner Channel, indicating reduced volatility and potential energy building for a breakout.
Squeeze States Explained:
SQZ with bar count (example: SQZ 15)
Indicates currently in squeeze for the displayed number of bars. A score penalty is applied during this phase because compression represents uncertainty about direction.
REL+ (Release Bullish)
Indicates squeeze has released with price above the basis line. Score bonus is applied for long setups as this often precedes strong upward moves.
REL- (Release Bearish)
Indicates squeeze has released with price below the basis line. Score bonus is applied for short setups as this often precedes strong downward moves.
NORM (Normal)
No active squeeze detected. Standard scoring applies.
Trading Implication:
Squeeze releases often produce strong directional moves. The engine detects both the squeeze duration and the release direction, awarding bonus points to signals that align with the release. Longer squeeze duration often corresponds to more powerful breakouts.
LIQUIDITY SWEEP DETECTION
Markets often sweep beyond obvious support and resistance levels to trigger stops before reversing. The engine detects these patterns:
Bullish Sweep Reclaim
Price sweeps below recent swing low, triggering stop losses, then reclaims back above the swing low. This often indicates smart money accumulation after retail stops are collected.
Bearish Sweep Reclaim
Price sweeps above recent swing high, triggering stop losses, then reclaims back below the swing high. This often indicates smart money distribution after retail stops are collected.
Sweep Status in Dashboard:
RCL (Reclaim) - Reclaim has been confirmed. This receives highest structure score as the pattern is complete.
PND (Pending) - Sweep has occurred and price is near the level but full reclaim not yet confirmed. Watching for completion.
ACT (Active) - Sweep is currently in progress with price beyond the swing level.
Dash (-) - No sweep activity detected.
MULTI-FACTOR GATE SYSTEM
Beyond overall score, the engine counts how many individual factors meet their activation threshold.
Example Calculation:
Structure score 45 with threshold 35 equals ACTIVE
Momentum score 25 with threshold 30 equals INACTIVE
Volume score 50 with threshold 35 equals ACTIVE
Volatility score 40 with threshold 30 equals ACTIVE
Pattern score 35 with threshold 30 equals ACTIVE
Result: 4 of 5 factors are active
If minimum required factors is set to 3, this example passes the gate and receives a 4-factor bonus.
Gate Bonuses:
4 factors active adds 8 points to final score (default setting)
5 factors active adds 15 points to final score (perfect confluence)
Purpose:
This mechanism prevents scenarios where one extremely high factor score masks four weak factors. A score of 75 with only 2 active factors is less reliable than a score of 70 with 4 active factors.
ADAPTIVE RISK MANAGEMENT
Take-profit and stop-loss distances adjust dynamically based on three inputs:
Volatility Influence (default 40% weight)
Low ATR percentile produces tighter targets
High ATR percentile produces wider targets
This ensures stops are not too tight in volatile conditions or too wide in calm conditions.
Regime Influence (default 30% weight)
Trending market with aligned signal produces extended targets
Ranging market produces contracted targets
Volatile regime produces wider stops for protection
Score Influence (default 30% weight)
ULTRA signals (high conviction) receive extended targets
STANDARD signals receive standard targets
Higher conviction justifies larger profit expectations.
You can configure the weight of each influence in settings to match your trading style.
SESSION FILTER (Optional Feature)
When enabled, the engine applies score multipliers based on the trading session:
Asian Session (default 0.9x multiplier)
Characterized by lower volatility and ranging tendency. Score reduction reflects reduced opportunity.
London Session (default 1.1x multiplier)
Characterized by high volatility and trend initiation. Score boost reflects increased opportunity.
London/NY Overlap (default 1.2x multiplier)
Characterized by highest liquidity and strongest moves. Maximum score boost reflects peak trading conditions.
New York Session (default 1.05x multiplier)
Characterized by volatility but typically after initial moves have occurred.
Configure your UTC offset in settings to align session detection with your chart timezone.
ALERT SYSTEM
The indicator provides comprehensive alerts with dynamic data:
Signal Alerts:
- ULTRA Long Signal with full trade details
- ULTRA Short Signal with full trade details
- HIGH Long Signal with key levels
- HIGH Short Signal with key levels
- Any Long Signal with basic info
- Any Short Signal with basic info
Trade Management Alerts:
- TP1 Reached with profit percentage
- TP2 Full Target with total profit
- Stop Loss Hit with loss percentage and status
Technical Event Alerts:
- Squeeze Release
- Liquidity Sweep
- Perfect Confluence
- Regime Change
All alerts include actual calculated values such as score, entry price, target levels, stop level, and risk-reward ratio at the time of trigger.
AUTOMATIC SETTINGS VALIDATION
The indicator performs comprehensive validation when first loaded on a chart. If configuration errors are detected, a warning label appears on the chart with specific guidance.
Critical Errors (Prevent Signal Generation):
ULTRA threshold must exceed HIGH threshold
- Example error: HIGH = 75, ULTRA = 70
- Fix: Ensure ULTRA threshold is higher than HIGH threshold
- Default safe values: HIGH = 70, ULTRA = 80
Minimum factors cannot exceed 5
- The gate requires 3 to 5 factors (you cannot require 6 of 5 factors)
- Fix: Set minimum active factors to 3, 4, or 5
TP2 multiplier must exceed TP1 multiplier
- Example error: TP1 = 3.0 ATR, TP2 = 2.0 ATR
- Fix: Ensure TP2 (final target) is farther than TP1 (partial target)
- Default safe values: TP1 = 2.0, TP2 = 5.0
Swing lookback minimum is 3 bars
- Liquidity sweep detection requires at least 3 bars to identify swing highs/lows
- Fix: Increase swing lookback period to 3 or higher
ATR period minimum is 5 bars
- ATR calculation requires sufficient data for accuracy
- Fix: Increase ATR period to 5 or higher (14 recommended)
Higher timeframe must be larger than chart timeframe
- Example error: Trading on 1H chart with MTF set to 15m
- Fix: Select HTF that is 4-12x your chart timeframe
- Example: If trading 15m, use 1H or 4H as HTF
Warnings (Signal Generation Continues):
Score threshold below 50 generates many signals
- Lower thresholds increase signal frequency but reduce quality
- Recommendation: Use minimum 60 for active trading, 70+ for swing trading
Cooldown below 3 bars may cause signal clustering
- Very short cooldowns can produce multiple signals in quick succession
- Recommendation: Use 5+ bars for lower timeframes, 3+ for higher timeframes
Validation Label Display:
When errors are detected, a label appears at the top of the chart showing:
SETTINGS QUICK REFERENCE
Signal Quality Section:
Quality Mode: High Quality recommended for most users
Custom Minimum Score: Used when Quality Mode is set to Custom (range 30-95)
HIGH Threshold: Score required for HIGH tier classification (default 70)
ULTRA Threshold: Score required for ULTRA tier classification (default 80)
Regime Engine Section:
Enable Regime Detection: Activates automatic market state classification
Filter Mode: Off, Adjust Scores, or Block Weak Regimes
ADX Strong Threshold: ADX level indicating strong trend (default 25)
ADX Weak Threshold: ADX level indicating ranging conditions (default 15)
Show Regime Background: Displays subtle background color for current regime
Liquidity and Squeeze Section:
Enable Liquidity Sweep Detection: Activates sweep and reclaim pattern detection
Swing Lookback Period: Bars used to identify swing highs and lows (default 8)
Reclaim Threshold: Percentage of range price must reclaim after sweep (default 15%)
Enable Volatility Squeeze Detection: Activates Bollinger/Keltner squeeze detection
Keltner Channel Multiplier: Width multiplier for Keltner Channel (default 1.5)
Squeeze Penalty: Points subtracted during active squeeze (default 25)
Squeeze Release Bonus: Points added on squeeze release (default 20)
Enable Multi-Factor Gate: Requires minimum factors active before signaling
Minimum Active Factors: How many factors must meet threshold (default 3)
Individual Factor Thresholds: Customize activation threshold for each factor
4-Factor Bonus: Points added when 4 of 5 factors active (default 8)
5-Factor Bonus: Points added when all 5 factors active (default 15)
MTF Confluence Section:
Enable MTF Confluence: Activates higher timeframe trend analysis
Higher Timeframe: Select timeframe for trend alignment (recommend 4-12x chart TF)
Require HTF Alignment: Block signals opposing higher timeframe trend
Show HTF EMAs: Display higher timeframe EMA 21 and EMA 50 on chart
Trading Style Section:
Enable Style Weighting: Activates factor weight adjustments based on style
Trading Style: Balanced, Scalper, Swing Trader, Range Trader, or Trend Follower
Custom Weights: Individual weight sliders when fine-tuning is needed
Session Filter Section:
Enable Session Filter: Activates session-based score multipliers
Your UTC Offset: Your timezone offset for accurate session detection
Session Multipliers: Individual multipliers for Asian, London, New York, and Overlap sessions
Risk Parameters Section:
ATR Period: Period for Average True Range calculation (default 14)
TP1 ATR Multiple: First target distance as ATR multiple (default 2.0)
TP2 ATR Multiple: Final target distance as ATR multiple (default 5.0)
SL ATR Multiple: Stop loss distance as ATR multiple (default 2.0)
Enable Adaptive TP/SL: Activates dynamic adjustment based on conditions
Volatility Weight: Influence of ATR percentile on adaptive calculation (default 40%)
Regime Weight: Influence of market regime on adaptive calculation (default 30%)
Score Weight: Influence of signal score on adaptive calculation (default 30%)
Appearance Section:
Color Theme: Matrix (green/red), Dark (modern dark), or Light (clean light)
Label Detail: Minimal (score only), Standard (key info), or Detailed (full breakdown)
Dashboard Size Controls: Master size and individual overrides for each dashboard
Show Trade Zones: Display shaded box from SL to TP2 for active trades
Show TP/SL Labels: Display price labels on target and stop lines
Show Trailing Exit Labels: Display exit label when stopped after TP1 hit
Show Main Dashboard: Toggle main dashboard visibility (top right)
Show Analysis Dashboard: Toggle analysis panel visibility (bottom left)
Show Status Bar: Toggle compact status bar visibility (bottom center)
Performance Section:
Performance Mode: Reduces visual elements on lower timeframes automatically
Max Ghost Labels: Maximum historical signal labels to retain (default 50)
Signal Cooldown: Minimum bars between signals in same direction (default 5)
Enable Script Alerts: Controls whether alert() calls fire automatically (default ON)
- ON: Dynamic alerts with calculated values fire automatically
- OFF: alert() suppressed, alertcondition() still available for manual creation
- Use OFF when testing settings or monitoring multiple instruments visually
- Toggle per-chart for selective alert coverage across watchlist
Show Factor Markers: Display shapes on chart when 3, 4, or 5 factors align
Show Score Breakdown: Display detailed factor scores table in debug panel
Show Regime Debug: Display regime state and ADX value in debug panel
Show MTF Debug: Display higher timeframe status in debug panel
DEBUG MODE AND FACTOR MARKERS
The indicator includes optional debug tools for traders who want deeper insight into the scoring mechanics and factor analysis. These features are disabled by default to keep the chart clean but can be enabled in the Debug Mode settings group.
FACTOR MARKERS
When "Show Factor Markers" is enabled, visual shapes appear on the chart indicating confluence states:
Perfect Confluence (5/5 Factors Active)
A circle appears below the bar for bullish or above the bar for bearish setups. This represents maximum confluence where all five analytical dimensions meet their activation thresholds simultaneously. A small label showing "5/5" also appears. This is a rare occurrence and typically precedes the highest quality signals. Background color shifts to highlight this exceptional alignment.
Strong Confluence (4/5 Factors Active)
A diamond shape appears below the bar for bullish or above the bar for bearish setups. This represents strong confluence with four of five factors active. A label showing "4/5" appears when this state is first achieved. This level of confluence is associated with high-quality setups.
Ready Confluence (3/5 Factors Active)
A triangle appears below the bar (pointing up) for bullish or above the bar (pointing down) for bearish setups. This represents the minimum confluence level required when gate is set to 3 factors. No label appears for this level to reduce visual clutter.
Confluence Background
When factor markers are enabled, a subtle background color appears indicating the current confluence state. Stronger colors indicate higher confluence levels. Bullish confluence shows green tints while bearish confluence shows red tints.
Purpose of Factor Markers:
These markers help traders visualize when confluence is building before a signal triggers. You might see a 4/5 diamond appear one or two bars before the actual signal, giving you advance notice that conditions are aligning. This can help with preparation and timing.
DEBUG PANEL (Bottom Right)
When any debug option is enabled, a debug panel appears in the bottom right corner of the chart providing detailed scoring information.
Score Breakdown Table
When "Show Score Breakdown" is enabled, the panel displays:
Factor column showing Structure, Momentum, Volume, Volatility, and Pattern
Bull column showing raw score (0-100) for each bullish factor
Bear column showing raw score (0-100) for each bearish factor
Weight column showing current percentage weight for each factor
Below the factor rows :
FINAL row shows the calculated final Bull and Bear scores after all adjustments
Adj row shows total adjustments applied including gate bonus, squeeze adjustment, and exhaustion adjustment with positive or negative sign
This breakdown allows you to see exactly which factors are contributing to the score and which are lagging. If you notice Structure consistently low, you know to wait for better price positioning relative to swing levels.
Regime Debug
When "Show Regime Debug" is enabled, the panel displays:
Current regime state (TREND UP, TREND DN, VOLATILE, RANGE, WEAK)
Current ADX value driving the regime classification
This helps you understand why certain score adjustments are being applied and verify the regime detection is working as expected for current market conditions.
MTF Debug
When "Show MTF Debug" is enabled, the panel displays:
Current MTF alignment status (BULL, BEAR, NEUT)
The higher timeframe being analyzed
This confirms the higher timeframe data is being read correctly and shows you the trend bias from the larger timeframe perspective.
Using Debug Mode Effectively
For Learning: Enable all debug options when first using the indicator to understand how scores are calculated and what drives signal generation.
For Optimization: Use score breakdown to identify which factors are consistently weak in your chosen market and timeframe. This can inform whether to adjust factor thresholds or switch trading styles.
For Troubleshooting: If signals seem inconsistent, enable debug to see exactly what values the engine is working with. This helps identify if a specific factor is behaving unexpectedly.
For Live Trading: Disable debug features to keep chart clean and reduce visual distraction. The main dashboards provide sufficient information for trade execution.
Debug Settings Summary:
Show Factor Markers - Displays shapes on chart when 3, 4, or 5 factors align. Useful for seeing confluence build before signals trigger.
Show Score Breakdown - Displays detailed table with all raw factor scores, weights, and adjustments. Useful for understanding exactly how final score is calculated.
Show Regime Debug - Adds regime state and ADX value to debug panel. Useful for verifying regime detection accuracy.
Show MTF Debug - Adds higher timeframe status and timeframe to debug panel. Useful for confirming MTF data is loading correctly.
PERFORMANCE CONSIDERATIONS
On lower timeframes such as 1-minute and 5-minute charts, the indicator creates visual elements including labels, lines, and boxes that may impact performance on slower devices.
Performance Mode automatically reduces visual elements, optimizes calculation frequency, and limits historical ghost labels when enabled.
Configure Max Ghost Labels (default 50) to control how many historical signal labels are retained on the chart.
NON-REPAINTING DESIGN
Signal Integrity:
All entry and exit signals generate only on confirmed (closed) bars using barstate.isconfirmed checks. This ensures signals do not appear and disappear during bar formation.
Higher Timeframe Data:
MTF analysis uses request.security with lookahead disabled (barmerge.lookahead_off) to prevent future data from influencing current calculations.
Visual Elements:
Lines, boxes, and labels for active trades update in real-time for monitoring purposes but this visual updating does not affect signal generation logic. Entry decisions are made solely on confirmed bar data.
DISCLAIMER
Trading financial instruments involves substantial risk of loss and is not suitable for all investors. Past performance does not guarantee future results. This indicator is a technical analysis tool provided for educational purposes only. It does not constitute financial advice, trading recommendations, or solicitation to buy or sell any financial instrument.
The developer makes no representations regarding the accuracy of signals or the profitability of trading based on this indicator. Users assume full responsibility for their trading decisions and should conduct their own analysis before entering any trade.
Always use proper risk management. Never risk more than you can afford to lose. Consider consulting a qualified financial advisor before making trading decisions.
VERSION HISTORY
v1.0 - Initial Release
- Five-factor confluence scoring system
- Regime detection and automatic adaptation
- Liquidity sweep and reclaim detection
- Volatility squeeze state machine
- Multi-factor gate with bonus system
- Adaptive risk management
- Comprehensive alert system
- Three dashboard display panels
- Session filter with multipliers
- Multiple trading style presets
- Theme customization options
Developed by BullByte
Pine Script v6
2025
Kira EMA 9-21 + VWAP Buy/Sell🔥 KIRA MOMENTUM SETUP – BUY & SELL SYSTEM
Simple • Powerful • Trend-Based
✅ BUY CONDITION 🟢
EMA 9 crosses ABOVE EMA 21
AND
Price closes ABOVE VWAP
🔴 SELL CONDITION
EMA 9 crosses BELOW EMA 21
AND
Price closes BELOW VWAP
🚫 NO TRADE ZONE
❌ EMAs tangled
❌ Price chopping around VWAP
🎯 BEST TIMEFRAMES
✅ 5-Minute
✅ 15-Minute
(Indices & highly liquid stocks)
⚠️ RISK RULE
• Buy SL ➝ Below recent swing low
• Sell SL ➝ Above recent swing high
• Risk per trade ≤ 1%
Imbalance and OB finder by CryptdozMark all imbalances and key Order Blocks - automatically eliminates OB that have been mitigated and keep only those which are still unmitigated on various Time Frames. Makes its easy to see key area where the price may swing !
EMA Slope in Degrees (9 & 15) — correctedthis gives angle os slope of 9 and 15 ema uses mayank raj strategy
Yash RSI Bars - timeframe alartOnly bar coloring - No extra plots or lines
✅ Custom timeframe - Colors bars based on RSI from your selected timeframe
✅ White bars - When RSI is above overbought level (default 70)
✅ Yellow bars - When RSI is below oversold level (default 30)
✅ No color - When RSI is in neutral zone
✅ Overbought → Normal - Alert fires when white bars stop and RSI falls back below 70
✅ Oversold → Normal - Alert fires when yellow bars stop and RSI rises back above 30
✅ No alert on entry - Only alerts when bars return to normal/no color
Add the indicator to your chart
Click the bell icon ⏰ on the indicator
Select which alerts you want:
"RSI: Overbought to Normal"
"RSI: Oversold to Normal"
Choose: Notify, Email, SMS, or Webhook
Yash RSI Bars - Multi Timeframersi time frame testing
Only bar coloring - No extra plots or lines
✅ Custom timeframe - Colors bars based on RSI from your selected timeframe
✅ White bars - When RSI is above overbought level (default 70)
✅ Yellow bars - When RSI is below oversold level (default 30)
✅ No color - When RSI is in neutral zone
Clean and simple! 🎯
CoreEdgeTrader™ Quarterly EPSVisualized Quarterly EPS, including:
EPS: Reported EPS
Std EPS: Standardized EPS
Actual: real number
QoQ change
YoY change
By @CoreEdgeTrader
Reversal 2 Bar + W%R🇺🇸 English Description
Reversal 2 Bar + W%R is a clean and powerful price-action indicator designed to detect momentum-based reversal signals by combining multi-bar structure with Williams %R exhaustion zones.
🔍 Core Logic
A reversal signal is triggered when:
Bullish Reversal
The current candle closes above the highest price of the previous 2 candles,
AND Williams %R entered Oversold (≤ OS level) within the last N bars (user-defined window).
Bearish Reversal
The current candle closes below the lowest price of the previous 2 candles,
AND Williams %R entered Overbought (≥ OB level) within the last N bars.
This approach captures real momentum shifts rather than simple wick touches and gives “credit” to signals shortly after the market hits OB/OS zones — ideal for traders who want price-action confirmation after exhaustion.
🎯 Why It Works
Confirms trend exhaustion using W%R OB/OS
Confirms breakout strength using 2-Bar structure
Avoids weak signals by requiring close-based confirmation
The user-defined window (5–10 bars) allows flexibility for different volatility environments
📈 What You Get
Clear bullish/bearish reversal markers (REV↑ / REV↓)
Auto-colored candles for quick trend bias
Optional W%R filtering
Alerts for automated trading or notifications
This indicator is ideal for scalpers, day traders, and swing traders who rely on clean PA signals + strong exhaustion confirmation.
============================================================================
🇹🇭 คำอธิบายภาษาไทย
Reversal 2 Bar + W%R คืออินดิเคเตอร์ Price Action แบบเรียบง่ายแต่ทรงพลัง ที่ออกแบบมาเพื่อหา “สัญญาณกลับตัวที่มีโมเมนตัมจริง” โดยใช้โครงสร้างแท่งเทียน 2 แท่งร่วมกับโซน Overbought/Oversold ของ Williams %R
🔍 หลักการทำงาน
อินดิเคเตอร์จะให้สัญญาณกลับตัวเมื่อ:
ขาขึ้น (Bullish Reversal)
แท่งปัจจุบัน ปิดสูงกว่า high ของ 2 แท่งก่อนหน้า
และ Williams %R เคยเข้าโซน Oversold ภายในช่วง N แท่งล่าสุด (ตั้งค่าได้)
ขาลง (Bearish Reversal)
แท่งปัจจุบัน ปิดต่ำกว่า low ของ 2 แท่งก่อนหน้า
และ Williams %R เคยเข้าโซน Overbought ภายในช่วง N แท่งล่าสุด
วิธีนี้ทำให้สัญญาณกลับตัว “มีความหมาย” กว่าแค่โดนไส้แทง เพราะใช้การปิดทะลุระดับราคา พร้อมยืนยันว่าโมเมนตัมฝั่งตรงข้ามเริ่มหมดแรงจากการเข้าโซน OB/OS แล้ว
🎯 จุดเด่น
ใช้ W%R ช่วยยืนยันว่าเกิด “ภาวะหมดแรง” จริง
ใช้โครงสร้าง 2 Bar เพื่อยืนยัน “การเบรกโครงสร้าง”
เน้นสัญญาณคุณภาพสูงด้วยเงื่อนไข close-based
มีหน้าต่างให้เครดิต 5–10 แท่งหลังเข้าโซน เพื่อไม่ให้สัญญาณกลับตัวหลุดโอกาส
📈 สิ่งที่อินดี้แสดงให้คุณ
จุดกลับตัว REV↑ / REV↓ ชัดเจน
ระบายสีแท่งเพื่อบอก bias
แจ้งเตือน (Alert) ตั้งค่าได้
เลือกเปิด/ปิดการใช้ W%R filter ได้
เหมาะกับเทรดเดอร์ทุกรูปแบบที่ต้องการสัญญาณกลับตัวที่แม่นยำ เข้าใจง่าย และไม่รกจอ
BT Aggressionv0.3.1 Beta Release
The BT Aggression Indicator is a high-resolution market sentiment and aggression tool for futures trading. It combines volume delta, volatility normalization, and dynamic smoothing to give traders real-time insight into market pressure.
Detailed description in future release.
Thuận-Pro Full $$$📘 INDICATOR MANUAL: THUẬN-PRO FINAL
The Ultimate Price Action & Momentum System
1. OVERVIEW
Thuận-Pro Final is an all-in-one trading system designed for precision and safety. It combines Market Structure, Supply/Demand Zones, and Momentum Confluence to identify high-probability trade setups.
2. VISUAL FEATURES
Green Boxes (Support Zones): Strong buying areas.
Red Boxes (Resistance Zones): Strong selling areas.
"BUY" / "SELL" Labels: Instant signals generated when price tests a zone and confirms a rejection.
Purple Lines (Fibonacci Targets): Auto-generated profit targets (1.272, 1.618, 2.618) when price breaks the All-Time High (Blue Sky mode).
Bottom Pane:
RSI + MACD: Color-coded trend strength.
Volume + Yellow Line: Real-time volume analysis vs. EMA 21.
3. HOW TO TRADE (STRATEGY)
🟢 BUY SIGNAL (Long Setup)
Zone: Price drops into a Green Box (Support).
Reaction: Price touches the zone but CLOSES inside or above the box bottom (Valid Rejection/Spring).
Confirmation: A green "BUY" label appears below the candle.
Momentum (Optional): RSI is Oversold (≤ 35) and Volume bar is above the Yellow Line.
🔴 SELL SIGNAL (Short Setup)
Zone: Price rallies into a Red Box (Resistance).
Reaction: Price touches the zone but CLOSES inside or below the box top (Valid Rejection/Upthrust).
Confirmation: A red "SELL" label appears above the candle.
Momentum (Optional): RSI is Overbought (≥ 65) and Volume bar is above the Yellow Line.
4. SMART ALERTS
Set up alerts in TradingView to never miss a move:
Touch Support: Triggered when price tests a Green Zone.
Touch Resistance: Triggered when price tests a Red Zone.
Break High: Trend Reversal (Bearish ➔ Bullish).
Break Low: Trend Reversal (Bullish ➔ Bearish).
5. PRO TIPS
Safe Entry: The indicator filters out "Knife Catching." If a candle closes outside the box (breaking the zone), the signal will NOT appear.
Profit Taking: Use the Purple Fibonacci Lines (1.618) as your primary target when the market breaks new highs.
Stop Loss: Place SL slightly below the Green Box (for Buy) or above the Red Box (for Sell).
Developed by: Nguyen Duc Thuan
ETH Upgrades: Exact Price + DateThis indicator places markers on the chart that show you the exact date and price where each Ethereum upgrade occurred.






















