Levels from NY Open and SettlementThis indicator draws a line from the high and low of the 30 second candle at 14:59:30CT, and extends the lines for 24 hours.
It draws another high low from the 8:30CT 30 second opening candle and extends them for the full 24 to the next NY open, plus another 6.5 hours until the next settlement time at 14:59:30CT.
This gives a very long liquidity box starting from the 30 second candle of the NY open, and a shorter liquidity box starting from the 30 second candle of settlement time.
אינדיקטורים ואסטרטגיות
Trinity Market Regime Detector ProDecided to release this one to the community to enjoy. Changes from the original script.
Trinity Market Regime Detector – Evolution Summary
#### Critical Bug Fixes
- Fixed false long signals when –DI was dominant (DMI direction is now fully respected)
- Fixed real breakouts and squeeze breakouts firing against the higher-timeframe trend
- Fixed table text not scaling when choosing “Tiny” size (now truly tiny → large)
- Fixed alert messages that contained series strings (now 100% const-string compliant)
#### Major Logic & Accuracy Improvements
- Added proper **Higher-Timeframe MA filter** (default 200 EMA on Daily) – fully configurable (SMA/EMA/WMA + any timeframe)
- All breakout signals now require alignment with the HTF trend (when enabled) → dramatically reduces whipsaws
- Added **CCI (20)** with bold green/red highlighting at ±100
- Improved volume logic (high/low volume now more adaptive)
- Improved ATR low-volatility detection
- Squeeze breakouts now only fire with correct DMI + HTF direction
- Fakeouts clearly marked with orange X
- Bias hierarchy completely rewritten and made crystal-clear
#### Visual & Usability Upgrades
- Perfect dynamic table scaling (no more gaps when hiding ALMA/RSI/CCI)
- Option for **zero table** – super-clean label-only mode (v2.9)
- Background tinting for Dead Market (red), Squeeze (yellow), Strong Trend (green)
- ALMA 34 and HTF MA plotted on chart with color-coding
- Clear on-chart arrows: green/red triangles for real breakouts, aqua diamonds for squeeze breakouts
- All labels use proper large/colored text for instant readability
#### Alert System Overhaul
- 100% working alerts (no more compilation errors)
- Separate alerts for:
- Real volume-confirmed breakouts
- High-probability squeeze breakouts
- Regime changes
- Fakeouts
- Clean, professional alert messages
In short:
The original was already excellent.
We turned it into a **bulletproof, professional-grade, zero-noise market regime tool** that serious traders can actually rely on every single day.
TWAP (Double, 14:59:30CT & 08:30CT)These two TWAPs are set at CME settlement time and NY Open. I don't use the deviations but it does have 5 SD.
TRK19121. Add the Script to TradingView
• Copy the Pine Script code I gave you.
• In TradingView, open the Pine Editor (bottom of the screen).
• Paste the code and click Add to Chart.
2. What You’ll See
• On your chart, Fibonacci retracement levels will be drawn automatically between the highest and lowest points in the last lookback bars (default = 100).
• Bollinger Bands (20-period SMA with ±2 standard deviations) will also appear.
• On the top-right corner, a table will show all Fibonacci levels (0%, 23.6%, 38.2%, 50%, 61.8%, 78.6%, 100%) with their exact price values.
• All text in the table is black for clarity.
3. How It Updates
• Every new candle, the script recalculates the highest and lowest points in the lookback window.
• The Fibonacci levels and the table update automatically.
• You don’t need to manually redraw fibo lines — the script does it for you.
4. How to Interpret
• Fibonacci levels act as potential support/resistance zones.
• Bollinger Bands show volatility and overbought/oversold conditions.
• If price is near a Fibonacci level and touches the Bollinger upper/lower band, that’s a strong signal area.
• Example:
• Price near 61.8% fibo + lower band → possible bounce (long).
• Price near 38.2% fibo + upper band → possible rejection (short).
5. Customization
• You can change the value (default 100 bars) to adjust how far back the script finds the high/low.
• You can change Bollinger settings (, ) to fit your trading style.
• The table always shows the current fibo levels clearly, so you don’t need to measure them manually.
Fibo + Bollinger + Fibo Tablosu1. Add the Script to TradingView
• Copy the Pine Script code I gave you.
• In TradingView, open the Pine Editor (bottom of the screen).
• Paste the code and click Add to Chart.
2. What You’ll See
• On your chart, Fibonacci retracement levels will be drawn automatically between the highest and lowest points in the last lookback bars (default = 100).
• Bollinger Bands (20-period SMA with ±2 standard deviations) will also appear.
• On the top-right corner, a table will show all Fibonacci levels (0%, 23.6%, 38.2%, 50%, 61.8%, 78.6%, 100%) with their exact price values.
• All text in the table is black for clarity.
3. How It Updates
• Every new candle, the script recalculates the highest and lowest points in the lookback window.
• The Fibonacci levels and the table update automatically.
• You don’t need to manually redraw fibo lines — the script does it for you.
4. How to Interpret
• Fibonacci levels act as potential support/resistance zones.
• Bollinger Bands show volatility and overbought/oversold conditions.
• If price is near a Fibonacci level and touches the Bollinger upper/lower band, that’s a strong signal area.
• Example:
• Price near 61.8% fibo + lower band → possible bounce (long).
• Price near 38.2% fibo + upper band → possible rejection (short).
5. Customization
• You can change the value (default 100 bars) to adjust how far back the script finds the high/low.
• You can change Bollinger settings (, ) to fit your trading style.
• The table always shows the current fibo levels clearly, so you don’t need to measure them manually.
Fib Green zone / Red zone + Elliott Wave 3═══════════════════════════════════════════
🎯 FIB GREEN ZONE / RED ZONE + ELLIOTT WAVE 3
═══════════════════════════════════════════
OVERVIEW
--------
A comprehensive technical analysis tool combining Fibonacci retracement levels
with Elliott Wave theory to identify high-probability trading opportunities.
KEY FEATURES
------------
✅ Dynamic Fibonacci Levels (0%, 23.6%, 38.2%, 50%, 61.8%, 78.6%, 100%)
✅ Color-Coded Trading Zones:
• Green Zone (0-23.6%): Strong support area
• Golden Zone (50-61.8%): High-probability reversal zone
• Red Zone (78.6-100%): Potential resistance area
✅ Elliott Wave 3 Detection:
• Automatic Wave 1 & 2 identification
• Wave 3 entry signals
• Golden Pocket setups (highest probability)
• Customizable retracement parameters
✅ Fully Customizable:
• Toggle individual levels on/off
• Customize all colors and line styles
• Adjust Elliott Wave sensitivity
• Show/hide labels and zones
IDEAL FOR
---------
- Day traders and swing traders
- Fibonacci-based trading strategies
- Elliott Wave practitioners
- Support/resistance trading
ALERT SYSTEM
------------
Built-in alerts for:
- Price crossing key Fibonacci levels
- Wave 3 entry signals
- Golden Pocket setups
HOW TO USE
----------
1. Apply to any timeframe (works best on 1min-1hr for intraday)
2. Watch for price action in zones
3. Wave 3 signals appear when setup criteria are met
4. Use with other confirmations (volume, price action, etc.)
IMPORTANT DISCLAIMER
-------------------
This indicator is for educational purposes only. It does not guarantee
profitable trades. Past performance does not indicate future results.
Always use proper risk management and conduct your own analysis.
═══════════════════════════════════════════
📧 For access requests or questions, please message me directly.
FVG & IFVG MTF Detector [Alphaomega18]TITLE:
FVG & IFVG Multi-Timeframe Detector
SHORT DESCRIPTION:
Automatic Fair Value Gap (FVG) and Inverse Fair Value Gap (IFVG) detector with multi-timeframe analysis and automatic gap fill closure.
FULL DESCRIPTION:
📊 OVERVIEW
This indicator automatically detects Fair Value Gaps (FVG) and Inverse Fair Value Gaps (IFVG) on your current timeframe and up to 12 additional timeframes simultaneously. Perfect for confluence analysis and identifying institutional zones.
🎯 KEY FEATURES
✅ Multi-Timeframe Detection:
• 12 available timeframes: 1min, 2min, 5min, 10min, 15min, 30min, 1H, 2H, 4H, Daily, Weekly, Monthly
• Each timeframe with customizable color
• Timeframe labels positioned on the right of boxes
✅ Automatic Closure:
• FVGs automatically close when price fills the gap
• Option to disable for traditional fixed extension
• Smart midline management
✅ Complete Customization:
• Customizable colors for each timeframe
• Configurable label size, position, and style
• Gap size display options (separate for current TF and MTF)
• Transparent or colored labels for MTF
• Customizable borders and midlines
✅ Filters & Controls:
• Filter by minimum gap size
• Maximum boxes per timeframe
• Configurable box extension (5-100 bars)
• Border styles: Solid, Dashed, Dotted
✅ Integrated Dashboard:
• Active FVG/IFVG counter
• Statistics per timeframe
• Customizable position
📈 USAGE
1. **Timeframe Activation**:
- Go to Settings > Multi-Timeframe
- Check the timeframes you want to analyze
- Customize colors for each timeframe
2. **Display Configuration**:
- Settings > Display: control labels and their content
- "Transparent MTF Labels": displays only timeframe text without colored background
- "Show Gap Size": separate options for current TF and MTF
3. **Automatic Closure**:
- Settings > Filters > "Close FVG when Filled": enable to automatically close filled gaps
- Disable for traditional fixed extension
4. **Filtering**:
- "Min Gap Size": filter out insignificant small gaps
- "Max Boxes": control the number of FVGs displayed per timeframe
🔍 INTERPRETATION
• **Bullish FVG (🟢)**: Bullish gap - potential support zone
• **Bearish IFVG (🔴)**: Bearish gap - potential resistance zone
• **MTF Confluences**: Multiple FVGs from different timeframes at the same level = strong institutional zone
⚙️ TECHNICAL PARAMETERS
• Detection: low > high (bullish) | high < low (bearish)
• Max boxes per timeframe: 500
• Max lines: 500
• Automatic memory management (old FVG deletion)
🎨 ADVANCED CUSTOMIZATION
• Separate background and border colors
• 4 label sizes: Tiny, Small, Normal, Large
• 3 label positions for current TF: Left, Center, Right
• MTF labels always positioned right for clarity
• Optional midlines with customizable style and color
💡 USAGE TIPS
1. Start with 2-3 timeframes maximum to avoid visual overload
2. Use contrasting colors to easily differentiate timeframes
3. Daily/Weekly gaps are perfect for identifying major institutional zones
4. Combine with your price action strategy for precise entries
5. Automatic closure helps identify when a zone is invalidated
📊 IDEAL FOR
• ICT Traders (Inner Circle Trader)
• Scalping & Day Trading
• Swing Trading
• Institutional zone analysis
• Multi-timeframe confluence trading
🔔 ALERTS
Configurable alerts for:
• New Bullish FVG detected
• New Bearish IFVG detected
---
© 2024 Alphaomega18 - All rights reserved
License: Mozilla Public License 2.0
Multi-Timeframe Smart Analysis [Abusuhil]الوصف بالعربي في الاسفل .
📊 Multi-Timeframe Smart Analysis
🇬🇧 ENGLISH DESCRIPTION
Overview
Multi-Timeframe Smart Analysis is a professional trading indicator designed for cryptocurrency and forex markets, combining RSI and MACD with multi-timeframe (MTF) confirmation to generate high-probability trading signals. The indicator provides clear entry points, automatic Fibonacci-based targets, and risk management levels.
Key Features
1. Multi-Timeframe Analysis (MTF)
Analyzes up to 3 higher timeframes simultaneously
Provides trend confirmation from HTF1, HTF2, and HTF3
Real-time dashboard showing current trend status
Optional: Can be disabled to trade based on current timeframe only
2. Smart Signal Generation
Buy Signals: Generated when MACD crosses above signal line with bullish RSI and HTF confirmation
Sell Signals: Generated when MACD crosses below signal line with bearish RSI and HTF confirmation
Anti-spam system: Minimum bars between signals (default: 10 bars)
Optional: Show only last signal to keep chart clean
3. Automatic Risk Management
Entry Line: Displays exact entry price
Stop Loss: Calculated using ATR (default: 1.5x ATR)
Take Profit Levels:
T1: 1.618x ATR (First target)
T2: 2.618x ATR (Second target)
T3: 4.236x ATR (Final target)
4. Visual Dashboard
Shows current timeframe RSI and MACD status
Displays HTF1 and HTF2 trend direction (BULL/BEAR)
Real-time signal status (🟢 BUY / 🔴 SELL / ⚪ WAIT)
Clean, professional interface in top-right corner
5. Customization Options
Multiple signal styles: Label, Triangle, Arrow, Circle
Adjustable signal size: Tiny, Small, Normal, Large
Customizable colors for buy/sell signals
Flexible target extension bars
Toggle all features on/off independently
📋 Recommended Settings by Timeframe
For 1-Minute Chart (Scalping)
HTF1: 5 minutes
HTF2: 15 minutes
HTF3: 1 hour
RSI Length: 14
MACD: 12/26/9
Stop Loss ATR: 1.0
Best for: High-frequency scalping on volatile pairs like BTC/USDT, ETH/USDT
For 5-Minute Chart (Day Trading)
HTF1: 15 minutes
HTF2: 1 hour
HTF3: 4 hours
RSI Length: 14
MACD: 12/26/9
Stop Loss ATR: 1.5
Best for: Intraday trading on major crypto pairs and forex
For 15-Minute Chart (Swing Trading)
HTF1: 1 hour
HTF2: 4 hours
HTF3: 1 day
RSI Length: 14
MACD: 12/26/9
Stop Loss ATR: 1.5
Best for: Short-term swing trades, ideal for crypto and forex
For 1-Hour Chart (Position Trading)
HTF1: 4 hours
HTF2: 1 day
HTF3: 3 days
RSI Length: 14
MACD: 12/26/9
Stop Loss ATR: 2.0
Best for: Medium-term positions, suitable for all markets
For 4-Hour Chart (Swing/Position)
HTF1: 1 day
HTF2: 3 days
HTF3: 1 week
RSI Length: 14
MACD: 12/26/9
Stop Loss ATR: 2.5
Best for: Swing trading with lower frequency, higher accuracy
For Daily Chart (Long-Term)
HTF1: 3 days
HTF2: 1 week
HTF3: 1 month
RSI Length: 14
MACD: 12/26/9
Stop Loss ATR: 3.0
Best for: Position trading and long-term investments
🎯 How to Trade with This Indicator
Entry Rules
For LONG (Buy) Entries:
Wait for 🟢 BUY signal to appear
Verify HTF1 and HTF2 show BULL trend in dashboard
Check RSI is below 70 (not overbought)
Enter at the displayed Entry Line price
Place stop loss at SL level
Set take profit at T1, T2, T3 (scale out)
For SHORT (Sell) Entries:
Wait for 🔴 SELL signal to appear
Verify HTF1 and HTF2 show BEAR trend in dashboard
Check RSI is above 30 (not oversold)
Enter at the displayed Entry Line price
Place stop loss at SL level
Set take profit at T1, T2, T3 (scale out)
Exit Strategy (Recommended)
Conservative Approach:
Close 50% position at T1
Move SL to breakeven
Close 30% at T2
Let 20% run to T3 with trailing stop
Aggressive Approach:
Hold full position to T2
Close 70% at T2
Trail remaining 30% to T3
Quick Scalp:
Close entire position at T1
Re-enter on next signal
⚙️ Settings Guide
Timeframe Settings
Enable Higher Timeframe Analysis: Toggle MTF confirmation on/off
HTF1, HTF2, HTF3: Set your desired higher timeframes
RSI Settings
RSI Length: Period for RSI calculation (default: 14)
RSI Overbought: Upper threshold (default: 70)
RSI Oversold: Lower threshold (default: 30)
Use RSI Filter: Enable/disable RSI confirmation
MACD Settings
Fast Length: Fast EMA period (default: 12)
Slow Length: Slow EMA period (default: 26)
Signal Length: Signal line period (default: 9)
Use MACD Filter: Enable/disable MACD confirmation
Target Settings
Show Price Targets: Toggle target lines on/off
Fib Target 1/2/3: Customize Fibonacci multipliers
Target Extension Bars: How far targets extend (default: 50)
Stop Loss ATR: Stop loss distance multiplier (default: 1.5)
Signal Settings
Show Buy/Sell Signals: Toggle signals independently
Show Only Last Signal: Hide previous signals, show only latest
Signal Style: Choose visual style (Label/Triangle/Arrow/Circle)
Minimum Bars Between Signals: Anti-spam filter (default: 10)
📌 Important Notes
Not a Holy Grail: This indicator is a tool, not a guarantee. Always use proper risk management
Backtest First: Test on historical data before live trading
Combine with Price Action: Use support/resistance levels for additional confirmation
Adjust to Market Conditions: Volatile markets may need wider stops, ranging markets need tighter targets
News Events: Avoid trading during major news releases
Risk Management: Never risk more than 1-2% of your capital per trade
🎓 Best Practices
Start Conservative: Begin with default settings
One Timeframe at a Time: Master one chart before expanding
Journal Your Trades: Track which settings work best for your style
Use Demo Account: Practice before risking real money
Stay Disciplined: Follow your trading plan strictly
🔔 Alert System
The indicator includes built-in alerts:
Buy Signal Alert: Notifies when long opportunity appears
Sell Signal Alert: Notifies when short opportunity appears
To activate alerts:
Click "Create Alert" in TradingView
Select "Multi-Timeframe Smart Analysis"
Choose "Buy Signal" or "Sell Signal"
Set notification preferences
💡 Pro Tips
Confluence Trading: Wait for signals that align with key S/R levels
Trend Trading: In strong trends, prioritize signals in trend direction
Multiple Timeframe Entries: Use HTF for bias, lower TF for precise entry
Partial Profits: Always secure some profit at T1
Trailing Stops: Move SL to breakeven after T1 is hit
⚠️ Risk Disclaimer
Trading cryptocurrencies, forex, and other financial instruments involves substantial risk of loss and is not suitable for all investors. Past performance is not indicative of future results. The indicator provides technical analysis only and should not be considered financial advice. You are solely responsible for your trading decisions. Always conduct your own research and consider consulting with a licensed financial advisor.
📞 Support & Updates
For questions, suggestions, or bug reports, please contact via TradingView messages.
Version: 1.0
Author: Abusuhil
Last Updated: December 2024
📊 التحليل الذكي متعدد الأطر الزمنية
🇸🇦 الوصف بالعربية
نظرة عامة
التحليل الذكي متعدد الأطر الزمنية هو مؤشر تداول احترافي مصمم لأسواق العملات الرقمية والفوركس، يجمع بين مؤشري RSI و MACD مع تأكيد من أطر زمنية أعلى لتوليد إشارات تداول عالية الاحتمالية. يوفر المؤشر نقاط دخول واضحة، أهداف تلقائية مبنية على فيبوناتشي، ومستويات إدارة المخاطر.
المزايا الرئيسية
1. التحليل متعدد الأطر الزمنية (MTF)
يحلل حتى 3 أطر زمنية أعلى في وقت واحد
يوفر تأكيد الاتجاه من HTF1، HTF2، و HTF3
لوحة معلومات فورية تظهر حالة الاتجاه الحالي
اختياري: يمكن تعطيله للتداول بناءً على الإطار الزمني الحالي فقط
2. توليد إشارات ذكية
إشارات الشراء: تُنشأ عندما يعبر MACD فوق خط الإشارة مع RSI صاعد وتأكيد HTF
إشارات البيع: تُنشأ عندما يعبر MACD تحت خط الإشارة مع RSI هابط وتأكيد HTF
نظام مضاد للإزعاج: حد أدنى من الشموع بين الإشارات (افتراضي: 10 شموع)
اختياري: إظهار آخر إشارة فقط للحفاظ على نظافة الشارت
3. إدارة تلقائية للمخاطر
خط الدخول: يعرض سعر الدخول الدقيق
وقف الخسارة: محسوب باستخدام ATR (افتراضي: 1.5x ATR)
مستويات جني الأرباح:
T1: 1.618x ATR (الهدف الأول)
T2: 2.618x ATR (الهدف الثاني)
T3: 4.236x ATR (الهدف النهائي)
4. لوحة معلومات مرئية
تعرض حالة RSI و MACD للإطار الزمني الحالي
تظهر اتجاه HTF1 و HTF2 (صاعد/هابط)
حالة الإشارة الفورية (🟢 شراء / 🔴 بيع / ⚪ انتظار)
واجهة نظيفة واحترافية في الزاوية العلوية اليمنى
5. خيارات التخصيص
أنماط إشارات متعددة: تسمية، مثلث، سهم، دائرة
حجم إشارة قابل للتعديل: صغير جداً، صغير، عادي، كبير
ألوان قابلة للتخصيص لإشارات الشراء/البيع
أشرطة تمديد الهدف مرنة
تبديل جميع الميزات تشغيل/إيقاف بشكل مستقل
📋 الإعدادات الموصى بها حسب الإطار الزمني
لشارت دقيقة واحدة (سكالبينج)
HTF1: 5 دقائق
HTF2: 15 دقيقة
HTF3: 1 ساعة
طول RSI: 14
MACD: 12/26/9
وقف الخسارة ATR: 1.0
الأفضل لـ: السكالبينج عالي التردد على الأزواج المتقلبة مثل BTC/USDT، ETH/USDT
لشارت 5 دقائق (التداول اليومي)
HTF1: 15 دقيقة
HTF2: 1 ساعة
HTF3: 4 ساعات
طول RSI: 14
MACD: 12/26/9
وقف الخسارة ATR: 1.5
الأفضل لـ: التداول اليومي على أزواج العملات الرقمية الرئيسية والفوركس
لشارت 15 دقيقة (التداول المتأرجح)
HTF1: 1 ساعة
HTF2: 4 ساعات
HTF3: 1 يوم
طول RSI: 14
MACD: 12/26/9
وقف الخسارة ATR: 1.5
الأفضل لـ: صفقات التأرجح قصيرة المدى، مثالي للعملات الرقمية والفوركس
لشارت ساعة واحدة (التداول بالمراكز)
HTF1: 4 ساعات
HTF2: 1 يوم
HTF3: 3 أيام
طول RSI: 14
MACD: 12/26/9
وقف الخسارة ATR: 2.0
الأفضل لـ: المراكز متوسطة المدى، مناسب لجميع الأسواق
لشارت 4 ساعات (التأرجح/المراكز)
HTF1: 1 يوم
HTF2: 3 أيام
HTF3: 1 أسبوع
طول RSI: 14
MACD: 12/26/9
وقف الخسارة ATR: 2.5
الأفضل لـ: التداول المتأرجح بتردد أقل ودقة أعلى
للشارت اليومي (طويل المدى)
HTF1: 3 أيام
HTF2: 1 أسبوع
HTF3: 1 شهر
طول RSI: 14
MACD: 12/26/9
وقف الخسارة ATR: 3.0
الأفضل لـ: تداول المراكز والاستثمارات طويلة المدى
🎯 كيفية التداول باستخدام هذا المؤشر
قواعد الدخول
لصفقات الشراء (LONG):
انتظر ظهور إشارة 🟢 شراء
تحقق من أن HTF1 و HTF2 تظهر اتجاه صاعد في لوحة المعلومات
تأكد من أن RSI أقل من 70 (ليس في منطقة التشبع الشرائي)
ادخل عند سعر خط الدخول المعروض
ضع وقف الخسارة عند مستوى SL
اضبط جني الأرباح عند T1، T2، T3 (اخرج تدريجياً)
لصفقات البيع (SHORT):
انتظر ظهور إشارة 🔴 بيع
تحقق من أن HTF1 و HTF2 تظهر اتجاه هابط في لوحة المعلومات
تأكد من أن RSI أعلى من 30 (ليس في منطقة التشبع البيعي)
ادخل عند سعر خط الدخول المعروض
ضع وقف الخسارة عند مستوى SL
اضبط جني الأرباح عند T1، T2، T3 (اخرج تدريجياً)
استراتيجية الخروج (موصى بها)
النهج المحافظ:
أغلق 50% من المركز عند T1
حرك وقف الخسارة إلى نقطة التعادل
أغلق 30% عند T2
دع 20% يعمل حتى T3 مع وقف خسارة متحرك
النهج العدواني:
احتفظ بالمركز الكامل حتى T2
أغلق 70% عند T2
تتبع الـ 30% المتبقية حتى T3
سكالبينج سريع:
أغلق المركز بالكامل عند T1
أعد الدخول عند الإشارة التالية
⚙️ دليل الإعدادات
إعدادات الإطار الزمني
تفعيل تحليل الإطار الزمني الأعلى: تبديل تأكيد MTF تشغيل/إيقاف
HTF1، HTF2، HTF3: اضبط الأطر الزمنية الأعلى المرغوبة
إعدادات RSI
طول RSI: فترة حساب RSI (افتراضي: 14)
RSI في التشبع الشرائي: العتبة العليا (افتراضي: 70)
RSI في التشبع البيعي: العتبة السفلى (افتراضي: 30)
استخدام فلتر RSI: تمكين/تعطيل تأكيد RSI
إعدادات MACD
الطول السريع: فترة المتوسط المتحرك السريع (افتراضي: 12)
الطول البطيء: فترة المتوسط المتحرك البطيء (افتراضي: 26)
طول الإشارة: فترة خط الإشارة (افتراضي: 9)
استخدام فلتر MACD: تمكين/تعطيل تأكيد MACD
إعدادات الأهداف
إظهار أهداف الأسعار: تبديل خطوط الأهداف تشغيل/إيقاف
هدف فيبوناتشي 1/2/3: تخصيص مضاعفات فيبوناتشي
أشرطة تمديد الأهداف: مدى امتداد الأهداف (افتراضي: 50)
وقف الخسارة ATR: مضاعف مسافة وقف الخسارة (افتراضي: 1.5)
إعدادات الإشارات
إظهار إشارات الشراء/البيع: تبديل الإشارات بشكل مستقل
إظهار آخر إشارة فقط: إخفاء الإشارات السابقة، إظهار الأحدث فقط
نمط الإشارة: اختر النمط المرئي (تسمية/مثلث/سهم/دائرة)
الحد الأدنى من الشموع بين الإشارات: فلتر مضاد للإزعاج (افتراضي: 10)
📌 ملاحظات مهمة
ليس الكأس المقدسة: هذا المؤشر أداة، وليس ضماناً. استخدم دائماً إدارة مخاطر مناسبة
اختبار رجعي أولاً: اختبر على البيانات التاريخية قبل التداول المباشر
ادمج مع حركة السعر: استخدم مستويات الدعم/المقاومة لتأكيد إضافي
تكيّف مع ظروف السوق: الأسواق المتقلبة قد تحتاج إلى وقف خسارة أوسع، الأسواق الجانبية تحتاج إلى أهداف أضيق
أحداث الأخبار: تجنب التداول أثناء إصدارات الأخبار الكبرى
إدارة المخاطر: لا تخاطر أبداً بأكثر من 1-2% من رأس مالك لكل صفقة
🎓 أفضل الممارسات
ابدأ بحذر: ابدأ بالإعدادات الافتراضية
إطار زمني واحد في كل مرة: أتقن شارت واحد قبل التوسع
سجل صفقاتك: تتبع أي الإعدادات تعمل بشكل أفضل لأسلوبك
استخدم حساب تجريبي: تدرب قبل المخاطرة بأموال حقيقية
التزم بالانضباط: اتبع خطة تداولك بصرامة
🔔 نظام التنبيهات
يتضمن المؤشر تنبيهات مدمجة:
تنبيه إشارة الشراء: يُعلمك عند ظهور فرصة شراء
تنبيه إشارة البيع: يُعلمك عند ظهور فرصة بيع
لتفعيل التنبيهات:
انقر على "إنشاء تنبيه" في TradingView
اختر "Multi-Timeframe Smart Analysis"
اختر "Buy Signal" أو "Sell Signal"
اضبط تفضيلات الإشعارات
💡 نصائح احترافية
تداول التقاء: انتظر الإشارات التي تتماشى مع مستويات الدعم والمقاومة الرئيسية
تداول الاتجاه: في الاتجاهات القوية، أعط الأولوية للإشارات في اتجاه الترند
مداخل الإطار الزمني المتعدد: استخدم HTF للتحيز، إطار زمني أقل للدخول الدقيق
أرباح جزئية: احفظ دائماً بعض الربح عند T1
وقف خسارة متحرك: حرك وقف الخسارة إلى التعادل بعد الوصول إلى T1
⚠️ إخلاء مسؤولية المخاطر
تداول العملات الرقمية والفوركس وغيرها من الأدوات المالية ينطوي على مخاطر كبيرة للخسارة وليس مناسباً لجميع المستثمرين. الأداء السابق لا يشير إلى النتائج المستقبلية. يوفر المؤشر التحليل الفني فقط ولا ينبغي اعتباره نصيحة مالية. أنت المسؤول الوحيد عن قرارات التداول الخاصة بك. قم دائماً بإجراء بحثك الخاص وفكر في استشارة مستشار مالي مرخص.
📞 الدعم والتحديثات
للأسئلة أو الاقتراحات أو الإبلاغ عن الأخطاء، يرجى التواصل عبر رسائل TradingView.
الإصدار: 1.0
المطور: Abusuhil
آخر تحديث: ديسمبر 2024
EMA Pullback Pro V8.5Introduction to High-Probability Trend Trading
The EMA PBN Pro 8.5 is a specialized trading suite designed to assist scalpers and day traders in identifying high-probability trend continuation setups.
In professional trading, one of the most difficult challenges is distinguishing between a genuine "dip" in an uptrend and the beginning of a reversal. Many traders lose capital by entering pullbacks too early (catching a falling knife) or too late (chasing the move). This script addresses that issue by combining multiple layers of trend analysis into a single, objective visual interface.
The Philosophy Behind the Script
This tool is built on the core principle that price action in strong trends tends to respect dynamic support and resistance zones derived from institutional moving averages and relative strength flows.
Trend Alignment: Markets are fractal. A 5-minute pullback is often a 1-minute downtrend. This system uses multi-factor analysis to ensure you are trading in the direction of the dominant momentum, filtering out low-quality "chop" environments where moving averages lose their efficacy.
Relative Strength (RS/RW): Asset selection is key. Trading an asset that is showing relative strength compared to the broader market index (like SPY or QQQ) significantly increases the probability of a successful bounce. This script incorporates logic to highlight assets that are outperforming their peers.
Objective Entries: By visually plotting "Value Zones," the script removes the guesswork. It waits for specific confluence criteria—momentum exhaustion, trend alignment, and relative strength—before suggesting an area of interest.
Features Overview
Dynamic Trend Filtering: Color-coded zones indicate when the market is in a "safe" buy/sell zone versus a neutral zone where cash is the best position.
Pullback Detection: Automatically identifies optimal zones for re-entry into established trends, helping traders enter on weakness in strong stocks.
Noise Reduction: The algorithm smoothes out insignificant price fluctuations, allowing the trader to focus on the structural moves of the session.
Access and Permissions
This is a proprietary, Invite-Only script. It is protected to prevent unauthorized distribution and to maintain the integrity of the strategy for current users.
The source code is hidden.
Access is granted on a per-user basis.
Please refer to the Author's Instructions section below for details on how to request access or trial the system.
(Note: This tool is for educational purposes only. Past performance is not indicative of future results. Always manage your risk.)
Bayesian Order Flow Predictor📌 Bayesian Order Flow Predictor — Advanced Probability Engine for Nasdaq and Futures
This indicator is a next-generation probabilistic forecasting system designed for Nasdaq traders who rely on Order Flow, Auction Market Theory, Value Area dynamics, market structure, DOM imbalance, and Bayesian probability models.
It combines 7 professional-grade factors (DOM, CVD, RSI, EMA trend, ATR volatility, Market Structure, Value Area positioning) into a unified Bayesian probability panel that outputs a clean bullish/bearish probability curve with high-confidence reversal and trend-continuation signals.
Engineered for scalpers, day traders, futures traders, and ICT-style order flow technicians, it delivers real-time directional probability, session-aware signals, and optional news-filter exclusion.
⭐ Features
Bayesian Probability Model (0–100%)
DOM imbalance scoring across dynamic depth levels
Cumulative Volume Delta (CVD) scoring
Market structure detection (HH/LL micro-trend shifts)
RSI momentum and overbought/oversold scoring
EMA directional bias + ATR-normalized deviation
Value Area positioning (VAH / VAL / POC) with optional previous-session mode
Session filtering (only signals during active hours)
Automated news filter (exclude signals around scheduled macro events)
Bull/Bear probability zones with background coloring
Anti-repetition system (no double signals in same direction)
Designed for future scalping, futures order flow, and high-precision timing
🧠 Bayesian Probability Engine — How It Works
The model evaluates 7 independent market factors simultaneously:
DOM imbalance
CVD pressure
Market structure
RSI deviation
EMA trend
Value Area position
ATR volatility shift
Each factor is transformed into a normalized score, multiplied by its weighting parameter, and aggregated into a global score.
This score is then passed through a Bayesian logistic function to convert uncertainty into a smooth probability curve, giving traders a clean, mathematically stable, and noise-resistant forecast.
📈 Buy & Sell Signal Logic
Signals trigger when:
Bullish Probability crosses above the user threshold
Bearish Probability crosses below the opposite threshold
Session is active
No protected news event is occurring
This avoids noise, prevents over-signaling, and focuses only on high-confidence inflection points.
🎯Fully compatible with the indicator: ➡️ AI Probabilistic Orderflow scalper
Both indicators synchronize perfectly when used together:
Bayesian panel → trend probability
Scalper v1 → timing + TP/SL engine
Together they create a complete probability-driven revenue management system for scalping Future.
📘 How to Use
Add the indicator to your chart
Set your trading session (e.g., 09:30–16:00 EST)
Adjust weights depending on your style (Order Flow / Momentum / Value Area)
Watch the probability curve:
Above threshold → bullish bias
Below threshold → bearish bias
Take signals when the curve crosses thresholds, not when flat
Combine with "AI Probabilistic Orderflow scalper" indicator for execution timing
Avoid high-impact news using the News Filter
💎 Advantages
Professional-grade Bayesian model
Works in all volatility regimes
Noise-resistant and smoother than traditional oscillators
Integrates Order Flow + Auction Theory + Momentum + Volatility
Perfect for NQ scalpers seeking an AI-style probability dashboard
Reduces emotional decision-making
Compatible with any execution strategy
Optimized for high winrate scalping and sniper entries
QuantBot StrategyAutomated opening range breakout strategy for futures and intraday trading. Identifies the initial trading range and executes trades on breakouts with multiple confluence filters.
Key Features:
Opening Range Detection: Automatically identifies and tracks the opening range
Multi-Filter Entry System: Optional confluence filters to improve entry quality
Flexible Profit Targets: Dynamic targets based on recent volatility, or fixed tick/dollar targets
Advanced Position Management: Add to positions at key levels; partial profit-taking with trailing runners
Risk Controls: Multiple stop loss methods, maximum trade limits, and distance filters
Time-Based Filters: Configurable trading hours and days, with optional holiday blackouts
Visual Indicators: Displays trend lines, bands, and range levels on your chart
Designed for disciplined, systematic trading with customizable risk management and position sizing.
Intraday for Options By TradeEarnIntraday for Options By TradeEarn
**High-Probability Scalping Strategy with Leading Indicators & Automation Support**
This strategy is designed for **Intraday Nifty & BankNifty Futures** trading. Unlike traditional strategies that rely on lagging indicators (like Supertrend or Moving Averages), this script uses **Leading Indicators** and **Price Action** to detect momentum bursts *before* they happen.
It is fully optimized for **Options Buying** automation via the **Stoxxo/Algobaba Bridge**.
### 🚀 Key Features
**1. Leading Signal Logic (No Lag)**
* **RSI Momentum:** Filters for strong bullish (>55) or bearish (<45) momentum shifts.
* **Impulse Price Action:** Detects "Smart Money" entries by analyzing candle body size relative to the recent average.
* **ADX Filter:** Built-in "Chop Filter". The strategy will **refuse to trade** in sideways markets (when ADX < 20), protecting your capital from fakeouts.
**2. Smart Risk Management (Rupee-Based)**
* **Auto-Calculation:** You input your Target and Stop Loss in **Rupees (₹)** (e.g., ₹1000 Profit, ₹500 Loss). The script automatically calculates the required Index Points and Ticks based on your Lot Size.
* **Trailing Stop Loss:** Features an intelligent trailing mechanism. (Default: For every ₹25 gain, the SL trails by ₹10) to lock in profits during big trends.
**3. Anti-Overtrading Mechanism (Cooldown)**
* To prevent "revenge trading" or getting caught in volatility, the strategy includes a **Cooldown Period**. After any trade exit, it waits for **5 Candles** (adjustable) before scanning for new signals.
**4. Automation Ready**
* Pre-configured with `MULTILEG` alert strings for **Stoxxo/Algobaba**.
* Sends "LongCall" and "LongPut" tags, allowing your bridge to automatically select the Best Strike (ATM/ITM).
---
### ⚙️ How to Use
1. **Chart:** Use **NIFTY FUTURES** (e.g., `NIFTY1!`) or **BANKNIFTY FUTURES**. (Do not use Spot charts as they lack volume data).
2. **Timeframe:** Optimized for **3 Minutes** or **5 Minutes**.
3. **Inputs:**
* **Target (₹):** Desired profit per lot.
* **Stop Loss (₹):** Max risk per lot.
* **Cooldown:** Number of candles to wait after a trade (Default: 5).
* **Volume Filter:** Uncheck if your data provider does not show Volume on the chart.
**Disclaimer:** This strategy is for educational purposes. Please backtest with your own risk parameters before real trading.
Weekly & Monthly Thresholds + VIX-Based Dynamic TargetsWeekly & Monthly Thresholds + VIX-Based Dynamic Targets
Weekly & Monthly Thresholds + VIX-Based Dynamic TargetsWeekly & Monthly Thresholds + VIX-Based Dynamic Targets
HTF Liquidity Sweep DetectorAn indicator designed to detect liquidity sweeps on Higher Timeframes (HTF), displaying points where price sweeps through the highs or lows of candles on larger timeframes.
Key Features
Supports analysis of 2 timeframes simultaneously (HTF 1 and HTF 2)
Detects both Bullish and Bearish liquidity sweeps
Displays lines and labels with turtle emoji markers
Automatic sweep invalidation system
Customizable line styles, colors, and widths for each HTF
Independent label and turtle emoji display controls
Adjustable label position (Left, Center, Right)
Configurable line extension length
Alert notifications when sweeps are formed
How It Works
Monitors candles on selected higher timeframes
Identifies when price sweeps above previous highs (Bullish Sweep) or below previous lows (Bearish Sweep)
Validates sweep formations and automatically removes invalidated sweeps
Displays sweep lines extending forward with optional labels
Settings
HTF 1 & HTF 2:
Enable/Disable HTF
Timeframe selection
Number of candles to track
Show/Hide sweep lines
Line style (Solid, Dashed, Dotted)
Line width and color
Extend bars length
Show/Hide labels and turtle emojis independently
Label position (Left, Center, Right)
Label size and color
Alerts:
Sweep formation notifications
Use Cases
Identifying liquidity grab zones
Confirming trend reversals
Spotting institutional manipulation patterns
Planning entries after liquidity sweeps
Weekly & Monthly Thresholds + Targets (final, fixed)bullish and bearish weekly and monthly range for the whole audience
Weekly & Monthly Thresholds + Targets (final, fixed)with alerts the weekly and monthly bullish and bearish ranges
ACD STRATEGYACD Opening Range Strategy based off of the strategy of Mark Fischer. It trades off the MGC opening range of all 3 sessions (LDN, ASN, NY)
Alt Trading: TX Price Action
The Alt Trading: TX Price Action Indicator is a multi-layered market-structure and liquidity engine built for intraday and swing traders who want a clean, rules-based map of how price is actually moving through liquidity. It runs a fractal-based swing engine in the background to define objective structure, then derives Break-of-Structure (BOS) legs, inducement sweeps, and execution zones from that single model so nothing on the chart is contradictory or “bolted on.” Asian-session profiling builds a dynamic liquidity range that anchors the QuickStrikes filter, allowing you to require BOS and/or entry zones to sit in specific relation to session highs/lows before a setup is even allowed to print. Displacement legs are converted into Fibonacci- and POI-based retracement zones with configurable frequency (High/Medium/Low), automatically projecting forward in time with transparent, non-intrusive boxes for both long and short scenarios. A tiered inducement engine tracks minor (current day), medium (previous day), and major (weekly) highs and lows, promoting levels to permanent lines once they’ve been meaningfully swept, and labeling them directly on the chart for instant context. As sweeps form and BOS confirms, the indicator constructs entry zones, optional risk/reward panels, and live-updating TP/SL visualization boxes that track active long or short scenarios until completion. All elements—zones, BOS lines, inducement levels, fractal structure, arrows, and risk blocks—are fully style-able so the tool can be tuned to any chart theme without losing clarity. TX Price Action doesn’t attempt to “predict” price; instead, it translates complex liquidity behavior into a consistent, visual playbook that makes it easier to systematize premium/discount entries and manage trades with discipline.
Percent Change Histogram + MACandle Percent Move Columns with Optional Moving Average
Description:
This indicator calculates the percentage move of each candle over a specified number of bars and displays it as upward-facing columns, regardless of the candle direction. Each column is color-coded based on the candle’s direction—green for bullish, red for bearish. An optional moving average can be overlaid on the percentage values to help visualize trends and smooth out volatility.
Features:
Shows each candle’s percentage move as a column facing upward.
Columns are colored according to candle direction.
Adjustable input for the number of bars used in calculation.
Optional moving average overlay that can be added or removed.
Helps quickly assess volatility and trend strength in percentage terms.
Use Case:
Ideal for traders who want a clear visual representation of individual candle movements in percentage terms, making it easier to spot trends, pullbacks, and volatility patterns across different timeframes.
Bli-Rik : Trend + HTF 34 + HTF RSI Rel + Stoch Filtersprovides you accurate buy and sell signals on 5 mins and 15 mins chart, mainly foe sensex






















