HTT Range BreakoutTime range breakout with targets. If breakout bottom line is stoploss if breakdown top line is stoplossאינדיקטור Pine Script®מאת sureshssure94
Sequential - Heatmap [R2D2]The Professional Edge in Trend Exhaustion In a market environment saturated with noise, the most valuable tool for a trader is clarity. Standard trend-following indicators often lag, and traditional reversal markers can be premature. The Sequential: Heatmap is a sophisticated trend-exhaustion indicator designed to identify precise market inflection points where a trend has reached its mathematical limit. By focusing on the Exhaustion Phase (counts 7, 8, and 9) and integrating Perfection Logic, this tool filters out "weak" setups, highlighting only the high-probability price flips that professional institutional traders watch. How It Works: The Logic of Exhaustion The Sequential operates on the principle of price symmetry. A "Setup" occurs when a series of at least nine consecutive bars close higher (for a Sell Setup) or lower (for a Buy Setup) than the close of the bar four periods prior. The "Perfected" Difference A standard 9-count is often not enough for a high-conviction entry. This publication-ready script includes Perfection Logic: Perfected Buy (9★) : The low of bar 8 or 9 must be lower than the lows of both bars 6 and 7. Perfected Sell (9★) : The high of bar 8 or 9 must be higher than the highs of both bars 6 and 7. This ensures that the final move in the sequence is a true "climax" before the reversal begins. Step-by-Step Usage Guide Step 1: Monitor the Heatmap As a trend develops, the bars will remain standard. Once the sequence hits count 7, the Heatmap Gradient activates. Faint Color: Momentum is beginning to stretch. Deep Saturated Color: The trend is entering the danger zone for a reversal. Step 2: Identify the 9★ Completion Wait for the number 9 to appear. If a star (★) is attached, the setup is "Perfected". This is your primary signal that the current move is mathematically overextended. Step 3: Define Your Risk with Risk Lines Upon completion of a 9-count, the script draws a solid thin horizontal line: Green Line (Resistance) : The ceiling of the move. Use this as a profit target for longs or a hard stop for shorts. Red Line (Support) : The floor of the move. Use this as a profit target for shorts or a hard stop for longs. Trading Like a Pro: Strategies for Success To use this tool effectively at a professional level, follow these three core tenets: Don’t Front-Run the 9 : Amateur traders often try to "guess" the reversal at count 5 or 6. Professionals wait for the Perfected 9 to close. The heatmap is designed to keep you patient. The "Risk Line" Breaker : If price closes beyond a Risk Line (e.g., closes above the green resistance line), the exhaustion has failed, and a "Setup Trend Extension" is occurring. In this case, exit your reversal trade immediately; the trend is stronger than the exhaustion. Confluence with Higher Timeframes : A Perfected 9 on a 15-minute chart is strong; a Perfected 9 on a 15-minute chart that aligns with a 4-hour Risk Line is institutional grade. אינדיקטור Pine Script®מאת R2D2_4Life17
Advanced Strategy Template This script is a strategy execution and risk-management template designed to test external indicators under consistent and repeatable conditions. The script does not generate buy or sell signals internally. All trade entries and exits are driven by a user-supplied indicator through a numeric connector. This design intentionally separates signal generation from trade execution, allowing users to evaluate indicators without rewriting strategy logic. Purpose and Originality The purpose of this template is to provide a standardized execution framework rather than a trading methodology. Instead of embedding a specific signal logic, the script focuses on how trades are managed after a signal occurs. This allows users to: Benchmark different indicators under identical execution rules Compare stop-loss and take-profit models objectively Study the impact of risk constraints on performance Reduce bias caused by inconsistent trade management This makes the script suitable for educational testing and experimentation, not for presenting a profitable strategy. How the Signal Connector Works The strategy listens to a single numeric data source supplied by an external indicator. The indicator must output values using the following convention: 1 → open long position -1 → open short position 0 → no action Optional: 2 → custom close for long -2 → custom close for short The strategy reacts only to these values and ignores all other indicator logic. Example Connector Code (Indicator Side) Users must add the following logic to their indicator to make it compatible with this template: // Strategy Connector // 1 = Buy // -1 = Sell // 0 = No Signal signal = buySignal ? 1 : sellSignal ? -1 : 0 plot(signal, title="Connector", display=display.none) buySignal and sellSignal represent the indicator’s own conditions The connector plot is hidden and used only as a data source How to Connect the Indicator to the Strategy Add the indicator (with connector output) to the chart Add this strategy template to the same chart Open the strategy’s settings Set Data source to the indicator’s Connector plot Configure risk, stop-loss, and take-profit settings as required The strategy will not execute trades unless a valid connector signal is received. Execution and Risk-Management Features This template provides configurable execution modules including: Position sizing and pyramiding control Maximum drawdown and intraday loss limits Consecutive win, loss, and losing-day limits Stop-loss methods (percent, trailing, ATR, structure-based) Take-profit models (single target, tiered targets, risk-reward, Fibonacci levels) Optional breakeven logic Session-based trading control All execution logic operates independently of the signal source. Strategy Properties and Results Default strategy properties are intentionally conservative and provided only as a demonstration baseline. Backtest results depend entirely on: The connected indicator Market and timeframe selection User-defined execution parameters Results shown by this template do not represent a trading edge and should not be interpreted as investment advice. Intended Use This script is intended for: Educational study of trade execution and risk control Indicator benchmarking under identical execution rules Exploring how exits and risk constraints influence outcomes It is not intended to promote or present a standalone trading strategy.אסטרטגיית Pine Script®מאת PickMyTrade_Official27
TSM: Time-Series Momentum & Volatility Targeting [Moskowitz]TSM: Institutional Time-Series Momentum & Volatility Targeting (Moskowitz) SUMMARY TSM is a trend and risk-sizing indicator designed to convert price movement into a risk-adjusted regime signal and a single Recommended Exposure output. It addresses a common trend problem: direction can be correct while sizing is wrong during volatility expansions. Recommended Exposure is a signed value where positive indicates bullish bias and negative indicates bearish bias. The magnitude reflects confidence after the volatility and quality filters are applied. The engine combines volatility-scaled time-series momentum across multiple horizons with optional volatility targeting and an optional efficiency filter to reduce noise sensitivity and improve sizing discipline. WHAT THIS INDICATOR GIVES YOU A risk-adjusted momentum signal that is scaled by realized volatility rather than raw returns, so high-volatility noise is less likely to look like strong trend. An optional volatility targeting layer that mechanically scales Recommended Exposure down when realized volatility rises and up when it falls, capped by Max Leverage. An ensemble approach using fast, medium, and slow horizons with configurable weights, reducing dependence on a single lookback and lowering curve-fitting risk. An optional R-squared efficiency filter that reduces exposure in choppy, low-quality trends, with a floor to avoid over-suppressing exposure. Optional workflow features including a dashboard, trend cloud bands, threshold-based signals with cooldown, and alerts. SCIENTIFIC FOUNDATION (PLAIN ENGLISH) Time-Series Momentum (Moskowitz, Ooi, Pedersen 2012) describes the empirical tendency for an asset’s own past returns to predict its future returns in expectation, distinct from cross-sectional momentum which compares assets to each other. Volatility clustering means markets alternate between calm and violent regimes; many traditional trend tools misread volatility shocks as sustainable trend. This indicator normalizes momentum by realized volatility to express trend significance relative to the regime. Volatility targeting (Harvey et al. 2018) scales exposure inversely to realized volatility to stabilize risk. When volatility rises, recommended exposure is reduced mechanically; when volatility falls, exposure can increase, subject to a max leverage cap. DATA AND SOURCES This indicator uses only the chart symbol’s OHLC data. No external feeds, no COT libraries, and no third-party data sources are required. It supports multi-timeframe calculation. You can compute the signal on the current chart timeframe, or use a fixed timeframe such as Daily to keep volatility math consistent when viewing intraday charts. HOW THE ENGINE WORKS (HIGH LEVEL) Step 1 estimates realized volatility from log returns over a chosen lookback. Step 2 computes a volatility-scaled momentum statistic for three horizons (fast, medium, slow) to measure how meaningful the move is relative to volatility. Step 3 clamps extreme values so outliers do not dominate. Step 4 combines the horizons into a weighted ensemble. Step 5 optionally applies an efficiency filter to reduce exposure in choppy trends. Step 6 optionally applies volatility targeting to scale exposure inversely with realized annualized volatility, capped by Max Leverage. The final output is Recommended Exposure as the combined result of direction, risk scaling, and quality filtering. OUTPUTS AND HOW USERS SHOULD APPLY THEM Recommended Exposure is the primary output. Positive values indicate bullish regime bias, negative values indicate bearish regime bias, and larger magnitude indicates higher risk-adjusted conviction after filters. Typical use is as a position-sizing overlay: keep your own entry method and use Recommended Exposure to decide how aggressive or defensive sizing should be in the current regime. Signals are optional and trigger when Recommended Exposure crosses user-defined thresholds. A cooldown reduces repeated triggers during consolidations, and direction can be restricted to long only, short only, or both. The dashboard is optional and displays realized volatility versus target, ensemble momentum, the efficiency metric, the volatility scalar, the quality multiplier, and final Recommended Exposure, including the fast/medium/slow breakdown. Trend cloud bands are optional and provide range context; they are not the signal and are intended as visual regime support. SETTINGS GUIDE (WHAT MATTERS MOST) Fixed Timeframe mode is recommended for consistent volatility math across chart timeframes; Current Chart mode is more sensitive to the displayed timeframe. Momentum horizons control responsiveness versus stability. Shorter lookbacks react faster but whipsaw more; longer lookbacks are smoother but slower. Weights allow emphasizing fast responsiveness or slow regime confirmation. Volatility targeting turns the tool into a sizing engine by scaling exposure inversely to realized volatility. Target annualized volatility sets the risk budget, and the annualization basis (365 vs 252) aligns conventions for crypto versus traditional markets. Max Leverage caps the scalar in very low-volatility regimes. The efficiency filter reduces exposure in choppy conditions; the floor controls how harshly exposure is reduced. Threshold and cooldown control how selective discrete signals are. LIMITATIONS (IMPORTANT FOR USERS) This is a trend-following framework, so it will lag turning points by design. Sideways markets can still cause whipsaws; cooldown and the efficiency filter may reduce but cannot eliminate this. Volatility targeting can reduce drawdowns during volatility expansions but may reduce participation during sharp V-shaped reversals after volatility increases. The efficiency metric is a practical proxy for trend straightness and can misclassify certain price paths. REFERENCES Moskowitz, T. J., Ooi, Y. H., and Pedersen, L. H. (2012). Time series momentum. Journal of Financial Economics, 104(2), 228-250. Harvey, C. R., Rattray, S., Sinclair, A., and Van Hemert, O. (2018). The impact of volatility targeting. Journal of Portfolio Management, 45(1), 14-33. Hurst, B., Ooi, Y. H., and Pedersen, L. H. (2017). A century of evidence on trend-following investing. Journal of Portfolio Management, 44(1), 15-29. DISCLAIMER Educational and informational purposes only. Not financial advice. Trading involves risk. Past performance is not indicative of future results. אינדיקטור Pine Script®מאת Robinhodl2112
ICT Kill Zones PanelICT Kill Zones Panel - Clean & Simple Trading Sessions Indicator A simple, objective indicator to identify ICT Kill Zones with real-time status and smart visual highlighting based on New York timezone. WHAT MAKES IT DIFFERENT: Traditional indicators clutter charts with dozens of colored boxes from past sessions. This tool provides a clean alternative: - Real-time information panel showing current active session - Smart dual-transparency painting: ACTIVE session displays stronger (more visible), historical sessions display softer (less clutter) - Accurate session timing: Only shows active when session is actually happening - Mobile-optimized size for phone trading - Professional interface that doesn't interfere with price action FEATURES: - Real-Time Detection: Panel uses actual NYC time (timenow) to show which session is active NOW - Precise Timing: Sessions activate ONLY during their specific time windows - all zones show inactive outside trading hours - Smart Visual System: Currently active session has stronger background color, past sessions are softer - Color Synchronization: Active session color in panel matches chart background color automatically - Clean Highlighting: Optional background painting with adjustable transparency levels - Full Customization: 9 panel positions, 4 sizes (Mobile/Small/Normal/Large), fully customizable colors - All Sessions: Asian (20:00-01:00), London (02:00-05:00), NY AM (08:00-11:00), London Close (10:00-12:00), NY PM (13:00-16:00) KILL ZONE SCHEDULE (NYC TIME): 1. Asian: 20:00 - 01:00 (5 hours) 2. INACTIVE: 01:00 - 02:00 3. London: 02:00 - 05:00 (3 hours) 4. INACTIVE: 05:00 - 08:00 5. NY AM: 08:00 - 11:00 (3 hours) - overlaps with London Close 6. London Close: 10:00 - 12:00 (2 hours) - overlaps with NY AM 7. INACTIVE: 12:00 - 13:00 8. NY PM: 13:00 - 16:00 (3 hours) 9. INACTIVE: 16:00 - 20:00 During INACTIVE periods, all sessions show as inactive in the panel. COLOR SYSTEM: ALL COLORS ARE FULLY CUSTOMIZABLE: - Each Kill Zone has its own color setting (Asian, London, NY AM, London Close, NY PM) - Default colors shown in screenshots are just examples - Active session in panel: displays with its assigned color (e.g., green for NY AM by default) - Same color appears on chart background with adjustable transparency - Inactive sessions in panel: display with gray (also customizable) - Panel background and text colors: fully customizable - Choose colors that match your chart theme The green color shown for active sessions in examples is the DEFAULT color for NY AM - you can change it to any color you prefer. TRANSPARENCY SYSTEM EXPLAINED: ACTIVE SESSION (happening right now): - Default 70% transparency = STRONGER/MORE VISIBLE background - Instantly shows which Kill Zone is unfolding - Panel row highlights with the session's assigned color - Chart background displays same color stronger HISTORICAL SESSIONS (already passed): - Default 90% transparency = SOFTER/LESS VISIBLE background - Provides context without visual clutter - Panel rows show gray (inactive color) - Both transparency levels fully adjustable in settings MOBILE OPTIMIZED: Select "Mobile" panel size for optimal viewing on phone screens - compact layout perfect for smaller displays. REPAINTING BEHAVIOR: Panel Status & Colors: Update in real-time as sessions change - panel color switches to match the new active session (intentional for current awareness) Active Session Highlighting: Adjusts in real-time to show current session stronger on chart Historical Background Colors: Do NOT repaint - accurately mark when sessions occurred Session Activation: Sessions activate and deactivate precisely at their scheduled times CUSTOMIZATION: - Panel: 9 positions, 4 sizes including Mobile - Colors: Individual customizable color for each Kill Zone - Panel Colors: Customizable background, text, and inactive zone colors - Transparency: Separate controls for active (default 70%) and historical (default 90%) sessions - Toggle: Show/hide individual zones - Chart Painting: On/off HOW TO USE: 1. Add to chart - panel appears top-right 2. Active session displays with its assigned color in panel and stronger on chart 3. Panel shows all zones as inactive during non-trading hours (accurate timing) 4. Panel color automatically changes when new session begins 5. Adjust all colors in settings to match your preferences 6. Adjust transparency settings for optimal visibility 7. Use "Mobile" size for phone trading BEST FOR: - ICT traders timing entries during high-liquidity periods - Smart money concepts (FVG, Order Blocks, Liquidity) - Traders who want clean charts with essential information - Traders needing accurate session timing without false signals - Mobile traders needing compact, clear displays - Traders who want to customize colors to match their chart theme TECHNICAL: - Works on all timeframes - Built with Pine Script v6 - NYC timezone with automatic DST adjustment - Precise hour-based session detection - Lightweight and optimized - Open source FEEDBACK WELCOME: All comments, critiques, and suggestions are welcome! Your input helps improve this tool for the trading community. Created by ivrank13 for traders who value simplicity, accuracy, and clean charts. © 2026 ivrank13. All Rights Reserved. #ICT #KillZones #SmartMoney #ForexSessions #CleanCharts #MobileTrading #CustomColors #AccurateTimingאינדיקטור Pine Script®מאת ivrank135
M5 EMA Pullback Scalper (Anti-Chop + Dynamic Boxes)M5 EMA Pullback Scalper (Anti-Chop + Dynamic Boxes)אינדיקטור Pine Script®מאת masad10214
guild wcaallows to identify trends and is very good yes it is guild ahh indicator just if yiu know yiou knoqאינדיקטור Pine Script®מאת dangreco0331
Day High And Low_FaysalThis indicator will help you find out previous day high and low. It works for those who want to use external liquidity strategy to take a trade. אינדיקטור Pine Script®מאת Zach_Andrews1
Flow State Hours🧠Whattt… like you’re really trading without checking the session? 🤔 Let me guess… you’re getting wicked out, then your move plays out? 🔑Why is Price moving from that level? ⏳ Patience is key: wait your turn, wait for alignment 🚀 Session opens are critical—don’t take them lightly! 📈 Asia Session Midline is slept on.... 💡Try it out! Will make your trading much easier! אינדיקטור Pine Script®מאת hasanhuss24
Ultra Scalper Pro | ZLSMA + Chandelier Exit# Ultra Scalper Pro | ZLSMA + Chandelier Exit ## 📌 Overview **Ultra Scalper Pro** is an all-in-one scalping indicator that combines the power of **Zero Lag LSMA (ZLSMA)** and **Chandelier Exit** with multiple confirmation filters. Designed for traders who want precise entry signals with clear TP/SL levels, this indicator works on any asset and any timeframe—though it shines brightest on lower timeframes (1m-15m) for scalping. --- ## 🎯 Key Features ### 🔹 Core Indicators | Indicator | Purpose | |-----------|---------| | **ZLSMA (Zero Lag LSMA)** | Minimizes lag in trend detection using double-smoothed Least Squares Moving Average | | **Chandelier Exit** | Dynamic ATR-based trailing stop that identifies trend reversals | ### 🔹 Confirmation Filters (All Toggleable) - **RSI Filter** — Avoid overbought/oversold entries - **Volume Filter** — Ensure sufficient market participation - **EMA Crossover** — Confirm short-term trend direction - **SuperTrend** — Additional trend confirmation - **MACD** — Momentum validation - **Stochastic** — Short-term momentum filter - **Session Filter** — Trade only during preferred market sessions (Asia/Europe/US) ### 🔹 TP/SL System Choose from **4 different modes**: 1. **ATR Based** — Dynamic levels based on market volatility 2. **Fixed %** — Set your own percentage targets 3. **R:R Ratio** — Risk-to-reward based targets 4. **Chandelier Based** — Use Chandelier Exit levels for SL Each mode provides **3 Take Profit levels (TP1, TP2, TP3)** and a **Stop Loss** level, all visualized directly on your chart. --- ## 📊 How It Works ### Entry Logic The indicator generates a **LONG signal** when: - Price crosses above ZLSMA (or is above ZLSMA) - Chandelier Exit flips to bullish (or is already bullish) - All enabled confirmation filters align bullish The indicator generates a **SHORT signal** when: - Price crosses below ZLSMA (or is below ZLSMA) - Chandelier Exit flips to bearish (or is already bearish) - All enabled confirmation filters align bearish ### Signal Strength - **Strong Signal** (Large Triangle) — Both ZLSMA crossover AND Chandelier Exit flip occur simultaneously with high volume - **Normal Signal** (Small Triangle) — Standard entry conditions met --- ## ⚙️ Settings Guide ### General Settings | Setting | Description | |---------|-------------| | Show Entry Signals | Display buy/sell triangles on chart | | Show Labels | Display TP/SL price labels | | Show Background Color | Highlight chart background based on position/trend | | Enable Long/Short Signals | Toggle which direction to trade | ### ZLSMA Settings | Setting | Default | Description | |---------|---------|-------------| | ZLSMA Length | 32 | Lookback period (lower = more responsive, higher = smoother) | | ZLSMA Offset | 0 | Shift the line left/right | ### Chandelier Exit Settings | Setting | Default | Description | |---------|---------|-------------| | ATR Period | 22 | Period for ATR calculation | | ATR Multiplier | 3.0 | Distance from high/low (higher = wider stops) | ### Filter Settings Each filter can be **enabled/disabled** independently. When disabled, that filter is ignored in the entry logic. **Recommended for Scalping (5m):** - ✅ ZLSMA: ON (Length: 32) - ✅ Chandelier Exit: ON (ATR: 22, Mult: 3.0) - ✅ RSI: ON (Period: 14) - ✅ Volume: ON (Period: 20) - ✅ EMA: ON (Fast: 9, Slow: 21) - ⬜ SuperTrend: OFF (optional) - ⬜ MACD: OFF (optional) - ⬜ Stochastic: OFF (optional) ### TP/SL Settings | Mode | Best For | |------|----------| | ATR Based | Volatile markets, adapts to conditions | | Fixed % | Consistent risk management | | R:R Ratio | Traders focused on risk-reward | | Chandelier Based | Trend-following strategies | --- ## 📈 How to Use ### Step 1: Add to Chart Add the indicator to your chart. It works on any symbol (Crypto, Forex, Stocks, Futures). ### Step 2: Configure Filters Enable/disable filters based on your trading style: - **Conservative**: Enable all filters for fewer but higher-quality signals - **Aggressive**: Use only ZLSMA + Chandelier for more frequent signals ### Step 3: Set TP/SL Mode Choose your preferred TP/SL calculation method based on your risk management style. ### Step 4: Watch for Signals - 🟢 **Green Triangle (Below Bar)** = Long Entry - 🔴 **Red Triangle (Above Bar)** = Short Entry - Larger triangles = Stronger signals ### Step 5: Manage Your Trade - Use the displayed TP1, TP2, TP3 levels for partial profit-taking - Use the SL level for your stop loss - Monitor the Info Table for real-time status --- ## 📋 Info Table Explained The indicator displays a real-time information table showing: | Field | Description | |-------|-------------| | ZLSMA | Current ZLSMA trend direction | | Chandelier | Current Chandelier Exit direction | | RSI | Current RSI value and status | | Volume | Whether volume is above/below average | | EMA Cross | Fast EMA vs Slow EMA relationship | | SuperTrend | Current SuperTrend direction | | MACD | MACD line vs Signal line | | Stochastic | Stochastic K vs D relationship | | ATR | Current ATR value | | Position | Current tracked position (if any) | | Entry | Entry price of current position | | P&L | Unrealized profit/loss percentage | --- ## 🔔 Alerts The indicator includes pre-configured alerts: | Alert | Trigger | |-------|---------| | Long Signal | Any long entry signal | | Short Signal | Any short entry signal | | Strong Long | High-confidence long signal | | Strong Short | High-confidence short signal | | CE Buy Signal | Chandelier Exit flips bullish | | CE Sell Signal | Chandelier Exit flips bearish | | ZLSMA Bullish Cross | Price crosses above ZLSMA | | ZLSMA Bearish Cross | Price crosses below ZLSMA | | Any Entry Signal | Either long or short signal | | Any Strong Signal | Either strong long or short | **To set up alerts:** 1. Right-click on the chart 2. Select "Add Alert" 3. Choose "Ultra Scalper Pro" as the condition 4. Select your preferred alert type --- ## 💡 Tips for Best Results ### Timeframe Recommendations | Timeframe | Style | Suggested Settings | |-----------|-------|-------------------| | 1m - 5m | Aggressive Scalping | ZLSMA: 20-32, CE ATR: 14-22 | | 15m - 1H | Moderate Scalping | ZLSMA: 32-50, CE ATR: 22-30 | | 4H - 1D | Swing Trading | ZLSMA: 50-100, CE ATR: 30-50 | ### Filter Combinations - **High Win Rate**: Enable RSI + Volume + EMA filters - **More Signals**: Disable RSI and Stochastic filters - **Trend Following**: Enable SuperTrend + MACD filters ### Risk Management - Always use the SL level provided - Consider taking partial profits at TP1 and TP2 - Let remaining position run to TP3 or use trailing stop --- ## ⚠️ Disclaimer This indicator is a tool to assist your trading decisions, not a guarantee of profits. Always: - Use proper risk management - Never risk more than you can afford to lose - Backtest on your preferred asset before live trading - Combine with your own analysis Past performance does not guarantee future results. Trading involves substantial risk of loss. --- ## 📝 Changelog **v1.0** (Initial Release) - ZLSMA + Chandelier Exit core system - 6 confirmation filters - 4 TP/SL modes - Real-time info table - Session filter - Comprehensive alert system --- ## 🙏 Credits - ZLSMA concept based on Zero Lag Moving Average principles - Chandelier Exit originally developed by Charles Le Beau --- **If you find this indicator helpful, please leave a like and follow for future updates!** *Happy Trading! 🚀*אינדיקטור Pine Script®מאת GODSTARYמעודכן 480
Institutional RSI Decision EngineInstitutional RSI Decision Engine (IRDE) The Institutional RSI Decision Engine (IRDE) is a decision-support indicator, not a trading strategy and not a signal generator.It is designed to help discretionary traders assess market readiness, pressure dynamics, and contextual alignment before considering execution.This tool does not predict price, place trades, or provide buy/sell signals. 🔍 What IRDE Evaluates IRDE combines multiple institutional-style filters to classify the quality of the current market environment: • RSI Pressure Exhaustion Uses a multi-speed RSI ensemble (5 / 9 / 14) to measure exhaustion strength, not single overbought/oversold signals. • Pressure State Identifies whether pressure is BUILDING, FADING, or NEUTRAL to avoid late reactions. • Trend Context Validates exhaustion direction using EMA-based structural alignment. • Institutional Location Checks proximity to: Daily High Daily Low VWAP using ATR-based tolerance. • Volatility Regime Classifies market conditions as ACTIVE, NORMAL, or DEAD using ATR expansion/contraction. • Higher-Timeframe Confirmation Re-evaluates the same RSI pressure logic on a user-defined higher timeframe. 🧩 Readiness vs Signals (Important) IRDE does NOT generate entries. Instead, it answers questions such as: Is the market structurally prepared? Is exhaustion pressure meaningful or weak? Is price reacting at a relevant location? Is volatility supportive or suppressive? READY dots indicate structural preparedness only — not trade entries. 📊 Setup Quality Scoring IRDE produces a Setup Quality Score (A / B / C) based on: Pressure strength Trend alignment Location validity HTF alignment Volatility regime Pressure behavior (building vs fading) This score represents contextual quality, not probability. 🖥️ User Interface The on-chart table provides full transparency, displaying: RSI pressure and direction HTF alignment Volatility regime Setup grade and score Reasoning behind the grade Market readiness state A compact UI mode is included for cleaner charts. ⚠️ Important Disclaimers • This is not a trading strategy • This script does not place trades • READY conditions are not entry signals • No indicator guarantees profitability • Always apply independent risk management Designed for traders who understand market structure and discretionary execution.אינדיקטור Pine Script®מאת Market_Logic_Indiaמעודכן 31
Trading Command Center# Trading Command Center (TCC) ## 📊 All-In-One Confluence Trading System **Stop guessing. Start confirming.** The Trading Command Center combines the most essential technical analysis tools into a single, unified indicator with a real-time **Confluence Dashboard** that tells you when multiple signals align—giving you higher-probability trade setups. --- ## 🎯 What Is Confluence Trading? Professional traders don't rely on a single indicator. Studies show that **85% of professional traders use 2+ indicators** to confirm entries. Confluence trading means waiting for multiple independent signals to agree before taking action. **One signal = noise. Multiple signals = conviction.** This indicator does the heavy lifting by: - Displaying all key technical levels on your chart - Automatically scoring bullish vs bearish signals - Alerting you when high-confluence setups appear --- ## 📦 What's Included ### On-Chart Overlays | Component | What It Shows | |-----------|---------------| | **EMAs (9, 21, 50, 200)** | Trend direction at multiple timeframes | | **VWAP + Bands** | Institutional fair value & standard deviation levels | | **Dynamic S/R Zones** | Auto-detected support/resistance with touch counts | | **Auto Trendlines** | Connecting recent pivot highs and lows | | **Volume Highlights** | Background shading when volume exceeds 1.5x average | ### Dashboard Analysis (Top Right Panel) | Indicator | Dashboard Shows | |-----------|-----------------| | **EMA Stack** | Perfect/partial bullish or bearish alignment | | **Price vs EMA 200** | Above/below with % distance | | **Price vs VWAP** | Intraday institutional bias | | **RSI (14)** | Value + overbought/oversold status | | **MACD** | Bullish/bearish + momentum direction + crosses | | **Volume** | Ratio vs 20-period average | | **ATR** | Current volatility level | | **Confluence Score** | Net score from -10 to +10 | --- ## 🚦 How The Confluence Score Works The system awards points for bullish and bearish conditions: ### Bullish Points - Perfect EMA stack (9 > 21 > 50 > 200): **+2** - Partial EMA alignment: **+1** - Price above VWAP: **+1** - RSI bullish (50-70): **+1** - RSI oversold (<30): **+2** *(potential reversal)* - MACD above signal: **+1** - MACD rising momentum: **+1** - MACD bullish cross: **+2** - Above 200 EMA: **+1** - High volume + green candle: **+1** ### Bearish Points *(Mirror of above for bearish conditions)* ### Signal Interpretation | Score | Meaning | |-------|---------| | **+5 to +10** | 🟢 STRONG BUY - Multiple confirmations aligned | | **+2 to +4** | Bullish bias | | **-1 to +1** | Neutral / Mixed signals | | **-2 to -4** | Bearish bias | | **-5 to -10** | 🔴 STRONG SELL - Multiple confirmations aligned | --- ## 📈 How To Use This Indicator ### For Trend Following 1. Check the **EMA Stack** status in the dashboard 2. Confirm price is on the correct side of **VWAP** 3. Wait for **confluence score ≥ +3** (longs) or **≤ -3** (shorts) 4. Use S/R zones for entry/exit targets ### For Reversal Trading 1. Look for **RSI overbought/oversold** conditions 2. Watch for price at a **Dynamic S/R Zone** 3. Wait for **MACD cross** confirmation 4. Enter when confluence supports the reversal ### For Day Trading 1. Use **VWAP** as your primary bias (above = long bias, below = short bias) 2. Trade pullbacks to **EMA 9/21** in the direction of VWAP 3. Avoid entries when **ATR** shows "HIGH VOL" (choppy conditions) 4. Target the opposite **VWAP band** or nearest S/R zone --- ## ⚙️ Recommended Settings ### Default (Works for most markets) All settings are optimized out of the box for stocks, crypto, and forex on 5min-Daily charts. ### Scalping (1-5 min charts) - Reduce Pivot Lookback to 5-7 - Reduce Zone Width to 0.3% ### Swing Trading (4H-Daily) - Increase Pivot Lookback to 15-20 - Increase Zone Width to 0.8-1.0% --- ## 🔔 Alerts Included - **Strong Bullish Confluence** - Multiple indicators aligned bullish - **Strong Bearish Confluence** - Multiple indicators aligned bearish - **MACD Bullish/Bearish Cross** - Momentum shift - **RSI Overbought/Oversold** - Extreme readings - **Volume Spike** - Volume exceeds 2.5x average --- ## 💡 Pro Tips 1. **Don't chase low-confluence setups** - Wait for score ≥ +3 or ≤ -3 2. **Respect the 200 EMA** - It defines the macro trend 3. **Volume confirms moves** - High volume signals are more reliable 4. **S/R zones with more touches are stronger** - Look for + touch counts 5. **MACD crosses near zero line are strongest** - Avoid extended readings --- ## ⚠️ Important Notes - **RSI, MACD, and ATR values are shown in the dashboard only** (not plotted separately). If you want the actual plots, add TradingView's built-in indicators alongside this one. - **This is a tool, not a trading system** - Always use proper risk management - **Past performance ≠ future results** - Confluence improves probability, not certainty --- ## 🔧 Customization All components can be toggled on/off: - Show/hide EMAs, VWAP, S/R Zones, Trendlines - Adjust all lengths and multipliers - Change colors to match your chart theme - Move dashboard position (all 4 corners) --- **Questions or suggestions?** Drop a comment below! *If this indicator helps your trading, please leave a like/follow—it helps others find it too.* --- **Tags:** confluence, ema, vwap, rsi, macd, support resistance, trendlines, volume, atr, dashboard, all-in-one, trading system, beginner friendlyאינדיקטור Pine Script®מאת DayTradingMD1992מעודכן 6
Commodity Channel Index - CCIOverview This enhanced Commodity Channel Index (CCI) indicator provides traders with a sophisticated visualization of market momentum and trend direction. By combining the classic CCI oscillator with customizable moving averages and advanced visual features, it offers clear signals for identifying bullish and bearish market conditions. Core Functionality Indicator Components CCI Oscillator - Measures how far current price deviates from its statistical average Moving Average Filter - Smooths CCI values using your choice of 7 MA types Visual Zones - Color-coded overbought/oversold areas with gradient fills Market Bias Display - Prominent bullish/bearish label for quick interpretation Key Features 📊 Customizable Calculations Adjust CCI period (default: 55) for sensitivity tuning Select MA type (EMA, SMA, WMA, HMA, etc.) and period (default: 30) for smoothing Flexible moving average system supporting multiple calculation methods 🎨 Advanced Visualization Dynamic Color Coding: CCI line turns green when bullish (>50), red when bearish (≤50) Gradient Fill Zones: Green gradient between CCI and midline for overbought region (200 to 0) Red gradient between CCI and midline for oversold region (0 to -100) Multiple Plot Layers: CCI line, MA line, midline, and fill areas for comprehensive view 🔍 Clear Signal Interpretation Bullish Condition: CCI > 50 (green zone) Bearish Condition: CCI ≤ 50 (red zone) Overbought Warning: CCI in upper gradient zone Oversold Opportunity: CCI in lower gradient zone 📱 User-Friendly Display Large "⬆️ Bullish" or "⬇️ Bearish" label in corner for immediate bias assessment Thick CCI line (width 3) for easy visibility Yellow MA line for trend direction confirmation Trading Applications Trend Identification Use CCI position relative to 50 midline for trend bias MA line confirms trend strength and direction Long periods (110/30) optimized for capturing sustained trends Potential Reversal Zones Gradient fills highlight overbought/oversold extremes Watch for CCI crossing the 50 level for trend change signals Combine with MA line crosses for confirmation Market Sentiment Assessment Quick visual scan of color reveals current market bias Label provides unambiguous bullish/bearish classification Multiple timeframes supported through adjustable periods Usage Recommendations 📈 For Trend Following: Trade in direction indicated by CCI > 50 (bullish) or ≤ 50 (bearish) Use MA line as dynamic support/resistance for CCI Consider entries when CCI pulls back toward 50 in trend direction 🔄 For Mean Reversion: Watch for extremes in gradient zones for potential reversals Monitor for CCI crossing back through 50 after reaching extremes Use MA line as confirmation for reversal validity ⚖️ For Confirmation: Pair with other indicators for signal confirmation Use as secondary tool to validate primary trading system signals Adjust periods to match your trading timeframe Customization Options CCI Length: Adjust sensitivity (higher = smoother, lower = more responsive) MA Type & Length: Choose smoothing method and period Visual Elements: All colors and fills are built-in but based on logic conditions Unique Advantages Immediate Clarity: Color-coding and label remove interpretation ambiguity Enhanced Visualization: Gradient fills provide intuitive overbought/oversold zones Dual Analysis: Combines oscillator (CCI) with trend tool (MA) in one view Flexible Configuration: Multiple MA types accommodate different trading styles This indicator transforms the traditional CCI into a comprehensive trading tool that provides clear visual cues for market direction, momentum extremes, and trend confirmation—all in a single, customizable package.אינדיקטור Pine Script®מאת Tiagorocha19898
BB + RSI Crossover SystemThe system should act with the following two indicators: 1) Bollinger band (50,2) and 2) RSI (30) The condition is : Draw a buy signal on the price chart when price crosses and closes above the lower bollinger band from below and the 14 sma crosses the rsi (30) from below.אינדיקטור Pine Script®מאת dipankarnagמעודכן 0
CMO Checklist (MHM)CMO Checklist is a manual trading checklist indicator designed to help traders confirm market conditions step by step. This tool is fully manual and does NOT generate signals. It is intended for discretionary traders who follow structured setups such as ICT / CMO-style execution models. Features: • Clean and compact checklist table • Manual check / uncheck via inputs • Fixed position (top-right) • No repaint • Pine Script v6 compatible This indicator does not generate trading signals. It is a visual checklist only. • Manual • Checklist • No signals • Educational / Trading tool אינדיקטור Pine Script®מאת Mohammad_MarketMavericks14
BB Strategy FINAL - NAPRAWIONAstrategia BB plus świece volumenowe. Wybicie procentowe poza wstęgi bolingera ustawiane ręcznie plus stochastic RSI. BB Strategy + Volume Spikes. Manual percentage breakout outside Bollinger Bands with Stochastic RSI filter.אסטרטגיית Pine Script®מאת Fuzzy197328
Long-Term Investment Manager [Manual]Long-Term Investment Manager (Manual) is a portfolio decision support indicator designed for investors managing long-horizon equity or crypto positions with a rules-based, evidence-informed framework. This script is not a trading signal generator and does not place orders. Instead, it functions as a structured portfolio advisor that contextualizes price action relative to trend, volatility, momentum, and your own cost basis, then translates that context into clear, interpretable guidance. Core Philosophy The indicator formalizes how disciplined long-term investors typically think: Stay invested in primary uptrends Protect capital when trends break Trim into strength, not fear Accumulate selectively during healthy pullbacks Anchor decisions to entry price and position size, not emotions What You Configure (Manual by Design) Average Buy Price – your actual cost basis Position Size – used for unrealized PnL calculation Profit Trim Targets – two customizable percentage levels Volatility Stop Multiplier – controls long-term trailing risk This ensures the indicator adapts to your portfolio, not a hypothetical backtest. Evidence-Based Components 200-period Simple Moving Average Defines the long-term trend using a widely accepted institutional standard. ATR-based Volatility Stop (Chandelier-style) Adjusts dynamically to market noise and provides an objective exit when the trend fails. Relative Strength Index (RSI) + Bollinger Bands Identifies extension and overheating for profit trimming, and controlled pullbacks for accumulation. Decision Hierarchy (Capital First) The logic prioritizes decisions in a strict order: Exit / Capital Protection Triggered when price breaks the volatility stop or falls below the long-term trend. Profit Management Graduated trimming based on extension and predefined return thresholds. Accumulation or Hold Differentiates between healthy pullbacks in an uptrend versus conditions that warrant patience. Visual & Dashboard Outputs Entry price and profit targets plotted directly on the chart Long-term trend and trailing stop visualized clearly A compact dashboard displaying: Return on investment percentage Unrealized profit or loss in currency terms Current recommended action Explicit reasoning behind that action Distance to stop as a quantified risk metric Intended Use This tool is best suited for: Long-term investors managing core positions Swing-to-position traders seeking structure and discipline Portfolio managers who prefer rules over reactions It is intentionally manual, transparent, and conservative—designed to support judgment, not replace it. Disclaimer: This indicator is for educational and informational purposes only and does not constitute financial advice. Always integrate broader risk management and personal judgment when making investment decisions.אינדיקטור Pine Script®מאת DayTradingMD19924
Asia range fibonacci deviationsThis is Asian session range deviation tool to measure possible reversalsאינדיקטור Pine Script®מאת leonyman18
Global Sessions & Kill Zones [jpkxyz]Global Sessions & ICT Kill Zones Indicator Overview The Global Sessions & ICT Kill Zones indicator is a comprehensive trading tool designed to help traders identify and visualize the most critical time periods in the 24-hour forex and futures markets. This indicator combines traditional trading session analysis with Inner Circle Trader (ICT) Kill Zone methodology, providing traders with a complete picture of when institutional activity and liquidity are at their peak. Trading Theory & Foundation Session-Based Trading The forex market operates 24 hours a day across four major trading sessions: Sydney, Tokyo, London, and New York. Each session has distinct characteristics in terms of volatility, liquidity, and price behavior. Understanding these sessions is crucial because: Volatility Patterns: Each session exhibits unique volatility profiles based on which markets are open and which institutional players are active Liquidity Concentration: Major price movements tend to occur when multiple sessions overlap, as more market participants are active simultaneously Market Structure: Session highs and lows often act as key support and resistance levels that price respects throughout the trading day Time-Based Strategies: Many professional traders structure their strategies around specific sessions that align with their preferred instruments and trading style ICT Kill Zones The Inner Circle Trader (ICT) methodology emphasizes specific time windows called "Kill Zones" - periods when institutional algorithms and smart money are most active. These time windows represent optimal trading opportunities because: Institutional Activity: Banks, hedge funds, and large institutions execute their orders during these predictable time windows Algorithmic Trading: Many institutional algorithms are programmed to operate during these specific periods Liquidity Sweeps: Kill Zones often feature stop hunts and liquidity grabs before directional moves Higher Probability Setups: Price is more likely to respect technical levels and follow through on setups during these periods The four ICT Kill Zones are: Asian Kill Zone (00:00-03:00 UTC): Early Asian session institutional activity London Kill Zone (07:00-10:00 UTC): London open and European institutional entry New York Kill Zone (12:00-14:00 UTC): New York open and North American institutional entry London Close Kill Zone (15:00-17:00 UTC): European session close and position squaring What This Indicator Visualizes Trading Session Boxes The indicator draws high-to-low range boxes for each major trading session: Sydney Session (21:00-06:00 UTC): Captures the Australian and early Asian trading activity Tokyo Session (00:00-09:00 UTC): Represents the main Asian trading period London Session (08:00-17:00 UTC): Covers the European trading hours New York Session (13:00-22:00 UTC): Encompasses North American trading activity Each session box displays: The session's high and low price levels Customizable colored borders and fills Labels showing the exact high and low values Real-time updates as price moves within the active session Session Overlaps The indicator automatically identifies and highlights all session overlaps with distinct colored boxes: Sydney/Tokyo Overlap: Asian liquidity concentration Tokyo/London Overlap: Asian-European transition period London/New York Overlap: The most volatile period with maximum liquidity Sydney/New York Overlap: Late US session into early Asian session These overlaps are crucial because they represent periods of increased liquidity when multiple major markets are operating simultaneously, often leading to significant price movements and breakouts. ICT Kill Zones Kill Zones are displayed as vertical background highlights that span the entire chart height during their active periods: Visual clarity: Semi-transparent colored backgrounds that don't obstruct price action Label identification: Each Kill Zone is labeled at its start for easy recognition Overlay capability: Kill Zones overlay on top of session boxes, allowing you to see both simultaneously Independent control: Each Kill Zone can be toggled on/off individually How Traders Can Use This Indicator Entry Timing Wait for Kill Zones: Use Kill Zones as your primary trading windows to increase the probability of institutional support for your trades Session Boundaries: Look for breakouts or reversals at session open/close times when new participants enter the market Overlap Periods: Focus on high-conviction setups during session overlaps when liquidity is highest Support & Resistance Session Highs/Lows: Previous session highs and lows often act as key support/resistance levels Sweep Setups: Watch for price to sweep session highs/lows during Kill Zones, then reverse (liquidity grab) Range Trading: Trade within session ranges during low-volatility periods, breakout during overlaps Risk Management Volatility Awareness: Adjust position sizing based on which session is active (London/NY overlap = highest volatility) Stop Placement: Position stops outside of key session levels to avoid being caught in normal intraday ranges Time-Based Exits: Consider exiting or tightening stops as sessions close and liquidity decreases Strategy Development Session-Specific Strategies: Develop different approaches for different sessions based on your instrument's behavior Kill Zone Confirmation: Require setups to occur within Kill Zones for higher probability trades Backtesting Framework: Use historical session and Kill Zone data to backtest time-based strategies Full Customizability Session Customization Every aspect of each trading session can be customized: Toggle Visibility: Show/hide any session independently Time Adjustment: Modify start and end hours to match your broker's server time or personal preference Color Schemes: Customize box colors and border colors for each session Transparency: Adjust fill transparency to see price action clearly while maintaining visual reference Kill Zone Customization Complete control over ICT Kill Zone display: Individual Toggles: Enable or disable each Kill Zone independently based on your trading style Color Selection: Choose distinct colors for each Kill Zone (default: Green, Blue, Yellow, Red) Transparency Control: All Kill Zones use 70% transparency by default, fully customizable Label Display: Toggle Kill Zone labels on/off via the main label settings Visual Preferences Border Control: Toggle session box borders on/off for cleaner charts Label Size: Choose from tiny, small, normal, large, huge, or auto-sizing for all labels Label Colors: Customize label background and text colors to match your chart theme Box Transparency: Set individual transparency levels for each session and overlap Overlap Customization All four session overlaps have independent color controls: Sydney/Tokyo Overlap Tokyo/London Overlap London/New York Overlap Sydney/New York Overlap Technical Features Midnight Handling The indicator uses advanced hour-based detection that seamlessly handles sessions crossing midnight (like Sydney's 21:00-06:00 UTC timeframe) without breaking the visualization into separate boxes. Real-Time Updates Active Sessions: Boxes extend and update in real-time as price moves during active sessions High/Low Tracking: Session highs and lows are continuously updated until the session closes Kill Zone Detection: Background colors appear/disappear precisely at Kill Zone boundaries Clean Chart Integration Minimal Clutter: Only shows active and recently completed sessions Overlay Friendly: Works seamlessly with other indicators and doesn't obstruct price action Performance Optimized: Efficient code that doesn't slow down chart rendering Ideal For Forex Traders: Track the four major forex sessions and plan trades around overlaps Futures Traders: Identify when specific futures markets have peak activity ICT Students: Implement Inner Circle Trader concepts with visual Kill Zone references Session Traders: Build strategies around specific session characteristics Scalpers & Day Traders: Focus on high-liquidity periods for tighter spreads and better fills Swing Traders: Use session levels as key support/resistance for multi-day trades Best Practices Start Simple: Enable only the sessions and Kill Zones relevant to your instruments Color Code Strategically: Use colors that stand out on your chart theme but don't overwhelm Combine with Price Action: Use session levels and Kill Zones as context, not as standalone signals Match Your Timezone: Adjust session times if your broker uses non-UTC server time Focus on Overlaps: Pay special attention to London/New York overlap for highest-probability setups Journal Performance: Track which sessions and Kill Zones work best for your strategy Conclusion The Global Sessions & ICT Kill Zones indicator provides traders with institutional-grade time-based analysis in a highly customizable, visually clear format. By combining traditional session analysis with modern ICT Kill Zone theory, traders gain a comprehensive understanding of when markets are most likely to move and where key levels are established. Whether you're a scalper looking for the highest liquidity periods or a swing trader using session levels for support/resistance, this indicator adapts to your needs while keeping your charts clean and professional. Trade smarter by trading when the market is most active and predictable.אינדיקטור Pine Script®מאת jpkxyz23
Dollar Normalized Volume & IMOEXThe volume in money on all tickers + the total volume on the IRUS and IRUS2 tickers. The volume in money is the good old DNV, it displays the volume in money, not in lots on all instruments. Added a display of the total volume for the Moscow Exchange index IMOEX and IMOEX2 (IRUS and IRUS2). The indicator takes the volume values of the top 30 companies in the Moscow Exchange index, summarizes them and displays them on the IRUS and IRUS2 charts. ••• Объем в деньгах на всех тикерах + суммарный объем на тикерах IRUS и IRUS2. Объем в деньгах - старый добрый DNV, отображает объем в деньгах, а не в лотах на всех инструментах. Добавил отображение суммарного объема для индекса Мосбиржи IMOEX и IMOEX2 (IRUS и IRUS2). Индикатор берет значения объема топ-30 компаний индекса мосбиржи, суммирует и отображает на графиках IRUS и IRUS2.אינדיקטור Pine Script®מאת BaqumP22
SPX & VIX Overnight Gap and Gap % w/VIX Open Displays SPX and VIX Overnight gaps in points and percentage with VIX open value. Display boxes change color depending on gap up (green) or gap down (red) Optional vertical line which changes color depending on the gap direction placed at the first bar. אינדיקטור Pine Script®מאת jbob548
SPX highlight Risk IndicatorIndicator shows orange bars in instances where: VIX > 21dma Spreads > 21dma % S&P stocks above 50dma < 21dma Indicator shows red bars in instances where: VIX > 50dma Spreads > 50dma % S&P stocks above 50dma < 50dmaאינדיקטור Pine Script®מאת Bob_Kazamakis7
Bigul Index Analysis"Bigul Index Analysis" is a comprehensive TradingView Pine Script v5 indicator that combines consolidation zone detection with standard pivot point levels for professional index trading analysis. Core Features Consolidation Zones Detects price consolidation periods using zigzag pivot logic over a configurable loopback period (default: 10 bars) Identifies when price forms tight ranges lasting minimum length (default: 5 bars) Paints consolidation areas with customizable semi-transparent zones Draws dynamic upper (red dashed) and lower (lime dashed) boundary lines Generates breakout alerts when price breaks above/below established zones Pivot Point Levels Calculates Standard Pivot Points (PP, R1, S1) using previous day's High, Low, Close PP = (High + Low + Close) / 3 R1 = 2 × PP - Low S1 = 2 × PP - High Plots Yesterday's High/Low as key reference levels Multiple display options: continuous lines, endpoint labels, or both Visual Elements text 📊 Information Table (Top Right) ┌─────────┬──────────┐ │ Level │ Value │ ├─────────┼──────────┤ │ PP │ 24567.89 │ ← Yellow │ R1 │ 24890.12 │ ← Red │ S1 │ 24245.67 │ ← Green │ YH/YL │ 24912/24123 │ ← Blue └─────────┴──────────┘ Color Coding: 🟡 Yellow line: Pivot Point (PP) 🔴 Red line: Resistance 1 (R1) 🟢 Green line: Support 1 (S1) 🟠 Orange stepline: Yesterday High 🟣 Purple stepline: Yesterday Low 🔵 Blue zone: Consolidation area ➖ Red/Lime dashed: Zone boundaries Trading Signals & Alerts 5 Alert Conditions: Consolidation Breakout UP - Price breaks above zone Consolidation Breakout DOWN - Price breaks below zone Price Above R1 - Close crosses above R1 level Price Below S1 - Close crosses below S1 level Customization Options text Loopback Period: 2-50 bars (default: 10) Min Consolidation Length: 2-20 bars (default: 5) Paint Zones: Toggle on/off Zone Color: Customizable transparency Pivot Display: Lines / Labels / Both Toggle Pivot Points & Yesterday H/L independently Use Case for Bigul Index Trading Perfect for NIFTY/BANKNIFTY intraday analysis: Identify consolidation zones for breakout setups Use pivot levels as intraday support/resistance Yesterday H/L as key reference for stop-loss/target Multiple timeframe confirmation with table values Strategy Example: Long when price breaks consolidation zone upward AND above PP/R1 confluenceאינדיקטור Pine Script®מאת sudipta68912