Entry ChecklistThis Pine Script creates a checklist table displayed in the bottom-right corner of the chart. It shows:
1. Whether the next earnings date is within the next 2 weeks
2. Whether the current month is a traditionally weak month (May, August, or September)
Each row includes:
• A check title
• The current value (e.g., date or month)
• A ❌ red cross if the condition is met (warning signal)
Useful for quickly assessing seasonal and earnings-related risks.
חפש סקריפטים עבור "entry"
ENTRY CONFIRMATION V2An indicator from candle man. Helps determine whether supply and demand zone are truly supply or demand.
Entry Percent: EssamThis Pine Script code is designed to perform the task of computing and showcasing the profit percentage, profit value, and the duration for which a specific asset is held, all in real-time. The script effectively leverages the built-in resources to provide a seamless and robust experience, as it presents the calculated figures in an easily readable format on the chart, without causing any lag or disruptions to the chart.
Positional Swings by Batman TradesEntry and Exit Signals for higher timeframes based on Ema & Sma with RSI overbought/oversold plots for possible reversal indication.
It can be used for booking profit in the existing trade and take fresh position once the new candle breaks the high/low of alert candle depending upon the side.
Best work with high timeframes. (>1 Hour)
Best recommended for stocks
Entry Size 1barCalculates how many lots (100) you should buy/sell for any given bar with a fixed risk in USD and shows if Long (L), Short (S) or wait (w) with a label.
Requires max loss per week, trading days per day and lossing trading per day.
Entry Band(trial)This indicator is trial version. You can use for a month for free.
The indicator includes moving average and exponential moving average .
you can set the parameters you want.
you can see the trend.
green : up trend
orange : down trend
if you want to use this indicator, Please join the URL:
Entry BandThe indicator includes moving average and exponential moving average.
you can set the parameters you want.
you can see the trend.
green : up trend
orange : down trend
if you want to use this indicator, Please join the URL:
Entry FactorFind the most relevant price direction changes with ease, with this geometry-based indicator.
Stop wasting your time with moves that don't offer a satisfactory range for good profits.
Entry Bars -This algorithm takes in consideration Media averages, Volatility Movements and other Mathematical Properties.
-After adding this signal on TradingView, you will get notified every of potential long and short points triggered by the indicator.
-This signal alerts you anytime bars form a bullish or bearish pattern and price start to move in the suggested direction.
-It works in any time frame or market like Forex, Crypto, Commodities even Stocks.
-Recommended for bots or manual trading.
Do you need an Script or an expert adviser for Forex, contact our coding service
Get this indicator today! contact us
RocketScalperEntry follows the first normal candle after the highlights - use in conjunction with basic patterns, SFPs, and the until1mil indicators (SSO/MACD/MI/BZ)
[MV] %B with SMA + Volume Based Colored Bars
Entry Signal when %B Crosses with SMA and this is more meaningful if it supports colored bars.
Black Bar when prices go down and volume is bigger than 150% of its average, that indicates us price action is supported by a strong bearish volume
Blue Bar when prices go up and volume bigger than 150% of its average, that indicates us price action is supported by a strong bullish volume
VBC author @KIVANCfr3762
FX Sniper: T3-CCI Strategy - With 100 IndicatorsEntry signal when moving above -100, sell signal when going below 100
Amazing Crossover SystemEntry Rules
BUY when the 5 EMA crosses above the 10 EMA from underneath and the RSI crosses above the 50.0 mark from the bottom.
SELL when the 5 EMA crosses below the 10 EMA from the top and the RSI crosses below the 50.0 mark from the top.
Make sure that the RSI did cross 50.0 from the top or bottom and not just ranging tightly around the level.
How to setup Alert:
1) Add the Amazing Crossover System to your chart via Indicators
2) Find your currency pair
3) Set the timeframe on the chart to 1 hour
4) Press 'Alt + A' (create alert shortcut)
5) Set the following criteria for the alert:
Condition = 'Amazing Crossover System', Plot, ' BUY Signal'
The rest of the alert can be customized to your preferences
5) Repeat steps 1 - 4, but set the Condition = 'Amazing Crossover System', Plot, ' SELL Signal'
S50 Complete Hedge & Trade SystemTFEX:S501!
คู่มือการเทรด CALENDAR SPREAD
1. กลยุทธ์หลัก: MEAN REVERSION SPREAD TRADING
หลักการ:
- Spread ระหว่าง series จะมีค่าเฉลี่ย (Mean) และแกว่งไปมารอบๆ ค่าเฉลี่ยนี้
- เมื่อ Spread เบี่ยงเบนไปจาก Mean มากเกินไป จะกลับมาหาค่าเฉลี่ย (Mean Reversion)
2. INDICATORS ที่ใช้
A. Z-Score
Z-Score = (Spread ปัจจุบัน - Spread เฉลี่ย) / Standard Deviation
การตีความ:
- Z > +2.0 → Spread แพงเกินไป → SHORT spread
- Z < -2.0 → Spread ถูกเกินไป → LONG spread
- Z ≈ 0 → Spread อยู่ที่ค่าเฉลี่ย → EXIT
B. Correlation
Correlation > 0.9 = ดีมาก (เคลื่อนไหวพร้อมกัน 90%+)
Correlation > 0.7 = ดี (ใช้ได้)
Correlation < 0.7 = ไม่แนะนำ (Hedge ไม่มีประสิทธิภาพ)
C. Beta & Hedge Ratio
Beta = Cov(S1, S2) / Var(S2)→ บอกว่า S1 เคลื่อนไหวเท่าไหร่เมื่อ S2 เคลื่อนไหว 1 หน่วย
Hedge Ratio = Beta→ ใช้คำนวณจำนวน contract ที่ต้อง hedge
3. วิธีการเทรด SPREAD (ทีละขั้นตอน)
STEP 1: หาโอกาส
เงื่อนไข Entry:
1. |Z-Score| >= 2.0
2. Correlation > 0.7
3. Signal = "SHORT SPREAD" หรือ "LONG SPREAD"
STEP 2: คำนวณ Position Size
ตัวอย่าง:
- Account Size = 1,000,000 บาท
- Risk Per Trade = 2% = 20,000 บาท
- Spread Std Dev = 15 จุด
- Stop Loss = 1.0x Std Dev = 15 จุด
- S50 มูลค่า = 5 บาท/จุด
Position Size = Risk Amount / (SL Distance × Point Value)
= 20,000 / (15 × 5)
= 20,000 / 75
= 266 contracts (ปัดเป็น 26 สัญญา)
STEP 3: คำนวณ Hedge Ratio
สมมติ: Beta (S1:S2) = 1.05
ถ้าเทรด SHORT S2-S1 spread:
- Sell S2: 26 contracts
- Buy S1: 26 × 1.05 = 27.3 → ปัดเป็น 27 contracts
Portfolio Delta ≈ 0 (Market Neutral)
4. ตัวอย่างการเทรดจริง
SCENARIO A: SHORT SPREAD (Z-Score = +2.5)
สถานการณ์:
- S2-S1 Spread = 50 จุด
- Spread MA = 35 จุด
- Spread Std Dev = 6 จุด
- Z-Score = (50-35)/6 = +2.5 ⚠️ แพงเกินไป
- Correlation = 0.92 ✅
- Beta = 1.05
TRADE PLAN:
1. SELL S2: 10 contracts @ 1,200
2. BUY S1: 10 × 1.05 = 10.5 → 11 contracts @ 1,150
Initial Spread = 50 จุด
Take Profit (TP):
- Target Spread = MA = 35 จุด
- TP Distance = 50 - 35 = 15 จุด
- Profit = 15 × 5 = 75 บาท/spread
- Total Profit = 75 × 10 = 750 บาท
Stop Loss (SL):
- SL Spread = MA + (1.5 × Std Dev) = 35 + 9 = 44 จุด
- SL Distance = 50 - 44 = 6 จุด (ผิดพลาด - ควรเป็น 50 + 6 = 56)
- Loss = 6 × 5 × 10 = 300 บาท
Risk:Reward = 300:750 = 1:2.5
SCENARIO B: LONG SPREAD (Z-Score = -2.3)
สถานการณ์:
- S3-S2 Spread = 20 จุด
- Spread MA = 35 จุด
- Spread Std Dev = 6.5 จุด
- Z-Score = (20-35)/6.5 = -2.3 ⚠️ ถูกเกินไป
- Correlation = 0.88 ✅
- Beta = 1.03
TRADE PLAN:
1. BUY S3: 10 contracts @ 1,230
2. SELL S2: 10 × 1.03 = 10.3 → 10 contracts @ 1,210
Initial Spread = 20 จุด
Take Profit:
- Target Spread = 35 จุด
- Profit = (35-20) × 5 × 10 = 750 บาท
Stop Loss:
- SL Spread = MA - (1.5 × Std Dev) = 35 - 9.75 = 25.25 จุด
- SL = 20 - (20-25.25) = 14 จุด
- Loss = 6 × 5 × 10 = 300 บาท
5. RISK MANAGEMENT
A. Position Sizing Rules
1. อย่าเสี่ยงเกิน 2-3% ต่อการเทรด
2. ใช้ Beta Hedge Ratio เสมอ
3. ตรวจสอบ Margin requirement
B. Stop Loss Strategy
วิธีที่ 1: Fixed Std Dev
- SL = Entry ± (1.0-1.5x Std Dev)
วิธีที่ 2: ATR-based
- SL = Entry ± (1.5x ATR)
วิธีที่ 3: Time-based
- ปิดภายใน 3-5 วัน ถ้าไม่ได้กำไร
C. Take Profit Strategy
วิธีที่ 1: Target MA
- TP เมื่อ Spread กลับมาที่ MA
วิธีที่ 2: Partial Profit
- ปิด 50% เมื่อได้ 1x Std Dev
- ปิดอีก 50% เมื่อ Z-Score = 0
วิธีที่ 3: Trailing Stop
- Trailing SL = 0.5x Std Dev
6. สูตรคำนวณสำคัญ
1. Position Size
position_size = (account_size × risk_pct) / (sl_distance × point_value)
2. Hedge Contracts
hedge_contracts = position_size × beta
3. Profit/Loss Calculation
pnl = (exit_spread - entry_spread) × contracts × point_value
4. Risk:Reward Ratio
risk = sl_distance × contracts × point_value
reward = tp_distance × contracts × point_value
rr_ratio = reward / risk // ควร >= 2:1
5. Spread Value
spread_value = price_far - price_near
7. CHECKLIST ก่อนเทรด
☐ Z-Score >= ±2.0
☐ Correlation > 0.7
☐ Beta Hedge Ratio คำนวณแล้ว
☐ Position Size ไม่เกิน 2-3% risk
☐ TP/SL กำหนดชัดเจน
☐ Risk:Reward >= 2:1
☐ Margin เพียงพอ
☐ ตรวจสอบ Expiry Date ทั้ง 2 series
8. เทคนิคขั้นสูง
A. Calendar Roll Strategy
เมื่อ Near series ใกล้หมดอายุ:
1. ปิด Near leg
2. เปิด Next series leg ใหม่
3. รักษา Spread position ต่อไป
B. Butterfly Spread
ใช้ 3 series พร้อมกัน:
- Buy S1
- Sell 2×S2
- Buy S3
เหมาะกับตลาดไซด์เวย์
C. Dynamic Hedging
ปรับ Hedge Ratio ตาม:
- Beta ที่เปลี่ยนแปลง
- Volatility
- Time to Expiry
Position Trdaing Lines (2 entries + live PnL)Position Trading Lines (2 entries + live PnL) is a utility script designed to visually manage a manual position on the chart, with clear TP/SL levels and real-time profit & loss.
The script does not place orders. It is meant to help you simulate / track an existing or planned position.
Features
• Up to 2 trades on the same symbol
• Each trade has:
• Direction: Long / Short
• Position size (lot)
• Entry price
• Take Profit (T.Profit) price
• Stop Loss (S.Loss) price
• Entry shift in bars from the last candle (to align with past or future entries)
• Visual lines on the price chart
• Horizontal line at the entry price
• Horizontal line at Take Profit
• Horizontal line at Stop Loss
• Informative labels
• Entry label showing: direction, size and @ entry price
• TP and SL labels showing:
• T.Profit / S.Loss
• position size
• @ price
• estimated PnL at that level
• If both trades share the same TP or SL price, a single combined label is shown with the total size and total PnL.
• Commissions
• Global commission input (percentage over notional).
• Commission is included in all PnL calculations.
• Live PnL label
• Real-time combined PnL of the active trades, updated on the last bar.
• Color changes with sign (green for profit, red for loss).
• Selective PnL for Trade 2
• Trade 2 has a switch: “Count PnL in total”.
• You can keep Trade 2 visible on the chart but exclude it from the combined PnL until it is actually active.
This tool is useful for discretionary traders who want a clean visual representation of their position, R:R, and projected outcomes directly on the chart, without relying on the broker’s position panel.
[Yorsh] BJN iFVG Model BJN iFVG Model - Mechanical Trading System
Description:
The BJN iFVG Model is not just an indicator; it is a full-scale, semi-automated trading architecture designed to mechanically execute the specific "BJN" Inverted FVG strategy.
Designed for precision traders operating on Lower Timeframes (1m to 5m), this script eliminates the cognitive load of manual analysis. It automates every single step of the mechanical model—from Higher Timeframe narrative building to tick-perfect structural validation and risk calculation.
This tool transforms your chart into a professional trading cockpit, split into three intelligent engines:
1. The Matrix (Context Engine)
Before looking for an entry, you must understand the narrative. The Matrix handles the heavy lifting of multi-timeframe analysis without cluttering your chart:
Real-Time Delivery State: Automatically detects if price is reacting from valid HTF PD Arrays (1H, 4H, Daily) to confirm a "Delivery" state.
Liquidity Sweeps: Tracks Fractals across three dimensions (1H, 15m, and Micro-Structure) to identify liquidity raids instantly.
Advanced SMT Divergence: A built-in, multi-mode SMT engine scans for correlation breaks (Pivot SMT, Adjacent Wick SMT, and FVG SMT) between NQ/ES (or custom tickers) in real-time.
Time & Macro Tracking: Automatically visualizes Killzones and highlights high-probability Macro windows.
2. The Executioner (Entry Engine)
Once the context is set, the Executioner handles the specific Inverted FVG (iFVG) entry model with strict mechanical rules:
Structural Integrity: Automatically identifies the Invalidation Point (IP), Floor/Ceiling, and Break-Even levels for every setup.
Hazard Detection: The script proactively scans the "Trading Leg" for opposing unmitigated FVGs (Hazards). If the path isn't clean, the trade is flagged or invalidated.
Composite Logic: Intelligently merges "noisy" price action into Composite FVGs to reduce false signals.
Integrated Position Sizer: When a trade is confirmed, a visual box appears showing your precise Entry, Stop Loss, Hard Stop, and Take Profit levels, along with a calculated Contract Quantity based on your risk tolerance.
3. The Ranking System (Quality Control)
Not all trades are created equal. This system grades every single confirmed setup in real-time based on confluence factors:
Grades: Ranges from A++ (Perfect Confluence) to C (Low Probability).
Confluence Check: Checks for Delivery, Sweeps (HTF/LTF), SMT, and Macro alignment at the exact moment of the trigger.
Live Status Panel: A dashboard on your chart displays the current live trade status (Armed, Triggered, Confirmed) and its Rank, so you never miss a beat.
Optimization & Performance
Trading on the 1-minute timeframe requires speed. This script has been rigorously optimized for high-frequency environments:
Smart Garbage Collection: The script manages its own memory, cleaning up old data arrays to prevent lag, ensuring the chart remains fluid even after days of data accumulation.
Tunnel Vision: Calculations are strictly focused on the relevant trading leg, ignoring historical noise to maximize execution speed.
Zero-Repaint: All historical analysis is strictly non-repainting to ensure backtesting reliability.
How to Use
Timeframes: Optimized for 1m, 2m, 3m, 4m, 5m execution.
Alerts: Configure the robust alert system to notify you only when setups meet your standards (e.g., "Alert only on Rank B+ or higher").
Strategy: Wait for the Status Panel to show a "CONFIRMED" signal. Use the on-screen Position Sizer to execute the trade with the displayed risk parameters.
Stop analyzing; start executing. Welcome to mechanical trading.
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RISK DISCLAIMER:
The content, tools, and signals generated by this script are strictly for educational and informational purposes only. This script does not constitute financial advice, investment recommendations, or a solicitation to buy or sell any securities, futures, or other financial instruments.
Trading financial markets involves a high degree of risk and is not suitable for all investors. The "Position Sizer" and "Trade Setups" displayed are hypothetical simulations designed to demonstrate the mechanics of the BJN methodology; they do not guarantee future performance.
Use this tool at your own risk. The author assumes no responsibility or liability for any trading losses or damages incurred in connection with the use of this script. Always consult with a qualified financial advisor and practice proper risk management.






















