52SIGNAL RECIPE Whale Smart Money Detector52SIGNAL RECIPE Whale Smart Money Detector
◆ Overview
52SIGNAL RECIPE Whale Smart Money Detector is an innovative indicator that detects the movements of whales (large investors) in the cryptocurrency market in real-time. This powerful tool tracks large-scale trading activities that significantly impact the market, providing valuable signals before important market direction changes occur. It can be applied to any cryptocurrency chart, allowing traders to follow the movements of big money anytime, anywhere.
The unique strength of this indicator lies in its comprehensive analysis of volume surges, price volatility, and trend strength to accurately capture whale market entries and exits. By providing clear visual representation of large fund flow data that is difficult for ordinary traders to detect, you gain the opportunity to move alongside the big players in the market.
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◆ Key Features
• Whale Activity Detection System: Analyzes volume surges and price impacts to capture large investor movements in real-time
• Precise Volume Analysis: Distinguishes between regular volume and whale volume to track only meaningful market movements
• Market Impact Measurement: Quantifies and analyzes the real impact of whale buying/selling on the market
• Continuity Tracking: Follows market direction continuity after whale activity to confirm signal validity
• Intuitive Visualization: Easily identifies whale activity points through color bar charts and clear labels
• Trend Strength Display: Calculates and displays current market buy/sell strength in real-time in a table
• Whale Signal Filtering: Applies multiple filtering systems to detect only genuine whale activity
• Customizable Sensitivity Settings: Offers flexible parameters to adjust whale detection sensitivity according to market conditions
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◆ Understanding Signal Types
■ Whale Buy Signal
• Definition: Occurs when volume increases significantly above average, immediate volume impact is large, and price rises beyond normal volatility
• Visual Representation: Translucent blue bar coloring with "🐋Whale Buying Detected!" label on the candle where the buy signal occurs
• Market Interpretation: Indicates that large funds are actively buying the coin, which is likely to lead to price increases
■ Whale Sell Signal
• Definition: Occurs when volume increases significantly above average, immediate volume impact is large, and price falls beyond normal volatility
• Visual Representation: Translucent pink bar coloring with "🐋Whale Selling Detected!" label on the candle where the sell signal occurs
• Market Interpretation: Indicates that large funds are actively selling the coin, which is likely to lead to price decreases
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◆ Understanding Trend Analysis
■ Trend Analysis Method
• Definition: Measures current trend and strength by analyzing the ratio of up/down candles over a set period
• Visual Representation: Displayed in the table as "BUY" and "SELL" percentages, with the current trend clearly marked as "BULLISH", "BEARISH", or "NEUTRAL"
• Calculation Method:
▶ Buy ratio = (Number of up candles) / (Total analysis period)
▶ Sell ratio = (Number of down candles) / (Total analysis period)
▶ Current trend determined by the dominant ratio as "BULLISH" or "BEARISH"
■ Trend Utilization Methods
• Whale Signal Confirmation: Signal reliability increases when whale signals align with the current trend
• Reversal Point Identification: Opposing whale signals during strong trends may indicate important reversal points
• Market Strength Assessment: Understand the balance of power in the current market through buy/sell ratios
• Signal Context Understanding: Consider trend information alongside whale signals for interpretation in a broader market context
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◆ Indicator Settings Guide
■ Key Setting Parameters
• Volume Impact Factor:
▶ Purpose: Sets the minimum multiplier for immediate volume impact to be considered whale activity
▶ Lower values: Generate more signals, detect smaller whales
▶ Higher values: Fewer signals, detect only very large whales
▶ Recommended range: 2.0-4.0 (adjust according to market conditions)
• Sensitivity Factor:
▶ Purpose: Adjusts sensitivity of price movement relative to normal volatility
▶ Lower values: Increased sensitivity, more signals generated
▶ Higher values: Decreased sensitivity, only stronger price impacts detected
▶ Recommended range: 0.2-0.5 (set higher in highly volatile markets)
• Trend Analysis Period:
▶ Purpose: Sets the number of candles to calculate buy/sell ratios
▶ Lower values: More responsive to recent trends
▶ Higher values: More stable analysis considering longer-term trends
▶ Recommended range: 30-70 (adjust according to trading style)
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◆ Synergy with Other Indicators
• Key Support/Resistance Levels:
▶ Whale signals occurring near important technical levels have higher reliability
▶ Coincidence of weekly/monthly pivot points and whale signals confirms important price points
• Moving Averages:
▶ Pay attention to whale signals near key moving averages (50MA, 200MA)
▶ Simultaneous occurrence of moving average breakouts and whale signals indicates important technical events
• Volume Profile:
▶ Whale activity near high volume nodes confirms important price levels
▶ Whale signals at low volume nodes may indicate possibility of rapid price movements
• Volatility Indicators:
▶ Whale signals after periods of low volatility may mark the beginning of new market movements
▶ Whale signals after Bollinger Band contraction may be precursors to large movements
• Market Structure:
▶ Whale signals near key market structures (higher highs/lows, lower highs/lows) suggest structural changes
▶ Coincidence of market structure changes and whale activity may signal important trend changes
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◆ Conclusion
52SIGNAL RECIPE Whale Smart Money Detector tracks the trading activities of large investors in the cryptocurrency market in real-time, providing traders with valuable insights. Because it can be applied to any cryptocurrency chart, you can utilize it immediately on your preferred trading platform.
The core value of this indicator is providing intuitive visualization of large fund flows that are easily missed by ordinary traders. By comprehensively analyzing volume surges, immediate price impacts, and trend continuity to accurately capture whale activity, you gain the opportunity to move alongside the big players in the market.
Clear buy/sell signals and real-time trend strength measurements help traders quickly grasp market conditions and understand market direction. By integrating this powerful tool into your trading system, gain insights into where the market's smart money is flowing for better market understanding.
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※ Disclaimer: Like all trading tools, the 52SIGNAL RECIPE Whale Smart Money Detector should be used as a supplementary indicator and not relied upon exclusively for trading decisions. Past patterns of whale behavior may not guarantee future market movements. Always employ appropriate risk management strategies in your trading.
52SIGNAL RECIPE Whale Smart Money Detector
◆ 개요
52SIGNAL RECIPE Whale Smart Money Detector는 암호화폐 시장에서 고래(대형 투자자)의 움직임을 실시간으로 감지하는 혁신적인 지표입니다. 이 강력한 도구는 시장에 큰 영향을 미치는 대규모 트레이딩 활동을 추적하여 중요한 시장 방향 전환이 일어나기 전에 귀중한 신호를 제공합니다. 모든 암호화폐 차트에 적용 가능하여 트레이더들이 언제 어디서든 대형 자금의 움직임을 따라갈 수 있게 해줍니다.
이 지표의 독보적인 강점은 거래량 급증, 가격 변동성, 그리고 추세 강도를 종합적으로 분석하여 고래의 시장 진입과 퇴출을 정확히 포착한다는 점입니다. 일반 트레이더들이 놓치기 쉬운 대형 자금의 흐름 데이터를 시각적으로 명확하게 제공함으로써, 여러분은 시장의 큰 손들과 함께 움직일 수 있는 기회를 얻게 됩니다.
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◆ 주요 특징
• 고래 활동 감지 시스템: 거래량 급증과 가격 임팩트를 분석하여 대형 투자자의 움직임을 실시간으로 포착
• 정밀한 거래량 분석: 일반 거래량과 고래 거래량을 구분하여 의미 있는 시장 움직임만 추적
• 시장 영향력 측정: 고래의 매수/매도가 시장에 미치는 실질적 영향력을 수치화하여 분석
• 연속성 추적: 고래 활동 이후 시장 방향의 지속성을 추적하여 신호의 유효성 확인
• 직관적 시각화: 컬러 바 차트와 명확한 라벨을 통해 고래 활동 지점을 쉽게 식별
• 추세 강도 표시: 현재 시장의 매수/매도 강도를 실시간으로 계산하여 테이블에 표시
• 고래 신호 필터링: 진정한 고래 활동만 감지하도록 다중 필터링 시스템 적용
• 맞춤형 감도 설정: 시장 상황에 따라 고래 감지 감도를 조절할 수 있는 유연한 파라미터 제공
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◆ 신호 유형 이해하기
■ 고래 매수 신호
• 정의: 거래량이 평균보다 크게 증가하고, 즉각적인 거래량 충격이 크며, 가격이 정상 변동성을 초과하여 상승할 때 발생
• 시각적 표현: 매수 신호가 발생한 캔들에 반투명 파란색 바 컬러링과 함께 "🐋Whale Buying Detected!" 라벨 표시
• 시장 해석: 대형 자금이 적극적으로 코인을 매수하고 있으며, 이는 곧 가격 상승으로 이어질 가능성이 높음을 의미
■ 고래 매도 신호
• 정의: 거래량이 평균보다 크게 증가하고, 즉각적인 거래량 충격이 크며, 가격이 정상 변동성을 초과하여 하락할 때 발생
• 시각적 표현: 매도 신호가 발생한 캔들에 반투명 분홍색 바 컬러링과 함께 "🐋Whale Selling Detected!" 라벨 표시
• 시장 해석: 대형 자금이 적극적으로 코인을 매도하고 있으며, 이는 곧 가격 하락으로 이어질 가능성이 높음을 의미
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◆ 추세 분석 이해하기
■ 추세 분석 방식
• 정의: 설정된 기간 동안의 상승/하락 캔들 비율을 분석하여 시장의 현재 추세와 강도를 측정
• 시각적 표현: 테이블에 "BUY"와 "SELL" 비율이 백분율로 표시되며, 현재 추세가 "BULLISH", "BEARISH" 또는 "NEUTRAL"로 명확하게 표시됨
• 계산 방식:
▶ 매수 비율 = (상승 캔들 수) / (전체 분석 기간)
▶ 매도 비율 = (하락 캔들 수) / (전체 분석 기간)
▶ 우세한 비율에 따라 "BULLISH" 또는 "BEARISH" 추세 결정
■ 추세 활용 방법
• 고래 신호 확인: 고래 신호가 현재 추세와 일치할 때 신호의 신뢰도가 높아짐
• 반전 포인트 식별: 강한 추세 속에서 발생하는 반대 방향의 고래 신호는 중요한 반전 포인트일 수 있음
• 시장 강도 평가: 매수/매도 비율을 통해 현재 시장의 세력 균형 파악
• 신호 발생 맥락 이해: 추세 정보와 고래 신호를 함께 고려하여 더 넓은 시장 컨텍스트에서 해석
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◆ 지표 설정 가이드
■ 주요 설정 매개변수
• Volume Impact Factor (거래량 임팩트 요소):
▶ 목적: 고래 활동으로 간주할 즉각적인 거래량 충격의 최소 배수 설정
▶ 낮은 값: 더 많은 신호 생성, 작은 고래도 감지
▶ 높은 값: 더 적은 신호, 매우 큰 고래만 감지
▶ 권장 범위: 2.0-4.0 (시장 상황에 따라 조정)
• Sensitivity Factor (민감도 요소):
▶ 목적: 정상 변동성 대비 가격 변동의 민감도 조절
▶ 낮은 값: 민감도 증가, 더 많은 신호 생성
▶ 높은 값: 민감도 감소, 더 강한 가격 충격만 감지
▶ 권장 범위: 0.2-0.5 (변동성이 높은 시장에서는 높게 설정)
• Trend Analysis Period (추세 분석 기간):
▶ 목적: 매수/매도 비율을 계산할 캔들 수 설정
▶ 낮은 값: 최근 추세에 더 민감하게 반응
▶ 높은 값: 더 긴 기간의 추세를 고려하여 안정적인 분석
▶ 권장 범위: 30-70 (트레이딩 스타일에 따라 조정)
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◆ 다른 지표와의 시너지
• 주요 지지/저항 레벨:
▶ 중요한 기술적 레벨 근처에서 발생하는 고래 신호는 더 높은 신뢰도를 가짐
▶ 주간/월간 피봇 포인트와 고래 신호의 일치는 중요한 가격 지점을 확인해줌
• 이동평균선:
▶ 주요 이동평균선(50MA, 200MA) 근처에서 발생하는 고래 신호에 주목
▶ 이동평균선 돌파와 고래 신호가 동시 발생 시 중요한 기술적 이벤트 확인
• 볼륨 프로필:
▶ 높은 볼륨 노드 근처에서의 고래 활동은 중요한 가격 레벨 확인
▶ 낮은 볼륨 노드에서 발생하는 고래 신호는 급격한 가격 이동 가능성 암시
• 변동성 지표:
▶ 낮은 변동성 구간 이후 발생하는 고래 신호는 새로운 시장 움직임의 시작일 수 있음
▶ 볼린저 밴드 수축 후 발생하는 고래 신호는 큰 움직임의 전조일 수 있음
• 시장 구조:
▶ 주요 시장 구조(높은 고점/저점, 낮은 고점/저점) 근처에서 발생하는 고래 신호는 구조 변화 암시
▶ 시장 구조 변화와 고래 활동의 일치는 중요한 트렌드 변화 신호일 수 있음
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◆ 결론
52SIGNAL RECIPE Whale Smart Money Detector는 암호화폐 시장에서 대형 투자자들의 거래 활동을 실시간으로 추적하여 트레이더들에게 귀중한 통찰력을 제공합니다. 모든 암호화폐 차트에 적용 가능하기 때문에, 여러분이 선호하는 트레이딩 플랫폼에서 바로 활용할 수 있습니다.
이 지표의 핵심 가치는 일반 트레이더들이 놓치기 쉬운 대형 자금의 흐름을 직관적으로 시각화하여 제공한다는 점입니다. 거래량 급증, 즉각적인 가격 충격, 그리고 추세 지속성을 종합적으로 분석하여 고래의 활동을 정확히 포착함으로써, 여러분은 시장을 움직이는 큰 손들과 함께할 수 있는 기회를 얻게 됩니다.
명확한 매수/매도 신호와 실시간 추세 강도 측정은 트레이더들이 시장 상황을 한눈에 파악하고 시장의 방향성을 이해하는 데 도움을 줍니다. 이 강력한 도구를 여러분의 트레이딩 시스템에 통합함으로써, 시장의 스마트 머니가 어디로 흘러가는지 파악하고 더 나은 통찰력을 얻으세요.
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※ 면책 조항: 모든 트레이딩 도구와 마찬가지로, 52SIGNAL RECIPE Whale Smart Money Detector는 보조 지표로 사용해야 하며 트레이딩 결정을 전적으로 의존해서는 안 됩니다. 과거의 고래 행동 패턴이 미래 시장 움직임을 보장하지는 않습니다. 항상 적절한 리스크 관리 전략을 트레이딩에 활용하세요.
חפש סקריפטים עבור "smart"
52SIGNAL RECIPE Coinbase Institutional Smart Money DetectorCoinbase Institutional Smart Money Detector
◆ Overview
Coinbase Institutional Smart Money Detector is an innovative indicator that detects the buying and selling movements of institutional investors through Coinbase Prime in real-time. This powerful tool tracks the flow of funds from large institutions to provide valuable signals before significant market direction changes occur. It can be applied to Bitcoin charts on any exchange, allowing traders to follow the "smart money" movements of institutions anytime, anywhere.
The unique strength of this indicator lies in its comprehensive assessment of institutional investors' consecutive trading behaviors, volume patterns, and trend strength by analyzing Coinbase data in real-time. By providing clear visual representation of institutional fund flow data that is difficult for ordinary traders to access, you gain the opportunity to move alongside the big players in the market.
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◆ Key Features
• Coinbase Prime Data Analysis: Tracks institutional movements in real-time by analyzing data from Coinbase Prime, an institutional-only service
• Real-time Institutional Fund Flow Monitoring: Immediately detects large institutions' spot buying/selling activities, allowing positioning ahead of the market
• Universal Exchange Compatibility: Applicable to Bitcoin charts on any exchange, enabling use on your preferred trading platform
• Institutional Continuity Analysis: Identifies continuous institutional activity by tracking consecutive buying/selling patterns
• Smart Volume Analysis: Detects increased volume compared to averages and analyzes key trading time periods
• Trend Strength Measurement: Quantifies and displays the strength of upward/downward trends by analyzing candle patterns
• Intuitive Visualization: Clearly marks institutional activity points on charts through bar coloring and labels
• Real-time Strength Display: Calculates and displays current trend strength in a table in real-time
• Customizable Settings: Allows customization of key parameters to match your trading style
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◆ Understanding Signal Types
■ Institutional Buy Signal
• Definition: Occurs when institutional investors show consecutive buying activity through Coinbase Prime, accompanied by increased volume and strong upward trend
• Visual Representation: Translucent blue bar coloring and "Institution Buying Detected!" label on the candle where the buy signal occurs
• Market Interpretation: Indicates that institutional investors are actively buying spot Bitcoin, which is likely to lead to price increases
• Signal Strength Factors:
▶ Consecutive price increase patterns
▶ Above-average volume
▶ Strong upward trend strength measurement
▶ Significant price movement
■ Institutional Sell Signal
• Definition: Occurs when institutional investors show consecutive selling activity through Coinbase Prime, accompanied by increased volume and strong downward trend
• Visual Representation: Translucent pink bar coloring and "Institution Selling Detected!" label on the candle where the sell signal occurs
• Market Interpretation: Indicates that institutional investors are actively selling spot Bitcoin, which is likely to lead to price decreases
• Signal Strength Factors:
▶ Consecutive price decrease patterns
▶ Above-average volume
▶ Strong downward trend strength measurement
▶ Significant price movement
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◆ Understanding Trend Strength
■ Trend Strength Measurement Method
• Definition: Measures trend strength by analyzing the ratio of up/down candles over a recent period
• Visual Representation: Displayed in the table as "BULL STRENGTH" or "BEAR STRENGTH" with percentage value and "STRONG" or "WEAK" status
• Strength Threshold: Strong/weak determination according to user-configurable threshold
• Calculation Method:
▶ Upward trend strength = (Number of upward candles) / (Total analysis period)
▶ Downward trend strength = (Number of downward candles) / (Total analysis period)
▶ Displayed as "STRONG" when strength is above threshold, "WEAK" when below
■ Utilizing Trend Strength
• Signal Filtering: Generates signals only when trend strength is strong, reducing false signals
• Trend Confirmation: Evaluates the health and sustainability of the current market trend
• Entry/Exit Decisions: Consider entering in strong trends and exiting when trends weaken
• Risk Management: Develop strategies to reduce position size in weak trends and increase in strong trends
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◆ Practical Trading Applications
■ Institutional Buy Signal Strategy
• Trend Reversal Scenario:
▶ Setup: Strong institutional buy signal during a downtrend
▶ Entry: Buy after signal confirmation in the next candle
▶ Stop Loss: Below the low of the signal candle
▶ Take Profit: When reaching previous major resistance or when trend strength weakens
• Trend Continuation Scenario:
▶ Setup: Institutional buy signal after correction in an uptrend
▶ Entry: Buy after signal confirmation
▶ Stop Loss: Below recent major low
▶ Take Profit: Gradually take profits considering trend strength
■ Institutional Sell Signal Strategy
• Trend Reversal Scenario:
▶ Setup: Strong institutional sell signal during an uptrend
▶ Entry: Sell after signal confirmation in the next candle
▶ Stop Loss: Above the high of the signal candle
▶ Take Profit: When reaching previous major support or when trend strength weakens
• Trend Continuation Scenario:
▶ Setup: Institutional sell signal after bounce in a downtrend
▶ Entry: Sell after signal confirmation
▶ Stop Loss: Above recent major high
▶ Take Profit: Gradually take profits considering trend strength
■ Multi-Timeframe Approach
• Higher Timeframe Direction Confirmation:
▶ Check institutional signals and trend strength on daily/4-hour charts
▶ Use for setting main trading direction
• Lower Timeframe Entry Point Finding:
▶ Wait for lower timeframe signals that align with higher timeframe direction
▶ Use for capturing precise entry points
• Cross-Timeframe Signal Alignment:
▶ Signal strength increases when signals occur in the same direction across multiple timeframes
▶ Capture high-probability trading opportunities
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◆ Indicator Settings Guide
■ Main Setting Parameters
• Institutional Continuity Period:
▶ Purpose: Sets the period to check institutional consecutive buying/selling activity
▶ Lower value: Generates more signals, increases responsiveness
▶ Higher value: Reduces number of signals, increases reliability
• Trend Strength Threshold:
▶ Purpose: Sets the minimum threshold for determining strong trends
▶ Lower value: More signals, less filtering
▶ Higher value: Generates signals only in stronger trends, higher filtering
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◆ Synergy with Other Indicators
• Support/Resistance Levels:
▶ Institutional signals occurring at key support/resistance levels have higher probability
▶ Combination of key technical analysis levels and institutional activity provides powerful signals
• Moving Averages:
▶ Pay attention to institutional signals near key moving averages (50MA, 200MA)
▶ Strong trend change possibility when moving average crossovers coincide with institutional signals
• RSI/Momentum Indicators:
▶ Institutional buy signals in oversold conditions increase reversal probability
▶ Institutional sell signals in overbought conditions increase reversal probability
• Volume Profile:
▶ Institutional signals at high volume nodes confirm important price levels
▶ Institutional activity in key trading areas greatly impacts price direction
• Market Structure:
▶ Institutional signals near key market structures (higher highs/lows, lower highs/lows) suggest structural changes
▶ Coincidence of market structure changes and institutional activity indicates important trend turning points
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◆ Conclusion
Coinbase Institutional Smart Money Detector provides traders with valuable insights by tracking spot Bitcoin trading activities of institutional investors through Coinbase Prime in real-time. Because it can be applied to Bitcoin charts on any exchange, you can utilize it immediately on your preferred trading platform.
The core value of this indicator is providing intuitive visualization of institutional fund flow data that is difficult for ordinary traders to access. By comprehensively analyzing consecutive price movements, volume increases, and trend strength to capture institutional activity, you gain the opportunity to move alongside the big players in the market.
Clear buy/sell signals based on Coinbase Prime data and real-time trend strength measurements help traders quickly grasp market conditions and make strategic decisions. By integrating this powerful tool into your trading strategy, secure a competitive edge to understand where the market's smart money is flowing and position accordingly.
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※ Disclaimer: Like all trading tools, the Institutional Smart Money Detector should be used as a supplementary indicator and not relied upon exclusively for trading decisions. Past patterns of institutional behavior may not guarantee future market movements. Always employ appropriate risk management strategies in your trading.
Coinbase Institutional Smart Money Detector
◆ 개요
Coinbase Institutional Smart Money Detector는 코인베이스 프라임(Coinbase Prime)을 통한 기관 투자자들의 현물 비트코인 매수/매도 움직임을 실시간으로 감지하는 혁신적인 지표입니다. 이 강력한 도구는 대형 기관들의 자금 흐름을 추적하여 중요한 시장 방향 전환이 일어나기 전에 귀중한 신호를 제공합니다. 어떤 거래소의 비트코인 차트에도 적용 가능하여 트레이더들이 언제 어디서든 기관의 "스마트 머니" 움직임을 따라갈 수 있게 해줍니다.
이 지표의 독보적인 강점은 코인베이스 데이터를 실시간으로 분석하여 기관 투자자들의 연속적인 매매 행동, 거래량 패턴, 그리고 추세 강도를 종합적으로 평가한다는 점입니다. 일반 트레이더들이 접근하기 어려운 기관 자금 흐름 데이터를 시각적으로 명확하게 제공함으로써, 여러분은 시장의 큰 손들과 함께 움직일 수 있는 기회를 얻게 됩니다.
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◆ 주요 특징
• 코인베이스 프라임 데이터 분석: 기관 전용 서비스인 코인베이스 프라임의 데이터를 실시간으로 추적하여 기관의 움직임 포착
• 실시간 기관 자금 흐름 모니터링: 대형 기관들의 현물 매수/매도 활동을 즉각적으로 감지하여 시장에 앞서 포지셔닝 가능
• 모든 거래소 호환성: 어떤 거래소의 비트코인 차트에도 적용 가능하여 선호하는 트레이딩 플랫폼에서 활용 가능
• 기관 연속성 분석: 연속적인 매수/매도 패턴을 추적하여 기관의 지속적인 활동 식별
• 스마트 볼륨 분석: 평균 대비 거래량 증가를 감지하고 주요 거래 시간대를 분석
• 추세 강도 측정: 캔들 패턴을 분석해 상승/하락 추세의 강도를 수치화하여 표시
• 직관적 시각화: 바 컬러링과 라벨을 통해 기관 활동 지점을 차트에 명확하게 표시
• 실시간 강도 표시: 현재 추세의 강도를 실시간으로 계산하여 테이블에 표시
• 사용자 정의 설정: 주요 매개변수를 조정하여 자신의 트레이딩 스타일에 맞게 커스터마이징 가능
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◆ 신호 유형 이해하기
■ 기관 매수 신호
• 정의: 코인베이스 프라임을 통해 기관 투자자들이 연속적인 매수 활동을 보이며, 이와 함께 거래량 증가와 강한 상승 추세가 나타날 때 발생
• 시각적 표현: 매수 신호가 발생한 캔들에 반투명 파란색 바 컬러링과 함께 "Institution Buying Detected!" 라벨 표시
• 시장 해석: 기관 투자자들이 적극적으로 현물 비트코인을 매수하고 있으며, 이는 곧 가격 상승으로 이어질 가능성이 높음을 의미
• 신호 강도 요소:
▶ 연속적인 가격 상승 패턴
▶ 평균보다 높은 거래량
▶ 강한 상승 추세 강도 측정값
▶ 유의미한 가격 변동
■ 기관 매도 신호
• 정의: 코인베이스 프라임을 통해 기관 투자자들이 연속적인 매도 활동을 보이며, 이와 함께 거래량 증가와 강한 하락 추세가 나타날 때 발생
• 시각적 표현: 매도 신호가 발생한 캔들에 반투명 분홍색 바 컬러링과 함께 "Institution Selling Detected!" 라벨 표시
• 시장 해석: 기관 투자자들이 적극적으로 현물 비트코인을 매도하고 있으며, 이는 곧 가격 하락으로 이어질 가능성이 높음을 의미
• 신호 강도 요소:
▶ 연속적인 가격 하락 패턴
▶ 평균보다 높은 거래량
▶ 강한 하락 추세 강도 측정값
▶ 유의미한 가격 변동
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◆ 추세 강도 이해하기
■ 추세 강도 측정 방식
• 정의: 최근 일정 기간 동안의 상승/하락 캔들 비율을 분석하여 추세의 강도를 측정
• 시각적 표현: 테이블에 "BULL STRENGTH" 또는 "BEAR STRENGTH"로 표시되며, 백분율 값과 함께 "STRONG" 또는 "WEAK" 상태 표시
• 강도 임계값: 사용자가 설정 가능한 임계값에 따라 강함/약함 판정
• 계산 방식:
▶ 상승 추세 강도 = (상승 캔들 수) / (전체 분석 기간)
▶ 하락 추세 강도 = (하락 캔들 수) / (전체 분석 기간)
▶ 강도가 임계값 이상일 때 "STRONG", 미만일 때 "WEAK"로 표시
■ 추세 강도의 활용
• 신호 필터링: 추세 강도가 강할 때만 신호를 생성하여 허위 신호 감소
• 추세 확인: 현재 시장 추세의 건전성과 지속 가능성 평가
• 진입/퇴출 결정: 강한 추세에서 진입하고 약한 추세로 전환될 때 퇴출 고려
• 리스크 관리: 약한 추세에서는 포지션 크기를 줄이고, 강한 추세에서는 늘리는 전략 수립 가능
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◆ 실전 트레이딩 응용
■ 기관 매수 신호 활용 전략
• 추세 전환 시나리오:
▶ 설정: 하락 추세 중 강한 기관 매수 신호 발생
▶ 진입: 신호 확인 후 다음 캔들에서 매수
▶ 손절: 신호 캔들의 저점 아래
▶ 이익실현: 이전 주요 저항선 도달 시 또는 추세 강도가 약해질 때
• 추세 지속 시나리오:
▶ 설정: 상승 추세 중 조정 후 기관 매수 신호 발생
▶ 진입: 신호 확인 후 매수
▶ 손절: 최근 주요 저점 아래
▶ 이익실현: 추세 강도를 고려하여 단계적으로 이익실현
■ 기관 매도 신호 활용 전략
• 추세 전환 시나리오:
▶ 설정: 상승 추세 중 강한 기관 매도 신호 발생
▶ 진입: 신호 확인 후 다음 캔들에서 매도
▶ 손절: 신호 캔들의 고점 위
▶ 이익실현: 이전 주요 지지선 도달 시 또는 추세 강도가 약해질 때
• 추세 지속 시나리오:
▶ 설정: 하락 추세 중 반등 후 기관 매도 신호 발생
▶ 진입: 신호 확인 후 매도
▶ 손절: 최근 주요 고점 위
▶ 이익실현: 추세 강도를 고려하여 단계적으로 이익실현
■ 다중 시간프레임 접근법
• 상위 시간프레임 방향성 확인:
▶ 일봉/4시간봉에서 기관 신호 및 추세 강도 확인
▶ 주 트레이딩 방향 설정에 활용
• 하위 시간프레임 진입점 찾기:
▶ 상위 시간프레임 방향과 일치하는 하위 시간프레임 신호 대기
▶ 정밀한 진입점 포착에 활용
• 시간프레임 간 신호 일치 확인:
▶ 여러 시간프레임에서 동일한 방향의 신호가 발생할 때 신호 강도 증가
▶ 높은 확률의 트레이딩 기회 포착
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◆ 지표 설정 가이드
■ 주요 설정 매개변수
• Institutional Continuity Period (기관 연속성 확인 기간):
▶ 목적: 기관의 연속적인 매수/매도 활동을 확인할 기간 설정
▶ 낮은 값: 더 많은 신호 생성, 반응성 증가
▶ 높은 값: 신호 수 감소, 신뢰성 증가
• Trend Strength Threshold (추세 강도 임계값):
▶ 목적: 추세가 강하다고 판단할 최소 임계값 설정
▶ 낮은 값: 더 많은 신호, 낮은 필터링
▶ 높은 값: 더 강한 추세에서만 신호 생성, 높은 필터링
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◆ 다른 지표와의 시너지
• 지지/저항 레벨:
▶ 주요 지지/저항 레벨에서 발생하는 기관 신호는 확률이 더 높음
▶ 기술적 분석의 핵심 레벨과 기관 활동의 결합은 강력한 시그널 제공
• 이동평균선:
▶ 주요 이동평균선(50MA, 200MA) 근처에서 발생하는 기관 신호 주목
▶ 이동평균선 돌파와 기관 신호가 일치할 때 강한 추세 변화 가능성
• RSI/모멘텀 지표:
▶ 과매수/과매도 상태에서 발생하는 기관 신호는 반전 가능성 높임
▶ 모멘텀 다이버전스와 기관 신호의 일치는 강력한 반전 신호
• 볼륨 프로파일:
▶ 높은 볼륨 노드에서 발생하는 기관 신호는 중요한 가격 레벨 확인
▶ 주요 거래 영역에서의 기관 활동은 가격 방향에 큰 영향 미침
• 시장 구조:
▶ 주요 시장 구조(높은 고점/저점, 낮은 고점/저점) 근처에서 발생하는 기관 신호는 구조 변화 암시
▶ 시장 구조 변화와 기관 활동의 일치는 중요한 추세 전환점 표시
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◆ 결론
Coinbase Institutional Smart Money Detector는 코인베이스 프라임을 통한 기관 투자자들의 현물 비트코인 거래 활동을 실시간으로 추적하여 트레이더들에게 귀중한 통찰력을 제공합니다. 어떤 거래소의 비트코인 차트에도 적용 가능하기 때문에, 여러분이 선호하는 트레이딩 플랫폼에서 바로 활용할 수 있습니다.
이 지표의 핵심 가치는 일반 트레이더들이 접근하기 어려운 기관 자금 흐름 데이터를 직관적으로 시각화하여 제공한다는 점입니다. 연속적인 가격 움직임, 거래량 증가, 그리고 추세 강도를 종합적으로 분석하여 기관의 활동을 포착함으로써, 여러분은 시장의 큰 손들과 함께 움직일 수 있는 기회를 얻게 됩니다.
코인베이스 프라임 데이터를 기반으로 한 명확한 매수/매도 신호와 실시간 추세 강도 측정은 트레이더들이 시장 상황을 한눈에 파악하고 신속하게 전략적 결정을 내릴 수 있게 도와줍니다. 이 강력한 도구를 여러분의 트레이딩 전략에 통합함으로써, 시장의 스마트 머니가 어디로 흘러가는지 파악하고 그에 따라 포지셔닝할 수 있는 경쟁 우위를 확보하세요.
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※ 면책 조항: 모든 트레이딩 도구와 마찬가지로, Institutional Smart Money Detector는 보조 지표로 사용해야 하며 트레이딩 결정을 전적으로 의존해서는 안 됩니다. 과거의 기관 행동 패턴이 미래 시장 움직임을 보장하지는 않습니다. 항상 적절한 리스크 관리 전략을 트레이딩에 활용하세요.
FII SMART KEY LEVELSIntroducing the **Global Institutional Flow Indicator (GIFI)**—your all-in-one guide to the levels that matter most, powered by real-time foreign institutional activity. GIFI seamlessly adapts to any market—be it NSE and BSE equities, major cryptocurrencies, or the world’s most liquid forex pairs—so you never miss a beat.
Key Features:
Foreign Institutional Footprint
Tracks aggregated buy and sell volumes of FIIs (Foreign Institutional Investors) and equivalent large players across markets, highlighting where “smart money” is concentrating their capital.
* **Dynamic Support & Resistance Levels**
Automatically calculates high-conviction zones—zones where institutional orders have previously clustered—so you can pinpoint ultra-reliable levels for entries, exits, and stop placements.
* **Multi-Asset Compatibility**
One unified indicator that works out of the box on NSE and BSE stocks, top crypto tokens, and major FX crosses. No need to switch tools when you move between markets.
* **Trend-Aligned Signals**
Overlays institutional levels on your favorite trend filters—moving averages, ADX, or MACD—so you only trade in the direction that big players are committing.
* **Volume-Weighted Confirmation**
Confirms level-breaks and bounces with volume delta analysis, ensuring you’re following genuine institutional commitment rather than retail noise.
* **Adaptive Timeframes**
From 5-minute scalps to daily swing setups, GIFI adjusts its sensitivity so you capture the most meaningful levels on any timeframe.
**Why It Works:**
Foreign institutions often leave telltale footprints when they build or unwind positions at scale. GIFI decodes those footprints into actionable levels—revealing where the “smart money” is most willing to buy or sell. When price approaches one of these institutional zones, you gain:
* **Higher Probability Entries**
Enter trades alongside large-ticket players rather than against them.
* **Optimized Risk Management**
Place stops just beyond genuine institutional commitment zones, reducing the odds of false breakouts.
* **Clearer Exit Strategies**
Target profit levels where institutions are likely to take profits or enter fresh positions.
Whether you’re scalping Nifty futures, swing-trading mid-cap stocks, riding crypto trends, or trading EUR/USD, the Global Institutional Flow Indicator equips you with the insights you need to trade confidently—knowing you’re aligning with the forces that really move the markets.
SMT Divergence ICT 02 [TradingFinder] Smart Money Technique SMC🔵 Introduction
SMT Divergence (Smart Money Technique Divergence) is a price action-based trading concept that detects discrepancies in market behavior between two assets that are generally expected to move in the same direction. Rooted in ICT (Inner Circle Trader) methodology, this approach helps traders recognize subtle signs of market manipulation or imbalance, often ahead of traditional indicators.
The core idea behind SMT divergence is simple: when two correlated instruments—such as currency pairs, indices, or assets from the same sector—start forming different swing points (highs or lows), this can reveal a lack of confirmation in the trend. Such divergence is often a precursor to a price reversal or pause in momentum.
This technique works effectively across various markets including Forex, stocks, and cryptocurrencies. It’s particularly valuable when used alongside concepts like liquidity sweeps, market structure breaks (MSBs), or order block identification.
In advanced use cases, Sequential SMT helps uncover patterns of alternating divergences across sessions, often signaling engineered liquidity traps before price reacts.
When combined with the Quarterly Theory—which segments market behavior into Accumulation, Manipulation, Distribution, and Continuation/Reversal phases—traders gain insight not only into where divergence happens, but when it's most likely to be significant within the market cycle.
Bullish SMT :
Bullish SMT Divergence occurs when one asset prints a higher low while the correlated asset forms a lower low. This asymmetry often suggests that the downside move is losing strength, hinting at a potential bullish shift.
Bearish SMT :
Bearish SMT Divergence is formed when one asset creates a higher high, while the second asset fails to confirm by printing a lower high. This typically signals weakening bullish pressure and the possibility of a reversal to the downside.
🔵 How to Use
The SMT Divergence indicator is designed to detect imbalances between two positively correlated assets—such as major currency pairs, indices, or commodities. These divergences often indicate early signs of market inefficiency or smart money manipulation and can help traders anticipate trend shifts with higher precision.
Unlike traditional divergence indicators or earlier versions of this script, this upgraded version does not rely solely on consecutive pivot comparisons. Instead, it dynamically scans all available pivots within the chart to identify divergences at any structural level—major or minor—across the price action. This broader detection method increases the reliability and frequency of meaningful SMT signals.
Moreover, when integrated with Sequential SMT logic, the indicator is capable of identifying multiple divergence sequences across sessions. These sequences often signal engineered liquidity traps and can be mapped within the Quarterly Theory framework, allowing traders to pinpoint not just the presence of divergence but also the phase of the market cycle it appears in (Accumulation, Manipulation, Distribution, or Continuation).
🟣 Bullish SMT Divergence
This signal occurs when the primary asset forms a higher low, while the correlated asset forms a lower low. This pattern implies weakening bearish momentum and a potential shift to the upside.
If the correlated asset breaks its previous low but the primary asset does not, this divergence suggests absorption of selling pressure and possible accumulation by smart money—making it a strong bullish signal, especially when aligned with a favorable market phase (e.g., the end of a manipulation phase in Q2).
🟣 Bearish SMT Divergence
This signal occurs when the primary asset creates a higher high, while the correlated asset forms a lower high. This mismatch indicates fading bullish momentum and a potential reversal to the downside.
If the correlated asset fails to confirm a breakout made by the main asset, the divergence may point to distribution or exhaustion. When seen within Q3 or Q4 phases of the Quarterly Theory, this pattern often precedes sharp declines or fake-outs engineered by smart money
🔵 Settings
⚙️ Logical Settings
Symbol : Choose the secondary asset to compare with the main chart asset (e.g., XAUUSD, US100, GBPUSD).
Pivot Period : Sets the sensitivity of the pivot detection algorithm. A smaller value increases responsiveness to price swings.
Activate Max Pivot Back : When enabled, limits the maximum number of past pivots to be considered for divergence detection.
Max Pivot Back Length : Defines how many past pivots can be used (if the above toggle is active).
Pivot Sync Threshold : The maximum allowed difference (in bars) between pivots of the two assets for them to be compared.
Validity Pivot Length : Defines the time window (in bars) during which a divergence remains valid before it's considered outdated.
🎨 Display Settings
Show Bullish SMT Line : Draws a line connecting the bullish divergence points.
Show Bullish SMT Label : Displays a label on the chart when a bullish divergence is detected.
Bullish Color : Sets the color for bullish SMT markers (label, shape, and line).
Show Bearish SMT Line : Draws a line for bearish divergence.
Show Bearish SMT Label : Displays a label when a bearish SMT divergence is found.
Bearish Color : Sets the color for bearish SMT visual elements.
🔔 Alert Settings
Alert Name : Custom name for the alert messages (used in TradingView’s alert system).
Message Frequency :
All : Every signal triggers an alert.
Once Per Bar : Alerts once per bar regardless of how many signals occur.
Per Bar Close : Only triggers when the bar closes and the signal still exists.
Time Zone Display : Choose the time zone in which alert timestamps are displayed (e.g., UTC).
Bullish SMT Divergence Alert : Enable/disable alerts specifically for bullish signals.
Bearish SMT Divergence Alert : Enable/disable alerts specifically for bearish signals
🔵Conclusion
The SMT Plus indicator offers a refined and powerful approach to detecting smart money behavior through divergence analysis between correlated assets. By removing the limitations of consecutive pivot comparisons and allowing for broader structural detection, it captures more accurate and timely signals that often precede major market moves.
When paired with frameworks like Sequential SMT and the Quarterly Theory, the indicator not only highlights where divergence occurs, but also when in the market cycle it's most likely to matter. Its flexible settings, customizable visuals, and integrated alert system make it suitable for intraday scalpers, swing traders, and even long-term macro analysts.
Whether you're using it as a standalone decision-making tool or combining it with other ICT concepts, SMT Plus gives you an edge in recognizing manipulation, timing reversals, and staying in sync with the real market narrative—not just the chart.
long&short signal Smart Money Concepts (SMC) with MACD Signals Smart Money Concepts (SMC) with MACD Signals
Advanced SMC and MACD Integration for Precision Trading
The "Smart Money Concepts (SMC) with MACD Signals" indicator is a powerful and versatile tool designed to enhance trading strategies by integrating two highly effective technical analysis methods into a single, cohesive indicator. This advanced script combines the Smart Money Concepts (SMC) methodology with the Moving Average Convergence Divergence (MACD) indicator to provide traders with a comprehensive trading solution that identifies key market trends and potential trading opportunities.
What It Does:
Smart Money Concepts (SMC):
The SMC component of this indicator identifies significant price levels and zones where market participants, particularly institutional investors, may be active. It calculates high and low anchor levels based on historical price data, creating zones that help traders understand where price action may encounter support or resistance. These anchor levels are used to plot background colors on the chart, highlighting critical areas of interest where price might react, and generating buy (long) and sell (short) signals based on price interactions with these levels.
MACD (Moving Average Convergence Divergence):
The MACD component provides insights into market momentum and trend strength. By calculating the difference between two moving averages and comparing it to a signal line, the MACD indicator helps traders identify potential changes in trend direction. The script plots the MACD line, signal line, and histogram, offering a clear visual representation of market momentum. Buy (long) and sell (short) signals are generated when the MACD line crosses above or below the signal line, providing timely alerts to potential trading opportunities.
Why It’s Special:
This indicator stands out for its dual functionality, combining the price level analysis of SMC with the momentum-based insights of MACD. The integration allows traders to benefit from both trend and price level analysis, offering a more robust and accurate trading tool. The SMC component highlights critical price zones and provides context for price action, while the MACD component confirms the strength and direction of market trends.
By using this combined approach, traders can make more informed decisions based on comprehensive market analysis. The indicator not only helps in identifying significant price levels and potential market reversals but also provides real-time signals to capitalize on these opportunities. Whether you are a day trader or a swing trader, the "Smart Money Concepts (SMC) with MACD Signals" indicator is designed to enhance your trading strategy with precision and clarity.
This unique combination of SMC and MACD offers a powerful toolset for traders looking to refine their trading strategies and improve their market analysis. With its user-friendly visualizations and signal generation, this indicator is an essential addition to any trader’s toolkit.
Curved Smart Money Concepts Probability (Zeiierman)█ Overview
The Curved Smart Money Concepts Probability indicator, developed by Zeiierman, is a sophisticated trading tool designed to leverage the principles of Smart Money trading. This indicator identifies key market structure points and adapts to changing market conditions, providing traders with actionable insights into market trends and potential reversals. The trading tool stands out due to its unique curved structure and advanced probability features, which enhance its effectiveness and usability for traders.
█ How It Works
The indicator operates by analyzing market data to identify pivotal moments where institutional investors might be influencing price movements. It employs a combination of adaptive trend lengths, multipliers for sensitivity adjustments, and pivot periods to accurately capture market structure shifts. The indicator calculates upper and lower bands based on adaptive sizes and identifies zones of overbought (premium) and oversold (discount) conditions.
Key Features of Probability Calculations
The Curved Smart Money Concepts Probability indicator integrates sophisticated probability calculations to enhance trading decision-making:
Win/Loss Tracking: The indicator tracks the number of successful (win) and unsuccessful (loss) trades based on the identified market structure points (ChoCH, SMS, BMS). This provides a historical context of the indicator's performance.
Probability Percentages: For each market structure point (ChoCH, SMS, BMS), the indicator calculates the probability of the next move being successful or not. This is presented as a percentage, giving traders a quantifiable measure of confidence in the signals.
Dynamic Adaptation: The probability calculations adapt to market conditions by considering the frequency and success rate of the signals, allowing traders to adjust their strategies based on the indicator’s historical accuracy.
Visual Representation: Probabilities are displayed on the chart, helping traders quickly assess the likelihood of future price movements based on past performance.
Key benefits of the Curved Structure
The Curved Smart Money Concepts Probability indicator features a unique curved structure that offers several advantages over traditional linear structures:
Noise Reduction: The curved structure smooths out short-term market fluctuations, reducing the noise often seen in linear structures. This helps traders focus on the true trend direction rather than getting distracted by minor price movements.
Adaptive Sensitivity: The curved structure adjusts its sensitivity based on market conditions. This means it can effectively capture both short-term and long-term trends by dynamically adapting to changes in market volatility, something linear structures struggle with.
Enhanced Trend Detection: By providing a more gradual transition between market phases, the curved structure helps in identifying trends more accurately. This is particularly useful in volatile markets where linear structures might give false signals due to their rigid nature.
Improved Market Structure Analysis: The curved structure's ability to adapt and smooth out irregularities provides a clearer picture of the overall market structure. This clarity is essential for identifying premium and discount zones, as well as mid-range support and resistance levels, which are crucial for effective ICT Smart Money Trading.
█ Terminology
ChoCH (Change of Character): Indicates a potential reversal in market direction. It is identified when the price breaks a significant high or low, suggesting a shift from a bullish to bearish trend or vice versa.
SMS (Smart Money Shift): Represents the transition phase in market structure where smart money begins accumulating or distributing assets. It typically follows a BMS and indicates the start of a new trend.
BMS (Bullish/Bearish Market Structure): Confirms the trend direction. Bullish Market Structure (BMS) confirms an uptrend, while Bearish Market Structure (BMS) confirms a downtrend. It is characterized by a series of higher highs and higher lows (bullish) or lower highs and lower lows (bearish).
Premium: A zone where the price is considered overbought. It is calculated as the upper range of the current market structure and indicates a potential area for selling or shorting.
Mid Range: The midpoint between the high and low of the market structure. It often acts as a support or resistance level, helping traders identify potential reversal or continuation points.
Discount: A zone where the price is considered oversold. It is calculated as the lower range of the current market structure and indicates a potential area for buying or going long.
█ How to Use
Identifying Trends and Reversals: Traders can use the indicator to identify the overall market trend and potential reversal points. By observing the ChoCH, SMS, and BMS signals, traders can gauge whether the market is transitioning into a new trend or continuing the current trend.
Example Strategies
⚪ Trend Following Strategy:
Identify the current market trend using BMS signals.
Enter a trade in the direction of the trend when the price retraces to the mid-range zone.
Set a stop-loss just below the mid-range (for long trades) or above the mid-range (for short trades).
Take profit in the premium/discount zone or when a ChoCH signal indicates a potential reversal.
⚪ Reversal Strategy:
Wait for a ChoCH signal to identify a potential market reversal.
Enter a trade in the direction of the new trend as indicated by the SMS signal.
Set a stop-loss just beyond the recent high (for short trades) or low (for long trades).
Take profit when the price reaches the premium or discount zone opposite to the entry.
█ Settings
Curved Trend Length: Determines the length of the trend used to calculate the adaptive size of the structure. Adjusting this length allows traders to capture either longer-term trends (for smoother curves) or short-term trends (for more reactive curves).
Curved Multiplier: Scales the adjustment factors for the upper and lower bands. Increasing the multiplier widens the bands, reducing sensitivity to price changes. Decreasing it narrows the bands, making the structure more responsive.
Pivot Period: Sets the period for capturing trends. A higher period captures broader trends, while a lower period focuses on short-term trends.
Response Period: Adjusts the structure’s responsiveness. A low value focuses on short-term changes, while a high value smoothens the structure.
Premium/Discount Range: Allows toggling between displaying the active range or previous range to analyze real-time or historical levels.
Structure Candles: Enables the display of curved structure candles on the chart, providing a modified view of price action.
-----------------
Disclaimer
The information contained in my Scripts/Indicators/Ideas/Algos/Systems does not constitute financial advice or a solicitation to buy or sell any securities of any type. I will not accept liability for any loss or damage, including without limitation any loss of profit, which may arise directly or indirectly from the use of or reliance on such information.
All investments involve risk, and the past performance of a security, industry, sector, market, financial product, trading strategy, backtest, or individual's trading does not guarantee future results or returns. Investors are fully responsible for any investment decisions they make. Such decisions should be based solely on an evaluation of their financial circumstances, investment objectives, risk tolerance, and liquidity needs.
My Scripts/Indicators/Ideas/Algos/Systems are only for educational purposes!
Imbalance - smart money power🔶What it is ?
Imbalance indicator that is a tool to help you to define imblance/Fair Value Gap area better to know whether smart money joined current market atomatically.
This indicator will measure the gap between every 3 candles to know to show which candles having Imbalance among them. They will be marked by diffirent colors compare with original colors of chart.
Our purpose is, help traders to define Imbalance area faster and easier by atomation tools and save time during analyzation.
What is Imbalance in detail ?
To help you to undertand better about imbalance definitiion, please refer to below picture :
We're having 3 candles as I marked number 1,2,3.
Candle 2 is a very big marubozu candle, it made a gap between the first candle's high
and the 3rd candle low on the chart. That gap we call as imbalance and it show that smart money join to buying direction now.
🔶 Who can use it ?
1. All traders who are using NCI, ICT , Smart money concepts, MACD system and other systems...
2. All traders who are trading on any timeframe
3. All traders who are trading on Forex, Crypto, Stock, Indicies...
4. All traders who are new or experienced traders
5. All traders who are swing or scalping traders
🔶 The purpose of indicator
1. Define big money flow when it joined to market.
2. Define power of zones with Imbalance. Which zones have imbalnce that's normally a strong zone to entry and set a safety stop-loss.
3. Helping to decide trading system faster, if you see IMB appeared, it is better to use Smart money concepts.
4. Always "Empty your mind" during Trading because you checked chart less with automation tool.
🔶 How will indicator appear on chart
After you added it on chart, indicator will mearsure and calculate the gaps among three candles. If there're a gap among them, indicator will change the color of those candles.
Please refer to below picture for more detail
We're having 2 types of color as green and red.
With Imabalanec candles, it will be shown as :
1. Aqua color : Up Imbalance
2. Yellow color : Down imbalance
We just focus on candle (2) and (3) so indicator will mark color on these 2 candles only.
🔶 INPUT value
You can change color of imbalance candles from orginal color (aqua, yellow) to any color you want by go to SETTING and change it on STYLE.
🔶 How to use indicator
After setting indicator, indicator will mearsure and run automatically to mark imbalance candles on your chart.
That's signal of smart money concepts, you can start your analyzation with your trading system that are using imbalance.
I hope this indicator help you to trade more effectively.
mrD-Smart RangesmrD-Smart Ranges aims to offer a complete strategy based on Order Blocks. Ranges signals based on order volume are highlighted, from which smart ranges are suggested to provide potential entries.
This script also includes warnings for each signal marked.
🔶 SETTINGS
Pair Strategy: Select the desired from the list. Change the chart to the one specified in the Strategy.
Current TF Order Blocks: Allows the user to select how many most recent Internal Order Blocks appear in the current time frame on the chart.
Order Block Filter: Allows the user to select how the script mitigates an Order Block.
Hide Overlap: Allows the user to display overlapping Order Blocks.
Show Metrics: Allows the user to display volume % metrics within the Order Blocks.
Show Volume Box: Allows the user to display buy/sell activity within Order Blocks.
High Timeframe: Allows the user to choose a higher or lower timeframe to find the Signals.
Show Failed Buy Sell: Allows the user to display the Signals.
Show HTF Box: Allows the user to display a higher or lower timeframe Order Blocks.
🔶 DETAILS
Order blocks are formed after a slight bearish order block, these can provide an opportunity to change polarity, thus acting as a potential support/resistance level.
A retest/retrace on the order block, combined with order volume between the current timeframe and from the higher timeframe will establish the conditions for smart ranges are suggested to provide potential entries.
🔶 USAGE
mrD-Smart Ranges aims to provide users with a minimalistic screen next to the optimal ranges to keep in mind to find trading setups as shown below.
Here we can see a suggested Sell range and display a label to confirm this range
Signal(s) that can be used for potential entries only during range retest are order blocks.
Users can search for more potential entry ranges based on larger timeframes in the settings: High Timeframe
In the image above, we can see that the price has generated potential orange and bearish entry signals. A confirmation signal with a red label is displayed on the chart when the price retests the Sell range.
Note: While range retests can still work well if they occur later in price action, it's best to look for signals only when price retests the range at the outset rather than retesting it. second price.
The logic of generating signal ranges using different rules is described below:
- Define order blocks in the current timeframe.
- Define the order blocks with the largest volume in the current timeframe.
- Define order blocks in larger timeframes in High Timeframe settings
- Define order blocks with the largest volume in larger timeframes in High Timeframe settings
Entry Range: The combination of the highest volume order blocks in the current timeframe and the highest volume order blocks in the larger timeframe.
🔶General disclaimer:
Trading stocks, futures, forex, options, ETFs, cryptocurrency, or any other financial instrument has huge potential rewards and risks.
You must be aware of the risks and willing to accept them to invest in stocks, futures, forex, options, ETFs, or cryptocurrencies.
Don't trade with money you can't afford to lose.
This is not an offer or an offer to Buy/Sell stocks, futures, Forex, options, ETFs, cryptocurrencies, or any other financial instrument.
Do not represent that any account will or is likely to achieve profit or loss of any kind.
The past performance of any trading system or method is not necessarily indicative of future results.
My Scripts/Indicators/Ideas/Algos/Systems are only for educational purposes!
Combo Backtest 123 Reversal & Smart Money Index (SMI) This is combo strategies for get a cumulative signal.
First strategy
This System was created from the Book "How I Tripled My Money In The
Futures Market" by Ulf Jensen, Page 183. This is reverse type of strategies.
The strategy buys at market, if close price is higher than the previous close
during 2 days and the meaning of 9-days Stochastic Slow Oscillator is lower than 50.
The strategy sells at market, if close price is lower than the previous close price
during 2 days and the meaning of 9-days Stochastic Fast Oscillator is higher than 50.
Second strategy
Smart money index (SMI) or smart money flow index is a technical analysis indicator demonstrating investors sentiment.
The index was invented and popularized by money manager Don Hays. The indicator is based on intra-day price patterns.
The main idea is that the majority of traders (emotional, news-driven) overreact at the beginning of the trading day
because of the overnight news and economic data. There is also a lot of buying on market orders and short covering at the opening.
Smart, experienced investors start trading closer to the end of the day having the opportunity to evaluate market performance.
Therefore, the basic strategy is to bet against the morning price trend and bet with the evening price trend. The SMI may be calculated
for many markets and market indices (S&P 500, DJIA, etc.)
The SMI sends no clear signal whether the market is bullish or bearish. There are also no fixed absolute or relative readings signaling
about the trend. Traders need to look at the SMI dynamics relative to that of the market. If, for example, SMI rises sharply when the
market falls, this fact would mean that smart money is buying, and the market is to revert to an uptrend soon. The opposite situation
is also true. A rapidly falling SMI during a bullish market means that smart money is selling and that market is to revert to a downtrend
soon. The SMI is, therefore, a trend-based indicator.
Some analysts use the smart money index to claim that precious metals such as gold will continually maintain value in the future.
WARNING:
- For purpose educate only
- This script to change bars colors.
ICT SMART MONEY__Advanced Multi-Timeframe Target TREND indicator with comprehensive ICT (Inner Circle Trader) concepts, session analysis, and smart money concepts for professional forex and crypto trading.__
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### __🔥 Core Features:__
#### __📈 Multi-Timeframe Analysis__
- __7 Timeframe Table__: 1min, 5min, 15min, 30min, 1hour, 4hour, Daily analysis
- __Target System__: Stop Loss, Entry, TP1, TP2, TP3 calculations for each timeframe
- __Trend Direction__: Visual arrows showing bullish/bearish bias across all timeframes
#### __⚡ ICT Killzone Sessions__
- __4 Major Sessions__: Asia KZ, London KZ, NY AM, NY PM with colored session boxes
- __Pivot Lines__: Automatic high/low detection with full format labels ("ASIA High", "LONDON Low")
- __Global Label Alignment__: All session labels perfectly aligned for professional appearance
- __Range Analytics__: Real-time pip calculations with historical averages and Turkish volatility analysis
#### __🌍 Trading Session Management__
- __Individual Controls__: Asia/London sessions auto-enabled, NY sessions optional
- __Horizontal Lines__: Clean session high/low tracking without clutter
- __NY Lunch Session__: Additional 11:30-13:30 session for advanced analysis
- __Session Transparency__: Adjustable transparency levels for optimal chart visibility
#### __📍 Professional Key Levels__
- __Monday High/Low__: Weekly opening reference levels
- __Previous Day High/Low__: Daily support/resistance zones
- __Previous Week High/Low__: Major weekly levels
- __Full Format Labels__: "Previous Day High" instead of "PDH" for crystal clarity
- __160 Bar Distance__: Optimized label positioning for clean charts
#### __🔗 Liquidity Trendlines__
- __Automatic Detection__: 8-bar lookback pivot detection system
- __Breakout Signals__: Visual alerts when trendlines are broken
- __Dynamic Padding__: 4.0 ATR-based trendline spacing
- __Bullish/Bearish Colors__: Clear color coding for trend direction
#### __💎 Smart Money Concepts (SMC)__
- __Fair Value Gaps (FVG)__: Automatic gap detection with mitigation tracking
- __Structure Analysis__: BOS (Break of Structure) and CHoCH (Change of Character) detection
- __Structure Fibonacci__: 5-level fibonacci retracements (78.6%, 70.5%, 61.8%, 50%, 38.2%)
- __Lifecycle Management__: Complete FVG and structure history tracking
#### __📊 Range Analytics Table__
- __Session Volatility__: Current pip movement vs historical averages
- __Turkish Analysis__: "Güçlü Momentum", "Yüksek Aktivite", "Normal Aktivite", "Düşük Hareket", "Zayıf Session"
- __Integrated Display__: Seamlessly positioned below multi-timeframe table
- __Professional Formatting__: Color-coded session identification with status analysis
SMT Divergence ICT 01 [TradingFinder] Smart Money Technique🔵 Introduction
SMT Divergence (short for Smart Money Technique Divergence) is a trading technique in the ICT Concepts methodology that focuses on identifying divergences between two positively correlated assets in financial markets.
These divergences occur when two assets that should move in the same direction move in opposite directions. Identifying these divergences can help traders spot potential reversal points and trend changes.
Bullish and Bearish divergences are clearly visible when an asset forms a new high or low, and the correlated asset fails to do so. This technique is applicable in markets like Forex, stocks, and cryptocurrencies, and can be used as a valid signal for deciding when to enter or exit trades.
Bullish SMT Divergence : This type of divergence occurs when one asset forms a higher low while the correlated asset forms a lower low. This divergence is typically a sign of weakness in the downtrend and can act as a signal for a trend reversal to the upside.
Bearish SMT Divergence : This type of divergence occurs when one asset forms a higher high while the correlated asset forms a lower high. This divergence usually indicates weakness in the uptrend and can act as a signal for a trend reversal to the downside.
🔵 How to Use
SMT Divergence is an analytical technique that identifies divergences between two correlated assets in financial markets.
This technique is used when two assets that should move in the same direction move in opposite directions.
Identifying these divergences can help you pinpoint reversal points and trend changes in the market.
🟣 Bullish SMT Divergence
This divergence occurs when one asset forms a higher low while the correlated asset forms a lower low. This divergence indicates weakness in the downtrend and can signal a potential price reversal to the upside.
In this case, when the correlated asset is forming a lower low, and the main asset is moving lower but the correlated asset fails to continue the downward trend, there is a high probability of a trend reversal to the upside.
🟣 Bearish SMT Divergence
Bearish divergence occurs when one asset forms a higher high while the correlated asset forms a lower high. This type of divergence indicates weakness in the uptrend and can signal a potential trend reversal to the downside.
When the correlated asset fails to make a new high, this divergence may be a sign of a trend reversal to the downside.
🟣 Confirming Signals with Correlation
To improve the accuracy of the signals, use assets with strong correlation. Forex pairs like OANDA:EURUSD and OANDA:GBPUSD , or cryptocurrencies like COINBASE:BTCUSD and COINBASE:ETHUSD , or commodities such as gold ( FX:XAUUSD ) and silver ( FX:XAGUSD ) typically have significant correlation. Identifying divergences between these assets can provide a strong signal for a trend change.
🔵 Settings
Second Symbol : This setting allows you to select another asset for comparison with the primary asset. By default, "XAUUSD" (Gold) is set as the second symbol, but you can change it to any currency pair, stock, or cryptocurrency. For example, you can choose currency pairs like EUR/USD or GBP/USD to identify divergences between these two assets.
Divergence Fractal Periods : This parameter defines the number of past candles to consider when identifying divergences. The default value is 2, but you can change it to suit your preferences. This setting allows you to detect divergences more accurately by selecting a greater number of candles.
Bullish Divergence Line : Displays a line showing bullish divergence from the lows.
Bearish Divergence Line : Displays a line showing bearish divergence from the highs.
Bullish Divergence Label : Displays the "+SMT" label for bullish divergences.
Bearish Divergence Label : Displays the "-SMT" label for bearish divergences.
🔵 Conclusion
SMT Divergence is an effective tool for identifying trend changes and reversal points in financial markets based on identifying divergences between two correlated assets. This technique helps traders receive more accurate signals for market entry and exit by analyzing bullish and bearish divergences.
Identifying these divergences can provide opportunities to capitalize on trend changes in Forex, stocks, and cryptocurrency markets. Using SMT Divergence along with risk management and confirming signals with other technical analysis tools can improve the accuracy of trading decisions and reduce risks from sudden market changes.
Swing Rapat Jik ( LOW-HIGH ) Smart Money TrendBandSWING RAPAT JIK ( LOW-HIGH ) Smart Money TrendBand
( 2023 updated edition )
The Swing Rapat Jik indicator is a method of knowing whether the current market is either at the highest or the lowest price.
It is also a relatively less risky strategy and suitable for long-term traders such as swing traders.
The analysis tool used is based on the Relative Strength Index ( RSI ) indicator as a parameter to measure the lowest price and the highest price in each cycle. If the price is at the extremely oversold level, then it shows the lowest price signal (LL/HL). Vice versa, if the price is at the extreme overbought level, then the signal will show the highest price signal (HH/LH).
It should be noted that this indicator is a repaint where it will make a re-mark if the price is at the lowest level of the previous signal. So, the solution is that I’ve added the Moving Average parameter as confirmation of the reversal of the LL price to the uptrend. That means the signal to enter the market only occurs when there is an Entry Price (EP) signal after LL/HL signal appears.
Please, do not enter the market when the EP signal is released if the LL/HL signal is not yet released. Make sure these two signals come out consecutively, starting with HL/LL and then the EP signal.
Key Signal;
LL = LOWER LOW
HL = HIGHER LOW
HH = HIGHER HIGH/TAKE PROFIT
LH = LOWER HIGH/TAKE PROFIT
EP = ENTRY PRICE
Hopefully, it can help traders to track the price at the lowest level before making a reversal and the highest price during the market supply situation.
*So far, the invention of the entry market is for the stock market only, which is to use buy signals only. Any updates for other markets will be notified from time to time.
Major updates;
1. Update version to Version 5 pine script
2. variable value used for the EP signal, to obtain a more significant weighted value.
3. Change of label color
4. Colored bars- bullish and bearish trends detected
SOPs and strategies
colored bars are pointers of the current trend and the period in which it occurred.
Use this combination as a strong confirmation
SFC Smart Money Manipulation - Liquidity, StructureThis indicator shows very important information about the market.
Features:
- Market structure
- Important Ranges
- Liquidity
- Trading session
- Daily Checklist
Market structure
Market structure is the behaviour, condition, and current flow of the market. It highlights support and resistance levels, swing highs, and swing lows. A trend is simply a consistent direction of price movement over time. Market structure can tell you if the market is trending or not.
Market structure is a lagging indicator, because Highs and Lows must to be created in order to define the structure properly. The structure provide the most important information about the market.
Market structure can provide early signals about the trend.
- If the structure continues to break in the same direction, it means that the trend is healthy and will continue (BoS).
- If the structure break in the opposite direction, means that the trend may reverse or pause for a while (CHoCH).
Important ranges
- Asia Range - it is important intraday range and can provide early information if the day will be bullish or bearish.
- Most recent High/Low - determine the last swing
- Premium/ Discount zone with Fibonacci levels - the institutions always want to buy in discount and sell in premium.
Liquidity
Areas where a lot of traders get into the market and theirs stop losses are obvious. So the banks will manipulate the price to clear these stop losses, before price go in real direction. The banks will always hunt the liquidity.
The major liquidity is:
- Doji candle - displayed
- Double/Triple Highs or Lows - displayed
- Fair value gaps - displayed
- Imbalances - displayed
- Trend lines
- Big wicks
Trading Sessions
Price and Time theory is very significant in Smart Money Concept. The banks do not just place orders chaotically. They place it in specific time.
The indicator shows the Asia, London and New York intraday sessions and the kill zones.
Kill Zone - most manipulated time in the day, where institutions try to wipe out the retail traders and establish the true move.
Daily Checklist
Simple, but very useful checklist. It shows the most important daily steps in order qualitative analysis to be created.
How to use
1) Use the swing highs and lows and check the current structure.
2) Look where is the major liquidity. By default orange colour. When liquidity is retested from the price ,it change the colour from orange to gray. Retested liquidity is no more significant for the banks.
3) Use the important ranges to define the pullbacks or reversals or trading ranges.
4) Use the trading sessions and kill zones to place orders in the right time.
5) Use the "daily checklist" every day - step by step. It helps trader to analyse the current market.
Settings
-Show pivots, Pivot confirmation candles, Equal Highs/Lows sensitivity
-Show structures breaks
-Show most recent high/low
-Show Asia range
-Show premium/discount zone with Fibonacci levels
-Show liquidity, Colour of liquidity, Color of retested liquidity, Doji settings
-Show Trading sessions
-Show daily checklist
Bodies X Wix Version of Smart Money Tools by makuchaku & eFeThis is the same Script as Super Fair Value Gaps / FVG /BoS / by makuchaku & eFe. Mine Should Default to Large Text instead of small. The Super Order Blocks I believe was meant to for you to find one of the many Smart Money tools such as turn on the Fair Value gap but leave the others off, or Turn on where the Break of Structure and leave the others off. The reason I believe this is because the default values for each of the structures were default colored (green for positive and red for negative) for all.
Mine has a different Color for every possible structure. As long as you can read with the larger text that I added, then you can create your own boxes positive for break of structure, rejection block, order blocks and fair value gaps for any time frame. The reason I did that is because There's only certain things I believe I will need to mark for myself in each time frame, and then from there You can stretch iyour own box out further in time because if price touches a fair value gap for example, the fair value gap should conyinue in time until at least 2 candles have filed the Fair valu gap going both directions. That's truly when the fair value gap should is mitigated and will from off the chart. However, If I knew How to add the code for that, I would.
Additionally, I have the Max Boxes per chart, so you should have the ability to see every OB, FVG,RJB, & BoS on the chart
I tried my hardest to create a colored border that was different from the box. But the way the original was coded was almost impossible to do. Because they defined each of the structures (FVG, OB, BoS, RJB) outer levels, when the outer levels connect via math in the code, then it joins all the outside lines for a rectangle. When creating a box, the coloe will always be the same as the border unfortunately. (Unless I replan this from the beginning)
I also Changed the default labels for reach structure from a hard to read gray to a white that pops out.
Also, chart indicators are a little large as well. Such as the cross, sideways cross, The green Triangle, and the white Diamond. You'll get used to it or you can change it as well.
Creating videos for students, you need something they can see.
So, I just wanted to ensure everything was a little more unique and easily usable when showing this to my students when I send them private videos for our weekly lessons. I'm trying to learn how to use the IPFS for THAT, (which i see has invaded PineScript) Hope this indicator helps.
If you're to borrow this, Just make sure you keep the authors in the name makuchaku & efe
TradingWolf Smart Money
The TradingWolf Premium Smart Money Concept is a unique and enhanced selection of ideas designed to help give you an edge on the markets.
Within this one indicator you will have access to Fair Value Gap, Order Blocks, Break of Structure, Forecasting, Supply & Demand.
Below find each explanations on how to use each indicator
This script comes with the 'TradingWolf Premium' to get access, read the Author’s Instructions below.
There are extensive explanations on how to use this in our documentation on the website but we will give a simple overview here.
Order Blocks
There are several different ways people like to calculate order blocks, one of the ways we like is by using pivot points to identify levels of importance, from there we either highlight the highest/lowest closed candle or the wick. The user has the option to choose this in the settings.
As seen in the image above, you can see these levels are well respected and give people an opportunity to help where the market marker is placing their orders.
Fair Value Gaps
Fair value gaps can be a very useful concept in price action trading. They detect instances in which there are inefficiencies, or imbalances, in the market. In this case, we define imbalance as an instance in which buying and selling is not equal. This is often visualised as a large candle whose neighbouring candles’ wicks do not fully overlap the large candle. Below are a few examples of Fair Value Gap.
If price is in a downtrend and there is a fair value gap above, a trader might look to go short when that FVG fills. Inversely, if price is in an uptrend and there is a FVG below, a trader might look to go long when the FVG fills.
In this script we decided to highlight both types, one is simply marking up all technical FVGs which is the gap produced by the large candle, the other more commonly traded ones are market structure breaking ones.
These ones tend to be more respected so note they are highlighted in a separate colour to make them more visible.
If a FVG has been filled that box will dim away so it's not in your way.
ChoCh
‘Change of Character’ Hugely used by professional traders although they may not have heard of it called by this term. This is where price/market structure is trending in a certain direction but price starts to reverse.
This first happens when there is a break of structure, instead of another Lower High formed, price makes a Higher High like in the image above. This is where we highlight a break of structure or some people will just refer to this as the Choch line, once we have this we can look for an Order block / supply zone below to find an entry.
This is a hugely powerful tool dating back to one of the simplest and first concepts of trading where Market structure is King.
Peaks & Troughs
This tool helps you find potential reversal points in your support/resistance area, Simple candlestick patterns but incredibly powerful when used in confluence with our other tools.
LOKEN (v4) BULLISH SMART MONEYThis indicator is based on Smart Money MCDX
(Pine editor @v4)
Indicator built for cryptocurrencies.
Best for day trading.
The coin seems overbought but still pump? Check this indicator
This indicator help you see when institutional buyer enter/exit trade and is a good combination with RSI + Stochastic RSI .
This indicator focus on buying activity by big players and is built for LONG or SPOT, shorter can still use it to determine when to exit short (if smart money appear on a significant TF you may not enter/stay in a short).
Banker plot show strong buyer activities (appear generally when RSI already overbought but still increasing).
It appear as a Histogram with a color code to better see the fading strength of the institutional activity :
Light Blue Bar = Institutional presence ( bullish )
Green Bar = Pump candle (very bullish ), (Banker > Banker MA)
Orange Bar = Retest candle = natural decline after a growth (Banker < Banker MA)
Black Bar = Down candle = progressive exit of institutional leads to this candle, you must have TP before.
Red Bar = Dump candle = steep decline, the institutional take profit hard. You better be out before that one.
Hot-Money plot show momentum and react fast to price action.
It appear as a filled zone (red or green) depending on the plot position compared to its average.
In a downtrend you may only see this one.
Key-Signals:
"Bullish signal 𓃓" = open a long
"Sell signal 💲" = close the long
I recommend you don't keep all the signals enabled at first.
(feel free to ask me the use of the other signals)
It seemed to me that SMART MONEY MCDX was counter-intuitive and archaic,
So i made this one for personal use,
I'm happy if this indicator helps you,
Have a good trade
Smart Multi-TF StochasticSmart Multi-TF Stochastic (SMTF Stoch)
Smart Multi-TF Stochastic is a multi-layer momentum analysis system built on top of Stochastic signals from several timeframes. It combines four stochastic timeframes (15m / 1H / 2H / 4H), Premium–Equilibrium–Discount zones, dynamic weight reallocation, and adaptive smoothing into a single SMART oscillator that reflects the real market structure with higher accuracy.
Key Features
1. Multi-Timeframe Stochastic Engine
The indicator calculates Stochastic on four different timeframes:
15m – micro momentum
1H – local trend
2H – intraday structure
4H – primary trend
Core logic:
When the 4H trend is strong, higher timeframes receive more weight.
When the 4H trend weakens, the model shifts weight toward lower timeframes, which detect reversals earlier.
2. Premium / Equilibrium / Discount Zones
Based on the recent price range, the indicator determines where the asset currently trades:
Discount — ideal zone for long setups
Equilibrium — neutral territory
Premium — area for exits or reversals
Background shading is applied automatically.
3. SMART-Stochastic — Central Signal Line
The combined oscillator uses:
weighted logic depending on the strength of the higher timeframe trend,
adaptive smoothing (SMA / EMA / WMA / RMA),
dynamic color states:
green — strong bullish trend
red — strong bearish trend
yellow — uncertainty
4. Trading Signals
Long Entry Signal (“ENTRY LONG”)
Triggered when:
price is in Discount,
higher TF line is red/yellow (trend not fully bullish),
SMART-Stoch is below mid-level,
upward crossover through the entry threshold occurs.
Displayed as a green triangle.
Exit / Reversal Signal (“EXIT / REVERSAL”)
Triggered when:
price moves into Premium,
the SMART line exceeds the configured exit level.
Displayed as a red triangle.
Both signals only trigger once at the moment of confirmation.
5. Multi-TF Status Table
A compact table in the top-right corner shows:
stochastic values across all timeframes,
overbought/oversold indicators (🔥 / ❄️),
trend confirmations (✓ / ✗),
SMART signal markers (🚀 entry, ⚠️ exit).
6. Alerts
Built-in alert conditions:
“🚀 ENTRY LONG”
“🔴 EXIT / REVERSAL”
Designed for live trading automation.
Purpose
Smart Multi-TF Stochastic is intended for traders who rely on Premium/Discount logic, trend confirmation from higher timeframes, and precise timing on lower timeframes. It works both as a standalone decision system and as a high-quality confirmation tool in structured trading strategies.
Smart Money ProSmart Money Pro V 8.1 is an advanced trading indicator that tracks institutional "smart money" movements using multiple Smart Money Concepts (SMC) techniques:
Market Structure: Identifies Change of Character (CHoCH), Break of Structure (BOS), and Internal/External Market Structure (IDM)
Order Blocks: Detects demand/supply zones including EXT OB, IDM OB, SCOB, and mitigation/breaker blocks
Order Flow: Tracks major and minor order flows with mitigation levels
Fair Value Gaps (FVG): Highlights price inefficiencies and imbalance zones
Liquidity Levels: Maps liquidity sweeps and key pivot levels
Price Structure: Shows OTE (Optimal Trade Entry) zones, PDH/PDL (Previous Day High/Low), equilibrium levels, and swing sweeps
Candle Patterns: Detects Inside and Outside bars
The indicator helps traders identify institutional entry/exit points, liquidity grabs, and high-probability trading zones.
Smart Money Pro V 8.1 هو مؤشر متقدم لتتبع تحركات المؤسسات المالية "الأموال الذكية" باستخدام مفاهيم Smart Money Concepts (SMC):
هيكل السوق: يحدد تغيير الاتجاه (CHoCH)، كسر الهيكل (BOS)، والهيكل الداخلي/الخارجي (IDM)
مناطق الطلب والعرض: يكتشف Order Blocks بأنواعها (EXT OB, IDM OB, SCOB) ومناطق الاختراق والتخفيف
تدفق الأوامر: يتتبع التدفقات الرئيسية والثانوية مع مستويات التخفيف
فجوات القيمة العادلة (FVG): يبرز مناطق عدم الكفاءة السعرية وعدم التوازن
مستويات السيولة: يرسم مصائد السيولة والنقاط المحورية الرئيسية
هيكل السعر: يعرض مناطق OTE (نقاط الدخول المثلى)، أعلى/أدنى سعر سابق (PDH/PDL)، مستويات التوازن، وكسر القمم/القيعان
أنماط الشموع: يكتشف شموع Inside و Outside Bar
Smart Money Flow - Exchange & TVL Composite# Smart Money Flow - Exchange & TVL Composite Indicator
## Overview
The **Smart Money Flow (SMF)** indicator combines two powerful on-chain metrics - **Exchange Flows** and **Total Value Locked (TVL)** - to create a composite index that tracks institutional and "smart money" movement in the cryptocurrency market. This indicator helps traders identify accumulation and distribution phases by analyzing where capital is flowing.
## What It Does
This indicator normalizes and combines:
- **Exchange Net Flow** (from IntoTheBlock): Tracks Bitcoin/Ethereum movement to and from exchanges
- **Total Value Locked** (from DefiLlama): Measures capital locked in DeFi protocols
The composite index is displayed on a 0-100 scale with clear zones for overbought/oversold conditions.
## Core Concept
### Exchange Flows
- **Negative Flow (Outflows)** = Bullish Signal
- Coins moving OFF exchanges → Long-term holding/accumulation
- Indicates reduced selling pressure
- **Positive Flow (Inflows)** = Bearish Signal
- Coins moving TO exchanges → Preparation for selling
- Indicates potential distribution phase
### Total Value Locked (TVL)
- **Rising TVL** = Bullish Signal
- Capital flowing into DeFi protocols
- Increased ecosystem confidence
- **Falling TVL** = Bearish Signal
- Capital exiting DeFi protocols
- Decreased ecosystem confidence
### Combined Signals
**🟢 Strong Bullish (70-100):**
- Exchange outflows + Rising TVL
- Smart money accumulating and deploying capital
**🔴 Strong Bearish (0-30):**
- Exchange inflows + Falling TVL
- Smart money preparing to sell and exiting positions
**⚪ Neutral (40-60):**
- Mixed or balanced flows
## Key Features
### ✅ Auto-Detection
- Automatically detects chart symbol (BTC/ETH)
- Uses appropriate exchange flow data for each asset
### ✅ Weighted Composite
- Customizable weights for Exchange Flow and TVL components
- Default: 50/50 balance
### ✅ Normalized Scale
- 0-100 index scale
- Configurable lookback period for normalization (default: 90 days)
### ✅ Signal Zones
- **Overbought**: 70+ (Strong bullish pressure)
- **Oversold**: 30- (Strong bearish pressure)
- **Extreme**: 85+ / 15- (Very strong signals)
### ✅ Clean Interface
- Minimal visual clutter by default
- Only main index line and MA visible
- Optional elements can be enabled:
- Background color zones
- Divergence signals
- Trend change markers
- Info table with detailed metrics
### ✅ Divergence Detection
- Identifies when price diverges from smart money flows
- Potential reversal warning signals
### ✅ Alerts
- Extreme overbought/oversold conditions
- Trend changes (crossing 50 line)
- Bullish/bearish divergences
## How to Use
### 1. Trend Confirmation
- Index above 50 = Bullish trend
- Index below 50 = Bearish trend
- Use with price action for confirmation
### 2. Reversal Signals
- **Extreme readings** (>85 or <15) suggest potential reversal
- Look for divergences between price and indicator
### 3. Accumulation/Distribution
- **70+**: Accumulation phase - smart money buying/holding
- **30-**: Distribution phase - smart money selling
### 4. DeFi Health
- Monitor TVL component for DeFi ecosystem strength
- Combine with exchange flows for complete picture
## Settings
### Data Sources
- **Exchange Flow**: IntoTheBlock real-time data
- **TVL**: DefiLlama aggregated DeFi TVL
- **Manual Mode**: For testing or custom data
### Indicator Settings
- **Smoothing Period (MA)**: Default 14 periods
- **Normalization Lookback**: Default 90 days
- **Exchange Flow Weight**: Adjustable 0-100%
- **Overbought/Oversold Levels**: Customizable thresholds
### Visual Options
- Show/Hide Moving Average
- Show/Hide Zone Lines
- Show/Hide Background Colors
- Show/Hide Divergence Signals
- Show/Hide Trend Markers
- Show/Hide Info Table
## Data Requirements
⚠️ **Important Notes:**
- Uses **daily data** from IntoTheBlock and DefiLlama
- Works on any chart timeframe (data updates daily)
- Auto-switches between BTC and ETH based on chart
- All other crypto charts default to BTC exchange flow data
## Best Practices
1. **Use on Daily+ Timeframes**
- On-chain data is daily, most effective on D/W/M charts
2. **Combine with Price Action**
- Use as confirmation, not standalone signals
3. **Watch for Divergences**
- Price making new highs while indicator falling = warning
4. **Monitor Extreme Zones**
- Sustained readings >85 or <15 indicate strong conviction
5. **Context Matters**
- Consider broader market conditions and fundamentals
## Calculation
1. **Exchange Net Flow** = Inflows - Outflows (inverted for index)
2. **TVL Rate of Change** = % change over smoothing period
3. **Normalize** both metrics to 0-100 scale
4. **Composite Index** = (ExchangeFlow × Weight) + (TVL × Weight)
5. **Smooth** with moving average
## Disclaimer
This indicator uses on-chain data for analysis. While valuable, it should not be used as the sole basis for trading decisions. Always combine with other technical analysis tools, fundamental analysis, and proper risk management.
On-chain data reflects blockchain activity but may lag price action. Use this indicator as part of a comprehensive trading strategy.
---
## Credits
**Data Sources:**
- IntoTheBlock: Exchange flow metrics
- DefiLlama: Total Value Locked data
**Indicator by:** @iCD_creator
**Version:** 1.0
**Pine Script™ Version:** 6
---
## Updates & Support
For questions, suggestions, or bug reports, please comment below or message the author.
**Like this indicator? Leave a 👍 and share your feedback!**
Smart Money OB FVG
Smart Money OB FVG Strategy — Full Description
🔷 Advanced Order Block + Multi-TF FVG + Liquidity Sweep + Auto TP/SL
A Complete Smart Money Concept Trading System
This script combines multiple professional Smart Money tools into a single, optimized and non-repainting engine. Designed for scalpers, intraday traders, swing traders, and algorithmic strategy users.
🔥 Key Features
✔ Intelligent Order Block Engine (IOB)
Automatic bullish & bearish Order Block detection
ATR-based or Range-based volatility filter
Scalp / Normal / Balanced swing structure modes
Auto extending OB zones
Auto-removal of invalid OBs
OB touch alerts
✔ Buy/Sell Signals With Dynamic TP/SL
Non-repainting BUY/SELL structure shift detection
Auto-generated TP & SL levels
SL placement based on OB structure + liquidation buffer
Adjustable Risk-Reward (RR) multiplier
TP/SL labels update in real-time
Fully dynamic lines extending as new candles appear
✔ Liquidity Grab Detection (Wick Liquidity Sweeps)
Upper/lower wick manipulation detection
RSI-supported confirmation
Automatic "LiQ" labels
Strong reversal indication
Liquidity alert system included
✔ Multi-Timeframe FVG Engine (Fair Value Gaps)
Tracks and updates FVG zones from:
15M
1H
4H
1D
Features:
Auto FVG detection
Bullish/Bearish colored zones
Tested FVG repainting → color changes
Auto-cleaning invalid FVGs
Maximum box limits (reduces clutter)
FVG labels inside zones (15M / 1H / 4H / 1D)
One-click master switch for all FVGs
✔ Real-Time Info Panel (Top-Right Table)
Current symbol
Live price
Turkish local time (UTC+3)
Minimalistic, transparent overlay panel
✔ Smart Alerts
OB Buy/Sell signal
Liquidity grab
OB touch
Trend shift
Multi-timeframe FVG alert
Alert-saving mode (prevents alert spam)
💼 Perfect For
Smart Money Concepts traders
Liquidity hunters
OB + FVG traders
Scalpers
Swing & intraday traders
Algorithmic systems
High RR strategy traders
📌 Notes
This is an Invite-Only Script.
Access is given only to approved users.
Smart Money Concepts [XoRonX]# Smart Money Concepts (SMC) - Advanced Trading Indicator
## 📊 Deskripsi
**Smart Money Concepts ** adalah indicator trading komprehensif yang menggabungkan konsep Smart Money Trading dengan berbagai alat teknikal analisis modern. Indicator ini dirancang untuk membantu trader mengidentifikasi pergerakan institusional (smart money), struktur pasar, zona supply/demand, dan berbagai sinyal trading penting.
Indicator ini mengintegrasikan multiple timeframe analysis, order blocks detection, fair value gaps, fibonacci retracement, volume profile, RSI multi-timeframe, dan moving averages dalam satu platform yang powerful dan mudah digunakan.
---
## 🎯 Fitur Utama
### 1. **Smart Money Structure**
- **Internal Structure** - Struktur pasar jangka pendek untuk entry presisi
- **Swing Structure** - Struktur pasar jangka panjang untuk trend analysis
- **BOS (Break of Structure)** - Konfirmasi kelanjutan trend
- **CHoCH (Change of Character)** - Deteksi potensi reversal
### 2. **Order Blocks**
- **Internal Order Blocks** - Zona demand/supply jangka pendek
- **Swing Order Blocks** - Zona demand/supply jangka panjang
- Filter otomatis berdasarkan volatilitas (ATR/Range)
- Mitigation tracking (High/Low atau Close)
- Customizable display (jumlah order blocks yang ditampilkan)
### 3. **Equal Highs & Equal Lows (EQH/EQL)**
- Deteksi otomatis equal highs/lows
- Indikasi liquidity zones
- Threshold adjustment untuk sensitivitas
- Visual lines dan labels
### 4. **Fair Value Gaps (FVG)**
- Multi-timeframe FVG detection
- Auto threshold filtering
- Bullish & Bearish FVG boxes
- Extension control
- Color customization
### 5. **Premium & Discount Zones**
- Premium Zone (75-100% dari range)
- Equilibrium Zone (47.5-52.5% dari range)
- Discount Zone (0-25% dari range)
- Auto-update berdasarkan swing high/low
### 6. **Fibonacci Retracement**
- **Equilibrium to Discount** - Fib dari EQ ke discount zone
- **Equilibrium to Premium** - Fib dari EQ ke premium zone
- **Discount to Premium** - Fib full range
- Reverse option
- Show/hide lines
- Custom colors
### 7. **Volume Profile (VRVP)**
- Visible Range Volume Profile
- Point of Control (POC)
- Value Area (70% volume)
- Auto-adjust rows
- Placement options (Left/Right)
- Width customization
### 8. **RSI Multi-Timeframe**
- Monitor 3 timeframes sekaligus
- Overbought/Oversold signals
- Visual table display
- Color-coded signals (Red OB, Green OS)
- Customizable position & size
### 9. **Moving Averages**
- 3 Moving Average lines
- Pilihan tipe: EMA, SMA, WMA
- Automatic/Manual period mode
- Individual color & width settings
- Cross alerts (MA vs MA, Price vs MA)
### 10. **Multi-Timeframe Levels**
- Support up to 5 different timeframes
- Previous high/low levels
- Custom line styles
- Color customization
### 11. **Candle Color**
- Color candles berdasarkan trend
- Bullish = Green, Bearish = Red
- Optional toggle
---
## 🛠️ Cara Penggunaan
### **A. Setup Awal**
1. **Tambahkan Indicator ke Chart**
- Buka TradingView
- Klik "Indicators" → "My Scripts" atau paste code
- Pilih "Smart Money Concepts "
2. **Pilih Mode Display**
- **Historical**: Tampilkan semua struktur (untuk backtesting)
- **Present**: Hanya tampilkan struktur terbaru (clean chart)
3. **Pilih Style**
- **Colored**: Warna berbeda untuk bullish/bearish
- **Monochrome**: Tema warna abu-abu
---
### **B. Penggunaan Fitur**
#### **1. Smart Money Structure**
**Internal Structure (Real-time):**
- ✅ Aktifkan "Show Internal Structure"
- Pilih tampilan: All, BOS only, atau CHoCH only
- Gunakan untuk entry timing presisi
- Filter confluence untuk mengurangi noise
**Swing Structure:**
- ✅ Aktifkan "Show Swing Structure"
- Pilih tampilan struktur bullish/bearish
- Adjust "Swings Length" (default: 50)
- Gunakan untuk konfirmasi trend utama
**Tips:**
- BOS = Konfirmasi trend continuation
- CHoCH = Warning untuk possible reversal
- Tunggu price retest ke order block setelah BOS
---
#### **2. Order Blocks**
**Setup:**
- ✅ Aktifkan Internal/Swing Order Blocks
- Set jumlah blocks yang ditampil (1-20)
- Pilih filter: ATR atau Cumulative Mean Range
- Pilih mitigation: Close atau High/Low
**Cara Trading:**
1. Tunggu BOS/CHoCH terbentuk
2. Identifikasi order block terdekat
3. Wait for price pullback ke order block
4. Entry saat price respek order block (rejection)
5. Stop loss di bawah/atas order block
6. Target: swing high/low berikutnya
**Color Code:**
- 🔵 Light Blue = Internal Bullish OB
- 🔴 Light Red = Internal Bearish OB
- 🔵 Dark Blue = Swing Bullish OB
- 🔴 Dark Red = Swing Bearish OB
---
#### **3. Equal Highs/Lows (EQH/EQL)**
**Setup:**
- ✅ Aktifkan "Equal High/Low"
- Set "Bars Confirmation" (default: 3)
- Adjust threshold (0-0.5, default: 0.1)
**Interpretasi:**
- EQH = Liquidity di atas, kemungkinan sweep lalu dump
- EQL = Liquidity di bawah, kemungkinan sweep lalu pump
- Biasanya smart money akan grab liquidity sebelum move besar
**Trading Strategy:**
- Wait for EQH/EQL formation
- Anticipate liquidity grab
- Entry setelah sweep dengan konfirmasi (order block, FVG, CHoCH)
---
#### **4. Fair Value Gaps (FVG)**
**Setup:**
- ✅ Aktifkan "Fair Value Gaps"
- Pilih timeframe (default: chart timeframe)
- Enable/disable auto threshold
- Set extension bars
**Cara Trading:**
1. Bullish FVG = Support zone untuk buy
2. Bearish FVG = Resistance zone untuk sell
3. Price tends to fill FVG (retest)
4. Entry saat price kembali ke FVG
5. Partial fill = valid, full fill = invalidated
**Tips:**
- FVG + Order Block = High probability setup
- Multi-timeframe FVG lebih kuat
- Unfilled FVG = strong momentum
---
#### **5. Premium & Discount Zones**
**Setup:**
- ✅ Aktifkan "Premium/Discount Zones"
- Zones akan auto-update berdasarkan swing high/low
**Interpretasi:**
- 🟢 **Discount Zone** = Area BUY (price murah)
- ⚪ **Equilibrium** = Neutral (50%)
- 🔴 **Premium Zone** = Area SELL (price mahal)
**Trading Strategy:**
- BUY dari discount zone
- SELL dari premium zone
- Avoid trading di equilibrium
- Combine dengan structure confirmation
---
#### **6. Fibonacci Retracement**
**Setup:**
- Pilih Fib yang ingin ditampilkan:
- Equilibrium to Discount
- Equilibrium to Premium
- Discount to Premium
- Toggle show lines
- Enable reverse jika perlu
- Custom colors
**Key Levels:**
- 0.236 = Shallow retracement
- 0.382 = Common retracement
- 0.5 = 50% golden level
- 0.618 = Golden ratio (penting!)
- 0.786 = Deep retracement
**Cara Pakai:**
- 0.618-0.786 = Ideal entry zone dalam trend
- Combine dengan order blocks
- Wait for confirmation candle
---
#### **7. Volume Profile (VRVP)**
**Setup:**
- ✅ Aktifkan "Show Volume Profile"
- Set jumlah rows (10-100)
- Adjust width (5-50%)
- Pilih placement (Left/Right)
- Enable POC dan Value Area
**Interpretasi:**
- **POC (Point of Control)** = Harga dengan volume tertinggi = magnet
- **Value Area** = 70% volume = fair price range
- **Low Volume Nodes** = Weak support/resistance
- **High Volume Nodes** = Strong support/resistance
**Trading:**
- POC acts as support/resistance
- Price tends to return to POC
- Breakout dari Value Area = momentum
---
#### **8. RSI Multi-Timeframe**
**Setup:**
- ✅ Aktifkan "Show RSI Table"
- Set 3 timeframes (default: chart, 5m, 15m)
- Set RSI period (default: 14)
- Set Overbought level (default: 70)
- Set Oversold level (default: 30)
- Pilih posisi & ukuran table
**Interpretasi:**
- 🟢 **OS (Oversold)** = RSI ≤ 30 = Kondisi jenuh jual
- 🔴 **OB (Overbought)** = RSI ≥ 70 = Kondisi jenuh beli
- **-** = Neutral zone
**Trading Strategy:**
1. Multi-timeframe alignment = strong signal
2. OS + Bullish structure = BUY signal
3. OB + Bearish structure = SELL signal
4. Divergence RSI vs Price = reversal warning
**Contoh:**
- TF1: OS, TF2: OS, TF3: OS + Price di discount zone = STRONG BUY
---
#### **9. Moving Averages**
**Setup:**
- Pilih MA Type: EMA, SMA, atau WMA (berlaku untuk ketiga MA)
- Pilih Period Mode: Automatic atau Manual
- Set period untuk MA 1, 2, 3 (default: 20, 50, 100)
- Custom color & width per MA
- ✅ Enable Cross Alerts
**Interpretasi:**
- **Golden Cross** = MA fast cross above MA slow = Bullish
- **Death Cross** = MA fast cross below MA slow = Bearish
- Price above all MAs = Strong uptrend
- Price below all MAs = Strong downtrend
**Trading Strategy:**
1. MA1 (20) = Short-term trend
2. MA2 (50) = Medium-term trend
3. MA3 (100) = Long-term trend
**Entry Signals:**
- Price bounce dari MA dalam trend = continuation
- MA cross dengan konfirmasi structure = entry
- Multiple MA confluence = strong support/resistance
**Alerts Available:**
- MA1 cross MA2/MA3
- MA2 cross MA3
- Price cross any MA
---
#### **10. Multi-Timeframe Levels**
**Setup:**
- Enable HTF Level 1-5
- Set timeframes (contoh: 5m, 1H, 4H, D, W)
- Pilih line style (solid/dashed/dotted)
- Custom colors
**Cara Pakai:**
- Previous high/low dari HTF = strong S/R
- Breakout HTF level = significant move
- Multiple HTF levels confluence = major zone
---
### **C. Trading Setup Combination**
#### **Setup 1: High Probability Buy (Bullish)**
1. ✅ Swing structure: Bullish BOS
2. ✅ Price di Discount Zone
3. ✅ Pullback ke Bullish Order Block
4. ✅ Bullish FVG di bawah
5. ✅ RSI Multi-TF: Oversold
6. ✅ Price bounce dari MA
7. ✅ POC/Value Area support
8. ✅ Fibonacci 0.618-0.786 retracement
**Entry:** Saat price reject dari order block dengan confirmation candle
**Stop Loss:** Below order block
**Target:** Swing high atau premium zone
---
#### **Setup 2: High Probability Sell (Bearish)**
1. ✅ Swing structure: Bearish BOS
2. ✅ Price di Premium Zone
3. ✅ Pullback ke Bearish Order Block
4. ✅ Bearish FVG di atas
5. ✅ RSI Multi-TF: Overbought
6. ✅ Price reject dari MA
7. ✅ POC/Value Area resistance
8. ✅ Fibonacci 0.618-0.786 retracement
**Entry:** Saat price reject dari order block dengan confirmation candle
**Stop Loss:** Above order block
**Target:** Swing low atau discount zone
---
#### **Setup 3: Liquidity Grab (EQH/EQL)**
1. ✅ Identifikasi EQH atau EQL
2. ✅ Wait for liquidity sweep
3. ✅ Konfirmasi dengan CHoCH
4. ✅ Order block terbentuk setelah sweep
5. ✅ Entry saat retest order block
---
### **D. Tips & Best Practices**
**Risk Management:**
- Selalu gunakan stop loss
- Risk 1-2% per trade
- Risk:Reward minimum 1:2
- Jangan over-leverage
**Confluence adalah Kunci:**
- Minimal 3-4 konfirmasi sebelum entry
- Lebih banyak konfirmasi = higher probability
- Quality over quantity
**Timeframe Analysis:**
- HTF (Higher Timeframe) = Trend direction
- LTF (Lower Timeframe) = Entry timing
- Align dengan HTF trend
**Backtesting:**
- Gunakan mode "Historical"
- Test strategy di berbagai market condition
- Record dan analyze hasil
**Market Condition:**
- Trending market = Follow BOS, use order blocks
- Ranging market = Use premium/discount zones, EQH/EQL
- High volatility = Wider stops, wait for clear structure
**Avoid:**
- Trading di equilibrium zone
- Entry tanpa konfirmasi
- Fighting the trend
- Overleveraging
- Emotional trading
---
## 📈 Recommended Settings
### **For Scalping (1m - 5m):**
- Internal Structure: ON
- Swing Structure: OFF
- Order Blocks: Internal only
- RSI Timeframes: 1m, 5m, 15m
- MA Periods: 9, 21, 50
### **For Day Trading (15m - 1H):**
- Internal Structure: ON
- Swing Structure: ON
- Order Blocks: Both
- RSI Timeframes: 15m, 1H, 4H
- MA Periods: 20, 50, 100
### **For Swing Trading (4H - D):**
- Internal Structure: OFF
- Swing Structure: ON
- Order Blocks: Swing only
- RSI Timeframes: 4H, D, W
- MA Periods: 20, 50, 200
---
## ⚠️ Disclaimer
Indicator ini adalah alat bantu analisis teknikal. Tidak ada indicator yang 100% akurat. Selalu:
- Lakukan analisa fundamental
- Gunakan proper risk management
- Praktik di demo account terlebih dahulu
- Trading memiliki resiko, trade at your own risk
---
## 📝 Version Info
**Version:** 5.0
**Platform:** TradingView Pine Script v5
**Author:** XoRonX
**Max Labels:** 500
**Max Lines:** 500
**Max Boxes:** 500
---
## 🔄 Updates & Support
Untuk update, bug reports, atau pertanyaan:
- Check documentation regularly
- Test new features in replay mode
- Backup your settings before updates
---
## 🎓 Learning Resources
**Recommended Study:**
1. Smart Money Concepts (SMC) basics
2. Order blocks theory
3. Liquidity concepts
4. ICT (Inner Circle Trader) concepts
5. Volume profile analysis
6. Multi-timeframe analysis
**Practice:**
- Start with higher timeframes
- Master one concept at a time
- Keep a trading journal
- Review your trades weekly
---
**Happy Trading! 🚀📊**
_Remember: The best indicator is your own analysis and discipline._
Smart Liquidity & OTE Analysis Tool # Smart Liquidity & OTE Analysis Tool
## OVERVIEW
This indicator is designed for traders who utilize institutional trading concepts, specifically liquidity sweeps and optimal trade entry (OTE) zones, combined with session-based market structure analysis. It identifies potential market manipulation points where stop losses are likely clustered, and highlights high-probability entry zones based on Fibonacci retracements.
The tool combines four main analytical components that work synergistically to identify trading opportunities aligned with smart money behavior.
---
## CORE CONCEPTS & METHODOLOGY
### 1. TRADING SESSIONS ANALYSIS
**What it does:**
The indicator tracks three major forex trading sessions with customizable time zones:
- **Asian Session** (Default: 01:00-13:00 UTC+4) - Typically characterized by range-bound price action
- **London Session** (Default: 11:00-20:00 UTC+4) - High volatility period with increased institutional activity
- **New York Session** (Default: 17:00-00:00 UTC+4) - Overlaps with London creating peak liquidity
**How it works:**
- Automatically highlights active sessions with colored background boxes
- Draws session high/low lines which often act as intraday support/resistance
- Identifies session overlaps (e.g., London-NY overlap) where volatility and liquidity are highest
- Color-codes the price bars during overlaps to alert traders to increased opportunity periods
- Displays real-time session status (🟢 Open / 🔴 Closed) for quick reference
**Trading Application:**
Session highs and lows frequently become liquidity targets. The indicator helps traders anticipate when price might sweep these levels before continuing in the original direction. Session overlaps are prime times for major moves as multiple institutional players are active simultaneously.
---
### 2. EXTERNAL LIQUIDITY SWEEPS
**What it does:**
Identifies when price "sweeps" or breaks beyond significant swing highs and lows where stop losses are typically clustered. These sweeps often precede reversals or continuations after liquidity is collected.
**How it works:**
- Scans the previous 20 bars (configurable) to identify swing high and low points
- Marks these levels as "buyside liquidity" (above highs) or "sellside liquidity" (below lows)
- Monitors price action using three detection methods:
* **Wick Break:** Any candle wick extending beyond the liquidity level
* **Close Break:** Candle body closing beyond the level (stronger confirmation)
* **Full Retrace:** Price breaks the level then closes back inside the range (classic liquidity grab)
- Uses an ATR-based buffer to avoid false signals from minor price spikes
- Confirms sweeps only after a configurable number of confirmation bars to reduce repainting
**The Logic Behind It:**
Institutional traders need liquidity to fill large orders. Stop losses clustered above swing highs and below swing lows provide this liquidity. When these levels are swept, it often indicates smart money is entering positions in the opposite direction, causing reversals.
**Visual Representation:**
- Blue horizontal lines mark buyside liquidity zones (above price)
- Gray horizontal lines mark sellside liquidity zones (below price)
- Labels indicate when liquidity has been swept (✓) or remains active
- Historical zones are maintained for context (configurable display limit)
---
### 3. INTERNAL LIQUIDITY DETECTION
**What it does:**
Identifies equal highs (EQH) and equal lows (EQL) within recent price action - levels that have been tested multiple times without breaking. These represent internal liquidity pools that price often revisits before making larger moves.
**How it works:**
- Examines the most recent 8 bars (configurable) for price levels that occur multiple times
- Uses an ATR-based threshold (default 0.1% of ATR) to determine if highs or lows are "equal"
- Requires minimum 3 occurrences (configurable) of the same level to qualify as internal liquidity
- Tracks both the creation and sweeping of these internal levels
- Differentiates between wick breaks and close breaks for sweep confirmation
**The Concept:**
Unlike external liquidity at swing points, internal liquidity represents recent stop clusters and pending orders within the current price structure. Identifying these levels helps traders anticipate short-term price targets and potential reversal points before larger directional moves.
**Why This Matters:**
Price often needs to clear internal liquidity before making sustained moves to external liquidity levels. This creates a "roadmap" of where price is likely to go in sequence, improving trade timing.
**Visual Representation:**
- Cyan lines mark internal buyside liquidity (equal highs)
- Orange lines mark internal sellside liquidity (equal lows)
- Dashed or solid lines based on user preference
- Labels show when internal levels are swept
---
### 4. OPTIMAL TRADE ENTRY (OTE) ZONES
**What it does:**
Calculates and displays Fibonacci retracement zones (0.618-0.786) from recent swing points, representing "discount" or "premium" areas where institutional traders often enter positions after a liquidity sweep or structure break.
**How it works:**
- Identifies swing highs and lows using a 10-bar lookback period (configurable)
- Calculates three key Fibonacci levels:
* **0.618** - The "golden ratio" retracement (most significant)
* **0.705** - Mid-point between 0.618 and 0.786
* **0.786** - Deep retracement level (square root of 0.618)
- Optionally requires a structure break before displaying OTE zones
- Dynamically extends zones as new price action develops
- Tracks whether price has entered the zone (✅) or exited without filling (❌)
- Displays up to 2 most recent zones (configurable) to avoid chart clutter
**The Methodology:**
OTE zones represent areas where price is at a "discount" (for longs) or "premium" (for shorts) relative to the recent swing. After a liquidity sweep or structure break, institutional traders often wait for retracements into these zones before entering, as it offers better risk-to-reward ratios.
**Combining with Liquidity:**
The most powerful setups occur when:
1. External liquidity is swept
2. Price retraces into an OTE zone
3. Internal liquidity is present as a target
This confluence suggests smart money activity and high-probability trade opportunities.
**Visual Representation:**
- Shaded blue zone between 0.618 and 0.786 levels
- Three horizontal lines showing key Fibonacci levels with different colors/styles
- Labels (🎯) indicate bullish or bearish OTE zones
- Entry (✅) and exit (❌) status for each zone
---
## WHY THESE FEATURES WORK TOGETHER
This indicator combines these four components because they represent different stages of institutional trading behavior:
1. **Session Timing** - Identifies WHEN institutional activity is highest
2. **Liquidity Sweeps** - Shows WHERE smart money is collecting liquidity
3. **OTE Zones** - Highlights WHERE institutional entries likely occur after sweeps
4. **Internal Liquidity** - Provides SHORT-TERM targets for profit-taking or add-ons
Rather than using each concept in isolation, this integration creates a complete market structure framework. For example:
- A buyside liquidity sweep during London open →
- Followed by a retrace into a bullish OTE zone →
- With internal sellside liquidity as the initial target
This sequence represents a complete high-probability trade setup aligned with smart money principles.
---
## ANTI-REPAINTING FEATURES
**The Repainting Problem:**
Many indicators that identify patterns on historical data repaint their signals when live trading, showing signals that weren't actually there in real-time. This creates a false sense of accuracy.
**Our Solution:**
- **Confirmation Bars Setting:** Signals only appear after X bars have confirmed the pattern (default: 2 bars)
- **Marked Confirmation:** Labels show "C" when using confirmed signals
- **Trade-off:** More confirmation = less repainting but slightly delayed signals
- **User Control:** Traders can toggle between real-time signals (faster but may repaint) and confirmed signals (delayed but reliable)
---
## KEY CUSTOMIZATION OPTIONS
### Master Controls
- Toggle each major feature on/off independently
- Combine only the features relevant to your trading style
### Display Settings
- Adjust lookback periods for each component
- Control number of historical zones displayed
- Customize colors, line styles, and transparency
- Show/hide labels and session names
- Configure text sizes for different screen setups
### Detection Sensitivity
- **Sweep Detection:** Choose between wick breaks, close breaks, or full retraces
- **ATR Buffer:** Add distance requirements to confirm sweeps (reduces false signals)
- **Equal Level Threshold:** Adjust how close levels must be to qualify as "equal"
- **Confirmation Bars:** Balance between signal speed and reliability
### Alert System
- Session open/close notifications
- Liquidity sweep alerts
- OTE zone entry alerts
- Configurable alert frequency and types
---
## HOW TO USE THIS INDICATOR
### Basic Setup
1. Add the indicator to your chart (works on all timeframes, though 5M-1H recommended for intraday)
2. Enable the features you want to use via Master Controls
3. Adjust colors and transparency to match your chart preferences
4. Configure alert preferences if using notifications
### Trading Workflow
**Step 1: Identify the Session**
- Determine which trading session is active or approaching
- Note session highs/lows as potential liquidity targets
- Be especially alert during session overlaps
**Step 2: Watch for Liquidity Sweeps**
- Monitor external liquidity lines (swing highs/lows)
- When price sweeps liquidity, anticipate a potential reversal
- Stronger sweeps (close breaks + full retraces) are more significant
**Step 3: Wait for OTE Retracement**
- After a sweep, wait for price to retrace into the OTE zone (0.618-0.786)
- Bullish OTE after sellside sweep = potential long
- Bearish OTE after buyside sweep = potential short
**Step 4: Use Internal Liquidity as Targets**
- Look for internal liquidity in the direction of your trade
- These serve as initial profit targets
- External liquidity serves as extended targets
**Step 5: Manage Confirmation Settings**
- For live trading, use confirmed signals (2+ confirmation bars)
- For backtesting or analysis, you may use real-time signals
- Note that confirmed signals appear with "C" marking
### Example Trade Scenarios
**Bullish Setup:**
1. London session opens (increased volume)
2. Price sweeps sellside liquidity below Asian low
3. Price retraces into bullish OTE zone (0.618-0.786 of the sweep move)
4. Target internal buyside liquidity, then external buyside liquidity
**Bearish Setup:**
1. NY session overlap with London (peak liquidity)
2. Price sweeps buyside liquidity above recent high
3. Price retraces into bearish OTE zone
4. Target internal sellside liquidity, then session lows
---
## BEST PRACTICES
### What This Indicator Does Well
✓ Identifies high-probability institutional trading zones
✓ Provides clear visual roadmap of likely price targets
✓ Reduces chart clutter with configurable history limits
✓ Works across multiple timeframes and instruments
✓ Minimizes repainting with confirmation settings
### What This Indicator Doesn't Do
✗ Does not provide entry/exit arrows (intentional - requires trader discretion)
✗ Does not guarantee winning trades (no indicator does)
✗ Does not work in isolation (combine with price action/market context)
✗ Does not replace risk management (always use stop losses)
### Recommended Complementary Analysis
- Price action patterns (engulfing candles, pinbars at OTE zones)
- Volume profile or footprint charts for order flow confirmation
- Higher timeframe trend context (don't fade strong trends)
- Economic calendar awareness (avoid major news events)
---
## TECHNICAL NOTES
### Performance Optimization
- Uses max_bars_back limitation to reduce memory usage
- Automatic cleanup of old zones to prevent slowdown
- Efficient array management with configurable display limits
- Suitable for both intraday and swing trading timeframes
### Timeframe Recommendations
- **1-5 Minute:** Scalping with tight internal liquidity targets
- **15-30 Minute:** Intraday trading with session-based setups
- **1-4 Hour:** Swing trading with multi-session analysis
- **Daily:** Position trading using weekly liquidity levels
### Instrument Compatibility
Works on all liquid instruments:
- Forex pairs (optimal due to clear sessions)
- Stock index futures (ES, NQ, etc.)
- Cryptocurrency (24/7 markets - use custom session times)
- Individual stocks (less pronounced session effects)
---
## EDUCATIONAL RESOURCES
To better understand the concepts used in this indicator:
**Liquidity Concepts:**
- Study institutional order flow and stop loss hunting
- Learn about market microstructure and liquidity provision
- Understand the difference between retail and institutional trading
**Fibonacci/OTE:**
- Research Fibonacci retracements in trending markets
- Study the mathematical significance of the golden ratio (0.618)
- Practice identifying retracement entries on historical charts
**Session Trading:**
- Analyze volume profiles during different forex sessions
- Study typical price behavior during session overlaps
- Understand timezone conversions for your local trading hours
---
## VERSION HISTORY & UPDATES
This script represents a complete integration of multiple smart money concepts into a single, cohesive tool. Future updates will be published using the Update feature rather than creating separate scripts for minor variations.
---
## DISCLAIMER
This indicator is for educational and informational purposes only. It does not constitute financial advice or trading recommendations. All trading involves risk, and past performance does not guarantee future results. Always practice proper risk management and never risk more than you can afford to lose.
The concepts presented here (liquidity sweeps, OTE zones, session analysis) are widely discussed trading theories. This indicator is an interpretation and visualization of these concepts, not a guarantee of their effectiveness.
---
## SETTINGS SUMMARY
**Master Controls:** Enable/disable each major feature independently
**Repainting Controls:** Adjust confirmation requirements for signals
**Trading Sessions:** Customize session times, colors, and display options
**External Liquidity:** Configure detection sensitivity and visual styling
**Internal Liquidity:** Adjust lookback periods and threshold sensitivity
**OTE Zones:** Select which Fibonacci levels to display and entry requirements
**Alerts:** Configure notifications for sessions, sweeps, and entries
---
## SUPPORT & FEEDBACK
If you find this indicator helpful, please leave a like and comment with your feedback. For questions about specific settings or concepts, refer to the tooltips in the indicator settings panel - each parameter includes a detailed explanation.
Remember: The best indicator is the one you understand and can apply consistently within your trading plan. Take time to practice with this tool on demo accounts before risking real capital.
Smart Flow Tracker [The_lurker]
Smart Flow Tracker (SFT): Advanced Order Flow Tracking Indicator
Overview
Smart Flow Tracker (SFT) is an advanced indicator designed for real-time tracking and analysis of order flows. It focuses on detecting institutional patterns, massive orders, and potential reversals through analysis of lower timeframes (Lower Timeframe) or live ticks. It provides deep insights into market behavior using a multi-layered intelligent detection system and a clear visual interface, giving traders a competitive edge.
SFT focuses on trade volumes, directions, and frequencies to uncover unusual activity that may indicate institutional intervention, massive orders, or manipulation attempts (traps).
Indicator Operation Levels
SFT operates on three main levels:
1. Microscopic Monitoring: Tracks every trade at precise timeframes (down to one second), providing visibility not available in standard timeframes.
2. Advanced Statistical Analysis: Calculates averages, deviations, patterns, and anomalies using precise mathematical algorithms.
3. Behavioral Artificial Intelligence: Recognizes behavioral patterns such as hidden institutional accumulation, manipulation attempts and traps, and potential reversal points.
Key Features
SFT features a set of advanced functions to enhance the trader's experience:
1. Intelligent Order Classification System: Classifies orders into six categories based on size and pattern:
- Standard: Normal orders with typical size.
- Significant 💎: Orders larger than average by 1.5 times.
- Major 🔥: Orders larger than average by 2.5 times.
- Massive 🐋: Orders larger than average by 3 times.
- Institutional 🏛️: Consistent patterns indicating institutional activity.
- Reversal 🔄: Large orders indicating direction change.
- Trap ⚠️: Patterns that may be price traps.
2. Institutional Patterns Detection: Tracks sequences of similar-sized orders, detects organized institutional activity, and is customizable (number of trades, variance ratio).
3. Reversals Detection: Compares recent flows with previous ones, detects direction shifts from up to down or vice versa, and operates only on large orders (Major/Massive/Institutional).
4. Traps Detection: Identifies sequences of large orders in one direction, followed by an institutional order in the opposite direction, with early alerts for false moves.
5. Flow Delta Bar: Displays the difference between buy and sell volumes as a percentage for balance, with instant updates per trade.
6. Dynamic Statistics Panel: Displays overall buy and sell ratios with real-time updates and interactive colors.
How It Works and Understanding
SFT relies on logical sequential stages for data processing:
A. Data Collection: Uses the `request.security_lower_tf()` function to extract data from a lower timeframe (like 1S) even on a higher timeframe (like 5D). For each time unit, it calculates:
- Adjusted Volume: Either normal volume or "price-weighted volume" (hlc3 * volume) based on user choice.
- Trade Direction: Compared to previous close (rise → buy, fall → sell).
B. Building Temporary Memory: Maintains a dynamic list (sizeHistory) of the last 100 trade sizes, continuously calculating the moving average (meanSize).
C. Intelligent Classification: Compares each new trade to the average:
- > 1.5 × average → Significant.
- > 2.5 × average → Major.
- > 3.0 × average → Massive.
- Institutional Patterns Check: A certain number of trades (e.g., 5) with a specified variance ratio (±5%) → Institutional.
D. Advanced Detection:
- Reversal: Compares buy/sell totals in two consecutive periods.
- Trap: Sequence of large trades in one direction followed by an opposite institutional trade.
E. Display and Alerts: Results displayed in an automatically updated table, with option to enable alerts for notable events.
Settings (Fully Customizable)
SFT offers extensive options to adapt to the trader's needs:
A. Display Settings:
- Language: English / Arabic.
- Table Position: 9 options (e.g., Top Right, Middle Right, Bottom Left).
- Display Size: Tiny / Small / Normal / Large.
- Max Rows: 10–100.
- Enable Flow Delta Bar: Yes / No.
- Enable Statistics Panel: Yes / No (displays buy/sell % ratio).
B.- Technical Settings:
- Data Source: Lower Timeframe / Live Tick (simulation).
- Timeframe: Optional (e.g., 1S, 5S, 1).
- Calculation Type: Volume / Price Volume.
C. Intelligent Detection System:
- Enable Institutional Patterns Detection.
- Pattern Length: 3–20 trades.
- Allowed Variance Ratio: 1%–20%.
- Massive Orders Detection Factor: 2.0–10.0.
D. Classification Criteria:
- Significant Orders Factor: 1.2–3.0.
- Major Orders Factor: 2.0–5.0.
E. **Advanced Detection**:
- Enable Reversals Detection (with review period).
- Enable Traps Detection (with minimum sequence limit).
F. Alerts System:
- Enable for each type: Massive orders, institutional patterns, reversals, traps, severe imbalance (60%–90%).
G. Color System: Manual customization for each category:
- Standard Buy 🟢: Dark gray green.
- Standard Sell 🔴: Dark gray red.
- Significant Buy 🟢: Medium green.
- Significant Sell 🔴: Medium red.
- Major Orders 🟣: Purple.
- Massive Orders 🟠: Orange.
- Institutional 🟦: Sky blue.
- Reversal 🔵: Blue.
- Trap 🟣: Pink-purple.
Target Audiences
SFT benefits a wide range of traders and investors:
1. Scalpers: Instant detection of large orders, liquidity points identification, avoiding traps in critical moments.
2. Day Traders: Tracking smart money footprint, determining real session direction, early reversals detection.
3. Swing Traders: Confirming trend strength, detecting institutional accumulation/distribution, identifying optimal entry points.
4. Investors: Understanding true market sentiments, avoiding entry at false peaks, identifying real value zones.
⚠️ Disclaimer:
This indicator is for educational and analytical purposes only. It does not constitute financial, investment, or trading advice. Use it in conjunction with your own strategy and risk management. Neither TradingView nor the developer is liable for any financial decisions or losses.
Smart Flow Tracker (SFT): مؤشر متقدم لتتبع تدفقات الأوامر
نظرة عامة
Smart Flow Tracker (SFT) مؤشر متقدم مصمم لتتبع وتحليل تدفقات الأوامر في الوقت الفعلي. يركز على كشف الأنماط المؤسسية، الأوامر الضخمة، والانعكاسات المحتملة من خلال تحليل الأطر الزمنية الأقل (Lower Timeframe) أو التيك الحي. يوفر رؤية عميقة لسلوك السوق باستخدام نظام كشف ذكي متعدد الطبقات وواجهة مرئية واضحة، مما يمنح المتداولين ميزة تنافسية.
يركز SFT على حجم الصفقات، اتجاهها، وتكرارها لكشف النشاط غير العادي الذي قد يشير إلى تدخل مؤسسات، أوامر ضخمة، أو محاولات تلاعب (فخاخ).
مستويات عمل المؤشر
يعمل SFT على ثلاثة مستويات رئيسية:
1. المراقبة المجهرية: يتتبع كل صفقة على مستوى الأطر الزمنية الدقيقة (حتى الثانية الواحدة)، مما يوفر رؤية غير متوفرة في الأطر الزمنية العادية.
2. التحليل الإحصائي المتقدم: يحسب المتوسطات، الانحرافات، الأنماط، والشذوذات باستخدام خوارزميات رياضية دقيقة.
3. الذكاء الاصطناعي السلوكي: يتعرف على أنماط سلوكية مثل التراكم المؤسسي المخفي، محاولات التلاعب والفخاخ، ونقاط الانعكاس المحتملة.
الميزات الرئيسية
يتميز SFT بمجموعة من الوظائف المتقدمة لتحسين تجربة المتداول:
1. نظام تصنيف الأوامر الذكي: يصنف الأوامر إلى ست فئات بناءً على الحجم والنمط:
- Standard (قياسي)**: أوامر عادية بحجم طبيعي.
- Significant 💎 (مهم)**: أوامر أكبر من المتوسط بـ1.5 ضعف.
- Major 🔥 (كبير)**: أوامر أكبر من المتوسط بـ2.5 ضعف.
- Massive 🐋 (ضخم)**: أوامر أكبر من المتوسط بـ3 أضعاف.
- Institutional 🏛️ (مؤسسي)**: أنماط متسقة تشير إلى نشاط مؤسسي.
- Reversal 🔄 (انعكاس)**: أوامر كبيرة تشير إلى تغيير اتجاه.
- Trap ⚠️ (فخ)**: أنماط قد تكون فخاخًا سعرية.
2. كشف الأنماط المؤسسية: يتتبع تسلسل الأوامر المتشابهة في الحجم، يكشف النشاط المؤسسي المنظم، وقابل للتخصيص (عدد الصفقات، نسبة التباين).
3. كشف الانعكاسات: يقارن التدفقات الأخيرة بالسابقة، يكشف تحول الاتجاه من صعود إلى هبوط أو العكس، ويعمل فقط على الأوامر الكبيرة (Major/Massive/Institutional).
4. كشف الفخاخ: يحدد تسلسل أوامر كبيرة في اتجاه واحد، يليها أمر مؤسسي في الاتجاه المعاكس، مع تنبيه مبكر للحركات الكاذبة.
5. شريط دلتا التدفق: يعرض الفرق بين حجم الشراء والبيع كنسبة مئوية للتوازن، مع تحديث فوري لكل صفقة.
6. لوحة إحصائيات ديناميكية: تعرض نسبة الشراء والبيع الإجمالية مع تحديث لحظي وألوان تفاعلية.
طريقة العمل والفهم
يعتمد SFT على مراحل منطقية متسلسلة لمعالجة البيانات:
أ. جمع البيانات: يستخدم دالة `request.security_lower_tf()` لاستخراج بيانات من إطار زمني أدنى (مثل 1S) حتى على إطار زمني أعلى (مثل 5D). لكل وحدة زمنية، يحسب:
- الحجم المعدّل: إما الحجم العادي (volume) أو "الحجم المرجّح بالسعر" (hlc3 * volume) حسب الاختيار.
- اتجاه الصفقة: مقارنة الإغلاق الحالي بالسابق (ارتفاع → شراء، انخفاض → بيع).
ب. بناء الذاكرة المؤقتة: يحتفظ بقائمة ديناميكية (sizeHistory) لآخر 100 حجم صفقة، ويحسب المتوسط المتحرك (meanSize) باستمرار.
ج. التصنيف الذكي: يقارن كل صفقة جديدة بالمتوسط:
- > 1.5 × المتوسط → Significant.
- > 2.5 × المتوسط → Major.
- > 3.0 × المتوسط → Massive.
- فحص الأنماط المؤسسية: عدد معين من الصفقات (مثل 5) بنسبة تباين محددة (±5%) → Institutional.
د. الكشف المتقدم:
- الانعكاس: مقارنة مجموع الشراء/البيع في فترتين متتاليتين.
- الفخ: تسلسل صفقات كبيرة في اتجاه واحد يتبعها صفقة مؤسسية معاكسة.
هـ. العرض والتنبيه: عرض النتائج في جدول محدّث تلقائيًا، مع إمكانية تفعيل تنبيهات للأحداث المميزة.
لإعدادات (قابلة للتخصيص بالكامل)
يوفر SFT خيارات واسعة للتكييف مع احتياجات المتداول:
أ. إعدادات العرض:
- اللغة: English / العربية.
- موقع الجدول: 9 خيارات (مثل Top Right, Middle Right, Bottom Left).
- حجم العرض: Tiny / Small / Normal / Large.
- الحد الأقصى للصفوف: 10–100.
- تفعيل شريط دلتا التدفق: نعم / لا.
- تفعيل لوحة الإحصائيات: نعم / لا (تعرض نسبة الشراء/البيع %).
ب. الإعدادات التقنية:
- مصدر البيانات: Lower Timeframe / Live Tick (محاكاة).
- الإطار الزمني: اختياري (مثل 1S, 5S, 1).
- نوع الحساب: Volume / Price Volume.
ج. نظام الكشف الذكي:
- تفعيل كشف الأنماط المؤسسية.
- طول النمط: 3–20 صفقة.
- نسبة التباين: 1%–20%.
- عامل كشف الأوامر الضخمة: 2.0–10.0.
د. معايير التصنيف:
- عامل الأوامر المهمة: 1.2–3.0.
- عامل الأوامر الكبرى: 2.0–5.0.
هـ. الكشف المتقدم:
- تفعيل كشف الانعكاسات (مع فترة مراجعة).
- تفعيل كشف الفخاخ (مع حد أدنى للتسلسل).
و. نظام التنبيهات:
- تفعيل لكل نوع: أوامر ضخمة، أنماط مؤسسية، انعكاسات، فخاخ، عدم توازن شديد (60%–90%).
ز. نظام الألوان**: تخصيص يدوي لكل فئة:
- شراء قياسي 🟢: أخضر رمادي داكن.
- بيع قياسي 🔴: أحمر رمادي داكن.
- شراء مهم 🟢: أخضر متوسط.
- بيع مهم 🔴: أحمر متوسط.
- أوامر كبرى 🟣: بنفسجي.
- أوامر ضخمة 🟠: برتقالي.
- مؤسسي 🟦: أزرق سماوي.
- انعكاس 🔵: أزرق.
- فخ 🟣: وردي-أرجواني.
الفئات المستهدفة
يستفيد من SFT مجموعة واسعة من المتداولين والمستثمرين:
1. السكالبرز (Scalpers): كشف لحظي للأوامر الكبيرة، تحديد نقاط السيولة، تجنب الفخاخ في اللحظات الحرجة.
2. المتداولون اليوميون (Day Traders): تتبع بصمة الأموال الذكية، تحديد اتجاه الجلسة الحقيقي، كشف الانعكاسات المبكرة.
3. المتداولون المتأرجحون (Swing Traders): تأكيد قوة الاتجاه، كشف التراكم/التوزيع المؤسسي، تحديد نقاط الدخول المثلى.
4. المستثمرون: فهم معنويات السوق الحقيقية، تجنب الدخول في قمم كاذبة، تحديد مناطق القيمة الحقيقية.
⚠️ إخلاء مسؤولية:
هذا المؤشر لأغراض تعليمية وتحليلية فقط. لا يُمثل نصيحة مالية أو استثمارية أو تداولية. استخدمه بالتزامن مع استراتيجيتك الخاصة وإدارة المخاطر. لا يتحمل TradingView ولا المطور مسؤولية أي قرارات مالية أو خسائر.






















