Trading/Range Tracker Advanced-> PROFABIGHI_CAPITAL🌟 Overview
The Trading/Range Tracker Advanced is a sophisticated breakout trading system that combines swing-based structure detection , impulsive candle filtering , and market condition analysis . It dynamically identifies ranging versus trending environments, validates entries with EMA trend confirmation , and offers flexible execution modes including a Sniper Mode for precision entries on explosive price movements.
⚙️ Mode and Style Settings
- Trading Mode Selection : Choose between long-only, short-only, or bidirectional trading
- Trade Style Configuration : Conservative mode (single position) or Aggressive mode (multiple concurrent trades)
- Sniper Mode Toggle : Enable impulsive candle requirement for higher-probability entries or disable for relaxed entry conditions
- Execution Flexibility : Adapt strategy behavior to match market conditions and risk appetite
📊 Swing Detection Framework
- Left Bar Lookback : Configurable pivot detection for swing high and low identification
- Right Bar Confirmation : Number of bars required to validate swing structure
- Line Extension Length : Visual display duration for swing level reference lines
- Body-Based Analysis : Uses candle body highs/lows instead of wicks for cleaner structure
- Dynamic Level Updates : Swing highs and lows continuously recalculated based on price action
📈 EMA Trend Confirmation System
Basis Mode:
- Single pair of short and long EMAs for unified trend determination
- Consistent trend reading across both long and short trade directions
- Simplified decision framework with one trend reference
Advanced Mode:
- Dedicated EMA pairs for long trend detection (e.g., 12/21)
- Separate EMA pairs for short trend detection (e.g., 8/16)
- Independent validation for each direction
- Enhanced precision through direction-specific momentum analysis
EMA Exit Trigger Options:
- Intrabar : Exit signal triggers in real-time during bar formation
- Closed Bar : Exit signal only confirmed at bar close for reduced false signals
⚡ Impulsive Candle Detection
Core Requirements:
- Size Multiplier : Candle range must exceed average true range by adjustable factor
- Volume Multiplier : Trading volume must exceed average volume by configurable threshold
- Body-to-Wick Ratio : Candle body must represent minimum percentage of total range
- Volume Check Toggle : Optional volume validation (disable for tickers with unreliable volume data)
Application:
- Breakout Validation : Impulsive candles indicate strong momentum behind price moves
- Entry Window : Number of bars after impulsive breakout to allow entry if trend confirms
- Sniper Mode Filter : When enabled, entries only permitted on impulsive candle breakouts
- Visual Highlighting : Impulsive candles colored distinctly for easy identification
📊 Range/Trend Detector Integration
Market Condition Classification:
- Range Detection : Identifies sideways consolidation periods using deviation pivot analysis
- Trending Up Detection : Recognizes sustained upward momentum
- Trending Down Detection : Identifies persistent downward pressure
- Dynamic Band Display : Upper, middle, and lower bands visualize market structure
Detector Decision Filter:
- Range Mode : Only trade in ranging conditions
- Trending Mode : Only trade in trending conditions (up or down)
- Off Mode : No market condition filter applied
Visual Indicators:
- Yellow Bands : Range-bound market conditions
- Blue Bands : Trending market conditions
- Transition Labels : "L" for long trend start, "S" for short trend start, "R" for range entry
- Candle Coloring : Optional market condition-based candle coloring
🎯 Entry Signal Generation
Long Entry Requirements:
- Price breaks above last swing high
- Impulsive candle present (if Sniper Mode enabled)
- EMA trend bullish (short EMA above long EMA)
- Within entry window after breakout
- Market condition matches Detector Decision filter
- Mode permits long trades
Short Entry Requirements:
- Price breaks below last swing low
- Impulsive candle present (if Sniper Mode enabled)
- EMA trend bearish (short EMA below long EMA)
- Within entry window after breakout
- Market condition matches Detector Decision filter
- Mode permits short trades
Breakout Tracking:
- Breakout Memory : System remembers when swing levels are breached
- Entry Window Counting : Tracks bars elapsed since breakout for time-based entry limit
- Breakout Reset Logic : New swing formation invalidates previous breakout signals
🛡️ Risk Management Framework
- Risk/Reward Ratio Configuration : Adjustable profit target multiplier (default 2.2:1)
- Stop Loss Offset : Percentage buffer applied to swing levels for execution safety
- Long Stop Placement : Below last negative bar low or swing low with offset
- Short Stop Placement : Above last positive bar high or swing high with offset
- Interim Level Reference : Uses most recent opposing candle body for tighter stops
- Dynamic Target Calculation : Take profit automatically derived from entry and stop distance
📤 Exit Management Logic
Stop Loss Exit:
- Long position: price touches or crosses below stop level
- Short position: price touches or crosses above stop level
- Trade closed at loss
Take Profit Exit:
- Long position: price reaches calculated target above entry
- Short position: price reaches calculated target below entry
- Trade closed at profit
EMA Reversal Exit:
- Basis Mode : Short EMA crosses below long EMA (long exit) or above long EMA (short exit)
- Advanced Mode : Direction-specific EMA pair reversal against trade direction
- Intrabar Trigger : Exit in real-time when EMA condition met (if selected)
- Closed Bar Trigger : Exit only after bar confirms (if selected)
- Exit classification: profit if price above/below entry, loss otherwise
🎨 Visualization Features
- Entry Arrows : Green triangles below bars for long entries, red triangles above bars for short entries
- Exit Markers : Dark blue triangles for profitable exits, purple triangles for losing exits
- Swing Lines : Yellow dashed horizontal lines showing swing high (SH) and swing low (SL) levels
- Swing Labels : "SH" text label at swing highs, "SL" text label at swing lows
- Stop/Target Lines : Red dashed line for stop loss, green dashed line for take profit
- EMA Trend Lines : Color-coded moving averages (green for bullish, red for bearish, gray for inactive)
- Range/Trend Bands : Upper, middle, and lower bands colored yellow (range) or blue (trending)
- Market Condition Labels : "L", "S", or "R" labels indicating trend or range transitions
- Trade Candle Coloring : Active positions colored green (long) or red (short)
- Impulsive Candle Highlighting : Orange background color when Sniper Mode detects impulse candles
👁️ Display Customization
- Range/Trend Toggle : Show or hide market condition bands and labels
- Conditional Swing Display : Swing lines only shown when Detector Decision criteria met
- Adjustable Line Length : Control how far forward swing and stop/target lines extend
- Customizable Color Scheme : Personalize colors for EMAs, signals, lines, and candles
- Mode-Based Visibility : Long-only mode hides short signals, short-only hides long signals
🔧 Advanced Configuration
Deviation Pivot Settings:
- Deviation Multiplier : Controls sensitivity of pivot detection for range analysis
- Depth Parameter : Minimum bars considered for pivot validation
- Source Selection : Choose price source for range calculations
- Band Offset Percentage : Adjustable buffer for upper and lower trend bands
Entry Window Management:
- Bars After Breakout : Time limit for entry following impulsive swing break
- Breakout Memory Persistence : System tracks valid breakouts until swing structure resets
- Window Expiration : Entries rejected if EMA confirmation arrives too late
Average Calculation Length:
- Impulse Detection Period : Number of bars for calculating average range and volume
- ATR Reference : Uses true range for label positioning and volatility awareness
🔔 Alert System
- Long entry alerts
- Short entry alerts
- Stop loss hit alerts (combined for both directions)
- Take profit hit alerts (combined for both directions)
- Long EMA exit alerts
- Short EMA exit alerts
- Impulsive candle detection alerts
✅ Key Takeaways
- Dual Market Awareness : Combines swing breakouts with range/trend classification for context-aware trading
- Impulsive Candle Filtering : Optional Sniper Mode ensures entries only on strong momentum candles
- Flexible EMA Framework : Choose between unified Basis mode or direction-optimized Advanced mode
- Market Condition Filtering : Trade only in preferred environments (range, trending, or both)
- Entry Window Control : Time-limited entry opportunity after breakouts prevents chasing
- Multi-Layered Confirmation : Requires swing break + impulse (optional) + trend alignment + condition match
- Interim Level Refinement : Uses most recent opposing candle bodies for tighter stop placement
- Comprehensive Visual Feedback : Range bands, swing levels, impulse highlighting, and trade candles for complete market picture
- Fully Customizable : Extensive inputs for swing detection, impulse criteria, EMA configuration, risk parameters, and display options
ניתוח מגמה
Advanced Market Structure Sniper -> PROFABIGHI_CAPITAL🌟 Overview
The Advanced Market Structure Sniper is a precision trading system that combines Break of Structure (BOS) and Change of Character (CHoCH) detection with multi-mode EMA trend confirmation . It identifies high-probability entry points through systematic swing analysis, offering flexible execution modes and comprehensive risk management with visual trade tracking.
⚙️ Mode and Style Settings
- Trading Mode Selection : Choose between long-only, short-only, or bidirectional trading
- Trade Style Configuration : Conservative mode (one trade at a time) or Aggressive mode (multiple concurrent positions)
- Directional Focus : Adapt strategy behavior to match market bias or trading preference
📊 BOS/CHoCH Market Structure Detection
- Swing Period Customization : Adjustable left and right bar lookback for structure pivot detection
- Break of Structure Identification : Recognizes when price decisively breaks through previous swing levels
- Change of Character Recognition : Detects early reversal signals when price crosses counter-trend structure
- Sequential Confirmation Logic : Requires CHoCH followed by BOS for validated directional bias
📊 Interim High/Low Swing Analysis
- Independent Swing Detection : Separate pivot parameters for more granular structure analysis
- Stop Loss Reference Points : Identifies recent swing extremes for risk placement
- Candle Body Analysis : Uses body highs/lows rather than wicks for cleaner structure identification
- Dynamic Level Tracking : Continuously updates swing references based on price action
📈 EMA Trend Confirmation System
Basis Mode:
- Single pair of short and long EMAs for straightforward trend determination
- Unified trend reading for both long and short trade validation
- Simplified decision-making with one trend reference
Advanced Mode:
- Separate EMA pairs for long trades and short trades
- Independent trend validation for each direction
- Enhanced precision through direction-specific momentum filters
- Greater flexibility in volatile or ranging markets
🎯 Entry Signal Generation
Long Entry Requirements:
- CHoCH detected (bearish structure broken)
- BOS confirmed (bullish structure established)
- EMA trend alignment (short EMA above long EMA or long-specific EMAs bullish)
- Mode permits long trades
Short Entry Requirements:
- CHoCH detected (bullish structure broken)
- BOS confirmed (bearish structure established)
- EMA trend alignment (short EMA below long EMA or short-specific EMAs bearish)
- Mode permits short trades
🛡️ Risk Management Framework
- Risk/Reward Ratio Configuration : Adjustable profit target multiplier based on stop distance
- Stop Loss Offset : Percentage buffer applied to interim swing levels for execution safety
- Long Stop Placement : Positioned below recent interim swing low with offset
- Short Stop Placement : Positioned above recent interim swing high with offset
- Dynamic Target Calculation : Take profit automatically calculated from entry and stop levels
📤 Exit Management Logic
Stop Loss Exit:
- Price reaches calculated stop level
- Trade closed at loss
Take Profit Exit:
- Price reaches calculated target level
- Trade closed at profit
EMA Reversal Exit:
- Basis Mode: EMA crossover against trade direction
- Advanced Mode: Direction-specific EMA pair reversal
- Exit classification based on whether price is above or below entry (profit vs. loss)
🎨 Visualization Features
- Entry Arrows : Green triangles below bars (long), red triangles above bars (short)
- Exit Markers : Blue for profitable exits, purple for losing exits
- BOS/CHoCH Labels : Directional labels marking structure breaks and character changes
- Swing Lines : Yellow dashed lines showing active pivot levels with customizable extension length
- Stop/Target Lines : Red dashed line for stop loss, green dashed line for take profit
- EMA Trend Lines : Color-coded moving averages indicating trend direction (green for bullish, red for bearish)
- Candle Coloring : Active trade candles colored green (long) or red (short) for clear position tracking
👁️ Display Customization
- Toggle BOS/CHoCH Labels : Show or hide structure break annotations
- Toggle Swing Lines : Control visibility of pivot level lines
- Adjustable Line Length : Set how many bars forward to extend reference lines
- Customizable Color Scheme : Personalize colors for signals, lines, and trend indicators
🔔 Alert System
- Buy signal alerts
- Sell signal alerts
- Long exit (profit and loss) alerts
- Short exit (profit and loss) alerts
- CHoCH detection alerts for both directions
- BOS detection alerts for both directions
✅ Key Takeaways
- Sequential Confirmation : Requires CHoCH → BOS → EMA alignment for robust entry validation
- Dual-Mode Flexibility : Choose between simplified Basis mode or precision Advanced mode with direction-specific EMAs
- Conservative vs. Aggressive : Trade style determines position management (single trade focus or multiple simultaneous positions)
- Structure-Based Risk Placement : Stop losses anchored to swing extremes rather than arbitrary levels
- Multi-Exit Strategy : Combines fixed targets with dynamic EMA-based exits for adaptive position management
- Comprehensive Visual Feedback : Clear on-chart display of structure, signals, and active trade parameters
- Fully Customizable : Extensive input options for swing detection, EMA periods, risk parameters, and display preferences
NovaQore Multi-MA Suite📊 ENGLISH VERSION (TradingView Policy Compliant)
Script Title: NovaQore Multi-MA Suite
📈 MULTI-MA SUITE
Technical indicator designed for trend analysis through multiple configurable moving averages.
🔍 Features:
This indicator provides:
10 Independent Moving Averages - Each MA can be individually enabled/disabled with dedicated controls
4 Types of Moving Average - SMA (Simple), EMA (Exponential), WMA (Weighted), HMA (Hull) to adapt to different strategies
Cross Signal System - Automatically detects crossovers between two selectable moving averages to identify potential entry/exit points
Complete Customization - Each MA has independently configurable period, type, source, and color
⚙️ Configurable Parameters:
MA 1-10 Individual Settings: Length (1-500), Type (SMA/EMA/WMA/HMA), Source (Close/Open/High/Low/HL2/HLC3/OHLC4), Custom color, On/Off switch
Signal Settings: Enable/disable cross signals, Fast MA selection (1-10), Slow MA selection (1-10)
Default Setup: MA1=EMA9 (Gold), MA2=EMA21 (Orange), MA3=SMA50 (Cyan), MA4-10 disabled
📊 How to Use:
The indicator displays up to 10 moving averages simultaneously on the chart
"BULL" signals appear when the fast MA crosses above the slow MA (potential long entry)
"BEAR" signals appear when the fast MA crosses below the slow MA (potential short entry)
Colored zones indicate the relative position of moving averages to identify the dominant trend
Tip: Use in combination with price action analysis and other confirmation tools like oscillators or volume indicators.
🎨 Customization:
Fully customizable colors for all 10 moving averages
Configurable alerts for bullish and bearish crossovers
Adaptable display options (show/hide individual MAs)
Pre-set premium gold/black color scheme
⚠️ Important Notes:
This is an educational technical analysis tool
Does not provide automatic trading signals
Requires interpretation and confirmation by the trader
Always backtest on historical data before live use
Cross signals are indicative and require confirmation with other indicators
📚 Methodology:
The indicator is based on multiple moving averages that smooth price data to identify trends. It includes:
SMA (Simple Moving Average) - simple arithmetic average
EMA (Exponential Moving Average) - gives more weight to recent prices
WMA (Weighted Moving Average) - decreasing linear weight
HMA (Hull Moving Average) - reduces lag improving responsiveness
⚡ Compatibility:
All timeframes (1m, 5m, 15m, 1h, 4h, 1D, 1W, 1M)
All markets (Forex, Crypto, Stocks, Indices, Commodities)
Can be used with other NovaQore or standard TradingView indicators
💡 Optimal Use Cases:
Scalping: Use MA1 (EMA9) and MA2 (EMA21) for quick signals
Day Trading: Combine MA2 (EMA21) and MA3 (SMA50) for intraday trends
Swing Trading: Enable MA5 (SMA200) as main trend filter
Disclaimer: This indicator is provided for educational and informational purposes only. It does not constitute financial advice. Trading involves significant risks. Always use proper risk management.
Created with ❤️ by NovaQore FX
📊 VERSIONE ITALIANA
Titolo Script: NovaQore Multi-MA Suite
📈 MULTI-MA SUITE
Indicatore tecnico progettato per l'analisi del trend attraverso medie mobili multiple configurabili.
🔍 Funzionalità:
Questo indicatore fornisce:
10 Medie Mobili Indipendenti - Ogni MA può essere attivata/disattivata singolarmente con controlli dedicati
4 Tipi di Media Mobile - SMA (Simple), EMA (Exponential), WMA (Weighted), HMA (Hull) per adattarsi a diverse strategie
Sistema di Segnali Cross - Rileva automaticamente incroci tra due medie mobili selezionabili per identificare potenziali entry/exit
Personalizzazione Completa - Ogni MA ha periodo, tipo, sorgente e colore configurabili indipendentemente
⚙️ Parametri Configurabili:
MA 1-10 Individual Settings: Lunghezza (1-500), Tipo (SMA/EMA/WMA/HMA), Sorgente (Close/Open/High/Low/HL2/HLC3/OHLC4), Colore personalizzato, On/Off switch
Signal Settings: Attiva/disattiva segnali di incrocio, Selezione MA veloce (1-10), Selezione MA lenta (1-10)
Default Setup: MA1=EMA9 (Oro), MA2=EMA21 (Arancione), MA3=SMA50 (Azzurro), MA4-10 disattivate
📊 Come Utilizzarlo:
L'indicatore visualizza fino a 10 medie mobili simultaneamente sul grafico
I segnali "BULL" appaiono quando la MA veloce incrocia al rialzo la MA lenta (potenziale ingresso long)
I segnali "BEAR" appaiono quando la MA veloce incrocia al ribasso la MA lenta (potenziale ingresso short)
Le zone colorate indicano la posizione relativa delle medie mobili per identificare il trend dominante
Suggerimento: Utilizzare in combinazione con analisi di price action e altri strumenti di conferma come oscillatori o volumi.
🎨 Personalizzazione:
Colori completamente personalizzabili per tutte le 10 medie mobili
Alert configurabili per incroci bullish e bearish
Opzioni di visualizzazione adattabili (mostra/nascondi singole MA)
Schema colori pre-impostato oro/nero premium
⚠️ Note Importanti:
Questo è uno strumento di analisi tecnica educativo
Non fornisce segnali di trading automatici
Richiede interpretazione e conferma da parte del trader
Testare sempre su dati storici prima dell'uso live
I segnali di incrocio sono indicativi e necessitano di conferma con altri indicatori
📚 Metodologia:
L'indicatore si basa su medie mobili multiple che smoothano i dati di prezzo per identificare trend. Include:
SMA (Simple Moving Average) - media aritmetica semplice
EMA (Exponential Moving Average) - maggior peso ai prezzi recenti
WMA (Weighted Moving Average) - peso lineare decrescente
HMA (Hull Moving Average) - riduce il lag migliorando la reattività
⚡ Compatibilità:
Tutti i timeframe (1m, 5m, 15m, 1h, 4h, 1D, 1W, 1M)
Tutti i mercati (Forex, Crypto, Stocks, Indices, Commodities)
Utilizzabile insieme ad altri indicatori NovaQore o standard TradingView
💡 Casi d'Uso Ottimali:
Scalping: Utilizzare MA1 (EMA9) e MA2 (EMA21) per segnali rapidi
Day Trading: Combinare MA2 (EMA21) e MA3 (SMA50) per trend intraday
Swing Trading: Attivare MA5 (SMA200) come filtro di trend principale
Disclaimer: Questo indicatore è fornito solo a scopo educativo e informativo. Non costituisce consulenza finanziaria. Il trading comporta rischi significativi. Utilizzare sempre una corretta gestione del rischio.
Sviluppato da NovaQore FX
52WH/last52WH/ATH/lastATHThis indicator determines and displays four values:
First, it determines the current 52-week high and displays it as a line and in a table at the top right with the name, date, and price.
Corresponding color markings are also displayed on the price scale.
Next, the 52-week high that is at least three months ago is determined.
The corresponding candle is also labeled with a date. This past high is also displayed as a line, on the price scale, and in the table.
Next, the current all-time high is determined and also displayed as a line, on the price scale, and in the table.
Finally, the current all-time high that was valid 3 months ago is determined and also displayed as a line, in the price scale, and in the table.
All display values can be switched on or off in the view, and the corresponding colors of the displays can also be freely selected.
Adarsh Volume ThresholdThis is one if it's kinds Indicator which Combines multiple indicators to confirm Trend and Signals without a mess on chart.
It will give you a visual idea to take best decision for Stop Loss and Target before executing your order.
Enter your capital/Amount for trading and decide max risk you can take, it will calculate your Qty, SL point and Target Point.
VP Table will keep updating you the min Amount traded on candle as per your input min. threshold.
Salvemoku V1Salvemoku is a multi-timeframe EMA confluence indicator designed for traders seeking clear market direction and high-probability trade setups. By analyzing the 200 EMA across multiple timeframes (65m, 15m, 5m, 1m), it identifies whether the market is in full bullish or bearish alignment.
Key features include:
Multi-Timeframe Analysis: Checks EMA 200 alignment across 65m, 15m, 5m, and 1m charts for precise trend confirmation.
Dashboard Display: Shows direction per timeframe and overall trade status (Full Confluence BUY/SELL, Wait, or No Trade).
EMA Buffer Zone: Visual buffer around EMA 200 to highlight potential support/resistance areas.
Quick Decision-Making: Helps traders identify high-probability entries and avoid low-probability retracements.
Invite-Only Protection: Script source code is hidden; only authorized users can access the indicator.
Trading Tips:
Look for “✅ Full Confluence BUY” or “✅ Full Confluence SELL” for high-probability trades.
Use buffer zones for entries and exits to manage risk effectively.
“⏳ WAIT” indicates retracement phases — avoid trading during these signals.
ZynAlgo S&R ProAuto Support & Resistance for Smarter, Structure-Based Trading
ZynAlgo S&R Pro automatically detects dynamic Support & Resistance zones in real time — helping you trade with structure, not emotion.
No more manual drawing or second-guessing where price might react. The indicator continuously tracks the most relevant market zones and highlights potential reaction areas with clarity and precision.
🔍 Key Benefits
Instantly see where buyers and sellers are likely to step in.
Filter bad entries and avoid trading into strong opposite zones.
Plan precise SL and TP based on market structure — not guesswork.
Stay aligned with the trend or prepare for reversals at critical zones.
Designed for traders who want clarity, consistency, and confidence.
⚙️ Recommended Usage
Define your trend or bias on a higher timeframe.
Wait for price to approach or break a zone.
Either enter on the first touch (with confirmation)
or wait for the break → retest entry for higher accuracy.
Place stop loss beyond the zone, and take profit at the next opposite zone.
Combine with your own momentum or volume filters for maximum confluence.
💡 Best For
Day & swing traders who trade pullbacks and breakouts.
Beginners wanting clean structure and fewer emotional decisions.
Professionals needing repeatable, rule-based entries across assets.
⚠️ Disclaimer
This tool is for analysis and educational purposes only — not financial advice.
Always test settings per market and manage risk responsibly.
EDGAR WHALES DETECTOR (EWD)This indicator identifies the presence of "whales" in the market — large players or institutional traders executing significant buy or sell orders. By analyzing market movements and volume patterns, it highlights moments when big players are entering or exiting positions. Use it to spot high-probability trading opportunities, understand market momentum, and follow the footsteps of institutional trading activity.
Features:
Detects whale buying and selling activity.
Visual alerts for strong market moves by big players.
Helps traders align with institutional market trends.
Crash Survival Indicator (SPX, Weekly/Daily)Short description
SPX-focused risk context tool using 30WMA/ATR/ADX and distance to 30WMA, with optional Hindenburg-Omen breadth and macro add-ons. Weekly is primary; Daily provides early-warning. Educational only.
Full description (English first)
What it is
Crash Survival Indicator (CSI) is a rules-based risk context indicator for the S&P 500 index (SPX). It helps keep decisions data-driven during stress by combining four weekly conditions into a weighted risk score and presenting them in a readable dashboard. Optional breadth (Hindenburg Omen cluster proxy) and macro add-ons give additional context. This is not a buy/sell system.
Why it’s original and useful
Weekly core with confirmation: Four classic conditions (30WMA regime, ATR(14) trend, ADX(14) > 20 & rising, and % distance from 30WMA) feed a 0–100 score. A 2-of-3 gate (WMA down / ATR up / ADX>20↑) must confirm before “Danger,” reducing false spikes.
Daily Early-Warning: A separate daily preview flags conditions approaching the Danger threshold (with a streak filter). It’s a heads-up only, not a timeframe switch.
Scope control to avoid confusion: Signals (labels/alerts) are restricted to SPX on Weekly/Daily by design. The dashboard can be shown SPX-only or on all symbols (configurable).
Clarity for all users: Beginner card view (plain badges) and Pro table view (detailed chips) improve readability without hiding logic.
How it works (mechanics)
Weekly core (primary frame)
30WMA regime: price vs 30-week WMA; IN/OUT labels on crosses.
ATR(14): rising ATR counts as volatility stress.
ADX(14): risk weight when ADX > 20 and rising.
Distance to 30WMA: % deviation flags potential overheat.
Scoring & thresholds: Weighted sum → Caution ≥ 40, Danger ≥ 60 (defaults). Danger also requires the 2-of-3 gate above.
Daily Early-Warning: Uses daily versions of the same ideas to detect near-Danger conditions with a streak requirement (heads-up only).
Optional breadth (Hindenburg Omen proxy): Elevated new highs and new lows while the NYSE Composite is above its 50DMA, with deteriorating breadth momentum; requires cluster confirmation to reduce noise.
Optional macro add-ons: VIX regime, DXY strength, credit stress (HYG/LQD vs MA), and TNX trend each add adjustable weights.
Inputs (overview)
Scope & Mode: SPX primary/alt tickers; signal restriction to SPX + Weekly/Daily; dashboard visibility (SPX-only vs all symbols); Beginner or Pro display.
Label Policy: Weekly-only / Weekly-core + Daily-early (default) / All (W/D); lookback windows and minimum bar gaps to prevent clutter.
Scoring: Weights for 30WMA down, ATR up, ADX>20↑, Overheat; Caution/Danger thresholds; Overheat % (distance).
Hindenburg Omen (optional): NYSE Composite and High/Low/AD series; cluster requirement.
Macro add-ons (optional): Symbols + weights for VIX, DXY, HYG, LQD, TNX.
Early Warning (Daily): Near-Danger buffer and streak length.
Visuals & Alerts: Background shading, labels on/off, font size, dashboard position, runtime
alerts.
Alerts (contextual; not trade signals)
OUT — 30WMA Down Break (Weekly)
IN — 30WMA Reclaim (Weekly)
Risk ≥ Danger + 2-of-3 Gate
Hindenburg Omen Cluster detected
Early Warning (Daily near Danger, streak)
Alerts provide context only. They are not buy/sell instructions.
Intended use and limitations
Use the Weekly panel for decisions; treat Daily Early-Warning as a heads-up.
Best used as risk framing alongside your own process (position sizing, liquidity, event risk).
Breadth/macro inputs depend on your data source; if unavailable, keep add-ons off.
No forward-looking data or lookahead; designed to avoid repainting.
Disclaimer
For educational purposes only. Not financial advice, not an investment recommendation, and not a solicitation to buy or sell any security. Past performance does not guarantee future results. Users are solely responsible for their decisions and regulatory compliance.
Optional Korean addendum (append after English)
한국어 안내 요약: 본 지표는 위기 상황에서 감정보다 데이터를 우선할 수 있도록 리스크 맥락을 제공합니다. 주봉이 핵심, 일봉은 조기경보(Heads-up)이며, 매수/매도 신호가 아닙니다. 심프님의 프로토타입 철학을 살리되 SPX 한정 신호, 라벨/알림 정책, 선택형 오멘/매크로 기능, 초보/프로 대시보드 등 가독성을 개선했습니다. 투자 판단과 책임은 전적으로 사용자에게 있습니다.
Privacy & format
Visibility: Public
Source: Protected (no source disclosure), compliant with Publishing Rules
Language: English title & description first; Korean addendum optional
Screenshot guidance (for your gallery)
Weekly SPX showing dashboard at “Danger” with an OUT label.
Weekly SPX with Hindenburg Omen Cluster label and shaded background.
Daily SPX with Early-Warning label as weekly approaches Danger.
Beginner vs Pro dashboard comparison on SPX.
Author certification (paste if needed)
I certify this publication contains no promotions, links, or solicitations, complies with TradingView House Rules and Script Publishing Rules, uses Pine v5, and is intended solely for educational purposes with no performance claims.
Pro Trading System - Student Edition
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### **PRO TRADING SYSTEM - STUDENT EDITION**
🔓 **FREE EDUCATIONAL TOOL FOR STUDENTS**
🎯 **PROFESSIONAL TRADING FRAMEWORK:**
* Advanced Multi-Timeframe Trend Analysis
* Professional EMA Matrix with Smart Visibility Control
* Gann Theory Based Session Levels
* Real-time Multi-Timeframe Trend Dashboard
* Institutional Grade Price Action Analysis
📊 **INTELLIGENT EMA MATRIX:**
* **CORE EMAs:** 5M-21 (Red) & 5M-50 (Green) - Always Visible
* **EXTENDED MATRIX:** 3M-200 to 1W-200 (Optional)
* Smart Persistent Labels - Visible Even When Lines Are Hidden
* Complete Color Customization
* Individual EMA Group Visibility Control
🔄 **MULTI-TIMEFRAME TREND DASHBOARD:**
* **POSITIONAL TRADING** - Daily Chart Analysis
* **MEDIUM SWING** - 4-Hour Trend Direction
* **SHORT SWING** - 1-Hour Market Momentum
* **INTRADAY** - 15-Minute Trading Signals
* **SCALPING** - **5-Minute High-Probability Entries
* Instant Visual Color Coding (Green = Bullish, Red = Bearish)
* Quick Trend Identification Across All Timeframes
* Space-Optimized Mobile & Desktop Design
📈 **GANN-BASED SESSION LEVELS:**
* 12 Strategic BUY Side Levels (Above Session Open)
* 12 Calculated SELL Side Levels (Below Session Open)
* Full Color & Transparency Customization
* Automatic Daily Level Regeneration
⚙️ **PROFESSIONAL CUSTOMIZATION:**
* Complete EMA Color & Visibility Control
* Session Levels Color Schemes
* Line Width & Style Adjustments
* Label Display Management
* Professional Trading Workspace Setup
📱 **UNIVERSAL COMPATIBILITY:**
* Fully Optimized for Mobile Trading
* Flawless Desktop Performance
* Clean, Uncluttered Visual Interface
* Zero Repainting - Real-time Calculations Only
🎓 **EDUCATIONAL PURPOSE:**
* 100% FREE Student Learning Tool
* Professional Trading Concept Implementation
* **Multi-Timeframe Analysis & Scalping Strategy Training**
* Risk Management Principles
* Market Structure Education
🔧 **TECHNICAL SPECIFICATIONS:**
* Built on Pine Script v5
* Maximum Drawing Objects: 500
* Overlay Chart Display
* Real-time Price Calculations
* Lightweight & Efficient
⚠️ **IMPORTANT DISCLAIMER:**
This is a **FREE educational tool** designed for student learning purposes only. It is **not** a paid indicator or financial advice tool. The addition of the 5-minute scalping framework is for educational demonstration of high-frequency timeframes and carries significant risk. Always practice proper risk management and paper trading before live markets. The developers are not responsible for any trading decisions made using this tool.
HoneG_ワンタッチHELP4 SUBザオプションのワンタッチ取引向けの補助ツールver4です
仮想通貨のpips換算時、変換式がイレギュラーなので、
ザオプションの現行画面仕様に合わせて作りました
ver4はラベルを用いて、スマホ画面にも対応しています。
This is ver4 of the auxiliary tool for The Option's One-Touch trading.
Since the conversion formula for cryptocurrency pips is irregular,
it was created to match The Option's current screen specifications.
ver4 uses labels and is compatible with smartphone screens.
Combined Multi MAs with Floor Pivots and CPR ramlakshmanCombined Multi MAs with Floor Pivots and CPR ramlakshman das
Arcane Market Structure + Key LevelsThe Arcane Market Structure + Key Levels script is built to help traders decode real-time structure shifts, key support/resistance levels, and market intent. This tool draws from the Arcane Model’s proprietary trading framework—refined over 7+ years of backtesting and live execution.
It detects:
• Highs/lows that define expansion, manipulation, and distribution cycles
• Dynamic support/resistance zones based on 15m fair value gaps
• Session-based levels and structure breaks for intraday context
Whether you’re trading Prop Firm or Live accounts, this script helps simplify decision-making by visualizing the cleanest levels and directional flows on your chart.
Use it to:
✅ Confirm entries near liquidity levels
✅ Spot structural breaks aligned with volume and price action
✅ Build confluence with ICT, FVG, or manipulation-based setups
For traders mastering the Arcane Model or building systematic edge, this is a must-have chart companion.
Fmfm100 الوصف بالعربية:
هذا المؤشر متقدم ويعرض اتجاه السوق والترند بشكل واضح، ويحدد مناطق العرض والطلب (Supply & Demand) بالإضافة إلى فجوات القيمة العادلة (FVG). يوفر إشارات شراء وبيع (Call و Put) عند كسر أو اختراق المستويات الهامة. كما يحدد أهدافًا ومستويات دعم ومقاومة رئيسية. المؤشر مناسب لجميع المتداولين الراغبين في تحليل السوق بدقة واتخاذ قرارات تداول مستنيرة.
الوصف بالإنجليزية:
This is an advanced indicator that clearly displays the market direction and trend, and identifies Supply & Demand zones along with Fair Value Gaps (FVG). It provides Buy and Sell signals (Call and Put) when key levels are broken or breached. It also defines targets and major support and resistance levels. The indicator is suitable for all traders who want precise market analysis and informed trading decisions.
Volume Profile Two-Tone - Hit Counter - Meter V1 Volume Profile Two-Tone - Hit Counter - Meter V1
Overview
The Volume Profile Two-Tone - Hit Counter - Meter V1 is a Pine Script v6 indicator for TradingView, designed to visualize buy and sell activity distribution across price levels within a user-defined window or intraday session. It plots a dual-color horizontal histogram showing buying (green) and selling (red) volume intensity, along with optional hit-count numbers and meter overlays. The profile dynamically updates as new bars form, providing an intuitive picture of where market participants are most active.
The enhanced V1 edition introduces persistent hit counts, real-time adaptive row rebuilding, and improved memory management for smoother performance in both rolling-window and session modes.
How It Works
The indicator divides the selected range into rows (price bins) and aggregates trade volume (or tick volume) per bar.
Each bin separately sums up bullish and bearish contributions based on candle direction and delta logic, then draws side-by-side histogram bars:
• Buy Volume (green): Total volume from bullish bars within the bin.
• Sell Volume (red): Total volume from bearish bars within the bin.
A rolling or session-based window determines how many recent bars are analyzed. Value Area (VA), Point of Control (POC), and total hits per bin are computed continuously. The display auto-adjusts as price moves, keeping the profile anchored to the latest visible bars.
Behind the scenes, optimized arrays manage active boxes, lines, and labels for each bin. Functions like ensure_rows() rebuild buffers only when necessary, guaranteeing efficiency without repainting past data. Persistent hit-tracking ensures each price level maintains its count even when temporarily hidden.
Key Features
• Dual-Tone Volume Histogram: Buy/sell split with distinct colors for immediate visual contrast.
• Rolling or Session Profiles: Choose between continuous rolling windows or intraday session resets.
• Persistent Hit Counts: Displays total touches per bin, remaining stored even when bins refresh.
• Adaptive Row Management: Automatic rebuilding when zooming, scrolling, or changing resolution.
• Value Area + POC Detection: Highlights the most active price levels and volume concentration zones.
• Meter Overlay Option: Adds gradient bars or directional meters for quick trend context.
• Performance Optimized: Uses lightweight arrays and cached line handles for minimal CPU load.
• Custom Color Control: Editable buy/sell colors, opacity, row count, and profile width.
• Full Persistence Mode: Profiles remain visually consistent across bar updates without redraw gaps.
What It Displays
The Volume Profile Two-Tone - Hit Counter - Meter V1 presents an adaptive horizontal histogram beside the chart’s candles, revealing how volume is distributed across price.
• Green segments show dominant buying interest; red segments reveal selling pressure.
• POC line identifies the highest-volume price.
• Hit-count numbers quantify how often price traded at each level.
• Optional meters display relative directional strength within the same range.
This visual layering helps traders quickly identify supply/demand zones, balance areas, and developing auction profiles across intraday or multi-session contexts.
Originality
The Pine Script v6 indicator uses efficient array management (array.new_*, array.set, array.get) and native math operations for rendering.
It avoids external dependencies, relying only on built-in TradingView functions like request.security, box.new, line.new, and label.new for dynamic plotting.
Common Ways People Use It
• Scalpers: Study short-term imbalances or high-activity levels to time entries/exits.
• Day Traders: Track evolving session volume and POC migration.
• Swing Analysts: Compare rolling distributions to identify value shifts over multiple days.
• Volume Profilers: Combine with VWAP or order-flow tools for deeper context.
Configuration Notes
Profile Mode: Select Rolling Window (bars) or Session (intraday).
Rows and Width: Default = 72 rows, 44 bars width.
Colors and Opacity: Adjust to match chart theme.
Performance Mode: Choose Accurate or Fast (approximate) for speed control.
Show Hits / Meter: Enable hit-count numbers and gradient meters for added context.
Legal Disclaimer
For informational and educational purposes only—not investment, financial, or trading advice. Past performance does not guarantee future results; trading involves significant risk. Provided “as is,” without warranties. Consult a qualified professional before making decisions. By using, you accept all risks and agree to this disclaimer.
BGT TrendFlow Profit Engine V2.0 In the fast-changing financial markets, quickly and accurately identifying the best trading opportunities is a challenge every investor faces. The trading strategy tool we offer is designed to address market uncertainty and volatility, providing strong support for your investment decisions and helping you navigate the complexities of the market with ease.
Core Advantage 1: Precisely Identifying Market Trends and Capturing Optimal Trading Opportunities
Market fluctuations can be complex, and avoiding noisy signals and wrong trading decisions is crucial. Our trading strategy script, with its powerful ultimate filtering system, combines multiple market dimensions to ensure that you enter the market only at the most favorable times. This means you will have more opportunities to engage in strong trends rather than getting caught in choppy or ineffective markets.
Core Advantage 2: Automated Risk Management for Steady Returns
No matter how volatile the market is, our automated risk management system adjusts your take profit (TP) and stop loss (SL) settings based on market conditions, ensuring that you don’t miss out on long-term gains due to short-term fluctuations. Especially in highly volatile markets, we also support multiple levels of take profits (TP1, TP2, TP3), maximizing your profit while preventing unexpected market reversals from disrupting your gains.
Core Advantage 3: Precision in Capturing Reversals and Pullbacks
The market is always filled with reversal and pullback opportunities, yet many investors miss them. We offer in-depth analysis to precisely capture these pullback and reversal signals, helping you take action at the right moment and avoid missing these profitable opportunities. Even in volatile markets, you can swiftly adjust your strategy and seize every potential profit opportunity.
Core Advantage 4: Comprehensive Market Signals, Avoiding the Limitations of a Single Time Frame
Market signals can vary widely, and different timeframes often carry different meanings. We use multi-timeframe analysis to identify market trends across various time periods, avoiding the potential misguidance that comes with using a single timeframe, ensuring the strategy remains effective across changing market conditions.
Core Advantage 5: Real-Time Visualization for Easy Market Monitoring
Making quick decisions in the market relies on rapid understanding and interpretation of information. Our strategy offers powerful visualization tools that display key data such as market trend strength, entry signals, and take-profit/stop-loss targets in real time. Whether you’re an experienced trader or a beginner, you can quickly understand the current market conditions through intuitive charts and markers.
Core Advantage 6: Intelligent Filtering and Precise Alerts, Never Miss an Opportunity
We combine intelligent filtering systems to automatically select high-quality trade signals, ensuring you are not lost in a sea of chaotic market information. The built-in alert system will notify you at critical moments, allowing you to adjust your strategy as the market shifts and ensuring you never miss a trading opportunity.
Conclusion:
With these advanced features and strategies, you will no longer be troubled by the fast fluctuations of the market. Instead, you will be able to calmly and precisely seize every profitable opportunity. Whether you're a day trader or a long-term investor, this trading strategy script will become your trusted assistant for achieving steady profits in the financial markets.
In today’s highly competitive market, mastering advanced trading strategies and effectively managing risk is the key to achieving superior returns.
Khosro XAUUSD Strategy [TradingFinder] Trading Room Hunter Setup🔵 Introduction
The Trading Room Hunter (TRH) strategy is an analytical model based on the Smart Money Concept, developed by Khosro, an Iranian international trader based in Dubai. This approach is built upon a deep understanding of liquidity engineering, market structure shifts, and institutional order flow. Its core objective is to identify the so-called TRH Zone, the area where market liquidity gets trapped and institutional investors begin accumulating positions. Unlike traditional indicator-based methods, the TRH Zone focuses purely on price behavior and supply & demand dynamics to pinpoint the most precise reversal zones in the market.
Within Smart Money logic, every impulsive move in price results from the displacement or absorption of liquidity in a specific range. In the TRH model, the last pivot preceding the impulsive move (Origin Pivot) is defined as the Distal Line, and the Break Candle, which disrupts the market structure, forms the Proximal Line. The area between these two points defines the Trading Room Hunter Zone, a reaction zone where price, after creating a displacement or Break of Structure (BoS), often returns to fill an imbalance and provide a precision entry opportunity.
In essence, the TRH Zone is the region where smart money seeks re-entry after a liquidity sweep and a confirmed CHoCH or BoS. It frequently lies between supply/demand boundaries and fair value gaps (FVGs), forming one of the strongest decision-making frameworks within modern price-action theory. Due to its structural accuracy, the TRH setup can also function as a Set & Forget Setup, where the trader defines the zone, places a limit order, and lets the market naturally react, eliminating emotional decision-making and allowing for automated execution aligned with institutional logic.
🔵 How to Use
In the TRH strategy, entries are taken based on price returning to the area between the last impulsive pivot and the break candle. This range (the TRH Zone) represents the region where liquidity from the previous move remains concentrated. Before continuing its main direction, price often revisits this zone to fill imbalances or mitigate unfilled orders. The logic is simple: every explosive move originates from a point where large orders were executed, and TRH precisely highlights that institutional footprint.
🟣 Bullish Setup
When the market breaks a structural high after a strong bearish leg, liquidity shifts from sellers to buyers. The last bearish candle before the breakout marks the origin of the bullish move, and the zone between that candle and the break candle becomes the smart-money entry area. As price revisits this zone and signs of exhaustion in selling pressure appear, that’s the optimal point for a long position. Stop-loss is placed slightly below the origin pivot, and targets are set at the next supply zone or upper liquidity pool.
🟣 Bearish Setup
Conversely, when the market breaks a structural low after a sharp bullish leg, liquidity transitions from buyers to sellers. The last bullish candle before the drop is identified as the origin pivot, while the bearish break candle defines the lower boundary of the zone. The range between these two points forms the TRH Supply Zone, where late buyers are trapped and fresh institutional selling begins. As price retraces into this zone, short entries can be placed near the upper boundary, with stops above the pivot and targets toward the next liquidity pool below.
Because of its structural precision and clearly defined reaction behavior, TRH is one of the most effective Set & Forget setups in Smart Money trading. Simply mark the zone, place your order, and let the market do the rest.
🔵Setting
🟣 Spike Filter | Movement
Minimum Spike Bars : Defines the minimum number of consecutive candles required for a valid spike.
Movement Power : Enables or disables the momentum-based spike filter.
Movement Power Level : Sets the strength threshold; higher values filter out weaker moves and only detect strong spikes.
Pivot Period : Defines the lookback range used to detect swing highs and swing lows in market structure. A higher value smooths out smaller fluctuations and focuses on major pivots, while a lower value increases sensitivity and identifies minor turning points more frequently.
🟣 Position Management
Stop-Loss Threshold : Enables or disables the stop-loss threshold feature.
Stop-Loss Threshold Value : Defines the value of the stop-loss threshold for risk management.
Risk-Reward Ratio : Sets the desired risk-to-reward ratio (e.g., 1:1 or 1:2).
Wide Zone Filter : Filters out zones that exceed a defined width threshold, preventing detection of overly broad TRH areas.
🟣 Display Settings
Display Mode : Chooses between Setup (showing setups) or Signal (showing trade signals).
Show Entry Levels : Displays entry levels on the chart (buy/sell zones) when enabled
Only Display the Last Position : Displays only the most recent position on the chart when enabled.
Setup Width Drawing : Adjusts the visual width of the setup drawings on the chart for better visibility.
🔵 Conclusion
The TRH strategy is a precise structural model of liquidity flow that identifies zones where smart money is most likely to enter and where price is most likely to react. By combining the Origin Pivot and Break Candle, TRH isolates the key areas that drive institutional order flow. Without relying on indicators, it focuses purely on price structure, making it highly effective for both reactive entries and Set & Forget setups.
Ultimately, TRH creates a balance between market structure and liquidity flow, enabling traders to identify institutional decision zones on the chart with minimal risk and maximum clarity
ICT Turtle SoupICT Turtle Soup identifies classic “failed breakout” reversals after liquidity sweeps of recent highs/lows, then augments the setup with volume validation, market structure context, Kill Zone (session) filters, Order Blocks (OB), Fair Value Gaps (FVG), OTE (61.8–78.6%) zones, and optional risk targets (SL/TP 1:1, 1:2, 1:3). A compact dashboard summarizes current context (recent high/low, lookbacks, active session, structure state, mitigation counts).
What the Script Does
⦁ Detects Turtle Soup events: Price breaks a prior swing extreme and then quickly reverses back inside the range.
⦁ Grades signal quality: Factors include reversal speed, volume confirmation, breakout magnitude, and consecutive patterns.
⦁ Overlays market context: Trend/range classification (ADX / MA / ATR Bands / Combined), Kill Zones (Asian/London/NY), and time-of-day filters.
⦁ Marks IMB / mitigation zones: Draws Order Blocks and Fair Value Gaps, with optional live mitigation tracking and fading/removal on mitigation.
⦁ Shows OTE zones (61.8–78.6%) after confirmed reversals to highlight potential pullback entries.
⦁ Plots risk management guides: Optional SL buffer below/above reversal wick and TP bands at 1:1, 1:2, 1:3 R multiples.
⦁ Emits alerts on bullish/bearish Turtle Soup confirmations.
How It Works (Conceptual)
1. Liquidity Sweep & Breakout Check
⦁ Looks back over user-defined windows (single or multiple lookbacks: short/medium/long) to find the most recent swing high/low.
⦁ Flags a breakout when price pierces that swing (above for bearish, below for bullish).
⦁ Optional breakout bar volume check requires volume > avg(volume, N) × multiplier.
⦁ Optional swing age check requires the broken swing to be at least X bars old.
2. Reversal Confirmation
⦁ Within N bars after the sweep, validates a mean-reversion close back inside the prior range with a minimum wick/body ratio to confirm rejection.
⦁ Quality Score adds points for:
⦁ Speed: reversal within fast_reversal_bars;
⦁ Volume: breakout and/or reversal volume spike;
⦁ Series: previous consecutive signals;
⦁ Magnitude: sufficient sweep distance.
⦁ Optional high-quality filter only shows signals meeting a minimum score.
3. Context Filters (Optional)
⦁ Sessions/Kill Zones: Only allow signals in selected sessions (Asian/London/NY) with fully custom HHMM inputs.
⦁ Time Window: Restrict to specific hours (e.g., 08–12).
⦁ Market Structure: Classify Trending vs. Ranging (via ADX, MA separation/slope, ATR bands, or Combined). You can allow signals in trends, ranges, or both.
4. Smart Confluence Layers
⦁ Order Blocks: Finds likely OBs with structural validation (e.g., bearish up-candle prior to down move), imbalance score (body/range × volume factor), and extend-until-touched with mitigation % tracking.
⦁ Fair Value Gaps: Detects valid 3-bar gaps (bull/bear) with size threshold, supports touch / 50% / full mitigation logic, and can fade or remove after mitigation.
⦁ OTE Zones: After a reversal, projects the 61.8–78.6% retracement box from the actual swing range; offset scales to timeframe to avoid clutter.
5. Risk & Display
⦁ SL/TP guides: Optional wick-buffered SL and 1:1/1:2/1:3 TPs.
⦁ Dashboard: Recent high/low, active lookbacks, current session, structure label, and live counts of mitigated OBs/FVGs.
Signals & Visuals
⦁ Bullish Turtle Soup: Triangle up + label (🐢S/M/L/D + star rating).
⦁ Bearish Turtle Soup: Triangle down + label (🐢S/M/L/D + star rating).
⦁ Labels can show: quality stars, FAST/SLOW reversal, reversal & breakout volume tags, previous consecutive count, and last move %.
⦁ Lines/Boxes: OBs, FVGs, OTE zones, SL/TP bands, and optional breakout magnitude line.
Inputs (Key Groups)
⦁ Turtle Soup: Lookbacks (single or S/M/L), reversal bars, wick ratio, magnitude line, reversal speed, volume confirmation (multiplier/length), consecutive tracking.
⦁ Order Blocks: Show/validate structure, lookback, extend-until-touched, mitigation % threshold, colors.
⦁ Fair Value Gaps: Show, min size %, colors, mitigation mode (Touch/50%/Full), optional remove-on-mitigation.
⦁ Kill Zones/Sessions: Enable Asian/London/NY with custom HHMM, colors.
⦁ OTE: Show OTE (61.8–78.6%), color, timeframe-adaptive offsets.
⦁ Signal Filters: Filter by session, time window, market structure method (ADX/MA/ATR/Combined), thresholds (ADX, MA periods, ATR multiplier), trending/ranging allowances, structure label & offset.
⦁ SL/TP: SL buffer %, TP 1:1/1:2/1:3 toggles & colors.
⦁ Breakout Validation: Require breakout-bar volume, min swing age, volume label toggles.
⦁ Alerts: Enable/disable.
⦁ Dashboard: Position, text size, colors, border.
How to Use
1. Markets & Timeframes: Works on FX, crypto, indices, and futures. Start with M5–H1 for intraday and H1–H4 for swing; refine lookbacks per instrument volatility.
2. Core Flow:
⦁ Enable multiple lookbacks for robustness on mixed volatility.
⦁ Turn on validate_swing_significance to avoid micro sweeps.
⦁ Use validate_breakout_volume + use_volume_confirmation to filter weak pokes.
3. Context Choice:
⦁ In ranging environments, allow both sides; in trends, consider counter-trend only at HTF OB/FVG/OTE confluence.
⦁ Narrow to London/NY for higher activity if desired.
4. Entries/Stops/Targets:
⦁ Entry on confirmed label close or at OTE pullback post-signal.
⦁ SL: below/above reversal wick + sl_buffer%.
⦁ TP: scale at 1:1/1:2/1:3 or manage via OB/FVG/structure breaks.
5. Confluence: Prefer Turtle Soup that aligns with OB/FVG zones and Combined structure method for added reliability.
Alerts
⦁ “Bullish Turtle Soup detected” and “Bearish Turtle Soup detected” fire on confirmation.
⦁ Set to Once Per Bar (as coded) or adjust in the alert dialog per your workflow.
Notes & Tips
⦁ Multiple lookbacks (S/M/L) help capture both shallow and deep liquidity sweeps.
⦁ Use market structure label with offset to keep it readable on the right of price.
⦁ Mitigation tracking visually communicates when OB/FVG confluence is no longer valid.
⦁ Dashboard = fast situational awareness; keep it on during live trading.
Limitations & Disclaimer
⦁ This tool is educational and not financial advice. No profitability or win-rate is implied. Markets carry risk; manage position size and test thoroughly.
⦁ Signal quality depends on market regime, spreads, news, and data quality. Backtests/forward-tests may differ.
⦁ Visual objects are capped for performance; old items may auto-clean to keep charts responsive.
Structure Suite: BOS / CHoCH / FVG (v1.2.1-clean, CN, v6)SMC analysis. fast generating CHoCH, BoS, FVG onto chart,
FMFM60الوصف بالعربية:
هذا المؤشر متقدم ويعرض اتجاه السوق والترند بشكل واضح، ويحدد مناطق العرض والطلب (Supply & Demand) بالإضافة إلى فجوات القيمة العادلة (FVG). يوفر إشارات شراء وبيع (Call و Put) عند كسر أو اختراق المستويات الهامة. كما يحدد أهدافًا ومستويات دعم ومقاومة رئيسية. المؤشر مناسب لجميع المتداولين الراغبين في تحليل السوق بدقة واتخاذ قرارات تداول مستنيرة.
الوصف بالإنجليزية:
This is an advanced indicator that clearly displays the market direction and trend, and identifies Supply & Demand zones along with Fair Value Gaps (FVG). It provides Buy and Sell signals (Call and Put) when key levels are broken or breached. It also defines targets and major support and resistance levels. The indicator is suitable for all traders who want precise market analysis and informed trading decisions.
Fmfm50الوصف بالعربية:
هذا المؤشر متقدم ويعرض اتجاه السوق والترند بشكل واضح، ويحدد مناطق العرض والطلب (Supply & Demand) بالإضافة إلى فجوات القيمة العادلة (FVG). يوفر إشارات شراء وبيع (Call و Put) عند كسر أو اختراق المستويات الهامة. كما يحدد أهدافًا ومستويات دعم ومقاومة رئيسية. المؤشر مناسب لجميع المتداولين الراغبين في تحليل السوق بدقة واتخاذ قرارات تداول مستنيرة.
الوصف بالإنجليزية:
This is an advanced indicator that clearly displays the market direction and trend, and identifies Supply & Demand zones along with Fair Value Gaps (FVG). It provides Buy and Sell signals (Call and Put) when key levels are broken or breached. It also defines targets and major support and resistance levels. The indicator is suitable for all traders who want precise market analysis and informed trading decisions
Adaptive Support Resistance LineBuy until price remains above the green support line. Sell until price remains below the red resistance line. The signal is adaptive to volatility and trend to minimize trades. Relevant for securities from different asset classes across different holding periods (few ticks to few months). Inspired by Geometric Brownian Motion.
SaudModules:
Supply/Demand + BOS (break of structure) + optional ZigZag
Liquidity sweeps (lines at prior highs/lows, removed when taken)
Supertrend flips → Entry/SL + TP1..TP5 (R-mode or ATR-mode) with optional CALL/PUT
Logic:
New swing high → Supply box (thin ATR-scaled zone).
New swing low → Demand box.
Close above Supply / below Demand ⇒ convert to BOS (structure shift).
Liquidity lines mark nearby HH/LL; delete when price hits them (sweep).
On Supertrend flip: Entry = close, SL = ATR-based, TPs by 1R..nR or ATR multiples.
Tune: Swing Length, Box Width (ATR/10), Line Length, ATR Length, Supertrend Factor, TP mode & levels.
Use: Map S/D on higher TF → watch sweeps → take flips with defined SL/TP ladder.
المكوّنات:
عرض/طلب + BOS + اختياري ZigZag
خطوط سيولة عند قمم/قيعان تُحذف بعد السحب
قلب Supertrend ⇒ دخول/وقف + TP1..TP5 (نِسَب R أو مضاعفات ATR) وخيار CALL/PUT
المنطق:
قمة جديدة ⇒ منطقة عرض، قاع جديد ⇒ منطقة طلب (سماكة حسب ATR).
إغلاق فوق العرض/تحت الطلب ⇒ BOS (تغيّر هيكلي).
خطوط السيولة تُحدَّد ثم تُزال عند لمس السعر (sweep).
عند قلب الـSupertrend: دخول = إغلاق الشمعة، وقف ATR، أهداف R أو ATR.
الضبط: طول السوينغ، سماكة الصندوق (ATR/10)، طول الخط، ATR Length، معامل Supertrend، وضع الأهداف وقيمها.
الاستخدام: حدّد S/D على فريم أعلى → راقب سحب السيولة → خذ قلب الاتجاه مع وقف محدد وسُلّم أهداف.