RSI+MFI+RVI+stoch+BBAn indicator that displays five technical indicators in one code.
The technical indicators are:
RSI, MFI, RVI, Stoch, and BB.
Candlestick analysis
Bias Bar Coloring + Multi-Timeframe Bias Table + AlertsMulti-Timeframe Bias Bar Coloring with Alerts & Table
This indicator provides a powerful, visual way to assess price action bias across multiple timeframes—Monthly, Weekly, and Daily—while also coloring each bar based on the current chart’s bias.
Features:
Persistent Bar Coloring: Bars are colored green for bullish bias (close above previous high), red for bearish bias (close below previous low), and persist the last color if neither condition is met. This makes trend shifts and momentum easy to spot at a glance.
Bias Change Alerts: Get notified instantly when the bias flips from bullish to bearish or vice versa, helping you stay on top of potential trade setups or risk management decisions.
Multi-Timeframe Bias Table: A table anchored in the top right corner displays the current bias for the Monthly, Weekly, and Daily charts, color-coded for quick reference. This gives you a clear view of higher timeframe context while trading any chart.
Consistent Logic: The same objective bias logic is used for all timeframes, ensuring clarity and reliability in your analysis.
How to Use:
Use the bar colors for instant visual feedback on trend and momentum shifts.
Watch the top-right table to align your trades with higher timeframe bias, improving your edge and filtering out lower-probability setups.
Set alerts to be notified of bias changes, so you never miss a potential opportunity.
This tool is ideal for traders who value multi-timeframe analysis, want clear visual cues for trend direction, and appreciate having actionable alerts and context at their fingertips.
Time & Price1. Swing Trading (Holding for Days to Weeks)
Your goal is to catch major market swings. You are concerned with the major structural turning points.
Chart Timeframe: Daily (D) or 4-Hour (4H). The Daily chart is your primary tool for identifying the major price structure.
Planet Selection (The "Generals"): You focus exclusively on the slow-moving outer planets. Their movements define the major trends and turning points over weeks and months.
Primary Planets: Saturn, Jupiter, Uranus, Neptune, Pluto.
Trigger Planet: Mars. You watch for when Mars makes a hard aspect (conjunction, square, opposition) to one of the primary planets. That date is your high-alert time window for a major swing point.
How to Use the Indicator:
Set your chart to Daily.
In the indicator settings, set Scale Method to "Auto".
Enter the 360° degrees for Saturn, Jupiter, Uranus, and Neptune.
The lines that appear are your major weekly support and resistance zones. These are the levels where you look to enter a swing trade.
Entry: You wait for the price to reach one of these major levels. You then look for a strong daily confirmation candle (like a Bullish/Bearish Engulfing pattern that takes out the entire previous day's candle) before entering. Your holding time is days or weeks.
2. Day Trading (Holding for Hours, Closing by End of Day)
Your goal is to catch the primary trend of the day. You need to know the major daily boundaries and the key intraday pivots.
Chart Timeframe:
Preparation: Daily (D) chart for pre-market analysis.
Execution: 15-minute (15m) or 5-minute (5m) chart for entering and managing trades.
Planet Selection (The "Top-Down" Approach): You use a mix of slow and fast planets.
Major "Walls" (from Daily Chart): Saturn, Jupiter, Uranus. These set your absolute ceiling and floor for the day.
Daily "Hot Spots": Mars, The Sun. These levels are magnets for the day's price action.
Intraday "Timing Tool": The Moon. This is your real-time pivot for timing entries.
How to Use the Indicator:
Pre-Market Prep: On the Daily chart, use "Auto Scale" and enter the degrees for the "Walls" (Saturn, Jupiter, Uranus) and "Hot Spots" (Mars, Sun). Identify your major support/resistance zones for the day.
Intraday Trading: Switch to your 5-minute chart. Add The Moon's degree to the indicator.
Entry: The A+ setup is a Convergence: when the price hits a major "Wall" level at the same time it hits the dynamic "Timing Tool" level from the Moon. Wait for a 5-minute confirmation candle (A-C-E method) to enter.
3. Scalping (Holding for Seconds to Minutes)
Your goal is to catch very small, rapid price movements. This is the most difficult application and requires extreme precision.
Chart Timeframe: 1-minute (1m) or a Tick/Range Chart.
Planet Selection (The "Micro-Timers"): The slow planets are almost irrelevant for scalping. You focus almost exclusively on the fastest-moving bodies as their levels will shift most frequently.
Primary Pivot: The Moon. This is your most important level. It moves fast enough to provide new pivots every couple of hours.
Secondary Pivots: Mercury and Venus. These are the next fastest planets and can provide additional minor levels to trade between.
The "Static Line": You might include one major slow planet, like Uranus (for MNQ), just to know where the absolute "do not cross" line is for the day.
How to Use the Indicator:
On your 1-minute chart, open the settings. You might need to use a Manual Scale for scalping, as the "Auto" mode on a 1-minute chart can be too noisy. You'll need to find a scale that produces tight, relevant levels.
Enter the degrees for The Moon, Mercury, and Venus. You can add Uranus as your one major "wall."
Update Frequently: For scalping, you need to update the Moon's degree every hour to keep the pivot sharp.
Entry: You are looking for quick "rejection" or "bounce" scalps at these fast-moving levels. When the price hits a Moon level, you look for a single 1-minute reversal candle and try to capture the immediate reaction. This is a high-frequency strategy that requires excellent execution skills.
Summary Table
Trading Style Primary Chart Planet Focus Key Strategy
Swing Trading Daily (D) Slow Planets: Saturn, Jupiter, Uranus Identify major turning points over weeks.
Day Trading 5m / 15m Mix: Uranus, Mars, Sun, Moon Use Daily levels as "walls" and the Moon for timing entries.
Scalping 1m / Tick Fast Planets: Moon, Mercury, Venus Trade rapid bounces off fast-moving, dynamic pivots.
Indicador de Trading AvançadoIndicator for trading operations in Forex, cryptocurrencies, stocks and indices of the dollar and the Brazilian stock exchange, such as the mini index (b3) in the M1, M2, M3, M5, M15, M30 and D1 fractals.
This indicator sends signals in the form of a buy and sell arrow to the TradingViev analysis platform. Green for buy and red for sell. Enter the name "BUY" for buy operations and "SELL" for sell operations.
Its function is to be used in situations of breakout, reversal and retraction of structures and for each time fractal, mentioned above.
It should always prioritize the macro and micro trend (Support and Resistance, Prior Cut Adjustment, Automatic Volume Profile among others, aiming for the best possible confluence. The objective is 85% assertiveness.
This indicator uses the combination of trend, momentum, volatility, price logic, price action and SMC indicators.
This indicator aims to provide the command to operate in the direction of the next arrow-shaped candlestick .
Nenhum indicador substituirá o seu conhecimento. Utilize-o como confluência para seu operacional!
Vortex Pivot IndicatorVortex Pivot Points Indicator (VPS)
Buy when most traders give up. Exit when price resets.
What is this indicator about?
This is a swing trading indicator designed to help you enter when most traders are stuck in losses — and exit when price bounces back.
It works by combining weekly Pivot Points with a smart filter using moving averages.
The system waits until all the right conditions are met — and only then, if price touches the S3 support level, it's a buy signal. You then exit when price reaches the Pivot Point from that same setup week.
Psychology Behind the Setup: The whole idea is based on trader positioning and market psychology.
We use two moving averages:
1) The 50-day moving average reflects the mid-term traders average buy price.
2) The 20-day moving average reflects the short-term traders average buy price.
3) When the 50-day is at the top, followed by the 20-day, and the price is below both, it means:
i) Most Mid-term traders are in loss
ii) Most Short-term traders are also in loss
The market is in a deep pessimistic phase
This is the moment when weak hands give up — and smart swing traders can step in.
Our exit happens at the Pivot Point from the same week as the S3 entry — keeping the trade clean and focused on that specific setup.
🛠 How to Use This Indicator
This indicator automatically checks all conditions and shows the S3 and Pivot Point only when everything aligns. That means fewer signals — but higher quality.
⚙️ Must-Use Settings:
Check “Lower time frame for condition” ✅
Lower Time Frame: 1 Day
Pivot Type: Fibonacci
Pivot Time Frame: Weekly
Number of Pivots Back: 200
Color Settings: Customize as per your style
- Use daily candlestick chart
📈 Strategy Logic
Buy when price touches the S3 line and all moving average conditions are met (sometimes indicator might glitch and you will have to check if SMA conditions are being met at the time of buying yourself, happens 1% of the time)
You can average based on your own understanding
Exit when price hits the Pivot Point from the same week as the S3 entry
No stop loss — stay patient as long as it takes (since we use this only on quality stocks)
Sometimes the bounce is quick. Other times it might take a few weeks. Either way, we wait until price resets.
✅ Summary
You’re buying when others are losing.
You’re exiting when the dust settles.
Log v1 Oscillator (No Repaint)It can be a high inflated or extremely falling forex or coin. 150 is the highest peak. It is likely to return between 100 and 150. Sell can be taken from those areas. 0 TO -150 is the buy area. It would be better not to take transactions in the intermediate areas. It can work very well with other indicators. 1 min, 5 min , 15 min. ONLY FOREX dax nasdadq ukoıl usoıl gold vs...
Golden Pro Buy/SellGolden Pro Buy/Sell Indicator
Overview of the Indicator
The "Golden Pro Buy/Sell" indicator is a technical analysis tool designed to identify potential buying and selling opportunities in the market. It utilizes a signal library imported from AhmedRaza/Ahmedraza0012/2, which contains predefined algorithms for analyzing market trends based on specified parameters.
Key Features
Input Parameters: The indicator allows users to customize several parameters:
1. Depth: Determines the number of bars to look back for price analysis (default is 150).
2. Deviation: Sets the threshold for price movement (default is 120).
3. Backstep: Defines how many bars to step back when evaluating signals (default is 100).
4. Label Transparency: Adjusts the transparency of labels displayed on the chart.
5. Color Customization: Users can specify colors for buy and sell signals.
Signal Generation: The core functionality is driven by the Ahmedraza0012. AhmedRaza0012 function, which analyzes low and high prices over the specified depth and deviation. It returns a direction indicator along with price points (zee1 and zee2) used to determine whether to issue a buy or sell signal.
Labeling and Visualization:
1. Labels are created on the chart to indicate buy and sell points based on the signal direction.
2. Labels are color-coded according to user-defined settings for enhanced visual clarity.
3. The indicator manages the deletion of previous labels and lines to maintain a clean chart.
Repainting Logic: The script includes an option to repaint signals in real-time as new price data is received. This feature is useful for traders seeking current signals but should be used cautiously to avoid misleading indications.
Conclusion
The "Golden Pro Buy/Sell" indicator is a versatile tool for traders aiming to improve their decision-making by identifying key market entry and exit points. With customizable parameters and colors, it caters to individual trading preferences while providing clear visual signals based on price action analysis. This indicator is particularly valuable for traders relying on technical analysis, combining automated signal generation with user-friendly visual cues.
Benefits and Applications
1. Intraday Trading: The indicator is well-suited for intraday trading, offering accurate and timely buy and sell signals based on current market dynamics.
2. Trend-following Strategies: Traders using trend-following strategies can leverage the indicator’s ability to identify the overall market direction, aligning trades with the dominant trend.
3. Swing Trading: The dynamic price tracking and signal generation capabilities benefit swing traders aiming to capture medium-term price movements.
Security Measures
The code includes a notice indicating it is subject to the Mozilla Public License 2.0, a reputable open-source license.
The code appears free of obvious security vulnerabilities or malicious content that could compromise user data or accounts.
Note: This indicator is provided under the Mozilla Public License 2.0 and is subject to its terms and conditions.
Disclaimer
The use of the "Golden Pro Buy/Sell" indicator may or may not contribute to trading profits or losses, and the author is not responsible for the same.
Important Notice
While the indicator aims to provide reliable buy and sell signals, market behavior can be influenced by unpredictable events such as natural disasters, political unrest, changes in monetary policies, or economic crises. These factors may occasionally lead to false signals.
Users should exercise caution and diligence when relying on the indicator’s signals. It is recommended to thoroughly backtest the indicator’s performance across various market conditions and use it as part of a comprehensive trading strategy rather than relying solely on its output.
The success of the "Golden Pro Buy/Sell" indicator depends on the user’s ability to adapt it to their trading style, market conditions, and risk management approach. Continuous monitoring, analysis, and adjustment of the indicator’s settings may be necessary to maintain its effectiveness in dynamic financial markets.
Author: AhmedRaza
PineScript Version: 5
This indicator enhances trading decision-making by combining DEPTH, DEVIATION, and BACKSTEP with custom signal generation, offering a comprehensive tool for traders seeking clear buy and sell signals on the TradingView platform.
[alert-custome] direction-ema-dca-rsi-security
Below is a detailed description of the Pine Script v5 strategy titled direction-ema-dca-rsi-security. This strategy automates Long or Short trading on cryptocurrency pairs (e.g., BTCUSDT.P), leveraging technical indicators such as EMA, RSI, and ATR, combined with a Dollar Cost Averaging (DCA) approach. It integrates with OKX via alerts for automated trading execution.
Overview
Strategy Name: direction-ema-dca-rsi-security
Objective: Automate Long or Short trades using EMA, RSI, and ATR signals, with DCA to improve average position price when the market moves against the position. The strategy allows customization of trade direction (Long or Short) and integrates with OKX for automated execution.
Type: Supports both Long and Short trades, using leverage and flexible capital management.
Target Market: Designed for high-volatility cryptocurrency markets, particularly perpetual futures pairs like BTCUSDT.P.
Key Features:
Uses Fast and Slow EMAs to identify trends and entry points.
Combines RSI from the current timeframe and a user-defined timeframe (security RSI) to detect overbought/oversold conditions.
Implements DCA to add to positions when prices move unfavorably.
Integrates with OKX via JSON alerts for automated trading.
Supports Take Profit (TP) and Stop Loss (SL) based on ATR or percentage values.
Structure and Key Components
1. Strategy Configuration
Basic Settings:
Initial Capital: $1,000.
Leverage: Default 6x, adjustable from 1x to 10x.
Order Type: Cash-based, with a default quantity of 10.
Commission: 0.1% per trade.
Pyramiding: Allows up to 100 concurrent orders.
Slippage: 3 pips.
Backtest Fill Limits Assumption: 3 pips, ensuring limit orders are filled within a price range.
Calculate on Order Fills: Enabled (calc_on_order_fills = true).
Use Bar Magnifier: Enabled for detailed candle data calculations.
Fill Orders on Standard OHLC: Enabled, ensuring orders match standard open, high, low, close prices.
2. Input Parameters
The strategy offers customizable inputs, grouped as follows:
Strategy:
Fast/Slow EMA Length: Fast EMA (default 9), Slow EMA (default 21) for trend detection.
ATR Length: Default 14 for volatility measurement.
RSI Length: Default 14 for overbought/oversold detection.
RSI Security Timeframe: Default 15 minutes (options: 5m, 15m, 30m, 1h, 4h, D, W, M).
Direction Security Timeframe: Default daily (options: 4h, D, W, M).
Strategy Size:
Init Webhook Balance ($): Initial balance for webhook (default 0, uses strategy balance if unset).
Leverage: Financial leverage (default 6x).
Init Size Equity (%): Initial position size as a percentage of equity (default 2%).
Size Increase (%): Position size increase per DCA order (default 15%).
Max DCA Orders: Maximum DCA orders (default 15).
Strategy DCA:
Init Percent to DCA (%): Initial price drop/rise for DCA (default 2%).
Increase Step Percent to DCA (%): Incremental DCA price adjustment (default 1%).
Decrease DCA with ATR: ATR multiplier for DCA price (default 0, disabled).
Strategy DCA RSI:
RSI to DCA: RSI threshold for DCA (default 50, below for Long, above for Short).
Security RSI to DCA: RSI threshold for security timeframe (default 50).
Strategy Delay:
Off-Time Delays / Order (s): Delay between orders (default 1000 seconds).
Off-Time Active Stop Loss (Hour): Delay for activating Stop Loss (default 0, disabled).
Strategy TPSL (Take Profit/Stop Loss):
ATR Multiplier TP: ATR multiplier for Take Profit (default 2x).
Init TP (%): Initial Take Profit percentage (default 2%).
ATR Multiplier SL: ATR multiplier for Stop Loss (default 0, disabled).
Init SL (%): Initial Stop Loss percentage (default 0%, disabled).
Strategy Direction:
Trade Direction: Trade direction (default Long, options: Long, Short).
Strategy OKX:
OKX Signal Key: Signal key for OKX API integration.
3. Market Data
Technical Indicators:
EMA: Fast EMA (9) and Slow EMA (21) on the current timeframe for trend identification.
RSI: RSI (14) on the current timeframe and a user-defined timeframe (rsiSecurityTimeframe) for overbought/oversold signals.
ATR: ATR (14) for volatility-based calculations of TP, SL, and DCA prices.
External Library: Uses jason5480/chrono_utils/6 for time-related functions.
4. Entry Conditions
Long Position:
Condition 1: Fast EMA crosses above Slow EMA (ta.crossover(fastMA, slowMA)), or
Condition 2: RSI ≤ rsiTrigger (default 50), Fast EMA ≤ Slow EMA, and RSI security ≤ rsiSecurityTrigger (default 50).
Short Position:
Condition 1: Fast EMA crosses below Slow EMA (ta.crossunder(fastMA, slowMA)), or
Condition 2: RSI ≥ rsiTrigger, Fast EMA ≥ Slow EMA, and RSI security ≥ rsiSecurityTrigger.
Constraints:
Entries are allowed only if tradeDirection matches the signal (Long or Short).
Open trades ≤ maxDCAOrders (default 15).
Current price meets DCA conditions (if positions exist).
Time since last order ≥ offTimeMsOpen (default 1000 seconds).
5. Dollar Cost Averaging (DCA)
DCA Conditions:
Long: Current price ≤ DCA price, calculated as:
strategy.position_avg_price - (atrValue * decreaseDCAWithATR), or
strategy.position_avg_price * (1 - currentUnderPercentDCA) (default 2%, increasing by 1% per DCA).
Short: Current price ≥ DCA price, calculated similarly but for price increases.
DCA Management:
Position size increases by 15% per DCA (stepSizePercent).
DCA price distance increases by 1% per order (stepDecreasePercentDCA).
Maximum 15 DCA orders (maxDCAOrders).
6. Position Management
Position Size:
Initial size: 2% of equity (initSizeEquity).
Increases by 15% per DCA order.
Limited by leverage and current balance (currentBalance).
Current Balance:
If webhookInitBalance = 0, uses initial_capital + netprofit + openprofit.
If webhookInitBalance > 0, uses this value plus net and open profits.
Order Delay: Ensures a minimum gap of 1000 seconds between orders (offTimeMsOpen).
7. Exit Conditions
Take Profit (TP):
Long: strategy.position_avg_price + (atrValue * atrMultiplierTP) (default 2x ATR), or strategy.position_avg_price * (1 + initTP) (default 2%).
Short: strategy.position_avg_price - (atrValue * atrMultiplierTP), or strategy.position_avg_price * (1 - initTP).
Stop Loss (SL):
Long: strategy.position_avg_price - (atrValue * atrMultiplierSL), or strategy.position_avg_price * (1 - initSL).
Short: strategy.position_avg_price + (atrValue * atrMultiplierSL), or strategy.position_avg_price * (1 + initSL).
Currently, atrMultiplierSL and initSL = 0, meaning Stop Loss is disabled.
Exit Execution:
Uses strategy.order for Long TP and strategy.exit for Short TP, closing the entire position when TP is reached.
Sends OKX alerts for exits (EXIT_LONG or EXIT_SHORT).
8. Visualization
Plots:
Fast EMA: Red.
Slow EMA: Aqua.
Take Profit Price: Lime.
Position Average Price: Gray.
Background Color: Commented out, but can display green for Long or red for Short.
9. OKX Integration
Alerts:
Sends JSON alerts for entries (ENTER_LONG, ENTER_SHORT) and exits (EXIT_LONG, EXIT_SHORT), including:
Market position, size, order type (market), and investment percentage.
OKX signal key (okxSignalKeyInput) for API integration.
How the Strategy Works
Market Analysis:
Uses EMA (9, 21) for trend detection (crossover/crossunder).
Combines RSI from the current and security timeframes to confirm overbought/oversold conditions.
ATR measures volatility for TP, SL, and DCA price calculations.
Entry:
Long: Triggers on EMA crossover or RSI in oversold territory with a bearish trend.
Short: Triggers on EMA crossunder or RSI in overbought territory with a bullish trend.
Entries are restricted by tradeDirection setting.
DCA:
Adds positions when price moves against the trade (down for Long, up for Short) based on RSI or ATR conditions.
Increases position size and DCA price distance per order.
Exit:
Closes positions when price hits TP (ATR or percentage-based).
Stop Loss is currently disabled, posing a risk.
Risk Management:
Limits DCA orders to 15.
Enforces time delays between orders.
Caps leverage at 10x.
Strengths
Flexible Direction: Supports both Long and Short trades.
Effective DCA: Improves average position price in volatile markets.
OKX Integration: Automates trading via OKX API.
Multi-Timeframe Analysis: Uses RSI from a secondary timeframe for confirmation.
Customizable Capital Management: Adjustable position sizes and leverage.
Weaknesses
No Stop Loss: Disabled SL increases risk of large losses.
OKX Dependency: Requires accurate API configuration.
Simple Conditions: Relies primarily on EMA and RSI, potentially lacking depth.
Fixed Timeframes: Commented-out EMA security logic limits trend analysis flexibility.
Practical Applications
Target Market: High-volatility crypto markets, especially perpetual futures like BTCUSDT.P.
Trading Style: Suitable for short- to medium-term traders using DCA for risk management.
Optimization: Adjust fastMALen, slowMALen, rsiTrigger, or maxDCAOrders for specific markets.
Improvement Suggestions
Enable Stop Loss: Set atrMultiplierSL or initSL > 0 to protect capital.
Use EMA Security: Uncomment fastDirectionEMA and slowDirectionEMA code to enhance trend accuracy.
Optimize Parameters: Use TradingView’s optimization tool to fine-tune rsiTrigger, atrMultiplierTP, or maxDCAOrders.
Add Indicators: Incorporate Volume, ADX, or other indicators for robust entry signals.
Leverage Alerts: Add warnings for high-leverage risks in volatile conditions.
If you need further analysis, code optimization, or additional strategy development, let me know!
PipTrend Catch Trends Early. Trade with Confidence.
PipTrend is a precision-built trading indicator designed to eliminate guesswork and help traders spot high-probability trend shifts with clarity and speed. Whether you're a beginner or a seasoned trader, PipTrend gives you the tools to read the market like a pro — without needing to decode complex strategies or messy charts.
✅ What PipTrend Does:
Detects trend changes early with real-time signals
Highlights optimal entry zones with clean visual cues
Filters out market noise to help you avoid false signals
Supports multiple asset classes – Forex, Crypto, Indices, and more
Works on any timeframe, from scalping to swing trading
📊 Key Features:
Buy & Sell Signals: Instantly spot when a new trend begins or ends
Trend Continuation Zones: Stay in strong trades longer and avoid premature exits
Visual Clarity: A sleek, clutter-free layout that tells you exactly what matters
Multi-Timeframe Ready: Syncs with the PipTrend Multi-Timeframe Table (optional add-on)
Session Liquidity Zones: Detect where price is most reactive during key market hours
🚀 Why Traders Love PipTrend:
Fast onboarding: Start using PipTrend effectively in minutes, not weeks
Confidence boost: Cut hesitation with reliable signals and consistent logic
Proven performance: Designed with market structure, liquidity, and smart money concepts in mind
Whether you’re looking to stop chasing trades, cut down on emotional decision-making, or gain an edge over retail noise, PipTrend delivers a sharp and intuitive solution tailored for modern trading environments.
🔒 This is an invite-only script. To get access, visit PipTrend.com or email us at support@piptrend.com.
PipTrend Multi Timeframe TableGain a clearer perspective on the market with PipTrend’s Multi-Timeframe Script — a powerful overlay that helps you identify trend alignment across multiple timeframes in real-time.
This script is designed to give you a high-level confirmation system by showing trend direction (Bullish, Bearish, or Neutral) from up to 4 different timeframes in one glance — directly on your chart. Whether you're a scalper, day trader, or swing trader, this tool allows you to:
✅ See higher timeframe trends at a glance without switching charts
✅ Avoid counter-trend trades and align with the dominant trend
✅ Use it as a confluence layer with your PipTrend signal entries
✅ Customize the timeframes, display style, and placement
✅ Get cleaner, smarter entries by filtering out noise from lower timeframes
You’ll immediately know if your trade idea is backed by larger market structure — or if you’re swimming against the current.
How it works:
PipTrend analyzes the selected timeframes using our proprietary trend logic (the same core logic used in the main PipTrend signal script), then displays the directional bias for each timeframe in a clean table format or corner display. Color-coded labels show Bullish, Bearish, or Neutral status, so decision-making becomes much faster and more confident.
Perfect for traders who want:
✔ Confirmation from higher timeframes
✔ Trend filtering to avoid bad trades
✔ A clear visual trend dashboard
🔒 Invite-only access. Visit PipTrend.com to subscribe and unlock this tool.
AQS Gold Strategy//@version=5
indicator("AQS Gold Strategy", overlay=true)
// === المؤشرات ===
// EMA 200 لتحديد الاتجاه
ema200 = ta.ema(close, 200)
plot(ema200, color=color.orange, title="EMA 200")
// MACD
= ta.macd(close, 12, 26, 9)
macd_cross_up = ta.crossover(macdLine, signalLine)
macd_cross_down = ta.crossunder(macdLine, signalLine)
// Stochastic RSI
k = ta.stoch(close, high, low, 14)
d = ta.sma(k, 3)
stoch_overbought = k > 80 and d > 80
stoch_oversold = k < 20 and d < 20
// Volume Filter
vol_condition = volume > ta.sma(volume, 20)
// === شروط الدخول والخروج ===
// دخول شراء: تقاطع MACD صاعد + تشبع شراء في Stoch RSI + السعر فوق EMA 200
long_condition = macd_cross_up and stoch_oversold and close > ema200 and vol_condition
// خروج شراء أو دخول بيع: تقاطع MACD هابط + تشبع بيع في Stoch RSI + السعر تحت EMA 200
short_condition = macd_cross_down and stoch_overbought and close < ema200 and vol_condition
// === رسم إشارات الدخول والخروج ===
plotshape(long_condition, title="Buy Signal", location=location.belowbar, color=color.green, style=shape.labelup, text="BUY")
plotshape(short_condition, title="Sell Signal", location=location.abovebar, color=color.red, style=shape.labeldown, text="SELL")
// === تنبيهات ===
alertcondition(long_condition, title="Buy Alert", message="إشارة شراء حسب استراتيجية AQS Gold")
alertcondition(short_condition, title="Sell Alert", message="إشارة بيع حسب استراتيجية AQS Gold")
AQS Gold Strategy//@version=5
indicator("AQS Gold Strategy", overlay=true)
// === المؤشرات ===
// EMA 200 لتحديد الاتجاه
ema200 = ta.ema(close, 200)
plot(ema200, color=color.orange, title="EMA 200")
// MACD
= ta.macd(close, 12, 26, 9)
macd_cross_up = ta.crossover(macdLine, signalLine)
macd_cross_down = ta.crossunder(macdLine, signalLine)
// Stochastic RSI
k = ta.stoch(close, high, low, 14)
d = ta.sma(k, 3)
stoch_overbought = k > 80 and d > 80
stoch_oversold = k < 20 and d < 20
// Volume Filter
vol_condition = volume > ta.sma(volume, 20)
// === شروط الدخول والخروج ===
// دخول شراء: تقاطع MACD صاعد + تشبع شراء في Stoch RSI + السعر فوق EMA 200
long_condition = macd_cross_up and stoch_oversold and close > ema200 and vol_condition
// خروج شراء أو دخول بيع: تقاطع MACD هابط + تشبع بيع في Stoch RSI + السعر تحت EMA 200
short_condition = macd_cross_down and stoch_overbought and close < ema200 and vol_condition
// === رسم إشارات الدخول والخروج ===
plotshape(long_condition, title="Buy Signal", location=location.belowbar, color=color.green, style=shape.labelup, text="BUY")
plotshape(short_condition, title="Sell Signal", location=location.abovebar, color=color.red, style=shape.labeldown, text="SELL")
// === تنبيهات ===
alertcondition(long_condition, title="Buy Alert", message="إشارة شراء حسب استراتيجية AQS Gold")
alertcondition(short_condition, title="Sell Alert", message="إشارة بيع حسب استراتيجية AQS Gold")
Borges indicatorThe script uses bowling bands as support, indicating to the trader when to enter and exit based on volume; the longer the time frame, the greater your return can be. Use shorter time frames to make multiple trades. Best times: 5min trades of a maximum of 250 points, 15min trades of 500+ points, 30min trades of 750+ points.
Fhunded's ICT NWOGFhunded's ICT NWOG (Box With Text) is a clean and precise TradingView indicator that automatically draws the ICT New Week Opening Gap using data from the weekly open and previous week's close. The gap is visualized as a dynamic, non-extended box that adjusts in real-time to the current candle, with a centered “NWOG” label inside. Styled in a neon theme, it's built for high-clarity ICT-based execution across all timeframes.
Fhunded's PD LevelsFhunded's PD Levels is a clean visual indicator that plots key price levels like Previous Day High/Low, Weekly High/Low, and Daily/Weekly/Monthly Opens. Designed with a neon theme, extended lines, and large-font labels for maximum clarity during intraday trading.
@Fhunded's Checklist with Grade ScoreFhunded's Checklist is a visual TradingView tool that displays a customizable 10-point trading checklist with dynamic trade scoring and A–F grade output. Designed for clarity and speed, it helps traders evaluate setup quality at a glance directly on the chart.
Mech📈 ICT FVG Indicator — Inversion FVGs, Liquidity Sweeps & Entry Mapping
This indicator is designed for ICT (Inner Circle Trader) traders to visualize inverse fair value gaps, buyside/sellside liquidity sweeps, and plot entry, stop loss, and take profit levels.
✅ Core Features:
Inverse FVG Detection:
Identifies bullish and bearish FVGs that get violated and turn into potential reversal zones.
Once inverted, they are marked and tracked visually.
Liquidity Sweep Arrows:
After a buyside or sellside sweep, an arrow is plotted:
🔺 Green arrow for bullish sweep (buy-side liquidity taken).
🔻 Red arrow for bearish sweep (sell-side liquidity taken).
Entry & Risk Mapping:
TP = Nearest internal draw (liquidity/FVG zone).
SL = Recent swing low (long) or swing high (short).
Lines are plotted after the entry signal confirms.
⚙️ Configurable Inputs:
ATR multiplier for FVG filtering.
Wick vs. Close-based signal preference.
Number of inversion FVGs to display.
Adjustable FVG transparency and color.
THE NEXTRON This is Invite only strategy which will produce Buy and Short based on parameter and it is having target and sl
Hidden Orderblock,HOB,OB,BB,MT,MTF Hidden Order Block & Breaker Block (HOB/BB) Multi-Timeframe Analysis
A powerful tool for Smart Money traders and ICT-style practitioners seeking precision, confluence, and clean visual execution. This indicator identifies institutional price zones such as Hidden Order Blocks (HOB), Breaker Blocks (BB), Partial Hidden Order Blocks (PHOB), and traditional Order Blocks (OB)—all across multiple timeframes with minimal chart clutter.
✅ Key Features
1. Hidden Order Block (HOB) Detection
Identifies non-obvious order blocks often hidden within price action.
Requires the EQ (Equilibrium) of the block to pass through at least one Fair Value Gap (FVG).
Invalidation Rule: If price touches the EQ and then closes beyond it (depending on structure), the HOB is invalidated.
2. Breaker Block (BB) Detection
Highlights zones where price made a liquidity grab followed by a strong reversal.
Useful for anticipating support/resistance flips and high-probability reaction areas.
3. Partial Hidden Order Block (PHOB) Detection
A variation of HOBs where price only partially touches the EQ.
Often acts as an early warning zone for reversals or continuation.
Less strict than HOBs, but still institutionally relevant.
4. Traditional Order Block (OB) Detection
Identifies bullish/bearish OBs based on engulfing patterns and displacement.
Marks only the body of the engulfing candle, with the EQ line acting as a key validation/invalidation level.
Once the EQ is touched, the OB is considered invalidated.
5. Engulfing Filter Engine
Customizable logic for OB qualification.
“Easy Engulfing Mode” simplifies detection for newer traders or faster workflow.
Fine-tune aggressiveness and visual clarity with user-defined settings.
6. Multi-Timeframe (MTF) Visualization
Overlay OBs, HOBs, BBs, and PHOBs from higher timeframes (e.g., 4H, 1D) on lower timeframes (15m, 1H).
Enhances top-down confluence without switching charts.
Keeps the visual experience clean and intuitive.
7. Minimalist Visual Design
Only the zone boundaries and EQ lines are displayed.
No extra noise—perfect for both scalpers and swing traders.
Dynamic label positioning and styling for improved chart aesthetics.
8. Performance-Optimized Code
Lightweight, real-time rendering.
Designed for responsiveness—even on lower timeframes with dense historical data.
⚙️ How It Works (Simplified Logic)
Order Block Detection:
Scans for engulfing candles that show displacement.
Defines the OB as the body of the engulfing candle.
EQ line is marked and projected forward until invalidated.
Hidden Order Block Logic:
Starts from a traditional OB, but requires the EQ to pass through at least one FVG.
Upon a close beyond the EQ in the opposite direction, the HOB is invalidated.
PHOB Logic:
Similar to HOBs, but allows partial touches of the EQ before reacting.
Breaker Block Logic:
Identifies liquidity sweeps followed by impulsive moves.
Marks these zones as BBs for potential reaction areas.
📈 Use Cases
Detect institutional price zones with high precision.
Simplify decision-making with visual EQs and MTF overlays.
Integrate seamlessly into:
Smart Money Concepts (SMC)
ICT-style trading
Wyckoff methodology
Discretionary zone-to-zone strategies
🧠 Definitions Summary
OB (Order Block):
Engulfed candle body; EQ is the midpoint of the body. Invalid once EQ is touched.
HOB (Hidden Order Block):
Like OB, but EQ must pass through at least one FVG.
Invalidated when a candle touches EQ and closes beyond it.
PHOB (Partial Hidden Order Block):
Like HOB, but allows partial touch of the EQ to remain valid.
💣 Rounded Top Short Signal💣R3KT is your scalp short assassin — locking on to rounded tops and detonating precision sell signals with zero lag. Built to expose weak highs before they collapse, it combines 3-bar swing top detection with a bearish momentum cross, then marks the kill zone with a clean 💣 emoji.
No clutter. No lag. Just surgical entries where the bulls die slow.
🔍 Signal Criteria:
3-bar rounded top structure
Bearish WaveTrend crossunder
Bomb emoji plotted — no background, sniper-ready
🧠 Optimized for Heikin Ashi:
💣R3KT performs with maximum accuracy on Heikin Ashi candles, where smoothed price action enhances signal clarity, trend momentum, and rounded top formation.
Use HA for signal detection, and standard candles for entry and execution.
Scalp sharp. Hit fast. 💣R3KT doesn’t warn — it executes.
Fin Viraj Setup - Clean ArrowsSimple to use
Useful for Nifty & Bank Nifty
5 min & 15 min time frame
Best to Short CE or PE than buying them