TSU HCC/LCC barsHCC/LCC ("Higher Candle Close / Lower Candle Close") bars help keep traders on the right side of the trend. They are most useful for keeping traders in a trade and not exiting too early.
The first green candle in a series can be seen as a bullish reversal, while the first red candle in a series can be seen as a bearish reversal. Yellow candles are neutral -- neither progressing nor reversing.
Candlestick analysis
FCRvisual for first candle rule marking out the range created in the first candle created after the NY Open
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Intraday Volume Pulse GSK-VIZAG-AP-INDIAIntraday Volume Pulse Indicator
Overview
This indicator is designed to track and visualize intraday volume dynamics during a user-defined trading session. It calculates and displays key volume metrics such as buy volume, sell volume, cumulative delta (difference between buy and sell volumes), and total volume. The data is presented in a customizable table overlay on the chart, making it easy to monitor volume pulses throughout the session. This can help traders identify buying or selling pressure in real-time, particularly useful for intraday strategies.
The indicator resets its calculations at the start of each new day and only accumulates volume data from the specified session start time onward. It uses simple logic to classify volume as buy or sell based on candle direction:
Buy Volume: Assigned to green (up) candles or half of neutral (doji) candles.
Sell Volume: Assigned to red (down) candles or half of neutral (doji) candles.
All calculations are approximate and based on available volume data from the chart. This script does not incorporate external data sources, order flow, or tick-level information—it's purely derived from standard OHLCV (Open, High, Low, Close, Volume) bars.
Key Features
Session Customization: Define the start time of your trading session (e.g., market open) and select from common timezones like Asia/Kolkata, America/New_York, etc.
Volume Metrics:
Buy Volume: Total volume attributed to bullish activity.
Sell Volume: Total volume attributed to bearish activity.
Cumulative Delta: Net difference (Buy - Sell), highlighting overall market bias.
Total Volume: Sum of all volume during the session.
Formatted Display: Volumes are formatted for readability (e.g., in thousands "K", lakhs "L", or crores "Cr" for large numbers).
Color-Coded Table: Uses a patriotic color scheme inspired by general themes (Saffron, White, Green) with dynamic backgrounds based on positive/negative values for quick visual interpretation.
Table Options: Toggle visibility and position (top-right, top-left, etc.) for a clean chart layout.
How to Use
Add to Chart: Apply this indicator to any symbol's chart (works best on intraday timeframes like 1-min, 5-min, or 15-min).
Configure Inputs:
Session Start Hour/Minute: Set to your market's open time (default: 9:15 for Indian markets).
Timezone: Choose the appropriate timezone to align with your trading hours.
Show Table: Enable/disable the metrics table.
Table Position: Place the table where it doesn't obstruct your view.
Interpret the Table:
Monitor for spikes in buy/sell volume or shifts in cumulative delta.
Positive delta (green) suggests buying pressure; negative (red) suggests selling.
Use alongside price action or other indicators for confirmation—e.g., high total volume with positive delta could indicate bullish momentum.
Limitations:
Volume classification is heuristic and not based on actual order flow (e.g., it splits doji volume evenly).
Data accumulation starts from the session time and resets daily; historical backtesting may be limited by the max_bars_back=500 setting.
This is for educational and visualization purposes only—do not use as sole basis for trading decisions.
Calculation Details
Session Filter: Uses timestamp() to define the session start and filters bars with time >= sessionStart.
New Day Detection: Resets volumes on daily changes via ta.change(time("D")).
Volume Assignment:
Buy: Full volume if close > open; half if close == open.
Sell: Full volume if close < open; half if close == open.
Cumulative Metrics: Accumulated only during the session.
Formatting: Custom function f_format() scales large numbers for brevity.
Disclaimer
This script is for educational and informational purposes only. It does not provide financial advice or signals to buy/sell any security. Always perform your own analysis and consult a qualified financial professional before making trading decisions.
© 2025 GSK-VIZAG-AP-INDIA
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Non-Lagging Doji Detector - ZTFNon-Lagging Doji Detector
This indicator automatically identifies and plots four types of doji candlestick patterns in real-time:
Common Doji - Small body with balanced upper and lower wicks (blue diamond)
Long-Legged Doji - Small body with very long wicks on both sides (purple square)
Dragonfly Doji - Small body with long lower wick, minimal upper wick (green triangle)
Four-Price Doji - All prices (OHLC) nearly equal, forming a flat line (orange cross)
Key Features:
Detects patterns as they form (non-lagging) or waits for candle close confirmation
Adjustable body size threshold (default 10% of candle range)
Tiny, unobtrusive labels positioned below bars
Works on all timeframes and instruments
Simple pattern recognition without directional bias
How it works: The indicator analyzes each candle's body size relative to its total range and wick proportions. It uses a hierarchy system to classify each doji into its most specific type, ensuring only one label per candle.
Useful for traders who want to quickly spot indecision patterns and potential reversal points without manual chart analysis.
All-Time High/Low Levels with Dynamic Price Zones📈 All-Time High/Low Levels with Dynamic Price Zones — AlertBlake
🧠 Overview:
This powerful indicator automatically identifies and draws the All-Time High (AT.H) and All-Time Low (AT.L) on your chart, providing a clear visual framework for price action analysis. It also calculates and displays the Midpoint (50%), Upper Quartile (75%), and Lower Quartile (25%) levels, creating a dynamic grid that helps traders pinpoint key psychological levels, support/resistance zones, and potential breakout or reversal areas.
✨ Features:
Auto-Detection of All-Time High and Low:
Tracks the highest and lowest prices in the full visible historical range of the chart.
Automatically updates as new highs or lows are created.
Dynamic Level Calculation:
Midpoint (50%): Halfway between AT.H and AT.L.
25% Level: 25% between AT.L and AT.H.
75% Level: 75% between AT.L and AT.H.
Each level is clearly labeled with its corresponding value.
Labels are positioned to the right of the price for easy reading.
Color-Coded Lines (customizable)
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rsi 8 beta 2🔔 How to Use for Entry
BUY Entry when:
Yellow BUY arrow appears
GOLD bar > USD bar
Delta (strength difference) is positive
SELL Entry when:
Blue SELL arrow appears
USD bar > GOLD bar
Delta is negative
Exit either on the opposite arrow or when strength starts weakening.
DXY - Forex 美元指數關聯主貨幣|關聯共振覆圖 + 強弱表&交叉建議(當前時框,上一根)使用說明(中文)
這個指標是什麼
一支「雙模組合併」腳本:
共振覆圖(當前商品 × DXY):自動判斷正/負相關+雙 EMA 趨勢,背景上色=可交易濾網+快訊。
強弱表+交叉建議(上一根):用 DXY 帶路,計算七大主貨幣是否跟上、美金強弱轉換成「非美強弱分數」,自動給出「最強 vs 最弱」交叉貨幣與多空建議。
快速上手(3 步)
加到任何商品圖上(例如 EURUSD)。
要看入場濾網 → 打開「顯示:共振覆圖」。
要找交叉最強/最弱 → 打開「顯示:強弱表+交叉建議」。
週期跟著你目前圖表;強弱表用「上一根」資料計算,覆圖用「當前根」即時上色。
模組 A:共振覆圖(當前商品 × DXY)
判讀:
背景綠=做多;紅=做空(已自動處理正/負相關)。
線條:EMA5(紅)與 EMA20(藍)供你對齊入場。
邏輯:
計 corr = Correlation(商品, DXY, corrLen);|corr| ≥ thr 視為連動夠強。
方向要同時符合 DXY 與商品的 EMA 趨勢(正相關同向、負相關反向)才上色。
快訊:提供「Long/Short(收線確認)」兩個 alertcondition。
主要參數:
corrLen(相關長度)、thr(強度門檻)、fast/slow(商品 EMA)、dxyFast/dxySlow(DXY EMA)、bgOn(背景)。
模組 B:強弱表 + 交叉建議(上一根)
表格欄位
第 1 欄「正常情況」:商品名稱。
第 2 欄「應該發展」:依 DXY 上一根實際方向+正/負相關推得的應走方向。
第 3 欄「實際行情」:該品項上一根「收−開」換算成 pips 後的方向(大於/小於 方向閾值 才算上/下,否則盤整)。
第 4 欄「是否正常」:實際是否跟「應該」一致。
第 5 欄「力道(199)」:|上一根實體| / ATR(14) 映射到 199(cap=1.5 時,達 1.5 ≈ 99 分,以上封頂)。
交叉建議
先把每個「非美」換成強弱分數:USD 在後 ⇒ +;USD 在前 ⇒ -。
找最大(最強)與最小(最弱),按標準報價順序排 base/quote,輸出「建議:XXXYYY」與「做多/做空」。
主要參數:
prefix(券商代碼前綴,如 FX:/OANDA:/FOREXCOM:)、pipDXY(DXY 的 pip = 0.1 或 0.01)、方向閾值(pips)、ATR期數、標頭/內容字級、cap(把力道映射到 1~99 的上限)。
交易 SOP(配合你的風格)
找題目:看強弱表「交叉建議」→ 直接定位最強 vs 最弱交叉。
入場濾網:切回該交叉的圖,等「共振覆圖 = 綠/紅」+ EMA5/20 同向,避免 .000 / .500 / .800 心理價追單。
台北時間節奏:15:30–17:30、21:00–22:30 流動性最順;重大數據 ±5 分鐘觀望。
小排雷 & 客製
表格不顯示:確認「顯示:強弱表+交叉建議」為 ON;prefix 符合你的券商代碼;DXY 代碼可用 TVC:DXY 或期貨 DX1!。
DXY pip 大小:若數值怪,試在 pipDXY 改 0.1 ↔ 0.01。
想縮放表格:用「標頭字級 / 內容字級」調整;table 沒有欄寬/列高設定。
想清除表格:在關閉開關時使用 table.delete(T)(本腳本已處理)。
User Guide (English)
What this indicator does
Two modules in one script:
Confluence Overlay (Symbol × DXY) — auto detects positive/negative correlation + dual-EMA trend alignment; paints the background as a trade filter and provides alerts.
Strength Board + Cross Recommendation (last bar) — uses DXY as the driver, checks if majors behaved “as expected,” converts USD vs. non-USD moves into a unified strength score, and outputs the best cross (strongest vs. weakest) with direction.
Quick start (3 steps)
Add to any chart (e.g., EURUSD).
Turn on “Confluence Overlay” for entry filtering; turn on “Strength Board” to find the strongest/weakest.
Timeframe = your current chart. Board uses the previous bar; overlay is live on current bar.
Module A: Confluence Overlay
Read it: Background green = LONG, red = SHORT (auto-handles sign of correlation). EMA5 (red) and EMA20 (blue) guide entries.
Logic: Compute corr(Symbol, DXY, corrLen). Only if |corr| ≥ thr and EMA trends align (same direction for positive corr; opposite for negative corr) will it paint.
Alerts: LONG/SHORT alerts (confirmed on bar close).
Key inputs: corrLen, thr, fast/slow, dxyFast/dxySlow, bgOn, showInfo.
Module B: Strength Board + Cross (last bar)
Columns:
Symbol, 2) Should (based on last-bar DXY direction + corr sign), 3) Actual (last-bar body in pips vs threshold), 4) OK?, 5) Power(1–99) = |body|/ATR(14) mapped to 1–99 (cap≈1.5 → 99).
Cross pick: Convert to non-USD strength (+ if USD is quote; − if USD is base). Take max (strongest) vs min (weakest), order by standard base/quote ranking, output pair and LONG/SHORT.
Key inputs: prefix (broker symbols), pipDXY (0.1 or 0.01), threshold(pips), atrLen, header/body font sizes, cap (power→1–99 upper map).
Workflow
Scan the Board → take the suggested cross (strong vs weak).
Execute on that cross chart when the Overlay turns green/red + EMA5/20 alignment; avoid psychological levels (.000/.500/.800).
Timing (Taipei): 15:30–17:30 and 21:00–22:30 are usually the cleanest; avoid ±5 min around major data.
Troubleshooting & notes
No board? Ensure its toggle is ON; check prefix/symDXY.
Weird DXY numbers? Flip pipDXY between 0.1 and 0.01.
Table size: use font size inputs; table does not support column/row resizing.
Board clears when toggled OFF (uses table.delete).
IFVG Detector + AlertsSpots IFVGs and alerts you,
- Alerts are customizable based on points away from the inversion/and as the inversion is happening
- IFVGs can be customized by the size of the gap, and how many bars away it happens
(hoping to add a "liquidity sweep" feature soon)
rsi beta 1📊 Part 1 — Strength Meter (Table)
At the top-right (or wherever you set in the settings) there’s a meter with two bars:
USD (blue/aqua)
GOLD (yellow)
Longer bar = stronger currency.
If GOLD’s bar is longer than USD’s → Gold is stronger (XAUUSD bullish bias).
If USD’s bar is longer than GOLD’s → Gold is weaker (XAUUSD bearish bias).
📉 Part 2 — Candlestick Colors
Pale yellow candles = Gold is stronger than USD.
Pale blue candles = USD is stronger than Gold.
📌 Part 3 — Signal Arrows
Yellow triangle below candle = BUY signal → Gold strength just crossed above USD strength.
Blue triangle above candle = SELL signal → Gold strength just crossed below USD strength.
💬 Part 4 — Price Labels (Optional)
If Show Price Label is turned ON:
Arrows will display the price:
"RSI8 BUY Price" for buy signals
"RSI8 SELL Price" for sell signals
🔔 How to Use for Entry
BUY Entry when:
Yellow BUY arrow appears
GOLD bar > USD bar
Delta (strength difference) is positive
SELL Entry when:
Blue SELL arrow appears
USD bar > GOLD bar
Delta is negative
Exit either on the opposite arrow or when strength starts weakening.
ATR & Time-Adj RVOL A two-row panel in the bottom-right of any chart:
Row 1 — ATR
Label: ATR D: | %
Value: the Daily ATR(14) pulled from the daily timeframe, so it’s the same no matter what chart TF you’re on.
Percent: how far today’s price is from yesterday’s close, expressed as a percent of ATR:
\text{Move%} = \frac{\text{current price} - \text{prior daily close}}{\text{ATR(14)}} \times 100
It updates from pre-market through post-market.
Background color (by absolute move):
< 50% green · 50–80% yellow · 81–99% orange · ≥ 100% dark red.
(So 131% means price has moved 1.31× the typical daily range since yesterday’s close.)
Row 2 — RVOL
Label: RVOL :
Meaning: time-adjusted RTH relative volume. It compares today’s cumulative volume up to this minute (09:30–16:00 ET only) to the average cumulative volume at the same minute over the last N completed RTH sessions (default 10).
RVOL
=
today cum vol (to this minute, RTH only)
avg cum vol (same minute, last N RTH days)
RVOL=
avg cum vol (same minute, last N RTH days)
today cum vol (to this minute, RTH only)
Works on any chart TF (internally computes on 1-minute bars).
Background color: < 0.99 orange · 1.00–1.50 dark green · > 1.50 lime.
Behavior details: holds the final value after 16:00, resets at the next RTH open, and handles early closes/half-days gracefully (missing minutes in history are ignored). An end-of-day safety cap prevents index errors on the last bar.
Inputs you can tweak
ATR Length (Daily): default 14.
RVOL lookback (completed RTH sessions): default 10.
Text Size: tiny / small / normal / large.
How to read it quickly
ATR row tells you the day’s “heat” vs a typical daily move: e.g., ATR D: 19.17 | 131.1% ⇒ price is ~1.31× ATR from yesterday’s close.
RVOL row tells you participation vs typical by now: e.g., 1.90 ⇒ ~90% more volume than usual at this time.
ATR: Body % + Ranges and AnomaliesATR: Body % + Ranges and Anomalies
This indicator provides a dual analysis of price bars to help you better understand market dynamics and volatility. It combines two powerful concepts into one tool: a candle body percentage and a range analysis with an anomaly-excluding average.
Key Features:
1. Candle Body Percentage
This feature plots the size of the candle's body as a percentage of its total high-low range.
A high percentage (e.g., above the 50% gray line) indicates strong, directional movement. The more solid the body is relative to its wicks, the more conviction is behind that move.
The 100% red line marks "Marubozu" candles—bars with no wicks, showing absolute control by buyers or sellers.
2. Range Analysis with Anomalies
This is a unique part of the indicator that helps you identify and understand normal vs. abnormal volatility.
Custom SMA: It calculates an average range of the last N bars, but it smartly excludes "anomalous" bars (spikes or unusually small ranges) from the calculation. This gives you a more reliable baseline for normal volatility.
Anomaly Detection: Bars are colored differently based on their range:
Blue: Small anomalies (range less than 0.5 * ATR). These often occur during periods of low liquidity or indecision.
Red: Large anomalies (range greater than 1.8 * ATR). These can signal a sudden burst of volatility, breakout events, or capitulation.
ATR Range % Label: The label on the chart shows the current bar's range as a percentage of the custom SMA. This tells you how much larger or smaller the current bar's range is compared to a clean average.
How to Use:
Spotting Trends: Use the Body % to confirm the strength of a trend. A series of bars with high body percentages can indicate a strong, healthy trend.
Identifying Volatility: Use the Range Analysis to find areas of interest. A large red anomaly bar could signal a significant event, while a series of blue anomalies might suggest the market is in a tight consolidation before a breakout.
Contextual Analysis: The combination of these tools can provide powerful context. For example, a bar with a high Body % and a red anomaly color suggests a strong, volatile move that could be a turning point or the start of a major trend.
Experiment with the input settings to fine-tune the ATR and SMA periods for different timeframes and assets.
Trend Signals + Line# Advanced Trading Signal System with Trend Analysis
## Overview
This comprehensive trading indicator combines sophisticated signal generation with multi-timeframe trend analysis to provide traders with high-probability entry and exit points. The system utilizes advanced mathematical filtering techniques alongside momentum analysis to minimize false signals and maximize trading accuracy.
## Key Features
### 📊 **Dual-Layer Signal System**
- **Primary Signals**: Advanced mathematical filtering algorithm that processes price data through statistical smoothing methods
- **Signal Validation**: Integrated momentum filter (ADX > 20) ensures signals are only generated during strong trending markets
- **False Signal Reduction**: Sophisticated filtering eliminates low-quality signals in sideways or choppy market conditions
### 📈 **Multi-Timeframe Trend Analysis**
- **Long-Term Direction**: Utilizes higher timeframe analysis to determine overall market bias
- **Medium-Term Confirmation**: Employs secondary timeframe for trend validation and timing optimization
- **Visual Trend Line**: Dynamic colored line overlay that adapts to changing market conditions
- **Trend Persistence**: Maintains last confirmed trend direction during uncertain market periods
### ⚙️ **Advanced Mathematical Framework**
#### Signal Generation Engine
- **Adaptive Filtering**: Self-adjusting algorithm that responds to market volatility
- **Dual-Timeframe Analysis**: Combines short-term (10-period) and long-term (60-period) calculations
- **Statistical Smoothing**: Reduces market noise while preserving important price movements
- **Error Correction**: Built-in estimation error management for improved accuracy
#### Momentum Validation System
- **Directional Movement Analysis**: Calculates true directional strength of price movements
- **Volatility Adjustment**: Automatically adapts to changing market volatility conditions
- **Strength Filtering**: Only activates signals when directional movement exceeds threshold (ADX > 20)
### 🎯 **Signal Types**
#### Buy Signals (Green Labels)
- Generated when short-term trend crosses above long-term trend
- Validated by momentum strength indicator
- Positioned below price action for clear visibility
- Only appears during confirmed uptrend conditions
#### Sell Signals (Red Labels)
- Triggered when short-term trend crosses below long-term trend
- Confirmed by momentum strength analysis
- Positioned above price action for easy identification
- Only appears during confirmed downtrend conditions
### 📊 **Visual Trend Overlay**
#### Dynamic Trend Line
- **Green Line**: Confirmed uptrend across multiple timeframes
- **Red Line**: Confirmed downtrend across multiple timeframes
- **Trend Persistence**: Maintains last confirmed direction during consolidation periods
- **Customizable Position**: Adjustable line placement (top, middle, or bottom of chart)
#### Multi-Timeframe Integration
- **Primary Timeframe**: Default 60-minute for major trend identification
- **Secondary Timeframe**: Default 3-minute for precision timing
- **Heiken Ashi Analysis**: Utilizes smoothed candlestick data for cleaner trend identification
- **EMA Confirmation**: 20-period exponential moving average for additional trend validation
## Configuration Options
### Signal Settings
- **Buy Signal Color**: Customizable color for long entry signals (default: green)
- **Sell Signal Color**: Customizable color for short entry signals (default: red)
- **ADX Period**: Momentum calculation period (default: 14)
- **Directional Index Length**: Directional movement calculation period (default: 14)
### Trend Analysis Settings
- **Long-Term Timeframe**: Higher timeframe for major trend direction (default: 60 minutes)
- **Medium-Term Timeframe**: Secondary timeframe for timing precision (default: 3 minutes)
- **Trend Line Position**: Visual placement options (Top/Middle/Bottom)
## Trading Applications
### Entry Strategy
1. **Trend Confirmation**: Ensure trend line color aligns with intended trade direction
2. **Signal Validation**: Wait for corresponding buy/sell label to appear
3. **Momentum Check**: Verify ADX reading above 20 for strong trending conditions
4. **Multi-Timeframe Alignment**: Confirm both timeframes support the trade direction
### Risk Management
- **Signal Filtering**: Built-in ADX filter eliminates low-probability setups
- **Trend Persistence**: Trend line maintains direction clarity during uncertain periods
- **Clear Visual Cues**: Distinct color coding prevents confusion in trade direction
### Market Conditions
- **Trending Markets**: Optimal performance in clearly directional markets
- **Breakout Scenarios**: Excellent for capturing momentum-driven moves
- **Consolidation Handling**: Automatically reduces signal frequency during sideways markets
## Technical Implementation
### Mathematical Foundation
- **Statistical Filtering**: Advanced noise reduction algorithms
- **Adaptive Parameters**: Self-adjusting sensitivity based on market conditions
- **Error Minimization**: Continuous estimation refinement for improved accuracy
- **Multi-Dimensional Analysis**: Combines price, time, and momentum factors
### Performance Optimization
- **Computational Efficiency**: Optimized calculations for real-time analysis
- **Memory Management**: Efficient data handling for smooth operation
- **Visual Clarity**: Clean interface design for professional trading environments
## Best Practices
### Optimal Usage
- **Timeframe Selection**: Works effectively across all timeframes from 1-minute to daily
- **Market Types**: Most effective in liquid, trending markets
- **Confirmation**: Use in conjunction with support/resistance levels for enhanced accuracy
- **Risk Management**: Always implement proper position sizing and stop-loss strategies
### Advanced Techniques
- **Multi-Asset Analysis**: Compare signals across correlated instruments
- **Session Timing**: Consider market session characteristics for signal interpretation
- **Volume Confirmation**: Combine with volume analysis for additional validation
- **Economic Events**: Be aware of news events that may override technical signals
## Conclusion
This indicator represents a sophisticated approach to technical analysis, combining mathematical precision with practical trading applications. The dual-layer system ensures high-quality signals while the multi-timeframe trend analysis provides essential market context. Whether you're a scalper looking for quick entries or a swing trader seeking major trend changes, this tool adapts to various trading styles while maintaining consistent performance standards.
The integration of momentum filtering and trend persistence creates a robust system that performs well across different market conditions, making it an valuable addition to any trader's technical analysis toolkit.
Precision AI Trading – Adaptive Entries & StopsPrecision AI Trading – Adaptive Entries & TP/SL
This script is designed from the ground up for traders who demand precision in volatile markets.
It combines multi-timeframe EMA structure, adaptive trendline breakout detection, and dynamic ATR-based TP/SL calculation to create trade entries that adapt to market conditions in real time.
Growth Promise:
This is a growth-oriented indicator that evolves over time based on user feedback. Features, filters, and logic will be updated regularly to reflect market changes and improve performance.
Core Concepts:
Multi-Layer Trend Filters: Uses HTF EMA alignment and MACD confirmation to ensure entries are in sync with prevailing momentum.
Adaptive Structure Breakouts: Detects swing breakouts with ATR buffers to avoid false signals in choppy conditions.
Dynamic Risk Profiling: Auto-adjusts SL and TP distances by symbol and timeframe, widening or tightening stops based on volatility.
Peak Protection: Optional filters to avoid buying into extended highs or after sudden surges.
Cooldown Logic: Prevents overtrading by spacing out signals after each entry.
How It Works:
A BUY signal appears when HTF and LTF trends align, volume confirms, and structure/pullback conditions are met.
TP/SL levels are auto-calculated at the moment of entry and plotted on the chart.
SELL signals mirror the same logic in reverse.
Works on crypto, forex, and stocks – settings adapt automatically to BTC/ETH/SOL presets for optimized winrate.
How to Use:
Add to your chart and select your preferred timeframe.
Enable/disable filters (MACD, volume, peak avoidance) to match your trading style.
Use TP/SL labels as guides for exits, or integrate with alerts for automation.
Contact the author via private message to request invite-only access.
繁體中文 (ZH-TW)
Precision AI Trading – 智能精準交易指標(自適應進場與 TP/SL)
此指標從零開始設計,專為需要在波動市場中保持精準進場的交易者打造。
它結合了多週期 EMA 趨勢結構、自適應趨勢線突破偵測、以及基於 ATR 的動態 TP/SL 計算,能夠即時根據市場條件調整交易決策。
可成長性承諾:
這是一款可持續成長的指標,會根據用戶回饋適時優化與更新,持續增加功能與濾網,確保在不同市場環境下保持最佳效能。
核心特色:
多層趨勢濾網:透過高週期 EMA 排列與 MACD 確認,確保進場順應主要動能方向。
自適應結構突破:利用 ATR 緩衝偵測有效突破,避免震盪行情中的假訊號。
動態風控配置:依交易品種與週期自動調整 SL/TP 距離,並根據波動性自動放寬或收緊。
高點防護:可選過熱/新高/急漲過濾,避免在市場過度延伸時追高。
冷卻機制:進場後自動間隔訊號,避免過度交易。
運作方式:
當高低週期趨勢一致、量能確認,且結構突破與回踩條件成立時,產生 BUY 訊號。
進場當下自動計算並顯示 TP/SL 水位。
SELL 訊號邏輯與 BUY 相反。
適用於加密貨幣、外匯與股票,並針對 BTC/ETH/SOL 預設優化參數以提高勝率。
使用方法:
加入圖表並選擇偏好的週期。
可依交易風格開啟或關閉各種濾網(MACD、量能、過熱保護等)。
以 TP/SL 標籤作為出場參考,或搭配警報實現自動化。
邀請制腳本,請私訊作者申請存取。
Contracts Calculator by NQLOGIEST🧮 Contracts Calculator by NQLOGIEST
This tool helps futures traders quickly calculate how many micro contracts to trade based on their dollar risk and stop size. It supports the following micro instruments:
MNQ – Micro Nasdaq 100
MES – Micro S&P 500
MCL – Micro Crude Oil Futures
MGC – Micro Gold Futures
🔧 Features:
Dynamic Contract Calculation based on:
Selected instrument
Dollar risk amount
Stop size (in points)
Instrument-aware $/point logic:
MNQ: $2/pt
MES: $5/pt
MCL: $1/pt
MGC: $1/pt
Customizable Table Position: Pin the results table to any corner of your chart.
Clean and lightweight — no chart clutter.
📋 How to Use:
Select the instrument you're trading from the dropdown (NQ, ES, CL, or GC).
Set your risk amount in dollars.
Set your stop loss size in points.
The indicator will calculate how many micro contracts you can trade while staying within your risk tolerance.
Smart Money Breakout Moving Strength [GILDEX]🟠OVERVIEW
This script draws breakout detection zones called “Smart Money Breakout Channels” based on volatility-normalized price movement and visualizes them as dynamic boxes with volume overlays. It identifies temporary accumulation or distribution ranges using a custom normalized volatility metric and tracks when price breaks out of those zones—either upward or downward. Each channel represents a structured range where smart money may be active, helping traders anticipate key breakouts with added context from volume delta, up/down volume, and a visual gradient gauge for momentum bias.
🟠CONCEPTS
The script calculates normalized price volatility by measuring the standard deviation of price mapped to a scale using the highest and lowest prices over a set lookback period. When normalized volatility reaches a local low and flips upward, a boxed channel is drawn between the highest and lowest prices in that zone. These boxes persist until price breaks out, either with a strong candle close (configurable) or by touching the boundary. Volume analysis enhances interpretation by rendering delta bars inside the box, showing volume distribution during the channel. Additionally, a real-time visual “gauge” shows where volume delta sits within the channel range, helping users spot pressure imbalances.
Smart Money Breakout Moving Strength [GILDEX]🟠OVERVIEW
This script draws breakout detection zones called “Smart Money Breakout Channels” based on volatility-normalized price movement and visualizes them as dynamic boxes with volume overlays. It identifies temporary accumulation or distribution ranges using a custom normalized volatility metric and tracks when price breaks out of those zones—either upward or downward. Each channel represents a structured range where smart money may be active, helping traders anticipate key breakouts with added context from volume delta, up/down volume, and a visual gradient gauge for momentum bias.
🟠CONCEPTS
The script calculates normalized price volatility by measuring the standard deviation of price mapped to a scale using the highest and lowest prices over a set lookback period. When normalized volatility reaches a local low and flips upward, a boxed channel is drawn between the highest and lowest prices in that zone. These boxes persist until price breaks out, either with a strong candle close (configurable) or by touching the boundary. Volume analysis enhances interpretation by rendering delta bars inside the box, showing volume distribution during the channel. Additionally, a real-time visual “gauge” shows where volume delta sits within the channel range, helping users spot pressure imbalances.
Indicador Millo SMA20-SMA200-AO-RSI M1This indicator is designed for scalping in 1-minute timeframes on crypto pairs, combining trend direction, momentum, and oscillator confirmation.
Logic:
Trend Filter:
Only BUY signals when price is above the SMA200.
Only SELL signals when price is below the SMA200.
Entry Trigger:
BUY: Price crosses above the SMA20.
SELL: Price crosses below the SMA20.
Confirmation Window:
After the price cross, the Awesome Oscillator (AO) must cross the zero line in the same direction within a maximum of N bars (configurable, default = 4).
RSI must be > 50 for BUY and < 50 for SELL at the moment AO confirms.
Cooldown:
A cooldown period (configurable, default = 10 bars) prevents multiple signals of the same type in a short time, reducing noise in sideways markets.
Features:
Works on any crypto pair and can be used in other markets.
Adjustable confirmation window, RSI threshold, and cooldown.
Alerts ready for BUY and SELL conditions.
Can be converted into a strategy for backtesting with TP/SL.
Suggested Use:
Pair: BTC/USDT M1 or similar high-liquidity asset.
Combine with manual support/resistance or higher timeframe trend analysis.
Recommended to confirm entries visually and with additional confluence before trading live.
Alpha AI: HTF + EMA200 Alpha AI: HTF + EMA200 是一個多時間框架趨勢工具包,具有兩種入場模式:
StrictTrend — Uses LTF EMA (3/8/21) alignment, optional MACD/volume gates, HTF context, and re-entry on EMA8 pullbacks.
EMA200 + Trendline — Requires EMA200 alignment and a breakout of an HTF pivot-based trendline. Can trigger on EMA200/structural pullbacks when a valid line is not present. ATR-based tolerance reduces false positives.
How It Works (Advanced)
HTF context: EMA (3/8/21), RSI, MACD on a user-selected higher timeframe. The backend can wait for a confirmed HTF bar to avoid context flickering.
Signal Quality: Optional DI/ADX-style gates (calculated internally), volume filters, EMA bandwidth filters, cooldown, and peak/surge protection.
Confirmation: Configurable for breakout and/or pullback confirmation (both/either/only/only).
Risk/Target: Stop-loss can use ATR, Swing, or ATR_or_Swing, and ATR/Percent Lower Limit. Target uses RR and ATR/Percent Upper Limit. Symbol/Timeframe analysis automatically adapts SL/TP and RR; optional expansion factor for volatile pairs.
Inputs and Defaults
Uses preset designs for BTC/ETH/SOL on intraday charts (e.g., 15-minute).
Trendline TF and pivot length control line frequency (typical values: 30-60 minutes, lengths 3-5).
Only trend may require HTF alignment (StrictTrend uses the full HTF filter; EMA200+Trendline can use EMA-only alignment).
Notes
Educational tool, not financial advice. Tested across symbols/timeframes.
Signals are user-defined: HTF alignment, trendline frequency, and tolerance can significantly impact inputs.
No external data, links, or solicitations are used.
English Description
Function: Multi-period trend tool, providing two entry options:
StrictTrend: Short-term EMA (3/8/21) in the same direction + (optional) MACD/volume filtering, HTF background, and EMA8 retracement before entry.
EMA200 + Trendline: Requires the EMA200 to be in the same direction and break above the high/low (HTF pivot points are automatically generated; includes ATR). Logic Overview: HTF Threat (EMA/RSI/MACD) + Quality Control
(DI/ADX leverage, volume, EMA bandwidth, cooldown, hot/cold/violent) Confirmation (breakout/retracement optional) + Risk Management (ATR/volatility stop-loss, RR target, ATR/population ratio, by currency period/automatic adjustment and selective widening).
Recommended Defaults: For a 15m chart, use a trendline TF of 30–60m and a PivotLen of 3–5; adjust the ATR flow chart value and cooldown based on market dynamics. Disclaimer: For educational purposes only, not investment advice; please backtest and verify first.
StrictTrend — 使用 LTF EMA(3/8/21) 對齊、可選 MACD/成交量門、HTF 上下文和 EMA8 回調時的重新入場。
EMA200 + 趨勢線 — 需要 EMA200 一致性和 HTF 基於樞軸的趨勢線的突破。當不存在有效線時,可以觸發 EMA200/結構回落。基於 ATR 的公差可減少誤判。
工作原理(高級)
HTF 情境:EMA(3/8/21)、RSI、使用者選擇的更高時間範圍內的 MACD。後台可以等待確認的 HTF 條以避免上下文閃爍。
訊號品質:可選 DI/ADX 樣式門(內部計算)、成交量過濾器、EMA 頻寬過濾器、冷卻時間和峰值/突波保護。
確認:突破和/或回呼確認可設定(兩者/任一/僅突破/僅回調)。
風險/目標:停損可以使用 ATR、Swing 或 ATR_or_Swing 以及 ATR/百分比下限。目標使用 RR 以及 ATR/百分比上限。符號/TF 自動分析適應 SL/TP 和 RR;波動對的可選擴展因子。
輸入和預設值
使用日內圖表上的 BTC/ETH/SOL 預設設計(例如 15 分鐘)。
趨勢線 TF 和樞軸長度控制線頻率(典型值:30-60 分鐘,長度 3-5)。
僅趨勢可能需要 HTF 對齊(StrictTrend 使用完整的 HTF 過濾器;EMA200+Trendline 可以使用僅 EMA 對齊)。
注意事項
教育工具,而非財務建議。跨符號/時間範圍測試。
訊號取決於使用者設定:HTF 對齊、趨勢線頻率和公差會嚴重影響輸入。
不使用外部資料、連結或徵集。
中文說明
功能:多週期趨勢工具,提供兩種進場:
StrictTrend:小週期EMA(3/8/21)同向+(選購)MACD/量能過濾、HTF背景、EMA8回踩再進場。
EMA200+趨勢線:需要EMA200同向並上破高點線/跌破低點線(HTF支點自動產生;含ATR)邏輯概要:HTF 威脅(EMA/RSI/MACD)+ 品質控制
(DI/ADX 類槓桿、量能、EMA 帶寬、冷卻、冷熱/暴動)確認(突破/回踩任選)+風險管理(ATR/波動停損、RR目標、ATR/人口比例、按幣種週期/自動調整與選擇性加寬)。
建議預設:15m上用趨勢線TF=30–60m、PivotLen=3–5;依市場動態調整ATR 流程圖值與冷卻。
免責:用於教育用途,非投資建議;請先回測與驗證。