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。
Candlestick analysis
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。
Multi Timeframe(MTF) Supply & Demand zones [Eqtihub]Introduction this indicator mark automatically all time frame demand and supply zone with different colours.
Mtf demand and supply for all trader or support resistance trader.
Multi-Timeframe Bias DashboardTransform your trading with this comprehensive bias indicator that provides real-time directional insights across multiple timeframes simultaneously. Built for serious traders who demand precision and clarity in their market analysis.
What It Does
Smart Bias Detection: Automatically identifies market bias (Bullish, Bearish, or Neutral) using advanced price action analysis including:
High/Low sweeps for momentum confirmation
Candle close analysis (bullish/bearish closes)
Inside/Outside bar logic for context awareness
Real-time bias calculations that update with each new bar
Multi-Timeframe Coverage: Analyze market structure across 4 customizable timeframes from 1 minute to Monthly, giving you a complete view of market alignment and potential divergences.
⚡ Key Features
�� Fully Customizable Dashboard
Color Themes: Customize bullish, bearish, neutral, header, row, and border colors
Text Sizing: Choose Small, Normal, or Large text for optimal visibility
Panel Positioning: Place dashboard at Top/Bottom, Left/Right corners
Professional Styling: Clean, QuickBooks-style interface design
�� Smart Alert System
Individual Timeframe Alerts: Enable/disable alerts for specific timeframes
Bias Change Detection: Get notified only when bias actually changes
Custom Alert Messages: Personalize your alert notifications
Multiple Sound Options: Choose from Default, Bell, Chime, Alert, or Notification sounds
⏰ Flexible Timeframe Selection
Preset Options: 1M, 2M, 3M, 4M, 5M, 10M, 15M, 16M, 30M, 45M
Hourly Options: 1H, 1.5H, 2H, 3H, 4H, 6H
Daily Options: Daily, 2D, 3D
Extended Options: Weekly, Monthly
🚀 Trading Applications
Multi-Timeframe Analysis
Trend Alignment: Identify when multiple timeframes agree on direction
Divergence Detection: Spot potential reversal points with conflicting biases
Entry Confirmation: Use bias alignment for high-probability trade setups
Risk Management: Avoid trading against strong multi-timeframe bias
Real-Time Decision Making
Live Updates: Bias calculations update with each new bar
Visual Clarity: Color-coded results for instant recognition
Professional Layout: Clean, organized information display
Chart Integration: Overlay display for seamless chart analysis
�� Perfect For
Swing Traders: Daily and weekly bias analysis
Day Traders: Intraday timeframe combinations
Position Traders: Multi-timeframe trend confirmation
Technical Analysts: Price action and bia
Risk Managers: Multi-timeframe market structure analysis
�� How to Use
Select Timeframes: Choose 4 timeframes from the comprehensive dropdown menu
Enable Display: Use checkboxes to show/hide specific timeframes
Set Alerts: Enable alerts (🔔) for timeframes you want to monitor
Customize Colors: Create your perfect visual theme
Position Dashboard: Place it where it works best for your workflow
🔒 Professional Features
Protected Branding: Watermark cannot be removed or hidden
High Performance: Optimized for real-time trading
Clean Code: Professional Pine Script v6 implementation
User Support: Comprehensive customization options
📈 Why Choose This Indicator
Unlike traditional single-timeframe indicators, this dashboard provides a unified view of market bias across multiple timeframes simultaneously. This gives you a comprehensive understanding of market structure and helps identify high-probability trading opportunities with multiple timeframe confirmation.
Transform your trading from reactive to proactive with the Multi-Timeframe Bias Dashboard!
Franco Varacalli binary options |ENGLISH|
What if you could know, with mathematical precision, when your trades have the highest probability of success?
Franco V. ~ Stats is not just an indicator: it’s a real-time performance tracking and analysis system that transforms price action into clear, actionable metrics.
🔍 What it does
It analyzes candle sequences and detects changes in price dynamics, filtering opportunities according to your settings (buy only, sell only, or both). From there, it records each entry, counts wins and losses, and calculates success probabilities for different scenarios.
🛠 How it works (core concepts)
-Evaluates proportional relationships between open, close, high, and low prices.
-Detects shifts in the balance of buying/selling pressure.
-Classifies trades by the number of prior consecutive losses.
-Calculates success probabilities based on accumulated historical data.
📈 What you get
-On-chart table showing entries, wins, losses, and win percentage.
-Dynamic colors to instantly spot the best-performing scenarios.
-Optional arrows marking moments when conditions are met.
-Filters and thresholds to adapt the analysis to your trading style.
💡 How to use it
-Set your preferred signal type and consecutive loss threshold.
-Monitor the table to see which sequences show higher probability.
-Use the signals as a reference and confirm with your own technical analysis.
⚠ Disclaimer: This tool is designed for market analysis and performance tracking. It should be used in combination with your own research, risk management, and decision-making process.
Franco Varacalli
Strong Indicator for PPI MoM EURUSD (by Mestre dos Traders 2025)Strong Indicator for PPI MoM EURUSD (by Mestre dos Traders 2025)
Overview:
This indicator is designed to track the PPI MoM economic event and provide precise trading signals for EURUSD. It automatically calculates key levels, shows the market surprise, and visualizes potential trade opportunities with clear lines, labels, arrows, and a table panel.
Key Features:
Asset Filter: Apply the indicator only to the selected trading pair (default: EURUSD).
Event Timing: Configure event hour and minute in UTC or use a custom date/time for backtesting.
Invert Signal Logic: Option to invert bullish/bearish logic for different strategies.
Automatic Surprise Calculation: Computes the difference between Actual and Forecast values.
Strength Classification: Categorizes market impact as Strong/Moderate/Weak Bullish or Bearish.
Entry Direction & Levels:
Entry Price
Take Profit Levels: TP1, TP2, TP3
Stop Loss
All levels are calculated in pips and visually displayed on the chart.
Visual Alerts:
Arrows indicating BUY or SELL at the event bar.
Colored lines for entry, TP, and SL levels.
Vertical dashed line highlighting the event bar.
Table Panel: Displays Event Name, Forecast, Actual, Surprise, and Strength.
Customizable Line Extensions: Extend lines for better visibility.
Compatible with Multiple Timeframes: Works on any timeframe.
V1 – Action-Oriented:
“Catch the PPI MoM move! 🚀
Get instant BUY/SELL signals for EURUSD with clear entries, TP levels, Stop Loss, and market surprise. Perfect for fast, news-driven trades!”
V2 – Focus on Simplicity:
“Trade economic news effortlessly! 📊
This indicator shows entry, TPs, Stop Loss, and market strength around PPI MoM releases. Clear, visual signals for EURUSD traders.”
V3 – Impact & Excitement:
“Profit from PPI MoM spikes! 💹
Real-time signals with entry, TP1/2/3, Stop Loss, and surprise analysis. See exactly when to BUY or SELL EURUSD during news events.”
How to Use:
Set the Asset to Trade (default EURUSD).
Adjust Event Time or enable Custom Date for backtesting.
Input Forecast and Previous values. Leave Actual at 0 until the release.
Observe chart when the event occurs: the indicator will draw lines, labels, and arrows for potential trades.
Use Strength Classification to gauge market impact.
Season profile Pro++this VEry helpful indicator on trading view this usinng season valume profile
AND using AR
ADR
AWR
AMR
Compact Trading Panel with AI SuperTrend
**Description:**
The *Compact Trading Panel with AI SuperTrend* is not just another trend-following indicator — it’s a **multi-factor AI decision engine** designed for traders who need speed, accuracy, and clarity.
What makes it unique:
* **AI-Optimized SuperTrend** – Instead of a fixed ATR multiplier, it runs **k-means clustering** on historical performance to adapt the best parameters for current market conditions.
* **Dynamic Multi-Timeframe Sentiment Engine** – Calculates sentiment strength from EMAs, RSI, MACD, and volatility, then smooths it into a momentum-aware signal.
* **Bearish Sell-Off Radar** – A custom volume-spread analyzer that flags institutional-style distribution before price collapses.
* **TrAdjEMA (Trend-Adjusted EMA)** – An exclusive adaptive EMA that accelerates in high volatility and slows in chop, reducing false signals.
* **Bull/Bear Vote Aggregator** – Each indicator casts a “vote,” allowing you to see the **scoreboard** of bullish vs bearish signals in real time.
* **Compact Adaptive Table** – A color-coded, space-optimized panel that automatically adjusts for desktop or mobile screens, showing 16+ metrics at a glance.
This isn’t just an indicator — it’s a **full tactical command center** on your chart.
smcCore Positioning
A comprehensive trading tool integrating trend tracking, price action, and Smart Money Concepts (SMC). Suitable for multiple assets like cryptocurrencies and forex, it specializes in scalping and swing trading, directly usable on the TradingView platform.
Key Features
Trend Identification
Supertrend: Generates buy/sell signals (🚀 for long, 🐻 for short) when price crosses the trend channel, indicating trend direction.
Cirrus Cloud: Green denotes bullish trends, red for bearish trends, visually reflecting trend strength.
Market Structure Analysis
Identifies BOS (Break of Structure) and CHoCH (Change of Character) to mark short-term (internal structure) and long-term (swing structure) price turning points.
Order Blocks (OB) & Fair Value Gaps (FVG): Highlights institutional capital concentration zones and price gaps, signaling potential support/resistance levels.
Risk Management
Automatically calculates 3 take-profit levels (TP1-TP3) and 1 stop-loss (SL), dynamically adjusted based on ATR. Specific prices and lines are displayed on the chart.
Auxiliary Tools
ADX Indicator: Judges trend strength; purple marks sideways ranges (low signal reliability).
Multi-timeframe compatibility: Optimized for 15-minute charts to adapt to high volatility in cryptocurrencies, with adjustable parameters to filter noise.
Use Cases
Scalping: Combine 15-minute FVG fills and order block breakouts for quick entries/exits.
Swing Trading: Leverage trend cloud + structure breakout signals to capture medium-term trends.
Suitability: Ideal for traders comfortable with short-term volatility and basic technical analysis.
GUSS Finder + Vorwarnung und Alarme📌 Indicator: GUSS Finder – EMA Touch with Early Warning
Description:
The GUSS Finder detects strong, direct downward moves (“GUSS”) following a higher high that drop straight to one of the three main EMAs (21, 50, or 200) without any bullish candle in between.
It is designed specifically for “sniper entries” to catch potential long rebounds as they happen.
Features:
Detects GUSS moves after a confirmed higher high
Trend filter: signals only if EMA21 > EMA50 and EMA21 > EMA200
Monitors multiple target EMAs (21, 50, 200) – label always displays the lowest touched EMA
Optional minimum drop percentage and minimum number of candles in the run
Optional EMA slope filter (EMA must not be rising at the moment of the touch)
Clean bar coloring – no random red bars in the middle of the chart
Automatic early warning when price is approaching a target EMA during a GUSS run
Visual line drawn from the swing high to the EMA touch
Alerts for early warning and confirmed touch
Signal Logic:
New higher high → start scanning for GUSS
No bullish candle in the run (optional: allow Doji)
Price directly touches one or more target EMAs
Label displays the lowest touched EMA (green)
Optional alert when price is close to a target EMA
Usage:
Ideal for traders aiming to catch immediate reversals after strong sell-offs
Set alerts for quick reaction (warning & confirmed hit)
Works on all timeframes and markets, best used in trending conditions
Technical Probability MetrixTechnical Probability Metrix — Study Material (for TradingView learners)
This document explains, in plain language, what each block of the script does, how the indicators are calculated, and how to read the on-chart dashboard. Use it to learn—not to replace your own analysis or risk management.
________________________________________
1) What this script is designed to do
Goal: combine multiple classic indicators (RSI, MACD, Stochastic, Volume, VWAP, EMA cross, simple Order-Block band, trend structure, pivots, and Fibonacci context) into:
• a composite trend/probability score
• a clean horizontal dashboard table (status, values, strengths, probabilities)
• alerts for major state changes
It is an overlay study (draws on price chart) and is timeframe-agnostic, with one cross-check on the 15-minute chart for EMA(9/20).
________________________________________
2) Inputs & configuration
All inputs appear in TradingView’s Settings → Inputs and are grouped for clarity.
Elliott Wave (pivot scaffolding)
• Wave Detection Period (wavePeriod): bars on each side of a pivot. Higher = fewer but stronger pivots.
• Show Wave Labels/Lines (placeholders in this version): toggles for potential future labeling/lines.
• Trend Lookback (trendLookback): length for structural trend checks (HH/HL, linreg slope, bar-up/down counts).
Fibonacci
• Show Fibonacci Levels (style/color reserved here).
• Fib Calculation Lookback (fibLookback): range used to define “swing high/low” context.
Technical Indicators
• RSI Length: default 14.
• MACD Fast/Slow/Signal: 12/26/9.
• Stochastic Length: %K length (with %D = SMA(3) inside the code).
• Volume MA Length: period for volume moving average and relative volume.
• EMA 9/20 Periods: for fast/slow moving averages.
Display
• Show Summary Table: toggles the on-chart dashboard.
• Table Position & Size: choose where and how large.
Probability
• Number of Probability Levels: number of “target steps” (probability ladder).
• Adaptive Target Direction: if enabled, directs the ladder by detected trend.
Colors
Customization for bullish/bearish and Fibonacci tint.
________________________________________
3) Core calculations & signals
3.1 RSI
• Formula: standard ta.rsi(close, rsiLength) (0–100).
• Interpretation in script:
o >70: Overbought (weighted negatively in score).
o <30: Oversold (weighted positively).
o Else: Neutral.
3.2 MACD
• Formula: ta.macd(close, fast, slow, signal) → returns MACD line, Signal line, Histogram.
• Signal logic:
o Bullish when MACD > Signal and Histogram rising.
o Bearish when MACD < Signal and Histogram falling.
• Use: contributes ±1.5 to the composite score; histogram value shown in table.
3.3 Stochastic (%K/%D)
• Formula: %K = ta.stoch(close, high, low, length); %D = SMA(%K, 3).
• Signal logic:
o Bullish when %K > %D and %K < 80 (up-turn within range).
o Bearish when %K < %D and %K > 20 (down-turn within range).
• Use: mild ±1 weight; value displayed and strength bar shown.
3.4 Volume analysis
• Volume MA: ta.sma(volume, volumeLength).
• Relative volume (volRatio): volume / volMA.
o High volume: volRatio > 1.5 (context for conviction).
• Use: if high volume and green candle → +1.5; if high volume and red → −1.5; else neutral.
3.5 VWAP
• Value: ta.vwap(hlc3).
• Signals:
o Above VWAP: bullish (+1.5).
o Below VWAP: bearish (−1.5).
• Distance % also computed for strength bar: |close − vwap| / close * 100.
3.6 Simple Order-Block band (context proxy)
• Window: highest high / lowest low over 20 bars.
• Midline (obMid): average of band extremes.
• Signals:
o Close > obMid: bullish (+1).
o Close < obMid: bearish (−1).
• Strength %: where current price sits within the band.
Note: This is not a full institutional order-block model—just a mid-band context.
3.7 EMA(9/20) trend & 15-minute cross-check
• On current chart: EMA(9) vs EMA(20) to get distance % (trend strength proxy).
• On 15-minute timeframe (via request.security):
o Bullish cross: EMA9_15 > EMA20_15 (+1.5).
o Bearish cross: EMA9_15 < EMA20_15 (−1.5).
• Why multi-TF: filters noise on lower TFs and adds confirmation on higher.
________________________________________
4) Composite Trend Model
4.1 Structure & momentum features
• Price position within the trendLookback range.
• Linear regression slope over trendLookback.
• MA trend: SMA(20) vs SMA(50).
• Swing structure: compares recent 20-bar HH/HL vs prior 20-bar HH/HL.
• Bar dominance: counts up-bars vs down-bars across lookback.
4.2 TrendScore (cumulative)
• Adds/subtracts points for:
o Price position (top/bottom of lookback range),
o LinReg slope sign,
o MA(20/50) relationship,
o Swing structure (HH+HL or LH+LL) with double weight,
o Up-bar dominance.
• Classification:
o > +1 → Bullish trend
o < −1 → Bearish trend
o else → Neutral
This TrendScore also contributes ±1.5 into the totalScore separately (trendWeight) to reflect overall regime.
________________________________________
5) Pivot detection (Elliott-style scaffolding)
• Purpose: capture recent significant highs/lows using ta.pivothigh/low with wavePeriod.
• Saves the last ~14 highs and lows (values and their bar indexes).
• Use here: not labeling Elliott waves, but used to compute wavePositionWeight:
o Finds the most recent high/low pair and locates current price within that range.
o If price sits in the lower 38.2% of that range → +2; between 38.2–61.8% → +1; above 61.8% → −1 (mean-reversion bias).
________________________________________
6) Fibonacci context
• Pulls highest high / lowest low over fibLookback to understand the active swing.
• Color options are provided; actual level plotting is minimal in this version.
________________________________________
7) Probability engine
7.1 TotalScore and base probability
• TotalScore = sum of all component weights:
o RSI, MACD, Stoch, Volume, VWAP, OB, EMA(15m), Wave position, and Trend regime.
• Normalization: maps TotalScore to 0–100% via a maxScore (15) to create probabilityBase.
7.2 Individual indicator probabilities (for the table)
• Each indicator also outputs its own probability (e.g., bullish MACD ≈ 70%, bearish ≈ 30%, neutral ≈ 50%).
• The last column shows the Overall Probability (probabilityBase).
7.3 Target ladder (probability steps)
• On the final bar, the script builds a ladder of numTargets probabilities that taper with distance.
• Direction:
o If Adaptive: follows the detected trend (bullish → up targets; bearish → down).
o If not: direction depends on the sign of TotalScore.
• The first target’s probability is also highlighted in the last column’s cells.
The ladder is a confidence heuristic, not a price target generator. It gives you a decaying probability as you aim further from current conditions.
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8) The on-chart horizontal dashboard
The dashboard is a table with:
• Title row
• Headers: RSI, MACD, STOCH, VOLUME, TREND, VWAP, OB, EMA, SIGNAL, PROBABILITY
• Row: STATUS
Shows categorical status (e.g., OVERBOUGHT, BULLISH). Background/text colors follow bullish/bearish/neutral logic.
• Row: VALUE
Numerical readouts: RSI, MACD histogram, %K, Relative Volume (×), TrendScore, VWAP distance %, OB strength %, EMA distance %, and TotalScore.
• Row: STRENGTH
Text-based progress bars (█░) scaled to each metric’s natural range (e.g., RSI 0–100, VWAP distance cap 5%).
• Row: PROBABILITY
Per-indicator probability (%) with color emphasis when >70 (bullish) or <30 (bearish).
The rightmost column shows the Main overall probability and a bar for the first target.
Reading tips
• Think of the STATUS row as directional state, VALUE as magnitude, STRENGTH as confidence, and PROBABILITY as a decision helper.
• Look for confluence: several green/bullish blocks + high overall probability + bullish TrendScore is stronger than one isolated signal.
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9) Alerts included
The study raises alerts when:
• Strong Buy: TotalScore > 5
• Strong Sell: TotalScore < −5
• Trend flips: transitions into bullish or bearish trend regime
• EMA(9/20) 15-min crosses: bullish or bearish
Add these in TradingView’s Alerts panel after applying the indicator to a chart.
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10) Practical usage & tips
• Timeframes: The logic works on any chart; the EMA check consults 15-minute for an extra filter. If your main chart is 15m or higher, this acts as self-confirmation; if you’re on 1–5m, it acts like a higher-TF compass.
• Markets: Works on crypto, equities, indices, FX, futures. For illiquid symbols, volume/OB context may be noisy.
• TrendLookback tuning:
o Scalpers: 50–75 to make the model more responsive.
o Swing: 100–200 for smoother regime classification.
• Volatility consideration: When VWAP distance and EMA distance bars are large, trends may be extended—this is good for trend-following but risky for late entries.
• Mean-reversion cues: RSI oversold + wavePosition in the lower third + neutralizing MACD can be an early bounce setup—but wait for confirmation (e.g., EMA cross change or TrendScore improvement).
• Confluence matters: Treat any single block as informational. Trade decisions should rely on multiple aligned signals + risk plan.
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11) Limitations & what this script does not do
• It does not mark institutional order-blocks, fair-value gaps, or full Elliott counts—only simplified contextual proxies.
• Probabilities are heuristic (feature-weighted), not calibrated win-rate forecasts.
• Repaints? Pivot functions confirm after wavePeriod bars; probabilities are computed on the last bar for the table. The EMA 15m check uses security() with default settings (no special bar merge tricks)—be mindful when mixing timeframes.
• Backtest results (if you wrap this into a strategy) will depend heavily on your entry/exit rules and risk controls.
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12) Quick checklist before using live
1. Confirm trend regime (TrendScore row + STATUS).
2. Check MACD/RSI/Stoch alignment.
3. Look at Relative Volume and VWAP location.
4. Confirm EMA(9/20) 15m bias agrees with your plan.
5. Ensure overall probability is supportive (>60% for trend plays, for example).
6. Size the trade with pre-defined stop, target, and max risk rules.
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13) Glossary (fast refresher)
• RSI: momentum oscillator; overbought/oversold zones.
• MACD: trend-momentum, line/Signal cross and histogram slope.
• Stochastic: momentum vs. recent range; %K/%D cross.
• VWAP: volume-weighted mean price; intraday fair value anchor.
• EMA: exponential MA; faster response than SMA.
• Linear Regression Slope: directional drift estimate.
• Relative Volume: current volume vs. average—conviction proxy.
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14) aiTrendview Disclaimer
This indicator and its outputs are intended solely for education and research. They do not constitute financial, investment, or trading advice. Markets involve substantial risk, including the risk of loss. Past performance and on-chart probabilities are not guarantees of future results. You are responsible for your own decisions, position sizing, and risk management. aiTrendview, its contributors, and affiliates are not liable for any losses incurred from the use of this script or the information derived from it. Always validate signals with your own analysis and consult a licensed financial professional if needed.
2 BAR FTR+LIQ2-Bar Wick Zone
What it does
Spots zones formed by two consecutive candles in the same direction and builds a clean box from the wick tips—then extends it to the right so you can track reactions with zero clutter.
How it works
Bullish: connects the High of the first candle to the Low of the second.
Bearish: connects the Low of the first candle to the High of the second.
Optional validation filter: in the next N bars (default 3), price must stay on the correct side of the zone (bull = above, bear = below) and at least one bar shows a very long wick (configurable, and can be “any side” or “into zone direction”).
Drawings are anchored with xloc.bar_time, so they stay fixed when you pan/zoom.
Why traders like it
Targets spots where the market often pulls back or grabs liquidity.
Minimal, readable visuals—no spaghetti lines.
Built-in filters keep signals focused and purposeful.
Great for
Pullback entries on the zone edge
Confluence with supply/demand, FVG/imbalance, HTF levels
Screening and marking reaction zones without manual drawing
Key settings
Window size (bars after creation)
Long-wick ratio & side (Any / Into Zone Direction)
Min zone height (ticks)
Colors, opacity, line width, extend-right
This indicator provides structured zones—not financial advice. Test across symbols and timeframes and combine with your own risk management.
Pajinko DivergencePJK DIVERGENCE is a custom indicator designed to detect market divergence with high precision by combining multiple key market metrics.
It analyzes the relationship between Price Action and key momentum/trend indicators such as RSI, MACD, ADX, and Volume to highlight potential reversal or trend continuation opportunities.
This multi-layer approach allows traders to:
Spot bullish divergence (when price makes lower lows but momentum makes higher lows).
Spot bearish divergence (when price makes higher highs but momentum makes lower highs).
Filter out weak signals by confirming with trend strength (ADX) and volume activity.
How It Works
The script continuously compares price swings with momentum oscillators to identify divergence.
Bullish signals appear when momentum shows strength despite falling prices.
Bearish signals appear when momentum weakens despite rising prices.
ADX is used to confirm trend conditions, and Volume is analyzed to validate market participation.
How to Use
Apply PJK DIVERGENCE to your chart.
Look for bullish or bearish divergence markers and confirm with trend/volume conditions.
Use divergence signals as an early warning for possible trend reversals or as confirmation for existing trade setups.
For best results, combine with the Semi-Auto EA “Cyborg” to manage entries, exits, and risk.
Example Use Cases
Swing Trading: Spot reversal zones before major price movements.
Trend Following: Use divergence to identify potential pullbacks within a trend.
Breakout Trading: Confirm breakout strength by checking for the absence of bearish divergence.
Candle Color Changes %Candle Color Changes %
//@version=5
indicator("涨停高亮K线", overlay=true)
zf = (close - open) / open * 100
// 条件:涨幅 ≥ 10%
up_limit =zf >= 10
// 绘制 K 线颜色
barcolor(up_limit ? color.rgb(235, 42, 219) : na)
CSI IndicatorThis script provides a visual trend dashboard that may assist scalpers and day traders in identifying potential setups by aligning multiple timeframes.
✅ Trend Dashboard
Located at the top-right corner of the chart, the dashboard includes two key components:
1. CMP (Current Market Price) :
Shows the primary trend signal and current directional bias.
2. VCS (Verified Confirmation Signal) :
Confirms the trend's strength and alignment across higher timeframes.
✅ Basic Entry Rules For :
1. Scalper Trader
* CMP timeframe: M15
* VCS timeframe: M30
* Only enter when CMP = VCS
* If not aligned: Follow display on M15
2. Day Trader
* CMP timeframe: H1
* VCS timeframe: H2
* Only enter when CMP = VCS
* If not aligned: Follow display on H1
✅ Risk Management & Stop Loss (SL)
* Use the blue line as a dynamic SL.
* Consider not placing SL too close, as the line adapts dynamically to price action.
✅ Customize Chart With Optional Tools
* Tiered Take Profit Level
* Custom Stop Loss Level
* Display Order Block Zone
Miro2.0 Buy / Sell NewbieMiro2.0 Buy / Sell Newbie
This sinyal for newbie, help you to buy cheap / low prices. No teknikal needed just follow my signal.
DISCLAIMER:
Buy n Sell just momentum, please be wise buy on bottom sell on peak
SBMS Timing Candle(5m) + Guru Candle(1m)-V1This indicator gives the 5m timing candle based on the current script trading and you can trade based on the range of the candle and follow-up price action, it gives idea about the trend to follow and Guru candle shown in 1m similar study for that price range can be applied for intraday trading decisions. You need to use ETH in 5m for showing Timing candle.
FX4M by fx4_livingFX4M Simplified by fx4_living
1. Previous Period Framework
Selectable Period: Prior Daily, Weekly, or Monthly.
Range Box: Full high-to-low span of the prior period, shaded by up/down close.
Body Box: Open-to-close section within the range box.
High/Low Lines: Horizontal lines at the previous period’s high/low.
Equilibrium Line: Midpoint between the previous high and low.
2. Intraday Opening Lines
Plots reference price lines for:
Daily Open
(00:00 New York) Midnight Open
09:30 AM Open
13:30 PM Open
Current-Hour Open; plus Weekly/Monthly Opens when Weekly/Monthly is selected.
Each line has its own color, style, and time/price label.
3. Intraday High/Low Tracking
Marks the current day’s highest and lowest prices.
“D-H” and “D-L” labels with time in tooltip.
4. Accumulation Range
Definition: First one-third of the selected reference period.
Shows full range (high-to-low) and body (open-to-close), shaded by up/down close.
After it ends, the Accumulation High/Low/EQ are drawn as horizontal lines.
Optional alerts mark the first time the Accumulation High or Low is reached.
5. Accumulation Range Deviation Levels
After the Accumulation period ends, horizontal levels are drawn at ±0.5, ±1.0, ±1.5 … ±3.5 of the Accumulation range size from its High/Low. Optional small labels show the level value.
Optional alerts mark the first time each deviation level is reached.
6. Previous Period Hit Detection
Marks the first time price reaches the prior period’s High, Low, or Equilibrium during the current period.
Optional alerts are possible.
7. Pre-Market Zone
Marks 05:00–06:59 New York time with a shaded box and dotted midline; color reflects up/down close. The midline can extend forward.
Displayed on intraday charts up to 15 minutes.
8. Status Table
Daily High (time & price)
Daily Equilibrium (current deviation % and price)
Daily Low (time & price)
MWD Institutional order flow (optional): shows Daily/Weekly/Monthly closes vs. their respective opens (directional arrows in colored cells).
Customizable Watermark (optional).
Enjoy
fx4_living
Trading StreetTrading Street Indicator
Trading Street is a comprehensive trading indicator that combines session timing analysis with technical trend analysis. It provides traders with visual cues for optimal trading times and market direction, making it perfect for forex and crypto trading.
Key Features
🕐 Trading Session Detection
Asia Session: 05:30 - 14:30 IST (Indian Standard Time)
London Session: 12:30 - 20:30 IST
New York Session: 18:30 - 02:30 IST (overnight)
Visual Session Backgrounds: Each session is highlighted with distinct colors
Session Overlap Handling: Smart precedence system (NY > London > Asia)
📊 Technical Analysis
50 EMA (Exponential Moving Average): Default golden line for trend analysis
Customizable EMA: Adjustable length (1-200 periods)
Trend Background: Green when price > EMA (bullish), Red when price < EMA (bearish)
Visual Trend Signals: Background colors change based on price vs EMA relationship
🎨 Customization Options
Session Colors: Customize Asia (green), London (blue), New York (orange)
EMA Settings: Adjust color, width, and length
Transparency Control: Adjust background opacity (0-100%)
Individual Toggles: Turn sessions and EMA on/off independently
How to Use
For Session Trading:
Identify Active Sessions: Look for colored backgrounds indicating active trading sessions
Session Overlaps: London-New York overlap (18:30-20:30 IST) is typically high volatility
Session Transitions: Watch for session changes for potential breakout opportunities
For Trend Analysis:
EMA Trend: Golden EMA line shows overall market direction
Background Colors:
Green background = Bullish trend (price above EMA)
Red background = Bearish trend (price below EMA)
Trend Confirmation: Use EMA alignment with session timing for better entries
Trading Strategy:
Session + Trend Alignment: Best trades when session activity aligns with EMA trend
Session Transitions: Look for breakouts during session changes
High Volatility Periods: London-New York overlap often provides best opportunities
Settings
Session Settings:
Show Asia Session: Toggle Asia session background
Show London Session: Toggle London session background
Show New York Session: Toggle New York session background
Background Transparency: Adjust opacity (0-100%)
EMA Settings:
Show EMA: Toggle EMA line on/off
EMA Length: Adjust period (1-200, default: 50)
EMA Color: Customize line color
EMA Line Width: Adjust thickness (1-4)
Best Timeframes
Recommended: 15M, 1H, 4H, Daily
Best for: Forex pairs, Crypto, Major indices
Optimal Use: Combine with price action and support/resistance levels
Pro Tips
Session Awareness: Trade during active sessions for better liquidity
Trend Confirmation: Use EMA trend to confirm session-based setups
Risk Management: Avoid trading during low-activity periods
Multi-Timeframe: Use on higher timeframes for trend, lower for entries
Technical Details
Pine Script Version: v5
Overlay: True (displays on main chart)
Timezone: IST (Indian Standard Time)
Compatibility: All TradingView instruments
Perfect for traders who want to combine session timing with technical analysis for better trading decisions! 🚀
Pearl Style with Cloud AI & Dashboard + Dynamic FeaturesAI-driven breakout option buying with dynamic targets, trailing SL, and live dashboard.
Smart trend-following options strategy with adaptive targets and trailing risk control.
Cloud-AI powered option buys: breakout entries, dynamic targets, and proactive SL.
Pearl-style option buying: AI trend filter, dynamic TP, and auto-trailing SL.
Fast, AI-filtered option entries with adaptive targets and real-time trade dashboard.
orderblock Toolkit V3 with Warningsthis indnicator very useful supply and demand
aslo show %buyer/seller display
stregh score