Custom EST Candle Marker (All Timeframes)marks out custom 4 hour candle to focus on like 2am or 8am whatever you want
Candlestick analysis
NQ Initial BalanceNQ Initial Balance (NQ only)
Tracks the Initial Balance (first hour of RTH, 9:30-10:30 AM ET) and provides real-time levels, quadrant analysis, and probability-based trade setups for NQ (Nasdaq) futures.
How it works: Price closes within the IB range in one of three quadrants — Upper (75-100%), Lower (0-25%), or Middle (25-75%). The quadrant determines directional bias and optimal entry levels based on backtested probabilities.
Features:
Real-time IB box that builds live during the 9:30-10:30 session
IB High/Low lines extended through the trading day
25%/75% quartile levels (primary support/resistance)
50% midline
0.5x and 1.0x extension targets (upside and downside)
Quadrant shading (today only) showing where price sits relative to IB
Break detection with timing classification (Immediate vs Delayed)
Retracement depth tracking after first break
Info dashboard with bias, probabilities, optimal entry, and target levels
Break status panel with time-to-break and retracement data
Dark/Light dashboard theme for any chart background
"Waiting for IB" / "Building IB..." status when IB is not yet established
9 alert conditions: IB established, optimal entry touches, IB breaks, and target hits (all wick-based)
Important — NQ-specific hardcoded stats: The probability statistics displayed in the dashboard (break direction %, pullback %, target hit %) are derived from a 3-year backtest of NQ data (Jan 2023 - Dec 2025, 614 trading days).
!! These numbers do not apply to ES, YM, forex, crypto, or other instruments. If you use this on a different asset, the levels and structure will work but the probabilities shown will not be accurate for that market.
Settings: All session times, display options, colors, alert toggles, and dashboard theme are fully configurable through the indicator settings panel.
Golden EMA 9/21/50 UI VisualsA professional EMA-based trading UI combining EMA 9 / 21 / 50, Smart Key Levels, and Liquidity Sweep Detection — designed for clean trend execution and disciplined trading.
Full Description
Golden EMA UI is a premium-style trading indicator built for traders who value Clarity, Structure, and Precision.
At its core, the indicator uses a powerful EMA 9 / 21 / 50 framework to identify short-term momentum, trend direction, and higher-timeframe bias.
On top of this, it adds Key Levels and Liquidity Sweep visualization, helping traders understand where price is reacting — not just where it is moving.
The UI is intentionally clean and distraction-free, allowing traders to focus on high-probability zones, trend alignment, and market structure.
Core Components
EMA System (9 / 21 / 50)
• EMA 9 → Fast momentum & entry sensitivity
• EMA 21 → Short-term trend control
• EMA 50 → Major trend & directional bias
• Helps to identify:
o Trend continuation
o Pullbacks within trend
o Momentum shifts and exhaustion
Key Levels (Show / Hide Option)
• Automatically plots important price levels
• Acts as dynamic Support and Resistance zones
• Useful for:
o Entry filtering
o Profit booking zones
o Avoid low-probability trades
Fully optional — can be enabled or disabled from settings.
Liquidity Sweep Insight (Show / Hide Option)
• Highlights sweeps of previous highs and lows
• Designed to expose:
o Stop hunts
o Fake breakouts
o Liquidity grabs before reversals or continuations
• Highly useful for:
o Scalping
o Intraday trading
o Break-and-retest setups
• Can be turned ON or OFF based on trader preference.
Why Golden EMA UI?
✔ Clean, premium-style interface
✔ No clutter, no noise
✔ Logical EMA structure
✔ Smart context using Key Levels & Liquidity
✔ Works on Forex, Crypto, Indices, Stocks
✔ Suitable for Scalping, Intraday & Swing Trading
User Controls (Settings Panel)
• Show / Hide EMA lines
• Show / Hide Key Levels
• Show / Hide Liquidity Sweep
• Adjustable colors for UI preference
Everything is fully customizable.
Disclaimer
This indicator is a technical analysis tool, not financial advice.
Always use proper risk management and confirmation before entering trades.
Soon Advanced UI and rule-based BUY/SELL signals are going to be available in the premium version via invite-only access.
All in One Trend Indicator by Nicks**Multi-Factor Confluence Suite (7-in-1 Overlay)**
### **Description:**
**Overview**
This script is a comprehensive workspace optimizer designed to combine 7 essential trading tools into a single, efficient overlay. By merging trend analysis, market structure, liquidity zones, and momentum signals, this tool allows traders to bypass the standard indicator limit and view high-probability confluence setups without a cluttered chart.
**Key Features & Functionality**
* **Trend Filtering (Hull Suite):**
* A lag-reduced moving average system that visualizes the macro trend.
* Includes candle coloring options to easily identify trend alignment.
* **Market Structure (SMC):**
* Automatically maps Break of Structure (BOS) and Change of Character (CHoCH).
* Identifies Order Blocks and Fair Value Gaps (FVG) for potential entry/exit zones.
* **Liquidity Analysis:**
* **Swings:** Highlights key swing highs and lows where stop losses typically reside.
* **Grabs:** Specifically detects "stop hunts" where price wicks liquidity before reversing (Bubbles visualization).
* **Momentum Signals (UT Bot & MACD):**
* **UT Bot:** Provides high-sensitivity Buy/Sell labels based on ATR trailing stops.
* **MACD Overlay:** Plots signal crossovers directly on the price chart (arrows) to identify momentum shifts without occupying a separate oscillator pane.
* **Session Timing:**
* Visualizes major trading sessions (NY, London, Tokyo, Sydney) with an optional dashboard table.
**How to Use**
This suite is designed for "Confluence Trading."
1. **Identify Trend:** Use the Hull Suite color to determine the directional bias.
2. **Find Structure:** Wait for price to react at an SMC Order Block or Liquidity Zone.
3. **Confirm Entry:** Look for a UT Bot label or MACD Arrow in the direction of the trend.
**Settings**
Each module is separated by headers in the settings menu. You can toggle specific indicators on/off to suit your trading style and keep the chart clean.
**Credits & Attribution**
This script is a compilation of open-source logic from the TradingView community, adapted and updated to Pine Script v5/v6 for compatibility. Special thanks to the original authors for their foundational work:
* *InSilico* (Hull Logic)
* *LuxAlgo* (SMC & Liquidity Swings Logic)
* *Flux Charts* (Liquidity Grabs Logic)
* *QuantNomad* (UT Bot Logic)
* *TraderHariKrishna* (Session Logic)
**License**
This source code is subject to the terms of the Mozilla Public License 2.0 and/or Creative Commons (CC BY-NC-SA 4.0) where applicable by the original authors. This script is intended for educational and personal use.
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GeorgeFutures: ELITE Dashboard & Global Alert (C1,C2,C3)George FX : ELITE Dashboard & Global Alert
This indicator acts as your "Market Compass," providing 1-Hour (HTF) context while you execute trades on the 5-Minute (LTF) timeframe.
1. The "Master Filter" Logic (1H Calculation)
Regardless of the chart you are viewing, the script calculates three layers of data from the 1-hour timeframe in the background:
Primary Trend (EMA 200): Establishes the permitted direction. If the price is above the EMA 200, it only looks for Longs; if below, only Shorts.
Order Flow (FVG): Scans for institutional momentum. When a valid Fair Value Gap (imbalance) appears in the direction of the trend, it confirms market "strength."
Liquidity (Sweep c1, c2, c3): Identifies traps. It checks if the price has "swept" the liquidity (Low/High) of the last 3 candles on the 1H chart.
2. Visual Indicator Meaning (Status Dots & Colors)The table communicates the market state using a simplified professional color code:ElementStatusMeaningORDER FLOWBULLISH/BEARISH1H momentum is confirmed by an FVG in the direction of the EMA 200 trend.LIQUIDITYLIQUIDITY GRABA "Sweep" has occurred (liquidity was taken) within the last 3 hours.STRATEGYREADY TO TRADE All conditions are aligned. It is time to look for an entry on the 5-minute chart.
3. Unified Global Alert System
The alert is the "guardian" of your strategy:
Operation: Monitors both directions (Long and Short) with a single setup.
Trigger: You receive a notification only when the Strategy row turns READY TO TRADE.
Message: The notification clearly states the ticker (e.g., BTCUSDT) and the direction (BULLISH or BEARISH) so you don't waste time.
How to use it:
Set the Alert: While on the 5-minute chart, create an alert for George FX: ELITE Global Signal.
Wait: When the notification hits your phone, open the 5-minute chart.
Execute: Since the 1H context is perfect, you only need to find a local entry (like a Market Structure Break) on the 5m chart.
Liquidity Grab Engulfing.This indicator highlights Liquidity Sweep Engulfing candles:
• Bullish: previous candle bearish, current candle sweeps the previous low and closes above the previous high.
• Bearish: previous candle bullish, current candle sweeps the previous high and closes below the previous low.
Use it as a price-action confirmation tool alongside your support/resistance, structure, and risk management. This script is for educational purposes only and does not constitute financial advice.
Prev Daily Range Gann Box (50% Split)Previous Daily Range Gann Box (50% Split)
This indicator draws a Gann-style projection of the previous day’s range, split precisely at the 50% equilibrium level.
The upper and lower halves are shown as two separate zones with independent colors and opacity, allowing clear visualization of premium vs discount relative to yesterday’s range.
Key features
Uses previous daily high & low (no lookahead bias)
Automatic 50% midpoint with optional midline
Projects the range forward into the current session
Fully customizable colors, opacity, and borders
Works on any intraday timeframe
Designed for traders who use daily equilibrium, balance, and range expansion concepts to frame intraday bias and execution.
Disclaimer
This indicator is provided for educational and informational purposes only. It does not constitute financial advice, investment recommendations, or a solicitation to buy or sell any financial instrument. Trading involves risk, and past performance is not indicative of future results. Users are solely responsible for their trading decisions and risk management.
BK AK-HA Window🖥️ BK AK-HA Window 🖥️
All glory to G-d — the true source of wisdom, restraint, and right timing.
And every indicator I create is in AK’s honor and respect: discipline, patience, clean execution. May he rest in peace in the presence of the Almighty.
Credits & lineage
Script author: Ki11a_B
HA concept inside the window: inspired by uniGram’s GCM Heikin Ashi with Pivots (reference):
What it is
This tool is not a signal factory.
It’s a micro-window — a focused battlefield monitor that compresses Heikin Ashi structure into a clean, readable space so you can see rhythm, pivots, and participation without losing the main chart.
What it’s doing under the hood
1) Window Engine (positioning + UI)
You get two placement modes:
🔒 Lock to Last Bar (default): the window floats a fixed number of bars ahead of the last candle (clean, always visible).
Anchor Mode: uses time/price handles so you can drag it into place.
2) HA → Oscillator Conversion (clean compression)
Instead of plotting HA candles in normal price space, the script:
Finds HA range over oscLookback
Converts HA OHLC into a bounded oscillator (minLevel → maxLevel)
Then renders candles inside the window box
Result: you can compare “shape” and “turns” consistently, even as price regimes change.
3) Structure & Triggers (what matters)
Pivots: confirmed highs/lows using left/right strength
Buy/Sell flips: HA color flips (down→up = buy flip, up→down = sell flip)
Volume spikes (VROC): highlights candles when volume ROC exceeds threshold
→ you instantly see when a turn happens with force, not just shape
4) Scalper Bar (one-second bias)
A thin bar at top/bottom of window shows current HA direction.
It’s not “entry/exit.” It’s immediate regime.
How to read it like an operator
Inside the bands (between OB/OS): rotation / chop risk → don’t force trades.
Touching OB/OS zones: stretch conditions → watch for pivots + flip.
Pivot markers: structure prints → “a level was defended/failed.”
Flip markers: direction change → not a command, a change in control.
VROC highlights: participation surge → “this move has weight.”
If you only use it for one thing:
use it to tell the difference between a pretty turn and a turn with participation.
Quick start setup (clean defaults)
Keep Lock to Last Bar = ON
Put OB/OS at levels you respect (default ±12 is a good “tight lens”)
Turn on:
Zone fills
Level lines
VROC spike highlighting
Add pivots only when you’re studying structure (they can clutter fast)
Old Testament lens
“It is the glory of God to conceal a thing: but the honour of kings is to search out a matter.”
— Proverbs 25:2
The market hides motive. Price hides intent.
Your job isn’t to predict — it’s to search out the matter: structure, participation, and timing… then act with restraint.
Billion School - AI Chart AnalyserBillion School – AI Chart Analyser
Billion School – AI Chart Analyser is an advanced AI-powered market analysis tool designed to read and interpret charts in real time with a single click. It automatically analyzes SMC (Smart Money Concepts), price action, candlestick structure, liquidity zones, order blocks, Fair Value Gaps (FVG), and trading sessions, helping traders understand the market clearly without clutter or confusion.
This analyser converts complex market data into easy-to-understand insights, allowing traders to see where smart money is active, where liquidity is resting, and how price is likely to react. It works seamlessly across all markets and timeframes, making it suitable for forex, crypto, indices, commodities, and equities.
Key Capabilities
One-click AI chart analysis
Smart Money Concepts (SMC) detection
Price action & candlestick structure analysis
Liquidity zones, Order Blocks & FVG identification
Session-based market behavior (Asia, London, New York)
Works on all markets and multiple timeframes
This tool is provided for educational and trial purposes only. It does not offer guaranteed results and should not be used as financial advice. Users are encouraged to learn the logic behind the analysis and apply proper risk management before trading.
Billion School – AI Chart Analyser helps you see the market like professionals, turning complex analysis into simple, actionable clarity — all in one click.
Billion School - AI Chart AnalyserBillion School – AI Chart Analyser
Billion School – AI Chart Analyser is an advanced AI-powered market analysis tool designed to read and interpret charts in real time with a single click. It automatically analyzes SMC (Smart Money Concepts), price action, candlestick structure, liquidity zones, order blocks, Fair Value Gaps (FVG), and trading sessions, helping traders understand the market clearly without clutter or confusion.
This analyser converts complex market data into easy-to-understand insights, allowing traders to see where smart money is active, where liquidity is resting, and how price is likely to react. It works seamlessly across all markets and timeframes, making it suitable for forex, crypto, indices, commodities, and equities.
Key Capabilities
One-click AI chart analysis
Smart Money Concepts (SMC) detection
Price action & candlestick structure analysis
Liquidity zones, Order Blocks & FVG identification
Session-based market behavior (Asia, London, New York)
Works on all markets and multiple timeframes
This tool is provided for educational and trial purposes only. It does not offer guaranteed results and should not be used as financial advice. Users are encouraged to learn the logic behind the analysis and apply proper risk management before trading.
Billion School – AI Chart Analyser helps you see the market like professionals, turning complex analysis into simple, actionable clarity — all in one click.
Billion School - AI Master Strategy Billion School – AI Master Strategy is an AI-powered TradingView indicator created to help traders identify high-probability trading opportunities with better clarity and discipline. Built using advanced AI logic and refined technical models, this strategy supports traders in understanding market structure, trend direction, and momentum across multiple timeframes.
This indicator is provided strictly for trial and educational purposes. Do not use this strategy on a real trading account without proper authorization and guidance from Billion School.
During the trial period, we don’t just give signals — we teach you how to trade like this indicator. Our focus is on helping traders understand the logic behind entries, exits, and confirmations so they can trade confidently and responsibly.
What You Will Learn
How the indicator identifies market direction and trends
Clear Buy & Sell logic used by the strategy
Basics of entry, stop-loss, and target planning
How risk–reward ratios are calculated and applied
Core principles of risk management and trade discipline
This indicator does not guarantee profits and should not be considered financial advice. Trading involves risk, and losses may occur. Always trade with proper risk management and only after understanding the strategy.
Price fluctuations + yesterday's FIB replenishment + hunting tip價格波動 + 昨日FIB回補 + 獵取提示(TABLE固定角落)
Price fluctuations + yesterday's FIB replenishment + hunting tips (table fixed corner)
BTC 4H Sharpe ratio: 1.57Backtesting Data Conclusions:
Backtesting Period: March 3, 2020 – February 4, 2026
Initial Capital: 1000 USDT
Net Profit: +157,717.59 USDT (approximately +15,771.76%)
Buy & Hold Return: +9,590.26 USDT (approximately +959.03%)
→ The strategy significantly outperformed buy & hold (during the same period).
Maximum Equity Drawdown: 6,671.78 USDT (7.94%)
→ The drawdown level is relatively mild for this type of high-frequency/scalping strategy, indicating that the overall equity curve is relatively smooth.
Profit Factor: 2.083
Sharpe Ratio: 1.547
Total Trades: 1446
Win Rate: 83.75% (1211 profitable trades / 235 losing trades)
Net Profit from Long Positions: +76,605.15; Net Profit from Short Positions: +81,112.45
→ Profitable on both long and short positions, with a slightly larger contribution from short positions.
Suggested Trading Timeframe: 4H
BTC Sharpe Ratio Test: 1.5747
ETH Sharpe Ratio Test: 1.0
SOL Sharpe Ratio Test: 1.093
XRP Sharpe Ratio Test: 1.11
Suggested Leverage: 4-5x
Trading Instruments: BTC, ETH, SOL, XRP
Adaptive Market Structure StrategyAdaptive Market Structure Strategy is a rule-based trading strategy designed to participate in sustained market trends by reacting to confirmed changes in market structure rather than predicting price direction. The strategy adapts to varying volatility conditions and prioritizes capital protection through systematic risk management. It is calibrated for Gold (XAUUSD) and also works effectively on major cryptocurrencies such as Bitcoin (BTC) and Ethereum (ETH) when applied to liquid markets and appropriate timeframes.
The strategy identifies market structure using swing-based Support and Resistance derived from confirmed pivot highs and lows. Break of Structure and Change of Character events are used to detect directional shifts. Structure signals are filtered using normalized volatility to reduce false breakouts during low-energy market conditions. Structure-aligned price gaps filtered by ATR are optionally used as continuation signals.
Trend bias is controlled using SuperTrend. When enabled, trades are allowed only in the direction of the prevailing trend, reducing counter-trend exposure. Optional SuperTrend flip exits act as higher-level trend failure protection during sharp reversals.
Trade execution is controlled by multiple anti-churn mechanisms, including minimum bars between entries, maximum entries per bar, and cooldown periods after volatility-based exits. These controls are designed to limit over-trading during ranging or highly volatile conditions.
Risk management is handled using ATR-based exits. The strategy supports fixed ATR stops, trailing ATR stops, or a combination of both. Percentage-based ATR calculations are available to maintain consistency across different price levels and instruments. Optional volume-based exits close positions during abnormal participation, such as low-volume continuation failure or strong opposite-direction volume spikes. An optional take-profit lock module can secure gains once a predefined unrealized profit threshold is reached.
Session filtering is available to restrict trading to specific hours, with an optional force-close feature outside the defined session. This functionality is primarily intended for traders who prefer time-restricted exposure.
Liquidation zones are displayed for visual reference only. These zones are calculated using an assumed leverage model and do not influence trade execution or risk management.
The strategy uses a fixed position size of one contract for evaluation purposes. Commission and slippage settings are calibrated for Gold (XAUUSD). When used on Bitcoin, Ethereum, or other markets, users should adjust commission, slippage, and position sizing to reflect their broker or exchange conditions.
This strategy is designed for higher-timeframe trend participation, particularly on H1 and H4 charts. It is not intended for scalping or high-frequency trading. The system favors confirmation, adaptability, and risk control over early entries or maximum profit capture.
This script is provided for educational and research purposes only and does not constitute financial advice. Past performance does not guarantee future results.
Amd range by danAmd Range – Multi-Timeframe Volatility Breakout Scanner
Overview
Amd Range automatically detects price compression structures (Inside Bars) and alerts traders in real-time when price breaks out of the established range. The indicator monitors multiple timeframes simultaneously and can track up to 5 symbols from a single chart.
Core Methodology – What This Script Does
This indicator is based on the classic Inside Bar pattern — a volatility contraction setup where a candle's high and low are contained entirely within the previous candle's range.
Detection Logic:
Master Bar Identification: On each bar close, the script checks if the current candle qualifies as an Inside Bar:
Current High < Previous High
Current Low > Previous Low
When this condition is true, the previous candle becomes the "Master Bar", and its high/low levels define the active range.
Real-Time Breakout Detection: Once a range is established, the indicator monitors every tick (not just bar closes) for a breakout:
Bullish Breakout: Current price exceeds the Master Bar High → triggers BUY signal
Bearish Breakout: Current price drops below the Master Bar Low → triggers SELL signal
One-Shot Alert System: Each range produces exactly one alert. Once broken, the range is deactivated and no further alerts fire until a new Inside Bar forms and subsequently breaks.
Multi-Timeframe Scanning
The indicator uses request.security() to scan six higher timeframes simultaneously:
M30, H1, H2, H4, H8, H12
Each timeframe maintains independent state tracking, so a breakout on H4 does not affect H1 detection.
Dashboard Display
The built-in table displays real-time status for each symbol/timeframe combination:
RNG (Gray): Active range – volatility contraction in progress
BUY (Green): Bullish breakout detected
SELL (Red): Bearish breakout detected
- (Dark): No active pattern
How to Use
Add the indicator to any chart
Configure symbols in the "Extra Symbols" input group to monitor additional assets
Enable/disable timeframes in the "Timeframe Alerts" input group
Create a TradingView alert with the condition "Any alert() function call"
Trade the breakout — BUY signals indicate price has cleared resistance; SELL signals indicate price has broken support
Inputs
Show Range Lines: Toggle horizontal lines marking Master Bar high/low
Show BUY/SELL Labels: Toggle visual labels at breakout points
Show Dashboard Table: Toggle the multi-symbol status table
Range Line Color: Customize line color
Timeframe Toggles (M30–H12): Enable/disable alerts per timeframe
Symbol 1–4: Additional symbols to monitor
Important Notes
Alerts fire immediately on breakout (no waiting for candle close)
Only one alert per range – no repeat signals
Designed for forex, crypto, and futures markets
Works on all standard chart types
Farjeat Perfect Buy/SeelEntradas y salidas perfectas en compras y ventas, úsalas para mejorar tu efectividad.
Ai Trading Entry ALGO Diamond by KBStill guessing entries? Still buying tops or selling bottoms and watching price move against you immediately? That’s not bad luck — that’s bad timing. And this script is built to fix exactly that.
Most traders lose because they don’t know when to enter. They chase candles, rely on lagging indicators, or trade pure emotion. This indicator removes the guesswork by doing the heavy lifting for you — identifying when momentum is real, when volume confirms the move, and when price is actually ready to break or reverse.
Built around a proven ATR-based trailing stop, this script first defines market direction, then waits for EMA 9 / EMA 21 trend alignment, volume expansion, and price-based confirmation before printing a signal. No random arrows. No hindsight indicators. No repainting tricks. Just clear, rule-based buy and sell signals designed to keep you on the right side of the move.
Fast market drops — like violent NQ and ES opens — don’t get ignored. A built-in strong-move override detects aggressive momentum so you’re not left watching the move after it already happened.
With optimized presets for NQ, ES, Gold, and Crypto, this single script adapts across markets and conditions — whether you scalp or trade intraday. The goal is simple: fewer trades, better entries, less emotional damage, and more consistency.
If you’re tired of second-guessing every click, sick of entering trades that instantly go red, and ready to stop trading on hope — this is the tool you’ve been missing.



















