RJ's 80-20 Rule# RJ's 80-20 Rule
## Overview
RJ's 80-20 Rule automatically draws horizontal lines at the nearest 20, 80, 50, and 00 handle levels. These psychological levels often act as support/resistance zones. **Use in confluence with other trade triggers - not as a standalone signal.**
## Key Features
- **Auto-Detection**: Finds nearest handle levels based on current price
- **Customizable**: Colours, styles, labels, and display options
- **Multiple Levels**: Support for 20, 80, 50, and 00 handles
- **Clean Display**: Horizontal lines with optional price labels
## Trading Use
- **Support/Resistance**: Use levels as potential reversal zones
- **Risk Management**: Place stops beyond key handle levels
- **Confluence**: Combine with other indicators for confirmation
- **Market Structure**: Identify key psychological barriers
## Settings
- Toggle individual handle types (20, 80, 50, 00)
- Customize line colours, width, and style
- Adjust label display and positioning
- Control line extension and length
## ⚠️ Important
This indicator should **NOT** be used alone. Always combine with other trade triggers for confirmation. Handle levels provide context but require additional signals for entry decisions.
## Disclaimer
Educational tool only. Use proper risk management. Honors the trading methodology of mentor Richard Jackson. Past performance does not guarantee future results.
---
**Created with ❤️ to honour Richard Jackson's trading wisdom**
Educational
GOLDGOGOSIG - 1 Min MA CrossoverWhy Use the "GOLDGoalGO" Indicator?
Are you looking for a reliable tool to enhance your gold trading strategy?
Introducing "GOLDGoalGO", a smart and easy-to-use indicator specifically designed to help traders make informed decisions in the gold market.
What Makes "GOLDGoalGO" Stand Out?
* Tailored for Gold (XAUUSD):
Specially optimized to detect crucial trend changes in gold prices, offering you timely signals to buy or sell.
* Precise Entry Points:
Uses smart moving average crossovers to identify the best moments for entry and exit, reducing guessing and improving profitability.
* Real-Time Alerts:
Get instant notifications when buy or sell signals occur—whether you're at your desk or on the go. Never miss a critical trading opportunity again!
* Easy to Use:
Clear visual signals on your chart show exactly when the market is favorable, perfect for both beginners and experienced traders.
* Ideal for Short-Term Trading:
Designed to generate signals on 1-minute charts, helping you capitalize on quick market movements in the fast-paced gold market.
Why Trader's Love It:
* Increase Confidence:
Making trade decisions becomes easier with accurate signals specific to gold trends.
* Save Time:
Automate your analysis—spend less time guessing and more time trading confidently.
* Maximize Profits:
Spot those crucial moments when the price movement is about to turn, giving you a competitive edge.
Start Using "GOLDGoalGO" Today!
Whether you're looking to refine your short-term trading strategy or want a trustworthy tool to guide your trades in gold markets, "GOLDGoalGO" is the perfect addition to your trading arsenal. Try it now and watch your trading confidence and results improve!
GOLDGOGOSIG - 1 Min MA CrossoverGOLDGOGOSIG
Why Use the "GOLDGoalGO" Indicator?
Are you looking for a reliable tool to enhance your gold trading strategy?
Introducing "GOLDGoalGO", a smart and easy-to-use indicator specifically designed to help traders make informed decisions in the gold market.
What Makes "GOLDGoalGO" Stand Out?
* Tailored for Gold (XAUUSD):
Specially optimized to detect crucial trend changes in gold prices, offering you timely signals to buy or sell.
* Precise Entry Points:
Uses smart moving average crossovers to identify the best moments for entry and exit, reducing guessing and improving profitability.
* Real-Time Alerts:
Get instant notifications when buy or sell signals occur—whether you're at your desk or on the go. Never miss a critical trading opportunity again!
* Easy to Use:
Clear visual signals on your chart show exactly when the market is favorable, perfect for both beginners and experienced traders.
* Ideal for Short-Term Trading:
Designed to generate signals on 1-minute charts, helping you capitalize on quick market movements in the fast-paced gold market.
Why Trader's Love It:
* Increase Confidence:
Making trade decisions becomes easier with accurate signals specific to gold trends.
* Save Time:
Automate your analysis—spend less time guessing and more time trading confidently.
* Maximize Profits:
Spot those crucial moments when the price movement is about to turn, giving you a competitive edge.
Start Using "GOLDGoalGO" Today!
Whether you're looking to refine your short-term trading strategy or want a trustworthy tool to guide your trades in gold markets, "GOLDGoalGO" is the perfect addition to your trading arsenal. Try it now and watch your trading confidence and results improve!
BTC Bullrider by Traddy🟦 How to Use BTC Bullrider
🔄 Works on 4H timeframe, best outcome with Bybit or Binance Chart
✅ Enter a Long when a blue triangle appears on the chart — this is your buy signal.
🟣 Exit the trade immediately when a purple triangle appears — this is your exit signal.
🛡️ Always use a fixed stop-loss of 4% from your entry price.
⚙️ You can test different leverage values and equity allocations in the strategy settings to simulate your risk appetite.
📈 BTC Bullrider — Easy & Profitable Bitcoin-Only Strategy
BTC Bullrider is a powerful, Bitcoin-exclusive trading strategy created for traders who want to ride bullish momentum with precision — without the noise and guesswork. Whether you're a beginner or a pro, this strategy gives you clear long-only signals and robust exit logic to stay on the profitable side of Bitcoin trends.
🧠 How It Works – Behind the Scenes
BTC Bullrider is powered by two core engines that work in parallel:
🔁 1. Mean Reversion Engine
Designed to buy strong dips in uptrends using volume and RSI signals.
✅ Dynamic VWAP thresholds identify undervalued zones.
✅ Smoothed RSI (2) spots short-term oversold opportunities.
✅ ADX Filter confirms if the market is trending.
✅ Trailing ATR Stop + Fixed 4% SL for smart risk protection.
When all conditions align, a long position is opened.
🚀 2. Trend Hunter Engine
Built to catch powerful breakouts based on trend slope and volume.
✅ Custom Ichimoku-style lead lines detect trend acceleration.
✅ TSV Volume Spike and BB expansion confirm momentum bursts.
✅ VIDYA + ADX ensure entries only occur during strong uptrends.
Entries are triggered when momentum is aligned and price breaks resistance.
⚙️ Features
🎯 Visual Buy/Sell Alerts with blue and purple triangles.
📅 Date range filtering for accurate backtests.
📊 Adjustable leverage & equity % inputs.
🔄 Works on 4H timeframe
📈 Long-only for trend-following Bitcoin strategies.
BTC Bullrider simplifies Bitcoin trading into clear, rules-based decisions — built to reduce emotional trading and help you stay aligned with the market’s true trend.
Enter strong. Exit smart. Ride the bull. 🐂
Time-Cycle Strategy•Native cryptocurrency and tokens share common periodic patterns.
•Stablecoins have distinct intraday and intraweek dynamics.
•The returns on stablecoins are uncorrelated with other cryptocurrencies.
•Tokens contribute more to the risk on cryptocurrency market than other coins.
•The betas in functional CAPM of cryptocurrency are periodic functions.
80% Rule BacktestStrategy Overview: 80% Rule Backtest Tool
This strategy tester is designed to validate the classic 80% Rule setup within a defined ETH futures session. Signals are triggered when price reenters the prior day's value area and holds for a qualified duration — targeting the Point of Control (POC) for primary exits, while tracking full value area traversals for research purposes.
- 📅 Session Logic: Anchored to a true 22-hour ETH futures window (5PM–3PM Pacific), with global time zone support
- 🧠 Signal Confirmation: Price must reenter and hold inside value area for ≥ 45 minutes to validate entry
Note: Optimized for 15-minute charts — aligns exactly with traditional rule definition (3-bar hold)
- 🎯 Targets: Primary TP at POC; visual logs for full VAH/VAL reach
- 🔍 Manual Override Mode: Precise SVP-level control when auto logic isn’t preferred
- 🔧 Debug Mode: Single-bar diagnostic labels for development and forward testing
This tool supports both auto-calculated and manually anchored value areas, allowing traders to blend systematic backtesting with discretionary insight.
working on this tool to be used as a strategy tester
Precision PulseImportant Notes:
• ✅ Optimized for 2-minute Heikin Ashi charts
• ✅ Designed specifically for Nasdaq Futures (NQ)
• ❌ Ignore backtest results on regular candles or other timeframes – this strategy is precision-tuned for Heikin Ashi structure
• 🕒 Session timing matters – the entry logic is sensitive to trading time windows, which you can adjust under Session Settings
• 🎯 Make sure to position the strategy in the right market context
Adam Mancini ES Game Plan LevelsThis script plot support and resistance levels. It also allows to input text for each level. The format needs to be levels separated by a comma. If you want to input text then use : after level.
6285 (major), 6277, 6272-69 (major): Unique Text Display, 6260
I am using this to display Adam Mancini Levels for emini Futures.
CQ_MTF Target Price Lines [BITCOIN HOY]Comprehensive Indicator Script Overview
Intraday, Four Hour, Daily, and Weekly Price Target Lines—A Versatile Tool for Traders
Welcome to a powerful and flexible indicator script designed to enhance your trading experience across multiple timeframes. This script empowers users to interactively set, visualize, and manage price targets, entries, and objectives for both short-term and long-term trading strategies. Whether you are a day trader seeking to mark crucial intraday levels or a long-term investor planning strategic entries, this tool offers an all-encompassing solution.
Key Features
• Multi-Time Frame Price Target Lines: Effortlessly input and display calculated price targets for Intraday, Four Hour, Daily, and Weekly periods, ensuring you always have a clear view of the market objectives at every scale.
• X-Axis Price Control: Set precise x-axis price points for each timeframe, granting you granular control over how and where your target lines appear on the chart.
• Weekly Price Objectives: Enter your calculated price objectives for the current week to remain aligned with your trading plan and adapt to evolving market conditions.
• Long-Term Investment Entry Events: Document and display significant entry events for long-term investments, helping you maintain a strategic perspective while navigating short-term fluctuations.
• Long-Term Price Objectives: Input and track price objectives for your long-term trades, supporting your investment decisions with clearly visualized milestones.
• Customizable Labels and Lines: Each price target is accompanied by clearly labeled lines, making it easy to distinguish between timeframes and targets at a glance.
Optional Price Gauge for Intraday Dynamics
For users who wish to monitor real-time market sentiment, the script includes an optional price gauge. This dynamic feature tracks intraday price movement, providing visual cues to quickly assess whether the prevailing tendency is bullish or bearish. The intuitive gauge aids in confirming your intraday strategies or alerting you to potential reversals.
User Experience and Customization
• Interactive Inputs: All key parameters—price targets, x-axis prices, entry events, and objectives—are entered manually by the user. This approach ensures the script adapts to your personal analysis and trading methodology.
• Easy Visualization: The clear display of lines, labels, and the optional gauge streamlines your chart, making it easier to make informed decisions at a glance.
• Flexible Application: Whether you’re trading short-term swings or building positions for the long haul, the indicator integrates seamlessly into your workflow.
How to Use
• Input your calculated price targets for each timeframe (Intraday, Four Hour, Daily, and Weekly).
• Specify the exact x-axis price points where you’d like the lines to appear for each timeframe.
• For the current week, enter your weekly price objectives for quick reference and planning.
• If you’re a long-term investor, document your key entry events and set long-term price objectives to track their progression.
• To monitor current market momentum, activate the price gauge and follow the visual cues for bullish or bearish trends.
Benefits
• Comprehensive Market Overview: Simultaneously track multiple timeframes and objectives, keeping all critical information at your fingertips.
• Improved Decision Making: Visual clarity and strategic labeling support faster, more confident trading decisions.
• Customizable and Adaptable: Tailor the script to your unique trading style and analytical approach.
Enjoy using the indicator, and happy trading! Let this versatile tool be your companion in navigating the ever-changing tides of the market.
Macro Forecaster DEMO Macro Forecaster v4.6c (DEMO)
A multi-factor macroeconomic regime indicator designed to help traders and investors interpret economic momentum directly from the chart.
Still in DEMO phase – experimental model, not investment advice.
📌 What It Does
The Macro Forecaster v4.6c pulls real-time macroeconomic data from the FRED and ECONOMICS databases and blends it into an intelligent, color-coded model that helps visualize the current macro regime — expansion, contraction, or transition.
It integrates:
Leading indicators like Yield Curve, M2 growth, Fed rate changes, Term Premium, PMI, and Retail Sales
Lagging indicators such as CPI inflation and Unemployment Rate
Macro posture levels like current Fed Funds Rate, PMI level, and Unemployment
Rate Stability: Weeks since the last Fed rate change – a unique "volatility risk" gauge
All components are normalized and displayed as composite scores on a 0–100 scale, making macro analysis visual, intuitive, and actionable.
🔍 Key Outputs
Leading Score (%): Forward-looking macro delta composite
Lagging Score (%): Rear-view inflation/labor signal
Overall Regime Score (%): Combined delta-based model
Macro Posture (%): Level-based economic posture
Blend Score: Final regime strength (average of delta + posture)
Rate Stability: Measures macro calm vs panic potential
Expansion 🚀 / Contraction 🔻 signals: Based on macro trend + price action alignment
🧪 DEMO NOTICE
This version is a DEMO / prototype. It is still being tested for reliability, optimal weighting, and behavioral thresholds.
Future updates will:
Add dynamic toggles for each macro series
Allow user-defined weights
Improve expansion/contraction thresholds
Introduce volatility-based coloring logic
Possibly integrate bond curve inversion models and liquidity triggers
📊 Best Use Cases
Spotting macro regime shifts before they hit the headlines
Identifying when macro and price are in sync
Filtering trades during high-risk macro phases (e.g., unstable rate environments)
Visualizing growth/liquidity conditions for crypto, stocks, and FX
⚠️ Disclaimer
This is an educational and experimental tool.
It does not constitute financial advice.
Please use alongside other tools and your own research.
Data sources like FRED can lag or be revised.
💬 Feedback Welcome
If you have improvement ideas, feature requests, or want to collaborate on macro models, drop a comment below!
Special thanks to @ChifoiCristian, whos teachings inspired me to create this indicator.
QuantPulse Oscillator by WaliQuantPulse Oscillator by Wali – Description
The QuantPulse Oscillator is a precision-built tool that helps traders assess trend quality, momentum shifts, and potential reversals using a multi-layered confirmation approach. It condenses various technical signals into a single line, making market analysis more structured and less noisy.
It’s designed for those who want a clear understanding of when a trend is gaining strength, weakening, or potentially reversing — without relying on multiple conflicting indicators.
What it does
QuantPulse analyzes several key market behaviors:
1. Momentum acceleration and deceleration, helping determine whether a price move has conviction or is losing strength
2. Volume behavior and market pressure, to validate whether buyers or sellers are in control
3. Price structure shifts, such as when a trend breaks or transitions from one phase to another
4. Volatility conditions, filtering sideways or weak markets from strong directional moves
5. Pattern recognition, including breakout formations, trend exhaustion signs, and reversal conditions
6. Trend validation, detecting whether current price movement aligns with prevailing longer-term direction
All these factors are processed into a single dynamic oscillator line, which shifts smoothly based on the strength and direction of confirmation.
How to use it
1. When the line moves strongly upward above a defined threshold, it suggests building bullish pressure backed by multiple confirmations
2. When the line drops sharply below a certain level, it indicates strong bearish momentum
3. Neutral or flat behavior reflects either a consolidation phase, market indecision, or low-confidence signals
4. Changes in the slope of the line — particularly when emerging from neutral territory — can offer early signals of possible trend reversals
5. The visual design and color dynamics of the oscillator make these changes easy to interpret in real time.
Who it’s for
QuantPulse is useful for:
1. Traders who rely on multi-factor confirmation before entering positions
2. Swing and intraday traders looking for high-confidence setups
3. Market participants seeking a simplified view of complex technical dynamics
4. Analysts who prefer structured signal interpretation over reactive trading
5. It works across various asset classes, including cryptocurrencies, equities, and forex.
What problems it solves:
This oscillator helps solve common trading challenges:
1. Reduces the need to monitor multiple conflicting indicators
2. Filters out noise by focusing only on conditions where multiple technical signals align
3. Offers a smoother, more stable view of market behavior during volatile sessions
4. Helps traders spot the difference between short-term reactions and meaningful shifts in trend
5. By providing a consistent interpretation of price momentum and structure, it supports more disciplined decision-making and better risk management.
Notes:
Best used alongside key price zones, chart structure, or existing support/resistance analysis
Adaptable to all timeframes depending on strategy type
This tool is meant to guide analysis, not generate standalone buy/sell signals
(1D BTCUSD) chart is attached.
Created by:
Wali Mohsin Channa
TradingView Username: @WaliMohsin
This script is intended for analytical use and educational purposes only. It does not constitute financial advice.
All in OneThis Indicator plots a previous day high and low on chart, two ema and one vwap, add also one position size calculator, works with cash and crypto, it will track the current candle by default, an offset value has to be entered to calculate previous candle position size
M2 Global G13 Liquidity (Custom & Shift, US DXY Adj.)🌎 M2 Global G13 Liquidity index (Custom & Shift, US DXY Adj.)
💡 Indicator Overview
The M2 Global G13 Liquidity indicator combines the M2 liquidity of 13 major countries, allowing users to selectively include or exclude each country to visualize global capital flows and potential investment liquidity at a glance.
Each country's M2 data is converted to USD using real-time exchange rates, and the US M2 is further adjusted using the Dollar Index (DXY) to reflect the impact of dollar strength or weakness on US liquidity.
✅ What is M2?
M2 is a broad measure of money supply that includes cash, demand deposits, savings deposits, and certain financial products.
It represents a country's overall liquidity and capital supply and is often interpreted as "dry powder" ready to be deployed into various assets such as equities, real estate, and bonds.
Therefore, M2 serves as a crucial benchmark for assessing a country's potential investment capacity that can flow into markets at any time.
💰 Exchange Rate & Dollar Index Adjustment
- All country M2 data is converted from local currencies to USD.
- The US M2 is further adjusted using the Dollar Index (DXY) to better reflect its real global power:
- DXY > 100 → Liquidity contraction (strong dollar effect)
- DXY < 100 → Liquidity expansion (weak dollar effect)
🗺️ Country Selection Options
- Default selection: United States
- Major selections: China, Eurozone, Japan, United Kingdom (core G5 economies)
- Additional selections: Switzerland, Canada, India, Russia, Brazil, South Korea, Mexico, South Africa
- Users can freely add or remove countries to customize the indicator to match their analytical needs.
📈 Example Use Cases
- Monitor global capital flows: Track worldwide liquidity trends and detect potential market risk signals.
- Analyze exchange rate and monetary policy trends: Compare dollar strength with major central bank policies.
- Benchmark against equity indices: Evaluate correlations with MSCI World, KOSPI, NASDAQ, etc.
- Valuation analysis: Compare overall liquidity levels to equity index prices or market capitalization to assess relative valuation and identify potential overvaluation or undervaluation.
- Crisis response strategy: Identify liquidity contraction during global credit crises or deleveraging phases.
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🌎 M2 글로벌 G13 유동성 지수 (Custom & Shift, US DXY Adj.)
💡 지표 소개
M2 Global G13 Liquidity 지표는 세계 13개 주요국의 M2 유동성을 선택적으로 결합하여, 글로벌 자금 흐름과 잠재 투자 자금을 한눈에 시각화할 수 있도록 설계된 종합 유동성 지표입니다.
국가별 M2 데이터를 환율과 결합해 달러 기준으로 표준화하며, 특히 미국 M2는 달러지수(DXY)로 보정하여 달러 강약에 따른 파급력을 반영합니다.
✅ M2란?
M2는 광의 통화지표로, 현금 + 요구불 예금 + 저축성 예금 + 일부 금융상품을 포함합니다.
이는 한 국가의 유동성 수준과 자금 공급 상태를 나타내는 핵심 거시경제 지표이며, **주식·부동산·채권 등 다양한 자산에 투자될 준비가 된 '대기자금'**으로도 해석됩니다.
따라서 M2는 투자시장으로 언제든지 흘러들어갈 수 있는 잠재적 투자 역량을 평가할 때 중요한 기준입니다.
💰 환율 및 달러지수 보정
- 모든 국가 M2는 자국 통화에서 **달러(USD)**로 환산됩니다.
- 특히 미국 M2는 달러 가치의 글로벌 실질 파워를 평가하기 위해 DXY 보정을 적용합니다.
- DXY > 100 → 유동성 축소 (강달러 효과)
- DXY < 100 → 유동성 확대 (약달러 효과)
🗺️ 국가별 선택 옵션
- 기본 선택: 미국
- 주요 선택: 중국, 유로존, 일본, 영국 (주요 G5)
- 추가 선택: 스위스, 캐나다, 인도, 러시아, 브라질, 한국, 멕시코, 남아공
- 사용자는 각 국가를 자유롭게 더하거나 빼면서 커스터마이즈할 수 있습니다.
📈 활용 예시
- 글로벌 자금 흐름 모니터링: 전세계 유동성 추세 및 시장 리스크 신호 분석
- 환율/금리 정책 분석: 달러 강약과 주요국 정책 변화 비교
- 주가지수 벤치마크 비교: MSCI World, 코스피, 나스닥 등과 상관관계 확인
- 밸류에이션 분석: 전체 유동성 수준을 주가지수나 시가총액과 비교하여, 시장의 상대적 고평가·저평가 여부를 평가
- 위기 대응 전략: 글로벌 신용위기·자금 긴축 국면 대비
Spartan Trading Swing High Low Mapper 1.0Spartan Trading Swing High Low Mapper 1.0
is a clean and structured framework designed to visualize swing highs and lows effectively. It assists traders in accurately identifying swing points, key Change of Character (CH) zones, and breakers. The tool also highlights "X" points and inducements within the major market structure, making it especially valuable for recognizing higher timeframe swings while analyzing lower timeframe charts.
Built for repeatability, the model enhances trader confidence by fostering familiarity rather than complexity.
This non-repainting tool is carefully engineered to mark completed market rotations, offering clarity without distortion. It provides flexibility across various assets and timeframes, allowing traders to customize their view while maintaining a consistent and reliable structure.
Swing high formation
For a swing high to form, the high of Candle 1 must break above the high of Candle 2,
and the low of Candle 2 must break below the low of Candle 3
Swing low formation
For a swing low to form, the low of Candle 1 must break below the low of Candle 2, and the high of Candle 2 must break above the high of Candle 3
Time frame alignment
This indicator will show higher time frame swing when you are in the lower time frame
for example if your are in 5min time frame it will auto plot 1h swing aswell it helps the traders when actually htf's are doing.
Monthly - daily
weekly-4h
daily -1h
4h-15m
1h-5min
15-1min
Terms and Conditions
Our charting tools are products provided for informational and educational purposes only and do not constitute financial, investment, or trading advice. Our charting tools are not designed to predict market movements or provide specific recommendations. Users should be aware that past performance is not indicative of future results and should not be relied upon for making financial decisions. By using our charting tools, the purchaser agrees that the seller and the creator are not responsible for any decisions made based on the information provided by these charting tools. The purchaser assumes full responsibility and liability for any actions taken and the consequences thereof, including any loss of money or investments that may occur as a result of using these products. Hence, by purchasing these charting tools, the customer accepts and acknowledges that the seller and the creator are not liable nor responsible for any unwanted outcome that arises from the development, the sale, or the use of these products. Finally, the purchaser indemnifies the seller from any and all liability. If the purchaser was invited through the Friends and Family Program, they acknowledge that the provided discount code only applies to the first initial purchase of the spartantradingacademy Premium Suite subscription. The purchaser is therefore responsible for cancelling – or requesting to cancel – their subscription in the event that they do not wish to continue using the product at full retail price. If the purchaser no longer wishes to use the products, they must unsubscribe from the membership service, if applicable. We hold no reimbursement, refund, or chargeback policy. Once these Terms and Conditions are accepted by the Customer, before purchase, no reimbursements, refunds or chargebacks will be provided under any circumstances.
By continuing to use these charting tools, the user acknowledges and agrees to the Terms and Conditions outlined in this legal disclaimer.
BTC 15m Range Breakout Strategy
This is a **BTC 15-minute Range Breakout Strategy** designed for Most Simple Bitcoin Trading Strategy | Bitcoin Trading Strategy | Theta Gainers
Here's a brief overview:
## Strategy Overview
**Core Concept**: The strategy identifies a narrow 15-minute range during low volatility and trades breakouts from that range.
**Key Components**:
- **Range Definition**: Creates a price range based on the high/low between 19:15-19:30 IST (Indian Standard Time)
- **Trading Session**: Operates from 19:00 to 05:30 IST (covers both Asian and early European sessions)
- **Entry Signals**:
- **Long**: When price breaks above the range high
- **Short**: When price breaks below the range low
- **Risk Management**: Uses the opposite range boundary as stop loss with a customizable risk-reward ratio (default 2:1)
**Logic**: This targets the common pattern where Bitcoin consolidates during low-volume periods, then breaks out with momentum as major trading sessions begin. The 19:15-19:30 IST window likely captures a quiet period before increased activity.
**Features**:
- Visual range box display
- Automatic alerts for entries/exits
- Session-based position management
- Only one position per session
- Positions close automatically at session end
The strategy is designed for systematic breakout trading with clear risk parameters and automated execution.
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Ready to Elevate Your Trading? Explore many strategies
for traders who seek to refine their edge further to amplify consistency precision and more importantly greately minimising losses. 🚀
Visit lyrobtics.in
Contact: lyrobtics@gmail.com
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OBV Vortex BreakoutThis Indicator Takes bullish Signal from 3 indicators namely: OBV, Vortex & ChopZone. it may generate fake signals so take decision according to your startegy.
GMP - Choch/BOS,FVG & PivotsGMP M5 Sniper Entry Execution – Smart Money Confirmations Tool
This indicator is designed for the GMP Method’s Entry Execution layer on the 5-minute timeframe. It helps traders spot high-precision entries aligned with smart money concepts and multi-timeframe bias.
Key Features:
Marks internal M5 Break of Structure (BOS) levels to confirm directional shift
Highlights Order Blocks (OB) and Fair Value Gaps (FVG) for sniper retracement entries
Auto-labels potential retest and mitigation zones
Clean visual cues for liquidity sweeps and trap setups
Aligned with GMP’s top-down approach (H1 directional bias, M15 POI, M5 execution)
Designed for scalpers and intraday traders seeking refined entry precision
Best Use Case:
Use this tool as your final confirmation layer after H1 bias mapping and M15 POI identification. Wait for M5 BOS plus OB/FVG setups before executing trades to increase confluence and reduce false entries.
Important:
This indicator is not a signal service. It is an advanced analysis tool to support discretionary execution within a structured trading plan.
GMP H1 Trend Line IdentifierGMP H1 Trendline Automation – Precision Bias Mapping Tool
This indicator automates high timeframe trendline drawing on the 1-hour chart to support directional bias and destination mapping in the GMP Method.
Key Features:
Accurately identifies and draws trendlines based on price structure without breaking random candles
Connects meaningful swing highs and lows in line with market direction
Filters noise to avoid messy or invalid trendline connections
Helps traders define bullish or bearish bias zones clearly
Supports top-down analysis by establishing a reliable framework for lower timeframe setups (M15 POI, M5 entries)
Best Use Case:
Use this indicator as your first step in the GMP trading flow to set directional bias and target mapping. Let it automatically detect valid trendlines so you can focus on planning clean, high-probability trades.
Note:
This tool is designed for discretionary traders who want objective, repeatable trendline analysis without subjective guesswork.
GMP - Order Block DetectorGMP M15 Impulsive Order Block Detector – Institutional Zone Finder
This indicator is designed to help traders automatically detect high-probability Impulsive Order Blocks (OB) on the 15-minute timeframe, following the footprint of institutional moves and enhancing GMP Method precision.
Key Features:
Identifies strong, impulsive OBs that mark institutional buying and selling zones
Filters out weak or sideways zones for cleaner, more actionable setups
Highlights potential POIs (Points of Interest) that align with the higher timeframe directional bias (H1)
Supports target zone planning with visual OB levels for retest or mitigation entries
Designed to help traders avoid retail traps and false breakouts by tracking true momentum origins
Best Use Case:
In the GMP Method, the M15 timeframe is the Dynamic POI Identification layer. After defining the H1 bias and destination targets with the Trendline Automation tool, use this M15 indicator to automatically locate valid institutional OBs and FVGs. These zones become your mapped POIs to watch for entries on the M5 execution layer.
Trading Flow Example:
✅ H1 – Map directional bias and destination with trendlines
✅ M15 – Identify valid impulsive OBs with this indicator to mark target POIs
✅ M5 – Wait for internal BOS and sniper entries at these POIs
Note:
This indicator is not a signal service. It’s an analysis tool for discretionary traders who want to replicate institutional-style mapping and improve consistency in identifying high-quality trading zones.
GMP CHoCH & BOS with MTF StatusGMP M15 Status Overlay – Higher Timeframe Context Anywhere
This tool is designed to keep you aligned with your M15 trading plan even when you drop to execution timeframes like M5. It shows the current M15 bias and POI status on any chart timeframe, making sure you never lose track of your top-down analysis.
Key Features:
Displays M15 bias (bullish/bearish/neutral) in real time on any timeframe
Highlights active M15 POI zones or impulsive OB levels
Allows traders to monitor M15 direction even when refining entries on M5
Clean, minimal overlay for easy integration with any chart setup
Supports disciplined GMP Method execution by enforcing bias adherence
Best Use Case:
The GMP Method relies on structured top-down analysis:
✅ H1 – Directional bias and target mapping
✅ M15 – Dynamic POI Identification with OB/FVG mapping
✅ M5 – Sniper Entry Execution
When you’re on M5 for precision entries, this M15 Status Overlay ensures you remain aware of your M15 roadmap. It helps prevent counter-bias trades and reinforces confluence by keeping the higher timeframe plan always in sight.
Note:
This is not a signal or entry tool. It is a discipline aid to maintain alignment with your trading system and avoid emotional or impulsive entries against your mapped M15 strategy.
TradingWeapon#pure price action
#custom candlestick
#custom location
#support resistance
#liquidity
#best strategy
#without using any types of mathematical lagging indicator