Recommendation Indicatorالوصف بالعربية
استراتيجية تداول مبنية على ٦ مؤشرات تأكيدية لرصد حركة السوق واتجاهه.
تعتمد على عدّ الشموع الصاعدة والهابطة المتتالية كعامل أساسي، وتدمج معها مؤشرات إضافية للتأكيد.
عند توافق المؤشرات معًا، يتم توليد إشارة شراء (BUY) أو بيع (SELL) واضحة على الرسم البياني.
هذا يعزز دقة الإشارات ويقلل من التذبذبات أو الإشارات الكاذبة، مما يجعلها مناسبة للمتداولين الباحثين عن قوة الاتجاه وتأكيده قبل الدخول في الصفقة.
🔎 ملاحظات الاستخدام
الاستراتيجية تحتوي على ٦ أدوات تأكيد مجتمعة لضمان إشارات أدق.
يُفضل استخدامها مع اختبار رجعي (Backtesting) قبل التداول الفعلي.
يمكن تعديل إعدادات المؤشرات لتناسب السوق أو الإطار الزمني المستخدم.
لا تعتبر توصية مالية مباشرة، وإنما أداة تعليمية وتجريبية.
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📌 Description in English
A trading strategy built on 6 confirmation indicators to track market movements and trends.
It uses consecutive up and down bars as the core logic, combined with additional indicators for confirmation.
When all confirmations align, the strategy generates clear BUY or SELL signals on the chart.
This approach improves signal accuracy, reduces noise, and helps traders confirm market direction before entering a trade.
🔎 Usage Notes
The strategy incorporates 6 confirmation tools working together for higher accuracy.
Backtesting is recommended before applying it to live trading.
Indicator parameters can be adjusted to fit different markets and timeframes.
This is not financial advice, but an educational and experimental tool.
Cari dalam skrip untuk "Buy sell"
SMC - Complete AnalysisMC COMPLETE TRADING SYSTEM
📊 OVERVIEW
Professional Smart Money Concepts indicator with automated BUY/SELL signals, Entry/SL/TP prices, and 4-level market analysis for disciplined trading.
🎯 MAIN FEATURES
🟢 BUY/🔴 SELL Signals - Clear entry signals with exact prices
📍 ENTRY/SL/TP - Automated price calculations
🎪 Discipline Mode - High-probability setups only
⚡ Confluence Scoring - 6-factor signal validation
🏗️ 4 ANALYSIS LEVELS
Level 1: Market Structure
BOS/CHoCH/MSS detection
Displacement & Range analysis
Internal structure mapping
Level 2: Time-Based
Kill Zones (Asian/London/NY)
Session tracking
Daily/Weekly levels
Level 3: Entry & Risk
Smart entry triggers
Auto risk calculator
Target projections
Level 4: Advanced Analytics
Auto Fibonacci levels
Trend line detection
Smart money flow analysis
Strength meter
⚙️ SETTINGS
Default (Relaxed for more signals):
Minimum Confluence: 3/6
Kill Zone Required: OFF
Strength Bias Required: OFF
Risk per Trade: 2%
Risk:Reward: 3:1
📈 RECOMMENDED PAIRS
EURUSD (Beginners)
GBPUSD (Experienced)
XAUUSD (Best SMC signals)
EURJPY (Good structure)
⏰ BEST TIMEFRAMES
H1 - Recommended balance
H4 - High quality signals
M30 - More frequent signals
🎯 TRADING RULES
Trade ONLY on BUY/SELL signals
Use exact ENTRY/SL/TP prices
Set orders immediately
Wait for SL HIT or TP HIT
No modifications allowed
🔒 DISCIPLINE MODE
Shows signals only when confluence ≥3/6
All other features hidden by default
Simple status table
Forces disciplined trading
💡 USAGE
Wait for BUY or SELL signal
Note ENTRY/SL/TP prices
Execute trade exactly as shown
Hold until exit signal
Repeat
⚠️ IMPORTANT
No signal = No trading
2% risk maximum per trade
London/NY sessions preferred
Patience is key to success
🚀 Professional SMC system for consistent profitability through disciplined trading!
Body & Volume-Based Buy/Sell Signals (5min 1.5M Vol)Only for 5 min and Volume 1.5M
Conditions (Summarized)
🔹 BUY Signal
Previous candle is red: close < open
Current candle is green: close > open
Previous candle body is smaller than current:
abs(close - open ) < abs(close - open)
Previous candle body size ≥ 10 points
Both candles' volume ≥ minVolume (default: 2,000,000)
➜ Plot BUY below green candle
🔸 SELL Signal
Previous candle is green: close > open
Current candle is red: close < open
Previous candle body is smaller than current:
abs(close - open ) < abs(close - open)
Previous candle body size ≥ 10 points
Both candles' volume ≥ minVolume
➜ Plot SELL above red candle
Jimb0ws Strategy Trending Info PanelsJimb0ws Strategy — Golden Candles + Bubble Zones
A price-action/EMA strategy built for FX scalping and intraday swings. It colors Golden Candles when strong bodies touch/skim EMA20/50 in trend (“bubble”) and optionally highlights Robin Candles (break of the prior golden body). Signals are throttled per bubble and filtered by multiple higher-timeframe conditions.
How it trades
Trend bubbles: Uses EMA20/50/100/200 alignment on the chart timeframe; also reads 1H & 4H bubbles for context.
Entries: BUY/SELL labels appear only when a golden setup aligns with fractal/structure checks and all active filters pass.
Stops/Targets (strategy mode):
• Longs: SL = EMA100 if EMA200 > EMA100, else SL = EMA200.
• Shorts: SL = EMA100 if EMA200 < EMA100, else SL = EMA200.
• TP = RR × risk (default 2R).
An on-chart SL/TP info label prints the exact prices at each signal.
Risk filter options: disable beyond 1H EMA50, proximity band around 1H EMA50, wick overdrive veto, session filter (toggle on/off), max signals per bubble.
Visuals & tools
Colored EMAs (20/50/100/200), bubble zone background.
4H info panel (state, start time, duration); Prev-Day ATR panel sits above it.
Optional 1H info panel and consolidation warning.
Fractal markers (size selectable).
Alerts
1H bubble state change (Long/Short/Consolidation).
BUY/SELL signals.
Inputs worth checking
Session & timezone, min body size, pip tolerances, proximity/WOD filters, max signals per bubble, RR, SL/TP label offset.
Notes
Best on FX pairs; pip = mintick × 10. Backtest and adjust to your instrument and session. This is not financial advice.
QFisher-R™ [ParadoxAlgo]QFISHER-R™ (Regime-Aware Fisher Transform)
A research/education tool that helps visualize potential momentum exhaustion and probable inflection zones using a quantitative, non-repainting Fisher framework with regime filters and multi-timeframe (MTF) confirmation.
What it does
Converts normalized price movement into a stabilized Fisher domain to highlight potential turning points.
Uses adaptive smoothing, robust (MAD/quantile) thresholds, and optional MTF alignment to contextualize extremes.
Provides a Reversal Probability Score (0–100) to summarize signal confluence (extreme, slope, cross, divergence, regime, and MTF checks).
Key features
Non-repainting logic (bar-close confirmation; security() with no lookahead).
Dynamic exhaustion bands (data-driven thresholds vs fixed ±2).
Adaptive smoothing (efficiency-ratio based).
Optional divergence tags on structurally valid pivots.
MTF confirmation (same logic computed on a higher timeframe).
Compact visuals with subtle plotting to reduce chart clutter.
Inputs (high level)
Source (e.g., HLC3 / Close / HA).
Core lookback, fast/slow range blend, and ER length.
Band sensitivity (robust thresholding).
MTF timeframe(s) and agreement requirement.
Toggle divergence & intrabar previews (default off).
Signals & Alerts
Turn Candidate (Up/Down) when multiple conditions align.
Trade-Grade Turn when score ≥ threshold and MTF agrees.
Divergence Confirmed when structural criteria are met.
Alerts are generated on confirmed bar close by default. Optional “preview” mode is available for experimentation.
How to use
Start on your preferred timeframe; optionally enable an HTF (e.g., 4×) for confirmation.
Look for RPS clusters near the exhaustion bands, slope inflections, and (optionally) divergences.
Combine with your own risk management, liquidity, and trend context.
Paper test first and calibrate thresholds to your instrument and timeframe.
Notes & limitations
This is not a buy/sell signal generator and does not predict future returns.
Readings can remain extreme during strong trends; use HTF context and your own filters.
Parameters are intentionally conservative by default; adjust carefully.
Compliance / Disclaimer
Educational & research tool only. Not financial advice. No recommendation to buy/sell any security or derivative.
Past performance, backtests, or examples (if any) are not indicative of future results.
Trading involves risk; you are responsible for your own decisions and risk management.
Built upon the Fisher Transform concept (Ehlers); all modifications, smoothing, regime logic, scoring, and visualization are original work by Paradox Algo.
Market Structure Trend Change by TenAMTraderMarket Structure Trend Change Indicator
Description:
This indicator detects changes in market trend by analyzing swing highs and lows to identify Higher Highs (HH), Higher Lows (HL), Lower Highs (LH), and Lower Lows (LL). It helps traders quickly see potential reversals and trend continuation points.
Features:
Automatically identifies pivots based on configurable left and right bars.
Labels pivot points (HH, HL, LH, LL) directly on the chart (text-only for clarity).
Generates buy and sell signals when a trend change is detected:
Buy Signal: HL after repeated LLs.
Sell Signal: LH after repeated HHs.
Fully customizable signal appearance: arrow type, circle, label, color, and size.
Adjustable minimum number of repeated highs or lows before a trend change triggers a signal.
Alerts built in for automated notifications when buy/sell signals occur.
Default Settings:
Optimized for a 10-minute chart.
Default “Min repeats before trend change” and pivot left/right bars are set for typical 10-min price swings.
User Customization:
Adjust the “Pivot Left Bars,” “Pivot Right Bars,” and “Min repeats before trend change” to match your trading style, chart timeframe, and volatility.
Enable pivot labels for visual clarity if desired.
Set alerts to receive notifications of trend changes in real time.
How to Use:
Apply the indicator to any chart and timeframe. It works best on swing-trading or trend-following strategies.
Watch for Buy/Sell signals in conjunction with your other analysis, such as volume, support/resistance, or other indicators.
Legal Disclaimer:
This indicator is provided for educational and informational purposes only. It is not financial advice. Trading involves substantial risk, and past performance is not indicative of future results. Users should trade at their own risk and are solely responsible for any gains or losses incurred.
SONIC R BREAK FINAL (VER5)
Purpose: Capture breakouts through Support/Resistance (S/R) zones based on Pivot and filter signals using EMA 34 (High/Low/Close), EMA 89, volume, and candle structure. Includes a Higher Timeframe (H4) RSI risk warning (visual only, does not block entries).
How it works
S/R zones from Pivot
Draws Resistance and Support using ta.pivothigh/ta.pivotlow with Left/Right Bars.
S/R lines are locked with offset to reduce repaint.
EMA trend filters
EMA34 High/Low/Close build a “EMA 34 band”.
EMA89 works as the main trend filter.
Trend conditions:
Long: close above all EMA34 High/Low/Close and EMA89.
Short: close below all EMA34 High/Low/Close and EMA89.
Volume filter (optional)
Signal valid only if Volume > SMA(Volume, n).
Wick filter
Each wick (upper/lower) ≤ 50% of candle range to avoid weak breakouts.
Higher TF RSI risk (H4)
Fetches RSI from a higher timeframe (default H4).
If RSI exceeds threshold, breakout labels turn gray (risk warning only).
Anti-repeat mechanism
Each new pivot resets trigger.
Each S/R level triggers only once until the next pivot is formed.
Signals & Alerts
Label “B” (green) below candle: breakout above Resistance, valid EMA/Volume/Wick conditions.
Label “S” (red) above candle: breakout below Support, valid EMA/Volume/Wick conditions.
Gray labels = H4 RSI risk warning.
Unified alert: “S/R Breakout (Unified)” with message B=Buy, S=Sell, Gray=Risk.
Parameters
Show Breaks: toggle breakout detection.
Left/Right Bars: pivot sensitivity.
Require Volume > Average + Volume MA Length: volume filter.
Use H4 RSI Risk Warning: enable higher TF RSI check.
RSI Length, Higher TF (minutes), RSI thresholds for Buy/Sell risk.
Usage tips
Prioritize trades in the same direction as EMA89 and EMA34 trend.
Works on M5 to H4; best combined with RSI H4 when trading M15/M30.
Place SL behind the S/R just broken, TP by fixed RR or EMA trailing.
Increase Left/Right Bars for stronger zones and less noise in sideways markets.
Notes
Pivot still has repaint element (mitigated by offset).
This indicator is not financial advice. Always combine with proper risk management.
Version
Clean v4: added wick ≤50% filter, H4 RSI risk coloring, volume filter, anti-repeat pivot trigger, unified alert, EMA34 H/L/C background shading.
RSI Divergence Buy/Sell Alertsbuy or sell when bullish or bearish divergence occurs in and over sold or over bought condition
Cnagda Trading ToolCnagda Trading Tools - complete set of intraday trading
1. Trendline breakout based On ATR.
2. Live RSI, volume/candle average 20 Periods, trend direction last 34 periods, and some useful dashboard features.
3. Ma Scalp Line provide trend support and resistance + Where Line More Flat Previous Time You Also Use That Range As Support And Resistance
4. RSI based POC ( Point Of Control) indicate high Volume Area like fixed Range Volume profile
5. London session breakout with buy/sell Signal and NewYork session opening half hour range breakout with Buy/sell signal
Ma Scalp Buy And Sell Signal For Short term Scalping ( 5 Min Timeframe) Based on Ema And Wma Crossover
I hope these tools will improve your trading, but you should trade only after proper research, this indicator is not responsible for any loss.
YM Confluence Panel - Dual SMA (fast/slow)This script displays a YM Confluence Panel for the mini Dow Jones (YM), using six correlated/inversely correlated assets (ES, NQ, RTY, ZN, GC, VIX) and two simple moving averages (fast: 9 / slow: 20).
The logic determines bullish or bearish conditions for each asset based on SMA relationships and price, generating arrows and an aggregated BUY / SELL / WAIT signal.
🔹 How it works:
• Correlated assets (ES, NQ, RTY): bullish when SMA(9) > SMA(20) and price above SMA(20).
• Inverse assets (ZN, GC, VIX): bullish when SMA(9) < SMA(20) and price below SMA(20).
• All bullish → BUY
• All bearish → SELL
• Otherwise → WAIT
✅ Customizable:
• Adjust assets and timeframes.
• Change SMA periods.
• Set panel position.
⚠️ Disclaimer: For educational purposes only. Not financial advice.
DTLLC Time & PriceDTLLC Time and Price with Signals
This indicator is built for traders who understand ICT concepts and want a structured, visual way to align time-based price action with key market levels. By combining customizable trading windows, breakout logic, and daily reference points, it helps you identify high-probability trade opportunities while filtering out market noise.
Key Features
1. Dual Custom Time Ranges (Kill Zones)
Set two independent time ranges per day (start/end hour and minute).
Each range identifies the highest high and lowest low within its window.
Built-in breakout detection generates buy/sell signals when price moves beyond these levels.
2. Volatility Filtering
Adjustable volatility threshold based on True Range relative to ATR.
Filters out low-quality signals during choppy, low-volatility conditions.
3. ATR-Based Stop Loss
Custom ATR length and stop-loss multiplier settings.
Automatically plots ATR-based stop levels for triggered trades.
4. Daily Key Levels
Plots Previous Day High, Previous Day Low, and Midnight Open continuously on the chart.
Useful for spotting breakout and reversal opportunities in line with ICT market structure concepts.
5. Liquidity & Engulfing Candle Highlights
Highlights potential liquidity grab zones (yellow candles) when significant highs/lows are set within your lookback period.
Detects bullish (green) and bearish (red) engulfing patterns for added confluence.
6. Visual & Signal Tools
Buy/Sell signals plotted directly on chart (separate colors for Range 1 and Range 2). Continuous plotting of reference levels to maintain market context throughout the session.
Example Use Case:
A common ICT-inspired reversal setup:
Wait for price to sweep the Previous Day’s High or Low during your chosen time range.
Look for a buy or sell signal with volatility confirmation.
Manage risk using the ATR-based stop-loss plot.
Disclaimer: This script is for educational purposes only and is not financial advice. Trade responsibly and always test strategies before applying them in live markets.
Supertrend EMA Vol Strategy V5### Supertrend EMA Strategy V5
**Overview**
This is a trend-following strategy designed for cryptocurrency markets like BTC/USD on daily timeframes, combining the Supertrend indicator for dynamic trailing stops with an EMA filter for trend confirmation. It aims to capture strong uptrends while avoiding counter-trend trades, with optional volume filtering for high-conviction entries and ATR-based stop-loss to manage risk. Ideal for long-only setups in bullish assets, it visually highlights trends with green/red bands and fills for easy interpretation. Backtested on BTC from 2024-2025, it shows potential for outperforming buy-and-hold in trending markets, but always use with proper risk management—past performance isn't indicative of future results.
**Key Features**
- **Supertrend Core**: Uses ATR to plot adaptive uptrend (green) and downtrend (red) lines, flipping on closes beyond prior bands for buy/sell signals.
- **EMA Trend Filter**: Entries require price above the EMA (default 21-period) for longs, ensuring alignment with the broader trend.
- **Volume Confirmation**: Optional filter only allows entries when volume exceeds its EMA (default 20-period), reducing false signals in low-activity periods.
- **Risk Controls**: Built-in ATR-multiplier stop-loss (default 2x) to cap losses; exits on Supertrend flips for trailing profits.
- **Visuals**: Green/red lines and highlighter fills for up/down trends, plus buy/sell labels and circles for signals.
- **Customizable Inputs**: Tweak ATR period (default 10), multiplier (default 3), EMA length, start date, long/short toggles, SL, and volume filter.
- **Alerts**: Built-in for buy/sell and direction changes.
**How to Use**
1. Add to your TradingView chart (e.g., BTC/USD 1D).
2. Adjust inputs: Start with defaults for trend-following; increase multiplier for fewer trades/higher win rate. Enable volume filter for volatile assets.
3. Monitor signals: Green "Buy" for long entries (if close > EMA and conditions met); red "Sell" for exits.
4. Backtest in Strategy Tester: Focus on equity curve, win rate (~50-60% in tests), and drawdown (<15% with SL).
5. Live Trading: Use small position sizes (1-2% risk per trade); combine with your analysis. Shorts disabled by default for bull-biased markets.
ANAND RSI&HAHow to Set Up Alerts in TradingView:
Apply the indicator to your chart
Right-click on the chart → "Add Alert"
Choose your preferred alert condition:
"HA-RSI Buy/Sell Alerts" (combined)
"HA-RSI Buy Alert" (buy only)
"HA-RSI Sell Alert" (sell only)
Set your notification preferences (popup, email, webhook, etc.)
Alert Messages Include:
Clear BUY/SELL indication with colored emojis (🟢/🔴)
Ticker symbol
Current price
Descriptive message about the signal
Smart Money Proxy IndexOverview
The Smart Money Proxy Index (SMPI) is an educational tool that attempts to identify potential institutional-style behavior patterns using publicly available market data. This comprehensive tool combines multiple institutional analysis techniques into a single, easy-to-read 0-100 oscillator.
Important Disclaimer
This is an educational proxy indicator that analyzes volume and price patterns. It cannot identify actual institutional trading activity and should not be interpreted as tracking real "smart money." Use for educational purposes and combine with other analysis methods.
Inspiration & Methodology
This indicator is inspired by MAPsignals' Big Money Index (BMI) methodology but uses publicly available price and volume data with original calculations. This is an independent educational interpretation designed to teach smart money concepts to retail traders.
What It Analyzes
SMPI tracks potential "smart money" activity by combining:
Block Trading Detection - Identifies unusual volume surges with significant price impact
Money Flow Analysis - Volume-weighted price pressure using Money Flow Index
Accumulation/Distribution Patterns - Modified On-Balance Volume signals
Institutional Control Proxy - End-of-day positioning and control analysis
Key Features
– Multi-Component Analysis - Combines 4 different institutional detection methods
– BMI-Style 0-100 Scale - Familiar oscillator range with clear extreme levels
– Professional Visualization - Dynamic colors, gradient fills, and clean data table
– Comprehensive Alerts - Buy/sell signals plus divergence detection
– Fully Customizable - Adjust all parameters, colors, and display options
– Non-Repainting Signals - All alerts use confirmed data for reliability
– Educational Focus - Designed to teach institutional flow concepts
How to Interpret
Above 80: Potential smart money distribution phase (bearish pressure)
Below 20: Potential smart money accumulation phase (bullish opportunity)
Signal Generation: Buy signals when crossing above 20, sell signals when crossing below 80
Divergences: Price vs SMPI divergences can signal potential trend changes
Volume Confirmation: Higher volume ratios strengthen signal reliability
Best Practices
Timeframes: Works best on higher timeframes for institutional behavior analysis
Confirmation: Combine with other technical analysis tools and market context
Volume: Pay attention to volume confirmation in the data table
Context: Consider overall market conditions and fundamental factors
Risk Management: Not recommended as standalone trading system
Customizable Parameters
Block Volume Threshold: Sensitivity for unusual volume detection (default: 2.5x average)
SMPI Smoothing Period: Index calculation smoothing (default: 25 bars)
Extreme Levels: Overbought/oversold thresholds (default: 80/20)
Money Flow Length: MFI calculation period (default: 14)
Visual Options: Colors, signals, and display preferences
Available Alerts
Buy Signal: SMPI crosses above oversold level (20)
Sell Signal: SMPI crosses below overbought level (80)
Extreme Levels: Alerts when reaching overbought/oversold zones
Divergence Detection: Bullish and bearish price vs SMPI divergences
Educational Purpose & Limitations
This indicator is designed as an educational proxy for understanding institutional flow concepts. It analyzes publicly available price and volume data to identify potential smart money behavior patterns.
Cannot access actual institutional transaction data
Signals may be slower than day-trading indicators (intentionally designed for institutional timeframes)
Should be used in conjunction with other analysis methods
Past performance does not guarantee future results
What Makes This Different
Unlike simple volume or momentum indicators, SMPI combines multiple institutional analysis techniques into one comprehensive tool. The multi-component approach provides a more robust view of potential smart money activity.
Relative Strength Buy/Sell SignalsThis Pine Script builds on the MarketSurge-style Relative Strength indicator. It calculates the RS line by comparing the stock's close to a benchmark (default: SPY). Buy signals are generated when the RS line crosses above its moving average (default 10-period SMA), indicating improving relative strength. Sell signals occur when it crosses below, suggesting weakening relative strength. Signals are labeled "BUY" (green) and "SELL" (red) on the chart, with background highlights.
It also retains the new 52-week RS highs (orange circles) and lows (purple circles), which can serve as additional confirmation for outperformance or underperformance.
Note: This approximates relative strength for trading signals but does not replicate the proprietary IBD RS Rating (a 1-99 percentile rank across all stocks). For best results, use on daily charts and combine with other analysis. Backtest thoroughly, as no strategy guarantees profits
TSI Indicator with Trailing StopAuthor: ProfitGang
Type: Indicator (visual + alerts). No orders are executed.
What it does
This tool combines the True Strength Index (TSI) with a simple tick-based trailing stop visualizer.
It plots buy/sell markers from a TSI cross with momentum confirmation and, if enabled, draws a trailing stop line that “ratchets” in your favor. It also shows a compact info table (position state, entry price, trailing status, and unrealized ticks).
Signal logic (summary)
TSI is computed with double EMA smoothing (user lengths).
Signals:
Buy when TSI crosses above its signal line and momentum (TSI–Signal histogram) improves, with TSI above your Buy Threshold.
Sell when TSI crosses below its signal line and momentum weakens, with TSI below your Sell Threshold.
Confirmation: Optional “Confirm on bar close” setting evaluates signals on closed bars to reduce repaint risk.
Trailing stop (visual only)
Units are ticks (uses the symbol’s min tick).
Start Trailing After (ticks): activates the trail only once price has moved in your favor by the set amount.
Trailing Stop (ticks): distance from price once active.
For longs: stop = close - trail; it never moves down.
For shorts: stop = close + trail; it never moves up.
Exits shown on chart when the trailing line is touched or an opposite signal occurs.
Note: This is a simulation for visualization and does not place, manage, or guarantee broker orders.
Inputs you can tune
TSI Settings: Long Length, Short Length, Signal Length, Buy/Sell thresholds, Confirm on Close.
Trailing Stop: Start Trailing After (ticks), Trailing Stop (ticks), Show/Hide trailing lines.
Display: Toggle chart signals, info table, and (optionally) TSI plots on the price chart.
Alerts included
TSI Buy / TSI Sell
Long/Short Trailing Activated
Long/Short Trail Exit
Tips for use
Timeframes/markets: Works on any symbol/timeframe that reports a valid min tick. If your market has large ticks, adjust the tick inputs accordingly.
TSI view: By default, TSI lines are hidden to avoid rescaling the price chart. Enable “Show TSI plots on price chart” if you want to see the oscillator inline.
Non-repainting note: With Confirm on bar close enabled, signals are evaluated on closed bars. Intrabar previews can change until the bar closes—this is expected behavior in TradingView.
Limitations
This is an indicator for education/research. It does not execute trades, and visuals may differ from actual broker fills.
Performance varies by market conditions; thresholds and trail settings should be tested by the user.
Disclaimer
Nothing here is financial advice. Markets involve risk, including possible loss of capital. Always do your own research and test on a demo before using any tool in live trading.
— ProfitGang
Opening Range BreakoutThis indicator is designed for Opening Range Breakout (ORB) traders who want automatic calculation of breakout levels and multiple price targets.
It is optimised for NSE intraday trading, capturing the first 15-minute range from 09:15 to 09:30 and plotting key breakout targets for both long and short trades.
✨ Features:
Automatic daily reset — fresh levels are calculated every trading day.
Opening Range High & Low plotted immediately after 09:30.
Two profit targets for both Buy & Sell breakouts based on the opening range size:
T1 = 100% of range added/subtracted from OR high/low.
T2 = 200% of range added/subtracted from OR high/low.
Clear breakout signals (BUY / SELL labels) when price crosses the OR High or Low.
Custom alerts for both buy and sell triggers.
Designed to work on any intraday timeframe (1min, 3min, 5min, etc.).
📊 How it works:
From 09:15 to 09:30, the script records the highest and lowest prices.
At 09:30, the range is locked in and breakout targets are calculated automatically.
Buy and Sell signals are generated when price breaks above the OR High or below the OR Low.
Targets and range lines automatically reset for the next day.
⚠️ Notes:
This script is tuned for NSE market timings but can be adapted for other markets by changing the session input.
Works best on intraday charts for active traders.
This is not financial advice — always backtest before trading live.
ATR+CCI Monetary Risk Tool - TP/SL⚙️ ATR+CCI Monetary Risk Tool — Volatility-aware TP/SL & Position Sizing
Exact prices (no rounding), ATR-percentile dynamic stops, and risk-budget sizing for consistent execution.
🧠 What this indicator is
A risk-first planning tool. It doesn’t generate orders; it gives you clean, objective levels (Entry, SL, TP) and position size derived from your risk budget. It shows only the latest setup to keep charts readable, and a compact on-chart table summarizing the numbers you actually act on.
✨ What makes it different
Dynamic SL by regime (ATR percentile): Instead of a fixed multiple, the SL multiplier adapts to the current volatility percentile (low / medium / high). That helps avoid tight stops in noisy markets and over-wide stops in quiet markets.
Risk budgeting, not guesswork: Size is computed from Account Balance × Max Risk % divided by SL distance × point value. You risk the same dollars across assets/timeframes.
Precision that matches your instrument: Entry, TP, SL, and SL Distance are displayed as exact prices (no rounding), truncated to syminfo.mintick so they align with broker/exchange precision.
Symbol-aware point value: Uses syminfo.pointvalue so you don’t maintain tick tables.
Non-repaint option: Work from closed bars to keep the plan stable.
🔧 How to use (quick start)
Add to chart and pick your timeframe and symbol.
In settings:
Set Account Balance (USD) and Max Risk per Trade (%).
Choose R:R (1:1 … 1:5).
Pick ATR Period and CCI Period (defaults are sensible).
Keep Dynamic ATR ON to adapt SL by regime.
Keep Use closed-bar values ON to avoid repaint when planning.
Read the labels (Entry/TP/SL) and the table (SL Distance, Position Size, Max USD Risk, ATR Percentile, effective SL Mult).
Combine with your entry trigger (price action, levels, momentum, etc.). This indicator handles risk & targets.
📐 How levels are computed
Bias: CCI ≥ 0 ⇒ long, otherwise short.
ATR Percentile: Percent rank of ATR(atrPeriod) over a lookback window.
Effective SL Mult:
If percentile < Low threshold ⇒ use Low SL Mult (tighter).
If between thresholds ⇒ use Base SL Mult.
If percentile > High threshold ⇒ use High SL Mult (wider).
Stop-Loss: SL = Entry ± ATR × SL_Mult (minus for long, plus for short).
Take-Profit: TP = Entry ± (Entry − SL) × R (R from the R:R dropdown).
Position Size:
USD Risk = Balance × Risk%
Contracts = USD Risk ÷ (|Entry − SL| × PointValue)
For futures, quantity is floored to whole contracts.
Exact prices: Entry/TP/SL and SL Distance are not rounded; they’re truncated to mintick so what you see matches valid price increments.
📊 What you’ll see on chart
Latest Entry (blue), TP (green), SL (red) with labels (optional emojis: ➡️ 🎯 🛑).
Info Table with:
Bias, Entry, TP, SL (exact, truncated to mintick)
SL Distance (exact, truncated)
Position Size (contracts/units)
Max USD Risk
Point Value
ATR Percentile and effective SL Mult
🧪 Practical examples
High-volatility session (e.g., XAUUSD, 1H): ATR percentile is high ⇒ wider SL, smaller size. Reduces churn from normal noise during macro events.
Range-bound market (e.g., EURUSD, 4H): ATR percentile low ⇒ tighter SL, better R:R. Helps you avoid carrying unnecessary risk.
Index swing planning (e.g., ES1!, Daily): Non-repaint levels + risk budgeting = consistent sizing across days/weeks, easier to review and journal.
🧭 Why traders should use it
Consistency: Same dollar risk regardless of instrument or volatility regime.
Clarity: One-trade view forces focus; you see the numbers that matter.
Adaptivity: Stops calibrated to the market’s current behavior, not last month’s.
Discipline: A visible checklist (SL distance, size, USD risk) before you hit buy/sell.
🔧 Input guide (practical defaults)
CCI Period: 100 by default; use as a bias filter, not an entry signal.
ATR Period: 14 by default; raise for smoother, lower for more reactive.
ATR Percentile Lookback: 200 by default (stable regime detection).
Percentile thresholds: 33/66 by default; widen the gap to change how often regimes switch.
SL Mults: Start ~1.5 / 2.0 / 2.5 (low/base/high). Tune by asset.
Risk % per trade: Common pro ranges are 0.25–1.0%; adjust to your risk tolerance.
R:R: Start with 1:2 or 1:3 for balanced skew; adapt to strategy edge.
Closed-bar values: Keep ON for planning/live; turn OFF only for exploration.
💡 Best practices
Combine with your entry logic (structure, momentum, liquidity levels).
Review ATR percentile and effective SL Mult across sessions so you understand regime shifts.
For futures, remember size is floored to whole contracts—safer by design.
Journal trades with the table snapshot to improve risk discipline over time.
⚠️ Notes & limitations
This is not a strategy; it does not place orders or alerts.
No slippage/commissions modeled here; build a strategy() version for backtests that mirror your broker/exchange.
Displayed non-price metrics use two decimals; prices and SL Distance are exact (truncated to mintick).
📎 Disclaimer
For educational purposes only. Not financial advice. Markets involve risk. Test thoroughly before trading live.
BuySell-byALHELWANI🔱 BuySell-byALHELWANI | مؤشر التغيرات الاتجاهية الذكية
BuySell-byALHELWANI هو مؤشر احترافي متقدّم يرصد نقاط الانعكاس الحقيقية في حركة السوق، باستخدام خوارزمية تعتمد على تحليل القمم والقيعان الهيكلية للسعر (Structure-Based Detection) وليس على مؤشرات تقليدية.
المؤشر مبني على مكتبة signalLib_yashgode9 القوية، مع تخصيص كامل لأسلوب العرض والتنبيهات.
⚙️ ما يقدمه المؤشر:
🔹 إشارات واضحة للشراء والبيع تعتمد على كسر هيكل السوق.
🔹 تخصيص مرن للعمق والانحراف وخطوات التراجع (Backstep) لتحديد الدقة المطلوبة.
🔹 علامات ذكية (Labels) تظهر مباشرة على الشارت عند كل نقطة قرار.
🔹 تنبيهات تلقائية فورية عند كل تغير في الاتجاه (Buy / Sell).
🧠 الآلية المستخدمة:
DEPTH_ENGINE: يتحكم في مدى عمق النظر لحركة السعر.
DEVIATION_ENGINE: يحدد المسافة المطلوبة لتأكيد نقطة الانعكاس.
BACKSTEP_ENGINE: يضمن أن كل إشارة تستند إلى تغير هيكلي حقيقي في الاتجاه.
📌 المميزات:
✅ لا يعيد الرسم (No Repaint)
✅ يعمل على كل الأطر الزمنية وكل الأسواق (فوركس، مؤشرات، كريبتو، أسهم)
✅ تصميم بصري مرن (ألوان، حجم، شفافية)
✅ يدعم الاستخدام في السكالبينغ والسوينغ
ملاحظة:
المؤشر لا يعطي إشارات عشوائية، بل يستند إلى منطق السعر الحقيقي عبر تتبع التغيرات الحركية للسوق.
يُفضّل استخدامه مع خطة تداول واضحة وإدارة رأس مال صارمة.
🔱 BuySell-byALHELWANI | Smart Reversal Detection Indicator
BuySell-byALHELWANI is a high-precision, structure-based reversal indicator designed to identify true directional shifts in the market. Unlike traditional indicators, it doesn't rely on lagging oscillators but uses real-time swing analysis to detect institutional-level pivot points.
Powered by the robust signalLib_yashgode9, this tool is optimized for traders who seek clarity, timing, and strategic control.
⚙️ Core Engine Features:
🔹 Accurate Buy/Sell signals generated from structural highs and lows.
🔹 Adjustable sensitivity using:
DEPTH_ENGINE: Defines how deep the algorithm looks into past swings.
DEVIATION_ENGINE: Sets the deviation required to confirm a structural change.
BACKSTEP_ENGINE: Controls how many bars are validated before confirming a pivot.
🧠 What It Does:
🚩 Detects market structure shifts and confirms them visually.
🏷️ Plots clear Buy-point / Sell-point labels directly on the chart.
🔔 Sends real-time alerts when a directional change is confirmed.
🎯 No repainting – what you see is reliable and final.
✅ Key Benefits:
Works on all timeframes and all asset classes (FX, crypto, indices, stocks).
Fully customizable: colors, label size, transparency.
Ideal for scalping, swing trading, and strategy automation.
High visual clarity with minimal noise.
🔐 Note:
This script is designed for serious traders.
It highlights real market intent, especially when used with trendlines, zones, and volume analysis.
Pair it with disciplined risk management for best results.
_mr_beach Sunday Entwicklung Version 1_mr_beach Sunday Development Version 1
Short Description (for TradingView publication):
This indicator combines EMA crossovers, VWAP with standard deviation bands, gap detection, pivot-based support & resistance, and VWAP distance labels in a single overlay. Perfect for discretionary traders aiming to efficiently identify gap fills, trend reversals, and key price levels. All components can be toggled on/off via the settings menu.
Full Indicator Description:
🧠 Purpose of the Indicator:
This all-in-one tool merges several analytical features to visualize trend direction, market structure, key price levels (e.g., gaps, VWAP distance, pivot support), and entry signals at a glance.
🔧 Integrated Features:
EMA20 / EMA50: Trend detection via moving averages. Crossover signals indicate potential entries.
VWAP + Band: Volume-weighted average price with visual deviation bands.
GAP-Up / GAP-Down: Price gaps are highlighted in color (brown/yellow), optionally showing only open ones.
VWAP Distance Label: Displays the current price’s percentage deviation from the VWAP as a chart label.
Buy/Sell Signals: Triggered by EMA20 and EMA50 crossovers.
HH/LL SL-Marker: Identifies local highs/lows using pivots.
Support & Resistance: Automatically calculated pivot zones.
Customizable Visibility: All features can be toggled in the settings menu.
Dummy Plot: plot(na) ensures error-free compilation.
⚙️ Settings Menu Options:
Show VWAP: Displays VWAP and deviation bands.
Show EMA20 / EMA50: Shows the moving averages.
Show Gaps: Enables gap detection.
Show Only Open Gaps: Hides already filled gaps.
Show VWAP Distance: Activates VWAP deviation label.
Support & Resistance: Displays pivot-based zones as support/resistance.
🔔 Alerts:
‘Mads Morningstar Signal’: Buy/Sell alerts based on EMA crossover.
📈 Use Cases:
Trend-following setups using EMA crossover
Gap-fill trading strategies
VWAP reversion trades
SL/TP based on HH/LL or pivot levels
Visual chart preparation for scalping, intraday, or swing trading
🛠 Suggested Extensions:
Gap table showing open levels
Take-Profit/Stop-Loss strategy
Alerts for new gap formation
Strategy tester module with gap-based entries
LANZ Strategy 7.0🔷 LANZ Strategy 7.0 — Multi-Session Breakout Logic with Midnight-Cross Support, Dynamic SL/TP, Multi-Account Lot Sizing & Real-Time Visual Tracking
LANZ Strategy 7.0 is a robust, visually-driven trading indicator designed to capture high-probability breakouts from a customizable market session.
It includes full support for sessions that cross midnight, dynamic calculation of Entry Price (EP), Stop Loss (SL) and Take Profit (TP) levels, and a multi-account lot sizing panel for precise risk management.
The system is built to only trigger one trade per day and manages the full trade lifecycle with automated visual cleanup and detailed alerts.
📌 This is an indicator, not a strategy — it does not place trades automatically, but provides exact entry setups, SL/TP levels, risk-based lot size guidance, and real-time alerts for execution.
🧠 Core Logic & Features
🚀 Entry Signal (BUY/SELL)
The trading day begins with a Decision Session (yellow box) where the high/low range is recorded.
Once the Operative Session starts (blue zone), the first touch of the session’s high triggers a BUY setup, and the first touch of the session’s low triggers a SELL setup.
Only one valid trade can be triggered per day — the system locks after the first signal.
⚙️ Dynamic Stop Loss & Take Profit
SL levels are derived from the Decision Session high/low using customizable Fibonacci multipliers (independent for BUY and SELL).
TP is dynamically calculated from the EP–SL distance using a user-defined Risk:Reward ratio (R:R).
All EP, SL, and TP levels are drawn as independent lines with customizable colors, label text size, and style.
⏳ Session & Midnight-Cross Support
Works with any custom Decision/Operative session hours, including sessions that start one day and end the next.
Properly tracks time zones using New York session time for consistency.
Includes Cutoff Time: after this limit, no new entries are allowed, and all visuals are auto-cleared if no trade was triggered.
💰 Multi-Account Risk-Based Lot Sizing
Supports up to 5 independent accounts.
Each account can have:
Own capital
Own risk percentage per trade
Lot size is auto-calculated based on:
SL distance (in pips or points)
Pip value (auto-detected for Forex or manually set for indices/commodities)
Results are displayed in a clean lot size info panel.
🖼️ Real-Time Visual Tracking
Dynamic updates to all levels during the Decision Session.
EP, SL, TP lines update if the session high/low changes before the Operative Session starts.
Trade result labels:
SL hit → “–1.00%” in red
TP hit → “+X.XX%” in green
Manual close at Operative End → shows actual % result in blue or purple.
🔔 Alerts for Every Key Event
Session start notification
EP entry triggered
SL or TP hit
Manual close at session end
Missed entry due to cutoff
🧭 Execution Flow
Decision Session (Yellow) — Capture high/low range.
Operative Session (Blue) — First touch of high = BUY setup; first touch of low = SELL setup.
Plot EP, SL, TP lines + calculate lot sizes for all active accounts.
Track trade until SL, TP, or Operative End.
If no entry triggered by Cutoff Time → clean all visuals and notify.
💡 Ideal For:
Traders who operate breakout logic on specific sessions (NY, London, Asian, or custom).
Those managing multiple accounts with strict risk per trade.
Anyone trading assets with sessions crossing midnight.
👨💻 Credits:
Developer: LANZ
Logic Design: LANZ
Built For: Multi-timeframe session breakouts with high precision.
Purpose: One-shot trade per day, risk consistency, and total visual clarity.
BTC/USD Confluence Breakout Pro – IST EditionBTC/USD Confluence Breakout Pro – IST Edition is a multi-factor breakout trading system designed for intraday and swing traders.
It combines trend, momentum, price action, volume, and candlestick analysis with time-based volatility windows to deliver high-probability Buy/Sell signals.
Key Features:
Trend Filters: EMA 9/21 crossover + optional EMA 200 bias filter.
Price Action Breakouts: Detects closes above/below the last N bars’ range.
Candlestick Patterns: Bullish/Bearish engulfing, hammer, and shooting star.
Momentum Indicators: RSI (14) with configurable thresholds, MACD (12/26/9).
Volume Confirmation: Volume spike vs 20-period SMA.
IST Breakout Windows: Highlights Early London, London–US Overlap, and US Open momentum periods (Hyderabad/IST time). Optionally restricts signals to these windows.
Risk Management: ATR-based stop-loss + auto-plotted 1R, 2R, and 3R take-profit levels.
Visual Aids: EMA plots, bar coloring, shaded volatility windows, and clear entry/exit labels.
Alerts: Configurable alerts for both Buy and Sell signals.
Best Use:
Apply on 1m–15m charts for intraday trading or 1H–4H for swings.
Works best during high-volatility IST windows (London–US overlap & US open).
Ideal for BTC/USD but adaptable to other crypto or forex pairs.
SD Bands Filtered Signals### SD Bands Filtered Signals: Reversion & Volatility Scanner
**Core Description:**
The SD Bands Filtered Signals is a tool developed to help traders identify more accurate buy and sell signals in sideways markets, or during periods of low price movement. It utilizes the principles of Standard Deviation (SD) and a Moving Average (MA), with a unique 'signal filtering' system added to reduce unnecessary noise.
**Key Features:**
* **SD Bands:** Creates upper and lower bands to define price volatility zones, providing a clear overview of market conditions.
* **Intelligent Reversal Signals:** Generates specially filtered Buy/Sell signals for a 'Reversion to the Mean' strategy. These signals appear only when the market has low volatility and the price touches the SD Bands.
* **Advanced Signal Filtering System:** Uses a **`Cooldown Bars`** variable to set a rest period between signals. This prevents repetitive arrows in the same zone, helping you find the best signal at the most suitable point.
* **Fully Customizable:** You can adjust the **`Length`**, **`Multiplier`**, **`Sideways Threshold`**, and **`Cooldown Bars`** to fit your trading style and asset of choice.
**How to Use:**
* **Buy Signal (Green Arrow Up):** Look for this signal when the market is sideways and the price moves down to touch the lower band (SD Low).
* **Sell Signal (Red Arrow Down):** Look for this signal when the market is sideways and the price moves up to touch the upper band (SD High).
* **Customization:** You can adjust the **`Cooldown Bars`** value to control the number of arrows. If you want more accurate but fewer signals, increase this value.
**Disclaimer:**
* This indicator is an **analytical tool only** and is not a 100% guarantee of profit.
* It should be used in conjunction with other forms of analysis, such as candlestick patterns, trading volume, and proper risk management.
ไทย
ชื่ออินดิเคเตอร์ "SD Bands Filtered Signals: Reversion & Volatility Scanner"
คำอธิบายหลัก:
อินดิเคเตอร์ SD Bands Filtered Signals เป็นเครื่องมือที่ถูกพัฒนาขึ้นเพื่อช่วยให้นักเทรดสามารถระบุสัญญาณซื้อ (Buy) และขาย (Sell) ที่แม่นยำขึ้นในตลาดแบบ Sideways หรือช่วงที่ราคาเคลื่อนที่ในกรอบแคบๆ โดยใช้หลักการของ Standard Deviation (SD) และ Moving Average (MA) และเพิ่มระบบ 'กรองสัญญาณ' ที่เป็นเอกลักษณ์เพื่อลดสัญญาณรบกวน (Noise) ที่ไม่จำเป็นออกไป
คุณสมบัติเด่น:
* SD Bands: สร้างเส้นขอบบนและล่างเพื่อระบุโซนความผันผวนของราคา ทำให้เห็นภาพรวมของตลาดได้ง่าย
* สัญญาณ Reversal อัจฉริยะ: สร้างสัญญาณ Buy/Sell ที่ถูกคัดกรองมาเป็นพิเศษสำหรับกลยุทธ์การกลับตัว (Reversion to the Mean) โดยจะปรากฏเฉพาะเมื่อตลาดมีความผันผวนต่ำและราคาแตะขอบของ SD Bands
* ระบบกรองสัญญาณขั้นสูง: ใช้ตัวแปร Cooldown Bars เพื่อกำหนดระยะเวลาพักสัญญาณ ทำให้ไม่เกิดลูกศรซ้ำๆ ในโซนเดียวกัน และช่วยให้คุณได้สัญญาณที่ดีที่สุดในจุดที่เหมาะสมที่สุด
* ปรับแต่งได้เต็มที่: คุณสามารถปรับค่า Length, Multiplier, Sideways Threshold และ Cooldown Bars เพื่อให้เข้ากับสไตล์การเทรดและคู่สินทรัพย์ที่คุณสนใจ
วิธีการใช้งาน:
* สัญญาณ Buy (ลูกศรสีเขียวขึ้น): มองหาสัญญาณนี้เมื่อตลาดอยู่ในช่วง Sideways และราคาวิ่งลงมาแตะเส้นขอบล่าง (SD Low)
* สัญญาณ Sell (ลูกศรสีแดงลง): มองหาสัญญาณนี้เมื่อตลาดอยู่ในช่วง Sideways และราคาวิ่งขึ้นไปแตะเส้นขอบบน (SD High)
* การปรับแต่ง: คุณสามารถปรับค่า Cooldown Bars เพื่อให้ได้จำนวนลูกศรที่ต้องการ หากต้องการสัญญาณที่แม่นยำขึ้นแต่จำนวนน้อยลง ให้เพิ่มค่านี้ให้สูงขึ้น
ข้อควรระวัง:
* อินดิเคเตอร์นี้เป็นเพียงเครื่องมือวิเคราะห์ ไม่ใช่สัญญาณที่การันตีผลกำไร 100%
* ควรใช้ประกอบกับการวิเคราะห์อื่นๆ เช่น รูปแบบแท่งเทียน, ปริมาณการซื้อขาย (Volume) และการจัดการความเสี่ยงที่เหมาะสม