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.
โจ Features:
Automatic daily reset โ 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.).
๐ 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.
โ ๏ธ 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 โ always backtest before trading live.
Cari dalam skrip untuk "Buy sell"
ATR+CCI Monetary Risk Tool - TP/SLโ๏ธ ATR+CCI Monetary Risk Tool โ Volatility-aware TP/SL & Position Sizing
Exact prices (no rounding), ATR-percentile dynamic stops, and risk-budget sizing for consistent execution.
๐ง What this indicator is
A risk-first planning tool. It doesnโt 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.
โจ 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 ร Max Risk % divided by SL distance ร 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 donโt maintain tick tables.
Non-repaint option: Work from closed bars to keep the plan stable.
๐ง 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 โฆ 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.
๐ How levels are computed
Bias: CCI โฅ 0 โ long, otherwise short.
ATR Percentile: Percent rank of ATR(atrPeriod) over a lookback window.
Effective SL Mult:
If percentile < Low threshold โ use Low SL Mult (tighter).
If between thresholds โ use Base SL Mult.
If percentile > High threshold โ use High SL Mult (wider).
Stop-Loss: SL = Entry ยฑ ATR ร SL_Mult (minus for long, plus for short).
Take-Profit: TP = Entry ยฑ (Entry โ SL) ร R (R from the R:R dropdown).
Position Size:
USD Risk = Balance ร Risk%
Contracts = USD Risk รท (|Entry โ SL| ร PointValue)
For futures, quantity is floored to whole contracts.
Exact prices: Entry/TP/SL and SL Distance are not rounded; theyโre truncated to mintick so what you see matches valid price increments.
๐ What youโll see on chart
Latest Entry (blue), TP (green), SL (red) with labels (optional emojis: โก๏ธ ๐ฏ ๐).
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
๐งช Practical examples
High-volatility session (e.g., XAUUSD, 1H): ATR percentile is high โ wider SL, smaller size. Reduces churn from normal noise during macro events.
Range-bound market (e.g., EURUSD, 4H): ATR percentile low โ 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.
๐งญ 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 marketโs current behavior, not last monthโs.
Discipline: A visible checklist (SL distance, size, USD risk) before you hit buy/sell.
๐ง 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 0.25โ1.0%; 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.
๐ก 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 contractsโsafer by design.
Journal trades with the table snapshot to improve risk discipline over time.
โ ๏ธ 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).
๐ Disclaimer
For educational purposes only. Not financial advice. Markets involve risk. Test thoroughly before trading live.
BuySell-byALHELWANI๐ฑ BuySell-byALHELWANI | ู
ุคุดุฑ ุงูุชุบูุฑุงุช ุงูุงุชุฌุงููุฉ ุงูุฐููุฉ
BuySell-byALHELWANI ูู ู
ุคุดุฑ ุงุญุชุฑุงูู ู
ุชูุฏูู
ูุฑุตุฏ ููุงุท ุงูุงูุนูุงุณ ุงูุญููููุฉ ูู ุญุฑูุฉ ุงูุณููุ ุจุงุณุชุฎุฏุงู
ุฎูุงุฑุฒู
ูุฉ ุชุนุชู
ุฏ ุนูู ุชุญููู ุงููู
ู
ูุงูููุนุงู ุงููููููุฉ ููุณุนุฑ (Structure-Based Detection) ูููุณ ุนูู ู
ุคุดุฑุงุช ุชูููุฏูุฉ.
ุงูู
ุคุดุฑ ู
ุจูู ุนูู ู
ูุชุจุฉ signalLib_yashgode9 ุงููููุฉุ ู
ุน ุชุฎุตูุต ูุงู
ู ูุฃุณููุจ ุงูุนุฑุถ ูุงูุชูุจููุงุช.
โ๏ธ ู
ุง ููุฏู
ู ุงูู
ุคุดุฑ:
๐น ุฅุดุงุฑุงุช ูุงุถุญุฉ ููุดุฑุงุก ูุงูุจูุน ุชุนุชู
ุฏ ุนูู ูุณุฑ ูููู ุงูุณูู.
๐น ุชุฎุตูุต ู
ุฑู ููุนู
ู ูุงูุงูุญุฑุงู ูุฎุทูุงุช ุงูุชุฑุงุฌุน (Backstep) ูุชุญุฏูุฏ ุงูุฏูุฉ ุงูู
ุทููุจุฉ.
๐น ุนูุงู
ุงุช ุฐููุฉ (Labels) ุชุธูุฑ ู
ุจุงุดุฑุฉ ุนูู ุงูุดุงุฑุช ุนูุฏ ูู ููุทุฉ ูุฑุงุฑ.
๐น ุชูุจููุงุช ุชููุงุฆูุฉ ููุฑูุฉ ุนูุฏ ูู ุชุบูุฑ ูู ุงูุงุชุฌุงู (Buy / Sell).
๐ง ุงูุขููุฉ ุงูู
ุณุชุฎุฏู
ุฉ:
DEPTH_ENGINE: ูุชุญูู
ูู ู
ุฏู ุนู
ู ุงููุธุฑ ูุญุฑูุฉ ุงูุณุนุฑ.
DEVIATION_ENGINE: ูุญุฏุฏ ุงูู
ุณุงูุฉ ุงูู
ุทููุจุฉ ูุชุฃููุฏ ููุทุฉ ุงูุงูุนูุงุณ.
BACKSTEP_ENGINE: ูุถู
ู ุฃู ูู ุฅุดุงุฑุฉ ุชุณุชูุฏ ุฅูู ุชุบูุฑ ููููู ุญูููู ูู ุงูุงุชุฌุงู.
๐ ุงูู
ู
ูุฒุงุช:
โ
ูุง ูุนูุฏ ุงูุฑุณู
(No Repaint)
โ
ูุนู
ู ุนูู ูู ุงูุฃุทุฑ ุงูุฒู
ููุฉ ููู ุงูุฃุณูุงู (ููุฑูุณุ ู
ุคุดุฑุงุชุ ูุฑูุจุชูุ ุฃุณูู
)
โ
ุชุตู
ูู
ุจุตุฑู ู
ุฑู (ุฃููุงูุ ุญุฌู
ุ ุดูุงููุฉ)
โ
ูุฏุนู
ุงูุงุณุชุฎุฏุงู
ูู ุงูุณูุงูุจููุบ ูุงูุณูููุบ
ู
ูุงุญุธุฉ:
ุงูู
ุคุดุฑ ูุง ูุนุทู ุฅุดุงุฑุงุช ุนุดูุงุฆูุฉุ ุจู ูุณุชูุฏ ุฅูู ู
ูุทู ุงูุณุนุฑ ุงูุญูููู ุนุจุฑ ุชุชุจุน ุงูุชุบูุฑุงุช ุงูุญุฑููุฉ ููุณูู.
ูููุถูู ุงุณุชุฎุฏุงู
ู ู
ุน ุฎุทุฉ ุชุฏุงูู ูุงุถุญุฉ ูุฅุฏุงุฑุฉ ุฑุฃุณ ู
ุงู ุตุงุฑู
ุฉ.
๐ฑ 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.
โ๏ธ Core Engine Features:
๐น Accurate Buy/Sell signals generated from structural highs and lows.
๐น 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.
๐ง What It Does:
๐ฉ Detects market structure shifts and confirms them visually.
๐ท๏ธ Plots clear Buy-point / Sell-point labels directly on the chart.
๐ Sends real-time alerts when a directional change is confirmed.
๐ฏ No repainting โ what you see is reliable and final.
โ
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.
๐ 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:
๐ง 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.
๐ง 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 priceโs 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.
โ๏ธ 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.
๐ Alerts:
โMads Morningstar Signalโ: Buy/Sell alerts based on EMA crossover.
๐ 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
๐ 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 7.0๐ท LANZ Strategy 7.0 โ 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.
๐ This is an indicator, not a strategy โ 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.
๐ง Core Logic & Features
๐ 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 sessionโs high triggers a BUY setup, and the first touch of the sessionโs low triggers a SELL setup.
Only one valid trade can be triggered per day โ the system locks after the first signal.
โ๏ธ 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 EPโSL 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.
โณ 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.
๐ฐ 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.
๐ผ๏ธ 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 โ โโ1.00%โ in red
TP hit โ โ+X.XX%โ in green
Manual close at Operative End โ shows actual % result in blue or purple.
๐ 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
๐งญ Execution Flow
Decision Session (Yellow) โ Capture high/low range.
Operative Session (Blue) โ 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 โ clean all visuals and notify.
๐ก 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.
๐จโ๐ป 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 โ IST EditionBTC/USD Confluence Breakout Pro โ 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 barsโ 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, LondonโUS 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 1mโ15m charts for intraday trading or 1Hโ4H for swings.
Works best during high-volatility IST windows (LondonโUS 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.
เนเธเธข
เธเธทเนเธญเธญเธดเธเธเธดเนเธเนเธเธญเธฃเน "SD Bands Filtered Signals: Reversion & Volatility Scanner"
เธเธณเธญเธเธดเธเธฒเธขเธซเธฅเธฑเธ:
เธญเธดเธเธเธดเนเธเนเธเธญเธฃเน SD Bands Filtered Signals เนเธเนเธเนเธเธฃเธทเนเธญเธเธกเธทเธญเธเธตเนเธเธนเธเธเธฑเธเธเธฒเธเธถเนเธเนเธเธทเนเธญเธเนเธงเธขเนเธซเนเธเธฑเธเนเธเธฃเธเธชเธฒเธกเธฒเธฃเธเธฃเธฐเธเธธเธชเธฑเธเธเธฒเธเธเธทเนเธญ (Buy) เนเธฅเธฐเธเธฒเธข (Sell) เธเธตเนเนเธกเนเธเธขเธณเธเธถเนเธเนเธเธเธฅเธฒเธเนเธเธ Sideways เธซเธฃเธทเธญเธเนเธงเธเธเธตเนเธฃเธฒเธเธฒเนเธเธฅเธทเนเธญเธเธเธตเนเนเธเธเธฃเธญเธเนเธเธเน เนเธเธขเนเธเนเธซเธฅเธฑเธเธเธฒเธฃเธเธญเธ Standard Deviation (SD) เนเธฅเธฐ Moving Average (MA) เนเธฅเธฐเนเธเธดเนเธกเธฃเธฐเธเธ 'เธเธฃเธญเธเธชเธฑเธเธเธฒเธ' เธเธตเนเนเธเนเธเนเธญเธเธฅเธฑเธเธฉเธเนเนเธเธทเนเธญเธฅเธเธชเธฑเธเธเธฒเธเธฃเธเธเธงเธ (Noise) เธเธตเนเนเธกเนเธเธณเนเธเนเธเธญเธญเธเนเธ
เธเธธเธเธชเธกเธเธฑเธเธดเนเธเนเธ:
* SD Bands: เธชเธฃเนเธฒเธเนเธชเนเธเธเธญเธเธเธเนเธฅเธฐเธฅเนเธฒเธเนเธเธทเนเธญเธฃเธฐเธเธธเนเธเธเธเธงเธฒเธกเธเธฑเธเธเธงเธเธเธญเธเธฃเธฒเธเธฒ เธเธณเนเธซเนเนเธซเนเธเธ เธฒเธเธฃเธงเธกเธเธญเธเธเธฅเธฒเธเนเธเนเธเนเธฒเธข
* เธชเธฑเธเธเธฒเธ Reversal เธญเธฑเธเธเธฃเธดเธขเธฐ: เธชเธฃเนเธฒเธเธชเธฑเธเธเธฒเธ Buy/Sell เธเธตเนเธเธนเธเธเธฑเธเธเธฃเธญเธเธกเธฒเนเธเนเธเธเธดเนเธจเธฉเธชเธณเธซเธฃเธฑเธเธเธฅเธขเธธเธเธเนเธเธฒเธฃเธเธฅเธฑเธเธเธฑเธง (Reversion to the Mean) เนเธเธขเธเธฐเธเธฃเธฒเธเธเนเธเธเธฒเธฐเนเธกเธทเนเธญเธเธฅเธฒเธเธกเธตเธเธงเธฒเธกเธเธฑเธเธเธงเธเธเนเธณเนเธฅเธฐเธฃเธฒเธเธฒเนเธเธฐเธเธญเธเธเธญเธ SD Bands
* เธฃเธฐเธเธเธเธฃเธญเธเธชเธฑเธเธเธฒเธเธเธฑเนเธเธชเธนเธ: เนเธเนเธเธฑเธงเนเธเธฃ Cooldown Bars เนเธเธทเนเธญเธเธณเธซเธเธเธฃเธฐเธขเธฐเนเธงเธฅเธฒเธเธฑเธเธชเธฑเธเธเธฒเธ เธเธณเนเธซเนเนเธกเนเนเธเธดเธเธฅเธนเธเธจเธฃเธเนเธณเน เนเธเนเธเธเนเธเธตเธขเธงเธเธฑเธ เนเธฅเธฐเธเนเธงเธขเนเธซเนเธเธธเธเนเธเนเธชเธฑเธเธเธฒเธเธเธตเนเธเธตเธเธตเนเธชเธธเธเนเธเธเธธเธเธเธตเนเนเธซเธกเธฒเธฐเธชเธกเธเธตเนเธชเธธเธ
* เธเธฃเธฑเธเนเธเนเธเนเธเนเนเธเนเธกเธเธตเน: เธเธธเธเธชเธฒเธกเธฒเธฃเธเธเธฃเธฑเธเธเนเธฒ Length, Multiplier, Sideways Threshold เนเธฅเธฐ Cooldown Bars เนเธเธทเนเธญเนเธซเนเนเธเนเธฒเธเธฑเธเธชเนเธเธฅเนเธเธฒเธฃเนเธเธฃเธเนเธฅเธฐเธเธนเนเธชเธดเธเธเธฃเธฑเธเธขเนเธเธตเนเธเธธเธเธชเธเนเธ
เธงเธดเธเธตเธเธฒเธฃเนเธเนเธเธฒเธ:
* เธชเธฑเธเธเธฒเธ Buy (เธฅเธนเธเธจเธฃเธชเธตเนเธเธตเธขเธงเธเธถเนเธ): เธกเธญเธเธซเธฒเธชเธฑเธเธเธฒเธเธเธตเนเนเธกเธทเนเธญเธเธฅเธฒเธเธญเธขเธนเนเนเธเธเนเธงเธ Sideways เนเธฅเธฐเธฃเธฒเธเธฒเธงเธดเนเธเธฅเธเธกเธฒเนเธเธฐเนเธชเนเธเธเธญเธเธฅเนเธฒเธ (SD Low)
* เธชเธฑเธเธเธฒเธ Sell (เธฅเธนเธเธจเธฃเธชเธตเนเธเธเธฅเธ): เธกเธญเธเธซเธฒเธชเธฑเธเธเธฒเธเธเธตเนเนเธกเธทเนเธญเธเธฅเธฒเธเธญเธขเธนเนเนเธเธเนเธงเธ Sideways เนเธฅเธฐเธฃเธฒเธเธฒเธงเธดเนเธเธเธถเนเธเนเธเนเธเธฐเนเธชเนเธเธเธญเธเธเธ (SD High)
* เธเธฒเธฃเธเธฃเธฑเธเนเธเนเธ: เธเธธเธเธชเธฒเธกเธฒเธฃเธเธเธฃเธฑเธเธเนเธฒ Cooldown Bars เนเธเธทเนเธญเนเธซเนเนเธเนเธเธณเธเธงเธเธฅเธนเธเธจเธฃเธเธตเนเธเนเธญเธเธเธฒเธฃ เธซเธฒเธเธเนเธญเธเธเธฒเธฃเธชเธฑเธเธเธฒเธเธเธตเนเนเธกเนเธเธขเธณเธเธถเนเธเนเธเนเธเธณเธเธงเธเธเนเธญเธขเธฅเธ เนเธซเนเนเธเธดเนเธกเธเนเธฒเธเธตเนเนเธซเนเธชเธนเธเธเธถเนเธ
เธเนเธญเธเธงเธฃเธฃเธฐเธงเธฑเธ:
* เธญเธดเธเธเธดเนเธเนเธเธญเธฃเนเธเธตเนเนเธเนเธเนเธเธตเธขเธเนเธเธฃเธทเนเธญเธเธกเธทเธญเธงเธดเนเธเธฃเธฒเธฐเธซเน เนเธกเนเนเธเนเธชเธฑเธเธเธฒเธเธเธตเนเธเธฒเธฃเธฑเธเธเธตเธเธฅเธเธณเนเธฃ 100%
* เธเธงเธฃเนเธเนเธเธฃเธฐเธเธญเธเธเธฑเธเธเธฒเธฃเธงเธดเนเธเธฃเธฒเธฐเธซเนเธญเธทเนเธเน เนเธเนเธ เธฃเธนเธเนเธเธเนเธเนเธเนเธเธตเธขเธ, เธเธฃเธดเธกเธฒเธเธเธฒเธฃเธเธทเนเธญเธเธฒเธข (Volume) เนเธฅเธฐเธเธฒเธฃเธเธฑเธเธเธฒเธฃเธเธงเธฒเธกเนเธชเธตเนเธขเธเธเธตเนเนเธซเธกเธฒเธฐเธชเธก
ai quant oculusAI QUANT OCULUS
Version 1.0 | Pine Script v6
Purpose & Innovation
AI QUANT OCULUS integrates four distinct technical conceptsโexponential trend filtering, adaptive smoothing, momentum oscillation, and Gaussian smoothingโinto a single, cohesive system that delivers clear, objective buy and sell signals along with automatically plotted stop-loss and three profit-target levels. This mash-up goes beyond a simple EMA crossover or standalone TRIX oscillator by requiring confluence across trend, adaptive moving averages, momentum direction, and smoothed price action, reducing false triggers and focusing on highโprobability turning points.
How It Works & Why Its Components Matter
Trend Filter: EMA vs. Adaptive MA
EMA (20) measures the prevailing trend with fixed sensitivity.
Adaptive MA (also EMA-based, length 10) approximates a faster-responding moving average, standing in for a KAMA-style filter.
Bullish bias requires AMA > EMA; bearish bias requires AMA < EMA. This ensures signals align with both the underlying trend and a more nimble view of recent price action.
Momentum Confirmation: TRIX
Calculates a triple-smoothed EMA of price over TRIX Length (15), then converts it to a percentage rate-of-change oscillator.
Positive TRIX reinforces bullish entries; negative TRIX reinforces bearish entries. Using TRIX helps filter whipsaws by focusing on sustained momentum shifts.
Gaussian Price Smoother
Applies two back-to-back 5-period EMAs to the price (โgaussianโ smoothing) to remove short-term noise.
Price above the smoothed line confirms strength for longs; below confirms weakness for shorts. This layer avoids entries on erratic spikes.
Confluence Signals
Buy Signal (isBull) fires only when:
AMA > EMA (trend alignment)
TRIX > 0 (momentum support)
Close > Gaussian (price strength)
Sell Signal (isBear) fires under the inverse conditions.
Requiring all three conditions simultaneously sharply reduces false triggers common to single-indicator systems.
Automatic Risk & Reward Plotting
On each new buy or sell signal (edge detection via not isBull or not isBear ), the script:
Stores entryPrice at the signal barโs close.
Draws a stop-loss line at entry minus ATR(14) ร Stop Multiplier (1.5) by default.
Plots three profit-target lines at entry plus ATR ร Target Multiplier (1ร, 1.5ร, and 2ร).
All previous labels and lines are deleted on each new signal, keeping the chart uncluttered and focusing only on the current trade.
Inputs & Customization
Input Description Default
EMA Length Period for the main trend EMA 20
Adaptive MA Length Period for the faster adaptive EM A substitute 10
TRIX Length Period for the triple-smoothed momentum oscillator 15
Dominant Cycle Length (Reserved) 40
Stop Multiplier ATR multiple for stop-loss distance 1.5
Target Multiplier ATR multiple for first profit target 1.5
Show Buy/Sell Signals Toggle on-chart labels for entry signals On
How to Use
Apply to Chart: Best on 15 mโ1 h timeframes for swing entries or 5 m for agile scalps.
Wait for Full Confluence:
Look for the AMA to cross above/below the EMA and verify TRIX and Gaussian conditions on the same bar.
A bright โLONGโ or โSHORTโ label marks your entry.
Manage the Trade:
Place your stop where the red or green SL line appears.
Scale or exit at the three yellow TP1/TP2/TP3 lines, automatically drawn by volatility.
Repeat Cleanly: Each new signal clears prior annotations, ensuring you only track the active setup.
Why This Script Stands Out
Multi-Layer Confluence: Trend, momentum, and noise-reduction must all align, addressing the weaknesses of single-indicator strategies.
Automated Trade Management: No manual plottingโstop and target lines appear seamlessly with each signal.
Transparent & Customizable: All logic is open, adjustable, and clearly documented, allowing traders to tweak lengths and multipliers to suit different instruments.
Disclaimer
No indicator guarantees profit. Always backtest AI QUANT OCULUS extensively, combine its signals with your own analysis and risk controls, and practice sound money management before trading live.
Mean Reversion & Momentum Hybrid | D_QUANT ๐ Mean Reversion & Momentum Hybrid | D_QUANT
๐ Description:
This indicator combines mean reversion logic, volatility filtering, and percentile-based momentum to deliver clear, context-aware buy/sell signals designed for trend-following and contrarian setups.
At its core, it merges:
A Bollinger Band % Positioning Model (BB%)
A 75th/25th Percentile Momentum System
A Volatility-Adjusted Trend Filter using RMA + ATR
All tied together with a dynamic gradient-style oscillator that visualizes signal strength and persistence over time โ making it easy to track high-conviction setups.
Signals only trigger when all three core components align, filtering out noise and emphasizing high-probability turning points or trend continuations.
โ๏ธ Methodology Overview:
Bollinger Bands % (BB%):
Price is measured as a percentage between upper and lower Bollinger Bands (based on OHLC4). Entries are only considered when price exceeds custom BB% thresholds โ emphasizing market extremes.
Volatility-Based Trend Filter (RMA + ATR):
A smoothed RMA baseline is paired with ATR to define trend bias. This ensures signals only occur when price deviates meaningfully beyond recent volatility.
Percentile Momentum Model (75th/25th Rank):
Price is compared against its rolling 75th and 25th percentile. If price breaks these statistical boundaries (adjusted by ATR), it triggers a directional momentum condition.
Signal Consensus Engine:
All three layers must agree โ BB% condition, trend filter, and percentile momentum โ before a buy or sell signal is plotted.
Gradient Oscillator Visualization:
Signals appear as a fading oscillator line with a gradient-filled area beneath it. The color intensity represents how โfreshโ or โstrongโ the signal is, fading over time if not reconfirmed, offering both clarity and signal aging at a glance.
๐ง User Inputs:
๐ง Core Settings:
Source: Select the price input (default: close)
Bollinger Bands Length: Period for BB basis and deviation
Bollinger Bands Multiplier: Width of the bands
Minimum BB Width (% of Price): Prevents signals during low-volatility chop
๐ BB% Thresholds:
BB% Long Threshold (L): Minimum %B to consider a long
BB% Short Threshold (S): Maximum %B to consider a short
๐ Trend Filter Parameters:
RMA Length: Period for the smoothed trend baseline
ATR Length: Lookback for ATR in trend deviation filter
โก๏ธ Momentum Parameters:
Momentum Length: Period for percentile momentum calculation
Mult_75 / Mult_25: ATR-adjusted thresholds for breakout above/below percentile levels
๐จ Visualization:
Bar Coloring: Highlights candles during active signals
Background Coloring: Optional background shading for signals
Show Oscillator Plot: Toggle the gradient-style oscillator
๐งช Use Case:
This indicator works well across all assets for trend identification. It is particularly effective when used on higher timeframes (e.g. 12H, 1D,2D) to capture mean reversion bounces or confirm breakouts backed by percentile momentum and volatility expansion.
โ ๏ธ Notes:
This is not financial advice. Use in combination with proper risk management and confluence from other tools.
Multi-Indicator Trading System v2Multi-Indicator Trading System (MITS)
Purpose:
Using WVMA (Volume Weighted Moving Average) + EMA 50 + Bollinger Bands to capture trend reversal points and generate buy/sell signals.
What It Does:
WVMA line shows volume-based price momentum
EMA 50 determines main trend direction
Bollinger Bands display volatility range
BUY signal when price crosses above WVMA and is above EMA
SELL signal when price crosses below WVMA and is below EMA
In Short: Combines Volume + Trend + Volatility to find strong entry points.
Ayman โ Full Smart Suite Auto/Manual Presets + PanelIndicator Name
Ayman โ Full Smart Suite (OB/BoS/Liq/FVG/Pin/ADX/HTF) + Auto/Manual Presets + Panel
This is a multi-condition trading tool for TradingView that combines advanced Smart Money Concepts (SMC) with classic technical filters.
It generates BUY/SELL signals, draws Stop Loss (SL) and Take Profit (TP1, TP2) levels, and displays a control panel with all active settings and conditions.
1. Main Features
Smart Money Concepts Filters:
Order Block (OB) Zones
Break of Structure (BoS)
Liquidity Sweeps
Fair Value Gaps (FVG)
Pin Bar patterns
ADX filter
Higher Timeframe EMA filter (HTF EMA)
Two Operating Modes:
Auto Presets: Automatically adjusts all settings (buffers, ATR multipliers, RR, etc.) based on your chart timeframe (M1/M5/M15).
Manual Mode: Fully customize all parameters yourself.
Trade Management Levels:
Stop Loss (SL)
TP1 โ partial profit
TP2 โ full profit
Visual Panel showing:
Current settings
Filter status
Trend direction
Last swing levels
SL/TP status
Alerts for BUY/SELL conditions
2. Entry Conditions
A BUY signal is generated when all these are true:
Trend: Price above EMA (bullish)
HTF EMA: Higher timeframe trend also bullish
ADX: Trend strength above threshold
OB: Price in a valid bullish Order Block zone
BoS: Structure break to the upside
Liquidity Sweep: Sweep of recent lows in bullish context
FVG: A bullish Fair Value Gap is present
Pin Bar: Bullish Pin Bar pattern detected (if enabled)
A SELL signal is generated when the opposite conditions are met.
3. Stop Loss & Take Profits
SL: Placed just beyond the last swing low (BUY) or swing high (SELL), with a small ATR buffer.
TP1: Partial profit target, defined as a ratio of the SL distance.
TP2: Full profit target, based on Reward:Risk ratio.
4. How to Use
Step 1 โ Apply Indicator
Open TradingView
Go to your chart (recommended: XAUUSD, M1/M5 for scalping)
Add the indicator script
Step 2 โ Choose Mode
AUTO Mode: Leave โUse Auto Presetsโ ON โ parameters adapt to your timeframe.
MANUAL Mode: Turn Auto OFF and adjust all lengths, buffers, RR, and filters.
Step 3 โ Filters
In the Filters On/Off section, enable/disable specific conditions (OB, BoS, Liq, FVG, Pin Bar, ADX, HTF EMA).
Step 4 โ Trading the Signals
Wait for a BUY or SELL arrow to appear.
SL and TP levels will be plotted automatically.
TP1 can be used for partial close and TP2 for full exit.
Step 5 โ Alerts
Set alerts via BUY Signal or SELL Signal to receive notifications.
5. Best Practices
Scalping: Use M1 or M5 with AUTO mode for gold or forex pairs.
Swing Trading: Use M15+ and adjust buffers/ATR manually.
Combine with price action confirmation before entering trades.
For higher accuracy, wait for multiple filter confirmations rather than acting on the first arrow.
6. Summary Table
Feature Purpose Can Disable?
Order Block Finds key supply/demand zones โ
Break of Structure Detects trend continuation โ
Liquidity Sweep Finds stop-hunt moves โ
Fair Value Gap Confirms imbalance entries โ
Pin Bar Price action reversal filter โ
ADX Trend strength filter โ
HTF EMA Higher timeframe confirmation โ
Ayman Entry Signal โ Ultimate PRO (Scalping Gold Settings)1. Overview
This indicator is a professional gold scalping tool built for TradingView using Pine Script v6.
It combines multiple price action and technical filters to generate high-probability Buy/Sell signals with built-in trade management features (TP1, TP2, SL, Break Even, Partial Close, Stats tracking).
It is optimized for XAUUSD but can be applied to other assets with proper setting adjustments.
2. Key Features
Multi-Condition Trade Signals โ EMA trend, Break of Structure, Order Blocks, FVG, Liquidity Sweeps, Pin Bars, Higher Timeframe confirmation, Trend Cloud, SMA Cross, and ADX.
Full Trade Management โ Auto-calculates lot size, SL, TP1, TP2, Break Even, Partial Close.
Dynamic Chart Drawing โ Entry lines, SL/TP lines, trade boxes, and real-time PnL.
Statistics Panel โ Tracks wins, losses, breakeven trades, and total PnL over selected dates.
Customizable Filters โ All filters can be turned ON/OFF to match your strategy.
3. Main Inputs & Settings
Account Settings
Capital ($) โ Total trading capital.
Risk Percentage (%) โ Risk per trade.
TP to SL Ratio โ Risk-to-reward ratio.
Value Per Point ($) โ Value per pip/point for lot size calculation.
SL Buffer โ Extra points added to SL to avoid stop hunts.
Take Profit Settings
TP1 % of Full Target โ Fraction of TP1 compared to TP2.
Move SL to Entry after TP1? โ Activates Break Even after TP1.
Break Even Buffer โ Extra points when moving SL to BE.
Take Partial Close at TP1 โ Option to close half at TP1.
Signal Filters
ATR Period โ For SL/TP calculation buffer.
EMA Trend โ Uses EMA 9/21 crossover for trend.
Break of Structure (BoS) โ Requires structure break confirmation.
Order Block (OB) โ Validates trades within OB zones.
Fair Value Gap (FVG) โ Confirms trades inside FVGs.
Liquidity Sweep โ Checks if liquidity zones are swept.
Pin Bar Confirmation โ Uses candlestick patterns for extra confirmation.
Pin Bar Body Ratio โ Controls strictness of Pin Bar filter.
Higher Timeframe Filters (HTF)
HTF EMA Confirmation โ Confirms lower timeframe trades with higher timeframe trend.
HTF BoS โ Confirms with higher timeframe structure break.
HTF Timeframe โ Selects higher timeframe.
Advanced Filters
SuperTrend Filter โ Confirms trades based on SuperTrend.
ADX Filter โ Filters out low volatility periods.
SMA Cross Filter โ Uses SMA 8/9 cross as filter.
Trend Cloud Filter โ Uses EMA 50/200 as a cloud trend filter.
4. How It Works
Buy Signal Conditions
EMA 9 > EMA 21 (trend bullish)
Optional filters (BoS, OB, FVG, Liquidity Sweep, Pin Bar, HTF confirmations, ADX, SMA Cross, Trend Cloud) must pass if enabled.
When all active filters pass โ Buy signal triggers.
Sell Signal Conditions
EMA 9 < EMA 21 (trend bearish)
Same filtering process but for bearish conditions.
When all active filters pass โ Sell signal triggers.
5. Trade Execution & Management
When a signal triggers:
Lot size is auto-calculated based on risk % and SL distance.
SL is placed beyond recent swing high/low + ATR buffer.
TP1 and TP2 are calculated from the SL using the reward-to-risk ratio.
Break Even: If enabled, SL moves to entry price after TP1 is hit.
Partial Close: If enabled, half of the position closes at TP1.
Trade Exit: Full exit at TP2, SL hit, or partial close at TP1.
6. Chart Display
Entry Line โ Shows entry price.
SL Line โ Red dashed line at stop loss level.
TP1 Line โ Lime dashed line for TP1.
TP2 Line โ Green dashed line for TP2.
PnL Labels โ Displays real-time profit/loss in $.
Trade Box โ Visual area showing trade range.
Pin Bar Shapes โ Optional, marks Pin Bars.
7. Statistics Panel
Stats Header โ Shows โStatsโ.
Total Trades
Wins
Losses
Breakeven Trades
Total PnL
Can be reset or filtered by date.
8. How to Use
Load the Indicator in TradingView.
Select Gold (XAUUSD) on your preferred scalping timeframe (1m, 5m, 15m).
Adjust settings:
Use default gold scalping settings for quick start.
Enable/disable filters according to your style.
Wait for a Buy/Sell alert.
Confirm visually that all desired conditions align.
Place trade with calculated lot size, SL, and TP levels shown on chart.
Let trade run โ the indicator manages Break Even & Partial Close if enabled.
9. Recommended Timeframes
Scalping: 1m, 5m, 15m
Day Trading: 15m, 30m, 1H
Swing: 4H, Daily (adjust settings accordingly)
Manadi Buy/Sell Strategy EMA + MACD + RSI + AlertsIt is a strategy / indicator of buy and sell special crypto for 15 min to 1 h time frame.
used with RSI, Macd, and Ema cros 9/21
Professional ORB Strategy - BUY & Sell signal- Ganesh SelvarayarORB 15 mins strategy buy and sell signal, with point system for your target
AshishBediSPLAshishBediSPL: Dynamic Premium Analysis with Integrated Signals
This indicator provides a comprehensive view of combined options premiums by aggregating data from Call and Put contracts for a selected index and expiry. It integrates multiple popular technical indicators like EMA Crossover, Supertrend, VWAP, RSI, and SMA, allowing users to select their preferred tools for generating dynamic buy and sell signals directly on the premium chart.
AshishBediSPL" is a powerful TradingView indicator designed to analyze options premiums. It calculates a real-time combined premium for a chosen index (NIFTY, BANKNIFTY, FINNIFTY, etc.) and specific expiry date. You have the flexibility to visualize the premium of Call options, Put options, or a combined premium of both.
The indicator then overlays several popular technical analysis tools, which you can selectively enable:
EMA Crossover: Identify trend changes with configurable fast and slow Exponential Moving Averages.
Supertrend: Detect trend direction and potential reversal points.
VWAP (Volume Weighted Average Price): Understand the average price of the premium considering trading volume.
RSI (Relative Strength Index): Gauge momentum and identify overbought/oversold conditions.
SMA (Simple Moving Average): Analyze price smoothing and trend identification.
Based on your selected indicators, the tool generates clear "Buy" and "Sell" signals directly on the chart, helping you identify potential entry and exit points. Customizable alerts are also available to keep you informed.
Unlock a new perspective on options trading with "AshishBediSPL." This indicator focuses on the combined value of options premiums, giving you a consolidated view of market sentiment for a chosen index and expiry.
Instead of just looking at individual option prices, "AshishBediSPL" blends the Call and Put premiums (or focuses on one, based on your preference) and empowers you with a suite of built-in technical indicators: EMA, Supertrend, VWAP, RSI, and SMA. Pick the indicators that resonate with your strategy, and let the tool generate actionable buy and sell signals right on your chart. With customizable alerts, you'll never miss a crucial market move. Gain deeper insights and make more informed trading decisions with "AshishBediSPL.
Combined options premium: This accurately describes what your indicator calculates.
Selected index and expiry: Essential inputs for the indicator.
Call/Put options or combined: Explains the flexibility in data display.
Multiple technical indicators (EMA Crossover, Supertrend, VWAP, RSI, SMA): Lists the analysis tools included.
Buy/Sell signals: The primary output of the indicator.
Customizable alerts: A valuable feature for users.
CCI Turbo Pro [CongTrader]๐ Full Description for Publishing โ CCI Turbo Pro
โก๏ธ CCI Turbo Pro โ Advanced CCI with Reversal Zones & Alerts
This advanced CCI (Commodity Channel Index) indicator is built for traders who want enhanced reversal signals, customizable extreme zones, and dynamic alerts. It improves the classic CCI with better visual cues and momentum filtering to help you avoid false signals.
๐ ๏ธ How to Use:
CCI Length (default = 20): Adjust based on your trading timeframe.
Overbought/Oversold Zones:
Overbought = 200
Oversold = -200
Extreme OB = 300 (red zone)
Extreme OS = -300 (green zone)
When the CCI crosses from below โ200 โ BUY signal
When the CCI crosses from above +200 โ SELL signal
Background turns green/red in extreme zones
Optional labels show entry signals clearly
This indicator is useful for:
Reversal Trading
Momentum Shifts
Scalping, Swing, or Intraday strategies
Overbought/Oversold Confirmation
Works on:
Any asset (Crypto, Forex, Stocks, Indices)
Any timeframe
๐ Alerts Included:
๐ CCI Buy Alert โ CCI crossed up from oversold
๐ CCI Sell Alert โ CCI crossed down from overbought
๐จ Extreme OB/OS Alert โ CCI enters extreme reversal zone
Alerts help you stay informed even when away from the screen.
๐ Keywords (for search discovery):
CCI, CCI Reversal, CCI Alert, Turbo CCI, Advanced CCI, CCI Zones, CCI Overbought, CCI Oversold, Momentum Reversal, CCI Scalping, CongTrader, CCI Buy Sell, Technical Indicator
๐ Thank You
If this indicator adds value to your trading, please give it a ๐, leave a comment, or follow for more free tools from CongTrader. Your support helps independent creators grow the community.
โ ๏ธ Disclaimer
This indicator is for educational purposes only and does not constitute financial advice. Use this tool with your own judgment and risk management. Past performance does not guarantee future results.
โ๏ธ Created by CongTrader โ Free, Open-Source Tools for Smarter Traders...
MACD Indicator [CongTrader]๐ Full Description for Publishing โ Advanced MACD Indicator
๐ Advanced MACD Indicator with Alerts & Visual Zones
This advanced MACD indicator is designed for traders who want enhanced visual clarity, precision, and alert-based trading using the classic MACD formula. It features:
Customizable MACD, Signal, and Histogram lengths
Clean plotting with bullish/bearish crossover highlights
Colored histogram bars based on momentum direction
Alert conditions when MACD crosses above or below Signal
Optional zero-line display and background highlights
๐ ๏ธ How to Use:
Use default settings (12, 26, 9) or customize for faster/slower signals
Green histogram = bullish momentum, Red = bearish
Background turns green when MACD crosses above signal (buy cue)
Background turns red when MACD crosses below signal (sell cue)
Histogram bars increase or decrease as momentum strengthens or fades
This tool helps identify:
Momentum shifts
Trend continuation or reversal zones
Entry/exit timing with alerts
Works on:
Any timeframe
All markets (Crypto, Forex, Stocks, Futures)
๐ Alerts Included:
๐ MACD Bullish Crossover โ Triggered when MACD crosses above the Signal line
๐ MACD Bearish Crossover โ Triggered when MACD crosses below the Signal line
You can enable these alerts via the TradingView alert system for real-time notifications.
๐ SEO Keywords (for discovery):
MACD, MACD Histogram, MACD Alert, MACD Signal, MACD Indicator, Momentum Indicator, Advanced MACD, MACD Trading, MACD Visual, MACD Tool, MACD Buy Sell, CongTrader
๐ Thank You
If you enjoy using this indicator, feel free to leave a thumbs up ๐, comment your thoughts, or follow me for more free trading tools. Your support keeps the community growing!
โ ๏ธ Disclaimer
This script is for educational purposes only and does not constitute financial advice. All trading involves risk. Use this indicator with your own analysis and discretion.
โ๏ธ Created by CongTrader โ sharing quality tools for the global trading community..
BTC Fractal Momentum ExtremesDescription โ BTC Fractal Momentum Extremes (BTCFME)
BTC Fractal Momentum Extremes (BTCFME) is a multi-factor, multi-method technical indicator designed to detect potential top and bottom reversal points in Bitcoin price action by integrating a confluence of unconventional signals. It combines fractals, adaptive momentum, volume dynamics, price velocity convergence, and market structure shifts โ all filtered through real-time volatility and contextualized by temporal market conditions.
This tool is best used by traders looking to spot high-confidence turning points on intraday or swing timeframes, and works particularly well in volatile, momentum-driven environments.
Key Components & Methodology
BTCFME utilizes five independent signal-generation methods:
1. Fractal Volume Divergence
Detects reversal fractals in price (5-bar patterns) and validates them with volume anomalies:
Volume spikes (e.g., climax moves) or
Volume exhaustion (e.g., waning participation)
2. Adaptive Momentum Oscillator
Calculates momentum normalized by ATR-adjusted volatility, filtering out noise in choppy markets. It spots directional shifts when momentum inflects from extreme levels.
3. Market Structure Breaks
Identifies dynamic support and resistance using a configurable lookback, and flags potential breakouts or breakdowns from those levels.
4. Price Velocity Convergence
Analyzes the rate of change (velocity) and its acceleration. When both compress within a narrow volatility range, it signals a potential inflection zone.
5. Temporal Confluence Filter
Signals are only considered valid during active market hours (9 AM โ 4 PM, excluding weekends) to reduce false positives during illiquid or inefficient trading periods.
Signal Logic & Sensitivity
Signals are generated when at least 3 out of 4 core methods agree, controlled by the Signal Sensitivity setting:
1 (High Sensitivity) = Trigger signals with fewer confirmations
5 (Low Sensitivity) = Require stronger multi-factor confluence
๐น Buy (Bottom) Signals trigger when:
Bullish fractals appear
Momentum is deeply negative but improving
Price tests structure support
Velocity compresses below average
๐บ Sell (Top) Signals trigger when:
Bearish fractals with volume spikes appear
Momentum peaks and starts to decline
Price tests resistance
Velocity compresses near highs
Visual Features
Arrows: Buy signals = green arrow below candle. Sell signals = red arrow above candle.
Background Color: Indicates overall momentum regime (green = bullish bias, red = bearish, gray = neutral).
Dynamic Support & Resistance Lines: Based on recent swing highs/lows.
Signal Table (top-right): Shows real-time stats on:
Momentum value
Volatility factor
Volume strength (vs. 20-SMA)
Market structure status
Alerts
You can set alerts using the built-in conditions:
BTC Bottom Alert โ Fires on potential market bottoms.
BTC Top Alert โ Fires on potential market tops.
These alerts are filtered to avoid whipsaw conditions, by checking that opposite signals did not trigger in the last 2 candles.
How to Use
Timeframes: Best suited for 1Hโ4H and Daily BTC charts, but adaptable to others with parameter tuning.
Confirm with Price Action: Use BTCFME signals in conjunction with candlestick patterns or S/R zones for best results.
Adjust Sensitivity: Lower values catch more signals (good for scalping), higher values filter for stronger reversals (ideal for swing trades).
Use in Trending or Reversing Markets: BTCFME performs best during trending environments or volatile reversals โ avoid during prolonged flat/ranging zones.
Notes & Recommendations
BTCFME is not a standalone buy/sell signal; combine it with risk management and trend confirmation tools.
Avoid using it during extremely low-volume sessions (e.g., late weekends).
Adjust parameters based on BTC's evolving volatility and your trading style.
1EMA + 1MACD + 1RSI Crypto Strategy AB 092Title: EMA + MACD + RSI Crypto Strategy
Overview:
This is a trend-following and momentum-based crypto trading strategy built for 1H, 4H, and 1D timeframes, combining three proven indicators:
EMA 50 & EMA 200 Crossover โ identifies long-term trend direction.
MACD Crossover (12, 26, 9) โ confirms momentum shift.
RSI Filter (14) โ avoids overbought/oversold traps and refines entries.
Buy Entry Conditions:
EMA 50 > EMA 200 (Golden Cross)
MACD line crosses above signal line
RSI is between 45 and 70
Sell Entry Conditions:
EMA 50 < EMA 200 (Death Cross)
MACD line crosses below signal line
RSI is between 30 and 55
Risk Management:
Configurable Take Profit and Stop Loss percentages via inputs.
Default: 3% TP, 1.5% SL (adjustable based on timeframe and asset volatility).
Best For:
Intraday trades on 1H (BTC, ETH, SOL)
Swing trades on 4H
Position entries on 1D (top 50 altcoins)
This script includes visual Buy/Sell signals, alert conditions, and customizable SL/TP logic โ making it a clean, actionable, and reliable strategy for crypto traders.
Smart Confluence + WinRateTwo EMAs (Fast/Slow)
Scoring Signal System (โฅ 2 conditions = Buy/Sell)
Display Buy/Sell Arrows on Chart
Backtest System
Results Table: Trades, Wins, Losses, Win Rate %
GCM Volatility-Adaptive Trend ChannelScript Description
Name: GCM Volatility-Adaptive Trend Channel (GCM VATC)
Overview
The GCM Volatility-Adaptive Trend Channel (VATC) is a comprehensive trading tool that merges the low-lag, smooth-trending capabilities of the Jurik Moving Average (JMA) with the classic volatility analysis of Bollinger Bands (BB).
By displaying both trend and volatility in a single, intuitive interface, this indicator aims to help traders see when a trend is stable versus when it's becoming volatile and might be poised for a change.
Core Components:
JMA Trend System: At its core are three dynamically colored JMA lines (Baseline, Fast, and Slow) that provide a clear view of trend direction. The lines change color based on their slope, offering immediate visual feedback on momentum. A colored ribbon between the Baseline and Fast JMA visualizes shorter-term momentum shifts.
Standard Bollinger Bands: Layered on top are standard Bollinger Bands. Calculated from the price, these bands serve as a classic measure of market volatility. They help identify periods where the market is expanding (high volatility) or contracting (low volatility).
How to Use It
By combining these two powerful concepts, this indicator provides a unified view of both trend and volatility. It can help traders to:
Identify the primary trend direction using the smooth JMA lines.
Gauge the strength and stability of that trend.
See when the market is becoming volatile (bands widening) or consolidating (bands contracting), which can often precede a significant price move or a change in trend.
A Note on Originality & House Rules Compliance
This indicator does not introduce a new mathematical formula. Instead, its strength lies in the thoughtful combination of two well-respected, publicly available concepts: the Jurik Moving Average and Bollinger Bands. The JMA implementation is a standard public version. The goal was to create a practical, all-in-one tool for trend and volatility analysis.
This script is published as fully open-source in compliance with TradingView's House Rules. It utilizes standard, publicly available algorithms and does not contain any protected or hidden code.
Settings
All lengths, sources, and colors for the JMA lines and Bollinger Bands are fully customizable in the settings menu, allowing you to tailor the indicator to your specific trading style and asset.
I hope with this indicator Traders even Beginner can can control their emotions which increase the probabilities of the winning rates and cutting the losing strength
Purposely I Didn't plant the High low or Buy Sell signals in the chart. Because everything is in the chart where volatility Signal with the Bollinger Band and Buy Sell Signal in the JMA Dynamic colors. and that's enough to decide when to take trade and when not to.
Thank You and Happy Trading
9:45am NIFTY TRADINGTime Frame: 15 Minutes | Reference Candle Time: 9:45 AM IST | Valid Trading Window: 3 Hours
๐ Introduction
This document outlines a structured trading strategy for NIFTY & BANKNIFTY Options based on a 15-minute timeframe with a 9:45 AM IST reference candle. The strategy incorporates technical indicators, probability analysis, and strict trading rules to optimize entries and exits.
๐ Core Features
1. Reference Time Trading System
9:45 AM IST Candle acts as the reference for the day.
All signals (Buy/Sell/Reversal) are generated based on price action relative to this candle.
The valid trading window is 3 hours after the reference candle.
2. Signal Generation Logic
Signal Condition
Buy (B) Price breaks above reference candle high with confirmation
Sell (S) Price breaks below reference candle low with confirmation
Reversal (R) Early trend reversal signal (requires strict confirmation)
3. Probability Analysis System
The strategy calculates Win Probability (%) using 4 components:
Component Weight Calculation
Body Win Probability 30% Based on candle body strength (body % of total range)
Volume Win Probability 30% Current volume vs. average volume strength
Trend Win Probability 40% EMA crossover + RSI momentum alignment
Composite Probability - Weighted average of all 3 components
Probability Color Coding:
๐ข Green (High Probability): โฅ70%
๐ Orange (Medium Probability): 50-69%
๐ด Red (Low Probability): <50%
4. Timeframe Enforcement
Strictly 15-minute charts only (no other timeframes allowed).
System auto-disables signals if the wrong timeframe is selected.
๐ Technical Analysis Components
1. EMA System (Trend Analysis)
Short EMA (9) โ Fast trend indicator
Middle EMA (20) โ Intermediate trend
Long EMA (50) โ Long-term trend confirmation
Rules:
Buy Signal: Price > 9 EMA > 20 EMA > 50 EMA (Bullish trend)
Sell Signal: Price < 9 EMA < 20 EMA < 50 EMA (Bearish trend)
2. Multi-Timeframe RSI (Momentum)
5M, 15M, 1H, 4H, Daily RSI values are compared for divergence/confluence.
Overbought (โฅ70) / Oversold (โค30) conditions help in reversal signals.
3. Volume Analysis
Volume Strength (%) = (Current Volume / Avg. Volume) ร 100
Strong Volume (>120% Avg.) confirms breakout/breakdown.
4. Body Percentage (Candle Strength)
Body % = (Close - Open) / (High - Low) ร 100
Strong Bullish Candle: Body > 60%
Strong Bearish Candle: Body < 40%
๐ Visual Elements
1. Information Tables
Reference Data Table (9:45 AM Candle High/Low/Close)
RSI Values Table (5M, 15M, 1H, 4H, Daily)
Signal Legend (Buy/Sell/Reversal indicators)
2. Chart Overlays
Reference Lines (9:45 AM High & Low)
EMA Lines (9, 20, 50)
Signal Labels (B, S, R)
3. Color Coding
High Probability (Green)
Medium Probability (Orange)
Low Probability (Red)
โ ๏ธ Important Usage Guidelines
โ
Best Practices:
Trade only within the 3-hour window (9:45 AM - 12:45 PM IST).
Wait for confirmation (closing above/below reference candle).
Use probability score to filter high-confidence trades.
โ Avoid:
Trading outside the 15-minute timeframe.
Ignoring volume & RSI divergence.
Overtrading โ Stick to 1-2 high-probability setups per day.
๐ฏ Conclusion
This NIFTY Trading Strategy is optimized for 15-minute charts with a 9:45 AM IST reference candle. It combines EMA trends, RSI momentum, volume analysis, and probability scoring to generate high-confidence signals.
๐ Key Takeaways:
โ Reference candle defines the dayโs bias.
โ Probability system filters best trades.
โ Strict 15M timeframe ensures consistency.
Happy Trading! ๐๐ฐ
Twin Range Filter โ Buy/Sell SignalsThe Twin Range Filter is a trend-following indicator that combines two adaptive volatility filters to identify potential market reversals and trend continuations. It uses two configurable smoothing periods (fast and slow) to calculate a dynamic range around price, filtering out market noise and highlighting meaningful shifts in direction.
This indicator plots BUY and SELL signals based on price action in relation to the range filter, as well as internal trend conditions.
โ
How It Works:
Long Signal (BUY) is triggered when:
Price is above the filtered range (showing strength), and
Short-term upward momentum is confirmed.
Short Signal (SELL) is triggered when:
Price is below the filtered range (showing weakness), and
Short-term downward momentum is confirmed.
The signals are highlighted using green "Long" and red "Short" labels on the chart.
Background colors reinforce the current directional bias.
๐ Alerts:
Long Signal โ A new BUY condition has been detected.
Short Signal โ A new SELL condition has been detected.
๐ Use Cases:
Entry timing for swing or intraday trades
Trend confirmation filter
Signal generator in automated strategies (when paired with a strategy script)