Smart Money Concepts Mastering Smart Money Concepts: An Exhaustive Guide to the Indicator
As a trader who lives and breathes the markets, I know that understanding the true dynamics behind price movements is what gives us an edge. This indicator isn't just a set of lines and shapes on your chart; it's your window into the operations of major participants, the "smart money" that truly moves the market. I've designed this tool to act as your visual mentor, breaking down the most crucial Smart Money Concepts (SMC) in a clear and actionable way. Get ready to view the market with a fresh perspective.
Market Structure: Your Operational Roadmap
Market structure is the DNA of price, and this indicator presents it unambiguously. Forget the confusion; here you'll see how the price narrative unfolds, identifying the points where large operators are leaving their mark:
Break of Structure (BOS): These are your confirmations. When the price breaks a previous high or low in the direction of the trend, the indicator flags it as a BOS. It's your validation that the current trend has the strength to continue.
Internal BOS: Think of these as the small "steps" within a larger move. They are vital for trading on lower timeframes, allowing you to pinpoint high-precision entries during a retracement or a minor continuation of the main trend.
SWING BOS: These are the "big jumps" that define the market's main direction. They show you the underlying trend, helping you align your trades with the dominant institutional flow.
Change of Character (CHoCH): This is where the price story begins to shift. A CHoCH occurs when the price breaks a high or low that, until that moment, was maintaining the trend. It's the first sign that the market might be about to reverse its direction. Detecting these points gives you an early advantage, allowing you to adapt before the crowd and potentially prepare for a trend reversal.
With clear and distinct labels for each BOS and CHoCH, the indicator allows you to instantly understand your position within the market structure, regardless of the timeframe you're trading.
Order Blocks (OBs): The Core of Institutional Activity with Volume X-Rays
Order Blocks (OBs) are, in my experience, where true institutional action is forged. These are the candles or groups of candles where large banks and funds have placed their massive orders, causing significant price movement. This indicator not only identifies them but also offers you a complete "X-ray" of their internal composition:
Precise OB Identification: The indicator scans the price to find these pivot points where large orders entered the market. You'll see both Internal Order Blocks (for micro-trades) and Swing Order Blocks (for longer-term directional trades), all visually marked for your convenience.
In-Depth Volume Analysis (Your Secret Edge): This is where this indicator truly sets itself apart. You don't just see an OB; you understand its anatomy:
· Total Volume: How much activity occurred within that OB.
·Buy Volume: How much buying pressure existed.
·Sell Volume: How much selling pressure was exerted.
·Delta: The crucial difference between buy and sell volume. A strong positive Delta in a bullish OB tells you there was aggressive buying intent, while a negative Delta in a bearish OB reveals dominant selling pressure. This information allows you to judge the quality and intent behind the OB
Point of Control (POC) of the OB: Within each Order Block, the indicator shows you the Point of Control (POC). This is the exact price level where the highest volume was traded within that OB. Consider the POC as the OB's "center of gravity"; it's the level that institutions defended most actively and to which price often returns for a second interaction.
Maximum Penetration Percentage: This metric is fundamental for assessing an OB's "freshness." It shows you the maximum percentage that price has managed to "penetrate" or mitigate that Order Block since its formation. An OB with low maximum penetration suggests that there are still many pending orders in that zone, increasing its potential for a reaction. An OB with high penetration might be "exhausted" and less effective in the future.
Market Imbalances: Fair Value Gaps (FVG) and Imbalances – The Footprints of Aggression
Fair Value Gaps (FVG), or inefficiencies, are areas where price moved rapidly, leaving a "void" or an inefficient gap in the order book. These are zones that Smart Money often seeks to fill. This indicator presents them to you with unprecedented detail:
Automatic Detection and Extension: The indicator automatically detects and draws these FVGs, extending them in time so you can see their potential future impact.
Intelligent Classification (FVG vs. Imbalance): Not all imbalances are created equal. The indicator classifies them as an FVG (a standard inefficiency) or an Imbalance (a larger magnitude inefficiency, often indicative of a very strong move). This distinction helps you prioritize which ones are most relevant to your trading.
Detailed Volume and POC of the FVG: Yes, you also get a volume breakdown (total, buy, sell, Delta) and the Point of Control (POC) within each FVG. This is crucial because it reveals whether the aggression that created the FVG was supported by significant volume or if it was a more "empty" move. The POC gives you a precise level within the FVG where there was greater interaction, making it a more attractive zone for mitigation.
Maximum Penetration Percentage of the FVG: Similar to OBs, this metric shows you the maximum percentage that the FVG has been "filled" by price, providing a clear idea of how "rebalanced" or "tested" the imbalance has been.
Strategic Levels and High-Probability Zones
Trading isn't just about what happened on one candle; it's about context. This indicator provides you with that broader perspective:
Higher Timeframe Key Levels: Major players operate on larger timeframes. The indicator marks the past daily, weekly, and monthly highs and lows. These are massive liquidity magnets and crucial reference points where price tends to reverse or seek out liquidity sweeps before continuing. Having them on your chart is like having a map of liquidity pools.
Premium and Discount Zones: Trading "cheap" on a buy and "expensive" on a sell is a pillar of profitability. The indicator divides the current market range into three zones:
·Premium Zone: The upper part of the range, ideal for looking for selling opportunities.
·Equilibrium Zone: The midpoint, where the market often consolidates.
·Discount Zone: The lower part of the range, perfect for looking for buying opportunities.
Footprint Candles: Intrabar Volume Breakdown for Paid TradingView Plans
This advanced feature allows you to see volume and delta at a microscopic level, revealing the true buying and selling pressure within each individual candle.
Important: The visualization of Footprint Candles requires a paid TradingView plan (Pro, Pro+, Premium) to access the necessary lower timeframe data. If you don't have a paid plan, this functionality will not be displayed.
Fill (Delta Body) : The color of the Footprint candle's body doesn't just indicate if it was bullish or bearish; its shade and intensity reflect the strength and direction of the volume imbalance between buyers and sellers. This is calculated from lower timeframe data analysis, giving you an instant visual of who was in control.
Lines/Wicks: These represent the high and low prices reached by the main candle, just as you'd expect.
Horizontal Line/Dots (LTF POC): Within each candle, you'll see a horizontal line or dot marking the Price Level with the Highest Traded Volume (POC - Point of Control), but this POC is derived from the lower timeframe (LTF) analysis. This tells you where the greatest activity and price acceptance occurred within that main candle, providing a key to understanding internal volume distribution.
Complementary Tools for a Superior Analytical Edge
To round out your analysis, I've included some additional tools that perfectly complement SMC:
OTC (Over-The-Counter) Liquidity / Liquidity Sweep: This is your "trap" alert. OTC liquidity refers to transactions that don't pass through major exchanges but still influence price. The indicator searches for traces of this hidden liquidity, which often manifests as a "liquidity sweep." This occurs when price briefly pushes past an obvious high or low (where many stops or superficial liquidity reside) only to sharply reverse. It's a signal that large operators have "hunted" that liquidity and are about to move price in the opposite direction. Identifying these sweeps is key to avoiding becoming "fuel" for institutional moves.
Dynamic Fibonacci: A Fibonacci that doesn't stay static. It automatically adjusts to the market's pivots, providing real-time retracement and extension levels. This visual tool helps you quickly identify potential "pullback" points where price might react or extension targets for a move.
Trendline Breakout Detector: For those who value classical analysis, this function intelligently detects and visualizes trendlines (both bullish and bearish) and their breakouts. It offers an additional layer of technical analysis and structural confirmation, integrating elements of traditional technical analysis with the SMC perspective.
A Final Thought (From Trader to Trader):
Remember, no tool is a crystal ball. This indicator is designed to be your co-pilot in the complex world of markets, giving you critical information that others overlook. It provides you with the "where" and "why" of price movements from an institutional perspective. However, success will always depend on how you integrate this information into your trading strategy, your risk management plan, and, of course, your own informed judgment. Use it wisely, learn to read the market through its eyes, and you'll be on the right path to trading with greater confidence and precision.
Analisis Trend
Adaptive MACD Deluxe [AlgoAlpha]OVERVIEW
This script is an advanced rework of the classic MACD indicator, designed to be more adaptive, visually informative, and customizable. It enhances the original MACD formula using a dynamic feedback loop and a correlation-based weighting system that adjusts in real-time based on how deterministic recent price action is. The signal line is flexible, offering several smoothing types including Heiken Ashi, while the histogram is color-coded with gradients to help users visually identify momentum shifts. It also includes optional normalization by volatility, allowing MACD values to be interpreted as relative percentage moves, making the indicator more consistent across different assets and timeframes.
CONCEPTS
This version of MACD introduces a deterministic weight based on R-squared correlation with time, which modulates how fast or slow the MACD adapts to price changes. Higher correlation means smoother, slower MACD responses, and low correlation leads to quicker reaction. The momentum calculation blends traditional EMA math with feedback and damping components to create a smoother, less noisy series. Heiken Ashi is optionally used for signal smoothing to better visualize short-term trend bias. When normalization is enabled, the MACD is scaled by an EMA of the high-low range, converting it into a bounded, volatility-relative indicator. This makes extreme readings more meaningful across markets.
FEATURES
The script offers six distinct options for signal line smoothing: EMA, SMA, SMMA (RMA), WMA, VWMA, and a custom Heiken Ashi mode based on the MACD series. Each option provides a different response speed and smoothing behavior, allowing traders to match the indicator’s behavior to their strategy—whether it's faster reaction or reduced noise.
Normalization is another key feature. When enabled, MACD values are scaled by a volatility proxy, converting the indicator into a relative percentage. This helps standardize the MACD across different assets and timeframes, making overbought and oversold readings more consistent and easier to interpret.
Threshold zones can be customized using upper and lower boundaries, with inner zones for early warnings. These zones are highlighted on the chart with subtle background fills and directional arrows when MACD enters or exits key levels. This makes it easier to spot strong or weak reversals at a glance.
Lastly, the script includes multiple built-in alerts. Users can set alerts for MACD crossovers, histogram flips above or below zero, and MACD entries into strong or weak reversal zones. This allows for hands-free monitoring and quick decision-making without staring at the chart.
USAGE
To use this script, choose your preferred signal smoothing type, enable normalization if you want MACD values relative to volatility, and adjust the threshold zones to fit your asset or timeframe. Use the colored histogram to detect changes in momentum strength—brighter colors indicate rising strength, while faded colors imply weakening. Heiken Ashi mode smooths out noise and provides clearer signals, especially useful in choppy conditions. Use alert conditions for crossover and reversal detection, or monitor the arrow markers for entries into potential exhaustion zones. This setup works well for trend following, momentum trading, and reversal spotting across all market types.
ImbaLiquidity Pro LITE – Premium EditionITALIANO:🔐 ImbaLiquidity Pro LITE – Premium Edition è un indicatore esclusivo basato su swing liquidity zones + conferme multi-timeframe. Traccia automaticamente le zone di interesse dove è più probabile un’inversione o breakout, con alert integrati, etichette dettagliate, e supporto per analisi multi-timeframe fino al daily.
❗ Disponibile solo per utenti autorizzati.
INGLESE:🔐 ImbaLiquidity Pro LITE – Premium Edition is a premium indicator based on swing liquidity zones + multi-timeframe confirmations. It automatically draws zones of interest where a reversal or breakout is most likely, with built-in alerts, detailed labels, and support for multi-timeframe analysis up to daily.
❗ Available only for authorized users.
Macro Dashboard Multi-TickerThis indicator gives you a compact, high-impact overview of up to 10 custom assets — showing whether each is currently trading above or below a key moving average on a shared timeframe.
🟩 Above MA = colored bar
⬛ Below MA = dimmed bar
Features:
Monitor up to 10 symbols (stocks, crypto, ETFs, etc.)
Customize:
- Symbol
- Color
- Timeframe
- MA type (EMA/SMA)
- MA length
Shared logic keeps the layout clean and consistent.
Use Cases:
- Build a macro trend dashboard for SPY, QQQ, BTC, ETH, ARKK, IWM, DXY, VIX, etc.
- Confirm risk-on alignment
- Identify broad market rotation or weakness
- Pair with individual asset setups to stay in sync with the environment
This tool is ideal for traders who want a one-glance check on market strength without cluttering their main charts. It's fast, flexible, and highly visual.
SMA Trend BoxCalculates trend base on a short SMA and a long SMA and displays a text box with result on right-side of canvas.
Helpful when trading on intraday timeframes but you want to know what the bigger-picture trend is (i.e. if you always want to trade in the direction of primary trend).
Calc win-LoserHow to Use the Calc win-Loser Indicator
The indicator calculates the profit or loss of the operation, showing how much you gained or lost on the invested amount, without adding the initial capital, displaying only the profit or loss separately.
Use a period (.) to separate decimal numbers, without thousand separators (e.g., 1000 for one thousand, 1000.50 for one thousand and fifty cents).
Price Definition for Calculation
Long Position (buy):
Low Price: entry price (lower)
High Price: exit price (higher)
Example: enter at 1 and exit at 3
Short Position (sell):
High Price: entry price (higher)
Low Price: exit price (lower)
Example: enter at 3 and exit at 1
Main Parameters
Parameter Description Example
Low Price Base price for calculation (Long: entry; Short: exit) 1
High Price Base price for calculation (Long: exit; Short: entry) 3
Leverage Operation multiplier (leverage) 2.0
Universal Amount Total amount invested 1000
Broker Fee (%) Percentage fee charged by broker 0.1
Currency Currency symbol for value display USD
Practical Example
Long: entry at 1, exit at 3, 2x leverage, $1000 investment, 0.1% fee.
Short: entry at 3, exit at 1, 2x leverage, $1000 investment, 0.1% fee.
The indicator will show the expected profit or loss based on the percentage difference adjusted by leverage and subtracting the broker fee.
Notes
Adjust prices according to the type of operation (Long or Short).
Use a period for decimals and do not use thousand separators.
This indicator is a simulation tool and does not execute automatic trades.
Original indicator by Canhoto-Medium — protected to maintain order and respect, prevent copying and plagiarism.
Ichimoku Full by MHMH Trade – Advanced Ichimoku & Dual Moving Average Tool
A powerful all-in-one indicator featuring enhanced Ichimoku lines, customizable double moving averages, and real-time crossover signals. Perfect for traders seeking clear trend insights and actionable alerts.
Be a better trader with us!
t.me
3H BTC Long-OnlyBitcoin Momentum Strategy
Critical Automation Requirement
⚠ Options Component Must Be Automated via Broker API
This strategy combines:
- High-Frequency Options Signals (requires sub-second execution)
- 3H Swing Trade Alerts (manual execution acceptable)
Key Features
✔ BTC-Specific Volatility Adaptation:
2x ATR bands dynamically adjust to Bitcoin's "halving cycle" volatility
14-momentum CMO filters false breakouts during news events
✔ Institutional Confirmation Logic:
Dual-signal system (VIDYA + ZLEMA) reduces whipsaws
200-period ATR foundation aligns with OTC desk algorithms
Why 100% Equity Allocation?
BTC's $20B+ daily liquidity enables full-size entries
Strategy backtested through 2022 bear market (stress-proven)
2x ATR distance prevents over-trading in consolidation
Lastly, this strategy is made for traders with a high risk appetite
Why 0.1% Commission?
Standard crypto exchange fees:
Binance: 0.1% spot (0.075% for BNB holders)
Bybit: 0.1% maker fee
OKX: 0.08% for VIP0 traders
Why This Strategy is Unique
Halving-Cycle Optimized: Parameters tuned to BTC's 4-year volatility patterns
3H "Sweet Spot": Captures institutional accumulation periods
Dual-Layer Protection: VIDYA + ZLEMA confluence prevents fakeouts
Execution Protocol
Green "Buy" Labels: Enter when both indicators confirm bullish
Red "Sell" Labels: Exit on bearish confluence (API strongly recommended)
Optimal Session: 00:00-03:00 UTC (aligns with CME open liquidity)
Justification for Invite-Only Status
This indicator is offered as an Invite-Only script under PineAlpha Premium
Legal Disclaimer
This indicator is for educational purposes only and not financial advice. Crypto trading involves extreme volatility and risk of total loss. PineAlpha is not responsible for losses. Consult a licensed crypto advisor before trading.
Long-Only Swing SOL (4H)Volatility-Adaptive Strategy for Explosive Crypto Asset
Critical Automation Requirement
⚠ Options Component Must Be Automated via Broker API
This strategy combines:
- High-Frequency Options Signals (requires sub-second execution)
- 4H Swing Trade Alerts (manual execution acceptable)
Key Features
✔ SOL-Specific Volatility Adaptation:
14-period VIDYA + 1.6x ATR bands optimized for SOL's fractal volatility
200-period ATR filters out excessive noise during meme coin rallies
✔ Institutional-Grade Confirmation:
Zero Lag EMA (19-period) confirms trends before VIDYA breakout
4H timeframe captures SOL's most reliable intraweek trends
Risk Disclosures
Why 100% Equity Allocation?
SOL's $2B+ daily liquidity enables full-size entries
Strategy tested during FTX collapse & 2023 rally (stress-proven)
1.6x ATR band distance prevents over-trading in chop
Lastly, this strategy is made for traders with a significant risk appetite
Why 0.1% Commission?
Standard crypto trading fees:
Binance: 0.1% spot trading (VIP 0)
Coinbase Advanced: 0.2% maker fee
Kraken Pro: 0.16-0.26% (volume-based)
Why This Strategy is Unique
SOL-Specific Optimization: Tuned to SOL's "5 candle" momentum bursts
Dual-Confirmation Logic: VIDYA + Zero Lag EMA reduce false signals
4H Golden Zone: Captures SOL's most reliable trends in our opinion
Execution Protocol
Green "Buy" Labels: Enter when both indicators confirm bullish
Red "Sell" Labels: Exit on bearish confluence (manual OK)
Recommended Automation: For <4H fills during SOL's liquid sessions
Justification for Invite-Only Status
This indicator is offered as an Invite-Only script under PineAlpha Premium
Legal Disclaimer
This indicator is for educational purposes only and not financial advice. Crypto trading involves extreme volatility and risk of total loss. PineAlpha is not responsible for losses. Consult a licensed crypto advisor before trading.
3H CLSK Long-OnlyBitcoin-Miner Momentum Strategy for High Volatility
Critical Automation Requirement
⚠ Options Component Must Be Automated via Broker API
This strategy combines:
- High-Frequency Options Signals (requires sub-second execution)
- 3H Swing Trade Alerts (manual execution acceptable)
Key Features
✔ CLSK-Specific Volatility Adaptation:
4-period VIDYA + 8-momentum CMO react to CLSK’s news-driven spikes
2x ATR bands dynamically adjust to Bitcoin’s price action (200-period)
✔ Institutional-Grade Filters:
Zero-Lag EMA crossover confirms trend before VIDYA band breaks
3H timeframe captures CLSK’s characteristic afternoon rallies
Risk Disclosures
Why 100% Equity Allocation?
CLSK’s 3x average daily volume (vs. peers) ensures liquidity
Strategy tested on $10k+ accounts (PDT-compliant sizing)
200-period ATR bands prevent overexposure in choppy markets
Why 0.1% Commission?
Matches real-world trading fees:
IBKR: 0.05-0.1% for stocks (CLSK avg. spread = $0.03)
TradeZero: 0.1% for high-volatility small-caps
Alpaca: 0.0% base + ECN fees ≈ 0.08-0.12%
Why This Strategy is Unique
Bitcoin-Miner Alpha: Tailored to CLSK’s 0.82 BTC correlation
Dual-Confirmation Logic: VIDYA + Zero Lag EMA reduce false signals
3H Optimization: Captures CLSK’s post-market-open momentum surges
Execution Protocol
Green "Buy" Labels: Enter when VIDYA & ZLEMA align bullish
Red "Sell" Labels: Exit on bearish confirmation (manual OK)
API Automation: Recommended for <3H holds (CLSK gaps frequently)
Justification for Invite-Only Status
This indicator is offered as an Invite-Only script under PineAlpha Premium
Legal Disclaimer
This indicator is for educational purposes only and not financial advice. Crypto trading involves extreme volatility and risk of total loss. PineAlpha is not responsible for losses. Consult a licensed crypto advisor before trading.
LIQUIDITY ZONES + SWING TIMES (XAUUSD Only)This indicator show you the liquidity Zones on current time (On Any chart, On Any Time frame)
To understand this indicator, Contact admin on telegram
@WINGS_FOMO_KILLER
This indicator also show the Perfect Time Zone on XAUUSD, where you can get the SWINGS
To understand, Watch Below Video (Send Request and inform on given telegram ID @WINGS_FOMO_KILLER)
drive.google.com
3H ETH Long-OnlyDual-Mode Volatility Adaptive Strategy
Critical Automation Requirement
⚠ Options Component Must Be Automated via Broker API
This strategy combines:
- High-Frequency Options Signals (requires sub-second execution)
- 3H Swing Trade Alerts (manual execution acceptable)
Key Features
✔ ETH-Specific Volatility Adaptation:
VIDYA bands dynamically adjust to ETH's characteristic daily volatility
Zero-Lag EMA (59-period) optimized for crypto's 24/7 markets
✔ Institutional-Grade Timing:
200-period ATR bands trigger entries within 3 candles of volatility expansion
Momentum-confirmed entries reduce false signals in choppy markets
Risk Disclosures
Why 100% Equity Allocation?
ETH's high volatility justifies full-position sizing for momentum captures
Strategy includes built-in volatility filters (VIDYA + ATR bands)
Designed for $100k+ accounts (meets crypto margin requirements)
Why 0.1% Commission?
Matches real-world crypto trading fees:
IBKR Crypto: 0.08-0.12% (tiered volume)
Binance: 0.1% spot trading fee
Coinbase Pro: 0.15% maker/taker
Why This Strategy is Unique
Dual-Timeframe Logic: Combines:
Short-term options signals (automated)
3H swing trades (manual)
Volumatic™ Adaptive Bands: Self-adjusting to ETH's changing volatility regimes
Institutional Backtest Profile: 2.8:1 risk-reward ratio in ETH's characteristic momentum bursts
Execution Protocol
Red Labels: Swing trade sell signals (manual OK)
Green Labels: Swing trade buy signals (manual OK)
Options Signals: Must be automated via API (alpaca/ibkr)
Justification for Invite-Only Status
This indicator is offered as an Invite-Only script under PineAlpha Premium
Legal Disclaimer
This indicator is for educational purposes only and not financial advice. Crypto trading involves extreme volatility and risk of total loss. PineAlpha is not responsible for losses. Consult a licensed crypto advisor before trading.
Long-Only Swing SPY (1H)High-Conviction Momentum Trading with Smart Risk Controls
Key Features
✔ Dual-Filter Signals: MA crossover + RSI divergence = fewer false entries*
✔ Aggressive But Calculated: Full equity deployment for trending markets
✔ SPY-Optimized: Parameters tuned to SPDR S&P 500 ETF's unique volatility profile
Risk Disclosure & Justifications
Why 100% Equity Allocation?
SPY's deep liquidity allows instant execution
Strategy shows 68% win rate in backtesting, with a higher win rate you can take on more risk
Only triggers 2-3 high-quality signals per week max, most of the times it is significantly less
Why 0.1% Commission?
Matches real-world brokerage fees:
IBKR: 0.08-0.12% for ETFs
Fidelity: 0.10% for large orders
Critical for accurate performance simulation
Why This Strategy is Unique
Requires both moving average crossover AND hidden bullish RSI divergence
22/23 MA length combination specifically optimized for SPY's 1H momentum
1.6:1 risk-reward ratio proven effective for swing trading
Backtested to withstand 5-sigma volatility events
Justification for Invite-Only Status
This indicator is offered as an Invite-Only script under PineAlpha Premium
Legal Disclaimer
This indicator is for educational purposes only and not financial advice. Trading involves high risk, and you may lose your capital. PineAlpha is not responsible for losses. Consult a financial advisor before trading.
Six-Vein Sword Energy (Concept)Used Ai to give an Eli5 for the indicator if needed.
The "Six Experts" Indicator
Imagine you have a team of six different experts trying to decide if the price is going to go UP or DOWN.
One expert is good at spotting speed (Momentum).
Another is good at spotting if things are overbought or oversold (RSI & KDJ).
Another is good at seeing if we're in a clear trend (MACD & BBI).
This indicator is just a simple scoreboard for your team of six experts.
How to Read the Scoreboard
1. The Six Rows of Arrows
Think of each row as one expert's vote.
A Red Up Arrow (↑) means that expert gives a "Thumbs Up" 👍. They think the price looks strong and might go up.
A Green Down Arrow (↓) means that expert gives a "Thumbs Down" 👎. They think the price looks weak and might go down.
Sometimes, you'll see a column with both red and green arrows. That's because your experts don't always agree! Maybe the "speed" expert says things are strong, but the "overbought" expert says things have gone up too much. This is totally normal.
2. The Jagged White Line
This white line is the final score. It simply counts how many "Thumbs Ups" (red arrows) there are.
If the white line is at the very top (at 6), it means all six experts agree and are giving a "Thumbs Up".
If the white line is at the very bottom (at 0), it means all six experts are giving a "Thumbs Down".
If the line is in the middle (like at 4), it means you have 4 "Thumbs Ups" and 2 "Thumbs Downs".
How to Use It (The Simple Way)
Look for Strong Agreement:
When It's Mostly Red: If you see the indicator is almost completely filled with red arrows and the white line is high up (at 5 or 6), it means your expert team is shouting "Things look strong!". This is a good confirmation for looking to buy.
When It's Mostly Green: If you see the indicator is mostly filled with green arrows and the white line is very low (at 0 or 1), the team is screaming "Things look weak!". This is a good confirmation for looking to sell.
Look for Disagreement:
When It's a Messy Mix of Red & Green: If the arrows are all mixed up and the white line is bouncing around in the middle, it means your experts are arguing. The market is choppy and undecided. This is a sign that you should probably be careful and wait for a clearer signal.
The Golden Rule: This indicator is a helper. Always look at the price candles first, and then use this scoreboard to confirm if the market strength agrees with what you see.
ZenAlpha AI Strategy⚡ ZenAlpha AI Strategy
ZenAlpha AI Strategy is a precision-built, invite-only trading system powered by machine learning logic and institutional-level smart money concepts. Designed for serious traders, this AI-enhanced strategy identifies high-probability breakout zones and trend continuation setups across major Forex, Crypto, and Index markets.
✅ Key Features:
Smart Money Concept (SMC) based order block detection
Dynamic session-based breakout logic (Tokyo, London, New York) and work good with Indian Stock Market as well
Built-in AI filters to avoid false breakouts and trap zones
Adjustable Risk-Reward & Auto Stop Loss / Take Profit
Works Best on 15min, and 1H timeframes
🔐 Access:
This is a private invite-only strategy. Access is granted manually to approved traders.
📬 To request access or learn more about ZenAlpha AI Strategy, please contact us via TradingView DM or through our website/social media.
⚠️ Disclaimer:
This strategy is for educational and informational purposes only. Trading carries risk. Past performance does not guarantee future results. Use proper risk management and always test in a demo environment before going live.
Opening Range Breakout - ORB 15📈 Opening Range Breakout - ORB 15 v1.68
This indicator is based on the Opening Range Breakout (ORB) strategy, specifically tuned for the first 15 minutes of the trading session. It identifies and visualizes the ORB range, key levels, and alerts for breakouts during and shortly after the ORB window.
🔍 Features
Automatically detects the high and low during the ORB session (default 08:30–08:45).
Plots ORB High/Low lines with optional middle zone levels.
Fills the breakout zones with color shading.
Real-time and confirmed candle-close breakout alerts.
Optional on-chart label showing the size of the ORB range in points.
Label customization: background color, text color, text size.
Alert control: Only receive alerts within a user-defined time window after session start.
⚙️ Settings
ORB Session Time – Define the start and end of the opening range.
Alert Active Time (Hours) – Controls how long after the session alerts are allowed.
Show ORB Range Label – Toggle the on-chart label.
Label Styling Options – Adjust text size, color, and background.
🔔 Alerts
Break Above/Below ORB (real-time intrabar break)
Candle Closed Above/Below ORB (confirmed close outside the range)
✅ Use Cases
Scalping and intraday breakout strategies.
Morning volatility tracking.
Zone-based entries and stop placement.
Developed with performance and clarity in mind, this script gives traders a precise visual and alert-based system for trading early-session breakouts.
Let me know if you’d like a shorter version for the "short description" field too.
Ultra Smart Money Detection System v2.0Ultra Smart Money Detection System v2.0 - Complete Guide
What This Script Does
This is a TradingView Pine Script indicator that acts like a "financial detective" - it analyzes multiple clues in the market to figure out when big institutional investors (banks, hedge funds, mutual funds) are buying or selling stocks. Think of it as having a radar that spots where the "smart money" is moving.
Key Concepts
1. Smart Money vs Retail Money
Smart Money: Large institutions with millions/billions to invest
Retail Money: Individual investors like you and me
Why It Matters: Institutions often know things first and move markets
2. Volume: The Fuel of Price Movement
Volume = How many shares are traded
High Volume = Lots of interest/activity
Low Volume = Not much happening
Key Insight: Price moves are more meaningful when backed by high volume
Main Components Explained
📊 Volume Spread Analysis (VSA)
What It Does: Analyzes the relationship between price movement and volume
Key Patterns:
Accumulation: Big players buying quietly (high volume, small price drop)
Distribution: Big players selling quietly (high volume, small price rise)
Volume Climax: Extreme volume spikes indicating major moves
Look for VSA+ or VSA- signals on your chart
📈 Liquidity Gaps Detection
What It Does: Identifies price gaps that create trading opportunities
Types:
Gap Up: Stock opens higher than previous close
Gap Down: Stock opens lower than previous close
Gap Fill: Price returns to fill the empty space
Gaps often get "filled" - providing trading opportunities
🏢 Institutional Volume Footprint
What It Does: Tracks buying vs selling pressure from institutions
Key Metrics:
Order Flow Imbalance: Who's winning - buyers or sellers?
Accumulation Zone: Institutions are buying
Distribution Zone: Institutions are selling
Green zones = institutions buying, Red zones = institutions selling
💪 Relative Strength Comparison
What It Does: Compares your stock's performance to a benchmark (like NIFTY)
Key Points:
Outperforming: Stock doing better than market
Underperforming: Stock doing worse than market
Inline: Stock moving with the market
You want stocks that outperform the market
🔄 Volatility Contraction Pattern (VCP)
What It Does: Identifies stocks getting ready to make big moves
The Pattern:
Stock moves up
Stock consolidates (trades sideways with decreasing volatility)
Stock breaks out with volume
VCP setups often lead to significant price moves
💰 Money Flow Analysis
What It Does: Tracks where money is flowing in/out of the stock
Key Indicators:
A/D Line: Accumulation/Distribution
OBV: On-Balance Volume
Divergences: When price and volume disagree
Follow the money - it usually leads to price movement
Understanding the Dashboard
The script creates a comprehensive dashboard showing:
Signal Strength Levels:
🔥 STRONG BUY/SELL: High confidence (4+ signals aligned)
BUY/SELL: Moderate confidence (2-3 signals)
WATCH: Interesting setup developing
WAIT: No clear direction
Key Dashboard Sections:
Master Signal: Overall recommendation
Market Trend: Which direction is the market going?
VSA Analysis: What's the volume telling us?
Relative Strength: How's this stock vs the market?
Institution Zone: Are big players buying or selling?
Volume: Is there unusual activity?
Smart Money Flow: Where's the money going?
VCP Pattern: Any breakout setups?
Price Action: Technical levels and trends
Liquidity Gaps: Any gap trading opportunities?
How to Use This for Trading
For Traders:
1. Start Simple:
Focus on the Master Signal first
Look for 🔥 STRONG signals for highest probability trades
Avoid trading when dashboard shows "WAIT"
2. Confirm with Multiple Signals:
Don't trade on one signal alone
Look for 3+ green lights in the dashboard
Higher confidence = better trade setup
3. Follow the Volume:
Big moves need big volume
Volume surges often precede price moves
Volume climax can signal trend changes
4. Watch Institution Activity:
Accumulation zones = potential buying opportunities
Distribution zones = potential selling opportunities
Follow where institutions are putting their money
Entry Strategies:
For Bullish Trades:
✅ Master Signal shows BUY or STRONG BUY
✅ Market Trend is UPTREND
✅ VSA shows BULLISH
✅ Institution Zone shows ACCUMULATION
✅ Volume is HIGH or SURGE
✅ Relative Strength shows OUTPERFORM
For Bearish Trades:
❌ Master Signal shows SELL or STRONG SELL
❌ Market Trend is DOWNTREND
❌ VSA shows BEARISH
❌ Institution Zone shows DISTRIBUTION
❌ Volume is HIGH or SURGE
❌ Relative Strength shows UNDERPERFORM
Risk Management Tips
1. Position Sizing:
Larger positions for 🔥 STRONG signals
Smaller positions for moderate signals
No positions when confidence is LOW
2. Stop Losses:
Always use stop losses
Place below key support levels
Adjust based on volatility (ATR)
3. Take Profits:
Scale out of positions as they move in your favor
Don't get greedy on 🔥 STRONG signals
Book partial profits at resistance levels
Common Patterns to Watch For
1. The Perfect Storm 🔥:
VCP breakout + Volume surge + Institution accumulation + Strong relative strength
These setups have highest success rates
2. Gap and Go:
Significant gap up + High volume + VSA bullish
Often continues in gap direction
3. Divergence Plays:
Price makes new low, but OBV makes higher low
Often signals trend reversal
4. Volume Climax:
Extreme volume spike
Often marks short-term tops/bottoms
Alert System
The script includes alerts for:
High confidence signals
VCP breakouts
Volume climaxes
Institution zone changes
Gap formations
Divergence patterns
Customization Options
You Can Adjust:
Sensitivity: Higher values = fewer but stronger signals
Timeframes: Match your trading style
Colors: Customize to your preference
Dashboard: Show/hide different components
Recommended Settings :
Keep default settings initially
Focus on learning to read the signals
Gradually adjust as you gain experience
Common Mistakes to Avoid
1. Overtrading:
Don't trade every signal
Wait for high-confidence setups
Quality over quantity
2. Ignoring Market Context:
Don't fight the overall trend
Be extra careful in ranging markets
Consider broader market conditions
3. Not Using Stop Losses:
Always protect your capital
No signal is 100% accurate
Cut losses quickly, let winners run
4. Chasing Signals:
Don't enter after big moves
Wait for pullbacks or consolidation
Be patient for better entries
Practice Recommendations
1. Paper Trading:
Practice with virtual money first
Test the signals without risk
Build confidence before risking real money
2. Back-testing:
Look at historical signals
See how they performed
Learn from past patterns
3. Start Small:
Use small position sizes initially
Focus on learning, not earning
Gradually increase size as you improve
Final Tips for Success
Be Patient: Wait for high-quality setups
Stay Disciplined: Follow your rules consistently
Keep Learning: Markets evolve, so should you
Manage Risk: Protect your capital above all
Stay Objective: Don't let emotions drive decisions
Remember: This indicator is a tool to help you make better decisions, not a magic formula that guarantees profits. Always combine technical analysis with fundamental research and proper risk management.
The smart money leaves clues - this script helps you find them! 🕵️♂️💰
Oculus Breaker Block ProOculus Breaker Block Pro
Version 1.0 | Pine Script v6
Overview
Oculus Breaker Block Pro automatically identifies key swing pivots and plots a single “breaker” zone when price decisively breaks above a swing high (bullish) or below a swing low (bearish). The block extends forward and provides a clear visual of where price may retest or react.
Key Features
Swing Pivot Detection: Finds swing highs and lows over a user-defined bar span.
Bullish & Bearish Blocks: Optionally show only bullish zones, only bearish zones, or both.
Dynamic Block Drawing: Deletes the previous box and draws a new one upon each valid breakout.
Custom Colors & Transparency: Adjust block fill color and opacity for both bullish and bearish zones.
Automatic Cleanup: Blocks self-delete after a configurable number of bars to keep the chart uncluttered.
How to Use
Apply to Chart: Add the script on any timeframe; it runs in overlay mode.
Set Inputs:
Swing Length: Number of bars on each side to define pivot.
Bars Before Cleanup: How many bars to wait before removing an old block.
Show Bullish / Bearish Block: Toggle visibility.
Bull / Bear Block Color: Choose fill color and opacity.
Interpret Zones:
A bullish block marks where price broke above a recent swing high—watch for retests into this zone to trigger long entries.
A bearish block marks where price broke below a recent swing low—watch for retests into this zone to trigger short entries.
Inputs
Swing Length: 5 (bars each side)
Bars Before Cleanup: 50
Show Bullish Block: On
Show Bearish Block: On
Bull Block Color: Green (50% opacity)
Bear Block Color: Red (50% opacity)
Version History
1.0 – Initial release with core breaker-block logic, color customization, and automated cleanup.
Disclaimer
This indicator is for educational purposes. Always backtest and combine with proper risk management before trading live.
Momentum Trend Bands (MTB)📌 What Is the Momentum Trend Bands (MTB) Indicator?
The Momentum Trend Bands (MTB) is a custom-built trend detection indicator that blends momentum and volatility into a dynamic, visual system. Its core goal is to help traders identify the beginning and strength of a trend earlier than traditional tools like moving averages, while filtering out market noise.
🧠 What Is It Built On?
The indicator is built on two foundational concepts:
1. Rate of Change (ROC): This measures the speed at which the price is moving. We use a fast and a slow version of ROC and then calculate their difference. This difference gives us a momentum signal — it shows whether the price is gaining upward or downward strength.
2. Standard Deviation (Volatility): This shows how much the price fluctuates. By calculating it over a certain period, we can measure market noise and filter out weak, insignificant moves that might otherwise cause false signals.
Together, momentum shows direction, and volatility shows confidence.
🛠️ How Does It Work?
• The core of the indicator is a smoothed momentum signal, representing the net difference between fast and slow momentum.
• Around this signal, we build upper and lower bands — these are dynamic boundaries that expand or contract based on volatility.
• When the momentum breaks above or below these bands, it signals a strong directional move — suggesting the start or continuation of a trend.
The bands also serve a visual filter:
• If momentum stays within the bands, it implies the market is consolidating or ranging.
• When it exits the bands decisively, it implies strength in that direction.
📈 How to Use It?
1. Trend Entry:
o When the momentum signal rises above the upper band, it suggests a strong bullish trend may be starting.
o When the signal drops below the lower band, it indicates a bearish trend.
2. Stay Out of Chop:
o If the signal moves sideways within the bands, it’s best to avoid trading — the market is likely consolidating or ranging.
3. Visual Confirmation:
o The background color changes with the trend: green for bullish, red for bearish, gray for neutral. This makes it quick to read visually.
4. Signal Arrows:
o Small up or down arrows appear when trends begin, serving as early entry points.
⚙️ What Kind of Market Does It Work Best In?
• Trending Markets: MTB shines in markets with strong directional movement — whether up or down. It's designed to pick up momentum early and hold through trend continuation.
• Volatile Instruments: The built-in volatility filter helps in markets like crypto or commodities where price action is fast and erratic.
• Avoid Flat or Low-Volume Conditions: In sideways markets, MTB may stay gray or flip often — these are not ideal times to trade using this indicator alone.
💎 Why Is It Unique?
Unlike many indicators that react slowly (like moving averages) or trigger too often (like raw momentum), MTB balances early detection with reliability. Its unique combination of:
• ROC difference for directional intent,
• Smoothing for signal clarity,
• Bands scaled by volatility for robustness,
…makes it stand apart from commonly available indicators on platforms like TradingView.
Dealing rangeThis script plots the current dealing ranges for the current time frame, otherwise if you want you can use it to pair it with the higher time frame ranges e.g. for time frames like 1min on the chart would be a 15 min range and the alignment is
1m -> 15m
3m -> 30m
5m -> 1h
15m -> 4h
1h -> 1D
4h -> 1W
1D -> 1M
1W -> 1Y
Example without tf alignment :
example with tf alignement :
Oculus Elite MACD ProOculus Elite MACD Pro
Version 1.0 | Pine Script v6
Overview
Oculus Elite MACD Pro is an enhanced Moving Average Convergence Divergence (MACD) indicator designed for clarity and precision. It combines customizable EMA periods, optional histogram smoothing, visual crossover markers, and built-in alerts—all in a dedicated pane for unobstructed analysis.
Key Features
Custom EMA Lengths
Set fast, slow, and signal EMA periods to suit your trading style.
Histogram Smoothing
Optionally smooth the raw MACD histogram for cleaner momentum readings.
Colored Histogram Columns
Positive and negative bars are colored independently to highlight shifts in momentum.
Crossover Markers
Plotup and down triangles at MACD/signal crossovers for quick visual entry cues.
Built-In Alerts
Enable alerts on bullish and bearish crossovers to never miss a signal.
Zero Line Reference
Dotted zero line helps you gauge when momentum shifts above or below neutral.
How to Use
Add to Chart – Apply the script to any chart; it renders in a separate panel.
Configure Inputs – Adjust EMA lengths, choose source, and set histogram smoothing.
Read the Histogram – Look for expanding bars in your direction as momentum strengthens.
Watch for Crossovers – Use plotted shapes or alerts to time entries when the MACD line crosses the signal line.
Combine with Other Analysis – Layer with trend indicators or price action for confirmation.
Inputs
Fast EMA Length: 12
Slow EMA Length: 26
Signal EMA Length: 9
Source: Close (editable)
Histogram Smooth Length: 1 (no smoothing)
MACD Line Color / Signal Line Color / Histogram Positive/Negative Colors
Show Crossover Symbols: On/Off
Enable Alerts: On/Off
Version History
1.0 – Initial release featuring full MACD functionality with visual enhancements and alerts.
Disclaimer
This indicator is provided for educational purposes only. Always backtest with your own parameters and use disciplined risk management before trading live.
JK's Inside DayEvaluates today’s candle only after it's closed
Keeps screener alignment and alerting accurate for daily after-hours workflows