LETS MAKE FUNDAMENTALS GREAT AGAIN!!! This is a basic Script to show a list of financial metrics or key performance indicators (KPIs) that are commonly used to assess the financial health and performance of a company. Let's break down what each of these metrics represents: 1. Long-Term Debt (LTD): This represents the total amount of debt that a company owes...
The indicator displays the date and amount of future dividends for the selected symbol. Allows you to forecast the increase in cash volume on the market.
Definition The Stochastic RSI indicator (Stoch RSI) is actually an indicator of an indicator. It is used in technical analysis to provide a stochastic calculation to the RSI indicator. This means it's an RSI measure relative to its own high/low range over a user-defined time period. Stochastic RSI is an oscillator that calculates a value between 0 and 1 and then...
Bursa Malaysia Index Series. The index computation is as follows:- Current aggregate Market Capitalisation/Base Aggregate Market Capitalisation x 100. The Bursa Malaysia Index Series is calculated and disseminated on a real-time basis at 60-second intervals during Bursa’s trading hours.
**Introduction and How it is Different** Unlike traditional indicators, the BTGR offers a unique perspective on market sentiment and asset valuation by juxtaposing two seemingly disparate assets: Bitcoin, the digital gold, and Gold, the traditional store of value. This article introduces an advanced version of this ratio, complete with upper and lower bands...
Script based off the definition Adjusted Volume means the sum of trading volume for a period of 20 consecutive trading days ending on the day preceding the date of determination; provided, however, that the day with the highest volume and the day with the lowest volume shall be eliminated and only the remaining 18 days summed.
The "FVG w/ Fibs" indicator is a trading tool designed to identify and visualize Fair Value Gaps (FVGs) while overlaying two Fibonacci retracement levels. • Bullish FVG: Occurs when the low of the current bar is higher than the high of two bars ago, and the previous close is higher than the high of two bars ago. • Bearish FVG: Occurs when the high of the...
M2 Global Money Supply in USD terms for nations with historical available past ~10 years, year over year % change.
M2 Global Money Supply in USD terms for nations with historical available past ~10 years.
█ OVERVIEW "Financial / Fundamental Comparison on chart" is a fundamental comparison indicator that helps investor visually compare different financial data and compare other company data. This indicator allows users to select 222 financial data at will and display the differences between them on the chart through bar charts and numerical values. Users can also...
The Earnings_MFC indicator displays statistical information of the price movement of the selected asset as follows: TAGS: Label on each "earning day" with information on the movement that the price has made from the close of the day before the announcement to: the opening of the next day (Close to Open - GAP) the close of the next day (Close to Close -...
CME Bitcoin Futures Gaps: What Are They and Why Are They Important? Gaps are breaks between price candles on charts, illustrating the intervals between the closing price of the previous period and the opening price of the next. For Bitcoin on CME, these gaps arise due to the particular workings of this market. Bitcoin and other cryptocurrencies trade 24/7...
Description: Displays the timestamp of the session's high/low. Useful for finding a pattern to day dips/spikes. Note: Most useful for ETH (extended hours timeframe)
This Indicator is Owned by Team Option Scalping. This Indicator tell us about the contribution of constituents in BANKNIFTY BANKNIFTY is an index in National Stock Exchange (NSE) which holds banking stocks. More than 15 stocks contribute in Banknifty Index in different % ( Based on there valuation ) We took top 12 Stocks and there contribution points in...
OVERVIEW The Inflation-adjusted performance indicator plots an adjusted closing price for the asset on the main chart by multiplying the asset price by an inflation factor which is derived from CPI-U. The indicator has a `lookback` length, which is used to lookup the CPI-U index value from `lookback` years ago. The inflation adjusted price is then calculated as...
The Realized Loss & Profit indicator aims to find potential dips and tops in price by utilizing the security function syminfo.basecurrency + "_LOSSESADDRESSES". The primary objective of this indicator is to present an average, favorable buying/selling opportunity based on the number of people currently in profit or loss. The script takes into consideration the...
Position size tool, leverage calculator, trade tracker, money management, trade presentation, risk reward management, margin position, live profit and loss, that's all in this one Trade Manager indicator. The idea for this indicator comes from two years ago when I was helping a friend who, at the request of 15-20 members from our telegram group, wanted to create...
Quote of GlassNode ... The NVT Signal (NVTS) is a modified version of the original NVT Ratio. It uses a 90 day moving average of the daily transaction volume in the denominator instead of the raw daily transaction volume. This moving average improves the ratio to better function as a leading indicator. The Network Value to Transactions (NVT) Ratio is...