AI Gold Institutional Scalperworks Best on Gold (xausd/MGC) Built For 1 Minute timeframe Has Smart Trend Engine Liquidity break Detection Volume Confirmatone Atr Dynamic stop TP1 /TP2/ TP3 อินดิเคเตอร์ Pine Script®โดย VenusJที่อัปเดต: 11445
Winstons Multi-TF Highs/Lows & SessionsTells you the hourly draws, session highs and lows, and session timesอินดิเคเตอร์ Pine Script®โดย winstonwu11243
Malama's Black Flag🔱 Malama's Black Flag v3.3: The Pattern Intelligence Suite Malama's Black Flag is an institutional-grade geometric pattern recognition engine designed to identify and visualize high-conviction market structures in real-time. Built upon a proprietary Multi-Length Zigzag Pivot Scanner, this suite simultaneously analyzes price action across four fractal sensitivities to detect institutional accumulation and distribution phases. 🧠 The Core Engine: Multi-Fractal Intelligence Traditional pattern recognition indicators often fail because they focus on a single sensitivity. Malama's Black Flag solves this by running four independent scanning layers (L1-L4). This allows the Oracle to identify micro-continuation flags on the same chart where it detects macro-reversal wedges, providing a complete map of market geometry. ⚙️ Proprietary Features 1. Adaptive Geometric Detection The script automatically draws and labels complex chart geometries including: Wedges: Rising and Falling. Triangles: Ascending, Descending, and Symmetrical. Flags: Bull and Bear (quantified via Consolidation-to-Pole ratios). Structural Pivots: Double/Triple Tops and Bottoms. 2. Institutional Trend Sentinel Integrated with the McGinley Dynamic and Kaufman Adaptive EMA (KAMA), the "Trend Filter" ensures you stay on the right side of institutional order flow. When enabled, the suite suppresses counter-trend patterns, highlighting only those with the highest probability of success based on the current market regime. 3. Automatic Target Projection Every detected pattern comes with an automated Institutional Target line. These targets are calculated based on the geometric height of the consolidation and the volatility of the preceding "Flagpole," providing clear objective-based exit points. 4. The Black Flag HUD (Dashboard) A real-time telemetry panel providing: Pattern History: Tracks how many patterns have formed in the current session. Live Bias: Identifies the "Last Pattern" and predicts the "Next" likely institutional move (e.g., Bullish Continuation vs. Breakout Awaiting). 🛡️ How to Use the Oracle Identify the Consolidation: Watch for the Oracle to highlight a Flag, Wedge, or Triangle. Verify via Trend: Check if the pattern aligns with the Trend MA (McGinley/KAMA). Execute the Breakout: Enter on a confirmed breach of the pattern boundary. Target the Objective: Use the projected Target Line for take-profit management. 📋 Technical Specifications & Access Status: Closed Source / Public Access. This script is proprietary but provided for free use by the global TradingView community. Optimization: Best suited for Equities, Indices (SPY/QQQ), and major Forex pairs. Recommended Timeframes: 5m (Scalping), 1H (Intraday), Daily (Swing). Disclaimer: Trading involves significant risk. This tool is for analytical purposes only and does not constitute financial advice. Past performance as shown by historical pattern labels is not indicative of future results.อินดิเคเตอร์ Pine Script®โดย makenlegacy7
AI Pro Scalper work best on gold Build for 1 Minute time frame has smart trent engine Atr Dynamic Stop Tp1/ Tp2/ Tp3 alert ready อินดิเคเตอร์ Pine Script®โดย VenusJ55
Bitcoin Cost Of ProductionDescription This indicator estimates a Bitcoin “Cost Floor” proxy using network difficulty as a substitute for direct energy costs. The goal is not to compute real-world mining costs, but to display a structural cost-pressure baseline derived from on-chain and market data. The model is intentionally simple and uses two externally fitted parameters (alpha, k). No fitting is performed inside Pine. How the model works The cost proxy is defined as: Cost Floor = alpha ⋅ Difficulty^k / Issuance Inputs: • Difficulty (GLASSNODE:BTC_DIFFICULTY) • Issuance = Subsidy ⋅ Blocks Mined + Fees_BTC Parameters (fitted externally in Python): • alpha: scaling factor to map the proxy into price space (USD). • k: damping exponent on difficulty. This reduces the sensitivity of the model to long-term technological progress and efficiency gains in mining hardware. What the indicator displays • Smoothed Cost Floor (purple) • Cost Zone (purple zone): Cost × 1.2 • Raw Cost Floor (yellow, optional) How to use it This is not a timing tool. It provides a macro context for where price trades relative to a difficulty/issuance-based cost-pressure proxy. It may be useful for: • cycle context (stress vs relief regimes) • comparing price drawdowns against a structural baseline • studying long-term support behavior during miner stress phases Important notes • This indicator does not repaint. • This script is designed only for INDEX:BTCUSD. • It does not provide trading signals or financial advice.อินดิเคเตอร์ Pine Script®โดย jv_indicators62
Time-based Liquidity SessionsThis indicator plots the three primary index futures sessions (Asia, London, New York) using fixed Eastern Time windows to help traders visually track where liquidity is most likely to build and be attacked. The goal is not to mark exchange business hours, but to highlight behavioral time blocks where sweeps, displacement, and HTF inefficiency reactions statistically occur more often. Session Windows (ET): Asia: 18:00 – 03:00 Range construction, slower movement, sets highs/lows often targeted later. London: 03:00 – 12:00 Increased volatility, frequent raids on Asia range, early displacement. New York AM: 08:00 – 12:00 Highest probability window for liquidity sweeps, HTF FVG reactions, and expansion. New York PM: 12:00 – 17:00 Secondary continuation or controlled reversals, generally lower volatility than AM.อินดิเคเตอร์ Pine Script®โดย joshteal705
Blackout Outside Two Editable WindowsBlackout Outside Two Editable Windows This indicator visually restricts the trading day to two user-defined time windows by drawing blackout blocks over all other periods. The script allows traders to define: • Window 1 start and end time • Window 2 start and end time • Timezone (New York, UTC, or Exchange time) • Blackout transparency (solid or semi-transparent) • Number of historical days displayed All price action outside the selected windows is covered with vertical blackout boxes spanning the full chart height. Only the specified time ranges remain visible. Purpose This tool is designed to enforce session discipline and reduce overtrading by: • Isolating high-probability execution windows • Removing visual noise from overnight or low-liquidity periods • Structuring backtesting and replay around defined trade windows • Reinforcing rule-based trading behavior How It Works At the start of each new trading day (based on the selected timezone), the script calculates timestamp boundaries for: Midnight → Window 1 Start Window 1 End → Window 2 Start Window 2 End → End of Day It then draws solid background boxes covering those ranges. The two allowed windows remain unobstructed. Best Used For • Opening range breakout strategies • Session-based futures trading (GC, ES, NQ, etc.) • Prop firm rule enforcement • Replay-based execution training • Reducing emotional / impulsive trades outside plan Notes • Windows must occur in chronological order within the same day. • Designed for intraday timeframes. • Visual filter only — does not block strategy orders (unless added separately).อินดิเคเตอร์ Pine Script®โดย JRTrading_X1
Profile Edge Trading - Market Profile ChartAuction Market Profile Chart + IB Conviction Engine A complete Auction Market Theory framework with structural intelligence, breakout qualification, and real-time context scoring. Profile Edge Market Profile Chart is not just a TPO Market Profile chart. It is a structured auction analysis engine that integrates: Full TPO distribution Developing & completed Value Areas Poor High / Poor Low detection Buying & Selling Tail tracking Single Print impulse zones Composite profile merging Initial Balance analytics Cumulative Volume Delta IB Breakout Conviction scoring Real-time Market Context Gauge This tool is built to answer: Is this breakout initiative — or just rotational noise? What does this indicator does It converts raw TPO data into a structured decision model. Instead of only plotting letters and levels, it evaluates: Acceptance vs rejection Initiative vs responsive activity Structural obstacles in breakout path Volume confirmation Balance compression Opening type strength CORE FEATURES True TPO Market Profile Intraday (30m brackets) Weekly (75m brackets) Monthly (Daily brackets) Split TPO view (Intraday / All / None) Merge multiple profiles Adjustable value area % Duel Mode (TPO & Candlestick) Clean monospaced letter rendering Structural Detection Engine ✅ Buying & Selling Tails True tail detection (minimum 4 TPO excess) Stored historically Auto mitigation tracking Used inside breakout scoring ✅ Single Prints Detects impulse-driven price gaps Combines consecutive prints Classifies bullish / bearish Tracks mitigation Penalizes breakout if resistance/support exists in path ✅ Poor High / Poor Low Detects weak extremes Extends until mitigated Initial Balance Engine The Initial Balance (IB) is defined by the first two brackets of the session and is classified as Small, Normal, or Wide based on recent volatility. This range serves as the baseline for calculating expansion targets, with extension levels typically projected at 0.5x, 1.0x, 1.5x, and 2.0x of the IB size. 🚀 IB BREAKOUT CONVICTION ENGINE (Unique Feature) This is the core differentiator. This feature answers, “Is this IB break initiative, structurally clean, and supported by participation?” The conviction score evaluates measures like: IB break direction Acceptance beyond developing VA Developing VA migration direction Cumulative Volume Delta confirmation Previous day value acceptance Opening type (OD / OTD / ORR) Consecutive tails OR breakout structure Balance compression (overlap streak + PPOC) Structural resistance within 0.5x extension Unmitigated single prints Unmitigated tails Structural Penalties Breakout conviction is reduced if: Active single prints exist in breakout path Unmitigated tail zones exist inside IB 0.5x extension This prevents false breakout optimism. 📊 Conviction Output The display provides a real-time Directional Bias (Bullish/Bearish) alongside a Conviction Percentage. Based on the conviction level, the system suggests specific Initial Balance (IB) extension targets ranging from 0.5x to 2.0x. Alerts available for: Medium Conviction (≥ 50%), Strong Conviction (≥ 65%) 📈 MARKET CONTEXT GAUGE (Live Sentiment Engine) The Live Sentiment Engine monitors VA migration, delta, and market structure to output a five-tier bias—from Strong Bullish to Strong Bearish. It further qualifies the trade path as Clean (unobstructed) or Blocked (impulse zones present). This gives traders real-time bias before and during breakout attempts. 📊 STATISTICS PANEL Displays: Volatility: ATR, Completed vs. Remaining Range %. Structure: Opening Location/Type, VA Migration (Previous day/Developing), and Cumulative Delta. Consistency: Overlap and PPOC Streaks. HOW TO USE Step 1 – Identify Auction Type Look at: Opening location, Previous VA migration, Developing VA migration, Context Gauge Determine if market is: In balance, Transitioning, Initiating trend Step 2 – Wait for IB Completion After first two brackets: Observe IB size (Small IB often expands), Watch for acceptance outside IB Step 3 – Read Conviction When IB breaks: Check conviction %, Check structural status (Clean vs Blocked), Use suggested target multiple, Do not treat all IB breaks equally. Step 4 – Check Structural Path Before entry: Are there single prints within 0.5x? Are there unmitigated tails? Is price breaking into poor highs/lows? Structure often matters more than momentum. Step 5 – Manage Targets < 40% → rotational / fade likely 40–60% → partial initiative 60–75% → good continuation probability 75% → strong initiative drive Use IB multiples as objective targets. 🔎 HOW THIS IS DIFFERENT FROM CLASSIC MARKET PROFILE Classic Profile: Static TPO display VA + POC plotting IB lines Profile Edge Market Profile Chart: Tracks structural memory (tails & prints) Measures breakout quality Penalizes resistance in path Integrates cumulative delta Classifies opening types Detects balance compression Provides quantified conviction Provides real-time sentiment gauge Filters false initiative attempts Classic profile shows structure. Profile Edge Market Profile chart interprets structure. 🎯 BEST FOR Index futures Intraday traders Auction Market Theory traders Profile-based discretionary traders Context-driven execution strategies อินดิเคเตอร์ Pine Script®โดย profileedge3
Position Size Calc - Long/Shortshows how many units you can trade based on your risk criteriaอินดิเคเตอร์ Pine Script®โดย MasterTinkerer1
Nasdaq Liquidity Fade Engine (NLFE)Summary in one paragraph Nasdaq Liquidity Fade Engine is a daily timeframe strategy for Nasdaq index futures and close proxies such as NQ, MNQ, and NDX. It is designed to act only when a small set of tape, mean location, and trend energy conditions align, and it expresses risk using an ATR sized bracket so the same settings scale across NQ and MNQ. It is original because it can optionally anchor its signal feed to a single continuous Nasdaq tape while executing on related instruments, reducing symbol noise when you want one consistent decision stream. Add it to a clean chart and read entries and exits from the built in strategy markers. Orders confirm on bar close, so markers settle on close. Scope and intent • Markets. NQ, MNQ, NDX, and other highly liquid Nasdaq linked instruments • Timeframes. Primarily daily, other timeframes are supported but not the optimization target • Default demo used in the publication. CME_MINI:NQ1! on 1D • Purpose. Provide a compact, auditable daily decision engine for Nasdaq instruments with explicit volatility scaled risk • Limits. This is a strategy. Orders are simulated by the TradingView engine on standard candles only Originality and usefulness This is not a stack of common indicators. It is a minimal asymmetric rule set with a portability layer. • Unique concept or fusion. Optional tape anchored signal feed plus asymmetric long and short gating plus ATR normalized risk brackets • What failure mode it addresses. Reduces discretionary over trading by restricting entries to specific tape states and by enforcing a hard stop framework instead of indefinite holds • Portable yardstick. ATR on the traded symbol is the common unit for stop and target sizing across NQ and MNQ • Protected scripts. The implementation is protected to reduce low effort cloning and to preserve version integrity, while the method and practical use are disclosed here Method overview in plain language The strategy evaluates a small set of state conditions on each bar. It uses a selected signal feed for its tape inputs and applies risk on the traded chart symbol. Long and short are intentionally asymmetric to reflect Nasdaq drift and downside behavior. Base measures • Tape state. Candle direction and relative participation measured from the selected signal feed • Mean location. A rolling mean reference used to define location and fade context • Trend energy. A trend strength filter used to avoid low quality fades • Risk unit. ATR of the traded symbol used as a volatility scaled sizing unit for exits Components • Tape contraction state. Detects low participation pullback behavior on the signal feed. Used to qualify long opportunity context in a way that is not tied to a fixed point value. • Mean location state. Uses a rolling mean reference to avoid taking fades in the wrong location regime. • Trend energy gate. Uses a trend strength threshold to require sufficient directional energy when the short side activates. • ATR bracket risk. Uses ATR multiples for stop and target distances on the traded symbol, keeping risk scalable across NQ and MNQ. Fusion rule The model uses two separate gate sets. Long and short do not share identical prerequisites. The intent is to capture pullback opportunity under contraction while only enabling shorts when location and energy align. Signal rule • Long suggestion appears when the tape state indicates a contraction style pullback and the regime filter is satisfied • Short suggestion appears when the tape state indicates a fadeable push that is location constrained under the mean reference and trend energy is above the threshold • Long only mode disables opening shorts, while still allowing the short condition to flatten an open long • Long and short mode allows directional flips when the opposite condition triggers Inputs with guidance Setup • Use NQ as signal source. When enabled, the tape inputs are sourced from the chosen NQ feed so signals can remain consistent across NQ, MNQ, and NDX charts. When disabled, tape inputs come from the chart symbol. • NQ symbol. The anchor feed used when signal sourcing is enabled. • Signal timeframe. Blank uses the chart timeframe. For the intended daily workflow, use 1D. Logic • EMA length. Typical range 10 to 60. Higher values smooth the mean reference and reduce sensitivity. Lower values increase responsiveness. • Start year filter. Use to constrain testing to the regime you want to study. Defaults reflect the post 2008 regime focus. Filters • ADX length and smoothing. Typical range 10 to 20. Shorter reacts faster and can increase churn. • ADX minimum. Typical range 15 to 30. Raising it filters shorts and concentrates on higher energy phases. Risk • Use ATR stop and target. Enables ATR sized bracket exits. • ATR length. Typical range 10 to 21 on daily. • Stop ATR multiple. Typical range 0.3 to 2.5. Raising it gives more room and increases risk per trade. • Target ATR multiple. Typical range 4 to 30 for more frequent targets. Very large values behave like an expansion capture mode where exits are dominated by the stop or by an opposite regime switch rather than by the target. Properties visible in this publication • Initial capital for the example. 100000 • Base currency. USD • request.security uses lookahead off everywhere • Strategy only. Default order size method Fixed with value 1 contract. Pyramiding 0. Commission 5 USD per contract. Slippage 5 ticks. Process orders on close On. Bar magnifier Off. Recalculate after order is filled Off. Calc on every tick Off. Realism and responsible publication • No performance claims. Past results never guarantee future outcomes • Execution varies by venue, liquidity, and volatility • Orders process on bar close and fills use TradingView engine assumptions • Non standard chart types are not supported for strategies Honest limitations and failure modes • This is optimized for the daily timeframe. Intraday use can change signal frequency and behavior materially. • If you enable tape anchoring, volume and candle state come from the selected feed. This can be useful for consistency, but it also means the tape input is not the same as the executed symbol for instruments with different session structures or synthetic volume. • Very quiet regimes can reduce signal contrast. Consider longer lengths or higher thresholds. • Gap heavy periods can change stop and target behavior. • If both stop and target are inside the same bar range, fills follow standard candle assumptions. Legal Education and research only. Not investment advice. You are responsible for your decisions. Test on historical data and in simulation before any live use. Use realistic costs. กลยุทธ์ Pine Script®โดย exlux4
Ict Core //@bajgos.nq## ## Key Features **Author: bajgos.nq //discord** ### ### 1. Key Market Open Levels The indicator tracks and plots horizontal lines for significant market opening times across various timeframes. - **Custom Key Opens**: Supports up to seven user-defined daily timestamps (e.g., 8:30, 9:30, 10:00) with individual toggles, custom colors, and unique labels. - **Higher Timeframe (HTF) Opens**: Automatically plots current and previous levels for Daily (DO/PDO), Weekly (WO/PWO), Monthly (MO/PMO), Quarterly (QO/PQO), and Yearly (YO/PYO) opens. - **Intersection Confluence Logic**: A specialized algorithm that identifies when multiple timeframe opens coincide at the same price level. It dynamically updates the label to show all overlapping opens, such as "DO / WO / MO" or "PDO / PMO". - **Lookback & Visual Control**: Users can define a lookback period (up to 20 days) for historical lines and adjust the label/line distance to the right of the current bar. ### ### 2. Session Tracking & Asia "Vodo" Provides automated visual boxes and levels for major trading sessions and "Kill Zones" (KZ). - **Institutional Sessions**: Visualizes London (lokz), New York AM, New York PM, and Asia (askz) sessions. - **Dynamic Range Visuals**: Sessions are drawn with "legs" that connect the session high/low range to the price action for clear visual reference. - **Asia Range + Vodo Levels**: Beyond standard session highs and lows, this module plots specific **"Vodo" Fibonacci-style deviations**. These include fixed offsets at 0.225, 0.25, and 0.272, with an optional 0.35 deviation toggle for both upper and lower expansions. ### ### 3. Wick Theory & Quadrant Levels This feature identifies pivot highs and lows to highlight price "wicks" as potential institutional reaction zones. - **Wick Detection**: Uses a customizable "Wick Aggression" length to identify pivot points. - **Mitigation Logic**: Areas can be set to "mitigate" (disappear) once price retraces into the 50% midpoint of the wick. - **Quadrant Analysis**: Displays 25%, 50%, and 75% levels within a detected wick to pinpoint precise internal institutional levels. - **Future Extension**: Wick boxes and quadrant lines are extended into the future by a user-defined bar count. ### ### 4. New Week Opening Gaps (NWOG) The indicator detects and tracks the physical price gaps created between the previous week's close and the new week's open. - **Visual Tracking**: Displays a user-defined number of the most recent weekly gaps on the chart. - **Gap Anatomy**: Each gap includes visual levels for the Gap Top, Gap Bottom, and the Midline (Consequent Encroachment). ### ### 5. SDM Time Window Highlight The **SDM** feature serves as a specialized **time window highlight** designed to mark specific institutional periods. - **Visual Zones**: Creates a vertical highlight for specific time windows, such as 9:30 AM to 11:00 AM New York Time. - **Infinite Vertical Span**: These highlights use a "practically infinite" vertical span, ensuring the highlight remains visible across all price levels regardless of market volatility. - **History Management**: Automatically manages a history of these windows based on a "Maximum Days Lookback" setting to prevent chart clutter. ### ### 6. Technical Utilities & Customization - **GMT Offset**: Includes a GMT offset input to align key market opens with specific broker or local time settings. - **Global Visual Settings**: Users can customize line widths, label sizes, and colors for all session boxes and timeframe opens. - **Multi-Timeframe Security**: Utilizes `request.security` with `lookahead_on` to ensure accurate and reliable historical data for higher timeframe opens.อินดิเคเตอร์ Pine Script®โดย Flowwwing5
Ultra Sensitive SuperTrend v6 HEIKEN + 2x + ALERT"Ultra Sensitive SuperTrend v6 — Heiken-Ashi Enhanced with Dual ATR and Alerts. This indicator combines two SuperTrend layers for maximum accuracy, offering ultra-sensitive scalp signals and standard trend tracking for swing trading. Built with Heiken-Ashi filtering, dynamic background coloring, and automatic BUY/SELL alerts for clear and actionable signals."อินดิเคเตอร์ Pine Script®โดย Albay163365
CS Squeeze Velocity [Band Edition]📘 CS Squeeze Velocity Version: Elite System | Type: Volatility Overlay 1. General Concept CS Squeeze Velocity is an "All-in-One" trading system based on volatility. Unlike traditional indicators that require you to look at sub-panels below the chart, this indicator projects all vital information directly onto the price action using Smart Bands. Its engine combines: BBWP (Bollinger Band Width Percentile): To measure compression and explosion. Linear Regression: To determine momentum direction. Institutional Filters (ADX + RVOL): To validate the quality and strength of the move. 2. Visual Reading (The Bands) The color of the bands and candles tells you the exact state of the market without needing to read numbers. 🌑 Phase 1: Squeeze (Dark Gray) Condition: Volatility < 20%. Meaning: The market is "sleeping" or accumulating energy. The bands tighten. Action: 🛑 NO TRADE. Wait for the breakout. 🚀 Phase 2: Expansion (Silver / Cyan) Condition: Volatility between 20% and 80%. Meaning: The Squeeze has broken, and a healthy trend has initiated. Action: ✅ HOLD. This is the "cruising" zone of the trend. 🔥 Phase 3: Extreme (White / Royal Blue) Condition: Volatility > 80%. Meaning: Extreme Euphoria or Panic. The move has been sharp and fast. Action: ⚠️ ALERT. Potential exhaustion or mean reversion. Prepare to Take Profit. 3. Signal Hierarchy (The Elite System) The indicator automatically filters out false signals. You will only see tags when the setup is worth watching. 💎 DIAMOND Signal (The "Gem") Tag: 💎 DIAMOND (Cyan or Magenta) Logic: Confirmed Squeeze Breakout. Aligned with Macro Trend (EMA 200). Confirmed Strength: ADX > 20. Real Money: Relative Volume (RVOL) > 1.2x (20% higher than average). Reliability: 🔥🔥🔥🔥🔥 (Max). This is the ideal high-probability entry. 🎯 SNIPER Signal (Standard) Tag: SNIPER (Green or Red) Logic: Confirmed Squeeze Breakout. Aligned with Macro Trend (EMA 200). ADX or Volume might be lower, but momentum is good. Reliability: 🔥🔥🔥 (High). Good entry, but manage risk carefully. ⚪ WEAK Signal (Noise) Visual: Small gray circle on the central line. Meaning: Price broke the Squeeze, but it is moving against the trend or lacks strength. Action: 🗑️ IGNORE. 4. Additional Components Trend Line (EMA 200): Changes color dynamically. White: Bullish Trend (Look for Buys only). Royal Blue: Bearish Trend (Look for Sells only). HUD (Heads-Up Display): Located on the last candle. Displays the exact volatility %, current status (SQUEEZE, FORCE, EXTREME), and the real-time ADX value. 5. Usage Guide: Step-by-Step Strategy The Stalk: Look for assets where the bands are Dark Gray (Squeeze). The longer they stay gray, the stronger the explosion will be. The Confirmation: Wait for a candle to close outside the Squeeze and for the bands to change color. Look for the 💎 DIAMOND (Ideal) or SNIPER tag. The Entry: Enter the market at the open of the next candle following the tag. Stop Loss: Place it below the central line (dotted/circles) or the most recent swing low. The Management: Let the trade run as long as the bands remain Silver (Bullish) or Cyan (Bearish). The Exit (Take Profit): If the bands turn White/Royal Blue (Extreme), tighten your Stop Loss (Trailing Stop) or take partial profits. The move is "overheated." If the candles close back inside the bands or change color, close the position.อินดิเคเตอร์ Pine Script®โดย edwardflores1949
Position Size Calculator - Prev Closetells how many units you can buy based on risk parametersอินดิเคเตอร์ Pine Script®โดย MasterTinkerer2
ANOVA MACDanyone who knows how to use ANOVA calculations this is a MACD of ANOVA valuesอินดิเคเตอร์ Pine Script®โดย jagsnms1
PSP SHALOM BNS - Global Pro Default OFFPSP Professional Asset Correlation Marker This indicator identifies "Mixed Candles" (Divergence) between major indices like NASDAQ, S&P 500, and Dow Jones. Its primary goal is to spot moments where one asset is moving in the opposite direction of the others, signaling potential market shifts or "fake-outs". Main Features: Visual Correlation: Automatically compares the color (Red/Green) of the candle across selected assets. PSP Marker: Displays a "P" (or your chosen shape) above the candle when a divergence is detected. Integrated Alerts: Supports built-in alerts for real-time notification upon candle close. Settings (Inputs): Assets Selection (NASDAQ / S&P 500 / DAO): Choose the specific symbols you want to compare. Include DAO: A toggle to include/exclude the Dow Jones from calculations (Default is OFF). Sensitivity %: Define a minimum movement percentage to filter out market "noise" and Doji candles. Marker Shape: Select your preferred visual icon (P, Star, Arrow, etc.). Marker Size: Adjust the size of the icon on your chart (Small, Normal, Large). Marker Color: Fully customize the color of the signal. How to Enable Alerts (for the "Instructions" or "Description" field) To receive real-time notifications (sound, pop-up, or mobile), follow these steps: Open Alert Panel: Click the Clock icon on the right sidebar. Create Alert: Click the + (Create Alert) button. Condition: In the first dropdown, select "PSP SHALOM BNS - Global Pro". Trigger: In the second dropdown, you must select "Any alert() function call". Options: It is recommended to select "Once Per Bar Close" to avoid false signals during live candle movements. Notification: Choose your preferred notification method (Notify in App, Pop-up, etc.). Create: Click the Create button. You are all set! גרסה בעברית סיכום אינדיקטור: PSP Professional – זיהוי חריגות בין מדדים אינדיקטור זה מזהה "נרות מעורבים" (Divergence) בין המדדים המרכזיים: נאסד"ק, S&P 500 ודאו ג'ונס. מטרתו העיקרית היא לאתר רגעים שבהם נכס אחד נע בכיוון הפוך מהשאר, מה שעשוי להעיד על שינוי במגמה או על פריצות שווא בשוק. +1 תכונות עיקריות: מתאם ויזואלי: השוואה אוטומטית של צבע הנר (אדום/ירוק) בין הנכסים שנבחרו. סימון PSP: מציג את האות "P" (או כל צורה שתבחרו) מעל הנר ברגע שמתגלה חריגה. התראות מובנות: תמיכה מלאה בהתראות בזמן אמת עם סגירת הנר. הגדרות (Inputs): בחירת נכסים (NASDAQ/S&P 500/DAO): בחירת הסימבולים הספציפיים להשוואה. הכללת דאו ג'ונס (Include DAO): אפשרות להפעיל או לכבות את חישוב הדאו ג'ונס (ברירת מחדל: כבוי). סף רגישות (Sensitivity %): קביעת אחוז תנועה מינימלי כדי לסנן "רעשי שוק" ונרות ללא גוף משמעותי. צורת סימון (Marker Shape): בחירת האייקון שיופיע על הגרף (P, כוכב, חץ וכו'). גודל סימון (Marker Size): שליטה על גודל האייקון (קטן, רגיל, גדול). צבע סימון (Marker Color): התאמה אישית של צבע הסיגנל. הוראות להפעלת התראות כדי לקבל התראות בזמן אמת (צליל, הודעה קופצת או התראה לנייד), יש לעקוב אחר השלבים הבאים: פתיחת לוח ההתראות: לחצו על אייקון השעון בסרגל הכלים הימני. יצירת התראה: לחצו על כפתור ה- + (Create Alert). תנאי (Condition): בתיבה הראשונה, בחרו את האינדיקטור: "PSP SHALOM BNS - Global Pro". טריגר: בתיבה השנייה, חובה לבחור באפשרות "Any alert() function call". אפשרויות: מומלץ לבחור ב-"Once Per Bar Close" (פעם אחת בסגירת נר) כדי למנוע התראות שווא בזמן שהנר עדיין זז. סיום: לחצו על Create. מעכשיו המערכת תתריע לכם על כל סיגנל!อินดิเคเตอร์ Pine Script®โดย shlom73ที่อัปเดต: 6
Liquidity Swings SOL V10.2 - 3CommasHere's a publish-ready description: Liquidity Swings — Smart Money Sweep Strategy Automated futures strategy that identifies and trades institutional liquidity sweeps on SOLUSDT 30-minute charts. How it works: Price tends to sweep above/below key swing levels where stop losses cluster — these are liquidity zones. Smart money grabs this liquidity, then reverses. This strategy detects those sweeps and enters on the reversal. Features: Liquidity zone detection using pivot-based swing highs/lows Multi-layer trend filtering (HTF EMA + local EMA cross + price action) Breakout detection with volume confirmation Zone-based & ATR-adaptive stop losses with safety cap Trailing stop with activation threshold Cascading partial take profits at opposing zones Optimized for SOL's volatility profile Designed for: SOLUSDT Perpetual Futures (Bybit) 30-minute timeframe 5x leverage, cross margin Compatible with 3Commas / WunderTrading webhook automation Risk management built-in: Every trade has a hard stop loss, safety cap, and optional trailing stop. No open-ended positions. ⚠️ Invite-only. DM for access.กลยุทธ์ Pine Script®โดย lonrot2
Volumetric HTF Order Blocks (Buyer/Seller Strength) - Final Fixmtf order block with volume profile and poc on each oneอินดิเคเตอร์ Pine Script®โดย robertjohnston7796
ProjectSyndicate FVG FinderNRP Logic (Non-Repainting): Signals are built to remain stable once confirmed Real-Time FVG Detection: Automatically identifies bullish + bearish FVG zones as they form Clean Zone Visualization: Boxed imbalance areas that are easy to trade from Auto-Cleanup (Mitigation): Zones update based on your chosen fill rule (Touch / 50% / Full) B: Anti-Noise Filtering: Minimum size + optional ATR filter to remove weak gaps 4 Pine Script v6: Built on the latest TradingView engine for stability and performance Alerts + Markers: Get notified when new FVGs print + optional triangle signalอินดิเคเตอร์ Pine Script®โดย AlaaElkawasy2274
Relative Outperformance vs SPX (Pro Daily)Find true market leaders before the breakout. This indicator measures a stock’s percentage outperformance versus the S&P 500 (SPX) across multiple daily timeframes (5, 20, 50, 200) and combines them into a weighted Relative Strength (RS) Score. Unlike simple ratio indicators, this tool shows: 📊 Multi-period relative performance (%) ⭐ Weighted RS Score 🚦 Early Leader signal (20D + 50D strength) 🏆 Confirmed Leader signal (adds 200D trend) 📋 Clean dashboard panel for fast decision-making Why This Matters Strong stocks outperform the index before they break out. This tool helps you: Identify emerging leadership Confirm institutional sponsorship Avoid weak relative names Improve breakout and pullback selection Green values = outperforming SPX Red values = underperforming SPX Designed specifically for daily swing trading and position trading. Best Used With Breakout strategies Pullbacks to moving averages Undercut & Rally setups Relative volume confirmation Market rotation strategies Suggested Daily Settings 5 / 20 / 50 / 200 Weights: 0.20 / 0.35 / 0.35 / 0.10 Smoothing: 3 Disclaimer Educational purposes only. Not financial advice. Past performance does not guarantee future results.อินดิเคเตอร์ Pine Script®โดย pileofduke2
Bipen Mann 50EMA SetupHere is a **clean, professional indicator description** written exactly for your **final script and logic**. You can **copy–paste this directly** into TradingView when you save or publish the indicator. --- ## 📌 Bipen Mann 50EMA Setup **Bipen Mann 50EMA Setup** is a rule-based trend continuation indicator designed to give **clean, high-probability entries** using **EMA 50**, **retests**, and **structure breaks**. It avoids early entries and noise by confirming price behavior **before and after the EMA retest**. This indicator works on **all markets** (Forex, Indices, Crypto, Commodities) and automatically adapts to the **timeframe selected on the chart**. --- ## 🔵 BUY Setup Logic A **BUY setup** is created using the following sequence: 1. Price must be **above the 50 EMA** 2. While price remains above EMA: * The indicator tracks the **most recent RED (bearish) candle** 3. Price must **touch the EMA 50** (wick or body — both are valid) * If the retest candle itself is red, it is used as the trigger candle 4. After the retest: * A **BUY signal is generated when price breaks the HIGH of the most recent RED candle that occurred before (or at) the EMA retest** 5. **Stop Loss** * Automatically placed at the **low of the trigger red candle** ➡️ **Entries always occur AFTER the EMA retest** --- ## 🔴 SELL Setup Logic A **SELL setup** follows the exact opposite rules: 1. Price must be **below the 50 EMA** 2. While price remains below EMA: * The indicator tracks the **most recent GREEN (bullish) candle** 3. Price must **touch the EMA 50** * If the retest candle itself is green, it is used as the trigger candle 4. After the retest: * A **SELL signal is generated when price breaks the LOW of the most recent GREEN candle that occurred before (or at) the EMA retest** 5. **Stop Loss** * Automatically placed at the **high of the trigger green candle** --- ## 📊 Visual Elements * **EMA 50** plotted on the chart * **Entry trigger lines** * 🟢 Green line → BUY entry * 🔴 Red line → SELL entry * **Stop-loss lines** * 🟡 Yellow line → BUY stop loss * 🔵 Light blue line → SELL stop loss * **Small, clean arrows** for entries: * ▲ Green triangle → BUY * ▼ Red triangle → SELL *(No large labels or filled boxes for a clean chart)* Both BUY and SELL setups can appear **at the same time**, allowing up to **four lines** on the chart. --- ## ⚙️ Indicator Settings * **EMA Length** Default: 50 (can be adjusted) * **Expire setup after retest (bars)** Cancels the setup if price does not break the trigger within the specified number of candles * **Require candle CLOSE beyond trigger** * ON → Conservative confirmation (close break) * OFF → Aggressive entry (wick break allowed) --- ## 🎯 Best Use Case * Trending markets * Pullback & continuation strategies * Works best on **M15, H1, H4** * Suitable for **Gold (XAUUSD), Forex pairs, Indices, Crypto** --- ## ⚠️ Notes * No signal will appear if: * EMA is not retested * No opposite candle exists before the retest * This behavior is intentional to **filter low-quality trades** * The indicator is a **confirmation tool**, not a prediction tool --- อินดิเคเตอร์ Pine Script®โดย Bipenmann3
BETradez HTF BOS/SWING/FVGBETradez HTF BOS/SWING/FVG Identifies swing highs and lows, marks Break of Structure (BOS) levels on both the current and a higher timeframe, and highlights Fair Value Gaps that auto-delete once filled. An optional filter lets you hide swing labels unless a Fair Value Gap formed between the swing and the next opposing swing point. All colors are fully customizable.อินดิเคเตอร์ Pine Script®โดย blairedreira92ที่อัปเดต: 5
ICT by KG# ICT by KG ### A Complete ICT Structure-Based Entry System **ICT by KG** is a sophisticated Pine Script indicator that automates core ICT concepts, providing clear entry signals based on market structure, displacement, and premium/discount arrays. ## 🔍 Overview This indicator combines multiple ICT concepts into one cohesive system: - Market Structure (Swing Highs/Lows, Break of Structure) - Displacement Detection (momentum candles with minimal wicks) - PD Array Tracking (Fair Value Gaps & Order Blocks) - Kill Zone Filtering (New York session) - VWAP Integration (directional filter) ## 🎯 Core Logic Signals are generated ONLY when ALL conditions align: **LONG Entry:** - Bullish Break of Structure (BOS) confirmed - Bullish displacement detected (minimum consecutive bars) - Price retraces into a bullish FVG or Order Block - Within an active Kill Zone (optional) - Price above VWAP (optional) - CE (50% level) touch required (configurable) **SHORT Entry:** - Bearish Break of Structure (BOS) confirmed - Bearish displacement detected - Price retraces into a bearish FVG or Order Block - Within an active Kill Zone (optional) - Price below VWAP (optional) - CE (50% level) touch required (configurable) ## ⚙️ Key Features **Market Structure** - Customizable swing length (3–20 bars) - HTF bias timeframe reference - Automatic BOS labels & background shading **Displacement** - ATR-based threshold + wick/body ratio filter - Configurable minimum consecutive bars - Highlighted bars for visual confirmation **PD Arrays (FVG & Order Blocks)** - FVG boxes appear after BOS - Order Blocks = last opposite candle before displacement - CE (50%) level requirement option - Configurable lookback & display limits **Kill Zone Filter** - NY Kill Zone (7–10 AM ET) & NY Afternoon (1–4 PM ET) - Optional enable/disable **VWAP Integration** - Session or Weekly reset - Directional filter (longs > VWAP / shorts < VWAP) ## 📊 Visual Elements - Swing Points: "H" (red) & "L" (green) labels - BOS Labels: "BOS↑" (lime) & "BOS↓" (red) - Displacement: Highlighted bars - FVG/OB Boxes: Semi‑transparent green/red - Entry Signals: "⚡ LONG" (lime) & "⚡ SHORT" (red) labels - Background Shading: Subtle green/red for structure bias ## 📈 Heads‑Up Display (HUD) A live info panel shows: - Kill Zone status - Market structure bias - BOS age & status - Displacement status - PD Array activity - VWAP relationship - Action recommendation ## ⚡ Alerts Built‑in alerts for: - LONG Entry signals - SHORT Entry signals - Bullish Break of Structure - Bearish Break of Structure ## 🛠️ Input Parameters | Group | Parameter | Description | |--------------------|-------------------------|--------------------------------------| | Market Structure | Swing Length | Pivot sensitivity (3–20) | | | HTF Bias Timeframe | Higher timeframe reference | | | Show Swing Points | Toggle H/L labels | | Displacement | ATR Multiplier | Displacement threshold (1.0–3.0) | | | Max Wick/Body Ratio | Rejection filter (0.1–0.5) | | | Min Displacement Bars | Consecutive bars required (1–5) | | PD Arrays | Show FVG/OB | Toggle boxes | | | Max to Track | Number of boxes displayed (3–20) | | | Order Block Lookback | OB candle position (1–10) | | | Require CE Tag | Force 50% level touch | | VWAP | Show VWAP | Toggle VWAP line | | | VWAP Reset | Session or Week | | | VWAP Filter | Directional filter | | Kill Zones | Enable Filter | Toggle time filter | | | NY Kill Zone | NY session only | | Colors | Bullish/Bearish Colors | Customize box colors | ## 📝 How to Use 1. Add to chart and adjust inputs as needed. 2. Watch the HUD – all conditions must align. 3. Entry signals appear when price taps into PD arrays. 4. Confirm with higher timeframe bias (optional). 5. Manage risk according to your trading plan. ## ⚠️ Disclaimer This indicator is for educational and informational purposes only. It is not financial advice. Past performance does not guarantee future results. Always conduct your own analysis and risk management before trading. --- **Version:** 1.0 **Author:** KG **Based on:** ICT (Inner Circle Trader) Methodologyอินดิเคเตอร์ Pine Script®โดย Enkore91ที่อัปเดต: 153