ATR Regime Filter (median & P70)ATR Regime Filter (Median & P70)
Purpose
Filter your signals by the volatility regime. The indicator compares the current ATR to two rolling statistical thresholds—the median (P50) and the 70th percentile (P70)—to avoid trading during quiet phases and prioritize setups when the market “breathes.”
How it works
Computes ATR(14) on a user-defined source timeframe (srcTF) via request.security.
Converts a target window in days (days) into bars of the source TF.
Due to Pine limits, the effective window is capped at 5000 bars (shown in an optional label).
Calculates Median (P50) and P70 of ATR over the effective window.
Exposes two booleans:
ATR > Median (normal-to-elevated volatility)
ATR > P70 (elevated volatility)
Display
Plots: ATR, Median, P70.
Panel background (bgcolor):
light green when ATR > P70
teal when ATR > Median
neutral otherwise
Optional label: shows source TF, effective window size (bars & days), and the boolean states.
Inputs
ATR length (default 14)
TF source ATR (srcTF, e.g., “1”, “5”, “15”)
Target window (days) (days, default 20)
Show label (bool)
Suggested use
Breakout/Momentum: require ATR > P70 in addition to your breakout conditions (close beyond level, volume, retest).
Range/Mean reversion: at minimum require ATR > Median.
In strategies, use ATR > Median/P70 as a filter alongside price structure, volume, and EMAs.
Limitations
On very short source TFs (e.g., 1-min), the window may be clipped to 5000 bars (~3.5 days). Increase srcTF (5m/15m) if you want a true 15–30 day history.
ATR measures magnitude, not direction—combine with trend/structure signals.
Bandas y canales
NEXUS cRSI + RSF + Holy Nexus + Divergences + Multi-TF TableA configurable momentum and cycle-based indicator designed to highlight potential trend shifts, reversals, and divergences. Combines multiple complementary signal types to give traders filtered, actionable insights without relying on raw price alone.
Key Features:
-Holy Nexus Setup: Highlights where the lower band is above 50 and the CRSI breaks the band and the 50 level, and for longs when the upper band is bellow 50 and CRSI breaks above the band and above the 50 level.
-Divergences: Identifies decoupling between price and momentum.
-Momentum Flips: Flags shifts in short-term momentum relative to recent cycles.
-Band Breaks: Marks significant moves outside dynamic reference levels.
- Multi-timeframe Table for Holy Nexus readiness
- Adjustable tolerance for the Holy Nexus and Table
All features are optional and fully customizable, including visual display and alerts. Ideal for traders who want multi-layered guidance while retaining flexibility.
ADR [KasTrades]This ADR indicator has 2 options: a Range of ADR, such as 7 and 14 which is typically used for indexes, index futures and equities, or a single ADR such as a 5 day which is typically used for forex.
The session start time is 17:00 ET (NY Time) by default, this is adjustable.
You can adjust the ADR days to different ranges such as 5 and 10, or a single ADR day such as 7.
Colors of the ADR high and low are also adjustable.
Dynamic 21 SMA Zone S/R (Weekly and 2-Day)This custom indicator creates a dynamic support and resistance zone based on the 21-period Simple Moving Average (SMA) from the weekly timeframe and the 21-period SMA from the 2-day timeframe. The zone is visible and functional across all chart timeframes, adapting seamlessly to provide multi-timeframe insights.
Color Logic:
Green: When the current price is fully above the upper boundary of the zone, indicating potential bullish strength or a support level.
Gray: When the price is fully below the lower boundary, signaling potential bearish pressure or a resistance level.
Light Blue: When the price is within the zone (between the two SMAs), representing a neutral "no man's land" where the market is indecisive.
As the two SMAs converge or diverge, the zone naturally thins or widens, visually reflecting changes in market momentum—such as a thinning green zone during a potential reversal. Ideal for higher-timeframe swing trading to identify key levels, this indicator is also useful on lower timeframes for gauging the relative position of these SMAs, helping traders align short-term moves with broader trends.
DM Scalper TrioQuick trade plan
Timeframe: works best on 1–15m for scalps.
Market state filter: only trade with VWAP.
Long setup
Trend: Price above VWAP and EMA9 > EMA32.
Trigger: After a small pullback, a candle closes back above EMA9 (or EMA9 crosses up EMA32).
Entry: Market/limit at the close of the trigger candle.
Invalidation (stop): Below the recent swing low or 1.5×ATR(14) below entry.
Target: 1) Fixed R (e.g., +2R), or 2) scale out at +1R and trail the rest with EMA32 or a chandelier stop, or 3) exit if price closes back under VWAP.
Short setup (mirror)
Price below VWAP, EMA9 < EMA32 → pullback → close back below EMA9 (or EMA9 crosses down EMA32).
Stop above swing high or 1.5×ATR(14); targets as above.
Exit on close back above VWAP or opposite signal.
Risk + management
Risk ≤1% of account per trade.
Position size = Account Risk / (Entry – Stop) (mirror for shorts).
Skip trades around major news and low-liquidity times.
DM Auto PDH/PDL/PMH/PMLThe “DM Auto PDH/PDL/PMH/PML” indicator is a price-level plotting tool designed for intraday traders who want to automatically display key reference levels on their TradingView chart — specifically:
What It Does
It automatically plots and labels:
PDH (Previous Day High) – The highest price of the previous trading day.
PDL (Previous Day Low) – The lowest price of the previous trading day.
PMH (Premarket High) – The highest price during the premarket session (e.g., 4:00–9:30 AM).
PML (Premarket Low) – The lowest price during the premarket session.
These levels are critical for many day traders to identify:
Potential support/resistance zones.
Breakout or reversal areas.
Liquidity zones where price tends to react.
Key Features
Automatic Detection:
The script calculates these levels automatically from live or historical data.
Custom Session Settings:
You can define your premarket hours (default: 04:00–09:30 exchange time).
Visual Customization:
Choose whether to show lines only on the latest bar or across the whole chart.
Choose line colors for PDH, PDL, PMH, and PML.
Optionally display labels (e.g., “PDH”, “PML”) at the right edge of the chart.
No Signals or Strategy Logic:
This version does not buy/sell or alert — it’s purely a visual reference indicator for price levels.
Typical Uses
Day traders and scalpers use this to:
Plan trades around prior-day highs/lows (major intraday levels).
Identify premarket extremes, which often act as first support/resistance after the open.
Combine with other indicators (VWAP, moving averages, volume profiles) for confirmation.
Summary
Level Meaning Common Usage
PDH Previous Day High Resistance / Breakout Target
PDL Previous Day Low Support / Breakdown Target
PMH Premarket High Intraday Resistance Zone
PML Premarket Low Intraday Support Zone
DM Scalper FlowHow to enter trades manually
You can use this workflow:
For LONG entries
Wait for the “LONG ▲” bias to appear on the table.
Confirm the candle is bullish (close > open) and above VWAP.
Enter at or near the close of that bar or on a small pullback.
Set stop loss at Bull SL, target at Bull TP from the table.
For SHORT (PUT) entries
Wait for the “PUT ▼” bias.
Confirm the candle is bearish (close < open) and below VWAP.
Enter near the close or next small retracement.
Use Bear SL and Bear TP from the table.
How to interpret the table
Row Meaning Usage
Bull SL / TP ATR-based Stop-Loss and Take-Profit levels for a long Use as your entry plan if you take a long
Bear SL / TP ATR-based levels for a short Use for short entries
Bias “LONG” or “PUT” signal + arrow Follow only when it’s active
Institutional RSI Trendline Breakout StrategyKey Features:
1. RSI Trendline Detection
Automatically identifies RSI resistance (bearish) and support (bullish) trendlines
Requires minimum touch points for validation
Dynamic trendline calculation with configurable pivot lookback
2. Market Structure Analysis
Detects swing highs/lows to identify uptrends and downtrends
Combines multiple trend confirmation methods (swing structure + moving averages)
Visual background highlighting for trend confirmation
3. Breakout Signals
Buy Signal: RSI breaks above resistance trendline + bullish market structure
Sell Signal: RSI breaks below support trendline + bearish market structure
Configurable breakout threshold to avoid false signals
4. ATR-Based Stop Loss
Dynamic stop loss placement based on market volatility
Multiplier-adjustable for different risk profiles
Visual plotting of stop loss levels
5. Signal Filters
Volume filter to confirm breakout validity
RSI level filters to avoid extreme conditions
Multiple validation layers for institutional-grade accuracy
6. Professional Visualization
Clear buy/sell signal markers on chart
Information dashboard with real-time metrics
Trend background highlighting
Stop loss level indicators
7. Alert System
Ready-to-use alerts for both buy and sell signals
Includes entry price and stop loss in alert messages
This script provides institutional-grade signal quality with multiple confirmation layers, optimal risk management, and comprehensive market analysis.
SAN_Price Action BOS Strategy Price Action strategy with Break of structure including 20-30EMA crossover with perfect BUY/SELL alert is a beauty of this one
MA Cloud - Desh videsh TradingDescription:
Visualize market trends with ease using the MA Cloud + Configurable Long-Term MA indicator! This tool allows traders to quickly assess short-to-medium-term and long-term trends using customizable moving averages (EMA, WMA, SMA).
Features:
MA Cloud (35–65 default):
Represents a zone of short-to-medium term trend.
Cloud turns green when above the long-term MA → bullish trend.
Cloud turns red when below the long-term MA → bearish trend.
Gray when the trend is neutral or mixed.
Long-Term MA Line:
Fully configurable MA type (EMA/WMA/SMA) and length (default 200).
Acts as a filter for overall market trend.
Trend Label:
Displays “TREND: BULL / BEAR / NEUTRAL” on the latest bar.
Provides quick visual reference of market direction.
Customizable Inputs:
Choose MA type for each cloud line: EMA, WMA, or SMA
Adjust MA lengths for cloud lines and long-term trend line
Customize cloud and line colors for better chart visualization
How to Use:
Bullish Trend: Cloud above long-term MA → focus on long positions
Bearish Trend: Cloud below long-term MA → focus on short positions
Neutral Trend: Cloud overlapping long-term MA → avoid directional trades
Bala RSI + BLOCKSThis indicator combines RSI momentum analysis with order block detection to highlight high-probability reversal and continuation zones. It’s designed for traders who want to align institutional footprints with momentum exhaustion or strength.
✅ Key Features
Automatic Order Block Detection
Identifies bullish and bearish order blocks based on price structure shifts and liquidity zones.
RSI-Driven Confirmation
Uses RSI to filter or validate order blocks (e.g., oversold for bullish zones, overbought for bearish zones).
Clear Visual Marking
Highlights order blocks directly on the chart for quick decision-making.
Works Across Timeframes
Suitable for intraday, swing, and positional strategies.
🎯 Use Cases
Spot potential reversal zones with RSI confluence
Confirm order blocks with momentum exhaustion
Combine with price action for refined entries/exits
⚠️ Disclaimer
This tool is for educational and analytical use only. It does not constitute financial advice. Always combine with your own strategy and risk management.
DM Super AlgoHere’s what each row in the Summary Table means and how you’d use it:
Mode
Shows your selected trade style (Scalp / Day trade / Swing) plus the ATR settings tied to it.
Use it to remember what volatility context you set the algo to (it also informs some visuals/OB stats under the hood).
ADX
Current trend strength from the Wilder ADX. It also labels the regime: WEAK / MODERATE / STRONG / VERY STRONG.
When ADX is below your “ADX min” input, the algo treats trend as weak; unified signals only fire when trend is strong.
Vol >MA*x
Whether current volume is UNUSUAL (above SMA(volume, flowVolLen) × flowVolMult) or NORMAL.
UNUSUAL volume = better odds a move can follow through; it also contributes a “vote.”
RSI(len)
Shows RSI value or zone: Overbought / OB Zone / Oversold / OS Zone / number.
Above 50 adds a bull vote; below 50 adds a bear vote. OB/OS text just gives quick context.
ATR(len)
Shows the ATR and (optionally) the ATR % of price (e.g., “1.23 (0.65%)”).
Higher ATR = more noise/range; useful for setting stops/targets sized to current volatility.
DM Total BUY
Rolling total of estimated buy volume over your lookback window (formatted in K/M/B).
Bigger than SELL suggests net buying pressure recently.
DM Total SELL
Rolling total of estimated sell volume over the same window.
Bigger than BUY suggests net selling pressure recently.
DM Buy Dom%
The share of buy volume in total (BUY / (BUY+SELL)), as a percentage.
>50% favors bulls; <50% favors bears. It also feeds a vote.
Votes (B/Bear)
The bull vs bear tally from 5 components:
Price vs EMA(Trend)
RSI vs 50
DM dominance (>50%)
CVD slope (last 5 bars)
Volume condition
When trend is strong (ADX filter passes) and one side has ≥3 votes AND more than the other, the script plots its triangle marker.
How to use the table (quick workflow)
Check ADX: If not “STRONG/VERY STRONG,” be cautious—signals won’t print unless trend passes your ADX threshold.
Scan Votes: A clear majority (e.g., 4/1) is stronger than 3/2.
Confirm with Volume: “UNUSUAL” volume increases conviction.
Gauge Volatility: Use ATR (and ATR%) to size stops/targets.
Read DM & Dominance: BUY vs SELL totals and DM Buy Dom% tell you whether the recent flow supports the direction.
Cycle VTLs – with Scaled Channels "Cycle VTLs – with Scaled Channels" for TradingView plots Valid Trend Lines (VTLs) based on Hurst's Cyclic Theory, connecting consecutive price peaks (downward VTLs) or troughs (upward VTLs) for specific cycles. It uses up to eight Simple Moving Averages (SMAs) (default lengths: 25, 50, 100, 200, 400, 800, 1600, 1600 bars) with customizable envelope bands to detect pivots and draw VTLs, enhanced by optional parallel channels scaled to envelope widths.
Key Features:
Valid Trend Lines (VTLs):
Upward VTLs: Connect consecutive cycle troughs, sloping upward.
Downward VTLs: Connect consecutive cycle peaks, sloping downward.
Hurst’s Rules:
Connects consecutive cycle peaks/troughs.
Must not cross price between points.
Downward VTLs:
No longer-cycle trough between peaks.
Invalid if slope is incorrect (upward VTL not up, downward VTL not down).
Expired VTLs: Historical VTLs (crossed by price) from up to three prior cycle waves.
SMA Cycles:
Eight customizable SMAs with envelope bands (offset × multiplier) for pivot detection.
Channels:
Optional parallel lines around VTLs, width set by channelFactor × envelope half-width.
Pivot Detection:
Fractal-based (pivotPeriod) on envelopes or price (usePriceFallback).
Customization:
Toggle cycles, VTLs, and channels.
Adjust SMA lengths, offsets, colors, line styles, and widths.
Enable centered envelopes, slope filtering, and limit stored lines (maxStoredLines).
Usage in Hurst’s Cyclic TheoryAnalysis:
VTLs identify cycle trends; upward VTLs suggest bullish momentum, downward VTLs bearish.
Price crossing below an upward VTL confirms a peak in the next longer cycle; crossing above a downward VTL confirms a trough.
Trading:
Buy: Price bounces off upward VTL or breaks above downward VTL.
Sell: Price rejects downward VTL or breaks below upward VTL.
Use channels for support/resistance, breakouts, or stop-loss/take-profit levels.
Workflow:
Add indicator on TradingView.
Enable desired cycles (e.g., 50-bar, 1600-bar), adjust pivotPeriod, channelFactor, and showOnlyCorrectSlope.
Monitor VTL crossings and channels for trade signals.
NotesOptimized for performance with line limits.
Ideal for cycle-based trend analysis across markets (stocks, forex, crypto).
Debug labels show pivot counts and VTL status.
This indicator supports Hurst’s Cyclic Theory for trend identification and trading decisions with flexible, cycle-based VTLs and channels.
Use global variable to scale to chart. best results use factors of 2 and double. try 2, 4, 8, 16...128, 256, etc until price action fits 95% in smallest cycle.
Next-Day Open Bias (NDO) — Clean HUD (Compat)What It’s Designed To Do
Goal:
Predict whether the next day’s market open will gap up (bullish) or down (bearish) — useful for swing entries into next-day expiry trades, e.g. SPX 0DTE or next-day options.
It’s a probability-driven model, not a buy/sell signal generator.
It gives you a probability bias for the next day’s opening direction.
The text color instantly tells you:
🟩 Green = Bull signal (expect next-day gap up)
🟥 Red = Bear signal (expect next-day gap down)
⚪ White = Neutral / no edge
GR33NGR33N — by TanTechTrades
GR33N is a clean, lightweight confirmation/alert tool that fires only when trend, breakout, and momentum all agree. It combines a Hull Moving Average, a Donchian Trend Ribbon, and ADX/DI into one “all green / all red” signal you can trade or use to filter other systems.
What it does
Trend (Hull MA 55): Detects short-to-medium trend direction. Line turns green when rising, red when falling.
Breakout (Donchian 20): Labels regime as bullish after a close above the prior Donchian high, bearish after a close below the prior Donchian low.
Momentum (ADX/DI 14): Confirms direction with DI+ > DI− for bullish pressure or DI− > DI+ for bearish pressure.
A signal prints only when all three align:
All Green → Hull rising and Donchian bullish and DI+ > DI−
All Red → Hull falling and Donchian bearish and DI− > DI+
The chart shades faintly and plots triangles at bars where the alignment occurs. Built-in alerts let you automate entries or notifications.
Plots & Visuals
Hull MA (color-coded by slope)
Background highlight on qualifying bars
Triangle Up/Down markers at “All Green / All Red” events
Inputs
Source: Price source for Hull (default: close)
Hull Length: Default 55
Donchian Period: Default 20
ADX Length: Default 14
Alerts
All Green Alert: “All indicators are green!”
All Red Alert: “All indicators are red!”
Set alerts on “Once per bar close” for confirmed signals.
How to use
Add GR33N to your chart and keep defaults to start.
Trade with the signal:
Long bias on “All Green”; consider entries on pullbacks or break of signal bar high.
Short bias on “All Red”; consider entries on pullbacks or break of signal bar low.
Risk manage with your own SL/TP (e.g., beyond recent swing or ATR).
Optional: Use GR33N as a filter—only take strategy entries in the direction of the latest signal.
Tips
Shorter Donchian or Hull = more signals, more noise. Longer = fewer, more selective.
Works well on intraday FX, indices, and crypto; always validate per symbol/timeframe.
Pair with structure levels, session filters, or volume for higher quality setups.
Notes
This is an indicator/alert tool, not a strategy. Past performance ≠ future results.
Signals are generated on bar close; enabling “realtime bar” alerts may lead to earlier—but less confirmed—notifications.
Built by TanTechTrades — keep it simple, keep it green. ✅
PAL strategy
This trading script is based on the foundational concepts of the BBMA Omaa Ally, but it incorporates several custom additions and modifications tailored to a specific individual trading style. The general approach for utilizing these signals is as follows:
1. EXT, CSM, and CSAK Signals: When any of these momentum/breakout signals occur, the trader typically waits for a re-entry or retracement of the price action. The actual trade entry is then made upon contact with the opposing WMA 5 or WMA 10 lines.
2. CSAK with CB1 (CBS): If a CSAK candle forms concurrently with a CB1 (an initial breakout confirmation), the setup is designated as a **CBS**. For lower timeframes (M5/M15), an instant entry may be taken on the CBS candle, while entries on higher timeframes (H1/H4/Daily) are taken on the WMA 5/10 retracement following the CBS.
3. CSAK with CB1 and Dominant Break (PAL): A setup involving a CSAK candle, CB1, and a break of a Dominant candle/level is identified as a **PAL**. Similar to the CBS rule, an instant entry is taken on M5/M15, and a **WMA 5/10 retracement entry is utilized for higher timeframes.
4. CPA Signals: The **CPA** signal is treated as a high-conviction setup, warranting an instant entry. For all trades, the Stop Loss (SL) and Take Profit (TP) are managed by exiting the trade if the price breaks the opposing WMA 5 or WMA 10 line.
**In an advanced trading context, the confirmation of a re-entry on a higher timeframe is verified by observing an EXT signal on a corresponding lower timeframe. This is known as confluent confirmation.
Monthly -> daily
Weekly -> H4
Daily -> H1
H4 -> m15
H1 -> m5
KuMA_TFIt’s an indicator that targets counter-trend entries at higher-timeframe reversal points in a multi-timeframe setup.
It also allows you to see each currency’s trend direction at a glance.
Quant BTC ETH Oversold Indicator $$$ V0001A very powerful indicator for determining high probability of oversold location for btc and eth.
Fractal Prime Zones - FIMIDOFractal based indicator with volume delta
Included - BUY/SELL option and alerts.
In test phase
鲲侯BB-SR汇合 & 动能堆积 (v7.7.3 终极稳定版)鲲侯·决策驾驶舱 (v7.7.3) —— BB-SR汇合与动能堆积分析指标
前言:警报之后,决策开始
当您的 “鲲侯·三引擎融合量化警报系统” 发出警报时,它告诉您:“注意,这里可能存在一个高胜率的交易机会!”
但这仅仅是第一步。下一步的关键问题是:“这个机会的质量究竟如何?现在是最佳的入场时机吗?”
鲲侯·决策驾驶舱 正是为回答这一核心问题而生。它不是一个警报工具,而是一个强大的精细化战术分析仪表盘。当您收到警报后,加载本指标,它将为您提供做出最终决策所需的一切客观信息,将一个模糊的“机会”具象化为一个清晰的“交易计划”。
核心功能:三大客观信息维度
本指标通过三大核心功能,将复杂的图表信息转化为直观、可操作的视觉信号,帮助您快速评估警报质量。
👑 动态多周期SR系统 (Dynamic Multi-Timeframe S/R System)
手动绘制支撑阻力(SR)费时费力,且容易带有主观偏见。本指标的SR系统将彻底将您解放出来。
自动化绘制:它像您的私人助理,自动扫描当前图表、15分钟、30分钟三个周期的关键枢轴点(Pivot Points),并智能筛选、去重后,将最关键的 10 条(可调)SR水平线实时绘制在您的图表上。红色代表阻力,绿色代表支撑。
汇合信号箭头:当价格不仅触及布林带,并且与至少一条自动绘制的SR水平线发生位置汇合时,图表上会出现一个清晰的箭头信号(⬆️/⬇️)。这是“位置 x 结构”的双重确认,极大地提升了信号的可靠性。
💥 “SUPER”跨周期动能堆积侦测 ("SUPER" Cross-Timeframe Momentum Stacking)
市场发动猛烈趋势前,往往会经历一段力量的沉淀与压缩,我们称之为“动能堆积”。这种状态在小周期上难以察觉,但在大周期上却清晰可见。
智能侦测:本指标会实时监控所有更高时间周期(15m, 30m, 1H, 2H, 4H, 1D)的动能状态。
“SUPER”标签:当任一更高周期的动能进入“堆积”状态,同时当前图表价格触及布林带边缘时,图表上会出现一个醒目的“SUPER”标签,并明确标示出是哪个周期(如 SUPER 1H)。
信号解读:想象一根被极致压缩的弹簧。“SUPER”标签的出现,就意味着您在更高时间框架上发现了这样一根“压缩的弹簧”。这预示着一旦价格突破,后续的行情将极具爆发力。这是系统中最强烈的共振信号之一。
🗺️ 布林带价值通道 (Bollinger Bands Value Channel)
布林带是整个分析系统的基础框架,它为您提供了一个动态的“价值地图”,清晰地标示出价格的常规波动区间与潜在的超卖/超买区域。我们所有的信号都构建于价格与布林带的互动之上。
实战工作流程:如何使用本指标决策
请将本指标融入您在 三引擎融合系统 中建立的SOP(标准作业程序)。
① 接收警报 (Receive Alert)
您的任一警报引擎(趋势跟随/第一浪反转/趋势线破坏)发出信号。
② 加载“决策驾驶舱” (Load the "Decision Cockpit")
切换到警报提示的交易品种图表,加载本指标。
③ 寻找“A+级共振信号” (Look for "A+ Resonance Signals")
在图表上寻找以下客观信息的共振叠加,叠加项越多,信号质量越高:
✅ 价格触及布林带上下轨 (基础条件)
✅ SR汇合箭头出现 (位置+结构确认)
✅ “SUPER”动能堆积标签出现 (更高周期力量压缩确认)
✨ A+机会:当箭头和“SUPER”标签(特别是1H及以上周期)同时出现时,代表这是一个结构共振且动能即将爆发的顶级交易机会。
④ 结合微观结构入场 (Enter with Micro-Structure)
在确认这是一个高质量机会后,切换至5分钟图表,寻找一个微观的矩形整理或BOS(结构突破)点,作为您精准的入场依据。
参数设置
pivotLookback: 调整当前图表SR的识别灵敏度。
maxSRLines: 设置图表上最多显示的SR线条数量,保持图表简洁。
maxSRBars: 设置SR线条的有效时间(以K线根数计),避免过时的线条干扰判断。
结论
鲲侯·决策驾驶舱 是您从接收警报到完成交易的桥梁。它通过将复杂的多周期分析过程视觉化、客观化,帮助您快速过滤掉质量不佳的信号,并识别出那些真正值得您投入资金的“A+级”机会。
它的使命,是将一个“可能的警报”升华为一个“高确定性的交易计划”,助您在系统化交易的道路上行稳致远。
✅ English Version (Plain Text, TradingView Compatible)
Kunhou · Decision Cockpit (v7.7.3) — BB-SR Confluence and Momentum Stacking Analysis Indicator
Preface: After the Alert, Decision Begins
When your "Kunhou · Triple-Engine Fusion Quantitative Alert System" triggers an alert, it tells you: "Attention: a high-probability trading opportunity may exist here!"
But this is only the first step. The critical next question is: "How strong is this opportunity? Is this truly the optimal entry moment?"
The Kunhou · Decision Cockpit is designed specifically to answer this core question. It is not an alert tool — it is a powerful tactical analysis dashboard. When you receive an alert, load this indicator, and it will provide all the objective data needed to make your final decision, transforming a vague "opportunity" into a clear, actionable "trade plan."
Core Functions: Three Dimensions of Objective Analysis
This indicator transforms complex chart analysis into intuitive, actionable visual signals through three core functions, enabling rapid assessment of alert quality.
👑 Dynamic Multi-Timeframe S/R System
Manually drawing support and resistance (S/R) is time-consuming and prone to subjective bias. This indicator’s S/R system sets you completely free.
Automated Plotting: Like a personal assistant, it automatically scans pivot points (Pivot Points) from three timeframes — the current chart, 15-minute, and 30-minute — then filters and deduplicates to plot the top 10 (adjustable) S/R levels in real time. Red lines represent resistance, green lines represent support.
Confluence Signal Arrows: When price touches the Bollinger Bands AND aligns spatially with at least one of the system-drawn S/R levels, a clear arrow signal appears (⬆️/⬇️). This is a dual confirmation of “Location × Structure,” greatly enhancing signal reliability.
💥 "SUPER" Cross-Timeframe Momentum Stacking Detection
Before strong trends erupt, the market often undergoes a phase of force consolidation and compression — we call this “Momentum Stacking.” This state is hard to spot on small timeframes, but becomes clear on higher ones.
Smart Detection: The indicator continuously monitors momentum states across all higher timeframes (15m, 30m, 1H, 2H, 4H, 1D).
"SUPER" Label: When momentum on any higher timeframe enters “stacking” mode AND the price touches the Bollinger Band edge, a prominent "SUPER" label appears, specifying which timeframe (e.g. SUPER 1H).
Signal Interpretation: Think of a spring compressed to its limit. The appearance of a "SUPER" label means you've located such a "compressed spring" on a higher timeframe. This suggests that once price breaks, the following move will be highly explosive. It is one of the strongest confluence signals in the system.
🗺️ Bollinger Bands Value Channel
The Bollinger Bands form the foundational framework of the entire analysis system. They provide a dynamic “value map,” clearly marking the normal price range and potential oversold/overbought zones. All our signals are built upon the interaction between price and the Bollinger Bands.
Practical Workflow: How to Use This Indicator for Decision-Making
Integrate this indicator into your SOP (Standard Operating Procedure) established within the Triple-Engine Fusion System.
Step 1: Receive Alert
Your alert engine (Trend-Following, First-Wave Reversal, or Trendline Break) triggers a signal.
Step 2: Load the "Decision Cockpit"
Switch to the chart of the alerted asset and load this indicator.
Step 3: Look for "A+ Resonance Signals"
Look for the convergence of the following objective signals. The more conditions met, the higher the signal quality:
✅ Price touches upper or lower Bollinger Band (base condition)
✅ SR Confluence Arrow appears (location + structure confirmation)
✅ "SUPER" Momentum Stacking Label appears (higher timeframe force compression)
✨ A+ Opportunity: When both the arrow and the "SUPER" label (especially from 1H or higher) appear together, it signals a top-tier opportunity with structural confluence and explosive momentum potential.
Step 4: Enter with Micro-Structure Confirmation
After confirming a high-quality setup, switch to the 5-minute chart and look for a micro consolidation pattern or a BOS (Break of Structure) as your precise entry trigger.
Parameter Settings
pivotLookback: Adjusts sensitivity for pivot detection on the current chart.
maxSRLines: Sets the maximum number of SR lines displayed to keep the chart clean.
maxSRBars: Defines the duration (in bars) for which SR lines remain valid, preventing outdated levels from causing confusion.
Conclusion
The Kunhou · Decision Cockpit is your bridge from receiving an alert to executing a trade. By visualizing and objectifying complex multi-timeframe analysis, it helps you quickly filter out low-quality signals and identify only the true “A+” opportunities worth your capital.
Its mission is to elevate a “possible alert” into a “high-conviction trading plan,” enabling you to trade systematically and sustainably.
E.Invest ALT Buy/Sell ZonesE.Invest ALT Buy/Sell Zones — normalized buy/sell zones for altcoins (Average/High Volatility)Summary
This indicator builds normalized buy and sell zones for altcoins using ultra-long baselines on a fixed timeframe and calibrated percentage offsets. It helps you stage entries and exits with discipline and consistency across a wide range of altcoins, from majors to lesser-known assets, by normalizing calculations regardless of the chart’s timeframe.What makes it unique
Two volatility regimes for exits: Average Volatility and High Volatility. Switch between them depending on market phase: steady trends vs. euphoric/parabolic moves.
Timeframe normalization: all calculations run on a fixed 60-minute aggregate via request.security, so results are comparable across different charts and assets.
Ultra-long baselines: the core lines reflect higher-cycle structure of altcoin markets and avoid being driven by short-lived noise.
Asymmetric design: buy zones use fixed percentage discounts for disciplined DCA entries, while sell zones use expanded targets designed for altcoin-style rallies.
Non-repainting implementation: request.security is used with lookahead_off; labels are updated on the last bar only.
Consolidation: merges two legacy variants into one tool, simplifying updates and avoiding separate “minor variation” publications.
How it works (principles)
Baseline: an ultra-long moving average on fixed M60 is the reference for relative levels.
Buy Zones (Buy 1/2): set at fixed percentage discounts from the baseline to build staggered entries.
Sell Zones (Sell 1/2/3):
Average Volatility: targets for routine trend conditions and moderate volatility.
High Volatility: extended targets to capture outsized moves during euphoric phases.
Last-bar price labels: show current level values to speed up order placement.
How to use
Entries:
Buy 1: conservative accumulation at a discount to the “fair-value” baseline.
Buy 2: more aggressive adds during capitulative dips. Consider confirming with volume/structure filters.
Exits:
Use Average Volatility in steady or range-bound conditions for partial take-profits at Sell 1/2/3.
Use High Volatility during strong impulses to avoid exiting too early.
Laddering:
Split position size into 3–6 tranches and distribute across zones.
Refresh orders periodically; levels shift as the baseline updates.
Timeframes and assets:
Works on any chart timeframe; calculations are normalized on M60.
Prefer liquid pairs for cleaner adherence to levels.
Combinations:
Improve selectivity with HTF trend filters or volume confirmation. The indicator provides context; entry/exit triggers remain your system’s choice.
Settings
Indicator:
Show Sell Zones (average volatility)
Show Sell Zones (high volatility)
Labels — Buy:
Show label Buy 1
Show label Buy 2
Labels — Average Volatility:
Show label Sell 1/2/3
Labels — High Volatility:
Show label Sell 1/2/3
Labels are printed on the last bar for quick price-aware actions.
Why closed-source
The method relies on proprietary calibration of baseline windows and percentage offsets derived from altcoin cycle studies (moderate vs. impulsive phases). We keep the source protected to preserve the methodology, while describing the principles and usage so traders can understand how to apply it.Publishing notes (Chart)
Publish with a clean chart featuring only this indicator, unless your description explains required companions.
Use a neutral theme and keep labels on to make outputs unambiguous.
Important
This is not financial advice. No guarantees of performance.
Zones provide structure; confirmations and risk management are up to the trader.
On illiquid assets, slippage or overshoots can occur.
Future changes will be published using the Update feature.
E.Invest ALT Buy/Sell Zones — нормализованные зоны покупок/продаж для альткоинов (Average/High Volatility)
Кратко
Индикатор строит нормализованные зоны покупок и продаж для альткоинов на основе ультрадолгой базовой линии (baseline) на фиксированном таймфрейме и калиброванных процентных отклонений. Он помогает дисциплинированно расставлять лестницу заявок на вход/выход и одинаково применим к широкому спектру альткоинов — благодаря нормализации расчётов независимо от ТФ графика.Чем он уникален
Два режимa зон продаж: Average Volatility и High Volatility. Переключайтесь в зависимости от рыночной фазы: умеренные тренды или параболические импульсы.
Нормализация по времени: все расчёты ведутся на фиксированном M60 через request.security — уровни сопоставимы между инструментами и ТФ.
Ультрадолгие базовые линии: отражают структуру циклов альткоинов, а не кратковременный шум.
Асимметрия логики: покупки — фиксированные проценты скидки (удобно для DCA‑подхода), продажи — расширенные цели под «выносные» ралли.
Без перерисовки: request.security с lookahead_off; метки обновляются только на последнем баре.
Консолидация: объединяет две прежние вариации в один инструмент, исключая публикацию «мелких вариаций» и упрощая поддержку.
Как это работает (принципы)
Базовая линия (baseline): ультрадолгая скользящая на фиксированном M60 — опорный уровень для относительных расчётов.
Зоны покупок (Buy 1/2): фиксированные проценты скидки от baseline — для поэтапного набора.
Зоны продаж (Sell 1/2/3):
Average Volatility — цели для «обычных» трендов и умеренной волатильности.
High Volatility — дальние цели в фазах эйфории/импульсов.
Метки цен на последнем баре — для быстрого выставления лимит‑ордеров.
Как использовать
Входы:
Buy 1 — базовая зона для начала набора/докупки со скидкой к «справедливой» линии.
Buy 2 — агрессивное усреднение в кульминациях снижения; лучше подтверждать объёмом/структурой.
Выходы:
Average Volatility — частичная фиксация на Sell 1/2/3 в спокойных фазах/боковике.
High Volatility — используйте в импульсных фазах, чтобы не выйти слишком рано.
Лестница ордеров:
Делите объём на 3–6 частей и распределяйте по зонам.
Обновляйте заявки: уровни динамически следуют за baseline.
Таймфреймы и инструменты:
Работает на любом ТФ графика; расчёт нормализован на M60.
Предпочтительны ликвидные пары для корректной отработки уровней.
Комбинации:
Повышайте точность HTF‑фильтрами тренда и подтверждением объёмом. Индикатор задаёт контекст; триггеры — на ваше усмотрение.
Параметры
Индикатор:
Показать Sell Zones (average volatility)
Показать Sell Zones (high volatility)
Метки Buy:
Показывать метку Buy 1
Показывать метку Buy 2
Метки Average Volatility:
Показывать метку Sell 1/2/3
Метки High Volatility:
Показывать метку Sell 1/2/3
Метки выводятся на последнем баре.
Почему закрытый код
Используется проприетарная калибровка базовых периодов и процентных офсетов, сформированная по историческим циклам альткоинов (умеренные и импульсные фазы). Мы защищаем методику, но подробно описываем принципы и сценарии применения, чтобы трейдеры понимали, как использовать инструмент.Рекомендации по публикации (Chart)
Публикуйте с «чистым» графиком: оставьте только этот индикатор, если не требуется иначе.
Используйте нейтральную тему и включённые метки цен — так выводы индикатора читаются однозначно.
Важно
Не является инвестиционной рекомендацией; гарантии результата отсутствуют.
Зоны — это контекст; подтверждения и риск‑менеджмент остаются за трейдером.
На низколиквидных парах возможны проскальзывания и «перепробои» уровней.
Дальнейшие изменения будут публиковаться через Update.
Buy - Sell indicatorKey Features:
🎯 Multi-Indicator Signal System
Parabolic SAR + CCI (Commodity Channel Index) combination
Bollinger Bands with customizable smoothing
DEMA (Double Exponential Moving Average) trend confirmation
WaveTrend Cross oscillator
📊 Smart Trend Detection
EMA-based trend filter (21/50 periods)
Strong trend tracking with consecutive rise counter
Dynamic trailing stop mechanism
Volume surge detection for momentum confirmation
📈 Advanced Entry/Exit Logic
Fibonacci-based decline ratio filter (prevents premature entries)
Second bottom confirmation for safer entries
Dynamic sell levels that adapt to strong trends
Automatic pivot high/low detection
💰 DCA (Dollar Cost Averaging) System
Automatic DCA level plotting on 9/3 signal combinations
Customizable buy levels (-0.6%, -0.94% default)
Customizable sell targets (+0.85%, +1.5% default)
Visual price lines extending 50 bars forward
⚙️ Customizable Filters
Minimum bar spacing between signals (default: 20)
Volume filter with adjustable multiplier
Toggle for trend filters and hidden signal display
Separate controls for EMA lines, ratio info, and trend info
📋 Comprehensive Info Table
Real-time indicator values
Current trend status
DCA trigger status
Rally/decline ratio tracking
Last buy/sell prices
Best Used For:
Swing trading on 4H-1D timeframes
Cryptocurrency and volatile assets
Catching reversals at Bollinger Band extremes
Managing positions with predefined DCA levels
Alerts Available:
Buy signal alerts
Sell signal alerts
DCA 9/3 combination alerts