Adaptive AI SuperTrend [AlgoPoint]🚀 Adaptive AI SuperTrend
Adaptive AI SuperTrend is a high-performance trading terminal that redefines trend-following by integrating Machine Learning (ML) principles with advanced market regime detection. Unlike static indicators, this system dynamically recalibrates its internal parameters to match the ever-changing volatility of the financial markets.
Equipped with a custom "Wizard Engine," it filters out market noise during consolidation and identifies high-probability trend continuation points, making it an essential tool for scalpers, day traders, and swing traders alike.
🧠 What Makes it "AI"?
While traditional indicators use fixed rules, Adaptive AI SuperTrend utilizes Algorithmic Intelligence to make real-time decisions:
KNN-Inspired Adaptation: The engine analyzes the last 150 bars of volatility and trend strength to automatically adjust its sensitivity.
Market Regime Intelligence: It distinguishes between "Trending" and "Ranging" states using a sophisticated Squeeze Momentum module, preventing "whipsaws" during low-volume periods.
Self-Backtesting Logic: The indicator continuously calculates its own historical Win-Rate. If the probability of success falls below a certain threshold, it suppresses lower-quality signals.
🛠 Key Features
Dynamic Consolidation Boxes: Automatically identifies and wraps "choppy" price action in professional gray boxes. It waits for 3+ bars of consolidation before marking the zone, helping you spot breakout opportunities early.
Multi-Strategy Aggression:
- Conservative: Filtered signals for long-term trend following.
- Balanced: Optimized for daily volatility.
- Aggressive: High-frequency signals for capturing micro-trends.
Dual-Exit Risk Management:
- ATR TP-SL Mode: Sets mathematical targets based on market volatility with persistent on-screen lines.
- Smart Trailing Mode: Rides the trend to its exhaustion point. Includes intelligent labeling (🎯 TP or 🛑 SL) based on the trade's net profitability.
- RSI Pullback Confirmation: Beyond simple trend flips, it detects "buy the dip" or "sell the rip" opportunities within an existing trend using RSI 50-level crossovers.
📊 Real-Time Analytics Dashboard
The integrated AlgoPoint Dashboard provides a surgical view of the market:
- Market State: Instant "Trending" vs. "Ranging" (Consolidation) detection.
- Trend Strength: ADX-based momentum tracking.
- Strategy Status: Real-time feedback on your active aggression and exit modes.
🎨 Clean Charting & Customization
Built for professional clarity, you have total control over the UI:
Toggle Consolidation Boxes on/off.
Toggle ATR Target Lines and Exit Labels.
Customize background filters and dashboard visibility.
Forecasting
channeller proChanneller Pro - Statistical Price Channel Detection
What This Script Does
Channeller Pro identifies and draws price channels using pivot points, linear regression, and quality filters. It detects bullish and bearish channels and draws support/resistance lines with quality metrics.
Originality & Methodology
This script combines:
Pivot Point Detection: Uses TradingView's ta.pivothigh() and ta.pivotlow() with configurable left/right lookback to identify swing highs and lows.
Linear Regression Analysis: Fits a least-squares regression line through detected pivot points to determine channel slope and intercept.
R² Quality Scoring: Calculates the coefficient of determination (R²) to measure regression fit quality. R² values closer to 1.0 indicate stronger linear alignment of pivots. Channels below the minimum R² threshold are filtered out.
Pattern Validation:
Bullish channels require higher lows (ascending pivot lows)
Bearish channels require lower highs (descending pivot highs)
This ensures channels align with trend structure
ADX Trend Filter: Uses Average Directional Index (ADX) to show channels only when trend strength exceeds a threshold, reducing false signals in choppy markets.
Volume Confirmation (optional): Filters channels based on volume exceeding a moving average threshold.
Dynamic Channel Width: Calculates channel width by finding the maximum deviation from the regression line within the pivot range, then draws parallel support/resistance lines.
Channel Invalidation Logic: Tracks bounces and pierces. Channels are invalidated after multiple pierces through support/resistance, ensuring only active channels are displayed.
How It Works
Detection Process:
Identifies pivot highs/lows using the specified lookback periods
Stores recent pivots in arrays (configurable max count)
When minimum pivot count is reached, calculates linear regression through pivot points
Validates the channel by checking:
R² score meets minimum threshold (default 0.7)
Slope direction matches trend (positive for bullish, negative for bearish)
Pattern structure (higher lows for bullish, lower highs for bearish)
ADX exceeds threshold (if enabled)
Volume confirmation (if enabled)
If valid, draws support/resistance lines parallel to the regression line
Continuously monitors for channel breaks and invalidates when pierced multiple times
Mathematical Foundation:
Linear regression uses least squares: y = slope × x + intercept
R² calculation: R² = 1 - (SS_res / SS_tot) where SS_res is residual sum of squares and SS_tot is total sum of squares
Channel width = maximum price deviation from regression line within pivot range
How to Use
Basic Setup:
Apply the indicator to your chart
Adjust "Pivot Lookback Left/Right" to control pivot sensitivity (default 10 bars each)
Set "Min Pivots for Channel" (default 3) - higher values require more confirmation but reduce false signals
Configure "Min R² Score" (default 0.7) - higher values show only the best-fitting channels
Filter Configuration:
ADX Filter: Enable to show channels only during trending conditions (ADX > threshold)
Volume Filter: Enable to require volume confirmation for channel formation
HL/LH Pattern: Keep enabled to ensure channels follow proper trend structure
Trading Applications:
Support/Resistance: Use channel boundaries as dynamic support/resistance levels
Trend Following: Trade bounces off channel boundaries in the direction of the trend
Breakout Trading: Monitor for channel breaks as potential trend reversal signals
Channel Quality: Higher R² scores (displayed in labels) indicate stronger, more reliable channels
Display Options:
Toggle channel fills, mid-lines, pivot markers, and labels
Adjust projection length to extend channels into the future
Customize colors for bullish/bearish channels
Alerts:
The script includes alerts for:
New channel formation
Channel break/invalidation
New pivot detection
Important Notes
Channels are statistical constructs based on historical pivot points and do not guarantee future price action
R² scores indicate fit quality, not trading performance
Channels may be invalidated as market conditions change
Past channel performance does not predict future results
Always use proper risk management and combine with other analysis methods
Technical Details
Built-in Pine Script v6
Uses arrays for pivot storage and management
Implements custom linear regression calculation
Real-time channel validation and invalidation
Configurable quality thresholds and filters
Multi-Asset Position Planner v6Overview
A professional, fully interactive Long-Position planner built on Pine Script® v6. This tool allows traders to manage complex trade setups with four Take-Profit levels, automated Risk-Reward (RRR) calculation, and a live Liquidation Price visualizer .
Key Features
Visual Risk Management: An orange dashed line displays your liquidation price based on your chosen leverage, protecting your "Survival DNA".
Interactive Drag & Drop: Easily adjust all price levels and the time anchor directly on the chart.
Independent Asset Storage: Uses confirm=true to ensure that your BTC setup stays on BTC and your ETH setup stays on ETH, even in multi-chart layouts.
Automated Position Sizing: Input your account size (e.g., $100) and risk percentage to get the exact unit amount for your trade.
Optimized for v6: Prevents the common "500-bar future limit" crash by using time-based coordinates.
How to use
Simply click on the chart to set your anchor points. Adjust your Leverage and Account Balance in the settings menu to see your live position size in the top-right info box.
Markov 4-Bar with Option suggestion Markov 4 Bar Probability Study — Smarter Pattern Forecasting
The Markov 4 Bar Probability Study gives traders a data driven edge by analyzing the most recent four candles and comparing them to hundreds of historical matches. Instead of guessing what comes next, the study shows how similar patterns behaved in the past—revealing the probability of an up move, down move, average return, and how often the next bar produced a strong push.
A customizable Strong Threshold (%) lets you define what counts as a “strong” move. Lower values capture subtle momentum shifts, while higher values isolate only the most meaningful expansions, and this same strength read is used to suggest a directional options spread (for example, favoring a bullish credit spread when the pattern shows a strong upside edge, or a bearish one when downside odds dominate).
This tool is fast, visual, and built for real time decision making. If you want a clean statistical read on what usually follows your current 4 bar pattern—plus a suggested options spread aligned with that edge—this study delivers it with clarity and precision.
Piv X ProPiv X Pro - Advanced Pivot Detection with Multi-Timeframe Confluence Analysis
Overview
Piv X Pro identifies pivot highs and lows using a confluence scoring system. It combines pivot detection, volume-weighted analysis, Williams %R divergence, and multi-timeframe confirmation to highlight higher-probability pivot zones.
What Makes This Script Original
This script combines several components into a single workflow:
Dynamic pivot strength calculation based on ATR
Confluence scoring (10+ factors) to rank pivot quality
Multi-timeframe VWAP analysis (bottom/top extremes plus period-based VWAPs)
Williams %R divergence detection with anchored VWAPs
Market structure shift (CHoCH) identification
Real-time and confirmation modes for different trading styles
How It Works
Pivot Detection:
Uses ATR-based dynamic pivot strength (adjusts to volatility)
Filters pivots by significance (distance from recent averages)
Optional volume confirmation
Real-time mode for immediate detection or confirmation mode for verified pivots
Confluence Scoring System:
Each pivot receives a score (0-100+) based on:
Volume spikes (15 points)
Higher timeframe trend alignment (20 points)
RSI oversold/overbought conditions (25 points)
Price exhaustion signals (10 points)
RSI divergence (15 points)
Swing failure patterns (15 points)
Liquidity sweeps (10 points)
Candle reversal confirmation (10 points)
Key level alignment (10 points)
Fair value gap fills (10 points)
Session weighting (10 points)
Multi-timeframe pivot confluence (15 points)
Major Pivot Thresholds:
Real-time mode: 60+ confluence score
Confirmation mode: 80+ confluence score
Golden zones: 90+ score (highlighted differently)
VWAP Analysis:
Bottom/Top VWAPs: Anchored to absolute extremes within a lookback period
Period VWAPs: Weekly, Monthly, Yearly, plus 4D, 9D, 4H, 8H
Previous period VWAPs: Shows last period's VWAP for reference
Williams Divergence VWAPs: Anchored VWAPs triggered by bullish/bearish divergences
Market Structure:
Identifies Market Structure Shifts (CHoCH) when pivot sequences break
Draws structure lines connecting major pivots
Visual zones around major pivot levels
How to Use
Setup:
Apply to any timeframe (optimized for 1min, 5min, 15min, 1H)
Adjust pivot detection sensitivity via "ATR Pivot Strength Multiplier"
Choose Real-Time Mode (immediate) or Confirmation Mode (verified pivots)
Reading the Signals:
Major Pivot Low (PL): Green zones with confluence score
Major Pivot High (PH): Purple zones with confluence score
Golden Zones: Yellow highlights (90+ score)
CHoCH: Blue dashed lines marking structure breaks
Williams Divergence: Triangles + anchored VWAP lines
Trading Applications:
Support/Resistance: Use major pivot zones as key levels
Entry Timing: Combine confluence scores with price action
Trend Following: Use CHoCH signals for trend changes
Divergence Trading: Williams %R divergences with anchored VWAPs
Multi-Timeframe: Use HTF trend filter and VWAPs for context
Important Notes:
This is a technical analysis tool, not a trading system
Confluence scores indicate probability, not guarantees
Past performance does not predict future results
Always use proper risk management
Combine with your own analysis and strategy
Key Features
Pivot Quality Filters:
ATR-based significance filtering
Volume confirmation (optional)
Multi-timeframe confluence
Session-based weighting (optional)
Visual Elements:
Pivot zones (extendable boxes)
Structure lines (connecting major pivots)
CHoCH markers (market structure shifts)
Multiple VWAP overlays
Williams divergence markers
Customization:
Adjustable pivot strength multiplier
Enable/disable individual confluence factors
Customizable colors and visual styles
Alert system for major pivots and structure shifts
Technical Details
Open Source:
This script is open source. The code is available for review and modification. Users can see exactly how calculations are performed.
Calculations:
Pivot detection uses ta.pivothigh() and ta.pivotlow() with dynamic strength
VWAP calculations use cumulative price×volume / cumulative volume
Confluence scoring is additive based on multiple technical factors
Williams %R divergence uses pivot comparison logic
Limitations:
Historical data access limits apply (Pine Script constraints)
Structure lines limited to 500 bars for performance
Real-time mode may show pivots that later invalidate
Confirmation mode adds lag but increases reliability
Disclaimer
This script is for educational and informational purposes. It does not provide financial advice. Trading involves risk. Always do your own research and use proper risk management. Past performance does not guarantee future results.
Smart Take ProfitThis script for EURUSD on the M3 timeframe detects Take Profit zones close to a reversal, automatically displays TP1, TP2, and Stop Loss, and follows the RSI + Bollinger Band + ATR logic.
It triggers an exit signal when the price touches a Bollinger Band, when the RSI is in an extreme zone, or when there is a rejection candle.
It automatically calculates the TP at 0.8 ATR, TP2 at 1.0 ATR, and the Stop Loss at 0.6 ATR.
It operates on the EURUSD M3 timeframe. You decide the entry point. This indicator is not a trading strategy.
Current Candle DateTimeThis is a simple script that users can easily see that datetime of the current candle. This is useful when backtesting and you want to be able to quickly glance and see where we are up to. Useful for when you are backtesting a strategy and trying to stay within a particular trading session.
The indicator will display in the top right hand corner, so it wont get in the way of any other analysis.
AI Academy: Volume k-NN [PhenLabs]📊 AI Academy: Volume k-NN
Version: PineScript™ v6
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📌 Description
AI Academy: Volume k-NN (Theory Edition) is an educational indicator designed to demystify how artificial intelligence pattern recognition works directly on your TradingView charts. Rather than being a black-box signal generator, this tool visualizes the entire k-Nearest Neighbors algorithm process in real-time, showing you exactly how AI identifies similar historical patterns and generates predictions.
The indicator scans up to 2,000 historical bars to find patterns that match your current price action, then uses an ensemble of the closest matches to project potential future movement. What sets this apart is the integrated “AI Grimoire”—an interactive educational book overlay that teaches core machine learning concepts through four illuminating chapters.
Whether you’re a trader curious about AI methodology or a developer learning algorithmic concepts, this indicator transforms abstract machine learning theory into tangible, visual understanding.
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🚀 Points of Innovation
• First TradingView indicator to visualize k-NN algorithm execution in real-time with full transparency
• Interactive “AI Grimoire” educational overlay teaches machine learning concepts while you trade
• Dual-mode pattern matching combines price action with optional volume confirmation
• Confidence-based opacity system visually communicates prediction reliability
• Historical match visualization shows exactly which past patterns informed the prediction
• Ghost bar projections display averaged ensemble predictions with adjustable forecast horizons
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🔧 Core Components
• Pattern Capture Engine: Converts recent price action into logarithmic returns for normalized comparison across different price levels
• k-NN Search Algorithm: Calculates Euclidean distance between current pattern and historical patterns to find closest matches
• Volume Weighting System: Optional feature that incorporates volume patterns into distance calculations with adjustable influence
• Ensemble Predictor: Averages future returns from k-nearest historical matches to generate consensus forecast
• Confidence Calculator: Measures average distance of top matches to determine prediction reliability on 0-100% scale
• AI Grimoire Display: Table-based educational overlay rendering book-style content with chapter navigation
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🔥 Key Features
• Adjustable Pattern Length: Define how many bars constitute the current pattern for matching (5-100 bars)
• Configurable Search Depth: Control how far back the algorithm searches for historical matches (500-4,900 bars)
• Flexible k-Neighbors: Select how many closest matches inform the prediction (1-20 neighbors)
• Volume Toggle: Enable or disable volume pattern matching for different market conditions
• Volume Influence Slider: Fine-tune the weight given to volume vs. price patterns (0-100%)
• Ghost Bar Count: Adjust how many future bars the indicator projects (3-15 bars)
• Minimum Confidence Filter: Set threshold to hide low-confidence predictions
• Historical Match Display: Toggle visibility of colored boxes marking source patterns
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🎨 Visualization
• Blue Scanner Box: Highlights current pattern being analyzed labeled “AI INPUT (The Prompt)”
• Green Historical Boxes: Mark past patterns where price subsequently moved bullish
• Red Historical Boxes: Mark past patterns where price subsequently moved bearish
• Ghost Bars: Semi-transparent candles projecting into the future showing predicted price path
• Confidence Label: Displays prediction confidence percentage and number of matches used
• AI Grimoire Book: Leather-bound book overlay in top-right corner with navigable chapters
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📖 Usage Guidelines
Algorithm Settings
• Pattern Length — Default: 20 | Range: 5-100 | Controls how many recent bars define the pattern. Shorter values find more matches but less specific. Longer values find fewer but more precise matches.
• Search Depth — Default: 2000 | Range: 500-4900 | Determines how many historical bars to scan. Higher values find more potential matches but increase computation time.
• k-Neighbors — Default: 5 | Range: 1-20 | Number of closest matches to use for prediction. Higher values smooth predictions but may dilute strong signals.
• Ghost Bar Count — Default: 5 | Range: 3-15 | How many future bars to project. Shorter horizons are typically more reliable.
• Use Volume Matching — Default: Off | When enabled, patterns must match on both price AND volume characteristics.
• Volume Influence — Default: 30% | Range: 0-100% | Weight given to volume pattern when volume matching is enabled.
Visualization Settings
• Bullish/Bearish Match Colors — Customize colors for historical match boxes based on outcome direction.
• Min Confidence % — Default: 60 | Predictions below this threshold will not display.
• Show Historical Matches — Default: On | Toggle visibility of source pattern boxes on chart.
Education Settings
• Select Chapter — Navigate through AI Grimoire chapters or keep book closed for clean chart view.
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✅ Best Use Cases
• Learning how k-Nearest Neighbors algorithm functions in a trading context
• Understanding the relationship between historical patterns and forward predictions
• Identifying when current market conditions resemble past scenarios
• Supplementing discretionary analysis with pattern-based confluence
• Teaching others machine learning concepts through visual demonstration
• Validating whether volume confirms price pattern formations
• Building intuition for what AI “sees” when analyzing charts
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⚠️ Limitations
• Past pattern similarity does not guarantee future outcome similarity
• Requires sufficient historical data (minimum 500+ bars) to function properly
• Computation-intensive on lower timeframes with maximum search depth
• Cannot predict truly novel “black swan” events not represented in historical data
• Volume matching less effective on assets with inconsistent volume reporting
• Predictions become less reliable as forecast horizon extends further out
• Educational overlay may obstruct chart view on smaller screens
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💡 What Makes This Unique
• Full Transparency: Unlike black-box AI tools, every step of the algorithm is visualized on your chart
• Integrated Education: The AI Grimoire teaches machine learning concepts without leaving TradingView
• Theory Meets Practice: See exactly which historical patterns inform each prediction
• Honest Uncertainty: Confidence scoring and opacity fading acknowledge when the AI “doesn’t know”
• Dual-Mode Analysis: Optional volume weighting adds institutional-quality analysis dimension
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🔬 How It Works
1. Pattern Capture: On each bar, the indicator captures the most recent price changes as logarithmic returns, creating a normalized “fingerprint” of current market behavior. If volume matching is enabled, volume changes are captured similarly.
2. Historical Search: The algorithm iterates through up to 2,000 historical bars, calculating the Euclidean distance between the current pattern fingerprint and each historical pattern. Distance combines price similarity and optional volume similarity based on weight settings.
3. Neighbor Selection: All historical patterns are ranked by similarity (lowest distance = most similar). The k-closest matches are selected as the “ensemble council” that will inform the prediction.
4. Confidence Calculation: Average distance of top-k matches determines confidence. Tighter clustering of similar patterns yields higher confidence scores, while scattered or distant matches produce lower confidence.
5. Prediction Generation: Future returns from each historical match (what happened AFTER those patterns) are averaged together. This ensemble average is applied to current price to generate ghost bar projections.
6. Visualization: Historical match locations are marked with colored boxes (green for bullish outcomes, red for bearish). Ghost bars render with opacity tied to confidence level—higher confidence means more solid bars.
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💡 Note:
This indicator is designed primarily for educational purposes —to help traders understand how AI pattern recognition algorithms function. While the predictions can supplement your analysis, they should never be used as the sole basis for trading decisions. The AI Grimoire chapters explain key concepts including why AI “hallucinates” during unprecedented market events. Always combine with proper risk management and additional confirmation.
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Volume Conviction Index v1.0Volume Conviction Index V1 (VCI V1)
A robust, outlier-resistant volume oscillator designed to reveal real market participation and conviction behind price moves.
- Brief explainer -
v1.0 : Added a median line to show the movement and ultimate conviction of current price waves irrespective of current conviction. conviction can be extremely low (below zero line), yet price can be pumping, which shows the end of the current trend may be exhausting. divergence happens with this indicator is VERY FAST when tuned into it.
Core features:
• Median + MAD-based Z-score on volume (ignores extreme spikes/noise)
• Weighted blend: 60% robust deviation + 40% directional conviction (recent change % + relative volume %)
• Aggressive low-TF filter: optional rolling median line around zero to slice through 1min/3min chop
• Positive bars (teal) = unusual upward participation / conviction
• Negative bars (orange) = unusual weakness or drying volume
Use cases:
• Confirm breakouts, reversals, or exhaustion (e.g., spike on neckline breach)
• Filter false moves in low-liquidity or noisy periods
• Pair with Median Anchor Oscillator (MAO), Real Deviation Strength (RDS), and Anchor Pulse Wave (APW) for full conviction suite
V1 is raw and minimal — no signals, labels, or alerts yet. Feedback welcome for V2!
Companion suite:
• Median Anchor Oscillator
• Real Deviation Strength (RDS)
• Anchor Pulse Wave
© RU55IANROUL3TT3
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Short Option Intrinsic + Option Price + Time ValueThis code print out and plot the intrinsic values, time values and the option price on the screen. This tells your how likely a short option will be exercised. User needs to select the option type (call, or put). Then input strike price and the current option price.
Advanced Scalping Navigator free by S B PrasadAdvanced Scalping Navigator Lite • Features
by S B Prasad
Advanced Scalping Navigator Lite is a powerful multi-factor scalping and intraday indicator designed to generate high-probability BUY and SELL signals using trend, momentum, volatility, and smart-money concepts.
This FREE version retains the complete core signal engine while limiting certain premium visual and channel features.
🚀 Core Features (Included in Lite Version)
✅ High-Accuracy BUY & SELL Signals
Signals are generated only when multiple technical and structural conditions align, including:
ATR-based trend direction & strength
EMA trend bias
MACD momentum
RSI confirmation
VWAP institutional bias
Ribbon & Hull MA filters
Higher-timeframe (HTF) trend confirmation
Smart-money liquidity sweep validation
Supply & demand zone filtering
Session-based trading filter
✅ Smart-Money Liquidity Sweeps
Detects equal highs/lows and stop-hunt behavior to identify institutional accumulation or distribution before issuing signals.
✅ Supply & Demand Zones
Automatically plots demand and supply zones using pivot-based market structure to improve trade location quality.
✅ Higher-Timeframe (HTF) Confirmation
Filters trades in the direction of the dominant higher-timeframe trend for better probability alignment.
✅ Session Filter (Market Timing Control)
Limits signals to selected market sessions:
Indian Market
London Session
New York Session
✅ Multi-Factor Confirmation Engine
Combines EMA, MACD, RSI, VWAP, Ribbon, and HMA into a weighted factor score to avoid low-quality trades.
✅ Real-Time Dashboard Panel
On-chart dashboard displaying:
Trend direction
Trend strength
Factor alignment score
HTF bias
Zone context
Signal state
Session status
🔒 Features Limited or Disabled in Lite Version
The following premium visuals and channels are not available in the FREE version:
❌ ATR trendline (dynamic support / resistance)
❌ ATR trendline strength coloring
❌ Full ATR channel (upper / average / lower)
❌ Channel fills & premium visual layers
❌ Pivot ATR trend channel visuals
❌ Enhanced trend-zone background fills
🎯 Best For
Intraday traders
Scalpers
Index & stock traders
Futures and options traders
Traders who prefer clean charts with powerful signals
📣 Join Our Telegram (Updates & PRO Access)
👉 Telegram: t.me
💬 For updates, support & PRO version access, join our Telegram.
⚠️ Disclaimer
This indicator is for educational and informational purposes only.
It does not constitute financial advice.
Trading involves risk. Always use proper risk management.
Last Candle + Previous Day + Pre-Market- RangeV2 of the Indicator (Test)
Last Candle + Previous Day + Pre-Market Script – Features
Last Candle Levels (Current Timeframe)
Draws horizontal lines at the high and low of the last confirmed candle.
Optional display of the candle range in percentage.
Lines automatically update and move correctly when zooming or changing the timeframe.
Previous Day High / Low
Shows the high and low of the previous trading day as dashed lines.
Lines are automatically updated and extend to the right, following the price scale.
Works on any timeframe chart.
Pre-Market High / Low
Highlights the pre-market session (default 04:00–09:30) with dotted lines.
Only calculated during intraday charts.
Lines behave exactly like the daily range lines: zoomable, shiftable, and extendable.
Optional toggle to enable or disable.
Customization Options
Colors for TF candle, daily range, and pre-market range lines.
Length of line extension to the right can be adjusted.
Toggle which levels to show: current TF, previous day, pre-market.
Stable & Safe in Pine Script v6
No repaint issues.
Works reliably on all intraday and daily charts.
Compatible with zooming and chart shifting.
If you want, I can also create a very short “user guide” with screenshots / labels in the chart, so it’s immediately clear what each toggle and line represents.
Do you want me to do that next?
Crypto Prev Day/Week Hi-Lo (UTC)escription
Crypto Prev + This Day/Week Hi-Lo (UTC) plots key high/low levels for crypto markets using a 24-hour session anchored to 00:00 UTC.
This indicator is designed for traders who treat crypto as a true 24/7 market and want consistent, global day/week levels that don’t shift with daylight savings.
What it plots
PDH / PDL = Previous Day High / Previous Day Low
PWH / PWL = Previous Week High / Previous Week Low
TWH / TWL = This Week High / This Week Low
00:00 UTC vertical line = marks the start of a new UTC day
Abbreviations
PDH = Previous Day High
PDL = Previous Day Low
PWH = Previous Week High
PWL = Previous Week Low
TWH = This Week High
TWL = This Week Low
UTC = Coordinated Universal Time (global standard time reference)
Mister Blueprint Pro Release v1.24 [ChartWhizzperer]Mister Blueprint Pro® — Initial Release v1.24
Clean direction. Precise entries. Disciplined execution.
Built for lower timeframes & Range Charts (50R, 100R & 200R)
Badges: Indices • FX • high-liquidity assets | Webhook-ready (PineConnector-compatible) | Multilingual (EN/DE/ES/FR/JA/ZH/AR/KO/RU/VI/HI/TR)
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What it is — and what it does
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Mister Blueprint Pro® is a modular execution framework engineered for high-liquidity assets and active market phases.
Designed for lower timeframes and Range Charts, it helps you separate clean participation from low-quality conditions — and
translates decisions into clear, automation-ready signals.
No clutter. No confusion. Just a focused toolkit for structure, timing, and execution.
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Modules (what they do)
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1) DynamicRange-Trendcloud
Defines the active trading direction and provides a clean structure layer to stay aligned with the dominant move.
Helps reduce “signal vs. structure” conflicts by keeping entries tied to market context.
2) Smart Stacking
Enables controlled position building with strict quality focus.
Adds exposure only when conditions justify it — with safeguards that prevent repeated or noisy add-ons.
Built to prioritise the single best moment instead of chasing frequency.
3) Momentum Engine (optional)
Adds an additional participation layer for active phases when price expands and momentum is present.
Includes a selectable trading profile (aggressive / balanced) to match your execution style.
Optional candle colouring provides fast visual feedback for momentum states.
4) Neutral Candle Filter (optional)
Prevents entries during neutral / indecisive momentum phases.
Keeps you selective on lower timeframes by waiting for a clearer participation state before executing.
5) Session Filter Plus (optional)
Lets you define trading sessions and keeps execution disciplined by restricting signals to your active windows.
Provides background session shading for instant orientation.
When a session is OFF, alerts/webhooks stay silent.
6) Support & Resistance Level (visual module)
Plots clean, dynamic support/resistance zones derived from live price structure.
Helps map key areas for decision-making and trade management without overwhelming the chart.
7) Close-All + Global Kill Switch
Provides dedicated Close-All signals for long and short.
Prefer manual exits? The Global Kill Switch disables all Close-All output instantly, so you keep full exit control.
8) Multilingual Interface
Human-facing labels available in:
EN / DE / ES / FR / JA / ZH / AR / KO / RU / VI / HI / TR
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Real-time signals & webhook automation
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Mister Blueprint Pro® emits real-time signals via TradingView alerts and webhook interfaces.
The production API is intentionally minimal for clean automation workflows:
• Mister Blueprint Buy → OPEN_LONG
• Mister Blueprint Sell → OPEN_SHORT
• Mister Blueprint Close All (Long) → CLOSE_LONG
• Mister Blueprint Close All (Short) → CLOSE_SHORT
These signals can be routed directly through a webhook endpoint (e.g., PineConnector) for execution, logging, or monitoring.
────────────────────────────────────────
Who it’s for
────────────────────────────────────────
Built for traders who operate in high-liquidity markets and active phases — and who need a framework that stays clean,
fast, and automation-ready on lower timeframes and Range Charts.
If you value context-first execution, disciplined scaling, and webhook signals that don’t get in your way, this is for you.
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Quick start (recommended)
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• Use lower timeframes and/or Range Charts (50R, 100R, 200R or higher).
• Start with DynamicRange-Trendcloud as the backbone.
• Add Smart Stacking for controlled scaling.
• Enable Momentum Engine when you want extra participation in active phases.
• Use Neutral Candle Filter for stricter selectivity.
• Activate Session Filter Plus to limit signals to your trading windows.
• Prefer manual exits? Switch on the Global Kill Switch.
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Note
────────────────────────────────────────
No hype. No holy grails.
A precise execution framework for structure, timing, and participation — built for markets that move.
MISTER BLUEPRINT PRO® is a registered European Union trade mark (EUTM No. 019205166).
Invite-only distribution
This script is offered exclusively by invitation to protect independently developed methods, reduce unauthorised redistribution,
and ensure controlled onboarding, support, and quality assurance.
Disclaimer
Signals and alerts are provided for informational purposes only and do not constitute financial advice or a recommendation to buy or sell.
Trading involves substantial risk and may result in the total loss of capital. Execution via third-party tools may differ from alerts.
Past performance is not indicative of future results.
SILVER (XAGUSD) Targets📌 AG Target – XAU-Based Silver Target Levels
AG Target is a ratio-based indicator designed to analyze Silver (XAGUSD) using the price of Gold (XAUUSD) as a reference.
The indicator projects dynamic target, support, and resistance levels on the silver chart by dividing the Gold price by historically significant XAU/XAG ratios.
🔍 How It Works
Retrieves XAUUSD (Gold spot price)
Divides it by predefined XAU/XAG ratio levels
Plots the resulting values directly on the XAGUSD chart
Fixed ratio levels used:
44.260
39.628
31.707
These ratios represent historically important zones in the Gold–Silver ratio.
🎨 Visual Logic
Green line → XAG price is above the level
Red line → XAG price is below the level
Line thickness increases with level importance
🚨 Alert System
The indicator includes individual alerts and one combined alert:
Separate alerts for each ratio level crossover
A single combined alert triggers when XAG price crosses any of the target levels
Alerts are triggered only on real cross events, avoiding repeated signals.
🏷️ Label Features
Automatic target labels on the last bar
Toggle labels on/off
Adjustable transparency, size, and horizontal offset
Labels display:
Current target price
Corresponding XAU/XAG ratio
🎯 Who Is This For?
Traders using the Gold–Silver ratio
Macro and ratio-based analysts
Medium to long-term silver traders
Users who prefer clean, objective price levels on their charts
⚠️ Disclaimer
This indicator is not financial advice.
It is designed as a ratio-based reference tool and should be used together with other technical or fundamental analysis methods.
TMT TEM Rule 5 FOMO High PivotTechnical Event #5 identifies FOMO-driven exhaustion and a high-probability market high.
TEM-5 is not a short entry signal. It is a risk-reduction and profit-taking alert, designed to flag conditions where upside enthusiasm becomes excessive and vulnerable to reversal or consolidation.
In sustained uptrends, TEM-5 helps traders reduce exposure and manage risk, not fight the trend.
User control (assumed daily bar, same adjustments for intraday bar for day traders and weekly bar for longer-term traders): the RSI threshold input adjusts sensitivity.
• Higher settings (e.g., 80–85) favor longer-term, major highs on daily charts.
• Lower settings (default ~65) produce more frequent signals suited to active or swing trading.
TEM-5 is a context signal, best used alongside the Technical Event Model (TEM) framework to manage risk during late-stage advances. A full user document is provided to end users.
TEM Rule#6 Panic Low PivotTechnical Event #6 identifies a panic condition and a high-probability low.
It reflects a market that has reached emotional and structural exhaustion, where liquidation, forced selling, and fear dominate price behavior.
TEM-6 is most often associated with panic selling, climactic breaks, and total wipeouts, and it frequently marks major or intermediate lows where trends change direction.
While not an absolute timing tool, TEM-6 signals that risk has shifted away from continuation and toward reversal, as markets tend to change trend during panic nine times out of ten.
Aggressive trend-following tactics are avoided at this stage; instead, the event highlights opportunity emerging from exhaustion, not continuation.
TMT Comparative Performance IndexContrary Thinker’s Application:
Traditional relative performance tools rank assets based on recent outperformance, which naturally favors momentum chasing and late-cycle leadership.
This indicator is designed to identify relative resilience, not momentum. It focuses on how assets behave during corrective and risk-off phases, highlighting those that refuse to give back relative ground when broader markets weaken.
The objective is to surface early rotational leadership — assets that quietly maintain structural strength during corrections and are positioned to lead when the next advance begins, rather than those already fully exploited at cycle highs.
Big Orders DetectorBig Order Detector — See Who’s in Control Before the Move
The Big Order Detector is a price-action–based indicator designed to help traders identify where large buy or sell orders are entering the market, allowing you to assess which side—buyers or sellers—has control before a directional move occurs.
Instead of reacting after price has already moved, this tool focuses on order dominance and participation, giving insight into intent, not just outcome.
How It Works
The Big Order Detector analyzes price behavior and volume interaction to highlight areas where unusually large buying or selling pressure is present. These areas often represent:
Institutional participation
Aggressive accumulation or distribution
Defensive positioning before a breakout or reversal
By observing which side is absorbing more orders, traders can better understand who is winning the battle at key price levels.
Key Features
✔ Detects large buy orders entering the market
✔ Detects large sell orders entering the market
✔ Helps identify buyer vs seller dominance
✔ Provides early insight before major price moves
✔ Works across stocks, forex, futures, and crypto
✔ Designed for clean price action analysis
✔ Non-repainting, real-time logic
How Traders Use It
• Identify accumulation zones before bullish moves
• Spot distribution zones before bearish moves
• Confirm breakouts by seeing which side has control
• Avoid false moves when order dominance disagrees with price
• Align entries with institutional order flow bias
When big orders consistently appear on one side of the market, price often follows. This indicator helps you see that pressure building in real time.
Best Use Cases
Market structure confirmation
Breakout and reversal validation
Trend continuation entries
High-probability trade filtering
Intraday and swing trading
Important Note
The Big Order Detector is not a buy/sell signal generator.
It is a decision-support tool meant to be used alongside:
Market structure
Support & resistance
Trend context
Risk management
Summary
The Big Order Detector helps you answer one critical question:
“Who is in control right now—buyers or sellers?”
By revealing where large orders are actively entering the market, this indicator allows you to position yourself before the move, not after it.
Important Notes
This indicator does not predict the future.
It provides context by showing where large orders are influencing price, helping traders make more informed decisions.
⚠️ Disclaimer: For educational and analytical purposes only and does not constitute financial advice. Always apply proper risk management and confirm signals using additional analysis.
FX Economic Percentile DashboardDescription:
This indicator provides a comprehensive percentile-based analysis of FX key economic metrics, offering traders and analysts a clear view of the current economic positioning relative to historical data.
Key Features:
📊 Multi-Indicator Analysis
Tracks 9 major economic indicators: CPI, Core CPI, Unemployment Rate, GDP Q/Q, Retail Sales, Inflation Expectations, PPI, Business Confidence, and Consumer Confidence
Calculates an aggregate economic percentile average
📈 Dual Timeframe Percentiles
Configurable historical lookback period (default: 500 months)
Fixed 5-year percentile for recent trend analysis
Option to use complete historical data
🎨 Visual Dashboard
Real-time table displaying current values and percentiles
Color-coded cells: Green (healthy), Red (concerning), Gray (neutral)
Inverted logic for unemployment (high = bad, low = good)
Background coloring when aggregate percentile exceeds 75 or drops below 25
⚙️ Smart Calculation
Uses unique values only, preventing duplicate data from inflating counts
Works on any chart timeframe while maintaining accurate monthly/quarterly data
Handles mixed-frequency data (monthly and quarterly indicators)
How to Use:
Add the indicator to EURUSD MONTHLY chart
The dashboard shows current CURRENCIES economic positioning
Percentiles above 70 indicate readings in the top 30% historically
Percentiles below 30 indicate readings in the bottom 30% historically
The aggregate average provides an overall economic health snapshot
Ideal for:
Fundamental analysis of FX pairs
Economic cycle positioning
Long-term macro trading strategies
Central bank policy anticipation
check more for the rest of G10 currencies!
Intrinsic Fair Value Calculator (Auto)📊 Intrinsic Fair Value Calculator Auto
Multi-Model Institutional Valuation Engine
The Intrinsic Fair Value Calculator Auto is a comprehensive, institutional-grade valuation indicator that combines multiple professional valuation frameworks into a single, automated system. It allows traders and investors to objectively determine whether an asset is undervalued, fairly valued, or overvalued—directly on the chart, in real time.
Unlike basic valuation tools, this indicator does not rely on a single method. Instead, it aggregates and visualizes five widely accepted intrinsic valuation models used by analysts, portfolio managers, and venture investors.
🔑 Valuation Models Included
🔹 1. 10-Year Discounted Cash Flow (DCF) Model
Projects 10 years of future free cash flows, discounts each year back to present value using a risk-adjusted rate, and calculates terminal value using a perpetuity growth model.
This is the gold standard for intrinsic valuation and reflects the true cash-generating ability of a business.
Best for: Long-term investors and fundamental analysis.
🔹 2. EV / EBITDA Valuation Model
Uses Enterprise Value relative to EBITDA to assess how the market is pricing operational earnings, independent of capital structure.
This model is widely used in institutional finance, private equity, and M&A.
Best for: Comparing valuation across companies or industries.
🔹 3. Asset-Based Valuation Model
Estimates intrinsic value based on a company’s net asset value, accounting for assets minus liabilities.
This approach is especially useful for asset-heavy businesses and downside protection analysis.
Best for: Value investing and balance-sheet-driven analysis.
🔹 4. Venture Capital (VC) Method
Estimates future exit value and discounts it back to present value using high risk-adjusted return assumptions.
This model is designed to evaluate high-growth, early-stage, or speculative assets.
Best for: Growth stocks, startups, and high-risk/high-reward opportunities.
🔹 5. Benjamin Graham Formula
A classic intrinsic value formula created by Benjamin Graham, the father of value investing.
It combines earnings power and growth assumptions into a conservative valuation baseline.
Best for: Conservative value investors seeking margin of safety.
📈 What the Indicator Displays
• Individual intrinsic value estimates for each valuation model
• A composite fair value range derived from all models
• Clear undervalued, fair value, and overvalued zones
• Dynamic valuation levels that update with market data
• Clean on-chart visualization for fast decision-making
🎯 How Traders & Investors Use It
• Identify high-confidence accumulation zones
• Spot overvaluation and distribution areas
• Compare price vs. intrinsic value across multiple models
• Build confluence with technical structure and volume
• Reduce emotional decision-making using objective valuation
🌍 Markets & Timeframes
✔ Stocks
✔ Forex
✔ Crypto
✔ Futures
✔ Intraday, Swing, and Long-Term Charts
⚠️ Disclaimer
This indicator is for educational and analytical purposes only and does not constitute financial advice. Always apply proper risk management and confirm signals using additional analysis.
INDIBOT PRO [Indibot Style]ABO SALTAN //@version=6
indicator("INDIBOT PRO ", overlay=true, max_labels_count=500)
// === WAVE TREND CALC ===
src = hlc3
n1 = input.int(10, "WT Channel Length")
n2 = input.int(21, "WT Signal Smoothing")
obLevel = input.float(2.0, "Overbought Threshold")
osLevel = input.float(-2.0, "Oversold Threshold")
esa = ta.ema(src, n1)
d = ta.ema(math.abs(src - esa), n1)
ci = (src - esa) / (0.015 * d)
wt1 = ta.ema(ci, n2)
wt2 = ta.sma(wt1, 4)
// === CROSS SIGNALS ===
buyCond = ta.crossover(wt1, wt2) and wt1 < osLevel
sellCond = ta.crossunder(wt1, wt2) and wt1 > obLevel
// === PRICE CHART ARROWS ===
plotshape(buyCond, title="Buy Arrow", location=location.belowbar, style=shape.labelup,
color=color.new(color.teal, 0), text="BUY", textcolor=color.white, size=size.small)
plotshape(sellCond, title="Sell Arrow", location=location.abovebar, style=shape.labeldown,
color=color.new(color.red, 0), text="SELL", textcolor=color.white, size=size.small)
// === OSCILLATOR PANEL ===
plot(wt1, color=color.green, title="WT Line", linewidth=2)
plot(wt2, color=color.red, title="Signal Line", linewidth=2)
hline(obLevel, "Overbought", color=color.red)
hline(osLevel, "Oversold", color=color.green)
hline(0, "", color=color.gray)
// === CROSSOVER DOTS ===
plotshape(ta.crossover(wt1, wt2), title="WT Cross Up", location=location.belowbar, color=color.teal,
style=shape.circle, size=size.tiny, offset=-1)
plotshape(ta.crossunder(wt1, wt2), title="WT Cross Down", location=location.abovebar, color=color.red,
style=shape.circle, size=size.tiny, offset=-1)
// === BACKGROUND COLOR ===
bgcolor(wt1 > obLevel ? color.new(color.red, 90) : wt1 < osLevel ? color.new(color.green, 90) : na, title="OB/OS Zone Highlight")






















