BRYCE PRB PROBRYCE PRB PRO — Premarket & Opening Range Breakout
Overview
BRYCE PRB PRO is a rule-based intraday breakout indicator designed to identify high-probability trades using premarket structure, opening range behavior, VWAP alignment, and volume confirmation.
It is built specifically for active day traders and options traders who focus on volatility expansion after the market open.
Opening Range High & Low
VWAP
Volume-confirmed breakouts
Clear BUY / SELL signals
• The indicator automatically tracks and visualizes:
• Premarket High & Low
By combining time-based market structure with momentum and liquidity filters, BRYCE PRB PRO helps traders focus on clean, directional moves while avoiding low-quality chop.
Core Features
• Premarket Range Box
• Visually highlights the premarket high and low to define key breakout levels.
• Opening Range Box (ORH / ORL)
• Captures the initial market balance after the open, often used by institutions to define early direction.
• VWAP Trend Filter
• Ensures trades align with intraday institutional bias.
• Adaptive Volume Filter
• Confirms participation and momentum, with optimized behavior for 15-second charts.
• BUY / SELL Labels
• Clean, non-repainting breakout signals when price breaks key levels with confirmation.
• Multi-Timeframe Friendly
Works seamlessly on 15-second and 1-minute charts, with automatic volume tuning.
Pri mary Use Cases
This indicator is best suited for:
• Intraday momentum trading
• Premarket range breakouts (PRB)
• Opening range breakouts (ORB)
• Options scalping and directional day trades
• High-liquidity stocks and ETFs
• It is especially effective on instruments with:
• Consistent premarket activity
• Tight spreads
• Strong intraday volume
Examples include:
TSLA, NVDA, AAPL, AMD, META, SPY, QQQ, IWM, COIN, MSFT
Best Market Conditions
• BRYCE PRB PRO performs best in the following environments:
• ✔ Trending or expanding volatility days
• ✔ Strong premarket range with clear highs/lows
• ✔ Clean VWAP direction after the open
• ✔ High-volume sessions (news, earnings, macro days)
Situations to Avoid
This indicator is not designed for:
1. Low-volume chop days
2. Midday consolidation
3. Illiquid stocks or wide-spread options
4. Mean-reversion strategies
When the market lacks direction or volume, signals should be treated with caution.
Who This Indicator Is For
• Day traders seeking structure-based entries
• Options traders needing momentum confirmation
• Traders who prefer objective, rule-driven signals
• Traders focused on capital preservation and discipline
Summary
BRYCE PRB PRO provides a structured, professional approach to trading intraday breakouts by combining time-based ranges, VWAP bias, and volume confirmation.
It is a powerful tool for traders who want to trade less, but trade higher-quality setups.
Disclaimer
This indicator is provided for educational and informational purposes only and does not constitute financial, investment, or trading advice. The creator is not a registered financial advisor and makes no guarantees regarding the accuracy, completeness, or profitability of any signals generated by this tool.
Trading stocks, options, and other financial instruments involves substantial risk, and past performance is not indicative of future results. Users are solely responsible for their own trading decisions and risk management. The creator assumes no liability for any losses, damages, or financial outcomes resulting from the use of this indicator.
Always conduct your own analysis and consult with a qualified financial professional before making any trading decisions.
Disclaimer
This indicator is provided for educational and informational purposes only. It does not constitute financial advice, investment advice, trading advice, or a recommendation to buy or sell any security, option, or financial instrument.
Trading and investing involve substantial risk, including the potential loss of all invested capital. Past performance, signals, alerts, or examples generated by this indicator do not guarantee future results.
All trading decisions made using this indicator are solely the responsibility of the user. By using this indicator, you acknowledge that you are trading at your own risk and according to your own risk tolerance, financial situation, and experience level.
The creator of this indicator assumes no responsibility or liability for any losses, damages, or outcomes resulting from the use of this tool, whether through manual trading, alerts, or automated systems.
Users are strongly encouraged to practice proper risk management, conduct their own research, and consult with a qualified financial professional before making any trading or investment decisions.
Medias móviles
Bounce Zones MTF - BY NepaRajThis indicator is a tidy little chart companion that draws attention to lively price zones with a colorful, organized flair. It sketches horizontal lines—red for the top and bottom edges, orange for quarter points, yellow for the middle—extending a few bars rightward when certain conditions align on your local timeframe. These lines offer a structured view of key levels within recent bars, adjustable in style, thickness, and see-through quality to suit your chart's vibe.
For broader perspective, it pulls from a higher timeframe you select (like 15min or 4hr) and paints shaded boxes across those bars—lime for bullish moments, red for bearish—complete with matching inner lines for quarters and midpoint, all softly transparent like a helpful overlay rather than a bold shout. A small watermark in the corner quietly notes the settings: your timeframe, the MTF source, and volume percentages, positioned wherever you prefer with customizable size and backdrop.
It's straightforward customization throughout—volume thresholds, extension length, line styles—and stays visually light, letting the chart breathe while highlighting potentially interesting zones without overwhelming the scene.
SwissSignals GOLDGOLD BUY/SELL best signals
When trading, your order is:
Status WAITING → do nothing
Status SETUP → pay attention
LIVE signal → take control of the market (if you want)
TP1 → BE is active
Either TP2/TP3/TP4 or exit BE
Buy/Sell_Signal-RRThis charming little indicator might remind you of a market whisperer wearing neon shoes—quietly analytical yet unafraid to announce its opinions with flair. It doesn’t just watch candles flicker; it dives beneath them, peeking at what’s really buzzing in the crowd. When it thinks buyers or sellers are throwing a particularly loud party, voilà—little arrows appear like confetti at the scene of excitement.
There’s also a neatly dressed table in the corner, politely keeping tabs: how loud the crowd was, whether the noise passed the “respectable volume” check, and who’s currently ruling the dance floor—buyers, sellers, or neither. The colors? Bold enough to make you feel it in your gut, yet balanced so as not to blind you mid‑chart.
Turtle System 1Turtle Trader system is a famous trend-following trading methodology created by Richard Dennis and his partner William Eckhardt in the early 1980s.
The backstory is almost as interesting as the system itself:
Dennis believed trading success was a skill that could be taught, while Eckhardt thought it was more about innate talent.
To settle the debate, they recruited a group of ordinary people — with little to no trading experience — and trained them in a simple rules-based strategy. These students became known as the "Turtles".
The system focused on trading breakouts in futures markets (commodities, currencies, bonds, stock indices) with strict risk management.
System 1 (Short-Term)
Entry: Buy when price breaks above the 20-day high. Sell short when price breaks below the 20-day low.
Exit: Opposite 10-day breakout (i.e., sell long positions if price breaks below the 10-day low).
HIGHCREW Execution Intelligence System HIGHCREW Execution Intelligence is a real-time decision engine designed to evaluate when market conditions are actionable versus when patience is required.
This system continuously analyzes pressure, momentum alignment, and execution quality across multiple timeframes to determine whether the market is:
• Actively supportive of engagement
• Weak and unreliable
• Transitioning between states
Execution Intelligence does not predict price and does not replace strategy.
It answers a different question:
“Is this moment worth executing?”
What this solves
Most indicators fire signals without regard for:
• Timing quality
• Multi-timeframe alignment
• Pressure confirmation
• Execution risk
Execution Intelligence solves this by:
• Monitoring short-term force and momentum shifts
• Evaluating execution confidence in real time
• Distinguishing between aggressive, cautious, and standby conditions
• Preventing over-trading during weak or transitional states
How it’s used
Execution Intelligence can be used independently or stacked.
1) With your own trading strategy
Use it as an execution filter to:
• Avoid low-quality entries
• Confirm momentum alignment
• Time entries more precisely
• Stay out of chop
2) As part of the HIGHCREW system
Designed to integrate directly with:
• HIGHCREW RSI Scout (reaction & pressure)
• HIGHCREW Dynamic Structure (location & containment)
In the full system:
• RSI Scout identifies what is reacting
• Dynamic Structure defines where price is operating
• Execution Intelligence determines if execution is justified now
Important notes
• This script does not place trades
• It does not override risk management
• It is a decision-support engine, not an auto-trader
• Works on any market or symbol on TradingView
Execution Intelligence is built for active traders who understand that timing matters as much as direction.
Pullback 2 EMAsPullback 2 EMAs
Description:
This indicator is a complete Trend Following System designed to catch high-probability entries during market corrections (pullbacks).
Unlike simple crossover indicators, this script uses a "State Machine" logic: it waits for the price to physically touch the moving averages ("Arming the setup") and only triggers a signal when the price proves momentum by closing back in the trend direction, validated by the Stoch RSI.
🔥 Key Features:
1. Hybrid Entry Logic (Adaptive) The system differentiates between two types of corrections:
🐋 Deep Pullback: When price touches the Slow EMA (100). The system becomes aggressive, accepting a close above either the Slow or Fast EMA to catch the reversal early.
⚡ Shallow Pullback: When price touches only the Fast EMA (20). The system is conservative and requires a close specifically back above the Fast EMA.
2. Smart Signal Filtering (Anti-Spam)
Structural Filter: If a signal is generated, the indicator "remembers" the low/high of that specific pullback. It will block repetitive signals in the same zone unless the price creates a new structure (i.e., breaks the previous pullback low/high), acting like a "virtual stop loss" reset.
Stoch RSI Validation: Signals are only generated if the Stoch RSI (25, 25, 3) confirms the move (Oversold for Longs, Overbought for Shorts).
3. "Touch & Reset" Safety Mechanism
The system requires a fresh touch on the EMA to arm a trade. If the price recovers and closes above the Fast EMA without triggering a signal (e.g., due to filtering), the system disarms immediately. It forces the price to dip and touch the EMA again to generate a new valid opportunity.
4. No Repainting Trend Detection
Trend direction is defined using a 1-candle offset on the EMAs to ensure stability and prevent the trend from flipping deceptively during the open candle.
⚙️ Default Settings:
Fast EMA: 20
Slow EMA: 100
Stoch RSI: 25, 25, 3 (Levels 80/20)
🔔 Alerts:
Includes dynamic alerts that automatically report the signal direction and the current Timeframe (e.g., "Long Signal ").
Trade with the trend, not against it.
MTF Indicator DashboardMulti-Timeframe Indicator Dashboard
A comprehensive multi-timeframe dashboard that displays the status of key technical indicators across 8 different timeframes in a compact, color-coded table.
Features:
Monitors 8 timeframes simultaneously: 3m, 5m, 15m, 30m, 1H, 2H, 4H, and Daily
Tracks 5 key indicators:
RSI (2-period with 6-period smoothing): Green when above 50, Red when below 50
ADX/DI (2-period): Green when +DI > 20 and dominant, Red when -DI > 20 and dominant
MACD (2, 3, 6): Green when MACD line above signal line, Red when below
EMAs (9, 20, 50, 100, 200, 400): Green when price above all EMAs, Red when below all EMAs
Overall: Combined signal requiring 2+ indicators to agree for bullish/bearish confirmation
Display:
Clean, compact table positioned in top-right corner
Color-coded boxes: Green (bullish), Red (bearish), Gray (neutral)
Minimal visual clutter for quick analysis
Updates in real-time
Use Case:
Perfect for traders who want to quickly identify timeframe alignment and confluence across multiple technical indicators. Ideal for scalping, day trading, and swing trading to spot high-probability setups when multiple timeframes align.
Settings:
All indicator parameters match the calculations used and can be viewed in the source code.
ATH Dip Levels - Buy on Dips
This indicator is a "Buy the Dip" guide designed for assets in long-term uptrends, such as Nasdaq (QQQ) or S&P 500 (SPY). It uses a mathematical discipline to identify accumulation zones based on the rolling 220-bar All-Time High (ATH).
Key Features:
Dynamic Levels: Automatically calculates entry points at 3%, 5%, 10%, 15%, 25%, 35%, and 50% retracements from the recent ATH.
Smart Filter: Each level is triggered only once per ATH cycle. It prevents over-trading in sideways markets; levels only reset when a brand-new high is formed.
Clean Visuals: Features precise "BUY" labels at exact price points and a handy status dashboard in the top-right corner.
Unified Alerts: Simplify your workflow by setting a single alert for all 7 dip levels.
Ichimoku + EMA + RSI [Enhanced]# **Ichimoku + EMA + RSI Strategy - User Instructions**
---
## **📋 TABLE OF CONTENTS**
1. (#installation)
2. (#strategy-overview)
3. (#parameter-configuration)
4. (#understanding-the-dashboard)
5. (#entry--exit-rules)
6. (#best-practices)
7. (#optimization-guide)
8. (#troubleshooting)
---
## **🚀 INSTALLATION**
### **Step 1: Add to TradingView**
1. Open TradingView.com
2. Click **Pine Editor** (bottom of screen)
3. Click **"New"** → Select **"Blank indicator"**
4. Delete all default code
5. **Copy and paste** the complete script
6. Click **"Save"** (give it a name: "Ichimoku EMA RSI Strategy")
7. Click **"Add to Chart"**
### **Step 2: Verify Installation**
✅ You should see:
- Orange **200 EMA** line
- Blue **Tenkan** line
- Red **Kijun** line
- Green/Red **Cloud** (Ichimoku cloud)
- **Dashboard** in top-right corner
- **Strategy Tester** tab at bottom
---
## **📊 STRATEGY OVERVIEW**
### **What This Strategy Does**
Combines three powerful technical indicators to identify high-probability trades:
| Component | Purpose |
|-----------|---------|
| **200 EMA** | Determines overall trend direction |
| **Ichimoku Cloud** | Provides support/resistance and momentum |
| **RSI** | Filters momentum strength |
| **Dashboard** | Real-time signal analysis |
### **Trading Logic**
- **LONG**: Enter when all bullish conditions align
- **SHORT**: Enter when all bearish conditions align
- **EXITS**: Automatic via trailing stops, cloud breach, or TK cross reversal
---
## **⚙️ PARAMETER CONFIGURATION**
### **🔵 Trend Filter Settings**
```
EMA Length: 200 (default)
```
- **Lower (100-150)**: More sensitive, faster signals
- **Higher (250-300)**: More stable, slower signals
- **Recommendation**: Keep at 200 for most timeframes
---
### **🟢 RSI Settings**
```
RSI Length: 14 (default)
RSI Long Minimum: 55
RSI Short Maximum: 45
```
**Adjustment Guide:**
- **Aggressive** (more signals): Long=50, Short=50
- **Balanced** (default): Long=55, Short=45
- **Conservative** (fewer signals): Long=60, Short=40
---
### **🟡 Ichimoku Settings**
```
Tenkan Period: 9
Kijun Period: 26
Senkou B Period: 52
Displacement: 26
```
**Standard Configurations:**
| Timeframe | Tenkan | Kijun | Senkou B |
|-----------|--------|-------|----------|
| **1H - 4H** | 9 | 26 | 52 |
| **15m - 1H** | 7 | 22 | 44 |
| **Daily** | 9 | 26 | 52 |
**Filters:**
- ✅ **Require Chikou Confirmation**: Adds extra validation (recommended)
- ✅ **Require Cloud Position**: Price must be above/below cloud (recommended)
---
### **🔴 Risk Management**
```
ATR Length: 14
ATR Stop Loss Multiplier: 2.0
ATR Take Profit Multiplier: 3.0
Min Bars Between Trades: 3
```
**Risk/Reward Profiles:**
| Profile | SL Multiplier | TP Multiplier | Description |
|---------|---------------|---------------|-------------|
| **Conservative** | 2.5 | 4.0 | Wider stops, higher R:R |
| **Balanced** | 2.0 | 3.0 | Default settings |
| **Aggressive** | 1.5 | 2.5 | Tighter stops, faster exits |
---
### **🎨 Display Settings**
```
Show Dashboard: ON
Show Entry Signals: ON
```
- **Dashboard**: Shows real-time analysis
- **Entry Signals**: Green/Red arrows on chart
---
## **📈 UNDERSTANDING THE DASHBOARD**
### **Dashboard Components**
```
┌─────────────────────┬──────────┐
│ Component │ Status │
├─────────────────────┼──────────┤
│ EMA Trend │ BULL/BEAR│
│ Cloud │ ABOVE/BELOW/INSIDE│
│ TK Cross │ BULL/BEAR│
│ RSI │ 55.3 │
│ Chikou │ BULL/BEAR│
│ Signal │ STRONG LONG│
└─────────────────────┴──────────┘
```
### **Signal Interpretation**
| Signal | Score | Meaning | Action |
|--------|-------|---------|--------|
| **STRONG LONG** | 7+ | All conditions aligned | High confidence LONG |
| **LONG** | 4-6 | Most conditions met | Moderate confidence |
| **NEUTRAL** | <4 | Mixed signals | Wait for clarity |
| **SHORT** | 4-6 | Bearish bias | Moderate SHORT |
| **STRONG SHORT** | 7+ | All bearish conditions | High confidence SHORT |
---
## **📍 ENTRY & EXIT RULES**
### **✅ LONG ENTRY CONDITIONS**
All must be TRUE:
1. ✅ Price **above** 200 EMA
2. ✅ Price **above** Ichimoku Cloud
3. ✅ Tenkan **crosses above** Kijun (TK Bull Cross)
4. ✅ RSI **above** 55
5. ✅ Chikou **above** price 26 bars ago
6. ✅ Minimum bars since last trade met
**Visual Confirmation:**
- 🟢 Green triangle **below** candle
- Dashboard shows **"STRONG LONG"**
---
### **❌ LONG EXIT CONDITIONS**
Any ONE triggers exit:
1. ❌ Price closes **below** cloud bottom
2. ❌ Tenkan **crosses below** Kijun
3. ❌ ATR trailing stop hit (2.0 × ATR)
4. ❌ Take profit hit (3.0 × ATR)
---
### **✅ SHORT ENTRY CONDITIONS**
All must be TRUE:
1. ✅ Price **below** 200 EMA
2. ✅ Price **below** Ichimoku Cloud
3. ✅ Tenkan **crosses below** Kijun (TK Bear Cross)
4. ✅ RSI **below** 45
5. ✅ Chikou **below** price 26 bars ago
6. ✅ Minimum bars since last trade met
**Visual Confirmation:**
- 🔴 Red triangle **above** candle
- Dashboard shows **"STRONG SHORT"**
---
### **❌ SHORT EXIT CONDITIONS**
Any ONE triggers exit:
1. ❌ Price closes **above** cloud top
2. ❌ Tenkan **crosses above** Kijun
3. ❌ ATR trailing stop hit (2.0 × ATR)
4. ❌ Take profit hit (3.0 × ATR)
---
## **💡 BEST PRACTICES**
### **Recommended Timeframes**
| Timeframe | Trading Style | Signals/Week |
|-----------|---------------|--------------|
| **15m** | Scalping | 20-30 |
| **1H** | Day Trading | 10-15 |
| **4H** | Swing Trading | 5-10 |
| **Daily** | Position Trading | 2-5 |
---
### **Asset Classes**
✅ **Best Performance:**
- Major Forex pairs (EUR/USD, GBP/USD)
- Crypto (BTC/USD, ETH/USD)
- Major indices (SPX, NAS100)
⚠️ **Use Caution:**
- Low liquidity pairs
- Highly volatile altcoins
- Stocks with gaps
---
### **Risk Management Rules**
```
1. Never risk more than 2% per trade
2. Use the built-in ATR stops (don't override)
3. Respect the "Min Bars Between Trades" cooldown
4. Don't trade during major news events
5. Monitor dashboard - only trade STRONG signals
```
---
## **🔧 OPTIMIZATION GUIDE**
### **Step 1: Run Initial Backtest**
1. Open **Strategy Tester** tab (bottom of screen)
2. Set date range (minimum 6 months)
3. Review:
- **Net Profit**
- **Win Rate** (target: >50%)
- **Profit Factor** (target: >1.5)
- **Max Drawdown** (target: <20%)
---
### **Step 2: Optimize Parameters**
**If Win Rate is Low (<45%):**
- Increase RSI thresholds (Long=60, Short=40)
- Enable both Chikou + Cloud filters
- Increase "Min Bars Between Trades" to 5
**If Too Few Signals:**
- Decrease RSI thresholds (Long=50, Short=50)
- Reduce EMA to 150
- Adjust Ichimoku to faster settings (7/22/44)
**If Drawdown is High (>25%):**
- Increase ATR Stop Loss Multiplier to 2.5
- Add longer cooldown period (5+ bars)
- Trade only STRONG signals
---
### **Step 3: Forward Test**
```
1. Paper trade for 2-4 weeks
2. Compare results to backtest
3. Adjust if live results differ significantly
4. Only go live after consistent paper trading success
```
---
## **🛠️ TROUBLESHOOTING**
### **Problem: No Signals Appearing**
**Solutions:**
- Check RSI levels aren't too restrictive
- Verify timeframe is appropriate (try 1H or 4H)
- Ensure both filters aren't enabled on ranging markets
- Review dashboard - components may be conflicting
---
### **Problem: Too Many Losing Trades**
**Solutions:**
- Enable **both** Chikou + Cloud filters
- Increase RSI thresholds (more conservative)
- Only trade when dashboard shows "STRONG" signals
- Increase cooldown period to avoid overtrading
---
### **Problem: Dashboard Not Showing**
**Solutions:**
- Verify "Show Dashboard" is enabled in settings
- Check chart isn't zoomed out too far
- Refresh chart (F5)
- Re-add indicator to chart
---
### **Problem: Stops Too Tight/Wide**
**Solutions:**
- **Too Tight**: Increase ATR Stop Loss Multiplier to 2.5-3.0
- **Too Wide**: Decrease to 1.5-1.8
- Verify ATR Length is appropriate for timeframe
- Consider asset volatility (crypto needs wider stops)
---
## **📞 QUICK REFERENCE CARD**
```
═══════════════════════════════════════════════════
STRATEGY QUICK REFERENCE
═══════════════════════════════════════════════════
BEST TIMEFRAMES: 1H, 4H, Daily
BEST ASSETS: Major Forex, BTC, ETH, Indices
RISK PER TRADE: 1-2% of capital
LONG ENTRY:
✓ Price > 200 EMA
✓ Price > Cloud
✓ TK Bull Cross
✓ RSI > 55
✓ Dashboard = STRONG LONG
SHORT ENTRY:
✓ Price < 200 EMA
✓ Price < Cloud
✓ TK Bear Cross
✓ RSI < 45
✓ Dashboard = STRONG SHORT
EXITS:
× Cloud breach
× TK reverse cross
× ATR trailing stop
× Take profit (3:1 R:R)
═══════════════════════════════════════════════════
```
---
## **⚠️ DISCLAIMER**
This strategy is for **educational purposes only**. Always:
- Backtest thoroughly on your specific assets
- Paper trade before going live
- Never risk more than you can afford to lose
- Past performance ≠ future results
- Consider market conditions and your risk tolerance
---
**Happy Trading! 📈**
TradingView — Track All Markets
Where the world charts, chats, and trades markets. We're a supercharged super-charting platform and social network for traders and investors. Free to sign up.
Pullback 3 EMAs - YuricabralThis indicator helps you trade with the trend like a pro, pinpointing exactly when price corrects (pullbacks) and resumes its main direction.
It combines the power of 3 Exponential Moving Averages (EMAs) with Oscillator filters to generate high-probability signals.
🔥 Key Features:
✅ Smart Trend Detection:
Uses 3 EMAs (Fast, Mid, Slow) to gauge market context.
Non-Repainting: Uses an offset to ensure the trend definition doesn't flip deceptively during the open candle.
🎯 Entry Types (Automatic):
🐋 Deep Pullback: When price touches the Slow EMA (100). These are strong reliable signals!
⚡ Shallow Pullback: When price touches only the Mid EMA (20). The indicator is smart: it only allows this signal if all EMAs are Perfectly Aligned, keeping you out of choppy markets.
🛡️ Safety Filters:
Wick Rejection Logic: Not just a simple crossover. Price must "tag" the EMA and close back in the trend direction to confirm strength.
Stoch RSI Filter (Optional): Turn this on to only take trades when the market is in extreme zones (Oversold for Longs 🟢 / Overbought for Shorts 🔴).
🔔 Dynamic Alerts:
Get detailed notifications specifying if it's Long/Short, if the pullback was Deep, and the oscillator status.
_________________________________________________________
Winds Will Changethe Winds Will Change indicator, pinnacle of Primitive Analysis.
Works well with data adapted properly beforehand.
Partially useful in vital areas of interest, such as orange strip display.
A fruit of a week-long research.
The process of creation consumed a total of four beers and a wiper.
Winds Will Change displays a certain property of a 3D shape.
The shape was composed with various distributions.
Along with per-asset SMAs, WWC creates an efficient tool for identifying timespan-wise bear markets.
HMA Pro Flow [Mladen] + SignalsThis indicator is an enhanced version of the classic Hull Moving Average (HMA), based on the logic developed by Mladen. It improves upon the standard HMA by allowing users to adjust the "speed" of the curve using a custom Divisor, and it integrates a secondary Trend Filter to generate high-probability entries and distinct exit signals.
The script is designed to help traders identify the trend direction while filtering out noise during choppy markets.
How It Works
1. The "Mladen" Calculation
The standard Hull Moving Average uses a fixed formula involving a divisor of 2 (n/2). This script exposes that divisor as a variable input.
2. Dual-HMA System
This indicator runs two separate HMA calculations simultaneously:
Entry HMA (Fast): Reacts quickly to price changes to generate immediate signals.
Trend Filter (Slow): A longer-term HMA used to determine the overall market bias.
Signal Logic
The indicator generates three types of signals based on the alignment of the Fast Entry HMA and the Slow Trend Filter.
🟢 BUY Signal (Green Label)
Condition: The Fast HMA turns green (rising) AND the Trend Filter is also green (rising).
Meaning: Momentum and Trend are aligned. Safe to enter Long.
🔴 SELL Signal (Red Label)
Condition: The Fast HMA turns red (falling) AND the Trend Filter is also red (falling).
Meaning: Momentum and Trend are aligned. Safe to enter Short.
❌ STOP / CLOSE Signal (Orange 'X')
Condition: The Fast HMA changes color, but it conflicts with the Trend Filter.
Example (Long): You are in a Buy trade. The Fast HMA turns Red, but the Trend Filter is still Green.
Meaning: This is likely a pullback, not a reversal. The indicator suggests closing the current position (Stop) but does not issue a signal to reverse into a new position. This prevents getting trapped in counter-trend trades.
Settings
Entry HMA Settings
Entry Period: Length of the fast signal line (Default: 14).
Entry Divisor: Controls smoothness. Lower values (e.g., 0.1) result in a very smooth line; higher values result in sharper turns.
Trend Filter Settings
Use Trend Filter: If unchecked, the indicator acts like a standard HMA (Buying/Selling on every color change).
Filter Period: Length of the slow trend line (Default: 300).
Show Filter: Toggles the visibility of the thick trend line on the chart.
Visuals
Toggle visibility for Buy, Sell, and Stop signals individually to keep your chart clean.
Credits
Original HMA logic by Alan Hull.
Variable divisor concept adapted from Mladen's work on MT4/MT5.
Custom pine scripting for trend filtering and signal logic - Vdubus
QE/QTis qe or qt?
WALCL weeky move.
QE green. QT red.
A bit of sma so a bit of a lag.
No rocket science unless printers runnin.
BRYCE 0DTE Scalper (SPY/QQQ Only)
BRYCE 0DTE Scalper (SPY/QQQ Only)
BRYCE 0DTE Scalper is a specialized high-speed momentum tool built only for SPY and QQQ, designed for traders who scalp 0DTE options where premium changes rapidly and timing matters.
This script is stricter and faster than the All-in-One tool. It focuses on the most important intraday ingredients for 0DTE: opening range breakout structure, VWAP bias, volatility expansion, momentum acceleration, and participation confirmation.
Why it’s SPY/QQQ only
SPY and QQQ are extremely liquid with consistent intraday behavior.
0DTE scalping needs:
• tight spreads
• smooth fills
• reliable intraday structure
This indicator is purposely constrained to match those conditions.
What it plots and why it matters
1) Premarket High / Premarket Low (Blue Lines) — 4:00am to 9:25am ET
• Key “launch” levels before the open.
• Helps you avoid chasing into resistance/support blindly.
2) Tight Opening Range (ORH/ORL) + OR Box (shorter window)
• A tighter opening range creates clearer breakout triggers for scalps.
After the OR window finishes, breaks can move quickly — perfect for 0DTE.
3) VWAP Filter (the core bias for 0DTE)
• Above VWAP: long setups are favored.
• Below VWAP: short setups are favored.
• This keeps you trading with the “intraday tide,” which matters a lot for 0DTE.
4) Momentum Acceleration + Volatility Expansion
• The tool looks for moments when a move is accelerating and volatility is expanding — when 0DTE premium often moves fastest.
•
5) Trade Quality Score (tighter threshold)
• A stricter score helps reduce low-quality triggers and random chop trades.
•
6) Auto Targets + Runner Stop System (built for fast risk control)
• TP lines help you take profits in stages (important for 0DTE).
• Runner stop starts at VWAP immediately for clarity and discipline.
• After TP1, the runner can lock into Protected mode to reduce giveback.
Best timeframes to use
• Best: 15s / 30s / 1m
•
• Good: 2m
• Not recommended: 5m+ for true 0DTE scalping (signals become late and moves can be missed)
✅ Best suited for
• Strong open momentum (first 5–60 minutes)
• Breakout/retest patterns around ORH/ORL, PM High/Low, and VWAP
• Trend days where price respects VWAP direction
⚠️ Least suited for
• Low volatility “grind” days (tiny candles, no expansion)
• Midday chop (11:00–2:00 often whippy)
• Major headline spikes (sudden reversals can be violent in 0DTE)
•
How novices should use it
1. Use the BUY/SELL label as the trigger — but only when price is behaving cleanly around VWAP and OR levels
2. Take partials at TP1/TP2 (0DTE can reverse fast)
3. Let the runner work only after TP1 if momentum stays strong
4. If the chart is choppy and signals flip often, stop trading — that’s the indicator warning you conditions aren’t ideal
Disclaimer
This indicator is provided for educational and informational purposes only. It does not constitute financial advice, investment advice, trading advice, or a recommendation to buy or sell any security, option, or financial instrument.
Trading and investing involve substantial risk, including the potential loss of all invested capital. Past performance, signals, alerts, or examples generated by this indicator do not guarantee future results.
All trading decisions made using this indicator are solely the responsibility of the user. By using this indicator, you acknowledge that you are trading at your own risk and according to your own risk tolerance, financial situation, and experience level.
The creator of this indicator assumes no responsibility or liability for any losses, damages, or outcomes resulting from the use of this tool, whether through manual trading, alerts, or automated systems.
Users are strongly encouraged to practice proper risk management, conduct their own research, and consult with a qualified financial professional before making any trading or investment decisions.
ATR Trailing Stop (EMA Filter) with Adjustable ShiftATR and ema plotted to visualize best stop losses for scalping.
WeAxes Pro: Multi-Timeframe Trend & Counter-Trend Sniper System## **Key Features:**
### **1. Multi-Timeframe Analysis**
- **H1 (1-hour) trend analysis** with 10/20/50 EMA configuration
- **H4 (4-hour) trend analysis** for higher timeframe confirmation
- Minimum separation filters to ensure meaningful trends
### **2. Dual Strategy Approach**
- **Trend-Following Strategy**: Classic pullback entries in trend direction
- **Counter-Trend Sniper Strategy**: Precision mean-reversion entries against short-term extremes
### **3. Advanced Filtering System**
- **MACD Filter**: Momentum confirmation with customizable settings
- **VWAP Bands**: Volume-weighted average price with deviation channels
- **Volatility Filters**: ATR-based volatility assessment with z-score analysis
- **RSI Momentum**: Overbought/oversold conditions with customizable levels
### **4. Counter-Trend Sniper Specifics**
- **Overextension Detection**: RSI extremes + price deviation from EMA20
- **Trend Exhaustion**: Identifies when trends are losing momentum
- **Price Pattern Recognition**: Pin bars, rejection candles, inside bars
- **Volume Confirmation**: Spike volume for entry validation
- **Scoring System**: 0-1 scale to qualify counter-trend setups
### **5. Smart Risk Management**
- **ATR-based stops & targets** for both strategies
- **Re-entry logic** to prevent over-trading
- **Volatility filters** to avoid low-volatility environments
- **Maximum holding periods** for counter-trend trades
### **6. Comprehensive Visual Display**
- **Multi-colored EMA plots** (H1, H4, current timeframe)
- **Pullback zones** showing entry areas
- **Counter-trend signals** with distinct triangle markers
- **Overextension zones** highlighting extreme conditions
- **Real-time information table** with color-coded status
### **7. Scoring & Probability System**
- **Weighted scoring** across multiple factors:
- Depth match to ideal pullback
- Momentum alignment
- Trend strength (H1/H4)
- MACD/VWAP confirmation
- Counter-trend opportunity score
- **Sigmoid probability conversion** for entry confidence
## **🎖️ Unique Strengths:**
### **For Trend-Following:**
- Waits for pullbacks to EMA20 within established trends
- Uses multiple timeframe confirmation
- Scores entry quality based on multiple factors
### **For Counter-Trend Sniper:**
- **Extremely selective** - only highest probability setups
- **Multiple confirmation layers** required
- **Quick in-and-out** mentality with tight stops
- **Early momentum detection** via MACD turns
## **📊 Visual Outputs:**
- **Blue triangles** for counter-long entries
- **Purple triangles** for counter-short entries
- **Colored candles** based on signal strength
- **Comprehensive table** with real-time market analysis
- **Trend badge** showing multi-timeframe bias
## **⚡ Recommended Use:**
- **Timeframes**: 5min - 15min for entries, H1/H4 for trend
- **Markets**: Forex majors, indices, commodities
- **Style**: Hybrid approach - trend following primary, counter-trend opportunistic
This is essentially a **professional-grade scalping system** that gives you both the patience of trend trading and the precision of counter-trend sniping in one package. The "sniper" approach to counter-trend makes it particularly valuable for capturing quick reversals from overextended conditions while maintaining disciplined risk management.
Trader Baboo Aanaa V 1.2this script uses ema five to generate bullish signal. it is comprised only of 5 ema
PSP Suite for Algo 1HTF -25% Target## 🔹 PSP Suite for Algo 1HTF – 25% Target
**(Nifty Options – CE / PE)**
### 📌 What this indicator is for
PSP Suite for Algo is a **trend-based directional options indicator** designed specifically for **NIFTY index options trading**.
It helps traders capture **high-probability directional moves** with **clear CE / PE signals**, controlled risk, and predefined targets.
---
## ⏱ Best Timeframe
* **Primary Timeframe:** ✅ **1 Hour (1H TF)**
* Do **not** use on lower timeframes for best accuracy
* Works best during **trending sessions**
---
## 📊 Instrument Best Suited
* **NIFTY Index**
* **NIFTY Weekly Options**
* Buy **CE** on BUY signal
* Buy **PE** on SELL signal
⚠️ Avoid Bank Nifty / Fin Nifty unless properly back-tested.
---
## 🟢 How to Trade (Simple Rules)
### ▶ BUY CE Signal
* When **BUY CE** label appears:
* Buy **ATM or slight ITM CE**
* Prefer same-week expiry
* Enter **after candle close** on 1H timeframe
### ▶ BUY PE Signal
* When **SELL PE** label appears:
* Buy **ATM or slight ITM PE**
* Prefer same-week expiry
* Enter **after candle close** on 1H timeframe
🚫 No over-trading: **Only one position per signal**
---
## 🎯 Target & Stop Loss (Strict Rule)
* **Target:** 🎯 **25% Option Premium**
* **Stop Loss:** ❌ **25% Option Premium**
* **Risk : Reward:** ⚖️ **1 : 1**
👉 When trade moves strongly in your favor, **manual trailing is recommended** (as shown on chart).
---
## 💰 Expected Returns on Nifty
* **Per Trade:**
* ~ **100 – 250 Nifty points equivalent move**
* Option premium typically gives **20–40% moves**
* **Accuracy:** High during **clear trends**
* Best results when market is **not sideways**
---
## 📅 Ideal Market Conditions
✅ Trending Market
✅ Expansion after consolidation
❌ Avoid very low-volatility / choppy sessions
---
## 🔔 Alerts
* Built-in alerts available for:
* **BUY CE**
* **BUY PE**
* Recommended to enable **Once Per Bar Close**
---
## 🧠 Important Notes
* This is **not a scalping tool**
* Designed for **positional intraday / short swing**
* Follow **discipline in SL & position sizing**
* Works best with **trend confirmation from price structure**
---
## ⚠️ Disclaimer
This indicator is for **educational and analytical purposes only**.
Options trading involves risk. Please trade responsibly.
PSP PEMA Indicator Only Sell 45MTF-7% TargetPSP PEMA Indicator – Only SELL (45MTF | Early Short Capture)
🔥 Purpose of This Indicator
PSP PEMA Indicator is a professional-grade intraday SELL-only tool, specially designed to capture EARLY SHORT SELL opportunities in NIFTY before major intraday reversals.
The highlight of this indicator is the “EARLY SELL” signal, which is crafted to catch premium decay moves in options and is ideal for same-day option selling or directional PUT buying.
⏱ Best Timeframe to Use
Primary Timeframe: 45 Minutes (Strictly recommended)
Can be observed on 15M for confirmation, but signals are optimized for 45MTF
📊 Best Instruments
✅ NIFTY Index (Highly Recommended)
Bank Nifty (with slightly higher risk)
FINNIFTY (experienced traders only)
👉 Works best on INDEX options, not recommended for stock options.
⭐ Most Powerful Signal: EARLY SELL
The EARLY SELL label appears near market tops, usually before sharp intraday falls.
How to Trade EARLY SELL (Options Focused)
Wait for “EARLY SELL” label on 45-minute chart
Execute trade on NEXT candle (do not chase)
Trade selection:
ATM / ITM PUT Buy
OR ATM CALL Sell (for option sellers)
Prefer same-day expiry or weekly options
🎯 Expected Target (Intraday)
Options Premium:
🔹 5% to 7% decay/move achievable the same day
Index Move:
🔹 Short-term downside impulse usually follows
⚠️ This indicator is designed to capture early momentum, not late breakdowns.
🛑 Stop Loss (Very Important)
Options Buy:
🔻 Premium SL = 25–30%
Option Sell:
🔻 Exit if next 45M candle closes above signal high
No averaging against signal ❌
🧠 When to AVOID Trading
First 15 minutes of market open
Low-volatility sideways days
Major news / event candles already expanded
📈 Trade Management Tips
Book partial profits early
Trail remaining position
One EARLY SELL per swing is enough — quality over quantity
⚠️ Disclaimer
This indicator is meant for educational and analytical purposes.
Markets involve risk. Use proper risk management and trade responsibly.
Heikin Ashi SMA 9 / 20 / 50 (MTF + Selectable Source)This is simple Heikin ashi value three moving average as 9 / 20 / 50 for clear trend identification . use it wisely with other confirmation .
EMA - SHORT (8/20)EMA SHORT (8/20) trades only the short side by waiting for bearish regime alignment and then capturing continuation once momentum confirms. It ignores long signals entirely and filters out sideways chop or late entries.
Built to:
✔ Confirm bearish direction
✔ Avoid compression phases
✔ Filter weak flips
✔ Simulate short execution visually
✔ Enable automation via Webhooks
Ideal for:
Futures traders (short bias)
Breakout & momentum traders
Signal providers
Copy-trading systems
Bot builders
Works across timeframes from scalping to swing, with strong performance in futures, crypto, and FX.
EMA - LONG (8/20)EMA LONG (8/20) trades only the long side by waiting for bullish regime alignment and then capturing continuation after momentum confirms. It ignores short signals entirely and avoids early flip entries, focusing on cleaner post-flip continuation legs.
Designed to:
✔ Filter out sideways compression
✔ Avoid counter-trend shorts
✔ Confirm long-side momentum
✔ Simulate entries/exits visually
✔ Enable alerts for automation
Works across timeframes and instruments, with strong use cases in futures, crypto, and FX.
Ideal for:
Trend continuation traders
Long-biased futures traders
Bot automation / signal providers
Copy trading setups






















