GS Quantum Radar [Elite Aesthetic - Bilingual]GS Quantum Radar / GS 量子雷達
Overview / 概述
Inspired by the quantum physics concept of "Ghostly action at a distance," the GS Quantum Radar is a high-end quantitative tool designed to capture the hidden correlations between two entangled assets (e.g., 2330.TW vs. TSM, or NVDA vs. AI sector). It identifies "Quantum Tension"—statistical deviations that signal imminent mean reversion or breakout opportunities.
受量子力學中**「幽靈般的遠距作用」**啟發,GS 量子雷達是一款專為捕捉資產間隱藏關聯而設計的高階量化工具(例如台積電與 TSM ADR,或 NVDA 與 AI 類股)。它能識別「量子張力」——即統計學上的異常偏離,預示著即將到來的均值回歸或突破機會。
Core Logic / 核心邏輯
The indicator operates on Statistical Arbitrage principles using a dynamic Z-Score model:該指標基於統計套利原理,採用動態 Z-Score 模型:
Entanglement Strength (Correlation) / 糾纏強度(相關性): It measures how synchronized the two assets are. Signals are only valid when the correlation is high, ensuring you aren't trading noise.衡量兩項資產的同步程度。僅在相關性高時訊號才有效,確保您避開市場雜訊。
Quantum Tension (Z-Score) / 量子張力 (Z-Score): Using the formula $Z = \frac{x - \mu}{\sigma}$, it calculates the price ratio deviation.透過公式 $$Z = \frac{x - \mu}{\sigma}$$
計算價差比率的偏離值。
$Z > +2$ (Red Column / 紅色柱狀): Particle A is overstretched (Overvalued). / 資產 A 擴張過度(相對高估)。
$Z < -2$ (Green Column / 綠色柱狀): Particle A is compressed (Undervalued). / 資產 A 壓縮過度(相對低估)。Shutterstock探索
Key Features / 主要功能
Bilingual Cyberpunk Dashboard / 中英雙語賽博龐克儀表板: Real-time monitoring of network status, entanglement strength, and tension levels with intuitive scale bars.即時監控網路狀態、糾纏強度與張力水平,配備直觀的比例尺進度條。
Aesthetic UI / 視覺美學: Designed with a Neon-Tokyo palette. Optimized for Dark Mode with a focus on high-density information display.採用霓虹東京配色。專為深色模式優化,專注於高密度資訊顯示。
Taiwan Style Color / 台股配色慣例: Red for Bullish/Up, Green for Bearish/Down.符合台股習慣:紅漲、綠跌。
How to Use / 如何使用
Select your pair / 選擇對象: Load the script on your primary chart (e.g., 2330.TW) and input the "Entangled Particle" (e.g., NASDAQ:TSM) in settings.在主圖表(如 2330.TW)掛載腳本,並在設定中輸入「糾纏對象」(如 NASDAQ:TSM)。
Monitor the Status / 監控狀態: Look for "STRONG BUY" or "TAKE PROFIT" advisories on the dashboard.觀察儀表板上的「強力買進 (STRONG BUY)」或「獲利了結 (TAKE PROFIT)」建議。
Execute / 執行交易: Enter when the "Quantum Tension" hits the $\pm 2.0$ thresholds while "Entanglement" is full.當「量子張力」達到 $\pm 2.0$ 臨界點且「糾纏強度」滿格時進場。
Disclaimer / 免責聲明Trading involves significant risk. This indicator is a statistical tool for decision support and does not guarantee profits. Use with proper risk management.交易涉及重大風險。本指標為輔助決策的統計工具,不保證獲利。請配合適當的風險管理使用。
Osciladores
BK AK-Tomahawk🚀👑 BK AK–TOMAHAWK — Guided Momentum Strike Engine (Early Flip) 👑🚀
All glory to G-d — the source of wisdom, restraint, and right timing.
AK is honor — discipline, patience, clean execution. No gambling. No noise.
Update / Record: A previous version of this publication was hidden by PineCoders moderator Demons due to insufficient description. This republish includes a fully self-contained explanation of what the script does, how it works, how to use it, and what makes the build original.
🧠 What It Does (Straight)
Tomahawk is a normalized momentum engine that measures force in three layers so you stop entering on appearance and start entering on commitment:
Momentum = directional pressure (normalized ROC)
Velocity = ignition / rate-of-change of pressure
Acceleration = continuation vs. failure of ignition
Then it adds permission gates so signals print only when the move is authorized (optional gates):
Squeeze → Expansion (stored energy → release)
VWAP / Trend EMA / Volume gate (tape + structure + participation)
HTF alignment (higher timeframe agrees)
NY session control (optional)
Tomahawk is not a “color-change oscillator.” It’s a guidance + permission engine.
🛰️ The Guidance Stack (Flight Computer)
Price source: hlc3
Core pipeline:
ROC(momLen)
Z-score normalize over normLen
Scale to oscillator range
Smooth → MOMENTUM (momSmoothL, smoother type selectable)
Smooth momentum → SIGNAL (sigLen)
Derived force layers:
VELOCITY = Δ(momentum), then normalized over velNormLen and smoothed (velSmoothL)
ACCELERATION = Δ(velocity)
🎯 What Prints “L / S” (Thrust = Permission)
A thrust is not just a crossover.
A thrust is a crossover plus ignition + continuation + gates.
Thrust Long (L)
Momentum crosses above Signal with separation (|mom - sig| ≥ minSep)
Velocity > velTh
Acceleration > 0
Optional gates must pass (your settings):
Trend EMA filter (if enabled): price > EMA(trendLen)
VWAP filter (if enabled, intraday only): price > VWAP
Volume gate (if enabled): volume > SMA(volume, volLen) × volMult
HTF alignment (if enabled): HTF momentum ≥ HTF signal and HTF velocity > 0
NY session (if enabled): inside 0930–1600 NY time
Squeeze gate (if enabled): see squeeze release logic below
Thrust Short (S)
Exact inverse:
Cross down + separation
Velocity < −velTh
Acceleration < 0
Optional gates inverted accordingly
Translation: Tomahawk doesn’t “suggest.” It authorizes.
🟡 Squeeze → Expansion (Permission Gate)
This uses volatility of velocity:
Squeeze: velStd < velStdAvg * sqMult
Expansion: velStd > velStdAvg * expMult
Release: squeeze → expansion
If enabled, thrust signals can be gated so they fire only on/after release.
🟠 Exhaustion Dots (Fuel Warning — Don’t Chase)
When momentum/velocity reaches extremes and acceleration flips against the move, Tomahawk prints exhaustion:
Exhaust Up: strong push losing drive (accel < 0 at extremes)
Exhaust Down: heavy sell losing drive (accel > 0 at extremes)
This is not a “magic reversal button.” It’s fuel analysis.
🧰 Controls That Matter (Read this once, save hours)
leadTh: how early color flips off velocity (deadband + memory = early without constant flicker)
minSep: cross quality (raise to cut spam)
velTh: ignition requirement (raise to demand real thrust)
useSqueeze: only fire on release (cleanest mode)
HTF: stop fighting higher timeframe posture
VWAP: keep trades aligned with tape on intraday
🖥 Visuals (Made to read fast)
Momentum line (green/red, optional early flip)
Ice signal line + fill
Velocity columns + line (neon cyan/violet)
Acceleration area (deep tones)
Squeeze background + posture zones
L/S thrust markers + exhaustion dots
Optional: markers on price or in pane.
✅ How To Use (Simple Playbook)
If squeeze is enabled, wait for release or you’re early by definition.
Treat L/S thrust as the entry standard (cross + velocity + accel + gates).
Use HTF alignment to avoid fighting the higher timeframe.
Use exhaustion dots as the greed-check: protect, trim, or stop pressing.
🔔 Alerts Included
Thrust Long / Thrust Short
Exhaustion Up / Exhaustion Down
⚠️ Limitations (Honest)
Choppy ranges can whipsaw cross-based logic—use minSep, velTh, HTF, and/or squeeze gating.
VWAP filter is intraday-only.
This is an indicator, not position sizing/risk management.
👑 King Solomon Lens — The Two Mothers Test (Discernment by Pressure)
Solomon didn’t accept claims. He introduced a pressure event that forced reality to reveal itself.
That’s what Tomahawk does to price action:
Momentum is the claim. Everyone has a claim.
Velocity is the pressure test: is the claim moving with force or just talking?
Acceleration is the reveal: does the force strengthen, or collapse under scrutiny?
Squeeze → Expansion is the courtroom moment: compression builds, then the market must testify on release.
Solomon didn’t crown impulse — he crowned what survives examination.
Tomahawk is built in that spirit: discernment first, action second.
🙏 Respect + Seal
Respect to AK — discipline, patience, clean execution.
All glory to G-d — the source of wisdom and endurance.
🚀👑 BK AK–TOMAHAWK — guidance on, permission verified, strike clean. 👑🚀
ETH/BTC ZScore MR Backtest (Simple)ETH / BTC 相对价值策略简明使用说明(Quick Guide)
一、这是个什么策略?
这是一个 ETH 与 BTC 的相对价值(均值回归)策略。不赌市场涨跌,只判断 ETH 相对 BTC 是否“偏强或偏弱”,当偏离足够大但还没失控时,押一次相对价格回归。以下是信号含义
S —— Short ETH / Long BTC(开仓信号)
L —— Long ETH / Short BTC(开仓信号)
X —— 回归完成,平仓
SLZ —— 极端止损(非常重要)
COOL —— 冷却期(禁止交易)
二、核心指标
策略只用一个指标:Z-score
Z = (当前 ETH/BTC − 最近均值) / 最近标准差
均值 / 标准差:最近 4 天(1H × 96 根)
Z 表示当前相对定价偏离“正常区间”多少倍
三、开仓条件(最重要)
只在下面这个区间才允许开仓:
1.5 ≤ |Z| < 3.5
含义:
|Z| < 1.5 → 正常波动,不交易
|Z| ≥ 3.5 → 极端状态,不交易
只做中间“可回归区间”
四、方向逻辑
Z ≥ +1.5
→ ETH 相对 BTC 过强
→ 空 ETH / 多 BTC
Z ≤ −1.5
→ ETH 相对 BTC 过弱
→ 多 ETH / 空 BTC
五、离场规则
1️⃣ 回归离场(盈利)
当 |Z| ≤ 0.45,相对定价修复,直接平仓
2️⃣ 极端止损(SLZ)
当 |Z| ≥ 3.5,认为进入结构性行情,立刻止损,不硬扛
六、冷却规则(风控核心)
每次触发 SLZ,强制冷却 24 小时,冷却期间 不允许任何新开仓,避免在趋势或高波动环境中连续亏损。
七、使用建议(非常重要)
这是统计策略,不是预测工具,不适合加仓、摊平。更适合:对冲执行、低手续费 / DEX 环境或刷交易量场景
八、一句话总结
当 ETH/BTC 的相对定价明显异常但尚未失控时,押一次它回到正常区间。
1. What is this strategy?
This is an ETH vs BTC relative value (mean reversion) strategy.
It does not speculate on overall market direction.Instead, it focuses solely on whether ETH is relatively too strong or too weak versus BTC.When the relative deviation is large enough—but not yet out of control—the strategy bets on a reversion back to normal.
Signal meanings:
S — Short ETH / Long BTC (entry)
L — Long ETH / Short BTC (entry)
X — Mean reversion completed, exit
SLZ — Extreme stop-loss (critical)
COOL — Cooldown period (no trading allowed)
2. Core indicator
The strategy uses only one indicator: Z-score
Z = (Current ETH/BTC − Recent Mean) / Recent Standard Deviation
Mean / standard deviation are calculated over the last 4 days (96 × 1H bars)
Z measures how many “normal volatility units” the current relative price has deviated from its recent equilibrium
3. Entry conditions (most important)
Positions are opened only within the following range:
1.5 ≤ |Z| < 3.5
Meaning:
|Z| < 1.5 → normal noise, no trade
|Z| ≥ 3.5 → extreme regime, no trade
Only trade the middle zone where mean reversion is statistically plausible
4. Direction logic
Z ≥ +1.5
→ ETH is relatively overvalued vs BTC
→ Short ETH / Long BTC
Z ≤ −1.5
→ ETH is relatively undervalued vs BTC
→ Long ETH / Short BTC
5. Exit rules
There are only two exits:
1️⃣ Mean reversion exit (profit-taking)
When |Z| ≤ 0.45
Relative pricing has normalized → exit both legs
2️⃣ Extreme stop-loss (SLZ)
When |Z| ≥ 3.5
Indicates a potential structural or trending regime
Exit immediately; do not average down
6. Cooldown rule (risk control core)
Every time SLZ is triggered
A mandatory 24-hour cooldown starts
No new positions are allowed during cooldown
This prevents repeated losses in trending or high-volatility regimes.
7. Usage notes (very important)
This is a statistical strategy, not a prediction tool
Not suitable for martingale, averaging down, or discretionary overrides
Best suited for:
Hedged execution
Low-fee / DEX environments
Volume or point-farming scenarios
8. One-sentence summary
When ETH/BTC relative pricing becomes clearly abnormal—but not yet extreme—
the strategy takes a measured bet on reversion back to equilibrium.
ARPAKET_FLOW_CRYPTOArpaket_FLOW - TradingView Script
---
## 📝 Short Description (for subtitle)
```
Advanced Money Flow Indicator with Multi-Asset Support, Whale Detection & Multi-Timeframe Analysis
```
---
## 📄 Full Description (copy below this line)
---
### 🌊 ARPAKET_FLOW - Smart Money Flow Indicator
**Arpaket_FLOW** is a comprehensive money flow indicator designed to help traders visualize whether smart money is flowing INTO or OUT of the market, along with the intensity of that flow. This indicator combines multiple proven technical analysis methods into a single, easy-to-read tool for making informed buy/sell decisions.
---
### 🎯 What Does This Indicator Do?
This indicator answers the most critical question in trading: **"Is money flowing into or out of this asset?"**
By combining volume analysis with price action, Arpaket_FLOW calculates a **Flow Score (0-100)** that tells you:
- **Above 70**: Strong money inflow → Bullish bias
- **50-70**: Moderate inflow → Cautiously bullish
- **30-50**: Neutral zone → Wait for confirmation
- **Below 30**: Strong money outflow → Bearish bias
---
### 🔬 How It Works
Arpaket_FLOW combines **6 powerful indicators** into one unified score:
| Component | Weight | Purpose |
|-----------|--------|---------|
| **Volume Ratio** | 25% | Detects unusual volume activity |
| **Money Flow Index (MFI)** | 20% | Measures buying/selling pressure with volume |
| **Chaikin Money Flow (CMF)** | 20% | Identifies accumulation/distribution |
| **On-Balance Volume (OBV)** | 15% | Tracks volume flow direction |
| **RSI Momentum** | 10% | Confirms price momentum |
| **VWAP Deviation** | 10% | Institutional price reference |
---
### ✨ Key Features
#### 🎛️ Multi-Asset Adaptation
- **Crypto Mode**: Higher volatility thresholds + Whale detection
- **Low Liquidity Stocks**: Adjusted sensitivity for thin markets (SET Index, Small Caps)
- **High Liquidity Markets**: Standard settings for Forex, Major Indices
#### ⏱️ Multiple Trading Styles
- **Scalping** (1-5 min): Ultra-fast signals with noise filtering
- **Day Trading** (15min-1H): Balanced speed and reliability
- **Swing Trading** (4H-Daily): Multi-timeframe confirmation
- **Position Trading** (Weekly+): Long-term flow analysis
#### 🐋 Whale Detection (Crypto)
Automatically detects unusual large-volume activity that may indicate whale accumulation or distribution. When volume exceeds 3x the average, a whale marker (🐋) appears on the chart.
#### 📊 Multi-Timeframe Panel
For Swing and Position traders, view flow direction across 4 timeframes (1H, 4H, Daily, Weekly) simultaneously to ensure alignment before entering trades.
#### 📋 Real-Time Dashboard
A clean dashboard displaying:
- Flow Direction (Inflow/Outflow/Neutral)
- Flow Score (0-100)
- Flow Strength (Weak/Moderate/Strong/Extreme)
- Volume Status (Normal/Surge/Whale)
- MFI & CMF readings
- Overall Signal (Buy/Sell/Neutral)
#### ⚠️ Divergence Detection
Automatically identifies bullish and bearish divergences between price and money flow, providing early reversal warnings.
---
### 📖 How To Use
#### Basic Usage:
1. **Select your Market Type** in settings (Crypto/Low Liquidity/High Liquidity)
2. **Select your Trading Style** (Scalping/Day Trading/Swing/Position)
3. **Watch the histogram**:
- Green bars = Money flowing IN (bullish)
- Red bars = Money flowing OUT (bearish)
- Bar height = Flow intensity
#### Signal Interpretation:
| Signal | Meaning | Suggested Action |
|--------|---------|------------------|
| 🟢 Green Triangle | Strong buy signal | Consider long entry |
| 🔴 Red Triangle | Strong sell signal | Consider short/exit |
| 🐋 Whale Icon | Large player activity | Watch for direction |
| DIV Label | Divergence detected | Potential reversal |
#### Best Practices:
- Use **higher timeframes** for trend direction
- Use **lower timeframes** for entry timing
- Wait for **MTF alignment** (3+ timeframes agreeing) for higher probability trades
- Combine with support/resistance levels for optimal entries
---
### ⚙️ Settings Guide
#### General Settings
- **Market Type**: Match to your traded asset
- **Trading Style**: Match to your timeframe
- **Sensitivity**: Conservative (fewer signals) → Aggressive (more signals)
#### Period Settings
- **Fast Period**: Short-term calculation (default: 7)
- **Slow Period**: Long-term calculation (default: 21)
- **Signal Smoothing**: Reduces noise (default: 5)
#### Alert Settings
- **Buy Threshold**: Score level for buy signals (default: 70)
- **Sell Threshold**: Score level for sell signals (default: 30)
- **Volume Surge Multiplier**: Volume spike detection (default: 2.0x)
- **Whale Multiplier**: Whale detection threshold (default: 3.0x)
---
### 🔔 Available Alerts
1. **Strong Buy/Sell Signal** - When confirmed signals trigger
2. **Enter Buy/Sell Zone** - When score crosses thresholds
3. **Whale Activity** - Accumulation or distribution detected
4. **Bullish/Bearish Divergence** - Price/flow divergence
5. **Volume Surge** - Unusual volume spike
6. **MTF Alignment** - Multiple timeframes agree
7. **Extreme Conditions** - Score above 90 or below 10
8. **Flow Reversal** - Direction change confirmed
---
### 📈 Recommended Combinations
This indicator works best when combined with:
- **Support/Resistance levels** for entry points
- **Trend lines** for direction confirmation
- **Moving Averages** (EMA 20/50/200) for trend context
- **Price Action patterns** for timing
---
### ⚠️ Disclaimer
This indicator is a tool to assist in trading decisions, not a guarantee of profits. Always:
- Use proper risk management
- Never risk more than you can afford to lose
- Backtest before live trading
- Consider multiple factors before entering trades
Past performance does not guarantee future results. Trading involves substantial risk of loss.
---
### 🙏 Credits & Acknowledgments
This indicator combines concepts from:
- Money Flow Index (Gene Quong & Avrum Soudack)
- Chaikin Money Flow (Marc Chaikin)
- On-Balance Volume (Joe Granville)
- Volume-Weighted Average Price (Institutional standard)
---
### 💬 Feedback
If you find this indicator helpful, please leave a comment or like! Your feedback helps improve future updates.
For questions or suggestions, feel free to comment below.
**Happy Trading!** 🚀
---
## 🏷️ Suggested Tags (for TradingView)
```
moneyflow, volume, smartmoney, whaledetection, crypto, stocks, forex, mfi, cmf, obv, vwap, multitimeframe, buysellindicator, flowanalysis, accumulation, distribution
```
---
## 📸 Suggested Screenshots to Include
1. **Main Chart View** - Show the indicator with histogram and dashboard
2. **Buy Signal Example** - Zoom in on a successful buy signal
3. **Whale Detection** - Show crypto chart with whale markers
4. **MTF Panel** - Display multi-timeframe alignment
5. **Settings Panel** - Show available customization options
eXquTrading FIB (Auto)eXquTrading FIB (Auto) — EMA144/169 Cloud + 8X Score + Auto Fibonacci (Single Set)
This indicator uses the EMA144/169 Cloud to define the market regime (LONG/SHORT/NEUTRAL), then generates BUY/SELL signals based on an 8-factor scoring system, while automatically drawing one Fibonacci set and extending it to the right so labels remain readable.
Features
Trend Regime (EMA144/169 Cloud):
Above cloud = LONG, below cloud = SHORT, inside cloud = NEUTRAL
8X Score Signals: confirmations from RSI, MACD, Stoch, Momentum, Volume, MFI, CCI, OBV(EMA)
Noise-reduction filters:
ATR-based cloud distance filter (reduces chasing signals)
ATR-based impulse candle filter (blocks oversized candles)
Cooldown (limits back-to-back signals)
Auto Fibonacci (Single Set):
Rebuilds on trend flip / fib invalidation / (optional) when a signal appears and no fib exists
Levels: -1.618, -1, -0.382, 0, 0.382, 0.5, 0.618, 1
Fib lines extend to the right on every bar (labels stay clean)
Settings (Quick tips)
Increase Minimum Confirmations (Score) → fewer but cleaner signals
Tighten ATR filters in choppy markets, loosen slightly in strong trends
Increase Right Pad Bars to keep right-side labels readable
Repaint / Execution Mode
Default: bar close only (more reliable)
Optional “Early Signal (Repaint Risk)” enables intrabar signals (faster, but may repaint)
Alerts
8X SCALP BUY
8X SCALP SELL
Disclaimer
For analysis/educational purposes only. Not financial advice. Always test settings on your own symbols and timeframes.
EduVest - IFA-VP Context v3.0 [NEON Edition]📊 IFA-VP Context v3.0
A powerful market context indicator combining Volume Profile analysis with SMA trend detection. Designed with a cyberpunk-inspired NEON color palette for maximum visibility on dark charts.
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
🎯 WHAT IT DOES
This indicator helps you understand "where you are" in the market by analyzing:
• Volume Profile (POC, VAH, VAL)
• SMA Alignment (20/50/200)
• Context Score (0-100)
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
⚡ KEY FEATURES
🔹 NEON Color Palette - Cyan/Pink/Gold colors optimized for dark mode
🔹 Context Score - Visual score bar (████████░░) shows market strength
🔹 Cross Signals - GOLDEN CROSS / DEATH CROSS with HUGE labels
🔹 POC Reaction - Track price interaction with Point of Control
🔹 Status Panel - All-in-one dashboard with trend, zone, and hints
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
📺 THREE DISPLAY MODES
• Impact Mode - Full visual experience with badges, ribbons, and glow effects
• Minimal Mode - Clean SMA lines and VP levels only
• Pro Mode - Complete VP histogram display
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
📈 SIGNALS EXPLAINED
▲ GOLDEN CROSS (20×50) - Short-term bullish momentum
▼ DEATH CROSS (20×50) - Short-term bearish momentum
⭐ MAJOR GOLDEN (50×200) - Long-term bull market signal
💥 MAJOR DEATH (50×200) - Long-term bear market signal
Context Badges:
⚡ SUPER BUY/SELL (Score 80+)
🔥 POWER BUY/SELL (Score 70-79)
💪 STRONG BUY/SELL (Score 60-69)
⏸ WAIT (Score <50)
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
⏰ RECOMMENDED TIMEFRAMES
✅ 15min - 4H (Best for day trading & swing)
⚠️ 1min-5min (Noisy, use with caution)
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
⚠️ DISCLAIMER
This is NOT a buy/sell signal indicator.
It shows market CONTEXT to help your own trading decisions.
Always use proper risk management and combine with your own analysis.
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
🏷️ Tags: volume profile, sma, context, trend, neon, dark mode, poc, value area
Quad Stoch v4 - George Lane Method# Quad Stoch v4 - User Guide
## Overview
**Quad Stoch v4** uses the traditional **George Lane Stochastic** calculation method to track four different timeframe stochastics simultaneously, identifying asymmetric rotation patterns for long and short entries.
## Core Philosophy
**Longs and shorts are NOT symmetrical:**
- **Longs**: V-bottom pattern, sharp rotation up from oversold (fast stochs lead)
- **Shorts**: Either bleed down then dump OR synchronized flush (different patterns)
## George Lane Method
v4 uses the pure George Lane calculation:
1. **%K** = Raw stochastic: `100 × (Close - LL) / (HH - LL)`
2. **%K Smoothing** = SMA of raw %K (default: 1 = no smoothing)
3. **%D** = SMA of smoothed %K (classic: 3-period)
**Default Display**: %D lines only (traditional slow stochastic)
## Default Stochastic Settings
| Stoch | %K Length | %K Smooth | %D Smooth | Color | Description |
|-------|-----------|-----------|-----------|-------|-------------|
| **1** | 9 | 1 | 3 | **RED** | Fastest - leads rotations |
| **2** | 14 | 1 | 3 | **GREEN** | Fast |
| **3** | 40 | 1 | 4 | **CYAN** | Slow |
| **4** | 60 | 1 | 10 | **WHITE** | Slowest - confirms trend |
*Colors match DTR Dashboard for easy reference*
## Rotation Signals
### 🟢 Bullish Rotation (Long Entry)
**Pattern**: V-bottom rotation
**Conditions**:
- Fast avg (D9 + D14) / 2 is **oversold** (< 25)
- Fast avg **turning up sharply** (slope > 3.0)
- Slow avg (D40 + D60) / 2 still **low** (< 50)
- Slow avg **flat or not turning** (slope < 1.0)
**What to look for**: Fast stochs bottoming and rocketing up while slow stochs haven't turned yet
---
### 🔴 Bearish Rotation (Short Entry)
**Two asymmetric patterns**:
#### **Pattern A: "Bleed Then Dump"**
- D60 was recently **overbought** (> 80 in last 10 bars)
- D60 just **broke below 75**
- Fast avg already **falling** (slope < -1.0)
- Not too oversold (fast avg > 40)
**What to look for**: Slow stoch rolling over from overbought while fast already bleeding
#### **Pattern B: "Synchronized Flush"**
- All 4 stochs **below 75**
- Both fast AND slow **dropping sharply** (< -2.5)
- Not too oversold (fast avg > 40)
**What to look for**: All stochs dumping together in coordinated fashion
---
## Key Settings
### Display Options
- **Show %K Lines**: Off by default (turn on to see raw fast stochastic)
- **Show %D Lines**: On by default (smoothed values)
- **Show Fast Avg**: Lime line = average of D9 and D14
- **Show Slow Avg**: Yellow line = average of D40 and D60
### Signal Filters
- **RTH Only Signals**: Arrows only during 9:30-16:00 ET (default: ON)
- **Spread Filter**: Optional - requires minimum spread between stochs
- **Min Spread**: Default 15 (ignored unless spread filter enabled)
### Slope Calculation
- **Slope Bars**: Number of bars to calculate slope (default: 2)
- Higher = smoother slope detection, slower reaction
## Visual Indicators
| Indicator | Meaning |
|-----------|---------|
| 🟢 **Green Triangle** ↑ | New bullish rotation signal |
| 🔴 **Red Triangle** ↓ | New bearish rotation signal |
| **Green Background** | Bullish rotation active |
| **Red Background** | Bearish rotation active |
| **Lime Line** | Fast average (D9+D14)/2 |
| **Yellow Line** | Slow average (D40+D60)/2 |
## Info Label
Shows current state (top right):
- Fast avg value and state (oversold/neutral/overbought)
- Slow avg value and state
- Fast slope (direction and magnitude)
- Slow slope
- D60 value
- Active pattern (if any)
## Alerts Available
1. **Bullish Rotation** - New bullish signal fired
2. **Bearish Rotation** - New bearish signal fired
3. **Bearish Pattern A** - Bleed then dump detected
4. **Bearish Pattern B** - Synchronized flush detected
5. **Bullish Rotation Active** - In bullish state (continuous)
6. **Bearish Rotation Active** - In bearish state (continuous)
## Usage Tips
### For Longs
1. Wait for fast avg to drop below 25
2. Watch for **sharp upward** slope (>3.0)
3. Confirm slow avg still lagging below 50
4. Enter on green triangle
5. Fastest stochs (red/green) should be leading
### For Shorts
1. **Pattern A**: Watch D60 (white line) roll over from 80+
2. **Pattern B**: All stochs failing together from highs
3. Confirm fast avg not already oversold (<40)
4. Enter on red triangle
5. Look for follow-through on next bar
### Risk Management
- Signals are **entry timing tools**, not standalone systems
- Use with price action, support/resistance, and market context
- Fast rotation up = higher probability longs
- Shorts need more confirmation (Pattern A or B)
- Avoid shorting when already deeply oversold
## Customization
All thresholds are adjustable:
- **Bullish Rotation** group: Oversold levels and slope requirements
- **Bearish Rotation** group: Pattern A/B parameters
- **Colors** group: Customize all line colors
---
**Version**: v4 (George Lane Method)
**License**: Mozilla Public License 2.0
Spot Taker Flow & Early Warning System How Does This Code Detect a "Fake" Rise?
Spot VWMA Logic: The moving average looks not only at the price but also at how much "spot volume" is circulating at that price.
Fake Rise Scenario: If the price (candles) is going up but the Yellow (Binance) or Blue (Coinbase) lines we've drawn are below it, or the price is drooping to the level of these lines; know that the rise is being triggered by bots in futures trading, not spot buyers. This is a "Fake" rise.
Confirmed Rise: If the price is above all these L1 lines, there may be "real money behind it".
RSI Divergence: Regular & Hidden [No Repaint] (Beta)I designed this script to have an RSI oscillator that doesn't miss any single divergence (Regular & Hidden). And is without the usual repainting or heavy lag issues found in standard indicators.
This is an Open Beta release. I have tested it extensively and haven't found any missed signals, but if you spot any issues, please report them below.
KEY FEATURES:
Comprehensive Detection: Catches both Regular (Reversals) and Hidden (Trend Continuation) divergences.
Fast Reaction: Signals are confirmed immediately on the next candle close (1 bar lag).
Advanced Context: Highlights high-probability divergences from OB/OS zones and identifies Pullback Setups (Hidden divergences forming after Regular ones).
Filters: Includes a Volume MA filter and a Noise filter to ignore weak or short-term signals.
Reliability: No repainting. Historical signals stay fixed for accurate backtesting.
Pivot Tolerance: Features an adjustable tolerance setting, allowing divergence lines to "cut through" a defined number of candles or minor RSI fluctuations (micro-pivots). This ensures valid setups aren't discarded due to small market noise.
Current State: The visual detection logic is fully operational (Open Beta). The alert system is currently disabled for verification purposes and will be implemented in a future update once signal stability is confirmed.
Cheers, Chia100
RISK WARNING & DISCLAIMER: This indicator is provided for educational purposes only. It does not constitute financial advice. Use at your own risk. Past performance does not guarantee future results.
Alma RSI demoRSI + ALMA filter
use raw RSI off: RSI + RMA + ALMA (classic RSI + ALMA)
use raw RSI on: RSI + ALMA (RSI without RMA + ALMA)
demo edition. no alerts and divs
Quantum MACD📈 STRENGTHS:
1. Adaptability to Any Asset
Automatically adjusts overbought/oversold levels according to each asset's volatility
No manual level adjustment needed for different instruments
2. 4 Intelligent Zone Calculation Methods
Percentiles: Considers historical distribution of MACD values
Standard Deviation: Statistically justified levels
ATR: Accounts for market volatility
Bollinger Bands: Classic proven method
3. Enhanced Visualization
Gradient zone fill (intensity depends on distance to level)
Four histogram colors like in standard MACD
Clear solid divergence lines with markers
Information panel with key data
4. Multiple Signals and Alerts
Divergences (bullish/bearish)
Entry/exit from overbought/oversold zones
MACD and signal line crossovers
Strong signals (when approaching extreme levels)
5. Flexible Configuration
Ability to enable/disable any elements
Period adjustment for different methods
Color scheme selection
Sensitivity adjustment via multipliers
6. Professional Functions
Table with extended information
Signal strength calculation
Distance to level indicators
Display of historical MACD minimums/maximums
📉 WEAKNESSES:
1. High Complexity for Beginners
Many settings can confuse novice traders
Difficulty choosing optimal zone calculation method
Requires time to learn all functions
2. Possible Chart Overload
Multiple lines and fills can clutter the chart
Lines may overlap with many divergences
Information panel occupies screen space
3. Calculation Delays
Use of large periods (up to 500 bars) for calculations
Some methods (percentiles) require data accumulation
Possible lags on lower timeframes
4. Risk of Over-Optimization
Too fine-tuning for specific assets
Possibility of fitting parameters to historical data
Need to review parameters when trends change
5. Dependence on Chosen Method
Different methods can give contradictory signals
No single "perfect" method for all situations
Requires testing each method on specific assets
6. Pine Script Limitations
Inability to implement exact percentiles without arrays
Performance limitations with complex calculations
Some visual effects cannot be implemented perfectly
7. False Signals
In strong trends, indicator may remain in overbought/oversold zones for long periods
Divergences sometimes form late
Frequent line crossovers in sideways markets
⚖️ BALANCE OF STRENGTHS AND WEAKNESSES:
Who It's Suitable For:
✅ Experienced traders who need advanced analysis tools
✅ Analysts studying indicator behavior on different assets
✅ Swing traders working on medium timeframes
✅ Those trading multiple assets who need automatic adaptation
Who It's Not Suitable For:
❌ Beginners just starting with technical analysis
❌ Scalpers who need minimal delay
❌ Traders preferring minimalistic indicators
❌ Those wanting a "magic button" without configuration
💡 USAGE RECOMMENDATIONS:
Start Simple: Use only one zone calculation method (e.g., "Standard Deviation")
Test: Check each method on your asset's historical data
Simplify: Disable unnecessary visual elements for cleaner charts
Combine: Use this indicator with others (trend, volume-based)
Observe: Monitor indicator behavior in different market conditions (trend, range)
🎯 CONCLUSION:
Quantum MACD is a powerful professional tool for traders willing to invest time in learning and configuring it. It solves the key problem of standard MACD - static overbought/oversold levels.
Main Advantage: adaptation to any asset without manual adjustment.
Main Disadvantage: complexity for beginners and risk of chart overload.
The indicator performs best on daily and weekly timeframes when trading stocks, cryptocurrencies, and currency pairs with good liquidity.
Smooth Fear/Greed Waves (Cipher-style)The indicator is a Oscilator that helps to check when to buy or sell and asset based on the Fear and Greed index and also based on the oversold or overbought Threshold.
SuperTrend Momentum ShiftST Momentum Shift – Confirmed Flip with Structured Entry
This indicator identifies high-quality SuperTrend momentum flips and validates them using EMA trend alignment, RSI strength, volume confirmation, and recent price structure.
A flip is printed only when all rules pass, ensuring no visual noise.
Entries are defined after the flip candle, using a configurable buffer (percent or ATR) to avoid false breakouts and stop-loss hunting.
Stop-loss is placed beyond the flip candle extreme, with a fixed 1:1 risk-reward target.
A color-coded table clearly shows:
Pass/Fail status of each rule for the current printed flip
Trade direction and lifecycle (Pending → Open → Closed)
Entry, SL, Target, buffer, and risk
Designed for non-repainting, rule-based intraday trading on F&O stocks.
Mossad Agent Indicator (4 in 1)Long live Israel.
Indicator includes two EMA lines, a MACD, Buy/Sell signals, trading sessions, and high/lows (which are a bit iffy, better if you use your brain for this one).
Everything is combined into 1 indicator for convenience, all the features are fully customisable for your own needs.
Liquidity-Weighted RSILW-RSI scales the classic RSI by relative volume to highlight when momentum happens under unusually high participation.
Formula:
LW-RSI = RSI × (Current Volume / 20-bar Avg Volume)
• The 0 → Threshold band marks the “normal” zone.
• Values above Threshold indicate an abnormal liquidity/participation regime (not a buy/sell signal by itself).
• The orange line is the moving average of LW-RSI itself to show whether participation spikes are persistent or just noise.
LW-RSI does not predict direction. Use it as a context/confirmation tool alongside structure, VWAP, and volume profile.
Apex Wallet - Lorentzian Classification: Adaptive Signal SuiteOverview The Apex Wallet Lorentzian Classification is a high-performance signal engine that utilizes an adaptive multi-feature approach to identify high-probability entry points. It synthesizes five distinct technical features—RSI, CCI, ADX, MFI, and ROC—to calculate a weighted trend bias.
Dynamic Adaptation The core strength of this indicator is its ability to automatically recalibrate its internal periods based on your selected Trading Mode.
Scalping: Uses ultra-fast periods (e.g., RSI 7, ADX 10) for quick reaction on 1m to 5m charts.
Day-Trading: Balanced settings (e.g., RSI 14, ADX 14) optimized for 15m to 1h timeframes.
Swing-Trading: Smooth, long-term filters (e.g., RSI 21, ADX 20) to capture major market shifts.
Logic & Signal Flow
Feature Extraction: The script calculates five momentum and volatility features using the current close price.
Signal Summation: Each feature contributes to a global signal score based on established technical thresholds.
EMA Smoothing: The raw signal is processed through an EMA filter to eliminate market noise and false breakouts.
Execution: Clear BUY and SELL labels are printed directly on the chart when the smoothed score crosses specific conviction levels.
Key Features:
Zero-Configuration: No need to manually adjust lengths; simply pick your trading style.
Clean Visuals: High-fidelity labels (BUY/SELL) with integrated alert conditions for automation.
Prop-Firm Ready: Ideal for traders needing fast confirmation for high-conviction trades.
LinhFX Reversal pro Reversal Pro is an advanced indicator designed to detect early trend reversal opportunities by analyzing bullish and bearish momentum exhaustion, divergence, and price behavior at key levels.
The indicator focuses on:
Identifying potential bullish and bearish reversals
Detecting momentum weakness within existing trends
Filtering false signals through price structure and momentum confluence
It is suitable for Price Action, intraday, and swing trading, and works across multiple timeframes and markets including Forex, Gold, Crypto, and Indices.
Best used in combination with breakout confirmation, support/resistance levels, and proper risk management.
LinhFX Breakout Detector Breakout is a price action–based indicator designed to detect valid breakouts from consolidation zones, support and resistance levels, helping traders capture early trend expansions.
The indicator focuses on:
Identifying price compression and range zones
Detecting bullish and bearish breakouts
Filtering false breakouts using momentum and price behavior
Suitable for intraday, scalping, and swing trading, and works across multiple timeframes and markets including Forex, Gold, Crypto, and Indices.
Best used in combination with market structure, momentum or volume analysis.
LINHFX Bull Bear DivergenceBull Bear Divergence is a momentum-based indicator designed to analyze bullish and bearish strength and identify divergence between price action and market momentum.
It helps traders detect:
Bullish divergence (potential upside reversal)
Bearish divergence (potential downside reversal)
Shifts in buying and selling pressure
This indicator is ideal for Price Action, Smart Money Concept (SMC), intraday and swing trading, and works across multiple timeframes and markets such as Forex, Gold, Crypto, and Indices.
Best used in combination with market structure, key levels, and risk manageme
LinhFX Bull Bear Divergence 2.0 Bull Bear Divergence is a momentum-based indicator designed to analyze bullish and bearish strength and identify divergence between price action and market momentum.
It helps traders detect:
Bullish divergence (potential upside reversal)
Bearish divergence (potential downside reversal)
Shifts in buying and selling pressure
This indicator is ideal for Price Action, Smart Money Concept (SMC), intraday and swing trading, and works across multiple timeframes and markets such as Forex, Gold, Crypto, and Indices.
Best used in combination with market structure, key levels, and risk manageme
Supertrend (4, 22) Strategynifty 15 min tf only buy with good accuracy, abide by rules, strict sl must be taken






















