RMA vs EMA Comparison ToolIf you're looking for a quick entry point to follow a trend, it's best to look at the EMA.
If you need confirmation of a long-term trend change or are working with oscillators (like the RSI), use the RMA.
What to look for on the chart:
Reaction speed: You'll notice that the EMA (red line) adheres much more closely to the price. It reacts more quickly to sharp reversals or impulses.
Smoothness: The RMA (blue line) appears smoother and "lazier." It changes direction more slowly, which helps filter out false signals (noise), but allows for a slightly later entry into a trade.
Distance: During periods of strong trending, the RMA is usually further from the price than the EMA of the same period.
Indicadores y estrategias
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.
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Who it’s for
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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
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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.
Vietnam Asset Monitoring ToolVietNamese Asset Correlation Tracking Chart
This chart monitors the relationship between major asset classes which Vietnamese analyst should monitor:
Gold Price: Gold is currently in the spotlight as international trade tensions show no signs of easing.
U.S. Dollar Index (DXY): The strength of the U.S. dollar, a key indicator that has relative correlations with most asset classes.
VN30: Vietnam’s benchmark stock index, representing the top 30 leading listed companies.
VNREAL: The stock index tracking Vietnam’s real estate–related companies.
Hanoi Residential Property Prices: Apartment and landed house prices in Hanoi, compiled and aggregated by **VietRealty.Pro**
Development in progress..
Edo Sentiment MapEdo Sentiment Map is a contextual analysis indicator designed to evaluate the internal state of the market based on price behavior, movement intensity and degree of extension.
This indicator does NOT:
• Generate buy or sell signals
• Provide entries or exits
• Predict future price direction
• Automate trading decisions
Its purpose is to describe the current market state, not to indicate what action to take.
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CORE IDEA
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Market movements do not evolve uniformly. There are phases in which price advances in an efficient and balanced manner, and others in which the movement becomes excessive, fragile or vulnerable to behavioral shifts.
Edo Sentiment Map is designed to identify and classify these movement states using a discrete, easy-to-interpret scale.
The terms used in the indicator (such as fear, greed or euphoria) should be understood as descriptive labels commonly used in financial analysis to describe market states, not as literal measurements of human emotions.
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CALCULATION BASIS (CONCEPTUAL EXPLANATION)
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The indicator is built around an internal continuous score that evaluates how price is moving relative to its recent environment.
At a conceptual level, this score combines:
• Net price displacement relative to a prior reference point
• Movement efficiency by comparing effective progress versus volatility
• Intensity and persistence of recent behavior
• Extension filters that penalize movements excessively far from recent highs or lows
• Contextual adjustments that smooth isolated readings and reduce unsustainable spikes
The objective of this process is not to forecast future price, but to describe the quality, pressure and stability of the current movement.
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STATE SCALE (-5 TO +5)
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The continuous score is classified into eleven discrete states ranging from -5 to +5.
Each level represents a market condition:
(+5) Extreme positive extension
(+4) High bullish extension
(+3) Dominant buying pressure
(+2) Stable positive movement
(+1) Weak positive pressure
(0) Neutral or balanced state
(-1) Weak negative pressure
(-2) Increasing downside risk
(-3) Dominant selling pressure
(-4) High bearish extension
(-5) Extreme negative extension
The descriptions associated with certain levels (such as “Take profits” or “Potential entry”) are contextual warnings about areas of possible excess or vulnerability in the movement, not operational instructions or trading recommendations.
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VISUAL REPRESENTATION
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The states are applied directly to price candles through a color map.
• Warm colors indicate positive pressure and bullish extension
• Cool colors indicate negative pressure and bearish extension
• Neutral colors indicate balance or indecision
Optionally, numeric labels and explanatory tooltips can be displayed to support interpretation and historical study of the indicator.
The tooltips expand upon the brief descriptions shown in the legend, providing additional contextual explanations of each numeric level and the market conditions it represents.
All visual elements should be interpreted as contextual information, not as trading signals.
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CONFIGURATION PHILOSOPHY
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The core logic of the indicator is intentionally protected.
Users can only:
• Enable or disable candle coloring
• Show or hide labels and tooltips
• Show or hide the explanatory legend
This approach ensures consistent readings and prevents configurations that could distort market state interpretation.
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FINAL NOTE
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Edo Sentiment Map is designed to describe the state of the market at any given moment, not to automate decisions or replace trader judgment.
Its function is to provide visual and structural context regarding movement pressure and extension.
Trading Ocean Forex B/S Premium🌊 TRADING OCEAN FOREX V6 - PREMIUM EDITION
The ultimate all-in-one trading companion designed for serious traders who want clean signals, multi-timeframe confluence, and institutional-level zone analysis.
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✨ KEY FEATURES
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📢 SMART BUY/SELL SIGNALS
• Proprietary signal algorithm with multiple filters
• Clean, non-cluttering signal markers (▲ ▼)
• Built-in noise reduction for quality entries
• Session-based filtering for optimal trading hours
📊 MULTI-TIMEFRAME STRUCTURE TABLE
• Real-time analysis across 4 timeframes: 15m, 30m, 1H, 4H
• Identifies market structure: Higher Highs, Higher Lows, Lower Highs, Lower Lows
• Shows trend direction for each timeframe (Bullish/Bearish/Ranging)
• Current stage detection: Impulse 🚀, Pullback 🔄, or Reversal ⚠️
• Instant bias summary showing alignment
🏦 SUPPLY & DEMAND ZONES
• Auto-detected institutional buying & selling zones
• Touch counter showing zone strength (⚡1, ⚡2, etc.)
• Smart visibility showing only nearest relevant zones
• Auto-cleanup of broken or exhausted zones
🎯 ACTION PANEL
Instant trade recommendations when signals appear:
• ✅ HIGH CONFIDENCE → Strong setup, consider taking
• ⚠️ PULLBACK ZONE → Good setup, wait for confirmation
• 🔶 MIXED SIGNALS → Risky, reduce position size
• ❌ COUNTER TREND → Against major trend, consider skipping
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🎯 HOW TO USE
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1️⃣ Wait for a BUY (▲) or SELL (▼) signal to appear
2️⃣ Check the Action Panel for instant recommendation
3️⃣ Verify confluence with the Structure Table:
• For LONGS: Look for majority bullish timeframes
• For SHORTS: Look for majority bearish timeframes
4️⃣ Note nearby Supply/Demand zones for TP/SL levels
5️⃣ Execute or skip based on overall confluence
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🟢 IDEAL LONG SETUP
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• BUY signal appears
• Action Panel: "HIGH CONFIDENCE" or "PULLBACK"
• Structure Table: 3-4 timeframes bullish
• Price at or near a Demand zone
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🔴 IDEAL SHORT SETUP
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• SELL signal appears
• Action Panel: "HIGH CONFIDENCE" or "PULLBACK"
• Structure Table: 3-4 timeframes bearish
• Price at or near a Supply zone
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⚙️ CUSTOMIZATION
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• Trading session times (Morning/Evening)
• EMA display settings
• Signal sensitivity filters
• Structure table position & visibility
• Action panel toggle
• Supply/Demand zone appearance
• Zone visibility count
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📈 BEST PRACTICES
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✅ RECOMMENDED:
• Trade in direction of 4H trend
• Wait for pullback entries when HTF aligned
• Use S/D zones for take-profit placement
• Trade during configured session hours
• Combine with your price action skills
⚠️ AVOID:
• Trading against 4H trend direction
• Entering on MIXED or COUNTER signals blindly
• Ignoring the multi-timeframe table
• Trading outside active sessions
• Over-leveraging on low-confidence setups
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💡 WORKS BEST ON
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• Forex pairs (majors & crosses)
• Crypto (BTC, ETH, etc.)
• Timeframes: 5m, 15m, 30m, 1H
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⚠️ RISK DISCLAIMER
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This indicator is a decision-support tool, not financial advice. No indicator guarantees profits. Always:
• Use proper risk management (1-2% per trade)
• Set stop losses on every trade
• Backtest before live trading
• Never risk more than you can afford to lose
Past performance does not guarantee future results.
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💬 SUPPORT & FEEDBACK
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Found this indicator helpful? Please:
⭐ Leave a like and follow for updates
💬 Comment your results and feedback
📢 Share with fellow traders
Your feedback helps improve future versions!
Happy Trading! 🌊📈🚀
HOANO [B2]Link indicator :https://t.me/hoanoalgo
The HOANO indicator is a combination with the HOANO A.I PRO indicator.
In the HOANO indicator, the HOANO A.I PRO indicator remains unchanged, including all 3 functions:
AI.1, AI.2, AI.3,
along with TP and SL labels, which are displayed to provide a clearer overall view.
In the HOANO indicator, it is different from the previous HOANO indicator.
Many features of the original HOANO indicator have been removed, leaving only:
the dashboard panel, and
the trend lines for display purposes.
👉 Note: The previous version of the HOANO indicator is still the most complete and fully featured version.
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is a special, custom-designed indicator. It is a private (invite-only) indicator, created specifically for analysis and testing purposes.
This indicator is not intended for public use and requires the author’s permission before being applied to any chart. There are no guarantees or assurances of profit. The indicator is provided “as is” and is for educational and reference purposes only.
If you wish to be granted access, please contact the author directly.
Wyckoff Shelf Analyzer - Cause & Effect ProjectionsCalculate objective breakout targets from consolidation shelves using Wyckoff's cause → effect principles with volume validation.
Overview
Calculate objective breakout targets from consolidation shelves using Wyckoff's cause → effect methodology with volume validation. This indicator helps traders establish realistic expectations BEFORE price breaks out.
The Principle
" The effect (price move) is proportional to the cause (accumulation/distribution) " - Richard D. Wyckoff
The indicator measures:
Range of consolidation (compression)
Time spent consolidating (duration)
Effort (volume confirmation)
Then projects three tiers of breakout targets in both directions.
How does it work?
1. Define your shelf
Count bars in your consolidation
Enter number in "Shelf Length (Bars)" setting
Indicator calculates high, low, and range automatically
2. Time Factor (Auto-Applied)
3-5 bars -> 1.0× multiplier
6-10 bars -> 1.25× multiplier
11-20 bars -> 1.5× multiplier
21+ bars -> 2.0× multiplier
3. Effort Validation
Volume relative to baseline average
>= 1.20 = Valid (sufficient conviction)
<= 1.20 = Invalid (warning signal)
4. Target Projections
T1 (Minimum): Range × Time Factor
T2 (Continuation): T1 × 1.6
T3 (Expansion): T1 × 2.4
How to use?
Step 1: Identify consolidation on your chart
Step 2: Count the bars from start to end
Step 3: Open settings -> Enter bar count
Step 4: Review targets and validation status
Step 5: Combine with market structure to determine direction
🎓 Best practices
For highest probability:
1. Only trade valid shelves (effort >= 1.20).
2. Confirm with market structure.
3. Use multi-timeframe alignment.
4. Focus on T1.
5. Scale out at multiple targets.
6. Let it detect on most recent bars.
7. Default settings have been backtested.
Orca Trade Pendulum Pro Orca Trade Pendulum Pro — Momentum Flip & Market Context
Orca Trade Pendulum Pro is a momentum-based oscillator designed to identify market flips near exhaustion zones and provide a clear PASS / NO PASS decision framework.
The indicator focuses on clarity and discipline, helping traders understand when a flip matters and when it should be ignored. It is built for traders who value context over noise.
Core Logic:
Momentum Flip Detection
Flips are detected after Overbought / Oversold conditions
Based on confirmed candle closes (no repaint)
Filter Pass System:
Every flip is evaluated before being considered valid
Popup clearly shows:
Filter Pass: YES / NO
Direction: LONG / SHORT
A NO PASS flip is informational only and should not be treated as a trade signal
Market Flow Context (Visual)
Built-in lower and higher timeframe flow visualization
Flow elements are contextual only and do not alter flip detection
How to Use:
Treat flips as momentum shift alerts, not automatic entries
Focus on flips with Filter Pass: YES
Use higher-timeframe structure and your own risk management
Best used as a confirmation and timing tool
Important Notes:
This script does not repaint
It does not execute trades
It is not a standalone strategy
Designed for discretionary and educational trading
Access
This script is shared through the Orca Trade community.
Access instructions are published in the Orca Trade Telegram channel.
MA ATR RangeExponencial Moving average with 3 ATR ranges. It shows trend and overbought and oversold levels.
Volume + RVOL Volume & RVOL is a clean, beginner-friendly volume toolkit designed to highlight when participation is actually above normal. It plots classic volume bars and calculates Relative Volume (RVOL) as the current volume divided by an average over a configurable lookback, making it easy to spot “real activity” versus noise. The script detects volume spikes using either simple RVOL thresholds (multi-tier intensity) or an optional Z-Score mode for statistical spikes, with an optional session filter and an option to split signals by candle direction. Spike markers are displayed in a lightweight, stable way that works even on lower timeframes, and the indicator includes ready-to-use alerts for RVOL tiers, bullish/bearish spikes, and Z-Score spikes so you can automate notifications and stay on top of high-activity moments.
Edo ControlEdo Control – Market Context, State and Coherence Indicator
Edo Control is a market context and structural analysis indicator designed to help traders evaluate the quality, stability and coherence of market conditions before considering any trading decision.
The indicator does not generate buy or sell signals, does not provide entries or exits, does not predict price direction, and does not replace risk management or trader judgment.
Its purpose is to answer a question that comes before any system or setup:
Do current market conditions justify considering a trade at all?
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GENERAL CONCEPTUAL FRAMEWORK
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Edo Control evaluates the market as a dynamic system composed of:
• Relative price position
• Strength and expansion of the movement
• Internal behavior and transitions
• Coherence across multiple timeframes
These dimensions are analyzed together and represented visually as states, not trading signals.
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CONCEPTUAL CALCULATION BASIS (HIGH LEVEL)
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The indicator combines two main families of metrics:
1) A price positioning metric based on oscillator-type logic, evaluating where price is located within its operational range and relative to an internal equilibrium level.
2) A movement strength and expansion metric based on trend-type logic, measuring whether the current movement is gaining, maintaining or losing intensity.
Both dimensions are dynamically compared and integrated into a normalized score representing the structural quality of the movement, not future direction.
This continuous score is used to classify the market into contextual states that are then displayed through candles, heatmaps and multi-timeframe panels.
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INDICATOR COMPONENTS
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1) Contextual Candles (Control Candles)
Colored candles represent internal market states, not trading signals.
Each color encodes specific combinations of:
• Structural continuation
• Momentum expansion
• Movement degradation
• Transitional phases
• Internal behavioral changes
They allow traders to visually distinguish between stable structure, weakening structure and instability zones.
They do not indicate entries or exits, do not repaint, and are calculated using confirmed data only.
2) Internal State Heatmap
The heatmap represents the intensity, acceleration and internal health of the movement, not trading triggers.
Three display modes are available:
• Multicolor: shows gradual transitions between exhaustion, balance and acceleration.
• Bicolor: summarizes relative strength based on dominant directional context.
• Hybrid: simplifies the reading into healthy or warning states.
The heatmap should be interpreted as internal pressure, balance or exhaustion, never as an entry signal.
3) Integrated Multi-Timeframe Analysis
Edo Control applies the same conceptual framework across multiple timeframes simultaneously.
Each timeframe is represented by a normalized value, typically on a 0 to 1 scale, reflecting the structural quality of the movement on that timeframe.
These values allow traders to assess:
• Timeframe alignment
• Contextual conflicts
• Progressive transitions
• Structural slope and evolution
The goal is to avoid trading against dominant higher-timeframe conditions and to understand the broader market context before executing on lower timeframes.
4) Trading Profiles
The indicator includes predefined profiles for:
• Scalping
• Intraday trading
• Swing trading
• Long-term / position trading
Each profile internally adapts the multi-timeframe structure and contextual sensitivity to the selected trading horizon, without manual optimization or curve fitting.
5) Learning Mode
Edo Control includes an optional learning mode designed to support historical and educational analysis.
This mode allows users to:
• Visualize past states
• Display explanatory labels
• Enable descriptive tooltips
• Study contextual evolution across different market conditions
It can be enabled or disabled freely and does not alter the indicator’s core logic.
6) Modular System and Configuration
All visual components can be enabled or disabled independently:
• Contextual candles
• Heatmap
• Multi-timeframe panels
• Legends and guides
• Learning mode
Users may adjust visual parameters such as opacity, size and layout, while the core logic remains protected to ensure consistent readings and prevent misconfiguration.
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PROTECTED CODE AND JUSTIFICATION
────────────────────────
Edo Control is a closed-source indicator.
Code protection is required because its value lies in:
• The specific combination of metrics
• The normalization system
• The state classification logic
• Multi-timeframe coherence
• The resulting contextual interpretation
This description provides all necessary conceptual information to understand what the indicator does and how it should be interpreted, without exposing implementation details.
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FINAL NOTES
────────────────────────
• Edo Control does not issue trading signals
• No alerts are generated
• It does not replace risk management
• It is designed as a contextual and market quality pre-filter
Use Edo Control to decide WHEN to trade, not HOW to trade.
The final trading decision always remains with the trader.
JD Box Pro - Pivot Editionကျွန်တော် JD Moon ပါ၊
ဒီ Box with Pivot levels Indicator က Intraday Trader တွေအတွက် အချိန်ကုန်သက်သာအောင် တကူးတက ဆွဲစရာမလိုအောင် Price Action သမားတွေအတွက် အသုံးလိုတဲ့အရာမို့ ဖန်တီးထားတာပါ၊ အရမ်း ရိုးရှင်းပြီး အရမ်း အသုံးဝင်ပါတယ်။ တစ်ရက်အတွင်း စျေးနှုန်းအရွေ့ကို စောင့်ကြည့်ဖို့ပါ။ အထူးသဖြင့်ကျွန်တော့်အတွက် ဖန်တီးထားတာဖြစ်ပြီး လိုအပ်သူတွေ ကျွန်တော့်လို Chart တိုင်းမှာ လှိုင်းဆွဲဖို့ ငပျင်းလေးတွေ ယူသုံးနိုင်ပါတယ်။
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.
JD Box Proကျွန်တော် JD Moon ပါ၊
ဒီ Box Indicator က Intraday Trader တွေအတွက် အချိန်ကုန်သက်သာအောင် တကူးတက ဆွဲစရာမလိုအောင် Price Action သမားတွေအတွက် အသုံးလိုတဲ့အရာမို့ ဖန်တီးထားတာပါ၊ အရမ်း ရိုးရှင်းပြီး အရမ်း အသုံးဝင်ပါတယ်။ တစ်ရက်အတွင်း စျေးနှုန်းအရွေ့ကို စောင့်ကြည့်ဖို့ပါ။ အထူးသဖြင့်ကျွန်တော့်အတွက် ဖန်တီးထားတာဖြစ်ပြီး လိုအပ်သူတွေ ကျွန်တော့်လို Chart တိုင်းမှာ လှိုင်းဆွဲဖို့ ငပျင်းလေးတွေ ယူသုံးနိုင်ပါတယ်။
MACD by EVMACD is a clean, beginner-friendly MACD built for fast momentum reading without clutter. It plots the MACD line, signal line, and a histogram that can be color-coded by momentum strength (rising vs falling) to make trend shifts obvious at a glance. An optional trend regime highlight marks when MACD is above or below zero, and simple markers can be enabled for MACD/Signal crosses, zero-line crosses, or both. The script also includes ready-to-use alerts for every cross type so you can automate notifications and catch momentum changes in real time.
Trading Ocean Forex V6 - Premium🌊 TRADING OCEAN FOREX V6 - PREMIUM EDITION (BTCUSD/XAUUSD)
The ultimate all-in-one trading companion designed for serious traders who want clean signals, multi-timeframe confluence, and institutional-level zone analysis.
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✨ KEY FEATURES
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📢 SMART BUY/SELL SIGNALS
• Proprietary signal algorithm with multiple filters
• Clean, non-cluttering signal markers (▲ ▼)
• Built-in noise reduction for quality entries
• Session-based filtering for optimal trading hours
📊 MULTI-TIMEFRAME STRUCTURE TABLE
• Real-time analysis across 4 timeframes: 15m, 30m, 1H, 4H
• Identifies market structure: Higher Highs, Higher Lows, Lower Highs, Lower Lows
• Shows trend direction for each timeframe (Bullish/Bearish/Ranging)
• Current stage detection: Impulse 🚀, Pullback 🔄, or Reversal ⚠️
• Instant bias summary showing alignment
🏦 SUPPLY & DEMAND ZONES
• Auto-detected institutional buying & selling zones
• Touch counter showing zone strength (⚡1, ⚡2, etc.)
• Smart visibility showing only nearest relevant zones
• Auto-cleanup of broken or exhausted zones
🎯 ACTION PANEL
Instant trade recommendations when signals appear:
• ✅ HIGH CONFIDENCE → Strong setup, consider taking
• ⚠️ PULLBACK ZONE → Good setup, wait for confirmation
• 🔶 MIXED SIGNALS → Risky, reduce position size
• ❌ COUNTER TREND → Against major trend, consider skipping
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🎯 HOW TO USE
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1️⃣ Wait for a BUY (▲) or SELL (▼) signal to appear
2️⃣ Check the Action Panel for instant recommendation
3️⃣ Verify confluence with the Structure Table:
• For LONGS: Look for majority bullish timeframes
• For SHORTS: Look for majority bearish timeframes
4️⃣ Note nearby Supply/Demand zones for TP/SL levels
5️⃣ Execute or skip based on overall confluence
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🟢 IDEAL LONG SETUP
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• BUY signal appears
• Action Panel: "HIGH CONFIDENCE" or "PULLBACK"
• Structure Table: 3-4 timeframes bullish
• Price at or near a Demand zone
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🔴 IDEAL SHORT SETUP
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• SELL signal appears
• Action Panel: "HIGH CONFIDENCE" or "PULLBACK"
• Structure Table: 3-4 timeframes bearish
• Price at or near a Supply zone
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⚙️ CUSTOMIZATION
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• Trading session times (Morning/Evening)
• EMA display settings
• Signal sensitivity filters
• Structure table position & visibility
• Action panel toggle
• Supply/Demand zone appearance
• Zone visibility count
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📈 BEST PRACTICES
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✅ RECOMMENDED:
• Trade in direction of 4H trend
• Wait for pullback entries when HTF aligned
• Use S/D zones for take-profit placement
• Trade during configured session hours
• Combine with your price action skills
⚠️ AVOID:
• Trading against 4H trend direction
• Entering on MIXED or COUNTER signals blindly
• Ignoring the multi-timeframe table
• Trading outside active sessions
• Over-leveraging on low-confidence setups
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💡 WORKS BEST ON
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• Forex pairs (majors & crosses)
• Crypto (BTC, ETH, etc.)
• Timeframes: 5m, 15m, 30m, 1H
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⚠️ RISK DISCLAIMER
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This indicator is a decision-support tool, not financial advice. No indicator guarantees profits. Always:
• Use proper risk management (1-2% per trade)
• Set stop losses on every trade
• Backtest before live trading
• Never risk more than you can afford to lose
Past performance does not guarantee future results.
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💬 SUPPORT & FEEDBACK
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Found this indicator helpful? Please:
⭐ Leave a like and follow for updates
💬 Comment your results and feedback
📢 Share with fellow traders
Your feedback helps improve future versions!
Happy Trading! 🌊📈🚀
JD Moon - Intraday Box Multi-Colorကျွန်တော် JD Moon ပါ၊
ဒီ Box Indicator က Intraday Trader တွေအတွက် အချိန်ကုန်သက်သာအောင် တကူးတက ဆွဲစရာမလိုအောင် Price Action သမားတွေအတွက် အသုံးလိုတဲ့အရာမို့ ဖန်တီးထားတာပါ၊ အရမ်း ရိုးရှင်းပြီး အရမ်း အသုံးဝင်ပါတယ်။ တစ်ရက်အတွင်း စျေးနှုန်းအရွေ့ကို စောင့်ကြည့်ဖို့ပါ။ အထူးသဖြင့်ကျွန်တော့်အတွက် ဖန်တီးထားတာဖြစ်ပြီး လိုအပ်သူတွေ ကျွန်တော့်လို Chart တိုင်းမှာ လှိုင်းဆွဲဖို့ ငပျင်းလေးတွေ ယူသုံးနိုင်ပါတယ်။
Bollinger Bands Bollinger Bands is a clean, beginner-friendly Bollinger Bands indicator that adds practical squeeze detection and simple breakout logic without cluttering your chart. It plots the classic upper and lower bands with an optional basis line and band fill, then detects volatility compression using a Keltner Channel squeeze (BB inside KC) with optional background shading so you can instantly spot “quiet” market phases. It also includes breakout and re-entry conditions (back inside the bands) plus ready-to-use alerts for breakouts and squeeze on/off events. An optional Live Levels mode displays the current Upper/Lower/Basis as anchored reference lines for quick decision-making.
Kijun Equilibria v3.0 [by Oberlunar]Kijun Equilibria v3.0 is an equilibrium-based indicator that builds a multi-timeframe “Kijun cloud” and adds a mean-reversion (pullback) detector on top of it. The equilibrium line can be computed using Adaptive Envelope, Ichimoku Midrange, KAMA, HMA, EMA, or SMA. The script calculates the selected equilibrium on the chart timeframe and on three additional user-selected timeframes, then uses the highest and lowest equilibrium values to form a cloud that highlights where timeframes disagree (dispersion) and where they compress into a tighter balance zone.
Directional context is summarized through a per-timeframe bias score and an aggregated consensus bias (LONG, SHORT, or NEUTRAL). Pullback (PB) conditions are evaluated with an Ornstein–Uhlenbeck model applied to the deviation between price and the equilibrium line; the script derives a z-like stretch measure and a normalized κ (kappa) strength, and can optionally adapt the z-threshold based on recent behavior.
When a stretch condition is followed by a re-entry/cross back toward the cloud or baseline, the indicator can print pullback labels and/or a graded mean-reversion background, depending on the selected visual options. The fog fills are a visual aid that shades the space between equilibrium lines across timeframes to make dispersion and compression immediately visible.
An optional Sideways module is included to explicitly detect consolidations using a composite range score (volatility compression and stability features) with entry/exit confirmations and a hard-break invalidation rule. When confirmed, the script can paint a translucent yellow band around the base equilibrium, optionally recolor candles, and optionally draw range boxes that track the active corridor.
All signals and visuals are informational only, use no future-looking data (lookahead is disabled in all security calls), and should be validated on the user’s market and timeframe with appropriate risk management.
by Oberlunar 👁★
JBCs Liquidity Vacuum ProJBC's Liquidity Vacuum Pro – The map of institutional liquidity
IMPORTANT NOTE ON RISK MANAGEMENT:
Before opening a position in a liquidity zone, we strongly recommend using our JBC's Volatility Projection Cone. The Liquidity Vacuum Pro shows you where the market may react, but only the Volatility Projection Cone validates whether this reaction is within a statistically sound range or whether the risk for your account is currently too high.
Why JBC's Liquidity Vacuum Pro?
JBC's Liquidity Vacuum Pro is a highly professional precision tool designed to visualize the invisible traces of the “big players” in the market. While conventional support and resistance indicators merely connect old price highs, our proprietary algorithm uses a complex analysis of price inefficiencies and volatility vacuums.
Read the market like an open book: The indicator identifies zones where the price has left “holes” in liquidity. These vacuums act like magnets on the price. In internal evaluations, we were able to show that price reactions in these zones are on average 60% more powerful and precise than in classic, manually drawn lines.
The indicator is suitable for all financial instruments, but has been specifically optimized for the algorithmic order flow patterns of the forex market to separate genuine institutional zones from ordinary market noise.
Advantages of JBC's Liquidity Vacuum Pro
Automated detection of liquidity vacuums
The algorithm continuously scans the market for inefficiencies. It automatically marks bullish and bearish vacuums on the chart, so you never have to wonder where the next big orders are.
Smart mitigation logic
Unique to JBC's Liquidity Vacuum Pro is its ability to recognize when a zone is “consumed” (mitigated). Once the price has filled a vacuum by a certain percentage, the zone adjusts or disappears. This prevents you from trading outdated levels that no longer have any power.
Adaptation to any time frame
Whether M1 or Daily, the integrated “Auto Timeframe Settings” function automatically adjusts the sensitivity of the vacuum detection to the selected time unit. You get precise scalping zones on M1 and major institutional turning points on H4.
Future projection for strategic planning
The indicator projects the vacuums into the future (Future Projection) so that you can place your take-profit targets exactly where the market will next need to replenish liquidity.
Who is this indicator suitable for?
● The ambitious beginner: You want to stop entering at random points on the chart and instead trade where the pros have their orders.
● The professional price action trader: You need a tool that calculates supply & demand zones objectively and without human error.
● The forex specialist: You know that the foreign exchange market is driven by liquidity and need a “roadmap” for your daily sessions.
● The institutional trader: For anyone who understands that price always moves from one liquidity pool to the next.
The professional ecosystem (Extensions)
Liquidity Vacuum Pro is your map, but for a safe journey you need the entire JBC system:
1. JBC's Hybrid Trend-Persistent Kalman (HTPK): Use HTPK to determine the trend and Liquidity Vacuum Pro to find the targets (vacuum) within that trend.
2. JBC's Adaptive Stochastic: Timing is everything. Wait for a stochastic signal just as the price enters a “liquidity vacuum.”
3. JBC's Volatility Projection Cone: Use the cone for mathematical risk management at each liquidity zone.
Basic functional concepts
● Inefficiency analysis: Identification of price ranges with low trading volume that must be filled later (Fair Value Gaps (FVG)).
● Dynamic mitigation: Zones are devalued as soon as the price has passed through them sufficiently (threshold logic).
● Visual excellence: Clear boxes with customizable transparency and labels that do not clutter the chart.
● No repainting: Once detected, vacuums are historically correct and serve for seamless analysis.
Indicator Settings
● Use Auto Settings: Activates intelligent time unit adjustment.
● Min Vacuum Size %: Controls how large an inefficiency must be to be considered a vacuum.
● Mitigation Threshold: Determines the percentage of filling at which a zone is considered “done.”
● Box Transparency: Customize the design to perfectly match your template.
RISK NOTICE & DISCLAIMER (IMPORTANT)
No trading recommendation: All data generated by the indicator is for educational purposes only. This is not investment advice. All trading is at your own risk.
Disclaimer: We accept no liability for losses. Losses are normal in trading. Only trade with capital that you can afford to lose entirely.
Not designed as a standalone system: This indicator is an analysis tool and must be combined with a strategy and strict risk management.
CFTC RULE 4.41 – Hypothetical Performance:
Hypothetical results have limitations. Simulated results do not correspond to actual trading. Backtest results are no guarantee of future profits. “Backtest performances don't matter” – Success in liquidity zones requires discipline and experience in the live market.
JBCs Hybrid Trend-Persistent Kalman (HTPK) JBC's Hybrid Trend-Persistent Kalman (HTPK) – The precision of trend following
IMPORTANT NOTE ON RISK MANAGEMENT: Before opening a trend position, we strongly recommend using our JBC's Volatility Projection Cone. While JBC's HTPK shows you the direction and stability of the trend, JBC's Volatility Projection Cone is essential for mathematically limiting your risk and planning for volatility spikes.
Why JBC's Hybrid Trend-Persistent Kalman (HTPK)?
JBC's HTPK indicator is based on a highly efficient, proprietary hybrid algorithm that combines the mathematical elegance of the Kalman filter with modern trend persistence logic. Conventional moving averages (SMA/EMA) suffer from a massive lag – they often only indicate the trend once most of the movement is already over.
The decisive time advantage: thanks to adaptive noise reduction and the predictive nature of the Kalman filter, JBC's HTPK allows you to enter and exit trends 3 to 5 bars faster on average than with a normal moving average. In the world of trading, this head start often means the difference between a profitable trade and entering at the absolute peak.
The indicator is suitable for all assets, but has been specially optimized for the persistent trend phases of the forex market to protect traders from the typical “late starters” of classic indicators.
Advantages of JBC's Hybrid Trend-Persistent Kalman (HTPK)
Response speed without noise
Where normal averages either react too slowly or give a false reversal signal with every small correction, the HTPK remains stable. It mathematically distinguishes between market noise and a real trend reversal.
Early trend detection
Thanks to its hybrid logic, the HTPK identifies trend changes as soon as they emerge. The advantage of 3-5 bars allows you to open positions while other traders are still waiting for confirmation from outdated indicators.
Precise exit management
A trend follower is only as good as its exit. Since JBC's HTPK reacts more quickly to momentum losses, it protects your accumulated profits by taking you out of the market in time before the profit is eroded by a correction.
Intelligent trend color visualization
No more guessing: the intuitive color coding directly in the chart shows you the current status of the trend immediately. Green for bullish dominance, red for bearish dominance – clear, precise, and without delay.
Basic functional concepts of JBC's HTPK
The main purpose of the indicator is to extract the “true” price trend from market noise. While classic indicators (such as the moving average) merely average historical data, JBC's HTPK uses a predictive mathematical model.
● Lag elimination: By continuously calculating price acceleration, the algorithm detects changes in direction as they emerge. This allows traders to react to trend reversals 3 to 5 bars earlier on average.
● Adaptive noise reduction: The indicator distinguishes between short-term volatility spikes (noise) and structural market changes. It “smooths” the chart without sacrificing reaction time.
● Trend persistence logic: Once a trend is confirmed, the trend line remains stable until a significant change in momentum occurs. This prevents signals from jumping nervously back and forth during sideways phases.
● No repainting: As with all JBC products, a signal is final after the bar closes and is not changed retrospectively.
Indicator settings
To keep operation as simple as possible, the highly complex Kalman calculations are summarized in a few intuitive variables:
Main settings:
1. Adaptive sensitivity (HTPK-Alpha): The central setting for the reaction speed. Higher values make the indicator extremely fast for scalping, while lower values ensure maximum smoothing in swing trading.
2. Trend persistence filter: Controls how stable the trend is displayed. This filter ensures that you can exit a weakening trend 3-5 bars faster.
3. Forex optimization mode: A special algorithm that takes into account the typical volatility cycles of currency pairs.
4. Analysis depth (bars): Determines how far back the historical calculation goes to calibrate the adaptive logic.
Who is this indicator suitable for?
● The ambitious beginner: You are looking for a clear directional indicator that does not only react once the movement has already run its course.
● The professional trend trader: You need a mathematically sound basis that eliminates the inherent “lag” of classic indicators.
● The forex specialist: You use the typical trend characteristics of currency pairs and need a tool that keeps up with the speed of the foreign exchange market.
● The scalper & day trader: With the time advantage of multiple bars, this tool is ideal for short time frames where every second counts.
The professional ecosystem (extensions)
JBC's HTPK forms the foundation, but should be used in combination with other tools:
5. JBC's Adaptive Stochastic: The perfect tool for timing your entries within the trend specified by the HTPK.
6. JBC's Liquidity Vacuum Pro: Identify target areas and institutional barriers that the HTPK trend is heading towards.
7. JBC's Volatility Projection Cone: Your tool for professional risk and position management.
RISK NOTICE & DISCLAIMER (IMPORTANT)
No trading recommendation: All signals generated by the indicator are for educational and analytical purposes only. This is not investment advice. All trading is at your own risk.
Disclaimer: We accept no liability for losses. Trading involves significant risks of loss. Only trade with capital you can afford to lose.
Not designed as a standalone system: This indicator should always be combined with other tools and strict risk management.
CFTC RULE 4.41 – Hypothetical Performance:
Hypothetical results have inherent limitations. Unlike actual trading records, simulated results do not reflect actual trading. Backtest results are not a guarantee of future profits. “Backtest performances don't matter” for the real future – what matters is your discipline in the live market.






















