Renko Power Trend + Wick Finder ZonesThis indicator combines dual Renko trend confirmation with wick-based supply and demand zones to identify high-probability buy and sell opportunities.
It is designed to:
Trade only strong trends
Avoid choppy / sideways markets
Highlight key support and resistance zones
Provide clear entry, exit, and trend context
Indicadores y estrategias
Thuan_Ultimate Pro Max🚀 ULTIMATE PRO MAX: The All-In-One Trading Toolkit
Are you facing these problems?
❌ Limited number of indicators allowed on your TradingView account?
❌ Messy charts due to running 4-5 different indicators at once?
❌ Missing entries because you have to manually analyze Structure, FVGs, and Fibs?
Ultimate Pro Max is your comprehensive solution. This is not just an indicator; it is a Complete Trading System that combines the 5 most powerful technical analysis methods into a single, optimized script.
💎 KEY FEATURES (5-IN-1)
This script integrates institutional-grade tools into one interface:
1. 🧠 Smart Money Concepts (SMC) & Volume Order Blocks
Market Structure: Automatically identifies Swing Highs/Lows and draws Break of Structure (BOS) and Change of Character (CHoCH) lines.
Volume Order Blocks (NEW): Unlike standard scripts, this includes a Volume Filter. Only Order Blocks with significant institutional volume (e.g., 1.5x - 2x the average) are highlighted with a bold border and data labels. This helps you find true "Smart Money" footprints.
2. 🛡️ S&R Power Channel (ChartPrime Style)
Identifies Strong Support & Resistance zones based on historical data.
Buy/Sell Power: Displays the calculated buying vs. selling pressure within key zones.
Breakout Signals (◈): A diamond icon appears when price reacts to or breaks a critical level.
3. 🌊 Mean Reversion Channel (MRC)
Uses the SuperSmoother algorithm to generate a lag-free price channel.
Gradient Clouds: Visually displays Overbought/Oversold zones. When price touches the dark red cloud (Outer Band), the probability of a mean reversion is high.
4. 📐 DGT Auto Fibs & ZigZag
Automatically draws Fibonacci Retracements based on the most recent ZigZag structure.
Volatility Alerts (⚡): Displays a lightning icon when abnormal market volatility is detected, helping you avoid liquidity sweeps.
5. 💧 FVG & Inversion FVG (iFVG)
Automatically detects Fair Value Gaps (Imbalance).
Inversion FVG (Exclusive): Detects when an FVG is violated and flips its role (e.g., Support turns into Resistance). This is a powerful Price Action setup
⚙️ SETTINGS & CUSTOMIZATION
The source code is FULLY UNLOCKED. You can customize every parameter in the Settings menu:
Group SMC: Toggle structure, adjust Volume Threshold for Order Blocks.
Group S&R: Adjust the length and extension of S&R zones.
Group MRC: Customize the Width (Multiplier) of the channel to fit specific pairs/coins.
Group DGT Fibs: Select which Fibonacci levels to display (0.5, 0.618, 1.618...).
Group FVG: Adjust the Transparency/Opacity of the gap boxes.
💡 STRATEGY EXAMPLE (CONFLUENCE)
The real power lies in Confluence:
✅ Short Setup: Price hits S&R Resistance + touches MRC Upper Band + forms a Bearish OB (High Volume).
✅ Long Setup: Price retraces to the Golden Pocket (0.5 - 0.618) + fills an FVG + forms a Bullish CHoCH.
⚠️ NOTES
The code is optimized for performance and Does Not Repaint.
Suitable for all timeframes (Scalping M5/M15 or Swing H4/D1).
🔥 Please hit BOOST 🚀 and FOLLOW if you find this tool useful! Happy Trading!
CG limit 3This indicator is designed to assist traders in identifying potential limit entry zones along with confirmation signals based on price behavior and technical conditions. It highlights areas where price may react, helping traders plan entries with a structured and disciplined approach.
The indicator provides both Buy Limit and Sell Limit levels, as well as confirmation signals to improve timing and trade confidence. Users can select from four different signal options, allowing flexibility for conservative or aggressive trading styles.
All signals are generated using predefined logic based on historical price data and market structure. This indicator does not predict future price movement and should be used as a decision-support tool, not as a standalone system.
Key features include multi-timeframe compatibility, customizable signal options, and broad market support including Forex, Crypto, Indices, and Stocks. It is suitable for scalping, day trading, and swing trading when combined with proper risk management.
⚠️ This indicator is intended for educational and analytical purposes only and does not provide financial advice. Trading involves risk, and users are responsible for their own trading decisions.
🟢 Why this will FIX the error
✔️ Description long enough
✔️ Explains what indicator does
✔️ Explains signals (4 options)
✔️ No banned words
✔️ TradingView House Rules compliant
📝 Final Checklist (Before clicking Publish)
✅ Description pasted
✅ Category selected
✅ “I swear to abide by House Rules” ticked
✅ Own chart layout used
✅ Publish Private / Protected (NOT public)
TRENDSNIPER(4ZONES)[NETSGAIN]
TRENDSNIPER(4ZONES)
TrendSniper(4zones) is a structured trend-context indicator designed to help traders identify where meaningful opportunity exists — and where it does not.
Rather than forecasting price or forcing entries, TrendSniper focuses on market conditions, visually separating trending environments from neutral or overextended states. This framework allows traders to operate with clarity, patience, and consistency — especially in volatile markets.
The indicator is built to reduce decision pressure and emotional interference by clearly defining zones of trend alignment, neutrality, and risk-elevated extension.
Markets do not offer opportunity at all times.
TrendSniper’s purpose is to filter the market into four distinct behavioral zones, allowing traders to align their actions with the prevailing context instead of reacting impulsively to short-term price movement.
The indicator is non-repainting and fully rule-based.
🟦 Bullish Trend Zone (Blue)
Market structure is aligned to the upside
Trend conditions favor long continuation
Designed to support trend participation, not prediction
🟥 Bearish Trend Zone (Red)
Market structure is aligned to the downside
Trend conditions favor short continuation
Highlights bearish control rather than entry timing
⬜ Neutral Zone (Gray)
No structural edge present
Trend alignment is unclear or transitioning
Often a zone for risk management, trade review, or standing aside
🟨 Overextended Zone (Yellow)
Price has moved significantly relative to recent volatility
Trend may still exist, but risk is elevated
Intended as a cautionary state rather than a hard prohibition
TrendSniper includes a single adjustable parameter:
Overextension Filter
This setting controls how strictly extended moves are filtered.
Lower values (e.g. 0.20)
→ Stricter filtering
→ Overextended zones appear more frequently
Higher values (e.g. 0.30)
→ Looser filtering
→ Overextended zones appear less frequently
This allows users to adapt the indicator to different volatility conditions and personal risk tolerance while preserving the core logic.
Primary market focus: Crypto (BTC, ETH — spot or futures)
Recommended timeframe: 4H
Can be used on other symbols and timeframes, but behavior is optimized for crypto market structure
TrendSniper is best used as a context framework, not a standalone entry system.
It helps traders decide when to engage, when to manage risk, and when to wait.
TrendSniper is intentionally minimal.
It does not:
Force entries
Predict reversals
Encourage overtrading
Instead, it provides visual structure so traders can:
Stay aligned with dominant trends
Avoid low-quality conditions
Reduce FOMO-driven decisions
Focus on larger, cleaner moves
This makes the indicator suitable for both beginners and experienced traders, as it communicates market state clearly without complexity.
TrendSniper is not about speed.
It is about precision, patience, and alignment.
Trend conditions are identified first — execution decisions remain with the trader.
Trend is your friend — but only when conditions are clear.
This indicator is provided for informational and educational purposes only.
It does not constitute financial, investment, or trading advice.
All trading decisions made using this indicator are the sole responsibility of the user.
Past performance is not indicative of future results. Trading involves risk.
BK AK-2 POC🦁👑 BK AK-2 POC — THE LEDGER. THE COURT. THE RECEIPTS. 👑🦁
All glory to Gd — the only true source of wisdom, restraint, and right timing.
AK is honor — my mentor’s standard: clarity, patience, no shortcuts, no gambling.
This isn’t a “pretty overlay.” It’s jurisdiction on-chart.
Most traders read candles like gossip. This reads where business actually happened — and where price is allowed to behave next. You get the levels that matter, standardized, repeatable, and built for execution discipline.
🧠 What This Script Does
BK AK-2 POC builds Volume Profile levels for the New York RTH session and (optionally) a second Anchored Profile so you can track current value, prior value, and event-based value.
Outputs (what it plots)
RTH (current session)
POC (Point of Control) = highest-volume price level (center of business / gravity)
VAH / VAL (Value Area High/Low) = boundaries of accepted trade (jurisdiction)
Prior RTH (previous session memory)
Prior POC + Prior VAH/VAL
Optional Prior High / Prior Low rails
Anchored Profile (optional, event-based)
Anchored POC + VAH/VAL
Anchor types:
Time Anchor
Last Pivot Low Anchor
Last Pivot High Anchor
Histogram (optional)
Profile histogram visualization (configurable positioning/width)
Mode options include Total and Delta Split (if enabled in your build)
Labels (optional)
Icons/Text/Compact labels
Optional price + distance readouts (points/ticks)
🔍 How It Works (so it’s not “mystery math”)
1) Profile construction
Price range over the profile window is divided into bins (resolution).
Volume is accumulated into those bins across the bars included in the profile.
POC is the bin with maximum volume.
Value Area is built by expanding from POC outward until the selected Value Area % (commonly 70%) is reached.
2) Session logic (RTH)
Uses a defined NY RTH session string (default 09:30–16:00 America/New_York).
RTH profile updates as new bars print during the session.
Prior RTH levels represent the last completed RTH session (memory/precedent).
3) Anchored logic (event-based)
Time anchor: starts the profile at a timestamp/session point you define.
Pivot anchors: start at the most recent confirmed pivot (high or low).
Important reality: pivot anchors require confirmation (right-side bars), so the anchor won’t “teleport” on every wick. It updates only when a pivot is actually established.
4) Data / volume source
Can run on chart timeframe volume or (if your settings allow) a lower timeframe volume source for finer granularity.
You control max bars scanned to keep performance stable.
🗡️ How To Use It (Execution Rules — AK Standard)
This tool doesn’t “predict.” It tells you where you’re allowed to do business.
LAW 1 — Inside Value = Rotation Court
When price is inside VA, you’re in balance.
Rotation logic dominates. Fading extremes / targeting mean (POC) is coherent. Chasing is punishment.
LAW 2 — Outside Value = Verdict Court
Outside VA is a legal proceeding:
Hold outside VA = acceptance (new regime)
Fail back inside VA = rejection (trap → return to value)
LAW 3 — POC is Gravity, Not a Signal
POC is the concentration of agreement. Treat it like the magnet it is:
Don’t fight it blindly
Don’t worship it blindly
Use it to judge whether continuation is real or just noise
LAW 4 — Prior Levels are Contracts
Prior VA/POC are yesterday’s agreement.
A revisit is a test: respect the contract or break it and reprice.
LAW 5 — Anchored Value is the New Agreement
Anchored value tells you where the market has been building the next chapter since the turn.
That’s how you stop trading “opinions” and start trading accepted business.
⚙️ Inputs That Actually Matter
Session
Timezone (NY default)
RTH session string (default 0930–1600)
Profile Engine
Max bars scanned (performance & completeness)
Bins (resolution)
Value Area % (structure)
Snap-to-tick (precision)
Volume Source
Chart volume OR lower-timeframe volume source (if enabled)
Anchored Profile
Enable/disable anchored
Anchor type: Time / Last Pivot Low / Last Pivot High
Pivot sensitivity (left/right bars)
Display Discipline
Extend levels right (projection)
Histogram offset/width/mode
Labels: Icons/Text/Compact + distance units
✅ Practical Notes (so you don’t misread it)
Works best on instruments with reliable volume (futures/stocks; crypto varies by feed).
RTH logic is built for NY session behavior — if you trade 24/7 markets, use session settings intentionally.
Pivot-anchored profiles are confirmed anchors, not “every wiggle.” That’s the point: fewer lies.
👑 Joseph’s Lens — Pit → Prison → Viceroy (Dreams Turned Into Governance)
Joseph didn’t become viceroy because he “called direction.” He became viceroy because he did something rarer: he translated revelation into an operating system.
Pharaoh had the dream. Joseph delivered the edge: interpretation + structure + timing. He didn’t stop at “what will happen.” He immediately moved to what must be built so the nation survives it: storehouses, measurements, release protocol, and discipline under pressure. That’s why authority was placed on him — because he could govern reality, not react to it.
Joseph’s Viceroy Blueprint is exactly what this indicator enforces:
The Dream = the market’s story. The Ledger = the market’s proof. You don’t trade candles. You trade where business proved acceptance.
Storehouses = where the grain actually accumulates (POC). POC is where the crowd paid rent — undeniable commitment.
Granary walls = boundaries separating order from panic (VAH/VAL). Inside value is order; outside value is regime-change territory where acceptance/rejection decides outcomes.
The ring = permission to execute, not permission to improvise. Joseph released grain on timing, not emotion. Same here: acceptance grants permission; rejection demands stand-down.
Viceroy mindset: second in rank, first in discipline. Measure first. Act only when the record is established.
ZENITH: Joseph built the infrastructure that made the crisis survivable.
BK AK-2 POC is that same law on-chart: value is the inventory, POC is the storehouse, VA is the boundary, and execution only happens when proof grants permission.
🙏 Respect
Respect to AK — the standard behind the discipline.
All glory to Gd — the source of wisdom and endurance.
🦁👑 BK AK-2 POC — mapped like a viceroy… executed like a lion. 👑🦁
alfaza candleblue candle
it shows the candle in blue color that comply with the conditions of high volume more than 4 pervious candles and it comes after price drop
Alfaza candlepower of candle
it shows the candle that has large volume the 4 previous candles and the candle comes after price drop
[Invite-Only] HHFF1B Hybrid Trend Strategy Overview The HHFF1B Hybrid Trend Strategy is an asymmetric trend-following system designed to capture high-probability breakouts while filtering out false signals in choppy markets. Unlike traditional symmetrical strategies, this script applies distinct logic for Long and Short entries to adapt to different market behaviors.
Core Logic
1. Asymmetric Entry Conditions The strategy differentiates between bullish trends and bearish breakdowns:
Long Entry (Trend Confirmation): Focuses on stability. A position is opened only when the price breaks above the Bollinger Band Upper Rail, confirmed by the Parabolic SAR, and is trading above key Long-Term EMAs (100 & 200). An RSI filter (30-70) is applied to avoid buying at extreme overbought levels.
Short Entry (Volatility Explosion): Focuses on momentum. Short entries require high volatility confirmed by ADX (Average Directional Index) and DMI. It looks for a "Bollinger Band Squeeze" release combined with a breakdown below the Lower Rail.
2. Risk Management & Profit Protection This is not a "fire and forget" system. It includes active trade management:
Dynamic Stop Loss: Initial stops are set based on percentage risk, but the strategy includes a "Breakeven Trigger." Once the trade moves favorably by a specific percentage (0.6% for Longs, 0.8% for Shorts), the stop moves to the entry price to protect capital.
Guard Exit Mechanism: A specialized logic that monitors the Parabolic SAR. If the trade is in profit (>0.45%) but the SAR signals a potential reversal, the strategy exits early to lock in gains before the trend collapses.
Trailing Stop: Uses ATR-based trailing stops to let winning trades run while the trend persists.
Settings & Customization Users can adjust risk per trade, lookback periods, and specific ADX thresholds to fit different assets (Crypto, Forex, or Stocks).
Disclaimer This strategy is for educational and analytical purposes only. Past performance does not guarantee future results. Trading involves significant risk.
Access This is an Invite-Only script.
To gain access, please check the links in my Signature below or send me a Private Message.
概述 HHFF1B 混合趋势策略 是一套非对称的趋势跟踪系统,旨在捕捉高概率的突破行情,同时在震荡市场中过滤虚假信号。与传统的对称策略不同,本脚本针对“做多”和“做空”采用了完全不同的底层逻辑,以适应市场上涨缓和与下跌急促的不同特性。
核心逻辑
1. 非对称入场机制
多头入场 (Long): 侧重于趋势确认。仅当价格突破布林带上轨,且同时满足抛物线 SAR 指标翻转、位于长周期均线(EMA 100 & 200)之上时才会触发。同时引入 RSI 过滤器(30-70区间),避免在极端超买区域追高。
空头入场 (Short): 侧重于爆发力。空头信号需要高波动率支持,通过 ADX (平均趋向指标) 和 DMI 进行筛选。策略会寻找“布林带挤压 (Squeeze)”后的向下爆发点,确保在动能最强时介入。
2. 动态风控与利润卫士 本策略包含主动的仓位管理机制,而非简单的固定止盈止损:
保本机制 (Breakeven): 当浮盈达到一定比例(多头0.6%,空头0.8%)时,止损线自动上移至开仓价,实现“无风险”持仓。
SAR 反转保护 (Guard Exit): 这是一个特殊的保护逻辑。如果当前持仓已有微利(>0.45%)但 SAR 指标显示短期反转信号,策略会立即离场,防止利润回撤。
ATR 移动止盈: 使用基于 ATR 的追踪止损,在趋势延续时让利润奔跑。
设置与自定义 用户可以根据不同的交易品种(加密货币、外汇或股票)调整每笔风险、布林带周期以及 ADX 阈值等参数。
免责声明 本脚本仅供学习和辅助分析使用。历史回测数据不代表未来表现。交易有风险,入市需谨慎。
如何获取 这是一个“仅限邀请 (Invite-Only)”的脚本。
如需申请访问权限,请查看下方我的 个人签名 (Signature) 或直接 私信 (Private Message) 联系我。
ATR% Multiple From 50SMA - 20 PeriodThis is an ATR% Multiple from the 50SMA indicator, but it uses a 20 period input rather than 14 days, like most of the ATR% indicators on here.
Volumatic VIDYA Strategy [Modified by running]This strategy involves a modification of the Volumatic VIDYA indicator originally created by @BigBeluga. All credit for the underlying calculation logic goes to the original author.
Original Script:
Changes & Strategy Logic: I have converted the indicator into a backtestable strategy with the following additions:
Trend Entry: Enters Long/Short based on VIDYA trend direction.
EMA Filter: Added a customizable EMA (default 200) filter. Longs are only taken above EMA, Shorts below EMA.
Delta Volume Filter: Enters only when the Delta Volume exceeds a specific absolute threshold (default 30%) to ensure momentum.
Risk Management (New): Implemented a position sizing logic based on risk percentage. The strategy calculates the distance between the entry price and the VIDYA line (stop loss level) and adjusts the position size to risk a fixed % of equity (default 2%) per trade.
License: This code is licensed under CC BY-NC-SA 4.0, same as the original work.
Smart Money Flow [Algo] V8.8I developed this system because I believe retail traders ("The Little Guys") deserve the same quality of data and risk management tools as institutional desks.
This script is the result of years of refining specific reversal patterns and capital flow logic. Version 8.9 introduces the High-Precision PCD Filter, which is a game-changer for avoiding false breakouts.
If you find this tool helpful, please leave a generic Like (👍) and drop a comment! It helps the community grow.
Index Quant Master: Volatility & Structure [Auto-Adaptive]This indicator is a comprehensive institutional-grade toolkit designed for high-precision intraday trading across major US Indices (SPX, NDX, RUT). It synthesizes Option Market Volatility, Auction Market Theory, and Algorithmic Structures into a clean, clutter-free overlay.
Designed for professional traders, this suite features a Universal Auto-Router that adapts its logic to the asset you are trading.
## Key Features & Logic:
1. Dynamic Implied Volatility Mapping (Auto-Router)
* Instead of static technicals, this module calculates statistical expected moves based on Dealer Gamma Exposure.
* Auto-Adaptive: Automatically detects the underlying asset and maps it to the correct Volatility Index:
* SPX / ES / SPY $\rightarrow$ VIX / VIX1D
* NDX / NQ / QQQ $\rightarrow$ VXN
* RUT / IWM $\rightarrow$ RVX
* Significance: These levels represent the 1-standard-deviation daily expected range.
2. Auction Market Structure (Smart Volume Profile)
* Exclusive Optimization: The Volume Profile engine is strictly optimized for major indices (SPX, NDX, ES, NQ) to ensure high-fidelity calculation of POC and Value Areas.
* Auto-Disable: To maintain performance, VP logic is automatically disabled on ETFs (SPY, QQQ) or lower-volume tickers.
* HVN/LVN: Identifies High Volume Nodes (Magnets) and Low Volume Nodes (Acceleration Zones).
3. Algorithmic Retracements & Pivots
* Plots standard Daily/Weekly Pivots and Fibonacci retracements derived from the prior session's volatility range.
* These levels serve as "Schelling Points" (consensus zones) for HFT algorithms.
4. Smart Visualization Engine
* Proximity Activation: Levels remain hidden to reduce cognitive load, only appearing when price approaches the zone (Watermark Logic).
* Adaptive Label Merging: To prevent visual clutter, overlapping levels automatically merge into a single cluster based on a dynamic percentage threshold ($0.05\%$), ensuring readability across different price scales (e.g., SPX vs. QQQ).
Usage:This tool is the ultimate overlay for S&P 500, Nasdaq 100, and Russell 2000 traders who rely on data-driven structural levels rather than lagging indicators.
GHOST | Market Sessions Ranges MTF👻 GHOST | Market Sessions Ranges MTF
Master Time and Price with Ghost-Level Precision
Stop cluttering your charts with old, irrelevant levels. GHOST is a professional-grade tool designed for traders who prioritize institutional liquidity and crystal-clear price action.
This isn't just a level-drawer; it’s a dynamic liquidity manager that understands when and where price matters.
💎 Why GHOST is a Game Changer:
⚡ Smart Mitigation: Lines automatically disappear ("ghosting") as soon as price taps them. You only see the fresh liquidity that hasn't been mitigated yet.
🕒 Pro Session Filtering: Sync your levels with specific trading windows (London, New York, Asia). Colors and ranges adapt to the exact time you trade.
📊 True MTF Power: Monitor Daily, Weekly, and Monthly Highs and Lows (PDH/L, PWH/L, PMH/L) independently.
🎨 Minimalist "Ghost" Aesthetic: Say goodbye to lines crossing your entire screen. GHOST uses short, dashed lines with right-aligned labels and adjustable forward projection, keeping your "candle field" clean.
🛠️ Key Features & Customization:
✅ Dynamic Length: You control where the line starts and how far it projects into the future.
✅ One-Click Visibility: Toggle Daily, Weekly, or Monthly levels on/off instantly via the settings panel.
✅ 100% Free: A premium-quality tool shared openly with the global trading community.
💎 Key Features:
⚡ Smart Mitigation: Lines "ghost" away automatically once price taps them, keeping your chart focused on fresh liquidity.
🕒 Session Confluence: Sync your ranges with specific time zones (NY, London, Tokyo) to find the perfect trade window.
🎨 Clean Aesthetic: Labels are perfectly aligned to the right, ensuring your price action reading is never obstructed.
Autor : The ghost of trading 👻
Shadow Corp's MNQ Stop & Size HUD## MNQ Stop & Size HUD
### What It Does
This indicator tells you exactly how wide your stop-loss needs to be—and how many contracts to trade—based on real-time market volatility and your intended hold time.
No more guessing. No more getting wicked out by noise right before price moves your way.
---
### The Problem It Solves
You take a trade with a solid thesis. Price moves against you temporarily, tags your stop, then immediately rips in your original direction. Sound familiar?
This happens because most traders set stops based on arbitrary levels or fixed point values—not on what the market is actually doing right now.
This indicator uses proprietary volatility modeling calibrated on extensive MNQ tick data to calculate the stop distance that gives you the best chance of staying in your trade while noise plays out.
---
### What You See
A clean 3-line HUD in the corner of your chart:
| HORIZON | STOP | SIZE |
|---------|------|------|
| 15m | 38 pts | 6 ctr |
| 30m | 54 pts | 4 ctr |
- **15m**: Stop size for quick scalps and impulse plays
- **30m**: Stop size for rotations to the next level
- **SIZE**: Max contracts based on your risk budget
Updates every bar based on current conditions.
---
### How It Works
The indicator analyzes multiple layers of volatility:
1. **Real-time noise** — What's happening right now, bar by bar
2. **Recent baseline** — Yesterday's typical price action
3. **Historical context** — Multi-week behavioral patterns
4. **Daily regime detection** — Whether today is running hot, normal, or quiet
These inputs feed a proprietary model that outputs the stop distance calibrated to your chosen survival probability (70%, 80%, 90%, or 95%).
Higher survival % = wider stops = fewer noise stop-outs.
---
### How To Apply It
**Before you enter:**
1. Decide your hold time—15 minutes (scalp) or 30 minutes (rotation)
2. Look at the corresponding stop size
3. Use the **larger** of the HUD stop or your technical level (structure, VAL, swing)
4. The contract count is already sized to your risk budget
**Example:**
- You're targeting a rotation to VAH, expecting ~30 minute hold
- HUD shows 30m = 52 pts, 4 contracts
- Your technical stop (below the swing) is only 30 pts away
- Use 52 pts—because that's what the market needs to not wick you out
- 4 contracts × 52 pts × $2 = $416 risk (within your $500 budget)
**Go/No-Go Filter:**
If your target is closer than 1.5× the required stop, skip the trade. The R:R doesn't justify the risk.
---
### Requirements
- Run on **1-minute chart** (MNQ or NQ)
- Needs ~20 trading days of history to fully calibrate
- Set your risk budget in the inputs (default $500)
---
### What This Isn't
This isn't an entry signal. It doesn't tell you when to trade or which direction.
It tells you **how to structure the trade once you've decided to take it**—so you stop getting stopped out by noise on trades that would have worked.
GateKeepers - EMA Signals (v2)GateKeepers EMA v2 — Clean Trend Bias & Market Structure Framework
GateKeepers EMA v2 is a clean, rule-based EMA framework designed to define trend bias and directional context without clutter, lag, or signal spam.
This indicator is built for traders who understand that bias comes before entries. Instead of generating buy/sell signals, EMA v2 focuses on clearly showing when the market is bullish, bearish, or transitioning, so you can make better decisions with your existing execution model.
🔑 What GateKeepers EMA v2 Does
• Dynamically colors EMAs to instantly reflect bullish vs bearish market conditions
• Helps identify trend alignment, transitions, and chop
• Keeps charts clean and readable for fast decision-making
• Works seamlessly with price action, structure, momentum, and volatility tools
🎯 How to Use It
• Use EMA v2 as your directional filter (trade with the trend, not against it)
• Combine with:
• Market structure (HH/HL or LL/LH)
• Momentum confirmation (MACD, RSI, volume)
• Session and volatility filters
• Ideal for MNQ / NQ futures, intraday trading, and scalping
🚫 What This Is NOT
• Not a signal-spamming indicator
• Not a “holy grail”
• Not meant to replace risk management or execution rules
🧠 Why It Works
Professional traders don’t trade indicators—they trade context.
GateKeepers EMA v2 provides that context by keeping you aligned with the dominant trend and out of low-probability conditions.
If your charts feel noisy or your trades feel random, this tool helps bring structure and discipline back into your process.
⸻
Best used as part of a rules-based trading system.
INFO TIME BARInfo Time Bar by EternityWorld is a table-style overlay indicator that displays real-time, non-repainting information from the current chart.
Included Information
Asset ticker
Current chart timeframe
Candle countdown timer, formatted as HH:MM:SS
Key Features
✔ Fixed 3-row table for visual stability
✔ Auto-updates on the latest confirmed bar
✔ Independent enable/disable toggles per row
✔ Fully adjustable table position on chart
✔ Minimalist, clean, and functional design
Usage
This indicator is built exclusively for chart information display, without plotting signals, levels, drawings, or additional graphical elements.
Compatibility
Works on all TradingView assets that support overlay indicators, adapting automatically to any active chart timeframe.
Disclaimer ⚠️
This indicator is not financial advice nor a market-prediction tool. It solely displays current chart data. Options and derivatives trading involves risk. Use responsibly and execute based on your own trading decisions.
(CHOCH & BOS)Section: BOS ALERTS (HH / LL)
This section of the script is responsible for generating alerts based on the “Break of Structure” (BOS) in your market trend. BOS is usually a technical concept in swing trading or order flow analysis, indicating a shift in market structure:
HH (Higher High) → signals an uptrend continuation or bullish structure
LL (Lower Low) → signals a downtrend continuation or bearish structure
✅ In simple terms:
If the chart is showing an uptrend (aqua) and a Higher High is detected → you get a bullish alert.
If the chart is showing a downtrend (red) and a Lower Low is detected → you get a bearish alert.
The alerts are carefully synced with your trend background to reduce false signals.
TradeAxis TrendlinesOverview
TradeAxis Trendlines is an overlay indicator that automatically builds and maintains diagonal support/resistance trendlines from confirmed swing pivots, ranks candidates to reduce clutter, and provides optional breakout-based risk framing (TP/SL boxes) using structural stops.
This script is built as a single workflow:
Identify structurally valid trendlines
Reduce clutter by ranking/filters
Monitor/visualize breakouts with clear risk framing (disabled in Analysis Mode and on non-standard chart types)
How the trendlines are detected and filtered
1) Confirmed pivot engine (non-instant pivots)
Trendline anchors come from confirmed pivot highs/lows using user-defined Left/Right pivot strength. Because pivots require Right bars to confirm, lines are not drawn at the turning candle and will appear only after confirmation.
2) Candidate generation + structural validation
The script tests pivot-to-pivot vectors and rejects candidates that fail structural criteria, including:
Minimum line length (bars between anchors)
Slope filtering with two modes:
Absolute slope bounds (price-per-bar)
ATR-relative slope bounds (thresholds scaled by ATR)
Body-intersection rejection : candidates are filtered out if candle bodies repeatedly cut through the line beyond a tolerance
Opposite-side invalidation gate : candidates can be rejected/disabled when price closes (or evaluates by Mid-body/Body mode) beyond the “wrong side” of the line, to avoid keeping lines that are already invalidated by structure
3) Touch counting + scoring (clutter control)
Valid candidates are ranked using a weighted score that prioritizes:
Number of valid touches
Recency of the last touch
Line span
By default, the script plots both the primary and secondary (“2nd best”) support and resistance lines; you can disable the secondary set if you prefer a cleaner chart.
4) Dynamic cleanup behavior
Trendlines are continuously refreshed as new pivots confirm. Lines that are decisively broken and then reclaimed can be removed to prevent stale structure from lingering on the chart.
Optional modules
A) Safety lines (structural stop references)
When enabled, the script calculates additional diagonal “safety” lines from a separate pivot stream and selects the best safety reference near the active structure. These safety lines are used as structural candidates for Stop Loss placement in the breakout framing module.
B) Higher-timeframe (HTF) overlays
When enabled, the script runs its trendline detection logic on a user-selected higher timeframe using `request.security()` with lookahead disabled, and overlays the HTF support/resistance onto the current chart. HTF lines are plotted using time-based coordinates and can update as HTF bars confirm.
C) Breakout + Risk/Reward visualization (optional)
When enabled (and on standard charts), the script can flag breakouts and draw a risk/reward box:
Breakout trigger: candle-body confirmation through the trendline plus a user-selected ATR-based buffer.
Buffer Mode can be set to ATR (buffer = ATR × multiplier) or None (no buffer).
Optional filters:
Wick filter (rejects candles with excessive upper/lower wick percentage)
Time windows (inputs are labeled in UTC+4) with optional overnight restrictions and specific block windows
Minimum breakout body size (ticks)
Stop Loss / Take Profit framing
Stop selection is structural-first. The script prioritizes the active safety line (when available), otherwise it falls back to recent swing structure (recent swing high/low candidates) and the best available structural reference.
Entries can be skipped if risk constraints are violated, including:
Min SL Size (ticks)
Max Allowed SL (×ATR)
Take Profit is projected from the actual stop distance using the selected Risk/Reward Target.
Important notes about the position tools
This is a visualization/alerting aid. It does not place trades.
TP/SL hit detection is bar-based (OHLC). If both TP and SL are within the same candle range, the script cannot know which occurred first.
On non-standard chart types, position tools and entry/exit alerts are disabled.
D) Analysis Mode
When Analysis Mode is enabled, the script disables the breakout/risk framing logic and focuses on technical trendlines (plus structural alerts).
Alerts
Alert conditions are available for:
Touch Support/Resistance (Primary, Secondary, or HTF)
New Support/Resistance line detected
Long/Short position tool placed (when enabled on standard charts)
A combined “Any Event” condition
Limitations / Notes
Pivot-based structure is confirmation-based and therefore delayed by the Right-bar setting.
Trendlines can change as new pivots confirm and ranking updates.
HTF overlays can visually “step” as higher-timeframe bars finalize and are mapped onto the lower timeframe.
For best results, load sufficient historical bars (zoom out) so pivot arrays and HTF structure have enough context.
Disclaimer
This tool is provided for technical analysis and educational purposes only. It does not provide financial advice, and past market behavior does not guarantee future results.
QSS v15.0 [Omni-Engine]# **QSS v15.0 | Institutional Quant System**
### **💎 The Only Indicator You Will Ever Need**
**QSS (Quantitative Signal System) v15.0** is an all-in-one algorithmic trading engine designed to solve the biggest problem in trading: **fragmentation.** Instead of cluttering your chart with 10 different indicators (RSI, MACD, Bollinger Bands, Order Blocks, SuperTrend, etc.), QSS synthesizes them all into a single, high-probability decision engine.
This is not just a "Buy/Sell" indicator. It is a complete **Institutional Trading Suite** that combines "Smart Money Concepts" (SMC) with quantitative trend analysis and dynamic risk management.
---
### **🚀 Key Features**
#### **1. Dual-Core Signal Engine**
Choose your weapon based on the asset class and volatility:
* **Engine A: SuperTrend (Classic):** The industry standard for capturing major trends. Best for Swing Trading and Stocks.
* **Engine B: OTT (Optimized Trend Tracker):** A faster, volatility-adaptive engine derived from VIDYA (Variable Index Dynamic Average). Best for Crypto and Scalping.
#### **2. Institutional Intelligence (SMC)**
* **Volumized Order Blocks (SMC):** Automatically detects Supply (Red Box) and Demand (Green Box) zones based on pivot volume.
* *Smart Filter:* The system will **BLOCK** Buy signals if price is running straight into a Bearish Order Block (Resistance).
* **Koncorde (Smart Money Flow):** Analyzes PVI (Positive Volume Index) vs. NVI (Negative Volume Index) to track "Sharks" (Institutions) vs. "Minnows" (Retail).
* *Smart Filter:* Signals are only generated if Institutional Money Flow supports the direction.
#### **3. The "Power 3" Confirmation Suite**
Includes optional filters for the classic trinity of technical analysis:
* **MACD:** Ensures momentum alignment.
* **Stochastic:** Prevents buying at overbought peaks.
* **Bollinger Bands:** Ensures trades only occur during volatility expansion (Squeeze breakout).
#### **4. Advanced Noise Filtering**
* **ADX Trend Strength:** Blocks signals during "dead" or choppy markets (ADX < 20).
* **Candle Stability Index:** Ignores "wicky" candles and indecision dojis, preventing fake-outs.
* **Trend Ribbon:** A dual-SMA cloud (21/34) that ensures you are always on the right side of the macro trend.
#### **5. Dynamic Risk Management (R:R)**
* Automatically calculates **Stop Loss** and **Take Profit** targets based on market volatility (ATR).
* **TP1 (1:1):** Secure profit / Move stops to breakeven.
* **TP2 (1:2):** Standard target.
* **TP3 (1:3):** Trend runner.
* *Visuals:* Draws clear entry, stop, and target lines on the chart when a trade is active.
#### **6. Pro Dashboard**
A dynamic panel that monitors:
* **Trend Status:** (Bullish/Bearish)
* **Market State:** (Trending/Parabolic/Ranging)
* **Smart Money:** (Accumulating/Distributing)
* **Live Trade Data:** Real-time entry price and targets when a position is open.
---
### **🛠️ Settings Guide**
**🔥 SIGNAL ENGINE**
* **Strategy Engine:** Toggle between `SuperTrend` (Safe) or `OTT` (Fast).
**🧱 ORDER BLOCK FILTER**
* **Respect Order Blocks:** If checked, the system will not Buy into Resistance or Sell into Support.
* **Show OB Zones:** Toggles the visible Red/Green boxes on the chart.
**📊 QUANT FILTERS**
* **Smart Money (Sharks):** Requires Volume data. Filters out "Retail Traps."
* **ADX (Trend Strength):** Set to `20` for standard filtering. Set to `15` for aggressive scalping.
* **Candle Stability:** Filters out candles with long wicks. Essential for volatile Altcoins.
**📈 CLASSIC INDICATORS**
* **MACD / Stoch / BB:** Enable these if you want strict confluence. (Note: Enabling all will result in fewer, but higher precision signals).
**🛡️ RISK MANAGEMENT**
* **ATR Length:** Sensitivity of the volatility calculation.
* **SL Multiplier:** Distance of Stop Loss (Default 2.0x ATR for Crypto).
* **TP Multipliers:** Adjust your Risk:Reward ratios here.
---
### **💡 How to Trade with QSS v15**
1. **The Setup:**
* Wait for a **"BUY"** or **"SELL"** label to appear.
* Ensure the **Trend Ribbon** (Cloud) matches the signal color.
* Check the **Dashboard**: Ensure "Smart Money" is in your favor (Accumulation for Buys).
2. **The Execution:**
* Enter at the **Entry Price** shown on the chart.
* Place your Stop Loss at the **Red Line**.
* Take partial profits at the **Blue Dotted Lines** (TP1/TP2).
3. **Troubleshooting (Debug Mode):**
* If you see the SuperTrend/OTT flip colors but **NO signal** appears, turn on **"🔧 Debug Mode"** in the settings.
* Grey labels will appear on the chart explaining exactly *why* the trade was rejected (e.g., "⛔ REJECTED: Hitting OB Resistance" or "⛔ REJECTED: Low ADX").
---
**Disclaimer:**
*This indicator is a tool for analysis, not financial advice. It combines multiple quantitative metrics to provide high-probability setups, but no system is 100% accurate. Always use proper risk management.*
**Credits:**
* OTT Logic based on Anıl Özekşi.
* Koncorde Logic based on Blai5.
* SMC Order Block logic adapted from FluxCharts concepts.
* Synthesized and Optimized by rayu8.
Algo_LongOnly_H1_SS26Strategy Overview: Hull Suite Trend Follower
This H1 quantitative strategy utilizes a multi-variant Hull Moving Average (HMA) engine to capture swing momentum with minimal lag. By dynamically switching between HMA, EHMA, and THMA, the algorithm filters market noise and identifies high-probability trend shifts.
Key Features
Adaptive Smoothing: Leverages the Hull Suite to eliminate price lag while maintaining sensitivity to trend reversals.
Directional Versatility: Configurable for Long-Only, Short-Only, or Bi-directional execution.
Time-Bounded Backtesting: Integrated date-range engine for precise historical performance analysis.
Visual Intelligence: Real-time trend visualization via a dynamic cloud band for immediate bias confirmation.
Scanner BO: MG MG NEXT SIGNAL (Painel Live)📌 Binary Options Indicator Description (M5)
This indicator is specifically designed for binary options trading on M5 charts with a 5-minute expiration time, optimized for short-term trading strategies. It combines precise technical signals with a controlled risk management system using Martingale up to MG3, helping traders manage losses in a structured sequence.
✅ Key Features:
Real-time signals: Generates clear CALL (buy) and PUT (sell) arrows directly on the M5 chart.
Trend filtering: Uses moving averages or momentum indicators to confirm the prevailing trend, avoiding counter-trend entries.
Expiration timing: Optimized for 1 candle (5 minutes) expiry, ideal for brokers offering fixed expiries.
Integrated Martingale system (up to MG3):
After a losing trade, the indicator suggests the next risk level: MG1 (2x), MG2 (4x), MG3 (8x).
Visual and sound alerts for each level.
Prevents overtrading by limiting recovery to 3 levels.
Non-repaint signals: All signals are confirmed on candle close, ensuring reliability.
Custom alerts: Supports pop-up, sound, and email notifications (via Pine Script alerts).
🎯 Target Audience:
Traders focusing on high-frequency M5 binary strategies who want automated signal generation and disciplined Martingale-based risk management.
🛠️ How to Use:
Apply the indicator to any forex pair, index, or cryptocurrency on the M5 chart.
Wait for a signal (arrow) + trend confirmation.
Open a trade with 5-minute expiration.
If the trade loses, follow the suggested Martingale level (up to MG3).
Reset the sequence after a winning trade.
⚠️ Risk Warning: Martingale increases risk. Use only with proper capital management. Suitable for accounts with sufficient balance.
Use this description when publishing your script in the Pine Editor. Make sure your script is set to "Invite-only" visibility to control access.
FOR DONATIONS PLEASE : pix rdnkll85@gmail.com






















