Candles Trend 1ok so i republish this indicator again. first version had some repaint issue so it been removed
here the script does not suppuse to have this issue
so it basic 1 day MTF candles over 1 week MTF candles
blue color is bullish , orange is berrish
the signal and alert are produced by the crossing of the daily over the weekly close (in the case of the weekly it non security type of MTF.
for stocks I use 1 week over 1 month MTF on lower TF
Buscar en scripts para "mtf"
Security issuesource of code of no repaint by Duyck
source of code fix by i Think Quansium ( please correct me if i am wrong) ,great reading I have to say
please read what he suggest . i try his way but sadly it did not work as i wish . that why i change to this soulution
docs.google.com
Here i just took the great work of this two folks (amazing geniuses)
and try to combine them so the non repaint, no security source of the close MTF will look exact as the repaint one.
so this soultion try to create realible source with no security that look exact as the repaint source with the security
all thanks to the above authors
I just put here so maybe someone in the TV comunity move forward the issue how to fix the security issue
and by that we can create great indicators if it fix
so the no repaint named no security (red color)
repaint is green color
as you see they aligh very nice with no different
sadly if I try to put barmerge on this solution does not work (need to find why??)
so maybe you have better solutions?
I hope thios would help coders to make better MTF until TV fix the issue with security
NimblrTA BasicThe indicator is a basic implementation of NimblrTA
It includes the following indicators
1) Strength Candle Identification
Body height/Candle height ration > 50% indicates candle is unidirectional and has strength
On a 5 minutes chart, 2 strength candles form a breakout
When combined with CCI 34 30 crossing 100 along with strength candles for Breakout with momentum and entries can be made with CCI 8 5 < -135
2 strength candes at the bottom form bottom confirmation
2 strength candes at the bottom forop of the chart indicates a top confirmation
2) Parabolic Sar
pSAR gives the earliest signal for reversal, if the pSAR changes it's trend it indicates that the reversal is in progress
pSAR indicates CCI 34 5 mins crossing 60 / -60
3) Zig Zag Indication
The ZIgzag indicator helps you identify the waves and overlaps.
These are used to identify Binet's formation, HH, HL, LL and LH.
4) Multi Time Frame
In NimblrTA we primarily use:
CCI 8 5min is used for timing Entry and Exits.
If CCI 8 is lesser than -135 we Enter Buy Trades.
If CCI 8 is greater than +135 we Enter Sell Trades.
CCI 34 30min (Red) is used to ascertain Direction of Trade.
If CCI 34 30min (Red) is greater than +100, the trade must be a Buy Trade.
If CCI 34 30min (Red) is lesser than -100, the trade must be a Sell Trade.
CCI 34 5 mins is used to assess the power of the breakout
CCI 34 5 mins is used to assess reversals and pullbacks
For MTF use
MTF CCI_8_34_5m_30min
ATRMSRATRMSR
MTF ATR Horizontal S/R deviations
MTF ATR trailing stops
MTF ATR High/low
Will be updated soon.
V.01
UMMLMurray math with options to calculate wicks for readjusting of "Frame" ,mtf support to select desired period lines without switching time frames, Fractal and mtf fractal support ,option to keep just extreme deviations, UMML expands and contracts differently than similar scripts in volatile periods and are easily configurable by users for size,style and reactivity of lines
previous version hosted in link below
The Grid
indicator isnt finished yet as smoothening for line expansion and contractions is still being worked on alongside function to average the lines for short-median-long tf in MTF grid mode
VolumeS as stochv1just to show a concept . I use volume S to make it as stoch and add to it MTF function
B=buy
S=sell
D=down
if you do not like the MTF fuction just remove it from code or put the time frame of graph to be exact as MTF one
I did not add alert as it just a concept idea , to make it more complex it easy if you add more indicators to it and then compare the signals
have fun
Scalp Recent High/Low (Stable v5 r4)UMA Scalp Levels(ウマ・スキャル・レベルズ)
UMA Scalp Levels
Automatically detects recent swing highs and lows —
the “psychological levels” most watched by traders —
and alerts you when a valid breakout occurs.
🔹 Detects swing highs/lows automatically (non-repainting)
🔹 Confirm breakouts by close or wick (configurable)
🔹 Filters small fakeouts using ATR / % thresholds
🔹 Supports breakout alerts (up / down / retest)
🔹 MTF compatible — e.g., show 15m levels on 5m chart
Ideal for scalpers and day traders who want to catch momentum
immediately after a breakout of key levels.
直近で“市場が意識している高値・安値ライン”を自動で検出し、
ブレイク時にサインとアラートを出す、順張り型のスキャルピング指標。
🔹 スイング高値・安値を自動抽出(リペイント耐性あり)
🔹 終値 or ヒゲ抜けでブレイク判定(選択可能)
🔹 ATRや%幅でノイズを除外(小さな抜けをフィルタリング)
🔹 アラート対応(上抜け/下抜け/リテスト検知)
🔹 MTF対応(例:15分足ラインを5分足チャートに表示)
短期トレードで最も意識される「節目の抜け」を視覚化し、
勢いに乗る順張りトレードの精度を高めます。
alsubihi.2Advanced Market Structure Indicator
This custom-built indicator provides an in-depth analysis of market structure changes to help traders identify key price levels, trends, and potential reversals. It combines multiple tools to give you a clearer picture of market behavior and improve your decision-making process.
Key Features:
Break of Structure (BOS):
The BOS indicator identifies significant changes in market structure, marking when the price breaks previous highs or lows, signaling a potential trend shift. Green lines represent upward breaks (bullish trend), while red lines show downward breaks (bearish trend).
Change of Character (Choch):
This feature helps to highlight subtle shifts in market dynamics. A change in character (Choch) indicates when the market transitions between bullish or bearish behavior. Green indicates a bullish character change, while red shows a bearish one.
Premium vs Discount Zones:
The indicator identifies price levels that are considered 'Premium' (high price levels) and 'Discount' (low price levels), assisting traders in recognizing overbought or oversold conditions and making better trading decisions based on market conditions.
Support and Resistance Levels:
Automatically drawn support and resistance lines are included to show critical price areas where reversals or breakouts might occur, helping traders anticipate price action.
Equilibrium Zone:
This is the price level where supply and demand balance out, acting as a key reference point for identifying potential market reversals or continuation.
Why Use This Indicator?
This all-in-one tool helps traders make informed decisions by combining multiple technical analysis concepts into a single, easy-to-use indicator. It reduces the complexity of analyzing price action and allows traders to quickly identify potential entry and exit points with greater accuracy.
Whether you are an experienced trader or just starting, this indicator provides you with the essential tools needed to identify trend shifts, key support and resistance zones, and price extremes, leading to more profitable trading decisions.
14 سبتمبر
ملاحظات الأخبار
📌 Summary of the Indicator
Market Structure (MS):
Detects swing & internal BOS, CHoCH, CHoCH+. Can color candles or bars by trend.
Multi-Timeframe Scanner (MTF):
Shows trend direction on multiple TFs (5m → 1W).
Highs/Lows (HTF):
Plots previous Day/Week/Month/Year highs & lows as liquidity levels.
Order Blocks (OB):
Draws volumetric order blocks, with filters (BOS/CHoCH), overlap rules, mitigation, and volume metrics.
Fair Value Gaps (FVG/VI/OG):
Detects price imbalances, extends them, and removes when mitigated.
Accumulation/Distribution Zones:
Highlights Wyckoff-style accumulation (green) or distribution (red).
Equal Highs/Lows (EQH/EQL):
Marks liquidity pools at equal highs or lows.
Premium/Discount Bands:
Splits swing range into premium, equilibrium, and discount zones.
RSI & ADX:
Momentum filters for overbought/oversold and trend strength.
DEMA-ATR Baseline:
Adaptive EMA with ATR constraints; alerts for trend shifts.
Regression Channel:
Auto-fits best regression length using Pearson-R, shows channel with std bands.
Fibonacci Ladder:
Auto plots levels 0.236 → 1.618 based on recent swing.
👉 In short: it’s a full SMC toolkit — structure + liquidity + OB/FVG + momentum filters + extra tools (fib, regression, ATR baseline).
📌 ملخص المؤشر
البنية الهيكلية (Market Structure):
يحدد BOS و CHoCH داخلي وسوينغ، ويقدر يلوّن الشموع حسب الاتجاه.
سكانر متعدد الأطر (MTF):
يعرض الاتجاه على عدة فريمات من 5m إلى 1W.
هاي/لو من أطر عليا (HTF Highs/Lows):
يرسم قمم وقيعان اليوم/الأسبوع/الشهر/السنة السابقة (مناطق سيولة).
بلوكات الطلب/العرض (Order Blocks):
يرسم بلوكات مع فلاتر (BOS/CHoCH)، خيارات تداخل، إزالة عند الكسر، ويعرض حجم التداول بداخلها.
الفجوات السعرية (FVG/VI/OG):
يحدد الفجوات غير المغطاة، يمددها، ويحذفها عند التغطية.
مناطق التجميع/التوزيع:
يوضح مناطق Wyckoff (أخضر للتجميع، أحمر للتوزيع).
قمم وقيعان متساوية (EQH/EQL):
يميز مناطق السيولة فوق القمم أو تحت القيعان المتساوية.
مناطق Premium/Discount/Equilibrium:
يقسم آخر نطاق إلى مناطق غالية (Premium)، توازن (Equilibrium)، ورخيصة (Discount).
RSI و ADX:
مؤشرات إضافية لقياس التشبع وقوة الاتجاه.
خط DEMA-ATR:
EMA متكيف مع قيود ATR، يتغير لونه حسب الاتجاه، مع تنبيهات جاهزة.
قناة الانحدار (Regression):
تختار أفضل طول باستخدام معامل الارتباط Pearson-R، وترسم قناة مع انحراف معياري.
فيبوناتشي (Fibonacci):
يرسم مستويات 0.236 حتى 1.618 حسب آخر حركة سعرية.
👉 باختصار: المؤشر هو أداة SMC متكاملة تجمع الهيكل، السيولة، البلوكات، الفجوات، والمؤشرات المساعدة.
ICT Suspension Block HTF [Herman]ICT Suspension Block HTF — auto-marking +SB / –SB with MTF
ICT Suspension Block HTF automatically detects and plots Suspension Blocks (SB ) on your chart and optionally pulls them from higher timeframes. It’s built for traders who want precise, visual SB zones with mitigation/entry alerts and a compact stats panel.
What’s a Suspension Block (SB) ?
-A Suspension Block is a body-to-body price imbalance formed by three consecutive candles in the same direction where the bodies create sequential “gaps” (a brief pause in price efficiency).
-Bullish +SB: three bullish candles with body-to-body gaps stepping up.
-Bearish –SB: three bearish candles with body-to-body gaps stepping down.
This script highlights the actionable block zone (between the body levels of the middle candle) and lets you extend it forward for reaction tests.
Note: This tool implements a widely discussed definition of Suspension Blocks for educational/analytical use.
Key features
-Auto detection: Plots +SB/–SB the moment a valid 3-candle structure forms.
-Multi-Timeframe (MTF):
-Current timeframe detection (toggle).
-MTF1 & MTF2 pulls (e.g., 5m and 15m by default) to show HTF SBs directly on your LTF chart.
-Smart de-duplication: Avoids drawing near-identical blocks (tick-aware tolerance).
-Midpoint line (optional): Draws the 50% of the block for refined confluence.
-Forward extension: Choose how far to extend the zone in bars.
Alerts:
-New +SB/–SB formed
-Price enters a block
-Block mitigated
-Stats table: Lightweight panel showing active +SB / –SB counts and average detected gap size.
Theme aware : Light/Dark table themes matched to Herman Trading visuals.
Inputs (quick guide)
-Multi-Timeframe
-Enable Current Timeframe
-Enable MTF1 (timeframe input)
-Enable MTF2 (timeframe input)
Core
-Show Bullish / Bearish
-Show Labels
-Show 50% Midpoint
-Min Gap Size (% of candle body) — filters out weak structures
-Extension Length (bars) — how far to project the zone
-Max Number of Blocks — auto-prunes oldest drawings
-Label Size & Colors
-Alerts
-New Block Formation
-Price Entered Block
-Block Mitigation
-Table
-Show / Position
-Theme (Light / Dark)
How mitigation & entry work
-Entry alert: Fires when price crosses into a block (from outside).
-Mitigation: When price tags the block boundaries (top/bottom), the zone is marked mitigated (faded, no further extension).
-The stats panel updates counts in real time.
Practical tips
-Use HTF SBs (e.g., 15m/1h) on your execution timeframe for higher-quality reaction zones.
-Combine with your existing framework (session timing, liquidity sweeps, iFVG/MSS, etc.).
-Tighten/loosen Min Gap Size to match instrument volatility.
-Keep Max Blocks reasonable for performance on very low timeframes.
Disclaimer
This indicator is for education and analysis. It does not constitute financial advice. Trading involves risk; always do your own research and manage risk appropriately.
多空多周期面板(1/3/5/15/30m) · 难度1-9+加权投票+自适应 · 可行度% · 精准过滤版Multi-Timeframe Consensus Panel (1/3/5/15/30m) — Difficulty 1-9 · Weighted Votes · Adaptive · Confidence %
What it does
This indicator builds a consensus long/short signal across 1/3/5/15/30-minute charts. For each timeframe it computes a normalized oscillator (with signal line) and casts a vote when conditions are bullish/bearish. Votes are optionally weighted toward higher timeframes. A final score blends trend (EMA50/200), RSI gates, recent crosses, mid-band distance, slope, volatility (ATR%), S/R distance (pivot-based with ATR buffer), chop filter (ADX + mid-band), candle confirmation, and optional HTF bar-close confirmation. The result is a Long/Short triangle on the chart and an optional confidence % label.
How to use
Add to any symbol/timeframe. The top-right panel shows each TF’s state, crosses, votes, and filters.
Choose Mode (Aggressive / Moderate / Conservative) and refine with Difficulty 1–9 (1 = loose, 9 = strict).
Optionally adjust weights (give 15/30m more influence), Min Confidence %, S/R buffer (ATR), Chop/ADX, and Candle confirmation.
Trade the Long (▲)/Short (▼) triangles that meet your confidence threshold; circle = near-miss continuation, diamond = trend re-entry. Use your own risk management (TP/SL) or a separate strategy.
Key inputs
Difficulty 1–9: linearly tightens OB/OS, votes needed, scoring, cool-down/hold bars, RSI gates, ATR% floor, slope, and mid-band gap.
Weighted votes: favors higher TFs (editable w1–w5).
Regime auto: in strong-trend (ADX + EMA slope) the score requirement is relaxed by one notch.
Filters: S/R distance (pivot with ATR buffer), chop brake, candle body ratio & direction, HTF bar-close confirm (“None / At least one / Both”).
Signals & confidence
Final signals are shown only when confidence ≥ Min Confidence %. Confidence (10–100%) combines normalized score, weighted votes, and trend strength.
Alerts (Chinese names in the UI; English meaning below)
“多周期共识:多(增强)” – Consensus Long
“多周期共识:空(增强)” – Consensus Short
“近似命中补票:多/空” – Near-miss Long/Short
“续势再入:多/空” – Trend Re-entry Long/Short
Tip: for stability, set alerts Once per bar close when using HTF confirmation.
Suggested presets
ETH futures 5m: Mode = Moderate, Difficulty = 6–7, Min Confidence = 55–70%, HTF confirm = At least one, S/R buffer = 0.7–1.0 ATR.
Want more signals? Lower Difficulty or Min Confidence; too noisy? Raise them and/or enable Chop filter.
Notes
MTF values are requested without look-ahead; pivot-based S/R waits for confirmation. Signals are generated on confirmed data, but—as with any MTF tool—manage orders on bar close to avoid intra-bar flicker.
This is an indicator, not financial advice. Always pair with sound risk management.
Volume-Weighted RSI & Multi-Normalized MACD Overlay**Description**:
The "Volume-Weighted RSI & Multi-Normalized MACD Overlay" is a sophisticated indicator that plots a volume-weighted Relative Strength Index (VW-RSI) and a customizable Moving Average Convergence Divergence (MACD) directly on the price chart, enhancing momentum and trend analysis for traders. Designed for stocks, forex, crypto, and more, it supports multi-timeframe (MTF) analysis and offers flexible normalization and scaling options for precise visualization.
**Key Features**:
- **Volume-Weighted RSI**: A volume-sensitive RSI normalized to a configurable range (default: -50/+50), with optional smoothing (SMA, EMA, WMA, VWMA, SMMA, or Bollinger Bands). Overbought (+20) and oversold (-20) lines are plotted relative to a user-defined price source (default: ohlc4).
- **Multi-Normalized MACD**: Supports five bounded normalization methods: Min-Max, Volatility Min-Max, Hyperbolic Tangent, Arctangent, and Min-Max with Smoothing, scaled to the same range as RSI for unified analysis.
- **Price Chart Overlay**: Plots RSI, RSI MA, MACD, MACD Signal, zero-line, overbought (+20), and oversold (-20) lines, anchored to a customizable price source (e.g., ohlc4, hl2).
- **Flexible Scaling**: Choose between high/low range (default) or ATR-based scaling, with separate lookbacks for RSI and MACD (default: 128). Adjust offset and scale factor multipliers for fine-tuned visuals.
- **Customizable Display**: Toggles for RSI (with MA), MACD (with Signal), zero-line, overbought/oversold lines, and RSI background coloring (>20/< -20). Dynamic MACD colors (cyan/magenta) and transparency options enhance clarity.
**How to Use**:
1. Add to any chart (e.g., BTCUSD, SPY, 1H, 1D).
2. Configure settings:
- **General**: Set bounds (-50/+50), timeframe, scaling (high/low or ATR), zero-line source (e.g., ohlc4), and multipliers.
- **RSI**: Adjust price source, length (9), and smoothing options.
- **MACD**: Select price source, lengths (9/21/9), and normalization (e.g., Volatility Min-Max).
- **Display Options**: Toggle lines and background; adjust transparency.
3. Interpret signals: RSI > +20 (overbought), < -20 (oversold); MACD/Signal crosses for momentum; zero-line as reference.
4. Use with the companion "Volume-Weighted RSI & Multi-Normalized MACD" script for pane-based analysis if desired.
**Why Use It?**
Ideal for traders seeking a visually intuitive overlay of RSI and MACD on price action, with customizable scaling and MTF support. Perfect for trend-following, mean-reversion, and cross-market strategies.
**Notes**:
- Ensure a bounded normalization (e.g., Volatility Min-Max) is selected for MACD plotting.
- Adjust scaling multipliers for optimal visibility on volatile assets.
- Feedback welcome to enhance future versions!
**Author**: nepolix
Elite Entries Range Setter Premium
Elite Entries Range Setter
**What it is**
Elite Entries Range Setter builds a simple but sturdy market map: a predictive range on a higher timeframe, mid-levels between those lines, and **filtered breakout signals** plus **auto-drawn support/resistance zones** (with optional retest tags). It’s designed for day traders who want structure without noise—and swing traders who like to anchor to a higher-timeframe heartbeat.
What it gives you
* **Predictive range grid** (R2 / R1 / AVG / S1 / S2) computed from your chosen TF with adaptive ATR logic.
* **MTF signal engine**: breakouts are detected on your selected *Signal TF* while ranges come from the range TF—clean separation of “map” vs “trigger.”
* **Mid-lines** between range levels for bounce/continuation context (visual only here).
* **Auto Zones**: when price crosses a key line (range or mid), a shaded support/resistance box is created. Zones extend until broken; they dim when invalidated.
* **Optional Retests**: label when price re-tests a fresh zone and rejects/holds (cooldowns included).
* **Stacked Filters**: RSI, Volume EMA, and MA direction—use one, some, or all to tighten signals.
* **Session awareness**: choose to limit signals/zone creation to New York hours.
* **Alerts**: one consolidated breakout alert + dedicated zone-retest alerts.
---
How to use (the 60-second setup)
1. **Pick your Range TF** (default 15m). This sets the “grid” (R2/R1/AVG/S1/S2).
2. **Choose your Signal TF** (can be same as chart or different). This is where breakouts are confirmed.
3. **Turn on filters** to taste:
* **RSI** for momentum extremes (OB/OS configurable)
* **Volume EMA** for participation (Above/Below)
* **MA direction** for trend alignment (EMA/SMA/HMA, configurable length)
4. **Zones**: leave enabled to auto-box supports/resistances when lines are crossed. Adjust size by **Ticks** or **ATR ×** for instrument sensitivity.
5. **Alerts**: add “**Grid Breakout (Filtered)**” for trade triggers, and “Zone Bullish/Bearish Retest” if you trade pullbacks.
---
Inputs that matter
* **Range Setter**
* *ATR Length / Factor*: controls how wide the predictive range breathes.
* *Timeframe*: TF used to compute the grid (e.g., 15m).
* *Candlestick Type*: Traditional or Heikin-Ashi source.
* **Filter Options**
* *RSI*: Period + OB/OS thresholds.
* *Volume EMA*: Period + Above/Below condition.
* *MA Filter*: EMA/SMA/HMA + length; must be above (long bias) or below (short bias).
* **Trading Grid**
* *Signal TF*: where breakouts are detected.
* *Use MTF Signals*: toggle to confirm on a different TF than your chart.
* *Session Filter (NY)*: gate signals to the cash session.
* **Zones**
* *Only Create During NY Session*: keep structures “day-true.”
* *Size Mode*: **Ticks** (precise) or **ATR ×** (adaptive).
* *Retests*: on/off, min bars between retests, label size, colors.
* *Avoid Dupes at Same Level*: keeps the chart tidy.
---
Signals & Alerts
* **Breakout UP / DN**: confirmed cross of a mid or range line **and** all active filters pass.
* *Create alert:* **Grid Breakout (Filtered)**
* **Zone Retests**: optional labels/alerts when price wicks into a fresh zone and closes back out in the expected direction.
* *Create alerts:* **Zone Bullish Retest**, **Zone Bearish Retest**
*Pro tip:* Because the range grid comes from a (possibly) higher TF and signals can be confirmed on a different TF, you avoid most LTF chop while still reacting quickly.
---
Good habits (a trader’s creed)
* **Trust, but verify.** Filters help, not save. Read the tape: wicks, spreads, and time-of-day matter.
* **Let sessions speak.** NY hours tend to carry the volume; gating to session can reduce false pops.
* **Adjust zone size to the instrument.** Use ATR × on volatile tickers/futures; use Ticks for clean FX/Index contracts.
* **Mind the load.** If you enable many zones on very low TFs, consider trimming history or increasing tick size for performance.
---
Repainting & behavior notes
* Range levels are computed with `request.security(..., lookahead=off)` and only update as the higher-timeframe bar evolves/finishes.
* Breakout checks also use `lookahead=off`. Signals confirm on the **close** of the chosen *Signal TF*.
* Zone creation happens on **confirmed bars** to reduce flicker.
* No backtest or strategy orders—this is an **indicator** for discretionary or rule-based trading with external execution.
---
Who it’s for
Day traders who want **clear structure + filtered triggers**. Swing traders who anchor to a higher-TF grid but demand timely confirmation. Anyone tired of random “buy/sell” confetti and ready for a **map, a method, and a mute button** for the noise.
---
Final word
Markets are poetry and math—this tool sketches the meter so you can hear the rhyme. Keep risk first, keep faith in your process, and let disciplined edges do the talking. ✨
*Educational use only. Not financial advice. Trade responsibly.*
Stochastic 6TF by jjuiiStochastic 6TF by J is a Multi-Timeframe (MTF) Stochastic indicator
that displays %K values from up to 6 different timeframes
in a single window. This helps traders analyze momentum
across short, medium, and long-term perspectives simultaneously.
Features:
- Supports 6 customizable timeframes (e.g., 5m, 15m, 1h, 4h, 1D, 1W)
- Option to show/hide each timeframe line
- Standard reference levels (20 / 50 / 80) with background shading
- Smoothed %K for clearer visualization
Best for:
- Cross-timeframe momentum analysis
- Spotting aligned Overbought / Oversold signals
- Confirming market trends and timing entries/exits
-------------------------------------------------------------
Stochastic 6TF by J คืออินดิเคเตอร์ Stochastic Multi Timeframe (MTF)
ที่สามารถแสดงค่า %K จากหลายกรอบเวลา (สูงสุด 6 TF)
ไว้ในหน้าต่างเดียว ช่วยให้นักเทรดมองเห็นโมเมนตัมของราคา
ทั้งระยะสั้น กลาง และยาว พร้อมกัน
คุณสมบัติ:
- เลือกกรอบเวลาได้ 6 ชุด (เช่น 5m, 15m, 1h, 4h, 1D, 1W)
- สามารถเปิด/ปิดการแสดงผลแต่ละ TF ได้
- มีเส้นแนวรับ/แนวต้านมาตรฐาน (20 / 50 / 80)
- ใช้เส้น %K ที่ถูกปรับค่าเฉลี่ยให้เรียบขึ้นเพื่ออ่านง่าย
เหมาะสำหรับ:
- การดูโมเมนตัมข้ามกรอบเวลา
- หาจังหวะ Overbought / Oversold ที่สอดคล้องกันหลาย TF
- ใช้ยืนยันแนวโน้มและหาจังหวะเข้า-ออกอย่างแม่นยำมากขึ้น
ICT Turtle Soup (Riz)The ICT Turtle Soup Complete System is an advanced implementation of the Inner Circle Trader's interpretation of the classic Turtle Soup pattern, designed to identify and trade liquidity sweeps at key market levels. This strategy capitalizes on the systematic stop-loss hunting behavior of institutional traders by detecting when price temporarily breaches significant support/resistance levels to trigger retail stop-losses, then quickly reverses direction.
Core Trading Logic
Liquidity Sweep Detection Method
The strategy monitors five critical liquidity pools where retail traders commonly place stop-loss orders:
⦁ Yesterday's High/Low: Previous daily session extremes
⦁ Daily High/Low: Rolling 20-day period extremes
⦁ 4-Hour High/Low: 30-period extremes on 4H timeframe
⦁ 1-Hour High/Low: 50-period extremes on hourly timeframe
⦁ Recent High/Low: Current timeframe extremes (20-40 bars based on trading mode)
Entry Signal Generation Process
Buy Signal (Sell-Side Liquidity Sweep):
1. Price penetrates below a key support level by a minimum threshold (5-15 ticks depending on signal quality settings)
2. The penetration bar must show strong rejection with at least 30-50% of the candle's range closing back above the swept level
3. Multi-timeframe confirmation checks for structure shift on lower timeframe (break of recent swing high)
4. Confluence scoring system evaluates 7 factors, requiring minimum 3 confirmations:
⦁ Liquidity sweep detected (weighted 2x)
⦁ Higher timeframe bullish market structure
⦁ Lower timeframe bullish break of structure
⦁ Bullish Fair Value Gap presence
⦁ Bullish Order Block formation
⦁ ICT Kill Zone timing alignment
Sell Signal (Buy-Side Liquidity Sweep):
Mirror opposite of buy signal logic, detecting sweeps above resistance levels with bearish rejection.
Risk Management & Position Sizing
Stop Loss Placement:
⦁ Calculated using ATR (Average True Range) multiplied by an adaptive factor
⦁ Base multipliers: Scalping (1.0x), Day Trading (1.5x), Swing Trading (2.0x)
⦁ Further adjusted by signal quality: Conservative (-20%), Balanced (0%), Aggressive (+20%)
⦁ Positioned beyond the liquidity sweep point to avoid re-sweeping
Take Profit Targets:
⦁ TP1: 2.0R (Risk-Reward ratio)
⦁ TP2: 3.5R
⦁ TP3: 5.0R
⦁ All levels rounded to tick precision for accurate order placement
Advanced Features & Filters
Multi-Timeframe Structure Analysis
The system performs top-down analysis across three timeframes:
⦁ Higher Timeframe (HTF): Determines primary trend bias
⦁ Medium Timeframe (MTF): Confirms intermediate structure
⦁ Lower Timeframe (LTF): Identifies precise entry triggers
ICT Kill Zones
Incorporates time-based filtering for optimal trading sessions:
⦁ Asian Session (8PM-12AM UTC)
⦁ London Session (2AM-5AM UTC)
⦁ New York Session (7AM-10AM UTC)
⦁ London Close (10AM-12PM UTC)
Smart Money Concepts Integration
⦁ Fair Value Gaps (FVG): Identifies and displays price inefficiencies that act as magnets
⦁ Order Blocks: Marks institutional accumulation/distribution zones
⦁ Mitigation Detection: Automatically removes FVGs and Order Blocks when price fills them
⦁ Duplicate Sweep Prevention: 10-bar lookback prevents multiple signals at same level
Adaptive Trading Modes
Three pre-configured modes automatically adjust all parameters:
⦁ Scalping: Tight stops, quick targets, 15-minute to 1-hour focus
⦁ Day Trading: Balanced approach, 4-hour to daily analysis
⦁ Swing Trading: Wide stops, extended targets, daily to weekly perspective
⦁ Custom Mode: Full manual control of all parameters
Signal Quality Management
⦁ Conservative: Requires 5/7 confluence factors, tighter sweep threshold (5 ticks), 50% minimum rejection
⦁ Balanced: Standard 3/7 confluence, moderate threshold (10 ticks), 30% rejection
⦁ Aggressive: Only 2/7 confluence needed, wider threshold (15 ticks), 20% rejection
Visual Components & Dashboard
Real-Time Information Panel
Displays current market conditions including:
⦁ Active trading mode and quality settings
⦁ Timeframe configuration (HTF/MTF/LTF)
⦁ Market bias from higher timeframes
⦁ Current kill zone status
⦁ Liquidity sweep detection status
⦁ Confluence scoring for both directions
⦁ Risk parameters and targets
Trade Visualization
⦁ Entry, stop-loss, and three take-profit levels with precise price labels
⦁ Automatic cleanup when targets are hit or new signals appear
⦁ Maximum of one active setup displayed for chart clarity
⦁ Color-coded boxes for Fair Value Gaps and Order Blocks
How to Use This Indicator
Recommended Timeframes
⦁ Scalping Mode: 1-minute to 5-minute charts
⦁ Day Trading Mode: 5-minute to 15-minute charts
⦁ Swing Trading Mode: 1-hour to 4-hour charts
Optimal Market Conditions
⦁ Works best in ranging or trending markets with clear support/resistance levels
⦁ Most effective during high-liquidity sessions (London/New York overlap)
⦁ Avoid using during major news events unless specifically targeting news-driven sweeps
Signal Interpretation
1. Wait for triangle signal (up/down) with confluence score
2. Verify the swept level shown in the dashboard
3. Confirm risk-reward ratios match your trading plan
4. Enter at market or set limit order at indicated entry level
5. Place stop-loss and take-profit orders at displayed levels
Customization Tips
⦁ Adjust Signal Quality based on market volatility (Conservative for volatile, Aggressive for quiet)
⦁ Modify sweep threshold if getting too many/few signals
⦁ Toggle individual liquidity levels based on their relevance to your timeframe
⦁ Use Kill Zone filter for session-specific trading
Risk Disclaimer
This indicator identifies potential trade setups based on liquidity sweep patterns but does not guarantee profitable outcomes. Past performance does not indicate future results. Always use proper risk management and never risk more than you can afford to lose. The indicator should be used as part of a comprehensive trading plan that includes your own analysis and risk tolerance assessment.
ML RSI - imaclone.xUltimate Multi-Resolution RSI
Developed by imaclone.x.
Last Updated: August 21st 2025
A single indicator that fuses my ML-RSI.ai pipeline with a classic multi-timeframe RSI. One script, dual-resolution oscillators if desired, plus a machine-learning similarity engine and modular signal-processing layers.
What it does
* Primary RSI augmented with KNN similarity engine (K, lookback, weighting). Feature embeddings include RSI magnitude, RSI momentum, volatility surface, regression slope, and price momentum vectors.
* Adaptive smoothing stack: Kalman filter recursion, Double EMA cascades, or ALMA convolution.
* Multi-resolution control for the primary oscillator timeframe.
* Optional *second* RSI projected from any timeframe for hierarchical confluence.
* Advanced visuals: upper/lower thresholds, midline, background regime highlighting, crossovers, and B/S event labels.
* Color architectures: None, Trend-Following (50-line bifurcation), or Impulse (band-breach). Optional bar tinting for full-chart context.
Inputs (groups)
* Timeframe Settings: primary + secondary RSI TF/lengths.
* Levels & Visuals: thresholds, highlights, cross events, B/S markers.
* RSI Base: smoothing toggle, MA class, ALMA sigma.
* KNN Machine Learning: enable, K neighbors, historical window, feature dimensionality, ML weighting.
* Advanced Filtering: method + intensity.
* Coloring: None, Trend-Following, Impulse.
Signals
* B flag when ML-RSI crosses upward through the lower threshold.
* S flag when ML-RSI crosses downward through the upper threshold.
* Secondary RSI = higher-timeframe confirmation, not standalone trigger.
Usage notes
* Raise ML weight + feature dimensionality for deeper similarity recognition; lower them for classic oscillator behavior.
* Kalman recursion delivers adaptive, low-lag smoothing; Double EMA and ALMA yield stronger dampening.
* Typical config: intraday primary RSI + higher-TF secondary RSI for regime anchoring.
Changelog
* v6 merge: Unified CM-style MTF RSI framework with my KNN-enhanced kernel and filter stack. One composite indicator replaces multiple scripts.
Credits
* MTF band logic inspired by earlier open-source frameworks.
* ML kernel and implementation by imaclone.x.
Disclaimer
For research and algorithmic experimentation only. No signals guaranteed.
And please kindly, for the love of God, DYOFR.
BioSwarm Imprinter™BioSwarm Imprinter™ — Agent-Based Consensus for Traders
What it is
BioSwarm Imprinter™ is a non-repainting, agent-based sentiment oscillator. It fuses many short-to-medium lookback “opinions” into one 0–100 consensus line that is easy to read at a glance (50 = neutral, >55 bullish bias, <45 bearish bias). The engine borrows from swarm intelligence: many simple voters (agents) adapt their influence over time based on how well they’ve been predicting price, so the crowd gets smarter as conditions change.
Use it to:
• Detect emerging trends sooner without overreacting to noise.
• Filter mean-reversion vs continuation opportunities.
• Gate entries with a confidence score that reflects both strength and persistence of the move.
• Combine with your execution tools (VWAP/ORB/levels) as a state filter rather than a trade signal by itself.
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Why it’s different
• Swarm learning: Each agent improves or decays its “fitness” depending on whether its vote matched the next bar’s direction. High-fitness agents matter more; weak agents fade.
• Multi-horizon by design: The crowd is composed of fixed, simple lookbacks spread from lenMin to lenMax. You get a blended, robust view instead of a single fragile parameter.
• Two complementary lenses: Each agent evaluates RSI-style balance (via Wilder’s RMA) and momentum (EMA deviation). You decide the weight of each.
• No repaint, no MTF pitfalls: Everything runs on the chart’s timeframe with bar-close confirmation; no request.security() or forward references.
• Actionable UI: A clean consensus line, optional regime background, confidence heat, and triangle markers when thresholds are crossed.
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What you see on the chart
• Consensus line (0–100): Smoothed to your preference; color/area makes bull/bear zones obvious.
• Regime coloring (optional): Light green in bull zone, light red in bear zone; neutral otherwise.
• Confidence heat: A small gauge/number (0–100) that combines distance from neutral and recent persistence.
• Markers (optional): Triangles when consensus crosses up through your bull threshold (e.g., 55) or down through your bear threshold (e.g., 45).
• Info panel (optional): Consensus value, regime, confidence, number of agents, and basic diagnostics.
⸻
How it works (under the hood)
1. Horizon bins: The range is divided into numBins. Each bin has a fixed, simple integer length (crucial for Pine’s safety rules).
2. Per-bin features (computed every bar):
• RSI-style balance using Wilder’s RMA (not ta.rsi()), then mapped to −1…+1.
• Momentum as (close − EMA(L)) / EMA(L) (dimensionless drift).
3. Agent vote: For its assigned bin, an agent forms a weighted score: score = wRSI*RSI_like + wMOM*Momentum. A small dead-band near zero suppresses chop; votes are +1/−1/0.
4. Fitness update (bar close): If the agent’s previous vote agreed with the next bar’s direction, multiply its fitness by learnGain; otherwise by learnPain. Fitness is clamped so it never explodes or dies.
5. Consensus: Weighted average of all votes using fitness as weights → map to 0–100 and smooth with EMA.
Why it doesn’t repaint:
• No future references, no MTF resampling, fitness updates only on confirmed bars.
• All TA primitives (RMA/EMA/deltas) are computed every bar unconditionally.
⸻
Signals & confidence
• Bullish bias: consensus ≥ bullThr (e.g., 55).
• Bearish bias: consensus ≤ bearThr (e.g., 45).
• Confidence (0–100):
• Distance score: how far consensus is from 50.
• Momentum score: how strong the recent change is versus its recent average.
• Combined into a single gate; start filtering entries at ≥60 for higher quality.
Tip: For range sessions, raise thresholds (60/40) and increase smoothing; for momentum sessions, lower smoothing and keep thresholds at 55/45.
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Inputs you’ll actually tune
• Agents & horizons:
• N_agents (e.g., 64–128)
• lenMin / lenMax (e.g., 6–30 intraday, 10–60 swing)
• numBins (e.g., 12–24)
• Weights & smoothing:
• wRSI vs wMOM (e.g., 0.7/0.3 for FX & indices; 0.6/0.4 for crypto)
• deadBand (0.03–0.08)
• consSmooth (3–8)
• Thresholds & hygiene:
• bullThr/bearThr (55/45 default)
• cooldownBars to avoid signal spam
⸻
Playbooks (ready-to-use)
1) Breakout / Trend continuation
• Timeframe: 15m–1h for day/swing.
• Filter: Take longs only when consensus > 55 and confidence ≥ 60.
• Execution: Use your ORB/VWAP/pullback trigger for entry. Trail with swing lows or 1.5×ATR. Exit on a close back under 50 or when a bearish signal prints.
2) Mean reversion (fade)
• When: Sideways days or low-volatility clusters.
• Setup: Increase deadBand and consSmooth.
• Signal: Bearish fades when consensus rolls over below ≈55 but stays above 50; bullish fades when it rolls up above ≈45 but stays below 50.
• Targets: The neutral zone (~50) as the first take-profit.
3) Multi-TF alignment
• Keep BioSwarm on 1H for bias, execute on 5–15m:
• Only take entries in the direction of the 1H consensus.
• Skip counter-bias scalps unless confidence is very low (explicit mean-reversion plan).
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Integrations that work
• DynamoSent Pro+ (macro bias): Only act when macro bias and swarm consensus agree.
• ORB + Session VWAP Pro: Trade London/NY ORB breakouts that retest while consensus >55 (long) or <45 (short).
• Levels/Orderflow: BioSwarm is your “go / no-go”; execution stays with your usual triggers.
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Quick start
1. Drop the indicator on a 1H chart.
2. Start with: N_agents=64, lenMin=6, lenMax=30, numBins=16, deadBand=0.06, consSmooth=5, thresholds 55/45.
3. Trade only when confidence ≥ 60.
4. Add your favorite execution tool (VWAP/levels/OR) for entries & exits.
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Non-repainting & safety notes
• No request.security(); no hidden lookahead.
• Bar-close confirmation for fitness and signals.
• All TA calls are unconditional (no “sometimes called” warnings).
• No series-length inputs to RSI/EMA — we use RMA/EMA formulas that accept fixed simple ints per bin.
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Known limits & tips
• Too many signals? Raise deadBand, increase consSmooth, widen thresholds to 60/40.
• Too few signals? Lower deadBand, reduce consSmooth, narrow thresholds to 53/47.
• Over-fitting risk: Keep learnGain/learnPain modest (e.g., ×1.04 / ×0.96).
• Compute load: Large N_agents × numBins is heavier; scale to your device.
⸻
Example recipes
EURUSD 1H (swing):
lenMin=8, lenMax=34, numBins=16, wRSI=0.7, wMOM=0.3, deadBand=0.06, consSmooth=6, thr=55/45
Buy breakouts when consensus >55 and confidence ≥60; confirm with 5–15m pullback to VWAP or level.
SPY 15m (US session):
lenMin=6, lenMax=24, numBins=12, consSmooth=4, deadBand=0.05
On trend days, stay with longs as long as consensus >55; add on shallow pullbacks.
BTC 1H (24/7):
Increase momentum weight: wRSI=0.6, wMOM=0.4, extend lenMax to ~50. Use dynamic stops (ATR) and partials on strong verticals.
⸻
Final word
BioSwarm is a state engine: it tells you when the market is primed to continue or mean-revert. Pair it with your entries and risk framework to turn that state into trades. If you’d like, I can supply a companion strategy template that consumes the consensus and back-tests the three playbooks (Breakout/Fade/Flip) with standard risk management.
ARO Pro — Adaptive Regime OscillatorARO Pro — Adaptive Regime Oscillator (v6)
ARO Pro turns your chart into a context-aware decision system. It classifies every bar as Trending (up or down) or Ranging in real time, then switches its math to match the regime: trend strength is measured with an ATR-normalized EMA spread, while range behavior is tracked with a center-based RSI oscillator. The result is cleaner entries, fewer false signals, and faster reads on regime shifts—without repainting.
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How it works (under the hood)
1. Regime Detection (Kaufman ER):
ARO computes Kaufman’s Efficiency Ratio (ER) over a user-defined length.
- ER > threshold → Trending (direction from EMA fast vs. EMA slow)
- ER ≤ threshold → Ranging
2. Adaptive Oscillator Core:
- Trend mode: (EMA(fast) − EMA(slow)) / ATR * 100 → momentum normalized by volatility.
- Range mode: RSI(length) − 50 → mean-reversion pressure around zero.
3. Volatility Filter (optional):
Blocks signals if ATR as % of price is below a floor you set. This reduces noise in thin or quiet markets.
4. MTF Trend Filter (optional & non-repainting):
Confirms signals only if a higher timeframe EMA(fast) > EMA(slow) for longs (or < for shorts). Implemented with lookahead_off and gaps_on.
5. Confirmation & Alerts:
Signals are locked only on bar close (barstate.isconfirmed) and offered via three alert types: ARO Long, ARO Short, ARO Regime Shift.
⸻
What you see on the chart
• Background heat:
• Green = Trending Up, Red = Trending Down, Gray = Range.
• ARO line (panel): Adaptive oscillator (trend/value colors).
• Signal markers: ▲ Long / ▼ Short on confirmed bars.
• Guide lines: Upper/Lower thresholds (±K) and zero line.
• Info Panel (table): Regime, ER, ATR %, ARO, HTF status (OK/BLOCK/OFF), and a Confidence light.
• Debug Overlay (optional): Quick view of thresholds and raw conditions for tuning.
⸻
Inputs (quick reference)
• Signals: Fast/Slow EMA, RSI length, ER length & threshold, oscillator smoothing, signal threshold.
• Filters: ATR length, minimum ATR% (volatility floor), toggle for volatility filter.
• Visuals: Background on/off, Info Panel on/off, Debug overlay on/off.
• MTF (safe): Toggle + HTF timeframe (e.g., 240, D, W).
⸻
Interpreting signals
• Long: Trend regime AND fast EMA > slow EMA AND ARO ≥ +threshold (confirmed bar, filters passing).
• Short: Trend regime AND fast EMA < slow EMA AND ARO ≤ −threshold (confirmed bar, filters passing).
• Regime Shift: Alert when ER moves the market from Range → Trend or flips trend direction.
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Practical use cases & examples
1) Intraday momentum alignment (scalps to day trades)
• Timeframes: 5–15m with HTF filter = 4H.
• Flow:
1. Wait for Trend Up background + HTF OK.
2. Enter on ▲ Long when ARO crosses above +threshold.
3. Stops: 1–1.5× ATR(14) below trigger bar or below last micro swing.
4. Exits: Partial at 1× ATR, trail remainder with an ATR stop or when ARO reverts to zero/Regime Shift.
• Why it works: You’re trading with the dominant higher-timeframe structure while avoiding low-volatility fakeouts.
2) Swing trend following (cleaner trend legs)
• Timeframes: 1H–4H with HTF filter = 1D.
• Flow:
1. Only act in Trend background aligned with HTF.
2. Add on subsequent ▲ signals as ARO maintains positive (or negative) territory.
3. Reduce or exit on Regime Shift (Trend → Range or direction flip) or when ARO crosses back through zero.
• Stops/targets: Initial 1.5–2× ATR; move to breakeven once the trade gains 1× ATR; trail with a multiple-ATR or structure lows/highs.
3) Range tactics (fade the extremes)
• Timeframes: 15m–1H or 1D on mean-reverting names.
• Flow:
1. Act only when background = Range.
2. Fade moves when ARO swings from ±extremes back toward zero near well-defined S/R.
3. Exit at the opposite band or zero line; abort if a Regime Shift to Trend occurs.
• Tip: Increase ER threshold (e.g., 0.35–0.40) to label more bars as Range on choppy instruments.
4) Event days & macro filters
• Approach: Raise the volatility floor (Min ATR%) on macro days (FOMC, CPI).
• Effect: You’ll ignore “fake” micro swings in the minutes leading up to releases and catch only post-event confirmed momentum.
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Parameter tuning guide
• ER Threshold:
• Lower (0.20–0.30) = more Trend bars, more signals, higher noise.
• Higher (0.35–0.45) = stricter trend confirmation, fewer but cleaner signals.
• Signal Threshold (±K):
• Raise to reduce whipsaws; lower for earlier but noisier triggers.
• Volatility Floor (ATR%):
• Thin/quiet assets benefit from a higher floor (e.g., 0.3–0.6).
• Highly liquid futures/forex can work with lower floors.
• HTF Filter:
• Keep it ON when you want higher win consistency; turn OFF for tactical counter-trend plays.
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Alerts (recommended setup)
• “ARO Long” / “ARO Short”: Entry-style alerts on confirmed signals.
• “ARO Regime Shift”: Context alert to scale in/out or switch playbooks (trend vs. range).
All alerts are non-repainting and fire only when the bar closes.
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Best practices & combinations
• Price action & S/R: Use ARO to define when to engage, and price structure to define where (breakout levels, pullback zones).
• VWAP/Session tools: In intraday trends, ▲ signals above VWAP tend to carry; avoid shorts below session VWAP in strong downtrends.
• Risk first: Size by ATR; never let a single ARO event override your max risk per trade.
• Portfolio filter: On indices/ETFs, enable HTF filter and a stricter ER threshold to ride regime legs.
⸻
Non-repaint and implementation notes
• The script does not repaint:
• Signals are computed and locked on bar close (barstate.isconfirmed).
• All higher-timeframe data uses request.security(..., lookahead_off, gaps_on).
• No future indexing or negative offsets are used.
• The Info Panel and Debug overlay are purely visual aids and do not change signal logic.
⸻
Limitations & tips
• Chop sensitivity: In hyper-choppy symbols, consider raising ER threshold and the signal threshold, and enable HTF filter.
• Instrument personality: EMAs/RSI lengths and volatility floor often need a quick 2–3 minute tune per asset class (FX vs. crypto vs. equities).
• No guarantees: ARO improves context and timing, but it is not a promise of profitability—always combine with risk management.
⸻
Quick start (TL;DR)
1. Timeframes: 5–15m intraday (HTF = 4H); 1H–4H swing (HTF = 1D).
2. Use defaults, then tune ER threshold (0.25–0.40) and Signal threshold (±20).
3. Enable Volatility Floor (e.g., 0.2–0.5 ATR%) on quiet assets.
4. Trade ▲ / ▼ only in matching Trend background; fade extremes only in Range background.
5. Set alerts for Long, Short, and Regime Shift; manage risk with ATR stops.
⸻
Author’s note: ARO Pro is designed to be clear, adaptive, and operational out of the box. If you publish variants (e.g., different ER logic, alternative trend cores), please credit the original and document any changes so users can compare behavior reliably.
HTF Big Candle ProjectionsWhat it does
This indicator overlays higher-timeframe (HTF) “big candles” at the right edge of any chart and keeps them perfectly parallel with price while you zoom or pan. In End-of-Chart (EOC) mode, all objects are anchored by bar index (not time) and clamped to TradingView’s ≤500 bars into the future rule, so they move 1:1 with the chart—no drift, no lag. A fallback mode preserves time-anchored labels if you prefer them.
Why it’s different / useful
Most MTF overlays drift when you scale or pan because they anchor by time or mix coordinate systems. This script anchors every end-of-chart object (bodies, wicks, OHLC guide lines, labels, range readout) in bar-index space, so the overlay scales identically to real bars. It also includes a safe-clamp to the 500-bar forward limit, automatic TF mapping for D/W/M charts, and optional projections from the previous HTF candle.
How it works (technical overview)
HTF data: The indicator fetches HTF OHLC using request.security() (no lookahead) and updates the current HTF candle live on each chart bar.
EOC placement (ON): Big candles are rendered with index-anchored boxes + wicks (box.new + line.new). X-positions are computed from bar_index + offset, then clamped to stay within the forward limit.
Fallback placement (OFF): Label coordinates switch to time-anchored for familiarity; candle bodies remain parallel via index logic.
OHLC helpers: Optional high/low/close guide lines extend right from the active HTF candle; OHLC labels and a range label can be placed to the side; a remaining-time widget shows how long until the HTF bar closes.
No lookahead / repaint caveat: The current HTF candle naturally evolves until it closes; that’s expected behavior for real-time HTF overlays.
Inputs & features
Place at end of chart (EOC mode toggle): index-anchored layout with ≤500-bar clamp.
Right Candle Timeframe: auto-map for D/W/M (D→W, W→M, M→3M) or set manually.
Offsets & width: right-edge offset (bars), left-candle offset, body width (bars), minimum gap between candles.
Wicks: show/hide (fallback mode draws wicks; index mode draws them via lines).
OHLC guide lines: toggle H/L/C, choose style/width/color, with right-side projection distance.
OHLC labels: side selection, text size, background/text colors, side offset.
Range label: toggle, side offset, size; option to show pip units (1/mintick).
Prev candle projections: optional HTF high/low lines from the left candle.
Remaining-time panel: live countdown to the HTF bar close.
Colors: bullish/bearish bodies and wicks.
How to use
Add to any chart (works best on intraday charts when viewing D/W/M candles).
Keep “Place at end of chart” ON for perfect parallel tracking while zooming/panning.
Choose Right Candle Timeframe (or use auto for D/W/M).
Adjust Body Width and Label/Line Offsets to taste. If you push offsets too far, the script auto-clamps objects to respect the 500-bar forward limit.
Optionally enable Prev Candle HL projections, OHLC labels, and the Range readout.
Publish with a clean chart so the overlay is easy to understand at a glance.
Notes & limitations
Forward plotting limit: TradingView only allows drawing ≤500 bars into the future. The script clamps all end-of-chart objects automatically; if you request more, it will shorten projections to remain compliant.
Sessions & symbols: Exotic sessions or illiquid symbols may produce uneven HTF boundaries. If needed, set the Right Candle Timeframe manually.
No signals, no promises: This is a visualization tool—it does not generate trade signals or promise performance. Use it alongside your own analysis and risk management.
Settings quick reference
EOC mode: ON (index-anchored) / OFF (time-anchored labels).
Right Candle TF: Auto D→W→M→3M or manual TF.
Offsets: Right edge, left candle, label/range/line projections.
Body Width: Candle thickness in bars.
Lines/Labels: OHLC guides, OHLC labels, Range label.
Prev HL: Previous HTF high/low projections.
Timer: Remaining time in the current HTF bar.
Colors: Bull/Bear bodies, wicks.
Disclaimer
For educational purposes only. Not financial advice. Past performance does not guarantee future results. Always test on your own and trade responsibly.
Author’s note on originality
This script focuses on bar-index anchored EOC rendering with comprehensive forward-clamping and dual label modes, aiming to solve the common drift/desync issues seen in MTF overlays during chart scaling.
Navigator Range Pro+Title Navigator Range Pro+
What it is Navigator Range Pro+ is a confluence-first indicator that blends multi-timeframe (MTF) trend bias with a Dealing Range (DR) framework. It helps you quickly see when higher timeframes align and pairs that bias with clean breakout triggers from a current range. Designed to reduce noise and keep charts readable.
What you’ll see
Dealing Range: Auto-detected range top/bottom with a midline. Choose Stuck (pivot-based, fixed) or Dynamic (rolling highest/lowest) modes.
MTF Bias: Higher timeframe trend bias derived from a selectable moving average (SMA/EMA).
Compact Info Panel (table): A configurable on-chart panel that summarizes each higher timeframe’s bias, optional lower-timeframe analog labels, and a confluence tally. You can position it, resize text, and set columns/rows to fit your layout.
Clean Charting: Flip labels are optional and default to off, so alerts can fire without covering price action.
How it works
Bias engine: Computes bullish/bearish bias for each selected higher timeframe using your chosen MA length/type, then aggregates them into a confluence count.
DR engine: Finds or follows the current trading range and calculates a midline reference for signals or context.
Signals: You can use pure confluence, pure DR breakouts, or a combined “Bias + DR” confirmation for higher-quality entries.
Inputs to know
HTF Ranges (comma separated): Higher timeframes to assess (e.g., W,D,240,60,15).
MA Length/Type: Controls the bias engine’s sensitivity.
DR Mode: Stuck (pivot-based, fixed until a new pivot confirms) or Dynamic (rolling high/low by lookback).
Swing Length / Dynamic Lookback / Extend Right: Shape how the range is found and displayed.
Panel Position / Text Size / Panel Columns / Panel Rows: Customize the on-chart table.
Alerts: Min HTFs to align and Strict alignment (no opposite) to refine confluence.
Show Flip Labels on Chart: Optional visual flip labels; alerts are unaffected if kept off.
Alert conditions
Multi-TF Confluence Bullish: Minimum number of HTFs are bullish (optionally strict).
Multi-TF Confluence Bearish: Minimum number of HTFs are bearish (optionally strict).
DR Breakout Up: Close crosses above DR top.
DR Breakout Down: Close crosses below DR bottom.
Bias + DR Combo Bullish: Bullish confluence and price above your DR threshold (Midline or Top/Bottom).
Bias + DR Combo Bearish: Bearish confluence and price below your DR threshold (Midline or Top/Bottom).
Tips
For live trading, “Once per bar close” alerts are the safest and most consistent.
Increase the Min HTFs to align to reduce noise; switch Combo Threshold to Top/Bottom for fewer, stronger momentum entries.
Keep flip labels off to maintain a clean chart (alerts still fire).
Disclaimer This script is for educational and informational purposes only and does not constitute financial, investment, or trading advice. Trading involves risk, including the risk of loss. You are solely responsible for your own trading decisions. Past performance does not guarantee future results. Always test on a demo and consult a licensed professional where appropriate.
Scalping MasterMarket Structure Analysis:
Swing Structure: Detects higher highs (HH), lower highs (LH), higher lows (HL), aur lower lows (LL) ko identify karta hai using pivot points (based on ta.highest aur ta.lowest).
Internal Structure: Chhote timeframes ke liye internal swing points aur break of structure (BOS)/change of character (CHoCH) ko track karta hai.
BOS/CHoCH Detection: Bullish aur bearish structure breaks (BOS) aur trend reversals (CHoCH) ko label karta hai.
Order Blocks (OB):
Internal Order Blocks: Chhote timeframe ke order blocks ko plot karta hai, jo liquidity zones ko represent karte hain.
Swing Order Blocks: Bade timeframe ke order blocks ko show karta hai.
Filtering: ATR ya Cumulative Mean Range ke basis par volatile order blocks ko filter karta hai.
Fair Value Gaps (FVG):
Price gaps (bullish aur bearish) ko detect aur plot karta hai.
Auto-threshold aur timeframe customization ke saath FVGs ko filter karta hai.
FVGs ko extend karne ka option deta hai (visual representation ke liye).
Equal Highs/Lows (EQH/EQL):
Equal highs aur lows ko identify karta hai, jo support/resistance zones ke liye useful hote hain.
Bars confirmation aur sensitivity threshold ke saath customizable hai.
Previous Highs/Lows (MTF):
Daily, weekly, aur monthly high/low levels ko plot karta hai.
Line style (solid, dashed, dotted) aur colors customizable hain.
Premium/Discount Zones:
Market ke premium, equilibrium, aur discount zones ko highlight karta hai, jo price action ke liye key areas hote hain.
Visual Customization:
Color Themes: Colored ya monochrome themes ke options.
Candle Coloring: Trend ke hisaab se candles ko color karta hai.
Labels aur Lines: Swing points, strong/weak highs/lows, aur structure breaks ke liye labels aur lines plot karta hai.
Modes:
Historical Mode: Past data ke saath complete structure dikhata hai.
Present Mode: Sirf recent structure aur signals dikhata hai, clutter reduce karne ke liye.
Alerts:
Bullish/Bearish BOS, CHoCH, order block breaks, aur EQH/EQL ke liye alerts set karne ka option.
Swing Points aur Trailing:
Strong/weak high aur low points ko track karta hai.
Trailing maximum/minimum ko extend karta hai for real-time analysis.
Kya Kya Mila Kar Bana Hai?
Yeh indicator Smart Money Concepts ke core principles par based hai aur in elements ko combine karta hai:
Pivot Point Analysis:
ta.highest aur ta.lowest functions se swing highs/lows detect karta hai.
Internal aur swing structure ke liye alag-alag lengths (e.g., length aur 5 for internal swings).
Price Action Concepts:
Break of Structure (BOS): Jab price pivot high/low ko break karta hai.
Change of Character (CHoCH): Jab trend reverse hota hai.
Confluence filtering ke saath accuracy improve karta hai.
Order Blocks:
Liquidity zones ko identify karne ke liye high/low ranges aur ATR/cumulative mean range ka use.
Bullish aur bearish order blocks ke liye customizable colors.
Fair Value Gaps:
Gaps in price action ko detect karne ke liye OHLC data ka analysis.
Timeframe aur auto-threshold ke saath flexibility.
MTF (Multi-Timeframe) Analysis:
Daily, weekly, monthly high/low levels ke liye ta.valuewhen aur time-based calculations.
Zones Detection:
Premium, equilibrium, aur discount zones ke liye price range calculations.
Visual Tools:
Lines, labels, aur boxes ke saath market structure ko visually represent karta hai (line.new, label.new, box.new).
Extendable lines aur boxes for better visibility.
User Inputs:
Customizable settings jaise timeframe, colors, lengths, aur filters, jo user ko flexibility dete hain.
Technical Components
PineScript Functions: ta.crossover, ta.crossunder, ta.highest, ta.lowest, ta.atr, ta.cum for calculations.
Arrays: Order blocks ke coordinates store karne ke liye (array.new_float, array.new_int, array.new_box).
Drawing Tools: Lines, labels, aur boxes ke saath dynamic plotting.
Conditional Logic: BOS, CHoCH, aur other signals ke liye complex conditions.
Timeframe Support: Multi-timeframe analysis ke liye input.timeframe.
سحابة المتوسطاتأفضل استخدام له مع فريم اكبر من فريم الشارت مثلاً الربع ساعة معاه فريم الساعة
الثلاث دقائق معاها الربع ساعة و هاكذا ربط الفريمات
المؤشر يرسم 3 متوسطات متحركة (يمكن اختيار نوعها: SMA/EMA/WMA/VWMA/HMA/RMA) ويُنشئ سحابتين بين هذه المتوسطات لإظهار الاتجاه والزخم بصريًا، مع منطق تلوين ذكي يميز حالات الترتيب “الطبيعي” والشواذ بين المتوسطات.
أهم الميزات:
MTF سلس بدون درج: إذا اخترت فريم أعلى، يستخدم المؤشر توليفًا تدريجيًا (LERP) بين قيمة الفريم الأعلى السابقة والحالية اعتمادًا على تقدم الوقت داخل شمعة الفريم الأعلى، ثم يُطبّق تنعيم EMA إضافي (softLen) لإزالة “الدرج”.
سحابتان ديناميكيتان:
السحابة الأولى (1↔3): بين أعلى وأدنى قيم المتوسطات الثلاثة. لونها “فاتح” افتراضيًا، وينعكس للون “غامق” عند حالات الشذوذ.
السحابة الثانية (اختياريًا 2↔3 أو 1↔2): بلون “غامق” افتراضيًا، وتنعكس ألوانها عند الشذوذ. توجد آلية منع وميض عند تغيير الزوج داخل الشمعة.
منطق الاتجاه والتلوين: يحدد حالات الترتيب (1>2>3 صعود رسمي، 1<2<3 هبوط رسمي) ويكشف “الشواذ” (مثل 1-3-2 أو 2-3-1) لتبديل درجات الألوان بين الفاتح/الغامق.
تحكمات مرئية: اختيار نوع/فريم المتوسطات، أطوال كل MA، ألوان وشفافية السحب، عرض الخطوط، وإظهار ليبلات على آخر شمعة بقيم المتوسطات مع حجم خط وخلفية قابلة للتخصيص.
تنظيف تلقائي لليبلات: إنشاء/تحريك عند آخر شمعة وحذفها عند الإخفاء لضمان أداء بصري نظيف.
طريقة الاستخدام السريعة:
اختر نوع المتوسط والفريم (اتركه فارغًا لاستخدام فريم الشارت).
حدّد أطوال وألوان المتوسطات الثلاثة.
اختر وضع السحب (الأولى/الثانية/كلتاهما) وحدد زوج السحابة الثانية.
فعّل الليبلات إن رغبت لمتابعة قيم المتوسطات على آخر شمعة.
English (Concise)
What it does:
This indicator plots three moving averages (type selectable: SMA/EMA/WMA/VWMA/HMA/RMA) and builds two clouds between them to visualize trend and momentum. It uses smart coloring to distinguish “normal” MA ordering vs. anomalies.
Key features:
Smooth MTF (no stepping): When a higher timeframe is selected, it linearly interpolates (LERP) between the previous and current HTF values based on intra-bar time position, then applies an extra EMA smoothing (softLen) to further reduce stair-stepping.
Two dynamic clouds:
Cloud 1 (MA1↔MA3): Spans the max/min of the three MAs. Uses a “light” palette by default, flips to “dark” on anomaly cases.
Cloud 2 (configurable pair: MA2↔MA3 or MA1↔MA2): Uses a “dark” palette by default, flips to “light” on anomalies. Includes anti-flicker logic when changing the pair intra-bar.
Trend & coloring logic: Detects ordered states (1>2>3 = bullish, 1<2<3 = bearish) and anomalies (e.g., 1-3-2 or 2-3-1) to swap cloud shades accordingly.
Visual controls: Choose MA type/timeframe, individual lengths and colors, cloud colors/transparencies, line width, and optional labels on the last bar showing MA values with customizable size/background.
Clean label handling: Creates/moves labels only on the last bar and deletes them when hidden, keeping the chart tidy.
Quick start:
Select MA type and timeframe (leave empty to use chart TF).
Set lengths/colors for the three MAs.
Pick the cloud mode (first/second/both) and the pair for Cloud 2.
Enable labels to display the latest MA values if desired.
RT-Signal LiteRT-Signal Lite — Learning & Price-Action Companion (EN)
Protected script – source code is not visible. Educational tool for learning structured entries, filters and risk management.
What it is
RT-Signal Lite is a learning-first price-action indicator that helps you turn chart context into repeatable entries. It combines a score engine (trend, momentum, volume, divergences) with optional pattern/structure filters, a clear signal panel, and a visual TP/SL ladder in R-multiples.
How it helps you learn
• Practice exact entry logic (Cross/Pullback/Breakout with optional Retest).
• See why a setup is allowed or blocked (FVG/HTF proximity, ADX/DI, Volume Z, Liquidity sweep etc.).
• Train risk thinking with R-based TP ladder, BE/Trailing, “SL-Fishing” concept and a compact monthly performance table (educational only).
• Multi-TF RSI panel + simple market labels keep the big picture in view.
• Works great in Replay mode for bar-by-bar drills.
Quick start
Pick a supported timeframe (3/5/15/30/45/60/240/D by default; or add your own in Settings → Timeframe-Gate).
Choose an Entry Mode : CrossOnly / Pullback / Breakout (with ATR buffer) / Retest / Any.
Keep default risk presets (ATR or Structure SL, TP1 in R, step in R, optional BE/Trailing).
Read the Signal Box : direction, Entry/SL/SL-Fishing, TP1…TPn, status, VIX/VDAX state, score & confidence.
Use Trend Box for MTF RSI and a quick checklist (Breakout, Volume OK, Divergence, VIX allowed).
Train in Replay → journal your decisions.
Main features (Lite)
• Entry engine : SMA cross, EMA pullback bounce, prior HH/LL breakout with ATR buffer, optional strict Retest window; candlestick assists (Hammer/Shooting Star, Engulfing, Morning/Evening Star, Doji, Inside Bar, 3 Soldiers/Crows).
• Filters : ADX/DI thresholds (TF-aware), Volume (level & Z-score), RSI divergences (pivot-anchored), ATR/Close regime, FOMO-bar guard, Liquidity sweep window, Opposite Order-Block distance, FVG zone gating, HTF zone proximity, optional VIX/VDAX gate (auto picks VDAX for DAX).
• Structure : Support/Resistance lines, classical FVG (lifetime & mitigation), robust Order-Blocks with separate states and mitigation logic.
• Scanners : Triangle breakout (Lite).
• Risk & exits : Structure/ATR SL, SL-Fishing buffer, TP ladder in R (TP1…TPn), optional BE & Trailing after TP1, cooldown, max bars in trade.
• UI : Signal Box, Trend Box, local trade boxes/lines (entry/sl/tp), watermark, monthly performance table (one outcome per trade: highest TP or SL-Fishing; counted by exit/entry month – for learning only).
• Alerts : Alerts are available in PRO only.
• Privacy : Compiled & protected; source code is not visible.
Key inputs (short list)
Entry mode • Breakout ATR buffer • Retest window/strict • Pullback bounce •
Risk: min R:R, Structure/ATR SL, ATR multiplier, TP ladder, BE/Trail, Cooldown •
Filters: ADX/DI, Volume/Z, ATR regime, RSI limits, FVG/HTF gates, Liquidity sweep, Opp. OB distance •
Scanners: Triangle (Lite) • RSI-MTF toggles • Visuals (Signal/Trend boxes, SR, OB/FVG).
Markets & timeframes
Indices (US/DE), commodities, crypto, forex, stocks.
Works on the whitelisted/custom TFs (e.g., 3/5/15/30/45/60/240/D). Heikin-Ashi and some feeds may change results; volume-based filters need reliable volume.
Best practice (learning workflow)
• Start with 5m/15m/1h on liquid symbols.
• Train in Replay: define entry, see blockers, adjust rules, collect screenshots.
• Move to live observation (paper/sim) only after you can explain every entry/avoidance.
• Use strict risk: position sizing to SL, no over-optimization, no promises.
FAQ — “No signal?” (common blockers)
TF not allowed • Cooldown active • ADX/DI below threshold • VIX/VDAX gate off •
Retest not hit yet • FVG/HTF gate blocking • FOMO bar filtered • Min R:R to next level not met • Opposite OB too close • Liquidity sweep window not satisfied.
PRO upgrade
Adds alerts and extra scanners (Range/Channel/Double-Top/Bottom), more visualization and flexibility. Links are provided inside the script under Settings → Info .
Disclaimer
For educational purposes only. No financial advice. No performance guarantee. Always validate signals in context (structure, liquidity, volatility, news). You are fully responsible for your decisions and risk.
Riz Goldbach FrameworkRiz Goldbach Framework maps a dynamic dealing range and a set of Goldbach-derived price levels to structure intraday decision-making. It blends range math (PO3), level clustering, session weighting, volume/volatility context, and an explainable scoring engine that can issue BUY/SELL signals with risk levels (SL/TP). It is designed for discretionary traders who want rules-based context rather than a black box.
Core concepts (how it works)
1) PO3 Dealing-Range Engine
⦁ The script builds a tri-based PO3 range around current price (Auto or Manual).
⦁ It shifts the range when price “accepts” outside (close/wick—user selectable) and adapts width with ATR so the range expands in high volatility and tightens in low volatility.
⦁ From this range it computes mid, premium/discount halves, and sub-mids.
2) Goldbach Levels (structure map)
Within the active PO3 range, fixed percentages anchor recurring behaviors:
⦁ Rejection edges: 3%, 97%
⦁ Order-block tendency: 11%, 89%
⦁ FVG tendency: 17%, 83%
⦁ Liquidity void / expansion: 29%, 71%
⦁ Breaker band: 41%, 59%
⦁ Mitigation band: 47%, 53%
⦁ Equilibrium: 50%
⦁ Touch/near logic is tolerance-based (body-only optional). The script also counts confluence clusters (2=moderate, 3+=strong) near price.
3) Market elements the script tracks
⦁ Order Blocks (OB): detected after BOS behavior when price is sitting on OB-biased GB levels (11/89).
⦁ FVG: 3-bar gaps at FVG-biased levels (17/83) with optional “% fill” confirmation.
⦁ LV bars: wide-range, high-range bars around 29/71 for displacement/voids.
⦁ Equal Highs/Lows (EQH/EQL): tolerance with labeling for sweep risk.
⦁ Circuit Breaker (CB): zone seeded at 41/59. States: intact → broken → retest → revalidated/failed. A shaded band shows the active breaker zone.
⦁ Twin Towers (TT): equal-high/equal-low doublet with spacing/volume/RSI checks, then sweep-and-return into the breaker zone for confirmation.
4) Context & filters
⦁ Trend vs Range: DMI/ADX + EMA stack infer TREND/RANGE/TRANSITION and scale the required score.
⦁ MTF alignment: compares current PO3 halves vs HTF PO3 halves (user timeframe), rewarding alignment and flagging divergence.
⦁ Fib–Goldbach confluence: checks 61.8/38.2/78.6/127.2/161.8 against key GB levels for added weight.
⦁ Session weighting: Asia/London/NY bias different GB levels; weights are higher for London/NY.
⦁ Volume-weighted liquidity: tracks volume at EQH/EQL to flag “high-commitment” sweeps.
⦁ AMD cycle (smart): accumulation/manipulation/distribution estimated from ATR regimes, sweeps, BOS continuation, divergence and PO3 shifts.
⦁ Optional filters: HTF bias, SMT divergence via a second symbol, VSA volume emphasis, news blackout session.
5) Signal engine
⦁ Modes: MMxM, Trending, or Hybrid (auto switches depending on CB acceptance + ATR expansion).
⦁ A score (0–100) aggregates weighted conditions (GB touch/confluence, AMD alignment, CB state, TT, FVG/OB interaction, HTF bias, SMT, high-volume, RSI momentum).
⦁ Adaptive threshold raises/lowers requirements in TREND vs RANGE.
⦁ Outputs: BUY/SELL label with strength (WEAK/NORMAL/STRONG), a reasons string (e.g., GB+AMD+Breaker+TT+FVG+HTF+RSI), and risk levels:
⦁ SL: rejection/structure anchored (e.g., GB3/GB97 or recent swing ± ATR).
⦁ TP1: opposite breaker (41/59).
⦁ TP2: opposite FVG tendency (17/83).
⦁ Live RR displayed on label and plotted as dashed lines.
⦁ Cooldown, session/time, weekend, and volatility gates suppress poor-quality or clustered signals.
What you see on the chart
⦁ PO3 bands: High/Low/Mid lines plus background shading for Premium (bear tint), Discount (bull tint), Equilibrium (neutral).
⦁ Goldbach lines: Major structure (0/50/100) plus the functional GB set (11/17/29/41/47/53/59/71/83/89/3/97).
⦁ Blocks & gaps: OB lines, FVG boxes (extend right, fill progress), LV box, breaker zone band, and TT logic states.
⦁ CE/MT: Central equilibrium (~3.5%/96.5%) and mid-towers (25%/75%) trigger optional alerts.
⦁ Session overlays: Asia/London/NY (optional).
⦁ Opens: Daily/Weekly (optional).
⦁ Dashboard: PO3 value, Zone (Premium/Discount/Equilibrium), AMD phase, Session, Mode (MMxM/Trending/Hybrid), CB state, nearest GB tag, Market context (TREND/RANGE/TRANS), recent Events, and rolling win-rate tallies (signals/CB/TT) from the current chart session.
How to use it (workflow)
1. Pick a preset
⦁ Minimal: only core structure.
⦁ Standard: levels + dashboard.
⦁ Full: adds sessions + GBT window overlays.
2. Choose range logic
⦁ PO3 Auto is reactive and scales with ATR.
⦁ Manual PO3 is for precise range control.
3. Scope your bias
⦁ Confirm Zone (Premium/Discount), CB state, and AMD phase; check MTF row if enabled.
⦁ Strong setups usually appear when session-weighted GB levels + confluence ≥ 2 + CB revalidated + AMD = manipulation → distribution (short) or accumulation → manipulation (long).
4. Act on signals (optional)
⦁ When a label prints, read the factors string and score.
⦁ Use plotted SL/TP1/TP2 lines and RR.
⦁ Respect cooldown, news blackout, and volatility filter.
Inputs you might tweak
⦁ PO3: Auto/Manual, acceptance by Close vs Wick, adaptive widening/tightening.
⦁ Levels: Major-only vs All; tolerance %; wick vs body touches.
⦁ Signals: Mode, score threshold, cooldown, confirm on close.
⦁ CB/TT: breaker width %, spacing window & tolerance, suppress bars after TT.
⦁ Filters: HTF timeframe, SMT symbol, VSA on/off, news blackout session.
⦁ Visuals: colors, line opacity, label sizes, dashboard position/size.
⦁ FVG/LV/CE/MT: fill %, and per-event alerts.
Alerts available
⦁ BUY/SELL signal, PO3 shift, GB touch (with tag), CB broken/retest pass/fail, TT setup/confirmed, OB tagged, FVG formed/filled, LV expansion, CE/MT touches.
Limitations & notes
⦁ Signals are contextual—they depend on the active PO3, tolerance, filters, session weighting, and volatility regime.
⦁ HTF requests depend on broker/exchange data and the timeframe you assign; if HTF is empty or illiquid, features degrade gracefully but may be less informative.
⦁ Win-rate tallies are session-local (not a historical performance guarantee).
⦁ Parameter choices (e.g., tolerance, breaker width, thresholds) materially change behavior.
Disclaimer
This tool is for educational/informational purposes only. It does not constitute financial advice, an invitation to trade, or performance assurance. Markets involve risk—always test on replay/paper and manage risk independently.