DkSPro Market Analysis XRPUSDT UsBinance HH HL LH LLDkSPro – Market Analysis (XRPUSDT) | Strategy Version
DkSPro – Market Analysis is an institutional-grade scalping strategy designed specifically for XRPUSDT on Binance.US.
This strategy was built to help traders make high-probability, fee-aware decisions by filtering out low-quality trades, market noise, and conditions where exchange fees would negatively impact profitability.
Unlike generic indicators, DkSPro focuses on precision, confirmation, transparency, and risk control, making it ideal for serious traders who value consistency over overtrading.
⸻
✅ Key Advantages
✔ Institutional-grade logic
✔ Optimized for XRPUSDT scalping
✔ Clearly explains why trades are taken or rejected
✔ Actively reduces bad and low-quality trades
✔ Professional structure, easy to publish, sell, or automate
⸻
🔍 What This Strategy Analyzes
DkSPro combines past market structure with real-time confirmation tools to evaluate both the present and historical context of price action:
• Higher Timeframe trend confirmation using EMA structure
• Lower Timeframe execution for precise scalping entries (15m / 5m)
• Market structure analysis (swing highs & lows)
• Valid breakout detection (not fake moves)
• Volume confirmation (real participation only)
• Momentum validation via RSI
• Fee-aware filtering for Binance.US (0.57% trading fee)
• Dynamic confidence scoring to validate trade quality
Trades are triggered only when all conditions align, significantly reducing false signals and emotional entries.
⸻
⚙️ Core Strategy Logic
A trade is executed only if all of the following conditions are met:
✔ Trend direction is clearly confirmed
✔ EMA structure is properly aligned
✔ Market structure breakout is valid
✔ Volume exceeds average participation
✔ Momentum supports continuation
✔ Confidence score meets minimum quality threshold
✔ Expected price movement exceeds exchange fees
If any single condition fails, the strategy does not enter a trade.
⸻
🧠 Smart Trade Transparency
DkSPro visually explains:
• Why a trade is taken
• Why a trade is NOT taken
• Current Market State (RANGE / TREND / BREAKOUT)
• Real-time Confidence Score (%)
This allows traders to fully understand market behavior instead of blindly following signals.
⸻
🔔 Alerts & Automation Ready
• Clean and precise BUY & SELL alerts
• Fully compatible with TradingView alerts
• Ready for webhooks, bots, and automated execution
• Suitable for manual, semi-automatic, or fully automated trading
⸻
⚠️ FINAL RECOMMENDATION (VERY IMPORTANT)
👉 Use the 15-minute timeframe to identify setups
👉 Use the 5-minute timeframe for precise trade entries
👉 Do NOT start testing this strategy on the 1-minute timeframe
👉 Always backtest for a minimum of 2–4 weeks before trading live
This strategy performs best under proper timeframe alignment and controlled conditions. Ignoring these recommendations may lead to inconsistent results.
⸻
🧠 Who This Strategy Is For
✔ XRP scalpers
✔ Binance.US traders
✔ Traders who want fee-aware entries
✔ Traders who prefer confirmation over guessing
✔ Traders focused on consistency, discipline, and risk management
⸻
⚠️ Risk Disclaimer
This strategy is a technical analysis tool, not financial advice.
Market conditions can change rapidly. Always manage risk properly and **never trade with capital
Strategy!
Session Liquidity Sweep + Trend ConfirmationThis strategy aims to capture high-probability intraday trades by combining liquidity sweeps with a trend confirmation filter. It is designed for traders who want a systematic approach to trade breakouts during specific market sessions while controlling risk with ATR-based stops.
How it Works:
Session Filter: Trades are only considered during a defined session (default 9:30 - 11:00). This helps avoid low-volume periods that can lead to false signals.
Trend Confirmation: The strategy uses a 50-period EMA to identify the market trend. Long trades are only taken in an uptrend, and short trades in a downtrend.
Liquidity Sweep Detection:
A long entry occurs when price dips below the prior N-bar low but closes back above it, indicating a potential liquidity sweep that stops being triggered before the trend continues upward.
A short entry occurs when price spikes above the prior N-bar high but closes below it, signaling a potential sweep of stops before the downward trend resumes.
ATR-Based Risk Management:
Stop loss is calculated using the Average True Range (ATR) multiplied by a configurable factor (default 1.5).
Take profit is set based on a risk-reward ratio (default 2.5x).
Position Sizing: Default position size is 5% of equity per trade, making it suitable for risk-conscious trading.
Inputs:
Session Start/End (HHMM)
Liquidity Lookback Period (number of bars to define prior high/low)
ATR Length for stop calculation
ATR Stop Multiplier
Risk-Reward Ratio
EMA Trend Filter Length
Visuals:
Prior Liquidity High (red)
Prior Liquidity Low (green)
EMA Trend (blue)
Why Use This Strategy:
Captures stop-hunt moves often triggered by larger market participants.
Only trades with trend confirmation, reducing false signals.
Provides automatic ATR-based stop loss and take profit for consistent risk management.
Easy to adjust session time, ATR, EMA length, and risk-reward to suit your trading style.
Important Notes:
Assumes 0.05% commission and 1-pip slippage. Adjust according to your broker.
Not financial advice; intended for educational, backtesting, or paper trading purposes.
Always test strategies thoroughly before applying to live accounts.
DkSPro2.0 Universal Market Analysis Crypto + ForexDkSPro – Universal Market Analysis
Crypto & Forex | Institutional Structure | Bot-Ready Strategy
📌 Overview
DkSPro – Universal Market Analysis is a professional-grade trading strategy designed for both Crypto and Forex markets, built on institutional market structure, trend confirmation, and volume validation.
This strategy is optimized for scalping and intraday trading, focusing exclusively on high-probability setups by filtering out low-quality trades, ranging markets, and false breakouts.
Unlike generic indicators, DkSPro prioritizes precision, structure, and confirmation, making it ideal for traders who value consistency over overtrading.
🧠 What Makes DkSPro Different
✔ Institutional market structure (HH / HL / LH / LL)
✔ Trend-based EMA ribbon for directional bias
✔ Confirmed breakouts (no guessing)
✔ Volume validation (real market participation only)
✔ Adaptive logic for Crypto vs Forex
✔ Clean and clear BUY / SELL signals
✔ Fully BOT-READY (TradingView alerts & webhooks)
🔍 What This Strategy Analyzes
DkSPro combines multiple layers of confirmation to ensure only the highest-quality trades are executed:
• Higher-probability trend direction using EMA structure
• Price action and institutional market structure (HH, HL, LH, LL)
• Breakouts from recent key structure levels
• Momentum confirmation via RSI
• Volume strength adapted to market type (Crypto or Forex)
• Anti-overtrading logic (one signal per valid confirmation)
Trades are triggered only when all conditions align, significantly reducing false signals and emotional trading.
⚙️ Asset Type Logic (IMPORTANT)
The strategy automatically adapts its behavior based on the selected asset type:
🟢 CRYPTO Mode
• Designed for high-volatility markets
• Stronger volume confirmation filters
• Ideal for Binance, Binance.US, Bybit, OKX
• Best suited for XRP, BTC, ETH, SOL
🔵 FOREX Mode
• Optimized for high-liquidity, lower-volume markets
• Softer volume filtering logic
• Ideal for OANDA, FXCM, IC Markets, Pepperstone
• Best suited for EURUSD, GBPUSD, USDJPY, XAUUSD
⏱ Recommended Timeframes
✔ Crypto: 5m – 15m
✔ Forex: 15m – 1H
⚠️ The 1-minute timeframe is not recommended.
🤖 Automation & Bots
DkSPro is fully compatible with automation, making it ideal for both semi-automatic and fully automated trading systems:
• Clean BUY and SELL TradingView alerts
• One signal per confirmed setup
• Non-repainting logic
• Webhook-ready for external bots and APIs
🧪 Backtesting Recommendation
👉 Backtest for at least 2–4 weeks before live trading
👉 Test Crypto and Forex separately
👉 Adjust position sizing according to your risk management plan
🧠 Who This Strategy Is For
✔ Crypto & Forex scalpers
✔ TradingView users
✔ Structure-based traders
✔ Bot users and algorithmic traders
✔ Traders focused on risk control and consistency
⚠️ Risk Disclaimer
This strategy is a technical analysis tool, not financial advice.
Market conditions can change rapidly. Always manage risk properly and never trade with capital you cannot afford to lose.
🚀 Final Notes
DkSPro is not designed to trade every move — it is designed to trade the right moves.
When used with the recommended settings and timeframes, DkSPro delivers clean structure, precise signals, and institutional-grade confirmation across both Crypto and Forex markets.
XM Trade Edge Pro- StrategyXM Trade Edge Pro – Strategy
📖 Strategy Description
XM Trade Edge Pro – Strategy is a rule-based backtesting strategy built using a Supertrend trend-following framework.
The strategy is designed to help users study trend behavior, entry timing, and exit logic under different market conditions using TradingView’s strategy tester.
This script is intended for educational, research, and analytical purposes only, allowing users to evaluate how a simple trend-based logic performs historically across instruments and timeframes.
⚙️ Strategy Logic Overview
Uses Supertrend as the primary trend filter
Enters Long when price crosses above Supertrend
Enters Short when price crosses below Supertrend
Exits positions when price crosses back against the Supertrend
Supports configurable Trade Mode:
Long only
Short only
Both directions
All trades are generated automatically by predefined rules to allow consistent backtesting.
🔧 User Inputs
Trade Mode: Long / Short / Both
Sensitivity: Controls Supertrend responsiveness
ATR Length: Adjusts volatility calculation
Users are encouraged to experiment with these parameters to understand their impact on strategy behavior.
📊 Backtesting & Usage
This is a TradingView strategy, not a signal service
Results shown in the Strategy Tester are historical simulations only
Performance varies across symbols, timeframes, and market regimes
No future performance is implied or guaranteed
⚠️ Important Notes
This strategy is not optimized for live trading
No position sizing, risk management, or capital allocation logic is included
Users should apply their own risk controls and validation
Results may differ due to slippage, fees, and execution differences
🚫 Disclaimer
This strategy does not constitute financial advice, investment recommendations, or trading signals.
Trading involves substantial risk. Users are solely responsible for their own trading decisions and outcomes.
🔐 Access & Distribution
This strategy is published as Invite-Only
Access is granted manually by the author
Redistribution, resale, or public sharing of access is not permitted
🛠 Support
For questions related to strategy logic, settings, or TradingView usage, please contact the author via TradingView private message.
BE-QuantFlow: Adaptive Momentum Scalper█ Overview: QuantFlow: Adaptive Momentum Scalper
QuantFlow is a sophisticated algorithmic momentum trading method designed specifically for indices and high-beta stocks. it is an automated trade manager for indices. BE-QuantFlow acts as a Co-Pilot, analyzing how fast you are driving (Momentum) and how bumpy the road is (Volatility) to decide not just when to enter, but how to manage the gear shifts (hedging) safely.
🧠 How It Calculates
Momentum (The Speed) : Standard indicators (like RSI) treat every price candle equally. BE-QuantFlow uses a "Weighted Memory." It gives far more importance to what happened just now compared to 10 minutes ago. It checks the "Sustainance"—is the price closing near its high (strong buyers) or leaving long wicks (weak buyers)? This creates a "Weighted Score" that reacts instantly to fresh power.
Volatility (The Road Condition) : The script measures the movement of the current candle and sorts every single bar into three buckets: Small (Quiet), Mid (Normal), or Tall (Dangerous). in proportion to eating up the move done in the recent past.
🎯 When does an Entry Become "Valid"?
Conceptually, the script looks for a specific market state before taking a trade:
The "Wake Up" Phase: The market must transition from a "Sleep" state (low volatility, sideways movement) to an "Awake" state.
Unidirectional Energy: script don't just look for price going up / down. It looks for Agreement. This happens when the Volatility (expansion of range) aligns perfectly with Momentum (speed of buying/selling).
The View: A entry is valid when the market stops "chopping" up and down and starts "stretching" in one direction. The script waits for that precise moment where the "rubber band" stretches enough to confirm a move, but not so much that it's about to snap back.
█ The Scalping Engine: Hedging Made Simple
For a trader new to options, your biggest enemy is Time Decay (Theta). This script fights Time Decay using two specific "Defense Modes."
A. The "Flip" (The Shield)
When it happens: You are in a trade (e.g., Bought a Call), and the price starts moving slightly against you. It hasn't hit your Stop Loss, but the move is struggling (The Pull Back).
The View: "The trend is taking a break or pulling back."
The Action: The script automatically Hedges brought Option to yeild you a little while protecting further loss. It just turns a "waiting period" / "neutral period."
B. The "Spread" (The Anchor)
When it happens: The trade is going your way, but very slowly. Momentum is dropping.
The View: "We are winning, but Time Decay might eat our profits before we reach the target."
The Action: The script converts your trade into a Spread.
Why? This cancels out the effect of Time Decay. It anchors your profit, allowing you to stay in the trade longer without losing value to time.
█ The "Intra-Bar" Method (Crucial for Scalpers)
This is an Aggressive System . waiting for a candle to close (e.g., waiting 5 minutes) before giving a signal. In scalping, 5 minutes is an eternity. This is only and only for the Scalpers. It is designed to enter fast, capture quick moves, and exit or adjust immediately if the market conditions change.
Real-Time Logic : BE-QuantFlow calculates logic on every tick (every price change). It screams "GO" the second a condition is met.
The "Repaint" Reality : Because it is fast, you might see a label appear and then disappear if the price snaps back instantly. This is a feature, not a bug . It is hunting for the exact moment momentum breaks.
Trust the Alerts, Not the Labels : Do not trade by looking at the chart labels alone. They are for visual reference. You must trust the Alerts. If an alert fires, the math was valid at that millisecond, and the trade should be executed.
Transparency : Use the "Show Debug Levels" checkbox in the settings. This reveals what's happening under the hood (Stop Losses, Trigger points etc) in the form of alerts by helping you understand why an alert fired.
█ Do's and Don'ts
✅ Do's
Start Small : Keep the Lot Multiplier at 1 initially. Option can earn and burn you badly; get used to the rhythm.
Discipline is Key : If the Algo signals a "Hedge," you must Hedge. If you ignore or try to manually execute other option strike as the hedge thinking "it will recover loss back," you defeat the mathematical advantage of the system.
❌ Don'ts
Don't Manual Trade : The script tracks quantities, strikes, calls & puts internally. let the script do its intended job. Manually intervening can leave you with naked positions.
█ Risk & Protocols
⚠️ Margin Requirements
Because this script sells options (during Flips and Spreads), your broker will block more margin than a simple "Buy" trade.
Rule: Always keep a Margin Buffer. If a Hedge alert fires and you have zero free margin, the order will fail, leaving you exposed to a market crash.
⚠️ The "Hard Stop"
No algorithm can predict a war or a sudden news event (Black Swan).
Protocol: The script has a safety line (Dashed Line). If the "EXIT ALL" alert triggers, the trade is dead. Exit immediately. Do not hold onto hope.
⚠️ Intraday Only (Gap Risk)
This logic is designed for a continuous market. It cannot calculate what happens while the market is closed.
Golden Rule: Never carry positions overnight. A gap up or down the next morning can bypass all your hedges and stop losses. Ensure the "Intraday Square-off" setting is enabled to auto-close trades before the bell.
█ How to Start: A Quick Setup Guide
Step 1: Map Expiry Dates
Manually input your trading expiry dates in Settings -> Expiry Management.
Format: YYYY-MM-DD (e.g., 2025-12-25). Strict adherence required for DhanHQ.
Step 2: Configure Symbol & Size
Exchange/Symbol: Enter NSE and NIFTY (or your ticker).
Lot Multiplier: Default is 1. Set to 2 to double all quantities (e.g., Buy 2 becomes Buy 4).
IMPORTANT: Broker & Technology Heads-Up:
The alerts generated by this script ({"secret": "...", "alertType": "multi_leg_order"...}) are specifically formatted for the DhanHQ webhook structure.
Dhan Users: Plug-and-play.
Other Brokers: You need middleware to parse the JSON.
█ Risk Disclaimer & Advice
Trading options involves substantial risk.
Margin: Selling options requires significant margin. Keep a 15-20% cash buffer to handle adjustments instantly.
Testing: This strategy is optimized for NIFTY Weekly Options with TF of 5 to 15 Min. Effectiveness on BankNifty or Sensex is untested and may require parameter tuning.
Advice:
Paper Trade: Run for at least one expiry cycle before live deployment.
Consult: Seek professional financial advice before trading.
Practical Tips for Smooth Execution
For a new trader deploying this system, these operational tips are vital:
Capital Buffer: Do not trade at your limit. Always keep 10-15% free cash in your broker account. Adjustments require additional margin instantly. If margin is short, the order fails, and your hedge breaks.
Liquidity Awareness: The script trades "Far Deep OTM" options too in order to boost profit.
Trust the Process (but Verify): While the algo drives, you are the pilot.
Check your API connection every morning.
Ensure the "Expiry date" matches your real-world date.
Verify that your broker executed all legs of a multi-leg order (partial fills are rare but possible).
The "Human" Stop: If major news breaks (e.g., unexpected election results, war announcements), volatility can expand faster than any algo can react. It is acceptable—and smart—to pause the strategy during known "Black Swan" events or earnings releases.
█ Testing Scope, Feedback
⚠️ Important Note on Asset Classes:
This strategy logic and the associated strike step calculations have been rigorously tested ONLY on NIFTY Index Options with Weekly Expiry.
BankNifty / Sensex / FinNifty: The volatility characteristics and strike intervals with respect to delta, gamma effect and time left for expiry of these instruments differ significantly from NIFTY. The effectiveness of this strategy on these other scripts has not been verified and may require different parameter tuning.
We encourage traders to backtest this logic on other indices and share their findings! If you find a robust parameter set for BankNifty or observe unique behaviors on other scripts, please let us know in the comments below so we can improve the algorithm for everyone. Your feedback is appriciated.
Scalping Suitability Radar🔍 Scalping Suitability Radar + BUY / SELL / STAND-BY Signals
What this indicator is
The Scalping Suitability Radar is a decision-support indicator designed to help traders avoid low-quality scalping environments and focus only on moments when the market shows:
Sufficient volatility
Adequate liquidity (volume)
Real momentum
Meaningful trend strength
Clear entry timing
Instead of forcing trades in slow, choppy, or low-energy markets, this indicator answers one critical question first:
“Is the market even worth scalping right now?”
Only after the market is deemed scalpable does it assist with:
BUY / SELL signals
STAND-BY (anticipation) alerts
A color-coded decision table explaining why a signal exists (or why you should stay out)
🧠 Core Philosophy
Most losing scalps don’t fail because of bad entries —
they fail because the market conditions were never suitable.
This indicator is built around the idea that:
No setup is better than a forced setup.
🧩 What the indicator evaluates (automatically)
1️⃣ Volatility (ATR % + optional Bollinger Band Width)
Confirms price is moving enough to overcome:
Spreads
Slippage
Time decay (especially for options)
If volatility is too low → NO SCALP
2️⃣ Volume (Relative to recent average)
Ensures liquidity is present
Prevents entries during thin, slow tape
Low volume = unreliable signals
3️⃣ Trend Strength (ADX)
Filters out dead chop and weak direction
Optional requirement that ADX is rising, not just high
4️⃣ Momentum (MACD + Histogram)
Confirms energy behind price movement
Histogram behavior helps anticipate crosses
5️⃣ Directional Bias (RSI + optional EMA filter)
RSI confirms bullish or bearish pressure
EMA filter aligns trades with short-term structure
🟢🟠🔴 Signal Types Explained
🟢 BUY / SELL
Triggered only when all market conditions are suitable, plus:
MACD crossover in the trade direction
RSI confirms directional bias
Optional EMA trend alignment
These are actionable scalp entries , not predictions.
🟠 STAND-BY (Anticipation Signal)
This is a unique feature designed to help you prepare before the entry fires.
STAND-BY appears when:
Market is already scalpable
MACD line and signal line are very close and converging
RSI is in range or very near range
Momentum is building toward a cross
What it means:
“Conditions are aligning — be ready, but don’t enter yet.”
This is especially useful for:
Fast timeframes (30s / 1m)
Options scalping
Traders who want to avoid chasing late entries
⚪ NOT SCALPABLE / GRAY BACKGROUND
When the background is gray:
Volatility, volume, trend, or momentum is insufficient
Any signals during this period should be ignored
This is intentional capital preservation
📊 Decision Table (Built for Novice & Advanced Traders)
The on-chart table shows, in real time:
Each indicator’s current value
The minimum “good” range
Color-coded status:
🟢 Green = suitable
🔴 Red = unsuitable
Helpful notes like:
“ADX rising”
“MACD near cross”
“RSI near LONG range”
“Stand-by confirmed”
This turns the indicator into a learning tool, not just a signal generator.
⚙️ Suggested Settings by Asset Type
Use these as starting points , not absolutes.
📈 Index Futures / Index CFDs (ES, NQ, DAX)
Timeframes: 30s – 1m
Min ATR %: 0.10 – 0.15
Min BB Width %: 0.20 – 0.30
Volume Multiplier: 1.1 – 1.2
ADX Min: 18 – 22
RSI Buy/Sell: 52 / 48
EMA Filter: ON
🧾 Index Options (0DTE SPX, ES options)
Timeframes: 30s
Min ATR %: 0.12 – 0.20
Min BB Width %: 0.25 – 0.40
Volume Multiplier: 1.2 – 1.4
ADX Min: 20 – 25
RSI Buy/Sell: 53 / 47
STAND-BY: Highly recommended
🪙 Crypto (BTC, ETH, majors)
Timeframes : 1m – 3m
Min ATR %: 0.15 – 0.30
BB Width %: 0.30 – 0.50
Volume Multiplier: 1.1
ADX Min: 17 – 20
RSI Buy/Sell: 51 / 49
EMA Filter: Optional (depends on style)
📊 Large-Cap Stocks (AAPL, MSFT, NVDA)
Timeframes: 1m – 5m
Min ATR %: 0.08 – 0.12
BB Width %: 0.15 – 0.25
Volume Multiplier: 1.2
ADX Min: 18
RSI Buy/Sell: 52 / 48
🧠 Best Practices
Do not trade against gray background
Use STAND-BY to prepare, not predict
Combine with:
Market structure
Key levels
Risk management
One clean trade > ten forced trades
⚠️ Disclaimer
This indicator is provided for educational and informational purposes only .
This is not financial advice
It does not guarantee profits or prevent losses
Markets behave differently across assets, sessions, and regimes
You are responsible for choosing settings that match:
Your trading style
Your risk tolerance
The specific asset you trade
Always test settings using paper trading or backtesting before using real capital.
CSO FSVZO V104 - THE APEX STRATEGY
Overview this Strategy is a high-performance trend-following and momentum breakout system designed to capture explosive price movements. It utilizes a refined "Zero-Lag" engine that combines volatility bands with exponential moving averages to filter out market noise and focus on high-probability trend shifts.
🧠 Core Logic & Mechanics
The strategy operates on a dual-confirmation engine:
The Zero-Lag Basis: It uses a smooth Exponential Moving Average (EMA) based on the hlcc4 (average of High, Low, and 2x Close) to identify the core trend direction without the usual lag.
Volatility Bands: Using a Standard Deviation-based channel (similar to Bollinger Bands but more reactive), the strategy calculates dynamic overbought and oversold thresholds.
The Trigger:
Long Entry: Triggered when the price breaks above the Upper Band while maintaining a close above the EMA Basis.
Short Entry: Triggered when the price falls below the Lower Band while maintaining a close below the EMA Basis.
🛡️ Built-in Risk Management
This version comes with integrated trade execution management:
Fixed Percentage Exits: Every trade is automatically protected by a customizable Stop Loss (SL) and Take Profit (TP) percentage.
Default Settings: Optimized for a 2:1 Reward-to-Risk Ratio (e.g., 2% TP and 1% SL), though these can be fully adjusted in the settings to suit your asset (Crypto, Forex, or Stocks).
🎨 Visual Feedback
Trend Bars: The candlesticks change color dynamically based on the active trend (Teal for Bullish, Pink/Red for Bearish).
Shaded Zones: The background between the bands is filled to provide an immediate visual cue of the current market "climate."
Order Labels: Clearly visible Entry and Exit labels on the chart for transparency and backtesting analysis.
⚙️ How to Use
Timeframes: While it works on all timeframes, it excels on 15m, 1h, and 4h for swing trading.
Sensitivity: Adjust the "Reaction Speed" (Length) for faster or slower signals. Increase the "Channel Width" (Multiplier) to filter out more noise in highly volatile markets.
Backtesting: Use the TradingView Strategy Tester to find the optimal TP/SL percentages for your specific pair.
⚠️ Disclaimer
Trading involves significant risk. This strategy is an automated tool to assist in decision-making and should be used in conjunction with other technical analysis methods. Always test on a demo account before risking live capital.
BEST SETTINGS ARE
REACTION SPEED 115
CHANNEL WIDHT 3
TP 7
SL 5
15 min look ahead free strategy
Overview This Strategy is a high-performance trend-following and momentum breakout system designed to capture explosive price movements. It utilizes a refined "Zero-Lag" engine that combines volatility bands with exponential moving averages to filter out market noise and focus on high-probability trend shifts.
🧠 Core Logic & Mechanics
The strategy operates on a dual-confirmation engine:
The Zero-Lag Basis: It uses a smooth Exponential Moving Average (EMA) based on the hlcc4 (average of High, Low, and 2x Close) to identify the core trend direction without the usual lag.
Volatility Bands: Using a Standard Deviation-based channel (similar to Bollinger Bands but more reactive), the strategy calculates dynamic overbought and oversold thresholds.
The Apex Trigger:
Long Entry: Triggered when the price breaks above the Upper Band while maintaining a close above the EMA Basis.
Short Entry: Triggered when the price falls below the Lower Band while maintaining a close below the EMA Basis.
🛡️ Built-in Risk Management
This version comes with integrated trade execution management:
Fixed Percentage Exits: Every trade is automatically protected by a customizable Stop Loss (SL) and Take Profit (TP) percentage.
Default Settings: Optimized for a 2:1 Reward-to-Risk Ratio (e.g., 2% TP and 1% SL), though these can be fully adjusted in the settings to suit your asset (Crypto, Forex, or Stocks).
🎨 Visual Feedback
Trend Bars: The candlesticks change color dynamically based on the active trend (Teal for Bullish, Pink/Red for Bearish).
Shaded Zones: The background between the bands is filled to provide an immediate visual cue of the current market "climate."
Order Labels: Clearly visible Entry and Exit labels on the chart for transparency and backtesting analysis.
⚙️ How to Use
Timeframes: While it works on all timeframes, it excels on 15m, 1h, and 4h for swing trading.
Sensitivity: Adjust the "Reaction Speed" (Length) for faster or slower signals. Increase the "Channel Width" (Multiplier) to filter out more noise in highly volatile markets.
Backtesting: Use the TradingView Strategy Tester to find the optimal TP/SL percentages for your specific pair.
⚠️ Disclaimer
Trading involves significant risk. This strategy is an automated tool to assist in decision-making and should be used in conjunction with other technical analysis methods. Always test on a demo account before risking live capital.
Institutional Market Structure Pro [JOAT]Institutional Market Structure Pro – SMC, MTF Momentum & Z-Score Confluence Engine
IMPORTANT NOTES (READ FIRST)
This is an indicator (not a strategy). It does not place trades. It provides a structured confluence framework combining market structure, momentum, and statistical analysis.
This script is written in Pine Script v6 and is intended to be used on standard candlestick charts .
Source code visibility: This script is published as Protected Source (closed-source) . The purpose is to protect the work from unauthorized re-uploads/copies and to maintain a stable versioning path. This description is intentionally detailed so you can understand what the indicator does and how to use each feature without needing access to the implementation.
Non-Repainting: HTF data uses confirmed historical values with proper offset, ensuring reliable signals for live trading.
Protected Source / Closed-Source Clarification
Protected source does not mean "trust me blindly". It means the internal implementation is not publicly viewable.
The operational behavior is documented here: what is plotted, what each dashboard cell means, what each input controls, and how to interpret the output.
If you see re-uploads or near-identical copies elsewhere, treat them with caution and rely on the official publication.
Overview
Institutional Market Structure Pro (IMS Pro) is a comprehensive technical analysis indicator designed to help traders identify market structure shifts, momentum alignment, and statistical price extremes. It combines:
Smart Money Concepts (SMC) – Swing highs/lows, Change of Character (CHoCH), Break of Structure (BOS)
Higher Timeframe Momentum – MACD-based institutional bias from configurable HTF
Statistical Z-Score Analysis – Standard deviation bands identifying statistically extreme price levels
Trend Cloud – EMA-based short-term trend visualization
Confluence Scoring – Four-factor system combining all layers into actionable bias
The indicator was developed to address a common challenge: most retail traders struggle to identify when institutional order flow is shifting direction. By combining market structure analysis with higher timeframe momentum and statistical deviation measurements, IMS Pro helps traders see the market through an institutional lens.
What Makes It Original (Originality & Usefulness)
This script is not a simple mashup of SMC concepts. It is a coordinated workflow:
Market Structure Layer identifies swing highs, swing lows, and structural breaks (CHoCH and BOS) using configurable pivot detection
Momentum Layer analyzes higher timeframe MACD to determine institutional momentum bias with non-repainting implementation
Statistical Layer calculates Z-Score deviation bands to identify statistically extreme price levels where reversals are more likely
Confluence Scoring combines all layers into a single actionable bias score (STRONG BULL to STRONG BEAR)
When these three layers align, the indicator provides high-probability trading opportunities. The dashboard displays real-time confluence scoring so traders can quickly assess market conditions.
1) Chart Visuals – What You See on the Chart
A) Swing Highs and Swing Lows
The indicator identifies swing points using a configurable pivot detection algorithm:
Swing Highs – Red circles above the price level where they formed
Swing Lows – Green circles below the price level where they formed
Pivot Sensitivity – Controls how many bars are required to confirm a swing point (default: 10 bars)
Higher pivot sensitivity values result in fewer but more significant swing points. Lower values capture more swings but may include noise.
B) Change of Character (CHoCH)
A Change of Character occurs when price breaks a swing level in the opposite direction of the current trend, signaling a potential trend reversal:
Bullish CHoCH – Price breaks above a swing high while the market was previously in bearish structure. Displayed as a green dashed line with "CHoCH" label.
Bearish CHoCH – Price breaks below a swing low while the market was previously in bullish structure. Displayed as a red dashed line with "CHoCH" label.
CHoCH signals are significant because they indicate that the side previously in control (buyers or sellers) has lost dominance. These are often the first signs of a trend reversal.
C) Break of Structure (BOS)
A Break of Structure occurs when price breaks a swing level in the same direction as the current trend, confirming trend continuation:
Bullish BOS – Price breaks above a swing high while already in bullish structure. Displayed as a light green solid line with "BOS" label.
Bearish BOS – Price breaks below a swing low while already in bearish structure. Displayed as a light red solid line with "BOS" label.
BOS signals confirm that the current trend remains intact and the dominant side maintains control.
D) Z-Score Deviation Bands
Statistical bands showing price deviation from mean:
Upper Band (+2 sigma) – Light red line showing the overbought threshold
Lower Band (-2 sigma) – Light green line showing the oversold threshold
Mean Line – Gray line showing the statistical average price
Extreme Markers – Diamond shapes appear when price first enters extreme zones
Statistical Probability Context:
68% of price action occurs within +/- 1 standard deviation
95% of price action occurs within +/- 2 standard deviations
99.7% of price action occurs within +/- 3 standard deviations
When price reaches +/- 2 standard deviations, there is only a 5% probability of it moving further in that direction, making these levels statistically significant for potential reversals.
E) Trend Cloud
Visual representation of short-term trend direction using two EMAs (9 and 21):
Green Cloud – Fast EMA is above slow EMA, indicating bullish short-term momentum
Red Cloud – Fast EMA is below slow EMA, indicating bearish short-term momentum
F) HTF Momentum Background Tint
Subtle background coloring based on higher timeframe MACD:
Green Background Tint – Higher timeframe momentum is bullish (MACD line > signal line)
Red Background Tint – Higher timeframe momentum is bearish (MACD line < signal line)
No Tint – Momentum is neutral or the feature is disabled
2) IMS PRO Dashboard – Full Glossary
A compact table displays real-time summary of all analysis layers:
Header Row
Displays "IMS PRO" and current symbol
Color changes based on overall bias (green for bullish, red for bearish)
Row 1 – Structure
BULLISH : Higher highs and higher lows pattern
BEARISH : Lower highs and lower lows pattern
NEUTRAL : Mixed swings, ranging/consolidating market
Row 2 – HTF
Shows higher timeframe momentum bias with selected timeframe in parentheses
BULLISH : MACD line > signal line on HTF
BEARISH : MACD line < signal line on HTF
Row 3 – Z-Score
Displays current Z-Score value with color coding
Green for positive, red for negative
Bright colors for extreme values (beyond +/- 2)
Row 4 – Trend
UP : Fast EMA > Slow EMA
DOWN : Fast EMA < Slow EMA
RANGING : EMAs approximately equal
Row 5 – Overall Bias
STRONG BULL : Score +3 to +4 (all factors aligned bullish)
BULL : Score +1 to +2 (majority of factors bullish)
NEUTRAL : Score 0 (mixed signals)
BEAR : Score -1 to -2 (majority of factors bearish)
STRONG BEAR : Score -3 to -4 (all factors aligned bearish)
Row 6 – Swing High
Price level of the most recent swing high
Useful for stop loss and target placement
Row 7 – Swing Low
Price level of the most recent swing low
Useful for stop loss and target placement
3) How the Confluence Scoring Works (High-Level)
IMS Pro uses a four-factor confluence scoring system:
Market Structure (+1/-1) : Bullish structure adds +1, bearish structure adds -1
HTF Momentum (+1/-1) : Bullish HTF momentum adds +1, bearish adds -1
Trend Direction (+1/-1) : Uptrend adds +1, downtrend adds -1
Z-Score Position (+1/-1) : Z-Score above +0.5 adds +1, below -0.5 adds -1
Score Interpretation:
Score +3 to +4 = STRONG BULL – All factors aligned bullish
Score +1 to +2 = BULL – Majority of factors bullish
Score 0 = NEUTRAL – Mixed signals
Score -1 to -2 = BEAR – Majority of factors bearish
Score -3 to -4 = STRONG BEAR – All factors aligned bearish
Z-Score Calculation:
Z-Score = (Price - Mean) / Standard Deviation
Mean and StdDev calculated over configurable lookback period (default: 75)
Z-Score = 0 means price is at the mean
Z-Score = +2 means price is two standard deviations above mean (statistically overbought)
Z-Score = -2 means price is two standard deviations below mean (statistically oversold)
4) Inputs & Settings – Full Reference
Market Structure Settings
Pivot Sensitivity (default: 10): Number of bars to confirm swing points. Range: 2-50.
Show Last N Bars (default: 500): Limits historical display for performance.
Show Swing Highs : Toggle swing high markers.
Show Swing Lows : Toggle swing low markers.
Show CHoCH : Toggle Change of Character labels.
Show BOS : Toggle Break of Structure labels.
Swing High Color (default: red): Color for swing high markers.
Swing Low Color (default: green): Color for swing low markers.
Higher Timeframe Momentum Settings
Enable HTF Momentum : Toggle HTF analysis.
Higher Timeframe (default: 240/4H): Timeframe for momentum analysis.
MACD Fast Length (default: 12): Fast EMA period for MACD.
MACD Slow Length (default: 26): Slow EMA period for MACD.
MACD Signal Length (default: 9): Signal line period.
Show HTF Bias Background : Toggle background tint.
Bias Background Transparency (default: 92): Opacity of background tint.
Statistical Analysis Settings
Enable Z-Score Analysis : Toggle statistical analysis.
Z-Score Lookback (default: 75): Period for mean and standard deviation calculation.
Show Extreme Deviation Bands : Toggle +/- 2 sigma bands.
Extreme Z-Score Threshold (default: 2.0): Z-Score level considered extreme.
Visual Settings
Show Information Dashboard : Toggle dashboard display.
Dashboard Position (default: Top Right): Corner placement for dashboard.
Color Bars by Trend : Toggle bar coloring based on confluence.
Show Trend Cloud : Toggle EMA cloud display.
Cloud Transparency (default: 85): Opacity of trend cloud fill.
Alert Settings
Alert on CHoCH : Enable CHoCH alerts and visual markers.
Alert on BOS : Enable BOS alerts and visual markers.
Alert on Extreme Z-Score : Enable extreme zone alerts and markers.
5) Recommended Workflow (Practical Use)
Step 1: Identify Market Structure
Observe swing highs and swing lows to understand current structure
Higher highs + higher lows = Bullish structure
Lower highs + lower lows = Bearish structure
Mixed swings = Ranging/consolidating market
Step 2: Check Higher Timeframe Bias
Look at background tint and dashboard HTF reading
Trading with HTF momentum increases probability of success
Step 3: Wait for Structure Breaks
For trend reversals: Wait for CHoCH signals that align with HTF momentum
For trend continuation: Wait for BOS signals that confirm existing trend
Step 4: Consider Statistical Context
Avoid buying when Z-Score is extremely positive (overbought)
Avoid selling when Z-Score is extremely negative (oversold)
Look for reversals when price reaches extreme bands
Step 5: Assess Overall Confluence
STRONG BULL = High-probability long setups
STRONG BEAR = High-probability short setups
NEUTRAL = Wait for clearer signals
Recommended Timeframe Settings:
For 15-minute charts: Use 4H (240) higher timeframe
For 1-hour charts: Use Daily (D) higher timeframe
For 4-hour charts: Use Weekly (W) higher timeframe
6) Alerts
IMS Pro ships with alert conditions for:
Bullish CHoCH : Triggers when a bullish Change of Character is detected
Bearish CHoCH : Triggers when a bearish Change of Character is detected
Bullish BOS : Triggers when a bullish Break of Structure is detected
Bearish BOS : Triggers when a bearish Break of Structure is detected
Extreme Overbought : Triggers when Z-Score first exceeds the extreme threshold
Extreme Oversold : Triggers when Z-Score first drops below the negative extreme threshold
Bullish Confluence : Triggers when CHoCH + HTF Bullish + Oversold Z-Score align
Bearish Confluence : Triggers when CHoCH + HTF Bearish + Overbought Z-Score align
The confluence alerts are particularly valuable as they only trigger when multiple factors align, filtering out lower-probability setups.
7) Limitations & Best-Use Guidance
Market structure analysis works best in trending markets; may produce mixed signals in choppy conditions.
Higher timeframe data requires sufficient historical bars to calculate accurately.
Z-Score assumes normal distribution which may not hold during extreme market events.
Past structural patterns do not guarantee future price behavior.
The indicator is a tool for analysis, not a standalone trading system.
Always validate on your own symbols and timeframes before committing capital.
Best Practices:
Always trade in the direction of the higher timeframe momentum
Use CHoCH signals for potential reversals, BOS signals for continuations
Avoid entries when Z-Score is at extremes against your trade direction
Wait for STRONG BULL or STRONG BEAR confluence for highest probability trades
Adjust pivot sensitivity based on your trading timeframe (higher for swing trading, lower for day trading)
Use the swing high and swing low levels from the dashboard for stop loss and target placement
Disclaimer
This script is for educational and informational purposes only. It does not constitute financial advice or a recommendation to buy or sell any financial instrument. Trading involves substantial risk of loss. Past performance of any trading methodology is not indicative of future results. Users should conduct their own research and consult with qualified financial advisors before making trading decisions. The author is not responsible for any losses incurred from using this indicator.
-Made with passion by officialjackofalltrades
T.S.T PRO [Jak-Dong collection]Overview
The is a high-performance trend-following strategy designed to capture major market moves while filtering out "noise" and false breakouts. It utilizes a sophisticated Triple Supertrend engine combined with multiple analytical layers—Volume, Momentum (ADX), Volatility (BBW), and Multi-Timeframe (HTF) analysis—to ensure high-probability entries.
Core Entry Logic
1. Triple Supertrend Alignment: The strategy confirms a trend only when three Supertrends with different sensitivities (Fast, Medium, Slow) align in the same direction.
2. Median Filter: To prevent entering at the very top or bottom of a local spike, the price must be positioned relative to the Median Supertrend line.
3. Strategic Filters (Optional):
- Volume Filter: Ensures the move is backed by sufficient market participation.
- ADX Filter: Confirms trend strength to avoid weak or exhausting trends.
- Volatility (BBW) Filter: Uses Bollinger Band Width to ensure the market is in an active expansion phase.
- HTF Trend Filter: Syncs the current timeframe trades with a higher time frame (e.g., Daily) to ensure you are trading with the "Big Picture" trend.
Advanced Money Management
This strategy is built with professional risk management at its core:
- 4 Sizing Modes: Choose between Risk % of Equity, Fixed Capital Amount, % of Equity, or Fixed Quantity.
- Dual Stop-Loss Modes: * Supertrend Mode: Dynamically tracks the Median Supertrend line.
- Fixed Mode: Locks the SL at entry based on ATR multiplier or fixed percentage.
- Execution Flexibility: Choose between "Real-Time Touch" (instant SL) or "On Close" (confirmed bar) for exit execution.
Profit Taking & Protection
- 5-Stage Take Profit: Scale out of positions systematically. Each TP level can be set via ATR Multiplier or Fixed Percentage.
- Automatic Break-Even: Once Take Profit 1 (TP1) is hit, the strategy automatically moves the Stop Loss to the entry price, securing a "risk-free" trade.
Visual Analytics
- Dynamic Visuals: Clearly displays your active Stop Loss, Entry Price, and all 5 Take Profit levels on the chart.
- Performance Table: Includes an integrated Monthly Performance Table to track your strategy's historical returns, drawdown, and consistency directly on the UI.
Recommended Settings
- Timeframes: 1H, 4H, and Daily (D) timeframes are recommended for the best trend-following results.
- Assets: Highly liquid assets such as Major Crypto Pairs (BTC, ETH) and Major Forex pairs.
- Optimization: While the default settings are robust, users are encouraged to adjust the Supertrend factors and ATR multipliers based on the specific volatility of their chosen asset.
Disclaimer
This script is for educational and backtesting purposes only. Past performance does not guarantee future results. Trading involves significant risk, and it is highly recommended to test the strategy thoroughly on a demo account before live deployment.
OPTIONS - MACD MOMENTUM - RAVIN# 📘 OPTIONS – MACD MOMENTUM (Usage Guide)
This indicator is designed for intraday options trading (CALL / PUT)
It works best on **indices and liquid stocks**.
## 🔧 RECOMMENDED SETUP (VERY IMPORTANT)
### ✅ Best Instruments
* **Indices**: SPX, SPY, QQQ
* **Large-cap stocks**: NVDA, TSLA, AAPL, MSFT etc
### ⏱ Best Timeframes
* **Scalping**: 1 min / 3 min
* **Intraday**: 5 min / 15 min
👉 Use the **same timeframe** for chart and indicator (default setting is ON).
## 🟢 CALL – HOW TO TRADE
### 📌 How to Enter
* Buy **ATM or 1-step ITM CALL**
* Entry on **next candle open** after CALL label
### ❌ Avoid CALL if
* Market is choppy / sideways
* EMA 9 & EMA 21 are flat or tangled
* Signal appears near strong resistance / day high
## 🔴 PUT (BUY PE) – HOW TO TRADE
### 📌 How to Enter
* Buy **ATM or 1-step ITM PUT**
* Entry on **next candle open** after PUT label
### ❌ Avoid PUT if
* Market is consolidating
* EMA 9 & EMA 21 are overlapping
* Signal appears near strong support
## 🧠 HOW TO READ THE LABEL
Each label shows:
```
CALL / PUT
Strike Price (rounded)
Date
Time
```
👉 Strike price is **approximate** (ATM reference).
Always confirm actual option chain before placing order.
## 🔔 ALERTS (Highly Recommended)
Enable alerts for:
* **CALL Signal**
* **PUT Signal**
This allows:
* Hands-free monitoring
* Fast execution
* Mobile alerts
## 🏆 BEST TRADING CONDITIONS
✔ Trending market
✔ After market open (9:20–11:30)
✔ High volume candles
✔ EMA 9 & EMA 21 clearly separated
## ⚠️ IMPORTANT DISCLAIMER
* This is a **momentum-based indicator**, not a prediction tool
* Do **NOT overtrade**
* Avoid trading during:
* Major news
* Low volume periods
* Always manage risk manually (fixed capital per trade)
## ⭐ PRO TRADER TIP
> **Trade only the first 2–3 signals per session.
> Quality > Quantity**
IQV - Strategy Builder V1IVQ – Strategy Builder V1
A rule-based strategy development tool for TradingView that enables systematic backtesting and evaluation of trading concepts. Combines valuation filters, supply & demand structures, price action rules, and risk management parameters (SL/TP, CRV) to build, visualize, and analyze strategies directly on the chart and in the TradingView strategy tester.
invoriaquant.onepage.me
XAUUSD invite-only [choch signals]My " Entry Sniper" doesn't just print random arrows. It follows a strict institutional logic to ensure every signal has high-probability backing:
Trend Alignment (H1/M15): Signals only appear if the Higher Timeframe trend matches the entry. We don't trade against the Big Banks.
Liquidity Sweep Verification: The script identifies "Retail Traps" where price briefly breaks a level to trigger stops. The signal only fires if price successfully "reclaims" that level.
Momentum Confirmation (ATR): We use an Average True Range (ATR) filter to ensure the signal candle has enough "Institutional Impulse". This helps you avoid small, choppy candles that lead to drawdowns.
7-Stage Profit Tracking: As soon as a signal is confirmed, the script immediately plots 7 Take-Profit (TP) levels. These targets are sent as automated alerts to your Telegram, helping you scale out of your position professionally.
Timeframe Tip: For the best results, use this on the 3-Minute (M3) timeframe. This allows the script to catch reversals faster than the M5 while staying more stable than the M1.
Why This is Better Than Standard Indicators
Most basic indicators trigger in real-time and then "disappear" if the price moves back. By using the alert.freq_once_per_bar_close function for the final signal, your indicator ensures that what you see in backtesting is exactly what you get in live trading.
SYNC_TRIGGER/vH1 Dow Theory Trend Navigator (Non-Repaint) — Trend Direction + Reversal Levels + Alerts
This indicator is designed to reduce decision fatigue by giving you a clear, repeatable “compass” for trend direction based on Dow Theory logic on the H1 timeframe — and then displaying that same H1 judgement across any chart timeframe you are viewing.
Most traders don’t lose because they can’t find entries — they lose because they enter against the dominant direction, hesitate at the wrong moments, and get chopped by noise. This tool focuses on the core problem first: direction and structure.
What this indicator does (in one sentence)
It calculates H1 Dow-Theory trend state and key reversal/structure levels, then shows the same results on lower and higher timeframes so you can trade with a consistent “map” instead of changing opinions every timeframe.
Key Features
1) H1 Dow Theory Trend State (Up / Down)
The indicator continuously evaluates market structure using Dow Theory principles (higher highs / higher lows vs lower highs / lower lows) on the H1 timeframe and produces a simple trend state:
Up Trend: structure supports higher highs / higher lows
Down Trend: structure supports lower highs / lower lows
This trend state is meant to be your “default bias” — the baseline direction you prefer to trade with.
2) Same H1 Results Displayed on Any Timeframe
Many tools change output depending on the chart timeframe and make you second-guess yourself. This indicator is built to keep your perspective stable:
View H1, M15, M5, or H4 — the H1 judgement remains consistent
Your trading plan stays coherent even when you zoom in for execution
This is especially useful for traders who analyze with a higher timeframe but execute on a lower timeframe.
3) Important Reversal / Breakdown Levels (Horizontal Key Levels)
When trend structure shifts or is threatened, you need to know where the market must not break to keep the trend thesis valid. The indicator highlights key horizontal levels derived from H1 structure logic, such as:
“If price breaks this, the current trend bias is invalidated”
“This level is a critical point where reversals are likely to confirm”
These levels are not meant to predict the future — they are meant to give you objective decision points.
4) Alerts for Trend Changes / Key Events
You can enable alerts so you don’t have to stare at charts all day.
Use alerts to catch:
Trend state changes (Up ↔ Down)
Break/confirmation events around key structure levels
(Depending on your setup) other decision events supported by the script
Who this is for
Best for:
Trend followers who want a consistent HTF direction filter
Traders who often get chopped because they switch bias too frequently
People who understand basic technical analysis but want a simpler, more repeatable framework
Traders who prefer “structure & direction” tools rather than entry-signal spam
Not ideal for:
Pure scalping in tight ranges (no tool magically fixes chop)
Traders who want guaranteed “buy/sell” calls with no discretion
Anyone who refuses to respect risk management
How to use (practical workflow)
Step 1: Use H1 trend state as your bias
If the indicator shows Up Trend, prioritize long setups
If it shows Down Trend, prioritize short setups
This alone can eliminate a large percentage of low-quality trades.
Step 2: Use key levels as decision points
If price approaches a key level, expect reaction/volatility
If price breaks a key level, treat it as a structure warning or confirmation event
Combine this with your own entry method (pullbacks, breakouts, patterns, etc.)
Step 3: Execute on lower timeframes without losing the big picture
Use M15/M5 for fine execution while keeping the same H1 structure “map” visible.
This is the main edge: clean direction + clean structure, everywhere.
Recommended Markets / Timeframes
This indicator is designed around H1 market structure. It can be used on:
Forex majors/crosses
Gold (XAUUSD)
Indices / Crypto (depending on broker feeds and volatility)
Recommended approach:
H1 is the “brain”
Lower TFs are the “hands”
Non-Repaint Policy & Notes
This tool is built with reliability in mind. However, any structure-based method depends on price forming swings/pivots, which become clearer as bars close. For best consistency:
Prefer signals/alerts that occur on bar close (confirmed events)
Avoid judging the tool from a single screenshot inside a fast spike
The goal is not to predict perfectly — it is to provide a stable, repeatable framework.
Risk Disclaimer
Trading involves risk. This indicator is an analytical tool and does not guarantee profits. Always use appropriate position sizing and risk management. Past performance is not indicative of future results.
Summary
If you want a “compass” indicator that:
Keeps your trend bias consistent
Shows the same H1 structure view on any timeframe
Highlights key levels where the trend thesis is validated or broken
Helps you trade with less hesitation and less noise
…then this indicator is built for exactly that purpose.
If you want, I can also generate:
A shorter “sales page” version (high conversion)
A bullet-heavy version for marketplaces like GoGoJungle
A version specifically tailored to XAUUSD traders (strong niche targeting)
Prismatic Liquidity Engine [JOAT]Prismatic Liquidity Engine v6 - SMC Structure, Liquidity & Confluence Suite
IMPORTANT NOTES (READ FIRST)
This is a strategy script with automated entry/exit logic for backtesting and forward-testing purposes. It does not place live trades without your broker integration.
This script is written in Pine Script® v6 and is intended to be used on standard candlestick charts (not Heikin Ashi, Renko, etc.).
Source code visibility: This script is published as Protected Source (closed-source) to prevent unauthorized copies and maintain versioning integrity. This description documents what the strategy does, how it works, and how to use it.
All backtesting results shown use the default settings documented below. Adjust parameters for your specific instrument and risk tolerance.
Protected Source / Closed-Source Clarification
Protected source means the internal implementation is not publicly viewable.
The operational behavior is documented here: what is detected, what each module does, what each input controls, and how to interpret the output.
If you see unauthorized copies elsewhere, report them via TradingView's plagiarism reporting system.
Overview
Prismatic Liquidity Engine v6 is a Smart Money Concepts (SMC) strategy that combines market structure analysis, liquidity zone detection, and price imbalance identification into a unified decision framework. The strategy identifies trading opportunities by analyzing:
Market structure shifts (Break of Structure / Change of Character)
Liquidity pools (equal highs/lows where stops accumulate)
Price imbalances (Fair Value Gaps created by aggressive institutional participation)
Order blocks (accumulation/distribution zones)
The strategy requires confluence across multiple factors before generating entries, filtering out noise and focusing on setups where structure, liquidity, and momentum align.
What Makes This Strategy Original (Originality & Usefulness)
This is not a simple mashup of standard indicators. The strategy implements a coordinated SMC workflow:
Structure defines the directional bias (BOS confirms trend, CHoCH signals potential reversal).
Liquidity zones identify where stop-hunts are likely to occur before major moves.
FVGs and Order Blocks provide objective entry zones with defined invalidation levels.
Session filtering restricts trading to high-liquidity periods (London/NY overlap).
ATR-based risk management adapts stop/target placement to current volatility.
Confluence scoring requires multiple conditions to align before entry.
The purpose is to systematize SMC concepts into a testable, repeatable framework rather than relying on discretionary interpretation.
1) Chart Visuals — What You See
A) Fair Value Gap (FVG) Zones
The strategy detects three-candle formations that create price imbalances:
Bullish FVGs : Gap between candle 1's high and candle 3's low after aggressive upward movement.
Bearish FVGs : Gap between candle 1's low and candle 3's high after aggressive downward movement.
Zones are drawn as boxes with size labels showing the gap in price terms.
Mitigation tracking marks zones as "used" when price trades back through them.
How to use:
FVGs represent areas where price moved too fast for balanced trading.
Price often returns to these zones before continuing in the original direction.
The strategy uses FVGs as potential entry zones when other confluence factors align.
B) Order Block (OB) Zones
Bullish OBs : Last down-candle before a strong upward move (institutional absorption).
Bearish OBs : Last up-candle before a strong downward move (institutional distribution).
Volume-weighted analysis distinguishes significant blocks from noise.
Breach detection invalidates spent order blocks.
C) Market Structure Labels
BOS (Break of Structure) : Price breaks beyond previous swing high/low, confirming trend continuation.
CHoCH (Change of Character) : Price breaks structure against the prevailing trend, signaling potential reversal.
Swing highs/lows are marked and connected for visual structure tracking.
D) Liquidity Zone Markers
Equal highs : Buy-side liquidity pools (stop losses from shorts).
Equal lows : Sell-side liquidity pools (stop losses from longs).
Sweep detection identifies when liquidity is taken.
E) Session Background Shading
Asian session: 0000-0900 UTC
London session: 0700-1600 UTC
New York session: 1300-2200 UTC
Background tint indicates active session for context.
F) Trend EMAs (Optional)
EMA 20 / 50 / 200 for trend direction context.
Used internally for trend alignment requirements.
2) Strategy Execution Logic (How Entries Work)
Long Entry Conditions (all must be true):
Market bias is bullish (confirmed by BOS or CHoCH analysis).
Price is within a valid bullish FVG or Order Block zone.
EMAs show bullish alignment or recovery.
Volume exceeds 20-period moving average (participation confirmation).
Trade window is active (session filter).
A BOS or CHoCH signal is present.
Short Entry Conditions (all must be true):
Market bias is bearish (confirmed by BOS or CHoCH analysis).
Price is within a valid bearish FVG or Order Block zone.
EMAs show bearish alignment or recovery.
Volume exceeds 20-period moving average.
Trade window is active.
A BOS or CHoCH signal is present.
Exit Logic:
Primary stop loss: ATR-based (default 1.5x ATR).
Fallback stop: Recent swing point if ATR stop is too wide.
Take profit: ATR-based (default 2.5x ATR).
Trailing stop available for locking in profits.
3) Strategy Properties & Backtesting Documentation
Default Strategy Properties (Properties Tab):
Initial Capital : $10,000 USD — realistic for average retail trader
Base Currency : USD
Order Size : 10% of equity per trade
Pyramiding : 1 order (no pyramiding for conservative risk)
Commission : 0.05% per order (realistic for CFD/forex brokers)
Slippage : 2 ticks per order (accounts for market impact)
Risk Per Trade:
With ATR Stop Multiplier at 1.5x and 10% position sizing, typical risk per trade is approximately 1-3% of equity depending on volatility. This is within the sustainable 5-10% maximum recommended by TradingView guidelines.
Published Backtest Results (GOLD 5m, Sep 28, 2025 – Jan 12, 2026):
Total Trades : 37
Profitable Trades : 56.76% (21 of 37)
Profit Factor : 2.067
Net Profit : +$40.90 USD (+0.04%)
Max Drawdown : $98.62 USD (0.10%)
Sample Size Justification:
This strategy intentionally generates fewer trades (37 in this sample) because it requires multi-factor confluence before entry:
Market structure confirmation (BOS or CHoCH)
EMA trend alignment
Valid SMC zone proximity when zone filter is enabled
The confluence requirement filters out low-probability setups, resulting in a positive profit factor (2.07) and controlled drawdown (0.10%) at the cost of trade frequency. This is a deliberate design choice — the strategy prioritizes quality over quantity .
To increase sample size for your own testing:
Test across multiple instruments (EURUSD, BTCUSD, indices)
Extend the historical date range
Reduce Swing Length parameter from 5 to 3
Strategy Input Defaults:
Swing Length : 5 bars
ATR Period : 14 bars
ATR Stop Multiplier : 1.5x ATR
ATR Take Profit Multiplier : 2.5x ATR (1.67:1 reward-to-risk)
Risk % of Equity : 1.0%
Trading Session : 0000-2359 (all sessions)
Require FVG/OB Zone Entry : OFF
Require Volume Confirmation : OFF
Require EMA Alignment : ON
Backtest Limitations & Realistic Expectations:
Backtesting assumes perfect fills at the close price — live execution will differ.
Commission and slippage significantly impact net results. Always test with your broker's actual fees.
Past performance does not guarantee future results.
Results vary across instruments, timeframes, and market regimes.
This strategy performs best in trending markets with clear structure — ranging/choppy conditions will produce more false signals.
Always forward-test on paper before risking real capital.
4) Real-Time Dashboard
The dashboard provides market context at a glance:
Market Bias : BULLISH / BEARISH / NEUTRAL based on structure.
Trend Strength : STRONG / WEAK based on EMA alignment.
ATR : Current volatility level with HIGH / MEDIUM / LOW classification.
Volume : Current volume ratio vs 20-period average (SPIKE / HIGH / NORMAL / LOW).
Session : Active trading session.
Key Levels : Dynamic resistance and support from recent structure.
Signal Count : Active SMC signals with strength indicator.
Trade Window : OPEN / CLOSED based on session filter.
5) Inputs & Settings Reference
Structure Detection
Swing Length : Lookback for swing high/low detection (default: 5). Lower = more signals, Higher = major structure only.
FVG Settings
Show FVGs : Toggle FVG box display.
FVG Extension : How long FVG boxes extend forward (default: 20 bars).
Order Block Settings
Show Order Blocks : Toggle OB display.
OB Extension : How long OB boxes extend forward (default: 20 bars).
Liquidity Settings
Liquidity Range % : ATR percentage for "equal high/low" classification (default: 0.5%).
Show Liquidity Zones : Toggle liquidity pool markers.
Strategy Controls
Enable Long Trades : Allow long entries (default: ON).
Enable Short Trades : Allow short entries (default: ON).
Risk % of Equity : Maximum risk per trade (default: 1.0%).
ATR Period : Length for ATR calculation (default: 14).
ATR Stop Multiplier : Stop distance in ATR units (default: 1.5).
ATR TP Multiplier : Take profit distance in ATR units (default: 2.5).
Trading Session Filter : Restrict entries to specific time windows (default: 0000-2359 = all day).
Require FVG/OB Zone Entry : When ON, price must be inside an FVG or OB zone. When OFF, trades trigger on structure signals alone (default: OFF).
Require Volume Confirmation : When ON, volume must exceed 20-period average (default: OFF).
Require EMA Alignment : When ON, price must be above/below EMAs for direction (default: ON).
Visual Settings
Show Dashboard : Toggle dashboard display.
Show Sessions : Toggle session background shading.
Show Fibonacci : Toggle Fibonacci level display.
Color Customization : Full control over all visual elements.
6) Recommended Workflow
Step 1 — Configure Risk Parameters
Set risk % appropriate for your account (1-2% recommended).
Adjust ATR multipliers based on your instrument's volatility.
Set commission/slippage to match your broker.
Step 2 — Select Appropriate Timeframe
M15-H1 : Best balance of signal frequency and reliability.
H4-D1 : Higher quality signals, fewer false positives.
M1-M5 : Scalping possible but requires tighter risk management.
Step 3 — Backtest on Your Instrument
Run strategy tester with realistic commission/slippage.
Review trade list for entry quality.
Adjust parameters if needed for your specific market.
Step 4 — Forward Test Before Live Trading
Paper trade or use small size to validate real-time behavior.
Monitor for any discrepancies between backtest and live conditions.
7) Suitable Markets
Forex majors (EURUSD, GBPUSD, USDJPY) — 24/5 liquidity, clear structure.
Major indices (SPX, NASDAQ, DAX) — trending behavior, respects levels.
Gold (XAUUSD) — respects structure and liquidity concepts.
Crypto (BTCUSD, ETHUSD) — high volatility, adjust ATR multipliers.
8) Limitations & Best-Use Guidance
This strategy is a decision-support and backtesting tool, not a guaranteed profit system.
Performance varies across market conditions (trending vs ranging).
Low liquidity periods may produce false signals.
News events can override technical analysis.
Overnight gaps may affect stop placement.
Always validate with forward testing before live capital.
9) Alerts
Bullish / Bearish Regime Start
FVG Formation (Bull / Bear)
Order Block Detection
BOS / CHoCH Structure Shift
Liquidity Sweep
High-Volume Confirmation
Recommended: Use "Once Per Bar Close" for most reliable alerts.
Disclaimer
This strategy is for educational and backtesting purposes only. It does not constitute financial advice. Trading involves substantial risk of loss. Past performance does not guarantee future results. Always test configurations on historical data and paper trading before applying them to live capital. You are solely responsible for your trading decisions and risk management.
-Made with passion by officialjackofalltrades
Quality-Controlled Trend StrategyOverview
This strategy demonstrates a clean, execution-aware trend framework with fully isolated risk management.
Entry conditions and risk logic are intentionally separated so risk parameters can be adjusted without altering signal behavior.
All calculations are evaluated on confirmed bars to ensure backtest behavior reflects real-time execution.
Design intent
Many scripts mix entries and exits in ways that make results fragile or misleading.
This strategy focuses on structural clarity by enforcing:
confirmed-bar logic only
fixed and transparent risk handling
consistent indicator calculations
one position at a time
It is intended as a baseline framework rather than an optimized system.
Trading logic (high level)
Trend context
EMA 50 vs EMA 200 defines directional bias
Entry
Price alignment with EMA 50
RSI used as a momentum confirmation, not as an overbought/oversold signal
Risk management
Stop-loss based on ATR
Fixed risk–reward structure
Risk logic is isolated from entry logic
Editing risk without affecting signals
All stop-loss and take-profit calculations are handled in a dedicated block.
Users can adjust:
ATR length
stop-loss multiplier
risk–reward ratio
without modifying entry conditions.
This allows controlled experimentation while preserving signal integrity.
Usage notes
Results vary by market, timeframe, and volatility conditions.
This script is provided for testing and educational purposes and should be validated across multiple symbols and forward-tested before use in live environments.
Alpha Hunter Integrated MACD & Oscillator [wjdtks255]Indicator Title: Alpha Hunter Integrated MACD & Oscillator Pro
Short Description
A high-precision hybrid oscillator that integrates MACD dynamics with a secondary-smoothed histogram to eliminate market noise and capture trend reversals with minimal lag.
Detailed Description
Overview
The Alpha Hunter Integrated MACD & Oscillator is designed to overcome the inherent lag of standard MACD indicators. By applying an exponential moving average (EMA) filter to the histogram itself and incorporating a momentum direction check, this tool identifies high-probability entry points while filtering out "whipsaws" commonly found in choppy markets.
Key Technical Pillars
Dual-Smoothed Histogram: Unlike standard oscillators, this script smooths the raw histogram values using a secondary filtering period. This reveals the true underlying momentum before price action fully shifts.
Momentum Directional Filter: Entry signals are only triggered when the MACD line’s slope aligns with the crossover, ensuring you don't enter against a stalling trend.
Dynamic Trend Clouds: The visual fill between the MACD and Signal lines acts as a "Trend Cloud," providing immediate visual feedback on the strength and duration of the current trend.
The Winning Trading Strategy (How to Use)
To maximize win rates, it is highly recommended to use this indicator as a Confirmation Oscillator alongside a Long-term Trend Filter (like a 200 EMA) on your main chart.
1. Long Setup (Buy)
Context: Price must be trading above the 200 EMA on the main chart.
Signal: A green "BUY" triangle and label appear on the oscillator.
Confirmation: The Histogram should be green and rising.
Exit: Exit at a pre-defined Take Profit (TP) box or when a bearish MACD crossunder occurs.
2. Short Setup (Sell)
Context: Price must be trading below the 200 EMA on the main chart.
Signal: A red "SELL" triangle and label appear on the oscillator.
Confirmation: The Histogram should be red and falling.
Exit: Exit at the designated Stop Loss (SL) or when a bullish MACD crossover occurs.
Input Parameters & Optimization
Fast/Slow/Signal: Default 12, 26, 9. (Standard for most markets).
Signal Smoothing: Set to 5 for a balance of speed and reliability. Increase to 8+ for swing trading on higher timeframes.
Recommended Timeframes: 15m, 1h, and 4h for the best signal-to-noise ratio.
Author's Note
This indicator is a "No-Repaint" script. Signals are confirmed at the close of the candle to ensure reliability during live trading. Always use proper risk management.
MarcoVieira - BB% Oscillator@marco1981
Instagram @marcovieira.oficial
This script creates a custom Bollinger Band % Oscillator (called MarcoVieira BB% Oscillator) for TradingView. It measures how far the price is from the Bollinger Band basis in percentage terms, adds a moving average for smoothing, and provides visual signals for potential reversals, trend strength, and buy/sell opportunities.
# Key Components
1. Inputs
- Bollinger Bands
- length: period for the bands (default 20).
- mult: multiplier for standard deviation (default 2.0).
- Oscillator
- lengthMA: moving average length (default 55).
- ma_type: type of MA (SMA, EMA, HMA, WMA, VWMA).
- Appearance
- Colors for uptrend/downtrend lines.
- Option to show shaded fills.
- Configurable circle size and colors for signals.
- Reference Lines
- Horizontal lines at +1, +0.5, 0, -0.5, -1 for context.
2. Oscillator Calculation
- Basis = SMA of price (src).
- Deviation = standard deviation of price.
- Oscillator (cctbbo) = (\mathrm{price}-\mathrm{basis})/(2\cdot \mathrm{deviation}).
- This normalizes price relative to Bollinger Bands.
- Oscillator MA (cctbbo_ma) = chosen moving average of the oscillator.
3. Plots & Visuals
- Reference Lines: horizontal guides at ±1, ±0.5, and 0.
- Oscillator Line: plotted with dynamic color (up_color if above MA, dn_color if below).
- Oscillator MA Line: plotted in red for trend smoothing.
- Shading:
- Between 0 and +1 (greenish fill).
- Between 0 and -1 (purple fill).
4. Signals
- Reversal Triangles:
- Down triangle at the top when oscillator crosses under +1 (potential long entry).
- Up triangle at the bottom when oscillator crosses over -1 (potential short entry).
- Circles (configurable size):
- Green circle when oscillator MA ≤ -0.5 (oversold zone).
- Orange circle when oscillator MA ≥ +0.5 (overbought zone).
- Candle Coloring:
- Blue candle when oscillator crosses under +1 (buy signal).
- Yellow candle when oscillator crosses over -1 (sell signal).
# Summary
This indicator is essentially a Bollinger Band % Oscillator with enhanced visuals and signals:
- It shows where price sits relative to Bollinger Bands.
- Adds a moving average for smoother trend detection.
- Provides visual cues (lines, fills, triangles, circles, and candle colors) to highlight potential buy/sell zones and reversals.
- Helps traders quickly spot overbought/oversold conditions and possible trend changes.
Pivot Master LITEPIVOT FORGE LITE – The Strategy Forge Ecosystem
I created my previous indicator (Multi-TF Fibonacci Pivot Points) to save myself time every day having to manually track and add pivots to my setups. I knew they worked from watching price action - but eyeballing something and proving it can be profitable are very different.
Before I waste weeks on a strategy, I want proof it works.
This is a proof-of-concept strategy tester to show that pivot trading strategies can be profitable.
*Optimized for 8H and lower timeframes. Daily pivots need intraday charts to generate enough entry signals. Won't work on Daily/Weekly charts
WHAT IT DOES:
→ Enters when price crosses Daily pivots (S1/R1, S2/R2, etc)
→ TP/SL at % you choose
→ Shows: Win rate, Profit Factor, trades, P&L
Includes all 3 pivot types: Fibonacci, Standard, Camarilla
REAL EXAMPLES (my crypto tests):
## 📊 Example Backtest Results
The following are real results from specific instruments and timeframes. Your results will vary—always conduct your own testing.
**BTC/USD, 2HR Chart** – BloFin Perps (Jan 2023 – Dec 2025)
*Settings: Long Only, Fibonacci Pivots, S2 Entry, 4% TP / 4.5% SL*
| Metric | Value |
|---------------------|------------- |
| Profit Factor | 1.352 |
| Win Rate | 60% |
| Net Profit | +5.72% |
| Total Trades | 90 |
| Max Drawdown | 2.41% |
S2 entry filters noise while 4% targets allow room for normal volatility.
**BTC/USD, 6HR Chart** – BloFin Perps (Jan 2023 – Dec 2025)
*Settings: Long Only, Fibonacci Pivots, S2 Entry, 7.5% TP / 2.5% SL*
| Metric | Value |
|---------------------|------------- |
| Profit Factor | 1.944 |
| Win Rate | 40.32% |
| Net Profit | +8.61% |
| Total Trades | 62 |
| Max Drawdown | 2.18% |
6HR timeframe gives pivots more room to develop.
**ETH/USD, 2HR Chart** – BloFin Perps (Jan 2023 – Dec 2025)
*Settings: Both Directions, Fibonacci Pivots, Long Entry S1, Short Entry R3, 3.5% TP / 2% SL*
| Metric | Value |
|---------------------|------------- |
| Profit Factor | 1.312 |
| Win Rate | 45.96% |
| Net Profit | +8.92% |
| Total Trades | 235 |
| Max Drawdown | 3.32% |
This is a proof-of-concept tool - not a production trading system.
Profitable results here = pivot strategies work on this instrument.
Want full automation? Strategy Forge Suite (coming soon) adds real execution, advanced filters, and multi-condition logic. See profile for details
PROFIT FACTOR (Primary Metric):
- Below 1.0 = Losing strategy (avoid)
- 1.0-1.5 = Marginal (break even to slight profit)
- 1.5-2.0 = Viable strategy (worth considering)
- Above 2.0 = Strong (verify it's not overfit)
WIN RATE (Context-dependent):
Win rate alone doesn't mean profitability. It depends on your TP/SL ratio:
- 40% WR with 3:1 R:R = Excellent (PF ~1.8)
- 50% WR with 2:1 R:R = Good (PF ~1.5)
- 60% WR with 1:1 R:R = Marginal (PF ~1.2)
- 70%+ WR = Check for overfitting
Always evaluate Profit Factor first, then assess if win rate makes sense for your risk/reward ratio.
PAIRS WITH:
• Multi-TF Fibonacci Pivot Points (find confluence across timeframes)
• Pitchfork Forge LITE (add pattern analysis - launching this week)
Part of The Strategy Forge Ecosystem
───────────────────────────────────────────────────
Educational tool for strategy validation. Always test before live trading.
Results vary by instrument, timeframe, and market conditions.
SMC Pro Max Ultra [ by josh]This indicator is a comprehensive hybrid trading system and market-structure assistant designed for **EDUCATIONAL PURPOSES ONLY**. It synergizes advanced Smart Money Concepts (SMC) with quantitative algorithmic filtering (Hybrid Logic) to help traders visualize market context, filter out noise, and identify high-probability areas of interest.
**What it shows**
* **Advanced Market Structure:** Visualizes dual-layer structure mapping (Swing vs. Internal) with automated labeling for BOS (Break of Structure), CHoCH (Change of Character), and MSS (Market Structure Shift), including Strong/Weak High & Low identification.
* **Smart Zones & Logic:** Automatically plots Order Blocks (OB), Breaker Blocks, Fair Value Gaps (FVG), and Supply/Demand zones. Includes a "Mitigation Filter" to auto-hide zones that have already been tested to keep the chart clean.
* **Liquidity & Traps:** Highlights structural liquidity pools (EQH/EQL), detects real-time Liquidity Sweeps (Stop Hunts), and identifies potential Bull/Bear Trap zones.
* **"Sniper" Signal Models:** Features multiple signal engines ranging from Classic RSI reversals (Sni 1) and Trend Following (Sni 2) to the strict "Sniper Protocol" (Sni 3/4) for precision entries.
* **Algorithmic Confluence (The Brain):** A sophisticated rule-based scoring system that weights Higher Timeframe (HTF) alignment, ADX Momentum, Volume Spikes, and Fibonacci "Golden Pocket" confluence.
* **Safety Protocols:** Includes a "Chop Filter" (based on Choppiness Index) to detect low-quality sideways markets and suppress signals during dangerous conditions.
* **Risk Management:** Visualizes simulated Entry, Stop Loss, and Take Profit lines based on customizable Risk:Reward ratios or structural invalidation points.
**About “AI” / Scoring**
The "AI" features in this script refer to **Algorithmic Intelligence**—a complex set of hard-coded conditional logic designed to process multiple data points simultaneously. It is **NOT** Machine Learning and does **NOT** predict the future. The "AI Score" displayed on the dashboard is a statistical evaluation of the current market conditions (Trend + Momentum + Volatility) to serve as a confirmation filter only.
**Important Disclaimer**
This indicator does **NOT** provide financial advice and does **NOT** guarantee profits. Trading involves significant risk, and you can lose money. Any signals, backtest simulations, or dashboard statistics are strictly informational and for research purposes only. Past performance shown in the simulation is not indicative of future results. Always perform your own analysis and manage risk responsibly.
**Recommended Use**
Use it as a systematic decision-support tool:
1. **Identify Context:** Use the structure mapping to determine the dominant trend bias.
2. **Wait for Zone Interaction:** Allow price to retrace into High-Probability zones (OB/FVG).
3. **Check the "Score":** Use the Dashboard to ensure the Market is not "Choppy" and the Confluence Score is high.
4. **Confirm Entry:** Execute only when a specific signal (e.g., Sniper 3 or Engulfing Pattern) aligns with your analysis.
**Automation Note**
This script includes alert functionality compatible with third-party bridges. However, if you choose to connect alerts to an external system for automated execution, you do so entirely at your own risk and responsibility. This script is primarily designed as a visual technical indicator, not a "set-and-forget" trading bot.
ML-Inspired Adaptive Momentum Strategy (TradingView v6)This strategy demonstrates an adaptive momentum approach using volatility-normalized trend strength. It is designed for educational and analytical purposes and uses deterministic, fully transparent logic compatible with Pine Script v6.
ML-Inspired Concept (Educational Context)
Pine Script cannot train or execute real machine-learning models.
Instead, this strategy demonstrates ML-style thinking by:
Converting price data into features
Normalizing features to account for volatility differences
Producing a bounded confidence score
Applying thresholds for decision making
This is not predictive AI and does not claim forecasting capability.
Strategy Logic
EMA is used to measure directional bias
EMA slope represents momentum change
ATR normalizes the slope (feature scaling)
A clamped score between −1 and +1 is generated
Trades trigger only when the score exceeds defined thresholds
Risk & Execution
Position size capped at 5% equity
Commission and slippage included for realistic testing
Signals are calculated on closed bars only
Purpose
This script is intended to help traders explore adaptive momentum concepts and understand how feature normalization can be applied in systematic trading strategies.
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.
VIOP Scalping - OriginalVIOP Scalping – Original is a rule-based scalping strategy ported from an original C# logic set. It aims to trade only when trend direction, momentum, and trend strength align, then manages the position using fixed take-profit/stop-loss percentages with an optional trailing mechanism to protect gains during favorable moves.
This strategy is provided for educational and backtesting purposes only. It is not financial advice and does not guarantee profitability. Always test thoroughly before any live usage.
Core Concept
Follow the dominant WMA trend, confirm momentum with EMA separation, filter conditions with RSI + ADX, then exit using fixed TP/SL with trailing behavior after a defined profit threshold.
How the Strategy Works
Trend Direction is defined by WMA: above WMA = long bias, below WMA = short bias.
Momentum is measured via Fast EMA vs Slow EMA and the EMA difference.
Trend Strength is confirmed using ADX (must exceed a threshold).
RSI filters trades to avoid entering when momentum is likely overextended or weak.
A no-trade session blocks entries during a predefined time window (default 09:30–10:05).
Exit logic uses fixed percent TP/SL, with an optional trailing mechanism that activates after a profit threshold.
Inputs and Settings
Trend and Indicator Settings
Main Trend WMA: Determines directional bias (price above = long, price below = short).
Fast EMA / Slow EMA: Used to measure momentum and directional separation.
RSI Period: Filters entries based on RSI range constraints.
ADX Period: Measures trend strength (must exceed threshold to allow entries).
Threshold Settings
EMA Difference Threshold: Minimum EMA separation required to validate momentum.
ADX Threshold: Minimum ADX required to confirm trend strength.
RSI Long Ceiling: RSI must remain below this value for long entries.
RSI Short Floor: RSI must remain above this value for short entries.
Risk Management Settings
Take Profit %: Default TP distance in percent.
Strong Trend Take Profit %: Higher TP used when a “strong trend” condition is detected.
Stop Loss %: Fixed SL distance in percent.
Trailing Activation %: Profit threshold at which trailing starts.
Trailing Distance %: Trailing offset distance used once trailing is active.
Time Filter
No-Trade Hours: Default session is 09:30–10:05. During this window, the strategy does not open new trades.
Entry Logic
No-Trade Time Filter
If the current bar falls inside the no-trade session, entries are blocked.
Long Entry Conditions
Price is above the WMA trend line.
EMA difference is positive and greater than the EMA Difference Threshold.
EMA momentum is increasing (current EMA diff > previous EMA diff).
RSI is within the defined range (RSI > 48 and RSI < RSI Long Ceiling).
Close is higher than the previous close.
ADX is above the ADX Threshold.
Short Entry Conditions
Price is below the WMA trend line.
EMA difference is negative and lower than -EMA Difference Threshold.
Bearish momentum is increasing (current EMA diff < previous EMA diff).
RSI is within the defined range (RSI < 52 and RSI > RSI Short Floor).
Close is lower than the previous close.
ADX is above the ADX Threshold.
Strong Trend Logic (Dynamic TP Selection)
If price is far from the WMA (absolute distance > 20 points) AND EMA separation is strong (absolute EMA diff > 1.5 points), the strategy treats the environment as a strong trend.
In strong trend mode, the strategy uses “Strong Trend Take Profit %” instead of the default “Take Profit %”.
Exit Management (TP/SL + Trailing)
The strategy uses fixed percentage-based TP and SL levels.
Trailing logic is enabled via strategy.exit and activates only after price moves in profit by the defined Trailing Activation %.
Once activated, trailing follows price using the defined Trailing Distance % offset.
This is designed to secure partial gains during extended moves while still allowing room for continuation.
What You See on the Chart
WMA Trend Line (Main Trend Filter).
Fast EMA and Slow EMA (Momentum Confirmation).
Strategy entry/exit markers generated by TradingView.
Recommended Use
Scalping systems that rely on trend-following and momentum confirmation.
Markets where ADX filtering helps avoid choppy conditions.
Traders who want a simple, parameter-driven TP/SL system with trailing after confirmation.
Important Notes
The no-trade session depends on your chart/session settings. Ensure your symbol/session configuration matches your intended market hours.
Percent-based exits scale with price; results will vary across instruments and volatility regimes.
Always validate behavior using bar replay, forward testing, and realistic commission/slippage assumptions.






















