Gold Correlation Dashboard (Locked D1)** **
**Gold Intermarket Correlation Dashboard (Locked Timeframe Edition)**
This indicator is a specialized Intermarket Analysis tool designed specifically for XAUUSD (Gold) traders. It monitors 5 key assets that strongly influence Gold's price and provides a real-time bias (Bullish/Bearish) based on their correlation.
**Key Features:**
1. **Locked Timeframe Logic:**
* The dashboard allows you to "Lock" the analysis to a higher timeframe (Default: Daily/D1).
* This means you can trade on lower timeframes (e.g., 5m or 15m) while the dashboard keeps you aligned with the major Daily trend, preventing you from trading against the main flow.
2. **Intermarket Correlations:**
* **DXY (Dollar Index):** Negative Correlation (DXY Down = Gold Bullish).
* **US10Y (Yields):** Negative Correlation (Yields Down = Gold Bullish).
* **USDJPY & USDCHF:** Negative Correlation.
* **VIX:** Positive Correlation (VIX Up = Gold Bullish/Safe Haven).
3. **Smart Scoring System:**
* The script calculates a "Bullish Percentage" (e.g., 80% BUY or 100% BUY) based on how many of these 5 assets align with a Gold Long position.
4. **Strong Alerts:**
* Alerts are triggered only when the three core drivers (DXY, US10Y, USDJPY) align perfectly.
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** **
**黃金跨市場相關性儀表板 (鎖定週期版)**
這是一個專為黃金 (XAUUSD) 交易者設計的跨市場分析工具。它自動監控 5 個對黃金價格影響最大的資產,並根據相關性提供即時的多空傾向。
**核心功能:**
1. **鎖定時間級別 (Locked Timeframe):**
* 您可以將儀表板的分析數據鎖定在較大級別(預設:D1 日線)。
* 這意味著當您在 5 分鐘或 15 分鐘圖交易時,儀表板依然顯示日線級別的趨勢,幫助您「順大勢、逆小勢」,避免被短線雜訊誤導。
2. **跨市場相關性邏輯:**
* **DXY (美元指數)**:負相關 (美元跌 -> 黃金漲)。
* **US10Y (美債殖利率)**:負相關 (殖利率跌 -> 黃金漲)。
* **USDJPY & USDCHF**:負相關。
* **VIX (恐慌指數)**:正相關 (恐慌升 -> 黃金漲)。
3. **智能評分系統:**
* 系統會計算有多少資產支持黃金上漲,並給出百分比評分 (例如:80% BUY)。
4. **強力警報:**
* 只有當 DXY, US10Y, USDJPY 三大核心指標方向完全一致時,才會觸發強力買入/賣出警報。
Análisis de tendencia
Malama's Market Structure: Malama's Market Structure is a comprehensive price action utility that unifies four essential institutional trading concepts—Supply/Demand, Liquidity, Trendlines, and Key Levels—into a single, optimized toolkit.
Justification for this Combination (The Mashup): Institutional analysis requires monitoring multiple layers of market structure simultaneously. Using separate indicators for S/D zones, liquidity pools, and daily levels creates chart clutter and conflicting visual signals. This script solves this by integrating these components into a single Zone Management Engine. This engine ensures that when a zone is broken, it is automatically invalidated or marked as a "Retest" candidate, creating a cleaner, actionable chart without manual drawing tools.
What Has Been Fixed in This Version:
Zero-Division Protection: Added safety checks in the Liquidity module avg_ph != 0 to prevent runtime crashes on assets with zero values.
Explicit Zone Typing: The code now strictly differentiates between "Standard Supply" and "Liquidity Supply" to apply correct breakout logic (Close > Top vs Close < Bottom).
Smart Garbage Collection: Implemented a FIFO (First-In, First-Out) memory management system that prioritizes deleting inactive/broken zones before active ones, ensuring critical levels remain on the chart longer without hitting TradingView drawing limits.
Optimized Key Levels: Switched from creating new line objects every bar (which causes memory leaks) to updating a single var line object using line.set_xy.
Underlying Calculations & Logic:
Pivot Analysis (The Foundation): The script identifies structural Swing Highs and Lows using a customizable lookback.
Liquidity Logic: It compares adjacent Pivot Highs. If they are within a strict threshold (0.15%), they are flagged as "Equal Highs (EQH)"—a magnet for price.
Zone Management: An internal array tracks every zone. If price closes beyond a zone, the script detects the "Break" event and visually fades the zone to gray. If price touches a valid zone without breaking, the label updates to "Retest."
How to Use:
Entries: Look for price to reject from active Red (Supply) or Blue (Demand) zones.
Targets: Target the Gray "Liquidity" zones (EQH/EQL), as price often gravitates toward these to clear stops.
Confluence: Use the intersection of Auto-Trendlines and Key Levels as high-probability reversal areas.
Disclaimer: This tool is for educational analysis only. Trading involves significant risk.
BO Rule: Full Suite (Auto-Clean)** **
**BO Rule: Ultimate Breakout & Retest Suite (Body Only + Strict Sequence)**
This is a comprehensive Price Action indicator designed for traders who focus on **Structure Break & Retest** setups. Unlike standard fractal indicators, this script employs a strict "New Price Rule" and "Body-Only" logic to filter out noise, combined with a Multi-Timeframe (MTF) Dashboard and Mobile Alerts.
**Key Logic & Unique Features:**
1. **Classic Levels (Body Only):**
* **Logic:** Resistance is defined by a Green candle followed by a Red candle. Support is Red followed by Green.
* **Precision:** The script strictly uses Candle **Bodies** (Open/Close) to define levels and confirm breakouts. Wicks are ignored to avoid volatility fakeouts.
2. **Strict Sequence (New Price Rule):**
* **Reset Logic:** Once a breakout signal is confirmed, all previous structure levels are immediately invalidated.
* The script only scans for *new* structure levels formed *after* the latest confirmed signal. This ensures you are always trading the most current market structure.
3. **Smart Visualization (Auto-Clean):**
* **Queue System:** To keep your chart clean, the script includes a "Display Limit" feature. It only keeps the most recent N signals (e.g., 20) and automatically deletes the oldest ones.
4. **MTF Dashboard & Conflicts:**
* Includes a bottom-right dashboard showing trend directions across 5 user-defined timeframes.
* Displays "Conflict" lines if different timeframes show opposing signals on the same bar.
5. **Filter Duplicates:**
* Option to show only **Trend Reversals** (Buy -> Sell -> Buy) by hiding consecutive signals in the same direction.
6. **Mobile Notifications:**
* Supports custom alerts for specific timeframe reversals, designed to push notifications directly to the TradingView App.
**How to Trade:**
* **Green Dashed Line:** Bullish Confirmation (Body Breakout + Retest).
* **Red Dashed Line:** Bearish Confirmation (Body Breakdown + Retest).
* **Dashboard:** ▲ = Bullish Trend, ▼ = Bearish Trend.
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** **
**BO Rule: 經典水平突破回踩策略 (實體判斷 + 嚴格序列 + 自動清理)**
這是一個專為裸K交易者 (Price Action) 設計的完整突破回踩系統。它採用了嚴格的「新價格規則」與「僅看實體」邏輯,並整合了多週期儀表板與手機通知功能。
**核心邏輯與獨特功能:**
1. **經典水平 (僅看實體 Body Only):**
* **定義:** 阻力位由「綠K接紅K」形成;支撐位由「紅K接綠K」形成。
* **過濾:** 系統僅使用 K棒實體 (收盤/開盤) 來定義水平與判斷突破,完全忽略影線 (Wicks),有效避免假突破。
2. **新價格規則 (嚴格序列):**
* **重置機制:** 採用「最新優先」原則。一旦當前訊號確認,之前所有的舊結構水平立即作廢。系統只會尋找在「最新訊號之後」形成的新水平,確保交易邏輯符合當下的市場結構。
3. **智能顯示 (自動清理):**
* **佇列系統:** 為了保持圖表整潔,您可以設定「保留最近 N 個訊號」。系統會自動刪除最舊的線段,避免圖表充滿歷史線條。
4. **多週期 (MTF) 儀表板:**
* 右下角面板可同時監控 5 個不同時間級別的趨勢狀態。
* 若不同週期在同一根 K 棒出現相反訊號,會標記為「衝突」。
5. **過濾重複訊號:**
* 可勾選「只顯示反轉」。若當前是多頭,系統會隱藏後續的多頭訊號,直到出現空頭訊號為止 (呈現:多 -> 空 -> 多)。
6. **手機 App 通知:**
* 支援針對特定週期的反轉訊號發送推播通知。
**使用說明:**
* **綠色虛線**:多頭確認 (實體突破 + 回踩)。
* **紅色虛線**:空頭確認 (實體跌破 + 回踩)。
* **儀表板**:▲ = 多頭趨勢,▼ = 空頭趨勢。
RTD- Naturalgas Pivot, Targets and Trend AnalyzerNatural gas
This script is for calculating Natural gas future (not index) Pivots values using present day initial fund flow morning (timing 09:00AM to 09:00AM) and evening (Timing 05:00PM to 06:00PM) candles values.
This script will plot below
1. Pivot calculation table
2. Pivot, resistance and support in dotted lines
3. Targets basis buys above or sell below selection
RTD-BankNifty Pivot, Targets, Vix range and Trend AnalyzerBanknifty
This script is for calculating BankNifty future (not index) Pivots values using present day initial fund flow (timing 09:15AM to 09:30AM) candles values.
This script will lots below
1. Pivot calculation table
2. Pivot, resistance and support in dotted lines
3. Targets basis buys above or sell below selection
4. Intraday vix range and other confirmation
RTD- Sensex Pivot, Targets, Vix range and Trend AnalyzerSensex:
This script is for calculating Sensex future (not index) Pivots values using present day initial fund flow (timing 09:15AM to 09:30AM) candles values.
This script will lots below
1. Pivot calculation table
2. Pivot, resistance and support in dotted lines
3. Targets basis buys above or sell below selection
4. Intraday vix range and other confirmation
RTD-Nifty Pivot, Targets, Vix range and Trend AnalyzerNifty:
This script is for calculating Nifty future (not index) Pivots values using present day initial fund flow (timing 09:15AM to 09:30AM) candles values.
This script will lots below
1. Pivot calculation table
2. Pivot, resistance and support in dotted lines
3. Targets basis buys above or sell below selection
4. Intraday vix range and other confirmation
AIO Advanced Trendlines with TPO-inspired LiquidityOVERVIEW
A professional indicator for trendline detection, breakout signals, support/resistance, and Market Profile–inspired liquidity mapping. It combines rigorous trendline validation, smart breakout confirmation, session-based liquidity discovery, sweep detection, and multi-factor quality scoring to highlight high-probability setups and reduce noise.
**What Makes This Different:**
5-Layer Trendline Validation - Only mathematically sound trendlines appear
Smart Breakout Confirmation - Candle pattern validation eliminates weak breaks
Professional Liquidity Mapping - Session-based order flow zones with sweep detection
Quality Star Ratings - ★/★★/★★★ scoring helps prioritize best setups
Adaptive Structure Logic - Signals self-invalidate and recover based on market structure
CORE FEATURES
1. INTELLIGENT TRENDLINE SYSTEM
Automatic trendline detection with multi-layer filters:
Slope Filter: Excludes near-horizontal lines (default min slope 0.3%).
Pivot Distance (same type): Requires pivot spacing (default ≥1%) to avoid clustered pivots.
Pivot Cross Distance (optional): Minimum spacing between high and low pivots to avoid crossed lines.
No Violations Between Pivots: Rejects lines if price violates the line between the defining pivots.
No Breakout Conflict: Avoids drawing lines that conflict with historical breakouts.
Dynamic Line Management:
Main trendlines extend until broken and optionally extend by an offset post-break.
History lines (configurable count) are shown in lighter colors for past structure.
Independent color/width controls for upper/lower/history lines.
2. BREAKOUT SIGNALS (B Up / B Down)
Robust breakout detection using candle validation and optional scoring:
Trigger Conditions: Close above/below trendline with strong candle criteria (body % of range, close near extreme) or validated multi-candle pattern within a short window.
Candle Validation: Body ≥50% of range or engulfing patterns (2–3 bars) to reduce false breaks.
Quality Scoring (0–100): Combines Volume Spike (40), Candle Strength (30), and Follow-Through (30).
Star Ratings: ★★★ (premium), ★★ (good), ★ (average) based on configurable score thresholds.
3. UP BUY / DOWN SELL SIGNALS
High-probability pullback entries after confirmed breakouts:
Up Buy (after B Up):
Break above pre-B Up TPH (Trendline Pivot High).
New higher TPH forms (new extreme pivot).
Price retraces ≥50% between new TPH and prior TPL; enter on a valid support candle.
Down Sell (after B Down): Mirror logic for short entries.
Quality Scoring (0–100): Pullback Depth (35), Trendline Distance (25), Volume (20), Candle Pattern (20).
Invalidation & Recovery: Signals invalidate when a locked pivot breaks; recover when a new extreme pivot forms.
4. TRENDLINE SUPPORT / RESISTANCE (S/R)
Validated S/R from trendline touches:
Support (S): Touches lower trendline after a genuine pullback (default ≥1%); requires prior pivot and a valid bullish support candle.
Resistance (R): Mirror for upper trendline.
Quality Filters: Minimum spacing (bars and %), pivot confirmation, and reset rules to avoid repeated signals.
Strong S/R: Occurs near recent opposite breakout (default within 100 bars).
Invalidation/Recovery: Locked pivot breaks invalidate signals; new extremes restore them.
5. PROFESSIONAL LIQUIDITY MAPPING (TPO-inspired)
Session-based price discovery with edge-focused liquidity levels:
Session Analysis: Scans configurable past daily sessions (default 10) and optionally excludes the current day.
Bin Counting: Divides session range into configurable bins (default 30) and counts visits per bin.
Edge Focus: Targets bins at the range edges (10–30% from top/bottom) where low activity often implies latent liquidity.
Liquidity Classification & Scoring
Very High (★★★): 1 touch at extremes (top/bottom 10%); highest priority.
High (★★): 1–2 touches at edges (10–30%); strong targets.
Medium (★): 2–3 touches at edges; supportive levels.
Enhanced Scoring (0–100): Distance (35 pts), Volume Spike at line (30 pts), Liquidity Type (25 pts), Session Freshness (10 pts).
Stars: ★★★ (≥80), ★★ (≥55), ★ (≥30) by final score.
Visual & Behavior Features:
Customizable styles (Solid/Dashed/Dotted) and widths per type.
Labels: session number, stars, side (Long/Short), distance %, and optional price.
Consolidation: Merge nearby lines (< configurable %) and retain highest priority (VH > H > M; active > swept).
TRADING GUIDELINES
Strategy Recommendations:
Trend Traders: Prefer B Up/B Down with ★★★/★★, enter on Up Buy/Down Sell, target VH lines first.
Pullback Traders: Use validated S/R touches and MA/HTF filters for confluence.
Liquidity Hunters: Focus on VH/★★★ lines <2% distance, monitor sweeps for continuation or exhaustion.
ALERTS & UI
Alert Types:
Breakout Alerts: B Up / B Down.
Up Buy / Down Sell Alerts.
Support/Resistance Touch Alerts.
Market Structure Table: Shows current trendline status (Up/Down/Broken), market structure (Up/Down/Ranging), and quick stats. Configurable position and size.
IMPLEMENTATION NOTES
Non-Repainting: Signals are confirmed on closed bars; session liquidity is session-locked but may shift slightly on reload due to history order.
Data Requirements: Best results with ≥2000 bars history for full session coverage.
Timeframe Guidance: Liquidity modules intended for multi-minute or higher timeframes; intraday minimum configurable in indicator (recommended ≥2–5 minutes).
Simplified TPO: Uses bin counts (not full time-based profile); designed for performance and clarity.
WHAT MAKES THIS UNIQUE
Combines multi-filter trendlines, validated breakouts, post-break entries with scoring and invalidation logic, and session-based liquidity mapping with sweep detection — all in a highly configurable package.
ENDUSER NOTES
Adjust sensitivity (bins, max days, pivot distances) to match your trading timeframe and instrument volatility.
Use star ratings to prioritize setups rather than as absolute trade signals.
Backtest logic across symbols and timeframes before trading live.
Ingin Menjadi Trader namun enggan Analisa by XennkuIngin menjadi Trader namun Enggan analisa, script aja
Ardley Fund Core IndicatorThe Ardley Fund Core Indicator:
A powerful Kalman Hull Trend strategy enhanced with dynamic RSI, MACD, and VWAP confirmations. Delivers precise, high-probability BUY and SELL signals with adaptive noise filtering for smoother trends and fewer false entries. Ideal for trend-following traders seeking consistent, data-driven performance.
MARUTI TRADERMaruti Trader- Maruti Trader is a rule-based, intraday detection system that combines candle-pattern logic with session-driven support and resistance zones. creating a clean confluence-based signal that removes noise.
This tool is designed for traders who prefer structured rules over subjective drawing, and want clear, event-driven alerts without unrealistic promises or over-optimized behavior.
=> Optional Strike-Price Zones
For symbols that move around round numbers or strike intervals, the script can draw strike-based S/R lines You can choose solid lines and select how many zones to show.
=> *Maruti Trader* is a powerful trading indicator built to simplify decision-making for both swing and intraday traders. It blends precision with clarity, helping you identify potential buy and sell opportunities with confidence. Session Levels Predictor+ plots upper and lower percentile levels based on session data, helping traders identify potential support and resistance zones with precision. It automatically calculates percentile-based projections from intraday sessions and marks them with clean, customizable lines. Ideal for intraday and short-term traders looking for statistical price ranges.
=> Trend line Base Move, simply identify
MARUTI TRADERMaruti Trader- Maruti Trader is a rule-based, intraday detection system that combines candle-pattern logic with session-driven support and resistance zones. creating a clean confluence-based signal that removes noise.
This tool is designed for traders who prefer structured rules over subjective drawing, and want clear, event-driven alerts without unrealistic promises or over-optimized behavior.
=> Optional Strike-Price Zones
For symbols that move around round numbers or strike intervals, the script can draw strike-based S/R lines You can choose solid lines and select how many zones to show.
=> *Maruti Trader* is a powerful trading indicator built to simplify decision-making for both swing and intraday traders. It blends precision with clarity, helping you identify potential buy and sell opportunities with confidence. Session Levels Predictor+ plots upper and lower percentile levels based on session data, helping traders identify potential support and resistance zones with precision. It automatically calculates percentile-based projections from intraday sessions and marks them with clean, customizable lines. Ideal for intraday and short-term traders looking for statistical price ranges.
=> Trend line Base Move, simply identify
Ardley Fund Core IndicatorThe AAC Fund Core Indicator: a powerful Kalman Hull Trend strategy enhanced with Dynamic RSI, MACD, and VWAP confirmations. Delivers precise, high-probability BUY and SELL signals with adaptive noise filtering for smoother trends and fewer false entries. Ideal for trend-following traders seeking consistent, data-driven performance.
GCM Price Volume Trend with BB [Dual Signal]Title:
GCM Price Volume Trend with BB
Description:
This script presents an advanced variation of the Price Volume Trend (PVT) indicator, enhanced with a Dual-Signal system and Bollinger Bands to provide a complete volume-momentum analysis tool.
The Concept:
Standard PVT can often produce jagged, noisy signals that make trend identification difficult. To solve this, this script integrates three distinct technical concepts into a single "Volume Dashboard":
Trend Baseline (Signal 1 - SMA): A standard Simple Moving Average (Length 21) acts as the slow-moving baseline to filter out minor volume noise.
Volume-Weighted Trigger (Signal 2 - VWMA): We utilize a Volume Weighted Moving Average (VWMA) (Length 9) as the fast signal. Applying a Volume-Weighted average on top of a Volume indicator (PVT) provides a double-confirmation of volume momentum, making the signal highly sensitive to significant volume spikes while ignoring low-volume drift.
Volatility Context (Bollinger Bands): Standard Bollinger Bands are calculated on the PVT data itself. This allows traders to identify when the volume trend is statistically overextended (touching Upper Band) or oversold (touching Lower Band), which often precedes a price reversal.
Key Features
Dynamic Trend Coloring: The PVT line changes color (Bright Green/Red) based on its immediate slope (Rising vs. Falling), offering instant visual feedback on momentum.
Dual Ribbon System:
Ribbon 1: Fills the space between PVT and the Baseline (SMA) to show the macro trend.
Ribbon 2: Fills the space between PVT and the Fast Trigger (VWMA). By default, this ribbon changes color based on the slope of the PVT, highlighting the strength of the move.
Volatility Bands: A background fill between the Bollinger Bands helps visualize the "normal" operating range of the volume trend.
How to Use
Trend Confirmation: Look for the PVT line to be above the SMA (Signal 1) and the Ribbon to be Green.
Entry Signals: A crossover of the PVT above the VWMA (Signal 2) suggests an immediate influx of buying volume.
Exhaustion: If the PVT line touches or exceeds the Upper Bollinger Band, the volume trend may be overheated, suggesting a potential pause or reversal in price.
Settings
Signal 1: Defaults to SMA (21) for the baseline.
Signal 2: Defaults to VWMA (9) for the fast trigger.
Bollinger Bands: Enabled by default (2.0 Deviation, 20 Length).
Visuals: Fully customizable transparency, colors, and line types.
Sessions + Opening Range (All Sessions, Anchored) + EMA + VWAP# 📊 Sessions + Opening Range (Anchored) + EMA + VWAP
### A clean, non-repainting session & opening range tool — fully anchored and stable on zoom.
---
## 🔍 Overview
This indicator plots **four major trading sessions** along with their **Opening Range (OR)** using a fully **time-anchored approach**.
All boxes and levels are **stable**, meaning they **do not move** when you zoom, scroll, or reload the chart.
It is designed for **intraday traders**,
---
## 🕒 Sessions Included
* **Asian Session**
* **London Session**
* **New York AM Session**
* **New York PM Session**
Each session is displayed as a **colored background box** that:
* Starts at the exact session time
* Updates dynamically while the session is active
* Stops and freezes at session close
---
## 📦 Opening Range (OR) – Per Session
Each session has its own **Opening Range (A → B)** window.
### Opening Range Features:
* Calculated **only during the OR window**
* Displays:
* OR **High**
* OR **Low**
* OR **Midline (dashed)**
* OR box **extends only until the session ends**
* No repainting and no future extension
This makes it ideal for:
* OR breakouts
* Liquidity sweeps
* Mean reversion setups
* Session bias confirmation
---
## 📈 EMA & VWAP
Optional overlays included:
* **EMA (default 200)**
* **VWAP**
Both can be toggled on/off independently from the settings.
---
## ⏱ Timezone Support
* Fully **timezone-aware**
* All session times and OR windows automatically adjust to the selected timezone
## ⚙ Customization Options
* Enable / disable individual sessions
* Adjust session times
* Customize OR time windows (A → B)
* Change OR fill transparency
* Adjust OR border width
* Toggle OR midline
* Enable / disable EMA & VWAP
---
## ✅ Best Used For
* Intraday trading
* Session-based strategies
* Opening range breakouts
* Liquidity & market structure analysis
* Gold (XAUUSD), Forex, Indices, Futures
---
## 🚫 What This Indicator Does NOT Do
* No repainting
* No future projection
* No moving boxes
* No alerts (by design – clean visual tool)
---
## 📌 Notes
* Works best on **intraday timeframes**
* Designed for clarity and minimal chart clutter
* Inspired by professional session-based trading concepts
---
### ⭐ If you find this useful, please leave a like and comment — it helps a lot!
---
Rolling Volume Structure: HVN & SentimentTitle:
Rolling Volume Structure: HVN & Sentiment
Description:
This indicator visualizes the distribution of volume over price levels for a user-defined rolling period. It is designed to identify structural market nodes (HVN/LVN) and correlate them with Pivot Points to filter out market noise.
NOTE: This script utilizes a mathematical array binning algorithm to calculate the profile efficiently on the chart timeframe, avoiding the runtime timeouts often associated with standard iterative volume profiles.
How it works (Technical Methodology)
Binning Algorithm: The script calculates the price range (Highest High - Lowest Low) of the lookback period and divides it into a fixed number of vertical bins defined by the Resolution input.
Volume Allocation: It iterates through historical bars once. The volume of each bar is assigned to the corresponding price bin based on the bar's closing price.
Sentiment Approximation: Since tick-level Bid/Ask data is not available for historical bars in standard Pine Script strategies, this indicator estimates directional volume based on candle polarity:
If Close > Open: Volume is categorized as "Up Volume" (Buying Sentiment).
If Close < Open: Volume is categorized as "Down Volume" (Selling Sentiment).
Disclaimer: This is a standard approximation for structural analysis and does not represent true tick-data delta.
Why this Combination? (Originality & Synergy)
This script addresses the problem of validating structural levels. Traders often use Pivots and Volume Profiles separately. This script combines them programmatically to provide context:
Pivot Confluence: A Pivot Point is only plotted if it aligns with significant volume structure.
HVN Validation: A pivot occurring within a High Volume Node (HVN) suggests a high-liquidity reversal zone, whereas a pivot in a Low Volume Node (LVN) may indicate a liquidity void or a "weak" high/low.
The Dashboard summarizes these metrics (Position relative to Value Area, Net Sentiment, and Trend), removing the need for multiple separate indicators.
Educational Use for Beginners
If you are new to Volume Profile, think of the market structure in these simple terms:
Value Area (VA): This is the "Fair Price" zone where 70% of trading happened. If price is inside here, the market is balanced. If price breaks out, it may be starting a trend.
HVN (High Volume Nodes - Colored Boxes): Think of these as "Traffic Jams". Price often slows down, bounces, or gets stuck here because there are many orders. They act as Support or Resistance.
LVN (Low Volume Nodes - Gray Strips): Think of these as "Empty Highways". Because there is little volume here, price tends to move through these zones very quickly to get to the next HVN.
Features
HVN (High Volume Nodes): Colored boxes highlighting areas of high accumulation.
LVN (Low Volume Nodes): Gray strips highlighting gaps or acceleration zones.
Value Area (VA): Displays the VAH, VAL, and PoC (Point of Control).
Volume-Filtered Pivots: Plots pivots only when supported by the profile structure.
Sentiment Coloring: The profile bins are colored based on the net bullish/bearish candle volume.
Settings
Rolling Period: The lookback window size (default 150 bars).
Resolution: Precision of the profile bins (higher = more detail, lower = smoother).
HVN Thresholds: Percentage of PoC volume required to identify a node.
Global Text Size: Adjusts labels and dashboard for 4K or standard screens.
Credits: The core binning logic is adapted from generic open-source array management concepts for custom volume profiles.
Advanced Crypto Market Analyzer quantum computingAdvanced Crypto Market Analyzer quantum computing-5m/15m/30m/1h time frame
Big Candle Marker (Soft Color / Ratio Based)This indicator highlights only big candles using soft colors.
- Big moves are detected based on body size relative to recent average
- Bullish candles → soft green
- Bearish candles → soft red
- Original candle border color is preserved
- Works well across different symbols and timeframes (including XAU)
Designed to reduce visual fatigue and help spot meaningful moves at a glance.
大きく動いたローソク足だけを、やさしい色で強調表示するインジケーターです。
・平均実体サイズの◯倍以上を「大きな動き」と判定
・陽線は薄緑、陰線は薄赤で表示
・枠色は元の色を維持するため、方向感が直感的に分かります
・通貨ペアや時間足に依存しにくく、XAUやFXどちらでも使いやすい設計です
「ずっとチャートを見ていると疲れる」
「重要な動きだけ自然に目に入ってほしい」
そんな用途向けに作りました。
Apex ICT Delivery & Session Flow ProDescription
The Apex ICT Delivery & Session Flow Pro is a high-precision technical analysis indicator designed for inner-circle traders who prioritize a clean, institutional-grade chart. This script specializes in identifying real-time liquidity levels and displacement zones while utilizing an automated "Cleanup Engine" to ensure that only the most relevant, unmitigated data remains visible.
Core Functionalities
Multi-Timeframe Displacement Engine: The script scans across multiple timeframes (1m, 5m, 15m, 1H) to identify Fair Value Gaps (FVG) created by high-displacement price action. It automatically plots the FVG boxes and the 50% Consequent Encroachment (CE) line for precise entry and target mapping.
Dynamic Session Liquidity: Automatically identifies and tracks the Highs and Lows of the Asia, London, and New York sessions. These levels are explicitly labeled and extended to act as magnet levels for price or points of liquidity reversal.
CISD (Change in State of Delivery): Visualizes shifts in order flow by marking the opening prices of the last opposite candle when price action confirms a change in delivery state. This provides immediate visual feedback on market sentiment shifts.
NY-Specific VWAP: Features a strict New York Session VWAP that resets daily at the NY open (08:00). This serves as the "Mean" for the session, helping traders identify premium and discount zones specifically within the high-volume New York hours.
The "Clean Chart" Cleanup Engine: Unlike standard indicators that clutter the screen with historical data, this script features an intelligent removal system:
FVGs & Order Blocks: Automatically deleted once price trades through them or if they move too far from current price (Proximity Filter).
Broken Session Levels: Highs and Lows are instantly removed once they are breached by price.
Temporal Decay: CISD markers are automatically cleared after 20 candles to keep the focus on immediate delivery.
Market Trend Strength Indicator1. The current stock price is above both the 150-day (30-week) and the 200- day (40- week) moving average price lines.
2. The 150-day moving average is above the 200-day moving average.
3. The 200-day moving average line is trending up for at least 1 month ( preferably 4–5 months minimum in most cases).
4. The 50-day (10-week) moving average is above both the 150-day and 200-day moving averages
5. The current stock price is trading above the 50-day moving average.
6. The current stock price is at least 30 percent above its 52-week low. (Many of the best selections will be 100 percent, 300 percent, or greater above their 52-week low before they emerge from a solid consolidation period and mount a large scale advance.)
7. The current stock price is within at least 25 percent of its 52-week high(the closer to a new high the better).
8. It also indicates if the volumes are decreasing during price consolidation or retracement.
This is based on Mark Minervini's strategy
MTF Candles [Fadi x MMT] + SMT AlertsHere is a professional English description for your indicator, suitable for publishing on TradingView or sharing with a community.
ICT MTF Candles + SMT Divergence
Overview
This is an advanced "All-in-One" market structure dashboard designed specifically for Inner Circle Trader (ICT) concepts. It renders Higher Timeframe (HTF) Candles directly on your current chart (e.g., viewing 1H, 4H, and Daily candles while trading on the 1m chart) and integrates a powerful Real-Time SMT Divergence scanner.
This tool eliminates the need for multiple split screens. You can now monitor price action, liquidity sweeps, imbalances (FVG), and institutional SMT divergences across multiple timeframes simultaneously.
Key Features
1. Multi-Timeframe (MTF) Dashboard
Live HTF Candles: Displays up to 6 custom higher timeframes (e.g., M5, M15, H1, H4, D1) on the right side of your chart.
Price Action Details: Visualizes Wicks, Bodies, Open/Close prices, and color-coded trends.
Institutional Landmarks: Automatically highlights:
FVG: Fair Value Gaps.
VI: Volume Imbalances.
Sweeps: Liquidity raids (Turtle Soups) on HTF candles.
Midpoints: 50% equilibrium levels of previous candles.
2. Integrated SMT Divergence Scanner (New)
Correlated Asset Comparison: Compares the highs and lows of the current chart against a user-defined reference symbol (e.g., NQ vs. ES, or EURUSD vs. DXY).
Per-Candle Logic: Checks every completed HTF candle for structural cracks:
Bearish SMT: Main asset makes a Higher High (HH), but the Reference asset makes a Lower High (LH).
Bullish SMT: Main asset makes a Lower Low (LL), but the Reference asset makes a Higher Low (HL).
Visual Labels: Automatically marks "SMT" labels above/below the specific HTF candle where the divergence occurred.
3. Smart Alerts System
Real-Time Notifications: Never miss a setup. The indicator triggers an alert the moment an SMT Divergence is confirmed on any of the active higher timeframes.
Message Details: Alerts provide the timeframe, direction (Bull/Bear), and the pair being compared.
How to Use
Comparison Symbol: In the settings (under "SMT Divergence"), enter the ticker of the correlated asset.
Example: If you trade NQ, set the symbol to CME_MINI:ES1!.
Example: If you trade EURUSD, set the symbol to TVC:DXY (Note: Understand inverse correlations).
Select Timeframes: Enable the HTF columns you want to monitor (e.g., 15m, 60m, 240m).
Enable Alerts:
Check the "SMT Alert" box in the settings.
Create a generic alert in TradingView on this indicator and select "Any function call".
Why use this?
Instead of switching tabs to check if the 1-Hour candle swept a high or if ES failed to make a new low while NQ did, this dashboard shows you the entire narrative in one glance. It keeps your chart clean while providing maximum institutional context.
Credits:
Original MTF Candle logic by Fadi & MMT.
SMT Integration & Alert Logic added by .
Reversal Radar - Sensitive Mode - SZ AlphaSensitive Mode is the early detection layer within the Reversal Radar framework.
It is designed to highlight areas where market reversals may begin to emerge, not to generate trade entries.
The radar is built on:
Structural turns (pivot-based)
Behavioral shifts (strength / weakness)
Volatility & participation filters (ATR / Volume)
Trend context via EMA
Core thresholds are intentionally encapsulated into Sensitivity Tiers (Low / Medium / High) to preserve structural consistency and avoid overfitting.
This tool is for risk awareness and context detection,
not for trade execution or signal chasing.
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Sensitive Mode 是 Reversal Radar 体系中的早期反转探测层,用于在市场结构出现变化时,提前标记潜在的反转关注区域。
它并非交易信号,也不用于给出买卖指令,而是通过:
结构拐点(Pivot)
行为变化(强弱转折)
波动与参与度过滤(ATR / Volume)
趋势环境参考(EMA)
来探测“反转开始被观察到的时刻”。
为避免误用,核心阈值已被收口为灵敏度档位(Low / Medium / High),用户只需选择观察节奏,而无需调参。
本工具用于风险识别与情境判断,
不是交易建议,也不是信号生成器。
Free structure.
Decisions remain yours.
— SZ Alpha
Trend Rider mybullandbearOverview
Rite Trend Rider is a trend-following overlay indicator designed specifically for option sellers. It combines trend strength filtering with a dynamic trailing line to generate non-repainting signals for selling calls (bearish trend) or puts (bullish trend) in strong trending conditions.
The indicator plots a colored trend line (green for uptrend, red for downtrend) and displays clear entry labels only when trend strength is confirmed.
Key Features
Dynamic trend line that trails price action
ADX-based filtering for strong trends only
Built-in cooldown to avoid frequent signals in choppy markets
Visual labels: "Sell Put" (blue upward label) for bullish trend entries, "Sell Call" (red downward label) for bearish trend entries
Customizable inputs for fine-tuning
How to Use
Add the indicator to any chart (works best on intraday to daily timeframes for indices/stocks with options).
Wait for a "Sell Put" label → Indicates strong bullish trend: Consider selling out-of-the-money Put options (theta decay strategy).
Wait for a "Sell Call" label → Indicates strong bearish trend: Consider selling out-of-the-money Call options (theta decay strategy).
Signals appear only in confirmed strong trends and respect a cooldown period (default 5 bars) to reduce noise.
The trend line color confirms overall direction: Green = Bullish bias, Red = Bearish bias.
Inputs
Multiplier: Adjusts sensitivity of the trailing calculation (default: 1.0).
Common Period: Base period for calculations (default: 14).
ADX Threshold: Minimum trend strength required for signals (default: 25).
Signal Cooldown (bars): Minimum bars between signals (default: 5).
Show Entry Signals?: Toggle labels on/off.
Change calculation (no volume data)?: Alternative mode if volume/MFI is unavailable.
Note
This is for educational purposes only and not financial advice. Always manage risk, use appropriate position sizing, and combine with your own analysis. Best used in trending markets; avoid during low-volatility/range-bound periods.






















