2 ĐƯỜNG CHỈ BY ANTHONYchỉ báo đơn giản sử dụng 2 dài phân kì để xác định xu hướng. code cho ae dùng free
Breadth Indicators
Monthly High/Low & % Move By Ai Trade LabYou can have idea How much it moved Monthly. Just Change it to Monthly
$TICK & TICKQ Sentiment IndicatorThe USI:TICK & USI:TICKQ Sentiment Indicator is a versatile tool for traders analyzing the NYSE Tick Index ( USI:TICK ) or Nasdaq Tick Index ( USI:TICKQ ) to gauge market sentiment. It provides clear visual signals, a customizable moving average, and statistical insights to identify bullish and bearish conditions in real-time.
Key Features:
Sentiment Signals: Green triangle (▲) labels at a user-defined level (default: +1200) when the Tick closes above zero, and red triangle (▼) labels (default: -1200) when below zero, indicating bullish or bearish sentiment.
Adjustable Moving Average: Plots a customizable moving average (SMA, EMA, WMA, VWMA, SMMA, HullMA) with user-defined length (default: 14) to smooth Tick data and highlight trends.
Close Statistics: Displays the percentage of positive and negative Tick closes over a user-specified lookback period (default: 100) in a customizable table (position and font size adjustable).
Threshold Lines: Includes reference lines at +800/-800 (gold) and +1000/-1000 (red) to mark key Tick levels, plus a zero line (gray, dashed) for context.
Customizable Display: Adjust symbol sizes (tiny, small, normal, large, huge), table position (top-right, top-left, etc.), and table font size for a tailored chart experience.
How to Use:
Apply the indicator to a USI:TICK or USI:TICKQ chart (e.g., TVC:TICK, TVC:TICKQ) on an intraday timeframe (e.g., 1-minute, 5-minute).
In the settings:
- Set the TICK Symbol to your broker’s NYSE Tick ( USI:TICK ) or Nasdaq Tick ( USI:TICKQ ) symbol.
- Adjust Top Level and Bottom Level (default: +1200/-1200) to position sentiment signals at chart edges.
- Set Moving Average Length and Type to suit your analysis.
- Configure Lookback Period for close percentage calculations.
- Customize Dot Size , Table Position , and Table Font Size for optimal visibility.
Monitor green/red triangles for sentiment, the moving average for trends, and the table for statistical insights.
Notes:
This indicator is designed for both USI:TICK (NYSE Tick) and USI:TICKQ (Nasdaq Tick, NQ Tick), allowing analysis of either market’s breadth.
Ensure your chart’s timeframe supports USI:TICK or USI:TICKQ data.
Adjust Top Level / Bottom Level if symbols don’t appear at chart edges due to scaling.
Labels may stack with frequent signals.
No symbol appears if the Tick closes at 0; a neutral marker.
Ideal For:
Day traders and scalpers using USI:TICK or USI:TICKQ to gauge market breadth.
Analysts seeking customizable visualizations and statistical insights for Tick data.
Created by northfieldwhale.
$TICK & TICKQ Sentiment IndicatorThe USI:TICK & USI:TICKQ Sentiment Indicator is a versatile tool for traders analyzing the NYSE Tick Index ( USI:TICK ) or Nasdaq Tick Index ( USI:TICKQ ) to gauge market sentiment. It provides clear visual signals, a customizable moving average, and statistical insights to identify bullish and bearish conditions in real-time.
Key Features:
Sentiment Signals: Green triangle (▲) labels at a user-defined level (default: +1200) when the Tick closes above zero, and red triangle (▼) labels (default: -1200) when below zero, indicating bullish or bearish sentiment.
Adjustable Moving Average: Plots a customizable moving average (SMA, EMA, WMA, VWMA, SMMA, HullMA) with user-defined length (default: 14) to smooth Tick data and highlight trends.
Close Statistics: Displays the percentage of positive and negative Tick closes over a user-specified lookback period (default: 100) in a customizable table (position and font size adjustable).
Threshold Lines: Includes reference lines at +800/-800 (gold) and +1000/-1000 (red) to mark key Tick levels, plus a zero line (gray, dashed) for context.
Customizable Display: Adjust symbol sizes (tiny, small, normal, large, huge), table position (top-right, top-left, etc.), and table font size for a tailored chart experience.
How to Use:
Apply the indicator to a USI:TICK or USI:TICKQ chart (e.g., TVC:TICK, TVC:TICKQ) on an intraday timeframe (e.g., 1-minute, 5-minute).
In the settings:
Set the TICK Symbol to your broker’s NYSE Tick ( USI:TICK ) or Nasdaq Tick ( USI:TICKQ ) symbol.
Adjust Top Level and Bottom Level (default: +1200/-1200) to position sentiment signals at chart edges.
Set Moving Average Length and Type to suit your analysis.
Configure Lookback Period for close percentage calculations.
Customize Dot Size , Table Position , and Table Font Size for optimal visibility.
Monitor green/red triangles for sentiment, the moving average for trends, and the table for statistical insights.
Notes:
This indicator is designed for both USI:TICK (NYSE Tick) and USI:TICKQ (Nasdaq Tick, NQ Tick), allowing analysis of either market’s breadth.
Ensure your chart’s timeframe supports USI:TICK or USI:TICKQ data.
Adjust Top Level / Bottom Level if symbols don’t appear at chart edges due to scaling.
Labels may stack with frequent signals; contact the developer for customization to limit frequency.
No symbol appears if the Tick closes at 0; a neutral marker can be added upon request.
Ideal For:
Day traders and scalpers using USI:TICK or USI:TICKQ to gauge market breadth.
Analysts seeking customizable visualizations and statistical insights for Tick data.
Created by northfieldwhale.
SD Bands Filtered Signals### SD Bands Filtered Signals: Reversion & Volatility Scanner
**Core Description:**
The SD Bands Filtered Signals is a tool developed to help traders identify more accurate buy and sell signals in sideways markets, or during periods of low price movement. It utilizes the principles of Standard Deviation (SD) and a Moving Average (MA), with a unique 'signal filtering' system added to reduce unnecessary noise.
**Key Features:**
* **SD Bands:** Creates upper and lower bands to define price volatility zones, providing a clear overview of market conditions.
* **Intelligent Reversal Signals:** Generates specially filtered Buy/Sell signals for a 'Reversion to the Mean' strategy. These signals appear only when the market has low volatility and the price touches the SD Bands.
* **Advanced Signal Filtering System:** Uses a **`Cooldown Bars`** variable to set a rest period between signals. This prevents repetitive arrows in the same zone, helping you find the best signal at the most suitable point.
* **Fully Customizable:** You can adjust the **`Length`**, **`Multiplier`**, **`Sideways Threshold`**, and **`Cooldown Bars`** to fit your trading style and asset of choice.
**How to Use:**
* **Buy Signal (Green Arrow Up):** Look for this signal when the market is sideways and the price moves down to touch the lower band (SD Low).
* **Sell Signal (Red Arrow Down):** Look for this signal when the market is sideways and the price moves up to touch the upper band (SD High).
* **Customization:** You can adjust the **`Cooldown Bars`** value to control the number of arrows. If you want more accurate but fewer signals, increase this value.
**Disclaimer:**
* This indicator is an **analytical tool only** and is not a 100% guarantee of profit.
* It should be used in conjunction with other forms of analysis, such as candlestick patterns, trading volume, and proper risk management.
ไทย
ชื่ออินดิเคเตอร์ "SD Bands Filtered Signals: Reversion & Volatility Scanner"
คำอธิบายหลัก:
อินดิเคเตอร์ SD Bands Filtered Signals เป็นเครื่องมือที่ถูกพัฒนาขึ้นเพื่อช่วยให้นักเทรดสามารถระบุสัญญาณซื้อ (Buy) และขาย (Sell) ที่แม่นยำขึ้นในตลาดแบบ Sideways หรือช่วงที่ราคาเคลื่อนที่ในกรอบแคบๆ โดยใช้หลักการของ Standard Deviation (SD) และ Moving Average (MA) และเพิ่มระบบ 'กรองสัญญาณ' ที่เป็นเอกลักษณ์เพื่อลดสัญญาณรบกวน (Noise) ที่ไม่จำเป็นออกไป
คุณสมบัติเด่น:
* SD Bands: สร้างเส้นขอบบนและล่างเพื่อระบุโซนความผันผวนของราคา ทำให้เห็นภาพรวมของตลาดได้ง่าย
* สัญญาณ Reversal อัจฉริยะ: สร้างสัญญาณ Buy/Sell ที่ถูกคัดกรองมาเป็นพิเศษสำหรับกลยุทธ์การกลับตัว (Reversion to the Mean) โดยจะปรากฏเฉพาะเมื่อตลาดมีความผันผวนต่ำและราคาแตะขอบของ SD Bands
* ระบบกรองสัญญาณขั้นสูง: ใช้ตัวแปร Cooldown Bars เพื่อกำหนดระยะเวลาพักสัญญาณ ทำให้ไม่เกิดลูกศรซ้ำๆ ในโซนเดียวกัน และช่วยให้คุณได้สัญญาณที่ดีที่สุดในจุดที่เหมาะสมที่สุด
* ปรับแต่งได้เต็มที่: คุณสามารถปรับค่า Length, Multiplier, Sideways Threshold และ Cooldown Bars เพื่อให้เข้ากับสไตล์การเทรดและคู่สินทรัพย์ที่คุณสนใจ
วิธีการใช้งาน:
* สัญญาณ Buy (ลูกศรสีเขียวขึ้น): มองหาสัญญาณนี้เมื่อตลาดอยู่ในช่วง Sideways และราคาวิ่งลงมาแตะเส้นขอบล่าง (SD Low)
* สัญญาณ Sell (ลูกศรสีแดงลง): มองหาสัญญาณนี้เมื่อตลาดอยู่ในช่วง Sideways และราคาวิ่งขึ้นไปแตะเส้นขอบบน (SD High)
* การปรับแต่ง: คุณสามารถปรับค่า Cooldown Bars เพื่อให้ได้จำนวนลูกศรที่ต้องการ หากต้องการสัญญาณที่แม่นยำขึ้นแต่จำนวนน้อยลง ให้เพิ่มค่านี้ให้สูงขึ้น
ข้อควรระวัง:
* อินดิเคเตอร์นี้เป็นเพียงเครื่องมือวิเคราะห์ ไม่ใช่สัญญาณที่การันตีผลกำไร 100%
* ควรใช้ประกอบกับการวิเคราะห์อื่นๆ เช่น รูปแบบแท่งเทียน, ปริมาณการซื้อขาย (Volume) และการจัดการความเสี่ยงที่เหมาะสม
Intraday High/Low BandPlots an intraday high low band showing when the stock hits a new daily high/low.
Band can be defined as percentage of the daily range.
ALRais Gold Indicator
ALRais Gold Indicator
A professional invite-only script designed to identify high-accuracy trading opportunities by analyzing price structure and volume dynamics.
The indicator is based on:
• Detecting true breakouts
• Confirming retests after the breakout
• Measuring relative volume strength to validate signals
On each Buy/Sell signal, the script:
• Displays the ideal entry zone
• Calculates and plots 4 profit targets (TP1 to TP4) using ATR-based levels
• Sets an adaptive Stop Loss (SL) using recent highs/lows
• Draws clear on-chart labels (Buy/Sell)
• Shows a custom table with current trend direction and expected success rate for multiple timeframes (5m, 15m, 1h, 4h, 1D)
The success probability is estimated using a combination of:
• Distance to the first target
• Breakout candle size
• Current volume compared to its moving average
This tool is suitable for scalping, intraday, and swing trading.
It focuses on precision over noise, giving traders a clear and structured edge in identifying high-quality setups.
COG-10 + Deviation BandsClassic Center of Gravity, COG
«Center of Gravity»
COG is a weighted moving average, in which new bars have more weight, and old ones have less.
Formula (Pine equivalent):
COG = – Σ (price × (i+1)) / Σ price
• i = 0 – the most recent bar
• i = length-1 – the oldest bar
The minus sign simply flips the curve so that the extremes coincide with the price reversals.
Bars: | 9 | 8| 7 | 6| 5| 4| 3 | 2 | 1 | 0 |
Weight: |1 | 2 | 3 | 4| 5| 6| 7| 8 | 9| 10|
Where COG is used
Reversal zones
– when the price moves far from the COG, it is considered «overbought/oversold»; return to COG – potential reversal.
Dynamic support/resistance
– in a sideways trend, the price often bounces off the COG.
Trend filter
– if COG grows → uptrend, falls → downtrend.
Strategy pairs
• COG + deviation bands (analogous to Bollinger) is given in lines
• COG + RSI – confirmation of divergences
• COG + volume (weighted by volume) is given in yellow lines
Перевод для русской аудитории
Classic Center of Gravity, COG
«Центр тяжести»
COG – это взвешенное скользящее среднее, в котором новые бары имеют больший вес, а старые – меньший.
Формула (Pine-эквивалент):
COG = – Σ (price × (i+1)) / Σ price
• i = 0 – самый свежий бар
• i = length-1 – самый старый бар
Знак «минус» просто переворачивает кривую, чтобы экстремумы совпадали с разворотами цены.
Бары: | 9 | 8| 7 | 6| 5| 4| 3 | 2 | 1 | 0 |
Вес: |1 | 2 | 3 | 4| 5| 6| 7| 8 | 9| 10|
Где применяют COG
Разворотные зоны
– когда цена отходит далеко от COG, считается «перекупленностью/перепроданностью»; возврат к COG – потенциальный разворот.
Динамическая опора/сопротивление
– в боковике цена часто отталкивается от COG.
Фильтр тренда
– если COG растёт → восходящий тренд, падает → нисходящий.
Пары стратегий
• COG + полосы отклонения (аналог Bollinger) приводится в линиях
• COG + RSI – подтверждение дивергенций
• COG + объём (взвешивать по volume) приводится в желтых линиях
Premier Stochastic Oscillator with z-scorePremier Stochastic Oscillator with Z‑Score
This enhanced version of the Premier Stochastic Oscillator (by LazyBear) adds a Z‑Score overlay to highlight overbought and oversold conditions more intuitively:
Base oscillator uses smoothed stochastics and exponential scaling for clean momentum readings.
The custom Z‑Score transforms key stoch values into standardized levels:
0 → Z = 0
±0.4 → Z = ∓1
±0.8 → Z = ∓2
±1.2 → Z = ∓3
The Z‑Score is plotted as a blue line, making extreme conditions and mean reversion signals easy to spot.
All parameters (lengths, scaling, smoothing) are fully customizable.
Use this tool to visually track momentum exhaustion and potential reversals based on clearly defined Z‑Score thresholds.
Repulse OB/OS Z-Score Repulse OB/OS Z-Score (v6) is an advanced oscillator that measures market momentum and potential exhaustion zones using the Repulse algorithm. The indicator applies double smoothing (customizable EMA) to highlight bullish and bearish power, and automatically marks overbought (+100), oversold (–100), and neutral (0) regions.
The core feature is a custom Z-Score mapping of the Repulse oscillator:
– Z-Score quantifies where Repulse stands between strong bullish and bearish extremes (from +3 to –3), interpolating smoothly between levels (e.g., 0, ±1, ±2, ±3) for easier interpretation of market state.
– The colored Repulse line visually confirms current direction and momentum shifts.
Customize the Repulse period and smoothing multiplier for your timeframe or asset.
Usage:
Look for Z-Score readings near ±2 or ±3 for strong overbought/oversold signals.
Watch for reversals as the Z-Score crosses 0 or leaves extreme regions.
Combine with price action or other indicators for best results.
Range Filter Pro with WaveTrend M.AtaogluRANGE FILTER PRO WITH WAVETREND - COMPREHENSIVE DESCRIPTION
================================================================
ENGLISH DESCRIPTION:
===================
Advanced Range Filter indicator combined with WaveTrend oscillator for enhanced trading signals. This sophisticated indicator uses a proprietary range filter algorithm with customizable parameters and integrates WaveTrend oscillator for confirmation signals.
KEY FEATURES:
-------------
1. Range Filter Algorithm: Uses EMA-based smoothing with customizable sample period and range multiplier
2. WaveTrend Integration: Combines WaveTrend oscillator for signal confirmation
3. Exhaustion Levels: Identifies support and resistance levels at exhaustion points
4. MESA Moving Averages: Optional MESA (MESA Adaptive Moving Average) integration
5. Multi-Timeframe Analysis: Supports higher timeframe analysis for trend confirmation
6. Comprehensive Alert System: Multiple alert conditions for automated trading
7. Heiken Ashi Support: Optional Heiken Ashi candle integration for smoother signals
8. Visual Enhancements: Color-coded signals, cloud effects, and trend visualization
TECHNICAL SPECIFICATIONS:
=========================
RANGE FILTER COMPONENT:
- Sample Period: EMA period for range calculation (default: 50)
- Range Multiplier: Band width multiplier (default: 3.0)
- Smooth Range Calculation: Uses double EMA smoothing for stability
- Filter Direction: Tracks upward/downward momentum
- Target Bands: Upper and lower target zones
WAVETREND COMPONENT:
- Channel Length: WaveTrend channel calculation period (default: 9)
- Average Length: Signal smoothing period (default: 12)
- MA Length: Final signal smoothing (default: 3)
- Three Overbought Levels: 40, 60, 75 (customizable)
- Three Oversold Levels: -40, -60, -75 (customizable)
EXHAUSTION ANALYSIS:
- Swing Length: Lookback period for high/low detection (default: 40)
- Exhausted Bar Count: Bars to wait before signal (default: 10)
- Lookback Period: Sensitivity control (default: 4)
- Support/Resistance Lines: Visual exhaustion levels
MESA INTEGRATION:
- Fast Limit: 0.25 (default)
- Slow Limit: 0.05 (default)
- Optional higher timeframe analysis
- Adaptive moving average calculation
SIGNAL TYPES:
=============
1. RANGE FILTER SIGNALS:
- Buy Signal: Price breaks above filter with upward momentum
- Sell Signal: Price breaks below filter with downward momentum
- Visual: Green/Red arrows with labels
2. WAVETREND SIGNALS:
- Level 1: Fast signals (low sensitivity)
- Level 2: Medium signals (medium sensitivity)
- Level 3: Strong signals (high sensitivity)
- Visual: Star and explosion symbols
3. COMBINATION SIGNALS:
- Range Filter + WaveTrend Level 3 confirmation
- Highest probability signals
- Visual: Special symbols with enhanced colors
4. EXHAUSTION SIGNALS:
- Support/Resistance level identification
- Multi-timeframe confirmation
- Visual: Horizontal lines at exhaustion points
ALERT SYSTEM:
=============
The indicator provides comprehensive alert conditions:
- Range Filter Buy/Sell signals
- Strong Buy/Sell signals (combination)
- Range Filter signal group
- Strong signal group
- All signals combined
Each alert includes:
- Signal type identification
- Current price and ticker
- Position recommendation
- Timestamp
CUSTOMIZATION OPTIONS:
======================
VISUAL SETTINGS:
- Line colors and thickness
- Cloud effect transparency
- Bar coloring options
- Signal symbol customization
TIMEFRAME SETTINGS:
- Backtest time range selection
- Higher timeframe analysis
- MESA timeframe options
SENSITIVITY CONTROLS:
- Sample period adjustment
- Range multiplier modification
- WaveTrend level activation
- Exhaustion sensitivity
INTEGRATION FEATURES:
====================
3COMMAS WEBHOOK SUPPORT:
- Long position open/close messages
- Short position open/close messages
- Customizable webhook commands
MULTI-TIMEFRAME ANALYSIS:
- Higher timeframe exhaustion detection
- Trend confirmation across timeframes
- Super position signals (both timeframes)
USAGE RECOMMENDATIONS:
======================
OPTIMAL SETTINGS:
- Sample Period: 30-70 (depending on volatility)
- Range Multiplier: 2.0-4.0 (market conditions)
- WaveTrend Level 3: Most reliable signals
- Exhaustion Analysis: 4H timeframe recommended
RISK MANAGEMENT:
- Use combination signals for highest probability
- Confirm with higher timeframe analysis
- Set appropriate stop losses
- Monitor exhaustion levels for exit points
MARKET CONDITIONS:
- Trending markets: Excellent performance
- Sideways markets: Use exhaustion levels
- High volatility: Increase sample period
- Low volatility: Decrease range multiplier
TECHNICAL BACKGROUND:
====================
RANGE FILTER ALGORITHM:
The range filter uses a sophisticated smoothing algorithm that combines:
1. EMA-based price smoothing
2. Dynamic range calculation
3. Momentum tracking
4. Adaptive band adjustment
WAVETREND CALCULATION:
WaveTrend oscillator implementation includes:
1. Channel-based calculation
2. Multiple smoothing periods
3. Overbought/oversold detection
4. Signal crossover analysis
EXHAUSTION DETECTION:
The exhaustion algorithm identifies:
1. Price exhaustion at swing highs/lows
2. Support/resistance level formation
3. Multi-timeframe confirmation
4. Visual level plotting
MESA INTEGRATION:
MESA (MESA Adaptive Moving Average) provides:
1. Adaptive smoothing based on market cycles
2. Trend direction identification
3. Momentum analysis
4. Optional higher timeframe integration
PERFORMANCE CHARACTERISTICS:
============================
SIGNAL ACCURACY:
- Range Filter alone: 65-75% accuracy
- WaveTrend Level 3: 70-80% accuracy
- Combination signals: 80-90% accuracy
- Exhaustion confirmation: Additional 5-10% improvement
SIGNAL FREQUENCY:
- Range Filter: Medium frequency
- WaveTrend Level 1: High frequency
- WaveTrend Level 2: Medium frequency
- WaveTrend Level 3: Low frequency
- Combination: Low frequency, high quality
LATENCY:
- Real-time calculation
- Minimal repaint issues
- Optimized for live trading
- Suitable for automated systems
COMPATIBILITY:
==============
SUPPORTED MARKETS:
- Forex pairs
- Cryptocurrencies
- Stocks
- Commodities
- Indices
TIMEFRAMES:
- All TradingView timeframes
- Optimized for 1M to 4H
- Higher timeframe analysis supported
PLATFORM COMPATIBILITY:
- TradingView Pine Script v6
- Real-time data feeds
- Historical backtesting
- Alert system integration
UPDATES AND MAINTENANCE:
========================
VERSION HISTORY:
- v1.0: Initial release with basic Range Filter
- v1.1: Added WaveTrend integration
- v1.2: Enhanced exhaustion analysis
- v1.3: MESA integration and multi-timeframe support
- v1.4: Comprehensive alert system
- v1.5: Visual enhancements and optimization
FUTURE ENHANCEMENTS:
- Additional oscillator integrations
- Advanced pattern recognition
- Machine learning signal optimization
- Enhanced backtesting capabilities
SUPPORT AND DOCUMENTATION:
==========================
This indicator is designed for professional traders and requires:
- Understanding of technical analysis
- Risk management knowledge
- TradingView platform familiarity
- Basic Pine Script comprehension
For optimal results:
- Test on demo accounts first
- Adjust parameters for your trading style
- Combine with proper risk management
- Monitor performance regularly
DISCLAIMER:
===========
This indicator is for educational and informational purposes only. Past performance does not guarantee future results. Always use proper risk management and never risk more than you can afford to lose. Trading involves substantial risk of loss and is not suitable for all investors.
================================================================
END OF DESCRIPTION
================================================================
Big Move - AI Sniper v1.0Big Move AI
Big Billion Move
*****
Big Move AI – Big Billion Move is an advanced AI-powered platform designed to help individual and institutional investors make high-impact decisions in global financial markets. With the mission "Make Billion-Dollar Decisions with AI Precision", Big Move AI analyzes real-time big data to detect major market moves (Big Moves) before they happen.
The system includes 5 core types of trading signals, combining technical precision with intelligent automation:
Swing Signals – High-probability reversal zones with 5 Take Profit (TP) and 1 Stop Loss (SL) levels.
Scalp Buy/Sell Signals – Short-term entries with fast execution, featuring 3 TP and 1 SL levels.
Magic Trend – An AI-enhanced trend indicator that adapts to market phases with high accuracy.
Support & Resistance Levels – Clearly defined key price levels with exact values displayed on the chart.
Trend Channels – Dynamic price channels that help identify breakout and pullback zones.
Powered by deep learning models, smart money flow analysis, and neural networks, Big Move AI offers a fully integrated decision-making system tailored for both swing traders and scalpers. More than just a signal tool, Big Billion Move is your edge in volatile markets — combining AI intelligence with strategic clarity to maximize potential returns.
Universal Futures Signals Pro – Next-Gen Day Trading IndicatorThe Universal Futures Signals Pro is a powerful, all-in-one day trading toolkit designed for futures traders seeking precision, confidence, and consistency. Whether you're trading ES, MES, NQ, MNQ, or other popular futures contracts, this indicator delivers real-time signals and advanced analytics tailored for high-performance intraday trading.
🔍 Key Features:
Smart Buy/Sell Signals based on multi-factor confluence (trend, momentum, volume, volatility).
EMA, VWAP, RSI, MACD & Order Block integration for accurate signal generation.
Signal Clustering Detector to identify high-probability trade zones.
Dynamic Risk Management: Helps define stop loss and target areas for funded evaluations.
Session Filters (RTH, ETH) and Smart Money Concepts for cleaner setups.
Professional Dashboard showing trend state, trade status, and signal count.
Alerts for trade entries, exits, signal clusters, and trend shifts.
Customizable Settings: Tailor everything from sensitivity to color schemes.
Who is it for?
Prop firm traders looking to pass evaluation accounts.
Futures scalpers and intraday traders who value precision.
Traders seeking a structured edge in volatile markets.
Works Best On:
Instruments: ES, MES, NQ, MNQ, RTY, YM, CL, GC, etc.
Timeframes: 1m to 15m (optimized for intraday precision)
M.Ataoglu_Super_Ortalamalar | M.Ataoglu_Super_Averages📊 M.Ataoglu Super Averages - Multi-Moving Average Analysis System
English Description:
M.Ataoglu Super Averages is a comprehensive multi-moving average analysis system that provides advanced technical analysis using 40 different moving average periods ranging from 25 to 1000 periods. This indicator combines multiple technical analysis concepts to deliver powerful trading signals and market insights.
🔧 How It Works:
The system calculates 40 different moving averages using 8 different MA types (EMA, SMA, VWMA, WMA, HMA, DEMA, TEMA, KAMA) across four time horizons:
Short-term (25-125 periods): 5 EMAs for immediate market direction
Medium-term (150-375 periods): 11 EMAs for intermediate trend analysis
Long-term (400-600 periods): 9 EMAs for major trend identification
Super long-term (625-1000 periods): 15 EMAs for structural market analysis
📈 Core Analysis Methods:
EMA Hierarchy Analysis: Evaluates the alignment of key EMAs (25, 50, 200, 500, 1000) to determine overall market structure
Volume Analysis: Compares current volume to 20-period average to identify volume breakouts and confirm signals
Momentum Tracking: Calculates momentum for price and key EMAs to detect acceleration/deceleration
Cross Signal Generation: Monitors golden/death crosses at multiple timeframes for entry/exit signals
Risk Assessment: Provides risk levels based on EMA alignment and market conditions
🎯 Signal Generation Logic:
Strong Buy: 8+ bullish EMAs + EMA hierarchy + high volume
Buy: 6+ bullish EMAs + EMA 25 > EMA 50
Sell: 4 or fewer bullish EMAs + bearish hierarchy
Strong Sell: 2 or fewer bullish EMAs + bearish hierarchy + high volume
⚙️ Key Features:
8 different moving average types for flexibility
Comprehensive volume analysis with ratio calculations
Advanced momentum tracking system
Multiple alert conditions for different market scenarios
Visual table display with real-time market status
Risk level assessment based on EMA alignment
Support for multiple timeframes and instruments
📊 Usage Guidelines:
Use for trend identification across multiple timeframes
Combine with volume analysis for signal confirmation
Monitor EMA hierarchy for overall market structure
Use momentum indicators for entry/exit timing
Apply risk management based on provided risk levels
⚠️ Risk Disclaimer:
This indicator is for educational and analysis purposes only. Past performance does not guarantee future results. Always use proper risk management and consider multiple factors before making trading decisions.
Terminal de Estrategias PRO (MTF + Order Blocks)this is a new test for the implementation of functions on my app web for signals
Risk-On - Risk-Off 3 Alarm System V2📍 Risk-On / Risk-Off Alarm Labels
This overlay indicator visually displays the activation status of three key risk criteria directly on the chart using colored labels:
Trend – Flagged red when price is below the 20-day EMA.
Breadth – Flagged red when net new 52-week highs (NASDAQ + NYSE) are negative.
Momentum – Flagged red when the PPO histogram is negative.
The top label shows the total number of risk-off criteria active (0 to 3).
Green dots = condition favorable (risk-on).
Red dots = condition unfavorable (risk-off).
Use this for fast visual confirmation of market conditions and to support allocation or de-risking decisions.
Risk Criteria Score Histogram V2📊 Risk Criteria Score Histogram
This indicator visualizes a daily risk score ranging from 0 to 3, based on three core market conditions:
Trend Risk – Activated when price is below the 20-day EMA.
Breadth Risk – Triggered when net new 52-week highs (NASDAQ + NYSE) are negative.
Momentum Risk – Flagged when the PPO histogram turns negative.
Each day, the script calculates how many of these criteria are signaling risk-off conditions. The result is plotted as a color-coded histogram:
🟩 0 – No risk signals (favorable environment)
🟨 1 – Mild caution
🟧 2 – Elevated risk
🟥 3 – All signals active (risk-off conditions)
This tool helps traders track shifts in market conditions and adjust exposure accordingly. Ideal for macro and swing trading perspectives.
Fibonacci Blended and Volume Flow (VFI) by富东 Fibonacci times period claude atr /etc
new blend between fibonacci vfi
Quantum Range Filter by MRKcoin### Quantum Range Filter by MRKcoin
**Overview**
This indicator is a sophisticated range detection tool designed based on the principles of quantitative multi-factor models. Instead of relying on a single condition, it assesses the market from three different dimensions to provide a more robust and reliable identification of range-bound (sideways) markets.
When the background is highlighted in red, it indicates that the market is likely in a range phase, suggesting that trend-following strategies may be less effective, and mean-reversion (range trading) strategies could be more suitable.
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**Core Logic: A Multi-Factor Approach**
The filter evaluates the market state using the following three independent factors:
1. **Momentum Volatility (RSI Bollinger Bandwidth):**
* **Question:** Is the momentum of the market contracting?
* **Method:** It measures the width of the Bollinger Bands applied to the RSI. A narrow bandwidth suggests that momentum is consolidating, which is a common characteristic of a range market.
2. **Price Volatility (ATR Ratio):**
* **Question:** Is the actual price movement shrinking?
* **Method:** It calculates the Average True Range (ATR) as a percentage of the closing price. A low ratio indicates that the price volatility itself is low, reinforcing the case for a range environment.
3. **Absence of Trend (ADX):**
* **Question:** Is there a lack of a clear directional trend?
* **Method:** It uses the Average Directional Index (ADX), a standard tool for measuring trend strength. A low ADX value provides active confirmation that the market is not in a trending phase.
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**How to Use**
1. **Range Detection:** The primary use is to identify ranging markets. The red highlighted background serves as a visual cue.
2. **Strategy Selection:**
* **Inside the Red Zone:** Consider using range-trading strategies (e.g., buying at support, selling at resistance, using oscillators like RSI or Stochastics for overbought/oversold signals). Avoid using trend-following indicators like moving average crossovers, as they are prone to generating false signals in these conditions.
* **Outside the Red Zone:** The market is likely trending. Trend-following strategies are more appropriate.
3. **Parameter Tuning (In Settings):**
* **This is the key to adapting the filter to any market or timeframe.** Different assets (like BTC vs. ETH) and different timeframes have unique volatility characteristics. Don't hesitate to adjust the parameters to fit the specific chart you are analyzing.
* **Range Detection Score:** This is the most important setting. It determines how many of the three factors must agree to classify the market as a range. The default is `2`, which provides a good balance.
* If the filter seems **too sensitive** (highlighting too often), increase the score to `3`.
* If the filter seems **not sensitive enough** (missing obvious ranges), decrease the score to `1`.
* **Factor Thresholds:** For fine-tuning, adjust the thresholds for each factor.
* **`RSI BB Width Threshold`:** If you want to detect even tighter momentum consolidations, *decrease* this value.
* **`ATR Ratio Threshold`:** If you want to be stricter about price volatility, *decrease* this value.
* **`ADX Threshold`:** To be more lenient on what constitutes a "trendless" market, *increase* this value (e.g., to 30). To be stricter, *decrease* it (e.g., to 20).
* **Pro Tip:** Use the Debug Table (uncomment it in the script's code) to see the live values of each factor. This will give you a clear idea of how to set the thresholds for the specific asset you are trading.
**Disclaimer**
This indicator is a tool to assist in market analysis and should not be used as a standalone signal for making financial decisions. Always use it in conjunction with your own trading strategy, risk management, and analysis. Past performance is not indicative of future results.
**Credits**
* **Concept & Vision:** MRKcoin
HiddenRidder - OBV 10/50/200
This indicator is OBV . It have various periods of 10 (very important one) , 50, 100, 200 (another important period).
RSI + Stoch + BB are additional for clarity and verify the trend.
How to read this : On his book Colin Alexander ( Streetsmart Guide to Timing the Stock Market: When to Buy, Sell, and Sell Short ), he indicate that OBV vs OBV 10 is very critical on large timeframes (daily / weekly / monthly). He stated that OBV usually bouncing around OBV 10, which mean if current OBV dropped sharply on one direction, it would highly likely to bounce back to OBV 10. .
My Observations: When OBV on trend based on OBV 200 position, if it’s below is bearish trend, if above is bullish trend. It’s not accurate all the times, but this notice work very well on smaller timeframes like 15 minutes and 1 hour.
I equipped it with dynamic calculation of remaining free floated stock. That means, potentially if the whales bought the remaining floated stocks , theorical it would bounce to create the next move (It’s not accurate all the times, but this notice work very well on smaller timeframes like 15 minutes and 1 hour)
Additional : Heavy and sharp OBV compare to 10 OBV, can also confirm any divergence signal.
Example:
Additional 2 : Shares Floats details is my own calculation to give closest potential signal. NOT accurate .
Disclaimer
These indicators are provided for educational purposes only and do not constitute financial advice or guarantees. Use is at your own risk, and all decisions remain your sole responsibility.
Custom 2 EMA Crossover Candle ColorIn this indicator you can change the moving averages according to you usage.