BTCUSD BOS & Liquidity MapBTCUSD is trading inside a high‑volume range after a clear series of Breaks of Structure (BOS) from the recent distribution zone into the current demand area. This chart highlights the key liquidity sweep, consolidation blocks and volume clusters that are likely to drive the next impulsive move.
Structure: Market shifted from a strong bullish leg into a clean bearish redistribution, confirmed by multiple BOS signals on the higher‑timeframe structure.
Liquidity: Price swept resting liquidity below prior lows and is now holding above the marked support band (89,270 – 88,300), suggesting absorption by buyers rather than continuation selling.
Volume profile: Visible Volume Profile shows heavy participation at the current range, reinforcing this zone as a potential accumulation area before a directional break.
Key levels:
Resistance zone: 97,950 – 98,300 (major supply and previous distribution ceiling).
Support zone: 89,270 – 88,300 (key demand and liquidity grab area).
Idea: As long as price holds above the support band, a reactive bullish leg back toward the resistance zone remains on the table. A clean break and acceptance below support would invalidate the bullish bias and open room for a deeper downside continuation.
This chart is for educational purposes only and not financial advice. Use it as a framework for your own entries, confirmations and risk management on BTCUSD.
Candlestick analysis
cephxs / Universal Po3 Profiler [Ultimate +]UNIVERSAL PO3 PROFILER
Multi-timeframe structural analysis with HTF candle visualization, Precision Swing Point (PSP) detection, SMT divergences, CISD Trend change tracking, and a hierarchical alert system that filters noise from signals.
This indicator is subject to the terms of the Mozilla Public License 2.0.
This indicator utilizes Open Source Code from @fadizeidan, Refer to the bottom of this desciption for more information.
WHAT IT DOES
The Universal Po3 Profiler brings multiple higher timeframe perspectives directly onto your chart without switching tabs. It renders HTF candles alongside your price action while detecting divergences across correlated assets, tracking the Power of 3 sequence (C1/C2/C3/C4), and providing a multi-level alert system that only fires when your configured conditions align.
This is NOT a signal generator. It is a context tool designed to help you understand WHERE price sits within the larger structure and WHEN correlated assets are disagreeing—information that often precedes significant moves.
-- IMAGE: Main indicator view showing HTF candles on right side of chart with profiling elements --
CORE CONCEPTS
Power of 3 (Po3) Profiling
The indicator tracks the classic accumulation-manipulation-distribution sequence across HTF candles:
C1: The candle whose level becomes the target for liquidity
C2: The sweep candle that trades beyond C1's level, then closes back inside the range
C3: The confirmation candle showing directional commitment
C4: Continuation phase where the move plays out
The T-Spot (TTrades/ICT) highlights the 50% area of the manipulation range/C2 where price often returns for entries.
Precision Swing Point (PSP)
A PSP is not just a pivot—it is a pivot WITH a divergence on the closure. When one asset makes a new high or low but correlated assets FAIL to confirm, the pivot becomes a Precision Swing Point. These often mark significant turning points. It also highlights PSP's that are not divergences for even more advanced analyses + alerts.
Example: ES closes bullish on a candle, but NQ closes bearish. If this occurs at a pivot point, the C2 candle is flagged as a PSP on the HTF candles only.
SMT (Smart Money Technique) Divergences
SMT tracks when correlated assets disagree on highs or lows:
Bullish SMT: Primary asset makes lower low while correlated asset makes higher low
Bearish SMT: Primary asset makes higher high while correlated asset makes lower high
Lines are drawn connecting the divergent extremes on both your chart and the HTF candle plots.
These lines get cleaned up when invalidated i.e the highest/Lowest point gets traded through.
CISD (Change In State of Delivery)
CISD identifies momentum shifts after pivot formation by detecting opposing candle stretches and confirming when price closes beyond the stretch level. Optional Fibonacci projections help identify potential profit targets.
KEY FEATURES
Auto-Adaptive HTF Selection: Automatically selects optimal timeframes based on your chart. On a 5-minute chart, it might display 30m, 1H, and 4H candles. Manual override available for custom setups (MMXM Trader + some tweaks by me.).
3-Timeframe Display: Up to three concurrent HTF candle sets with independent settings per timeframe.
Profiler Source Selection: Choose which HTF drives the Po3 profiling visuals—Auto selects the best option, or override manually.
Dual SMT Views: SMT lines can appear on HTF candle plots or directly on your chart or both.
Automatic Asset Correlation: Custom Open Source Built-in library detects correlated assets for your symbol. On ES, it compares NQ and YM. On EUR/USD, it compares GBP/USD and DXY. Manual configuration available for custom pairs. you can use this in your own tools.
HTF Imbalances: Fair Value Gaps and Volume Imbalances rendered directly on HTF candles.
Visual Overlays: Vertical lines at HTF opens, horizontal lines at HTF open prices, sweep lines connecting C1 to C2.
-- IMAGE: SMT divergence lines drawn between correlated assets --
THE MULTI-LEVEL ALERT SYSTEM
Most indicators give you one alert condition. The Po3 Profiler provides THREE levels that must align before an alert fires—filtering noise and focusing only on high-confluence setups. Tried and Tested in Live Conditions.
Understanding the Alert Hierarchy
Level 3 (Upper Fractal): Your highest timeframe anchor—always required. This is the "big picture" context.
Level 2 (Intermediary): Optional middle timeframe that adds extra confirmation between L3 and your chart.
Level 1 (Chart Trigger): Your entry trigger on the chart timeframe—currently only CISD-based, expandable to IFVGs and Other Entry Styles/Risk Definitions.
Alerts only fire when ALL enabled levels pass their conditions. This cascading approach means you are not alerted to every C2 sweep and CISD like all the others out there — only those with higher timeframe confluence.
Configuring Each Level
For each level, you configure:
TF Alignment: Map each level to an HTF (L3 should be highest, L2 in the middle)
Phase Alignment: What phase must the HTF be in? Options include None, Early C2 (real-time sweep), C2 Confirmed (sweep completed), C3 Active (confirmation candle forming), or C4 Active
Confluence Filters: Optional Stacking additional requirements for entries — C2 must be a PSP, SMT divergence must be active, or SMT occurred on the previous candle etc
Session Filter
Optionally restrict alerts to specific trading sessions: Asia, London, NY AM, NY PM, London + NY, or define a custom time window. This ensures alerts only fire during your preferred trading hours, preventing clutter
Visual Alert Entries
Enable visual markers on your chart where all conditions aligned. This is invaluable for backtesting your filter combinations before setting live alerts.
-- IMAGE: Alert Settings Table showing L3/L2/L1 configuration --
Size exaggerated for Explanation Purposes
HOW TO USE IT
Tip: Most of these are aenabled by deafult for easy user flow, you're welcome.
Getting Started (2 minutes)
Add the indicator to your chart
Leave Auto HTF and Auto Count enabled (default)
Select your preferred profile preset: 4H/1H for standard ICT-style or 6H/90m for Quarterly Theory traders (Daye)
The indicator immediately displays HTF candles with profiling active
For PSP and SMT Detection
Go to Asset Selection settings
Set Correlation Preset to Auto (detects correlated assets automatically)
Enable HTF PSP in the Divergences section to highlight candles with divergence
Enable SMT and choose Chart SMT, HTF SMT, or both
Use Clean mode for minimal clutter, Pro mode for maximum information
For Alerts
Navigate to Alert Input Settings
Enable Level 3 and map it to your highest HTF
Set the Phase Alignment (C2 Confirmed or C3 Active are common)
Optionally enable Level 2 for additional confirmation
Add confluence filters (C2 PSP, Active SMT) as needed
Enable Session Filter if you only trade specific hours
Enable Show Alert Entries to visualize where your conditions would have triggered
Once satisfied, create a TradingView alert on this indicator
Pro Tips
Start with minimal filters, then add confluence requirements as you understand the system and yourself
The Profiler Status Bar shows your current phase at a glance—enable it in Display Tables
Use Defer Cleanup to keep the T-Spot visible during C4 until C2 is invalidated or the sequence ends.
-- IMAGE: Profiler Status Bar showing current Po3 Settings--
This could be different/Updated in future Updates, refer to the changelog
INPUT SETTINGS OVERVIEW
Section 1: HTF Input Settings
Auto HTF / Auto Count toggles
Profiler Source selection (Auto, HTF 1, HTF 2, HTF 3)
Manual HTF 1/2/3 timeframe and candle count (when Auto is off)
Directional bias controls (Po3, Alert, CISD/SMT)
Section 1.2-1.4: Alert System
Level 3/2/1 enable toggles and TF alignment
Phase alignment per level
Price/confluence filters (PSP, SMT)
Session filter with presets and custom time
Section 2: HTF Candle Styling
Padding and buffer spacing
Bull/bear body, border, wick colors
Midpoint line toggle
HTF divider lines between candle sets
Section 3: Profiling Elements
T-Spot box and border styling
Sweep line appearance (chart and HTF)
Extras
Section 4: Divergences
Enable HTF PSP with custom colors
Enable SMT (Chart/HTF/Both)
Clean vs Pro chart mode
Per-HTF SMT toggles and colors
Max SMT cycles limiter
Section 5: Detection Systems
Pivot & CISD detection settings
Section 6: Display Tables
Profiler Status Bar (position, size, colors)
Alert Settings Table (shows current L3/L2/L1 config)
Section 7: Asset Selection
Correlation Preset (Off, Auto, Manual)
Manual Asset 1/2/3 inputs
Invert Asset 3 for inverse correlations
SUPPORTED MARKETS
The built-in correlation library automatically detects pairs for:
Index Futures: NQ/ES/YM/RTY and micro variants
Forex: EUR/GBP/DXY triad, USD/JPY/CHF triad, CAD pairs
Crypto: BTC/ETH/TOTAL3, SOL/XRP pairs, major alts
Metals: Gold/Silver/Copper
Energy: Crude/Gasoline/Heating Oil
Treasuries: ZB/ZF/ZN
For assets not covered, use Manual mode to define your own correlation group.
TERMINOLOGY QUICK REFERENCE
Po3: Power of 3 (Accumulation, Manipulation, Distribution)
PSP: Precision Swing Point (pivot with divergence)
SMT: Smart Money Technique (divergence between correlated assets)
CISD: Change In the State of Delivery (confirmed directional shift)
HTF: Higher Timeframe
LTF: Lower Timeframe (your chart)
C1/C2/C3/C4: Candle sequence in Po3 profiling
T-Spot: Trading zone (50% from Open to wick in C3 / 25% in C4) Named this way for familiarity.
DISCLAIMER
This indicator is for educational and informational purposes only. It does not constitute financial advice. Trading involves substantial risk of loss and is not suitable for all investors. Past performance does not guarantee future results. Always use proper risk management and conduct your own analysis before making trading decisions.
Development Credits
HTF Candle plotting base logic inspired by @fadizeidan (ICT HTF Candles), with explicit permission from the crator himself for use as a Vendor. Constitutes Less than 20% of Final Codebase, avalaible for verification.
Vendor Rule Compliance: "Your script must also be published open-source, unless explicit permission to that effect was granted by the original author, or unless the reused code is considered public domain AND it constitutes an insignificant part of your codebase"
FOUNDATION AND UPGRADES
The HTF candle rendering logic builds upon the work of @fadizeidan, whose ICT HTF Candles indicator provided the foundational approach for plotting higher timeframe candles with OHLC representation, imbalance detection, and candle styling.
This indicator significantly extends that foundation with:
Automatic timeframe selection (the original required manual HTF configuration for all 6 slots)
A Fully Autonomous Alert System
Po3 profiling system with C1/C2/C3/C4 sequence tracking
Precision Swing Point detection using multi-asset divergence analysis
SMT divergence lines on both chart and HTF candles
CISD momentum tracking with optional Fibonacci projections
Multi-level alert system with phase and confluence filters
Automatic asset correlation detection via the AssetCorrelationUtils library
Profiler Status Bar for real-time phase tracking
Reduced HTF count (3 vs 6) with smarter auto-selection for cleaner charts compliance with IL compiler token limits.
Credits to the Original Publication
Link Here:
Developed by cephxs and fstarcapital
Uses AssetCorrelationUtils library by fstarcapital for automatic correlation detection
Conceptual Credits
This Indicator uses Concepts by the Inner Circle Trader, Michael Huddleston.
This Indicator uses concepts from a number of derived creators from ICT and is inspired by Creators including but not limited to: TTrades, GxT, Afyz, MMXM Trader, TradeDaye
VERSION
PineScript v6 | Ultimate+ Edition
Reuploaded for compliance with House Rules (Emojis)
IKODO Smart Money ConceptsIKODO Smart Money Concepts
OVERVIEW
IKODO Smart Money Concepts is a comprehensive professional indicator that implements institutional trading methodology (ICT/Smart Money Concepts) in a single tool. It combines six core price action concepts used by institutional traders: Order Blocks, Fair Value Gaps, Liquidity Sweeps, Break of Structure, Change of Character, and Premium/Discount Zones. This indicator helps retail traders identify and follow institutional money flow in the market.
This indicator is designed for traders who want to understand where "Smart Money" (banks, hedge funds, market makers) is positioning and use that information to make informed trading decisions.
HOW IT WORKS
The indicator analyzes price action through six fundamental concepts:
1. ORDER BLOCKS (OB)
Order Blocks identify zones where institutions placed large orders, creating supply or demand imbalances. These zones act as strong support and resistance levels.
Detection Method:
- Bullish OB: Last bearish candle before a strong bullish move (validated by BOS)
- Bearish OB: Last bullish candle before a strong bearish move (validated by BOS)
- Minimum body size requirement (default 0.3%)
- Strength threshold validation (movement size)
Visualization:
- Green boxes: Bullish OB (demand zones) with "OB ↑" label
- Red boxes: Bearish OB (supply zones) with "OB ↓" label
- Boxes extend until price enters the zone (mitigation)
- Semi-transparent fills with clear labels for easy identification
Trading Application:
- Enter LONG when price returns to Bullish OB
- Enter SHORT when price returns to Bearish OB
- Place stop loss beyond the OB zone
- Target next OB or liquidity level
2. FAIR VALUE GAPS (FVG)
Fair Value Gaps are imbalances in price created by rapid market moves. Price tends to return to "fill" these gaps before continuing in the original direction.
Detection Method:
- 3-candle pattern analysis
- Bullish FVG: Gap between candle .low and candle .high
- Bearish FVG: Gap between candle .high and candle .low
- Minimum gap size: 1x ATR (configurable)
- Fill percentage tracking (0%-100%)
Visualization:
- Blue boxes: Bullish FVG with "FVG ↑" label and fill percentage
- Orange boxes: Bearish FVG with "FVG ↓" label and fill percentage
- Real-time fill percentage tracking displayed on box
- Auto-remove when 100% filled
Trading Application:
- Wait for price to return to FVG
- Enter when FVG is 50-75% filled
- Strong reaction expected at unfilled gaps
- 100% filled gaps are no longer valid
3. LIQUIDITY SWEEPS
Liquidity Sweeps detect stop hunts where institutions push price beyond swing points to trigger retail stops, then reverse direction immediately.
Detection Method:
- Track swing highs and lows
- Wick must pierce level by minimum % (default 0.2%)
- Candle body must close back inside level (fake breakout)
- Immediate strong reversal following the sweep
Visualization:
- Purple dashed lines: Liquidity levels
- "SWEEP ↑" or "SWEEP ↓" labels at sweep moment
- Lines become solid and thicker when swept
- Clear visual confirmation of stop hunts
Trading Application:
- Enter counter-trend after sweep confirmation
- High probability reversal setups
- Excellent risk/reward ratios
- Combine with other confirmations
4. BREAK OF STRUCTURE (BOS)
Break of Structure confirms trend continuation by breaking previous swing high/low levels. BOS validates the current market direction.
Detection Method:
- Bullish BOS: Close above previous swing high
- Bearish BOS: Close below previous swing low
- Body must close beyond level (wick alone insufficient)
- Lookback period: 20 bars (configurable)
Visualization:
- Green solid line: Bullish BOS
- Red solid line: Bearish BOS
- Triangle markers at break point
- "BOS" labels with direction arrows
Trading Application:
- BOS confirms trend continuation
- Enter in BOS direction
- Expect retracement to OB
- Strong trend confirmation signal
5. CHANGE OF CHARACTER (ChoCh)
Change of Character signals potential trend reversal by breaking internal market structure. ChoCh is more sensitive than BOS and provides earlier reversal signals.
Detection Method:
- Bullish ChoCh: Break above last lower high in downtrend
- Bearish ChoCh: Break below last higher low in uptrend
- Internal structure break (more sensitive)
- Early reversal warning
Visualization:
- Lime dashed line: Bullish ChoCh
- Orange dashed line: Bearish ChoCh
- Diamond markers at break point
- "ChoCh" labels with direction
Trading Application:
- ChoCh hints at trend reversal
- Wait for BOS confirmation
- Provides early entry opportunity
- Requires careful risk management
6. PREMIUM/DISCOUNT ZONES
Premium/Discount Zones use Fibonacci levels between swing high and low to identify whether price is at premium (expensive) or discount (cheap) levels. Institutions typically buy in discount zones and sell in premium zones.
Calculation Method:
- Find recent swing high and swing low
- Apply Fibonacci retracement levels:
- Premium Zone (Sell): 78.6%, 70.9%, 61.8%
- Equilibrium (Fair Value): 50%
- Discount Zone (Buy): 38.2%, 29.1%, 21.4%
Visualization:
- Red lines and fill: Premium zone with "PREMIUM ZONE" label
- Gray line: Equilibrium (50%) with "EQUILIBRIUM" label
- Green lines and fill: Discount zone with "DISCOUNT ZONE" label
- All lines extend right
- Current zone clearly labeled on last bar
Trading Application:
- LONG positions: Enter in discount zone
- SHORT positions: Enter in premium zone
- Equilibrium: Neutral area, wait for better price
- Combine with OB and FVG for best results
KEY FEATURES
Technical Analysis:
- 6 institutional trading concepts in one indicator
- Order Block detection with mitigation tracking
- Fair Value Gap identification with fill percentage
- Liquidity Sweep detection for stop hunts
- BOS and ChoCh for structure analysis
- Premium/Discount zones for value assessment
- Real-time statistics dashboard
- Comprehensive alert system
Visual Features:
- Professional box-based visualizations
- Color-coded zones (green=buy, red=sell)
- Dynamic line drawings for structure
- Transparent zone fills
- Clear labels with directional arrows
- Customizable colors and sizes
- Statistics table with live metrics
Alert System:
- New Order Block formation
- New Fair Value Gap creation
- Liquidity Sweep detection
- Price entering Premium zone
- Price entering Discount zone
- Configurable alert messages
SETTINGS
Order Blocks Settings:
- Show Order Blocks: Toggle OB visibility
- OB Lookback Period (5-50): Bars to search for OB
- Min Body Size % (0.1-5.0): Minimum candle body size
- OB Strength Threshold (1-10): Movement validation
- Max Order Blocks (5-50): Maximum displayed OBs
- Bullish/Bearish OB Colors: Customizable colors
Fair Value Gaps Settings:
- Show FVG: Toggle FVG visibility
- Min Gap Size (0.5-3.0 ATR): Minimum gap requirement
- Show Fill %: Display fill percentage labels
- Max FVG (5-50): Maximum displayed FVGs
- Bullish/Bearish FVG Colors: Customizable colors
Liquidity Settings:
- Show Liquidity Sweeps: Toggle sweep visibility
- Sweep Lookback (10-100): Swing detection period
- Min Sweep % (0.1-1.0): Minimum pierce percentage
- Sweep Color: Customizable color
Market Structure Settings:
- Show BOS: Toggle BOS visibility
- Show ChoCh: Toggle ChoCh visibility
- Structure Lookback (10-50): Structure detection period
- BOS Color: Customizable color
- ChoCh Color: Customizable color
Premium/Discount Settings:
- Show Zones: Toggle zone visibility
- Swing Lookback (20-200): Swing detection period
- Show Equilibrium: Toggle 50% line
- Premium/Discount Colors: Customizable colors
Visual Settings:
- Label Size: Tiny/Small/Normal/Large
- Show Statistics Table: Toggle dashboard
- Line Width (1-5): Line thickness
HOW TO USE
Setup Instructions:
1. Add indicator to your TradingView chart
2. Works on all timeframes (1m to Monthly)
3. Adjust settings based on your trading style
4. Enable desired features (all enabled by default)
5. Customize colors for your preference
Reading the Indicator:
ORDER BLOCKS:
- Green box = Buy zone (Bullish OB)
- Red box = Sell zone (Bearish OB)
- Wait for price to return to OB
- Enter when price reacts at OB
- Stop loss beyond OB
FAIR VALUE GAPS:
- Blue box = Bullish FVG
- Orange box = Bearish FVG
- Check fill percentage label
- 50-75% fill = strong reaction area
- 100% fill = gap no longer valid
LIQUIDITY SWEEPS:
- Purple dashed lines = Liquidity levels
- Solid purple = Sweep occurred
- Enter counter to sweep direction
- High probability reversal
STRUCTURE BREAKS:
- Green solid line = Bullish BOS (trend up)
- Red solid line = Bearish BOS (trend down)
- Lime dashed = Bullish ChoCh (possible reversal)
- Orange dashed = Bearish ChoCh (possible reversal)
PREMIUM/DISCOUNT:
- Above 61.8% = Premium (consider selling)
- Below 38.2% = Discount (consider buying)
- Around 50% = Fair value (wait for better price)
TRADING STRATEGIES
Strategy 1: OB + Premium/Discount Combo
Perfect LONG Setup:
1. Price in discount zone (21.4% - 38.2%)
2. Bullish OB identified
3. Price returns to OB
4. Bullish BOS confirms direction
5. ENTER: Inside OB zone
6. STOP: Below OB
7. TARGET: Equilibrium or Premium zone
Perfect SHORT Setup:
1. Price in premium zone (61.8% - 78.6%)
2. Bearish OB identified
3. Price returns to OB
4. Bearish BOS confirms direction
5. ENTER: Inside OB zone
6. STOP: Above OB
7. TARGET: Equilibrium or Discount zone
Strategy 2: FVG Fill + Structure
Setup:
1. FVG forms
2. Price moves away from FVG
3. BOS confirms direction
4. Price returns to FVG (50-75% fill)
5. ENTER: At FVG
6. STOP: Beyond FVG
7. TARGET: Next structure level
Strategy 3: Liquidity Sweep Reversal
Setup:
1. Liquidity sweep occurs (stop hunt)
2. Price closes back inside
3. ChoCh suggests reversal
4. OB forms in reversal direction
5. ENTER: At OB or immediately after sweep
6. STOP: Beyond sweep level
7. TARGET: Opposite liquidity level
Strategy 4: Confluence Trading
Highest probability setups occur when multiple signals align:
Ultimate LONG Confluence:
- Price in discount zone (21.4% - 38.2%)
- Bullish Order Block present
- Bullish FVG 50%+ filled
- Liquidity sweep below (stop hunt)
- Bullish ChoCh or BOS confirmation
= Very high probability long entry
Ultimate SHORT Confluence:
- Price in premium zone (61.8% - 78.6%)
- Bearish Order Block present
- Bearish FVG 50%+ filled
- Liquidity sweep above (stop hunt)
- Bearish ChoCh or BOS confirmation
= Very high probability short entry
RECOMMENDED SETTINGS BY TIMEFRAME
Scalping (1m - 5m):
- OB Lookback: 5-10
- Min Body Size: 0.2%
- Structure Lookback: 10-15
- Min Gap Size: 0.5 ATR
- Focus: Quick entries, tight stops
Day Trading (15m - 1H):
- OB Lookback: 10-15 (default)
- Min Body Size: 0.3% (default)
- Structure Lookback: 20 (default)
- Min Gap Size: 1.0 ATR (default)
- Focus: Intraday swings
Swing Trading (4H - Daily):
- OB Lookback: 15-20
- Min Body Size: 0.5%
- Structure Lookback: 30-50
- Min Gap Size: 1.5-2.0 ATR
- Focus: Multi-day trends
BEST PRACTICES
1. Multi-Timeframe Analysis:
- Use higher TF for bias (4H, Daily)
- Use lower TF for entry (5m, 15m)
- Align with higher TF direction
2. Risk Management:
- Always use stop losses
- Minimum 1:2 risk/reward ratio
- Risk max 1-2% per trade
- OBs provide natural stop levels
3. Confluence Priority:
- Never trade single signals alone
- Wait for at least 3 signal confluence
- More confluence = higher probability
- Best setups have 4+ confirmations
4. Market Structure Awareness:
- In bullish structure: Only LONG
- In bearish structure: Only SHORT
- During ChoCh: Wait for BOS confirmation
- Choppy markets: Stay out
5. Patience and Discipline:
- Wait for perfect setups
- Don't force trades
- Quality over quantity
- 1-2 high-quality trades better than 10 mediocre
STATISTICS DASHBOARD
Bottom-right corner displays real-time metrics:
- Order Blocks: Count of active OBs
- Fair Value Gaps: Count of active FVGs
- Liquidity Sweeps: Number of sweeps
- Market Structure: Bullish/Bearish/Neutral
- Current Zone: Premium/Equilibrium/Discount
- Swing Range: Current range percentage
LIMITATIONS
Technical Limitations:
- Order Blocks are drawn retrospectively after BOS
- FVG requires 3-candle confirmation
- Liquidity Sweeps need fake breakout confirmation
- Premium/Discount zones depend on swing identification
- Not predictive, only descriptive of current conditions
Market Limitations:
- Less effective in low liquidity markets
- May produce many signals in high volatility
- Choppy/ranging markets produce mixed signals
- Strong trends break structure frequently
- News events can invalidate setups instantly
Usage Limitations:
- Not a standalone trading system
- Should combine with volume analysis
- Fundamental analysis still important
- Requires proper risk management
- Not suitable for complete beginners
ORIGINALITY
This indicator is unique because:
Comprehensive Integration:
- Combines 6 major SMC concepts in one tool
- Each concept properly implemented with validation
- Integrated logic between features (OB validated by BOS)
- Holistic institutional trading methodology
Technical Innovation:
- Automatic Order Block detection with mitigation tracking
- FVG fill percentage monitoring
- Liquidity Sweep confirmation logic
- Dynamic Premium/Discount zone updates
- Real-time statistics and analysis
Educational Value:
- Each concept clearly visualized
- Labels with directional information
- Statistics for learning and analysis
- Comprehensive documentation
- Helps traders understand Smart Money flow
While individual SMC concepts exist in various forms, this indicator:
1. Implements all 6 concepts with proper validation
2. Uses institutional logic for each feature
3. Provides integrated analysis framework
4. Offers professional-grade visualizations
5. Includes comprehensive statistics
6. Zero compilation errors, optimized performance
7. Works on all timeframes
The implementation is based on ICT (Inner Circle Trader) methodology and institutional order flow theory, providing retail traders with tools previously available only to professionals.
WHY THIS COMBINATION IS NECESSARY (NOT A SIMPLE MASHUP)
This indicator combines 6 ICT concepts because they are INTERDEPENDENT and form a complete institutional trading methodology. This is NOT a random collection of indicators - it's a unified system.
Institutional Trading Flow (Why These 6 Concepts Work Together):
1. Liquidity Sweeps identify WHERE institutions hunt retail stops
2. Order Blocks show WHERE institutions placed large orders after the sweep
3. Fair Value Gaps reveal price IMBALANCES institutions will return to fill
4. Break of Structure (BOS) confirms institutional TREND continuation
5. Change of Character (ChoCh) provides early WARNING of institutional repositioning
6. Premium/Discount Zones show WHEN price is at optimal value for institutional entry
These concepts represent the COMPLETE LIFECYCLE of an institutional trade:
- Phase 1: Stop Hunt (Liquidity Sweep) - Remove retail traders
- Phase 2: Positioning (Order Block) - Institutions enter large positions
- Phase 3: Execution (FVG fill) - Return to fill imbalances
- Phase 4: Confirmation (BOS) - Structure validates direction
- Phase 5: Management (Premium/Discount) - Value-based exits and re-entries
WITHOUT this complete combination, the system is incomplete:
- Order Blocks alone don't tell you if you're buying at premium or discount
- FVG alone doesn't confirm if market structure supports the direction
- Liquidity Sweeps alone don't show where to enter after the sweep
- BOS/ChoCh alone don't show optimal entry zones or value areas
- Premium/Discount zones alone don't show where institutions actually positioned
This is NOT a "mashup" - it's a COMPLETE SYSTEM implementing institutional order flow theory as taught by ICT. Separating these concepts would be like publishing a car's engine, wheels, and steering separately instead of a complete functional vehicle.
Technical Integration (Not Just Visual Combination):
- Order Blocks are VALIDATED by BOS (not drawn randomly)
- Quality scores use confluence of multiple factors
- Entry zones combine OB + FVG + Premium/Discount
- Structure analysis (BOS/ChoCh) guides overall bias
- All concepts share common pivot detection logic
- Unified statistics dashboard shows relationship between concepts
COMPARISON TO OTHER SMC INDICATORS ON TRADINGVIEW:
Search TradingView for SMC indicators - you'll find:
- "Order Blocks" indicators - only show OB boxes, no validation or context
- "FVG" indicators - only show gaps, no structure confirmation
- "Liquidity" indicators - only show sweeps, no entry methodology
- "ICT" indicators - usually 2-3 concepts poorly implemented
This indicator provides:
- ALL 6 core ICT concepts properly implemented
- Validation logic connecting concepts (OB requires BOS)
- Complete trading framework (not isolated tools)
- Professional visualizations with clear labels
- Educational value showing how concepts interact
- Zero errors, optimized code, comprehensive documentation
The originality is in the COMPLETE, INTEGRATED, PROFESSIONAL implementation of institutional trading methodology, not just combining existing indicators.
DISCLAIMER
This indicator is for educational and informational purposes only. It is NOT financial advice, investment advice, or a recommendation to buy or sell any asset. Trading involves substantial risk of loss. Past performance does not indicate future results. Markets can move against you at any time. Order Blocks, Fair Value Gaps, and other concepts do not guarantee profitable trades. Always use proper risk management, employ stop losses, never invest more than you can afford to lose, and do your own research (DYOR). Consult a licensed financial advisor before making investment decisions.
RISK MANAGEMENT
Essential Risk Rules:
- Always use stop losses (place beyond OBs)
- Risk maximum 1-2% per trade
- Minimum 1:2 risk/reward ratio
- Never go all-in on any signal
- Diversify across multiple setups
- Cut losses quickly, let winners run
- Don't revenge trade after losses
- Respect your trading plan
Position Sizing:
- Scale in at major confluence zones
- Take partial profits at targets
- Move stop to breakeven after 1:1
- Trail stops in strong trends
- Reduce size in uncertain conditions
MARKET CONDITIONS
Works Best In:
- Trending markets with clear structure
- Markets respecting support/resistance
- After strong moves creating imbalances
- Liquid instruments (major pairs, indices)
- Clear institutional participation
Works Poorly In:
- Extremely choppy, range-bound markets
- Very low liquidity instruments
- During major unexpected news events
- Markets with irregular trading hours
- Extreme volatility (flash crashes)
RECOMMENDED INSTRUMENTS
Best Performance:
- Major forex pairs (EURUSD, GBPUSD, USDJPY)
- Stock indices (SPY, QQQ, ES, NQ)
- Major cryptocurrencies (BTC, ETH)
- Liquid commodities (GOLD, SILVER, OIL)
- Large-cap stocks
Avoid:
- Penny stocks
- Low-volume altcoins
- Illiquid options
- Exotic currency pairs
- Highly manipulated instruments
VERSION HISTORY
v1.0 - January 21, 2026
- Initial release
- Order Block detection and mitigation
- Fair Value Gap with fill tracking
- Liquidity Sweep identification
- Break of Structure (BOS)
- Change of Character (ChoCh)
- Premium/Discount zones
- Statistics dashboard
- Complete alert system
- All timeframe support
NOTES
- Indicator name includes "IKODO" as author signature
- All features work on timeframes from 1 minute to Monthly
- Statistics update in real-time
- Boxes and lines auto-clean when invalid
- Maximum counts prevent performance issues
- ATR-based validation for adaptability
- Fibonacci-based zones for institutional levels
- Professional Material Design colors
If you find this indicator useful for your Smart Money analysis, please leave a like and comment! Share your setups and results with the community.
HoneG_CCIv22HoneG_CCIv22
This is a signal tool capable of both counter-trend and trend-following trading. Apply it to 1-minute charts.
For trend-following, it features a rapid-fire mode. When conditions align, rapid-fire mode activates, and two indicators signaling the rapid-fire timing will turn ON/OFF in sync with price extension moments.
逆張りも順張りも出来るサインツールです。1分足チャートに適用してください。
順張りには連打モードがあり、条件が揃うと連打モードが発動し、連打タイミングを知らせる二か所の表示が、価格が伸びるタイミングに合わせてON/OFFします。
REBOTE PRO EMA
//@version=5
indicator(title="REBOTE PRO EMA", overlay=true)
// === CONFIGURACIÓN ===
emaRapida = input.int(20, "EMA Rápida")
emaLenta = input.int(50, "EMA Lenta (Tendencia)")
rsiPeriodo = input.int(14, "RSI Periodo")
// === CÁLCULOS ===
emaFast = ta.ema(close, emaRapida)
emaSlow = ta.ema(close, emaLenta)
rsiVal = ta.rsi(close, rsiPeriodo)
// === CONDICIONES DE TENDENCIA ===
tendenciaAlcista = emaFast > emaSlow
tendenciaBajista = emaFast < emaSlow
// === CONDICIONES DE REBOTE ===
reboteBuy = tendenciaAlcista and low <= emaFast and close > emaFast and rsiVal > 40
reboteSell = tendenciaBajista and high >= emaFast and close < emaFast and rsiVal < 60
// === GRÁFICOS ===
plot(emaFast, color=color.orange, linewidth=2)
plot(emaSlow, color=color.red, linewidth=2)
// === SEÑALES ===
plotshape(reboteBuy,
title="BUY",
style=shape.triangleup,
location=location.belowbar,
color=color.lime,
size=size.small)
plotshape(reboteSell,
title="SELL",
style=shape.triangledown,
location=location.abovebar,
color=color.red,
size=size.small)
REBOTE PRO EMA//@version=5
indicator(title="REBOTE PRO EMA", overlay=true)
// === CONFIGURACIÓN ===
emaRapida = input.int(20, "EMA Rápida")
emaLenta = input.int(50, "EMA Lenta (Tendencia)")
rsiPeriodo = input.int(14, "RSI Periodo")
// === CÁLCULOS ===
emaFast = ta.ema(close, emaRapida)
emaSlow = ta.ema(close, emaLenta)
rsiVal = ta.rsi(close, rsiPeriodo)
// === CONDICIONES DE TENDENCIA ===
tendenciaAlcista = emaFast > emaSlow
tendenciaBajista = emaFast < emaSlow
// === CONDICIONES DE REBOTE ===
reboteBuy = tendenciaAlcista and low <= emaFast and close > emaFast and rsiVal > 40
reboteSell = tendenciaBajista and high >= emaFast and close < emaFast and rsiVal < 60
// === GRÁFICOS ===
plot(emaFast, color=color.orange, linewidth=2)
plot(emaSlow, color=color.red, linewidth=2)
// === SEÑALES ===
plotshape(reboteBuy,
title="BUY",
style=shape.triangleup,
location=location.belowbar,
color=color.lime,
size=size.small)
plotshape(reboteSell,
title="SELL",
style=shape.triangledown,
location=location.abovebar,
color=color.red,
size=size.small)
Institutional Grade Technical Analysis Support & Resistance levels with zones
✅ Uptrend lines (green, connecting lows)
✅ Downtrend lines (orange, connecting highs)
✅ Order blocks (purple zones)
✅ Swing points (triangles)
✅ Live dashboard with trade setup
Finger Print.Finger Print.
Isolates and Accumulates the "True" components of each candle:
- True Upper Wick (buying pressure beyond the body)
- True Body (conviction from open to close)
- True Lower Wick (selling pressure beyond the body).
By measuring each non-overlapping extension (true wicks) and the directional body separately, the indicator reveals building Pressure (wick accumulation) versus actual Conviction (body momentum) over a user-defined sum of bars.
Three cumulative lines track these Raw forces, while three Smoothing agents highlight sustained momentum and trend strength.
Dual Background Flashes highlight Historical extremes measured as Percentile given the Lookback period. Source any Component / Smoother line from Zero % Line, or Wick-to-Wick / Smoother-to-Smoother Spread – flagging unusually wide/tight conviction gaps or pressure imbalances.
The result is a clean, pressure-focused oscillator that separates noise from genuine directional force, helping traders spot Accumulation , Exhaustion , or Hidden Strength before price confirms it.
TWF SMT Cycle SMT Divergence Indicator
This indicator compares price cycles between two correlated markets (ex: NQ vs ES, or Gold vs DXY) to spot Smart Money divergence. When one market makes a higher high/lower low and the other fails to confirm, it signals potential cycle exhaustion and a high-probability reversal or retracement at key time windows (macro times, session opens, or shot-clock windows).
369 Candle Detection
This tool automatically highlights “algo candles” based on time and date alignment with the 3-6-9 IPDA framework. These candles mark statistically important institutional timing points where expansions, reversals, or continuation moves are most likely to begin.
Custom type-A*指数や取引量が多いETF、個別株を推奨
*MAは日足で50~75、週足で10~15を推奨
*MAの色が変わることでトレンドが把握可能
*BUYサインのみ点灯
*資産形成用であればBUYサインで買い増し
*トレード用であればMAの色の変化で売り買い
*投資は自己判断でお願いします
----
*We recommend ETFs and individual stocks with high index relevance and strong trading volume.
*For moving averages (MA), we recommend 50–75 on the daily chart and 10–15 on the weekly chart.
*Trend direction can be identified by changes in the color of the MA.
*Only BUY signals are displayed.
*For long-term asset building, consider adding to your position when a BUY signal appears.
*For trading purposes, buy and sell based on changes in the MA color.
*All investment decisions should be made at your own discretion.
Multi-Indicator SuiteMain Chart Overlay:
9, 20, and 200 EMAs - Each with customizable colors and visibility toggles
Intraday VWAP - Automatically resets daily to show intraday volume-weighted average price
Separate Indicator Panes:
RSI (14-period default) - With overbought (70) and oversold (30) levels, customizable length
MACD - With histogram, MACD line, and signal line (12/26/9 default settings)
Features:
All indicators have customizable settings through the indicator settings panel
Color-coded RSI (red when overbought, green when oversold)
MACD histogram changes color based on positive/negative values
Built-in alert conditions for EMA crossovers, RSI levels, and MACD crossovers
Toggle visibility for each component independently
TWF SMT ProCycle SMT Divergence Indicator*
This indicator compares price cycles between two correlated markets (ex: NQ vs ES, or Gold vs DXY) to spot Smart Money divergence. When one market makes a higher high/lower low and the other fails to confirm, it signals potential cycle exhaustion and a high-probability reversal or retracement at key time windows.
369 Candle Detection
This tool automatically highlights “algo candles” based on time and date alignment with the 3-6-9 IPDA framework. These candles mark statistically important institutional timing points where expansions, reversals, or continuation moves are most likely to begin.
Engulfing + Pinbar + Inside BarThis indicator combines three powerful candlestick patterns in one tool:
Engulfing Candles (Bullish & Bearish)
Pinbars / Hammers (Reversal signals)
Inside Bars (Consolidation + breakout setup)
Each pattern can be enabled or disabled individually through the settings panel.
Candle colors and labels help you quickly identify strong price action zones.
NQ Rule Matrix# NQ Rule Matrix Indicator – TradingView User Guide
## Purpose of This Indicator
This indicator exists to **control behavior**, not to entertain you with signals.
It tells you **what type of market you are in** so you stop trading bad environments. If you ignore it, you are choosing randomness.
The indicator does **not**:
* Predict tops or bottoms
* Give buy/sell signals
* Replace your entry model
It **does**:
* Classify market conditions in real time
* Prevent overtrading
* Enforce discipline before entries
If you use this indicator *after* entering a trade, you are already wrong.
---
## What the Indicator Is Measuring (Plain + Technical)
### Simple explanation
The indicator watches how **NQ behaves** and how **ES reacts**.
But markets don’t move alone.
NQ is heavily influenced by:
* **SMH** (chip stocks)
* **QQQ** (big tech basket)
* **US10Y** (interest rates)
If these are working together, moves are cleaner.
If they fight each other, trading gets dangerous.
---
### Technical explanation
The indicator evaluates:
* NQ price structure and momentum
* ES confirmation or divergence
* **Intermarket correlation between SMH, QQQ, and US10Y**
* Strength vs follow-through
* Market stability vs disorder
Strong trends require **alignment across risk assets and rates**. When correlations break, probability collapses.
---
## Why SMH, QQQ, US10Y, and the Day Matter
This is the part most traders ignore — and it’s why they trade chop and call it bad luck.
### Simple explanation
Think of the market like a team:
* **QQQ** is the whole team
* **SMH** is the strongest player (chips)
* **US10Y** is the referee (interest rates)
* The **day** tells you how tired or excited the team is
If the best player and the team are moving the same way *and* the referee isn’t stopping the game, things flow.
If they disagree, the game gets messy.
---
### Technical explanation
#### QQQ (Nasdaq Environment)
* QQQ defines the **broader tech regime**
* If QQQ is trending cleanly, NQ continuation has support
* If QQQ is chopping, NQ moves are less reliable
#### SMH (Semiconductor Leadership)
* Semiconductors are the **engine** of Nasdaq
* Strong SMH = real institutional participation
* Weak or diverging SMH = fragile NQ moves
If NQ is pushing but SMH is lagging, strength is suspect.
#### US10Y (Rates & Risk Control)
* Rising yields = pressure on growth stocks
* Falling or stable yields = relief for tech
* Sharp rate moves create volatility and failed follow-through
NQ trends best when US10Y is **not fighting the move**.
#### The Day (Context Matters)
Not all days behave the same.
* Trend days need correlation
* Choppy days expose divergence faster
* News days exaggerate correlation breaks
Ignoring the day type leads to overconfidence in the wrong environment.
---
### How This Fits the Matrix
* 🟢 Green Matrix:
* QQQ, SMH aligned
* US10Y stable or supportive
* NQ + ES agreement
* 🟡 Yellow Matrix:
* Partial alignment
* SMH lagging or rates drifting
* Reduced follow-through
* 🔴 Red Matrix:
* Correlation breakdown
* SMH and QQQ diverge
* US10Y moving aggressively
If correlations break, the matrix degrades — even if price is moving.
---
## Matrix States & How to Use Them
### 🟢 GREEN MATRIX — Trade Allowed
**What it means:**
* NQ and ES are directionally aligned
* Clean structure
* Momentum supports continuation
**What you do:**
* Trade your full strategy
* Normal position size
* Favor continuation setups
**What you do NOT do:**
* Overthink
* Countertrend trade
**Rule:** If the matrix is green, your strategy is allowed to work.
---
### 🟡 YELLOW MATRIX — Caution Zone
**What it means:**
* Partial divergence
* Slowing momentum
* Compression or overlap
**What you do:**
* Reduce size
* Be selective
* Wait for clarity
**What you do NOT do:**
* Force trades
* Increase size
**Rule:** Yellow is a warning, not an invitation.
---
### 🔴 RED MATRIX — No Trade Zone
**What it means:**
* Clear divergence between NQ and ES
* Chop
* Failed moves
**What you do:**
* Stay flat
* Protect capital
**What you do NOT do:**
* “Try one trade”
* Scalping out of boredom
**Rule:** Red matrix days are capital preservation days.
---
## How to Use the Indicator Step-by-Step
1. Load the indicator on **NQ**
2. Confirm ES is enabled (required)
3. Check matrix state **before market open**
4. Re-check after major session transitions
5. Only trade if matrix allows
If your entry triggers but the matrix disagrees — **you skip the trade**.
---
## Do’s and Don’ts
### DO:
* Let the matrix decide *if* you trade
* Combine with a single entry model
* Respect no-trade environments
### DON’T:
* Stack indicators to override the matrix
* Trade because you are bored
* Blame the indicator for ignored rules
---
## Common Misuse (Read This Carefully)
* Using the indicator to justify bad trades
* Ignoring ES confirmation
* Trading red matrix days and calling it “practice”
That’s not learning. That’s gambling.
---
## Final Rule (Non-Negotiable)
> The matrix decides the environment.
> Your strategy decides the execution.
> If you reverse those roles, you will lose.
This indicator is a **gatekeeper**.
If the gate is closed, you wait.
Xploit Hunter Buy/Sell 4RR by ChristeccXploit Hunter Buy/Sell 4RR
Overview: The Xploit Hunter Buy/Sell 4RR is a precision engineered trading indicator designed to identify high probability trade setups with exceptional risk-to-reward ratios. This sophisticated tool combines institutional grade VWAP analysis with dynamic support and resistance zones to generate accurate buy and sell signals. The indicator features automated stop loss and take-profit calculations with dual target levels, optimized for a 1:4 risk-reward ratio, making it ideal for disciplined traders seeking consistent profitability across multiple asset classes.
Core Components
1. Volume-Weighted Average Price (VWAP)
An institutional-level anchor point that calculates the average price weighted by trading volume. Offers flexible anchor periods including session-based, weekly, monthly, quarterly, and corporate event-driven timeframes such as earnings releases, dividend distributions, and stock splits. The VWAP serves as a critical directional filter, ensuring trades align with institutional positioning.
2. 9 Period Exponential Moving Average (EMA)
A responsive short-term trend indicator that serves as a critical decision point for trade entry confirmation. The 9 EMA acts as a dynamic filter, ensuring trades align with intraday momentum and helping to eliminate false signals.
3. Dynamic Support and Resistance Zones
Statistically derived price boundaries calculated using a standard deviation-based approach around a simple moving average baseline. These adaptive zones automatically adjust to current market volatility, providing reliable reference levels that respond to changing market conditions. The dynamic low and dynamic high serve as key trigger points for signal validation.
4. Advanced Multi-Criteria Entry Signal System
Valid Buy Signal Criteria:
Criterion I (VWAP Filter): Entry is validated only when VWAP is positioned below the entry candle, confirming bullish institutional bias and ensuring alignment with volume-weighted momentum
Criterion II (Price Action Confirmation): The entry candle must open below the dynamic low level and close decisively above the 9 EMA simultaneously, demonstrating strong rejection of lower prices and momentum reversal
Valid Sell Signal Criteria:
Criterion I (VWAP Filter): Entry is validated only when VWAP is positioned above the entry candle, confirming bearish institutional bias and ensuring alignment with volume-weighted distribution
Criterion II (Price Action Confirmation): The entry candle must open above the dynamic high level and close decisively below the 9 EMA simultaneously, demonstrating strong rejection of higher prices and momentum reversal
This multi-layered validation system ensures that every signal meets stringent quality standards before execution, significantly reducing false signals and improving overall trade accuracy.
5. Dual-Mode Entry Detection System
Two-Point Entry Logic: A sequential confirmation system that tracks price interaction with support and resistance zones, followed by EMA touch confirmation and decisive price action closure. This method ensures trade entries occur only after multiple validation criteria are met.
Single-Candle Entry Logic: An advanced pattern recognition system that identifies candles simultaneously touching both support/resistance zones and the 9 EMA, with confirmation based on closing price relative to the EMA. This provides faster entry opportunities while maintaining signal quality.
IMPORTANT NOTE: Recommended timeframe 15mins ONLY | Do not use during ranging market.
6. Intelligent Pip Value Calculator
A sophisticated calculation engine that automatically adapts to different asset classes including forex pairs, cryptocurrencies, stock indices, commodities, and precious metals. Recognizes specific instruments such as JPY pairs, major indices (SPX, NASDAQ, Dow Jones), gold, silver, and crude oil, applying appropriate pip value calculations for each.
7. Automated Risk Management System
Stop-Loss Placement: Automatically positioned at the extremes of the entry candle (bottom wick for buys, top wick for sells), ensuring logical risk boundaries based on actual price action.
Dual Take-Profit Targets:
TP1 (1:2 Risk-Reward): First profit target at twice the risk distance, allowing for partial position closure and risk reduction
TP2 (1:4 Risk-Reward): Primary profit target at four times the risk distance, maximizing trade profitability and delivering superior returns
8. Visual Trade Management Interface
Clear, professional chart annotations including:
Color-coded support (blue) and resistance (red) levels
Directional signal triangles marking validated entry points
Comprehensive labels displaying stop-loss and take-profit levels with precise pip values
Dashed guideline extensions for both profit targets
Customizable label sizing options (Tiny, Small, Normal) for optimal chart readability
9. Position Tracking Logic
Intelligent state management that prevents signal conflicts by clearing opposing trade setups when new signals are generated. Includes automatic reset mechanisms when price moves significantly away from zone boundaries, preventing stale or outdated signal tracking.
10. Multi-Asset Compatibility
Pre-configured recognition for major trading instruments across asset classes:
Forex Pairs: Standard and exotic pairs, including specialized handling for JPY, HUF, and KRW variants
Cryptocurrencies: Bitcoin, Ethereum, and altcoins with adaptive pip sizing based on price levels
Stock Indices: S&P 500, NASDAQ, Dow Jones, DAX, FTSE with appropriate point value calculations
Commodities: Crude oil and natural gas with standard pip measurements
Precious Metals: Gold and silver with specialized tick value recognition
11. Real-Time Alert System
Comprehensive notification framework providing instant alerts for both buy and sell signal confirmations, enabling traders to monitor multiple markets efficiently without continuous chart observation. Alerts include detailed entry confirmation messages specifying which validation criteria triggered the signal.
12. Precision Price Formatting
Automatic price display formatting with appropriate decimal precision, ensuring accurate representation across instruments with varying price scales and tick sizes.
IMPORTANT NOTE: Signal Validation Summary
For Buy Entries: Valid signals require VWAP below the entry candle AND the candle opening below dynamic low while closing above 9 EMA.
For Sell Entries: Valid signals require VWAP above the entry candle AND the candle opening above dynamic high while closing below 9 EMA.
This rigorous multi-factor confirmation process ensures that only the highest-probability setups generate trading signals, maximizing accuracy and protecting capital.
Xploit Hunter Buy/Sell 4RR: A professional-grade trading system engineered for traders who demand precision, consistency, and superior risk management in their trading operations.
Disclaimer
RISK WARNING: Trading involves substantial risk of loss and is not suitable for all investors. This indicator is provided for educational purposes only and does not constitute financial advice or trading recommendations.
No Guarantees: Past performance does not guarantee future results. No trading system can ensure profitable outcomes. All signals generated by this indicator should be validated independently.
User Responsibility: By using this indicator, you acknowledge that all trading decisions and their consequences are solely your responsibility. The creator is not a registered financial advisor and assumes no liability for any losses incurred.
Important: Never trade with money you cannot afford to lose. Always conduct your own research and consult with qualified financial professionals before making investment decisions.
Nifty BoosterNifty Booster is a powerful, multi-featured technical analysis indicator designed for NIFTY traders. This all-in-one tool combines multiple proven trading concepts into a single, easy-to-use interface to help identify potential trading opportunities with enhanced clarity.
Key Features:
1. Trend Cloud System
· Dual-layered trend analysis with adjustable sensitivity
· Visual cloud display for clear trend direction identification
· Buy/Sell signals with triangle markers
· Customizable ATR periods and multipliers
2. Dynamic Support & Resistance
· Auto-detected trendlines based on swing highs/lows
· Rejection zones highlighting potential reversal areas
· Adjustable slope calculation methods (ATR, STDEV, LINREG)
· Backpainting option for historical trend analysis
3. Pattern Detection
· Symmetrical triangle pattern recognition
· Automatic trendline drawing for detected patterns
· Customizable sensitivity and lookback periods
Untested Wickless LevelsUntested Wickless Levels
Overview
Untested Wickless Levels is a specialized price-action tool designed to identify and track "Wickless Candles"—bars where the price opens or closes at the absolute high or low of the candle with zero (or negligible) wick.
In technical analysis, a wickless candle often represents strong, institutional conviction. When a level is created without a wick and remains "untested" (price has not yet returned to pierce that specific coordinate), it often acts as a significant magnet for future price action or a zone of hidden support/resistance.
How It Works
The indicator scans every candle for a "Shaved" top or bottom.
Resistance (No Upper Wick): Created when the high of the candle is equal to the Open or Close. This suggests aggressive selling or a "ceiling" that hasn't been contested yet.
Support (No Lower Wick): Created when the low of the candle is equal to the Open or Close. This suggests aggressive buying or a "floor."
Once a level is identified, the script draws a horizontal line that automatically extends until price action eventually "tests" or breaks the level. Once the level is breached, the line is removed to keep your chart clean and focused only on active, high-probability zones.
Key Features
Automatic Level Extension: Lines track across your chart indefinitely until they are mitigated by price.
Wick Tolerance Setting: Crypto and Forex markets often have "micro-wicks" due to spread. The Wick Tolerance input allows you to include levels that have a 1 or 2 tick margin of error.
Non-Repainting: Signals are confirmed on candle close, ensuring the levels you see are permanent until broken.
Clean Visuals: Fully customizable colors, line styles (Solid, Dashed, Dotted), and widths.
How to Use
Target/Magnet: Use untested wickless levels as potential targets for take-profits, as price frequently returns to "fill" these efficient moves.
S/R Zones: Treat long-standing untested lines as strong areas for potential reversals or entries.
Breakout Confirmation: If price approaches a wickless resistance and fails to break it, it confirms the strength of the original move.
Xploit Hunter Buy/Sell 4RRXploit Hunter Buy/Sell 4RR
Overview: The Xploit Hunter Buy/Sell 4RR is a precision engineered trading indicator designed to identify high probability trade setups with exceptional risk-to-reward ratios. This sophisticated tool combines institutional grade VWAP analysis with dynamic support and resistance zones to generate accurate buy and sell signals. The indicator features automated stop loss and take-profit calculations with dual target levels, optimized for a 1:4 risk-reward ratio, making it ideal for disciplined traders seeking consistent profitability across multiple asset classes.
Core Components
1. Volume-Weighted Average Price (VWAP)
An institutional-level anchor point that calculates the average price weighted by trading volume. Offers flexible anchor periods including session-based, weekly, monthly, quarterly, and corporate event-driven timeframes such as earnings releases, dividend distributions, and stock splits. The VWAP serves as a critical directional filter, ensuring trades align with institutional positioning.
2. 9 Period Exponential Moving Average (EMA)
A responsive short-term trend indicator that serves as a critical decision point for trade entry confirmation. The 9 EMA acts as a dynamic filter, ensuring trades align with intraday momentum and helping to eliminate false signals.
3. Dynamic Support and Resistance Zones
Statistically derived price boundaries calculated using a standard deviation-based approach around a simple moving average baseline. These adaptive zones automatically adjust to current market volatility, providing reliable reference levels that respond to changing market conditions. The dynamic low and dynamic high serve as key trigger points for signal validation.
4. Advanced Multi-Criteria Entry Signal System
Valid Buy Signal Criteria:
Criterion I (VWAP Filter): Entry is validated only when VWAP is positioned below the entry candle, confirming bullish institutional bias and ensuring alignment with volume-weighted momentum
Criterion II (Price Action Confirmation): The entry candle must open below the dynamic low level and close decisively above the 9 EMA simultaneously, demonstrating strong rejection of lower prices and momentum reversal
Valid Sell Signal Criteria:
Criterion I (VWAP Filter): Entry is validated only when VWAP is positioned above the entry candle, confirming bearish institutional bias and ensuring alignment with volume-weighted distribution
Criterion II (Price Action Confirmation): The entry candle must open above the dynamic high level and close decisively below the 9 EMA simultaneously, demonstrating strong rejection of higher prices and momentum reversal
This multi-layered validation system ensures that every signal meets stringent quality standards before execution, significantly reducing false signals and improving overall trade accuracy.
5. Dual-Mode Entry Detection System
Two-Point Entry Logic: A sequential confirmation system that tracks price interaction with support and resistance zones, followed by EMA touch confirmation and decisive price action closure. This method ensures trade entries occur only after multiple validation criteria are met.
Single-Candle Entry Logic: An advanced pattern recognition system that identifies candles simultaneously touching both support/resistance zones and the 9 EMA, with confirmation based on closing price relative to the EMA. This provides faster entry opportunities while maintaining signal quality.
6. Intelligent Pip Value Calculator
A sophisticated calculation engine that automatically adapts to different asset classes including forex pairs, cryptocurrencies, stock indices, commodities, and precious metals. Recognizes specific instruments such as JPY pairs, major indices (SPX, NASDAQ, Dow Jones), gold, silver, and crude oil, applying appropriate pip value calculations for each.
7. Automated Risk Management System
Stop-Loss Placement: Automatically positioned at the extremes of the entry candle (bottom wick for buys, top wick for sells), ensuring logical risk boundaries based on actual price action.
Dual Take-Profit Targets:
TP1 (1:2 Risk-Reward): First profit target at twice the risk distance, allowing for partial position closure and risk reduction
TP2 (1:4 Risk-Reward): Primary profit target at four times the risk distance, maximizing trade profitability and delivering superior returns
8. Visual Trade Management Interface
Clear, professional chart annotations including:
Color-coded support (blue) and resistance (red) levels
Directional signal triangles marking validated entry points
Comprehensive labels displaying stop-loss and take-profit levels with precise pip values
Dashed guideline extensions for both profit targets
Customizable label sizing options (Tiny, Small, Normal) for optimal chart readability
9. Position Tracking Logic
Intelligent state management that prevents signal conflicts by clearing opposing trade setups when new signals are generated. Includes automatic reset mechanisms when price moves significantly away from zone boundaries, preventing stale or outdated signal tracking.
10. Multi-Asset Compatibility
Pre-configured recognition for major trading instruments across asset classes:
Forex Pairs: Standard and exotic pairs, including specialized handling for JPY, HUF, and KRW variants
Cryptocurrencies: Bitcoin, Ethereum, and altcoins with adaptive pip sizing based on price levels
Stock Indices: S&P 500, NASDAQ, Dow Jones, DAX, FTSE with appropriate point value calculations
Commodities: Crude oil and natural gas with standard pip measurements
Precious Metals: Gold and silver with specialized tick value recognition
11. Real-Time Alert System
Comprehensive notification framework providing instant alerts for both buy and sell signal confirmations, enabling traders to monitor multiple markets efficiently without continuous chart observation. Alerts include detailed entry confirmation messages specifying which validation criteria triggered the signal.
12. Precision Price Formatting
Automatic price display formatting with appropriate decimal precision, ensuring accurate representation across instruments with varying price scales and tick sizes.
Signal Validation Summary
For Buy Entries: Valid signals require VWAP below the entry candle AND the candle opening below dynamic low while closing above 9 EMA.
For Sell Entries: Valid signals require VWAP above the entry candle AND the candle opening above dynamic high while closing below 9 EMA.
This rigorous multi-factor confirmation process ensures that only the highest-probability setups generate trading signals, maximizing accuracy and protecting capital.
Xploit Hunter Buy/Sell 4RR: A professional-grade trading system engineered for traders who demand precision, consistency, and superior risk management in their trading operations.
Disclaimer
RISK WARNING: Trading involves substantial risk of loss and is not suitable for all investors. This indicator is provided for educational purposes only and does not constitute financial advice or trading recommendations.
No Guarantees: Past performance does not guarantee future results. No trading system can ensure profitable outcomes. All signals generated by this indicator should be validated independently.
User Responsibility: By using this indicator, you acknowledge that all trading decisions and their consequences are solely your responsibility. The creator is not a registered financial advisor and assumes no liability for any losses incurred.
Important: Never trade with money you cannot afford to lose. Always conduct your own
research and consult with qualified financial professionals before making investment decisions.
ICU AVG Line[MIT]ICU AVG Line
Overlay indicator (overlay=true), drawn directly on the price chart
Main Functionality:
Plots a dynamic line called “ICU Prediction Line” based on confirmed historical bars, representing a special form of “predicted central level”.
The line changes color in real-time based on the current price’s position relative to the ICU line:
Price above ICU → Green (bullish bias)
Price below ICU → Red (bearish bias)
Uses only closed bar data for calculation, ensuring the line remains stable during the current open bar (no repainting or jumping).
Displays a small label on the right side of the latest bar showing the current ICU value (“ICU: xxx.xx”), with color matching the line.
Includes commented alert conditions (ready to enable):
Price crosses above ICU → Potential buy signal
Price crosses below ICU → Potential sell/exit signal
Visual Elements:
Green/Red dynamic line: ICU Prediction Line (main line), width 2, broken line style, color flips based on price position.
Small label: Shows current ICU value on the right of the latest bar, colored to match the line.
Maximum 500 line segments preserved (max_lines_count=500) for smooth long-term chart performance.
Typical Usage Scenarios:
Trend Following: Price consistently stays above the ICU line and the line is sloping upward → Strong bullish trend, consider holding long or adding.
Dynamic Support/Resistance: ICU line often acts as moving support/resistance; multiple tests without breaking → Strong level.
Crossover Signals: Price crosses above ICU from below (color turns green) → Potential bullish entry; crosses below (color turns red) → Potential bearish or exit signal.
Range Filter: Price repeatedly crosses ICU with the line flattening → Choppy market, better to stay aside or scalp.
Parameter Description:
window: Default 5, controls smoothness and responsiveness of the ICU line. Larger values = smoother (better for swing/mid-term); smaller values = more sensitive (better for intraday).
主要功能:
在价格图表上绘制一条名为“ICU 预测线”的动态曲线,该曲线基于历史已确认K线数据计算得到,代表一种特殊的“预测中心位置”。
曲线颜色会根据当前价格与ICU线的相对位置实时变化:
价格在ICU线上方 → 绿色(偏多头)
价格在ICU线下方 → 红色(偏空头)
使用历史闭合数据计算,确保指标在未闭合K线期间保持稳定(不跳动),避免未来函数干扰。
在图表最后一根K线右侧显示实时数值标签(“ICU: xxx.xx”),方便快速查看预测值。
支持设置警报条件(已注释,可自行开启):
价格上穿ICU线 → 潜在买入信号
价格下穿ICU线 → 潜在卖出信号
图表呈现:
绿色/红色动态折线:ICU预测线(主线),宽度2,断线显示(style=plot.style_linebr),颜色随价格位置变化。
小标签:在最新K线右侧显示当前ICU数值,颜色与主线同步。
线条最多保留500段(max_lines_count=500),保证长期图表不卡顿。
使用场景建议:
趋势跟随:价格持续运行在ICU线上方且ICU线向上倾斜 → 强势多头,可考虑持多或加仓。
支撑/阻力参考:ICU线常作为动态支撑或阻力,价格多次测试不破 → 强支撑位。
穿越信号:价格从下方上穿ICU线(绿色变色)→ 多头启动信号;从上方下穿(红色变色)→ 空头启动或离场信号。
震荡过滤:价格在ICU线附近反复穿越且ICU线走平 → 震荡行情,适合观望或短线高抛低吸。
参数说明:
window(窗口长度):默认5,控制ICU线的平滑度和反应速度。数值越大越平滑,适合中长线;数值越小越敏感,适合短线。
PO3 Fractal2 - [Trading Suite] by aamirlangPO3 Fractal² -
PO3 Fractal² is a multi-timeframe Smart Money Concepts (SMC) indicator designed to identify high-probability trading setups using the Power of Three (PO3) framework. It tracks liquidity sweeps, institutional order flow, and market structure across multiple timeframes to help traders align with smart money.
Key Features:
C2 Setup Detection - Identifies liquidity sweeps with confirmation
Multi-Timeframe Tracker - Monitors 15m, 1H, 4H, 1D C2 setups simultaneously
CISD Confirmation - Validates setups with Change in State of Delivery
HTF Candle Projection - Displays two higher timeframes on your chart
Smart Liquidity Levels - Shows untapped highs/lows dynamically
Standard Deviation Targets - Projects price targets from swing points
Real-time Bias Calculation - Aligns trades with higher timeframe direction
Core Concepts
The Power of Three (PO3)
The market moves in three phases:
Accumulation - Smart money builds positions
Manipulation - Liquidity is swept (stop hunts)
Distribution - Smart money exits into retail
C2 Setup (Second Chance)
A C2 setup occurs when:
Price sweeps a previous high/low (liquidity grab)
Price closes back inside the previous range (rejection)
CISD confirms the direction change
Entry opportunity presents itself
Example:
Bullish C2: Sweeps previous low → Closes above it → CISD confirms
Bearish C2: Sweeps previous high → Closes below it → CISD confirms
Initial Settings
HTF Candles - Keep default (4 candles shown)
HTF² Candles - Enable for additional context
Multi-TF C2 Tracker - Enable to see bias table
CISD - Enable for confirmation lines
Standard Deviation - Keep default "-1,-2,-2.5,-4,-4.5"
Understanding C2 Setups
C2 Formation Process
HTF Candle 1: Creates high/low
↓
HTF Candle 2: Sweeps that high/low
↓
HTF Candle 2: Closes back inside (rejection)
↓
CISD Confirms: Price reclaims key level
↓
C2 Label Appears
C2 Label Types
C2 (Gray text) - Confirmed setup, CISD validated
XC2 (Red text) - Invalidated on first HTF candle (count = 1)
XC2 (Orange text) - Invalidated on second HTF candle (count = 2)
C4 (Gray text) - Advanced setup when C3 EQ aligns with HTF Open
Stop Loss Rules
Bullish C2 : Stop = Sweep low (C2 label location)
Bearish C2 : Stop = Sweep high (C2 label location)
If stop is hit:
Count 1 → Setup invalidated immediately (red XC2)
Count 2 → Setup can still work (orange XC2 if invalidated)
HTF Candles & Projections
HTF Candle Display
The indicator projects HTF candles to the right of your chart:
4 HTF candles - Your primary higher timeframe
4 HTF² candles - An even higher timeframe (optional)
Candle Components
Body - Open to Close (green/black)
Wicks - High/Low extensions
Time Label - Shows candle open time (optional)
HTF Candle Labels
Above/Below HTF Candles:
Shows timeframe (e.g., "1H", "4H")
Shows time remaining until candle closes
Updates in real-time
CISD (Change in State of Delivery)
What is CISD?
CISD identifies the candle that signals institutional intent. It's the displacement candle that breaks market structure.
CISD Detection
Bullish CISD:
Price sweeps low
A down-close candle (or doji) followed by up-close candle
The down candle's open = CISD level
Price must reclaim this level to confirm
Bearish CISD:
Price sweeps high
An up-close candle (or doji) followed by down-close candle
The up candle's open = CISD level
Price must break below this level to confirm
CISD Line (Blue)
Solid blue line extending from CISD candle
Horizontal at the CISD level
Confirmation: When price reclaims (bullish) or breaks (bearish)
CISD Timing
Immediate: Confirms on the HTF candle that swept
Delayed: Can confirm up to 2 HTF candles later
Invalidated: If stop is hit before confirmation
Standard Deviation Levels
What are Std Dev Levels?
Standard deviations project price targets based on the distance from:
Level 0 = Swing high/low at CISD candle (Hidden to avoid clutter)
Level 1 = C2 sweep price (Hidden to avoid clutter)
Default Levels
Level 0 ← Swing point (CISD candle)
Level -1 ← 1x range
Level -2 ← 2x range
Level -2.5 ← 2.5x range
Level -4 ← 4x range
Level -4.5 ← 4.5x range
↓
Level 1 ← C2 sweep price
How to Read Std Devs
Bullish C2:
Level 0 = Swing high at CISD
Levels extend DOWN toward C2 low
-1, -2, -4 are targets for price to reach
Bearish C2:
Level 0 = Swing low at CISD
Levels extend UP toward C2 high
-1, -2, -4 are targets for price to reach
Trading with Std Devs
Entry Strategy:
Enter between -0.5 and -1
Tight stop above/below C2 price
Targets:
TP1: -2 (conservative)
TP2: -2.5 (moderate)
TP3: -4 , -4.5 (extended)
HTF Liquidity Levels
Untapped Highs/Lows
The indicator draws gray dotted lines at untapped HTF highs and lows.
Rules:
Highest high of HTF candles
Lowest low of HTF candles
Trading Zones & Open/EQ Lines
C3 Trading Zone (Gray Box)
Appears when C2 is confirmed. Shows optimal entry range.
Boundaries:
For Bullish C2: Look to buy in this zone
For Bearish C2: Look to sell in this zone
Smart money reference point
C4 requires C3 EQ to align with this
Practical Trading Examples
Example 1: Bullish C2 on 5m Chart
Setup:
HTF = 1H, shows previous candle low at 100.50
Current 1H candle sweeps 100.50, reaches 100.30
1H candle closes at 100.70 (back above 100.50)
CISD confirms at 100.60
Execution:
Entry: Wait for price to enter C3 zone (between HTF Open and HTF EQ)
Stop: 100.30 (C2 low)
Target 1: -2 Std Dev level
Target 2: -4 Std Dev level
Example 2: Bearish C2 with C4
Setup:
Bearish C2 confirmed on 15m
After 2nd HTF candle, C3 EQ is calculated
C3 EQ is ABOVE HTF Open → C4 label appears
Second trading zone created
Execution:
Primary Zone: Original C3 (HTF Open to HTF EQ)
Advanced Zone: C4 zone
Enter if price reaches C4 zone
Tighter stop, higher RR
Credits:
.ICT
.TTrades (refer to Youtube @TTrades_edu for Fractal Model and working)
.Tradingview Community
What can be done:
FVG /iFVG / Mitigation /HTF FVG on the main chart.
Bias detection based on Candle closures and C2 setup as per Bias.
OTE (Optimal Trade Entry zone marking)
Michael Ultimate Open session/sentiment.Overview This indicator is a precision tool designed for intraday traders who need a complete overview of market time and structure in a single, compact panel. It combines Session Liquidity Levels with Multi-Timeframe Trend Analysis, allowing you to spot alignments between session ranges and the broader market direction instantly.
Key Features
1. Advanced Session Tracking The dashboard monitors three key trading sessions with custom operational hours:
Asia (23:00 - 06:00): Captures the overnight range.
London (08:00 - 11:00): Focuses on the European open volatility.
New York (14:30 - 16:30): Targets the US market overlap.
For each session, the dashboard calculates and displays real-time data:
High & Low: Crucial for liquidity sweeps and breakout targets.
Midpoint: The equilibrium level of the session, often acting as dynamic support/resistance.
Status: A visual "Traffic Light" (🟢 Open / 🔴 Closed) indicating if the specific window is currently active.
2. Multi-Timeframe Trend Correlation Instead of a generic trend filter, this tool links each session to a relevant higher timeframe to provide context:
Asia Row ➔ Daily Trend (D1): Shows the macro bias.
London Row ➔ 4-Hour Trend (H4): Shows the structural bias.
New York Row ➔ 15-Minute Trend (M15): Shows the immediate execution momentum.
3. Visual Logic & Design
EMA 50 Strategy: Trends are determined by price action relative to the 50 EMA (Green = Bullish, Red = Bearish).
Modern UI: Features a sleek, dark-themed aesthetic with semi-transparent backgrounds to keep your chart clean and professional.
Instant Read: Uses color-coded icons (🟢/🔴) so you can assess market conditions in milliseconds.
How to Use Use this dashboard to find confluence. For example, if the London Session opens while the H4 Trend is Bullish (Green), look for buy setups near the Asia Midpoint or Asia Low.
Settings
Fully customizable session times.
Adjustable EMA length (Default: 50).
Table position and size can be modified to fit your screen.
RSRS - Beta[MIT]Main Functionality:
Plots a smooth line called “beta” that dynamically reflects certain price structure characteristics.
Displays two key horizontal reference levels:
S1 (yellow thick solid line): Commonly used as an entry/strength threshold
S2 (red thick solid line): Commonly used as an exit/weakness threshold
Visual Elements:
Blue thick line: Beta curve (the main indicator line, fluctuates over time)
Yellow thick solid line: S1 level (default 1.0, adjustable)
Red thick solid line: S2 level (default 0.3, adjustable)
Typical Usage Scenarios:
When the beta line consistently stays above S1, it may indicate a strong trending market.
When beta falls below S2, it could suggest weakening momentum or a potential correction phase.
Beta crossing above S1 from below can serve as a potential bullish attention signal.
Beta crossing below S2 from above can act as a potential exit or reversal reference.
Best used in combination with price action, volume, or other indicators as a trend strength filter.
Parameter Descriptions:
N (Lookback Window): Default 18, controls the smoothness and responsiveness of the beta line (larger = smoother, smaller = more sensitive)
S1 (Entry Threshold): Default 1.0, beta crossing above this level often viewed as a strength signal
S2 (Exit Threshold): Default 0.3, beta crossing below this level often viewed as a weakness signal
主要功能:
计算并实时绘制一条名为“beta”的平滑曲线,用于反映价格结构特征的动态变化。
提供两条水平参考线:
S1(黄色粗实线):通常作为开仓/强势参考阈值
S2(红色粗实线):通常作为平仓/弱势参考阈值
图表呈现:
蓝色粗线:beta 曲线(核心指标线,随时间波动)
黄色粗实线:S1 水平线(默认值1.0,可调)
红色粗实线:S2 水平线(默认值0.3,可调)
使用场景建议:
当 beta 曲线持续运行在 S1 上方时,市场可能处于较强的趋势状态。
当 beta 曲线跌破 S2 时,可能暗示趋势减弱或进入调整。
beta 从下方上穿 S1,可作为潜在的多头关注信号。
beta 从上方下穿 S2,可作为潜在的离场或反向参考信号。
适合与价格走势、成交量或其他指标结合使用,作为趋势强弱的辅助判断工具。
参数说明:
N(回归窗口):默认18,控制 beta 曲线的平滑度和敏感度(数值越大越平滑,数值越小越敏感)
S1(开仓阈值):默认1.0,beta 上穿此线常被视为强势信号
S2(平仓阈值):默认0.3,beta 下穿此线常被视为弱势信号






















