Final Compact RSI • MACD • CCI — One Pane + WMA GateFinal Edit - Compact RSI • MACD • CCI — One Pane + WMA Gate
Chart patterns
Algo BOT 4.0 Strategy Description:
Algo BOT 4.0 is a sophisticated multi-timeframe trading strategy that identifies high-probability reversal points using technical confluence. The strategy combines:
Core Components:
Multi-timeframe Pivot Analysis: Daily, Weekly, and Monthly pivot points with CPR (Central Pivot Range)
RSI Momentum Filter: Higher timeframe RSI (user-configurable) for trend bias
VWAP Dynamics: Volume-weighted average price with moving averages
Fibonacci Strength Analysis: Candle close positions relative to 38.2% Fib levels
Advanced Cooldown System: Prevents overtrading with dynamic gap requirements
Entry Logic:
Long Entries: RSI < 57 with bullish candle structure at key support levels
Short Entries: RSI > 43 with bearish candle structure at key resistance levels
Zone-based Filtering: Identifies trades near significant pivot points (D PP, D R1, D S1, W PP, M PP, VWAP)
Risk Management:
Dynamic cooldown periods between trades
Gap-based entry optimization to ensure sufficient price movement
Extreme price tracking for better entry timing
Multi-condition validation to reduce false signals
Alert System:
Real-time alerts for both long and short entries
Includes price, RSI value, and zone information
Visual signals with triangle markers on chart
Comprehensive status monitoring with cooldown timer
MOM Buy/Sell + MACD Histogram Signal Tableeatures:
Combined Signal Analysis - Shows when both indicators align for STRONG BUY or STRONG SELL signals
Sortable Columns - Click any column header to sort by that metric
Filter Buttons - Quickly filter to see only Strong Buy, Strong Sell, or all signals
Color-Coded Values - Green for bullish, red for bearish, gray for neutral
Visual Icons - Trending arrows for easy signal recognition
Zay Gwet Alert (Breakout→Retest→Confirm)EMA 9, VWAP, ORB (15-minute), Breakout, and Retest alerts are available within this application. It is particularly suitable for options day traders. Please note that this indicator is intended for educational purposes only and does not constitute financial advice. Trading involves inherent risks; therefore, it is essential to conduct your own research prior to making any trading decisions.
2-1-2 ReversalThis indicator identifies all 2-1-2 price action patterns on any chart or time frame — both reversals and continuations — based on Rob Smith’s The Strat trading system.
🟢 Bullish 2-1-2:
Detected when a directional candle (2D or 2U), followed by an inside bar (1), is followed by a break to the upside (2U).
🔴 Bearish 2-1-2:
Detected when a directional candle (2U or 2D), followed by an inside bar (1), is followed by a break to the downside (2D).
✅ Key Features:
Works on any time frame (1m to Monthly)
No filters — shows every valid 2-1-2 setup
Detects both reversal and continuation patterns
🔔 Built-in alert conditions for Bullish and Bearish setups
🔍 Great for strat traders who want to catch all opportunities, not just hand-picked ones
🧠 Use Case Tips:
Combine with higher time frame trend or broadening formations for confirmation
Works well with sectors (SPY, QQQ, XLE) and ETFs for strat alignment
Add volume, EMA, or other custom confluences for advanced filtering
AriVestHub_SMCIntroduction to the AriVestHub_SMC Indicator
The AriVestHub_SMC indicator is designed and coded based on Smart Money Concepts (SMC). This tool has unique features that you won’t find in any other indicator built around SMC.
I’ve been active in the crypto market since 2019, and besides using the SMC strategy, I also apply several custom strategies in my trading. Personalized versions of these strategies will gradually be shared with you as well.
The main reason for developing this indicator was the gap in existing tools. Many times, setups like Valid Pullback or Inside Bar Candles appear on the chart but are not easily recognizable at first glance, and therefore they get ignored. This often leads to mistakes in Market Structure Mapping right from the beginning, which then causes errors in further analysis and predictions.
Since the SMC strategy is entirely built on market structure, any mistake in identifying its key components basically destroys the reliability of the analysis.
Unlike similar indicators that mostly just draw nice lines and zones on the chart for promotional purposes, AriVestHub_SMC aims to show the reality of the market, not beautify it. Price behavior is the result of trader psychology and the clash of different views—it doesn’t have to look neat and pretty all the time.
This indicator shows exactly what has happened in the market and the possible scenarios ahead. Once you use this tool and study this guide, you’ll clearly feel the difference compared to other common indicators. My main goal in creating AriVestHub_SMC was to give real help to traders—not just to sell or commercialize it.
The AriVestHub_SMC indicator is basically a Market Structure Mapping Engine (SMC Structure Mapping Engine), whose main task is to detect and accurately map market structure movements.
The market is full of exceptional conditions, and analyzing them without indicators and only by visual inspection is almost impossible. This often leads to errors, especially in strategies that are based on market structure.
One of the most important and valuable features of this indicator compared to similar ones is that, after extensively studying and manually analyzing various charts with indicators, I have coded almost all common scenarios as well as exceptional cases that occur under different market conditions.
________________________________________
Its key features include:
• BOS / CHoCH – Detecting
• breakouts and changes in market character
• IDM / Pullback – Confirming pivots and valid moves
• OF / OB – Marking key supply and demand zones
• SMT (Smart Money Trap) – Spotting invalid zones and smart money traps
• Liquidity Sweeps / Equal High-Low – Liquidity hunts and reversal setups
• Transfer Option – Automatically correcting structure in Single Leg scenarios
________________________________________
Basic Concepts in the AriVestHub_SMC Strategy
1. Inside Bar
An Inside Bar is a candle (or group of candles) whose price range falls between the High and Low of the previous candle.
In Smart Money and market structure analysis, these candles are usually ignored, and only the main candle is considered.
Simply put, an Inside Bar signals market pause and energy buildup—a place where both buyers and sellers are waiting for price to decide its next direction.
In the picture, you can see candles highlighted in a different color that fall within the main candle range. They should not be treated as independent candles, and all of them together should be considered as one.
________________________________________
2. Pullback
A pullback happens when price makes a temporary return after a main move. Even a single candle can cause it.
In Smart Money, a valid pullback is defined as:
• In an uptrend: if the Low of a candle breaks the Low of the previous candle which is not an Inside Bar, a valid pullback occurs.
• In a downtrend: if the High of a candle breaks the High of the previous candle which is not an Inside Bar, a valid pullback occurs.
Valid pullbacks are the points where the market gathers the energy needed to continue its move.
In the image below, both valid and invalid pullbacks are shown.
________________________________________
3. IDM – Inducement
Inducement is one of the most important concepts in AriVestHub_SMC. Without IDM, no structure in Smart Money can form.
Every valid pullback can be considered an IDM.
There are two types: Major IDM and Minor IDM.
Correctly identifying IDM is critical, because the entire market structure is mapped based on it.
After each BOS or CHoCH, a new HH or LL pivot is only confirmed if the price returns and touches the IDM.
• In an uptrend after BOS: the lowest price of the first valid pullback is the Major IDM, and the last pullback before reaching the Major IDM is the Minor IDM.
• In an uptrend after CHoCH: the highest price of the first valid pullback is the Major IDM, and the last pullback before reaching the Major IDM is the Minor IDM.
The same rules apply in reverse for downtrends.
In this strategy, Major IDM always takes priority.
The image shows different types of IDM, and the same applies for downtrends.
________________________________________
4. BOS – Break of Structure
A Break of Structure happens when price breaks its previous High or Low in the direction of the trend:
• In an uptrend: if the previous HH is broken, BOS occurs.
• In a downtrend: if the previous LL is broken, BOS occurs.
BOS confirms continuation of the current market trend.
________________________________________
5. CHoCH – Change of Character
Change of Character occurs when price moves against the previous trend:
• In an uptrend: if the previous LL is broken, CHoCH occurs.
• In a downtrend: if the previous HH is broken, CHoCH occurs.
CHoCH is usually a signal of a trend reversal or a deep market correction.
The image shows the overall market structure with BOS and CHoCH.
________________________________________
6. Order Flow
Order Flow zones are formed from valid pullbacks and are usually points where price reacts strongly.
They are defined as:
• In an uptrend: Last Selling Momentum Before pushing upside
• In a downtrend: Last Buying Momentum Before pushing dowside
Three main types of Order Flow used in this strategy:
• OF: Decisional (Dec) – The first valid OF after IDM, where the market makes its key decision.
• OF: Extreme (Ext) – The last valid OF after IDM, acting as the final defense of buyers or sellers.
• SMT – Smart Money Trap – All order zones before IDM, and those between Dec and Ext. These usually cause short-term, deceptive reactions and are not valid for trading.
In addition:
• Unmitigated Order Flow – A zone not yet touched, still a liquidity source.
• Mitigated Order Flow – A zone that has been touched, with reduced validity.
• Redefine Order Flow – Identifying internal OFs within a main unmitigated OF for more precise entries.
The image shows the different types of OF.
________________________________________
7. H/L Liquidity Sweep
A Liquidity Sweep happens when price breaks a previous High or Low with a wick, but the candle body fails to close beyond it.
• If the High is broken with a wick but the candle closes below it, a Liquidity Sweep occurs.
• If the Low is broken with a wick but the candle closes above it, a Liquidity Sweep occurs.
These setups are often signs of trapping traders and starting a move in the opposite direction. In fact, Liquidity Sweep points are among the best trading setups.
________________________________________
🔑 Final Note
All these concepts are like puzzle pieces: Inside Bar, Valid Pullback, IDM, BOS, CHoCH, Order Flow, and Liquidity Sweep.
When combined, they create a clear and accurate picture of the market’s real behavior.
________________________________________
Indicator Settings
1. Analyze From … To …
• Set the analysis time range.
• Another use: In ping-pong structures, you can add another copy of the indicator to the chart, set the starting point at the recent HH or LL, and map the internal structure for counter-trend trading.
________________________________________
2. Main
• Confirm CHoCH with wicks → If enabled, only the wick (not the body) is considered for BOS and CHoCH confirmation. Useful for spotting subtle liquidity-based breaks.
• Major / Minor IDM → Choose IDM type.
• Consider Inside Bar → Best kept enabled, so candles inside the previous candle are ignored.
________________________________________
3. Fib Ret
• Min pullback retracement % → Set the minimum retracement level.
• Helps identify valid pullbacks and gives more confidence in trend continuation.
• Meaning: if BOS happens, price must at least retrace by the minimum percentage before expecting the trend to continue.
________________________________________
4. BOS/CHoCH
• Display BOS and CHoCH on the chart with customizable color and style.
________________________________________
5. IDM
• Mark previous IDM : Show past IDMs.
• Mark live IDM : Show current active IDM.
• Customize IDM display options.
________________________________________
6. Pivots
• Display HH and LL pivots.
________________________________________
7. Transferring H/L IDM BOS/CHoCH
• Transfer in case of lack idmB or idmS → When the move is Single Leg and no valid IDM exists in the recent move, HH, LL, and IDM must be shifted and corrected. This adjusts the market structure.
• In case of transferring, remove all previous transferred Market Structure → If enabled, every time HH/LL and IDM need to be shifted, the transfer happens and the market structure is re-analyzed from scratch.
• Important: Often after one transfer, another Single Leg appears. This option keeps adjusting structure automatically, while doing it manually would be slow and error-prone.
________________________________________
8. Order Flow
• Display Decisional, Extreme, and Supply/Demand OFs.
________________________________________
9. H/L Sweeps
• Detect Liquidity Sweeps at Highs and Lows.
• These are very strong reversal setups.
________________________________________
10. Equal High/Low
• Show equal Highs and Lows where liquidity often accumulates.
________________________________________
11. Moving Average
• Add a moving average as a trend filter.
• Option to choose type (SMA/EMA) and length (e.g., 50 or 200).
• Usually:
o MA50 → For mid-term trends, quick confirmation.
o MA200 → For long-term trends, stronger confirmation.
________________________________________
12. Internal Structure (ZigZag)
• Show internal market structure as ZigZag.
________________________________________
13. Inside Bar Candles
• Display Inside Bars in color or with a box.
Quant BTC ETH Oversold Indicator $$$ V0001A very powerful indicator for determining high probability of oversold location for btc and eth.
鲲侯BB-SR汇合 & 动能堆积 (v7.7.3 终极稳定版)鲲侯·决策驾驶舱 (v7.7.3) —— BB-SR汇合与动能堆积分析指标
前言:警报之后,决策开始
当您的 “鲲侯·三引擎融合量化警报系统” 发出警报时,它告诉您:“注意,这里可能存在一个高胜率的交易机会!”
但这仅仅是第一步。下一步的关键问题是:“这个机会的质量究竟如何?现在是最佳的入场时机吗?”
鲲侯·决策驾驶舱 正是为回答这一核心问题而生。它不是一个警报工具,而是一个强大的精细化战术分析仪表盘。当您收到警报后,加载本指标,它将为您提供做出最终决策所需的一切客观信息,将一个模糊的“机会”具象化为一个清晰的“交易计划”。
核心功能:三大客观信息维度
本指标通过三大核心功能,将复杂的图表信息转化为直观、可操作的视觉信号,帮助您快速评估警报质量。
👑 动态多周期SR系统 (Dynamic Multi-Timeframe S/R System)
手动绘制支撑阻力(SR)费时费力,且容易带有主观偏见。本指标的SR系统将彻底将您解放出来。
自动化绘制:它像您的私人助理,自动扫描当前图表、15分钟、30分钟三个周期的关键枢轴点(Pivot Points),并智能筛选、去重后,将最关键的 10 条(可调)SR水平线实时绘制在您的图表上。红色代表阻力,绿色代表支撑。
汇合信号箭头:当价格不仅触及布林带,并且与至少一条自动绘制的SR水平线发生位置汇合时,图表上会出现一个清晰的箭头信号(⬆️/⬇️)。这是“位置 x 结构”的双重确认,极大地提升了信号的可靠性。
💥 “SUPER”跨周期动能堆积侦测 ("SUPER" Cross-Timeframe Momentum Stacking)
市场发动猛烈趋势前,往往会经历一段力量的沉淀与压缩,我们称之为“动能堆积”。这种状态在小周期上难以察觉,但在大周期上却清晰可见。
智能侦测:本指标会实时监控所有更高时间周期(15m, 30m, 1H, 2H, 4H, 1D)的动能状态。
“SUPER”标签:当任一更高周期的动能进入“堆积”状态,同时当前图表价格触及布林带边缘时,图表上会出现一个醒目的“SUPER”标签,并明确标示出是哪个周期(如 SUPER 1H)。
信号解读:想象一根被极致压缩的弹簧。“SUPER”标签的出现,就意味着您在更高时间框架上发现了这样一根“压缩的弹簧”。这预示着一旦价格突破,后续的行情将极具爆发力。这是系统中最强烈的共振信号之一。
🗺️ 布林带价值通道 (Bollinger Bands Value Channel)
布林带是整个分析系统的基础框架,它为您提供了一个动态的“价值地图”,清晰地标示出价格的常规波动区间与潜在的超卖/超买区域。我们所有的信号都构建于价格与布林带的互动之上。
实战工作流程:如何使用本指标决策
请将本指标融入您在 三引擎融合系统 中建立的SOP(标准作业程序)。
① 接收警报 (Receive Alert)
您的任一警报引擎(趋势跟随/第一浪反转/趋势线破坏)发出信号。
② 加载“决策驾驶舱” (Load the "Decision Cockpit")
切换到警报提示的交易品种图表,加载本指标。
③ 寻找“A+级共振信号” (Look for "A+ Resonance Signals")
在图表上寻找以下客观信息的共振叠加,叠加项越多,信号质量越高:
✅ 价格触及布林带上下轨 (基础条件)
✅ SR汇合箭头出现 (位置+结构确认)
✅ “SUPER”动能堆积标签出现 (更高周期力量压缩确认)
✨ A+机会:当箭头和“SUPER”标签(特别是1H及以上周期)同时出现时,代表这是一个结构共振且动能即将爆发的顶级交易机会。
④ 结合微观结构入场 (Enter with Micro-Structure)
在确认这是一个高质量机会后,切换至5分钟图表,寻找一个微观的矩形整理或BOS(结构突破)点,作为您精准的入场依据。
参数设置
pivotLookback: 调整当前图表SR的识别灵敏度。
maxSRLines: 设置图表上最多显示的SR线条数量,保持图表简洁。
maxSRBars: 设置SR线条的有效时间(以K线根数计),避免过时的线条干扰判断。
结论
鲲侯·决策驾驶舱 是您从接收警报到完成交易的桥梁。它通过将复杂的多周期分析过程视觉化、客观化,帮助您快速过滤掉质量不佳的信号,并识别出那些真正值得您投入资金的“A+级”机会。
它的使命,是将一个“可能的警报”升华为一个“高确定性的交易计划”,助您在系统化交易的道路上行稳致远。
✅ English Version (Plain Text, TradingView Compatible)
Kunhou · Decision Cockpit (v7.7.3) — BB-SR Confluence and Momentum Stacking Analysis Indicator
Preface: After the Alert, Decision Begins
When your "Kunhou · Triple-Engine Fusion Quantitative Alert System" triggers an alert, it tells you: "Attention: a high-probability trading opportunity may exist here!"
But this is only the first step. The critical next question is: "How strong is this opportunity? Is this truly the optimal entry moment?"
The Kunhou · Decision Cockpit is designed specifically to answer this core question. It is not an alert tool — it is a powerful tactical analysis dashboard. When you receive an alert, load this indicator, and it will provide all the objective data needed to make your final decision, transforming a vague "opportunity" into a clear, actionable "trade plan."
Core Functions: Three Dimensions of Objective Analysis
This indicator transforms complex chart analysis into intuitive, actionable visual signals through three core functions, enabling rapid assessment of alert quality.
👑 Dynamic Multi-Timeframe S/R System
Manually drawing support and resistance (S/R) is time-consuming and prone to subjective bias. This indicator’s S/R system sets you completely free.
Automated Plotting: Like a personal assistant, it automatically scans pivot points (Pivot Points) from three timeframes — the current chart, 15-minute, and 30-minute — then filters and deduplicates to plot the top 10 (adjustable) S/R levels in real time. Red lines represent resistance, green lines represent support.
Confluence Signal Arrows: When price touches the Bollinger Bands AND aligns spatially with at least one of the system-drawn S/R levels, a clear arrow signal appears (⬆️/⬇️). This is a dual confirmation of “Location × Structure,” greatly enhancing signal reliability.
💥 "SUPER" Cross-Timeframe Momentum Stacking Detection
Before strong trends erupt, the market often undergoes a phase of force consolidation and compression — we call this “Momentum Stacking.” This state is hard to spot on small timeframes, but becomes clear on higher ones.
Smart Detection: The indicator continuously monitors momentum states across all higher timeframes (15m, 30m, 1H, 2H, 4H, 1D).
"SUPER" Label: When momentum on any higher timeframe enters “stacking” mode AND the price touches the Bollinger Band edge, a prominent "SUPER" label appears, specifying which timeframe (e.g. SUPER 1H).
Signal Interpretation: Think of a spring compressed to its limit. The appearance of a "SUPER" label means you've located such a "compressed spring" on a higher timeframe. This suggests that once price breaks, the following move will be highly explosive. It is one of the strongest confluence signals in the system.
🗺️ Bollinger Bands Value Channel
The Bollinger Bands form the foundational framework of the entire analysis system. They provide a dynamic “value map,” clearly marking the normal price range and potential oversold/overbought zones. All our signals are built upon the interaction between price and the Bollinger Bands.
Practical Workflow: How to Use This Indicator for Decision-Making
Integrate this indicator into your SOP (Standard Operating Procedure) established within the Triple-Engine Fusion System.
Step 1: Receive Alert
Your alert engine (Trend-Following, First-Wave Reversal, or Trendline Break) triggers a signal.
Step 2: Load the "Decision Cockpit"
Switch to the chart of the alerted asset and load this indicator.
Step 3: Look for "A+ Resonance Signals"
Look for the convergence of the following objective signals. The more conditions met, the higher the signal quality:
✅ Price touches upper or lower Bollinger Band (base condition)
✅ SR Confluence Arrow appears (location + structure confirmation)
✅ "SUPER" Momentum Stacking Label appears (higher timeframe force compression)
✨ A+ Opportunity: When both the arrow and the "SUPER" label (especially from 1H or higher) appear together, it signals a top-tier opportunity with structural confluence and explosive momentum potential.
Step 4: Enter with Micro-Structure Confirmation
After confirming a high-quality setup, switch to the 5-minute chart and look for a micro consolidation pattern or a BOS (Break of Structure) as your precise entry trigger.
Parameter Settings
pivotLookback: Adjusts sensitivity for pivot detection on the current chart.
maxSRLines: Sets the maximum number of SR lines displayed to keep the chart clean.
maxSRBars: Defines the duration (in bars) for which SR lines remain valid, preventing outdated levels from causing confusion.
Conclusion
The Kunhou · Decision Cockpit is your bridge from receiving an alert to executing a trade. By visualizing and objectifying complex multi-timeframe analysis, it helps you quickly filter out low-quality signals and identify only the true “A+” opportunities worth your capital.
Its mission is to elevate a “possible alert” into a “high-conviction trading plan,” enabling you to trade systematically and sustainably.
Adaptive Chikou Strategy - Level 1This strategy is based on the Ichimoku cloud system and the power of delaying the signal. I changed how the averages are calculated to better detect the range areas.
The strategy uses this concept to determine the market regime, whether the price is below or above its delayed signal, and acts accordingly:
Bull (green) – when the price is above the average of the highs, delayed, the strategy favors long entries.
Bear (red) – when the price is below the average of the lows delayed, the strategy favors short entries.
Range (brown) – when the percent rank is in between those 2 conditions, we detect range, and no trades are initiated.
The transition between these regimes depends mainly on 4 key parameters.
The first parameter controls the lookback period for the highest and lowest functions.
The second controls how much we delay the signal of these 2 functions.
The third adjusts how much range is detected in bull conditions; it changes the transition from bull to range conditions. The bigger it is, the less bull and the more range.
The fourth parameter is similar to the third, but for bear conditions. The bigger it is, the less bear and the more range conditions are detected.
The user can configure the strategy to run long-only, short-only, or both directions, depending on the market or preference. In addition to the core regime logic, the strategy includes several risk and trade management controls that are featured in all my strategies.
Four oscillators are also integrated into the logic to detect short-term overbought and oversold conditions. These help the strategy avoid entering or exiting a trade when the price has already extended too far in one direction, improving timing and potentially reducing false entries and exits. When overbought or oversold are detected, a red or green dot appears on the chart.
The script is designed to be flexible across different assets and timeframes. However, to achieve consistent results, it is important to optimize parameters carefully. A recommended workflow is as follows:
Disable the walk-forward option during the optimization phase.
Optimize the first main parameter while keeping others fixed.
Once a satisfactory value is found, move to the second parameter.
Continue the process for subsequent parameters.
Optionally, repeat the full sequence once more to refine the results.
Finally, activate walk-forward analysis and check the out-of-sample results.
This strategy is published as invite-only with hidden source code. Access may be granted upon request for research or evaluation purposes. It is part of a broader collection of technical analysis strategies I have developed, which focus on regime detection and adaptive trading systems.
There are five levels of strategy complexity and performance in my collection. This script represents a Level 1 strategy, designed as a solid foundation and introduction to the framework. More advanced levels progressively add greater complexity, adaptability, and robustness.
When multiple strategies are combined under this same framework, the results become more robust and stable. In particular, combining my suite of technical analysis strategies with my macro strategies and alternative data strategies, such as onchain for cryptocurrencies. It creates a multi-layered system that adapts across regimes, timeframes, and market conditions.
Structure Pro+ 2.4 Structure Pro+ 2.4
Summary
Structure Pro+ 2.4 is a comprehensive, all-in-one indicator designed for traders who utilize Smart Money Concepts (SMC). It automates the detection of key market structure events, identifies high-probability trade signals, and incorporates time-based filters to focus on the most volatile trading sessions, helping you make informed decisions with precision and clarity.
This suite goes beyond simple lines on a chart by integrating Market Structure, Fair Value Gaps (FVGs), and institutional trading sessions into a single, powerful tool.
Core Features
📈 Automatic Market Structure
Break of Structure (BOS) & Change of Character (CHoCH): The indicator automatically identifies and labels significant breaks in market structure, allowing you to instantly recognize trend continuations (BOS) or potential reversals (CHoCH).
Customizable Pivot Detection: Fine-tune the sensitivity of the structure detection by adjusting the Left Bars and Right Bars settings to match your trading style and timeframe, from scalping to swing trading.
🎯 High-Probability Breakout Signals
Receive clear BUY and SELL signals based on a powerful confluence of events. A signal only appears when:
A BOS or CHoCH is confirmed.
The breakout move is validated by the creation of a recent Fair Value Gap (FVG), indicating strong momentum.
The signal occurs within a valid, high-volatility time session.
The breakout is confirmed on a closed candle to prevent fakeouts.
🔍 Key Liquidity & Imbalance Zones
Fair Value Gaps (FVGs): Automatically detects and displays FVG (Imbalance) zones on your chart, highlighting key areas of interest where the price may return.
Order Blocks (OBs): Optionally display the last order block before a structural break. The length of the OB box can be customized to keep your chart clean.
🕒 Time-Based Session Filters (Killzones)
Timing is everything. Structure Pro+ 2.4 provides fully customizable time filters to ensure you are only trading in optimal market conditions.
ICT Macro Sessions: Enable and customize standard ICT Macro "Killzone" sessions, which are displayed visually on your chart.
NASDAQ Open Session: A dedicated, customizable session filter for the high-volatility NASDAQ open.
Timezone Synchronization: Set your preferred timezone (America/New_York by default) to align all sessions perfectly, no matter where you are in the world.
⚙️ Full Customization & Alerts
Visuals: Take complete control over the look and feel of the indicator, including colors, line styles, and label sizes.
Alert System: A comprehensive alert system allows you to get notified for every key event:
Signal (BUY/SELL)
BOS or CHoCH
BOS/CHoCH with FVG Confluence
Start of a Macro Session
How to Use
Identify the Trend: Use the automatically plotted BOS and CHoCH labels to determine the current market bias on your chosen timeframe. An uptrend is defined by a series of bullish BOS, while a downtrend is defined by bearish BOS. A CHoCH signals a potential shift in this bias.
Wait for a Signal in a Valid Session: Be patient and wait for a BUY or SELL signal to appear on your chart. Ensure the signal occurs within one of the active, visually-drawn time sessions (Macros or NASDAQ Open) for the highest probability.
Confirm and Manage Risk: Use the signal as a primary point of confluence in your trading plan. For best results, combine it with your own analysis. Always practice proper risk management by setting a stop loss, typically below the low of the swing that caused a BUY signal or above the high of the swing that caused a SELL signal.
Disclaimer: This indicator is a tool designed to assist in trade analysis and should not be considered as financial advice. Trading involves substantial risk, and past performance is not indicative of future results. Always conduct your own research and risk assessment before entering any trade.
Trading Sessions and Daily Opens by ModishThis Pine Script indicator overlays key forex trading sessions (Sydney, Tokyo, London, New York) on your chart using Kenyan time (EAT/UTC+3), with customizable translucent boxes, borders, and labels positioned neatly above each session for clear visualization. It also plots dotted vertical lines at daily opens (Monday-Friday) with abbreviated day labels for quick reference. Toggle sessions on/off, adjust colors, and ensure seamless integration with candlesticks for dynamic, real-time analysis. Ideal for session-based traders seeking precise timing and structure.
Rejection (Advanced Body+Alert) V6.5I little help to get alerts and visuals for possible rejection candles
Gold Raider Pro [Plazo Sullivan Roche Capital]Core logic
During the London kill-zone, the script locks in the session high/low (LKZ).
After London ends, it looks for a liquidity sweep (price pokes beyond LKZ high/low) then a BOS (break of the first opposing swing) to confirm reversal.
Trades are only valid with higher-timeframe bias (D1 & H4 above/below EMA-50 in agreement).
Optional filters block weak signals: time gate (NY cutoff), ADR (skip if the day’s move is already stretched), and VWAP alignment (Midnight/Weekly/Monthly).
Output is a unified signal: BUY after low sweep + BOS in bull HTF, SELL after high sweep + BOS in bear HTF; labels + dashboard summarize state and reasons.
Best setup & usage
Chart & broker: XAUUSD on a high-liquidity feed (ICMarkets/FXPro/OANDA). Use 2m–5m for executions; confirm with 15m market structure.
Session: Set timezone to America/New_York. Default London kill-zone 02:30–04:30 NY; stop taking new signals after 11:00 NY (toggle in inputs).
HTF bias: Keep EMA length = 50 on D & H4 (default). Only toggle off bias if you’re deliberately testing counter-trend sweeps (not recommended live).
Structure/BOS: Use Swing Length = 3. Leave “Require BOS after the sweep” = ON for the cleanest signals; turn “Require close back inside LKZ” ON only if you want ultra-conservative entries.
VWAP filters: Keep Midnight VWAP = ON; add Weekly/Monthly only on trend days to avoid over-filtering range sessions.
ADR guardrail: Enable ADR filter once you go live; start with ADR Threshold = 0.9 and Lookback 14. This blocks chasing extended moves.
Execution playbook:
BUY: Wait for low sweep of LKZ → BOS up → dashboard shows BULL bias, Time/ADR OK, VWAP pass. Enter on the next pullback or at close; SL below BOS invalidation (or fixed 0.5–0.8× ADR14 of XAU).
SELL: Mirror logic after a high sweep in BEAR bias; SL above BOS invalidation.
TP: Scale at 1R, leave runner to 2–3R or to Midnight/Weekly VWAP touch; hard exit by NY lunchtime or on bias flip.
Risk: 0.25–0.5% per trade (XAU is spiky). One trade per direction per session; if ADR block triggers post-entry, manage to BE or flatten if structure weakens.
Alerts & dashboard: Turn on runtime alerts once parameters are set. Read the Last Signal / Filters row; only act when it shows your direction and “L:OK / S:OK” for your side.
Validation & tuning: Forward-test 3–4 weeks. If over-filtered, relax VWAP Weekly/Monthly first; if too chatty, enforce close-back-inside and keep NY cutoff tight.
Don’ts: Don’t trade during major news spikes, don’t counter the D1/H4 agreement, and don’t enter before BOS—sweeps without structure confirmation are bait.
EDGAR 1-Hour Overview (E1H)EDGAR 1-Hour Overview (E1H)
This indicator is designed for precision sniper entries by using 1-hour institutional reference levels to guide trades executed on the 1-minute timeframe.
It combines three core systems in one:
📊 1-Hour Base Overview — detects key institutional zones where price is likely to react or reject.
⚡ EMA Trend Filter (2 & 8) — confirms directional bias for intraday scalping and momentum trading.
🐋 Whale Detector — identifies sudden volatility spikes and large orders (institutional buying or selling) using adaptive standard-deviation filters.
With the E1H Overview, you no longer need to guess where the market will bounce or reverse — it highlights real-time zones where big players (whales) are entering positions, allowing you to synchronize your 1-minute sniper entries with institutional movement.
EDGAR Daily Overview (EDO)EDGAR Daily Overview (EDO) is a professional all-in-one market guide that helps traders identify where price is likely to move — no more guessing.
The indicator automatically detects key daily base, support (S1–S3), and resistance (R1–R3) levels, allowing you to instantly see potential bounce, rejection, or breakout zones.
Combined with advanced tools such as trendlines, Ichimoku Cloud, MACD, RSI, and Volume Strength, EDO gives you a full real-time picture of the market’s current direction.
Whether you trade intraday or short-term swings, this tool helps you understand where the market is heading today — empowering you to plan precise entries, take profits, and manage risk effectively.
🔒 Invite-Only Script – exclusive access for authorized users only.
DK FractalsThis is the beginning of the DK Fractal strategy build for futures.
Currently it doesn't have any of the automation as I'm just building the basic framework that the strategy will be built from.
CPT - CRT Sessions📘 CPT – CRT Range (Manual: 1HR Futures / 4HR Forex)
By Core Pattern Trades (CPT)
🧭 Overview
The CPT – CRT Range indicator is a professional-grade market mapping tool designed to highlight key Candle Range Trading (CRT) levels, session ranges, and opening gaps used by institutional traders.
It forms the foundation of the Core Pattern Trades methodology, combining precision timing with liquidity and session structure.
This indicator automatically plots:
🟩 1HR CRT (Futures) – captures key hourly highs/lows used in index trading
🟪 4HR CRT (Forex) – captures 4-hour swing ranges used in FX and metals
🔵 Asian Session Highs/Lows – overnight accumulation range
🟠 London Session Highs/Lows – early volatility/liquidity run
💥 NDOG & NWOG – new-day and new-week opening gaps
All levels are dynamically time-filtered and color-coded for quick visual reference.
⚙️ Key Features
Category Description
CRT Logic Manually select 1HR or 4HR model based on asset class
Sessions Auto-plots Asian & London session highs/lows in UTC-4
Opening Gaps NDOG / NWOG show daily & weekly imbalance zones
Smart Visibility “Show only within last 24 hours” option keeps charts clean
Customization Adjustable colors, line styles, label sizes, and time windows
Precision Alignment Fully timezone-aware (default: UTC-4 / New York)
🔍 How to Use
Apply the indicator from your Invite-Only Scripts list.
Select the correct CRT Mode:
1HR CRT (Futures) for indices (ES, NQ, YM, etc.)
4HR CRT (Forex) for FX or gold (XAUUSD, EURUSD, GBPUSD, etc.)
Keep Timezone = Etc/GMT+4 for accurate alignment.
Use session and gap levels to identify liquidity zones, sweeps, and fills.
Combine with CPT – FVG’s & OB’s indicator for confluence confirmation.
🧩 Best Practice Setup
Keep “Show only within last 24 hours” ✅ ON
Use neutral text color (#000000) for clarity
Apply on 1H–4H–15M charts for optimal context
Monitor NDOG/NWOG fills for directional bias
Combine with CPT FVG/OB for a full institutional structure view
🛡️ Access
This is a private invite-only script for verified members of the
Core Pattern Trades Discord community.
✅ Active Discord members retain access automatically
❌ If membership expires or is revoked, TradingView access will be removed
⚠️ Disclaimer
This indicator is for educational and analytical purposes only.
It is not financial advice or a signal service.
Always use appropriate risk management and confirm setups with your own analysis.
🔗 Join the CPT Community
For access, education, and live analysis:
➡️ Join the Core Pattern Trades Discord - discord.gg
➡️ Learn more at CorePatternTrades.com