Real Drawdown Balance (Apex Style)Beat the Psychological Game of prop firms by tracking your actual balance/drawdown.
Educational
SMT Pro+ [TakingProphets]
SMT PRO+
SMT Pro+ is a precision Smart Money Technique (SMT) divergence tool built to track TRUE intermarket divergence using synced Buyside/Sellside Liquidity pivots (BSL/SSL) across a correlated pair.
Instead of “guessing” divergence off random swings, SMT Pro+ only tracks levels that form on BOTH symbols on the same confirmation bar, then monitors which asset sweeps first. When exactly one side takes the level, the script draws a clean SMT mark on your chart and optionally trails that mark in real-time until it’s confirmed (parked) or invalidated.
This creates a clean, rules-based way to see when your chart symbol is diverging from the correlated asset in a way that aligns with ICT concepts.
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PURPOSE AND SCOPE
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- Detect SMT divergence using synced BSL/SSL pivots on a correlated asset pair
- Automatic correlated-asset pairing (with manual override)
- Adjustable pivot sensitivity to control swing detection aggressiveness
- Track SMT in real time (trailing) or only draw once confirmed (parked)
- Automatically cap visual clutter with a maximum visible SMT limit
- Dedupe overlapping SMT marks so you only keep the “best” signal
- Built-in session-based alerting (New York time)
- Alerts for:
- New SMT detected
- SMT confirmed (parked)
- SMT invalidated
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WHAT SMT PRO+ IS LOOKING FOR
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SMT (Smart Money Technique) divergence occurs when two correlated markets disagree on sweeping liquidity.
SMT Pro+ uses a strict two-step model:
- Step 1: Create a paired liquidity level on BOTH assets at the same time
- Buyside Liquidity (BSL) = pivot high formed and confirmed on both symbols
- Sellside Liquidity (SSL) = pivot low formed and confirmed on both symbols
- Step 2: Watch for a sweep mismatch
- SMT triggers when EXACTLY ONE of the two assets sweeps the paired level
- Once BOTH assets sweep the level, the SMT is invalid (divergence is gone)
Bullish vs Bearish context:
- Bullish SMT = Sellside sweep divergence (SSL) where one market takes sellside and the other does not
- Bearish SMT = Buyside sweep divergence (BSL) where one market takes buyside and the other does not
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CORRELATED ASSET PAIRING
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Correlated Asset modes:
- Automatic
- Uses built-in mappings when available (ex: NQ ↔ ES, MNQ ↔ MES, GC ↔ SI, etc.)
- Manual
- Lets you specify the correlated symbol yourself (ex: ES, YM, BTC/ETH pairs, FX pairs, etc.)
If Automatic mapping is not available for your symbol, SMT Pro+ falls back to the Manual symbol input.
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PIVOT / LIQUIDITY LEVEL DETECTION
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SMT Pro+ detects liquidity levels using confirmed pivots (pivot highs and pivot lows).
Sensitivity setting controls pivot strength:
- Sensitive (pivot = 1)
- Detects many minor swings
- More levels tracked → more SMT signals
- Normal (pivot = 4)
- Balanced detection for most traders
- Strict (pivot = 6)
- Detects major swings only
- Fewer SMT signals, closer to higher-timeframe style divergences
Critical rule:
- Levels must form on the SAME confirmation bar on BOTH symbols
- No tolerance window is used
- This makes SMT Pro+ stricter, cleaner, and more “rules-based”
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REAL-TIME VS CONFIRMED SMT LOGIC
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Real-time SMTs (ON):
- When divergence triggers, SMT draws immediately
- The diagonal SMT mark trails to new extremes while divergence remains active
- Once confirmed (parked), the mark stops trailing
Real-time SMTs (OFF):
- SMT is tracked silently while divergence is active
- It is only drawn once it becomes confirmed (parked)
- This reduces noise and keeps the chart extremely clean
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CONFIRMATION (PARKING) & INVALIDATION
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Confirmation (Parked SMT):
- If an SMT is active (one asset swept, the other hasn’t)
- And a NEW pivot forms on the chart symbol in the same direction:
- BSL SMT confirms when a new main pivot HIGH forms
- SSL SMT confirms when a new main pivot LOW forms
- Once confirmed:
- The SMT mark stops trailing
- Optional “Confirmed” alert can fire
Invalidation rules:
- If BOTH assets sweep the same paired level, the SMT is invalid and removed
- If an SMT is confirmed (parked) and price later breaks beyond the parked extreme:
- The SMT is considered invalid
- The mark is deleted and removed
Result:
- You only keep SMTs that remain logically intact
- Invalid SMTs do not clutter your chart
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APPEARANCE SETTINGS
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SMT marks are drawn as clean diagonal lines from the synced liquidity level to the sweep candle extreme.
Bullish SMT styling (SSL divergence):
- Line color
- Thickness (Thin / Medium / Thick)
- Line style (Solid / Dashed / Dotted)
Bearish SMT styling (BSL divergence):
- Line color
- Thickness (Thin / Medium / Thick)
- Line style (Solid / Dashed / Dotted)
Labels:
- Optional SMT label at the endpoint
- Adjustable label color + size
- Optional symbol display:
- If enabled, label prints: “SMT w/ ES” (or your correlated symbol short name)
- If disabled, label prints: “SMT”
Symbol shortening:
- Labels automatically shorten futures formats like:
- CME_MINI:ES1! → ES
- CME_MINI:NQ1! → NQ
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DISPLAY MANAGEMENT (CLEAN CHART MODE)
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Maximum visible SMTs:
- Controls how many SMTs remain visible on the chart at once
- Set to 1 to only show the most recent SMT
Behind the scenes:
- SMT Pro+ tracks more than it displays (internal safety caps)
- It hides all marks, then re-shows only the most recent SMTs based on creation time
Deduping:
- If multiple SMT lines end at the same point, SMT Pro+ keeps only ONE:
- For BSL SMTs, it keeps the one with the highest start (stronger buyside level)
- For SSL SMTs, it keeps the one with the lowest start (stronger sellside level)
This prevents stacked duplicates and keeps your signals clean.
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ALERT SYSTEM
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Master toggle:
- Enable Alerts turns the whole alert system on/off
Session windows (New York time):
- Session 1 (default: 09:30–16:00)
- Session 2 (optional)
- Session 3 (optional)
Alert events:
- New SMT
- Fires when a fresh divergence triggers (exactly one asset swept the paired level)
- SMT Confirmed (parked)
- Fires when an active SMT becomes confirmed by new pivot formation on the chart symbol
- SMT Invalidated
- Fires when divergence is resolved (both assets sweep) or a parked SMT breaks its extreme
Alert messages:
- Fully customizable per event
- Alerts automatically append:
- Chart symbol
- Current timeframe
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BEST USE CASES
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- Confirming divergence between correlated indices (NQ/ES, MNQ/MES)
- Confluence with liquidity sweeps, PD arrays, and model-based entries
- Cleaner SMT execution by only using synced confirmed liquidity pivots
- Higher-quality divergence tracking with optional real-time trailing
- “Set and forget” SMT monitoring via session-based alerts
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DISCLAIMER
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This indicator is provided for educational and analytical purposes only. It does not constitute financial advice. Trading involves risk, and past performance is not indicative of future results.
© TakingProphets
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Supertrend, by ParagonSignalsThis indicator implements a trend-following overlay with flow-conditioned preprocessing, regime conditioning, and explicit signal lifecycle governance.
Input engineering (flow-conditioned baseline):It replaces raw price with an engineered baseline designed to capture effective directionality modulated by relative participation.
The internal signal is kept robust and stable via robust scaling, outlier clipping, and a finite-memory integrator to mitigate structural drift.
Trend engine (SuperTrend on engineered series): It computes SuperTrend on the engineered baseline, shifting the trend logic from pure price to a more stable representation of directional pressure and reducing sensitivity to single-bar noise.
Regime conditioning: It estimates a continuous tradeability index (0–1) combining directional efficiency, relative volatility expansion, and return-sign stability.
This index governs the system’s aggressiveness.
Signal governance (stateful execution proxy): It maintains a discrete LONG/SHORT/FLAT state with dynamic TTL, cooldown, persistence-gated flips, and degradation-based exits—enforcing hysteresis and exposure control in adverse regimes.
Relative to a classic SuperTrend (fixed parameters and binary logic), this design adds context awareness, signal quality gating, and lifecycle management, with the intent of reducing whipsaw and formalizing entry/exit behavior under uncertainty.
Hope you enjoy this SuperTrend—consider it a free, research-oriented release.
The methodology reflects professional quant practice—robust preprocessing, regime conditioning, and signal governance—features typically reserved for paid toolkits.
Research-grade release, provided as-is: no edge promised, no warranty, no liability — validate statistically and manage risk accordingly.
Disclaimer: This indicator is for educational and informational purposes only. It is not financial advice, investment advice, or a recommendation to buy, sell, or trade any asset. Trading involves risk and you may lose part or all of your capital. You are solely responsible for your decisions.
jitwealth
This indicator is built to help traders understand the next day market view clearly before the session starts. It focuses on identifying whether the market is likely to be sideways or trending, bullish or bearish, and whether the current price is in a trading zone or a non-trading zone.
What This Indicator Helps You See
Next Day Market Bias: clear bullish, bearish, or neutral view
Market Nature:
Sideways vs trending conditions
Trading Zones:
Trading zone → higher participation and better opportunity
Non-trading zone → low conviction, avoid overtrading
Key Price Levels:
Multiple support and resistance levels for structure and targets
How It Helps Traders
Improves pre-market planning
Avoids trading during low-probability zones
Builds patience and discipline by defining where to trade and where not to trade
Useful for intraday and short-term tradersUse R levels as potential resistance/targets and S levels as demand/bounce zones
Best For
Index & stock intraday trading
Pre-market planning using Next Day CPR
Identifying structure, bias, and objective targets
QQQ Daily Levels V2 (GateKept Trading)QQQ Daily Levels V2 (GateKept Trading) is a daily structure and execution-level overlay built exclusively for the GateKept Trading community, designed to standardize how members read QQQ behavior around the same key level functions every session. Users input the day’s prices (as lines or zones), and the indicator plots them cleanly from the 9:00am ET anchor with on-chart behavior tags that explain what each level typically does (e.g., pull, stall, defend, accelerate, or exhaust) without predictions or trade language. The visual hierarchy makes the most important boundaries instantly obvious, collision rules prevent duplicate meanings at the same price, and optional price-scale markers ensure your daily levels are always visible on the right scale for fast, clutter-free decision-making.
Skylark Digital Assets Monthly Financial Liquidity IndexThe Monthly Financial Liquidity Proxy (FLP) is a standardized, oscillator-style measure of broad financial conditions. Seasons 2.0 is the public-facing framework that translates the FLP into four regime “seasons” to help describe where liquidity sits within a recurring cycle.
What “Seasons 2.0” does
Converts the monthly FLP into a clear regime map (Winter / Spring / Summer / Fall).
Uses explicit thresholds + persistence rules to reduce noise and avoid one-month regime “blips.”
Designed for macro framing and cycle context (not a single-indicator trading system).
SPY Daily Permission Levels V2 (GateKept Trading)SPY Daily Levels V2 (GateKept Trading) is a precision-built market structure and permission indicator designed exclusively for the GateKept Trading community. It defines SPY’s key control points that govern market tone and behavior — from regime confirmation to exhaustion. Each level is intentionally simplified and visually intuitive: 🟦 Market Switchpoint (risk-on/risk-off pivot), 🟥 Market Cap (rally stall zone), 📌 Market Pin (momentum slowdown point), ⚠️ Market Failure (speed trigger), and 🟣 Market Exhaustion (extension risk area). This script does not predict direction — it clarifies where control shifts occur so traders can read market intent with zero clutter and full authority.
IU Gap DetectorDISCRIPTION
IU Gap Detector is a smart and flexible gap detection indicator designed to identify Bullish and Bearish price gaps using three different measurement methods: Volatility (ATR), Fixed Points, and Percentage-based gaps.
It helps traders quickly spot significant market gaps that often lead to strong momentum, reversals, or continuation moves.
The indicator works on any timeframe and any tradable instrument supported on TradingView.
USER INPUTS :
1. Gap Measure Base
* Volatility: Detects gaps based on ATR (Average True Range) to adapt to market volatility
* Points: Detects gaps using fixed point values
* Percentage: Detects gaps based on percentage difference between previous close and current open
2. Gap Points
* Defines minimum gap size in points when using Points mode
3. Gap Percentage
* Defines minimum gap size in percentage when using Percentage mode
4. ATR Factor
* Multiplier for ATR-based gap detection
5. ATR Length
* Period used for ATR calculation
HOW IT WORKS ?
* The script compares the current candle’s open price with the previous candle’s close
* Based on the selected gap measurement type, it calculates whether the gap size is significant
* If the gap is upwards beyond the defined threshold, it marks it as a Bullish Gap
* If the gap is downwards beyond the defined threshold, it marks it as a Bearish Gap
* The background color changes to visually highlight bullish or bearish gaps
* Alerts are triggered automatically when a valid gap is detected
WHY IT IS UNIQUE:
* Supports three different gap detection methods in a single indicator
* ATR-based volatility gaps automatically adapt to changing market conditions
* Clean and minimal background visualization without cluttering the chart
* Works consistently across stocks, indices, forex, crypto, and commodities
* Easy-to-configure inputs suitable for both beginners and advanced traders
HOW USER CAN BENIFIT FROM IT :
* Identify high-probability gap trading opportunities instantly
* Improve entry timing during market open or high volatility sessions
* Use gaps for momentum, reversal, or continuation strategies
* Combine with trend, volume, or price action strategies for confirmation
* Set TradingView alerts to never miss important gap events
KoP (4) SUPREME HYBRID v2.8Strategy Suggestions
Trap Strategy
Wait for the price to break a level
Look for a close inside the level within 3 bars
"★ TRAP" signal or "TRAP" appears on the dashboard
Entry: At the close of the closing bar
Stop Loss: Slightly beyond the tip of the sweep
Take Profit: Counter liquidity level
BOS/CHoCH Strategy
Wait for a trend reversal when CHoCH appears
Wait for a trend continuation when BOS appears
Look for an entry on a pullback
⚠️ Important Notes
No Repainting: All signals are confirmed at the bar close
Multi-Bar Confirmation: Traps are confirmed within 1-3 bars
Spam Prevention: No consecutive signals in the same direction (cooldown)
MTF Alignment: 4H and 1H levels show the main direction
🔔 Alert Setup
Add the indicator to the chart
Right-click → "Alert Add"
Condition: "KoP (4) SUPREME HYBRID v2.8"
Select "Any alert()"
Determine the notification method (Telegram, E-mail etc.
Triple Vision Pro V2 [Abusuhil]الوصف العربي اسفل الوصف الانجليزي
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ENGLISH DESCRIPTION
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🚀 Triple Vision Pro V2 - Advanced Multi-Asset Crypto Analysis Indicator
Triple Vision Pro V2 is a comprehensive, professional-grade technical indicator specifically designed for cryptocurrency markets. It analyzes three critical market drivers (BTC, BTC.D, USDT.D) using Smart Money Concepts (SMC) to provide high-probability trading signals for altcoins and crypto assets.
This advanced version features FOUR distinct analysis engines, a sophisticated Buy/Sell Pressure System with real-time order flow analysis, automated trade level plotting, and five optional signal filters—making it one of the most powerful and flexible indicators available for crypto traders.
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🌟 KEY FEATURES
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✅ FOUR ANALYSIS ENGINES - Choose the engine that matches your trading style:
• Fast & Reactive: Quick signals for scalpers (15M-1H)
• Momentum-Driven: Balanced approach for swing traders (15M-4H)
• Smart Confirmation: High-accuracy signals with multiple confirmations (1H-4H)
• SMC Pure: Conservative Smart Money Concepts approach (4H-Daily)
✅ ADVANCED BUY/SELL PRESSURE SYSTEM - Real-time order flow analysis using four calculation methods:
• Volume-Based: Analyzes candle body vs. range weighted by volume
• Delta: Tracks Buy Volume - Sell Volume with cumulative delta
• Wick Analysis: Measures rejection pressure from upper/lower wicks
• Combined: Integrates all three methods with order flow imbalance (Default)
✅ AUTOMATED TRADE LEVELS - Automatic plotting of entry, stop loss, and up to 7 targets (TP1-TP7):
• Percentage Method: Based on customizable percentage values
• ATR-Based Method: Using Average True Range multipliers
• Structure-Based Method: Based on swing highs/lows
• Risk-Reward Method: Based on your preferred R:R ratios
✅ FIVE OPTIONAL FILTERS - Refine signal quality with professional filters:
• Order Block Filter: Signal only at institutional order blocks
• Discount/Premium Filter: Long in discount zones, short in premium zones
• Multi-Timeframe Filter: Require higher timeframe confirmation
• Volume Filter: Require above-average volume (adjustable threshold)
• Pressure Filter: Require positive pressure for longs, negative for shorts
✅ INTERACTIVE DASHBOARDS - Multiple visualization options:
• Main Dashboard: Detailed analysis of BTC, BTC.D, USDT.D across 4 timeframes
• Engine Comparison Dashboard: Compare all 4 engines side-by-side in real-time
• Strength Bar: Visual representation of final signal strength (-100 to +100)
• Pressure Bar: Visual display of buy/sell pressure with Delta and percentages
✅ FULL ARABIC LANGUAGE SUPPORT - Complete interface and settings in Arabic for Middle Eastern traders
✅ HIGHLY CUSTOMIZABLE - Extensive settings for all timeframes and trading styles with adjustable thresholds, colors, and display options
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🔧 THE FOUR ANALYSIS ENGINES EXPLAINED
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1️⃣ FAST & REACTIVE ENGINE ⚡
Best For: Scalpers, 15M-1H timeframes
Philosophy: Catch moves early, even without full confluence
Scoring Logic:
• BTC is king: 60 points (±60 based on BTC direction)
• BTC.D helper: +20 if falling (good for alts), -10 if rising
• USDT.D helper: +15 if falling (risk-on), -10 if rising
• Pressure: Up to 25 points based on buy/sell pressure
Signal Thresholds:
• Strong Signal: >50 or <-50
• Moderate Signal: >30 or <-30
Pros: Quick signals, catches momentum early
Cons: More false signals, requires tight stop loss
2️⃣ MOMENTUM-DRIVEN ENGINE 🚀
Best For: 15M-4H timeframes (Most balanced)
Philosophy: Focus on price momentum + confluence confirmation
Scoring Logic:
• BTC Rate of Change (ROC): Up to 60 points
- >3% move = 60 points
- >1.5% move = 40 points
- >0.5% move = 20 points
• BTC.D confirmation: 25 points (aligned with BTC direction)
• USDT.D fear indicator: 15 points (inverse)
• Pressure: Up to 25 points
Signal Thresholds:
• Strong Signal: >70 or <-70
• Moderate Signal: >50 or <-50
Pros: Balanced speed + accuracy, works well on most timeframes
Cons: May miss slow grind moves
3️⃣ SMART CONFIRMATION ENGINE 🧠
Best For: 1H-4H timeframes, swing trading
Philosophy: Require multiple confirmations before signaling
Scoring Logic:
• BTC trend: 50 points (strong) or 30 points (weak)
• BTC Discount/Premium: 15 points (bonus for good entry zones)
• BTC BOS (Break of Structure): 20 points (structure confirmation)
• BTC.D: 25 points (weighted by strength)
• USDT.D: 15 points (weighted by strength)
• Pressure: Up to 25 points (conditional)
Signal Thresholds:
• Strong Signal: >80 or <-80
• Moderate Signal: >60 or <-60
Pros: High accuracy, fewer false signals
Cons: Slower to signal, may miss fast moves
4️⃣ SMC PURE ENGINE 📐
Best For: 4H-Daily timeframes, conservative traders
Philosophy: Strict Smart Money Concepts - full confluence required
Scoring Logic:
• Requires ALL assets to agree (BTC + BTC.D + USDT.D)
• If full agreement: Average of all three
• If partial: Weighted average (BTC 60%, BTC.D 25%, USDT.D 15%)
• Pressure: Lower weight (12.5 points max)
Signal Thresholds:
• Strong Signal: >70 or <-70
• Moderate Signal: >50 or <-50
Pros: Very high accuracy, conservative approach
Cons: Many "Neutral" signals, slow to react
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📊 BUY/SELL PRESSURE SYSTEM - ADVANCED ORDER FLOW ANALYSIS
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The Pressure System measures real-time order flow to determine whether buyers or sellers are in control. This provides crucial confirmation for your trading decisions.
CALCULATION METHODS:
1️⃣ VOLUME-BASED METHOD
• Analyzes candle body size vs. total range
• Bullish candles = positive pressure
• Bearish candles = negative pressure
• Weighted by volume ratio vs. 20-period average
• Accounts for volume spikes and institutional activity
2️⃣ DELTA METHOD
• Calculates Buy Volume - Sell Volume
• Tracks Cumulative Delta over 20 bars
• Identifies order flow imbalances
• Shows institutional accumulation/distribution
3️⃣ WICK ANALYSIS METHOD
• Lower wick > Upper wick = buying pressure (rejection of lower prices)
• Upper wick > Lower wick = selling pressure (rejection of higher prices)
• Normalized by candle range for accuracy
• Identifies key support/resistance zones
4️⃣ COMBINED METHOD (DEFAULT & RECOMMENDED)
• Integrates all three methods above
• Adds order flow imbalance analysis (last 10 candles)
• Produces a comprehensive score from -100 (extreme selling) to +100 (extreme buying)
• Most accurate representation of market sentiment
PRESSURE BAR DISPLAY:
• Visual bar showing pressure strength with color gradient
• Delta value display (optional)
• Buy/Sell percentage display (optional)
• Color-coded: Green for buying pressure, Red for selling pressure
PRESSURE WEIGHT IN SCORING:
• Low (10%): For conservative engines that prioritize structure
• Medium (20%): Balanced approach
• High (25%): Maximum weight for pressure-sensitive strategies (Default)
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🎯 AUTOMATED TRADE LEVELS - PROFESSIONAL RISK MANAGEMENT
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When a strong signal is detected, the indicator automatically plots professional trade levels on your chart:
LEVEL TYPES:
• Entry Line: Gray color - Your entry price
• Stop Loss Line: Red color - Includes Risk:Reward ratio display
• Target Lines: Green color - Up to 7 profit targets (TP1-TP7)
CALCULATION METHODS:
1️⃣ PERCENTAGE METHOD
• Based on customizable percentage values
• Stop Loss: 0.1% to 10% (default 1.5%)
• Targets: Individual percentages for each TP (TP1: 1%, TP2: 2%, TP3: 3%, etc.)
• Best for: Consistent risk management across all trades
2️⃣ ATR-BASED METHOD
• Uses Average True Range (ATR) indicator
• Stop Loss: ATR × multiplier (default 1.5)
• Targets: ATR × increasing multipliers (2x, 3x, 4x, etc.)
• Best for: Adapting to market volatility
3️⃣ STRUCTURE-BASED METHOD
• Based on recent swing highs and lows (50-bar lookback)
• Stop Loss: Just beyond recent swing (0.2% buffer)
• Targets: Based on range between swing high and low
• Best for: Respecting market structure and key levels
4️⃣ RISK-REWARD METHOD
• Based on your preferred R:R ratios
• Stop Loss: Percentage-based (customizable)
• Targets: Calculated from risk amount × R:R ratio
• TP1: 1:1, TP2: 1:2, TP3: 1:3 (customizable)
• Best for: Professional risk management with consistent ratios
CUSTOMIZATION OPTIONS:
• Line Style: Solid, Dashed, or Dotted
• Number of Targets: 1 to 7 targets
• Show/Hide Labels: Toggle price labels on/off
• Auto Remove Old Levels: Clean chart automatically
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🔍 FIVE OPTIONAL SIGNAL FILTERS - REFINE YOUR EDGE
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All filters are OFF by default. Enable them based on your trading style and desired signal quality.
1️⃣ ORDER BLOCK FILTER
• Signals only when price is at an institutional Order Block
• Identifies areas where smart money has placed large orders
• Increases accuracy but reduces signal frequency
• Best for: Structure-based traders, higher timeframes
2️⃣ DISCOUNT/PREMIUM FILTER
• Long signals only in Discount zones (below 50% of range)
• Short signals only in Premium zones (above 50% of range)
• Ensures better entry prices and improved risk:reward
• Best for: Swing traders, position traders
3️⃣ MULTI-TIMEFRAME FILTER
• Requires higher timeframe confirmation
• Example: 1H signal needs 4H timeframe agreement
• Significantly improves signal reliability
• Best for: Reducing false signals, higher conviction trades
4️⃣ VOLUME FILTER
• Requires above-average volume for signal confirmation
• Default threshold: 1.2x the 20-period volume average (adjustable 1.0x to 3.0x)
• Filters out low-conviction moves and fake breakouts
• Best for: Momentum traders, breakout strategies
5️⃣ PRESSURE FILTER
• Long signals require positive buy/sell pressure
• Short signals require negative buy/sell pressure
• Ensures order flow alignment with signal direction
• Best for: Order flow traders, scalpers
FILTER STRATEGY:
• More filters = Fewer but higher quality signals
• Start with 1-2 filters, add more if needed
• Too many filters = Missed opportunities
• Recommended: Volume + Pressure for most timeframes
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📈 INTERACTIVE DASHBOARDS - COMPREHENSIVE MARKET VIEW
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MAIN DASHBOARD - Four display styles:
1. DETAILED MODE:
• Classic: Full vertical layout with 19 rows of information
• Compact: Condensed version with essential data
• Cards: Side-by-side card layout for each asset
• Minimal: Essential information only
2. SIMPLE MODE:
• Grid: 3-column layout for quick scanning
• Horizontal: Single row display
• Compact: Minimal rows with key data
• Badge: Tiny display for maximum chart space
Displays:
• Analysis of BTC, BTC.D, USDT.D across 4 timeframes (Daily, 4H, 1H, 15M)
• Structure analysis (BOS, CHoCH, Order Blocks, FVG)
• Trend direction and strength for each asset
• Final score and signal recommendation
• Quick trading guide with entry suggestions
ENGINE COMPARISON DASHBOARD:
• Shows all 4 engines side-by-side in real-time
• Displays score and signal for each engine
• Shows consensus level (how many engines agree)
• Color-coded for easy identification
• Helps identify high-confidence setups when multiple engines agree
• Best for: Finding the strongest setups with multi-engine confirmation
STRENGTH BAR:
• Visual bar representation of final signal strength
• Scale: -100 (extreme bearish) to +100 (extreme bullish)
• 11 segments with color gradient
• Green for bullish signals, Red for bearish signals
• Updates in real-time with each candle
• Position: Bottom center of chart
PRESSURE BAR:
• Separate visual bar for buy/sell pressure
• Scale: -100 (extreme selling) to +100 (extreme buying)
• Displays Delta value (optional)
• Displays Buy/Sell percentages (optional)
• Color gradient: Green (buying) to Red (selling)
• Position: Adjacent to Strength Bar
CUSTOMIZATION:
• Dashboard Size: Tiny, Small, Normal, Large, Extra Large
• Dashboard Position: Top Left, Top Right, Bottom Left, Bottom Right
• Language: English or Arabic (العربية)
• Toggle any dashboard element on/off independently
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💡 RECOMMENDED SETTINGS BY TIMEFRAME
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15-MINUTE TIMEFRAME:
• Engine: Fast & Reactive or Momentum-Driven
• Pressure Weight: High (25%)
• Filters: Volume + Pressure
• Trade Levels: Percentage method
• Targets: 3 targets (1%, 2%, 3%)
• Best for: Scalping, quick momentum plays
1-HOUR TIMEFRAME (MOST POPULAR):
• Engine: Momentum-Driven (RECOMMENDED)
• Pressure Weight: High (25%)
• Filters: Discount/Premium + Volume
• Trade Levels: Percentage or ATR-based
• Targets: 3 targets (1.5%, 3%, 4.5%)
• Best for: Intraday swing trading, balanced approach
4-HOUR TIMEFRAME:
• Engine: Smart Confirmation or Momentum-Driven
• Pressure Weight: Medium (20%)
• Filters: All filters enabled
• Trade Levels: ATR-based or Structure-based
• Targets: 3-5 targets, ATR multipliers
• Best for: Swing trading, multi-day positions
DAILY TIMEFRAME:
• Engine: SMC Pure or Smart Confirmation
• Pressure Weight: Low (10%)
• Filters: Multi-TF + Order Block
• Trade Levels: Structure-based or Risk-Reward
• Targets: Structure-based with wide targets
• Best for: Position trading, conservative approach
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📚 HOW TO USE - STEP BY STEP
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STEP 1: CHOOSE YOUR ENGINE
• Start with "Momentum-Driven" (recommended for most traders)
• Test each engine on your preferred timeframe
• Observe which engine matches your trading style
STEP 2: ENABLE PRESSURE ANALYSIS
• Turn on "Enable Pressure Analysis"
• Select "Combined" method (default)
• Enable "Show Pressure Bar" for visual feedback
• Set Pressure Weight to "High (25%)"
STEP 3: ADD FILTERS (OPTIONAL)
• Start with NO filters to see all signals
• Add Volume Filter first (threshold 1.2x)
• Add Pressure Filter for order flow confirmation
• Add more filters if you want higher quality signals
STEP 4: CONFIGURE TRADE LEVELS
• Enable "Show Trade Levels"
• Choose calculation method (Percentage recommended for beginners)
• Set your stop loss % (1.5% is a good starting point)
• Set number of targets (3 is recommended)
• Configure target percentages based on your R:R preference
STEP 5: CUSTOMIZE DASHBOARD
• Choose Dashboard Mode: "Detailed" for full analysis, "Simple" for quick view
• Select your preferred style (Classic, Compact, etc.)
• Enable "Show Strength Bar" and "Show Pressure Bar"
• Optionally enable "Show Engine Comparison Dashboard"
STEP 6: TRADING EXECUTION
• Wait for Strong or Moderate signal in your chosen engine
• Check Pressure Bar for order flow confirmation
• Verify filters are satisfied (if enabled)
• Check Engine Comparison Dashboard for consensus (if enabled)
• Enter trade at plotted Entry level
• Place stop loss at plotted SL level
• Set profit targets at plotted TP levels
• Scale out at each target (e.g., 33% at TP1, 33% at TP2, 34% at TP3)
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⚠️ IMPORTANT NOTES & BEST PRACTICES
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ENGINE SELECTION:
• Don't switch engines constantly - stick with one and learn its behavior
• Each engine has different signal frequency and accuracy
• Use Engine Comparison Dashboard to find high-confidence setups
• Fast engine = More signals, lower accuracy
• SMC Pure engine = Fewer signals, higher accuracy
PRESSURE SYSTEM:
• Works best on liquid markets (BTC, ETH, major altcoins)
• Less reliable on low-volume coins or during low-liquidity hours
• Combine with Volume Filter for best results
• Pressure divergence (price up, pressure down) can signal reversals
FILTERS:
• More filters = Fewer signals but higher win rate
• Start with 1-2 filters, add more based on your results
• Too many filters = You'll miss good opportunities
• Recommended combination: Volume + Pressure for most traders
RISK MANAGEMENT:
• ALWAYS use stop loss - no exceptions
• Risk only 1-2% of your capital per trade
• Aim for minimum 1:2 Risk:Reward ratio
• Scale out at targets - don't wait for all targets to hit
• Move stop loss to breakeven after TP1 is hit
TIMEFRAME SELECTION:
• Lower timeframes (15M-1H) = More signals, more screen time required
• Higher timeframes (4H-Daily) = Fewer signals, less screen time
• Match timeframe to your lifestyle and trading availability
• Multi-timeframe analysis: Check higher TF for trend direction
MARKET CONDITIONS:
• Indicator works best in trending markets
• During choppy/sideways markets, reduce position size or stay out
• Bitcoin dominance (BTC.D) is crucial for altcoin trading
• USDT.D rising = Risk-off environment = Caution for longs
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🎓 LEARNING PATH - MASTER THE INDICATOR
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WEEK 1: Understanding the Engines
• Test each engine separately on your favorite pairs
• Note which engine gives signals that match your style
• Compare Engine Comparison Dashboard results
• Identify which engine works best on your preferred timeframe
WEEK 2: Adding Pressure Analysis
• Enable Pressure Bar and observe its behavior
• Watch how pressure relates to price action
• Note when pressure diverges from price (potential reversals)
• Learn to trust pressure confirmation
WEEK 3: Implementing Filters
• Add one filter at a time
• Measure the impact on signal quality and frequency
• Find your optimal filter combination
• Document your results
WEEK 4: Strategy Development & Backtesting
• Combine your chosen engine + filters + pressure
• Backtest on historical data (scroll back on chart)
• Refine your entry and exit rules
• Develop your personal trading plan
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🚨 DISCLAIMER
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This indicator is provided for EDUCATIONAL and ANALYTICAL purposes only. It is NOT financial advice, and should NOT be considered as a recommendation to buy or sell any financial instrument.
Trading cryptocurrencies and other financial instruments involves substantial risk of loss and is not suitable for every investor. The valuation of cryptocurrencies and futures may fluctuate, and, as a result, you may lose more than your original investment.
Past performance is NOT indicative of future results. No representation is being made that any account will or is likely to achieve profits or losses similar to those discussed in this indicator or its documentation.
You should carefully consider whether trading is suitable for you in light of your circumstances, knowledge, and financial resources. You may lose all or more of your initial investment. Opinions, market data, recommendations or any other content is subject to change at any time without notice.
ALWAYS conduct your own research and due diligence before making any trading decisions. NEVER risk more than you can afford to lose. ALWAYS use proper risk management and stop losses.
The creator of this indicator (Abusuhil) will NOT be liable for any losses or damages, including without limitation, any loss of profit, which may arise directly or indirectly from use of or reliance on this indicator.
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📞 SUPPORT & CONTACT
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For questions, suggestions, or bug reports:
• TradingView: Search for "Triple Vision Pro V2 "
• Comments: Use TradingView comment section for feedback
• Updates: Follow for indicator updates and improvements
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ℹ️ TECHNICAL INFORMATION
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Version: 2.0
Author: Abusuhil
Programming Language: Pine Script v5
Release Date: 2025
Indicator Type: Overlay (displays on price chart)
Maximum Labels: 500
Maximum Lines: 500
Maximum Boxes: 500
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🏆 WHAT MAKES TRIPLE VISION PRO V2 UNIQUE
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Unlike traditional indicators that analyze only price action, Triple Vision Pro V2 takes a HOLISTIC approach by analyzing the three most important drivers of crypto market movements:
1. BITCOIN (BTC) - The market leader that drives overall crypto sentiment
2. BITCOIN DOMINANCE (BTC.D) - Shows capital flow between BTC and altcoins
3. TETHER DOMINANCE (USDT.D) - Measures risk-on vs. risk-off sentiment
By combining these three perspectives with Smart Money Concepts, advanced order flow analysis, and multiple analysis engines, Triple Vision Pro V2 provides a COMPLETE picture of market conditions—something no single-asset indicator can achieve.
The result? Higher probability trades, better timing, and a true edge in the crypto markets.
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✨ FINAL WORDS
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Triple Vision Pro V2 represents hundreds of hours of development, testing, and refinement. It combines institutional-grade analysis with user-friendly design, making professional trading tools accessible to everyone.
Whether you're a scalper looking for quick momentum plays, a swing trader seeking high-probability setups, or a position trader wanting conservative entries—this indicator has an engine and configuration designed for you.
Remember: No indicator is perfect, and no indicator can guarantee profits. Success in trading comes from proper risk management, discipline, emotional control, and continuous learning. Use this indicator as a powerful tool in your trading arsenal, but always combine it with your own analysis and judgment.
Trade safe, trade smart, and may your trades be profitable! 🚀
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الوصف العربي
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🚀 Triple Vision Pro V2 - مؤشر تحليل متقدم متعدد الأصول للعملات الرقمية
Triple Vision Pro V2 هو مؤشر تقني شامل واحترافي مصمم خصيصًا لأسواق العملات الرقمية. يقوم بتحليل ثلاثة محركات حاسمة للسوق (BTC, BTC.D, USDT.D) باستخدام مفاهيم الأموال الذكية (SMC) لتوفير إشارات تداول عالية الاحتمالية للعملات البديلة والأصول الرقمية.
هذه النسخة المتقدمة تتميز بأربعة محركات تحليل مختلفة، ونظام متطور لضغط البيع والشراء مع تحليل لحظي لتدفق الأوامر، ورسم آلي لمستويات التداول، وخمسة فلاتر اختيارية للإشارات—مما يجعله واحدًا من أقوى وأكثر المؤشرات مرونة المتاحة لمتداولي العملات الرقمية.
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🌟 المميزات الرئيسية
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✅ أربعة محركات تحليل - اختر المحرك الذي يناسب أسلوب تداولك:
• سريع وتفاعلي (Fast & Reactive): إشارات سريعة للمضاربين (15 دقيقة - 1 ساعة)
• مدفوع بالزخم (Momentum-Driven): نهج متوازن للمتداولين المتأرجحين (15 دقيقة - 4 ساعات)
• تأكيد ذكي (Smart Confirmation): إشارات عالية الدقة مع تأكيدات متعددة (1 ساعة - 4 ساعات)
• SMC بحت (SMC Pure): نهج محافظ لمفاهيم الأموال الذكية (4 ساعات - يومي)
✅ نظام متقدم لضغط البيع والشراء - تحليل لحظي لتدفق الأوامر باستخدام أربع طرق حساب:
• قائم على الحجم (Volume-Based): يحلل جسم الشمعة مقابل النطاق مرجحًا بالحجم
• الدلتا (Delta): يتتبع حجم الشراء - حجم البيع مع الدلتا التراكمية
• تحليل الذيول (Wick Analysis): يقيس ضغط الرفض من الذيول العلوية/السفلية
• مدمج (Combined): يدمج الطرق الثلاثة مع تحليل عدم توازن تدفق الأوامر (افتراضي)
✅ مستويات تداول آلية - رسم تلقائي للدخول ووقف الخسارة وحتى 7 أهداف (TP1-TP7):
• طريقة النسبة المئوية: بناءً على قيم نسبة مئوية قابلة للتخصيص
• طريقة ATR: باستخدام مضاعفات متوسط النطاق الحقيقي
• طريقة البنية: بناءً على القمم والقيعان المتأرجحة
• طريقة المخاطرة/العائد: بناءً على نسب R:R المفضلة لديك
✅ خمسة فلاتر اختيارية - حسّن جودة الإشارة بفلاتر احترافية:
• فلتر كتل الأوامر (Order Block): إشارة فقط عند كتل الأوامر المؤسسية
• فلتر الخصم/القسط (Discount/Premium): شراء في مناطق الخصم، بيع في مناطق القسط
• فلتر متعدد الأطر الزمنية (Multi-Timeframe): يتطلب تأكيد الإطار الزمني الأعلى
• فلتر الحجم (Volume): يتطلب حجمًا أعلى من المتوسط (عتبة قابلة للتعديل)
• فلتر الضغط (Pressure): يتطلب ضغطًا إيجابيًا للشراء، سلبيًا للبيع
✅ لوحات معلومات تفاعلية - خيارات عرض متعددة:
• اللوحة الرئيسية: تحليل مفصل لـ BTC و BTC.D و USDT.D عبر 4 أطر زمنية
• لوحة مقارنة المحركات: قارن جميع المحركات الأربعة جنبًا إلى جنب في الوقت الفعلي
• شريط القوة (Strength Bar): تمثيل بصري لقوة الإشارة النهائية (-100 إلى +100)
• شريط الضغط (Pressure Bar): عرض بصري لضغط البيع/الشراء مع الدلتا والنسب المئوية
✅ دعم كامل للغة العربية - واجهة وإعدادات كاملة بالعربية لمتداولي الشرق الأوسط
✅ قابل للتخصيص بشكل كبير - إعدادات واسعة لجميع الأطر الزمنية وأساليب التداول مع عتبات وألوان وخيارات عرض قابلة للتعديل
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🔧 شرح محركات التحليل الأربعة
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1️⃣ المحرك السريع والتفاعلي (FAST & REACTIVE) ⚡
الأفضل لـ: المضاربين، أطر زمنية 15 دقيقة - 1 ساعة
الفلسفة: التقاط الحركات مبكرًا، حتى بدون توافق كامل
منطق التسجيل:
• البيتكوين هو الملك: 60 نقطة (±60 بناءً على اتجاه BTC)
• مساعد BTC.D: +20 إذا كان ينخفض (جيد للعملات البديلة)، -10 إذا كان يرتفع
• مساعد USDT.D: +15 إذا كان ينخفض (مخاطرة)، -10 إذا كان يرتفع
• الضغط: حتى 25 نقطة بناءً على ضغط البيع/الشراء
عتبات الإشارة:
• إشارة قوية: >50 أو <-50
• إشارة متوسطة: >30 أو <-30
الإيجابيات: إشارات سريعة، يلتقط الزخم مبكرًا
السلبيات: إشارات خاطئة أكثر، يتطلب وقف خسارة ضيق
2️⃣ المحرك المدفوع بالزخم (MOMENTUM-DRIVEN) 🚀
الأفضل لـ: أطر زمنية 15 دقيقة - 4 ساعات (الأكثر توازنًا)
الفلسفة: التركيز على زخم السعر + تأكيد التوافق
منطق التسجيل:
• معدل تغير BTC (ROC): حتى 60 نقطة
- حركة >3% = 60 نقطة
- حركة >1.5% = 40 نقطة
- حركة >0.5% = 20 نقطة
• تأكيد BTC.D: 25 نقطة (متوافق مع اتجاه BTC)
• مؤشر الخوف USDT.D: 15 نقطة (عكسي)
• الضغط: حتى 25 نقطة
عتبات الإشارة:
• إشارة قوية: >70 أو <-70
• إشارة متوسطة: >50 أو <-50
الإيجابيات: سرعة ودقة متوازنة، يعمل بشكل جيد على معظم الأطر الزمنية
السلبيات: قد يفوت الحركات البطيئة المستمرة
3️⃣ محرك التأكيد الذكي (SMART CONFIRMATION) 🧠
الأفضل لـ: أطر زمنية 1 ساعة - 4 ساعات، التداول المتأرجح
الفلسفة: طلب تأكيدات متعددة قبل الإشارة
منطق التسجيل:
• اتجاه BTC: 50 نقطة (قوي) أو 30 نقطة (ضعيف)
• خصم/قسط BTC: 15 نقطة (مكافأة لمناطق الدخول الجيدة)
• كسر البنية BTC (BOS): 20 نقطة (تأكيد البنية)
• BTC.D: 25 نقطة (مرجح بالقوة)
• USDT.D: 15 نقطة (مرجح بالقوة)
• الضغط: حتى 25 نقطة (مشروط)
عتبات الإشارة:
• إشارة قوية: >80 أو <-80
• إشارة متوسطة: >60 أو <-60
الإيجابيات: دقة عالية، إشارات خاطئة أقل
السلبيات: أبطأ في الإشارة، قد يفوت الحركات السريعة
4️⃣ محرك SMC البحت (SMC PURE) 📐
الأفضل لـ: أطر زمنية 4 ساعات - يومي، المتداولون المحافظون
الفلسفة: مفاهيم الأموال الذكية الصارمة - يتطلب توافقًا كاملاً
منطق التسجيل:
• يتطلب موافقة جميع الأصول (BTC + BTC.D + USDT.D)
• إذا كان هناك اتفاق كامل: متوسط الثلاثة
• إذا كان جزئيًا: متوسط مرجح (BTC 60%، BTC.D 25%، USDT.D 15%)
• الضغط: وزن أقل (12.5 نقطة كحد أقصى)
عتبات الإشارة:
• إشارة قوية: >70 أو <-70
• إشارة متوسطة: >50 أو <-50
الإيجابيات: دقة عالية جدًا، نهج محافظ
السلبيات: العديد من الإشارات "المحايدة"، بطيء في الاستجابة
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📊 نظام ضغط البيع/الشراء - تحليل متقدم لتدفق الأوامر
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يقيس نظام الضغط تدفق الأوامر في الوقت الفعلي لتحديد ما إذا كان المشترون أو البائعون هم المسيطرون. هذا يوفر تأكيدًا حاسمًا لقرارات التداول الخاصة بك.
طرق الحساب:
1️⃣ الطريقة القائمة على الحجم (VOLUME-BASED)
• يحلل حجم جسم الشمعة مقابل النطاق الكلي
• الشموع الصاعدة = ضغط إيجابي
• الشموع الهابطة = ضغط سلبي
• مرجح بنسبة الحجم مقابل متوسط 20 فترة
• يأخذ في الاعتبار قفزات الحجم والنشاط المؤسسي
2️⃣ طريقة الدلتا (DELTA)
• يحسب حجم الشراء - حجم البيع
• يتتبع الدلتا التراكمية على مدى 20 شمعة
• يحدد اختلالات تدفق الأوامر
• يظهر التراكم/التوزيع المؤسسي
3️⃣ طريقة تحليل الذيول (WICK ANALYSIS)
• ذيل سفلي > ذيل علوي = ضغط شراء (رفض الأسعار المنخفضة)
• ذيل علوي > ذيل سفلي = ضغط بيع (رفض الأسعار المرتفعة)
• معياري بنطاق الشمعة للدقة
• يحدد مناطق الدعم/المقاومة الرئيسية
4️⃣ الطريقة المدمجة (COMBINED)
• يدمج جميع الطرق الثلاثة أعلاه
• يضيف تحليل عدم توازن تدفق الأوامر (آخر 10 شمعات)
• ينتج درجة شاملة من -100 (بيع شديد) إلى +100 (شراء شديد)
• التمثيل الأكثر دقة لمعنويات السوق
عرض شريط الضغط:
• شريط بصري يظهر قوة الضغط مع تدرج لوني
• عرض قيمة الدلتا (اختياري)
• عرض نسبة البيع/الشراء (اختياري)
• مرمز بالألوان: أخضر لضغط الشراء، أحمر لضغط البيع
وزن الضغط في التسجيل:
• منخفض (10%): للمحركات المحافظة التي تعطي الأولوية للبنية
• متوسط (20%): نهج متوازن
• مرتفع (25%): أقصى وزن للاستراتيجيات الحساسة للضغط (افتراضي)
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🎯 مستويات التداول الآلية - إدارة مخاطر احترافية
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عند اكتشاف إشارة قوية، يقوم المؤشر تلقائيًا برسم مستويات تداول احترافية على الرسم البياني الخاص بك:
أنواع المستويات:
• خط الدخول: لون رمادي - سعر الدخول الخاص بك
• خط وقف الخسارة: لون أحمر - يتضمن عرض نسبة المخاطرة:العائد
• خطوط الأهداف: لون أخضر - حتى 7 أهداف ربح (TP1-TP7)
طرق الحساب:
1️⃣ طريقة النسبة المئوية (PERCENTAGE)
• بناءً على قيم نسبة مئوية قابلة للتخصيص
• وقف الخسارة: 0.1% إلى 10% (افتراضي 1.5%)
• الأهداف: نسب مئوية فردية لكل TP (TP1: 1%، TP2: 2%، TP3: 3%، إلخ)
• الأفضل لـ: إدارة مخاطر متسقة عبر جميع الصفقات
2️⃣ طريقة ATR (ATR-BASED)
• يستخدم مؤشر متوسط النطاق الحقيقي (ATR)
• وقف الخسارة: ATR × مضاعف (افتراضي 1.5)
• الأهداف: ATR × مضاعفات متزايدة (2x، 3x، 4x، إلخ)
• الأفضل لـ: التكيف مع تقلبات السوق
3️⃣ طريقة البنية (STRUCTURE-BASED)
• بناءً على القمم والقيعان المتأرجحة الأخيرة (استرجاع 50 شمعة)
• وقف الخسارة: ما وراء التأرجح الأخير (حاجز 0.2%)
• الأهداف: بناءً على النطاق بين القمة والقاع المتأرجحين
• الأفضل لـ: احترام بنية السوق والمستويات الرئيسية
4️⃣ طريقة المخاطرة-العائد (RISK-REWARD)
• بناءً على نسب R:R المفضلة لديك
• وقف الخسارة: قائم على النسبة المئوية (قابل للتخصيص)
• الأهداف: محسوبة من مبلغ المخاطرة × نسبة R:R
• TP1: 1:1، TP2: 1:2، TP3: 1:3 (قابل للتخصيص)
• الأفضل لـ: إدارة مخاطر احترافية بنسب متسقة
خيارات التخصيص:
• نمط الخط: صلب، متقطع، أو منقط
• عدد الأهداف: 1 إلى 7 أهداف
• إظهار/إخفاء التسميات: تبديل تسميات الأسعار تشغيل/إيقاف
• إزالة المستويات القديمة تلقائيًا: تنظيف الرسم البياني تلقائيًا
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🔍 خمسة فلاتر إشارة اختيارية - حسّن ميزتك
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جميع الفلاتر متوقفة افتراضيًا. قم بتمكينها بناءً على أسلوب التداول الخاص بك وجودة الإشارة المطلوبة.
1️⃣ فلتر كتل الأوامر (ORDER BLOCK FILTER)
• إشارات فقط عندما يكون السعر عند كتلة أوامر مؤسسية
• يحدد المناطق التي وضعت فيها الأموال الذكية أوامر كبيرة
• يزيد الدقة لكن يقلل تكرار الإشارة
• الأفضل لـ: المتداولون القائمون على البنية، الأطر الزمنية الأعلى
2️⃣ فلتر الخصم/القسط (DISCOUNT/PREMIUM FILTER)
• إشارات شراء فقط في مناطق الخصم (أقل من 50% من النطاق)
• إشارات بيع فقط في مناطق القسط (أعلى من 50% من النطاق)
• يضمن أسعار دخول أفضل ونسبة مخاطرة:عائد محسّنة
• الأفضل لـ: المتداولون المتأرجحون، متداولو المراكز
3️⃣ فلتر متعدد الأطر الزمنية (MULTI-TIMEFRAME FILTER)
• يتطلب تأكيد الإطار الزمني الأعلى
• مثال: إشارة 1 ساعة تحتاج موافقة الإطار الزمني 4 ساعات
• يحسن موثوقية الإشارة بشكل كبير
• الأفضل لـ: تقليل الإشارات الخاطئة، صفقات عالية الثقة
4️⃣ فلتر الحجم (VOLUME FILTER)
• يتطلب حجمًا أعلى من المتوسط لتأكيد الإشارة
• العتبة الافتراضية: 1.2× متوسط الحجم لـ 20 فترة (قابل للتعديل 1.0× إلى 3.0×)
• يصفي الحركات منخفضة الثقة والاختراقات الوهمية
• الأفضل لـ: متداولو الزخم، استراتيجيات الاختراق
5️⃣ فلتر الضغط (PRESSURE FILTER)
• إشارات الشراء تتطلب ضغط بيع/شراء إيجابي
• إشارات البيع تتطلب ضغط بيع/شراء سلبي
• يضمن توافق تدفق الأوامر مع اتجاه الإشارة
• الأفضل لـ: متداولو تدفق الأوامر، المضاربون
استراتيجية الفلتر:
• المزيد من الفلاتر = إشارات أقل لكن بجودة أعلى
• ابدأ بفلتر أو فلترين، أضف المزيد إذا لزم الأمر
• الكثير من الفلاتر = فرص ضائعة
• موصى به: الحجم + الضغط لمعظم الأطر الزمنية
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📈 لوحات المعلومات التفاعلية - رؤية شاملة للسوق
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اللوحة الرئيسية - أربعة أنماط عرض:
1. الوضع التفصيلي:
• كلاسيكي: تخطيط عمودي كامل مع 19 صفًا من المعلومات
• مضغوط: نسخة مكثفة مع البيانات الأساسية
• بطاقات: تخطيط بطاقات جنبًا إلى جنب لكل أصل
• الحد الأدنى: المعلومات الأساسية فقط
2. الوضع البسيط:
• شبكة: تخطيط 3 أعمدة للمسح السريع
• أفقي: عرض صف واحد
• مضغوط: صفوف قليلة مع البيانات الرئيسية
• شارة: عرض صغير لأقصى مساحة رسم بياني
يعرض:
• تحليل BTC و BTC.D و USDT.D عبر 4 أطر زمنية (يومي، 4 ساعات، 1 ساعة، 15 دقيقة)
• تحليل البنية (BOS، CHoCH، كتل الأوامر، FVG)
• اتجاه وقوة الاتجاه لكل أصل
• النتيجة النهائية وتوصية الإشارة
• دليل تداول سريع مع اقتراحات الدخول
لوحة مقارنة المحركات:
• تعرض جميع المحركات الأربعة جنبًا إلى جنب في الوقت الفعلي
• تعرض النتيجة والإشارة لكل محرك
• تعرض مستوى الإجماع (كم محرك يتفق)
• مرمزة بالألوان لسهولة التعرف
• تساعد في تحديد الإعدادات عالية الثقة عندما تتفق محركات متعددة
• الأفضل لـ: إيجاد أقوى الإعدادات مع تأكيد متعدد المحركات
شريط القوة:
• تمثيل شريط بصري لقوة الإشارة النهائية
• المقياس: -100 (هبوطي شديد) إلى +100 (صعودي شديد)
• 11 قطعة مع تدرج لوني
• أخضر للإشارات الصعودية، أحمر للإشارات الهبوطية
• يتحدث في الوقت الفعلي مع كل شمعة
• الموضع: أسفل وسط الرسم البياني
شريط الضغط:
• شريط بصري منفصل لضغط البيع/الشراء
• المقياس: -100 (بيع شديد) إلى +100 (شراء شديد)
• يعرض قيمة الدلتا (اختياري)
• يعرض نسب البيع/الشراء (اختياري)
• تدرج لوني: أخضر (شراء) إلى أحمر (بيع)
• الموضع: بجوار شريط القوة
التخصيص:
• حجم اللوحة: صغير جدًا، صغير، عادي، كبير، كبير جدًا
• موضع اللوحة: أعلى اليسار، أعلى اليمين، أسفل اليسار، أسفل اليمين
• اللغة: الإنجليزية أو العربية
• تبديل أي عنصر من عناصر اللوحة تشغيل/إيقاف بشكل مستقل
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💡 الإعدادات الموصى بها حسب الإطار الزمني
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الإطار الزمني 15 دقيقة:
• المحرك: سريع وتفاعلي أو مدفوع بالزخم
• وزن الضغط: مرتفع (25%)
• الفلاتر: الحجم + الضغط
• مستويات التداول: طريقة النسبة المئوية
• الأهداف: 3 أهداف (1%، 2%، 3%)
• الأفضل لـ: المضاربة، لعب الزخم السريع
الإطار الزمني 1 ساعة (الأكثر شعبية):
• المحرك: مدفوع بالزخم (موصى به)
• وزن الضغط: مرتفع (25%)
• الفلاتر: الخصم/القسط + الحجم
• مستويات التداول: النسبة المئوية أو القائم على ATR
• الأهداف: 3 أهداف (1.5%، 3%، 4.5%)
• الأفضل لـ: التداول المتأرجح اليومي، نهج متوازن
الإطار الزمني 4 ساعات:
• المحرك: تأكيد ذكي أو مدفوع بالزخم
• وزن الضغط: متوسط (20%)
• الفلاتر: جميع الفلاتر ممكّنة
• مستويات التداول: القائم على ATR أو القائم على البنية
• الأهداف: 3-5 أهداف، مضاعفات ATR
• الأفضل لـ: التداول المتأرجح، مراكز متعددة الأيام
الإطار الزمني اليومي:
• المحرك: SMC بحت أو تأكيد ذكي
• وزن الضغط: منخفض (10%)
• الفلاتر: متعدد الأطر الزمنية + كتلة الأوامر
• مستويات التداول: القائم على البنية أو المخاطرة-العائد
• الأهداف: القائم على البنية مع أهداف واسعة
• الأفضل لـ: تداول المراكز، نهج محافظ
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📚 كيفية الاستخدام - خطوة بخطوة
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الخطوة 1: اختر محركك
• ابدأ بـ "مدفوع بالزخم" (موصى به لمعظم المتداولين)
• اختبر كل محرك على إطارك الزمني المفضل
• لاحظ أي محرك يتطابق مع أسلوب التداول الخاص بك
الخطوة 2: تمكين تحليل الضغط
• قم بتشغيل "تمكين تحليل الضغط"
• اختر طريقة "مدمج" (افتراضي)
• قم بتمكين "إظهار شريط الضغط" للحصول على ردود فعل بصرية
• اضبط وزن الضغط على "مرتفع (25%)"
الخطوة 3: إضافة الفلاتر (اختياري)
• ابدأ بدون فلاتر لرؤية جميع الإشارات
• أضف فلتر الحجم أولاً (عتبة 1.2×)
• أضف فلتر الضغط لتأكيد تدفق الأوامر
• أضف المزيد من الفلاتر إذا كنت تريد إشارات ذات جودة أعلى
الخطوة 4: تكوين مستويات التداول
• قم بتمكين "إظهار مستويات التداول"
• اختر طريقة الحساب (النسبة المئوية موصى بها للمبتدئين)
• اضبط نسبة وقف الخسارة الخاصة بك (1.5% نقطة بداية جيدة)
• اضبط عدد الأهداف (3 موصى به)
• قم بتكوين نسب الأهداف بناءً على تفضيل R:R الخاص بك
الخطوة 5: تخصيص اللوحة
• اختر وضع اللوحة: "تفصيلي" للتحليل الكامل، "بسيط" للعرض السريع
• اختر النمط المفضل لديك (كلاسيكي، مضغوط، إلخ)
• قم بتمكين "إظهار شريط القوة" و "إظهار شريط الضغط"
• اختياريًا قم بتمكين "إظهار لوحة مقارنة المحركات"
الخطوة 6: تنفيذ التداول
• انتظر إشارة قوية أو متوسطة في محركك المختار
• تحقق من شريط الضغط لتأكيد تدفق الأوامر
• تحقق من استيفاء الفلاتر (إذا كانت ممكّنة)
• تحقق من لوحة مقارنة المحركات للإجماع (إذا كانت ممكّنة)
• ادخل الصفقة عند مستوى الدخول المرسوم
• ضع وقف الخسارة عند مستوى SL المرسوم
• اضبط أهداف الربح عند مستويات TP المرسومة
• قم بالتدرج عند كل هدف (مثلاً 33% عند TP1، 33% عند TP2، 34% عند TP3)
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⚠️ ملاحظات مهمة وأفضل الممارسات
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اختيار المحرك:
• لا تبدل المحركات باستمرار - التزم بواحد وتعلم سلوكه
• كل محرك له تكرار ودقة إشارة مختلفة
• استخدم لوحة مقارنة المحركات لإيجاد إعدادات عالية الثقة
• محرك سريع = إشارات أكثر، دقة أقل
• محرك SMC بحت = إشارات أقل، دقة أعلى
نظام الضغط:
• يعمل بشكل أفضل في الأسواق السائلة (BTC، ETH، العملات البديلة الرئيسية)
• أقل موثوقية على العملات منخفضة الحجم أو خلال ساعات السيولة المنخفضة
• ادمج مع فلتر الحجم للحصول على أفضل النتائج
• اختلاف الضغط (السعر لأعلى، الضغط لأسفل) يمكن أن يشير إلى انعكاسات
الفلاتر:
• المزيد من الفلاتر = إشارات أقل لكن معدل فوز أعلى
• ابدأ بفلتر أو فلترين، أضف المزيد بناءً على نتائجك
• الكثير من الفلاتر = ستفوتك فرص جيدة
• المزيج الموصى به: الحجم + الضغط لمعظم المتداولين
إدارة المخاطر:
• استخدم دائمًا وقف الخسارة - بدون استثناءات
• خاطر فقط بـ 1-2% من رأس مالك لكل صفقة
• استهدف نسبة مخاطرة:عائد 1:2 كحد أدنى
• قم بالتدرج عند الأهداف - لا تنتظر ضرب جميع الأهداف
• انقل وقف الخسارة إلى نقطة التعادل بعد ضرب TP1
اختيار الإطار الزمني:
• الأطر الزمنية الأقل (15 دقيقة - 1 ساعة) = إشارات أكثر، وقت شاشة أكثر مطلوب
• الأطر الزمنية الأعلى (4 ساعات - يومي) = إشارات أقل، وقت شاشة أقل
• طابق الإطار الزمني مع نمط حياتك وتوفر التداول
• تحليل متعدد الأطر الزمنية: تحقق من الإطار الزمني الأعلى لاتجاه الاتجاه
ظروف السوق:
• يعمل المؤشر بشكل أفضل في الأسواق ذات الاتجاه
• خلال الأسواق المتقلبة/الجانبية، قلل حجم المركز أو ابق خارجًا
• هيمنة البيتكوين (BTC.D) حاسمة لتداول العملات البديلة
• ارتفاع USDT.D = بيئة خالية من المخاطر = حذر من الشراء
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🎓 مسار التعلم - إتقان المؤشر
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الأسبوع 1: فهم المحركات
• اختبر كل محرك بشكل منفصل على أزواجك المفضلة
• لاحظ أي محرك يعطي إشارات تتطابق مع أسلوبك
• قارن نتائج لوحة مقارنة المحركات
• حدد أي محرك يعمل بشكل أفضل على إطارك الزمني المفضل
الأسبوع 2: إضافة تحليل الضغط
• قم بتمكين شريط الضغط ولاحظ سلوكه
• راقب كيف يرتبط الضغط بحركة السعر
• لاحظ عندما يختلف الضغط عن السعر (انعكاسات محتملة)
• تعلم الثقة في تأكيد الضغط
الأسبوع 3: تنفيذ الفلاتر
• أضف فلترًا واحدًا في كل مرة
• قس التأثير على جودة وتكرار الإشارة
• ابحث عن مزيج الفلتر الأمثل لديك
• وثق نتائجك
الأسبوع 4: تطوير الاستراتيجية والاختبار الخلفي
• ادمج محركك المختار + الفلاتر + الضغط
• اختبر على البيانات التاريخية (قم بالتمرير للخلف على الرسم البياني)
• حسّن قواعد الدخول والخروج الخاصة بك
• طور خطة التداول الشخصية الخاصة بك
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🚨 إخلاء المسؤولية
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يتم توفير هذا المؤشر لأغراض تعليمية وتحليلية فقط. إنه ليس نصيحة مالية، ولا ينبغي اعتباره توصية لشراء أو بيع أي أداة مالية.
ينطوي تداول العملات الرقمية والأدوات المالية الأخرى على مخاطر كبيرة من الخسارة وليس مناسبًا لكل مستثمر. قد يتقلب تقييم العملات الرقمية والعقود الآجلة، ونتيجة لذلك، قد تخسر أكثر من استثمارك الأولي.
الأداء السابق ليس مؤشرًا على النتائج المستقبلية. لا يتم تقديم أي تمثيل بأن أي حساب سيحقق أو من المحتمل أن يحقق أرباحًا أو خسائر مماثلة لتلك التي تمت مناقشتها في هذا المؤشر أو وثائقه.
يجب عليك النظر بعناية فيما إذا كان التداول مناسبًا لك في ضوء ظروفك ومعرفتك ومواردك المالية. قد تخسر كل أو أكثر من استثمارك الأولي. الآراء أو بيانات السوق أو التوصيات أو أي محتوى آخر عرضة للتغيير في أي وقت دون إشعار.
قم دائمًا بإجراء أبحاثك الخاصة والعناية الواجبة قبل اتخاذ أي قرارات تداول. لا تخاطر أبدًا بأكثر مما يمكنك تحمل خسارته. استخدم دائمًا إدارة المخاطر المناسبة ووقف الخسائر.
لن يكون منشئ هذا المؤشر (Abusuhil) مسؤولاً عن أي خسائر أو أضرار، بما في ذلك دون حصر، أي خسارة في الربح، والتي قد تنشأ بشكل مباشر أو غير مباشر من استخدام أو الاعتماد على هذا المؤشر.
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📞 الدعم والتواصل
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للأسئلة أو الاقتراحات أو تقارير الأخطاء:
• TradingView: ابحث عن "Triple Vision Pro V2 "
• التعليقات: استخدم قسم التعليقات في TradingView للملاحظات
• التحديثات: تابع للحصول على تحديثات وتحسينات المؤشر
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ℹ️ المعلومات التقنية
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الإصدار: 2.0
المطور: Abusuhil
لغة البرمجة: Pine Script v5
تاريخ الإصدار: 2025
نوع المؤشر: Overlay (يعرض على الرسم البياني للسعر)
الحد الأقصى للتسميات: 500
الحد الأقصى للخطوط: 500
الحد الأقصى للمربعات: 500
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🏆 ما الذي يجعل Triple Vision Pro V2 فريدًا
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على عكس المؤشرات التقليدية التي تحلل حركة السعر فقط، يتبع Triple Vision Pro V2 نهجًا شاملاً من خلال تحليل ثلاثة من أهم محركات حركات سوق العملات الرقمية:
1. البيتكوين (BTC) - قائد السوق الذي يدفع المعنويات العامة للعملات الرقمية
2. هيمنة البيتكوين (BTC.D) - يظهر تدفق رأس المال بين BTC والعملات البديلة
3. هيمنة التيثر (USDT.D) - يقيس معنويات المخاطرة مقابل عدم المخاطرة
من خلال الجمع بين هذه المنظورات الثلاثة مع مفاهيم الأموال الذكية، وتحليل تدفق الأوامر المتقدم، ومحركات التحليل المتعددة، يوفر Triple Vision Pro V2 صورة كاملة لظروف السوق—شيء لا يمكن لأي مؤشر أصل واحد تحقيقه.
النتيجة؟ صفقات ذات احتمالية أعلى، توقيت أفضل، وميزة حقيقية في أسواق العملات الرقمية.
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✨ كلمات أخيرة
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يمثل Triple Vision Pro V2 مئات الساعات من التطوير والاختبار والتحسين. إنه يجمع بين التحليل على مستوى المؤسسات والتصميم سهل الاستخدام، مما يجعل أدوات التداول الاحترافية متاحة للجميع.
سواء كنت مضاربًا يبحث عن لعب زخم سريع، أو متداولًا متأرجحًا يبحث عن إعدادات عالية الاحتمالية، أو متداول مراكز يريد مداخل محافظة—هذا المؤشر لديه محرك وتكوين مصمم لك.
تذكر: لا يوجد مؤشر مثالي، ولا يمكن لأي مؤشر ضمان الأرباح. يأتي النجاح في التداول من إدارة المخاطر المناسبة، والانضباط، والسيطرة العاطفية، والتعلم المستمر. استخدم هذا المؤشر كأداة قوية في ترسانة التداول الخاصة بك، ولكن اجمعه دائمًا مع تحليلك وحكمك الخاص.
تداول بأمان، تداول بذكاء، وليكن تداولك مربحًا! 🚀
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5S - Sessions and Key LevelsThis indicator will draw a box for Asia/London/US sessions automatically in the chart. The high/low/mid points of these sessions are usually reacted quite easily. Using these levels to scalp as reversal points with SL of 1 ATR is recommended.
The indicator also adds lines for 6PM open, 2AM open, and 10am open prices. Price has a high chance to react when reaching these levels. Scalping using these levels as reversal points usually works with 1 ATR stoploss.
The indicator also adds Fisher Transform indicator and default as 5 minute TF. When Fisher Transform reaches 2.5, price can reverse quickly.
The indicator will also add SMA20/50/100/200 as trend indicator. If price is above all the SMA's, your long trades will likely work better at the session levels and open levels mentioned above. Vice versa for when price is below all the SMA's.
Historical % Change TrackerThis indicator tracks percentage performance relative to key time-based anchors, allowing quick comparison of short-, medium-, and long-term price behavior in a single pane.
🔍 What it shows
WTD % Change – performance from the start of the current week
MTD % Change – performance from the start of the current month
QTD % Change – performance from the start of the current quarter
YTD % Change – performance from the first trading day of the year
All values are calculated using the opening price of each period and update in real time.
🧠 Key features
Automatic period detection (no manual resets)
Robust YTD handling (works even when Jan 1 is not a trading day)
Quarter-based background shading for visual regime context
Zero reference line for quick positive/negative comparison
Works across all symbols and timeframes
🎯 Use cases
Monitor relative strength across time horizons
Compare trend consistency (short-term vs long-term)
Identify regime shifts at weekly, monthly, or quarterly boundaries
Contextualize intraday moves within higher-timeframe performance
⚙️ Notes
This script is informational only and does not provide trade signals.
It is designed to complement price action, trend, or statistical analysis workflows.
DJLogicsAn indicator designed to trade fast and efficiently on 3-minute charts — without lagging signals or unnecessary noise.
🎯 What’s inside:
— Clear identification of short-term trend
— Early entry and exit points
— Minimal subjectivity, maximum structure
— Perfect for active trading and scalping
🎥 I’ve recorded a detailed training video where I walk you step by step through:
— how the indicator works
— how to use it correctly
— the mistakes 90% of traders make on lower timeframes
This is a tool for those who actually trade — not just watch the market.
Liquidity Areas StrategyBeschreibung (EN + DE):
English
Liquidity Areas Strategy (HTF Fractals + MA Reversal)
This strategy marks higher-timeframe fractal levels (pivot highs/lows) as potential liquidity areas and trades a reversal after a break.
How it works
HTF fractal levels are drawn as horizontal lines until the first break (Close or Wick – selectable).
A setup is only valid if the break happens during the selected trading session (Europe/Zurich/Berlin).
After the break, the strategy waits for a moving-average reversal confirmation (cross + close).
Entry is placed at the open of the next candle (orders are not processed on close).
Risk is defined as a percentage of equity per trade, with take profit based on a fixed RR.
SL/TP lines and trade boxes can be shown for visual review.
Notes
Educational / training use only. Not financial advice.
Results depend on symbol, timeframe, spread/fees, and execution assumptions.
Heikin Ashi + Volume Intel + EMA# HA Volume Intelligence + EMA - Advanced Heikin Ashi Trading System
## 📊 Overview
**Heikin Ashi + Volume Intel + EMA** is a sophisticated trading indicator that enhances traditional Heikin Ashi (HA) candles with intelligent volume analysis, quality scoring, and dynamic trend detection. Unlike standard Heikin Ashi implementations that only smooth price action, this system reveals **where** and **how** volume traded within each candle, providing critical context that traditional HA charts completely lose.
At its core, the indicator tries to address Heikin Ashi's fundamental weakness—the loss of volume location data—by analyzing volume distribution across candle bodies and wicks, scoring candle quality based on multiple factors, and color-coding candles to instantly communicate setup strength. Combined with an adaptive EMA system featuring structure break detection and slope-based coloring, this creates a complete trading framework that maintains HA's trend clarity while restoring the volume intelligence needed for high-probability decision-making.
## ✨ Key Features
* **Volume Location Analysis** - Identifies where volume concentrated: body (strong conviction), upper wicks (selling pressure/rejection), or lower wicks (buying pressure/support)
* **Multi-Factor Quality Scoring** - Evaluates each HA candle on a 0-100 scale using volume intensity, body percentage, and close location to distinguish high-conviction moves from weak signals
* **Adaptive Candle Coloring** - Visual quality grading with four intensity levels (Excellent/Strong/Good/Weak) for both bullish and bearish candles, making exceptional setups immediately visible
* **Volume-Weighted Border Colors** - White borders indicate body-heavy volume (strong), orange shows upper rejections, aqua marks lower rejections, revealing supply/demand dynamics at a glance
* **Intelligent Label System** - Shows quality scores only on exceptional candles (85+ quality with 1.5x+ volume), preventing chart clutter while highlighting genuine opportunities
* **Slope-Adaptive EMA** - Dynamic color-changing EMA (green/red/gray) based on configurable slope threshold, showing trend momentum beyond simple price position
* **Structure Break Detection** - Automatically identifies and marks significant EMA breaks with extending horizontal lines and directional labels, tracking support/resistance levels until broken
* **Rejection Markers** - Optional visual indicators (💪 body-heavy, 🔻 upper rejection, 🔺 lower rejection) with volume-filtered display to highlight key pressure zones
* **Real-Time Quality Dashboard** - Comprehensive table showing current quality score, volume location, body percentage, volume ratio, close location, direction, EMA value, and slope status
## 🔧 How It Works
### 🎯 Volume Distribution Analysis
The indicator estimates how volume distributed within each candle by calculating the proportional range of body versus wicks:
* **Body Volume** - Percentage of candle range occupied by the body (open to close), indicating committed directional movement
* **Upper Wick Volume** - Percentage in upper shadows (rejection at highs), suggesting selling pressure or profit-taking
* **Lower Wick Volume** - Percentage in lower shadows (rejection at lows), suggesting buying pressure or support
While exact intrabar volume data isn't available on standard timeframes, this proportional estimation provides highly actionable intelligence about where price found acceptance versus rejection, allowing traders to distinguish between strong breakouts (body-heavy) and failed attempts (wick-heavy).
### 📈 Quality Scoring System
Each HA candle receives a quality score from 0-100 based on three weighted components:
**1. Volume Score (max 40 points):**
- Compares current volume to 20-period average
- Higher relative volume = stronger signal
- Capped to prevent extreme outliers from skewing total score
**2. Body Score (max 30 points):**
- Measures body size as percentage of total range
- Larger bodies relative to range = more conviction
- Small-bodied candles receive lower scores even with high volume
**3. Close Location Score (max 30 points):**
- For bullish candles: Rewards closes near the high (70-100% of range)
- For bearish candles: Rewards closes near the low (0-30% of range)
- Weak closes (middle of range) reduce score significantly
**Quality Classifications:**
* **80-100: EXCELLENT** - Institutional-grade conviction, multiple confirming factors
* **70-79: STRONG** - High-quality setup with good confirmation
* **55-69: GOOD** - Decent signal, acceptable for confirmation
* **40-54: MODERATE** - Weak signal, avoid standalone trades
* **0-39: WEAK** - Poor quality, likely noise or indecision
### 🎨 Enhanced Candle Visualization
**Candle Body Colors:**
The indicator uses four distinct color intensities for both bullish and bearish candles, making quality instantly recognizable:
* **Excellent (80+):** Bright, fully opaque colors (lime green / bright red)
* **Strong (70-79):** Solid colors with slight transparency
* **Good (55-69):** Medium transparency, clearly visible but less intense
* **Weak (<55):** Heavy transparency, faded appearance signaling low conviction
**Border Color Intelligence:**
* **White borders** - Body-heavy volume (>70% in body), strong directional commitment
* **Orange borders** - Upper rejection (>35% in upper wick), selling pressure/resistance
* **Aqua borders** - Lower rejection (>35% in lower wick), buying pressure/support
* **Gray borders** - Balanced distribution, no clear volume concentration
This dual-color system (body + border) provides instant visual feedback about both signal quality and volume behavior without cluttering the chart.
### 📊 Slope-Adaptive EMA System
Unlike standard EMAs that simply follow price, this implementation adds intelligence through slope analysis:
**Slope Calculation:**
- Measures change between current and previous EMA value
- Configurable threshold determines sensitivity to slope changes
- Lower threshold (0.001-0.01) = more responsive, higher (0.01-0.1) = more stable
**Dynamic Coloring:**
* **Green** - Upward slope exceeding threshold (bullish momentum)
* **Red** - Downward slope exceeding threshold (bearish momentum)
* **Gray** - Flat slope within threshold range (consolidation/indecision)
This reveals momentum shifts before price makes significant moves, as the EMA slope often changes direction before dramatic price action occurs.
### 🎯 Structure Break Detection
The system automatically identifies when price breaks through the EMA, marking these as potential trend changes or continuation signals:
**Break Types:**
* **Bullish Break** - Price crosses above EMA (potential uptrend initiation)
* **Bearish Break** - Price crosses below EMA (potential downtrend initiation)
**Significant Break Filtering:**
When "Only Significant Breaks" is enabled, the indicator requires follow-through confirmation—the next candle must continue in the break direction. This filters out false breaks and whipsaws that immediately reverse.
**Visual Implementation:**
* Horizontal lines extend from break point
* Lines extend until price breaks back through them (when "Extend Until Broken" enabled)
* Labeled with directional arrows (▲ BULL BREAK / ▼ BEAR BREAK)
* Color-coded (green/red) with configurable line styles and widths
* Limited to configurable maximum to prevent chart clutter
These break levels often act as dynamic support/resistance, making them valuable reference points for entries, exits, and stop placement.
### 💡 Volume Location Markers
Optional visual markers highlight exceptional volume behavior:
* **💪 (Strong Body)** - Appears when quality ≥85, volume ≥1.5x average, and >70% volume in body. Signals institutional-grade conviction moves.
* **🔻 (Upper Rejection)** - Shows when >35% volume in upper wick with adequate total volume. Indicates supply/selling pressure at highs.
* **🔺 (Lower Rejection)** - Displays when >35% volume in lower wick with adequate total volume. Reveals demand/buying pressure at lows.
**Smart Filtering:**
- Session-limited (max 10 per day by default) to prevent visual clutter
- Volume threshold filter ensures only significant rejections marked
- Can be disabled entirely for clean chart appearance
- Each marker includes detailed tooltip with quality metrics
### 📊 Real-Time Dashboard
The comprehensive info table provides at-a-glance intelligence:
* **Quality Classification** - Current score and category (EXCELLENT/STRONG/GOOD/MODERATE/WEAK)
* **Numeric Score** - Exact 0-100 quality value with color coding
* **Volume Location** - Distribution type with emoji indicator
* **Body Percentage** - How much of range is body (higher = stronger)
* **Volume Ratio** - Current volume vs 20-period average (>1.5x highlighted)
* **Close Location** - Where close occurred in range (extremes highlighted)
* **Direction** - Current HA trend (🐂 BULL / 🐻 BEAR)
* **EMA Value** - Current level with trend color
* **EMA Slope** - Direction and strength (↑ BULL / ↓ BEAR / → FLAT)
Position is fully customizable (four corners) to avoid conflicts with other indicators or chart elements.
## 💡 How to Use
### 🎯 Identifying High-Quality Setups
**Primary Strategy: Quality-Filtered HA Trading**
Focus exclusively on HA candles with:
1. **Quality Score ≥ 75** (STRONG or EXCELLENT range)
2. **Volume Ratio ≥ 1.3x** (above-average participation)
3. **Body-Heavy Distribution** (white border preferred)
4. **Close near extremes** (>70% for bulls, <30% for bears)
5. **EMA alignment** (bulls above rising EMA, bears below falling EMA)
**Entry Timing:**
- **Aggressive:** Enter on close of qualifying high-quality HA candle
- **Conservative:** Wait for second consecutive high-quality candle in same direction
- **Confirmation:** Combine with structure break signals for highest probability
**Exit Strategy:**
- **Initial Stop:** First opposite-color HA candle with quality ≥60
- **Profit Target:** 2-3x the qualifying candle's range
- **Trailing Stop:** Lock profits after two more same-direction high-quality candles
### 📈 Using EMA Structure Breaks
**Breakout Trading:**
Structure breaks provide clear entry signals when combined with volume quality:
**LONG Entry:**
- Bullish structure break forms (▲ BULL BREAK label)
- HA candle showing quality ≥75
- Volume ratio ≥1.3x
- Body-heavy distribution (white border)
- Enter at break or on pullback to broken level
**SHORT Entry:**
- Bearish structure break forms (▼ BEAR BREAK label)
- HA candle showing quality ≥75
- Volume ratio ≥1.3x
- Body-heavy distribution (white border)
- Enter at break or on rally to broken level
**Break Level Usage:**
- Previous bullish break lines act as support (buy zones)
- Previous bearish break lines act as resistance (sell zones)
- When break level breaks again opposite direction, trend likely reversing
### 🎯 Volume Rejection Trading
**Reversal Strategy Using Rejection Markers:**
**At Resistance (Upper Rejections):**
- 🔻 marker appears showing upper wick rejection
- HA candle color turns bearish (red)
- Quality score ≥70
- Volume ratio ≥1.3x
→ Consider SHORT entry, targeting lower structure break level
**At Support (Lower Rejections):**
- 🔺 marker appears showing lower wick rejection
- HA candle color turns bullish (green)
- Quality score ≥70
- Volume ratio ≥1.3x
→ Consider LONG entry, targeting upper structure break level
**Confirmation:**
Wait for following HA candle to confirm direction before entering. Single rejection candles can fail; consecutive rejections are more reliable.
### 📊 Using the Dashboard for Trade Management
**Pre-Trade Checklist:**
Before entering any trade, verify the dashboard shows:
- Quality score in STRONG (70+) or EXCELLENT (80+) range
- Volume ratio above 1.0x (preferably 1.3x+)
- Body percentage above 50% (preferably 70+)
- Direction aligned with intended trade (🐂 for longs, 🐻 for shorts)
- EMA slope confirming trend (↑ BULL for longs, ↓ BEAR for shorts)
**In-Trade Monitoring:**
While holding position, watch for:
- Quality score dropping below 60 (weakness warning)
- Volume location shifting to opposite rejection (reversal warning)
- EMA slope flattening to → FLAT (momentum loss)
- Direction indicator changing (🐂↔🐻 = exit signal)
### 🎨 Chart Cleanliness Tips
To maintain clean, readable charts:
1. **Disable visual noise:**
- Turn OFF "Show Volume Location Markers" initially
- Turn OFF "Show Background Quality Glow" (can be distracting)
- Keep "Only Show Rejection on High Volume" ON
2. **Limit break lines:**
- Set "Max Break Lines" to 5-10 (not 20+)
- Enable "Extend Until Broken" to auto-clean old levels
- Use "Only Significant Breaks" to filter whipsaws
3. **Labels only on best setups:**
- Keep "Exceptional Threshold" at 85+
- Set "Volume Multiplier" to 1.5x minimum
- This shows only truly institutional-quality moves
4. **Dashboard positioning:**
- Place in corner that doesn't conflict with other indicators
- Use "Bottom Right" if you have VWAP tables in top corners
- Can disable entirely once familiar with quality recognition
### 🔔 Alert Configuration
Set up alerts for automated trade monitoring:
**Essential Alerts:**
- **Exceptional Bullish/Bearish Quality** - Catches rare, high-conviction setups
- **Bullish/Bearish Structure Break** - Entry signal alerts
- **EMA Turned Bullish/Bearish** - Momentum shift warnings
**Optional Alerts:**
- **Strong Upper/Lower Rejection** - Reversal warnings at key levels
- Set up conditional alerts combining multiple factors for custom strategies
**Alert Best Practices:**
- Start with only 2-3 alert types to avoid overwhelm
- Test alert frequency on historical data before enabling live
- Combine alerts with manual confirmation for highest win rate
- Disable "Every tick" alerts—use "Once per bar close" only
## ⚙️ Configuration Overview
### HA Display Settings
* **Show HA Candles** - Toggle Heikin Ashi candle display
* **Show Quality Labels** - Display scores on exceptional candles only (85+)
* **Show Volume Location Markers** - Optional emoji indicators (can clutter, OFF by default)
* **Show Background Quality Glow** - Subtle background coloring on high-quality candles
* **Show Dashboard Table** - Real-time metrics table
* **Dashboard Position** - Four corner placement options
### Quality Settings
* **High Quality Threshold** - Minimum score for "strong" classification (50-90, default 70)
* **Exceptional Quality Threshold** - Score required for labels to appear (75-95, default 85)
* **Volume Multiplier for Exceptional** - Relative volume requirement for labels (1.0-3.0x, default 1.5x)
### Marker Settings
* **Only Show Rejection on High Volume** - Filter rejection markers by volume threshold
* **Rejection Volume Threshold** - Minimum volume ratio for rejection markers (1.0-2.0x)
* **Max Markers Per Session** - Daily limit to prevent clutter (5-50, default 10)
### HA Colors
* **Excellent/Strong/Good/Weak Colors** - Customizable for both bullish and bearish candles
* Pre-configured with optimal color progression from bright to faded
### EMA Settings
* **Show EMA** - Toggle EMA display
* **Length** - EMA period (default 9 for responsive trend following)
* **Source** - Price input (default close)
* **Offset** - Forward/backward display shift
* **Slope Threshold** - Sensitivity for color changes (0.001-1.0, default 0.01)
* **Bull/Bear/Neutral Colors** - Three-state color scheme
### Structure Break Settings
* **Show Structure Break Lines** - Toggle horizontal break level lines
* **Show Break Labels** - Display directional break markers (▲/▼)
* **Max Break Lines** - Limit total lines shown (1-50, default 10)
* **Extend Until Broken** - Auto-extend lines until price crosses back
* **Only Significant Breaks** - Require follow-through confirmation to filter whipsaws
* **Line Style** - Visual appearance (Solid/Dashed/Dotted)
* **Line Width** - Thickness (1-4 pixels)
* **Bull/Bear Break Colors** - Customizable line and label colors
* **Label Size** - Text size (Tiny/Small/Normal)
### Smoothing Settings
* **Type** - Additional smoothing MA types (None/SMA/SMA+BB/EMA/SMMA/WMA/VWMA)
* **Length** - Smoothing period
* **BB StdDev** - Bollinger Band standard deviation multiplier (when BB mode selected)
---
ENTRY RULES:
LONG:
✓ HA candle green (bullish)
✓ Quality score ≥ 80 (EXCELLENT)
✓ Volume ratio ≥ 1.5x average
✓ Body volume ≥ 70% (white border)
✓ Close location ≥ 75%
✓ EMA slope = ↑ BULL (green)
✓ Price above EMA
→ ENTER at candle close or next candle open
SHORT:
✓ HA candle red (bearish)
✓ Quality score ≥ 80
✓ Volume ratio ≥ 1.5x
✓ Body volume ≥ 70%
✓ Close location ≤ 25%
✓ EMA slope = ↓ BEAR (red)
✓ Price below EMA
→ ENTER at candle close or next candle open
EXITS:
- Stop: First opposite HA candle with quality ≥ 60
- Target: 2.5x entry candle range
- Trail: Move stop to breakeven after 1.5x range profit
```
### **Strategy 2: Structure Break + Quality Confirmation**
```
## ⚠️ Important Considerations
### **Heikin Ashi Lag Awareness**
Heikin Ashi candles smooth price action by averaging values, which creates inherent lag:
* **Entry Lag:** HA trend changes appear 1-2 candles after real price reversal
* **Exit Lag:** Reversals confirm late, potentially giving back profits
* **Mitigation:** Use quality scoring and EMA breaks as leading indicators
* **Solution:** Combine HA signals with regular candlestick charts for precise entries
### **Volume Estimation Limitations**
The indicator estimates volume distribution proportionally since exact tick-by-tick volume isn't available on standard timeframes:
* Assumptions are directionally correct but not tick-precise
* Works best on liquid instruments with tight spreads
* More reliable on higher timeframes (5-min+) than very short (30-sec)
* Consider upgrading to tick charts for true volume distribution data
### **False Signals in Choppy Markets**
Like all trend-following systems, this indicator underperforms in sideways, range-bound conditions:
* Excessive structure break whipsaws
* Many "high-quality" candles that fail to follow through
* EMA slope flips rapidly (gray periods)
* **Solution:** Reduce position size or avoid trading when dashboard shows frequent direction changes and → FLAT slope
### **Quality Score Is Not Win Rate**
A quality score of 80 does NOT mean 80% win probability:
* Score measures setup conviction, not outcome certainty
* Markets can reject even highest-quality signals
* Use quality as a filter, not a guarantee
* Combine with proper risk management and position sizing
---
## ⚠️ Disclaimer
This indicator is provided for **educational and informational purposes only**. It does not constitute financial advice, investment recommendations, or a solicitation to buy or sell any financial instruments.
All trading involves risk. Past performance of any strategy, indicator, or system does not guarantee future results. You are fully responsible for your own trading decisions, which should be based on your personal financial situation, risk tolerance, investment objectives, and independent analysis.
The quality scores, volume location indicators, structure break signals, and EMA slope classifications are analytical tools designed to assist in decision-making—they are not trade recommendations. Always conduct your own due diligence and consider consulting with a qualified financial advisor before making investment decisions.
Heikin Ashi candles inherently lag price action due to their smoothing calculations. This lag can result in delayed entries and exits. The volume distribution analysis is estimated proportionally and may not reflect exact tick-by-tick volume behavior. Trade responsibly and never risk more than you can afford to lose.
Shadows V2, by ParagonSignals "Shadows" is a momentum indicator with a more “market-structure aware” backbone. Instead of treating raw price as the signal, it builds a cleaner internal series by mixing direction (price change normalized by volatility), activity relative volume), and robust normalization so spikes don’t dominate. That produces a smoothed “base” line that behaves like a filtered price proxy.
On top of that base, it runs a MACD-style momentum read (fast/slow moving averages + signal line). The key difference is the gating: it tries to avoid firing in dead or choppy markets by requiring a minimum regime strength(volatility + volume) plus a minimum trend quality (slope + efficiency/trendiness). Entries are then triggered only when momentum is strong enough relative to a dynamic threshold(it adapts to current conditions), with simple confirmation/cooldown to reduce noise. Exits use hysteresis so it doesn’t flip in and out on tiny wiggles.
Finally, the Quality Score (0–100) is your quick filter: higher score means cleaner conditions and more trustworthy signals; low score usually means chop/noise. The colored lines can be read as a live direction/momentum guide even without the entry/exit markers.
Treat the colored state as the regime-consistent directional bias
Bullish color/state, directional bias (+). Operate in the long domain; avoid contra-signals.
Bearish color/state, directional bias (-). Operate in the short domain; avoid contra-signals.
A rapid state alternation, low directional persistence (chop). Reduce participation and require cleaner confirmation.
Use triggers as discrete state-transition events
L = long-entry event. Valid only when the current state is bullish (alignment condition).
S = short-entry event. Valid only when the current state is bearish.
XL = long-exit event. Treat as a bias/momentum deterioration signal; flatten exposure.
XS = short-exit event. Same logic; flatten exposure.
When state persistence is poor (frequent color flips), treat triggers as low quality: either stand down or only act when the state remains stable for multiple bars.
Never take L against bearish state or S against bullish state; the system is designed around alignment, not mean-reversion.
This keeps the workflow strictly state-driven (colors define the trade domain) and event-driven (L/S enter, XL/XS exit), which is exactly how you avoid noise-induced flipping.
InitialBalance# Initial Balance Indicator
## Overview
The Initial Balance indicator visualizes the price range (High and Low) established during a specific user-defined session time (e.g., the first hour of the trading day). It plots three key levels:
- **IB High**: The highest price reached during the session.
- **IB Low**: The lowest price reached during the session.
- **IB 50%**: The mid-point between the High and Low.
## Features
- **Custom Session Times**: Users can define the specific start and end times for the Initial Balance period (input as `HHMM`). **Note: Times are fixed to the `America/New_York` timezone.**
- **Real-Time Updates**: The levels dynamically update as the session progresses.
- **Session Independence**: Each trading day/session is treated independently using a struct-based data structure, preserving the historical lines for previous days on the chart.
- **Visual Customization**:
- Customizable colors for High (Green), Low (Red), and Mid (White) lines.
- Customizable background fill color and transparency between the High and Low lines.
## Usage
1. **Add to Chart**: specific the file `InitialBalance.pine` to your TradingView Chart.
2. **Configure Inputs**:
- **Session Settings**: Set your desired `Start Time` and `End Time` (default: 09:30 - 10:30). These times are interpreted in the **America/New_York** timezone.
- **Visual Settings**: Adjust line colors and background fill to your preference.
ERD: Effort-Result Diagnostic [Darwinian]ERD: Effort–Result Diagnostic
This indicator conceptually inspired by Donchian Channel logic, repurposed to visualize the relationship between effort (participation) and result (price movement) using signed volume as the primary constraint.
Core Concept
Markets move for two fundamentally different reasons:
- Effort — active participation, commitment, urgency
- Entropy / Vacuum — absence of participation
Price alone cannot distinguish between the two. ERD answers one question only:
Is the current price movement supported by participation, or is it moving beyond effort?
How It Works
Volume is treated as directional effort (positive / negative).
Donchian-style logic defines contextual effort boundaries for each direction.
These boundaries are overlaid with price to visualize effort containment.
Interpretation:
Price inside the effort zone
→ Effort still contains price
→ Auction is active and engaged
Price pressing into the effort boundary (tension zone)
→ Effort is being tested
→ Outcome uncertain
Price escaping beyond the effort zone
→ Result exceeds effort
→ Movement is fragile, vacuum-driven, or entropy-based
Upside and downside are evaluated independently.
Intended Use
Diagnose breakout / breakdown quality
Identify entropy drift, especially in illiquid assets
Distinguish absence of effort from failed effort
Improve trade selection and patience
Train effort-aware price action reading across timeframes
ERD is designed to reduce bad trades, not increase activity.
Attribution
Conceptually inspired by Donchian Channels (Richard Donchian),
adapted for effort–result diagnostics using signed volume.
Designed by Darwinian
Mid-term RibbonWhat the indicator is meant to tell you
-Mid-term trend direction (bullish vs bearish)
-Trend transitions when the ribbon flips color
-Trend strength (wider ribbon = stronger momentum)
-Helps traders stay in trends longer and avoid chop
Typical use cases
-Trend-following entries and exits
-Filtering trades in the direction of the ribbon
-Visual confirmation for other signals
-Swing trading and position trading
Colors are customizable
Only for educational purposes, no recommendation to buy or sell
High Volume Nodes HVNWhat Are High Volume Nodes (HVNs)?
In a volume profile or chips distribution indicator, a high volume node is a price level where a large amount of traded volume has accumulated. This means a lot of “chips” (trading activity) took place at that price.
In simple terms:
HVNs mark prices where buyers and sellers agreed the most, creating heavy trading congestion.
Why Are HVNs Important?
1. Strong Support or Resistance Zones
Because many trades occurred at an HVN, market participants often view that price as “fair value.”
Price tends to slow down, pause, or reverse at HVNs.
2. Mean Reversion Behavior
HVNs tend to act like magnets:
If price moves far away, it often returns to HVN levels to retest them.
3. Balance Areas
An HVN signals that the market spent a lot of time trading at that price, indicating consensus or balance.
How to Use HVNs in Trading
1. Identify Support/Resistance
HVNs often mark durable S/R levels.
Price frequently retests or bounces from HVNs.
2. Detect Trading Ranges
Multiple HVNs clustered together indicate balance zones or accumulation/distribution areas.
3. Target Zones
When price moves away from an HVN, it often:
revisits the HVN (mean reversion), or
moves toward the next HVN in the profile.
Settings
Timeframe (Slices) (Lookback) (Label %)
Daily (50) (80-250) (0.60)
Weekly (40) (180) (0.65)
Monthly (30) (120) (0.70)
Quarterly (25) (70) (0.75)
No financial advice, no buy/sell recommendation. Only for educational purposes
jitfxjitfx
This indicator plots Central Pivot Range (CPR) along with daily Support & Resistance levels up to 5 levels directly on the price chart. It is designed for intraday and positional traders who want a clean, rule-based structure for market bias, entries, and targets.
Features
Today’s CPR (Pivot, BC, TC)
Next Day CPR calculated from the completed daily candle (useful after market close)
Support & Resistance levels: S1–S5 and R1–R5
On/Off toggles for CPR, Next Day CPR, and S/R levels
Plots neatly on the price chart (overlay)
How to Use
Price above CPR → bullish bias
Price below CPR → bearish bias
Narrow CPR → potential breakout day
Wide CPR → range-bound / mean reversion
Use R levels as potential resistance/targets and S levels as demand/bounce zones
Best For
Index & stock intraday trading
Pre-market planning using Next Day CPR
Identifying structure, bias, and objective targets
Supertrend ProThis is the Supertrend indicator based on ATR (Average True Range), which is most accepted technical way for such indicator.
Setting menu is fully customizable:
drive.google.com
1. You can change ATR lookback period means how many bars to check. default is 10, you can set it as per you trading style.
2. ATR multiplier is set to 3 by default. You can change it to your preferred value.
3. You can choose your own price reference.
4. Option to enable/disable ATR calculation, Background etc..
Style section is also fully customizable:
drive.google.com






















