Quicksilver Recovery Overlay [Strict]The Quicksilver Recovery Overlay is a proprietary visual analysis tool designed to identify high-probability reversal points in volatile markets. Originally developed for internal use to stabilize Prop Firm drawdowns, this script translates complex algorithmic logic into simple, actionable visual signals on your chart.
🚫 The Problem:
Most traders lose capital trying to "catch a falling knife." They buy too early during a crash and get liquidated before the reversal happens.
✅ The Solution:
This overlay forces discipline. It will only print a "QS BUY" signal when three specific institutional criteria are met simultaneously. If the setup is not perfect, the chart remains clean, keeping you out of bad trades.
The Logic (The "Triple Confluence" Engine):
Deep Exhaustion: The Stochastic RSI must pierce the extreme oversold zone (< 20), indicating seller exhaustion.
Momentum Crossover: The Fast %K line must cross above the Slow %D line, confirming momentum has shifted.
Heikin Ashi Filter: The current Heikin Ashi candle must be GREEN (Bullish). This filters out "fake" reversals where price is still wicking down.
Features:
Visual Signal Labels: Green "QS BUY" and Red "QS SELL" tags appear directly on the bar.
Zero Repaint Logic: Signals are confirmed on candle close.
Status Dashboard: A built-in monitor in the top right corner confirms the algorithm is active.
Recommended Settings:
Assets: ETHUSD, BTCUSD, XAUUSD (Gold).
Timeframes:
1-Minute: For scalping and drawdown recovery.
15-Minute: For swing trading and trend reversals.
How to Get Access:
This is a Protected Script. Access is granted exclusively to members of the Quicksilver Algo Systems ecosystem.
Get your license key here: whop.com
Risk Disclosure: Trading involves substantial risk. Past performance is not indicative of future results.
Educational
Multi-Condition Alert System d//@version=5
indicator("Multi-Condition Alert System", shorttitle="MC Alert", overlay=false)
// Timeframe check - Set to 10 minutes
isCorrectTF = timeframe.isintraday and timeframe.multiplier == 10
// EMA Calculations
ema9 = ta.ema(close, 9)
ema21 = ta.ema(close, 21)
ema50 = ta.ema(close, 50)
// MACD Calculations
= ta.macd(close, 12, 26, 9)
// RSI Calculations
rsiValue = ta.rsi(close, 14)
// Define RSI levels (you can adjust these based on your violet/yellow lines)
// Assuming violet is above 50 and yellow is below 50
rsiVioletLevel = 50 // Adjust based on your actual levels
rsiYellowLevel = 50 // Adjust based on your actual levels
// Conditions
emaCondition = ema9 > ema21 and ema9 > ema50
macdCondition = macdLine > signalLine
rsiCondition = rsiValue > rsiVioletLevel and rsiValue > rsiYellowLevel
// All conditions must be true
buySignal = emaCondition and macdCondition and rsiCondition and isCorrectTF
// Plotting for visualization
plot(ema9, color=color.blue, title="EMA 9")
plot(ema21, color=color.orange, title="EMA 21")
plot(ema50, color=color.red, title="EMA 50")
plot(macdLine, color=color.blue, title="MACD Line", style=plot.style_line)
plot(signalLine, color=color.orange, title="Signal Line", style=plot.style_line)
hline(rsiVioletLevel, "RSI Violet Level", color=color.purple)
hline(rsiYellowLevel, "RSI Yellow Level", color=color.yellow)
plot(rsiValue, color=color.white, title="RSI")
// Plot buy signals
plotshape(buySignal ? 1 : na, title="Buy Signal", location=location.bottom,
color=color.green, style=shape.triangleup, size=size.small)
// Alert condition
if buySignal
alert("BUY SIGNAL: EMA 9 > EMA 21 & 50, MACD blue > orange, RSI above levels", alert.freq_once_per_bar)
// Table display
var table signalTable = table.new(position.top_right, 1, 5, bgcolor=color.black,
border_width=1)
if barstate.islast
table.cell(signalTable, 0, 0, "10min TF Check:",
text_color=isCorrectTF ? color.green : color.red)
table.cell(signalTable, 0, 1, "EMA 9 > 21 & 50:",
text_color=emaCondition ? color.green : color.red)
table.cell(signalTable, 0, 2, "MACD Blue > Orange:",
text_color=macdCondition ? color.green : color.red)
table.cell(signalTable, 0, 3, "RSI Condition:",
text_color=rsiCondition ? color.green : color.red)
table.cell(signalTable, 0, 4, "BUY SIGNAL:",
text_color=buySignal ? color.green : color.red)
Fib Green zone / Red zone + Elliott Wave 3═══════════════════════════════════════════
🎯 FIB GREEN ZONE / RED ZONE + ELLIOTT WAVE 3
═══════════════════════════════════════════
OVERVIEW
--------
A comprehensive technical analysis tool combining Fibonacci retracement levels
with Elliott Wave theory to identify high-probability trading opportunities.
KEY FEATURES
------------
✅ Dynamic Fibonacci Levels (0%, 23.6%, 38.2%, 50%, 61.8%, 78.6%, 100%)
✅ Color-Coded Trading Zones:
• Green Zone (0-23.6%): Strong support area
• Golden Zone (50-61.8%): High-probability reversal zone
• Red Zone (78.6-100%): Potential resistance area
✅ Elliott Wave 3 Detection:
• Automatic Wave 1 & 2 identification
• Wave 3 entry signals
• Golden Pocket setups (highest probability)
• Customizable retracement parameters
✅ Fully Customizable:
• Toggle individual levels on/off
• Customize all colors and line styles
• Adjust Elliott Wave sensitivity
• Show/hide labels and zones
IDEAL FOR
---------
- Day traders and swing traders
- Fibonacci-based trading strategies
- Elliott Wave practitioners
- Support/resistance trading
ALERT SYSTEM
------------
Built-in alerts for:
- Price crossing key Fibonacci levels
- Wave 3 entry signals
- Golden Pocket setups
HOW TO USE
----------
1. Apply to any timeframe (works best on 1min-1hr for intraday)
2. Watch for price action in zones
3. Wave 3 signals appear when setup criteria are met
4. Use with other confirmations (volume, price action, etc.)
IMPORTANT DISCLAIMER
-------------------
This indicator is for educational purposes only. It does not guarantee
profitable trades. Past performance does not indicate future results.
Always use proper risk management and conduct your own analysis.
═══════════════════════════════════════════
📧 For access requests or questions, please message me directly.
Multi-Timeframe Smart Analysis [Abusuhil]الوصف بالعربي في الاسفل .
📊 Multi-Timeframe Smart Analysis
🇬🇧 ENGLISH DESCRIPTION
Overview
Multi-Timeframe Smart Analysis is a professional trading indicator designed for cryptocurrency and forex markets, combining RSI and MACD with multi-timeframe (MTF) confirmation to generate high-probability trading signals. The indicator provides clear entry points, automatic Fibonacci-based targets, and risk management levels.
Key Features
1. Multi-Timeframe Analysis (MTF)
Analyzes up to 3 higher timeframes simultaneously
Provides trend confirmation from HTF1, HTF2, and HTF3
Real-time dashboard showing current trend status
Optional: Can be disabled to trade based on current timeframe only
2. Smart Signal Generation
Buy Signals: Generated when MACD crosses above signal line with bullish RSI and HTF confirmation
Sell Signals: Generated when MACD crosses below signal line with bearish RSI and HTF confirmation
Anti-spam system: Minimum bars between signals (default: 10 bars)
Optional: Show only last signal to keep chart clean
3. Automatic Risk Management
Entry Line: Displays exact entry price
Stop Loss: Calculated using ATR (default: 1.5x ATR)
Take Profit Levels:
T1: 1.618x ATR (First target)
T2: 2.618x ATR (Second target)
T3: 4.236x ATR (Final target)
4. Visual Dashboard
Shows current timeframe RSI and MACD status
Displays HTF1 and HTF2 trend direction (BULL/BEAR)
Real-time signal status (🟢 BUY / 🔴 SELL / ⚪ WAIT)
Clean, professional interface in top-right corner
5. Customization Options
Multiple signal styles: Label, Triangle, Arrow, Circle
Adjustable signal size: Tiny, Small, Normal, Large
Customizable colors for buy/sell signals
Flexible target extension bars
Toggle all features on/off independently
📋 Recommended Settings by Timeframe
For 1-Minute Chart (Scalping)
HTF1: 5 minutes
HTF2: 15 minutes
HTF3: 1 hour
RSI Length: 14
MACD: 12/26/9
Stop Loss ATR: 1.0
Best for: High-frequency scalping on volatile pairs like BTC/USDT, ETH/USDT
For 5-Minute Chart (Day Trading)
HTF1: 15 minutes
HTF2: 1 hour
HTF3: 4 hours
RSI Length: 14
MACD: 12/26/9
Stop Loss ATR: 1.5
Best for: Intraday trading on major crypto pairs and forex
For 15-Minute Chart (Swing Trading)
HTF1: 1 hour
HTF2: 4 hours
HTF3: 1 day
RSI Length: 14
MACD: 12/26/9
Stop Loss ATR: 1.5
Best for: Short-term swing trades, ideal for crypto and forex
For 1-Hour Chart (Position Trading)
HTF1: 4 hours
HTF2: 1 day
HTF3: 3 days
RSI Length: 14
MACD: 12/26/9
Stop Loss ATR: 2.0
Best for: Medium-term positions, suitable for all markets
For 4-Hour Chart (Swing/Position)
HTF1: 1 day
HTF2: 3 days
HTF3: 1 week
RSI Length: 14
MACD: 12/26/9
Stop Loss ATR: 2.5
Best for: Swing trading with lower frequency, higher accuracy
For Daily Chart (Long-Term)
HTF1: 3 days
HTF2: 1 week
HTF3: 1 month
RSI Length: 14
MACD: 12/26/9
Stop Loss ATR: 3.0
Best for: Position trading and long-term investments
🎯 How to Trade with This Indicator
Entry Rules
For LONG (Buy) Entries:
Wait for 🟢 BUY signal to appear
Verify HTF1 and HTF2 show BULL trend in dashboard
Check RSI is below 70 (not overbought)
Enter at the displayed Entry Line price
Place stop loss at SL level
Set take profit at T1, T2, T3 (scale out)
For SHORT (Sell) Entries:
Wait for 🔴 SELL signal to appear
Verify HTF1 and HTF2 show BEAR trend in dashboard
Check RSI is above 30 (not oversold)
Enter at the displayed Entry Line price
Place stop loss at SL level
Set take profit at T1, T2, T3 (scale out)
Exit Strategy (Recommended)
Conservative Approach:
Close 50% position at T1
Move SL to breakeven
Close 30% at T2
Let 20% run to T3 with trailing stop
Aggressive Approach:
Hold full position to T2
Close 70% at T2
Trail remaining 30% to T3
Quick Scalp:
Close entire position at T1
Re-enter on next signal
⚙️ Settings Guide
Timeframe Settings
Enable Higher Timeframe Analysis: Toggle MTF confirmation on/off
HTF1, HTF2, HTF3: Set your desired higher timeframes
RSI Settings
RSI Length: Period for RSI calculation (default: 14)
RSI Overbought: Upper threshold (default: 70)
RSI Oversold: Lower threshold (default: 30)
Use RSI Filter: Enable/disable RSI confirmation
MACD Settings
Fast Length: Fast EMA period (default: 12)
Slow Length: Slow EMA period (default: 26)
Signal Length: Signal line period (default: 9)
Use MACD Filter: Enable/disable MACD confirmation
Target Settings
Show Price Targets: Toggle target lines on/off
Fib Target 1/2/3: Customize Fibonacci multipliers
Target Extension Bars: How far targets extend (default: 50)
Stop Loss ATR: Stop loss distance multiplier (default: 1.5)
Signal Settings
Show Buy/Sell Signals: Toggle signals independently
Show Only Last Signal: Hide previous signals, show only latest
Signal Style: Choose visual style (Label/Triangle/Arrow/Circle)
Minimum Bars Between Signals: Anti-spam filter (default: 10)
📌 Important Notes
Not a Holy Grail: This indicator is a tool, not a guarantee. Always use proper risk management
Backtest First: Test on historical data before live trading
Combine with Price Action: Use support/resistance levels for additional confirmation
Adjust to Market Conditions: Volatile markets may need wider stops, ranging markets need tighter targets
News Events: Avoid trading during major news releases
Risk Management: Never risk more than 1-2% of your capital per trade
🎓 Best Practices
Start Conservative: Begin with default settings
One Timeframe at a Time: Master one chart before expanding
Journal Your Trades: Track which settings work best for your style
Use Demo Account: Practice before risking real money
Stay Disciplined: Follow your trading plan strictly
🔔 Alert System
The indicator includes built-in alerts:
Buy Signal Alert: Notifies when long opportunity appears
Sell Signal Alert: Notifies when short opportunity appears
To activate alerts:
Click "Create Alert" in TradingView
Select "Multi-Timeframe Smart Analysis"
Choose "Buy Signal" or "Sell Signal"
Set notification preferences
💡 Pro Tips
Confluence Trading: Wait for signals that align with key S/R levels
Trend Trading: In strong trends, prioritize signals in trend direction
Multiple Timeframe Entries: Use HTF for bias, lower TF for precise entry
Partial Profits: Always secure some profit at T1
Trailing Stops: Move SL to breakeven after T1 is hit
⚠️ Risk Disclaimer
Trading cryptocurrencies, forex, and other financial instruments involves substantial risk of loss and is not suitable for all investors. Past performance is not indicative of future results. The indicator provides technical analysis only and should not be considered financial advice. You are solely responsible for your trading decisions. Always conduct your own research and consider consulting with a licensed financial advisor.
📞 Support & Updates
For questions, suggestions, or bug reports, please contact via TradingView messages.
Version: 1.0
Author: Abusuhil
Last Updated: December 2024
📊 التحليل الذكي متعدد الأطر الزمنية
🇸🇦 الوصف بالعربية
نظرة عامة
التحليل الذكي متعدد الأطر الزمنية هو مؤشر تداول احترافي مصمم لأسواق العملات الرقمية والفوركس، يجمع بين مؤشري RSI و MACD مع تأكيد من أطر زمنية أعلى لتوليد إشارات تداول عالية الاحتمالية. يوفر المؤشر نقاط دخول واضحة، أهداف تلقائية مبنية على فيبوناتشي، ومستويات إدارة المخاطر.
المزايا الرئيسية
1. التحليل متعدد الأطر الزمنية (MTF)
يحلل حتى 3 أطر زمنية أعلى في وقت واحد
يوفر تأكيد الاتجاه من HTF1، HTF2، و HTF3
لوحة معلومات فورية تظهر حالة الاتجاه الحالي
اختياري: يمكن تعطيله للتداول بناءً على الإطار الزمني الحالي فقط
2. توليد إشارات ذكية
إشارات الشراء: تُنشأ عندما يعبر MACD فوق خط الإشارة مع RSI صاعد وتأكيد HTF
إشارات البيع: تُنشأ عندما يعبر MACD تحت خط الإشارة مع RSI هابط وتأكيد HTF
نظام مضاد للإزعاج: حد أدنى من الشموع بين الإشارات (افتراضي: 10 شموع)
اختياري: إظهار آخر إشارة فقط للحفاظ على نظافة الشارت
3. إدارة تلقائية للمخاطر
خط الدخول: يعرض سعر الدخول الدقيق
وقف الخسارة: محسوب باستخدام ATR (افتراضي: 1.5x ATR)
مستويات جني الأرباح:
T1: 1.618x ATR (الهدف الأول)
T2: 2.618x ATR (الهدف الثاني)
T3: 4.236x ATR (الهدف النهائي)
4. لوحة معلومات مرئية
تعرض حالة RSI و MACD للإطار الزمني الحالي
تظهر اتجاه HTF1 و HTF2 (صاعد/هابط)
حالة الإشارة الفورية (🟢 شراء / 🔴 بيع / ⚪ انتظار)
واجهة نظيفة واحترافية في الزاوية العلوية اليمنى
5. خيارات التخصيص
أنماط إشارات متعددة: تسمية، مثلث، سهم، دائرة
حجم إشارة قابل للتعديل: صغير جداً، صغير، عادي، كبير
ألوان قابلة للتخصيص لإشارات الشراء/البيع
أشرطة تمديد الهدف مرنة
تبديل جميع الميزات تشغيل/إيقاف بشكل مستقل
📋 الإعدادات الموصى بها حسب الإطار الزمني
لشارت دقيقة واحدة (سكالبينج)
HTF1: 5 دقائق
HTF2: 15 دقيقة
HTF3: 1 ساعة
طول RSI: 14
MACD: 12/26/9
وقف الخسارة ATR: 1.0
الأفضل لـ: السكالبينج عالي التردد على الأزواج المتقلبة مثل BTC/USDT، ETH/USDT
لشارت 5 دقائق (التداول اليومي)
HTF1: 15 دقيقة
HTF2: 1 ساعة
HTF3: 4 ساعات
طول RSI: 14
MACD: 12/26/9
وقف الخسارة ATR: 1.5
الأفضل لـ: التداول اليومي على أزواج العملات الرقمية الرئيسية والفوركس
لشارت 15 دقيقة (التداول المتأرجح)
HTF1: 1 ساعة
HTF2: 4 ساعات
HTF3: 1 يوم
طول RSI: 14
MACD: 12/26/9
وقف الخسارة ATR: 1.5
الأفضل لـ: صفقات التأرجح قصيرة المدى، مثالي للعملات الرقمية والفوركس
لشارت ساعة واحدة (التداول بالمراكز)
HTF1: 4 ساعات
HTF2: 1 يوم
HTF3: 3 أيام
طول RSI: 14
MACD: 12/26/9
وقف الخسارة ATR: 2.0
الأفضل لـ: المراكز متوسطة المدى، مناسب لجميع الأسواق
لشارت 4 ساعات (التأرجح/المراكز)
HTF1: 1 يوم
HTF2: 3 أيام
HTF3: 1 أسبوع
طول RSI: 14
MACD: 12/26/9
وقف الخسارة ATR: 2.5
الأفضل لـ: التداول المتأرجح بتردد أقل ودقة أعلى
للشارت اليومي (طويل المدى)
HTF1: 3 أيام
HTF2: 1 أسبوع
HTF3: 1 شهر
طول RSI: 14
MACD: 12/26/9
وقف الخسارة ATR: 3.0
الأفضل لـ: تداول المراكز والاستثمارات طويلة المدى
🎯 كيفية التداول باستخدام هذا المؤشر
قواعد الدخول
لصفقات الشراء (LONG):
انتظر ظهور إشارة 🟢 شراء
تحقق من أن HTF1 و HTF2 تظهر اتجاه صاعد في لوحة المعلومات
تأكد من أن RSI أقل من 70 (ليس في منطقة التشبع الشرائي)
ادخل عند سعر خط الدخول المعروض
ضع وقف الخسارة عند مستوى SL
اضبط جني الأرباح عند T1، T2، T3 (اخرج تدريجياً)
لصفقات البيع (SHORT):
انتظر ظهور إشارة 🔴 بيع
تحقق من أن HTF1 و HTF2 تظهر اتجاه هابط في لوحة المعلومات
تأكد من أن RSI أعلى من 30 (ليس في منطقة التشبع البيعي)
ادخل عند سعر خط الدخول المعروض
ضع وقف الخسارة عند مستوى SL
اضبط جني الأرباح عند T1، T2، T3 (اخرج تدريجياً)
استراتيجية الخروج (موصى بها)
النهج المحافظ:
أغلق 50% من المركز عند T1
حرك وقف الخسارة إلى نقطة التعادل
أغلق 30% عند T2
دع 20% يعمل حتى T3 مع وقف خسارة متحرك
النهج العدواني:
احتفظ بالمركز الكامل حتى T2
أغلق 70% عند T2
تتبع الـ 30% المتبقية حتى T3
سكالبينج سريع:
أغلق المركز بالكامل عند T1
أعد الدخول عند الإشارة التالية
⚙️ دليل الإعدادات
إعدادات الإطار الزمني
تفعيل تحليل الإطار الزمني الأعلى: تبديل تأكيد MTF تشغيل/إيقاف
HTF1، HTF2، HTF3: اضبط الأطر الزمنية الأعلى المرغوبة
إعدادات RSI
طول RSI: فترة حساب RSI (افتراضي: 14)
RSI في التشبع الشرائي: العتبة العليا (افتراضي: 70)
RSI في التشبع البيعي: العتبة السفلى (افتراضي: 30)
استخدام فلتر RSI: تمكين/تعطيل تأكيد RSI
إعدادات MACD
الطول السريع: فترة المتوسط المتحرك السريع (افتراضي: 12)
الطول البطيء: فترة المتوسط المتحرك البطيء (افتراضي: 26)
طول الإشارة: فترة خط الإشارة (افتراضي: 9)
استخدام فلتر MACD: تمكين/تعطيل تأكيد MACD
إعدادات الأهداف
إظهار أهداف الأسعار: تبديل خطوط الأهداف تشغيل/إيقاف
هدف فيبوناتشي 1/2/3: تخصيص مضاعفات فيبوناتشي
أشرطة تمديد الأهداف: مدى امتداد الأهداف (افتراضي: 50)
وقف الخسارة ATR: مضاعف مسافة وقف الخسارة (افتراضي: 1.5)
إعدادات الإشارات
إظهار إشارات الشراء/البيع: تبديل الإشارات بشكل مستقل
إظهار آخر إشارة فقط: إخفاء الإشارات السابقة، إظهار الأحدث فقط
نمط الإشارة: اختر النمط المرئي (تسمية/مثلث/سهم/دائرة)
الحد الأدنى من الشموع بين الإشارات: فلتر مضاد للإزعاج (افتراضي: 10)
📌 ملاحظات مهمة
ليس الكأس المقدسة: هذا المؤشر أداة، وليس ضماناً. استخدم دائماً إدارة مخاطر مناسبة
اختبار رجعي أولاً: اختبر على البيانات التاريخية قبل التداول المباشر
ادمج مع حركة السعر: استخدم مستويات الدعم/المقاومة لتأكيد إضافي
تكيّف مع ظروف السوق: الأسواق المتقلبة قد تحتاج إلى وقف خسارة أوسع، الأسواق الجانبية تحتاج إلى أهداف أضيق
أحداث الأخبار: تجنب التداول أثناء إصدارات الأخبار الكبرى
إدارة المخاطر: لا تخاطر أبداً بأكثر من 1-2% من رأس مالك لكل صفقة
🎓 أفضل الممارسات
ابدأ بحذر: ابدأ بالإعدادات الافتراضية
إطار زمني واحد في كل مرة: أتقن شارت واحد قبل التوسع
سجل صفقاتك: تتبع أي الإعدادات تعمل بشكل أفضل لأسلوبك
استخدم حساب تجريبي: تدرب قبل المخاطرة بأموال حقيقية
التزم بالانضباط: اتبع خطة تداولك بصرامة
🔔 نظام التنبيهات
يتضمن المؤشر تنبيهات مدمجة:
تنبيه إشارة الشراء: يُعلمك عند ظهور فرصة شراء
تنبيه إشارة البيع: يُعلمك عند ظهور فرصة بيع
لتفعيل التنبيهات:
انقر على "إنشاء تنبيه" في TradingView
اختر "Multi-Timeframe Smart Analysis"
اختر "Buy Signal" أو "Sell Signal"
اضبط تفضيلات الإشعارات
💡 نصائح احترافية
تداول التقاء: انتظر الإشارات التي تتماشى مع مستويات الدعم والمقاومة الرئيسية
تداول الاتجاه: في الاتجاهات القوية، أعط الأولوية للإشارات في اتجاه الترند
مداخل الإطار الزمني المتعدد: استخدم HTF للتحيز، إطار زمني أقل للدخول الدقيق
أرباح جزئية: احفظ دائماً بعض الربح عند T1
وقف خسارة متحرك: حرك وقف الخسارة إلى التعادل بعد الوصول إلى T1
⚠️ إخلاء مسؤولية المخاطر
تداول العملات الرقمية والفوركس وغيرها من الأدوات المالية ينطوي على مخاطر كبيرة للخسارة وليس مناسباً لجميع المستثمرين. الأداء السابق لا يشير إلى النتائج المستقبلية. يوفر المؤشر التحليل الفني فقط ولا ينبغي اعتباره نصيحة مالية. أنت المسؤول الوحيد عن قرارات التداول الخاصة بك. قم دائماً بإجراء بحثك الخاص وفكر في استشارة مستشار مالي مرخص.
📞 الدعم والتحديثات
للأسئلة أو الاقتراحات أو الإبلاغ عن الأخطاء، يرجى التواصل عبر رسائل TradingView.
الإصدار: 1.0
المطور: Abusuhil
آخر تحديث: ديسمبر 2024
Alt Trading: TX Price Action
The Alt Trading: TX Price Action Indicator is a multi-layered market-structure and liquidity engine built for intraday and swing traders who want a clean, rules-based map of how price is actually moving through liquidity. It runs a fractal-based swing engine in the background to define objective structure, then derives Break-of-Structure (BOS) legs, inducement sweeps, and execution zones from that single model so nothing on the chart is contradictory or “bolted on.” Asian-session profiling builds a dynamic liquidity range that anchors the QuickStrikes filter, allowing you to require BOS and/or entry zones to sit in specific relation to session highs/lows before a setup is even allowed to print. Displacement legs are converted into Fibonacci- and POI-based retracement zones with configurable frequency (High/Medium/Low), automatically projecting forward in time with transparent, non-intrusive boxes for both long and short scenarios. A tiered inducement engine tracks minor (current day), medium (previous day), and major (weekly) highs and lows, promoting levels to permanent lines once they’ve been meaningfully swept, and labeling them directly on the chart for instant context. As sweeps form and BOS confirms, the indicator constructs entry zones, optional risk/reward panels, and live-updating TP/SL visualization boxes that track active long or short scenarios until completion. All elements—zones, BOS lines, inducement levels, fractal structure, arrows, and risk blocks—are fully style-able so the tool can be tuned to any chart theme without losing clarity. TX Price Action doesn’t attempt to “predict” price; instead, it translates complex liquidity behavior into a consistent, visual playbook that makes it easier to systematize premium/discount entries and manage trades with discipline.
Global Liquidity Index LITEGlobal Liquidity Index (GLI LITE) is an indicator that measures global liquidity by combining the balance sheets of major central banks (FED, ECB, PBOC, BOJ) and the M2 money supply of the world’s largest economies (USA, Europe, China, Japan).
Since liquidity directly influences the price of risk assets (BTC, NASDAQ, SPX, etc.), GLI is one of the most important macro signals for identifying market bull/bear regimes.
What the indicator shows:
GLI momentum line (green = liquidity expansion, orange = contraction)
Fast & Slow MA lines that define the liquidity trend
Bull/Bear background coloring
Green → global liquidity is expanding
Red → liquidity is tightening
Correlation between GLI and the asset price (e.g., BTC)
Macro trend panel (Bull / Bear / Neutral)
How to use the indicator:
Bull regime (Fast MA > Slow MA)
Liquidity is expanding and the market has a natural tailwind. Risk assets tend to perform better.
Bear regime (Fast MA < Slow MA)
Liquidity is tightening — higher risk, increased volatility, and more downside pressure.
GLI ↔ Price Correlation
If correlation is high (e.g., > 0.6), GLI can be an excellent leading indicator for price movement.
Alt Trading: TX ORB Sniper
The Alt Trading: TX ORB Sniper indicator is a precision-engineered opening range breakout system built for serious intraday futures and CFD traders who demand clean, rule-based execution around the cash open. It dynamically constructs a New York session opening range using 1-minute data, then projects that structure onto higher timeframes to identify only the most decisive breakouts above or below the range. Multiple ORB modes (V1–V4) adjust the exact timing and risk model, including a reduced-risk V4 variant with compressed stop placement for more aggressive scalping conditions. A two-stage signal flow distinguishes between “get ready” crosses on the chart timeframe and confirmed entries on the target timeframe, ensuring that traders can anticipate, then verify, each breakout with confidence. Once a valid long or short is triggered, TX ORB Sniper automatically draws evolving risk/reward boxes that extend in real time, locking in entry, stop, and target levels and visually snapping them to the exact bar where the trade concludes. Integrated money management logic computes position sizing from fixed dollar risk, risk-percent, or fixed lot modes, capping maximum size to prevent over-leveraging during volatile sessions. All visual elements gold “ready” candles, range cross lines, and R/R zones are optimized for replay, so historical trades remain crystal clear when studying performance. With its disciplined one-and-done session logic, time-bounded trading window, and robust alert system for both preparation and entry, TX ORB Sniper delivers a complete, exchange-grade framework for systematic opening range breakout execution.
Alt Trading: Mike's ORB Signal Pro
The Alt Trading: Mike's ORB Signal Pro indicator is a professional opening-range breakout system engineered for precision intraday trading on futures and CFD markets. It dynamically calculates the first 15-minute range (9:30–9:45 AM New York time) using 1-minute granularity, then monitors for clean breakout triggers when price closes decisively above or below these critical levels. The system allows only one long and one short setup per session, ensuring disciplined trade selection and eliminating overtrading. Once a valid breakout occurs, the indicator automatically generates visual risk/reward boxes that extend in real time, displaying entry, stop-loss, and take-profit zones with surgical clarity. Integrated money management logic calculates position size dynamically based on account balance, risk per trade, and stop distance, with support for both MNQ futures ($2/point) and CFD contracts with custom point values. The system caps position size to prevent over-leveraging and displays all critical metrics including raw and rounded contract size, risk percentage, and stop distance in a clean top-right table for instant decision-making. Trades automatically close when price hits the target, stop, or session end (4:00 PM by default), snapping all visual elements to the final bar for historical clarity. Optional session-level lines (CDH, CDL, PDH, PDL) provide additional context for confluence-based entries. With fully customizable styling for risk/reward zones, labels, ORB lines, and watermark branding, this indicator delivers a complete, exchange-grade framework for disciplined breakout trading with transparent risk modeling and real-time visual feedback.
Daily 9 SMA S/R with Std DevThis indicator plots the Daily 9 Simple Moving Average as dynamic support/resistance on any timeframe, with standard deviation bands to measure trend strength and identify overextended price action.
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HOW IT WORKS
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The Daily 9 SMA acts as a key level institutions watch. When price is above it, bullish bias. Below it, bearish bias. Simple.
Standard deviation bands show you:
- 1 StdDev = Strong trend territory
- 2 StdDev = Extreme/overextended - potential reversal zone
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FEATURES
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- Daily 9 SMA plotted on any timeframe
- 1 & 2 Standard Deviation bands
- Trend strength scoring (-3 to +3)
- Info table showing current values and trend status
- Visual signals for MA reclaims, losses, and trend entries
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ALERTS
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- Price Reclaims Daily 9 SMA
- Price Loses Daily 9 SMA
- Enter Strong Bullish Zone (>1 StdDev)
- Enter Strong Bearish Zone (<1 StdDev)
- Extreme Extension Alerts (2 StdDev)
- Bounce/Rejection at MA
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HOW TO USE
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1. Use on lower timeframes (5m, 15m, 1H) to see Daily levels
2. Look for bounces off the Daily 9 SMA for entries
3. Avoid longs when price loses the MA, avoid shorts when price reclaims
4. Use StdDev bands to gauge when price is overextended
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SETTINGS
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- MA Length - Default 9
- StdDev Multipliers - Default 1.0 and 2.0
- StdDev Lookback - Default 20
- Customizable colors
Works on any market - Forex, Crypto, Stocks, Futures.
Pious 3/8 EMA High-Low + 89 EMA Strategybuy signal when 3emah cross above 8emah, 3emal cross above 8emal,high cross above previous 3 high with volume and vice versa
Annual Lump Sum: Yearly & CompoundedAnnual Lump Sum Investment Analyzer (Yearly vs. Compounded)
Overview
This Pine Script indicator simulates a disciplined "Lump Sum" investing strategy. It calculates the performance of buying a fixed dollar amount (e.g., $10,000) on the very first trading day of every year and holding it indefinitely.
Unlike standard backtesters that only show a total percentage, this tool breaks down performance by "Vintage" (the year of purchase), allowing you to see which specific years contributed most to your wealth.
Key Features
Automated Execution: Automatically detects the first trading bar of every new year to simulate a buy.
Dual-Yield Analysis: The table provides two distinct ways to view returns:
Yearly %: How the market performed specifically during that calendar year (Jan 1 to Dec 31).
Compounded %: The total return of that specific year's investment from the moment it was bought until today.
Live Updates: For the current year, the "End Price" and "Yields" update in real-time with market movements.
Portfolio Summary: Displays your Total Invested Capital vs. Total Current Value at the top of the table.
Table Column Breakdown
The dashboard in the bottom-right corner displays the following:
Year: The vintage year of the investment.
Buy Price: The price of the asset on the first trading day of that year.
End Price: The price on the last trading day of that year (or the current price if the year is still active).
Yearly %: The isolated performance of that specific calendar year. (Green = The market ended the year higher than it started).
Compounded %: The "Diamond Hands" return. This shows how much that specific $10,000 tranche is up (or down) right now relative to the current price.
How to Use
Add the script to your chart.
Crucial: Set your chart timeframe to Daily (D). This ensures the script correctly identifies the first trading day of the year.
Open the Settings (Inputs) to adjust:
Annual Investment Amount: Default is $10,000.
Table Size: Adjust text size (Tiny, Small, Normal, Large).
Max Rows: Limit how many historical years are shown to keep the chart clean.
Use Case
This tool is perfect for investors who want to visualize the power of long-term holding. It allows you to see that even if a specific year had a bad "Yearly Yield" (e.g., buying in 2008), the "Compounded Yield" might still be massive today due to time in the market.
Dynamic TP Based on RR - Position ToolSimple indicator that automatically plots the take-profit (TP) level based on the below inputs:
- Entry price
- Stop-loss (SL)
- Risk-to-reward (RR)
The long/short-position drawing tools are simple enough to use, but wanted something that will automatically plot the TP instead. Couldn't find anything basic and free of extra features so built this instead.
This is how I use it.
1 (optional): Use the long/short-position drawing tool to plot the entry and stop-loss levels
2: Enable the indicator and enter the inputs
- Entry
- SL
- RR
3: The TP will automatically plot. Change the RR to your liking.
12M Return Strategy This strategy is based on the original Dual Momentum concept presented by Gary Antonacci in his book “Dual Momentum Investing.”
It implements the absolute momentum portion of the framework using a 12-month rate of change, combined with a moving-average filter for trend confirmation.
The script automatically adapts the lookback period depending on chart timeframe, ensuring the return calculation always represents approximately one year, whether you are on daily, weekly, or monthly charts.
How the Strategy Works
1. 12-Month Return Calculation
The core signal is the 12-month price return, computed as:
(Current Price ÷ Price from ~1 year ago) − 1
This return:
Plots as a histogram
Turns green when positive
Turns red when negative
The lookback adjusts automatically:
1D chart → 252 bars
1W chart → 52 bars
1M chart → 12 bars
Other timeframes → estimated to approximate 1 calendar year
2. Trend Filter (Moving Average of Return)
To smooth volatility and avoid noise, the strategy applies a moving average to the 12M return:
Default length: 12 periods
Plotted as a white line on the indicator panel
This becomes the benchmark used for crossovers.
3. Trade Signals (Long / Short / Cash)
Trades are generated using a simple crossover mechanism:
Bullish Signal (Go Long)
When:
12M Return crosses ABOVE its MA
Action:
Close short (if any)
Enter long
Bearish Signal (Go Short or Go Flat)
When:
12M Return crosses BELOW its MA
Action:
If shorting is enabled → Enter short
If shorting is disabled → Exit position and go to cash
Shorting can be enabled or disabled with a single input switch.
4. Position Sizing
The strategy uses:
Percent of Equity position sizing
You can specify the percentage of your portfolio to allocate (default 100%).
No leverage is required, but the strategy supports it if your account settings allow.
5. Visual Signals
To improve clarity, the strategy marks signals directly on the indicator panel:
Green Up Arrows: return > MA
Red Down Arrows: return < MA
A status label shows the current mode:
LONG
SHORT
CASH
6. Backtest-Ready
This script is built as a full TradingView strategy, not just an indicator.
This means you can:
Run complete backtests
View performance metrics
Compare long-only vs long/short behavior
Adjust inputs to tune the system
It provides a clean, rule-driven interpretation of the classic absolute momentum approach.
Inspired By: Gary Antonacci – Dual Momentum Investing
This script reflects the absolute momentum side of Antonacci’s original research:
Uses 12-month momentum (the most statistically validated lookback)
Applies a trend-following overlay to control downside risk
Recreates the classic signal structure used in academic studies
It is a simplified, transparent version intended for practical use and educational clarity.
Disclaimer
This script is for educational and research purposes only.
Historical performance does not guarantee future results.
Always use proper risk management.
Daily Dollar Cost Averaging (DCA) Simulator & Yearly PerformanceThis indicator simulates a "Daily Dollar Cost Averaging" strategy directly on your chart. Unlike standard backtesters that trade based on signals, this script calculates the performance of a portfolio where a fixed dollar amount is invested every single day, regardless of price action.
Key Features:
Daily Accumulation: Simulates buying a specific dollar amount (e.g., $10) at the market close every day.
Yearly Breakdown Table: A detailed dashboard displayed on the chart that breaks down performance by year. It tracks total invested, average entry price, total holdings, current value, and PnL percentage for each individual year.
Global Stats: The bottom row of the table summarizes the total performance of the entire strategy since the start date.
Breakeven Line: Plots a yellow line on the chart representing your "Global Average Price." When the current price is above this line, the total strategy is in profit.
How to Use:
Add to chart (Works best on the Daily (D) timeframe).
Open settings to adjust your Daily Investment Amount and Start Year.
The table will automatically update to show how a daily investment strategy would have performed over time.
Day Range with OHLC LabelsThis indicator creates a synthetic daily candlestick that appears to the right of the chart, visually separated from real price bars.
It helps traders quickly view each day’s High, Low, Open, and Close without zooming, scrolling, or switching to higher timeframes.
What This Tool Does
✔ Draws a floating daily candle to the right of the current chart
✔ Displays the true Daily Open, High, Low, and Close
✔ Shows a center-aligned wick representing the full high-low range
✔ Shows a box-style candle body positioned using real OHLC values
✔ Labels the values (O, H, L, C) with large, clear fonts
✔ Automatically updates at each new day
✔ Works on any timeframe
✔ Helps intraday traders track daily structure visually
Why This Indicator Is Useful
This script is ideal for intraday traders who want instant awareness of the current day’s range.
Instead of guessing or drawing manual lines, you get a clean daily candlestick rendered off to the right side, avoiding chart clutter.
Great for:
Range traders
Breakout traders
Liquidity zone analysis
High/Low reference tracking
Traders who prefer non-intrusive visuals
Customization
Adjustable offset: position the candle further right
Configurable colors for wick + body
Large-font labels for easy reading
Automatically clears and redraws cleanly each day
Summary
This tool creates a clear, minimalistic, right-side daily candlestick complete with OHLC labels and centralized wick.
It’s designed to improve chart clarity and support quick decision-making without blocking price candles.
Smart Money Scanner Suite v6 - OptimizedWHAT IT DOES (longer version in the script):
// Identifies "Smart Money Stepping Back" (SMSB) zones where institutions quietly
// build positions without moving the market. Signals appear when ALL 4 conditions align:
//
// 1. OBV DIVERGENCE → Price up/OBV down (distribution) or Price down/OBV up (accumulation)
// 2. LOW VOLUME → Below 1.5x average (stealth activity)
// 3. NEAR VWAP → Within 0.5% (institutional fair value)
// 4. HTF CONFIRMATION → Higher timeframe shows directional momentum
Bayesian Liquidity Pain & Gain [Instit. Vol Weighted]Bayesian Liquidity Pain & Gain Indicator
Stop guessing where support and resistance are.
The Bayesian Liquidity Pain & Gain indicator moves beyond arbitrary lines and raw price action. It quantifies Institutional Intent by calculating the exact price levels where large volume has been accumulated and visualizes the "Pain" (stress) those participants feel when the market moves against them.
The Logic: Quantified Institutional Stress
Institutions don't trade single candles; they accumulate positions over time. This indicator tracks their Volume-Weighted Average Cost Basis to answer two critical questions:
Where did they enter? (The Cost Basis Lines)
Are they underwater? (The Pain Clouds)
By normalizing price distance using volatility (ATR) and statistical deviation (Z-Score), we filter out noise and only highlight zones where "Smart Money" is statistically forced to defend their positions or capitulate.
How to Read the Chart
1. The Cost Basis Lines (Anchors)
• 🟢 Green Line (Buyer Cost Basis): The average price where institutions accumulated long positions. This acts as dynamic Support.
• 🔴 Red Line (Seller Cost Basis): The average price where institutions accumulated short positions. This acts as dynamic Resistance.
2. The Pain Clouds (Signals)
When price moves significantly away from the cost basis (Z-Score > 2.0), "Clouds" appear to visualize the PnL status of the participants:
• 🔴 Red Cloud (Buyer Pain): Price is below the buyer's entry. Buyers are losing money (in the red). This creates a "Discount" zone where they may defend support.
• 🟢 Green Cloud (Seller Pain): Price is above the seller's entry. Sellers are losing money (shorts are squeezed). This indicates strong bullish momentum.
3. The Multi-Timeframe Dashboard
A real-time HUD showing the Z-Score status across 4 timeframes (1m, 5m, 15m, 1h):
• 🟢 Green: Profitable/Neutral (Trend Continuation)
• 🟠 Orange: Warning (Pressure Building)
• 🔴 Red: Critical Pain (High Probability Reversal)
Trading Strategies
Setup 1: The Defensive Bounce (Long)
• Context: Price drops into a 🔴 Red Cloud (Buyer Pain).
• Trigger: Price touches the 🟢 Green Line (Buyer Cost Basis) and shows a rejection wick.
• Logic: Institutional buyers defend their cost basis to avoid realizing losses.
Setup 2: The Short Squeeze (Momentum)
• Context: Price rallies into a 🟢 Green Cloud (Seller Pain).
• Trigger: Price holds above the 🔴 Red Line (Seller Cost Basis).
• Logic: Short sellers are trapped and forced to buy back (cover), fueling the rally.
Fractal Alignment:
For high-conviction trades, wait for the Dashboard to show "Pain" signals on both the 1h (Anchor) and 5m (Trigger) timeframes simultaneously.
Settings
• Memory Length (Default 144): The lookback period for the institutional cost basis. Increase for swing trading, decrease for scalping.
• Sigma Threshold (Default 2.0): The statistical confidence level for "Pain". Higher values = fewer, stronger signals.
• Volume Amp: When enabled, high volume amplifies the pain signal, giving more weight to institutional footprints.
RRG Style RS & Momentum (vs Benchmark) by AKM
## What this indicator does
This indicator is an **RRG‑style Relative Strength & Momentum tool**.
It compares the current symbol to a chosen benchmark (e.g. NIFTY / NIFTY 500) and plots:
- **RS‑Ratio**: Out/under‑performance of the symbol vs the benchmark, normalized around 100.
- **RS‑Momentum**: Momentum of that relative strength, also normalized around 100.
- **RS‑Signal**: A smoothed signal line of RS‑Ratio (EMA of RS‑Ratio).
Using these two axes (RS‑Ratio and RS‑Momentum), each bar is classified into one of four **RRG‑style quadrants**:
- **LEADING** – RS‑Ratio > 100 and RS‑Momentum > 100
- **WEAKENING** – RS‑Ratio > 100 and RS‑Momentum < 100
- **LAGGING** – RS‑Ratio < 100 and RS‑Momentum < 100
- **IMPROVING** – RS‑Ratio < 100 and RS‑Momentum > 100
The chart background is color‑coded by quadrant, and a label on the center (100) line shows the current zone name (LEADING / WEAKENING / LAGGING / IMPROVING) in real time.
> **Concept credit:**
> The conceptual framework of “Relative Strength vs Momentum” in four quadrants (Leading, Weakening, Lagging, Improving) is inspired by **Relative Rotation Graphs® (RRG®)**, created by **Julius de Kempenaer** and commercialized through RRG Research and platforms like Bloomberg, StockCharts, Optuma, etc.
> This script is only an RRG‑inspired *1‑symbol vs benchmark* implementation inside Pine, not an official RRG product.
***
## Inputs
- **Benchmark symbol**:
Default `NSE:NIFTY`. You can set `NSE:NIFTY500`, `NSE:BANKNIFTY`, sector indices, etc.
- **RS base length (`rsLen`)**:
EMA length for smoothing the raw price ratio (symbol / benchmark). Lower = more sensitive, higher = smoother.
- **Smoothing length (`smoothLen`)**:
Secondary smoothing for RS‑Ratio. Default 14.
- **Signal length (`signalLen`)**:
EMA length for the RS‑Signal line (EMA of RS‑Ratio).
- **Momentum length (`momLen`)**:
Lookback for optional ROC‑based momentum.
- **Use ROC‑based momentum**:
If `false` (default): RS‑Momentum is computed as RS‑Ratio / EMA(RS‑Ratio) × 100 (ratio‑style).
If `true`: RS‑Momentum uses ROC(RS‑Ratio, momLen) + 100 (ROC‑style).
- **Show quadrant background**:
Toggles colored background by quadrant.
- **Show zone name on background**:
Shows a label on the 100‑line with the current quadrant name.
***
## How to read it
There is a horizontal center line at **100**:
- **RS‑Ratio > 100** → symbol is outperforming the benchmark.
- **RS‑Ratio < 100** → symbol is underperforming the benchmark.
- **RS‑Momentum > 100** → relative strength is improving (momentum picking up).
- **RS‑Momentum < 100** → relative strength is fading.
The four zones behave similar to classic RRG quadrants:
- **LEADING (lime/green background)**
- RS‑Ratio > 100 and RS‑Momentum > 100.
- Symbol is **stronger than the benchmark and momentum is strong**.
- This is where leadership typically resides.
- **WEAKENING (orange background)**
- RS‑Ratio > 100 and RS‑Momentum < 100.
- Still outperforming, but momentum is rolling over.
- Late‑stage leadership / time to be more selective and manage exits.
- **LAGGING (red background)**
- RS‑Ratio < 100 and RS‑Momentum < 100.
- Underperforming with weak momentum.
- Worst zone for aggressive longs.
- **IMPROVING (green background)**
- RS‑Ratio < 100 and RS‑Momentum > 100.
- Still weaker than benchmark, but momentum is improving.
- Early turnaround zone where future leaders often start.
The **white RS‑Signal line** is just a smoother of RS‑Ratio, helpful to visually see RS trend and crossovers.
***
## Practical trading use (RRG‑style workflow)
This indicator is designed as a **selection and context filter**, not a stand‑alone entry/exit system.
### 1. Sector and stock selection
1. Apply it to **sector indices** vs a broad benchmark (e.g., Nifty IT vs NIFTY 500, Nifty Auto vs NIFTY 500).
2. Focus on sectors where:
- The zone label is **IMPROVING → LEADING** over recent bars.
- RS‑Ratio is rising and staying above 100 in LEADING.
3. Then, on individual stocks inside those strong sectors, use the same benchmark and indicator:
- Prefer stocks that are also in **LEADING** (or just moved from **IMPROVING** into **LEADING**).
This recreates the essence of using RRG to find sectors/stocks with strong relative strength and momentum.
### 2. Combining with your price setup
Once a stock/sector passes the RS filter:
- Use your own price‑action / indicator rules for entries (EMA trends, VWAP pullbacks, breakouts, etc.).
- Example for longs:
- Only take long setups when:
- Sector index AND stock are in **LEADING** or newly from **IMPROVING → LEADING**, and
- Price is in an uptrend on your main chart (e.g., above 20/50 EMA, higher highs and higher lows).
### 3. Managing exits and rotation
- When a held symbol shifts from **LEADING → WEAKENING → LAGGING** and RS‑Momentum stays < 100, consider:
- Tightening stops.
- Partially booking profits.
- Rotating into other names still in LEADING / IMPROVING.
This mirrors how many investors use “sector rotation” and RRG to stay in stronger groups and reduce exposure in weakening ones.
***
## Disclaimers
- This script is for **educational and analytical purposes only** and is **not financial advice or a recommendation** to buy/sell any security.
- **Relative Rotation Graphs® / RRG®** and the four‑quadrant concept belong to **Julius de Kempenaer and RRG Research**; this Pine implementation is an independent, simplified adaptation for one symbol vs a benchmark and is **not an official RRG product or library**.
ADR Bottom-Right TABLE DashboardTitle: ADR Bottom-Right Dashboard
Version: 1.0
Author:
Description:
The ADR Bottom-Right Dashboard displays the Average Daily Range (ADR) and related metrics directly on your chart in a compact, easy-to-read table. It helps traders quickly see how much a stock has moved today relative to its normal daily range and identify potential overextended or trending moves.
This tool is ideal for swing traders, day traders, and scalpers who want a real-time, visual indication of volatility and intraday movement.
Features
ADR (Average Daily Range): Shows the average high-to-low movement over a customizable period (default 20 days).
ADR%: ADR as a percentage of the stock price, showing relative volatility.
Today: The current intraday range (high–low).
%ADR: How much of the ADR has already been reached today. Color-coded to indicate low, medium, or high extension.
Color coding: %ADR highlights:
Green: <50% (early-day / low volatility)
Yellow: 50–100% (normal movement)
Red: >100% (extended move / potential exhaustion)
Inputs
Input Description Default
ADR Period Number of days to calculate the ADR 20
Low %ADR Color Color for %ADR <50% Green
Medium %ADR Color Color for %ADR 50–100% Yellow
High %ADR Color Color for %ADR >100% Red
TCT - Daylight Saving TimeVisualize Daylight Saving Time (DST) transitions on your charts. This indicator marks the spring forward (2nd Sunday of March) and fall back (1st Sunday of November) dates with vertical lines and optional labels.
Features:
Automatic DST detection for US time zones
Customizable line color, width, and style (solid, dashed, dotted)
Optional date labels on transition days
Multiple timezone support: US Eastern, Central, Mountain, Pacific, London, Paris, Tokyo, Sydney
Extends lines across the chart
Memory-efficient (manages up to 100 lines/labels)
Use Cases:
Identify potential market behavior shifts around DST transitions
Track time changes that may affect trading sessions
Plan trades around known time adjustments
Historical analysis of DST impact on price action
Perfect for traders who want to see when clocks change and how it might affect market dynamics. Customize the appearance to match your chart style.
Obsidian Flux Matrix# Obsidian Flux Matrix | JackOfAllTrades
Made with my Senior Level AI Pine Script v6 coding bot for the community!
Narrative Overview
Obsidian Flux Matrix (OFM) is an open-source Pine Script v6 study that fuses social sentiment, higher timeframe trend bias, fair-value-gap detection, liquidity raids, VWAP gravitation, session profiling, and a diagnostic HUD. The layout keeps the obsidian palette so critical overlays stay readable without overwhelming a price chart.
Purpose & Scope
OFM focuses on actionable structure rather than marketing claims. It documents every driver that powers its confluence engine so reviewers understand what triggers each visual.
Core Analytical Pillars
1. Social Pulse Engine
Sentiment Webhook Feed: Accepts normalized scores (-1 to +1). Signals only arm when the EMA-smoothed value exceeds the `sentimentMin` input (0.35 by default).
Volume Confirmation: Requires local volume > 30-bar average × `volSpikeMult` (default 2.0) before sentiment flags.
EMA Cross Validation: Fast EMA 8 crossing above/below slow EMA 21 keeps momentum aligned with flow.
Momentum Alignment: Multi-timeframe momentum composite must agree (positive for longs, negative for shorts).
2. Peer Momentum Heatmap
Multi-Timeframe Blend: RSI + Stoch RSI fetched via request.security() on 1H/4H/1D by default.
Composite Scoring: Each timeframe votes +1/-1/0; totals are clamped between -3 and +3.
Intraday Readability: Configurable band thickness (1-5) so scalpers see context without losing space.
Dynamic Opacity: Stronger agreement boosts column opacity for quick bias checks.
3. Trend & Displacement Framework
Dual EMA Ribbon: Cyan/magenta ribbon highlights immediate posture.
HTF Bias: A higher-timeframe EMA (default 55 on 4H) sets macro direction.
Displacement Score: Body-to-ATR ratio (>1.4 default) detects impulses that seed FVGs or VWAP raids.
ATR Normalization: All thresholds float with volatility so the study adapts to assets and regimes.
4. Intelligent Fair Value Gap (FVG) System
Gap Detection: Three-candle logic (bullish: low > high ; bearish: high < low ) with ATR-sized minimums (0.15 × ATR default).
Overlap Prevention: Price-range checks stop redundant boxes.
Spacing Control: `fvgMinSpacing` (default 5) avoids stacking from the same impulse.
Storage Caps: Max three FVGs per side unless the user widens the limit.
Session Awareness: Kill zone filters keep taps focused on London/NY if desired.
Auto Cleanup: Boxes delete when price closes beyond their invalidation level.
5. VWAP Magnet + Liquidity Raid Engine
Session or Rolling VWAP: Toggle resets to match intraday or rolling preferences.
Equal High/Low Scanner: Looks back 20 bars by default for liquidity pools.
Displacement Filter: ATR multiplier ensures raids represent genuine liquidity sweeps.
Mean Reversion Focus: Signals fire when price displaces back toward VWAP following a raid.
6. Session Range Breakout System
Initial Balance Tracking: First N bars (15 default) define the session box.
Breakout Logic: Requires simultaneous liquidity spikes, nearby FVG activity, and supportive momentum.
Z-Score Volume Filter: >1.5σ by default to filter noisy moves.
7. Lifestyle Liquidity Scanner
Volume Z-Scores: 50-bar baseline highlights statistically significant spikes.
Smart Money Footprints: Bottom-of-chart squares color-code buy vs sell participation.
Panel Memory: HUD logs the last five raid timestamps, direction, and normalized size.
8. Risk Matrix & Diagnostic HUD
HUD Structure: Table in the top-right summarizes HTF bias, sentiment, momentum, range state, liquidity memory, and current risk references.
Signal Tags: Aggregates SPS, FVG, VWAP, Range, and Liquidity states into a compact string.
Risk Metrics: Swing-based stops (5-bar lookback) + ATR targets (1.5× default) keep risk transparent.
Signal Families & Alerts
Social Pulse (SPS): Volume-confirmed sentiment alignment; triangle markers with “SPS”.
Kill-Zone FVG: Session + HTF alignment + FVG tap; arrow markers plus SL/TP labels.
Local FVG: Captures local reversals when HTF bias has not flipped yet.
VWAP Raid: Equal-high/low raids that snap toward VWAP; “VWAP” label markers.
Range Breakout: Initial balance violations with liquidity and imbalance confirmation; circle markers.
Liquidity Spike: Z-score spikes ≥ threshold; square markers along the baseline.
Visual Design & Customization
Theme Palette: Primary background RGB (12,6,24). Accent shading RGB (26,10,48). Long accents RGB (88,174,255). Short accents RGB (219,109,255).
Stylized Candles: Optional overlay using theme colors.
Signal Toggles: Independently enable markers, heatmap, and diagnostics.
Label Spacing: Auto-spacing enforces ≥4-bar gaps to prevent text overlap.
Customization & Workflow Notes
Adjust ATR/FVG thresholds when volatility shifts.
Re-anchor sentiment to your webhook cadence; EMA smoothing (default 5) dampens noise.
Reposition the HUD by editing the `table.new` coordinates.
Use multiples of the chart timeframe for HTF requests to minimize load.
Session inputs accept exchange-local time; align them to your market.
Performance & Compliance
Pure Pine v6: Single-line statements, no `lookahead_on`.
Resource Safe: Arrays trimmed, boxes limited, `request.security` cached.
Repaint Awareness: Signals confirm on close; alerts mirror on-chart logic.
Runtime Safety: Arrays/loops guard against `na`.
Use Cases
Measure when social sentiment aligns with structure.
Plan ICT-style intraday rebalances around session-specific FVG taps.
Fade VWAP raids when displacement shows exhaustion.
Watch initial balance breaks backed by statistical volume.
Keep risk/target references anchored in ATR logic.
Signal Logic Snapshot
Social Pulse Long/Short: `sentimentEMA` gated by `sentimentMin`, `volSpike`, EMA 8/21 cross, and `momoComposite` sign agreement. Keeps hype tied to structural follow-through.
Kill-Zone FVG Long/Short: Requires session filter, HTF EMA bias alignment, and an active FVG tap (`bullFvgTap` / `bearFvgTap`). Labels include swing stops + ATR targets pulled from `swingLookback` and `liqTargetMultiple`.
Local FVG Long/Short: Uses `localBullish` / `localBearish` heuristics (EMA slope, displacement, sequential closes) to surface intraday reversals even when HTF bias has not flipped.
VWAP Raids: Detect equal-high/equal-low sweeps (`raidHigh`, `raidLow`) that revert toward `sessionVwap` or rolling VWAP when displacement exceeds `vwapAlertDisplace`.
Range Breakouts: Combine `rangeComplete`, breakout confirmation, liquidity spikes, and nearby FVG activity for statistically backed initial balance breaks.
Liquidity Spikes: Volume Z-score > `zScoreThreshold` logs direction, size, and timestamp for the HUD and optional review workflows.
Session Logic & VWAP Handling
Kill zone + NY session inputs use TradingView’s session strings; `f_inSession()` drives both visual shading and whether FVG taps are tradeable when `killZoneOnly` is true.
Session VWAP resets using cumulative price × volume sums that restart when the daily timestamp changes; rolling VWAP falls back to `ta.vwap(hlc3)` for instruments where daily resets are less relevant.
Initial balance box (`rangeBars` input) locks once complete, extends forward, and stays on chart to contextualize later liquidity raids or breakouts.
Parameter Reference
Trend: `emaFastLen`, `emaSlowLen`, `htfResolution`, `htfEmaLen`, `showEmaRibbon`, `showHtfBiasLine`.
Momentum: `tf1`, `tf2`, `tf3`, `rsiLen`, `stochLen`, `stochSmooth`, `heatmapHeight`.
Volume/Liquidity: `volLookback`, `volSpikeMult`, `zScoreLen`, `zScoreThreshold`, `equalLookback`.
VWAP & Sessions: `vwapMode`, `showVwapLine`, `vwapAlertDisplace`, `killSession`, `nySession`, `showSessionShade`, `rangeBars`.
FVG/Risk: `fvgMinTicks`, `fvgLookback`, `fvgMinSpacing`, `killZoneOnly`, `liqTargetMultiple`, `swingLookback`.
Visualization Toggles: `showSignalMarkers`, `showHeatmapBand`, `showInfoPanel`, `showStylizedCandles`.
Workflow Recipes
Kill-Zone Continuation: During the defined kill session, look for `killFvgLong` or `killFvgShort` arrows that line up with `sentimentValid` and positive `momoComposite`. Use the HUD’s risk readout to confirm SL/TP distances before entering.
VWAP Raid Fade: Outside kill zone, track `raidToVwapLong/Short`. Confirm the candle body exceeds the displacement multiplier, and price crosses back toward VWAP before considering reversions.
Range Break Monitor: After the initial balance locks, mark `rangeBreakLong/Short` circles only when the momentum band is >0 or <0 respectively and a fresh FVG box sits near price.
Liquidity Spike Review: When the HUD shows “Liquidity” timestamps, hover the plotted squares at chart bottom to see whether spikes were buy/sell oriented and if local FVGs formed immediately after.
Metadata
Author: officialjackofalltrades
Platform: TradingView (Pine Script v6)
Category: Sentiment + Liquidity Intelligence
Hope you Enjoy!
Finlu Momentum PRO What it does
Finlu Momentum PRO analyzes real price momentum and shows when the market is entering or leaving extreme zones, highlighting potential reversals or continuations with confirmation. It plots clean visual signals and can trigger real-time alerts.
Who it’s for
Traders who want to improve their entry and exit timing while avoiding the noise of traditional oscillators.
Recommended timeframes
15 min, 1 h, 4 h
Markets
Forex, indices, gold and cryptocurrencies.
Includes
Invite-only indicator: Finlu Momentum PRO
10-minute quick-start video guide
Risk management template
How to get access
Purchase access on the official page: finlutrading.systeme.io and enter your exact TradingView username at checkout.
Alternatively, you can send me a DM on Instagram @finlu_trading with the message “Finlu Momentum PRO access” to get the instructions.
Notes
Educational use only. Single-user license. Source code is not disclosed. Redistribution or reselling is strictly prohibited.
FCPO MASTER v6 – Sideway + Breakout + OB + FVG (TUPLE SAFE)TL;DR cepat
1. Gunakan M5 untuk entry & OB/FVG confirmation.
2. Gunakan M15 untuk confirm trend/false breakout.
3. Gunakan H1 untuk bias arah (overall market).
4. Entry hanya bila signal + OB/FVG/candle rejection (script buatkan).
5. SL 5–8 tick, TP 10–25 tick ikut setup (sideway vs breakout).
6. Follow checklist setiap trade — jangan lompat.
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Setup awal (1–2 min)
1. Pasang script FCPO Sideway MASTER – OB + Imbalance + Confirmation di TradingView.
2. Timeframes: buka M5, M15, H1 (susun 3 chart atau 1 chart multi-timeframe).
3. Input default: ATR14, Breakout Buffer 5 tick, RangeLen 20, ADX14, TP12, SL8. (Kau boleh tweak nanti).
4. Aktifkan alerts pada BUY Confirm / SELL Confirm / Sideway Buy / Sideway Sell.
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Step-by-step trading process
1) Mulakan dengan H1 — tentukan bias HTF
• Lihat H1 untuk jawapan: Trend Up / Down / Sideway.
• Rule ringkas:
o ADX H1 > 20 + price above H1 EMA → bias Bull
o ADX H1 > 20 + price below H1 EMA → bias Bear
o ADX H1 < 20 → market HTF sideway (no strong bias)
Kenapa: H1 bagi kau idea “kalau breakout pada M5, patut follow atau tolak”.
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2) Pergi ke M15 — confirm trend & valid breakout
• M15 kena setuju dengan idea breakout.
o Untuk strong breakout: M15 kena tunjuk candle close di atas/bawah range + volume naik.
o Kalau M5 breakout tapi M15 tak setuju (M15 masih sideway) → treat as fakeout. Jangan masuk.
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3) M5 — cari entry & confirmation (OB/FVG + candle)
• M5 adalah tempat kau buat keputusan masuk.
• Tunggu script keluarkan Sideway Buy/Sell atau Breakout Buy/Sell.
• CONFIRM entry mesti ada sekurang-kurangnya 1 dari:
o Bull/Bear Order Block searah signal (script detect).
o FVG / Imbalance zone dipenuhi & price retest.
o Candle rejection (pinbar / bearish/bullish engulfing) pada zone.
Jika tiada confirmation → no trade.
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4) Checklist sebelum tekan Buy/Sell (MUST)
• H1 bias tidak melawan trade (prefer sama arah).
• M15 confirm breakout / trend or neutral.
• Script keluarkan signal (sideway or breakout).
• OB or FVG atau candle rejection ada.
• ATR kenaikan jika breakout (untuk breakout trade).
• Volume spike jika breakout.
• Risk:SL <= 2% akaun (position sizing).
Kalau semua ticked → boleh entry.
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5) Setting SL / TP & position sizing
• Sideway (scalp): SL = 5–8 tick, TP = 8–12 tick.
• Breakout (trend): SL = 8–12 tick, TP = 15–25+ tick (trail later).
• Position sizing: Risk per trade 1–2%.
o Lot size = (Account Risk RM × 1 tick value) / (SL ticks × tickValue) — (kalau kau gunakan fixed tick value, adjust ikut lot).
(Script tunjuk SL & TP label — follow itu.)
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6) Entry types
• A. Sideway Reversal (M5)
o Signal: Sideway Buy / Sideway Sell
o Confirm: OB/FVG or rejection candle at range bottom/top
o Trade: scalp target 8–12 tick, tight SL 5–8 tick
• B. Breakout (M5 entry, M15 confirm)
o Signal: Breakout Buy/Sell (Strong)
o Confirm: ATR expanding + volume spike + M15 alignment
o Trade: trend follow, TP 15–25 tick, trailing stop active
• C. Retest Entry
o Breakout happens, price returns to retest range / OB / FVG → wait for rejection candle then enter. Safer.
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7) Trailing & exit rules
• Jika useTrail = true script plots trailing stop (ATR × multiplier).
• Exit rules:
1. Hit TP → close.
2. Hit SL → close.
3. If trailing stop hit → close.
4. If opposing confirmed signal muncul (e.g., SELL confirm while long) → consider close early.
5. If H1 bias flips strongly vs trade → tighten stop or close.
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8) Multiple signals & scaling
• Never add to losing position (no averaging down).
• If want scale-in on confirmed trend: add 1 partial size after price moves +10–12 tick in favor and shows continuation candle + no bearish OB/FVG.
• Keep aggregated risk within your max (2–3%).
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9) Example trade walkthrough (concrete)
• RangeHigh = 4065, RangeLow = 4035 (contoh).
• Market sideway M5.
Case A — Sideway Sell:
1. Price touches 4064–4065, script shows sidewaySell.
2. Lihat OB: ada bear OB zone di 4062–4066 → confirm.
3. Candle rejection (bearish pinbar) muncul → enter SELL M5.
4. Set SL = 5 tick above rangeHigh = 4070, TP = 10 tick → 4055.
5. Trail jika price turun > 8 tick: aktifkan trailing.
6. Close at TP or trail/SL.
Case B — Breakout Buy:
1. Price closes above 4065 + 5 tick buffer = 4070 on M5. Script shows trueBreakUp.
2. M15 shows candle close above M15 resistance + volume spike → confirm.
3. Enter BUY, SL = 8 tick below entry, TP initial 20 tick, trail with ATR×1.5.
4. Move stop to breakeven after +10 tick, scale out half at +12 tick, leave rest to trail.
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10) Journal & review
• Semua trade: record entry time, TF, reason (which confirmations), SL/TP, result, lesson.
• Weekly review: check which confirmation worked best (OB vs FVG vs candle) and tweak settings.
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11) Tweaks / optimisations cepat
• Jika terlalu banyak false sideway signals → kurangkan touchDist ke 2 tick.
• Kalau fakeout breakout banyak → tambah tickBuf ke 6–8.
• Nak lebih konservatif → cuma trade breakout yang juga setuju M15.
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12) Alerts & execution (practical)
• Pasang alert pada BUY Confirm / SELL Confirm (script).
• Kalau kau guna broker yang support one-click order, siap sediakan template order (SL/TP default).
• Kalau manual, bila alert masuk: buka M5, cepat confirm OB/FVG & candle rejection → entry.
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Quick reference table (handy)
• TF utama entry: M5
• Confirm mid-TF: M15
• Bias HTF: H1
• Sideway SL/TP: SL 5–8, TP 8–12
• Breakout SL/TP: SL 8–12, TP 15–25+
• Mandatory confirmation: (Script signal) + (OB or FVG or candle)






















