ATR% Multiple From 50SMA - 20 PeriodThis is an ATR% Multiple from the 50SMA indicator, but it uses a 20 period input rather than 14 days, like most of the ATR% indicators on here.
Forecasting
(CHOCH & BOS)Section: BOS ALERTS (HH / LL)
This section of the script is responsible for generating alerts based on the “Break of Structure” (BOS) in your market trend. BOS is usually a technical concept in swing trading or order flow analysis, indicating a shift in market structure:
HH (Higher High) → signals an uptrend continuation or bullish structure
LL (Lower Low) → signals a downtrend continuation or bearish structure
✅ In simple terms:
If the chart is showing an uptrend (aqua) and a Higher High is detected → you get a bullish alert.
If the chart is showing a downtrend (red) and a Lower Low is detected → you get a bearish alert.
The alerts are carefully synced with your trend background to reduce false signals.
QSS v15.0 [Omni-Engine]# **QSS v15.0 | Institutional Quant System**
### **💎 The Only Indicator You Will Ever Need**
**QSS (Quantitative Signal System) v15.0** is an all-in-one algorithmic trading engine designed to solve the biggest problem in trading: **fragmentation.** Instead of cluttering your chart with 10 different indicators (RSI, MACD, Bollinger Bands, Order Blocks, SuperTrend, etc.), QSS synthesizes them all into a single, high-probability decision engine.
This is not just a "Buy/Sell" indicator. It is a complete **Institutional Trading Suite** that combines "Smart Money Concepts" (SMC) with quantitative trend analysis and dynamic risk management.
---
### **🚀 Key Features**
#### **1. Dual-Core Signal Engine**
Choose your weapon based on the asset class and volatility:
* **Engine A: SuperTrend (Classic):** The industry standard for capturing major trends. Best for Swing Trading and Stocks.
* **Engine B: OTT (Optimized Trend Tracker):** A faster, volatility-adaptive engine derived from VIDYA (Variable Index Dynamic Average). Best for Crypto and Scalping.
#### **2. Institutional Intelligence (SMC)**
* **Volumized Order Blocks (SMC):** Automatically detects Supply (Red Box) and Demand (Green Box) zones based on pivot volume.
* *Smart Filter:* The system will **BLOCK** Buy signals if price is running straight into a Bearish Order Block (Resistance).
* **Koncorde (Smart Money Flow):** Analyzes PVI (Positive Volume Index) vs. NVI (Negative Volume Index) to track "Sharks" (Institutions) vs. "Minnows" (Retail).
* *Smart Filter:* Signals are only generated if Institutional Money Flow supports the direction.
#### **3. The "Power 3" Confirmation Suite**
Includes optional filters for the classic trinity of technical analysis:
* **MACD:** Ensures momentum alignment.
* **Stochastic:** Prevents buying at overbought peaks.
* **Bollinger Bands:** Ensures trades only occur during volatility expansion (Squeeze breakout).
#### **4. Advanced Noise Filtering**
* **ADX Trend Strength:** Blocks signals during "dead" or choppy markets (ADX < 20).
* **Candle Stability Index:** Ignores "wicky" candles and indecision dojis, preventing fake-outs.
* **Trend Ribbon:** A dual-SMA cloud (21/34) that ensures you are always on the right side of the macro trend.
#### **5. Dynamic Risk Management (R:R)**
* Automatically calculates **Stop Loss** and **Take Profit** targets based on market volatility (ATR).
* **TP1 (1:1):** Secure profit / Move stops to breakeven.
* **TP2 (1:2):** Standard target.
* **TP3 (1:3):** Trend runner.
* *Visuals:* Draws clear entry, stop, and target lines on the chart when a trade is active.
#### **6. Pro Dashboard**
A dynamic panel that monitors:
* **Trend Status:** (Bullish/Bearish)
* **Market State:** (Trending/Parabolic/Ranging)
* **Smart Money:** (Accumulating/Distributing)
* **Live Trade Data:** Real-time entry price and targets when a position is open.
---
### **🛠️ Settings Guide**
**🔥 SIGNAL ENGINE**
* **Strategy Engine:** Toggle between `SuperTrend` (Safe) or `OTT` (Fast).
**🧱 ORDER BLOCK FILTER**
* **Respect Order Blocks:** If checked, the system will not Buy into Resistance or Sell into Support.
* **Show OB Zones:** Toggles the visible Red/Green boxes on the chart.
**📊 QUANT FILTERS**
* **Smart Money (Sharks):** Requires Volume data. Filters out "Retail Traps."
* **ADX (Trend Strength):** Set to `20` for standard filtering. Set to `15` for aggressive scalping.
* **Candle Stability:** Filters out candles with long wicks. Essential for volatile Altcoins.
**📈 CLASSIC INDICATORS**
* **MACD / Stoch / BB:** Enable these if you want strict confluence. (Note: Enabling all will result in fewer, but higher precision signals).
**🛡️ RISK MANAGEMENT**
* **ATR Length:** Sensitivity of the volatility calculation.
* **SL Multiplier:** Distance of Stop Loss (Default 2.0x ATR for Crypto).
* **TP Multipliers:** Adjust your Risk:Reward ratios here.
---
### **💡 How to Trade with QSS v15**
1. **The Setup:**
* Wait for a **"BUY"** or **"SELL"** label to appear.
* Ensure the **Trend Ribbon** (Cloud) matches the signal color.
* Check the **Dashboard**: Ensure "Smart Money" is in your favor (Accumulation for Buys).
2. **The Execution:**
* Enter at the **Entry Price** shown on the chart.
* Place your Stop Loss at the **Red Line**.
* Take partial profits at the **Blue Dotted Lines** (TP1/TP2).
3. **Troubleshooting (Debug Mode):**
* If you see the SuperTrend/OTT flip colors but **NO signal** appears, turn on **"🔧 Debug Mode"** in the settings.
* Grey labels will appear on the chart explaining exactly *why* the trade was rejected (e.g., "⛔ REJECTED: Hitting OB Resistance" or "⛔ REJECTED: Low ADX").
---
**Disclaimer:**
*This indicator is a tool for analysis, not financial advice. It combines multiple quantitative metrics to provide high-probability setups, but no system is 100% accurate. Always use proper risk management.*
**Credits:**
* OTT Logic based on Anıl Özekşi.
* Koncorde Logic based on Blai5.
* SMC Order Block logic adapted from FluxCharts concepts.
* Synthesized and Optimized by rayu8.
MEGA Sector Rotation CRYPTOCAP - 7 Narrativas 1 H### MEGA Sector Rotation CRYPTOCAP - 7 Narratives
**Description for publishing on TradingView:**
This advanced indicator lets you visualize in real time the **rotation of narratives** within the crypto market through 7 key sectors, normalized for perfect side-by-side comparison.
Each line represents the **historical relative strength** (min-max normalization over 5000 bars) of a specific narrative, based on TradingView's official aggregated market caps (CRYPTOCAP) and custom sums. The lines oscillate between 0 and 100, with clear crossovers signaling when a sector is gaining or losing momentum relative to the others.
**The 7 narratives included:**
1. **Layer1** (pink) – Aggregated market cap of major Layer 1 blockchains.
2. **Memecoins** (bright green) – Official MEME.C sector (PEPE, SHIB, WIF, BONK, etc.).
3. **AI** (orange) – Artificial Intelligence and Big Data narrative.
4. **Exchanges** (purple) – Exchange tokens (centralized and decentralized).
5. **DeFi Total** (cyan) – Full aggregated market cap of the DeFi ecosystem.
6. **RWA Custom** (brown) – Custom sum of Real World Assets: ONDO + LINK + CFG + SYRUP.
7. **Privacy** (dark orange) – Custom sum of privacy coins: XMR + ZEC + DASH.
**Quick interpretation:**
- Line >80 and rising → Narrative is **HOT** (strong bullish rotation).
- Line <20 → Narrative is **COLD** (losing strength).
- Bullish crossovers → Money rotating into that sector.
- Transparent fills between lines to highlight leadership zones.
**Features:**
- Optimized for **lower timeframes** (5m, 15m, 1H, 4H) → ideal for day trading and scalping narratives.
- Works on any TF thanks to 5-minute resolution data.
- Thick lines, vibrant colors, and horizontal references (20/50/80) for instant reading.
Perfect for spotting early which narrative is attracting capital flows and anticipating sector moves in the crypto market.
Add this indicator and trade rotations like a pro!
#crypto #sectorrotation #narratives #altcoins #tradingview
5 Layer Script P4 Potential Reversals Package This script is a context based potential reversal framework designed to highlight areas where directional risk may shift, not to predict exact tops or bottoms.
The script focuses on identifying exhaustion, failed continuation, and structural hesitation after price has completed an expansion or interacted with key higher-timeframe levels. It is intended to alert traders to possible inflection zones, where confirmation should be actively monitored.
How it works
-Detects conditions associated with loss of momentum or displacement failure
-Highlights potential reversal zones only after price interaction occurs
-Requires context and confirmation — no blind reversal signals
-No repainting once a zone or marker is confirmed
How to use it
-Use as an early warning tool, not an entry system
-Best applied after: Liquidity runs, Range extremes and Higher timeframe midpoint or boundary interaction
Look for confirmation such as:
-Market structure shifts
-Reaction at FVGs
-Signal Package confirmation
Entries should be executed on lower timeframes with risk defined but can be utilized on bigger timeframes as a swing if confirmed
Best practices
-Counter-trend setups require strong higher-timeframe confluence
-Not every highlighted zone will result in a reversal
-Works best during active sessions when liquidity is present
-Avoid using during low-volume or compressed ranges
This package is intentionally non-predictive and confirmation-dependent, designed to keep traders aligned with risk awareness rather than anticipation. However some signals can be treated as entries if "YOUVE IDENTIFIED THE RISK"- Mark Douglas
5-Layer Script Strategy P1 Midpoint Package (4H / D / W) This script is a multi timeframe framework that utilizes the 4H, Daily, and the Weekly timeframes. This Indicator automatically tracks the midpoints averages of those candles of the mentioned timeframes . This allows traders to actively see the markets momentum and opportunities for when the market reverses. These points acts as reaction levels and NOT ENTRY SIGNALS. This is a identity that helps identify direction and works with the other 4 Layers.
HOW IT WORKS
-Higher timeframe ranges are calculated using midpoints
-Midpoints persist until the candle closes
-No repainting either.
HOW TO USE THIS STRATEGY
-Start from the higher timeframe and work your way to the smaller ones
-Look for reactions and rejections rather than blind entries.
Weekly = bias is a swing
Daily = session to session directional bias
4HR = intraday framework to locate entries
WARNING
Not everyone uses the same settings therefore its natural to have multiple pieces, look through them and fix it to meet your expectations if need to.
Quantitative Easing and Tightening PeriodsThis indicator visually highlights historical and current U.S. Federal Reserve monetary policy regimes on any chart:
• Green transparent background: Quantitative Easing (QE) periods – when the Fed is expanding its balance sheet (money printer active).
• Red transparent background: Quantitative Tightening (QT) periods – when the Fed is shrinking its balance sheet.
Includes all major cycles:
- QE1 (2008–2010), QE2 (2010–2011), QE3 (2012–2014), COVID QE (2020–2022)
- QT1 (2017–2019), QT2 (2022–Dec 1, 2025)
- New QE phase starting Dec 8, 2025 – marked as ongoing
Ideal for macro traders, helping to quickly identify liquidity environments that often influence risk assets, bonds, and the dollar.
Overlay-friendly with high transparency – works on any timeframe and symbol.
The Setup Factory - Swing Data TSF - Swing data
Useful intraday updated data for swing traders
Interpretation and summary:
1. 20D Avg $ Vol: The average daily dollar volume (Price × Volume) over the last 20 trading days.
2. Live $ Vol: The total dollar volume accumulated during the current daily bar so far.
3. Relative Vol %: Today's volume progress compared to the average amount of volume typically accumulated by this exact minute over the last 20 days.
4. Projected Vol %: A prediction of the final daily volume total, calculated by applying today's current rate of outperformance (Buzz) to the full-day average.
5. Continuous Volume Buzz: The percentage difference between today's current volume and the historical average for this specific time window (e.g., how far "ahead of schedule" the stock is).
6. Volume Pace (15m): A comparison of the last 15 minutes of volume against the average 15-minute speed of the day so far (excluding the opening 15-minute surge).
7. Daily ATR %: The 14-day average daily price range (volatility) expressed as a percentage of the current stock price.
8. Dist. Today Low: The percentage distance between the current price and today’s lowest point.
9. Dist. Prior Low: The percentage distance between the current price and yesterday’s lowest point.
Predictive ZLEMA NavigatorThis is an advanced trend-following indicator that combines Zero-Lag Exponential Moving Averages (ZLEMA) with predictive crossover analysis to identify high-probability trade entries with exceptional timing precision.
Key Features:
1. Zero-Lag Technology
Utilizes ZLEMA calculation to eliminate the inherent lag found in traditional EMAs
Provides faster response to price movements while maintaining smooth trend identification
Default periods (34/89) align with Fibonacci sequence for natural market rhythm detection
2. Predictive Crossover System
Unique algorithm forecasts upcoming Golden Cross and Death Cross events before they occur
Displays estimated bars until next crossover, giving traders advance preparation time
Helps avoid late entries by signaling trend changes up to 200 bars in advance
3. Visual Direction Arrows
Color-coded projection arrows show the momentum trajectory of both fast and slow ZLEMAs
Adjustable projection length allows customization for different trading timeframes
Instantly identifies whether trends are strengthening or weakening
4. Multi-Layer Signal Confirmation
Clear crossover points marked with circles and confirmation ticks
Dynamic fill coloring between MAs for instant trend bias recognition
Bullish signals (green/blue) and bearish signals (orange/red) prevent confusion
Performance Characteristics:
Strengths:
Reduced Whipsaws: ZLEMA's lag reduction minimizes false signals in ranging markets
Early Detection: Predictive algorithm provides 10-50 bar advance warning of trend changes
Versatile Application: Works across all timeframes (1-minute to daily) and asset classes
Visual Clarity: Clean interface prevents information overload while maintaining comprehensive data
Optimal Use Cases:
Swing trading on 4H-Daily timeframes
Trend confirmation for breakout strategies
Portfolio rotation timing based on momentum shifts
Works exceptionally well on trending assets (crypto, indices, trending stocks)
Trading Approach:
Enter long on Golden Cross confirmation with upward direction arrows
Exit or reverse on Death Cross with downward momentum projection
Use prediction labels to scale into positions before actual crossover
Combine with volume analysis for enhanced confirmation
Built-in Alert System: Automated notifications for both bullish and bearish crossovers ensure you never miss a trading opportunity.
This indicator bridges the gap between reactive and predictive trading, giving you the speed of ZLEMA with the foresight of trend projection analysis.
DISCLAIMER: This information is provided for educational purposes only and should not be considered financial, investment, or trading advice.Happy Trading
RS ForecastThis tool helps Growth Traders (CANSLIM, Mark Minervini style) answer the critical question: "What percentage does the price need to increase today for the Relative Strength (RS) Line to hit a New High?"
Instead of guessing by looking at the line, this indicator uses reverse engineering to provide the exact percentage distance to the RS breakout.
Key Features: A clean Dashboard overlay that tracks 3 key RS milestones:
+ RS 10 Days: For catching early momentum and Pocket Pivots.
+ RS 50 Days: The benchmark for medium-term strength (Minervini Trend Template).
+ RS New High (250 Days): Confirming Blue Sky breakouts and 52-week highs.
How it works:
Yellow: "Alert Zone" (Price is within 3% of breaking the RS High). Get ready!
Green (BREAK): RS Line has broken out. The stock is outperforming the market.
Gray: Lagging, requires more consolidation.
Settings:
Default benchmark: VNINDEX (Can be changed to SPX, Nasdaq, or any ticker).
Fully customizable table position, colors, and text size.
MTF Probability Predictor v1 (Directional + Market State)This indicator is designed to generate high-confidence market bias by combining price action, chart structure, momentum, divergence analysis, ATR, and VWAP-based volatility assessment.
Instead of providing binary signals, the indicator presents a probability-based decision framework, displaying BUY / SELL confidence percentages in real time. This allows traders to assess signal quality, market strength, and trade suitability before taking a position.
Strategy MTF ScannerDescription:
Stop guessing which timeframe is best for your strategy. This tool performs a "Top-Down Analysis" instantly by running a unified strategy simulation across 5 different timeframes simultaneously.
Why Use This?
A strategy that fails on the 1-Hour chart might print massive returns on the 4-Hour chart due to reduced noise. This scanner calculates the Equity Curve, Max Drawdown, and Win Rate for 15m, 1H, 4H, Daily, and Weekly charts (customizable) and presents the winner in a dashboard.
Features:
Simultaneous Backtesting: Runs 5 independent simulations inside request.security.
Equity & Drawdown Tracking: See not just how much you make, but how much risk is required on each timeframe.
Instant Comparison: Identify "Fractal Resonance" where multiple timeframes align in profitability.
Strategy Logic (Fully Customizable):
The default entry logic is a generic EMA 9/21 Crossover with a Trend Filter.
Note: This is an open-source framework. You can modify the calc_strategy_results function in the source code to substitute the crossover with your own custom entry conditions (RSI, Stochastic, Price Action, etc.).
Workflow:
Load this scanner to identify the dominant timeframe (e.g., 4H).
Switch your chart to the 4H timeframe.
Use the Strategy Grid Optimizer to fine-tune the specific EMA and ATR settings for that timeframe.
Strategy Grid Optimizer (Trend & Risk)Description:
This tool transforms your chart into a powerful backtesting engine that runs hundreds of simulations per second. It is designed to solve the "Parameter Stability" problem: finding the settings that work robustly, rather than curve-fitting to a single number.
How It Works:
Instead of testing one setting at a time, this script uses Pine Script Arrays to run a "Grid Search" on your chart history:
Trend Filter: It iterates through a range of EMA Lengths (e.g., 20, 30, 40... to 200).
Risk Management: It iterates through a range of ATR Multipliers (e.g., 1.0, 1.5, 2.0...) for the trailing stop.
The Result: It ranks every combination based on Net Profit, Drawdown, and Win Rate, instantly highlighting the "Sweet Spot" for the current asset.
Strategy Logic (Fully Customizable):
By default, this script demonstrates a standard EMA 9/21 Crossover.
Developers & Traders: This script is designed as a Template. You can easily open the Source Code and replace the entry_signal logic with any strategy you wish (e.g., RSI, MACD, Bollinger Bands, or your own proprietary logic). The optimizer engine will work with whatever signal you provide.
Workflow:
Use the MTF Scanner to find the best Timeframe.
Load this Grid Optimizer on that timeframe.
Adjust the "Start" and "End" ranges in settings.
The table will reveal the optimal Trend/Risk combination for your strategy.
MTF Probability Predictor PRO v2This indicator is designed to generate high-confidence market bias by combining price action, chart structure, momentum, divergence analysis, ATR, and VWAP-based volatility assessment.
Instead of providing binary signals, the indicator presents a probability-based decision framework, displaying BUY / SELL / NEUTRAL confidence percentages in real time. This allows traders to assess signal quality, market strength, and trade suitability before taking a position.
BUY Bias (Trade-Favorable Condition)
A BUY setup is considered favorable when: BUY confidence exceeds 65% AND SELL confidence remains below 10% AND NEUTRAL confidence is 25% or lower
==>> This combination indicates strong directional momentum with minimal opposing pressure, suggesting a higher-probability bullish environment.
SELL Bias (Trade-Favorable Condition)
A SELL setup is considered favorable when: SELL confidence exceeds 65% AND BUY confidence remains below 10% AND NEUTRAL confidence is 25% or lower
==>> This reflects dominant bearish control, reduced market indecision, and a clearer downside directional bias.
NEUTRAL Bias (No-Trade Zone)
A NEUTRAL condition is identified when: NEUTRAL confidence rises above 50% or higher
==>> This indicates range-bound or transitional market behavior, where directional conviction is weak. During such conditions, it is recommended to avoid trading and allow the market to establish a clearer trend.
Key Benefits -
Probability-driven signal clarity
Reduced false signals in sideways markets
Suitable for scalping, intraday, and swing trading
Designed to support disciplined, rules-based decision making
METODO SP 50X DO TRINDADE [ZP] - v1💎 The Key to Wealth: Institutional Liquidity + 50x Method
The market doesn't move by chance, it moves because of LIQUIDITY.
Have you ever wondered why the price reverses exactly where you placed your Stop Loss? It's because you were the liquidity that large institutions needed. But that ends today.
🚀 The Power of Perfect Confluence
This isn't just another support and resistance indicator. This is an institutional trail tracking tool. I developed this Super Indicator to map where the hidden orders, the "pockets" of liquidity, and the high-probability reversal zones are.
When you combine the precision of this liquidity map with Trinity's legendary 50x Method, you don't just have a strategy; you have a dollar printing machine.
🛡️ Why is this method Extraordinary?
Liquidity Mapping: See where the "sharks" are setting traps.
Real Support and Resistance: Forget random lines. Work with supply and demand zones validated by volume.
Simplicity and Assertiveness: Made for those who want to profit, not for those who want to complicate things.
The Path to Freedom: The exact combination to consistently seek exponential returns.
🙏 A Divine Gift
Before clicking "use," take a moment. Access to this knowledge is not a coincidence, it's providence. Thousands of people spend their whole lives searching for a financial solution and never find this level of clarity.
Thank God every day for this opportunity. Jesus gave you the vision and the tools; now, it's up to you to act with discipline and wisdom. Honor this blessing and prepare to see your bank account and your life transformed.
"The blessing of the Lord brings wealth, and he adds no sorrow to it."
ALGO DEUS | PRECISION TIME MACHINEALGO DEUS | PRECISION TIME MACHINE
The surgical position simulator that integrates your personal money management.
Description
ALGO DEUS | Precision Time Machine is not just another standard Risk/Reward tool. It is a visual engineering instrument designed for serious traders (specifically Futures MNQ/MES) who demand absolute precision in their post-session analysis or live trade planning.
The Algo Deus Time Machine allows you to travel back through your chart history to place a trade simulation at the exact minute, capturing the precise opening price of the selected candle.
Key Features
Dual Mode (Live & History): By default, the tool displays on the current price for instant planning. Toggle "History Mode" to project your strategies onto any specific candle from the past.
Automatic Profit Calculator: Simply enter your target in Dollars ($) and the number of contracts. The algorithm instantly calculates your Take Profit and Stop Loss levels based on the asset's tick value (e.g., $0.5 for MNQ).
Minute-Level Precision: Thanks to optimized temporal integration, you can target a specific time (e.g., 4:05 PM) to analyze market reaction using your exact risk management parameters.
"Algo Deus" Sleek Interface: High-visibility display with translucent color blocks for a clear price reading without cluttering your candles.
How to use it?
Live: Perfect for visualizing your financial goals before executing a trade.
Backtest: Check "Enable History Mode," set the exact minute of your past setup, and observe whether your TP or SL would have been hit.
BTC/Gold Breakout LevelScript to show the price Bitcoin would have to reach to break out against the December 2024 BTC/GOLD top of $41.
Metodo 50x do Trindade
Introducing my latest indicator, specifically designed for 4-hour (4H) and 1-day (1D) charts. This indicator is a powerful tool that signals trend reversals, allowing you to buy and sell with confidence!
🌟 Highlights:
Trend Reversal: Identify reversal points before the market moves!
Profitability: Maximize your profits by taking advantage of the best entry and exit opportunities.
Easy to Use: Intuitive interface for traders of all levels.
Proven Results: Works in the market to increase your chances of success!
Don't waste any more time! Use this indicator to print dollars intelligently and effectively. Follow me for more tips and updates!
Instagram📈 @diegotrindademt
TLC INOUT "One line represents an uptrend, signaling an opportunity to buy. When it becomes two lines, be cautious of a reversal and consider selling."
Ardley Fund Core IndicatorThe Ardley Fund Core Indicator:
A powerful Kalman Hull Trend strategy enhanced with dynamic RSI, MACD, and VWAP confirmations. Delivers precise, high-probability BUY and SELL signals with adaptive noise filtering for smoother trends and fewer false entries. Ideal for trend-following traders seeking consistent, data-driven performance.
Ardley Fund Core IndicatorThe AAC Fund Core Indicator: a powerful Kalman Hull Trend strategy enhanced with Dynamic RSI, MACD, and VWAP confirmations. Delivers precise, high-probability BUY and SELL signals with adaptive noise filtering for smoother trends and fewer false entries. Ideal for trend-following traders seeking consistent, data-driven performance.






















