Trading Sessions IndicatorMulti-Session High/Low Indicator
Automatically plots clean session highs and lows for up to 5 customizable trading sessions.
• Individual colors per session
• Vertical line at session open
• Optional extension through New York
• Clean, lightweight, no clutter
Perfect for futures, forex, and session-based traders who rely on key intraday levels and liquidity.
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Set it once. Trade with clarity every day.
Fundamental Analysis
SPY Institutional PE (Top 20) + EPS TableDescription
The SPY Institutional PE (Top 20) is a powerful macro-analysis tool designed to provide a real-time "Under the Hood" look at the valuation of the S&P 500. Instead of looking at the SPY price in isolation, this indicator calculates a Weighted Price-to-Earnings (P/E) Ratio based on the Top 20 institutional holdings that drive the market.
By aggregating the fundamental data (EPS TTM) and real-time prices of market giants like AAPL, MSFT, NVDA, and AMZN, this indicator offers a clearer picture of whether the broad market is becoming overextended or undervalued from an institutional perspective.
Key Features
1. Weighted Institutional P/E Calculation
The indicator doesn't just average the P/E ratios; it uses a Weighted Earnings Yield (E/P) methodology. It assigns specific weights to the Top 20 components of the SPY (reflecting their actual market influence) to derive a unified "Institutional P/E" curve. This helps you identify macro trend exhaustion when the aggregate P/E reaches historical extremes.
2. Real-time Fundamental Dashboard
The built-in table provides an instant health check of the market leaders, including:
Symbol List: The Top 20 stocks by market cap/weight.
EPS (TTM): The actual Trailing Twelve Months Earnings Per Share for each company.
Individual P/E: The current valuation for each giant.
Visual Alerts: Cells are highlighted in Red if a company reports negative earnings, signaling fundamental weakness in that sector.
3. Macro Sentiment Analysis
Use the plotted P/E line to gauge market sentiment:
Rising P/E Line: Indicates the market is paying more for each dollar of profit (Multiple Expansion).
Falling P/E Line: Indicates the market is becoming "cheaper" fundamentally (Multiple Compression).
Settings
Show EPS / PE Table: Toggle the dashboard on or off to keep your chart clean.
Table Position: Move the table to the Left or Right of your screen to suit your workspace layout.
How to Use
Market Tops: Look for instances where the SPY price is making new highs, but the Institutional P/E is spiking to unsustainable levels—this suggests a "valuation bubble."
Market Bottoms: Look for the P/E curve to flatten or drop significantly after a crash, indicating that value is returning to the Top 20 holdings.
Earnings Season: Monitor the table during earnings weeks to see which specific giants are dragging the weighted P/E up or down.
Note: This indicator uses request.financial and request.security to fetch data for 20 different tickers. It is best used on daily timeframes for macro valuation analysis.
Quarterly Revenue YoY Growth %Quarterly Revenue YoY Growth % (Calculated)
The Problem: Hidden Growth Trends
Most standard revenue indicators on TradingView only show the raw dollar amounts. While helpful, raw numbers make it difficult to quickly identify growth acceleration or deceleration—the primary driver of stock price multiples.
The Limitation: Seeing "$1.28B" in revenue doesn't tell you if the company is growing faster or slower than it was last year.
The Solution: This script automatically calculates the Year-over-Year (YoY) percentage change for every fiscal quarter, giving you an instant read on the company's fundamental momentum.
How It Works (The Math)
To ensure an "apples-to-apples" comparison, this script compares the current quarter's revenue to the revenue from the exact same quarter one year prior:
YoY % = * 100
Data Source: Pulls Fiscal Quarter (FQ) revenue data to maintain a clean "step" visualization.
Smart History Tracking: The script uses an internal array to track the last 5 quarters of data, ensuring the calculation is strictly Year-over-Year rather than just Quarter-over-Quarter.
How to Use It
Use this to validate if a stock's valuation (like the EV/GP ratio) is justified by its growth rate.
Green Labels (+%): Indicate positive revenue growth. Increasing percentages suggest a company is "scaling" and may justify a higher valuation multiple.
Red Labels (-%): Indicate revenue contraction. This is often a major red flag for growth stocks, even if the raw revenue numbers still look large.
Key Features
Visual Labels: Automatically prints color-coded percentage labels on every new earnings report so you don't have to hover over bars to see the data.
Step-Line Plot: Specifically designed to match the "professional terminal" look of your other fundamental indicators.
Universal Compatibility: Works on any stock that provides quarterly financial reporting data on TradingView.
Disclaimer: This tool is for educational purposes only and does not constitute financial advice.
Enterprise value / Revenue / Gross margin [robust]The Problem with EV / Revenue
Standard valuation metrics like EV/Revenue can be misleading for high-growth companies. While investors frequently use it to value SaaS or Tech stocks, it ignores the critical role of Gross Margins.
Example: A company trading at 10x Revenue with 80% margins is significantly "cheaper" than a company trading at 10x Revenue with only 40% margins.
The Solution: This script combines both metrics into a single "Efficiency Multiple" (EV / Gross Profit), giving you a true "Price per Dollar of Profit" view.
How It Works (The Math)
Instead of viewing two separate charts, this indicator calculates a single efficiency ratio:
Ratio = Enterprise Value / Gross Profit
Data Source: It pulls Fiscal Quarter (FQ) data to create a clean, "stepped" visualization that matches professional financial terminals.
Smart Labels: It automatically detects every new quarter and prints the exact valuation multiple on the chart, making it easy to see historical trends at a glance.
How to Use It
Use this to find fair value in high-growth stocks where traditional P/E ratios are not yet useful.
Value Zone (< 10x): Marked by a Green Dashed Line. The stock is potentially undervalued relative to its gross profit generation.
Premium Zone (> 20x): Marked by a Red Dashed Line. The stock is trading at a premium. This is common for hyper-growth leaders but implies high future expectations.
Key Features
Crash Proof: Uses raw ENTERPRISE_VALUE and GROSS_PROFIT data with error handling to prevent "Symbol Resolve" errors common with other custom scripts.
Quarterly Steps: Plots data in distinct quarterly steps rather than a noisy daily line, providing a clear fundamental view.
Visual Valuation Zones: Built-in horizontal lines at 10x and 20x to frame the valuation context instantly.
Disclaimer: This tool is for educational purposes only and does not constitute financial advice.
ICT Visible Center-Label CISD & FVGsThis indicator provides a clean, institutional-grade view of market shifts and liquidity gaps, specifically optimized for ICT (Inner Circle Trader) concepts.
Core Components
CISD (+/-): Identifies a "Change in State of Delivery." A (+) indicates a bullish shift, while a (-) indicates a bearish shift. These appear as fixed black lines with labels that delete automatically once price breaches the level.
Multi-Timeframe FVGs: Automatically plots Fair Value Gaps from the 5m, 15m, 1H, and 4H timeframes simultaneously.
Center-Locked Labels: Timeframe labels (e.g., "1H") are centered within the gaps, making them easy to identify without scrolling back through price history.
Auto-Cleaning Logic: To keep your chart clutter-free, gaps and CISD levels are instantly removed from the screen the moment they are mitigated (filled) by price.
Mashrab | Momentum X-RayStop guessing if a stock is strong or weak. The Momentum X-Ray is a professional Heads-Up Display (HUD) that tells you the truth about a stock in seconds.
Most indicators just look at price. This dashboard looks at the Context:
Relative Strength (The "King of the Hill" Check):
It doesn't just compare stocks to the S&P 500.
It automatically detects the stock's specific industry (e.g., Semiconductors, Regional Banks, Gold Miners) and compares it against its actual peers.
Green = The stock is a Leader (Beating its sector).
Red = The stock is a Laggard (Losing to its sector).
Fundamental Health (The "Engine" Check):
Instantly see Revenue Growth (QoQ and YoY) and Net Profit Margins.
Filters out "junk" stocks that are moving up on hype but have no real business growth.
Volatility Scanner:
Calculates the ADR (Average Daily Range) to help you size your positions correctly.
How to Read the Signals:
Top Table (Momentum): Look for Double Green. If a stock is beating the SPY and its Sector, it is an "Alpha Leader."
Bottom Table (Context): Check the "Industry" row to see exactly which ETF the script is using for comparison (e.g., SMH for Chips, KRE for Banks).
CHoCH then BOSThis indicator implements a clean, rule-based market structure model that detects a Change of Character (CHoCH) followed by a confirmed Break of Structure (BOS), while explicitly preventing overlapping or premature signals. It uses pivot highs and lows to establish swing structure and maintains an internal bullish or bearish bias. A CHoCH is triggered only when price breaks the most recent swing in the opposite direction of the current structure, signaling a potential trend shift. Importantly, the script does not mark a BOS immediately after the CHoCH; instead, it waits for the first new pivot to form after the CHoCH and uses that pivot as a valid BOS level. A BOS is confirmed only when price subsequently breaks that post-CHoCH level, ensuring proper structural sequencing (CHoCH → pullback → BOS). Visual labels mark CHoCH (“C”) and BOS (“B”) events, while optional lines display the active BOS level being monitored. The result is a robust, non-repainting structure indicator designed to filter noise and highlight higher-quality trend confirmations rather than raw swing breaks
Price per Book Value--- Price per Book Value (P/BV) Explanation ---
English:
P/BV is a financial ratio used to compare a company's current market price to its book value.
It reflects how much investors are willing to pay for each dollar of a company's net assets.
Formula: P/BV = Current Stock Price / Book Value Per Share (BVPS)
Interpretation:
- P/BV < 1: The stock may be undervalued or the market expects low returns on assets.
- P/BV > Industry Average: The stock might be overvalued or reflects high growth expectations.
- Low P/BV is commonly used by value investors to find "bargain" stocks.
ภาษาไทย:
P/BV (Price to Book Value) คือ อัตราส่วนที่ใช้เปรียบเทียบราคาตลาดของหุ้น กับมูลค่าทางบัญชีของบริษัท
สะท้อนว่านักลงทุนยอมจ่ายเงินกี่เท่าของมูลค่าสินทรัพย์สุทธิของบริษัท
สูตร: P/BV = ราคาหุ้นปัจจุบัน / มูลค่าทางบัญชีต่อหุ้น (BVPS)
การแปลความหมาย:
- P/BV < 1: ราคาหุ้นถูกกว่ามูลค่าทางบัญชี (หุ้นราคาถูก) หรือตลาดมองว่าบริษัทมีแนวโน้มไม่ดี
- P/BV > ค่าเฉลี่ย: หุ้นอาจมีราคาสูงเกินไป หรือสะท้อนความคาดหวังในการเติบโตที่สูง
- P/BV ต่ำ มักถูกนักลงทุนสาย Value (VI) ใช้เป็นเกณฑ์ในการค้นหาหุ้นที่มีราคาต่ำกว่ามูลค่าที่ควรจะเป็น
--- Investment Utility: How to use P/BV for Buy/Sell ---
English:
1. Identify "Value" Entry: Buying when P/BV is near historical lows (colored Green in this script)
provides a "Margin of Safety" as it's close to the company's net asset value.
2. Identify "Exit" Points: Selling when P/BV reaches historical peaks or significantly exceeds
average (colored Red) suggests the price is "expensive" and may be due for a correction.
3. Bottom-Fishing: Stocks with P/BV < 1 are often targets for turnaround plays or liquidations.
ภาษาไทย:
1. หาจุดเข้าซื้อ (Value Buy): การซื้อเมื่อ P/BV อยู่ในระดับต่ำใกล้เคียงกับสถิติต่ำสุดในอดีต (ในสคริปต์นี้คือสีเขียว)
ช่วยสร้าง "ส่วนเผื่อความปลอดภัย" (Margin of Safety) เพราะราคาใกล้เคียงกับสินทรัพย์จริงของบริษัท
2. หาจุดขาย (Take Profit): เมื่อ P/BV พุ่งสูงเกินค่าเฉลี่ยหรือทำจุดสูงสุดใหม่ (ในสคริปต์นี้คือสีแดง)
บ่งบอกว่าราคาเริ่มแพงเกินไป และมีความเสี่ยงที่จะปรับฐานลงมา
3. หาหุ้นที่ราคาต่ำกว่าทุน: หุ้นที่ P/BV < 1 คือหุ้นที่ราคาตลาดต่ำกว่าเงินทุนทางบัญชี มักเป็นเป้าหมายของนักลงทุนที่หาหุ้นฟื้นตัว
777yurrp, gemini made ts, i love making indicators with ai, in 15 minutes man its easy ash to be honest, try it yourself ;), i have to type something here
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.
Repent Deviationsalot of levels, use at own risk, ict method, idk wth to type here just use ts and delete it instantly
Fair Value MatrixConcept & Utility The Fair Value Matrix is a quantitative analysis suite designed to visualize the relationship between an asset's price action and a theoretical valuation model. Unlike standard technical indicators that rely solely on lagging price history, this script integrates a Fundamental Growth Model to project a calculated baseline trajectory derived from sector-specific data and valuation logic.
This tool is intended to assist traders in identifying statistical deviations from this projected baseline, offering a data-driven perspective on whether an asset is trading at a premium or a discount relative to the model's parameters.
Technical Methodology
1. Theoretical Growth Modeling The core of the matrix is a dynamic "Fair Value" curve. This is generated using:
Sector-Specific Growth Logic: The script applies distinct growth parameters adapted for different asset classes (e.g., Technology, Commodities, Utilities) to model theoretical expansion over time.
Dynamic Valuation: It incorporates calculated valuation logic to adjust the slope of the curve, creating a reference point that evolves with time rather than just price action.
2. Statistical Deviation Bands (Volatility Cloud) To quantify market state, the script constructs a "Volatility Cloud" around the fundamental baseline. These bands are not support/resistance lines but statistical probability envelopes calculated using:
Composite Volatility Engine: A proprietary blend of multiple volatility models is used to adapt to changing market conditions.
Statistical Measurement: The bands represent standard deviations from the calculated baseline.
Lower Bands: Represent deviation zones suggesting a statistical discount.
Upper Bands: Represent deviation zones suggesting a statistical premium.
3. Quantitative Inflection Points The script monitors price relative to these bands to generate "Inflection Signals":
Mean Reversion Alerts: Triggered when price deviates significantly from the baseline while showing signs of momentum exhaustion.
Momentum Strength: A composite trend line colors the price action based on the aggregate score of volatility, trend direction, and deviation depth.
4. Deviation Weighting Labels The numeric labels (e.g., "1x", "2x") displayed on the chart represent the magnitude of the statistical deviation at that specific moment. These values are strictly mathematical measurements of distance from the mean and are provided to help users assess the rarity of a specific price move relative to the model.
Disclaimer This script is for informational and educational purposes only. It is a theoretical model based on fixed parameters and historical data analysis. It does not predict future price movements, nor does it guarantee profitability. All trading involves risk.
VaRz Risk Meter| Condition on the indicator | Implication for BTC |
| -------------------------------------- | --------------------------- |
| High Nasdaq (NDX) + Low VIX + Low DXY | Bullish (risk-on) |
| High VIX + Rising DXY + Falling Nasdaq | Bearish (risk-off) |
| Everything around 50, no direction | Sideways / macro indecision |
VIX (fear index)
DXY (USD strength / safe-haven flow)
NASDAQ 100 (risk-on benchmark)
Estimated correlation with BTC as a histogram
📌 Visual logic:
High Nasdaq + VIX trending down + weak DXY = risk-on for BTC
High VIX + strong DXY + weak Nasdaq = downside pressure for BTC
NQ/MNQ 5min BotThis invite-only strategy is built for traders who want a systematic approach to Nasdaq futures (NQ/MNQ). It combines VWAP (Volume Weighted Average Price), EMA (Exponential Moving Average), and ATR (Average True Range) filters to identify high-probability intraday setups.
🔑 Key Features
Trend Confirmation: Multi-timeframe EMA signals for directional bias.
VWAP Integration: Anchored VWAP zones act as dynamic support/resistance.
ATR-Based Risk Management: Stops and targets adapt to market volatility.
Intraday Focus: Designed for day traders and scalpers in NQ/MNQ futures.
Backtested Logic: Strategy has been optimized with robust historical testing.
✅ Who This Is For
Futures traders looking for consistency on Nasdaq contracts.
Traders who want clear entry and exit rules without second-guessing.
Those seeking scalable risk management that adapts to volatility.
GOLD Dashboard: Realzins + DXY Filter (US10Y/T10YIE)The dashboard isn't a "signal generator," but a macro regime filter. It answers a single, core question:
Which direction do I currently have a structural advantage in gold—long, short, or neither?
I'll explain it to you clearly, practically, and without any theoretical baggage.
Institutional Bias [Lite] - Visual SuiteThe ultimate discretionary toolkit. Visualizes Institutional Value (VP), Trend (AVWAP), and Structure (Fibs). For automated signals, see the Pro Strategy."
Institutional Bias [Lite] - Visual SuiteThe ultimate discretionary toolkit. Visualizes Institutional Value (VP), Trend (AVWAP), and Structure (Fibs). For automated signals, see the Pro Strategy."
Pro Value Master - All in One: Fundamentals 10Y, CAGR, DCF, Debt
Stop guessing. Start investing like an institution. The Pro Value Master transforms your chart into a professional financial terminal. It provides the crucial data you need to assess Quality, Valuation, and Risk in seconds. You get 3 indicators in one.
🔥 THE KILLER FEATURE: 2-3-5-7-10-YEAR CAGR for all our fundamentals 🔥
TradingView gives you raw data. We give you the truth. This indicator automatically calculates the Compound Annual Growth Rate (CAGR) for 2, 3, 5, 7, and 10 years — a feature you won't find in standard tools.
📊 Table 1: The Quality Matrix (Top Right)
A complete 10-year snapshot (2016–2025) plus our exclusive CAGR analysis.
ROIC %: The king of quality metrics. Shows management efficiency.
Free CF / Share: The real cash profit. The basis for all valuations.
EPS & Revenue: Track the top and bottom line growth instantly.
Gross Margin %: The ultimate indicator for pricing power.
Rule of 40: The quick-check for Tech/SaaS health (Growth + Margin > 40).
Tang. Book Val/Sh: Your hard downside protection.
💰 Table 2: Value & Risk Check (Bottom Right)
Protect your capital with the "Buffett Check".
Market Cap & EV: The true price tag of the business.
Net Debt / EBITDA: Can the company pay its bills?
🟢 < 2x / Negative: Safe / Net Cash Position.
🔴 > 4x / Neg. EBITDA: Danger Zone.
🚀 Table 3: Auto-DCF Calculator (Middle Right)
A dynamic Discounted Cashflow model built right in.
Uncapped Auto-Growth: If input is 0, the script automatically calculates and applies the 5-Year Free Cashflow CAGR without limits.
Fair Value: The calculated intrinsic value per share.
Buy Price: Your entry point including a safety margin (default 30%).
Invest in data, not stories.
⚠️ Disclaimer This script and the data presented are for educational and informational purposes only. It does not constitute financial advice, an investment recommendation, or an offer to buy or sell securities.
Theoretical Nature: All calculations (including DCF Fair Value and CAGR) are theoretical estimates based on historical data and specific mathematical models. They do not guarantee future performance.
No Liability: The author assumes no responsibility for any trading losses or damages incurred as a result of using this tool.
Do Your Own Research: Markets are volatile. Always conduct your own due diligence and consult with a certified financial advisor before making any investment decisions.
Use at your own risk.
ttb check listThe strip is a visual discipline tool — not a signal generator.
It sits in the top-right of your TradingView chart as a small table and acts like a pre-flight checklist before you take a trade.
Think of it as your sniper scope HUD.






















