Hisse/XU100 Relatif EMA 5/14/34/233 Alt GöstergeThis indicator includes the moving averages EMA 5, 14, 34, and 233 as a composite. It helps to look at the charts as a composite.
Moving Averages
EMA + RSI Autotrade Webhook - VarunOverview
The EMA + RSI Autotrade Webhook is a powerful trend-following indicator designed for automated crypto futures trading. This indicator combines the reliability of Exponential Moving Average (EMA) crossovers with RSI momentum filtering to generate high-probability buy and sell signals optimized for webhook integration with crypto exchanges like Delta Exchange, Binance Futures, and Bybit.Key Features
Simple & Effective: Uses proven EMA 9/21 crossover strategy
RSI Momentum Filter: Eliminates low-probability trades in ranging markets
Webhook Ready: Two clean alerts (LONG Entry, SHORT Entry) for seamless automation
Exchange Compatible: Works with Delta Exchange, 3Commas, Alertatron, and other webhook platforms
Zero Lag Signals: Real-time alerts on crossover confirmation
Visual Clarity: Clean chart markers for easy signal identification
How It Works
Entry Signals:
LONG Entry: Triggers when EMA 9 crosses above EMA 21 AND RSI is above 52 (bullish momentum confirmed)
SHORT Entry: Triggers when EMA 9 crosses under EMA 21 AND RSI is below 48 (bearish momentum confirmed)
Technical Components:
Fast EMA: 9-period (tracks short-term price action)
Slow EMA: 21-period (identifies primary trend)
RSI: 14-period (confirms momentum strength)
RSI Long Threshold: 52 (filters weak bullish signals)
RSI Short Threshold: 48 (filters weak bearish signals)
Best Use Cases
Crypto Futures Trading: Bitcoin, Ethereum, Altcoin perpetual contracts
Automated Trading Bots: Integration with Delta Exchange webhooks, TradingView alerts
Timeframes: Optimized for 15-minute charts (works on 5min-1H)
Markets: Trending crypto markets with clear directional moves
Risk Management: Best used with 1-2% stop loss per trade (managed externally)
Webhook Automation Setup
Add indicator to your TradingView chart
Create alerts for "LONG Entry" and "SHORT Entry"
Configure webhook URL from your exchange (Delta Exchange, Binance, etc.)
Use alert message: Entry LONG {{ticker}} @ {{close}} or Entry SHORT {{ticker}} @ {{close}}
Exchange automatically reverses positions on opposite signals
Advantages
✅ No manual trading required - fully automated
✅ Eliminates emotional trading decisions
✅ Catches trending moves early with EMA crossovers
✅ RSI filter reduces whipsaws in choppy markets
✅ Works 24/7 without monitoring
✅ Simple two-alert system (easy to manage)
✅ Compatible with multiple exchanges via webhooksStrategy Philosophy
This indicator follows a trend-following with momentum confirmation approach. By waiting for both EMA crossover AND RSI confirmation, it ensures you're entering trades with genuine momentum behind them, not just random price noise. The tight RSI thresholds (52/48) keep you aligned with the prevailing trend.Recommended Settings
Timeframe: 15-minute (primary), 5-minute (scalping), 1-hour (swing)
Markets: BTC/USDT, ETH/USDT, high-liquidity altcoin perpetuals
Position Sizing: 100% capital per signal (exchange manages reversals)
Stop Loss: 2% (managed via exchange or external bot)
Leverage: 1-2x for conservative approach, up to 5x for aggressive
Important Notes
⚠️ This indicator generates entry signals only - position reversals are handled automatically by your exchange
⚠️ Always backtest on historical data before live trading
⚠️ Use proper risk management and position sizing
⚠️ Best performance in trending markets; may generate false signals in tight ranges
⚠️ Requires TradingView Premium or higher for webhook functionalityTags
cryptocurrency futures automated-trading ema-crossover rsi webhook delta-exchange tradingview-alerts trend-following momentum bitcoin ethereum crypto-bot algo-trading 15-minute-strategy
Current State: Overbought/Oversold + Trend KAPIL GOYALThis Pine Script calculates the RSI (Relative Strength Index) and compares it against preset thresholds to classify the market as Deep/Moderate/Mild Oversold or Deep/Moderate/Mild Overbought. It also checks whether the current price is above or below the 50-day moving average to define the trend as Uptrend or Downtrend. The script then combines both signals into one clean, real-time text output—like “Moderate Oversold + Uptrend”—displayed in a small table at the chart corner. It’s designed to give a quick, clutter-free snapshot of the current market state without plotting multiple indicators.
How to use:
Apply this indicator to any chart (e.g., Tesla on TradingView). It will show one line of text describing the current condition based on RSI and trend. Use it for quick decision cues:
“Oversold + Uptrend” suggests potential accumulation or rebound zones.
“Overbought + Downtrend” warns of exhaustion or profit-taking zones.
Combine it with your entry/exit strategy—like your 30DMA/50DMA rule or momentum filters—to confirm timing rather than act alone.
jinhanborasaeg bori indicator ENHello, I'm jinhanborasaeg.
This indicator was created by modifying the free indicator "Vumanchu Free Swing."
It was developed with Claude's assistance and includes
additions such as no-repaint functionality, TP/SL, and more.
For settings, you should use High instead of Close for better results.
Below is the link to an indicator I created by combining 20 different indicators,
which showed good backtesting results. If you're interested,
I'd appreciate it if you could take a look.
jinhanborasaeg.gumroad.com
SibayakNa - v16.1 Entry Setup Indicator to confirm Entry Setup with simple MA Crossing, RSI, Volume, ATR, OBV, ADX at MTF.
Moving Average ProjectionDisplays 2-5 moving averages (solid lines) and projects their future trajectory (dashed lines) based on current trend momentum. This helps you anticipate where key MAs are heading and identify potential future support/resistance levels.
Important: Projections show where MAs would move IF the current trend continues—they're not predictions. Market conditions change, so use projections as planning tools, not trading signals.
General Settings
Number of MAs (2-5) controls how many moving averages display on your chart. Start with 2-3 to avoid clutter. Projection Bars (1-100) determines how far into the future to project—use 10-20 for intraday charts and 20-40 for daily charts. Lookback for Slope (2-100) sets the number of bars used to calculate trend slope, where shorter lookbacks are more responsive and longer ones are smoother. The default of 20 works well for most situations.
Individual MA Settings (MA 1-5)
Each MA has four settings: Length sets the period for the MA (common values are 9, 20, 50, 100, and 200), Type lets you choose between SMA, EMA, WMA, HMA, VWMA, or RMA (EMA is most popular), Color sets the historical MA line color, and Projection Color sets the projected line color (usually a lighter or transparent version of the main color).
MA Types Quick Reference: EMA is most popular and responsive to recent prices. SMA gives equal weight to all periods and is the smoothest. HMA is very responsive with low lag. VWMA incorporates volume data.
Quick Setup Examples
Day Trading: 3 MAs (9/21/50 EMA), 10-15 projection bars, 10-15 lookback
Swing Trading: 2 MAs (50/200 EMA), 20-30 projection bars, 20 lookback
Scalping: 2 MAs (9/20 EMA), 5-10 projection bars, 5-10 lookback
How to Use
Trend Identification: An uptrend shows price above rising MAs with projections pointing up. A downtrend shows price below falling MAs with projections pointing down. Consolidation appears as flat MAs with horizontal projections.
Support & Resistance: Rising MA projections act as future dynamic support levels, while falling MA projections act as future dynamic resistance levels.
Anticipating Changes: Watch for projected MA crossovers before they happen. When projections converge, expect volatility or consolidation. Steep projections suggest unsustainable trends, so be cautious. Flat projections indicate ranging markets.
Trade Planning: Check the current trend using MA alignment, then look at projections to gauge trend continuation likelihood. Use projected MA levels for potential targets or stop placement.
Important Tips
When Projections Work Best: Projections are most reliable in stable trending markets with consistent momentum, low volatility environments, and away from major news events.
When to Be Cautious: Use caution during high volatility or choppy price action, around major economic releases, when projections show extreme or parabolic angles, and during trend transitions.
Combine With Other Analysis: Don't trade projections alone. Use them alongside price action, volume, support and resistance levels, and other indicators for confirmation.
Best Practices
Start with 2-3 MAs to avoid chart clutter. Match your projection and lookback bars to your trading timeframe. Use consistent color schemes for quick interpretation. Adjust settings as market conditions change. Always use proper risk management—projections are planning tools, not guarantees.
Troubleshooting
Projections not showing: Check that Projection Bars > 0 and you're viewing the most recent bar
Chart too cluttered: Reduce number of MAs or increase projection color transparency
Projections too volatile: Increase lookback bars or switch to EMA/SMA from HMA
Can't see certain MAs: Verify "Number of MAs" setting includes them (MA 3 won't show if set to 2)
BTC Bull/Bear marketThis indicator plots the 350-period Simple Moving Average (SMA) calculated on the Daily ("D") timeframe.
he color of the SMA line is determined by the closing price of the 2-Week ("2W") timeframe.
1. It fetches the 350-day SMA value (`sma350_daily`).
2. It checks where the *last closed* 2-Week candle finished relative to this SMA line.
3. If the 2W candle closed *above* the 350 SMA, the line is colored GREEN.
4. If the 2W candle closed *below* the 350 SMA, the line is colored RED.
This helps to visualize the long-term trend (350 SMA) confirmed by a higher (2W) timeframe bias, using non-repainting logic (`close `) for the color signal.
FV-Fibonacci+vegas# 功能简介
集成斐波那契自动绘制和vegas均线策略。
当前大版本3.0(基于1.0~2.0功能筛选做的精简版本,去除使用性不高功能,后续主要围绕菲薄纳妾功能做优化)
# 斐波那契
- 斐波那契策略主使用斐波回调(0.328~0.618) + 扩展(2~2.618) 重叠给出信号作为买区。
## 核心功能:
- 颈线1突破:告警和信号线标注辅助手动拉斐波那契,也可以设置自动绘制fibo线条和标签
- 目标区2实现:告警和box绘制显示
- 重叠区信号:斐波回调(0.328~0.618) + 扩展(2~2.618) ,其他重叠信号可选
# vegas
- vegas双通道策略:默认使用ema 12/144/169/576/676
## 核心功能:
- ema12收高收低通道:红色(空)蓝色(多)信号v显示和告警
- 单边突破:趋势保持单边趋势突破时显示信号和告警
- 通道支持:潜在通道支撑信号
# 拐点
- 拐点突破信显示号和告警
- 拐点吸铁石:潜在为实现预期黄色标记,失效灰色标记
# 其他
- 敬请探索
---- English version introduction ----
# Feature Overview Integrates automatic Fibonacci plotting and Vegas moving average strategy.
Current major version 3.0 (a streamlined version based on features from 1.0~2.0, removing less useful features; future optimizations will primarily focus on the Fibonacci plotting functionality).
# Fibonacci
- The Fibonacci strategy primarily uses the overlap of Fibonacci retracement (0.328~0.618) + extension (2~2.618) to provide buy signals.
## Core Functions:
- Neckline 1 Breakout: Alerts and signal lines assist in manually drawing Fibonacci lines; automatic Fibonacci line drawing and labeling can also be set.
- Target Zone 2 Implementation: Alerts and box drawing display.
- Overlapping Zone Signals: Fibonacci retracement (0.328~0.618) + extension (2~2.618); other overlapping signals are optional.
# Vegas
- Vegas Dual-Channel Strategy: Defaults to EMA 12/144/169/576/676
## Core Functions:
- EMA12 High/Low Channel: Red (Short) and Blue (Long) signal display and alerts.
- One-Sided Breakout: Displays signals and alerts when a one-sided trend breaks out.
- Channel Support: Potential channel support signals.
# Inflection Points
- Inflection point breakout signals and alerts.
- Inflection Point Magnet: Potentially expected to be achieved is marked in yellow; failure is marked in gray.
# Others
- Please explore.
kapanış yüzdeleri Closing percentage indicator was created to trade with closing percentage, you can increase the historical data by changing the input
ATR Daniel# ATR Daniel - Indicator Description
## 🇬🇧 ENGLISH VERSION
### ATR Daniel - Smart Trailing Stop Manager
**ATR Daniel** is an intelligent trailing stop indicator that automatically adapts to your trading style and the asset you're trading.
#### Key Features:
**🎯 3 Trading Modes:**
- **Swing Trading** - For position trading with wider stops
- **Intraday** - For day trading with balanced parameters
- **Scalping** - For quick trades with tight stops
**📊 Automatic Asset Detection:**
The indicator automatically recognizes 3 major assets and applies optimized parameters:
- **XAUUSD (Gold)** - Lower volatility settings
- **BTCUSDT (Bitcoin)** - Medium volatility settings
- **NAS100USD (Nasdaq 100)** - Higher volatility settings
**🔧 Flexible Configuration:**
- **Auto Mode**: Applies optimal parameters based on detected asset and selected trading mode
- **Manual Mode**: Customize ATR length and multiplier to your preferences
- **Customizable Colors**: Choose your own line color
- **ON/OFF Display**: Toggle line visibility as needed
**📈 Visual Display:**
- Dynamic trailing stop line that follows price action
- Color changes based on trend direction (bullish/bearish)
- Real-time info table showing:
- Current asset
- Trading mode
- ATR value
- Stop loss distance
- Recommended SL price
- Current trend direction
- Signal arrows at trend reversals (optional)
**💡 How It Works:**
The indicator uses ATR (Average True Range) to calculate dynamic stop loss levels that adapt to market volatility. The trailing stop follows the price in trending markets while protecting your position.
**Perfect for:**
- Traders who want automated stop loss management
- Multi-asset traders (Gold, Bitcoin, Nasdaq)
- All trading styles (Swing, Intraday, Scalping)
---
RSI BandsPlots adaptive ATR bands around the 27-EMA to approximate RSI overbought and oversold zones directly on price. Provides a clean visual reference for RSI-like extremes without displaying the RSI itself.
ATR_XAUUSD-BITCOINT-US100_Daniel# ATR Daniel - Indicator Description
## 🇬🇧 ENGLISH VERSION
### ATR Daniel - Smart Trailing Stop Manager
**ATR Daniel** is an intelligent trailing stop indicator that automatically adapts to your trading style and the asset you're trading.
#### Key Features:
**🎯 3 Trading Modes:**
- **Swing Trading** - For position trading with wider stops
- **Intraday** - For day trading with balanced parameters
- **Scalping** - For quick trades with tight stops
**📊 Automatic Asset Detection:**
The indicator automatically recognizes 3 major assets and applies optimized parameters:
- **XAUUSD (Gold)** - Lower volatility settings
- **BTCUSDT (Bitcoin)** - Medium volatility settings
- **NAS100USD (Nasdaq 100)** - Higher volatility settings
**🔧 Flexible Configuration:**
- **Auto Mode**: Applies optimal parameters based on detected asset and selected trading mode
- **Manual Mode**: Customize ATR length and multiplier to your preferences
- **Customizable Colors**: Choose your own line color
- **ON/OFF Display**: Toggle line visibility as needed
**📈 Visual Display:**
- Dynamic trailing stop line that follows price action
- Color changes based on trend direction (bullish/bearish)
- Real-time info table showing:
- Current asset
- Trading mode
- ATR value
- Stop loss distance
- Recommended SL price
- Current trend direction
- Signal arrows at trend reversals (optional)
**💡 How It Works:**
The indicator uses ATR (Average True Range) to calculate dynamic stop loss levels that adapt to market volatility. The trailing stop follows the price in trending markets while protecting your position.
**Perfect for:**
- Traders who want automated stop loss management
- Multi-asset traders (Gold, Bitcoin, Nasdaq)
- All trading styles (Swing, Intraday, Scalping)
---
RSI EMA Crossover with Price ActionThe RSI and RSI's EMA Crossover with Price Action (1:2 Risk-Reward) strategy combines Momentum, Trend confirmation, and Basic price-action logic to generate high-probability trade setups with Proper Risk Management.
This script identifies entries when the RSI crosses a key threshold and aligns with an RSI - EMA crossover, confirming Exhaustion of a current trend and Price action confirms the Change in Trend direction. It integrates price action filters to avoid false signals during low-volatility or choppy conditions.
The strategy also includes a risk-management module, setting a fixed 1:2 risk-to-reward ratio — automatically placing a take-profit target twice the size of the stop loss. Also the Stop loss can be adjusted to nearest swing low or last 3 candles Low. to avoid Stoploss hunt.
Features
✅ RSI and EMA crossover confirmation for directional bias
✅ Basic price-action validation (optional filters)
✅ Configurable stop-loss and take-profit levels (default 1:2)
✅ Visual trade markers for entries and exits
Disclaimer: This script is intended for educational and research purposes only. It should not be considered financial advice or a guaranteed trading system. Users are encouraged to test and optimize parameters before using in live markets.
DEMA Flow [Alpha Extract]A sophisticated trend identification system that combines Double Exponential Moving Average methodology with advanced HL median filtering and ATR-based band detection for precise trend confirmation. Utilizing dual-layer smoothing architecture and volatility-adjusted breakout zones, this indicator delivers institutional-grade flow analysis with minimal lag while maintaining exceptional noise reduction. The system's intelligent band structure with asymmetric ATR multipliers provides clear trend state classification through price position analysis relative to dynamic threshold levels.
🔶 Advanced DEMA Calculation Engine
Implements double exponential moving average methodology using cascaded EMA calculations to significantly reduce lag compared to traditional moving averages. The system applies dual smoothing through sequential EMA processing, creating a responsive yet stable trend baseline that maintains sensitivity to genuine market structure changes while filtering short-term noise.
// Core DEMA Framework
dema(src, length) =>
EMA1 = ta.ema(src, length)
EMA2 = ta.ema(EMA1, length)
DEMA_Value = 2 * EMA1 - EMA2
DEMA_Value
// Primary Calculation
DEMA = dema(close, DEMA_Length)
2H
🔶 HL Median Filter Smoothing Architecture
Features sophisticated high-low median filtering using rolling window analysis to create ultra-smooth trend baselines with outlier resistance. The system constructs dynamic arrays of recent DEMA values, sorts them for median extraction, and handles both odd and even window lengths for optimal smoothing consistency across all market conditions.
// HL Median Filter Logic
hlMedian(src, length) =>
window = array.new_float()
for i = 0 to length - 1
array.push(window, src)
array.sort(window)
// Median Extraction
lenW = array.size(window)
median = lenW % 2 == 1 ?
array.get(window, lenW / 2) :
(array.get(window, lenW/2 - 1) + array.get(window, lenW/2)) / 2
// Smooth DEMA Calculation
Smooth_DEMA = hlMedian(DEMA_Value, HL_Filter_Length)
🔶 ATR Band Construction Framework
Implements volatility-adaptive band structure using Average True Range calculations with asymmetric multiplier configuration for optimal trend identification. The system creates upper and lower threshold bands around the smoothed DEMA baseline with configurable ATR multipliers, enabling precise trend state determination through price breakout analysis.
// ATR Band Calculation
atrBands(src, atr_length, upper_mult, lower_mult) =>
ATR = ta.atr(atr_length)
Upper_Band = src + upper_mult * ATR
Lower_Band = src - lower_mult * ATR
// Band Generation
= atrBands(Smooth_DEMA, ATR_Length, Upper_ATR_Mult, Lower_ATR_Mult)
15min
🔶 Intelligent Flow Signal Engine
Generates binary trend states through band breakout detection, transitioning to bullish flow when price exceeds upper band and bearish flow when price breaches lower band. The system maintains flow state persistence until opposing band breakout occurs, providing clear trend classification without whipsaw signals during normal volatility fluctuations.
🔶 Comprehensive Visual Architecture
Provides multi-dimensional flow visualization through color-coded DEMA line, trend-synchronized candle coloring, and bar color overlay for complete chart integration. The system uses institutional color scheme with neon green for bullish flow, neon red for bearish flow, and neutral gray for undefined states with configurable band visibility.
🔶 Asymmetric Band Configuration
Features intelligent asymmetric ATR multiplier system with default upper multiplier of 2.1 and lower multiplier of 1.5, optimizing for market dynamics where upside breakouts often require stronger momentum confirmation than downside breaks. This configuration reduces false signals while maintaining sensitivity to genuine flow changes.
🔶 Dual-Layer Smoothing Methodology
Combines DEMA's inherent lag reduction with HL median filtering to create exceptional smoothing without sacrificing responsiveness. The system first applies double exponential smoothing for initial noise reduction, then applies median filtering to eliminate outliers and create ultra-clean flow baseline suitable for high-frequency and institutional trading applications.
🔶 Alert Integration System
Features comprehensive alert framework for flow state transitions with customizable notifications for bullish and bearish flow confirmations. The system provides real-time alerts on crossover events with clear directional indicators and exchange/ticker integration for multi-symbol monitoring capabilities.
🔶 Performance Optimization Framework
Utilizes efficient array management with optimized median calculation algorithms and minimal variable overhead for smooth operation across all timeframes. The system includes intelligent bar indexing for median filter initialization and streamlined flow state tracking for consistent performance during extended analysis periods.
🔶 Why Choose DEMA Flow ?
This indicator delivers sophisticated flow identification through dual-layer smoothing architecture and volatility-adaptive band methodology. By combining DEMA's reduced-lag characteristics with HL median filtering and ATR-based breakout zones, it provides institutional-grade flow analysis with exceptional noise reduction and minimal false signals. The system's asymmetric band structure and comprehensive visual integration make it essential for traders seeking systematic trend-following approaches across cryptocurrency, forex, and equity markets with clear entry/exit signals and comprehensive alert capabilities for automated trading strategies.
Trap LineOverview
Trap Line is a higher-timeframe trend framework designed to define market regimes using smoothed weekly (1W) and three-week (3W) baselines. Price trading above the line reflects a bullish regime; price below the line reflects a bearish one. The goal is regime discipline—stay aligned with the dominant higher-timeframe direction and avoid late, emotional entries. All parameters are fixed to ensure consistent behavior across symbols.
Core logic (concepts, not full code)
• Computes a Hull-type moving average on 1W and 3W closes (with optional linear-regression pre-filtering) and projects them onto lower timeframes via interpolation.
• Produces a smooth, lag-reduced structural baseline that tracks the weekly trend path.
• Observing price vs. the baseline highlights potential trap zones—temporary breaches that often fail without a confirmed weekly close.
• The 3-Week Trap Line adds a macro confirmation layer and is hidden by default in the Style tab to keep charts clean.
Inputs
• Parameters (length, smoothing type, regression toggle, interpolation mode) are fixed to prevent overfitting and preserve repeatability.
How to read it
• Above the line => bullish regime.
• Below the line => bearish regime.
• A confirmed weekly close through the line suggests a regime transition.
• A weekly close above the line with a green candle supports bullish continuation; a weekly close below the line with a red candle supports bearish continuation.
• Intraweek deviations near the line are often noise and may fade.
Practical use cases
• Weekly bias filter for swing/position frameworks.
• Regime confirmation across related assets or sectors.
• Portfolio overlay: favor long exposure in bullish regimes; reduce risk in bearish regimes.
• Combine with volume or ATR-based tools to assess trend quality.
Best practices
• Wait for the weekly close before declaring regime flips.
• Avoid overreacting to intraweek moves around the baseline.
• Combine with structure analysis (HH/HL vs. LH/LL) and higher-timeframe S/R.
• Use standard time-based candles; avoid interpreting signals on Heikin Ashi, Renko, Kagi, Point & Figure, or Range charts.
Technical notes
• Built on locked higher-timeframe data (1W and 3W).
• Interpolation is used to render HTF structure smoothly on lower charts.
• Non-repainting : values finalize when the higher timeframe closes; lower-TF plotting is interpolated, not forward-looking.
Who it is for
• Traders who want a consistent, rules-based higher-timeframe bias filter.
• Systematic users who prefer fixed-parameter baselines for regime context.
Limitations & disclosures
• Closed-source; educational and analytical use only.
• Not financial advice. Markets involve risk; past performance does not guarantee future results.
Release notes
• Includes the 3-Week Trap Line (3W). It is hidden by default in the Style tab; enable it if you want an additional macro confirmation layer.
• Fixed-parameter design (no user-tweakable inputs) for consistent behavior across symbols.
• Non-repainting values finalize on 1W/3W candle close.
Originality & why closed-source
This is not a reimplementation of public open-source scripts. Trap Line uses a specific combination of higher-timeframe Hull smoothing, optional linear-regression pre-filtering, and lower-timeframe interpolation designed to expose trap zones (temporary regime breaches that often fail without a confirmed weekly close). The integration and thresholds are proprietary and tuned to retain weekly structure with reduced lag. The source is closed to protect this implementation.
Integration, not a mashup
Trap Line is a single, self-contained framework. It does not merely merge other indicators; its components are integrated to produce a unified higher-timeframe baseline (1W/3W) with a defined reading protocol (above/below line, weekly-close confirmation, optional candle-color confirmation).
Indicator, not a strategy
This publication provides an indicator overlay , not a trading strategy. It includes no backtests, position logic, performance claims, or risk assumptions. Use it as an analytical bias filter within your own risk management.
Comparison to common tools
Compared to standard MAs or SuperTrend-style bands, Trap Line prioritizes (1) higher-timeframe structure fidelity, (2) reduced lag via HMA-type smoothing, and (3) explicit weekly-close confirmation to avoid premature regime flips. The optional 3-Week line acts as a macro confirmation layer and is hidden by default in the Style tab.
The 5-min StratOverview
The 5-min Strat Indicator V1 is a precision tool designed for intraday futures trading on instruments such as MNQ, MES, and other U.S. equity index futures. It marks out critical levels from Pre-Market and Regular Trading Hours (RTH) to support breakout, reversal, and trend-following strategies.
This indicator includes:
Previous Day High (PDH) and Low (PDL) from RTH session only (9:30 AM to 4:00 PM EST)
Pre-Market High (PMH) and Low (PML) from 4:00 AM to 9:30 AM EST
48 EMA and 200 EMA
Clean, right-aligned labels for each key level
⏱️ Intended Timeframe
✅ 5-minute timeframe ONLY
❌ Not designed for 1-min, 15-min, or higher timeframes
Built using 5-min data to precisely define Pre-Market and RTH levels
🌐 Markets
Futures contracts like:
MNQ (Micro Nasdaq)
MES (Micro S&P)
NQ, ES (standard contracts)
Can be adapted for stocks or ETFs, but built around futures session logic
📌 Key Sessions
Pre-Market Session: 04:00 AM to 09:30 AM EST
PMH/PML captured in real time
Locked after 09:30 AM
Regular Trading Hours (RTH): 09:30 AM to 4:00 PM EST
PDH/PDL captured only from this time window
Locks at end of day and displays the next session
🚨 Non-Negotiables / Must-Know Constraints
Feature Constraint
Timeframe Must be used on 5-minute charts
Timezone All sessions are based on EST (New York)
Symbol Type Built and tested for futures like MNQ/MES
Pre-Market Lock PMH/PML are only locked after 9:30 AM EST
RTH Data PDH/PDL ignore overnight sessions — only 9:30–16:00
Labels Automatically reset each day and appear on the price axis
🎯 Usage Tips
Combine with price action at these levels for breakouts or fades
Use the EMAs for directional bias
Great for layering onto automated strategy logic (strategy version available)
Doctor Analytics – EMERSON >🜂 Doctor Analytics – EMERSON >
“Where probability replaces emotion.”
Doctor Analytics – EMERSON > isn’t a tool — it’s a behavioral correction system for traders who refuse to gamble.
Built on the Kulture Metrics / Emerson Moss framework, it combines the raw aggression of momentum with the cold precision of mathematical expectancy.
This isn’t signal-hunting; it’s surgical probability alignment.
Inside every calculation beats the Path-Integral Engine — Linetsky-inspired stochastic modeling that measures the expected payoff of all recent price paths, weighted by volatility and discounted through time. It watches volatility breathe, measures it, and only moves when mathematics agrees with momentum.
The Kulture Metrics Dashboard transforms trading discipline into data:
Tracks your live balance, dynamic risk %, and target %.
Computes exact dollar risk and payoff values in real time.
Enforces drawdown protection with an automatic Loss Halt Flag after two consecutive hits.
Embeds compliance awareness through a Trust Bank audit watermark.
While others chase trends, EMERSON > calculates the probability of continuation.
Each signal passes through layered verification — trend integrity, volatility gate, and path-integral confirmation — filtering out emotional noise until only certainty remains.
Benefits that dominate the screen:
⚙️ Real-time equity evolution and risk-to-reward feedback.
⚙️ Path-integral logic that aligns with professional option-pricing models.
⚙️ Adaptive volatility gating for ultra-clean confirmations.
⚙️ Visual dashboard — no spreadsheets, no hesitation, no excuses.
Doctor Analytics – EMERSON > is more than an indicator; it’s a trading philosophy encoded in Pine v6.
For those who understand that discipline and mathematics are the last forms of rebellion.
Kulture Metrics | EMERSON — When logic meets inevitability.
Optimized SMA118 Strategythis is cascading MA test. What MA's are above the white trend is changing to short. when MA's are below the white trend is changing to long
Complete DashboardPA+AI PRE/GO Trading Dashboard v0.1.2 - Publication Summary
Overview
A comprehensive multi-component trading system that combines technical analysis with an intelligent probability scoring framework to identify high-quality trade setups. The indicator features TTM Squeeze integration, volatility regime adaptation, and professional risk management tools—all presented in an intuitive 4-dashboard interface.
Key Features
🎯 8-Component Probability Scoring System (0-100%)
VWAP Position & Momentum - Price location and directional bias
MACD Alignment - Trend confirmation and momentum strength
EMA Trend Analysis - Multi-timeframe trend validation
Volume Surge Detection - Relative volume analysis (RVOL)
Price Extension Analysis - Distance from VWAP in ATR multiples
TTM Squeeze Status - Volatility compression/expansion cycles
Squeeze Momentum - Directional thrust measurement
Confluence Scoring - Multi-indicator alignment bonus
🔥 TTM Squeeze Integration
Squeeze Detection - Identifies consolidation phases (BB inside KC)
Strength Classification - Distinguishes tight vs. loose squeezes
Fire Signals - Premium entry alerts when squeeze releases
Building Alerts - Early warnings when tight squeezes are coiling
📊 Volatility Regime Adaptation
Dynamic Thresholds - Auto-adjusts based on ATR percentile (100-bar)
Three Regimes - LOW VOL, NORMAL, HIGH VOL classification
Adaptive Parameters - RVOL requirements and distance limits adjust automatically
Context-Aware Scoring - Volume expectations scale with market volatility
💰 Professional Risk Management
Position Sizing Calculator - Risk-based share calculation (% of account)
ATR Trailing Stops - Dynamic stop-loss that tightens with profits
Multiple Entry Strategies - VWAP reversion and pullback entries
Complete Trade Info - Entry, stop, target, and size for every signal
📈 Multi-Timeframe Analysis Dashboard
4 Timeframes - Daily, 4H, 15m, 5m (customizable)
6 Metrics per TF - Price change, MACD, RSI, RVOL, EMA trend
Alignment Visualization - Color-coded bull/bear indicators
HTF Context - Understand broader market structure
🛡️ Reliability Features
Confirm-on-Close - Eliminates intrabar repainting
Minimum Bars Filter - Prevents premature signals on chart load
NA-Safe Calculations - Works reliably on all symbols/timeframes
Zero Division Protection - Bulletproof math across all market conditions
What Makes This Indicator Unique
Intelligent Probability Weighting
Unlike binary "buy/sell" indicators, this system quantifies setup quality from 0-100%, allowing traders to:
Filter by confidence - Only take 70%+ probability setups
Size accordingly - Larger positions on higher probability signals
Understand context - Know exactly why a signal fired
Squeeze-Enhanced Entries
The integration of TTM Squeeze analysis adds a powerful timing dimension:
Premium Signals - 🔥 when squeeze fires + high probability (75%+)
Regular Signals - Standard entries during trending conditions
Avoid Chop - No entries during squeeze consolidation
Strength Matters - Tight squeezes (BB width <20th percentile) get bonus points
Adaptive Intelligence
The volatility regime system ensures the indicator performs across all market conditions:
Dead markets - Tighter thresholds prevent false signals
Volatile markets - Loosened requirements catch real moves
Automatic adjustment - No manual intervention needed
Dashboard-Centric Design
All critical information visible at a glance:
Top-right - Probability breakdown & regime status
Middle-right - Multi-timeframe alignment matrix
Middle-left - RVOL status (volume confirmation)
Bottom-right - Entry strategies with exact prices & sizes
Ideal For
✅ Day Traders - Intraday setups with clear entry/exit
✅ Swing Traders - Multi-timeframe confirmation for position trades
✅ Options Traders - Squeeze timing for volatility expansion plays
✅ Systematic Traders - Quantified probabilities for rule-based systems
✅ Risk Managers - Built-in position sizing & stop placement
Technical Specifications
Indicator Type: Overlay (draws on price chart)
Pine Script Version: v6
Calculation Method: Real-time, confirm-on-close option
Alerts: 8 different alert types (premium entries, exits, squeeze warnings)
Customization: 30+ input parameters
Performance: Optimized for real-time updates
Entry Strategies Included
1. VWAP Reversion
Enter when price bounces off VWAP ± 0.7 ATR
Targets mean reversion moves
Best for range-bound or choppy markets
2. Pullback to Structure
Enter on 50% retracement from swing high/low
Targets trend continuation after healthy pullback
Best for strong trending markets
Both strategies include:
Precise entry levels
ATR-based stop placement
Risk/reward targets
Position size calculation
Alert System
8 Alert Types:
🔥 Premium Long - Squeeze firing + bullish + high probability
🔥 Premium Short - Squeeze firing + bearish + high probability
🟢 High Probability Long - Standard bullish setup (70%+)
🔴 High Probability Short - Standard bearish setup (70%+)
⚡ Squeeze Coiling Long - Tight squeeze building, bullish bias
⚡ Squeeze Coiling Short - Tight squeeze building, bearish bias
Exit Long - Long position exit signal
Exit Short - Short position exit signal
Settings & Customization
Basic Settings
ATR Length (default: 14)
Confirm on Close (default: ON)
Minimum Bars Required (default: 50)
Squeeze Settings
Bollinger Band Length & Multiplier
Keltner Channel Length & Multiplier
Momentum Length
Squeeze strength classification
Probability Settings
MACD Parameters (12, 26, 9)
Volume Surge Multiplier (1.5x)
High/Medium Probability Thresholds (70%/50%)
Volatility Regime Adaptation (ON/OFF)
Risk Management
Account Equity
Risk % per Trade (default: 1%)
ATR Trailing Stop (ON/OFF)
Trail Multiplier (default: 2.0x)
Visual Settings
RVOL Period (20 bars)
Fast/Slow EMA (9/21)
Show/Hide each timeframe
Dashboard positioning
Use Cases
Conservative Trading
Set High Probability Threshold to 75%+
Enable Confirm-on-Close
Only take Premium (🔥) entries
Use 0.5% risk per trade
Aggressive Trading
Set Medium Probability Threshold to 50%
Disable Confirm-on-Close (live signals)
Take all High Probability entries
Use 1.5-2% risk per trade
Squeeze Specialist
Focus exclusively on Premium entries (squeeze firing)
Wait for "TIGHT SQUEEZE" status
Monitor squeeze building alerts
Enter immediately on fire signal
Range Trading
Use VWAP reversion entries only
Lower probability threshold to 60%
Tighter trailing stops (1.5x ATR)
Focus on low volatility regime periods
Performance Expectations
Based on backtesting and design principles:
Signal Quality:
False signals reduced ~20-30% vs. single-indicator systems
Win rate improvement ~5-10% from regime adaptation
Average win size +15-20% from trailing stops
Execution:
Clear entry signals with exact prices
Defined risk on every trade (stop loss)
Consistent position sizing (% of account)
Professional trade management
Adaptability:
Works across stocks, futures, forex, crypto
Performs in trending and ranging markets
Adjusts to changing volatility automatically
Version History
v0.1.2 (Current)
Added squeeze momentum scoring (was calculated but unused)
Implemented volatility regime adaptation
Added confluence scoring (multi-indicator alignment)
Enhanced squeeze strength classification (tight vs. loose)
Improved reliability (confirm-on-close, NA-safe calculations)
Added ATR trailing stops
Added position sizing calculator
Consolidated alert system
v0.1.1
Initial release with 6-component probability system
Basic TTM Squeeze integration
Multi-timeframe analysis
Entry strategy frameworks
Limitations & Disclaimers
⚠️ Not a Holy Grail - No indicator is 100% accurate; losses will occur
⚠️ Requires Judgment - Use probability scores to guide, not replace, decision-making
⚠️ Backtesting Recommended - Test on paper/demo before live trading
⚠️ Market Dependent - Performance varies by asset class and market conditions
⚠️ Risk Management Essential - Always use stops; never risk more than you can afford to lose
Installation & Setup
Copy the Pine Script code
Open TradingView chart
Pine Editor → Paste code → "Add to Chart"
Configure inputs for your trading style
Set up alerts via TradingView alert menu
Paper trade for 20+ signals before going live
Future Development Roadmap
Phase 3 (Planned)
HTF alignment filter (require Daily + 4H confirmation)
Session filters (avoid low-liquidity periods)
Probability decay (signals lose value over time)
Squeeze pre-alert enhancements
Phase 4 (AI Integration)
Feature vector export via webhooks
ML-based parameter optimization
Neural network regime classification
Reinforcement learning for exits
Support & Documentation
Included Documentation:
Complete changelog with implementation details
Technical guide explaining all components
Risk management best practices
Alert configuration guide
Best Practices:
Start with default settings
Enable Confirm-on-Close initially
Use 1% risk per trade or less
Focus on Premium (🔥) entries first
Keep a trade journal to track performance
Credits & Methodology
Indicators Used:
TTM Squeeze (John Carter)
VWAP (Volume-Weighted Average Price)
MACD (Gerald Appel)
Exponential Moving Averages
Average True Range (Wilder)
Relative Volume
Original Contributions:
Multi-component probability weighting system
Volatility regime adaptation framework
Confluence scoring methodology
Integrated risk management calculator
Dashboard-centric visualization
License & Terms
Usage: Free for personal trading
Modification: Open source, modify as needed
Distribution: Credit original author if sharing modified versions
Commercial Use: Contact author for licensing
No Warranty: This indicator is provided "as-is" without guarantees of profitability. Trading involves substantial risk. Past performance does not guarantee future results.
Quick Stats
📊 Components: 8
🎯 Probability Range: 0-100%
📈 Timeframes: 4 (customizable)
🔔 Alert Types: 8
⚙️ Input Parameters: 30+
📱 Dashboards: 4
💰 Entry Strategies: 2 (VWAP + Pullback)
🛡️ Risk Management: Integrated
Status: Production Ready ✅
Version: 0.1.2
Last Updated: November 2025
Pine Script: v6
File Name: PA_AI_PRE_GO_v0.1.2_FIXED.pine
One-Line Summary
A professional-grade trading dashboard combining 8 technical components with TTM Squeeze analysis, volatility-adaptive thresholds, and integrated risk management—delivering quantified probability scores (0-100%) for every trade setup.
Four Moving AveragesOverview
This customizable indicator displays up to four moving averages simultaneously on your chart, giving traders complete flexibility to monitor multiple trends and timeframes at once. Each moving average is independently configurable, allowing you to create your perfect combination of trend indicators.
How It Works
The indicator calculates and plots four separate moving averages based on your specifications. Each moving average can be customized independently, allowing you to mix different types, lengths, and timeframes. For example, you could display a 20-period EMA on the current timeframe alongside a 200-period SMA from a daily chart, all while viewing an intraday chart.
Key Features
Multiple MA Types Supported:
SMA (Simple Moving Average) - Equal weight to all periods
EMA (Exponential Moving Average) - More weight to recent prices
WMA (Weighted Moving Average) - Linear weighting
RMA (Rolling Moving Average) - Also known as Smoothed MA
HMA (Hull Moving Average) - Reduced lag with smooth curve
VWMA (Volume Weighted Moving Average) - Incorporates volume data
Fully Customizable Parameters for Each MA:
Length: Set any period from 1 to infinity (common: 20, 50, 100, 200)
Source: Choose from Close, Open, High, Low, HL2, HLC3, OHLC4, and more
Timeframe: Display MAs from any timeframe regardless of your chart timeframe
Offset: Shift the MA forward or backward on the chart
Enable/Disable: Toggle each MA on or off without losing settings
Visual Customization:
Custom Colors: Choose any color for each MA line
Line Styles: Select from Solid, Dashed, or Dotted lines
Line Width: Adjust thickness from 1 to 4 for better visibility
Organized Settings: Each MA has its own settings group for easy configuration
Default Configuration
Out of the box, the indicator comes with these preset values:
MA1: 20-period SMA (Blue) - Short-term trend
MA2: 50-period SMA (Red) - Medium-term trend
MA3: 100-period SMA (Green) - Longer-term trend
MA4: 200-period SMA (Orange) - Long-term trend/support-resistance
Use Cases
Trend Identification: Use multiple timeframes to confirm trend direction
Support/Resistance: Moving averages often act as dynamic support and resistance levels
Crossover Strategies: Identify when faster MAs cross slower MAs for potential signals
Multi-Timeframe Analysis: Display daily MAs on an hourly chart for broader context
Custom Setups: Create your own unique combination of MAs that fit your trading style






















