NQ Gamma LevelsNQ Gamma Levels - Dynamic Options Flow Visualization
This indicator displays gamma exposure levels from QQQ options data, automatically scaled to NQ/MNQ futures prices. Simply copy gamma data from your dashboard and paste it into the indicator to see key support and resistance levels based on dealer positioning.
Features:
- Automatic QQQ to NQ price conversion using live 1-minute ratios
- Visual strength indicators - thicker/longer lines show stronger gamma concentrations
- Customizable colors for positive and negative gamma levels
- Dotted reference lines extending across the chart for easy price tracking
- Updates every minute to prevent chart clutter and jumping levels
- Filters to show only significant levels above your threshold
- Strongest positive and negative levels are automatically highlighted
The solid colored lines represent gamma strength - longer lines indicate higher concentration at that price level. Dotted lines provide continuous reference points across your chart. Green levels typically act as support (dealers long gamma), while red levels often act as resistance (dealers short gamma).
Best used on 1-5 minute timeframes for intraday trading. Paste fresh data from your options flow dashboard whenever you want updated levels.
Oscillators
Atilla Pump & Reverse PRO v3.2 ⚡️Erken Tespit Sürümü
🇬🇧 Description (English):
Atilla Pump & Reverse PRO v3.2 ⚡️ Early Detection Edition is a professional indicator built to detect early Pump & Dump and reversal movements with precision.
It combines EMA, ATR and volatility analysis to identify both trend continuations and potential reversals in real time.
📊 Main Features:
Early detection of Pump & Dump movements
Sideways filter with “NO SIGNAL” label
Entry alerts: GİR (LONG / SHORT)
ADX + ATR based trend strength validation
Volume spike detection for confirmation
Clean and visually professional design
Works perfectly on all timeframes
💡 Usage Tips:
“GİR (LONG)” → potential start of an uptrend
“GİR (SHORT)” → possible reversal or downtrend
“NO SIGNAL” → ranging or unclear market condition
Recommended for confirmation on 1H or 15M charts,
and precise entries on 3M–5M scalping charts.
---
✨ Geliştirici / Developer:
🧠 Designed & Coded by Atilla Gençay
For early scalpers and smart trend catchers.
Screener (MC) [AlgoAlpha]🟠 OVERVIEW
This script is a multi-symbol scanner that works as a companion to the "Momentum Concepts" indicator. It provides a comprehensive dashboard view, allowing traders to monitor the momentum signals of up to 18 different assets in real-time from a single chart. The main purpose is to offer a bird's-eye view of the market, helping you quickly identify assets with strong momentum confluence or potential reversal opportunities without having to switch between different charts.
The screener displays the status of all key components from the Momentum Concepts indicator, including the Fast Oscillator, Scalper's Momentum, Momentum Impulse Oscillator, and Hidden Liquidity Flow, organizing them into a clear and easy-to-read table.
🟠 CONCEPTS
The core of this screener is built upon the analytical framework of the "Momentum Concepts" indicator, which evaluates market momentum across multiple layers: short-term, medium-term, and long-term. This screener applies those complex, proprietary calculations to each symbol in your watchlist and visualizes the current state of each component.
Each column in the table represents a specific aspect of momentum analysis:
Fast Oscillator Columns: These columns reflect the short-term momentum. They show the immediate trend direction, whether the asset is in an overbought or oversold condition, and flag high-probability events like divergences, reversals, or diminishing momentum.
Scalper's Momentum Column: This column gives insight into medium-term momentum. It distinguishes between strong, sustained moves and weakening, corrective moves, which is useful for gauging the health of a trend.
Momentum Impulse Column: This column represents the dominant, long-term trend bias. It helps you understand the underlying market regime (bullish, bearish, or consolidating) to align your trades with the bigger picture.
Hidden Liquidity Flow Column: This column provides a unique view into the market's underlying liquidity dynamics. It signals whether there is net buying or selling pressure and uses special coloring to highlight periods of unusually high liquidity activity, which often precedes volatile price movements.
By combining these perspectives, the screener justifies its utility by enabling traders to make more informed decisions based on multi-layered signal confluence.
🟠 FEATURES
This screener organizes momentum data into several key columns. Here is a breakdown of each column and its possible values:
Asset: Displays the symbol for the asset being analyzed in that row.
Fast Oscillator Trend: Shows the immediate, short-term momentum direction.
▲: Indicates a bullish short-term trend.
▼: Indicates a bearish short-term trend.
–: Indicates a neutral or transitional state.
Fast Oscillator Valuation: Measures whether the asset is in a short-term overbought or oversold state.
OB: Signals an "Overbought" condition, often associated with bullish exhaustion.
OS: Signals an "Oversold" condition, often associated with bearish exhaustion.
Neutral: The asset is trading in a neutral zone, neither overbought nor oversold.
Scalper's Momentum: Assesses the strength and direction of medium-term momentum.
Strong▲: Strong bullish momentum.
Weak▲: Bullish momentum exists but is weakening or corrective.
Strong▼: Strong bearish momentum.
Weak▼: Bearish momentum exists but is weakening or corrective.
–: Neutral or no clear medium-term momentum.
Momentum Impulse: Identifies the dominant, long-term trend bias. A colored background indicates that the momentum is in a strong "impulse" phase.
▲: Indicates a bullish long-term bias.
▼: Indicates a bearish long-term bias.
0: Indicates a neutral or ranging market condition.
Hidden Liquidity Flow: Tracks underlying buying and selling pressure. The background color highlights periods of unusual liquidity activity.
▲: Positive liquidity flow, suggesting net buying pressure.
▼: Negative liquidity flow, suggesting net selling pressure.
–: Neutral liquidity flow.
Dim. Momentum: Provides an early warning that short-term momentum is beginning to fade.
● (Bullish Color): Bullish momentum is weakening.
● (Bearish Color): Bearish momentum is weakening.
–: No diminishing momentum detected.
Divergence: Flags classic or hidden divergences between price and the Fast Oscillator.
Div▲: A bullish divergence has been detected.
Div▼: A bearish divergence has been detected.
–: No active divergence signal.
Reversal: Signals a potential reversal when the Fast Oscillator crosses its trend line from an overbought or oversold zone.
Rev▲: A bullish reversal signal has occurred.
Rev▼: A bearish reversal signal has occurred.
–: No active reversal signal.
🟠 USAGE
The primary function of this screener is to quickly identify trading opportunities and filter setups based on momentum confluence across your watchlist.
1. Setup and Configuration:
Add the indicator to your chart.
Go into the script settings and populate the "Watchlist" group with the symbols you wish to monitor.
Adjust the settings for the various momentum components (Fast Oscillator, Scalper's Momentum, etc.) to align with your trading strategy. These settings will be universally applied to all symbols in the screener.
2. Interpreting the Columns for Trading Decisions:
Momentum Impulse & Hidden Liquidity Flow: Use these columns to establish a directional bias. A bullish "▲" in both columns on an asset suggests a strong underlying uptrend with supportive buying pressure, making it a good candidate for long positions.
Scalper's Momentum: Use this for entry timing and trend health. A "Strong▲" reading can confirm the strength of an uptrend, while a shift to "Weak▲" might suggest it's time to tighten stops or look for an exit.
Fast Oscillator Trend & Valuation: These are best for precise entry triggers. For a "buy the dip" strategy in an uptrend, you could wait for the Fast Oscillator to show "OS" (Oversold) and then enter when the "Trend" column flips back to "▲".
Dim. Momentum: This is an excellent take-profit signal. If you are in a long position and a bullish-colored "●" appears, it's a warning that the upward move is losing steam, and you might consider closing your trade.
Divergence & Reversal: These columns are for identifying potential turning points. A "Div▲" or "Rev▲" signal is a strong alert that a downtrend might be ending, making the asset a prime candidate to watch for a long entry.
3. Finding High-Probability Setups:
Trend Confluence: Look for assets where multiple components show alignment. For example, an ideal long setup might show a bullish "Momentum Impulse" (▲), a "Strong▲" reading in "Scalper's Momentum," and a bullish trend in the "Fast Oscillator." This indicates that the long-term, medium-term, and short-term momentums are all in agreement.
Reversal and Exhaustion: Use the "Divergence" and "Reversal" columns to spot potential turning points. A "Div▲" signal appearing in an asset that is in an oversold "Fast Oscillator Valuation" zone can be a strong indication of an upcoming bounce.
Paid script
Relational RSI - Trend IdentifierThis indicator analyzes the relationship between Price and RSI. It doesn't just show you the current RSI value; it compares the current Price-to-RSI relationship against thousands of historical examples to see if the market is behaving "normally."
The core idea is to identify when this historical relationship "decays" or breaks.
Positive (Green): Price is higher than it "should be" for the current RSI level, based on history. This is a sign of bullish strength or over-exuberance.
Negative (Red): Price is lower than it "should be" for the current RSI level. This is a sign of bearish weakness or being oversold.
Zero Line: Price is exactly where history suggests it should be for the current RSI. This is the "normal" or equilibrium state.
Think of it as an "expectations" indicator. Is the price over-performing or under-performing relative to its typical momentum signature?
How to Read the Indicator
1. The Main Oscillator (Relational Decay)
This is the central line that moves above and below zero.
Rising (Bullish Decay): When the line moves up, it means bulls are in control, pushing price higher than the RSI momentum would normally suggest.
Falling (Bearish Decay): When the line moves down, it means bears are in control, suppressing price lower than the RSI momentum would normally suggest.
Extreme Readings (> 2.0 or < -2.0): These are the dotted/dashed lines. Reaching these zones means the market is in an "extreme" state of deviation—either extremely over-extended (top) or extremely oversold (bottom) relative to its own history.
2. Background Color (Relationship Strength)
The background color tells you how reliable the indicator's main signal is right now.
Blue Background: High strength. The historical Price-RSI relationship is stable and consistent. The oscillator's readings are reliable.
Orange Background: Low strength. The historical relationship is weak, volatile, or inconsistent. The oscillator's readings are less reliable—the market is choppy or "out of character."
3. Diamonds (Extreme Reversal Signals)
These diamonds appear at potential exhaustion points.
Aqua Diamond (at bottom): An "Extreme Bullish Reversal." This appears when the indicator was at an extremely negative (bearish) level and has just started to turn up. It's a potential bottoming signal.
Fuchsia Diamond (at top): An "Extreme Bearish Reversal." This appears when the indicator was at an extremely positive (bullish) level and has just started to turn down. It's a potential topping signal.
4. The Info Table (Top Right)
This table provides a snapshot of the current state:
RSI/Price: Your current values.
Expected Price: The price the indicator "expects" to see based on the current RSI and historical data. This is the most important number.
Relational Decay: The main oscillator's value. It's essentially the difference between the Current Price and the Expected Price, normalized.
State: A simple text description (e.g., "Stable," "Strong Bullish Decay").
Matches Found: How many historical data points the script found to make its calculation.
Strength: The "Relationship Strength" (background color) as a percentage.
Key User Inputs
RSI Period (14): The lookback for the standard RSI calculation.
Historical Lookback (500): How many past bars the indicator should analyze to build its "normal" model. A larger number gives it more historical context.
RSI Similarity Threshold (3.0): How close the current RSI must be to a historical RSI to be considered a "match."
Normalization Method (Z-Score): The statistical method used to scale the output. Z-Score is standard and robust. "Percentile" and "Raw" are other options for different ways of viewing the deviation.
All indicators Dashboard ProDASHBOARD PRO - Professional Multi-Timeframe Analysis Tool
📊 THE ULTIMATE ALL-IN-ONE SCALPING INDICATOR
This comprehensive dashboard displays ALL essential indicators across 3 timeframes (1min, 5min, 15min) in one powerful table.
✨ KEY FEATURES:
- 🎯 GLOBAL SIGNAL SYSTEM - Automated buy/sell recommendations based on multiple indicator confluence
- 📈 MULTI-TIMEFRAME ANALYSIS - Compare 1min, 5min & 15min data simultaneously
- 🔥 PROFESSIONAL INDICATORS - EMA (9,21,50,200), RSI, MACD, TSI, Stochastic, ADX, VWAP, Bollinger Bands, ATR, CCI, Volume
- 💡 SMART SIGNALS - Real-time trend, momentum, and volatility signals color-coded for instant decision-making
- ⚡ INSTANT OVERVIEW - All critical data in one clean, organized table
- 🎨 CUSTOMIZABLE - Adjust all indicator parameters and table position/size
📌 PERFECT FOR:
✓ Scalpers seeking quick entry/exit points
✓ Day traders who need multi-timeframe confirmation
✓ Professional traders wanting comprehensive market analysis
✓ Anyone looking to eliminate chart clutter while maximizing information
🚀 TRADE SMARTER, NOT HARDER
Stop switching between multiple indicators! Get all the data you need in one glance and make confident trading decisions based on proven technical analysis.
⚠️ Risk Disclaimer: This indicator is for educational purposes only. Always practice proper risk management and never risk more than you can afford to lose.
#Scalping #DayTrading #TechnicalAnalysis #MultiTimeframe #TradingIndicator
Fibonacci Golden Wave (Qcore + Flux Charts)🚀 Overview
Fibonacci Golden Wave (Qcore + Flux Charts) blends the original Flux Golden Zone with Qcore enhancements for actionable signals. It keeps the core logic intact while adding clean alerts, LTF-weighted multi-timeframe confirmation, and a compact MTF dashboard. Built for fast, confident decision-making without clutter.
✨ Key Features
> Original Flux Golden Zone preserved — identical zones/behavior.
> Adaptive Golden Wave Color (toggle): zone turns green after sustained strength above; red after sustained weakness below (≥25% of swing range, fully outside).
> Golden Zone alerts:
Entered Golden Zone / Exited Golden Zone.
> EMA module: Plot EMA1/EMA2 (default 50/200) with EMA Cross-UP / Cross-Down alerts.
> MTF Table (H4, H1, M30, M15, M5, M1):
TREND: EMA1 vs EMA2 + price filter (UP/DOWN/SW).
RSI(14): value + adaptive background (OverB/OverS).
Stochastic (Slow %K): value + adaptive background (OverB/OverS).
Size + corner toggles.
> Alignment Alerts (no chart/table clutter):
Find BUY! / Find SELL! fire when LTF-weighted alignment confirms.
Modes: H-Risk, Balance (default), L-Risk.
Built-in cooldown (M5 clock) + state-flip guard + optional persistence per mode.
🛠 How to Use
1. Add to chart on your instrument/timeframe.
2. Golden Zone: trade reactions around the 0.5–0.618 band; use the Entered/Exited alerts to automate notifications.
3. EMAs: keep 50/200 defaults or customize lengths. Watch EMA Cross-UP/Down alerts for trend shifts.
4.MTF Dashboard: read TREND / RSI / STOCH alignment across H4→M1. The table updates in real time but doesn’t affect drawings.
5. Alignment Alerts (Signals only):
Choose Mode (Inputs → Alignment Alerts):
H-Risk: earliest, looser threshold.
Balance (default): early + LTF confirmation + 1-bar hold.
L-Risk: cleanest, strictest + 2-bar hold.
Set alert on Find BUY! / Find SELL! (Once-Per-Bar-Close recommended).
⚙️ Settings
General Configuration
Swing Range (default 20)
(DEV) Use Pivots (hidden unless debug)
Golden Zone / Style
Fib band choices (0.236–0.786)
Line/area/text styles
Adaptive Golden Wave Color (toggle)
EMAs
Show EMA 1 / Len (default 50)
Show EMA 2 / Len (default 200)
MTF Dashboard
Show MTF Table
Table Size: Tiny / Normal
Corner: Top-Right / Bottom-Right
MTF RSI Settings
RSI Length (default 14)
OverB / OverS (default 70 / 30)
MTF Stoch Settings
%K Length / Smooth K / %D Length (defaults 14 / 3 / 3)
OverB / OverS (default 80 / 20)
Alignment Alerts
Mode: H-Risk / Balance (default) / L-Risk
Cooldown (M5 bars): default 2
Alerts Available
Entered Golden Zone
Exited Golden Zone
EMA Cross-UP
EMA Cross-Down
Find BUY! (alignment)
Find SELL! (alignment)
📈 Trading Concepts
> Golden Ratio Reaction: price often reacts inside 0.5–0.618 retracement bands.
> Regime Confirmation: sustained closes fully outside the band suggest continuation; adaptive color highlights this.
> Trend Filter: EMA1 vs EMA2 plus price location reduces false reads.
> Multi-Timeframe Confluence: LTFs (M1/M5/M15) drive timing; HTFs (H1/H4) provide context and weight.
> Risk-First Execution: Alignment modes balance speed vs. quality and add cooldown to avoid over-signaling.
Note: This is a technical analysis tool. Always practice proper risk management and combine with other analysis techniques for best results.
Category: Volatility / Risk Management / Grid Support
Version: 3.0
Developer: Quant Core
SUN Signal Systems - Momentum-Based indicator
🌟 SUN SIGNAL — Momentum-Based indicator
Momentum-Based indicator using proprietary adaptive algorithms
to transform market noise into trading opportunities.
🎯 **KEY FEATURES:**
✅ **Color-Coded Momentum Line** — Visual clarity at a glance
🟢 Lime = Uptrend | 🔴 Pink = Downtrend |
✅ **Turbo Acceleration** — Catch explosive moves with spike detection
✅ **Reversal Detection** — Intra Bar reversal entries
✅ **Volatility Intelligence** — Auto-adapts to market conditions
✅ **MTF Analysis** — 7-timeframe confluence with Stochastic/RSI
✅ **Live Performance Dashboard** — Real-time win rate & profit tracking
✅ **Trend Filter** — Minimize counter-trend losses
✅ **Session Visualization** — Trade optimal times with session boxes
🎓 **Suitable for:** Scalpers • Day Traders • Swing Traders • Automated Trading
═══════════════════════════════════════════════════════════
🚀 **START YOUR FREE 7-DAY TRIAL**
Get complete access to the SUN Signal ecosystem:
• TradingView Indicator (this script)
• MetaTrader 5 Expert Advisor (fully automated)
• Complete strategy guide & tutorials
🔒 INVITE-ONLY ACCESS — Request access at our website www.sunsignalsystem.com
═══════════════════════════════════════════════════════════
⚠️ RISK DISCLAIMER: Trading involves substantial risk. Past performance
does not guarantee future results. Use proper risk management.
Liquidity Absorption OscillatorDescription:
The Liquidity Absorption Oscillator (LAO) is a sophisticated momentum indicator that measures how efficiently price moves relative to trading range while confirming momentum with volume-based liquidity flows. By combining price efficiency analysis with volume velocity, the LAO provides earlier and more reliable signals than traditional price-only oscillators, helping traders identify high-probability trend initiations and reversals.
🔍 Core Technology & Innovation:
Tri-Component Signal Processing:
Price Efficiency Ratio (PER): Measures how "cleanly" price moves by comparing net displacement to total trading range over the lookback period. High PER indicates trending markets with directional conviction.
Volume Velocity Ratio (VVR): Combines price momentum with volume confirmation, normalized by ATR to ensure consistent behavior across different instruments and volatility regimes.
Adaptive Smoothing: Dynamically adjusts responsiveness based on market conditions - becoming more stable during noisy periods and more responsive in clean trends.
Multi-Layer Signal Detection:
Confirmed Crossovers: Traditional zero-line crosses filtered by efficiency thresholds
Early Momentum Signals: Detects momentum shifts BEFORE zero-line crosses for optimal entry timing
Smart Divergence Detection: Identifies hidden bullish/bearish divergences with built-in quality filters
🎯 Trading Signals & Interpretation:
🟢 BULLISH SIGNALS:
Strong Buy: LAO crosses above zero line with medium/high efficiency (PER)
Early Buy: Momentum accelerates while LAO is still negative (anticipates reversal)
Divergence Buy: Price makes lower low while LAO forms higher low
🔴 BEARISH SIGNALS:
Strong Sell: LAO crosses below zero line with medium/high efficiency
Early Sell: Momentum decelerates while LAO is still positive (anticipates top)
Divergence Sell: Price makes higher high while LAO forms lower high
⚪ SIGNAL QUALITY FILTERING:
Automatic signal suppression during low-efficiency (choppy) market conditions
Configurable PER threshold ensures only high-quality signals are considered
📊 Visual Features:
Clean Oscillator Display: Smooth line plot with gradient fills above/below zero line
Multiple Coloring Options: Choose between no coloring, trend-based, or slope-based bar coloring
Professional Styling: Inspired by institutional-grade indicator design with subtle visual cues
Non-Repainting Logic: All signals confirmed on bar close for reliable backtesting
⚙️ Input Parameters:
Core Settings:
Lookback Period: Base period for efficiency and velocity calculations (default: 24)
Base Smooth Period: Starting point for adaptive smoothing (default: 8)
Min Efficiency for Signals: PER threshold for signal validation (default: 35)
Divergence Lookback: Bars to search for divergence patterns (default: 5)
UI Options:
Bar Coloring: Choose visual style (None, Trend, Slope)
🔔 Alert Conditions:
Buy/Sell Signal: Traditional zero-line crosses with quality filtering
Early Buy/Early Sell: Momentum-based signals before traditional crosses
All alerts use confirmed, non-repainting logic
Market Profile Dominance Analyzer# Market Profile Dominance Analyzer
## 📊 OVERVIEW
**Market Profile Dominance Analyzer** is an advanced multi-factor indicator that combines Market Profile methodology with composite dominance scoring to identify buyer and seller strength across higher timeframes. Unlike traditional volume profile indicators that only show volume distribution, or simple buyer/seller indicators that only compare candle colors, this script integrates six distinct analytical components into a unified dominance measurement system.
This indicator helps traders understand **WHO controls the market** by analyzing price position relative to Market Profile key levels (POC, Value Area) combined with volume distribution, momentum, and trend characteristics.
## 🎯 WHAT MAKES THIS ORIGINAL
### **Hybrid Analytical Approach**
This indicator uniquely combines two separate methodologies that are typically analyzed independently:
1. **Market Profile Analysis** - Calculates Point of Control (POC) and Value Area (VA) using volume distribution across price channels on higher timeframes
2. **Multi-Factor Dominance Scoring** - Weights six independent factors to produce a composite dominance index
### **Six-Factor Composite Analysis**
The dominance score integrates:
- Price position relative to POC (equilibrium assessment)
- Price position relative to Value Area boundaries (acceptance/rejection zones)
- Volume imbalance within Value Area (institutional bias detection)
- Price momentum (directional strength)
- Volume trend comparison (participation analysis)
- Normalized Value Area position (precise location within fair value zone)
### **Adaptive Higher Timeframe Integration**
The script features an intelligent auto-selection system that automatically chooses appropriate higher timeframes based on the current chart period, ensuring optimal Market Profile structure regardless of the trading timeframe being analyzed.
## 💡 HOW IT WORKS
### **Market Profile Construction**
The indicator builds a Market Profile structure on a higher timeframe by:
1. **Session Identification** - Detects new higher timeframe sessions using `request.security()` to ensure accurate period boundaries
2. **Data Accumulation** - Stores high, low, and volume data for all bars within the current higher timeframe session
3. **Channel Distribution** - Divides the session's price range into configurable channels (default: 20 rows)
4. **Volume Mapping** - Distributes each bar's volume proportionally across all price channels it touched
### **Key Level Calculation**
**Point of Control (POC)**
- Identifies the price channel with the highest accumulated volume
- Represents the price level where the most trading activity occurred
- Serves as a magnetic level where price often returns
**Value Area (VA)**
- Starts at POC and expands both upward and downward
- Includes channels until reaching the specified percentage of total volume (default: 70%)
- Expansion algorithm compares adjacent volumes and prioritizes the direction with higher activity
- Defines the "fair value" zone where most market participants agreed to trade
### **Dominance Score Formula**
```
Dominance Score = (price_vs_poc × 10) +
(price_vs_va × 5) +
(volume_imbalance × 0.5) +
(price_momentum × 100) +
(volume_trend × 5) +
(va_position × 15)
```
**Component Breakdown:**
- **price_vs_poc**: +1 if above POC, -1 if below (shows which side of equilibrium)
- **price_vs_va**: +2 if above VAH, -2 if below VAL, 0 if inside VA
- **volume_imbalance**: Percentage difference between upper and lower VA volumes
- **price_momentum**: 5-period SMA of price change (directional acceleration)
- **volume_trend**: Compares 5-period vs 20-period volume averages
- **va_position**: Normalized position within Value Area (-1 to +1)
The composite score is then smoothed using EMA with configurable sensitivity to reduce noise while maintaining responsiveness.
### **Market State Determination**
- **BUYERS Dominant**: Smooth dominance > +10 (bullish control)
- **SELLERS Dominant**: Smooth dominance < -10 (bearish control)
- **NEUTRAL**: Between -10 and +10 (balanced market)
## 📈 HOW TO USE THIS INDICATOR
### **Trend Identification**
- **Green background** indicates buyers are in control - look for long opportunities
- **Red background** indicates sellers are in control - look for short opportunities
- **Gray background** indicates neutral market - consider range-bound strategies
### **Signal Interpretation**
**Buy Signals** (green triangle) appear when:
- Dominance crosses above -10 from oversold conditions
- Previous state was not already bullish
- Suggests shift from seller to buyer control
**Sell Signals** (red triangle) appear when:
- Dominance crosses below +10 from overbought conditions
- Previous state was not already bearish
- Suggests shift from buyer to seller control
### **Value Area Context**
Monitor the information table (top-right) to understand market structure:
- **Price vs POC**: Shows if trading above/below equilibrium
- **Volume Imbalance**: Positive values favor buyers, negative favors sellers
- **Market State**: Current dominant force (BUYERS/SELLERS/NEUTRAL)
### **Multi-Timeframe Strategy**
The auto-timeframe feature analyzes higher timeframe structure:
- On 1-minute charts → analyzes 2-hour structure
- On 5-minute charts → analyzes Daily structure
- On 15-minute charts → analyzes Weekly structure
- On Daily charts → analyzes Yearly structure
This higher timeframe context helps avoid counter-trend trades against the dominant force.
### **Confluence Trading**
Strongest signals occur when multiple factors align:
1. Price above VAH + positive volume imbalance + buyers dominant = Strong bullish setup
2. Price below VAL + negative volume imbalance + sellers dominant = Strong bearish setup
3. Price at POC + neutral state = Potential breakout/breakdown pivot
## ⚙️ INPUT PARAMETERS
- **Higher Time Frame**: Select specific HTF or use 'Auto' for intelligent selection
- **Value Area %**: Percentage of volume contained in VA (default: 70%)
- **Show Buy/Sell Signals**: Toggle signal triangles visibility
- **Show Dominance Histogram**: Toggle histogram display
- **Signal Sensitivity**: EMA period for dominance smoothing (1-20, default: 5)
- **Number of Channels**: Market Profile resolution (10-50, default: 20)
- **Color Settings**: Customize buyer, seller, and neutral colors
## 🎨 VISUAL ELEMENTS
- **Histogram**: Shows smoothed dominance score (green = buyers, red = sellers)
- **Zero Line**: Neutral equilibrium reference
- **Overbought/Oversold Lines**: ±50 levels marking extreme dominance
- **Background Color**: Highlights current market state
- **Information Table**: Displays key metrics (state, dominance, POC relationship, volume imbalance, timeframe, bars in session, total volume)
- **Signal Shapes**: Triangle markers for buy/sell signals
## 🔔 ALERTS
The indicator includes three alert conditions:
1. **Buyers Dominate** - Fires on buy signal crossovers
2. **Sellers Dominate** - Fires on sell signal crossovers
3. **Dominance Shift** - Fires when dominance crosses zero line
## 📊 BEST PRACTICES
### **Timeframe Selection**
- **Scalping (1-5min)**: Focus on 2H-4H dominance shifts
- **Day Trading (15-60min)**: Monitor Daily and Weekly structure
- **Swing Trading (4H-Daily)**: Track Weekly and Monthly dominance
### **Confirmation Strategies**
1. **Trend Following**: Enter in direction of dominance above/below ±20
2. **Reversal Trading**: Fade extreme readings beyond ±50 when diverging with price
3. **Breakout Trading**: Look for dominance expansion beyond ±30 with increasing volume
### **Risk Management**
- Avoid trading during NEUTRAL states (dominance between -10 and +10)
- Use POC levels as logical stop-loss placement
- Consider VAH/VAL as profit targets for mean reversion
## ⚠️ LIMITATIONS & WARNINGS
**Data Requirements**
- Requires sufficient historical data on current chart (minimum 100 bars recommended)
- Lower timeframes may show fewer bars per HTF session initially
- More accurate results after several complete HTF sessions have formed
**Not a Standalone System**
- This indicator analyzes market structure and participant control
- Should be combined with price action, support/resistance, and risk management
- Does not guarantee profitable trades - past dominance does not predict future results
**Repainting Characteristics**
- Higher timeframe levels (POC, VAH, VAL) update as new bars form within the session
- Dominance score recalculates with each new bar
- Historical signals remain fixed, but current session data is developing
**Volume Limitations**
- Uses exchange-provided volume data which varies by instrument type
- Forex and some CFDs use tick volume (not actual transaction volume)
- Most accurate on instruments with reliable volume data (stocks, futures, crypto)
## 🔍 TECHNICAL NOTES
**Performance Optimization**
- Uses `max_bars_back=5000` for extended historical analysis
- Efficient array management prevents memory issues
- Automatic cleanup of session data on new period
**Calculation Method**
- Market Profile uses actual volume distribution, not TPO (Time Price Opportunity)
- Value Area expansion follows traditional Market Profile auction theory
- All calculations occur on the chart's current symbol and timeframe
## 📚 EDUCATIONAL VALUE
This indicator helps traders understand:
- How institutional traders use Market Profile to identify fair value
- The relationship between price, volume, and market acceptance
- Multi-factor analysis techniques for assessing market conditions
- The importance of higher timeframe structure in trade planning
## 🎓 RECOMMENDED READING
To better understand the concepts behind this indicator:
- "Mind Over Markets" by James Dalton (Market Profile foundations)
- "Markets in Profile" by James Dalton (Value Area analysis)
- Volume Profile analysis in institutional trading
## 💬 USAGE TERMS
This indicator is provided as an educational and analytical tool. It does not constitute financial advice, investment recommendations, or trading signals. Users are responsible for their own trading decisions and should conduct their own research and due diligence.
Trading involves substantial risk of loss. Past performance does not guarantee future results. Always use proper risk management and never risk more than you can afford to lose.
Dynamic Momentum OscillatorDescription:
The Dynamic Momentum Oscillator is a statistically-driven momentum tool that goes beyond traditional oscillators. Instead of using raw price, it analyzes the momentum of a DEMA (Double Exponential Moving Average) itself, creating a smoother, more refined signal. Its innovative approach incorporates volatility-weighted z-scoring, allowing the indicator to automatically adjust its sensitivity based on market conditions, helping to identify both the strength and sustainability of momentum shifts.
🔍 How It Works:
DEMA Momentum Core: The indicator first calculates a DEMA of the price. It then analyzes the momentum of this DEMA, effectively creating a "momentum of momentum" measure that filters out market noise.
Volatility-Adaptive Z-Score: The core signal is a statistical z-score, which measures how many standard deviations the DEMA is from its mean. This tells you not just the direction, but the statistical significance of the move.
Dynamic Volatility Weighting: The unique addition is a normalized standard deviation component that weights the z-score. In high volatility periods, this amplifies the signal, making strong trends more pronounced. In low volatility, it provides a more muted, conservative output.
🎯 Interpreting the Oscillator:
Zero Line: The baseline. Momentum is considered neutral here.
Orange Histogram (Above Zero): Indicates bullish momentum. The further the bar extends above zero, the stronger and more statistically significant the bullish momentum.
Purple Histogram (Below Zero): Indicates bearish momentum. The further the bar extends below zero, the stronger and more statistically significant the bearish momentum.
Signal Strength: The height of the histogram bars reflects the combined momentum and volatility, giving you a direct visual gauge of momentum strength.
⚙️ Input Parameters (Group: Core Settings):
DEMA Length: The period for the primary Double Exponential Moving Average.
Standard Deviation Length: The lookback period for calculating volatility and the z-score.
StDev Weight: Controls the influence of volatility on the final signal (0.1 = minimal, 1.0 = maximum). Adjust this to fine-tune the indicator's responsiveness.
By focusing on the statistical properties of price momentum, the Dynamic Momentum Oscillator offers a unique lens for pinpointing high-probability trend continuations and reversals. It's a powerful tool for traders who appreciate quantitative methods.
Alpha-Weighted RSIDescription:
The Alpha-Weighted RSI is a next-generation momentum oscillator that redefines the classic RSI by incorporating the mathematical principles of Lévy Flight. This advanced adaptation applies non-linear weighting to price changes, making the indicator more sensitive to significant market moves and less reactive to minor noise. It is designed for traders seeking a clearer, more powerful view of momentum and potential reversal zones.
🔍 Key Features & Innovations:
Lévy Flight Alpha Weighting: At the core of this indicator is the Alpha parameter (1.0-2.0), which controls the sensitivity to price changes.
Lower Alpha (e.g., 1.2): Makes the indicator highly responsive to recent price movements, ideal for capturing early trend shifts.
Higher Alpha (e.g., 1.8): Creates a smoother, more conservative output that filters out noise, focusing on stronger momentum.
Customizable Smoothing: The raw Lévy-RSI is smoothed by a user-selectable moving average (8 MA types supported: SMA, EMA, SMMA, etc.), allowing for further customization of responsiveness.
Intuitive Centered Oscillator: The RSI is centered around a zero line, providing a clean visual separation between bullish and bearish territory.
Dynamic Gradient Zones: Subtle, colour coded gradient fills in the overbought (>+25) and oversold (<-25) regions enhance visual clarity without cluttering the chart.
Modern Histogram Display: Momentum is plotted as a sleek histogram that changes color between bright cyan (bullish) and magenta (bearish) based on its position relative to the zero line.
🎯 How to Use & Interpret:
Zero-Line Crossovers: The most basic signals. A crossover above the zero line indicates building bullish momentum, while a crossover below suggests growing bearish momentum.
Overbought/Oversold Levels: Use the +25/-25 and +35/-35 levels as dynamic zones. A reading above +25 suggests strong bullish momentum (overbought), while a reading below -25 indicates strong bearish momentum (oversold).
Divergence Detection: Look for divergences between the Alpha-Weighted RSI and price action. For example, if price makes a new low but the RSI forms a higher low, it can signal a potential bullish reversal.
Alpha Tuning: Adjust the Alpha parameter to match market volatility. In choppy markets, increase alpha to reduce noise. In trending markets, decrease alpha to become more responsive.
⚙️ Input Parameters:
RSI Settings: Standard RSI inputs for Length and Calculation Source.
Lévy Flight Settings: The crucial Alpha factor for response control.
MA Settings: MA Type and MA Length for smoothing the final output.
By applying Lévy Flight dynamics, this indicator offers a nuanced perspective on momentum, helping you stay ahead of the curve. Feedback is always welcome!
CG Momentum - Table🇹🇭 คำอธิบาย (ภาษาไทย)
CG Momentum - Table
อินดิเคเตอร์นี้ถูกออกแบบมาเพื่อใช้ตรวจสอบสภาพตลาดและโมเมนตัมในหลาย Timeframe พร้อมกันในรูปแบบ “ตาราง” ที่เข้าใจง่าย ช่วยให้ผู้ใช้งานสามารถประเมินแรงซื้อ/แรงขาย และแนวโน้มของตลาดในภาพรวมได้อย่างรวดเร็ว โดยไม่ต้องเปิดหลายหน้าจอหรือสลับกราฟบ่อย ๆ
✅ องค์ประกอบหลักที่แสดงในตาราง
คอลัมน์ ความหมาย
TF ช่วงเวลา (Timeframe) ที่ใช้วิเคราะห์
W%R ระบุโซน Overbought / Oversold ของราคา (ค่าในช่วง 0..-100)
Stoch %K วัดแรงดีดตัวและความเร็วของการเคลื่อนที่ของราคาในช่วงสั้น
MACD ± วัดทิศทางโมเมนตัมด้วยการดูความชันของ MACD (ขึ้นต่อเนื่อง = + , ลงต่อเนื่อง = -)
RSI ± วัดพลังของราคาโดยเปรียบเทียบ RSI กับค่าเฉลี่ยของตัวมันเอง (RSI > SMA(RSI) = + , RSI < SMA(RSI) = -)
🎯 จุดประสงค์ของอินดิเคเตอร์นี้
เพื่อช่วยประเมิน สภาวะตลาดในหลาย TF อย่างรวดเร็ว
ใช้เป็น เครื่องมือยืนยันสัญญาณร่วม กับระบบเทรดเดิม
มองเห็นจุดที่ตลาด เริ่มเปลี่ยนแรง / เปลี่ยนโมเมนตัม
ลดการเข้าออเดอร์ผิดฝั่งในช่วงที่ตลาดอ่อนแรงหรือแกว่งตัว
🧠 แนวคิดการนำไปใช้งาน
มองหาช่วงที่ หลาย TF ให้สัญญาณไปในทิศทางเดียวกัน
ตัวอย่างโซนเข้า Long ที่น่าสนใจ:
W%R อยู่ใกล้ Oversold
Stoch เริ่มดีดขึ้น
MACD เป็น +
RSI เป็น +
การที่สัญญาณหลายตัว “ตรงกัน” เท่ากับมี ความน่าจะเป็นสูงขึ้น
⚠️ หมายเหตุสำคัญ
อินดิเคเตอร์นี้เป็น เครื่องมือช่วยตัดสินใจ ไม่ใช่สัญญาณเข้าออกเพียงอย่างเดียว
ควรใช้ร่วมกับ:
แนวรับ / แนวต้าน
โครงสร้างราคา (Structure)
Volume หรือ Price Action
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🇺🇸 English Description
W%R & Stoch + MACD + RSI Multi-Timeframe Momentum Dashboard
This indicator provides a clean and efficient momentum overview across multiple timeframes.
It displays key oscillator and momentum signals in a structured table, making it easy to assess whether the market is trending, reversing, or ranging without switching charts.
✅ Table Columns Explained
Column Meaning
TF Timeframe being analyzed
W%R Identifies Overbought / Oversold price conditions (0..-100 scale)
Stoch %K Measures short-term price momentum and bounce strength
MACD ± Momentum slope direction (MACD rising for 2 bars = “+”, falling = “-”)
RSI ± RSI strength relative to its SMA (RSI > RSI SMA = “+”, RSI < RSI SMA = “-”)
🎯 Purpose of This Indicator
To provide multi-timeframe momentum context at a glance
To act as a confirmation tool alongside your existing strategy
To help identify momentum shifts and trend continuation signals
To reduce false entries in weak or choppy market conditions
🧠 How to Use
Look for alignment across multiple timeframes:
Example for bullish setup:
W%R near Oversold
Stoch turning upward
MACD shows “+”
RSI shows “+”
The more alignment → the stronger the probability of a successful entry.
⚠️ Disclaimer
This indicator is a decision support tool, not a standalone entry signal.
Use together with:
Support / Resistance zones
Market Structure
Volume or Price Action confirmation
Flow Trend Index (FTI) | Open-access [Limited]Flow Trend Index (FTI)
The Flow Trend Index (FTI) combines momentum, trend, and volatility into a single adaptive visual layer.
It measures how strongly the market is moving (flow), where its fair-value baseline lies (trend), and showing signs of exhaustion.
This unified view helps analysts — especially beginners — instantly recognize when the market is gaining strength, losing momentum, or shifting direction, and especially when conditions are overbought or oversold.
- Smoothed RSI (Heikin-Ashi Powered)
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Transforms RSI into color-coded candles. Heikin-Ashi smoothing filters noise, revealing true momentum waves and exhaustion points — less lag, more authenticity.
→ See momentum, not just numbers.
- McGinley Dynamic Line
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An adaptive moving average that breathes with market speed — faster in rallies, slower in chop. Zyro’s version is tuned for volatile assets like BTC or NAS100.
→ Tracks rhythm between trend and pause.
- FIBB Cloud (Fibonacci ATR Bands)
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Volatility envelope built from ATR × Fibonacci ratios. Expands and contracts with real market energy, mapping zones of pressure and release.
→ Shows where price stretches or resets.
In short:
FTI - visualizes market flow — blending momentum, trend, Exhaustion zones, Distribution climax and volatility into one adaptive system.
Follow me on:
────────────
YouTube: www.youtube.com
Twitter (i refuse it to call X): x.com
🌐 Discover the FTI Series: zyrotrades.gumroad.com
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Stay in the Flow ༄.°
No signals or alerts are generated — the indicator is intended solely for visualization, study, and educational purposes.
© Zyro Trades. All rights reserved.
Zyro™ and FTI™ are unregistered trademarks of Zyro Trades.
Valdex BBWP MultitimeframeValdex BBWP Multitimeframe: Multitimeframe Volatility at Your Fingertips
Created by:
Adaptation of: Bollinger Band Width Percentile (BBWP)
// --- GENERAL DESCRIPTION ---
The **Valdex BBWP Multitimeframe** indicator is an advanced and optimized adaptation of the classic *Bollinger Band Width Percentile (BBWP)* indicator. Its purpose is to provide a robust and flexible tool for measuring the market's **relative volatility** on a scale from 0 to 100.
What distinguishes this version is its ability to **analyze volatility across THREE timeframes simultaneously**, allowing you to confirm expansion (high volatility) or contraction (low volatility) in higher timeframes without switching charts. It is an essential filter for any breakout or retracement strategy.
// --- KEY FEATURES ---
1. Base Line (Current TF): Displays the BBWP calculated on the exact timeframe of the current chart, preserving its pure, unsmoothed value (original "noise").
2. Multitimeframe (MTF) Lines: Allows you to define two separate BBWP lines, each pulling data from an external timeframe (e.g., 60 minutes, Daily). Includes a configurable Moving Average (MA) to smooth the noise.
3. Key References: Includes horizontal lines at 0, 50, and 100 for quick zone identification.
// --- CONFIGURATION AND USAGE ---
For MTF Lines 2 and 3, you must manually enter the desired timeframe in the text field (valid examples: 5, 60, 240, D, W).
----------------------------------------------------------------------
🇪🇸 Versión en Español: Valdex BBWP Multitimeframe: La Volatilidad Multitemporal
El indicador Valdex BBWP Multitimeframe es una adaptación optimizada del BBWP. Mide la volatilidad relativa del mercado en una escala del 0 al 100, simultáneamente en TRES temporalidades distintas. Es un filtro esencial para cualquier estrategia basada en rupturas o retrocesos.
Funcionalidades Clave:
1. Línea Base (TF Actual): Coincide con el BBWP puro de la temporalidad del gráfico actual (sin suavizar).
2. Líneas Multitemporales (MTF): Permite definir dos líneas de BBWP separadas, extrayendo datos de una temporalidad externa (ej.: 60 minutos, Diario). Incluye una Media Móvil (MA) configurable para suavizar el ruido.
Valdex BBWP Multitimeframe🇬🇧 (English Version)
Valdex BBWP Multitimeframe: Multitimeframe Volatility.
**Created by:**
**Adaptation of: Bollinger Band Width Percentile (BBWP)
📄 General Description
The **Valdex BBWP Multitimeframe** indicator is an advanced and optimized adaptation of the classic *Bollinger Band Width Percentile (BBWP)* indicator. Its purpose is to provide a robust and flexible tool for measuring the market's **relative volatility** on a scale from 0 to 100.
What distinguishes this version is its ability to **analyze volatility across THREE timeframes simultaneously**, allowing you to confirm expansion (high volatility) or contraction (low volatility) in higher timeframes without switching charts. It is an essential filter for any breakout or retracement strategy.
✨ Key Features
The indicator plots three volatility lines, each with a specific and independently configurable purpose:
1. **Base Line (Current TF):** Displays the BBWP calculated on the **exact timeframe of the current chart**, preserving its pure, unsmoothed value (original "noise").
2. **Multitimeframe (MTF) Lines:** Allows you to define two completely separate BBWP lines, each pulling data from an **external timeframe** (e.g., 60 minutes, Daily). Includes a **configurable Moving Average (MA)** to smooth the noise.
⚙️ Configuration and Usage
* **BBWP Base Settings:** You can configure the underlying BBWP parameters: Bands Length (13 default) and Percentile Lookback (252 default).
* **MTF Configuration:** For Lines 2 and 3, you **must manually enter** the desired timeframe in the text field (valid examples: `5`, `60`, `240`, `D`, `W`).
OsMA by A8/4 - Limited Edition🌟 **OsMA by A8/4 — The Ultimate Indicator for XAUUSD Trading** 🌟
An intelligent **automated system** designed exclusively for **gold trading**, equipped with everything you need in one tool 🔥
💡 **Key Features of OsMA by A8/4**
✅ **Auto Entry Signals**
Automatically detects trade opportunities using a **refined MACD Histogram formula** for enhanced accuracy.
Displays **LONG/SHORT arrows only on the first bar** to keep your chart clean and readable.
✅ **Auto Take Profit & Stop Loss System (Auto TP/SL)**
Once a signal appears, the system automatically sets:
* **TP1 = +15 USD**
* **TP2 = +25 USD**
* **SL = -10 USD**
These levels are displayed as **dashed lines** on the chart — clear and updated in real-time.
✅ **Smart DCA System (3 Orders)**
Works for both LONG and SHORT positions:
* **Order 1:** Entry upon signal confirmation (after candle close)
* **Order 2:** Entry at 5 USD below/above Order 1
* **Order 3:** Entry at another 5 USD below/above Order 2
The system automatically **calculates the average entry price** and **adjusts the SL** to -10 USD from the average cost.
This helps **spread risk** and **increase recovery potential** when prices rebound 💰
✅ **Specially Designed for XAUUSD Trading**
Compatible with both **Spot Gold** and **TFEX Gold Futures**.
Perfect for traders who value **clear, structured entry and exit strategies**.
Stochastic Triple Momentum by SidHemA precision-tuned Stochastic system combining MTF (Multi Time Frame) momentum, Divergence detection, and market pressure scoring.
Full Description:
Stochastic Triple Momentum by SidHem is a performance-focused oscillator designed for traders who want deeper momentum insight without chart clutter. It enhances the classic Stochastic with three high-value features:
The "Triple Momentum" refers to:
Stochastic slope momentum
RSI momentum zone
MFI money flow bias
1) Multi-Timeframe Stochastic
Compare local swings against higher timeframe momentum.
Turn it on when you want trend confirmation across intraday → swing → positional context.
2) Full Divergence Engine (Regular + Hidden)
Automatically detects:
Regular Bullish / Regular Bearish Divergence
Hidden Bullish / Hidden Bearish Divergence
Visual style options:
Labels on the stochastic panel
Swing-to-swing Divergence Lines
Each divergence category has independent color, width, and label size controls.
3) Trend Strength Meter + Heat Strip
Momentum pressure is scored using:
Stochastic slope direction
RSI position relative to 50
MFI (Money Flow Index) position relative to 50
This produces a clear bias/sentiment reading:
Strong Bear → Bearish → Weak Bear → Neutral → Weak Bull → Bullish → Strong Bull
Displayed as:
A Trend Strength Label (movable to multiple panel positions)
A Heat Strip at the bottom of the panel for quick visual bias
Additional Customization:
Adjustable %K / %D smoothing
Selectable line style, width, opacity
Overbought / Oversold bands with independent styling
Classic / Modern / Heatmap background shading modes
Optional RSI and MFI overlays
Panel locked to 0-100 for consistent scaling
Ideal Usage:
Use higher timeframes (e.g., 4H / Daily) for trend bias.
Use divergences + %K/%D crossovers for precise entry timing.
Use Trend Meter and Heat Strip to filter out weak signals.
This indicator works on:
Stocks
Index Futures
Crypto
Forex
Commodities
Any timeframe
Luminous Glide Momentum Indicator [wjdtks255]This indicator, named "Customized SuperSmoother MA Oscillator," applies a smoothing filter to price data using a SuperSmoother technique to reduce noise and enhance signal clarity. It calculates two moving averages on the smoothed data—a fast and a slow—whose difference forms the oscillator line. A signal line is derived by smoothing the oscillator with another moving average. The histogram visualizes the divergence between the oscillator and signal lines, indicating momentum strength and direction.
How it works
SuperSmoother Filter: Reduces price noise to provide smoother and more reliable signals than raw data.
Fast and Slow Moving Averages: The fast MA reacts quicker to price changes, while the slow MA indicates longer trends.
Oscillator: The difference between the fast and slow MAs signals shifts in momentum.
Signal Line: A smoothed version of the oscillator used to generate crossovers.
Histogram: Displays the distance between the oscillator and signal line, with color changes indicating bullish or bearish momentum.
Trading Strategy
Buy Signal: When the oscillator crosses above the signal line, it suggests increasing upward momentum, signaling a potential buy opportunity.
Sell Signal: When the oscillator crosses below the signal line, it suggests increasing downward momentum, signaling a potential sell opportunity.
Histogram Size and Color: Larger green bars indicate stronger bullish momentum; larger red bars indicate stronger bearish momentum.
Usage Tips
Combine this oscillator with other indicators or price action analysis to confirm trading signals.
Adjust smoothing and moving average lengths according to your trading timeframe and the asset volatility.
Use proper risk management to filter out potential false signals common in oscillators.
Confluence Oscillator EnhancedThe **Confluence Oscillator** (Enhanced by Sila) is a sophisticated multi-component trading indicator that combines four powerful analytical tools to provide comprehensive market analysis. This indicator integrates oscillator signals, money flow analysis, confluence detection, and reversal identification to help traders make informed decisions.
1. **Hyper Wave Oscillator
- Primary momentum oscillator with signal smoothing
- Divergence detection capabilities
- Crossover/crossunder signal generation
2. Smart Money Flow (MFI)
- Modified Money Flow Index analysis
- Volume-weighted price momentum
- Bullish/bearish flow tracking
3. Confluence System
- Real-time confluence percentage calculation
- Visual confluence meter and areas
- Multi-component signal alignment
4. Reversal Detection
- Volume-based reversal signals
- Major and minor reversal identification
- RSI-enhanced volume analysis
5. Delta Footprint (coming soon)
Z-Score of RSI//@version=5
indicator("Z-Score of RSI", overlay=false)
// Tham số
rsi_length = input.int(14, "RSI Length")
z_length = input.int(60, "Z-Score Period")
// Tính RSI
rsi = ta.rsi(close, rsi_length)
// Tính Z-Score
mean_rsi = ta.sma(rsi, z_length)
std_rsi = ta.stdev(rsi, z_length)
z_rsi = (rsi - mean_rsi) / std_rsi
// Vẽ biểu đồ
plot(z_rsi, color=color.new(color.aqua, 0), linewidth=2, title="Z-Score(RSI)")
hline(0, "Mean", color=color.gray)
hline(2, "Overbought (+2σ)", color=color.red)
hline(-2, "Oversold (-2σ)", color=color.lime)
// Cảnh báo (tuỳ chọn)
bgcolor(z_rsi < -2 ? color.new(color.lime, 85) : na)
bgcolor(z_rsi > 2 ? color.new(color.red, 85) : na)
Combo OsMAMACD + OsMA Combo shows classic MACD (12,26,9) lines together with a colored OsMA histogram. Histogram bars change color based on momentum: one color for increasing bars, another for decreasing. Helps visualize trend strength and momentum shifts.
Long Shot ESPurpose: Highlights trend direction and strength to support quick trading decisions.
Advantages: Candle coloring, visual arrows for key signals, status table for indicators, and configurable alerts for real-time notifications.
How to Use: Follow colored candles and arrows to identify trend opportunities, check the status table for confirmation, and use alerts to act on important signals.






















