Indicators and strategies
Hammer PivotPurpose of the Indicator
This indicator is designed to identify special “pivot” candles on a price chart based on the ratio of the candle’s body and wicks. It highlights potential reversal or continuation points by drawing key high/low levels and optionally candle shapes.
It’s particularly useful for:
Spotting bullish and bearish signals.
Detecting hammer and inverted hammer type candles.
Creating visual support/resistance levels.
Use Cases
Support & Resistance Levels: The high/low lines of pivot candles often act as short-term levels.
Trend Reversal Detection: A bullish pivot may signal the start of an uptrend; a bearish pivot may signal the start of a downtrend.
Confirmation for Entries: Combine with other indicators or price action for trade entries.
Chart Clarity: Option to show/hide past pivots so charts don’t get cluttered.
EDGAR Weekly Overview (EWO)EDGAR Weekly Overview (EWO)
The EDGAR Weekly Overview (EWO) gives traders a clear map of market direction throughout the week.
It detects how price reacts to institutional zones and shows where the market could move next — whether it’s pushing upward toward R3 or falling toward S3.
From Monday’s opening, you can instantly see if the market starts building bullish momentum or showing weakness.
It helps you visualize how the weekly trend develops, so you can plan sniper entries on lower timeframes like M1 or M5 with higher accuracy.
⚙️ Key Features:
Tracks weekly high, low, and close for precise base levels
Displays resistance/support zones (R3–R1, BASE, S1–S3)
Real-time distance display for each level on dashboard
Works perfectly with gold (XAUUSD), indices, and crypto
Great for top-down analysis with 1-hour or 1-minute scalping
📈 How It Helps You:
Within a single week, you can clearly see:
Where the market is heading (up or down)
Which levels the price is likely to reject or break
How big players and institutions are positioning
This makes it easier to follow weekly structure and avoid entering against the main market flow.
Bollinger Bands %b Trend | DextraOverview
The Bollinger Bands %b Trend | Dextra is a custom technical indicator designed to enhance trend identification using the Bollinger Bands %b concept. This indicator calculates the percentage position of the price relative to the Bollinger Bands and uses customizable thresholds to determine bullish or bearish trends. It integrates dynamic candle coloring and a clear visual representation to assist traders in making informed decisions.
Key Features
- Bollinger Bands %b Calculation: Measures the price's position between the upper and lower Bollinger Bands as a percentage, providing a normalized view of overbought or oversold conditions.
- Trend Detection: Identifies uptrends and downtrends based on user-defined thresholds, offering a straightforward trend-following approach.
- Dynamic Candle Coloring: Colors candles according to the detected trend (green for uptrend, magenta for downtrend, gray for neutral), enhancing visual trend analysis.
- Customizable Parameters: Allows adjustment of length, standard deviation multiplier, and trend thresholds to suit various market conditions and trading styles.
How It Works
1. Bollinger Bands Calculation:
- The indicator uses an Exponential Moving Average (EMA) as the basis, calculated with a user-defined `length` (default 34).
- Upper and lower bands are derived by adding and subtracting a multiple of the standard deviation (`mult`, default 2.0) from the EMA.
- The %b value is computed as `(src - lower) / (upper - lower)`, where `src` is the price source (default `close`).
2. Trend Identification:
- An uptrend is detected when %b exceeds the `upperthreshold` (default 0.75).
- A downtrend is detected when %b falls below the `lowerthreshold` (default 0.26).
- The trend state is maintained until a new threshold condition is met.
3. Visualization:
- The %b line is plotted with a color reflecting the trend (green for uptrend, magenta for downtrend, gray for neutral).
- Horizontal dashed lines mark the uptrend and downtrend thresholds for reference.
- Candles are colored to match the trend, providing an overlay visualization on the price chart.
Customization Options
- Length: Adjust the EMA and standard deviation period (default 34, min 1).
- Source: Select the price data source for calculations (default `close`).
- StdDev: Set the standard deviation multiplier for band width (default 2.0, range 0.001 to 50).
- Uptrend Threshold: Define the %b level for uptrend detection (default 0.75, step 0.01).
- Downtrend Threshold: Define the %b level for downtrend detection (default 0.26, step 0.01).
Ideal Use Cases
- Trend Following: Perfect for traders seeking to capitalize on sustained price movements with clear entry and exit signals.
- Volatility Analysis: Useful for identifying periods of high or low volatility when combined with the %b positioning.
- Complementary Tool: Works well alongside momentum indicators (e.g., RSI) or volume-based tools to confirm trend strength.
#### Disclaimer
This indicator is provided for educational and informational purposes only. It is not intended to serve as financial advice or a guaranteed method for trading success. Trading involves significant risks, including the potential loss of capital. Users are solely responsible for their trading decisions and should conduct their own analysis and apply appropriate risk management strategies.
Notes
- Ensure your chart has sufficient historical data to reflect accurate Bollinger Bands calculations.
- Test the indicator on a demo account before using it in live trading to validate its performance with your preferred assets and timeframes.
This indicator is a versatile addition to any trader's toolkit, offering a blend of trend detection and visual clarity tailored to modern trading needs.
DM Scalper TrioQuick trade plan
Timeframe: works best on 1–15m for scalps.
Market state filter: only trade with VWAP.
Long setup
Trend: Price above VWAP and EMA9 > EMA32.
Trigger: After a small pullback, a candle closes back above EMA9 (or EMA9 crosses up EMA32).
Entry: Market/limit at the close of the trigger candle.
Invalidation (stop): Below the recent swing low or 1.5×ATR(14) below entry.
Target: 1) Fixed R (e.g., +2R), or 2) scale out at +1R and trail the rest with EMA32 or a chandelier stop, or 3) exit if price closes back under VWAP.
Short setup (mirror)
Price below VWAP, EMA9 < EMA32 → pullback → close back below EMA9 (or EMA9 crosses down EMA32).
Stop above swing high or 1.5×ATR(14); targets as above.
Exit on close back above VWAP or opposite signal.
Risk + management
Risk ≤1% of account per trade.
Position size = Account Risk / (Entry – Stop) (mirror for shorts).
Skip trades around major news and low-liquidity times.
DM Auto PDH/PDL/PMH/PMLThe “DM Auto PDH/PDL/PMH/PML” indicator is a price-level plotting tool designed for intraday traders who want to automatically display key reference levels on their TradingView chart — specifically:
What It Does
It automatically plots and labels:
PDH (Previous Day High) – The highest price of the previous trading day.
PDL (Previous Day Low) – The lowest price of the previous trading day.
PMH (Premarket High) – The highest price during the premarket session (e.g., 4:00–9:30 AM).
PML (Premarket Low) – The lowest price during the premarket session.
These levels are critical for many day traders to identify:
Potential support/resistance zones.
Breakout or reversal areas.
Liquidity zones where price tends to react.
Key Features
Automatic Detection:
The script calculates these levels automatically from live or historical data.
Custom Session Settings:
You can define your premarket hours (default: 04:00–09:30 exchange time).
Visual Customization:
Choose whether to show lines only on the latest bar or across the whole chart.
Choose line colors for PDH, PDL, PMH, and PML.
Optionally display labels (e.g., “PDH”, “PML”) at the right edge of the chart.
No Signals or Strategy Logic:
This version does not buy/sell or alert — it’s purely a visual reference indicator for price levels.
Typical Uses
Day traders and scalpers use this to:
Plan trades around prior-day highs/lows (major intraday levels).
Identify premarket extremes, which often act as first support/resistance after the open.
Combine with other indicators (VWAP, moving averages, volume profiles) for confirmation.
Summary
Level Meaning Common Usage
PDH Previous Day High Resistance / Breakout Target
PDL Previous Day Low Support / Breakdown Target
PMH Premarket High Intraday Resistance Zone
PML Premarket Low Intraday Support Zone
Karthik's GANN Monthly PivotsKarthik's GANN Monthly Pivots
These monthly pivots act as support and resistance most of the times.
It shows the trend direction.
If the price is above the recent monthly level, we have to look for buying opportunities only.
If the price is below the recent monthly level, we have to look for shorting opportunities only.
DM Scalper FlowHow to enter trades manually
You can use this workflow:
For LONG entries
Wait for the “LONG ▲” bias to appear on the table.
Confirm the candle is bullish (close > open) and above VWAP.
Enter at or near the close of that bar or on a small pullback.
Set stop loss at Bull SL, target at Bull TP from the table.
For SHORT (PUT) entries
Wait for the “PUT ▼” bias.
Confirm the candle is bearish (close < open) and below VWAP.
Enter near the close or next small retracement.
Use Bear SL and Bear TP from the table.
How to interpret the table
Row Meaning Usage
Bull SL / TP ATR-based Stop-Loss and Take-Profit levels for a long Use as your entry plan if you take a long
Bear SL / TP ATR-based levels for a short Use for short entries
Bias “LONG” or “PUT” signal + arrow Follow only when it’s active
Elephant Zones Crypto Gold Silver Forex Pro v5.6.3 (Int)Especially Designed for Crypto, gold, silver and forex.
SwingX Pro Buy Sell Signal Indicator – Swing Breakouts |AlgoFluxSwingX Pro Buy Sell Signal Indicator – Swing Breakouts + Liquidity Zones | AlgoFlux
SwingX Pro by AlgoFlux is a premium Buy-Sell Signal Indicator that identifies swing breakouts, liquidity zones, and trend shifts with precision. Perfect for swing & intraday traders who want clear market structure visualization and professional confluence confirmation — all in one clean dashboard.
The SwingX Pro is an advanced Buy & Sell Signal Indicator engineered for swing and intraday traders who demand clarity and precision.
It combines powerful market structure tracking, breakout detection, and liquidity-zone mapping into a single visual dashboard — helping traders capture high-probability moves with professional accuracy.
🔹 Key Features
✅ Smart Buy & Sell signal system
✅ Auto-detected Swing Breakouts & Liquidity Zones
✅ Multi-timeframe alignment panel
✅ Dynamic support & resistance visualization
✅ Clean, minimal dashboard for quick decision making
✅ Works across NSE, Forex, Crypto, and Commodities
📞 AlgoFlux Contact Info
🌐 Website: www.AlgoFluxIndicator.com
🛒 Shop Now: algofluxindicator.com
📩 Email: algofluxindicator@gmail.com
💬 Telegram Support: t.me
📢 Telegram Channel: t.me
📸 Instagram: www.instagram.com
📊 TradingView: www.tradingview.com
📺 YouTube: www.youtube.com
CMEs Window (another Beyond Candle)CMEs Window (Beyond Candle) is an indicator designed to display special price windows on CME charts of major tokens such as Bitcoin (BTC) and Ethereum (ETH). This version has been upgraded to Pine Script version 6 with many improvements in performance and compatibility
EquiSense AI Signals🇸🇦 العربي
المتنبئ الذكي المتوازن (AI v7)
وصف قصير:
مؤشر تجميعي ذكي يوازن بين الاتجاه والزخم والحجم والتذبذب وأنماط الشموع، ويحوّلها إلى نظام نقاط ونجوم يولّد إشارات شراء/بيع مؤكَّدة بتقاطع MACD. بعد الإشارة، يعرض أهدافًا ذكية (TP1/TP2/TP3) ووقف خسارة مبنيَّيْن على ATR مع رسومات مستقبلية ولوحة معلومات لإدارة الصفقة.
الإعدادات (Inputs)
الحد الأدنى للنقاط (min_score): افتراضي 6.0 — كلما ارتفع قلّت الإشارات وزادت جودتها.
الحد الأدنى للنجوم (min_stars): افتراضي 2 — فلتر لقوة الإشارة.
عدد الشموع المستقبلية (future_bars): افتراضي 15 — مدى رسم الأهداف والوقف للأمام.
استخدام الأهداف الذكية (use_ai_targets): تفعيل/إيقاف مضاعِف الذكاء الاصطناعي للأهداف والوقف.
كيف يعمل؟
يحسب المؤشر buy_score/sell_score من مجموعة عوامل: EMA8/21/50/200، RSI + متوسطه، MACD + Histogram، Stochastic، ADX/DMI، VWAP، الحجم، MTF 15m، ROC/المومنتَم، Heikin Ashi، وأنماط (ابتلاع/مطرقة/شهاب).
يحوّل الدرجات إلى نجوم (⭐⭐ إلى ⭐⭐⭐⭐⭐) حسب القوة.
تولّد الإشارة فقط إذا توفّر: درجة ≥ الحد + نجوم ≥ الحد + تقاطع MACD (صعودًا للشراء، هبوطًا للبيع).
عند الإشارة يبدأ سيناريو صفقة واحدة فقط حتى تنتهي (TP3 أو SL).
الأهداف والوقف (ذكاء اصطناعي)
تُشتق من ATR ثم تُعدَّل عبر مضاعِف AI مبني على: ATR%، الزخم (ROC)، الحجم مقابل متوسطه، قوة الاتجاه (ADX)، وعدد النجوم.
تقريبيًا:
TP1 ≈ 1.5×ATR × AI
TP2 ≈ 2.5×ATR × AI
TP3 ≈ 4.0×ATR × AI
SL ≈ 1.0×ATR ÷ AI
ماذا سترى على الشارت؟
علامات “شراء/بيع”، نجوم قرب الإشارة، خط دخول (أزرق)، وقف (أحمر منقّط)، TP1/TP2 (أخضر)، TP3 (ذهبي) مع صناديق مناطق للأهداف وخط ربط نحو الهدف النهائي.
وسم AI يعرض نسبة المضاعِف والنجوم بصريًا.
لوحة معلومات تعرض الحالة، القوة، AI%، السعر، الدرجات، وأثناء الصفقة: الدخول، TP1/TP2/TP3، والربح اللحظي.
التنبيهات (Alerts)
شرطان جاهزان: شراء وبيع عند تحقق الإشارة.
أضِف تنبيه: Right click → Add alert → اختر المؤشر → الشرط المطلوب.
أفضل الممارسات
استخدم الإطار المناسب للأصل:
سكالبينغ 5–15m: min_score 8 وmin_stars 3–4.
تأرجحي H1–H4: min_score 7 وmin_stars 3.
يومي/أسهم: min_score 6–7 وmin_stars 2–3.
فضّل التداول مع EMA200 واتجاه MTF 15m.
خفّض المخاطرة وقت الأخبار العالية.
التزم بإدارة مخاطر ثابتة (مثلاً 1% لكل صفقة).
حدود مهمة
الأفضل انتظار إغلاق الشمعة لتأكيد التقاطعات وتجنّب تغيّرها.
صفقة واحدة في المرة بفضل حالة in_trade.
يستخدم request.security مع lookahead_off لإطار 15m؛ التزم بالتقييم عند الإغلاق.
أسئلة شائعة
هل يستخدم منفردًا؟ نعم، لكن مع مناطق سعرية/ترند وخطة مخاطر يصبح أقوى.
لماذا تختلف الأهداف؟ لأن مضاعِف AI يكيّف TP/SL مع ظروف السوق.
إخلاء مسؤولية
هذه أداة تحليلية تعليمية وليست نصيحة استثمارية. اختبر الإعدادات تاريخيًا والتزم بالمخاطرة المناسبة.
ملاحظة للمبرمجين
Pine Script v6، متغيرات var لحفظ الحالة، تنظيف الرسومات على الشمعة الأخيرة، مع حدود مرتفعة للرسوم لتجنّب الأخطاء.
🇬🇧 English
Balanced Smart Predictor (AI v7)
Short description:
A smart, ensemble-style indicator that blends trend, momentum, volume, volatility, and candle patterns into a score & star system that produces Buy/Sell signals confirmed by MACD crosses. After a signal, it projects smart targets (TP1/TP2/TP3) and a stop-loss derived from ATR, with forward drawings and a control panel for trade management.
Inputs
Minimum Score (min_score): default 6.0 — higher = fewer but stronger signals.
Minimum Stars (min_stars): default 2 — extra filter for strength.
Future Bars (future_bars): default 15 — how far targets/SL are drawn ahead.
Use AI Targets (use_ai_targets): toggle the AI multiplier for TP/SL.
How it works
Computes buy_score/sell_score from: EMA8/21/50/200, RSI & its MA, MACD & Histogram, Stochastic, ADX/DMI, VWAP, Volume, 15m MTF tilt, ROC/Momentum, Heikin Ashi, and candle patterns (engulfing/hammer/shooting star).
Converts scores into Stars (⭐⭐ to ⭐⭐⭐⭐⭐) via tiered thresholds.
Signals fire only when: Score ≥ minimum + Stars ≥ minimum + MACD cross (up = Buy, down = Sell).
On a signal, one active trade is managed until TP3 or SL is reached.
Targets & Stop (AI-driven)
Targets and SL are ATR-based, then adjusted by an AI multiplier derived from: ATR%, momentum (ROC), relative volume, trend strength (ADX), and star rating.
Approximate formulas:
TP1 ≈ 1.5×ATR × AI
TP2 ≈ 2.5×ATR × AI
TP3 ≈ 4.0×ATR × AI
SL ≈ 1.0×ATR ÷ AI
What you’ll see on chart
“Buy/Sell” markers with small Star labels, an Entry line (blue), SL (red dotted), TP1/TP2 (green), TP3 (gold) with shaded target boxes and a guide line towards the final target.
A central AI badge showing the multiplier % and star rating.
A top-right Panel showing status, strength, AI%, price, scores, and during trades: entry, TP1/TP2/TP3, and live P/L.
Alerts
Two ready-made conditions: Buy and Sell when the respective signal triggers.
Add alert: Right click → Add alert → choose the indicator → select condition.
Best practices
Match timeframe to instrument:
Scalping 5–15m: min_score 8, min_stars 3–4.
Swing H1–H4: min_score 7, min_stars 3.
Daily/Equities: min_score 6–7, min_stars 2–3.
Prefer trades with EMA200 and 15m MTF trend alignment.
De-risk around major news.
Use fixed risk per trade (e.g., 1%).
Important notes
Prefer bar close confirmation to avoid mid-bar MACD flips.
Single trade at a time via the in_trade state.
15m MTF uses request.security with lookahead_off; evaluate at close for consistency.
FAQ
Use it standalone? You can, but it’s stronger when combined with S/R zones/trendlines and solid risk management.
Why do targets vary? The AI multiplier adapts TP/SL to current market conditions.
Disclaimer
This is an analytical/educational tool, not financial advice. Always backtest and use appropriate risk management.
Developer note
Built in Pine Script v6, uses var for trade state, clears drawings on the last bar to keep the chart tidy, and raises drawing limits to avoid runtime errors.
EquiSense AI Signals🇸🇦 العربي
المتنبئ الذكي المتوازن (AI v7)
وصف قصير:
مؤشر تجميعي ذكي يوازن بين الاتجاه والزخم والحجم والتذبذب وأنماط الشموع، ويحوّلها إلى نظام نقاط ونجوم يولّد إشارات شراء/بيع مؤكَّدة بتقاطع MACD. بعد الإشارة، يعرض أهدافًا ذكية (TP1/TP2/TP3) ووقف خسارة مبنيَّيْن على ATR مع رسومات مستقبلية ولوحة معلومات لإدارة الصفقة.
الإعدادات (Inputs)
الحد الأدنى للنقاط (min_score): افتراضي 6.0 — كلما ارتفع قلّت الإشارات وزادت جودتها.
الحد الأدنى للنجوم (min_stars): افتراضي 2 — فلتر لقوة الإشارة.
عدد الشموع المستقبلية (future_bars): افتراضي 15 — مدى رسم الأهداف والوقف للأمام.
استخدام الأهداف الذكية (use_ai_targets): تفعيل/إيقاف مضاعِف الذكاء الاصطناعي للأهداف والوقف.
كيف يعمل؟
يحسب المؤشر buy_score/sell_score من مجموعة عوامل: EMA8/21/50/200، RSI + متوسطه، MACD + Histogram، Stochastic، ADX/DMI، VWAP، الحجم، MTF 15m، ROC/المومنتَم، Heikin Ashi، وأنماط (ابتلاع/مطرقة/شهاب).
يحوّل الدرجات إلى نجوم (⭐⭐ إلى ⭐⭐⭐⭐⭐) حسب القوة.
تولّد الإشارة فقط إذا توفّر: درجة ≥ الحد + نجوم ≥ الحد + تقاطع MACD (صعودًا للشراء، هبوطًا للبيع).
عند الإشارة يبدأ سيناريو صفقة واحدة فقط حتى تنتهي (TP3 أو SL).
الأهداف والوقف (ذكاء اصطناعي)
تُشتق من ATR ثم تُعدَّل عبر مضاعِف AI مبني على: ATR%، الزخم (ROC)، الحجم مقابل متوسطه، قوة الاتجاه (ADX)، وعدد النجوم.
تقريبيًا:
TP1 ≈ 1.5×ATR × AI
TP2 ≈ 2.5×ATR × AI
TP3 ≈ 4.0×ATR × AI
SL ≈ 1.0×ATR ÷ AI
ماذا سترى على الشارت؟
علامات “شراء/بيع”، نجوم قرب الإشارة، خط دخول (أزرق)، وقف (أحمر منقّط)، TP1/TP2 (أخضر)، TP3 (ذهبي) مع صناديق مناطق للأهداف وخط ربط نحو الهدف النهائي.
وسم AI يعرض نسبة المضاعِف والنجوم بصريًا.
لوحة معلومات تعرض الحالة، القوة، AI%، السعر، الدرجات، وأثناء الصفقة: الدخول، TP1/TP2/TP3، والربح اللحظي.
التنبيهات (Alerts)
شرطان جاهزان: شراء وبيع عند تحقق الإشارة.
أضِف تنبيه: Right click → Add alert → اختر المؤشر → الشرط المطلوب.
أفضل الممارسات
استخدم الإطار المناسب للأصل:
سكالبينغ 5–15m: min_score 8 وmin_stars 3–4.
تأرجحي H1–H4: min_score 7 وmin_stars 3.
يومي/أسهم: min_score 6–7 وmin_stars 2–3.
فضّل التداول مع EMA200 واتجاه MTF 15m.
خفّض المخاطرة وقت الأخبار العالية.
التزم بإدارة مخاطر ثابتة (مثلاً 1% لكل صفقة).
حدود مهمة
الأفضل انتظار إغلاق الشمعة لتأكيد التقاطعات وتجنّب تغيّرها.
صفقة واحدة في المرة بفضل حالة in_trade.
يستخدم request.security مع lookahead_off لإطار 15m؛ التزم بالتقييم عند الإغلاق.
أسئلة شائعة
هل يستخدم منفردًا؟ نعم، لكن مع مناطق سعرية/ترند وخطة مخاطر يصبح أقوى.
لماذا تختلف الأهداف؟ لأن مضاعِف AI يكيّف TP/SL مع ظروف السوق.
إخلاء مسؤولية
هذه أداة تحليلية تعليمية وليست نصيحة استثمارية. اختبر الإعدادات تاريخيًا والتزم بالمخاطرة المناسبة.
ملاحظة للمبرمجين
Pine Script v6، متغيرات var لحفظ الحالة، تنظيف الرسومات على الشمعة الأخيرة، مع حدود مرتفعة للرسوم لتجنّب الأخطاء.
🇬🇧 English
Balanced Smart Predictor (AI v7)
Short description:
A smart, ensemble-style indicator that blends trend, momentum, volume, volatility, and candle patterns into a score & star system that produces Buy/Sell signals confirmed by MACD crosses. After a signal, it projects smart targets (TP1/TP2/TP3) and a stop-loss derived from ATR, with forward drawings and a control panel for trade management.
Inputs
Minimum Score (min_score): default 6.0 — higher = fewer but stronger signals.
Minimum Stars (min_stars): default 2 — extra filter for strength.
Future Bars (future_bars): default 15 — how far targets/SL are drawn ahead.
Use AI Targets (use_ai_targets): toggle the AI multiplier for TP/SL.
How it works
Computes buy_score/sell_score from: EMA8/21/50/200, RSI & its MA, MACD & Histogram, Stochastic, ADX/DMI, VWAP, Volume, 15m MTF tilt, ROC/Momentum, Heikin Ashi, and candle patterns (engulfing/hammer/shooting star).
Converts scores into Stars (⭐⭐ to ⭐⭐⭐⭐⭐) via tiered thresholds.
Signals fire only when: Score ≥ minimum + Stars ≥ minimum + MACD cross (up = Buy, down = Sell).
On a signal, one active trade is managed until TP3 or SL is reached.
Targets & Stop (AI-driven)
Targets and SL are ATR-based, then adjusted by an AI multiplier derived from: ATR%, momentum (ROC), relative volume, trend strength (ADX), and star rating.
Approximate formulas:
TP1 ≈ 1.5×ATR × AI
TP2 ≈ 2.5×ATR × AI
TP3 ≈ 4.0×ATR × AI
SL ≈ 1.0×ATR ÷ AI
What you’ll see on chart
“Buy/Sell” markers with small Star labels, an Entry line (blue), SL (red dotted), TP1/TP2 (green), TP3 (gold) with shaded target boxes and a guide line towards the final target.
A central AI badge showing the multiplier % and star rating.
A top-right Panel showing status, strength, AI%, price, scores, and during trades: entry, TP1/TP2/TP3, and live P/L.
Alerts
Two ready-made conditions: Buy and Sell when the respective signal triggers.
Add alert: Right click → Add alert → choose the indicator → select condition.
Best practices
Match timeframe to instrument:
Scalping 5–15m: min_score 8, min_stars 3–4.
Swing H1–H4: min_score 7, min_stars 3.
Daily/Equities: min_score 6–7, min_stars 2–3.
Prefer trades with EMA200 and 15m MTF trend alignment.
De-risk around major news.
Use fixed risk per trade (e.g., 1%).
Important notes
Prefer bar close confirmation to avoid mid-bar MACD flips.
Single trade at a time via the in_trade state.
15m MTF uses request.security with lookahead_off; evaluate at close for consistency.
FAQ
Use it standalone? You can, but it’s stronger when combined with S/R zones/trendlines and solid risk management.
Why do targets vary? The AI multiplier adapts TP/SL to current market conditions.
Disclaimer
This is an analytical/educational tool, not financial advice. Always backtest and use appropriate risk management.
Developer note
Built in Pine Script v6, uses var for trade state, clears drawings on the last bar to keep the chart tidy, and raises drawing limits to avoid runtime errors.
VWAP Mean Reversion ZonesDescription:
VWAP Mean Reversion Zones is a multi-timeframe VWAP indicator designed to reveal price deviations and volatility structure across higher-timeframe anchors. It calculates a Volume-Weighted Average Price (VWAP) from a user-selectable timeframe (Daily, Weekly, or Monthly) and overlays it directly on your chart.
The script also computes multiple standard deviation bands around the smoothed VWAP, allowing traders to identify areas of potential mean reversion, trend extension, and volatility compression. Each deviation band helps distinguish the relative distance of price from the VWAP centerline.
Key Features:
Selectable VWAP anchor period: Daily, Weekly, or Monthly.
Multi-timeframe VWAP calculation using volume and price weighting.
Four customizable standard deviation bands with independent multipliers.
Distinct colors and full opacity for clear visual separation.
Smoothed VWAP centerline for reduced noise and better trend visualization.
Use Cases:
Identify overbought or oversold conditions relative to VWAP.
Detect volatility expansion and contraction zones.
Align entries and exits with higher-timeframe VWAP structure.
Combine with price action or other indicators for confluence trading.
This indicator is ideal for traders who rely on VWAP dynamics and mean-reversion principles to guide entries, exits, and risk management.
3 EMA Cross - TNT3 EMA Cross
- Length: short, middle, long
- Cross: short & middle, short & long, middle & long
VWAP NectarVWAP Nectar
The Sweet Spot Between Price and Volume
VWAP Nectar is a precision-driven indicator that blends price action and volume flow into a clean, adaptive channel system.
It uses session-based VWAP calculations combined with median smoothing to filter market noise and highlight the true directional bias of price.
The indicator shades the chart between two dynamic VWAP bands, giving traders a quick visual read of whether buyers or sellers are controlling the session.
When the fill color shifts, it signals a change in momentum — simple, fast, and powerful.
How it works
Calculates session VWAPs for both highs and lows
Applies a median smoothing filter for stability and clarity
Generates adaptive upper and lower zones based on a customizable percentage
Fills the area between VWAPs in green (bullish) or red (bearish) depending on directional bias
Provides real-time alert triggers for VWAP-based trend changes
Inputs
Source selection: Choose custom data sources for close, high, and low
Zone %: Adjust sensitivity of the upper/lower VWAP envelope
Use it for
**VWAP Nectar is designed primarily for lower timeframe charts.
Confirming intraday trend direction
Spotting clean entries around VWAP pullbacks
Filtering out noise during high-volatility sessions
Building confluence with other technical tools
Rubotics Williams Fractals Strategy
## 📌 Strategy Overview
This script implements a trend-following breakout strategy that uses Williams Fractals for trade entries, moving average filters for trend confirmation, and static stop-loss and take-profit levels based on either swing points or ATR volatility. It is designed for traders looking for a structured, rules-based system with risk-to-reward targeting and clear visual feedback on the chart.
## ✅ Core Components
### 🔷 1. Fractal-Based Entries
The strategy uses Williams-style fractals to detect local highs and lows. A buy stop is placed just above an up fractal when price is trending upwards, and a sell stop is placed just below a down fractal when price is trending downwards. These fractals act as breakout triggers.
* Configurable number of bars (`n`) to define the fractal.
* Optional entry offset in pips to avoid false breakouts.
### 🔷 2. Trend Filter (MA)
To avoid trading against the trend, the system includes a moving average filter . Entries are only allowed:
* Long: if price is above the MA.
* Short: if price is below the MA.
The moving average type is user-selectable ( SMA, EMA, WMA, or RMA ), with a customizable period.
### 🔷 3. Stop-Loss (SL) Options
You can choose between two SL methods:
* Recent swing high/low : Based on a user-defined lookback.
* ATR-based : SL is set at a multiple of the ATR value at entry.
The script will automatically select the more conservative (wider) SL if both options are enabled.
### 🔷 4. Take-Profit (TP) Modes
TP levels can be calculated in one of two ways:
* Risk:Reward multiple : TP = entry ± (SL distance × RR ratio).
* ATR-based : TP = entry ± (ATR × multiplier).
This gives flexibility in how profit targets are measured and managed.
### 🔷 5. Position Sizing
Orders are sized dynamically based on the percentage of account equity . This helps normalize risk across different market conditions or symbols.
## 📊 Visual Aids & Chart Presentation
The strategy includes helpful visual cues:
* Fractal markers on the chart when new confirmed fractals appear.
* Static horizontal lines for Entry, TP, and SL, visible only while a position is active.
* Color-filled zones :
* Red area between Entry and SL = risk zone
* Green area between Entry and TP = reward zone
These visual layers help users clearly see trade setup logic and risk/reward characteristics.
## 🧪 How the Strategy Works (Summary)
1. Detects new confirmed fractals using the `n/n` lookback logic.
2. Checks if the trend filter (MA) agrees with the direction of the trade.
3. Places a stop order at the next bar once the fractal is confirmed and conditions are met.
4. Upon fill:
* Captures entry price .
* Calculates static TP and SL , which never change after entry.
* Exits the position if either level is hit.
5. Highlights risk/reward zones on the chart until the position is closed.
## ⚠️ Risk Disclaimer
> This strategy is for educational and informational purposes only . It does not constitute financial advice or a trading recommendation. Always test any strategy thoroughly in a simulated environment and ensure it aligns with your personal risk tolerance, trading style, and market understanding. Trading involves risk, and past performance does not guarantee future results .
## 🛠 Customization Options
* Fractal Sensitivity : Adjust `n` for more or less frequent signals.
* MA Filter Type and Length : Adapt to different trends or timeframes.
* Risk Model : Choose between Swing/ATR SL, RR/ATR TP.
* Position Sizing : Set your equity allocation per trade.
* Pip Size & Offset : Tailor to your instrument (e.g., FX, indices, crypto).
## 🔐 Script Transparency
This script is fully open-source . No proprietary logic is hidden. All calculations and logic are visible and editable in the Pine Script code.
## 📅 Best Use Case
Ideal for traders who:
* Prefer price action breakout entries confirmed by trend direction.
* Want clear risk-to-reward setups .
* Appreciate chart-based feedback (e.g., entry/TP/SL lines and zones).
* Are looking for a swing trading strategy adaptable across instruments (FX, crypto, indices, etc.).
Trend Dashboard – Buy Sell Signal Indicator [AlgoFlux]Trend Dashboard – Buy Sell Signal Indicator
The AlgoFlux Trend Dashboard is an advanced Buy & Sell Signal Indicator that combines EMA, RSI, MACD, and Volume Confluence across multiple timeframes — helping traders identify high-probability trend reversals, entries, and exits with precision.
Perfect for swing and intraday trading, it visually simplifies complex market conditions into a clean, actionable dashboard.
🔹 Key Features
✅ Multi-Timeframe Dashboard: Instantly view trend alignment across Daily, 4H, and 1H charts.
✅ Smart Buy & Sell Signals: Generated only when multiple conditions confirm trend strength.
✅ EMA Confluence Engine: Detects short-term and long-term crossovers with precision.
✅ Momentum & Volume Filter: Confirms signals using RSI and volume surge.
✅ Auto-Exit Alerts: Get notified for SL/TP or momentum reversal.
✅ Clean Visuals: Minimal clutter, professional color coding, and dashboard clarity.
✅ Ideal For: Swing Traders, Intraday Traders, and Algorithmic Trading Enthusiasts.
🔹 How It Helps Traders
✅ Avoid false breakouts using multi-indicator confirmation
✅ Identify trend direction in seconds
✅ Time entries and exits with maximum accuracy
✅ Works on all instruments: NSE, Forex, Crypto, Index, Commodities
✅ Designed for both manual trading and strategy development
📞 AlgoFlux Contact Info
🌐 Website: www.AlgoFluxIndicator.com
📩 Email: algofluxindicator@gmail.com
💬 Telegram Support: @AlgoFluxSupport
📢 Telegram Channel: t.me/AlgoFluxIndicator
📸 Instagram: @AlgoFluxIndicator
📺 YouTube: AlgoFlux TradingView Indicator
📊 TradingView: AlgoFlux
⚡ Trade Smarter. Trade Profitable.
Dinkan Price ActionThe Dinkan Price Action Tool is a complete smart money trading system designed for traders who follow institutional logic, structure shifts, and volume pressure. It detects real-time market structure, order blocks, and fair value gaps, giving you a clear edge in any market condition.
Built for accuracy and speed, this indicator is perfect for identifying high-probability setups, catching trend reversals, and managing trades with confidence.
🔍 Key Features
🔹 Internal and External Liquidity Sweeps
🔹 Fair Value Gaps (FVG) for imbalance-based trade setups
🔹 Order Blocks for institutional entry zones
🔹 High-performance optimized — no repainting, real-time logic
🎯 Best Use Cases
Smart Money-based trend or reversal entries
Liquidity sweep traps and FVG reclaims
Scalping and intraday structure trading
✅ Why Traders Love It
✔ Clean and professional visuals
✔ Precise institutional logic
✔ Fast, non-repainting signals
✔ Works across any timeframe or asset
✔ Combines price action + structure
⚠️ Disclaimer
This indicator is for educational and informational purposes only. It does not constitute financial advice or a recommendation to buy or sell any financial instrument.
Trading involves risk, and past performance does not guarantee future results.
Always do your own research and consult with a licensed financial advisor before making trading decisions.
The author is not responsible for any losses incurred using this tool.
Dinkan Dynamic Price Action ToolsDetect market structure, Order Blocks, and key supply–demand areas with pure price action.
This indicator automatically identifies Major and Minor Order Blocks, Break of Structure (BoS), and Change of Character (ChoCh) — helping traders see market transitions clearly without volume or lagging filters.
✨ Key Features
🔹 Auto-detection of Major & Minor Order Blocks (Supply / Demand Zones)
🔹 BoS / ChoCh detection for structure shifts
🔹 Liquidity sweep labeling for trapped-liquidity areas
🔹 Dynamic zone drawing with clean visuals
🔹 Works on all timeframes and symbols
🔹 Lightweight, no repaint, and easy to customize
⚙️ How It Works
The indicator reads price structure and swing points to identify institutional footprints, highlighting zones where price has previously shown strong reactions.
As new structure forms, zones update automatically, giving traders a real-time view of potential reaction areas.
🧩 Ideal For
Price-action traders
ICT / SMC-based traders
Swing and intraday traders
Anyone who prefers chart clarity and structure-based confluence
⚠️ Disclaimer
This script is designed for educational and informational purposes only.
It does not constitute financial advice or a trading signal service.
All trading decisions are solely the responsibility of the user.
Past performance of any trading idea or strategy does not guarantee future results.
Always practice proper risk management and test thoroughly before using in live markets.
SAN_Price Action BOS Strategy Price Action strategy with Break of structure including 20-30EMA crossover with perfect BUY/SELL alert is a beauty of this one
Copter 2.0💡 The indicator is designed for trading on any timeframe and includes a comprehensive system for determining entry and exit points based on technical analysis, price and volume.
📊 In the new version of Copter 2.0, the take profit and stop loss functions have been added
Let's analyze its key components:
✔️ Trend levels and extremes:
- The indicator determines local highs and lows for a certain period.
- the breakdown of these levels serves as a signal to open positions.
- the High-Low price dynamics analysis method is used to find key entry points.
✔️ Volumes:
-The indicator uses a configurable volume threshold to filter out candles with low volume and display only those with significant volume.
- the algorithm analyzes market data and sets an entry signal (opening a trade) and exit (profit taking/closing a position)
📍 Therefore, whether you are a beginner or an experienced trader, the indicator can help you stay ahead of the game and make more informed trading decisions.
📍 As a result, the trader can be sure that the signal is based on data analysis.
A long or short position can be stopped with either a profit or a small loss without prejudice to the potential profit.
✔️ Signal filtering:
- volume and volatile indicators are used to confirm the trend
- if a volume or volatility filter does not confirm the breakdown, the input signal is ignored
- analysis of moving averages of volumes and ATR is used
✔️ The use of the RSI in overbought and oversold analysis:
- the RSI indicator analyzes the strength of the current trend
- if the RSI exceeds 70, exit from a long position is possible
- if the RSI falls below 30, exit from a short position is possible
✔️ The use of EMA 20 and EMA 200
is additional moving average data that determines the current trend and the trend on higher timeframes.
- the main idea is that when they cross, we can see a change in trend movement and determine the general mood at the moment, based on which signals appear to open/close a deal.
- also, the indicator analyzes the past movement, thus determining the future direction
- based on the opening and closing of the past days, weeks, months.
✔️ Stop loss and risk management
- when entering a trade, a dynamic stop loss is set based on the percentage price change
- exit the position is carried out when a stop loss or a signal from the RSI is reached.
- it helps to minimize losses and protect profits
The market is unstable, and it is impossible to know what awaits it in the future.
The only way to manage risk is to limit the loss by setting a stop loss at 1% - 2% of the entry point.
It is recommended to set the profit in the ratio 1:1, 1:2,1:3, with partial fixation of 40%, 30%, 30% or wait for the indicator signal (TP)
We recommend fixing positions in parts. There will be a signal in the opposite direction when the volume is released.
To match the risk of the transaction, we recommend that you do not enter with high leverage.
Trade only with the amount that you are willing to lose.
With increased volatility in the market and flat, the indicator can give many signals.
After a strong fall or growth, we recommend not to open positions, because the probability of a flat is high.
✔️ Visualization of entry and exit points
- Entry points (long and short) are graphically displayed. green - long, orange - short
- stop loss levels are marked for clarity of risk management
✔️Recommendations for working with the indicator!
Entry/exit is performed on the next candle after the candle with the signal (buy/sell)
All timeframes and any trading pairs are used (when selecting settings for each one)
The indicator combines several methods of technical analysis:
- work with support and resistance levels
- filtering of signals based on volumes and volatility
- Overbought and oversold analysis using the RSI
- automatic risk management through stop loss
This approach makes the indicator a useful tool for short-term trading and active scalping.
❗️ NO REPAINT ! ❗️