Continuous Price Alarm (High + Low, Latching + Start Date)If you hate sleeping through your entries and missing trades, this indicator will help you set up alarms to wake you up at your price level.
Pine utilities
TGIF RSI MIDWhen RSI crosses 50, shows a vertical line green for bullish and red for bearish will appear..
V10 Master Vision -monkey machineSolve the "Invisible" Movements of the Market in 10 Seconds! 🚀
Tired of getting lost in charts where you don't know which direction the market is going? With V10 Master Vision Pro, you will now read not only the candles, but also the "intention" of the market!
✅ Smart Yellow Candles: Lie in ambush when the price is squeezed! If the edge of the candle is green, see the possibility of an "Upward" breakout; if it's red, see the possibility of a "Downward" breakout.
✅ Volume Equalizer System: Follow the footprints of whales with gray, orange, red, and purple squares. Is the volume 30, 60, or 110+ institutional breakouts? Understand at a glance. ✅ Built-in Investor Guide: The smart guide in the lower right corner of the screen tells you what to do: "Lie in ambush," "Watch," or "🚀 ENTER!"
No more confusion! Don't trap your money in stagnant markets; focus on where there's volume and power. 💸
Current High-Low - daily weekly and monthlythis isdicator marks your daily weekly and monthly high and low
Pro Traders Free🔥 Free Trading Indicator & Strategy on TradingView
By pro-traders-group.com
If you’re looking for a clear, professional, and rule-based trading strategy built on the logic of institutions and market makers, this is exactly what you need 👇
🔍 This strategy is based on:
✔️ Professional Japanese candlestick analysis
✔️ Accurate market trend identification
✔️ Buying and selling from institutional & smart money zones
✔️ Filtering weak signals and focusing only on high-probability setups
✔️ Clear and precise entry & exit rules
📊 Win Rate:
➡️ Up to 95% when fully following the rules and conditions
(No impulsive entries – No counter-trend trades – No overtrading)
🎯 Suitable for:
✅ Beginners looking for a simple and structured trading system
✅ Advanced traders using Smart Money Concepts
✅ Forex – Gold – Indices – Crypto
💡 Indicator & strategy are 100% FREE
But real success comes from:
✔️ Discipline
✔️ Proper risk management
✔️ Psychological control
📌 Presented by:
🌐 pro-traders-group.com
Experts in trading education and institutional-based market strategies
👊 Test the strategy, follow the rules, and experience the difference for yourself.
UT Bot final 15M XAUUSD High WinrateThis script is a 15-minute timeframe optimized swing trading strategy, designed for traders who prefer structured, rule-based entries and exits with a focus on trend quality and risk control.
The strategy is based on a modified UT Bot logic, enhanced with:
Sideways market filtering using ADX and ATR volatility conditions
Confirmed higher-quality entries by waiting for candle close on the signal timeframe
Retracement-based limit entries to improve average entry price
Multi-level partial take profits (TP1–TP5)
Configurable stop loss (fixed pips or percentage)
Automatic break-even after TP1
Full position close on opposite signal
The system is especially suitable for swing and semi-swing traders who want to:
Reduce trades during low-quality, ranging market conditions
Manage positions with partial exits and predefined risk
Use the strategy as a foundation for automation or alert-based trading bots
All key parameters (sensitivity, filters, take profits, stop loss, and entry behavior) are fully adjustable, allowing traders to adapt the strategy to different risk profiles and market conditions.
UT Bot Gereee88 (XAUUSD pip partial TP)This strategy is based on the UT Bot trading logic and is designed for swing trading with automated trade management.
It includes multiple configurable partial take profit levels, dynamic exits, and automatic position closure when an opposite signal appears.
All parameters such as sensitivity, profit targets, and behavior can be adjusted by the user to match different instruments, timeframes, and risk preferences.
This strategy is intended for educational and analytical purposes and does not provide financial advice or performance guarantees.
Accurate Swing Trading Support Resistance strategyAccurate Swing Trading + Support Resistance MTF — Strategy (No Repaint Entry)
Conditional Background & Bar Colorsℹ️ Conditional Background & Bar Colors is a lightweight utility indicator that applies conditional background and candle/bar colors based on user-defined logical rules.
This script is not a trading indicator and does not generate buy or sell signals.
It is designed purely as a visual enhancement layer to help highlight market states or indicator conditions.
🔧 Features
Define multiple independent conditions using:
➤ Comparisons (>, <, =, ≥, ≤)
➤ Cross, crossover, crossunder
➤ Value changes and slope direction
➤ NA / non-NA states
Apply colors to:
➤ Chart background
➤ Candles / bars
➤ Optional “all conditions matched” logic for confluence highlighting
➤ Works with any indicator or price source
Can be applied to:
➤ Main price chart
➤ Indicator panes (e.g. RSI, MACD, custom indicators)
➤ No repainting
➤ No alerts
➤ No strategy or execution logic
🎯 Use Cases
➤ Visual confirmation of indicator alignment
➤ Market regime or bias highlighting
➤ Context awareness for discretionary trading
➤ Conditional coloring inside indicator panes
🎨 Color behavior
➤ Background colors overlap and can be combined using transparency
➤ The “all conditions matched” color overrides individual background colors
➤ Bar colors override each other, where the lowest active condition in the list takes priority
⚠️ Disclaimer
This script provides visual assistance only.
All trading decisions remain the sole responsibility of the user.
Volatility RadarVolatility Radar: Script Summary
The **Volatility Radar** is a real-time TradingView dashboard designed to decode dealer positioning by fusing structural VIX analysis with options flow. Instead of treating volatility as a static number, it categorizes the market into distinct regimes—supportive "Green Rooms," noisy "Grey Channels," or dangerous "Red Rooms"—to determine whether options flow represents genuine momentum or a dealer hedging trap.
Recent upgrades have transformed the script from a passive monitor into an active threat detection system. It now features a **Velocity Check** that instantly overrides standard confirmation timers during sudden VIX spikes, **Gatekeeper Logic** to identify regime breakout events, and a **Dealer Reality Check** that flags "Trap Risks" when call buying occurs directly into high-velocity resistance.
### Detailed Mechanics: Velocity & Gatekeeper Logic
**The Velocity Check (The "Speed Trap")**
Standard indicators often lag because they wait for candle closes or fixed time intervals (e.g., a 10-minute confirmation rule). The Velocity Check bypasses this by monitoring the *rate of change* in the VIX over a rolling 5-bar window. If the VIX moves more than **0.40 points** in this short timeframe, the script triggers an "Immediate Override." This acknowledges that high-velocity moves—whether spikes or crushes—force dealers to re-hedge instantly, making the standard wait times dangerous. If the velocity threshold is breached, the script flashes a lightning bolt icon (`⚡`) and treats the move as confirmed immediately.
**The Gatekeeper Check (The "Zone Logic")**
Rather than viewing volatility as a simple high/low binary, the Gatekeeper logic defines a "Neutral Zone" (Grey Channel) bounded by specific "Gates" (e.g., 14.78 and 15.26).
* **Inside the Gates:** The market is considered to be in "Chop/Noise," where directional signals are unreliable and often result in whipsaws.
* **Crossing the Gates:** The logic specifically watches for *breakout events*. A move from the Grey Channel into the "Red Room" (>Bear Chop) signals a **Bearish Breakout**, immediately flipping the script's interpretation of "Buying Pressure" from bullish momentum to a "Trap Risk" (dealers selling into resistance). Conversely, a breakdown into the "Green Room" (
Shares to Stop Loss📊 Shares to Stop Loss Calculator
This indicator automatically calculates the optimal number of shares to trade based on your predefined risk amount and dynamic stop loss levels.
🎯 Key Features:
Automatic Position Sizing: Calculates exact number of shares for both LONG and SHORT positions based on your risk tolerance
Dynamic Stop Loss Levels: Uses relative highs and lows from a customizable lookback period
Visual Reference Lines: Displays horizontal lines showing your stop loss levels on the chart
Real-time Updates: Position size adjusts automatically with price movement
Clean Interface: Compact table showing all relevant information without cluttering your chart
⚙️ How It Works:
For SHORT positions:
Stop loss is placed at the relative high (highest price in the lookback period)
Calculates shares needed to risk your specified dollar amount
For LONG positions:
Stop loss is placed at the relative low (lowest price in the lookback period)
Calculates shares needed to risk your specified dollar amount
📝 Inputs:
Amount for stop loss ($): Your maximum risk per trade in dollars (default: $100)
Look back candles for rel. HIGH: Period to calculate the relative high for SHORT stops (default: 20)
Look back candles for rel. LOW: Period to calculate the relative low for LONG stops (default: 20)
Line colors: Customize the appearance of reference lines
💡 Use Case:
Perfect for traders who practice proper risk management and want to maintain consistent dollar risk across different price levels and volatility conditions. Simply set your risk amount once, and the indicator does the math for you on every candle.
⚠️ Note: This indicator calculates position sizes based on technical levels. Always consider liquidity, account size, and broker requirements before entering positions.
NK SMC + RSI StrategyThis is the strategy coined by Naimat Khan and tested more than 1000 time, but has given 70% accuracy.
Adjustable Price Line Size with Countdown Timer (Larger)Adjustable Size and Color for the Price Line and Timer so I Can See it Better From Across the Room...
Adjustments include: Price Line Width Size and Color (Small, Normal, Large, Huge)
Adjustment for: Solid Line, Dashed or Dotted Line
Countdown Timer: ON/OFF
I Can Now See The Price and Price Line From Across the Room!!
Risk Filter Composite (DXY + US10Y + VIX + MOVE + Credit)Risk Filter Composite Indicator
This indicator is a contextual risk filter, not a trading signal. It combines five macro-market inputs — U.S. Dollar (DXY), U.S. 10-Year Yield, Equity Volatility (VIX), Bond Volatility (MOVE), and Credit Conditions — into a single composite value using standardized (z-score) normalization. The result is a continuous measure of risk pressure, where higher values indicate tightening / risk-off conditions and lower values indicate easing / risk-on conditions. The indicator is designed to be computed on a higher timeframe (recommended: 1-hour) and used as background context while executing trades on lower timeframes. It does not predict direction and does not “override” price; it provides regime awareness only.
Key Inputs
• Compute on timeframe: Sets the timeframe used to calculate the composite (default and recommended: 1H).
• Z-score lookback length: Number of bars used to define “normal” conditions for each component (default: 200 bars). Larger values produce slower, more regime-level behavior; smaller values are more reactive.
• Credit source: Choose between HYG/LQD (intraday credit proxy) or High-Yield OAS (daily, FRED). HYG/LQD is recommended for intraday trading; OAS is better suited for swing or macro analysis.
• Component weights: Allows relative emphasis on DXY, rates, volatility, or credit without changing the structure of the indicator.
• Risk-on / Risk-off thresholds: Define when the background shading changes state; defaults are ±0.75 standard deviations.
Interpretation
The indicator defines environmental state, not trade entries. Risk-off readings do not require price to fall, and risk-on readings do not require price to rise. The tool is best used to set expectations for trend quality, breakout reliability, and mean-reversion risk, not to time trades.
Session High/Low [gdad]There are many strategies that use the 5 min, 10 min or 15 min opening candle. There are also strategies that look at the behavior of other markets such as Tokyo and London as well as the pre-market. Along with these strategies, there is one by The Rumers (@the.rumers) that also looks at the Day ATR with his Padder Scalp strategy.
I trade Futures and like to see how the market has done for varying trading sessions.
I found it was time consuming and distracting to my trading to manually mark all these different things up. This indicator takes TradingView's Trading Sessions indicator and combined ideas borrowed the idea of taking the opening range breakout and extending it to the end of the trading session from Opening Range & Prior Day High/Low along with some additional enhancements and provided information.
It comes pre-built with eight different sessions:
Session 1: Futures Session
Session 2: Tokyo
Session 3: London
Session 4: NY Pre-Market
Session 5: New York
Session 6: 5 min open
Session 7: 10 min open
Session 8: 15 min open
The names, time spans, time zones, colors, whether to show the mid-line or averages and whether and how far to extend them are all customizable once you click Show Session. You can show none, one or multiple sessions. You can also choose which text shows up in the text box (the same will show for each session).
Warning: The Extend to Time range must start during the Session Time. You cannot have a Session Time of 9:30-9:45 and an Extend Time from 10:00-4:00.
Average is calculated by the sum of the close divided by the number of bars for the session.
Multi KI Agenten Strategie (Final V2)What's included in the Pine Script (Technical Analysis)
These features are mathematically implemented in the script and function as "agent logic":
• Trend Following: Integrated via EMAs (50, 100, 200).
• Volume Analysis: An agent checks for institutional volume spikes.
• Supply & Demand: Zones are calculated based on price extremes.
• RSI & Fibonacci: Both are built in as decision criteria for the agents.
• Controlling AI: The "veto logic" in the code acts as a controlling instance, blocking signals if the risk is too high or divergences exist.
• Alerts: The "LONG" and "SHORT" alerts are only triggered after approval by the controlling mechanism.
Days of WeekSplits the days of the week by UTC 00:00 and writes the day with a customizable light gray colored text.
Multifactor trend analysis1) Overview
◆ A 30-minute technical-analysis framework combining:
◆ Higher-timeframe trend structure
◆ SMA-spread chop-risk filter
◆ Linear-regression slope classification
◆ 30-min breakout-style triggers
◆ Multi-indicator consensus layer
(MACD, RSI, Stoch, Ichimoku, CCI, PSAR, Williams %R, Heikin-Ashi, Force Index)
◆ Adaptive sizing & loss-pause module
◆ Two separate downward-signal branches with different logic and time-weighting
2) Core Components
Higher-Timeframe Structure
◆Up-bias: close > long-MA AND short-MA > long-MA
◆Down-bias: close < short-MA AND short-MA < long-MA
Chop-Risk Filter
◆Require MA-spread > threshold to avoid sideways noise.
Trend Slope
◆Linear-regression slope divided into strength categories.
Trigger (30-min)
◆Upward: high breaks above prior short-MA
◆Downward: low breaks below prior long-MA
◆Both include bar-state confirmation.
Consensus Score
◆Multiple indicators → +1 / -1 / 0 → combined score guiding downward logic.
Weekly Adjustments
◆Certain thresholds adapt at weekly cycle boundaries.
3) Conditions & Sizing
Upward Activation
Needs:
◆ HTF up-bias
◆Chop-filter pass
◆Upward breakout relative to prior MA
Adaptive Sizing
Based on:
◆Recent negative streaks
◆Slope category
◆User-defined limits
Downward Logic
Branch A
◆HTF down-bias
◆Down-MA breakout
◆Slope-acceleration requirement
◆Size increases with setup strength
Branch B
◆Close below SMA-deviation threshold
◆Down-bias consensus score > limit
◆Regression slope below requirement
◆Weekly thresholds
◆Time-window weighting
Interval Control
◆Must exceed minimum bar spacing.
Loss-Pause
◆After too many negative sequences → temporary cooldown.
4) Originality
◆ Dual-layer filtering: structure + chop
◆ Slope ranges instead of simple slope up/down
◆ Multi-indicator consensus
◆ Adaptive sizing + pause logic
◆ Designed for stable behavior in historical directional phases
5) Usage
◆ Default: 30-minute timeframe
◆ Not tied to any market/product
◆ Chop-filter reduces action in sideways periods
◆ Exits/trails adjustable
◆ Suitable only for study and research, not performance expectations
6) Disclaimer
- Educational only — no trading advice
◆ No recommendations, no predictions
◆ Past data ≠ future results
◆ Not responsible for outcomes
◆ No order execution
◆ Markets can be high-risk
◆ Invite-Only access; no source code; no refunds
◆ User assumes all risks
✅ 教育用途/策略研究
✅ 不提供投資建議/不代操
✅ 不保證績效/過去不代表未來
✅ Invite‑Only 授權 10,000 TWD per month /不提供原始碼
✅ 數位授權啟用後不退款
✅ 使用者自行承擔交易風險
Release Notes
v1.0: Initial release
v1.1: Added cooling / drawdown-limit mechanism
v1.2: Optimize the Bull algorithm
Market Conditions Panel [ARC Trade]
## 📊 ARC Trade – Bias & Decision Panel
**ARC Trade Panel** is a **decision-support indicator** designed to help traders evaluate market conditions **before entering a trade**.
This is **not a signal indicator**. Its purpose is to answer a simple but critical question:
> *Should I trade now, or should I wait?*
---
### 🔍 What does the panel show?
**• Market Direction (At a Glance)**
The panel header updates dynamically:
* **BULL**
* **BEAR**
* **RANGE**
This allows traders to instantly understand the current market environment without overloading the chart.
---
**• Timeframe Alignment (HTF ↔ LTF)**
Checks whether higher timeframe and lower timeframe are aligned.
When timeframes are not aligned, the panel automatically warns the trader to be cautious.
---
**• Market Structure (MSS & BOS Logic)**
Market Structure Shift and continuation logic are evaluated internally.
This helps reduce fake breakouts and premature entries.
---
**• Market Warning (Trade Decision Guidance)**
The panel produces clear decision messages:
* **BUY possible**
* **SELL possible**
* **WATCH / WAIT**
These messages are generated by combining structure, trend, alignment, volatility, and market conditions.
---
**• Trend Strength (ADX – Explained)**
Instead of showing raw ADX values only, the panel classifies trend strength:
* Weak
* Moderate
* Strong
This helps traders avoid range-bound conditions and low-quality setups.
---
**• Risk Mode (Position Size Psychology)**
Automatically evaluates market risk and displays:
* **LOW**
* **MEDIUM**
* **HIGH**
Risk Mode is based on volatility expansion, daily range usage, ADX strength, and timeframe alignment.
The goal is to guide traders toward **better position sizing decisions**, not just entries.
---
**• Signal Freshness (Timing Awareness)**
When a BUY or SELL becomes available, the panel tracks how fresh the signal is:
* Fresh
* Normal
* Late
This feature helps prevent chasing late entries.
---
**• Daily Movement & Remaining Potential (ATR-based)**
Shows how much of the daily range has already been used and estimates the remaining potential movement.
This helps traders avoid entering trades when the market is already overextended.
---
### 🎯 Who is this panel for?
✔ Traders who want structure and discipline
✔ Traders who want to reduce overtrading
✔ Traders who struggle with fake breakouts
✔ Traders who want a clear **pre-trade checklist**
✔ Traders who prefer decision support over raw signals
---
### ⚠️ Disclaimer
This indicator does **not** provide investment advice.
It is intended for **educational and analytical purposes only**.
Always apply your own risk management.
KD Weekly Oversold Golden Cross (v6)KD Weekly Oversold Golden Cross (v6)
This is a screener for weekly KD indicator bullish crossovers at oversold levels, where the K value does not exceed 25.
[Invite-Only] HHFF1B Hybrid Trend Strategy Overview The HHFF1B Hybrid Trend Strategy is an asymmetric trend-following system designed to capture high-probability breakouts while filtering out false signals in choppy markets. Unlike traditional symmetrical strategies, this script applies distinct logic for Long and Short entries to adapt to different market behaviors.
Core Logic
1. Asymmetric Entry Conditions The strategy differentiates between bullish trends and bearish breakdowns:
Long Entry (Trend Confirmation): Focuses on stability. A position is opened only when the price breaks above the Bollinger Band Upper Rail, confirmed by the Parabolic SAR, and is trading above key Long-Term EMAs (100 & 200). An RSI filter (30-70) is applied to avoid buying at extreme overbought levels.
Short Entry (Volatility Explosion): Focuses on momentum. Short entries require high volatility confirmed by ADX (Average Directional Index) and DMI. It looks for a "Bollinger Band Squeeze" release combined with a breakdown below the Lower Rail.
2. Risk Management & Profit Protection This is not a "fire and forget" system. It includes active trade management:
Dynamic Stop Loss: Initial stops are set based on percentage risk, but the strategy includes a "Breakeven Trigger." Once the trade moves favorably by a specific percentage (0.6% for Longs, 0.8% for Shorts), the stop moves to the entry price to protect capital.
Guard Exit Mechanism: A specialized logic that monitors the Parabolic SAR. If the trade is in profit (>0.45%) but the SAR signals a potential reversal, the strategy exits early to lock in gains before the trend collapses.
Trailing Stop: Uses ATR-based trailing stops to let winning trades run while the trend persists.
Settings & Customization Users can adjust risk per trade, lookback periods, and specific ADX thresholds to fit different assets (Crypto, Forex, or Stocks).
Disclaimer This strategy is for educational and analytical purposes only. Past performance does not guarantee future results. Trading involves significant risk.
Access This is an Invite-Only script.
To gain access, please check the links in my Signature below or send me a Private Message.
概述 HHFF1B 混合趋势策略 是一套非对称的趋势跟踪系统,旨在捕捉高概率的突破行情,同时在震荡市场中过滤虚假信号。与传统的对称策略不同,本脚本针对“做多”和“做空”采用了完全不同的底层逻辑,以适应市场上涨缓和与下跌急促的不同特性。
核心逻辑
1. 非对称入场机制
多头入场 (Long): 侧重于趋势确认。仅当价格突破布林带上轨,且同时满足抛物线 SAR 指标翻转、位于长周期均线(EMA 100 & 200)之上时才会触发。同时引入 RSI 过滤器(30-70区间),避免在极端超买区域追高。
空头入场 (Short): 侧重于爆发力。空头信号需要高波动率支持,通过 ADX (平均趋向指标) 和 DMI 进行筛选。策略会寻找“布林带挤压 (Squeeze)”后的向下爆发点,确保在动能最强时介入。
2. 动态风控与利润卫士 本策略包含主动的仓位管理机制,而非简单的固定止盈止损:
保本机制 (Breakeven): 当浮盈达到一定比例(多头0.6%,空头0.8%)时,止损线自动上移至开仓价,实现“无风险”持仓。
SAR 反转保护 (Guard Exit): 这是一个特殊的保护逻辑。如果当前持仓已有微利(>0.45%)但 SAR 指标显示短期反转信号,策略会立即离场,防止利润回撤。
ATR 移动止盈: 使用基于 ATR 的追踪止损,在趋势延续时让利润奔跑。
设置与自定义 用户可以根据不同的交易品种(加密货币、外汇或股票)调整每笔风险、布林带周期以及 ADX 阈值等参数。
免责声明 本脚本仅供学习和辅助分析使用。历史回测数据不代表未来表现。交易有风险,入市需谨慎。
如何获取 这是一个“仅限邀请 (Invite-Only)”的脚本。
如需申请访问权限,请查看下方我的 个人签名 (Signature) 或直接 私信 (Private Message) 联系我。
GHOST | Market Sessions Ranges MTF👻 GHOST | Market Sessions Ranges MTF
Master Time and Price with Ghost-Level Precision
Stop cluttering your charts with old, irrelevant levels. GHOST is a professional-grade tool designed for traders who prioritize institutional liquidity and crystal-clear price action.
This isn't just a level-drawer; it’s a dynamic liquidity manager that understands when and where price matters.
💎 Why GHOST is a Game Changer:
⚡ Smart Mitigation: Lines automatically disappear ("ghosting") as soon as price taps them. You only see the fresh liquidity that hasn't been mitigated yet.
🕒 Pro Session Filtering: Sync your levels with specific trading windows (London, New York, Asia). Colors and ranges adapt to the exact time you trade.
📊 True MTF Power: Monitor Daily, Weekly, and Monthly Highs and Lows (PDH/L, PWH/L, PMH/L) independently.
🎨 Minimalist "Ghost" Aesthetic: Say goodbye to lines crossing your entire screen. GHOST uses short, dashed lines with right-aligned labels and adjustable forward projection, keeping your "candle field" clean.
🛠️ Key Features & Customization:
✅ Dynamic Length: You control where the line starts and how far it projects into the future.
✅ One-Click Visibility: Toggle Daily, Weekly, or Monthly levels on/off instantly via the settings panel.
✅ 100% Free: A premium-quality tool shared openly with the global trading community.
💎 Key Features:
⚡ Smart Mitigation: Lines "ghost" away automatically once price taps them, keeping your chart focused on fresh liquidity.
🕒 Session Confluence: Sync your ranges with specific time zones (NY, London, Tokyo) to find the perfect trade window.
🎨 Clean Aesthetic: Labels are perfectly aligned to the right, ensuring your price action reading is never obstructed.
Autor : The ghost of trading 👻






















