ARB 18:00–19:00 IST — Anchored 3h Lines (v6, multi-day)Draws a simple Opening Range for 24/7 markets using a custom time window. By default it captures the high and low formed between 18:00 and 19:00 IST each day, then locks those levels at 19:00 and extends two horizontal lines to the right. No alerts, no signals—pure levels so you can track breakouts or traps manually.
Breitenindikatoren
ARB 18:00–19:00 IST — Lines Only (v6, multi-day)Draws a simple Opening Range for 24/7 markets using a custom time window. By default it captures the high and low formed between 18:00 and 19:00 IST each day, then locks those levels at 19:00 and extends two horizontal lines to the right. No alerts, no signals—pure levels so you can track breakouts or traps manually.
ARB 18:00–19:00 IST — Lines Only (v6)Draws a simple Opening Range for 24/7 markets using a custom time window. By default it captures the high and low formed between 18:00 and 19:00 IST each day, then locks those levels at 19:00 and extends two horizontal lines to the right. No alerts, no signals—pure levels so you can track breakouts or traps manually.
How it works
Uses a session in your chosen Timezone (default: Asia/Kolkata) to detect the 18:00–19:00 window.
Continuously updates the range during the window.
At 19:00 IST the range is “locked” and two lines (Range High/Range Low) are drawn and extended right.
Old lines are cleared so only the latest day’s ORB remains.
Inputs
Timezone (IANA): e.g., Asia/Kolkata, Asia/Dubai, UTC.
Start Hour / End Hour: default 18 → 19 (1-hour window). End must be after Start.
Line Width / Colors for High & Low.
Best used on
Intraday timeframes (1–60m).
24/7 symbols like BTCUSD, XAUUSD, major crypto pairs, spot gold.
Works regardless of your broker’s server timezone because the script uses the selected IANA timezone.
Notes
This is levels only: no alerts, no entries/exits, no statistics.
If you reload the chart after the window, lines persist and stay synced to the locked values.
Change the timezone if you want to anchor the window to a different locale.
Version: 1.0 (Pine v6).
Higher Low : Price levelsClick twice on the chart to add S/R level then you can copy-paste the values.
Liquidity Pulse Revealer (LPR) — by Qabas_algoLiquidity Pulse Revealer (LPR) — by Qabas_algo
The Liquidity Pulse Revealer (LPR) is a technical framework designed to uncover hidden phases of institutional activity by combining volatility (ATR Z-Score) and liquidity (Volume Z-Score) into a dual-condition detection model. Instead of relying on price action alone, LPR measures how volatility and traded volume behave relative to their historical distributions, revealing when the market is either “compressed” or “expanding with force.”
⸻
🔹 Core Mechanics
1. ATR Z-Score (Volatility Normalization)
• LPR calculates the Average True Range (ATR) on a higher timeframe (HTF).
• It applies a Z-Score transformation across a configurable lookback period to determine if volatility is statistically compressed (below mean) or expanded (above mean).
2. Volume Z-Score (Liquidity Normalization)
• Simultaneously, traded volume is normalized using the same Z-Score method.
• Elevated Volume Z-Scores signal the presence of institutional activity (accumulation/distribution or aggressive breakout participation).
3. Dual Conditions → Regimes
• 🧊 Iceberg Volume = Low ATR Z-Score + High Volume Z-Score.
→ Indicates a “hidden liquidity build-up” phase where price compresses but big players are positioning.
• ⚡ Revealed Momentum = High ATR Z-Score + High Volume Z-Score.
→ Marks explosive volatility phases where institutional activity is fully expressed in directional moves.
⸻
🔹 Visualization
• Iceberg Zones (blue shaded boxes):
Drawn automatically around periods of statistical compression + elevated volume. These zones act as launchpads; once broken, they often precede strong directional expansions.
• Revealed Zones (green shaded boxes):
Highlight expansionary phases with both volatility and volume spiking. They often align with trend acceleration or terminal exhaustion zones.
• Midline Tracking:
Each zone maintains a dynamic average (mid-price), updated as the session evolves, providing reference for breakout confirmation and invalidation levels.
⸻
🔹 Practical Use Cases
• Accumulation/Distribution Detection:
Spot where “smart money” is quietly building or unloading positions before large moves.
• Breakout Confirmation:
A breakout occurring after an Iceberg zone carries higher conviction than random volatility.
• Profit Management:
If a Revealed Momentum zone appears after a strong uptrend, it often signals distribution or exhaustion — useful for partial profit taking.
• Multi-Timeframe Adaptability:
With Auto, Multiplier, and Manual higher-timeframe modes, LPR adapts seamlessly to intraday scalping or swing trading contexts.
⸻
🔹 Alerts
• Instant alerts for the start of new Iceberg or Revealed zones.
• Optional alerts for breakouts above/below the last Iceberg zone boundaries.
⸻
🔹 Example Trading Scenario
1. Detection: An 🧊 Iceberg Volume zone forms around support (low volatility + high volume).
2. Trigger: Price closes above the upper boundary of this Iceberg zone.
3. Entry: Go long on the breakout.
4. Stop Loss: Place stop just below the Iceberg zone’s low (where the liquidity build-up started).
5. Target: Hold until a ⚡ Revealed Momentum zone forms — then start scaling out as the expansion matures.
This simple framework transforms hidden institutional behavior into actionable trade setups with clear risk management.
⸻
⚠️ Disclaimer: The LPR is a research and educational tool. It does not provide financial advice. Always apply proper risk management and use in combination with your own trading framework.
Goldbach Time IndicatorGoldbach Time Indicator (Minute Algebra + Core Levels)
A time-based discovery tool that maps minute arithmetic to a curated set of “Goldbach levels” (0–77) and highlights core reliable levels (29, 35, 71, 77) on any symbol/timeframe. It’s designed for session timing, event clustering, and pattern research—not price prediction.
What it shows
Three per-bar minute transforms:
Min = current minute (00–59)
Min+Hr = minute + hour (mapped, 60 → 00; valid up to 77)
Min−Hr = |minute − hour| (auto-chooses positive variant; 60 → 00)
Hit detection: marks a bar if any transform lands on an allowed Goldbach level.
Core emphasis: special tint/labels for 29, 35, 71, 77.
Optional background highlight (green for hits, blue tint when a core level is present).
Large corner readouts (optional): current Min / Min+Hr / Min−Hr with ✓ or ⭐ for core.
Detailed table: current time (your chosen timezone) + the three values and their status.
Histogram (optional): total hits and core hits under the chart.
Hover tooltips: per-bar time + which transforms hit (and whether they’re core).
Inputs & controls
Timezone Preset: UTC, New York, Tokyo, London, Sydney, or Custom UTC Offset.
Display toggles: Large number panels, Detailed table, Histogram, Horizontal reference lines.
Levels:
Standard set: 0,3,7,11,14,17,23,29,35,41,44,47,50,53,56,59,65,71,77
Core Only: show just 29, 35, 71, 77
Custom: paste your own comma-separated list (0–77)
Test Mode: assists with visual verification (e.g., consistent tooltips across all bars).
Core highlighting: stronger visual emphasis when a core level is hit.
How it helps
Session research: check if your strategy events cluster around certain minute signatures.
Timing filters: avoid entries during “no-hit” windows or focus on core hits.
Backtest guidance: the histogram and info panels make it easy to log/compare timing regimes.
Multi-market: independent of price scale—works for FX, indices, crypto, metals, single stocks.
Reading the visuals
Dots:
Yellow = Min, Lime = Min+Hr, Orange = Min−Hr, Blue = Core
Background:
Green = at least one hit, Blue tint = core level present
Tables/Panels: show current time (with timezone), raw values, and ✓/⭐ status.
Quick start
Choose your Timezone Preset (or set Custom UTC offset).
Start with Standard Levels; enable Core highlighting.
Turn on Detailed Table to confirm values match your venue/session.
(Optional) Show Histogram to see hit density; add Horizontal Lines for fixed references.
If needed, switch to Core Only or define Custom Levels to fit your hypothesis.
Notes & disclaimers
This is a time analytics overlay, not a buy/sell signal engine.
“Goldbach levels” here are a research framework (minute algebra 0–77) used for market-timing studies.
Always forward-test any timing rules with your strategy and risk plan.
Tags: timing, minute math, session research, clustering, core levels, UTC offset, macro timing, exploration
David Dang - Scalp M15/H1 (XAU/USDT)Buy/Sell indicator dedicated to XAUUSD (and) CFDs & Forex. Combines trend EMA, Volume Spike and Money Flow MFI to provide timely reversal arrow signals. Automatically displays SL/TP with RR ratio 1:2 (SL 50–70 pips), helps optimize profits and safe capital management.
AI-JX# AI-JX v3.0 指标技术分析文档 / Technical Analysis Documentation
## 1. 指标概述 / Indicator Overview
AI-JX v3.0 是一个集成了人工智能学习系统的高级技术分析指标,结合了传统技术指标与AI预测功能,提供多维度的市场分析和交易信号。该指标基于Heikin Ashi蜡烛图和SuperTrend技术,通过AI权重学习系统动态优化参数组合。
AI-JX v3.0 is an advanced technical analysis indicator that integrates an artificial intelligence learning system, combining traditional technical indicators with AI prediction capabilities to provide multi-dimensional market analysis and trading signals. The indicator is based on Heikin Ashi candlesticks and SuperTrend technology, dynamically optimizing parameter combinations through an AI weight learning system.
## 2. 核心信号系统 / Core Signal System
### 2.1 主要交易信号 / Main Trading Signals
#### AI智能买卖信号 / AI Smart Buy/Sell Signals
- **AI买入信号 / AI Buy Signal**: 当buyScore ≥ 70分且AI确认无假突破时触发 / Triggered when buyScore ≥ 70 and AI confirms no false breakout
- **AI卖出信号 / AI Sell Signal**: 当sellScore ≥ 70分且AI确认无假突破时触发 / Triggered when sellScore ≥ 70 and AI confirms no false breakout
- **信号特点 / Signal Features**: 基于多指标融合评分,具有较高的准确性 / Based on multi-indicator fusion scoring with high accuracy
#### 传统SuperTrend信号 / Traditional SuperTrend Signals
- **传统买入 / Traditional Buy**: 趋势从下降转为上升时触发 / Triggered when trend changes from down to up
- **传统卖出 / Traditional Sell**: 趋势从上升转为下降时触发 / Triggered when trend changes from up to down
- **显示方式 / Display Method**: 小尺寸标签,作为参考信号 / Small-sized labels as reference signals
### 2.2 预测性信号 / Predictive Signals
#### 预测强买信号 / Predictive Strong Buy Signal
**触发条件 / Trigger Conditions**:
- RSI < 35 (超卖 / Oversold)
- MACD线上穿信号线 / MACD line crosses above signal line
- 价格接近支撑位(距离<2.5%) / Price near support level (distance <2.5%)
- 成交量放大确认(>1.5倍均量) / Volume confirmation (>1.5x average volume)
- 无假突破向下 / No false breakout downward
#### 预测强空信号 / Predictive Strong Sell Signal
**触发条件 / Trigger Conditions**:
- RSI > 65 (超买 / Overbought)
- MACD线下穿信号线 / MACD line crosses below signal line
- 价格接近阻力位(距离<2.5%) / Price near resistance level (distance <2.5%)
- 成交量放大确认(>1.5倍均量) / Volume confirmation (>1.5x average volume)
- 无假突破向上 / No false breakout upward
### 2.3 背离信号 / Divergence Signals
#### 预测性看涨背离 / Predictive Bullish Divergence
- 价格创新低但RSI未创新低 / Price makes new low but RSI doesn't make new low
- 结合成交量和动量确认 / Combined with volume and momentum confirmation
- 提示潜在的反转机会 / Indicates potential reversal opportunity
#### 预测性看跌背离 / Predictive Bearish Divergence
- 价格创新高但RSI未创新高 / Price makes new high but RSI doesn't make new high
- 结合成交量和动量确认 / Combined with volume and momentum confirmation
- 提示潜在的顶部风险 / Indicates potential top risk
## 3. AI学习系统 / AI Learning System
### 3.1 参数组合策略 / Parameter Combination Strategies
#### 保守型组合 / Conservative Combination
- **适用场景 / Application Scenario**: 横盘震荡市场 / Sideways oscillating markets
- **RSI周期 / RSI Period**: 21
- **MACD参数 / MACD Parameters**: 12,26,9
- **ATR周期 / ATR Period**: 14
- **特点 / Features**: 稳定性高,信号较少但准确性好 / High stability, fewer signals but good accuracy
#### 激进型组合 / Aggressive Combination
- **适用场景 / Application Scenario**: 强趋势突破市场 / Strong trending breakout markets
- **RSI周期 / RSI Period**: 12
- **MACD参数 / MACD Parameters**: 6,21,5
- **ATR周期 / ATR Period**: 10
- **特点 / Features**: 敏感性高,信号较多但需要过滤 / High sensitivity, more signals but require filtering
#### 平衡型组合 / Balanced Combination
- **适用场景 / Application Scenario**: 通用市场环境 / General market conditions
- **RSI周期 / RSI Period**: 17
- **MACD参数 / MACD Parameters**: 10,24,7
- **ATR周期 / ATR Period**: 12
- **特点 / Features**: 平衡敏感性和稳定性 / Balances sensitivity and stability
### 3.2 权重自适应调整 / Adaptive Weight Adjustment
- **学习机制 / Learning Mechanism**: 基于历史交易表现动态调整权重 / Dynamically adjusts weights based on historical trading performance
- **最小学习交易数 / Minimum Learning Trades**: 20笔 / 20 trades
- **学习速率 / Learning Rate**: 0.1 (可调 / adjustable)
- **记忆长度 / Memory Length**: 100笔交易 / 100 trades
## 4. 市场状态识别 / Market State Recognition
### 4.1 市场模式分类 / Market Pattern Classification
- **强趋势突破 / Strong Trend Breakout**: 波动率>1.5且趋势强度>5% / Volatility >1.5 and trend strength >5%
- **横盘震荡 / Sideways Oscillation**: 波动率<0.7且趋势强度<2% / Volatility <0.7 and trend strength <2%
- **上升趋势 / Uptrend**: 20日涨幅>3% / 20-day gain >3%
- **下降趋势 / Downtrend**: 20日跌幅>3% / 20-day decline >3%
- **弱势整理 / Weak Consolidation**: 其他情况 / Other conditions
### 4.2 支撑阻力分析 / Support and Resistance Analysis
#### 动态支撑阻力 / Dynamic Support and Resistance
- **计算方式 / Calculation Method**: 基于历史高低点统计 / Based on historical high/low statistics
- **强度分级 / Strength Classification**: 强/中等/弱 (基于触及次数) / Strong/Medium/Weak (based on touch count)
- **有效性 / Validity**: 价格偏差<0.2%认定为有效触及 / Price deviation <0.2% considered valid touch
#### 斐波那契关键位 / Fibonacci Key Levels
- **23.6%回撤位 / 23.6% Retracement**
- **38.2%回撤位 / 38.2% Retracement**
- **50.0%回撤位 / 50.0% Retracement**
- **61.8%回撤位 / 61.8% Retracement**
- **78.6%回撤位 / 78.6% Retracement**
## 5. 风险控制机制 / Risk Control Mechanisms
### 5.1 假突破识别 / False Breakout Identification
#### 向上假突破 / Upward False Breakout
- 价格突破阻力位后快速回落 / Price breaks resistance then quickly falls back
- 成交量萎缩(<0.8倍均量) / Volume shrinks (<0.8x average volume)
- 自动过滤相关买入信号 / Automatically filters related buy signals
#### 向下假突破 / Downward False Breakout
- 价格跌破支撑位后快速反弹 / Price breaks support then quickly rebounds
- 成交量萎缩(<0.8倍均量) / Volume shrinks (<0.8x average volume)
- 自动过滤相关卖出信号 / Automatically filters related sell signals
### 5.2 多时间框架验证 / Multi-Timeframe Validation
- **时间框架1 / Timeframe 1**: 5分钟 / 5 minutes
- **时间框架2 / Timeframe 2**: 15分钟 / 15 minutes
- **时间框架3 / Timeframe 3**: 60分钟 / 60 minutes
- **一致性要求 / Consistency Requirement**: 三个时间框架趋势方向一致时信号更可靠 / Signals are more reliable when all three timeframes show consistent trend direction
## 6. AI预测功能 / AI Prediction Features
### 6.1 趋势预测系统 / Trend Prediction System
#### 预测评分机制 / Prediction Scoring Mechanism
- **多时间框架一致性 / Multi-Timeframe Consistency**: 30分 / 30 points
- **价格动量分析 / Price Momentum Analysis**: 25分 / 25 points
- **成交量确认 / Volume Confirmation**: 20分 / 20 points
- **支撑阻力位置 / Support/Resistance Position**: 25分 / 25 points
#### 预测结果分类 / Prediction Result Classification
- **强烈看涨 / Strong Bullish**: 评分>80 / Score >80
- **温和看涨 / Moderate Bullish**: 评分60-80 / Score 60-80
- **震荡 / Sideways**: 评分40-60 / Score 40-60
- **温和看跌 / Moderate Bearish**: 评分20-40 / Score 20-40
- **强烈看跌 / Strong Bearish**: 评分<20 / Score <20
### 6.2 智能点位识别 / Smart Level Identification
#### 最佳做多点位 / Optimal Long Entry Points
- 基于支撑位和斐波那契回撤 / Based on support levels and Fibonacci retracements
- 结合RSI超卖和MACD金叉 / Combined with RSI oversold and MACD golden cross
- 提供具体价位和置信度 / Provides specific price levels and confidence scores
#### 最佳做空点位 / Optimal Short Entry Points
- 基于阻力位和斐波那契回撤 / Based on resistance levels and Fibonacci retracements
- 结合RSI超买和MACD死叉 / Combined with RSI overbought and MACD death cross
- 提供具体价位和置信度 / Provides specific price levels and confidence scores
## 7. 使用建议 / Usage Recommendations
### 7.1 信号优先级 / Signal Priority
1. **最高优先级 / Highest Priority**: AI智能信号(评分≥70) / AI smart signals (score ≥70)
2. **高优先级 / High Priority**: 预测性信号+多时间框架确认 / Predictive signals + multi-timeframe confirmation
3. **中等优先级 / Medium Priority**: 传统SuperTrend信号 / Traditional SuperTrend signals
4. **参考级别 / Reference Level**: 背离信号和支撑阻力提示 / Divergence signals and support/resistance hints
### 7.2 参数设置建议 / Parameter Setting Recommendations
#### 新手用户 / Beginner Users
- 启用AI学习系统 / Enable AI learning system
- 使用平衡型组合 / Use balanced combination
- 关注预测性信号 / Focus on predictive signals
- 重视风险控制 / Emphasize risk control
#### 经验用户 / Experienced Users
- 根据市场环境选择组合 / Choose combinations based on market conditions
- 结合多时间框架分析 / Combine multi-timeframe analysis
- 自定义学习参数 / Customize learning parameters
- 灵活运用各类信号 / Flexibly use various signal types
### 7.3 风险提示 / Risk Warnings
- **AI学习需要时间 / AI Learning Takes Time**: 至少20笔交易后才开始有效学习 / Effective learning starts after at least 20 trades
- **市场环境变化 / Market Environment Changes**: 需要定期重新训练AI系统 / AI system needs periodic retraining
- **信号延迟 / Signal Delay**: 部分信号可能存在1-2根K线的延迟 / Some signals may have 1-2 candlestick delay
- **假信号风险 / False Signal Risk**: 震荡市场中可能产生较多假信号 / May generate more false signals in choppy markets
- **过度优化 / Over-optimization**: 避免频繁调整参数导致过拟合 / Avoid frequent parameter adjustments causing overfitting
## 8. 显示面板说明 / Display Panel Description
### 8.1 AI统计面板 / AI Statistics Panel
显示内容包括 / Display contents include:
- 风险等级和买卖评分 / Risk level and buy/sell scores
- 市场状态和波动率 / Market state and volatility
- RSI当前值 / Current RSI value
- AI趋势预测和置信度 / AI trend prediction and confidence
- 最佳入场点位 / Optimal entry points
- 交易机会评估 / Trading opportunity assessment
- AI准确率统计 / AI accuracy statistics
### 8.2 AI预测信息面板 / AI Prediction Information Panel
显示内容包括 / Display contents include:
- 趋势方向和置信度 / Trend direction and confidence
- 价格目标位 / Price target levels
- 最佳做多/做空点位 / Optimal long/short entry points
- 交易机会类型 / Trading opportunity type
- 入场时机建议 / Entry timing recommendations
- 市场情绪分析 / Market sentiment analysis
- 价格形态识别 / Price pattern recognition
## 9. 总结 / Summary
AI-JX v3.0指标通过集成多种技术分析方法和AI学习能力,为交易者提供了一个全面的市场分析工具。其核心优势在于:
The AI-JX v3.0 indicator provides traders with a comprehensive market analysis tool by integrating various technical analysis methods and AI learning capabilities. Its core advantages include:
- **智能化 / Intelligence**: AI自动学习和优化参数 / AI automatically learns and optimizes parameters
- **多维度 / Multi-dimensional**: 结合趋势、动量、支撑阻力等多个维度 / Combines trend, momentum, support/resistance and other dimensions
- **预测性 / Predictive**: 提供前瞻性的市场预测 / Provides forward-looking market predictions
- **风险控制 / Risk Control**: 内置假突破识别和多重确认机制 / Built-in false breakout identification and multiple confirmation mechanisms
建议交易者在使用时结合自身交易风格和市场环境,合理设置参数,并注意风险管理。
It is recommended that traders combine their own trading style and market environment when using this indicator, set parameters reasonably, and pay attention to risk management.
[KINGS GUN & SHOOT]KINGS GUN & SHOOT – Advanced RSI Trendline Indicator
The KINGS GUN & SHOOT indicator combines RSI momentum analysis, dynamic trendline detection, and pivot structure mapping to help traders visually identify trend strength, reversals, and breakout zones in real time.
Key Features
Custom RSI (Relative Strength Index)
Uses a user-defined length (default 20).
RSI line is green when trending up (above WMA) and red when trending down (below WMA).
Weighted Moving Average (WMA) Overlay
Optional smoothing line for RSI to confirm trend direction.
Helps filter false signals during sideways markets.
Pivot Points (Highs & Lows)
Detects recent pivot highs and lows automatically.
Labels plotted directly on the RSI for quick structure recognition.
Automatic Trendline Drawing
Connects recent pivot highs for downtrend lines.
Connects recent pivot lows for uptrend lines.
Supports up to 20 dynamic lines in each direction.
Solid/Dashed styling options and adjustable line width.
Broken Trendline Display (Optional)
When RSI breaks below an uptrend line or above a downtrend line, a dotted “broken trendline” is displayed as a warning of trend exhaustion.
Configurable Visuals
Toggle between show/hide pivots and show/hide WMA.
Choose between Solid or Dashed trendlines.
Adjustable line width and RSI color behavior.
How to Use
Uptrend confirmation: RSI stays above WMA, and pivot lows connect into rising trendlines.
Downtrend confirmation: RSI stays below WMA, and pivot highs connect into falling trendlines.
Breakout signal: Broken trendlines indicate possible momentum reversal or volatility spike.
Overbought/Oversold levels: Default guide levels at 80 (overbought) and 20 (oversold).
Best For
Swing traders and position traders looking to hold trades longer.
Breakout traders who want early warnings of trendline failures.
Any market: Works on stocks, crypto, forex, commodities, indices.
Any timeframe: From intraday to weekly charts.
[KINGS BULL & BEAR STRATEGY]Title:
KINGS BULL & BEAR STRATEGY – Divergent Bars with Williams Alligator Filter
Short Description:
Identifies bullish and bearish divergent bars using Williams Alligator lines as a smart market filter.
Full Description:
Overview
The KINGS BULL & BEAR STRATEGY is designed to detect Divergent Bars (DBs) — powerful price action signals — and confirm them using Williams Alligator lines as a trend filter. This tool helps traders identify high-probability bullish and bearish setups directly on the chart.
How It Works
Williams Alligator Lines:
Calculates three moving averages (Jaw, Teeth, Lips) using your chosen MA type: SMA, SMMA, EMA, RMA, WMA, or VWMA.
Offsets for each line can be adjusted to match the original Alligator indicator behavior.
Divergent Bar Logic:
Bullish Divergent Bar:
Occurs when price makes a lower low while staying below all Alligator lines, then closes above its mid-level.
Bearish Divergent Bar:
Occurs when price makes a higher high while staying above all Alligator lines, then closes below its mid-level.
Filter Levels (No / Medium / High):
No filter: Basic DB detection.
Medium filter: Adds confirmation using previous bar lows/highs.
High filter: Requires Alligator lines to align (Lips < Teeth < Jaw for bullish, Lips > Teeth > Jaw for bearish), improving accuracy during strong trends.
Features
Customizable Alligator settings: Select MA method and adjust Jaw, Teeth, Lips lengths and offsets.
Selectable filter strength: Choose from “No,” “Medium,” or “High” filtration to fit your strategy style.
Visual Chart Signals:
Green ▲ label below bar: Bullish Divergent Bar.
Red ▼ label above bar: Bearish Divergent Bar.
Trend Confirmation: Built-in Alligator alignment for higher-quality signals.
How to Use
For trend traders: Use high filtration mode to confirm signals in trending markets.
For reversal traders: Use medium or no filtration to catch early turning points.
Combine with confluence: Works best alongside momentum indicators, volume profiles, or manual price action analysis.
Important Notes
This tool does not execute trades automatically. It is an indicator for signal visualization only.
Not every signal is a buy/sell recommendation. Always validate with additional tools or strategies.
Can be used on all markets and timeframes (Forex, Crypto, Stocks, Indices).
Credits
Williams Alligator concept for dynamic trend detection.
Divergent Bar logic adapted and enhanced with multi-level filtering for cleaner signals.
Bull/Bear Lower Volume (vijayachandru)Bull/Bear Lower Volume (HA + Box + ±15 Lines)
This indicator tracks intraday Heikin Ashi candles and highlights the lowest-volume bull/bear candles after 9:25 (IST). When price breaks above/below these candles, a breakout box is drawn with optional ±15 point dashed levels. It plots clear Buy/Sell signals, marks box breakouts, and provides alert conditions for all setups—helping traders spot early intraday breakouts driven by volume shifts
Leaders DashboardA compact, glanceable leadership dashboard for monitoring market health via your hand-picked “Top 8” stocks. It tracks trend posture and momentum using practical checks (21-EMA, 50-DMA, rising 21, and proximity to highs), plus optional QQQ/SPY benchmark rows , all in a clean, color-forward table that sits on your chart.
What it shows
Sym – your 8 symbols (short format).
>21 – price above the 21-EMA.
>50 – price above the 50-DMA.
↑21 – 21-EMA sloping up.
ΔX% – within X% of high (default logic: ATH; switchable to N-bar High).
Price – last price (toggleable).
Σ Totals row (optional) – counts “passes” across your 8 names for each column, with Neutral or Majority shading.
Benchmarks (QQQ/SPY) are optional rows for context and do not contribute to totals.
Built for signal at a glance
Color-first cells with minimal ink: defaults to labels OFF and ✓ / ✗ markers ON.
Δ% header is compact (e.g., Δ2%) to save space.
Position & size: snap to any chart corner; Tiny/Small/Medium/Large font presets.
Per-column toggles: show/hide any column to match your workflow.
Controls (key inputs)
Symbols: 8 user slots (use exchange prefixes, e.g., NASDAQ:PLTR).
Benchmark rows: None / QQQ / SPY / Both (not counted in Σ).
Table position & size: four corners; Tiny → Large font presets.
Opacity mode:
Per-color (default) – honors each color picker’s opacity (PF/W defaults set to 50%).
Global – one slider controls transparency across the whole table.
YES/NO labels: off by default.
Cell marker: None / Dot / Check/X (default).
Show Price: on by default.
Show totals row (Σ): on by default; Totals color mode = Neutral or Majority.
Δ% logic: choose ATH or N-bar High and set the % threshold and lookback.
How to use it
Drop it on any timeframe; the stats are computed on your current chart timeframe for each symbol.
Enter your 8 leaders (e.g., AVGO, GEV, HOOD, MSFT, NVDA, PLTR, RBLX, TSM) and optionally add QQQ/SPY.
Keep labels off with Check/X markers for a clean, color-driven read.
Watch the Σ row:
- 6/8 passing on >21, >50, and ↑21 suggests healthy leadership breadth.
- A high Δ% count means many leaders are pressing highs.
Notes & tips
If a symbol shows as invalid, confirm the exchange prefix (e.g., NASDAQ:, NYSE:, AMEX:).
ATH proximity uses up to 10,000 bars; switch to N-bar High if you prefer a rolling window.
The table is an overlay; use opacity/size to keep it unobtrusive over price.
Disclaimer: For educational/information purposes only. This script does not provide financial advice, nor does it place or manage orders. Always do your own research.
Pivot ConnectPivot Connect –
a condensed and educational version
Objective
Automatically draws extended horizontal lines at the pivots (relevant highs and lows) of three timeframes:
The current chart (1 min, 5 min, 1 h… whatever you're looking at)
Weekly (W)
4-hour (240 min)
These lines are considered "protected levels": resistances (highs) or supports (lows).
The script also detects when the price breaks only the wick break to change the color/style of the line and warn that the level may have become invalid.
What is a pivot here?
ta.pivothigh / ta.pivotlow calculate a local high/low that has at least n bars on either side.
The pivotStrength parameter (default 12) is that n.
Therefore, a pivot high requires 12 candles to the left and 12 to the right lower than itself.
Lines drawn:
Highs and lows of the current timeframe (red and green)
Weekly highs and lows (blue and orange) if useWeekly = true
4-hour highs and lows (fuchsia and aqua) if use4H = true
Each line extends to the right by "extendLines" bars (default 100).
Wick break
This is reviewed bar by bar:
For a High level: if the high breaks above the line but the close remains below → it is considered a false break (wick break) and the line changes to purple and dashed style.
For a Low level: if the low breaks above the line but the close remains above → same warning.
The wickBreakBars (5) parameter is not used in the current logic; it was probably intended for future validation.
Cleaning Old Lines
Every 100 bars, lines with a right end older than 500 bars are removed to avoid memory overload (max_lines_count = 500).
Quick Customization
Colors and styles for each category.
Show or hide each line group (showHighs, showLows, useWeekly, use4H).
Thickness, solid/dash/dotted style.
Example of on-screen reading
Horizontal red line: resistance of the timeframe itself.
Horizontal blue line: important weekly high.
If a line changes to dashed purple: the price pierced it with the wick but did not close above it (at highs) – possible rejection.
This gives you a visual map of multi-timeframe support and resistance levels with quick alerts for "suspicious" breakouts.
Merek Equal Highs and LowsEQH – Equal Highs Indicator
Description:
The EQH indicator detects Equal Highs on the chart. This occurs when price reaches the same high level two or more times without breaking it decisively.
Interpretation:
Liquidity zone: Equal highs are often seen as areas where liquidity (stop-loss clusters) is located.
Breakout potential: A break above this level often signals that liquidity is being taken before either a reversal or continuation of the trend.
Market structure: EQH highlights resistance areas that can serve as key decision points for traders.
Use cases:
Identifying potential stop-hunt zones
Spotting resistance levels
Anticipating liquidity grabs before reversals or trend continuations
EQL – Equal Lows Indicator
Description:
The EQL indicator detects Equal Lows on the chart. This occurs when price reaches the same low level two or more times without breaking lower.
Interpretation:
Liquidity zone: Equal lows are areas where liquidity (sell-side stops) tends to accumulate.
Breakout potential: A move below this level often indicates liquidity being swept before a possible reversal or continuation.
Market structure: EQL highlights support areas that can be critical for trade decisions.
Use cases:
Identifying sell-side liquidity zones
Spotting support levels
Recognizing possible stop-hunts before reversals or trend continuations
BankNifty Institutional Zone MapperBankNifty Institutional Zone Mapper is a powerful support–resistance mapping tool designed to reveal the hidden grid where institutions are most likely placing their orders.
Instead of random lines, this indicator uses dual baselines with equidistant spacing to create highly accurate zones that act as magnets for price.
🔹 Why try it?
Detect institutional reaction levels instantly.
Spot high-probability support & resistance zones without guesswork.
Works seamlessly across intraday & positional trading.
Eliminates chart clutter while keeping the levels precise & repeatable.
Whether you’re trading BankNifty options, futures, or intraday moves, these zones will help you identify where real market battles are happening.
Add it once to your chart, and you’ll immediately see why price respects these levels again and again.
Emre AOI Zonen Daily & Weekly (mit Alerts, max 60 Pips)This TradingView indicator automatically highlights Areas of Interest (AOI) for Forex or other markets on Daily and Weekly timeframes. It identifies zones based on the high and low of the previous period, but only includes zones with a width of 60 pips or less.
Features:
Daily AOI Zones in blue, Weekly AOI Zones in yellow with 20% opacity, so candlesticks remain visible.
Persistent zones: AOI boxes stay on the chart until the price breaks the zone.
Multiple zones: Supports storing multiple Daily and Weekly AOIs simultaneously.
Break Alerts: Sends alerts whenever a Daily or Weekly AOI is broken, helping traders spot key levels in real-time.
Fully automated: No manual drawing needed; zones are updated and extended automatically.
Use Case:
Ideal for traders using a top-down approach, combining Weekly trend analysis with Daily entry signals. Helps identify support/resistance, supply/demand zones, and critical price levels efficiently.
EMAs 20/50/200 with Trend ColoringIt calculates EMA 20, 50, and 200.
For each EMA, it compares the current value with the previous bar (ema > ema ).
If rising → green, if falling → red.
All three EMAs are plotted with different colors dynamically changing by slope.
Scalp Sniper EMA-RSI (M5–M15) — v6.2 (freeze lines on hit)Scalp sniper who detect entry and sl tp, TP are 1rr 1.5rr 2 rr, this strategies work in 15m and 5m time frame
VXN OBV Traffic LightsThe VXN OBV Traffic Lights indicator is based on other open source scripts. It's designed for Nasdaq futures (NQ/MNQ) uses On-Balance Volume (OBV) to gauge buying and selling pressure, filtered by the VXN (CBOE Nasdaq Volatility Index) trend. OBV accumulates volume based on price direction: positive volume when the Heikin Ashi smoothed close rises, negative when it falls, and zero when unchanged. Three EMAs (fast, medium, slow) of OBV act as "traffic lights" to signal momentum strength, with a Donchian baseline providing a midpoint reference. Buy/sell signals are visually reinforced when OBV crosses its slow EMA, colored green (bullish) or red (bearish). The VXN trend (EMA vs. 200-period SMA) sets the background: green for bullish (lower volatility, VXN EMA < SMA) or red for bearish (higher volatility, VXN EMA > SMA), helping traders align trades with market conditions.
ICT AIO Linh1. HTF FVG
2. Sweep Liquidity - STL/STH - ITL/ITH
3. IFVG
4. Session High Low
5. Signal on the chart
IndiAlls1. 30 mins line candle - 10h, 10:30, 11h, 11:30, 12h
2. Displacement candle
3. Engulfing candle
4. Fair Value Gap
5. Macro - New York AM and PM only
6. RSI dashboard - top right corner
7. Session High Low - Asia, London, Previous Week, Previous Day
8. Midnight and 8:30 open lines
9. SMT