GAMMA REGIME PROXYProxy to calculate gamma regime based on implied volatility
A short gamma regime can enhance the probabilities to have a breakout with a trend
A long gamma regime can enhance the probabilities to see reversal
Breitenindikatoren
SuperTrend趋势K线渲染多空提示指标简介 / Indicator Introduction
指标名称:趋势K线渲染多空提示
Indicator Name: Trend K-line Rendering with Long/Short Signals
核心功能 / Core Function:
本指标是一款直观的主图趋势跟踪工具。它通过智能渲染K线颜色,并直接在图表上标记“多”、“空”文字,为交易者提供一目了然的趋势方向和潜在买卖点提示。
This indicator is an intuitive overlay trend-following tool. It intelligently colors the K-lines and directly marks "Long" (多) and "Short" (空) signals on the chart, providing traders with a clear visual representation of the trend direction and potential trading points.
主要特点 / Main Features:
可视化趋势识别 / Visual Trend Identification:
指标通过独特的色彩系统为K线着色,将复杂的趋势判断转化为直观的视觉信号,让您瞬间把握当前市场多空主导力量。
The indicator colors the K-lines using a unique color system, transforming complex trend judgments into intuitive visual signals, allowing you to instantly grasp the dominant bullish or bearish force in the market.
精准多空信号 / Precise Long/Short Signals:
在趋势发生关键转换时,指标会在K线的关键位置(如高点或低点附近)清晰标注“多”或“空”文字,直接提示潜在的入场时机。
At key trend transitions, the indicator clearly marks "Long" (多) or "Short" (空) near critical price points (e.g., around highs or lows), directly suggesting potential entry opportunities.
主图叠加,无需切换 / Overlay on Main Chart, No Switching Needed:
所有信号都直接呈现在主图K线上,无需在副图之间切换视线,确保您专注于价格行为本身,决策更高效。
All signals are displayed directly on the main chart's K-lines, eliminating the need to shift your focus between sub-windows and ensuring you concentrate on price action for more efficient decision-making.
适用场景 / Applicable Scenarios:
适用于所有希望通过图表颜色快速判断趋势的交易者。
Suitable for all traders who wish to quickly determine the trend through chart colors.
适用于需要清晰、直接买卖点提示的投资者。
Suitable for investors who need clear and direct buy/sell point alerts.
可作为日内交易或波段交易的趋势过滤工具。
Can be used as a trend-filtering tool for day trading or swing trading.
温馨提示 / Friendly Reminder:
建议将此工具与其他技术分析方法结合使用,以相互验证。请注意,没有任何指标能保证100%准确,请务必管理好风险。
It is recommended to use this tool in conjunction with other technical analysis methods for mutual confirmation. Please note that no indicator can guarantee 100% accuracy, so always manage your risk effectively.
FVG PRO AUTO**הסבר ותקציר לפרסום – אינדיקטור Fair Value Gap PRO (FVG PRO) למסחר חכם אוטומטי**
**עברית:**
אינדיקטור FVG PRO למסחר אוטומטי חכם לפי שיטת Fair Value Gap (SMC). האינדיקטור מזהה רמות מפתח לפי 15 דקות אוטומטית, מאתר תבניות FVG ו־Engulfing רק כשמתקיימים כל התנאים הקריטיים (שעות מסחר, מגמת EMA, ונפח מספק), ומציג סיגנלי כניסה, מטרות וסטופ בצורה ויזואלית ברורה עם התראות אוטומטיות. הכלי בנוי ב־Pine Script v6 המתקדם, מיועד לסוחרים שרוצים למקסם אמינות, להפחית איתותי שווא, ולהפוך מסחר על הגרף לאוטונומי ומדויק. אין צורך בהתערבות ידנית – כל ניתוח הסיגנלים, הסינון וההתראות מבוצעים אוטומטית ובאמינות. פתרון איכותי וחזק לסוחרי FVG ו־Smart Money.
**English:**
FVG PRO is an advanced automated trading indicator based on the Fair Value Gap (SMC) method. It automatically detects 15-minute key price levels and identifies FVG & Engulfing patterns—only when all strict trading conditions (session hours, EMA trend, and sufficient volume) are met. The indicator visually displays entry points, targets, and stop loss, with instant alerts. Built with Pine Script v6, it’s designed for traders seeking maximum signal reliability and minimum false alerts—making your TradingView chart clear, smart, and fully autonomous. No manual input needed: all signal detection, filtering, and alerts are automatic and robust. The ideal solution for professional FVG and Smart Money traders.
SuperTrend副图趋势精准买卖点Indicator Name / 指标名称:
副图趋势精准买卖点
Sub-chart Trend Precision Buy-Sell Points
Core Function / 核心功能:
本指标是一款强大的趋势跟踪与交易信号工具,旨在通过独特的算法模型,为投资者精准捕捉市场中的关键买卖时机。它通过多空动能的可视化对比,清晰揭示当前趋势的强弱转换,并辅以明确的信号提示,帮助您在复杂的行情中做出更理性的决策。
This indicator is a powerful trend-following and trading signal tool designed to use a unique algorithmic model to help investors precisely capture key buying and selling opportunities in the market. Through the visual comparison of bullish and bearish momentum, it clearly reveals the strength transitions of the current trend and provides clear signal alerts, assisting you in making more rational decisions within complex market conditions.
Main Features / 主要特点:
Visualized Bullish-Bearish Momentum / 多空动能可视化:
通过鲜明的红绿双色柱状图,直观展示市场多空力量的实时博弈情况,让趋势方向一目了然。
Uses distinct red and green histogram bars to intuitively display the real-time battle between bullish and bearish forces in the market, making the trend direction clear at a glance.
Precise Buy-Sell Signals / 精准买卖信号:
在趋势发生关键转折点时,指标会发出独特的信号提示(如青色和黄色标记),为您提供潜在的入场和出场参考。
When key turning points occur in the trend, the indicator triggers unique signal prompts (such as cyan and yellow markers), providing you with potential entry and exit references.
Dynamic Support and Resistance Lines / 动态支撑压力线:
内嵌动态的支撑线与压力线,能够随市场波动自适应调整,帮助您识别关键的阻力位和支撑位,为判断行情空间提供重要依据。
Incorporates dynamic support and resistance lines that adaptively adjust with market fluctuations, helping you identify key resistance and support levels, which provides an important basis for judging market movement potential.
Simple, Intuitive, and Easy to Use / 简洁直观,易于使用:
所有信号均以图形化方式呈现于副图,界面清晰简洁,无需复杂解读,新手也能快速上手。
All signals are presented graphically on the sub-chart. The interface is clear and concise, requiring no complex interpretation, allowing even beginners to get started quickly.
Applicable Scenarios / 适用场景:
适用于寻找趋势启动点及转折点的投资者。
Suitable for investors looking for trend initiation points and turning points.
适用于需要辅助判断市场多空动能强弱的交易者。
Suitable for traders who need assistance in judging the strength of market bullish/bearish momentum.
可作为您现有交易系统中的一个有效确认工具。
Can serve as an effective confirmation tool within your existing trading system.
Friendly Reminder / 温馨提示:
任何技术指标均为分析辅助工具,建议结合其他分析方法或自身交易经验综合判断,市场有风险,投资需谨慎。
Any technical indicator is an auxiliary analysis tool. It is recommended to use it in combination with other analysis methods or your own trading experience for comprehensive judgment. The market carries risks, so investment requires caution.
Multi-Strategy XAUUSD 2mKy është një indikator i avancuar shumë-strategjik për XAUUSD, i dizajnuar për scalping në intervale të shkurtra (2-5 minuta).
Përfshin kombinim të strukturës së tregut, volumit, dhe price action, për të gjeneruar sinjale të sakta për hyrje në treg.
Përdoruesi mund të aktivizojë ose çaktivizojë secilën strategji nga paneli i kontrollit.
Ky mjet është vetëm për qëllime edukative — nuk përbën këshillë financiare.
This is a highly advanced multi-strategy indicator for XAUUSD, designed for scalping on short timeframes (2-5 minutes).
It combines market structure, volume analysis, and price action to generate accurate trade entry signals.
Users can enable or disable each strategy individually from the control panel.
This tool is intended for educational purposes only and does not constitute financial advice.
Inflection/ Bull Bear/ Weekly R&S VisualizerDisplay: Weekly Support/ Resistance, Inflection Levels, Bullbear
Adjust: Line Color, strength, style, opacity
Add: Zone around Inflection Level
Complete Indicator Analysis By: arisutikno📊 3 MAIN COMPONENTS
1. EMA (Exponential Moving Average)
Function: Detect price trends and momentum
Periods: 8, 21, 50, 100, 200 + SMA 200
Purpose:
EMA 8-21: Short-term trend
EMA 50-100: Medium-term trend
EMA 200: Long-term trend
2. FIBONACCI RETRACEMENT & EXTENSION
Function: Identify support/resistance levels and profit targets
Retracement Levels: 0.5, 0.618, 0.786 (pullback areas)
Extension Levels: 1.272, 1.618, 2.0 (profit targets)
Purpose: Determine trading entry and exit points
3. DYNAMIC SUPPORT & RESISTANCE
Function: Detect important price levels
Based on: High/Low within specific period
Purpose: Identify potential price reversal areas
⚙️ ADDITIONAL FEATURES
Individual Toggles: Enable/disable each component
Color Customization: Adjust colors according to preference
Clean Visualization: Neat lines and labels, no clutter
Advanced Multi-Timeframe Trend & Signal System═══════════════════════════════════════════════════════════════
ADVANCED MULTI-TIMEFRAME TREND & SIGNAL SYSTEM v1.0
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Created by: Zakaria Safri
License: Mozilla Public License 2.0
A comprehensive technical analysis tool designed for traders seeking
multi-dimensional market insights. This indicator combines proven
technical analysis methods with modern visualization techniques.
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KEY FEATURES
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✓ SUPERTREND SIGNAL GENERATION
- Customizable sensitivity settings
- Clear long/short entry signals
- Automatic trend direction detection
- ATR-based dynamic calculations
✓ MULTI-TIMEFRAME DASHBOARD
- Real-time trend analysis across 6 timeframes
- Synchronized trend confirmation
- Customizable table position and size
- Current: 1M, 5M, 15M, 1H, 1D coverage
✓ QQE REVERSAL DETECTION
- Quantitative Qualitative Estimation algorithm
- Early reversal signal identification
- Adjustable RSI and smoothing parameters
- Confirmation-based plotting
✓ DYNAMIC SUPPORT & RESISTANCE
- Pivot-based level calculation
- Quick and standard pivot detection
- Color-coded zones (8 levels)
- Automatic level updates
✓ MOMENTUM BREAKOUT SIGNALS
- Ichimoku-inspired calculations
- Bullish and bearish breakout detection
- Visual zone highlighting
- Trend confirmation filters
✓ RISK MANAGEMENT SYSTEM
- ATR-based stop loss calculation
- Multiple take profit targets (TP1, TP2, TP3)
- Customizable risk-to-reward ratios
- Dynamic price level tracking
- Hit detection markers
✓ VOLATILITY BANDS
- Keltner Channel implementation
- Multiple band layers (3 levels)
- EMA-based calculations
- Adaptive to market conditions
✓ TREND CLOUD VISUALIZATION
- Dual moving average cloud
- Clear trend direction indication
- Customizable color scheme
- Trend bar coloring
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HOW TO USE
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SETUP:
1. Add indicator to your chart
2. Configure sensitivity in Core Signals section
3. Enable desired features (signals, reversals, breakouts)
4. Set up risk management levels if trading
5. Position MTF dashboard to preference
SIGNAL INTERPRETATION:
• LONG Signal: Price crosses above Supertrend
• SHORT Signal: Price crosses below Supertrend
• REV (Reversal): QQE indicates potential trend change
• Diamond Breakouts: Momentum shift confirmation
• T1/T2/T3: Take profit level hits
MULTI-TIMEFRAME ANALYSIS:
• Green (BULL): Higher timeframe supports uptrend
• Red (BEAR): Higher timeframe supports downtrend
• Use for trend alignment and confirmation
• Best results when multiple timeframes align
RISK MANAGEMENT:
• Enable Stop Loss for automatic SL calculation
• Activate TP levels based on trading style
• Adjust Risk-to-Reward ratio (1:1 to 1:10)
• Monitor hit detection circles for exits
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TECHNICAL SPECIFICATIONS
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CALCULATIONS:
• Supertrend: ATR-based with customizable multiplier
• QQE: Modified RSI with Wilders smoothing
• Keltner Channels: EMA basis with ATR bands
• Pivots: Standard left/right bar methodology
• Support/Resistance: Multi-level pivot analysis
PARAMETERS:
• Supertrend Sensitivity: 0.5 to 10.0 (default: 2.0)
• RSI Period: 5 to 50 (default: 14)
• QQE Multiplier: 1.0 to 10.0 (default: 4.238)
• Risk-to-Reward: 1 to 10 (default: 4)
TIMEFRAMES:
Compatible with all timeframes. MTF dashboard displays:
• 1 Minute (1M)
• 5 Minutes (5M)
• 15 Minutes (15M)
• 1 Hour (1H)
• 1 Day (1D)
• Current chart timeframe
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CUSTOMIZATION OPTIONS
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VISUAL:
• Professional color scheme (Cyan/Orange)
• Adjustable table position (9 positions)
• Table size options (tiny/small/normal/large)
• Transparent zone highlighting
• Clean, modern label design
TOGGLES:
• Enable/disable any feature independently
• Show/hide signals, reversals, breakouts
• Toggle S/R levels and zones
• Control trend cloud and bands
• Master trend line optional
ALERTS:
The indicator provides visual signals that can be used with
TradingView's alert system by setting alerts on the indicator.
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BEST PRACTICES
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✓ Combine signals for higher probability setups
✓ Use MTF dashboard for trend confirmation
✓ Respect S/R levels for entry/exit planning
✓ Monitor QQE reversals at key price levels
✓ Adjust sensitivity based on asset volatility
✓ Test on demo/paper trading first
✓ Use proper risk management always
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IMPORTANT DISCLAIMER
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This indicator is a technical analysis tool and does NOT:
• Guarantee profitable trades
• Provide financial advice
• Predict future price movements with certainty
• Replace proper risk management
• Substitute for personal due diligence
Past performance does not indicate future results. All trading
involves risk. Users should:
- Understand the indicator's logic
- Test thoroughly before live trading
- Use appropriate position sizing
- Never risk more than they can afford to lose
- Consult financial advisors if needed
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CODING STANDARDS
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This indicator follows PineCoders Coding Conventions:
✓ Proper variable naming (prefixes: i_, f_, c_)
✓ Clear function documentation
✓ Organized code structure
✓ Type declarations
✓ Efficient calculations
✓ No repainting (confirmed signals)
✓ Proper use of request.security
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SUPPORT & UPDATES
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Version: 1.0
Author: Zakaria Safri
License: MPL 2.0
Last Updated: 2024
For questions, feedback, or suggestions, please comment below.
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#trading #signals #supertrend #multiTimeframe #QQE #reversals
#supportResistance #riskManagement #trendAnalysis #momentum
ADR Color CodedAbove 1 is green, below 1 is red.
Color coded to provide better visibilty when identifying divergences with volume and price
Distance % from sma/ema + Percentile BandsThis script is breadth indicator for long term bull and bear markets.
Default settings:
AU:
- 200m SMA
- Percentile Lookback: 99%
- Lookback Period: 240 M
AG: TBD
SPX: TBD
AllYouNeedThis indicator provides a complete multi-session framework designed for intraday and swing traders who want to visualize key trading ranges, session structures, and market imbalances.
It automatically detects and displays:
Session zones, including customizable time ranges (e.g. 18:30–22:03, 06:00–09:00), with dynamic boxes that extend in real time.
Premium/discount and deviation levels, based on percentage or pip-based deviations, useful for identifying overextended price zones.
Fair Value Gaps (FVGs), automatically highlighted with color changes that show whether they are newly created, tapped, or broken.
Dynamic Fibonacci and standard deviation zones, projected from session highs and lows to outline potential retracement and extension areas.
Automatic labeling of key equilibrium and OTE levels, allowing traders to easily locate optimal trade entry zones.
Each visual element dynamically adapts to price action as the session unfolds, helping traders interpret structural imbalances, retracement zones, and directional bias more intuitively.
Overall, this tool offers a structured and data-driven way to map intraday price behavior, making it ideal for traders focusing on precision entries, liquidity zones, and session-based confluence.
Rafael ThingsThis script is a custom-built Pine Script designed for research and analysis purposes on TradingView. It combines various market concepts, technical indicators, and logic conditions to visualize market structure and potential trade setups. The goal of this script is to assist with identifying price behavior patterns, momentum shifts, and possible areas of entry or exit based on customizable parameters. It is not intended to provide financial advice or guarantee performance — all results are for demonstration and educational use only.
Multi-Timeframe EMA Trend Dashboard with Volume and RSI Filters═══════════════════════════════════════════════════════════
MULTI-TIMEFRAME EMA TREND DASHBOARD
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OVERVIEW
This indicator provides a comprehensive view of trend direction across multiple timeframes using the classic EMA 20/50 crossover methodology, enhanced with volume confirmation and RSI filtering. It aggregates trend information from six timeframes into a single dashboard for efficient market analysis.
The indicator is designed for educational purposes and to assist traders in identifying potential trend alignments across different time horizons.
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FEATURES
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MULTI-TIMEFRAME ANALYSIS
• Monitors 6 timeframes simultaneously: 1m, 5m, 15m, 1H, 4H, 1D
• Each timeframe analyzed independently using request.security()
• Non-repainting implementation with proper lookahead settings
• Calculates overall trend strength as percentage of bullish timeframes
EMA CROSSOVER SYSTEM
• Fast EMA (default: 20) and Slow EMA (default: 50)
• Bullish: Fast EMA > Slow EMA
• Bearish: Fast EMA < Slow EMA
• Neutral: Fast EMA = Slow EMA (rare condition)
• Visual EMA plots with optional fill area
VOLUME CONFIRMATION
• Optional volume filter for crossover signals
• Compares current volume against moving average (default: 20-period SMA)
• Categorizes volume as: High (>1.5x average), Normal (>average), Low (70), oversold (<30), and neutral zones
• Used in quality score calculation
• Optional display toggle
SUPPORT & RESISTANCE DETECTION
• Automatic detection using highest/lowest over lookback period (default: 50 bars)
• Plots resistance (red), support (green), and mid-level (gray)
• Step-line style for clear visualization
• Optional display toggle
QUALITY SCORING SYSTEM
• Rates trade setups from 1-5 stars
• Considers: MTF alignment, volume confirmation, RSI positioning
• 5 stars: 4+ timeframes aligned + volume confirmed + RSI 50-70
• 4 stars: 4+ timeframes aligned + volume confirmed
• 3 stars: 3+ timeframes aligned
• 2 stars: Exactly 3 timeframes aligned
• 1 star: Other conditions
VISUAL DASHBOARD
• Clean table display (position customizable)
• Color-coded trend indicators (green/red/yellow)
• Extended statistics panel (toggleable)
• Shows: Trends, Strength, Quality, RSI, Volume, Price Distance
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TECHNICAL SPECIFICATIONS
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CALCULATIONS
Trend Determination per Timeframe:
• request.security() fetches EMA values with gaps=off, lookahead=off
• Compares Fast EMA vs Slow EMA
• Returns: 1 (bullish), -1 (bearish), 0 (neutral)
Trend Strength:
• Counts number of bullish timeframes
• Formula: (bullish_count / 6) × 100
• Range: 0% (all bearish) to 100% (all bullish)
Price Distance from EMA:
• Formula: ((close - EMA) / EMA) × 100
• Positive: Price above EMA
• Negative: Price below EMA
• Warning when absolute distance > 5%
ANTI-REPAINTING MEASURES
• All request.security() calls use lookahead=barmerge.lookahead_off
• Dashboard updates only on barstate.islast
• Historical bars remain unchanged
• Crossover signals finalize on bar close
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USAGE GUIDE
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INTERPRETING THE DASHBOARD
Timeframe Rows:
• Each row shows individual timeframe trend status
• Look for alignment (multiple timeframes same direction)
• Higher timeframes generally more significant
Strength Indicator:
• >66.67%: Strong bullish (4+ timeframes bullish)
• 33.33-66.67%: Mixed/choppy conditions
• <33.33%: Strong bearish (4+ timeframes bearish)
Quality Score:
• Higher stars = better confluence of factors
• 5-star setups have strongest multi-factor confirmation
• Lower scores may indicate weaker or conflicting signals
SUGGESTED APPLICATIONS
Trend Confirmation:
• Check if multiple timeframes confirm current chart trend
• Higher agreement = stronger trend confidence
• Use for position sizing decisions
Entry Timing:
• Wait for EMA crossover on chart timeframe
• Confirm with higher timeframe alignment
• Volume above average preferred
• RSI not in extreme zones
Divergence Detection:
• When lower timeframes diverge from higher
• May indicate trend exhaustion or reversal
• Requires additional confirmation
CUSTOMIZATION
EMA Settings:
• Adjust Fast/Slow lengths for different sensitivities
• Shorter periods = more responsive, more signals
• Longer periods = smoother, fewer signals
• Common alternatives: 10/30, 12/26, 50/200
Volume Filter:
• Enable for higher-quality signals (fewer false positives)
• Disable in always-liquid markets or for more signals
• Adjust MA length based on typical volume patterns
Display Options:
• Toggle EMAs, S/R levels, extended stats as needed
• Choose dashboard position to avoid chart overlap
• Adjust colors for visibility preferences
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ALERTS
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AVAILABLE ALERT CONDITIONS
1. Bullish EMA Cross (Volume Confirmed)
2. Bearish EMA Cross (Volume Confirmed)
3. Strong Bullish Alignment (4+ timeframes)
4. Strong Bearish Alignment (4+ timeframes)
5. Trend Strength Increasing (>16.67% jump)
6. Trend Strength Decreasing (>16.67% drop)
7. Excellent Trade Setup (5-star rating)
Alert messages use standard placeholders:
• {{ticker}} - Symbol name
• {{close}} - Current close price
• {{time}} - Bar timestamp
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LIMITATIONS & CONSIDERATIONS
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KNOWN LIMITATIONS
• Lower timeframe data may not be available on all symbols
• 1-minute data typically limited to recent history
• request.security() subject to TradingView data limits
• Dashboard requires screen space (may overlap on small screens)
• More complex calculations may affect load time on slower devices
NOT SUITABLE FOR
• Highly volatile/illiquid instruments (many false signals)
• News-driven markets during announcements
• Automated trading without additional filters
• Markets where EMA strategies don't perform well
DOES NOT PROVIDE
• Exact entry/exit prices
• Stop-loss or take-profit levels
• Position sizing recommendations
• Guaranteed profit signals
• Market predictions
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BEST PRACTICES
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RECOMMENDED USAGE
✓ Combine with price action analysis
✓ Use appropriate risk management
✓ Backtest on historical data before live use
✓ Adjust settings for specific market characteristics
✓ Wait for higher-quality setups in important trades
✓ Consider overall market context and fundamentals
NOT RECOMMENDED
✗ Using as standalone trading system without confirmation
✗ Trading every signal without discretion
✗ Ignoring risk management principles
✗ Trading without understanding the methodology
✗ Applying to unsuitable markets/timeframes
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EDUCATIONAL BACKGROUND
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EMA CROSSOVER STRATEGY
The Exponential Moving Average crossover is a classical trend-following technique:
• Golden Cross: Fast EMA crosses above Slow EMA (bullish signal)
• Death Cross: Fast EMA crosses below Slow EMA (bearish signal)
• Widely used since the 1970s in various markets
• More responsive than SMA due to exponential weighting
MULTI-TIMEFRAME ANALYSIS
Analyzing multiple timeframes helps traders:
• Identify alignment between short and long-term trends
• Reduce false signals from single-timeframe noise
• Understand market context across different horizons
• Make informed decisions about trade duration
VOLUME ANALYSIS
Volume confirmation adds reliability:
• High volume suggests institutional participation
• Low volume signals may indicate false breakouts
• Volume precedes price in many market theories
• Helps distinguish genuine moves from noise
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TECHNICAL IMPLEMENTATION
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CODE STRUCTURE
• Organized in clear sections with proper commenting
• Uses explicit type declarations (int, float, bool, color, string)
• Constants defined at top (BULLISH=1, BEARISH=-1, etc.)
• Functions documented with @function, @param, @returns
• Follows PineCoders naming conventions (camelCase variables)
PERFORMANCE OPTIMIZATION
• var keyword for table (created once, not every bar)
• Calculations cached where possible
• Dashboard updates only on last bar
• Minimal redundant security() calls
SECURITY IMPLEMENTATION
• Proper gaps and lookahead parameters
• No future data leakage
• Signals finalize on bar close
• Historical bars remain static
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VERSION INFORMATION
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Current Version: 2.0
Pine Script Version: 5
Last Updated: 2024
Developed by: Zakaria Safri
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SETTINGS REFERENCE
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EMA SETTINGS
• Fast EMA Length: 1-500 (default: 20)
• Slow EMA Length: 1-500 (default: 50)
VOLUME & MOMENTUM
• Use Volume Confirmation: true/false (default: true)
• Volume MA Length: 1-500 (default: 20)
• Show RSI Levels: true/false (default: true)
• RSI Length: 1-500 (default: 14)
PRICE ACTION FEATURES
• Show Price Distance: true/false (default: true)
• Show Key Levels: true/false (default: true)
• S/R Lookback Period: 10-500 (default: 50)
DISPLAY SETTINGS
• Show EMAs on Chart: true/false (default: true)
• Fast EMA Color: customizable (default: cyan)
• Slow EMA Color: customizable (default: orange)
• EMA Line Width: 1-5 (default: 2)
• Show Fill Between EMAs: true/false (default: true)
• Show Crossover Signals: true/false (default: true)
DASHBOARD SETTINGS
• Position: Top Left/Right, Bottom Left/Right
• Show Extended Statistics: true/false (default: true)
ALERT SETTINGS
• Alert on Multi-TF Alignment: true/false (default: true)
• Alert on Trend Strength Change: true/false (default: true)
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RISK DISCLAIMER
═══════════════════════════════════════════════════════════
This indicator is provided for educational and informational purposes only. It should not be considered financial advice or a recommendation to buy or sell any security.
IMPORTANT NOTICES:
• Past performance does not indicate future results
• All trading involves risk of capital loss
• No indicator guarantees profitable trades
• Always conduct independent research and analysis
• Use proper risk management and position sizing
• Consult a qualified financial advisor before trading
• The developer assumes no liability for trading losses
By using this indicator, you acknowledge that you understand these risks and accept full responsibility for your trading decisions.
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SUPPORT & CONTRIBUTIONS
═══════════════════════════════════════════════════════════
FEEDBACK WELCOME
• Constructive comments appreciated
• Bug reports help improve the indicator
• Feature suggestions considered for future versions
• Share your experience to help other users
OPEN SOURCE
This code is published as open source for the TradingView community to:
• Learn from the implementation
• Modify for personal use
• Understand multi-timeframe analysis techniques
If you find this indicator useful, please consider:
• Leaving a thoughtful review
• Sharing with other traders who might benefit
• Following for future updates and releases
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ADDITIONAL RESOURCES
═══════════════════════════════════════════════════════════
RECOMMENDED READING
• TradingView Pine Script documentation
• PineCoders community resources
• Technical analysis textbooks on moving averages
• Multi-timeframe trading strategy guides
• Risk management principles
RELATED CONCEPTS
• Trend following strategies
• Moving average convergence/divergence
• Multiple timeframe analysis
• Volume-price relationships
• Momentum indicators
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Thank you for using this indicator. Trade responsibly and continue learning!
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Alpha Moving Average Opening IndicatorAlpha Moving Average Opening Indicator
Core Signal Logic: Generates primary long and short signal
Macro Trend Filter: Utilizes a l
Consolidation Filter (EMA Divergence): The indicator
Signal Qualification Engine: A cr
Purity Check: Thebefore the cross, filtering out
Momentum Confirmation: The signal candle must be a strong,
Structure Check: The signa
Trading Logic & Signal Types:
Initial Entry: Labeled as **"Open"Open Long" or "Open Short". These appear only when th
Stop and Reverse: When in"Close Long / Open Short".
Proactive Trend Engulfing Exit: This is a key risk mana"Close Position" signal (marked with an o
saodisengxiaoyu-lianghua-2.1- This indicator is a modular, signal-building framework designed to generate long and short signals by combining a chosen leading indicator with selectable confirmation filters. It runs on Pine Script version 5, overlays directly on price, and is built to be highly configurable so traders can tailor the signal logic to their market, timeframe, and trading style. It includes a dashboard to visualize which conditions are active and whether they validate a signal, and it outputs clear buy/sell labels and alert conditions so you can automate or monitor trades with confidence.
Core Design
- Leading Indicator: You choose one primary signal generator from a broad list (for example, Range Filter, Supertrend, MACD, RSI, Ichimoku, and many others). This serves as the anchor of the system and determines when a preliminary long or short setup exists.
- Confirmation Filters: You can enable additional filters that validate the leading signal before it becomes actionable. Each “respect…” input toggles a filter on or off. These filters include popular tools like EMA, 2/3 EMA crosses, RQK (Nadaraya Watson), ADX/DMI, Bollinger-based oscillators, MACD variations, QQE, Hull, VWAP, Choppiness Index, Damiani Volatility, and more.
- Signal Expiry: To avoid waiting indefinitely for confirmations, the indicator counts how many consecutive bars the leading condition holds. If confirmations do not align within a defined number of bars, the setup expires. This controls latency and helps reduce late or stale entries.
- Alternating Signals: An optional mode enforces alternation (long must follow short and vice versa), helping avoid repeated entries in the same direction without a meaningful reset.
- Aggregation Logic: The final long/short conditions are formed by combining the leading condition with all selected confirmation filters through logical conjunction. Only if all enabled filters validate the signal (within expiry constraints) does the indicator consider it a confirmed long or short.
- Visualization and Alerts: The script plots buy/sell labels at signal points, provides alert conditions for automation, and displays a compact dashboard summarizing the leading indicator’s status and each confirmation’s pass/fail result using checkmarks.
Leading Indicator Options
- The indicator includes a very large menu of leading tools, each with its own logic to determine uptrend or downtrend impulses. Highlights include:
- Range Filter: Uses a dynamic centerline and bands computed via conditional EMA/SMA and range sizing to define directional movement. It can operate in a default mode or an alternative “DW” mode.
- Rational Quadratic Kernel (RQK): Applies a kernel smoothing model (Nadaraya Watson) to detect uptrends and downtrends with a focus on noise reduction.
- Supertrend, Half Trend, SSL Channel: Classic trend-following tools that derive direction from ATR-based bands or moving average channels.
- Ichimoku Cloud and SuperIchi: Multi-component systems validating trend via cloud position, conversion/base line relationships, projected cloud, and lagging span.
- TSI (True Strength Index), DPO (Detrended Price Oscillator), AO (Awesome Oscillator), MACD, STC (Schaff Trend Cycle), QQE Mod: Momentum and cycle tools that parse direction from crossovers, zero-line behavior, and momentum shifts.
- Donchian Trend Ribbon, Chandelier Exit: Trend and exit tools that can validate breakouts or sustained trend strength.
- ADX/DMI: Measures trend strength and directional movement via +DI/-DI relationships and minimum ADX thresholds.
- RSI and Stochastic: Use crossovers, level exits, or threshold filters to gate entries based on overbought/oversold dynamics or relative strength trends.
- Vortex, Chaikin Money Flow, VWAP, Bull Bear Power, ROC, Wolfpack Id, Hull Suite: A diverse set of directional, momentum, and volume-based indicators to suit different markets and styles.
- Trendline Breakout and Range Detector: Price-behavior filters that confirm signals during breakouts or within defined ranges.
Confirmation Filters
- Each filter is optional. When enabled, it must validate the leading condition for a signal to pass. Examples:
- EMA Filter: Requires price to be above a specified EMA for longs and below for shorts, filtering signals that contradict broader trend or baseline levels.
- 2 EMA Cross and 3 EMA Cross: Enforce moving average cross conditions (fast above slow for long, the reverse for short) or a three-line stacking logic for more stringent trend alignment.
- RQK, Supertrend, Half Trend, Donchian, QQE, Hull, MACD (crossover vs. zero-line), AO (zero line or AC momentum variants), SSL: Each adds its characteristic validation pattern.
- RSI family (MA cross, exits OB/OS zones, threshold levels) plus RSI MA direction and RSI/RSI MA limits: Multiple ways to constrain signals via relative strength behavior and trajectories.
- Choppiness Index and Damiani Volatility: Prevent entries during ranging conditions or insufficient volatility; choppiness thresholds and volatility states gate the trade.
- VWAP, Volume modes (above MA, simple up/down, delta), Chaikin Money Flow: Volume and flow conditions that ensure signals happen in supportive liquidity or accumulation/distribution contexts.
- ADX/DMI thresholds: Demand a minimum trend strength and directional DI alignment to reduce whipsaw trades.
- Trendline Breakout and Range Detector: Confirm that the price is breaking structure or remains within active range consistent with the leading setup.
- By combining several filters you can create strict, conservative entries or looser setups depending on your goals.
Range Filter Engine
- A core building block, the Range Filter uses conditional EMA and SMA functions to compute adaptive bands around a dynamic centerline. It supports two types:
- Type 1: The centerline updates when price exceeds the band thresholds; bands define acceptable drift ranges.
- Type 2: Uses quantized steps (via floor operations) relative to the previous centerline to handle larger moves in discrete increments.
- The engine offers smoothing for range values using a secondary EMA and can switch between raw and averaged outputs. Its hi/lo bands and centerline compose a corridor that defines directional movement and potential breakout confirmation.
Signal Construction
- The script computes:
- leadinglongcond and leadingshortcond : The primary directional signals from the chosen leading indicator.
- longCond and shortCond : Final signals formed by combining the leading conditions with all enabled confirmations. Each confirmation contributes a boolean gate. If a filter is disabled, it contributes a neutral pass-through, keeping the logic intact without enforcing that condition.
- Expiry Logic: The code counts consecutive bars where the leading condition remains true. If confirmations do not line up within the user-defined “Signal Expiry Candle Count,” the setup is abandoned and the signal does not trigger.
- Alternation: An optional state ensures that long and short signals alternate. This can reduce repeated entries in the same direction without a clear reset.
- Finally, longCondition and shortCondition represent the actionable signals after expiry and alternation logic. These drive the label plotting and alert conditions.
Visualization
- Buy and Sell Labels: When longCondition or shortCondition confirm, the script plots annotated labels directly on the chart, making entries easy to see at a glance. The labels use color coding and clear text tags (“long” vs. “short”).
- Dashboard: A table summarizes the status of the leading indicator and all confirmations. Each row shows the indicator label and whether it passed (✔️) or failed (❌) on the current bar. This intensely practical UI helps you diagnose why a signal did or did not trigger, empowering faster strategy iteration and parameter tuning.
- Failed Confirmation Markers: If a setup expires (count exceeds the limit) and confirmations failed to align, the script can mark the chart with a small label and provide a tooltip listing which confirmations did not pass. It’s a helpful audit trail to understand missed trades or prevent “chasing” invalid signals.
- Data Window Values: The script outputs signal states to the data window, which can be useful for debugging or building composite conditions in multi-indicator templates.
Inputs and Parameters
- You control the indicator from a comprehensive input panel:
- Setup: Signal expiry count, whether to enforce alternating signals, and whether to display labels and the dashboard (including position and size).
- Leading Indicator: Choose the primary signal generator from the large list.
- Per-Filter Toggles: For each confirmation, a respect... toggle enables or disables it. Many include sub-options (like MACD type, Stochastic mode, RSI mode, ADX variants, thresholds for choppiness/volatility, etc.) to fine-tune behavior.
- Range Filter Settings: Choose type and behavior; select default vs. DW mode and smoothing. The underlying functions adjust band sizes using ATR, average change, standard deviation, or user-defined scales.
- Because everything is customizable, you can adapt the indicator to different assets, volatility regimes, and timeframes.
Alerts and Automation
- The script defines alert conditions tied to longCondition and shortCondition . You can set these alerts in your chart to trigger notifications or webhook calls for automated execution in external bots. The alert text is simple, and you can configure your own message template when creating alerts in the chart, including JSON payloads for algorithmic integration.
Typical Workflow
- Select a Leading Indicator aligned with your style. For trend following, Supertrend or SSL may be appropriate; for momentum, MACD or TSI; for range/trend-change detection, Range Filter, RQK, or Donchian.
- Add a few key Confirmation Filters that complement the leading signal. For example:
- Pair Supertrend with EMA Filter and RSI MA Direction to ensure trend alignment and positive momentum.
- Combine MACD Crossover with ADX/DMI and Volume Above MA to avoid signals in low-trend or low-liquidity conditions.
- Use RQK with Choppiness Index and Damiani Volatility to only act when the market is trending and volatile enough.
- Set a sensible Signal Expiry Candle Count. Shorter expiry keeps entries timely and reduces lag; longer expiry captures setups that mature slowly.
- Observe the Dashboard during live markets to see which filters pass or fail, then iterate. Tighten or loosen thresholds and filter combinations as needed.
- For automation, turn on alerts for the final conditions and use webhook payloads to notify your trading robot.
Strengths and Practical Notes
- Flexibility: The indicator is a toolkit rather than a single rigid model. It lets you test different combinations rapidly and visualize outcomes immediately.
- Clarity: Labels, dashboard, and failed-confirmation markers make it easy to audit behavior and refine settings without digging into code.
- Robustness: The expiry and alternation options add discipline, avoiding the temptation to enter late or repeatedly in one direction without a reset.
- Modular Design: The logical gates (“respect…”) make the behavior transparent: if a filter is on, it must pass; if it’s off, the signal ignores it. This keeps reasoning clean.
- Avoiding Overfitting: Because you can stack many filters, it’s tempting to over-constrain signals. Start simple (one leading indicator and one or two confirmations). Add complexity only if it demonstrably improves your edge across varied market regimes.
Limitations and Recommendations
- No single configuration is universally optimal. Markets change; tune filters for the instrument and timeframe you trade and revisit settings periodically.
- Trend filters can underperform in choppy markets; likewise, momentum filters can false-trigger in quiet periods. Consider using Choppiness Index or Damiani to gate signals by regime.
- Use expiry wisely. Too short may miss good setups that need a few bars to confirm; too long may cause late entries. Balance responsiveness and accuracy.
- Always consider risk management externally (position sizing, stops, profit targets). The indicator focuses on signal quality; combining it with robust trade management methods will improve results.
Example Configurations
- Trend-Following Setup:
- Leading: Supertrend uptrend for longs and downtrend for shorts.
- Confirmations: EMA Filter (price above 200 EMA for long, below for short), ADX/DMI (trend strength above threshold with +DI/-DI alignment), Volume Above MA.
- Expiry: 3–4 bars to keep entries timely.
- Result: Strong bias toward sustained moves while avoiding weak trends and thin liquidity.
- Mean-Reversion to Momentum Crossover:
- Leading: RSI exits from OB/OS zones (e.g., RSI leaves oversold for long and leaves overbought for short).
- Confirmations: 2 EMA Cross (fast crossing slow in the same direction), MACD zero-line behavior for added momentum validation.
- Expiry: 2–3 bars for responsive re-entry.
- Result: Captures momentum transitions after short-term extremes, with extra confirmation to reduce head-fakes.
- Range Breakout Focus:
- Leading: Range Filter Type 2 or Donchian Trend Ribbon to detect breakouts.
- Confirmations: Damiani Volatility (avoid low-volatility false breaks), Choppiness Index (prefer trend-ready states), ROC positive/negative threshold.
- Expiry: 1–3 bars to act on breakout windows.
- Result: Better alignment to breakout dynamics, gating trades by volatility and regime.
Conclusion
- This indicator is a comprehensive, configurable framework that merges a chosen leading signal with an array of corroborating filters, disciplined expiry handling, and intuitive visualization. It’s designed to help you build high-quality entry signals tailored to your approach, whether that’s trend-following, breakout trading, momentum capturing, or a hybrid. By surfacing pass/fail states in a dashboard and allowing alert-based automation, it bridges the gap between discretionary analysis and systematic execution. With sensible parameter tuning and thoughtful filter selection, it can serve as a robust backbone for signal generation across diverse instruments and timeframes.
Wick Bias - by TenAMTraderWick Bias - by TenAMTrader
Wick Bias helps traders quickly visualize market pressure by analyzing candle wicks and bodies over a user-defined number of bars. By comparing top and bottom wicks, the indicator identifies whether buying or selling pressure has been dominant, providing a clear Indicator Bias signal (Bullish, Bearish, or Neutral).
Key Features:
Shows Top Wicks %, Bottom Wicks %, and optional Body % for recent candles.
Highlights Indicator Bias to indicate short-term market trends.
Fully customizable colors for table rows and bias labels.
Option to show or hide body percentage.
Alerts trigger on bias flips, with optional on-chart labels.
Table can be placed in any chart corner.
Updates in real-time with each new bar.
Recommended Use:
Ideal for intraday and swing traders looking for a quick visual cue of short-term market momentum.
Can be combined with other technical analysis tools to confirm trade setups or potential reversals.
Disclaimer / Legal Notice:
This indicator is for educational and informational purposes only. It is not financial advice and should not be used as the sole basis for trading decisions. Past performance does not guarantee future results. Users are responsible for their own trades. The developer is not liable for any losses or damages resulting from the use of this indicator.
Cyclical Phases of the Market🧭 Overview
“Cyclical Phases of the Market” automatically detects major market cycles by connecting swing lows and measuring the average number of bars between them.
Once it learns the rhythm of past cycles, it projects the next expected cycle (in time and price) using a dashed orange line and a forecast label.
In simple terms:
The indicator shows where the next potential low is statistically expected to occur, based on the timing and depth of previous cycles.
⚙️ Core Logic – Step by Step
1️⃣ Pivot Detection
The script uses the built-in ta.pivotlow() and ta.pivothigh() functions to find local turning points:
pivotLow marks a local swing low, defined by pivotLeft and pivotRight bars on each side.
Only confirmed lows are used to define the major cycle points.
Each new pivot low is stored in two arrays:
cycleLows → price level of the low
cycleBars → bar index where the low occurred
2️⃣ Cycle Identification and Drawing
Every time two consecutive swing lows are found, the indicator:
Calculates the number of bars between them (cycle length).
If that distance is greater than or equal to minCycleBars, it draws a teal line connecting the two lows — visually representing one complete cycle.
These teal lines form the historical cycle structure of the market.
3️⃣ Average Cycle Length
Once there are at least three completed cycles, the script calculates the average duration (mean number of bars between lows).
This value — avgCycleLength — represents the dominant periodicity or cycle rhythm of the market.
4️⃣ Forecasting the Next Cycle
When a valid average cycle length exists, the model projects the next expected cycle:
Time projection:
Adds avgCycleLength to the last cycle’s ending bar index to find where the next low should occur.
Price projection:
Estimates the vertical amplitude by taking the difference between the last two cycle lows (priceDiff).
Adds this same difference to the last low price to forecast the next probable low level.
The result is drawn as an orange dashed line extending into the future, representing the Next Expected Cycle.
5️⃣ Forecast Label
An orange label 🔮 appears at the projected future point showing:
Text:
🔮 Upcoming Cycle Forecast
Price:
The label marks the probable area and timing of the next cyclical low.
(Note: the date/time calculation currently multiplies bar count by 7 days, so it’s designed mainly for daily charts. On other timeframes, that conversion can be adapted.)
📊 How to Read It on the Chart
Visual Element Meaning Interpretation
Teal lines Completed historical cycles (low to low) Show actual periodic rhythm of the market
Orange dashed line Projection of the next expected cycle Anticipated path toward the next cyclical low
Orange label 🔮 Upcoming Cycle Forecast Displays expected price and bar location
Average cycle length Internal variable (bars between lows) Represents the dominant cycle period
📈 Interpretation
When teal segments show consistent spacing, the market is following a stable rhythm → cycles are predictable.
When cycle spacing shortens, the market is accelerating (volatility rising).
When it widens, the market is slowing down or entering accumulation.
The orange dashed line represents the next expected low zone:
If the market drops near this line → cyclical pattern confirmed.
If the market breaks well below → cycle amplitude has increased (trend weakening).
If the market rises above and delays → a new longer cycle may be forming.
🧠 Practical Use
Combine with oscillators (e.g., RSI or TSI) to confirm momentum alignment near projected lows.
Use in conjunction with volume to identify accumulation or exhaustion near the expected turning point.
Compare across timeframes: weekly cycles confirm long-term rhythm; daily cycles refine short-term entries.
⚡ Summary
Aspect Description
Purpose Detect and forecast recurring market cycles
Cycle basis Low-to-Low pivot analysis
Visuals Teal historical cycles + Orange forecast line
Forecast Next expected low (price and time)
Ideal timeframe Daily
Main outputs Average cycle length, next projected cycle, visual cycle map
NWOG/NDOG + EHPDA🌐 ENGLISH DESCRIPTION
Hybrid NWOG/NDOG + EHPDA – Advanced Gaps & Event Horizon Indicator
(Enhanced with Real-Time Alerts and Info Table)
📊 Overview
This advanced indicator combines automatic detection of weekly gaps (NWOG) and daily gaps (NDOG) with the Event Horizon (EHPDA) concept, now featuring customizable alerts and a real-time info table for a more efficient trading experience. Designed for traders who operate based on institutional price structures, liquidity zones, and SMC/ICT confluences.
✨ Key Features
1. Gap Detection & Visualization
NWOG (New Week Opening Gap): Identifies and visualizes the gap between Friday’s close and Monday’s open.
NDOG (New Day Opening Gap): Detects daily gaps on intraday timeframes.
Enhanced visualization: Semi-transparent boxes, price levels (top, middle, bottom), and lines extended to the current bar.
Customizable labels: Display gap formation date and price levels (optional).
2. Event Horizon (EHPDA)
Automatically calculates the Event Horizon level between two non-overlapping gaps.
Dashed line marking the equilibrium zone between bullish and bearish gaps.
3. Advanced 5pm-6pm Mode
Special option to detect the Sunday-Monday gap using 4H bars.
4. Real-Time Alerts
New gaps (NWOG/NDOG): Immediate notification when a new gap forms.
Gap fill: Alert when price completely fills a gap.
Event Horizon active: Notification when the Event Horizon level is triggered.
5. Info Table
Real-time display: number of active gaps, Event Horizon status, time remaining until weekly/daily close.
Customizable: position, size, and style.
🎨 Customization
Configurable colors for bullish gaps, bearish gaps, and Event Horizon line.
Customizable price labels and date format.
📈 Use Cases
Reversal trading, price targets, liquidity zones, SMC/ICT confluences.
⚙️ Recommended Settings
Timeframes: Daily and intraday (15m, 1H, 4H, etc.).
NWOG: Enable on all timeframes.
NDOG: Enable only on intraday.
Max Gaps: 3-5 for clean charts, 10-15 for historical analysis.
📝 Important Notes
Works best on 24/5 markets (Forex, Crypto).
Gaps automatically close when filled.
Event Horizon only appears with at least 2 non-overlapping gaps.






















