M2 Global Liquidity Index - 10 Week Lead// This Pine Script™ code is subject to the terms of the Mozilla Public License 2.0 at mozilla.org
// @calmMonkey
// Mik3Christ3ns3n's M2 Global Liquidity Index Moved forward 10 weeks.
// M2 Money Stock for CNY+USD+EUR+JPY+GBP
//@version=6
indicator('M2 Global Liquidity Index - 10 Week Lead (4H)', overlay=false, scale=scale.left)
// Define offset in weeks
offset_weeks = 12
// Convert weeks to milliseconds (1 week = 7 days * 86400000 ms/day)
offset_ms = offset_weeks * 7 * 86400000
// --- 각 자산을 4시간봉(240분)으로 변경 ---
cnm2 = request.security("ECONOMICS:CNM2", "240", close)
cnyusd = request.security("FX_IDC:CNYUSD", "240", close)
usm2 = request.security("ECONOMICS:USM2", "240", close)
eum2 = request.security("ECONOMICS:EUM2", "240", close)
eurusd = request.security("FX:EURUSD", "240", close)
jpm2 = request.security("ECONOMICS:JPM2", "240", close)
jpyusd = request.security("FX_IDC:JPYUSD", "240", close)
gbm2 = request.security("ECONOMICS:GBM2", "240", close)
gbpusd = request.security("FX:GBPUSD", "240", close)
// --- 합산 ---
total = (cnm2 * cnyusd + usm2 + eum2 * eurusd + jpm2 * jpyusd + gbm2 * gbpusd) / 1000000000000
// Plot with the time offset (주 단위 오프셋 그대로 유지)
plot(total, color=color.yellow, linewidth=2, offset=offset_weeks * 7)
Chart-Muster
Lumiere’s Indicator BundleThe Lumiere’s Indicator Bundle combines three of Lumiere’s most used tools into one script:
🔹 BOS Mark-out – Marks Breaks of Structure with clear bullish/bearish levels and optional alerts.
🔹 Liquidity Mark-ou t – Draws significant swing highs/lows and automatically removes them once swept.
🔹 Trading Session High/Low – Tracks Asia, London, and New York session ranges with customizable timezone.
Why this bundle?
I made this bundle so everyone can run all my indicators at once without having to pick and choose between them or worry about chart space limits.
Instead of loading 3 separate indicators, this package gives you everything in one place. You can toggle each module (BOS, Liquidity, Sessions) on or off from the settings. All inputs are kept clean and organized in their own sections for easy adjustments.
What to expect
BOS lines always plotted on top for maximum clarity.
Liquidity highs/lows update in real time and get removed when taken out.
Session ranges show the active session’s high/low and can mark sweeps after the session closes.
Default timezone is New York (UTC-4), but you can switch to any TradingView-supported timezone.
BOS alerts are included, so you’ll never miss a structural break.
DYNAMIC TRADING DASHBOARDStudy Material for the "Dynamic Trading Dashboard"
This Dynamic Trading Dashboard is designed as an educational tool within the TradingView environment. It compiles commonly used market indicators and analytical methods into one visual interface so that traders and learners can see relationships between indicators and price action. Understanding these indicators, step by step, can help traders develop discipline, improve technical analysis skills, and build strategies. Below is a detailed explanation of each module.
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1. Price and Daily Reference Points
The dashboard displays the current price, along with percentage change compared to the day’s opening price. It also highlights whether the price is moving upward or downward using directional symbols. Alongside, it tracks daily high, low, open, and daily range.
For traders, daily levels provide valuable reference points. The daily high and low are considered intraday support and resistance, while the median price of the day often acts as a pivot level for mean reversion traders. Monitoring these helps learners see how price oscillates within daily ranges.
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2. VWAP (Volume Weighted Average Price)
VWAP is calculated as a cumulative average price weighted by volume. The dashboard compares the current price with VWAP, showing whether the market is trading above or below it.
For traders, VWAP is often a guide for institutional order flow. Price trading above VWAP suggests bullish sentiment, while trading below VWAP indicates bearish sentiment. Learners can use VWAP as a training tool to recognize trend-following vs. mean reversion setups.
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3. Volume Analysis
The system distinguishes between buy volume (when the closing price is higher than the open) and sell volume (when the closing price is lower than the open). A progress bar highlights the ratio of buying vs. selling activity in percentage.
This is useful because volume confirms price action. For instance, if prices rise but sell volume dominates, it can signal weakness. New traders learning with this tool should focus on how volume often precedes price reversals and trends.
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4. RSI (Relative Strength Index)
RSI is a momentum oscillator that measures price strength on a scale from 0 to 100. The dashboard classifies RSI readings into overbought (>70), oversold (<30), or neutral zones and adds visual progress bars.
RSI helps learners understand momentum shifts. During training, one should notice how trending markets can keep RSI extended for longer periods (not immediate reversal signals), while range-bound markets react more sharply to RSI extremes. It is an excellent tool for practicing trend vs. range identification.
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5. MACD (Moving Average Convergence Divergence)
The MACD indicator involves a fast EMA, slow EMA, and signal line, with focus on crossovers. The dashboard shows whether a “bullish cross” (MACD above signal line) or “bearish cross” (MACD below signal line) has occurred.
MACD teaches traders to identify trend momentum shifts and divergence. During practice, traders can explore how MACD signals align with VWAP trends or RSI levels, which helps in building a structured multi-indicator analysis.
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6. Stochastic Oscillator
This indicator compares the current close relative to a range of highs and lows over a period. Displayed values oscillate between 0 and 100, marking zones of overbought (>80) and oversold (<20).
Stochastics are useful for students of trading to recognize short-term momentum changes. Unlike RSI, it reacts faster to price volatility, so false signals are common. Part of the training exercise can be to observe how stochastic “flips” can align with volume surges or daily range endpoints.
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7. Trend & Momentum Classification
The dashboard adds simple labels for trend (uptrend, downtrend, neutral) based on RSI thresholds. Additionally, it provides quick momentum classification (“bullish hold”, “bearish hold”, or neutral).
This is beneficial for beginners as it introduces structured thinking: differentiating long-term market bias (trend) from short-term directional momentum. By combining both, traders can practice filtering signals instead of trading randomly.
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8. Accumulation / Distribution Bias
Based on RSI levels, the script generates simplified tags such as “Accumulate Long”, “Accumulate Short”, or “Wait”.
This is purely an interpretive guide, helping learners think in terms of accumulation phases (when markets are low) and distribution phases (when markets are high). It reinforces the concept that trading is not only directional but also involves timing.
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9. Overall Market Status and Score
Finally, the dashboard compiles multiple indicators (VWAP position, RSI, MACD, Stochastics, and price vs. median levels) into a Market Score expressed as a percentage. It also labels the market as Overbought, Oversold, or Normal.
This scoring system isn’t a recommendation but a learning framework. Students can analyze how combining different indicators improves decision-making. The key training focus here is confluence: not depending on one indicator but observing when several conditions align.
Extended Study Material with Formulas
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1. Daily Reference Levels (High, Low, Open, Median, Range)
• Day High (H): Maximum price of the session.
DayHigh=max(Hightoday)DayHigh=max(Hightoday)
• Day Low (L): Minimum price of the session.
DayLow=min(Lowtoday)DayLow=min(Lowtoday)
• Day Open (O): Opening price of the session.
DayOpen=OpentodayDayOpen=Opentoday
• Day Range:
Range=DayHigh−DayLowRange=DayHigh−DayLow
• Median: Mid-point between high and low.
Median=DayHigh+DayLow2Median=2DayHigh+DayLow
These act as intraday guideposts for seeing how far the price has stretched from its key reference levels.
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2. VWAP (Volume Weighted Average Price)
VWAP considers both price and volume for a weighted average:
VWAPt=∑i=1t(Pricei×Volumei)∑i=1tVolumeiVWAPt=∑i=1tVolumei∑i=1t(Pricei×Volumei)
Here, Price_i can be the average price (High + Low + Close) ÷ 3, also known as hlc3.
• Interpretation: Price above VWAP = bullish bias; Price below = bearish bias.
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3. Volume Buy/Sell Analysis
The dashboard splits total volume into buy volume and sell volume based on candle type.
• Buy Volume:
BuyVol=Volumeif Close > Open, else 0BuyVol=Volumeif Close > Open, else 0
• Sell Volume:
SellVol=Volumeif Close < Open, else 0SellVol=Volumeif Close < Open, else 0
• Buy Ratio (%):
VolumeRatio=BuyVolBuyVol+SellVol×100VolumeRatio=BuyVol+SellVolBuyVol×100
This helps traders gauge who is in control during a session—buyers or sellers.
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4. RSI (Relative Strength Index)
RSI measures strength of momentum by comparing gains vs. losses.
Step 1: Compute average gains (AG) and losses (AL).
AG=Average of Upward Closes over N periodsAG=Average of Upward Closes over N periodsAL=Average of Downward Closes over N periodsAL=Average of Downward Closes over N periods
Step 2: Calculate relative strength (RS).
RS=AGALRS=ALAG
Step 3: RSI formula.
RSI=100−1001+RSRSI=100−1+RS100
• Used to detect overbought (>70), oversold (<30), or neutral momentum zones.
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5. MACD (Moving Average Convergence Divergence)
• Fast EMA:
EMAfast=EMA(Close,length=fast)EMAfast=EMA(Close,length=fast)
• Slow EMA:
EMAslow=EMA(Close,length=slow)EMAslow=EMA(Close,length=slow)
• MACD Line:
MACD=EMAfast−EMAslowMACD=EMAfast−EMAslow
• Signal Line:
Signal=EMA(MACD,length=signal)Signal=EMA(MACD,length=signal)
• Histogram:
Histogram=MACD−SignalHistogram=MACD−Signal
Crossovers between MACD and Signal are used in studying bullish/bearish phases.
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6. Stochastic Oscillator
Stochastic compares the current close against a range of highs and lows.
%K=Close−LowestLowHighestHigh−LowestLow×100%K=HighestHigh−LowestLowClose−LowestLow×100
Where LowestLow and HighestHigh are the lowest and highest values over N periods.
The %D line is a smooth version of %K (using a moving average).
%D=SMA(%K,smooth)%D=SMA(%K,smooth)
• Values above 80 = overbought; below 20 = oversold.
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7. Trend and Momentum Classification
This dashboard generates simplified trend/momentum logic using RSI.
• Trend:
• RSI < 40 → Downtrend
• RSI > 60 → Uptrend
• In Between → Neutral
• Momentum Bias:
• RSI > 70 → Bullish Hold
• RSI < 30 → Bearish Hold
• Otherwise Neutral
This is not predictive, only a classification framework for educational use.
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8. Accumulation/Distribution Bias
Based on extreme RSI values:
• RSI < 25 → Accumulate Long Bias
• RSI > 80 → Accumulate Short Bias
• Else → Wait/No Action
This helps learners understand the idea of accumulation at lows (strength building) and distribution at highs (profit booking).
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9. Overall Market Status and Score
The tool adds up 5 bullish conditions:
1. Price above VWAP
2. RSI > 50
3. MACD > Signal
4. Stochastic > 50
5. Price above Daily Median
BullishScore=ConditionsMet5×100BullishScore=5ConditionsMet×100
Then it categorizes the market:
• RSI > 70 or Stoch > 80 → Overbought
• RSI < 30 or Stoch < 20 → Oversold
• Else → Normal
This encourages learners to think in terms of probabilistic conditions instead of single-indicator signals.
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⚠️ Warning:
• Trading financial markets involves substantial risk.
• You can lose more money than you invest.
• Past performance of indicators does not guarantee future results.
• This script must not be copied, resold, or republished without authorization from aiTrendview.
By using this material or the code, you agree to take full responsibility for your trading decisions and acknowledge that this is not financial advice.
________________________________________
⚠️ Disclaimer and Warning (From aiTrendview)
This Dynamic Trading Dashboard is created strictly for educational and research purposes on the TradingView platform. It does not provide financial advice, buy/sell recommendations, or guaranteed returns. Any use of this tool in live trading is completely at the user’s own risk. Markets are inherently risky; losses can exceed initial investment.
The intellectual property of this script and its methodology belongs to aiTrendview. Unauthorized reproduction, modification, or redistribution of this code is strictly prohibited. By using this study material or the script, you acknowledge personal responsibility for any trading outcomes. Always consult professional financial advisors before making investment decisions.
ابوفيصل1اضافه قناء السعرية
The Traders Trend Dashboard (ابو فيصل) is a comprehensive trend analysis tool designed to assist traders in making informed trading decisions across various markets and timeframes. Unlike conventional trend-following scripts, ابو فيصل goes beyond simple trend detection by incorporating
MTF RSI + ADX + ATR SL/TP vivekDescription:
This strategy combines the power of multi-timeframe RSI filtering with ADX trend confirmation and ATR-based risk management to capture strong directional moves.
🔑 Entry Rules:
• Daily RSI > 60
• 4H RSI > 60
• 1H RSI > 60
• 10m RSI > 40
• ADX (current timeframe) > 20
When all conditions align, a long entry is triggered.
🛡 Risk Management:
• ATR-based Stop-Loss (customizable multiplier)
• Take-Profit defined as a Risk-Reward multiple of the ATR stop
🎯 Why this Strategy?
• Ensures alignment across higher timeframes before entering a trade
• Uses ADX to avoid choppy/range-bound markets
• Built-in ATR stop-loss & take-profit for disciplined risk control
• Fully customizable parameters
This strategy is designed for trend-following swing entries. It works best on liquid instruments such as indices, forex pairs, and large-cap stocks. Always optimize the parameters based on your preferred asset and timeframe.
MTF Target Prediction LiteMTF Target Prediction Enhanced
Description:
MTF Target Prediction Enhanced is an advanced multi-timeframe technical analysis indicator that identifies and clusters target price levels based on trendline breakouts across multiple timeframes. The indicator uses sophisticated clustering algorithms to group similar price targets and provides visual feedback through dynamic arrows, cluster boxes, and detailed statistics.
Key Features:
Multi-Timeframe Analysis: Simultaneously analyzes up to 8 different timeframes to identify convergence zones
Smart Clustering: Groups nearby target prices into clusters with quality scoring
Predictive Arrows: Dynamic arrows that track price movement toward cluster targets
Grace Period System: Prevents false cluster loss signals with configurable waiting period
Enhanced Quality Scoring: 5-component quality assessment (Density, Consistency, Reachability, Size, Momentum)
Real-time Statistics: Track performance with win rate, P&L, and success metrics
Adaptive Performance Modes: Optimize for speed or accuracy based on your needs
How It Works:
The indicator identifies pivot points and trendlines on each selected timeframe
When a trendline breakout occurs, it calculates a target price based on the measured move
Multiple targets from different timeframes are grouped into clusters when they converge
Each cluster receives a quality score based on multiple factors
High-quality clusters generate prediction arrows showing potential price targets
The system tracks whether targets are reached or clusters are lost
Settings Guide:
⚡ Performance
Performance Mode: Choose between Fast (200 bars), Balanced (500 bars), Full (1000 bars), or Unlimited processing
🎯 Clustering
Max Cluster Distance (%): Maximum price difference to group targets (default: 1.5%)
Min Cluster Size: Minimum number of targets to form a cluster (default: 2)
One Direction per TF: Allow only one direction signal per timeframe
Cluster Grace Period: Bars to wait before considering cluster lost (default: 10)
➡️ Prediction Arrows
Min Quality for Arrow: Minimum cluster quality to create arrow (0.1-1.0)
Quality Weights: Adjust importance of each quality component
Close Previous Arrows: Auto-close arrows when new ones appear
Use Trend Filter: Create arrows only in trend direction
Trend Filter Intensity: Sensitivity of trend detection (High/Medium/Low)
📅 Timeframes
Pivot Length: Bars for pivot calculation (default: 3)
Timeframes 1-8: Select up to 8 timeframes for analysis
Visualize
Show Cluster Analysis: Display cluster boxes and labels
Show Cluster Boxes: Rectangle visualization around clusters
Show TP Lines: Display individual target price lines
Show Trend Filter: Visualize trend cloud
Show Prediction Arrows: Display directional arrows to targets
Show Statistics Table: Performance metrics display
Visual Elements:
Green/Red Boxes: Cluster zones with transparency based on quality
Arrows: Diagonal lines pointing to cluster targets
Green/Red: Active and tracking
Orange: In grace period
Gray: Cluster lost
Labels: Detailed cluster information including:
Timeframes involved
Center price (C)
Quality score (Q)
Component scores (D,C,R,S,M)
Distance from current price
Result Markers:
✓ Green: Target reached successfully
✗ Red/Gray: Cluster lost
Quality Components Explained:
D (Density): How tightly packed the TPs are relative to ATR
C (Consistency): How close the timeframes are to each other
R (Reachability): Likelihood of reaching target based on distance and trend
S (Size): Number of TPs in cluster (with diminishing returns)
M (Momentum): Alignment with current price momentum
Best Practices:
Start with Balanced performance mode and default settings
Use higher timeframes (D, W) for more reliable clusters
Look for clusters with quality scores above 0.7
Enable trend filter to reduce false signals
Adjust grace period based on your timeframe (higher TF = longer grace)
Monitor the statistics table to track indicator performance
Alerts Available:
High-quality cluster formation (UP/DOWN)
Target reached notifications
Cluster lost warnings
RUSSIAN VERSION
MTF Target Prediction Enhanced
Описание:
MTF Target Prediction Enhanced - это продвинутый мультитаймфреймовый индикатор технического анализа, который идентифицирует и кластеризует целевые уровни цен на основе пробоев трендовых линий на нескольких таймфреймах. Индикатор использует сложные алгоритмы кластеризации для группировки схожих ценовых целей и предоставляет визуальную обратную связь через динамические стрелки, кластерные боксы и детальную статистику.
Ключевые особенности:
Мультитаймфреймовый анализ: Одновременный анализ до 8 различных таймфреймов для определения зон схождения
Умная кластеризация: Группировка близких целевых цен в кластеры с оценкой качества
Прогнозные стрелки: Динамические стрелки, отслеживающие движение цены к целям кластера
Система Grace Period: Предотвращение ложных сигналов потери кластера с настраиваемым периодом ожидания
Улучшенная оценка качества: 5-компонентная оценка (Плотность, Согласованность, Достижимость, Размер, Импульс)
Статистика в реальном времени: Отслеживание эффективности с винрейтом, P&L и метриками успеха
Адаптивные режимы производительности: Оптимизация скорости или точности по вашим потребностям
Как это работает:
Индикатор определяет опорные точки и трендовые линии на каждом выбранном таймфрейме
При пробое трендовой линии рассчитывается целевая цена на основе измеренного движения
Множественные цели с разных таймфреймов группируются в кластеры при схождении
Каждый кластер получает оценку качества на основе нескольких факторов
Высококачественные кластеры генерируют стрелки прогноза, показывающие потенциальные цели
Система отслеживает достижение целей или потерю кластеров
Руководство по настройкам:
⚡ Производительность
Performance Mode: Выбор между Fast (200 баров), Balanced (500), Full (1000) или Unlimited
🎯 Кластеризация
Max Cluster Distance (%): Максимальная разница цен для группировки (по умолчанию: 1.5%)
Min Cluster Size: Минимальное количество целей для формирования кластера (по умолчанию: 2)
One Direction per TF: Разрешить только один сигнал направления на таймфрейм
Cluster Grace Period: Бары ожидания перед потерей кластера (по умолчанию: 10)
➡️ Стрелки прогноза
Min Quality for Arrow: Минимальное качество кластера для создания стрелки (0.1-1.0)
Quality Weights: Настройка важности каждого компонента качества
Close Previous Arrows: Автозакрытие стрелок при появлении новых
Use Trend Filter: Создавать стрелки только в направлении тренда
Trend Filter Intensity: Чувствительность определения тренда (Высокая/Средняя/Низкая)
📅 Таймфреймы
Pivot Length: Бары для расчета пивота (по умолчанию: 3)
Timeframes 1-8: Выбор до 8 таймфреймов для анализа
Визуализация
Show Cluster Analysis: Отображение боксов и меток кластеров
Show Cluster Boxes: Визуализация прямоугольников вокруг кластеров
Show TP Lines: Отображение линий целевых цен
Show Trend Filter: Визуализация облака тренда
Show Prediction Arrows: Отображение направленных стрелок к целям
Show Statistics Table: Отображение метрик эффективности
Визуальные элементы:
Зеленые/Красные боксы: Зоны кластеров с прозрачностью на основе качества
Стрелки: Диагональные линии, указывающие на цели кластера
Зеленые/Красные: Активные и отслеживающие
Оранжевые: В периоде ожидания
Серые: Кластер потерян
Метки: Детальная информация о кластере:
Задействованные таймфреймы
Центральная цена (C)
Оценка качества (Q)
Оценки компонентов (D,C,R,S,M)
Расстояние от текущей цены
Маркеры результата:
✓ Зеленый: Цель успешно достигнута
✗ Красный/Серый: Кластер потерян
Объяснение компонентов качества:
D (Density/Плотность): Насколько плотно расположены TP относительно ATR
C (Consistency/Согласованность): Насколько близки таймфреймы друг к другу
R (Reachability/Достижимость): Вероятность достижения цели с учетом расстояния и тренда
S (Size/Размер): Количество TP в кластере (с убывающей отдачей)
M (Momentum/Импульс): Соответствие текущему импульсу цены
Лучшие практики:
Начните с режима Balanced и настроек по умолчанию
Используйте старшие таймфреймы (D, W) для более надежных кластеров
Ищите кластеры с оценкой качества выше 0.7
Включите фильтр тренда для уменьшения ложных сигналов
Настройте grace period в зависимости от вашего таймфрейма (старший TF = дольше grace)
Следите за таблицей статистики для отслеживания эффективности индикатора
Доступные алерты:
Формирование высококачественного кластера (ВВЕРХ/ВНИЗ)
Уведомления о достижении цели
Предупреждения о потере кластера
Disclaimer / Отказ от ответственности:
This indicator is for educational and informational purposes only. Past performance does not guarantee future results. Always conduct your own analysis and risk management.
Данный индикатор предназначен только для образовательных и информационных целей. Прошлые результаты не гарантируют будущих результатов. Всегда проводите собственный анализ и управление рисками.
MTF Target Prediction LiteMTF Target Prediction Enhanced Lite
Description:
MTF Target Prediction Enhanced is an advanced multi-timeframe technical analysis indicator that identifies and clusters target price levels based on trendline breakouts across multiple timeframes. The indicator uses sophisticated clustering algorithms to group similar price targets and provides visual feedback through dynamic arrows, cluster boxes, and detailed statistics.
Key Features:
Multi-Timeframe Analysis: Simultaneously analyzes up to 8 different timeframes to identify convergence zones
Smart Clustering: Groups nearby target prices into clusters with quality scoring
Predictive Arrows: Dynamic arrows that track price movement toward cluster targets
Grace Period System: Prevents false cluster loss signals with configurable waiting period
Enhanced Quality Scoring: 5-component quality assessment (Density, Consistency, Reachability, Size, Momentum)
Real-time Statistics: Track performance with win rate, P&L, and success metrics
Adaptive Performance Modes: Optimize for speed or accuracy based on your needs
How It Works:
The indicator identifies pivot points and trendlines on each selected timeframe
When a trendline breakout occurs, it calculates a target price based on the measured move
Multiple targets from different timeframes are grouped into clusters when they converge
Each cluster receives a quality score based on multiple factors
High-quality clusters generate prediction arrows showing potential price targets
The system tracks whether targets are reached or clusters are lost
Settings Guide:
⚡ Performance
Performance Mode: Choose between Fast (200 bars), Balanced (500 bars), Full (1000 bars), or Unlimited processing
🎯 Clustering
Max Cluster Distance (%): Maximum price difference to group targets (default: 1.5%)
Min Cluster Size: Minimum number of targets to form a cluster (default: 2)
One Direction per TF: Allow only one direction signal per timeframe
Cluster Grace Period: Bars to wait before considering cluster lost (default: 10)
➡️ Prediction Arrows
Min Quality for Arrow: Minimum cluster quality to create arrow (0.1-1.0)
Quality Weights: Adjust importance of each quality component
Close Previous Arrows: Auto-close arrows when new ones appear
Use Trend Filter: Create arrows only in trend direction
Trend Filter Intensity: Sensitivity of trend detection (High/Medium/Low)
📅 Timeframes
Pivot Length: Bars for pivot calculation (default: 3)
Timeframes 1-8: Select up to 8 timeframes for analysis
Visualize
Show Cluster Analysis: Display cluster boxes and labels
Show Cluster Boxes: Rectangle visualization around clusters
Show TP Lines: Display individual target price lines
Show Trend Filter: Visualize trend cloud
Show Prediction Arrows: Display directional arrows to targets
Show Statistics Table: Performance metrics display
Visual Elements:
Green/Red Boxes: Cluster zones with transparency based on quality
Arrows: Diagonal lines pointing to cluster targets
Green/Red: Active and tracking
Orange: In grace period
Gray: Cluster lost
Labels: Detailed cluster information including:
Timeframes involved
Center price (C)
Quality score (Q)
Component scores (D,C,R,S,M)
Distance from current price
Result Markers:
✓ Green: Target reached successfully
✗ Red/Gray: Cluster lost
Quality Components Explained:
D (Density): How tightly packed the TPs are relative to ATR
C (Consistency): How close the timeframes are to each other
R (Reachability): Likelihood of reaching target based on distance and trend
S (Size): Number of TPs in cluster (with diminishing returns)
M (Momentum): Alignment with current price momentum
Best Practices:
Start with Balanced performance mode and default settings
Use higher timeframes (D, W) for more reliable clusters
Look for clusters with quality scores above 0.7
Enable trend filter to reduce false signals
Adjust grace period based on your timeframe (higher TF = longer grace)
Monitor the statistics table to track indicator performance
Alerts Available:
High-quality cluster formation (UP/DOWN)
Target reached notifications
Cluster lost warnings
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MTF Target Prediction Enhanced Lite
Описание:
MTF Target Prediction Enhanced - это продвинутый мультитаймфреймовый индикатор технического анализа, который идентифицирует и кластеризует целевые уровни цен на основе пробоев трендовых линий на нескольких таймфреймах. Индикатор использует сложные алгоритмы кластеризации для группировки схожих ценовых целей и предоставляет визуальную обратную связь через динамические стрелки, кластерные боксы и детальную статистику.
Ключевые особенности:
Мультитаймфреймовый анализ: Одновременный анализ до 8 различных таймфреймов для определения зон схождения
Умная кластеризация: Группировка близких целевых цен в кластеры с оценкой качества
Прогнозные стрелки: Динамические стрелки, отслеживающие движение цены к целям кластера
Система Grace Period: Предотвращение ложных сигналов потери кластера с настраиваемым периодом ожидания
Улучшенная оценка качества: 5-компонентная оценка (Плотность, Согласованность, Достижимость, Размер, Импульс)
Статистика в реальном времени: Отслеживание эффективности с винрейтом, P&L и метриками успеха
Адаптивные режимы производительности: Оптимизация скорости или точности по вашим потребностям
Как это работает:
Индикатор определяет опорные точки и трендовые линии на каждом выбранном таймфрейме
При пробое трендовой линии рассчитывается целевая цена на основе измеренного движения
Множественные цели с разных таймфреймов группируются в кластеры при схождении
Каждый кластер получает оценку качества на основе нескольких факторов
Высококачественные кластеры генерируют стрелки прогноза, показывающие потенциальные цели
Система отслеживает достижение целей или потерю кластеров
Руководство по настройкам:
⚡ Производительность
Performance Mode: Выбор между Fast (200 баров), Balanced (500), Full (1000) или Unlimited
🎯 Кластеризация
Max Cluster Distance (%): Максимальная разница цен для группировки (по умолчанию: 1.5%)
Min Cluster Size: Минимальное количество целей для формирования кластера (по умолчанию: 2)
One Direction per TF: Разрешить только один сигнал направления на таймфрейм
Cluster Grace Period: Бары ожидания перед потерей кластера (по умолчанию: 10)
➡️ Стрелки прогноза
Min Quality for Arrow: Минимальное качество кластера для создания стрелки (0.1-1.0)
Quality Weights: Настройка важности каждого компонента качества
Close Previous Arrows: Автозакрытие стрелок при появлении новых
Use Trend Filter: Создавать стрелки только в направлении тренда
Trend Filter Intensity: Чувствительность определения тренда (Высокая/Средняя/Низкая)
📅 Таймфреймы
Pivot Length: Бары для расчета пивота (по умолчанию: 3)
Timeframes 1-8: Выбор до 8 таймфреймов для анализа
Визуализация
Show Cluster Analysis: Отображение боксов и меток кластеров
Show Cluster Boxes: Визуализация прямоугольников вокруг кластеров
Show TP Lines: Отображение линий целевых цен
Show Trend Filter: Визуализация облака тренда
Show Prediction Arrows: Отображение направленных стрелок к целям
Show Statistics Table: Отображение метрик эффективности
Визуальные элементы:
Зеленые/Красные боксы: Зоны кластеров с прозрачностью на основе качества
Стрелки: Диагональные линии, указывающие на цели кластера
Зеленые/Красные: Активные и отслеживающие
Оранжевые: В периоде ожидания
Серые: Кластер потерян
Метки: Детальная информация о кластере:
Задействованные таймфреймы
Центральная цена (C)
Оценка качества (Q)
Оценки компонентов (D,C,R,S,M)
Расстояние от текущей цены
Маркеры результата:
✓ Зеленый: Цель успешно достигнута
✗ Красный/Серый: Кластер потерян
Объяснение компонентов качества:
D (Density/Плотность): Насколько плотно расположены TP относительно ATR
C (Consistency/Согласованность): Насколько близки таймфреймы друг к другу
R (Reachability/Достижимость): Вероятность достижения цели с учетом расстояния и тренда
S (Size/Размер): Количество TP в кластере (с убывающей отдачей)
M (Momentum/Импульс): Соответствие текущему импульсу цены
Лучшие практики:
Начните с режима Balanced и настроек по умолчанию
Используйте старшие таймфреймы (D, W) для более надежных кластеров
Ищите кластеры с оценкой качества выше 0.7
Включите фильтр тренда для уменьшения ложных сигналов
Настройте grace period в зависимости от вашего таймфрейма (старший TF = дольше grace)
Следите за таблицей статистики для отслеживания эффективности индикатора
Доступные алерты:
Формирование высококачественного кластера (ВВЕРХ/ВНИЗ)
Уведомления о достижении цели
Предупреждения о потере кластера
Disclaimer / Отказ от ответственности:
This indicator is for educational and informational purposes only. Past performance does not guarantee future results. Always conduct your own analysis and risk management.
Данный индикатор предназначен только для образовательных и информационных целей. Прошлые результаты не гарантируют будущих результатов. Всегда проводите собственный анализ и управление рисками.
PRO - UPTRADE🔥 Anyone can start trading easily! For traders who want to take it more seriously, the PRO Package gives you full access to stocks, crypto, and forex, complete with BUY/SELL signals, multi-timeframe analysis, and automatic discussion threads based on each asset (stocks, crypto, or forex). 🚀 With PRO, you can maximize profit opportunities across markets
GCK VWAP BOT🚀 VWAP REJECTION BOT - 90% WIN RATE INSTITUTIONAL TRADING SYSTEM
🎯 WHAT IS THIS?
This is an advanced Pine Script v6 trading bot designed to achieve 90%+ win rates through ultra-selective VWAP (Volume Weighted Average Price) band rejection patterns combined with institutional-grade order flow analysis. The strategy focuses on maximum quality over quantity, using AI-powered multi-timeframe analysis, real Bookmap order flow data, and professional confirmation systems.
🔥 KEY FEATURES:
✅ OFFICIAL TRADINGVIEW VWAP INTEGRATION
- Uses exact TradingView VWAP calculation with proper shadow effects
- Dynamic standard deviation bands (1σ, 2σ, 2.5σ) as support/resistance levels
- Automatic band detection with precise 0.2% tolerance levels
✅ 90% WIN RATE ADVANCED SYSTEM
- Higher timeframe confirmation (1H+ trend alignment)
- Market structure analysis (detects higher highs/lower lows)
- Session-based filtering (London/NY overlap prioritized)
- Volatility adaptive system (adjusts to market conditions)
- Volume profile analysis (ensures significant volume levels)
- Ultra-high selectivity (525/975+ confidence score required)
✅ REAL BOOKMAP ORDER FLOW INTEGRATION
- Reads actual buyers/sellers cloud data at VWAP rejections
- Real-time order flow imbalance analysis
- Level 2 order book bid/ask volume processing
- Volume delta confirmation for institutional participation
✅ LIVE TICKSTRIKE MOMENTUM
- Integrates real TickStrike momentum data
- Enhanced entry timing with live momentum values
- Bullish/bearish threshold detection
- Strong momentum breakout identification
✅ AI-POWERED EXTERNAL INDICATOR READING
- Automatically detects and reads ANY indicators you add to chart
- Works with RSI, MACD, Moving Averages, custom indicators, etc.
- Zero configuration - just add indicators and select from dropdown
- Supports up to 3 external indicators + Anchor VWAP
✅ SMART MULTI-TARGET EXIT SYSTEM
- Target 1: 60% of normal TP (quick profit taking)
- Target 2: 120% of normal TP (main target)
- Target 3: 200% of normal TP (extended runners)
- Volatility-adjusted stops using ATR
- Smart position sizing based on confidence and session quality
✅ PAINTED TREND VISUALIZATION
- Continuous candle coloring from rejection points
- Real-time trend strength monitoring
- Immediate reversal detection to prevent wrong signals
- Visual feedback separate from trading signals
📊 CONFIDENCE SCORING SYSTEM (0-975 SCALE):
- Higher Timeframe: 100 points
- Market Structure: 0-100 points
- Session Quality: 0-100 points
- Volatility Filter: 100 points
- Volume Profile: 0-100 points
- Traditional Confirmations: 50 points each
- Bookmap Order Flow: +75 points
- TickStrike Momentum: +50 points
- Level 2 Data: +50 points
🎯 HOW TO USE:
1. BASIC SETUP:
- Apply to any timeframe (works best on 5m-1H)
- Enable "Bot Trading" to automate entries
- Adjust position size and risk management settings
- Set your preferred stop loss and take profit levels
2. ADVANCED ORDER FLOW SETUP:
- Add Bookmap buyers/sellers cloud indicators to chart
- Add TickStrike momentum indicator to chart
- Add volume delta and bid/ask volume indicators
- Go to "Real Order Flow Data" settings and connect indicators
3. EXTERNAL INDICATORS:
- Add any indicators (RSI, MACD, MAs, etc.) to your chart
- Go to "Auto External Indicators" settings
- Select indicators from dropdown menus
- Bot automatically detects best logic for each indicator
4. 90% WIN RATE FEATURES:
- Enable all features in "90% Win Rate Features" group
- Adjust session times for your timezone
- Set volatility thresholds based on your market
- Configure confidence threshold (default 525/975)
🌍 SESSION FILTERING:
- Asian Session: 12AM-9AM EST
- London Session: 3AM-12PM EST
- New York Session: 8AM-5PM EST
- Premium Overlap: 8AM-12PM EST (highest probability)
⚙️ RISK MANAGEMENT:
- Smart position sizing with volatility adjustment
- Confidence-based position multipliers
- Session quality position scaling
- Daily trade limits with separate long/short counters
- Advanced breakeven and trailing stop systems
📈 WHAT MAKES THIS DIFFERENT:
- Uses REAL order flow data, not simulated
- Institutional-grade analysis typically reserved for professionals
- Combines retail accessibility with institutional accuracy
- AI-powered indicator reading eliminates manual configuration
- 90% win rate through ultra-high selectivity standards
⚠️ IMPORTANT NOTES:
- This strategy prioritizes quality over quantity
- Requires patience as it waits for perfect setups
- Higher win rate means fewer but more profitable trades
- Best used with real Bookmap and TickStrike data for maximum accuracy
- Always backtest before live trading
- Use proper position sizing and risk management
🎯 IDEAL FOR:
- Traders who want institutional-grade analysis
- Users with access to Bookmap order flow data
- Those who prefer quality over quantity trading
- Advanced traders seeking 90%+ win rates
- Anyone wanting to automate VWAP rejection strategies
📊 COMPATIBLE WITH:
- All major forex pairs, indices, commodities, crypto
- Any broker connected to TradingView
- All timeframes (optimized for 5m-1H)
- Bookmap order flow indicators
- TickStrike momentum indicators
- Any external indicators (RSI, MACD, etc.)
This is not just another VWAP strategy - it's an institutional-grade trading system that brings professional order flow analysis to Pine Script automation. The combination of TradingView's VWAP with real Bookmap data creates a uniquely powerful trading approach.
Remember: High win rate strategies require patience and discipline. This bot is designed for traders who value quality setups over frequent trading.
MTF RSI + ADX + ATR SL/TPThis strategy combines the power of multi-timeframe RSI filtering with ADX trend confirmation and ATR-based risk management to capture strong directional moves.
🔑 Entry Rules:
• Daily RSI > 60
• 4H RSI > 60
• 1H RSI > 60
• 10m RSI > 40
• ADX (current timeframe) > 20
When all conditions align, a long entry is triggered.
🛡 Risk Management:
• ATR-based Stop-Loss (customizable multiplier)
• Take-Profit defined as a Risk-Reward multiple of the ATR stop
🎯 Why this Strategy?
• Ensures alignment across higher timeframes before entering a trade
• Uses ADX to avoid choppy/range-bound markets
• Built-in ATR stop-loss & take-profit for disciplined risk control
• Fully customizable parameters
This strategy is designed for trend-following swing entries. It works best on liquid instruments such as indices, forex pairs, and large-cap stocks. Always optimize the parameters based on your preferred asset and timeframe.
Gap Up HighlighterIdentifies stocks which meet the following conditions
1) Todays Open > 1.03* Previous day high
2) Todays Close > 1.03* Previous day high
Consecutive Candle Body Expansion with VolumeConsecutive Candle Body Expansion with Volume
This tool is designed to help traders identify moments of strong directional momentum in the market. It highlights potential buy and sell opportunities by combining candlestick behavior with volume confirmation.
✨ Key Features
Detects when the market shows consistent momentum in one direction.
Filters signals with volume confirmation, avoiding low-activity noise.
Highlights possible continuation signals for both bullish and bearish moves.
Works on any asset and any timeframe — from scalping to swing trading.
🛠 How to Use
Green labels suggest potential buying opportunities.
Red labels suggest potential selling opportunities.
Best used in combination with your own risk management rules and other indicators (like support/resistance or moving averages).
⚠️ Note: This is not financial advice. Always backtest before applying in live trading.
Near New High ScreenerA simple indicator intended to be used in a pinescript scanner to find stocks that are re reaching highs after a pullback or base formation. To use add it as a favourite indicator so it can be selected in a pinescript scanner.
In the settings you can select whether to use the highest high or highest close for the previous high (defaults to close) and whether to use the all time high or the high from the last X days (defaults to 252 days).
Once opened in a pine scanner apply to a watchlist and scan. Stocks with a positive % have broken out from a previous high today, those with a negative % are that % away from the previous high.
You can sort by the “Pct from Prev High%” column or use the scanner filter to filter for stocks between two values, for example between 0 and -5% to find stocks near a new high, or >0 to find stocks that have broken out today.
Gold Buy Sell Signals V2* This custom **30-minute breakout indicator** is designed especially for **Gold (XAUUSD) traders**.
It highlights three key candles of the day (IST 5:30 AM, 1:30 PM, and 6:30 PM), marking their **high and low levels** as support and resistance zones.
👉 By following this structured breakout strategy, traders can consistently capture **40–50 pips** in Gold with high accuracy, while keeping trading decisions simple and rule-based.
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ابوفيصلالقنلء السعرية
The Traders Trend Dashboard (ابوفصل) is a comprehensive trend analysis tool designed to assist traders in making informed trading decisions across various markets and timeframes. Unlike conventional trend-following scripts,ابو فيصل goes beyond simple trend detection by incorporating
Gold Buy-Sell 30 MinHere’s a short, clear **description** you can use for your indicator 👇
**📌 Indicator Brief**
This custom **30-minute breakout indicator** is designed especially for **Gold (XAUUSD) Traders**.
It highlights three key candles of the day (IST 5:30 AM, 1:30 PM, and 6:30 PM), marking their **high and low levels** as support and resistance zones.
👉 By following this structured breakout strategy, traders can consistently capture **40–50 pips** in Gold with high accuracy, while keeping trading decisions simple and rule-based.
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ATR Multiple from MAThe purpose of this indicator is to spot an over stretched price.
A stock that has price ratio of over 4x when measured from closing price to 50 SMA is considered as over stretched. An entry at this level post a higher risk of a pullback.
MA Dist/ATR of over 4x will be marked as Red color.
Bearish Breakaway Dual Session-FVGInspired by the FVG Concept:
This indicator is built on the Fair Value Gap (FVG) concept, with a focus on Consolidated FVG. Unlike traditional FVGs, this version only works within a defined session (e.g., ETH 18:00–17:00 or RTH 09:30–16:00).
See the Figure below as an example:
Bearish consolidated FVG & Bearish breakaway candle
Begins when a new intraday high is printed. After that, the indicator searches for the 1st bearish breakaway candle, which must have its high below the low of the intraday high candle. Any candles in between are part of the consolidated FVG zone. Once the 1st breakaway forms, the indicator will shades the candle’s range (high to low). Then it will use this candle as an anchor to search for the 2nd, 3rd, etc. breakaways until the session ends.
Session Reset: Occurs at session close.
Repaint Behavior:
If a new intraday (or intra-session) high forms, earlier breakaway patterns are wiped, and the system restarts from the new low.
Counter:
A session-based counter at the top of the chart displays how many bullish consolidated FVGs have formed.
Settings
• Session Setup:
Choose ETH, RTH, or custom session. The indicator is designed for CME futures in New York timezone, but can be adjusted for other markets.
If nothing appears on your chart, check if you loaded it during an inactive session (e.g., weekend/Friday night).
• Max Zones to Show:
Default = 3 (recommended). You can increase, but 3 zones are usually most useful.
• Timeframe:
Best on 1m, 5m, or 15m. (If session range is big, try higher time frame)
Usage:
See this figure as an example
1. Avoid Trading in Wrong Direction
• No Bearish breakaway = No Short trade.
• Prevents the temptation to countertrade in strong uptrends.
2. Catch the Trend Reversal
• When a bearish breakaway appears after an intraday high, it signals a potential reversal.
• You will need adjust position sizing, watch out liquidity hunt, and place stop loss.
• Best entries of your preferred choices: (this is your own trading edge)
Retest
Breakout
Engulf
MA cross over
Whatever your favorite approach
• Reversal signal is the strongest when price stays within/below the breakaway candle’s
range. Weak if it breaks above.
3. Higher Timeframe Confirmation
• 1m can give false reversals if new lows keep forming.
• 5m often provides cleaner signals and avoids premature reversals.
Summary
This indicator offers 3 main advantages:
1. Prevents wrong-direction trades.
2. Confirms trend entry after reversal signals.
3. Filters false positives using higher timeframes.
Failed example:
Usually happen if you are countering a strong trend too early and using 1m time frame
Last Mention:
The indicator is only used for bearish side trading.