Squeeze BoxEste é um derivado do indicador de volatilidade "TTM Squeeze" de John Carter, conforme discutido em seu livro "Mastering the Trade".
A Caixa/Box mostram que o mercado acabou de entrar em um squeeze (as Bandas de Bollinger estão dentro do Canal de Keltner). Isso significa baixa volatilidade, com o mercado se preparando para um movimento explosivo (para cima ou para baixo).
Zyklen
Volatility Cycle IndicatorThe Volatility Cycle Indicator is a non-directional trading tool designed to measure market volatility and cycles based on the relationship between standard deviation and Average True Range (ATR). In the Chart GBPAUD 1H time frame you can clearly see when volatility is low, market is ranging and when volatility is high market is expanding.
This innovative approach normalizes the standard deviation of closing prices by ATR, providing a dynamic perspective on volatility. By analyzing the interaction between Bollinger Bands and Keltner Channels, it also detects "squeeze" conditions, highlighting periods of reduced volatility, often preceding explosive price movements.
The indicator further features visual aids, including colored zones, plotted volatility cycles, and highlighted horizontal levels to interpret market conditions effectively. Alerts for key events, such as volatility crossing significant thresholds or entering a squeeze, make it an ideal tool for proactive trading.
Key Features:
Volatility Measurement:
Tracks the Volatility Cycle, normalized using standard deviation and ATR.
Helps identify periods of high and low volatility in the market.
Volatility Zones:
Colored zones represent varying levels of market volatility:
Blue Zone: Low volatility (0.5–0.75).
Orange Zone: Transition phase (0.75–1.0).
Green Zone: Moderate volatility (1.0–1.5).
Fuchsia Zone: High volatility (1.5–2.0).
Red Zone: Extreme volatility (>2.0).
Squeeze Detection:
Identifies when Bollinger Bands contract within Keltner Channels, signaling a volatility squeeze.
Alerts are triggered for potential breakout opportunities.
Visual Enhancements:
Dynamic coloring of the Volatility Cycle for clarity on its momentum and direction.
Plots multiple horizontal levels for actionable insights into market conditions.
Alerts:
Sends alerts when the Volatility Cycle crosses significant levels (e.g., 0.75) or when a squeeze condition is detected.
Non-Directional Nature:
The indicator does not predict the market's direction but rather highlights periods of potential movement, making it suitable for both trend-following and mean-reversion strategies.
How to Trade with This Indicator:
Volatility Squeeze Breakout:
When the indicator identifies a squeeze (volatility compression), prepare for a breakout in either direction.
Use additional directional indicators or chart patterns to determine the likely breakout direction.
Crossing Volatility Levels:
Pay attention to when the Volatility Cycle crosses the 0.75 level:
Crossing above 0.75 indicates increasing volatility—ideal for trend-following strategies.
Crossing below 0.75 signals decreasing volatility—consider mean-reversion strategies.
Volatility Zones:
Enter positions as volatility transitions through key zones:
Low volatility (Blue Zone): Watch for breakout setups.
Extreme volatility (Red Zone): Be cautious of overextended moves or reversals.
Alerts for Proactive Trading:
Configure alerts for squeeze conditions and level crossings to stay updated without constant monitoring.
Best Practices:
Pair the Volatility Cycle Indicator with directional indicators such as moving averages, trendlines, or momentum oscillators to improve trade accuracy.
Use on multiple timeframes to align entries with broader market trends.
Combine with risk management techniques, such as ATR-based stop losses, to handle volatility spikes effectively.
DR Oscillator 8 * Measures price deviation: Calculates the percentage difference between the closing price and a simple moving average.
* Defines upper and lower limits: User-defined upper and lower limits determine overbought and oversold conditions.
* Signal line: A simple moving average of the deviation is plotted as a signal line.
* Deviation smoothing (optional): The deviation can be smoothed using a moving average to create a smoother line.
* Additional signal line (optional): An additional signal line can be added for further analysis.
* Visual representation: The oscillator is plotted with different colors to indicate overbought, oversold, or neutral conditions.
* Background coloring: The background color changes based on the oscillator's value to provide visual cues for buy or sell signals.
In summary:
The DR Oscillator helps traders identify potential buying and selling opportunities by measuring the extent to which a security's price has deviated from its moving average. When the oscillator moves above the upper limit, it suggests that the asset may be overbought and due for a price correction. Conversely, when it moves below the lower limit, it may indicate an oversold condition and a potential buying opportunity.
However, it's important to note that the DR Oscillator is just one tool and should be used in conjunction with other technical indicators and fundamental analysis for more accurate trading decisions.
Fibonacci RepulseFibonacci Repulse with Trend Table 📉📈
Description: The "Fibonacci Repulse" indicator for TradingView combines Fibonacci retracement levels with dynamic support/resistance detection, providing real-time price action insights. 🔄 This powerful tool plots critical Fibonacci retracement levels (23.6%, 38.2%, and 50%) based on the highest and lowest swing points over a user-defined lookback period. The indicator automatically detects bullish retests, alerting you when the price touches and closes above any of the Fibonacci levels, indicating potential upward momentum. 🚀
Key Features:
Fibonacci Retracement Levels 📊: Plots key levels (23.6%, 38.2%, 50%) dynamically based on the highest and lowest price swings over a customizable lookback period.
Bullish Retests Alerts ⚡: Identifies and marks bullish retests when the price touches the Fibonacci levels and closes above them, signaling potential upward movement.
Real-Time Trend Detection 🔍: Displays the current market trend as "Bullish," "Bearish," or "Sideways" in a clear, easy-to-read table in the bottom right corner of the chart. This is determined based on the price's position relative to the Fibonacci levels.
Customizable Settings ⚙️: Adjust the lookback period and label offsets for optimal visual customization.
How It Works:
The indicator calculates the Fibonacci retracement levels between the highest high and the lowest low within a user-defined period. 🧮
It draws extended lines at the 23.6%, 38.2%, and 50% retracement levels, updating them as the chart moves. 📉
When the price touches a Fibonacci level and closes above it, a "Bullish Retest" label appears, signaling a potential buy opportunity. 💡
A real-time trend status table updates automatically in the chart's bottom-right corner, helping traders quickly assess the market's trend direction: Bullish, Bearish, or Sideways. 🔄
Why Use It: This indicator is perfect for traders looking for a clear and visual way to incorporate Fibonacci levels into their trading strategies, with real-time feedback on trend direction and price action signals. Whether you are a novice or an experienced trader, "Fibonacci Repulse" provides a powerful tool for identifying potential reversal points and confirming trends, enhancing your trading strategy. 📈💪
ATT #FFSJRCreated using ATT method - www.youtube.com
Set in settings the hour you want to use it.
My prefer using at 10 and 11am NY timezone GMT-5
Method creator: TradeWithWill
Discover the Intraday ATT Method—short for Advanced Time Technique, a groundbreaking day trading strategy designed to optimize your trading time and maximize intraday profits. Whether you're a seasoned trader or just starting out, this exclusive method offers proven techniques for enhancing decision-making, managing risks, and achieving consistent trading success. In this video, you'll learn the fundamentals of the Intraday ATT Method, step-by-step implementation guides, and real-life case studies that demonstrate its effectiveness in today's fast-paced markets.
Market Cycles
The Market Cycles indicator transforms market price data into a stochastic wave, offering a unique perspective on market cycles. The wave is bounded between positive and negative values, providing clear visual cues for potential bullish and bearish trends. When the wave turns green, it signals a bullish cycle, while red indicates a bearish cycle.
Designed to show clarity and precision, this tool helps identify market momentum and cyclical behavior in an intuitive way. Ideal for fine-tuning entries or analyzing broader trends, this indicator aims to enhance the decision-making process with simplicity and elegance.
Maverick Henderson Strategy
Maverick Henderson Strategy
A comprehensive technical analysis indicator that combines several powerful tools:
1. Volume Profile with POC (Point of Control)
- Displays volume distribution across price levels
- Shows value areas and POC line
- Helps identify key support/resistance levels
2. Multiple EMAs (10, 50, 100, 200)
- Trend identification and dynamic support/resistance
- Price action confirmation
- Works best with Heikin Ashi candles
3. Swing Detection & Counting System
- Identifies and counts higher highs/lower lows
- Dynamic trend strength measurement
- Automatically resets on EMA200 crossovers
4. RSI Divergence Detection
- Regular bullish/bearish divergences
- Hidden bullish/bearish divergences
- Filtered by EMA200 position
5. Multi-Timeframe Squeeze Momentum
- Analyzes momentum across 1H, 2H, 3H, and 4H timeframes
- Shows momentum convergence/divergence
- Visual color-coded momentum representation
Usage Tips:
- Best performance with Heikin Ashi candles
- Use EMA crossovers for trend confirmation
- Watch for momentum convergence signals
- Monitor RSI divergences for potential reversals
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If you find this indicator helpful, you can support my work:
USDT (BNB Smart Chain - BEP20): 0x0e7fcdcc8939791b48e73882b32df1cddaafa88c
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Estrategia Maverick Henderson
Un indicador de análisis técnico completo que combina varias herramientas poderosas:
1. Perfil de Volumen con POC
- Muestra la distribución del volumen por niveles de precio
- Visualiza áreas de valor y línea POC
- Ayuda a identificar niveles clave de soporte/resistencia
2. Múltiples EMAs (10, 50, 100, 200)
- Identificación de tendencias y soporte/resistencia dinámica
- Confirmación de acción del precio
- Funciona mejor con velas Heikin Ashi
3. Sistema de Detección y Conteo de Swings
- Identifica y cuenta máximos más altos/mínimos más bajos
- Medición dinámica de la fuerza de la tendencia
- Se reinicia automáticamente en cruces de EMA200
4. Detección de Divergencias RSI
- Divergencias regulares alcistas/bajistas
- Divergencias ocultas alcistas/bajistas
- Filtradas por posición respecto a EMA200
5. Momentum Multi-Temporal
- Analiza momentum en marcos de 1H, 2H, 3H y 4H
- Muestra convergencia/divergencia de momentum
- Representación visual codificada por colores
Consejos de Uso:
- Mejor rendimiento con velas Heikin Ashi
- Usar cruces de EMA para confirmación de tendencia
- Observar señales de convergencia de momentum
- Monitorear divergencias RSI para posibles reversiones
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Si encuentras útil este script y deseas apoyar mi trabajo:
USDT (BNB Smart Chain - BEP20): 0x0e7fcdcc8939791b48e73882b32df1cddaafa88c
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Logarithmic IndicatorThis logarithmic indicator does the following:
It calculates the logarithm of the chosen price (default is close price) using a user-defined base (default is 10).
It then calculates a Simple Moving Average (SMA) of the logarithmic values.
Both the logarithmic value and its SMA are plotted on the chart.
To improve visibility, it also plots an upper and lower band based on the highest and lowest values over the last 100 periods.
To use this indicator:
Open the TradingView Pine Editor.
Paste the code into the editor.
Click "Add to Chart" or "Save" to apply the indicator to your chart.
Adjust the input parameters in the indicator settings as needed.
You can customize this indicator further by:
Changing the color scheme
Adding more moving averages or other technical indicators
Implementing alerts based on crossovers or other conditions
Remember, logarithmic scales are often used in finance to visualize data that spans several orders of magnitude, making it easier to see percentage changes over time.
Volatility Crypto Trading Strategy//@version=5
indicator("Volatility Crypto Trading Strategy", overlay=true)
// Input parameters for Bollinger Bands and MACD
bb_length = input.int(20, title="Bollinger Band Length")
bb_std_dev = input.float(2.0, title="Bollinger Band Standard Deviation")
macd_fast = input.int(12, title="MACD Fast Length")
macd_slow = input.int(26, title="MACD Slow Length")
macd_signal = input.int(9, title="MACD Signal Length")
// Input for higher timeframe
htf = input.timeframe("30", title="Higher Timeframe")
// Bollinger Bands calculation
bb_basis = ta.sma(close, bb_length)
bb_upper = bb_basis + bb_std_dev * ta.stdev(close, bb_length)
bb_lower = bb_basis - bb_std_dev * ta.stdev(close, bb_length)
// MACD calculation
= ta.macd(close, macd_fast, macd_slow, macd_signal)
// Higher timeframe trend confirmation
htf_close = request.security(syminfo.tickerid, htf, close)
htf_trend = ta.sma(htf_close, bb_length)
higher_trend_up = htf_close > htf_trend
higher_trend_down = htf_close < htf_trend
// Entry conditions
long_condition = close < bb_lower and macd_line > signal_line and higher_trend_up
short_condition = close > bb_upper and macd_line < signal_line and higher_trend_down
// Exit conditions
long_exit_condition = close >= bb_basis * 1.1
short_exit_condition = close <= bb_basis * 0.9
// Plot Bollinger Bands
plot(bb_upper, color=color.red, title="Upper Bollinger Band")
plot(bb_lower, color=color.green, title="Lower Bollinger Band")
plot(bb_basis, color=color.blue, title="Bollinger Band Basis")
// Plot Buy/Sell signals
plotshape(series=long_condition, title="Buy Signal", location=location.belowbar, color=color.green, style=shape.labelup, text="BUY")
plotshape(series=short_condition, title="Sell Signal", location=location.abovebar, color=color.red, style=shape.labeldown, text="SELL")
// Alerts
alertcondition(long_condition, title="Long Entry", message="Buy Signal")
alertcondition(short_condition, title="Short Entry", message="Sell Signal")
alertcondition(long_exit_condition, title="Long Exit", message="Exit Long")
alertcondition(short_exit_condition, title="Short Exit", message="Exit Short")
Enhanced RSI Buy & Sell StrategySI (14): The standard RSI (length 14) is calculated for this strategy.
Buy Condition: This is triggered when RSI is below the oversold level (30) and starts increasing, while the price is near the SMA and volume is high.
Sell Condition: This is triggered when RSI is above the overbought level (70) and starts decreasing, while the price is near the SMA and volume is high.
Exit Condition: The strategy will consider exiting when the RSI moves into the overbought zone after a buy signal.
Volume Confirmation: A volume multiplier is used to confirm the strength of the signal.
SMA Plot: The Simple Moving Average (SMA) is plotted to help identify the trend.
RSI Plot: The RSI is plotted alongside the buy and sell levels for easy visualization.
Enhanced RSI Buy and Sell StrategyVolume Filter:
Only trigger Buy or Sell signals when volume is significantly higher than the average.
Dynamic Exit Signal:
Introduce a clear exit strategy based on RSI conditions and volume trends.
Visualization Improvements:
Use distinct shapes and colors for Buy, Sell, and Exit signals.
Add moving averages to assess trends.
Configurable Parameters:
Allow users to adjust RSI levels, volume thresholds, and other key setting
RSI + Chandelier Exit StrategyChandelier Exit Long is plotted in green (above price).
Chandelier Exit Short is plotted in red (below price).
Buy signal occurs only if the price is above the Chandelier Exit Long line.
Sell signal occurs only if the price is below the Chandelier Exit Short line.
9 EMA Strategy with Retest Logic - Buy Only//@version=5
indicator("9 EMA Strategy with Retest Logic - Buy Only", overlay=true)
// Input parameters
emaLength = input.int(9, title="EMA Length")
bodySizeMultiplier = input.float(0.5, title="Minimum Body Size as Multiplier of ATR")
atrLength = input.int(14, title="ATR Length")
// Calculations
ema = ta.ema(close, emaLength)
atr = ta.atr(atrLength)
// Candle body calculations
bodySize = math.abs(close - open)
minBodySize = bodySizeMultiplier * atr
// Variables to track retest logic
var bool tradeActive = false
// Conditions for retests
priceAboveEMA = close > ema
priceBelowEMA = close < ema
// Retest Buy Logic
bigBarCondition = bodySize >= minBodySize
buyRetestCondition = priceBelowEMA and priceAboveEMA and bigBarCondition
// Buy Signal Condition
buyCondition = buyRetestCondition and not tradeActive
// Trigger Buy Signal
if (buyCondition)
tradeActive := true
label.new(bar_index, high, "BUY", style=label.style_label_up, color=color.green, textcolor=color.white)
alert("Buy Signal Triggered at " + str.tostring(close))
// Reset Trade Active Status
if (priceBelowEMA)
tradeActive := false
// Plot EMA
plot(ema, color=color.purple, linewidth=2, title="9 EMA")
9 EMA Strategy with Sequential Flags//@version=5
indicator("9 EMA Strategy with Sequential Flags", overlay=true)
// Input parameters
emaLength = input.int(9, title="EMA Length")
bodySizeMultiplier = input.float(0.5, title="Minimum Body Size as Multiplier of ATR")
atrLength = input.int(14, title="ATR Length")
// Calculations
ema = ta.ema(close, emaLength)
atr = ta.atr(atrLength)
// Candle body calculations
bodySize = math.abs(close - open)
minBodySize = bodySizeMultiplier * atr
// Conditions for buy and sell
buyCondition = close > ema and bodySize >= minBodySize and open < close
sellCondition = close < ema and bodySize >= minBodySize and open > close
// Variable to track the last trade
var float lastTradePrice = na
var string lastTradeType = na
// New buy and sell logic to ensure sequential trades
newBuy = buyCondition and (na(lastTradePrice) or lastTradeType == "SELL")
newSell = sellCondition and (na(lastTradePrice) or lastTradeType == "BUY")
if (newBuy)
lastTradePrice := close
lastTradeType := "BUY"
label.new(bar_index, high, "BUY", style=label.style_label_up, color=color.green, textcolor=color.white)
alert("Buy Signal Triggered at " + str.tostring(close))
if (newSell)
lastTradePrice := close
lastTradeType := "SELL"
label.new(bar_index, low, "SELL", style=label.style_label_down, color=color.red, textcolor=color.white)
alert("Sell Signal Triggered at " + str.tostring(close))
// Plot EMA
plot(ema, color=color.purple, linewidth=2, title="9 EMA")
MRB Cycle Oscillator 5 * Visualizes trend and volatility through the integration of MACD and Bollinger Bands.
* Highly customizable settings to cater to individual user needs.
* Intuitive overbought/oversold indication with RSI background color.
* Optional signal line display.
* Clean design provides essential data without information overload.
* Grasps trend, volatility, and market momentum at a glance.
Custom Moving Average//@version=5
indicator("Custom Moving Average", overlay=true)
// Input parameters
length = input.int(14, title="SMA Length")
source = input.source(close, title="Source")
// Calculation
sma = ta.sma(source, length)
// Plot the SMA
plot(sma, color=color.blue, linewidth=2, title="SMA")
rsi wf breakoutRSI Breakout Asif
RSI Breakout Asif Indicator
Overview:
The RSI Breakout Asif indicator is a custom script designed to analyze and highlight potential
breakout points using the Relative Strength Index (RSI) combined with Williams Fractals. This
indicator is specifically developed for traders who want to identify key momentum shifts in the
market.
Features:
1. RSI Analysis:
- The RSI is calculated using a user-defined length and price source.
- Horizontal lines are plotted at levels 70 (overbought), 50 (neutral), and 30 (oversold) to visually
aid decision-making.
2. Williams Fractals on RSI:
- Detects fractal highs and lows based on RSI values.
- Highlights these fractal points with dynamic, symmetrical lines for better visibility.
3. Customization:
- Users can adjust the RSI length and price source for personalized analysis.
- Fractal settings (left and right bar length) are also adjustable, making the indicator versatile for
different trading styles.
4. Visual Enhancements:
- Fractal highs are marked in red, while fractal lows are marked in green.
Asif - Page 1
RSI Breakout Asif
- Precise line placement ensures clarity and reduces chart clutter.
5. Practical Utility:
- Use the fractal breakout signals in conjunction with other technical indicators for enhanced
decision-making.
Usage:
- Add the RSI Breakout Asif indicator to your TradingView chart.
- Adjust the settings according to your trading strategy.
- Observe the RSI values and fractal points to identify potential breakout zones.
Disclaimer:
This indicator is a technical analysis tool and should be used in combination with other analysis
methods. It does not guarantee profitable trades.
Watermarked by Asif.
Asif - Page 2
SR Channels + Oversold & Overbought + Supertrend (Public)SR Channels + Oversold & Overbought + Supertrend (Public)
CM_Williams_Vix_Fix Top BottomModification to the original CM_Williams_Vix_Fix that also finds the top.
GS_MM_Swing_V12Features Highlight:
Hull Moving Average Variants:
Hma (Hull Moving Average)
Thma (Triple Hull Moving Average)
Ehma (Exponential Hull Moving Average)
Customizable Inputs:
Strategy direction (long, short, or all).
ADR% length and calculation.
Hull line thickness, color, and transparency.
Backtest Period Control:
Users can specify custom start and stop dates for backtesting.
Signal Logic:
Buy when HMA > HMA and sell when HMA < HMA .
Ensures that trades only occur during the backtesting period.
ADR% Display:
Calculates and displays ADR% as a label above the current bar.
Gap Detection:
Highlights gap-up candles based on a user-defined gap percentage using a yellow background.
Usage Suggestions:
Adjust the Hull Moving Average length for your trading style:
Use 180-200 for dynamic support/resistance levels.
Use 55 for swing trading entries.
Fine-tune the ADR% length to better reflect your target timeframe.
Use the gap detection feature to spot potential breakout or momentum setups.
ZelosKapital Round NumberThe ZelosKapital Round Number Indicator is a tool designed for traders to easily visualize significant round numbers on their charts. Round numbers, such as 1.20000 or 1.21000 in currency pairs, often act as psychological levels in the market where price action tends to react. This indicator automatically marks these levels across the chart, providing a clear reference for potential support and resistance zones. It is customizable, allowing traders to adjust the visual appearance, such as line style, color, and thickness. By highlighting these key levels, the indicator helps traders make more informed decisions and enhances their overall trading analysis.
KgCandlev2This script is a comprehensive tool designed for traders to analyze candlestick and chart patterns effectively.
CAC40 M15 - Z-Score ScalpingCAC40 M15 Z-Score Scalping Strategy 📊
This strategy employs statistical analysis to identify high-probability trading opportunities on the CAC40 index using the 15-minute timeframe.
Strategy Overview:
• Uses Z-Score statistical measure to identify extreme price movements
• Designed specifically for CAC40's unique volatility patterns
• Optimal for M15 timeframe scalping
• Incorporates ATR for dynamic risk management
Entry Logic:
Long Entries:
- When price reaches statistically significant oversold levels
- Confirmed by bullish price action
- Protected by ATR-based stop loss
Short Entries:
- When price reaches statistically significant overbought levels
- Confirmed by bearish price action
- Protected by ATR-based stop loss
Risk Management:
• Dynamic stop-loss based on ATR
• Take-profit set at 2x ATR
• Position sizing optimized for capital preservation
Best Performance:
• During regular trading hours
• When market shows clear statistical divergences
• During periods of normal to high volatility
Not Recommended:
• During major news events
• In extremely choppy market conditions
• During first and last 15 minutes of trading sessions
Note: This strategy is designed for educational purposes. Always use proper risk management and adapt parameters to your trading style.
Good luck trading! 📈