Pips Measure & OHLC Table - XWiseTradePrecise pips calculation and OHLC info for every candle.
This indicator provides:
• H-L and O-C pips on bar labels
• Hover tooltip with full OHLC table
• Optional static table for the last bar
• Customizable price digit display
Features:
• Accurate pip sizing (mintick-based)
• Three display modes (labels, tooltip, static table)
• Clean, professional formatting
Essential for forex traders tracking precise price movement and candle structure.
More premium indicators and strategies coming soon at:
xwisetrade.com
Be Wise. Trade X.
Fundamental Analyse
COT Trend - XWiseTradeVisualize institutional bias using Commitment of Traders (COT) data.
This indicator compares non-commercial net positions of the current symbol against the USD Index to automatically determine market bias:
• Green background = Speculators more long than USD → Bullish
• Red background = Speculators more short than USD → Bearish
Supported symbols: Major FX pairs, Gold, Silver, Oil, SPX, NDX.
Features:
• Weekly COT data via official LibraryCOT
• Clear background coloring
• Persistent bias label
• Works on any timeframe
Perfect for trend filtering and understanding "smart money" positioning.
More premium indicators and strategies coming soon at:
xwisetrade.com
Be Wise. Trade X.
Thick Wick Highlight - XWiseTradeMake candle wicks pop with customizable thickness and color!
This lightweight overlay draws bold lines over upper and lower wicks on every candle—ideal for:
• Crowded charts with multiple indicators where thin wicks get lost
• Cleaner screenshots and printed analysis
• Making long wicks more visible at a glance
Features:
• Adjustable wick color and thickness (1-10)
• Works on all symbols and timeframes
Note: Due to TradingView's line object limit (~50 lines per script), thick wicks are visible on the most recent ~25 candles.
More premium indicators and strategies coming soon at:
xwisetrade.com
Be Wise. Trade X.
Fundamental Dashboard Publishing this script is a great idea because many traders in the Indian market struggle with TradingView's lack of data for SME (Small and Medium Enterprise) stocks.
Here is a professional, detailed description you can use for the Publishing Page. I have broken it down into sections that highlight the unique "Hybrid" technology of your script.
Title Idea: Fundamental Dashboard Pro: SME & Hybrid Live Valuation
Description:
Overview
The Fundamental Dashboard Pro is a high-performance financial analysis tool specifically designed for the Indian Stock Market (NSE/BSE). It solves the biggest problem faced by TradingView users in India: Missing or delayed data for SME and mid-cap stocks.
While standard TradingView indicators rely solely on built-in data feeds (which are often "N/A" for stocks like Alpex Solar, Oriana Power, or Insolation Energy), this script uses a Custom Hybrid Engine. It prioritizes a built-in, high-accuracy database of ~1,700 stocks while falling back to live TradingView data for everything else.
Key Features
📊 Accurate SME Data: Includes pre-loaded, professional-grade fundamental data (EPS, Net Profit, Debt/Equity, ROE) for over 1,600 Indian companies, including the SME segment.
⚡ Real-Time P/E Calculation: Unlike static dashboards, this script calculates the Price-to-Earnings (P/E) ratio dynamically. It takes the static EPS from the database and divides it by the live market price, ensuring your valuation metrics update every second.
🛡️ Intelligent Fallback Logic: If a ticker is not found in the custom database, the script automatically attempts to fetch live data from TradingView’s servers, ensuring you are never left without information.
🔍 Manual Ticker Search: Includes a "Manual Search" input in settings to bypass auto-detection. This is perfect for stocks that use different naming conventions between NSE and BSE (e.g., searching by code 543620 for Insolation Energy).
🚦 Automatic Rating System: A 5-point scoring system that evaluates a stock based on profitability, valuation, leverage, and efficiency, providing a visual "Buy/Sell/Neutral" rating.
How the Hybrid System Works
EPS/ROE/Debt: These metrics are quarterly and are pulled from a high-precision snapshot of Screener.in data embedded in the script.
Live Price: Pulled directly from the chart ticker.
Dynamic P/E: Calculated as Live Price / Stored EPS. This makes the valuation "Market-Live."
Scoring Criteria
The dashboard evaluates every stock against 5 fundamental pillars:
Profitability: Is the company making a Net Profit?
Earning Power: Is the EPS positive?
Valuation: Is the Live P/E below the user-defined threshold?
Debt Health: Is the Debt-to-Equity ratio below the safety limit?
Efficiency: Is the Return on Equity (ROE) above the target percentage?
Instructions for Use
Auto-Mode: Simply add the script to your chart. It will detect the ticker automatically.
Manual-Mode: If the dashboard shows "NOT FOUND" for a specific SME stock, go to Settings > Data & Thresholds and type the ticker name exactly as it appears on Screener (e.g., ALPEXSOLAR).
Customization: You can adjust the P/E, ROE, and Debt thresholds in the settings menu to match your specific investment criteria (e.g., Value vs. Growth investing).
Internal Note for Publishing (Technical):
Version: Pine Script v5
Optimization: The script uses string-compressed data chunks to remain within the 80,000 token limit while maximizing the stock database size.
Scope: Designed specifically for Indian markets but compatible with global tickers via the fallback engine.
KSE-100 PSX Long Strategy by KadunagraDeveloped from a academic part of the doctoral research of Kadunagra on digital finance and automation at **** University in Australia, this strategy implements a "Campaign-Based Adaptive Execution" framework. It moves beyond simple entries and exits by treating each market engagement as a multi-phase campaign with distinct operational states. The system intelligently identifies cyclical turning points, then employs a feedback-driven approach to capital allocation—reinforcing successful momentum with pyramiding while deploying controlled defensive averaging during temporary setbacks. By anchoring its exit mechanism to dynamically updated market structure rather than static profit targets, the algorithm seeks to capture cyclical momentum while maintaining disciplined risk parameters. This research-driven approach represents an evolution toward state-aware algorithmic systems that adapt their tactics in real-time based on market phase recognition.
AI Market Weather Forecast ProAI Market Weather Forecast Pro - Advanced Trading Indicator
Overview
AI Market Weather Forecast Pro is an innovative multi-timeframe trading system that uses global meteorological metaphors to visualize market conditions. By analyzing dimensional latitude regions, it transforms complex market data into intuitive global weather forecasts and temperature readings, helping traders quickly assess market sentiment and trend strength.
Core Features
🌍 Global Weather System
- Temperature Scale: -51°C to +51°C market temperature readings
- Weather Classifications: 9 distinct weather conditions from Freezing Cold to Scorching Heat
- Multi-Latitude Analysis: 5 climate zones representing different regional AI parameters
- Dynamic Temperature Engine: AI-powered algorithm calculates market "temperature" in real-time
- Trend Direction Indicator: Clear bullish/bearish/neutral classification
🌡️ Temperature-Based Signals
Hot Weather (Bullish Conditions):
- 🌡️ Scorching (35°C+): Strong Bull - Extreme bullish conditions
- ☀️ Hot (25°C-35°C): Bullish - Strong upward momentum
- 🌤️ Sunny (15°C-25°C): Mild Bull - Moderate bullish trend
- ⛅ Partly Cloudy (5°C-15°C): Weak Bull - Light bullish bias
Neutral Weather:
- ☁️ Overcast (-5°C to 5°C): Neutral - Consolidation/ranging market
Cold Weather (Bearish Conditions):
- 🌧️ Light Rain (-15°C to -5°C): Weak Bear - Light bearish bias
- 🌨️ Sleet (-25°C to -15°C): Mild Bear - Moderate bearish trend
- ❄️ Blizzard (-35°C to -25°C): Bearish - Strong downward momentum
- 🧊 Freezing Cold (-35°C-): Strong Bear - Extreme bearish conditions
📊 Five Latitude Climate Zones
Detects market conditions across 5 distinct "latitude zones", each representing progressively longer timeframes:
Each zone displays real-time weather status: ☀️ Clear (bullish), ❄️ Snow (bearish), or ☁️ Cloudy (neutral)
🎨 Advanced Visualization
Color-Coded Background:
- Orange/Yellow spectrum for bullish temperatures
- Gray for neutral conditions
- Blue spectrum for bearish temperatures
- Intensity increases with temperature extremes
Smart Weather Labels:
- Emoji-based weather icons for instant recognition
- Temperature readings in degrees
- Auto-positioned to avoid chart clutter
- Updates dynamically with trend changes
Comprehensive Weather Panel:
- Current weather condition
- Market temperature (°C)
- Trend direction classification
- Real-time status of all 5 latitude zones
- Current price and percentage change
Configuration Options
Display Settings
- Panel Position: 9 position options (corners, edges, center)
- Show Weather Panel: Toggle weather information panel on/off
- Show Background Color: Toggle background coloring on/off
- Show Weather Labels: Toggle weather labels on/off
- Background Display Days: Control how many days of coloring to display (1-30 days)
Alert System
Pre-configured alerts include:
- Weather Warming: Alert when temperature rises above 15°C
- Weather Cooling: Alert when temperature falls below -15°C
- Strong Trend Change: Alert when trend shifts to "Strong Bull" or "Strong Bear"
Information Panel Metrics
Real-time display includes:
- Current Weather: Visual weather condition with emoji
- Market Temperature: Numerical temperature reading (°C)
- Trend Direction: Clear classification (Strong Bull/Bullish/Mild Bull/Weak Bull/Neutral/Weak Bear/Mild Bear/Bearish/Strong Bear)
- Latitude Status: Weather conditions across all 5 climate zones
- Price & Change: Current price and percentage change
How to Interpret
Temperature Readings
- Above +25°C: Strong bullish conditions, consider long positions
- +15°C to +25°C*: Moderate bullish, good for trend following
- +5°C to +15°C: Mild bullish, cautious long bias
- -5°C to +5°C*: Neutral range, wait for clarity or range trade
- -15°C to -5°C: Mild bearish, cautious short bias
- -25°C to -15°C: Moderate bearish, good for short positions
- Below -25°C: Strong bearish conditions, consider short positions
Best Practices
1. Temperature Extremes: Focus on temperatures above +25°C or below -25°C for clear signals
2. Temperature Trend: Watch for rising/falling temperature trends, not just absolute values
3. Combine with Barometer*: Use alongside AI Market Barometer Pro for comprehensive analysis
4. Background Color: Quick visual assessment of overall market climate
Recommended Timeframes
- Scalping: 1-minute charts
- *Day Trading: 5-minute, 15-minute charts
Technical Requirements
- TradingView Pro, Pro+, or Premium account (required for multi-timeframe functionality)
- Compatible with all markets: Forex, Crypto, Stocks, Indices, Commodities
- Works on all timeframes from 1-minute to Monthly
Disclaimer
This indicator is a tool to assist with trading decisions. Past performance does not guarantee future results. Trading involves substantial risk of loss. Always use proper risk management and never risk more than you can afford to lose. The AI algorithms and temperature calculations are based on historical price patterns and technical analysis, not predictive guarantees.
What Makes This Different?
Unlike traditional indicators, AI Market Weather Forecast Pro:
- ✅ Uses intuitive meteorological metaphors for instant comprehension
- ✅ Analyzes multiple timeframe combinations simultaneously
- ✅ Calculates dynamic market "temperature" readings
- ✅ Provides 5-zone latitude system for confirmation
- ✅ Offers clear visual weather classifications
- ✅ Features unique temperature-based trend strength measurement
- ✅ Complements AI Market Barometer Pro for complete market analysis
Transform complex multi-timeframe analysis into simple weather forecasts. Know the market climate before you trade.
Perfect Companion to AI Market Barometer Pro
When used together with AI Market Barometer Pro:
- Barometer provides directional signals with AI confidence scores
- Weather provides overall market climate and temperature readings
- Combined gives you both precise entry signals AND broader market context
- Result: More informed trading decisions with better timing
© 2024 AI Market Weather Forecast Pro. All rights reserved. Proprietary algorithms and methodologies protected.
Fundamental Dashboard [Standalone]Overview
The Fundamental Strength Dashboard is a streamlined utility designed to evaluate the fundamental health of a stock directly on your chart. Instead of relying solely on price action, this indicator fetches real-time financial data to assess profitability, valuation, and financial stability.
It aggregates five core financial metrics into a single "Fundamental Score" (0-5) and displays a clear rating (Strong Buy, Buy, Neutral, or Weak/Sell) in a customizable dashboard table.
How It Works
The script analyzes the following 5 Key Fundamental Metrics. For a stock to receive a "point" for a specific metric, it must meet the criteria defined in your settings:
Net Income (Profitability): Checks if the company is actually profitable (Net Income > 0).
EPS (Earnings Per Share): Ensures the company has positive Earnings Per Share (TTM).
P/E Ratio (Valuation): Checks if the stock is valued reasonably compared to your maximum threshold (default: < 45).
Debt-to-Equity (Leverage): Analyzes financial risk. Lower is better (default: < 0.5).
ROE (Efficiency): Measures how effectively management uses equity to generate profit (default: > 15%).
The Scoring System
The indicator calculates a cumulative score based on how many of the above criteria are met:
Score 5/5 → STRONG BUY: The stock meets all profitability, valuation, and stability criteria.
Score 4/5 → BUY: The stock misses only one criterion but is otherwise fundamentally sound.
Score 0-3 → WEAK / SELL: The stock fails multiple fundamental checks (e.g., negative earnings, high debt, or overvaluation).
Features & Customization
Every trader has different risk appetites and sector preferences. You can fully customize the thresholds in the Settings menu:
Max P/E Threshold: Adjust this based on the sector (e.g., Tech stocks typically have higher P/Es than Utilities).
Min ROE %: Set your requirement for management efficiency.
Max Debt/Equity: Tighten or loosen leverage requirements.
Visuals: Change the table position (Top Right, Bottom Right, etc.) and color scheme to match your chart theme.
How to Use
Add the indicator to your chart.
Open the Settings (Gear icon).
Adjust the Dynamic Thresholds to fit the sector you are trading.
Look at the dashboard on the chart to see a snapshot of the stock's fundamental health.
Disclaimer
This script is for educational and informational purposes only. It relies on third-party financial data provided by TradingView, which may occasionally be missing or delayed. Always do your own research (DYOR) before making investment decisions.
Bassi Enhanced Next Candle Prediction with Neural Network & SMCOverview
This advanced all-in-one indicator combines machine learning-based next candle direction prediction with comprehensive Smart Money Concepts (SMC/ICT) tools, classic technical indicators, and visual aids for price action traders. It predicts whether the next candle will close bullish (green), bearish (red), or neutral — with a confidence percentage — using either a logistic regression neural network approximation (pre-trained on historical data) or a rule-based decision tree ensemble.
Perfect for scalpers, day traders, and swing traders seeking confluence from multiple sources.
Key Features
Next Candle Prediction
Real-time probability and direction (BUY/SELL/HOLD) with confidence level (0-100%).
Visual simulated future candle (one bar ahead) based on ATR-scaled body size.
Background coloring for predicted up/down moves.
Large label on the chart showing prediction, strength, confidence, and recent patterns.
Machine Learning Models (toggle via inputs)
NN Mode: Logistic regression (single-layer neural net) using normalized features from RSI, MACD, Stochastic, EMA, Bollinger Bands, ATR, OBV, Ichimoku, VWAP, CCI, Williams %R, MFI, and volume.
Tree Mode: Ensemble of 6 decision trees incorporating trend, volume, oscillators, candlestick patterns, divergences, and SMC elements.
Smart Money Concepts (SMC/ICT)
Order Blocks (Bullish/Bearish) with auto-extension and labels.
Fair Value Gaps (FVG) with volume-confirmed 3-candle detection and minimum size filter.
Breaker Blocks (when OB is broken).
Liquidity Sweeps (fakeouts at recent highs/lows).
Market Structure: Break of Structure (BOS) and Change of Character (CHoCH) labels.
Mitigation Blocks, Equal Highs/Lows, Imbalances.
Divergence Detection (Regular & Hidden)
RSI, MACD, and Stochastic divergences with lines and labels.
Classic Indicators & Tools
EMA, Ichimoku Cloud, Bollinger Bands, Parabolic SAR, SuperTrend, VWAP with bands.
ADX trend strength, Volume confirmation, Candlestick patterns (Engulfing, Hammer, Shooting Star).
Fibonacci Retracement from recent fractals (auto-updating on last bar).
Volume Profile (POC, VAH, VAL) over lookback period.
Visual & Info Enhancements
Customizable info table (Full/Summary/Mobile modes) showing key metrics, predictions, and statuses.
Trend background coloring.
Auto-cleanup of old drawings to prevent chart clutter.
Alerts
Buy/Sell/Hold predictions.
Patterns, divergences, SMC events (OB, FVG, BOS, CHoCH, Liquidity Sweeps, etc.).
How to Use
Add to any chart/timeframe (best on 1-15min for predictions).
Watch the next-candle label and simulated candle for directional bias.
Use SMC zones for entries/exits, confirmed by prediction confidence >66% (STRONG).
Combine with table for quick confluence overview.
Enable alerts for real-time notifications.
Disclaimer
No indicator guarantees profits. This is a tool for confluence — always use proper risk management. Backtest thoroughly on your assets/timeframes.
Investment Analysis Bar v2What It Does
A comprehensive analysis bar combining fundamental metrics with technical signals, designed for long-term investors who prioritize quality over momentum.
Core Philosophy: Quality companies trading below their 200 EMA in accumulation zones = opportunities, not warnings.
Tier 1 Bar Metrics
Margins: GM, OM, NIM, FCF Margin
Returns: ROCE, ROE
Growth: Revenue YoY, EPS YoY
Valuation: PE TTM, Forward PE, PEG
Zone: Accumulate / Hold / Trim / Exit
Signal: PRIME / BUY / TRIM / SELL / NEUTRAL
Performance: 1W to 1Y returns
Two Strategy Modes
Value Accumulator (Default) - For long-term position building. Treats below-200-EMA as an opportunity when fundamentals are intact. PRIME signals require: RSI bounce + Volume + Accumulate Zone + All Quality Gates Pass + Below 200 EMA.
Trend Follower - Traditional momentum approach. Prefers entries above 200 EMA.
Quality Gates System
Four fundamental checkpoints:
Gross Margin ≥ 40%
ROCE ≥ 15%
Debt/Equity ≤ 50%
SBC/Revenue ≤ 15%
Strong signals require quality confirmation. PRIME signals require ALL gates to pass.
Zone System
Three calculation methods:
52W Range: Accumulate in bottom 25%, Trim in top 25%
Manual Levels: Set your own price targets
ATR-Based: Dynamic zones from EMA ± ATR
Signal Hierarchy (Value Mode)
SignalMeaning
PRIME 💎Optimal entry - all conditions aligned
BUY 🔼Strong accumulation signal
BUY? ↗Decent entry, not ideal zone
ACCUM 🎯In accumulation zone, quality OK
WAIT ⏳Setup forming, no bounce yet
TRIM 📤Consider taking profits
Alerts Included
Zone transitions (Accumulate, Trim, Exit)
PRIME Entry Signal
Strong Buy / Sell signals
Quality Gate failures
Quality Accumulation Setup
Best Used On
US stocks with fundamental data available. Technical features work on all symbols.
Settings
Fully customizable:
Toggle each metric category
Adjust quality gate thresholds
Choose zone calculation method
Configure RSI/volume parameters
Position bar and panel anywhere
Gold Scalping MACD ProGold Scalping MACD Pro is a custom-built technical indicator specifically optimized for gold (XAUUSD) scalping. It is based on an advanced adaptation of the classic MACD (Moving Average Convergence Divergence) concept, enhanced to provide faster, clearer, and more reliable signals in highly volatile gold markets.
🔹 Core Purpose
The indicator is designed to:
Capture short-term momentum shifts
Reduce market noise
Improve entry and exit timing during fast price movements
This makes it particularly effective for intraday and scalping strategies.
🔹 Key Features
Enhanced MACD-based momentum calculation for higher sensitivity
Early buy and sell signals during strong momentum phases
Noise filtering to reduce false signals in sideways markets
Optimized for gold’s volatility characteristics
Best performance on lower timeframes (M1, M5, M15)
🔹 How It Works
Gold Scalping MACD Pro analyzes the relationship between fast and slow moving averages, combined with momentum smoothing techniques.
By focusing on momentum strength rather than lagging confirmation, the indicator helps traders:
Identify high-probability scalping opportunities
Confirm short-term trend direction
Avoid weak or low-momentum setups
🔹 Best Use
Gold (XAUUSD) scalping
Momentum-based trading strategies
Trend confirmation on lower timeframes
Used alongside price action, support & resistance, or session timing
⚠️ Risk Disclaimer
Gold Scalping MACD Pro is a technical analysis tool and does not provide trading advice. Trading leveraged instruments such as gold involves significant risk. Proper risk management and confirmation from other analysis methods are strongly recommended.
EAB: Earnings CountdownEAB: Earnings Countdown displays a compact table showing the number of days remaining until the next earnings release for the current symbol, using TradingView’s built-in earnings data.
Features
• Displays a clear countdown to the next earnings date.
• Configurable alert thresholds based on remaining days.
• Custom messages for earnings day, 1 day before, alert range and normal mode.
• Fully customizable colors, text size and table position.
How to use
1. Select the table position and visual style from the settings.
2. Define how many days before earnings should trigger an alert.
3. Customize the messages displayed for each countdown state.
Notes
• Earnings data is provided by TradingView.
• If no upcoming earnings are available, a default message is shown.
• Informational indicator only; no trading signals are generated.
Market Return Analyzerمؤشر محلل عوائد السوق يعرض أداء الأصل المالي عبر عدة فترات زمنية (يومي، أسبوعي، شهري، سنوي، وطويل الأجل) في جدول واضح وقابل للتخصيص مباشرة على الشارت، لمساعدة المتداول على اتخاذ قرارات أسرع وأكثر دقة
Market Return Analyzer displays multi-timeframe performance (Daily, Weekly, Monthly, YTD, and Long-Term returns) in a clean, customizable table directly on your chart.
Designed for traders and investors who want quick performance insights without clutter
REM Algo - Earnings AlertsNot everyone wants to hold positions through earnings announcements — and if you’re evaluating a strategy, earnings-related gaps can distort performance metrics and make results harder to interpret.
This script helps you manage earnings risk by triggering alerts during an Earnings Blackout window. You can:
get an alert to close positions the day before earnings, and/or
receive a reminder not to open new positions on blackout days prior to the earnings announcement.
Add alerts to the stocks you trade. When a blackout day occurs, the script triggers at the hour and minute you choose in the settings. The Earnings Blackout period covers the day before and the day of the earnings announcement, adjusted for weekends and market holidays.
Use it as a standalone risk-control tool — or alongside your existing strategy — so earnings gaps don’t interfere with your trading rules or your backtest results.
mucip sat stratejisiThis strategy performs scaled short entries across multiple timeframes.
Position additions are executed using small capital allocations (1–2% per entry) to manage risk efficiently.
It is primarily optimized for major cryptocurrencies.
The strategy is designed for futures markets and operates with leverage in the 10–15x range.
GBPUSD Institutional Signals - LIVE (Full Suite FIXED)This script is design to show market direction clearer
This script will also help with when the market may be finishing corseting itself and
will show when the continuation is resuming.
PIT Magic IndicatorDPOC (Developing Point of Control) is the price level where the most trading volume has occurred so far in the current session, and it moves as new volume comes in, often acting like a short-term magnet for price.
WPOC (Weekly Point of Control) is the price level with the highest traded volume for the entire week, commonly acting as a strong reference point where price may pause, reverse, or consolidate.
Support is a price zone where buying interest is strong enough to stop or slow down a decline, often causing price to bounce upward.
Resistance is a price zone where selling pressure tends to overpower buying, frequently preventing price from moving higher and causing pullbacks.
EV Algo SMT 15m on 1mEV Algo SMT is a multi-timeframe SMT divergence indicator that compares price action between two correlated markets.
It uses higher timeframe pivots while plotting signals on a lower timeframe chart, helping identify potential bullish and bearish divergences with confirmation on candle close.
Open Interest Bubbles [BackQuant]Open Interest Bubbles
A visual OI positioning overlay that aggregates futures open interest across major venues, normalizes it into a consistent “signal strength” scale, then plots extreme events as bubbles, labels, and optional horizontal levels directly on price.
What this is for
Open interest is one of the cleanest ways to track when positioning is building, unwinding, or aggressively shifting. The problem is raw OI is noisy, exchange-specific, and hard to compare across time. This script solves that by:
- Aggregating OI across multiple exchanges.
- Letting you choose what “OI signal” you care about (raw, delta, percent versions).
- Normalizing the signal so “big events” are easy to spot.
- Plotting those events as bubbles and levels at the exact price they occurred.
You end up with a clean, fast visual map of where large positioning changes occurred, and where those events may later matter as reaction points.
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Plotting types (what you can display)
Bubbles
This mode plots OI events as size-bucketed circles on the chart. Bigger bubbles represent stronger normalized events. You can tune:
- Bubble sizing by bucket (Tiny → Huge).
- Heatmap vs solid color styling.
- Signed vs unsigned coloring (positive/negative separation or magnitude-only).
Best use:
- Spotting “where something changed” at a glance.
- Identifying clusters of positioning events around key price zones.
- Seeing whether the market is repeatedly building/closing positions at similar levels.
Levels
Levels mode draws a horizontal line at the anchor price when an extreme OI event triggers. These act like “positioning memory” levels:
- They do not claim to be support/resistance by themselves.
- They highlight prices where the derivatives market clearly did something meaningful.
Best use:
- Marking potential reaction zones.
- Combining with your price action tools (structure, OBs, FVGs) to confirm whether an OI level aligns with a technical level.
- Building a “map” of where leverage likely entered or exited.
Modes available in the script:
- Off
- Bubbles
- Bubbles + Labels
- Labels Only
- Levels + Labels
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Aggregated Open Interest source (multi-exchange)
This indicator builds a single aggregated OI series by requesting OI data from multiple exchanges and summing it. You can toggle exchanges on/off:
- Binance, Bybit, OKX, Bitget, Kraken, HTX, Deribit
You can also choose OI units:
- COIN , OI in base units (native sizing)
- USD , converted for a dollar-value representation
Important note:
Not every symbol has OI data on every venue. If the script cannot build an aggregated series for the symbol, it will throw an error rather than quietly plotting garbage.
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OI Source, what the bubbles are measuring
You control what “signal” is normalized and plotted:
- Delta , change in aggregated OI from the prior bar.
Use when you want to highlight bursts of new positioning or sudden unwind events.
- Raw OI , the aggregated open interest level itself.
Use when you want to highlight absolute positioning build-up periods.
- Delta % , percent change in OI.
Use when you want moves normalized to the current OI regime, useful across different market eras.
- Raw OI % , percent change form of the raw series.
Use when you want relative changes rather than absolute size.
Practical guidance:
- Delta modes are best for “event detection”.
- Raw modes are better for “regime context” and whether positioning is structurally rising or fading.
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Normalization (the key to making it readable)
Because OI varies massively across assets and time, the script includes multiple normalization modes to convert your chosen OI source into a comparable “strength” value.
Options:
- ZScore , deviation from a rolling mean in standard deviation units.
- StdNorm , scaled by rolling standard deviation.
- AbsZScore , absolute value version for magnitude-only mapping.
- AbsStdNorm , absolute value version for magnitude-only mapping.
- None , plots raw values (advanced users only, often too noisy visually).
Why this matters:
Normalization makes a “1.5” or “3.0” threshold mean something across different assets and timeframes, instead of being stuck to raw OI units.
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Threshold system (when bubbles/levels trigger)
The plot is driven by two user thresholds:
- Base Threshold
Controls where “meaningful” events start. Raising this reduces noise and focuses on larger deviations.
- Extreme Threshold
Controls what qualifies as a top-tier event. Extreme events are what you typically want to convert into labels and levels.
You also control side filtering:
- Both , show positive and negative events.
- Positive Only , show only increases (or positive signal side depending on source).
- Negative Only , show only decreases (or negative signal side).
In practice:
- Use Base Threshold to tune chart cleanliness.
- Use Extreme Threshold to mark only the “big stuff” that tends to matter later.
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Anchor Source (where the bubble/level is placed)
The indicator places bubbles, labels, and levels at a price anchor you choose:
- HL2, Close, Open, High, Low, VWAP
This is important because “where you pin the event” changes how it reads:
- Close is clean and consistent for backtesting and candle-close logic.
- High/Low can better represent where the fight occurred intrabar.
- VWAP can be useful for “fair price” anchoring in active markets.
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Style system (theme, palette, signed logic)
This script is built to look good and stay readable on busy charts.
Themes
- BackQuant, Classic, Ice, Fire, Mono, Custom
Palette Mode
- Solid , one consistent color
- Heatmap , intensity increases with magnitude
- Single Color Adaptive , adapts to chart background for clarity
Side Coloring
- Signed , positive and negative events can use different ramps
- Unsigned , magnitude-only coloring
Negative theme handling:
- Auto (mirrors your chosen theme),
- Invert (flips the ramp),
- Custom (fully user-defined negative palette).
What this gives you:
- You can run a clean “mono” look for professional charts.
- Or a high-contrast heatmap for fast scanning.
- Or fully custom branding colors for BackQuant-style presentation.
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Labels (what’s inside the label)
When labels are enabled, the script can display:
- OI , the aggregated OI value
- OI + Norm , OI plus normalized strength
- Norm Only , just the normalized strength
- Src + Norm , the selected source value (Delta, Raw, %) plus normalized strength
You can also control:
- Left/Center/Right label alignment
- Number formatting style (Raw, Compact, Volume format)
Best practice:
- Use “Src + Norm” when you want both the raw event size and its rarity.
- Use “Norm Only” when you want a clean, minimal chart.
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Levels and object limits (performance and cleanliness)
Because this script draws objects, it includes a hard cleanup system:
- You set Max Levels / Labels to control chart clutter.
- The script deletes older lines/labels when the limit is exceeded.
This is critical if you trade lower timeframes, where OI events can trigger frequently.
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How to interpret the signals
What a large bubble usually means:
- A statistically large positioning change relative to recent history.
- This can represent fresh leverage entering, forced liquidations, or aggressive de-risking, depending on direction and context.
How to use levels:
- Treat them as “attention levels”, not automatic entries.
- Combine them with structure and liquidity tools:
- If price revisits an OI level and shows rejection, it often confirms that level mattered.
- If price slices through with no reaction, it often indicates the OI event was transitional, not defended.
Common setups:
- Clustered extreme bubbles near a breakout zone, then retest later.
- Extreme negative event at capitulation low, followed by structure flip.
- Extreme positive build into resistance, then unwind and mean reversion.
Also, please check out @NoveltyTrade for the OI Aggregation logic & pulling the data source!
Here is the original script:
Momentum & Breakout Confirmationwatch momentum build in real time on the current candle so you can confirm weather a breakout is indeed a breakout or will be a fake out. This is what it does
This is a Momentum & Breakout Confirmation (MBC) indicator that analyzes the current candle in real-time to determine if it's a strong continuation move or possible reversal. Here's the breakdown:
What It Measures:
Momentum Strength - How much % the candle moved:
STRONG = >0.5% move
MEDIUM = 0.2-0.5%
WEAK = <0.2%
Direction - Simply bullish (green candle) or bearish (red candle)
Four Confirmation Factors:
Volume Surge - Is volume 1.5x above the 20-period average?
Move Size - Is the candle body larger than 0.5x ATR (significant)?
Body Strength - Is the body >60% of total candle range (strong conviction, minimal wicks)?
Trend Aligned - Does it align with 9/21 MA trend direction?
The Scoring System:
Adds 1 point for each confirmation factor met (max 4 points)
3-4 points = "STRONG CONTINUATION" 🚀
2 points = "LIKELY CONTINUATION"
1 point = "WEAK SIGNAL"
0 points = "POSSIBLE REVERSAL" ⚠️
Key Difference from TPC:
TPC uses multi-timeframe SuperTrend for strategic entries
MBC focuses on the current candle only - it's asking "Is THIS candle showing real momentum or is it weak/fake?"
Practical Use:
Great for confirming if a breakout or move is "real" with strong conviction behind it, or if it's low-volume/weak-bodied and likely to fail. The table updates live so you can watch momentum build during the candle formation.
Hope it helps. if you guys have any ideas for any indicators you want made please feel free to dm me as i like a good challenge lol ill sit here and try to code anything now im not saying i will be 100 percent successful but i will try for you, thanks for all the support from all you guys i def do appreciate it.
Wyckoff PRO Institutional🔹 Wyckoff NTA – Institutional Context Engine
Institutional Market Context Based on Wyckoff Methodology
📌 Overview
Wyckoff NTA – Institutional Context Engine is a public, closed-source analytical script developed by NexTrade Academy, designed to identify and quantify the true institutional market context using classic Wyckoff methodology adapted into a modern algorithmic framework.
This script is NOT a signal system and does not provide precise entry or exit points.
Its purpose is to function as a context engine, helping traders understand WHEN the market is operable and IN WHICH DIRECTION it is statistically reasonable to look for opportunities.
🧠 Methodology & Conceptual Framework
Wyckoff NTA evaluates the combined behavior of price, volume, and volatility, following the core principles of the Wyckoff method to interpret institutional intent behind market movements.
The script analyzes market conditions through the following conceptual components:
1️⃣ Wyckoff Phase Identification
The indicator classifies the current market environment into the main institutional Wyckoff phases:
Accumulation
Distribution
Markup
Markdown
Reaccumulation
Redistribution
These phases describe where the market is within its cycle, not where to trade.
2️⃣ Institutional Intent Event Detection
Wyckoff NTA detects key events associated with Wyckoff methodology, such as:
Spring
Upthrust
Sign of Strength (SOS)
Sign of Weakness (SOW)
These events are treated as contextual confirmations, not standalone trade signals.
3️⃣ Market Operability Assessment
The script evaluates whether current conditions are operable or non-operable, based on the relationship between:
Structural development
Participation (volume behavior)
Price efficiency and volatility
This process filters out:
Low-intent environments
Transitional phases
Low-probability market conditions
🔢 Wyckoff Dynamic Score (0–100)
All evaluated components are aggregated into a Wyckoff Dynamic Score, which summarizes the quality of the current market context:
Below 40 → Non-operable context
40 to 60 → Weak context (A+ setups only)
60 to 80 → Operable context
Above 80 → Strong institutional context
This score does not trigger trades.
It is designed to enable or block decisions within a defined trading plan.
🎨 Visualization Modes
Wyckoff NTA includes multiple visualization modes to support different use cases:
DESK → Professional execution (minimal, no visual noise)
PRO → Active trading with enhanced visual context
EDU → Educational and learning-focused analysis
Each mode prioritizes clarity, objectivity, and controlled information density.
🎯 Intended Use
This script is designed for:
Institutional and advanced discretionary traders
Market Structure and Smart Money approaches
Swing and intraday trading
Contextual trade filtering and bias validation
Integration with execution systems such as NTC (NexTrade Concept)
It should always be used alongside:
A defined execution model
Proper risk management
Trading discipline
⚠️ Important Disclaimer
❌ No performance guarantees
❌ Not an automated trading system
❌ Does not constitute investment advice
✅ Contextual analytical tool only
All trading decisions remain the sole responsibility of the user.
🏷️ Credits
Developed by NexTrade Academy
Institutional Trading · Market Structure · Context First
Educational and professional analytical tool
Use at your own risk
Global Net Liquidity w/offsetShows the value of Global Net Liquidity.
Currently defined as:
Fed + Japan + China + HK + UK + ECB - RRP - TGA
where the first six components are central bank assets.
This script has been heavily inspired by dharmatech 's Global Net Liquidity
Original script can be viewed here:
Special for this script:
Hong Kong assets added
Offset mode
Smooth vs stepped line in lower than 1D time frame
Switch between trillion USD or full number
Defaults to overlay mode when added to chart
For Bitcoin, 90 days, is a fitting offset.
For SPX, around 60-70 days, is a fitting offset.
Druckenmiller Alpha-Physics [Dual-Core]Stop trading in a vacuum. Start trading like a Macro Fund Manager.
The Druckenmiller Alpha-Physics engine is a professional-grade dashboard designed to solve the single biggest problem in trading: Context. Most traders buy a "dip" only to realize it was a crash, or sell a "rip" only to watch it fly higher.
This tool solves this by synthesizing Market Physics (Velocity & Acceleration) across two distinct timeframes (Weekly Macro & Daily Tactical) and filtering every signal through a Global Liquidity Shield.
It is engineered based on the trading philosophy of Stanley Druckenmiller: “I don’t care about the news. I care about the liquidity and the acceleration of the trend.”
How It Works (The Dual-Core Logic)
The engine runs 27 distinct sector assets through a dual-loop physics processor:
The Macro Core (Weekly): Analyzes the 18-month trend. Is the "Tide" coming in or going out?
The Tactical Core (Daily): Analyzes the 3-day price action. Is the "Wave" crashing or rising?
It then synthesizes these two data streams into a single Action Signal.
The Signals (How to Read)
The dashboard tells you exactly what to do based on the conflict between Macro and Micro:
🟢 BUY PULLBACK (The "Alpha" Trade):
Logic: Macro is RIPPING (Bullish) + Tactical is TOP/CRASH (Bearish).
Meaning: You are buying a long-term leader on a short-term discount.
🔵 STINK BID (The "Bottom" Trade):
Logic: Macro is TURNING UP + Tactical is CRASHING.
Meaning: The physics have shifted positive, but price is still dumping. Place limit orders -5% lower to catch the panic bottom.
🔴 SELL RIP (The "Trap" Trade):
Logic: Macro is TOPPING (Bearish) + Tactical is RIPPING (Bullish).
Meaning: The long-term trend is dead. Sell into this short-term rally immediately.
⚪ HOLD: All systems go. Sit on your hands and ride the trend.
The "Invisible" Liquidity Shield
The most dangerous time to buy is when the Fed is draining liquidity. This script monitors the 10-Year Treasury Yield (TNX) and VIX in real-time.
If Liquidity is OK (Navy Header): Signals are valid. Green means Go.
If Liquidity is TIGHT (Maroon Header): The entire dashboard enters "Defense Mode." Buy signals are tinted Maroon to warn you that you are fighting the Fed.
Included Universe (The "Ultimate" List)
Includes 27 institutional-grade tickers covering every corner of the market:
Growth: XLK, SMH, IGV, GRID, QTUM
Cyclical: JETS, XHB, KRE, XLI, XLF
Commodities: GDX, URA, XLE, XLB, TAN
Risk/Safety: IBIT, TLT, XLV, XLP
Note: This script uses dynamic request handling optimized for Pine Script v6. It is designed for Premium/Ultimate plans due to the high volume of data processing (54+ simultaneous streams).






















