TRADE ORBIT:-RSI Multi-Timeframe DashboardThis indicator displays RSI (Relative Strength Index) values across multiple timeframes in a convenient dashboard directly on your chart. It provides an at-a-glance view of market momentum from 3-month down to 5-minute charts, making it ideal for swing trading, intraday trading, and scalping strategies.
Features:
Calculates RSI for the following timeframes:
3-Month (3M)
Monthly (M)
Weekly (W)
Daily (D)
Hourly (60 min)
15-Minute
5-Minute
Highlights RSI zones with background colors for quick visual interpretation:
Strong Overbought: > 70 (Blue)
Mild Overbought: 60.1–70 (Green)
Neutral Zone: 40–60 (Yellow)
Mild Oversold: 30–39.9 (Red)
Strong Oversold: < 30 (Black)
Oszillatoren
Divergences: Price × RSI × OBV The Triple Confirmation Divergence indicator is a sophisticated momentum and volume-based tool designed to identify high-probability trend exhaustion points and potential reversals. It moves beyond traditional single-indicator divergence analysis by synthesizing signals from three core pillars of technical analysis: Price Action, Momentum, and Volume Flow.
This indicator works better on the time frames: 1H, 4H, 1D, 1W and 1M.
Tradebot Trend PowerSummary: Multi-indicator trend dashboard showing weighted Buy/Sell strength as percentage bars with a clean gradient panel.
What it does
Tradebot Trend Power aggregates multiple technical indicators into a Buy/Sell trend-power score and visualizes it as a compact on-chart panel with two bar columns (Buy / Sell).
You can enable/disable each component (RSI, StochRSI, MACD, ADX, CCI, Aroon, MFI, OBV, MA) and assign a weight (1 or 2 points).
The script converts the active signals into percentages of the total possible score and fills the bars with a gradient: green for Buy strength, red for Sell strength.
When a column reaches its maximum (normalized to 10 bars), a small “Strong” label appears for that side.
How it works (scoring logic)
Each selected component contributes to the Buy or Sell tally based on a simple binary condition:
RSI: Buy if RSI is rising (ΔRSI > 0); Sell if falling (ΔRSI < 0).
StochRSI: Buy if %K > %D; Sell if %K < %D.
MACD: Buy if MACD line > Signal; Sell if MACD line < Signal.
ADX (+DI/−DI): Active only when ADX > 20; Buy if +DI > −DI; Sell if −DI > +DI.
CCI: Buy if CCI > 0; Sell if CCI < 0.
Aroon: Buy if Aroon Up > Aroon Down; Sell if Down > Up.
MFI: Buy if MFI > 50; Sell if MFI < 50.
OBV: Buy if OBV is rising; Sell if OBV is falling.
Moving Average (EMA/SMA/WMA/HMA): Buy if close > MA; Sell if close < MA.
Each “true” condition adds its weight to the corresponding Buy or Sell score. Scores are divided by the sum of selected weights to produce Buy/Sell percentages (0–100%). The panel normalizes these into 10 bars per side for quick visual ranking.
Panel / display
Toggle the panel on/off and choose position (top/middle/bottom, left/center/right).
Header shows Buy % and Sell %; the footer shows how many components are currently signaling on each side (e.g., Buy (5/7) | Sell (2/7)).
Colors use a smooth gradient from the panel base color to green/red based on the percentage.
How to use
Enable the indicators you want to include and set their weights (1 = light impact, 2 = stronger impact).
Optionally adjust lookback lengths (e.g., RSI 14, MACD 12/26/9, MA 20).
Place the panel where you prefer.
Use the Buy/Sell percentages for context (trend bias, momentum alignment, confirmation layer) alongside your own entries, risk and management rules.
Defaults / conduct notes
No request.security(); calculations are done on the current chart only.
This is an indicator (not a strategy); it shows no backtests or orders.
The panel updates on the last bar; no forward-looking tricks are used.
Signals are simplified, binary forms of the underlying indicators and are intended for decision support, not standalone predictions.
Limits & disclaimers
Not intended for non-standard chart types (Heikin Ashi, Renko, Range, Kagi, Point & Figure).
Past results do not guarantee future performance.
Example view:
The chart shows the gradient Buy/Sell bars and the “Strong” label at full power.
UI wording (EN equivalents of panel labels)
“📉 Tradebot Strategies Trend Power” → Trend Power Panel
“Trend Power” → Panel On/Off
“Top/Bottom/Middle Left/Center/Right” → Panel position
“Panel Color / Buy gradient / Sell gradient / Text Color” → Style settings
“Text Size” → Panel text size
“RSI / StochRSI / MACD / ADX (+DI/−DI) / CCI / Aroon / MFI / OBV / Moving Average” → Component toggles & weights
“Length / Fast / Slow / Signal / %K / %D / DI Length / ADX Smoothing / MA Type” → Inputs
Bull vs Bear Volume(Simplified)Bull vs Bear Volume
After experimenting with countless volume-based indicators, I sought a simple way to visualize buying and selling pressure with just two lines—an indicator that stays closely coupled with price action.
I went through endless trial and error, building extremely complex volume indicators, only to find that in live trading, errors kept arising and the tools became more hindrance than help. Yet, to enhance the reliability of price indicators, a trustworthy volume measure is indispensable. Even after testing numerous community-shared indicators, I could not find one that met my needs.
This led me to a simple idea: process volume only when Close > Open for buying pressure, and Close < Open for selling pressure, while cleaning out the noise. By reflecting only the volume contributing to price movement, the indicator remains stable and intuitive.
Implementing this concept, I created an indicator that, among countless volume tools, stands out for its clarity and lack of extraneous functions. Users can freely adjust the sum periods of the Bull and Bear lines, choose line styles, and even enjoy the dynamic color changes when the lines cross.
If this indicator can provide even a little assistance in trading, then my purpose is fulfilled.
MILLION MEN - Sheep HunterWhat it is
MILLION MEN – Sheep Hunter is an RSI-based context tool designed to visually highlight extreme sentiment zones. It draws Overbought (herd/FOMO) and Oversold (panic/liquidity) boxes on price, and labels rare events (Whale / Wolf / Sheep / TP10) for easier discretionary analysis. It is not an entry signal generator, but a tool to understand crowd behavior at extremes.
How it works
RSI core: Adjustable length and custom OB/OS thresholds.
Zones:
• Red box = RSI between 80–90 (overbought pocket)
• Green box = RSI ≤ 20 (oversold pocket)
• Box height auto-scales using True Range for clear visibility
• Boxes persist for X bars after exit, keeping context visible
Marks (optional):
• Whale (deep oversold)
• Wolf Entry (oversold threshold)
• Sheep (extreme FOMO)
• TP10 (RSI ≤ 10, potential exit area)
How to use
Use zones and marks as context or confluence, not automatic entries. Oversold areas may hint at exhaustion or liquidity grabs; overbought areas can warn of crowd chasing tops. Combine with structure, HTF bias, volume or price action.
Originality & value
Unlike standard RSI lines, this tool projects extremes directly onto price with persistent, padded zones and minimal marks for clarity. It helps traders see sentiment pockets over time, rather than momentary RSI spikes.
Tested markets
This tool has been primarily tested on major crypto assets (BTC, XRP, ETH, BNB, LTC).
Behavior on other markets may vary and should be validated before use.
Limitations
RSI can stay extreme during strong trends.
Marks are context labels, not buy/sell signals.
Non-standard chart types are not supported.
No future data is used. This is not financial advice.
يعرض مناطق تشبع شرائي/بيعي على السعر مباشرة (صناديق حمراء وخضراء) مع علامات لحالات قصوى مثل Whale / Sheep. الهدف هو فهم سلوك السيولة والجمهور عند التطرف وليس إعطاء إشارات دخول مباشرة. تمت تجربة الأداة على العملات الرئيسية (BTC, XRP, ETH, BNB, LTC) وقد يختلف الأداء في الأسواق الأخرى.
AO3 BETA 3.9.0 (v9p)// 📦 VERSION UPGRADE NOTE
// Indicator:
// Version: BETA 3.9.0 (v9p)
// Previous: BETA 3.4.2 (v6)
//────────────────────────────────────────────
// 🔸 Upgrade Summary:
// • Upgraded to Pine Script v6 (backward compatible).
// • Improved trend filter logic:
// – H1/H4 Uptrend = AO > U1
// – AO ≤ U1 ⇒ not uptrend
// – **NEW:** When AO crosses back above U1 (while AO > 0) ⇒ uptrend resumes.
// – Vice versa for downtrend.
// • Removed Entry Option 1; Option 2 → new Option 1; Option 3 → new Option 2.
// • Optimized internal constants & default values.
// • Added hidden system parameters (RISK_CAP, MIN_BARS, MAX_SPREAD, etc.).
// • Exposed only key inputs (Length, UseFilter, ATR Length) for cleaner UI.
// • Organized inputs into groups with tooltips for usability.
// • Improved performance via var-caching and reduced redundant calculations.
// • Simplified dev structure for modular updates.
//────────────────────────────────────────────
// 🧩 Notes:
// This build focuses on end-user stability and simplified interface.
// Developer-only parameters are now locked (not user-editable).
Scalping m15 indicator RovTradingScalping Indicator Combining UT Bot and Linear Regression Candles.
UT Bot uses ATR Trailing Stop to identify entry points.
Linear Regression Candles smooth price action and provide trend signals.
The indicator is suitable for scalping trading on the M15 timeframe.
Stochastic Clean & ClearA simple yet sharp take on the Stochastic Oscillator, built for traders who want to read momentum cleanly without extra clutter.
💡 Main Features:
Dynamic %K and %D line colors — green for bullish momentum, red for bearish.
Auto dots appear whenever %K crosses %D, so you’ll never miss a signal.
Clearly marked overbought (80) and oversold (20) zones with a soft transparent background.
Adjustable smoothing parameters to fit your trading style.
🎯 Perfect for traders who rely on price action + momentum, especially on intraday and swing timeframes.
Minimalist design, no noise — just colors and dots that tell you when the market mood starts to shift.
2 Bandas de Bollinguer (10-20) + 4 EMA + 2 SMA 2 BB (10-20) + 4 EMA (35-50-100-200) + 2 SMA (75-100) configurable
TalaJooy V1.31 𓅂💎 استراتژی معاملاتی TalaJooy V1.31 𓅂
TalaJooy (طلاجوی) یک چارچوب معاملاتی حرفهای و کامل برای TradingView است که برای حذف حدس و گمان، احساسات و تصمیمگیریهای هیجانی از فرآیند معاملات طراحی شده است.
این محصول یک «اندیکاتور سیگنالدهی» ساده نیست؛ بلکه یک استراتژی (Strategy) کامل است که چهار وظیفه کلیدی را به صورت خودکار انجام میدهد:
تحلیل بازار (بر اساس یک موتور امتیازدهی کمی)
صدور سیگنال (ورود و خروج شفاف)
مدیریت ریسک پویا (محاسبه خودکار حد ضرر)
مدیریت حجم پوزیشن (محاسبه خودکار حجم بر اساس ریسک)
هدف «طلاجوی» تبدیل معاملهگری شهودی به یک فرآیند مکانیکی، مبتنی بر داده و مدیریت ریسک است.
⚙️ قابلیتهای کلیدی (آنچه دریافت میکنید)
این استراتژی مجهز به مجموعهای از ابزارهای حرفهای است که مستقیماً روی چارت شما اجرا میشوند:
🎯 ۱. سیگنالهای ورود و خروج شفاف
فلشهای واضح خرید (▲) و فروش (▼) که نقاط دقیق ورود بر اساس منطق استراتژی را مشخص میکنند. این سیستم تنها زمانی سیگنال صادر میکند که فیلترهای روند، همسویی لازم را تایید کنند.
🛡️ ۲. مدیریت ریسک پویای ATR
بزرگترین چالش معاملهگران، تعیین حد ضرر (SL) مناسب است. این استراتژی حد ضرر را به صورت خودکار و پویا بر اساس نوسانات واقعی بازار (با استفاده از ATR) محاسبه میکند.
نتیجه: در بازارهای پرنوسان، استاپ شما برای جلوگیری از استاپهانت شدن، فاصله ایمنتری میگیرد و در بازارهای آرام، بهینهتر و نزدیکتر تنظیم میشود.
💰 ۳. محاسبه خودکار حجم پوزیشن
دیگر نیازی به «ماشین حساب پوزیشن» ندارید. استراتژی به صورت اتوماتیک، حجم دقیق هر معامله را بر اساس درصد ریسک ثابتی که شما از کل سرمایهتان تعیین میکنید، محاسبه مینماید. این ویژگی، مدیریت سرمایه حرفهای را در تمام معاملات شما تضمین میکند.
🎨 ۴. نواحی بصری سود و زیان (TP/SL)
هنگامی که یک معامله باز است، این ابزار به صورت زنده، نواحی حد سود (سبز) و حد ضرر (قرمز) را مشابه ابزار پوزیشن خود تریدینگ ویو، مستقیماً روی چارت برای شما رسم میکند.
📈 ۵. پنل آمار عملکرد پیشرفته
یک جدول آماری جامع که تمام معیارهای کلیدی عملکرد شما را به صورت زنده نمایش میدهد:
سود و زیان خالص (دلاری و درصدی)
ضریب سود (Profit Factor)
نرخ موفقیت (Win Rate)
تعداد معاملات سودده / زیانده
حداکثر افت سرمایه (Max Drawdown)
و موارد دیگر...
🚦 ۶. آیکونهای بازخورد معامله
با آیکونهای هوشمند، فوراً کیفیت معاملات بسته شده خود را ارزیابی کنید:
😎🚀 (سود ویژه و قابل توجه)
💰 (سود عادی)
🙈 (زیان)
📈 چگونه از این ابزار استفاده کنید؟
«طلاجوی» یک 'ماشین چاپ پول' جادویی نیست، بلکه یک ابزار تست و اجرای حرفهای است.
۱. بکتست و بهینهسازی (Backtesting)
مهمترین قدرت این اسکریپت، قابلیت Strategy بودن آن است. شما میتوانید این استراتژی را روی هر جفتارز و تایم فریمی که معامله میکنید (طلا، کریپتو، جفتارزها و...) بکتست بگیرید تا آمار عملکرد آن را مشاهده کنید.
۲. تنظیم پارامترها
از طریق منوی تنظیمات، پارامترهای کلیدی مانند درصد ریسک، نسبت ریسک به ریوارد (R:R)، و فیلترهای زمانی را مطابق با سبک معاملاتی و دارایی مورد نظر خود بهینهسازی کنید.
۳. اجرای سیستماتیک
پس از یافتن تنظیمات بهینه در بکتست، در معاملات زنده به سیگنالها پایبند بمانید و اجازه دهید منطق مکانیکی، معاملات شما را مدیریت کند.
⚠️ سلب مسئولیت مهم (مطابق با قوانین TradingView)
این اسکریپت صرفاً یک ابزار تحلیلی و معاملاتی است و نباید به عنوان سیگنال مالی یا توصیهای برای خرید و فروش تلقی شود. تمام معاملات دارای ریسک هستند و نتایج گذشته تضمینکننده عملکرد آینده نمیباشد.
لطفاً قبل از استفاده از این استراتژی در حساب واقعی، آن را به طور کامل در حالت دمو یا بکتست ارزیابی کنید. مسئولیت تمامی سودها و زیانها بر عهده خود معاملهگر است.
💎 TalaJooy V1.31 𓅂 Trading Strategy
TalaJooy (meaning "Gold Seeker") is a complete, professional trading framework for TradingView, designed to remove guesswork, emotion, and impulsive decisions from your trading process.
This is not a simple signal indicator; it is a complete Strategy script that automates four key tasks:
Market Analysis (Based on a quantitative scoring engine)
Signal Generation (Clear entries and exits)
Dynamic Risk Management (Automated Stop Loss calculation)
Position Sizing (Automated trade sizing based on risk)
The goal of "TalaJooy" is to transform intuitive trading into a mechanical, data-driven, and risk-managed process.
⚙️ Key Features (What You Get)
This strategy comes equipped with a suite of professional tools that run directly on your chart:
🎯 1. Clear Entry & Exit Signals
Receive unambiguous Buy (▲) and Sell (▼) arrows identifying precise entry points based on the strategy's logic. The system only generates signals when its trend-confirmation filters are aligned.
🛡️ 2. Dynamic ATR Risk Management
A trader's biggest challenge is setting a proper Stop Loss (SL). This strategy calculates your SL automatically and dynamically based on real-time market volatility (using ATR).
The Benefit: In volatile markets, your stop is placed at a safer distance to avoid being "stopped out" by noise. In calm markets, it's set tighter and more efficiently.
💰 3. Automated Position Sizing
Stop using external "position size calculators." The strategy automatically calculates the exact trade size for every position based on a fixed risk percentage of your total equity (which you define). This enforces professional money management on every trade.
🎨 4. Visual Profit & Loss (TP/SL) Zones
While a trade is active, this tool plots live, visual zones for your Take Profit (green) and Stop Loss (red) targets, similar to TradingView's native "Long/Short Position" tool.
📈 5. Advanced Performance Stats Panel
A comprehensive statistics table displays all your key performance metrics in real-time:
Net Profit (% and $)
Profit Factor
Win Rate
Win / Loss Trade Count
Max Drawdown
And more...
🚦 6. Smart Trade Feedback Icons
Instantly review the quality of your closed trades with intelligent emoji feedback:
😎🚀 (Exceptional Profit)
💰 (Standard Profit)
🙈 (Loss)
📈 How to Use This Tool
"TalaJooy" is not a "magic money machine"; it is a professional-grade tool for testing and execution.
1. Backtesting & Optimization
The most powerful feature of this script is its Strategy component. You can backtest it on any asset or timeframe you trade (Gold, Crypto, Forex, etc.) to see its historical performance data.
2. Parameter Tuning
Use the settings menu to optimize key parameters—such as Risk Percentage, Risk:Reward Ratio, and core filter settings—to match your personal trading style and preferred assets.
3. Systematic Execution
After identifying optimal settings via backtesting, adhere to the signals in your live trading and let the mechanical logic manage your trades.
⚠️ Important Disclaimer (TradingView Compliant)
This script is provided for educational and analytical purposes only. It is not financial advice or a recommendation to buy or sell any asset. All trading involves substantial risk. Past performance is not indicative of future results.
Please thoroughly evaluate this strategy via backtesting or paper trading before deploying it with real funds. The user assumes full responsibility for all profits and losses incurred.
Kingdom SMCThis indicator combines Smart Money concept, chanlun, and multiple divergence technical analysis to construct a visual market analysis system.
byquan GP - SRSI Channel🔍 What Is It?
The GP – SRSI Channel is a momentum-based oscillator that measures the relative strength of price movements across multiple timeframes using the Stochastic RSI (SRSI) method.
Instead of using a single RSI line, this indicator analyzes four price inputs and four timeframes to create a dynamic channel that reflects the true market momentum — helping traders identify overbought and oversold zones with higher accuracy.
⚙️ How It Works
The indicator combines multiple layers of analysis to produce a smooth and reliable momentum channel.
1. Multi-Source RSI Calculation
It computes RSI and Stochastic RSI values for four different price sources:
Open
High
Low
Close
Each source generates its own SRSI value:
dsopen, dshigh, dslow, and dsclose
From these, it extracts:
starraymin: the lowest (most oversold) SRSI value
starraymax: the highest (most overbought) SRSI value
This forms a momentum range based on all price inputs.
2. Multi-Timeframe (MTF) Integration
To strengthen signal reliability, it repeats this SRSI analysis across four higher timeframes (configurable by user):
Parameter Default Value Meaning
Time 1 180 minutes 3-hour chart
Time 2 360 minutes 6-hour chart
Time 3 720 minutes 12-hour chart
Time 4 1D Daily chart
Each timeframe produces its own set of minimum, maximum, and close SRSI values.
These are then combined and normalized to a 0–100 scale.
3. Normalization and Channel Plot
The combined results create three main lines:
Min Line (Green–Red gradient) → represents oversold strength
Max Line (Green–Red gradient) → represents overbought strength
Close Line (White) → represents average SRSI value
The area between the Min and Max lines is filled with a color gradient to form the SRSI Channel, visually showing momentum strength and range.
4. Signal & Alerts
Two alert levels are defined:
Alert Min Level → Default = 5 (oversold)
Alert Max Level → Default = 95 (overbought)
When:
oranmin ≤ Alert Min Level → Market is in an oversold state (potential reversal up).
oranmax ≥ Alert Max Level → Market is in an overbought state (potential reversal down).
When either of these thresholds is crossed, the indicator triggers:
A white square marker on the chart.
A custom alert with the message:
“SRSI Channel reached alert threshold (oranmax ≥ MaxLevel or oranmin ≤ MinLevel)”
🧭 How to Use It
🪄 Step 1 — Add to Chart
Copy the code into a new Pine Script in TradingView.
Click Add to chart.
You’ll see three lines and a colored channel between them.
⚙️ Step 2 — Adjust Inputs
Core SRSI Settings
Setting Description
K, D Smoothing factors for Stochastic RSI.
RSI Length Number of bars for RSI calculation.
S Length Period used for %K in Stochastic RSI.
Alert Min/Max Level Defines oversold/overbought zones.
Multi-Timeframe Settings
Change Time 1 to Time 4 to suit your trading style:
Shorter timeframes → faster but more noise.
Longer timeframes → smoother, more reliable momentum.
📈 Step 3 — Interpret the Chart
Indicator Element Meaning
🟩 Lower Boundary (Min) Lowest SRSI reading → momentum weakness / possible rebound area
🟥 Upper Boundary (Max) Highest SRSI reading → strong momentum / possible exhaustion
⚪ Middle Line (Close) Average of all SRSI readings → overall momentum strength
🌈 Channel Fill Visualizes balance between overbought and oversold levels
When the channel widens → market volatility and strength increase.
When it narrows → consolidation or low-momentum phase.
🔔 Step 4 — Alerts
You can create alerts using:
Condition: SRSI Extreme
Message: SRSI Channel reached alert threshold
Use this to receive notifications when the market hits extreme momentum levels (great for reversal traders).
💡 Trading Tips
✅ Combine with Supertrend, MACD, or Moving Averages for confirmation.
✅ Look for SRSI extremes aligning with price support/resistance for stronger reversal entries.
✅ Use different timeframe combinations (e.g., 1H–4H–12H–1D) depending on your trading style.
✅ Treat it as a momentum filter — not a direct buy/sell signal tool.
⚖️ Summary
The GP – SRSI Channel is a sophisticated multi-timeframe momentum indicator that helps traders visualize market strength and identify overbought or oversold conditions with exceptional clarity.
Features:
4 price sources × 4 timeframes = deep momentum insight
Dynamic, color-coded SRSI channel
Built-in alert system for extreme conditions
Clean and intuitive visual design
Best suited for:
Swing and position traders
Traders who use RSI/Stoch indicators
Those seeking to confirm entries with multi-timeframe momentum data
🎯 Understand the market’s true momentum — before it moves.
Swing Breakout Strategy ver 1Overview
A multi-confirmation swing strategy that seeks trend breakouts and adds three optional confluence modules: candlestick patterns, RSI/MACD regular divergences, and simple chart patterns (double top/bottom). Built for clarity, fast testing, and togglable debug markers.
Core Logic
Trend filter: SMA(50) vs SMA(200) + price vs SMA(21).
Breakout engine: Close breaks prior N-bar high/low (lookback configurable).
Momentum: Stochastic cross (optional view), MACD cross/zone, RSI regime (>50 or <50).
Volume: Above SMA(volume) filter.
Optional Confluence Modules
Candlestick analysis (enable/disable):
Bull/Bear Engulfing, Hammer, Shooting Star, Inside Bar (bull/bear flavors).
Divergence (enable/disable):
Regular divergences on RSI and MACD histogram using confirmed pivots (HH/LH or LL/HL).
Chart patterns (enable/disable):
Double Bottom (two similar lows + neckline break).
Double Top (two similar highs + neckline break).
Tolerance and pivot width are configurable.
Entries & Exits
Entry Long: Any of (Base Breakout + Trend + Momentum + Volume) OR enabled confluences (candles / divergence / pattern).
Entry Short: Symmetric logic for downside.
Risk management: Optional ATR-based stop loss and take profit (configurable length & multipliers).
Note: If you prefer confluences to be filters (AND), change the final buySignal/sellSignal lines accordingly.
Inputs (key)
SMA lengths (21/50/200), RSI length, Stochastic lengths & smoothing, MACD (12/26/9).
Breakout lookback, Volume SMA.
ATR exits (on/off, ATR length, SL/TP multipliers).
Toggles for Candlesticks, Divergences, Patterns, plus per-module debug markers.
Plots & Markers
Plots SMA 21/50/200.
Buy/Sell arrows on chart.
Optional debug markers for each condition (global-scope safe).
Divergence/pattern markers offset to the actual pivot/neckline bars.
Good Practices
Test on multiple timeframes and instruments; tune lookbacks and ATR multipliers.
Consider using the modules as filters in trending markets to reduce whipsaws.
Always forward-test and combine with position sizing.
Disclaimer
For educational purposes only. This is not financial advice. Trading involves risk.
Version & Credits
Pine Script® v6 — Strategy.
Developed by: Mohammed Bedaiwi.
Easy-Read MACD (Signals & Zones)This Pine Script transforms the traditional MACD into a much clearer, more visual momentum tool. It calculates the standard MACD (12, 26, 9) and then enhances readability using color cues and signal markers. The histogram bars dynamically change brightness to show whether momentum is strengthening or weakening — bright green/red means increasing strength, while faded colors mean losing momentum.
Background colors further simplify interpretation: green when MACD is above zero and above the signal (bullish), red when below zero and below the signal (bearish), and pale yellow in neutral or transition periods. Arrows clearly mark signal-line and zero-line crossovers, giving instant visual confirmation of bullish or bearish momentum shifts. The indicator also includes optional alerts for these events, so you can get notified when momentum flips even without watching the chart.
⚡ Quick-Read Sheet
Green background:
→ MACD > 0 and above signal — bullish momentum zone. Market trending up.
Red background:
→ MACD < 0 and below signal — bearish momentum zone. Market trending down.
Yellow background:
→ Transition or sideways momentum. Trend is uncertain — avoid strong directional trades.
Bright green histogram bars:
→ Positive momentum increasing — bulls gaining strength.
Faded green histogram bars:
→ Positive momentum weakening — rally may be losing steam.
Bright red histogram bars:
→ Negative momentum increasing — bears gaining control.
Faded red histogram bars:
→ Negative momentum weakening — possible bottoming or reversal setup.
Up arrow “MACD↑Sig”:
→ MACD crosses above signal line — bullish shift, potential buy or long continuation signal.
Down arrow “MACD↓Sig”:
→ MACD crosses below signal line — bearish shift, possible sell or short signal.
Up arrow “MACD>0”:
→ MACD crosses above zero line — confirms bullish trend bias.
Down arrow “MACD<0”:
→ MACD crosses below zero line — confirms bearish trend bias.
Easy-Read RSI (Signals & Zones)This custom Pine Script reimagines the traditional RSI to make signals easier to see and act on. It smooths the RSI line using an EMA, adds a signal line (a moving average of the RSI), and colors the background for quick visual reference. Green shading marks oversold conditions, red shading marks overbought conditions, and a faint yellow band highlights the neutral zone (45–55). Together, these visual cues help you instantly recognize momentum shifts and potential reversals without staring at raw numbers.
The script also plots bullish and bearish signal arrows: upward arrows appear when RSI crosses above its signal line or exits the oversold zone, while downward arrows mark when RSI crosses below its signal or falls from the overbought zone. It includes built-in TradingView alerts for each event, so you can receive notifications of key turning points automatically.
Quick-Read Guide for Easy-Read RSI
Green background: RSI is in the oversold zone (typically below 30). The market may be near a short-term bottom. Watch for an up arrow (OS↑) — this suggests a possible bullish reversal or entry point.
Red background: RSI is in the overbought zone (typically above 70). The market may be overextended to the upside. Watch for a down arrow (OB↓) — this can signal a bearish reversal or exit opportunity.
Yellow background: RSI is in the neutral zone (roughly between 45 and 55). This usually means the market is consolidating or lacks a clear direction. Signals in this area are weaker and often less reliable.
Up arrow (RSI↑MA): RSI crosses above its signal line — a sign of strengthening bullish momentum or trend continuation. Can be used as a buy or add signal when confirmed by price action.
Down arrow (RSI↓MA): RSI crosses below its signal line — a sign of weakening momentum or potential reversal to the downside. Can be used as a sell or reduce-exposure signal.
OS↑ arrow: RSI moves up out of the oversold zone. This indicates early recovery momentum and potential reversal from a dip.
OB↓ arrow: RSI moves down out of the overbought zone. This signals momentum cooling and possible reversal from a high.
JackFinance: Multiple EMA IndicatorMultiple EMA Indicator - Usage Instructions
Overview
Technical indicator displaying four exponential moving averages (EMA21, EMA52, EMA120, EMA200) for trend analysis across different timeframes.
Default Settings
EMA 21: Blue (short-term)
EMA 52: Green (medium-term)
EMA 120: Yellow (long-term)
EMA 200: Red (very long-term)
Key Features
Real-time EMA values displayed in table
Background color indicates trend vs EMA200
Customizable periods via input settings
Trading Applications
Identify trend direction using EMA alignment
Use EMA crossovers for entry/exit signals
Monitor price position relative to EMAs for support/resistance
Parameters
All EMA periods can be adjusted in indicator settings to match your trading strategy.
Notes
This is a technical analysis tool only. Combine with other indicators and risk management practices.
Volume Pressure Oscillator (VPO)🔹 Core Logic
VPO Calculation:
The indicator measures price momentum weighted by volume, smoothed by EMA, and normalized within a dynamic range to highlight relative pressure extremes.
Signal Line:
A secondary EMA of VPO acts as a signal baseline for crossovers and trend confirmation.
Entry Triggers:
Zero-line Crossovers: Momentum shifts from bearish to bullish (or vice versa).
Signal Crossovers: Confirmation of sustained directional momentum.
Filters:
Volume Filter: Only trades when volume is above the moving average.
VWAP Slope Filter: Ensures trades align with intraday institutional flow.
Higher Timeframe VWAP: Confirms multi-timeframe directional bias.
RSI Filter: Avoids overextended entries.
Optional Divergence Confirmation: Adds precision in reversal environments.
XonTrades Exit Flow | by Bu-RashidThis indicator detects potential institutional exit points and reversal zones using a powerful confluence model combining:
Volume spike analysis (institutional activity)
CVD trend flips (smart money flow reversal)
Price–CVD divergence (hidden accumulation/distribution)
Liquidity sweep detection (stop-run exhaustion)
When these elements align, the indicator highlights possible Exit Flow zones, signaling where smart capital may be closing or reversing positions.
It’s optimized for XAU/USD (Gold) and NAS100 (Nasdaq) on 5-minute and 15-minute charts, with customizable strictness for traders who prefer early or confirmed signals.
Recommended use:
Apply as a confirmation layer alongside your main strategy to identify exhaustion points and institutional exits before trend reversals.
— Developed and engineered by Bu-Rashid (XonTrades1UAE)
Multi-Resolution RSI with Machine LearningMulti-Resolution RSI
Developed by imaclone.x.
Last Updated: August 21st 2025
A single indicator that fuses my ML-RSI.ai pipeline with a classic multi-timeframe RSI. One script, dual-resolution oscillators if desired, plus a machine-learning similarity engine and modular signal-processing layers.
What it does
* Primary RSI augmented with KNN similarity engine (K, lookback, weighting). Feature embeddings include RSI magnitude, RSI momentum, volatility surface, regression slope, and price momentum vectors.
* Adaptive smoothing stack: Kalman filter recursion, Double EMA cascades, or ALMA convolution.
* Multi-resolution control for the primary oscillator timeframe.
* Optional *second* RSI projected from any timeframe for hierarchical confluence.
* Advanced visuals: upper/lower thresholds, midline, background regime highlighting, crossovers, and B/S event labels.
* Color architectures: None, Trend-Following (50-line bifurcation), or Impulse (band-breach). Optional bar tinting for full-chart context.
Inputs (groups)
* Timeframe Settings: primary + secondary RSI TF/lengths.
* Levels & Visuals: thresholds, highlights, cross events, B/S markers.
* RSI Base: smoothing toggle, MA class, ALMA sigma.
* KNN Machine Learning: enable, K neighbors, historical window, feature dimensionality, ML weighting.
* Advanced Filtering: method + intensity.
* Coloring: None, Trend-Following, Impulse.
Signals
* B flag when ML-RSI crosses upward through the lower threshold.
* S flag when ML-RSI crosses downward through the upper threshold.
* Secondary RSI = higher-timeframe confirmation, not standalone trigger.
Usage notes
* Raise ML weight + feature dimensionality for deeper similarity recognition; lower them for classic oscillator behavior.
* Kalman recursion delivers adaptive, low-lag smoothing; Double EMA and ALMA yield stronger dampening.
* Typical config: intraday primary RSI + higher-TF secondary RSI for regime anchoring.
Changelog
* v6 merge: Unified CM-style MTF RSI framework with my KNN-enhanced kernel and filter stack. One composite indicator replaces multiple scripts.
Credits
* MTF band logic inspired by earlier open-source frameworks.
* ML kernel and implementation by imaclone.x.
Disclaimer
For research and algorithmic experimentation only. No signals guaranteed.
And please kindly, for the love of God, DYOFR.
Prime Market Profile [xontrades1uae]indicator designed for high-precision intraday and scalping analysis.
It dynamically maps market structure, value areas (VAH/VAL), and point of control (POC), providing a clear visual view of where liquidity, balance, and breakout levels form throughout the session.
Features:
Real-time TPO construction for active sessions.
Automatic or custom tick calibration for gold, indices, or forex.
Highlighted POC, Value Area, and Initial Balance Range.
Smart visual clustering to detect congestion, breakout zones, and key volume nodes.
Compatible with short timeframes (1m–15m) for scalpers and day traders.
Signature:
Developed & customized by Bu-Rashid | xontrades1uae
“Precision. Liquidity. Control.” 💹
Quantum Edge Signals — trend-aware buy/sell signalsQuantum Edge Signals (Fixed) is a practical, performance-minded indicator for swing and trend traders. It blends StochRSI and volatility to generate buy/sell signals, then filters and classifies those signals with an optional EMA trend filter and an RSI confirmation. The indicator also draws premium/discount price zones, reports buy/sell power inside those zones, plots pivot support/resistance, and places three ATR-based targets plus a stop — all while minimizing chart redraws so objects stay anchored and won’t shift when you pan or drag the chart.
Key features
• Signal engine: StochRSI oversold/overbought conditions combined with a volatility filter (price change vs. moving average of changes).
• Strong signal classification: optional EMA fast/slow trend filter to mark stronger buys/sells.
• Non-repainting confirmation: signals are confirmed using the previous bar (the entry price is the close of the confirmed bar).
• TP/SL management: three TP levels and one SL derived from ATR. Targets are created at the signal and are recalculated only when the trend flips (adaptive without constant movement).
• Premium / Discount zones: boxes drawn around a configurable MA band; zones are created once on entry and anchored to their start bar.
• Buy / Sell power: a zone-level buy/sell ratio (smoothed up/down volume) shown as a compact label at zone entry.
• Support & resistance: pivot S/R lines and small boxed zones for visual context.
• Whale screener: optional background highlight for large-volume bars.
• Performance-first: objects are created only when needed and anchored to fixed bar indices to prevent object churn and chart hanging.
How signals and targets behave
• A signal is considered “confirmed” on the previous bar to avoid repainting. The confirmed signal’s close is used as entryPrice.
• TP/SL lines are anchored to the signal bar. By default they are created at signal time and only recalc when the EMA-based trend flips direction — this keeps targets adaptive to meaningful trend changes while avoiding per-bar jitter.
• Zones and power labels are created once when price enters the premium or discount region and stay anchored to the zone start bar (so they don’t drift when you pan/drag the chart).
Main inputs (what you’ll usually tweak)
• Signal Length, Signal Factor — control StochRSI smoothing and the volatility multiplier.
• Use 2SD Filter — require price to be outside ±2 standard deviations of MA to trigger a signal.
• Show Signals (Classic / Strong / All) — which labels to display.
• Zone Length, Zone Offset — how wide and how many bars the premium/discount zones span.
• Buy/Sell Power thresholds — set numeric cutoffs for “Weak” / “Strong” labels.
• TP/SL Factors & ATR period — the multipliers used to calculate TP1/2/3 and SL from ATR.
• Fast/Slow EMA periods — used for the strong signal / trend filter.
• S/R Strength & Zone Width — pivot lookback and how wide S/R boxes are.
Recommended usage
• Timeframes: try 1H, 4H and Daily for swing/trend setups.
• Filters: enable the Strong (EMA) filter to limit trades to the direction of the trend.
• Zones: keep zone length moderate (10–30 bars) for readability.
• Testing: run forward paper trading and walk-forward tests before using real capital.
Why this version
This release focuses on reliability and chart performance. Objects (labels, lines and boxes) are anchored to the bar that created them, and the indicator avoids repeatedly creating and deleting the same objects on every historical bar — this prevents TradingView from hanging when dragging or panning.
Limitations & notes
• TP recalculation is based on ATR at the flip bar; the script keeps the original entry price fixed to avoid repainting entries.
• If you run many other drawing-heavy indicators at the same time, TradingView may still slow down — use a single instance while testing.
• The indicator is visual/confirmational — it is not a fully automated order-execution strategy.
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