Entry Percent: EssamThis Pine Script code is designed to perform the task of computing and showcasing the profit percentage, profit value, and the duration for which a specific asset is held, all in real-time. The script effectively leverages the built-in resources to provide a seamless and robust experience, as it presents the calculated figures in an easily readable format on the chart, without causing any lag or disruptions to the chart.
In den Scripts nach "entry" suchen
Positional Swings by Batman TradesEntry and Exit Signals for higher timeframes based on Ema & Sma with RSI overbought/oversold plots for possible reversal indication.
It can be used for booking profit in the existing trade and take fresh position once the new candle breaks the high/low of alert candle depending upon the side.
Best work with high timeframes. (>1 Hour)
Best recommended for stocks
Entry Size 1barCalculates how many lots (100) you should buy/sell for any given bar with a fixed risk in USD and shows if Long (L), Short (S) or wait (w) with a label.
Requires max loss per week, trading days per day and lossing trading per day.
Entry Band(trial)This indicator is trial version. You can use for a month for free.
The indicator includes moving average and exponential moving average .
you can set the parameters you want.
you can see the trend.
green : up trend
orange : down trend
if you want to use this indicator, Please join the URL:
Entry BandThe indicator includes moving average and exponential moving average.
you can set the parameters you want.
you can see the trend.
green : up trend
orange : down trend
if you want to use this indicator, Please join the URL:
Entry FactorFind the most relevant price direction changes with ease, with this geometry-based indicator.
Stop wasting your time with moves that don't offer a satisfactory range for good profits.
Entry Bars -This algorithm takes in consideration Media averages, Volatility Movements and other Mathematical Properties.
-After adding this signal on TradingView, you will get notified every of potential long and short points triggered by the indicator.
-This signal alerts you anytime bars form a bullish or bearish pattern and price start to move in the suggested direction.
-It works in any time frame or market like Forex, Crypto, Commodities even Stocks.
-Recommended for bots or manual trading.
Do you need an Script or an expert adviser for Forex, contact our coding service
Get this indicator today! contact us
RocketScalperEntry follows the first normal candle after the highlights - use in conjunction with basic patterns, SFPs, and the until1mil indicators (SSO/MACD/MI/BZ)
[MV] %B with SMA + Volume Based Colored Bars
Entry Signal when %B Crosses with SMA and this is more meaningful if it supports colored bars.
Black Bar when prices go down and volume is bigger than 150% of its average, that indicates us price action is supported by a strong bearish volume
Blue Bar when prices go up and volume bigger than 150% of its average, that indicates us price action is supported by a strong bullish volume
VBC author @KIVANCfr3762
FX Sniper: T3-CCI Strategy - With 100 IndicatorsEntry signal when moving above -100, sell signal when going below 100
Amazing Crossover SystemEntry Rules
BUY when the 5 EMA crosses above the 10 EMA from underneath and the RSI crosses above the 50.0 mark from the bottom.
SELL when the 5 EMA crosses below the 10 EMA from the top and the RSI crosses below the 50.0 mark from the top.
Make sure that the RSI did cross 50.0 from the top or bottom and not just ranging tightly around the level.
How to setup Alert:
1) Add the Amazing Crossover System to your chart via Indicators
2) Find your currency pair
3) Set the timeframe on the chart to 1 hour
4) Press 'Alt + A' (create alert shortcut)
5) Set the following criteria for the alert:
Condition = 'Amazing Crossover System', Plot, ' BUY Signal'
The rest of the alert can be customized to your preferences
5) Repeat steps 1 - 4, but set the Condition = 'Amazing Crossover System', Plot, ' SELL Signal'
Lot Size Calculator by MR1561Overview
Size your position on GOLD (XAU) directly from your risk in USD and the two lines you place on the chart (Entry & Stop). The script measures that price distance, calculates the lot size, draws clear Risk/Reward boxes, and shows a clean 2-column table with: Risk, Entry, Stop, Target (from R/R), Lots, and Pips.
How to use
Step 1: Add the indicator to an XAU chart (e.g., XAUUSD).
Step 2: In Inputs, set your Risk $.
Step 3: Place/adjust the Entry and Stop lines on the chart.
Step 4: Read "Lots" in the table and trade with consistent sizing.
Features
- GOLD-only display (detects XAU symbols)
- Lot sizing from Risk $ and price distance (Entry vs Stop)
- Auto Target from R/R, plus Risk/Reward boxes
- Compact on-chart table (toggle rows: Risk, Entry, Stop, Target, Lots, Pips)
- Fully customizable colors, opacity, table position, frame/border width
- Lightweight and fast; designed for clean overlays
Inputs
- Risk $: your dollar risk per trade
- Entry Price, Stop Loss: adjustable lines on chart
- R/R: target is auto-calculated from risk distance and ratio
- Appearance - Boxes: colors & opacity for Risk/Reward areas
- Appearance - Table: position (top/bottom, left/right), alternating row colors, frame/border width
- Table - Rows: show/hide each row
- Appearance - Layout: horizontal span (bars) for lines/boxes
حجم معامله روی طلا (XAU) را مستقیماً از «ریسک دلاری» و دو خطی که روی چارت میگذارید (Entry و Stop) محاسبه میکند. فاصلهٔ قیمتی را اندازه میگیرد، حجم (لات) را حساب میکند، باکسهای Risk/Reward را رسم میکند و یک جدول دو ستونه از مقادیر مهم نشان میدهد: Risk، Entry، Stop، Target (از R/R)، Lots و Pips.
روش استفاده
اندیکاتور را روی چارت XAU (مثل XAUUSD) اضافه کنید.
در تنظیمات مقدار Risk $ را تعیین کنید.
خطوط Entry و Stop را روی چارت جابهجا/تنظیم کنید.
مقدار Lots را در جدول بخوانید و با سایز یکپارچه معامله کنید.
ویژگیها
نمایش فقط روی نمادهای XAU
محاسبهٔ حجم از روی Risk $ و فاصلهٔ قیمتی (Entry تا Stop)
محاسبهٔ خودکار Target بر اساس R/R و رسم باکسهای ریسک/ریوارد
جدول جمعوجور با امکان روشن/خاموش کردن سطرها (Risk, Entry, Stop, Target, Lots, Pips)
شخصیسازی کامل رنگها، شفافیت، موقعیت جدول و ضخامت قاب/بوردر
سبک و سریع؛ مناسب برای نمایش تمیز روی چارت
ورودیها
Risk $ (ریسک دلاری هر معامله)
Entry Price و Stop Loss (قابل تنظیم روی چارت)
R/R (تارگت بر اساس نسبت ریسک به ریوارد محاسبه میشود)
ظاهر – باکسها، ظاهر – جدول، جدول – ردیفها، ظاهر – چیدمان
Changelog
v1.0 - Initial public release (core lot sizing, risk/reward boxes, compact table, styling options)
Credits
Created by MohammadReza.
Printing Money by MMFPrinting Money by Mathurin M
Smart money concepts Multi-Timeframe Gold Trading Playbook"
*Identifies institutional liquidity zones, detects Break of Structure (BOS), Change of Character (CHoCH), and provides precise entry/exit signals. Optimized for Gold trading across 1H, 15M, and 5M timeframes with built-in risk management.
Multi-Timeframe Optimization
1H Chart: 20-bar lookback for bias and major swing points
15M Chart: 10-bar lookback for structure refinement
5M Chart: 5-bar lookback for precise entries
Automatically adjusts based on your selection
Smart Money Concepts
Liquidity Zones: Identifies areas where institutional orders accumulate
Break of Structure (BOS): Detects when price breaks key pivot levels
Change of Character (CHoCH): Flags major trend reversals
Retest Entries: Signals optimal entry points after breaks
Trade Management System
Entry Signals: "ENTRY (long/short)" labels at retest zones
Scale/TP Points: "SCALE/TP1" prompts for position management
Risk Calculator: Shows dollar risk per micro contract based on stop loss
Visual
Colored Zones: Red (resistance) and teal (support) liquidity areas
Bias Indicator: Green/red background with bias label (Bullish/Bearish)
Dynamic Lines: Dashed pivot levels that extend in real-time
Zone Expiration: Automatic cleanup of old zones to reduce clutter
LONG SETUP → 8/13/48 EMA + BoSMarks a perfect ENTRY (green "LONG") the exact candle where: 8 EMA crosses above BOTH 13 & 200 EMA
Price is above 200 EMA
Price breaks the most recent swing high (Break of Structure)
Keeps you IN the trade as long as price stays above the 8,13, 48 EMA
Plots EXIT signals:
Red "STOP" label under the last swing low
Orange "EXIT" when price closes below 13 EMA
Purple "EXIT" when price closes below 48 EMA
Use daily timeframe
Up&Down by CoinMetrikaA sensitive indicator for detecting current market trends. The indicator acquires the highest value near the upper and lower limits of its range. Therefore, the main use of the indicator is to identify potential entry and exit points, as well as price reversals.
Because of the sensitivity, it often makes noise. Therefore, it is recommended to use it in conjunction with the CustomRSI by CoinMetrika indicator, which is less sensitive and doubles as a confirmation indicator.
We are looking for a red triangle and a red dot on one bar in the overbought zone on these two indicators to enter a Short.
Conversely, we are looking for a green triangle and a green dot on one bar in the oversold zone on these two indicators to enter the Long.
FibLevel Size CalculatorThis skript calculates position sizes and new take profits for sizing into an long or short position with 3 entrys defined at custom fibonacci retracement levels.
TP: -0,272
Entry1: 0.382
Entry2: 0.618
Entry3: 0.83
SL: 1.05
Expected RR per trade is 0.2 with a High Win rate definitly profitable.
Search for an established trend on the higher timeframe, drop to the smaller ones and look for correction waves. Once they break to the trenddirection of the higher timeframe take the fib from lowest to highes point. Draw a fib level on the chart and use the Indicator to define these Levels above. The calculator gives you the Margin to use in each position, and will check that you will not get liquidated an that you have enough margin. It tells you the new TP for Limit2 and Limit3 if they get hit so you can get out of the trade full TP with a small bounce.
Inputs:
Account Balance, Risk Percentage, and Leverage: These inputs are used to calculate the position size and risk.
Entry 1, Entry 2, Entry 3, Take Profit (TP), and Stop Loss (SL): These prices are used for calculating position sizes, risk, and profit for up to three entry points.
Calculations:
Risk Amount: Calculated based on the account balance and risk percentage.
Position Sizes (Qty): For each entry point, the position size is determined. The second and third entries have a multiplier (3x for Entry 2, 5x for Entry 3) compared to the first.
Stop Loss and Profit Calculation: The script calculates the potential profit and adjusts the TP levels based on the average entries for Limit 2 and Limit 3.
Margin Calculation: Margin requirements for each position are calculated based on leverage.
Output:
Table Display: A table shows key values like entry prices, position sizes, TP levels, potential profit, and margin requirements for each limit.
Warnings: It includes a liquidation warning and a check for whether the account is at risk of liquidation based on leverage.
Position Type: It automatically detects if the trade is a long or short based on the relationship between TP and SL.
Visualization:
Lines: It draws horizontal lines on the chart to visually represent the entry, TP, and SL levels.
Overall, this script is designed to help traders manage risk and calculate position sizes for multi-level entries using leverage.
Pls drop feedback in the comments.






















