Aggressive VS Passive Orders Depletion @MaxMaserati 3.0Aggressive VS Passive Orders Depletion Indicator
Overview
This institutional-grade order flow analysis tool identifies and tracks limit order accumulation zones where significant buy and sell orders are placed in the market. It combines Highest Volume Candle Profile analysis with Market Structure detection to reveal where institutional traders have positioned their orders, and monitors in real-time whether these orders are being absorbed (depleted) or defended.
Core Concept: Order Block Detection & Depletion
This tool tracks the actual limit orders at key price levels and shows you:
Where institutional orders are placed (Buy Order Blocks vs Sell Order Blocks)
How strong these order zones are (original volume strength as %)
Real-time order flow activity (aggressive buyers vs aggressive sellers)
Depletion status (are the orders being consumed or defended?)
How It Works: Dual-Engine System
Engine 1: Volume Profile Analysis - Point of Control (POC) Detection
Divides price range into 25 horizontal levels (configurable)
Analyzes the last 120 bars (configurable lookback)
Distributes volume across price levels based on where each bar traded
Identifies the Point of Control (POC) - the price level with highest traded volume
Determines market bias: Bullish if price above POC, Bearish if below
Purpose: Shows where the majority of volume has been traded, indicating institutional accumulation zones and fair value areas.
Engine 2: Market Structure Analysis (PHL - Pivot High/Low)
Uses fractal pivot detection (configurable strength)
Identifies swing highs and lows that create market structure
Tracks Break of Structure (BOS) - price breaks recent swing in trend direction
Tracks Market Structure Shift (MSS) - price breaks swing points against trend
Maintains a trailing price at the most recent significant swing point
Purpose: Identifies where smart money is likely defending key structural levels with limit orders.
Key Innovation #1: Dynamic Confluence Zone Detection
When the Volume Profile POC and Market Structure trail price align within a configurable sensitivity threshold (default 1.0%), the indicator creates an Order Block Zone.
The Algorithm:
Monitors both engines continuously
Creates zones ONLY when POC is within X% of the structural swing point
Both engines must agree on the significance of the price level
Optional volume confirmation filter
This dual-confirmation approach filters out weak levels and highlights only the highest-probability zones where institutional orders are likely clustered.
Zone Types:
🟢 Buy Order Blocks (Support) - Created when confluence occurs with price above the zone. Represents accumulated buy limit orders waiting to support price.
🔴 Sell Order Blocks (Resistance) - Created when confluence occurs with price below the zone. Represents accumulated sell limit orders waiting to resist price.
Key Innovation #2: Real-Time Aggressive VS Passive Order Flow Analysis
The indicator performs sophisticated order flow decomposition on each candle that interacts with a zone, separating market activity into distinct categories:
Order Flow Categories:
1. Aggressive Orders - Market orders that consume liquidity
Aggressive Buy Volume: Market buys hitting sell limits (taking offers)
Aggressive Sell Volume: Market sells hitting buy limits (hitting bids)
Marked with (AGG) label when detected
Indicates urgent traders willing to pay the spread
2. Passive Orders - Limit orders adding liquidity
Passive Buy Volume: New buy limits being placed (making bids)
Passive Sell Volume: New sell limits being placed (making offers)
Shows patient traders providing liquidity
3. New Order Flow - Fresh buying/selling pressure
New Buyers: Total new buying activity (aggressive + passive)
New Sellers: Total new selling activity (aggressive + passive)
Net pressure indicator for zone health
Key Innovation #3: Advanced Order Flow Decomposition Algorithm
The indicator uses a proprietary candle analysis formula to separate aggressive from passive orders based on two key metrics:
Key Metrics:
Body Strength = |Close - Open| / (High - Low)
Close Position = (Close - Low) / (High - Low)
Bullish Candle Analysis:
Strong Aggressive Buying (Close Position ≥ 0.8 AND Body Strength ≥ 0.7):
90% aggressive buying, 10% passive selling, 90% new buyers
Moderate Aggressive Buying (Close Position ≥ 0.6 AND Body Strength ≥ 0.5):
70% aggressive buying, 20% passive selling, 80% new buyers, 20% new sellers
Weak Bullish (Close Position ≥ 0.5):
0-30% aggressive buying, 20-30% passive selling, 60% new buyers, 40% new sellers
Very Weak Bullish (Close Position < 0.5):
0% aggressive buying, 40% passive selling, 40% new buyers, 60% new sellers
Bearish Candle Analysis:
Strong Aggressive Selling (Close Position ≤ 0.2 AND Body Strength ≥ 0.7):
90% aggressive selling, 10% passive buying, 90% new sellers
Moderate Aggressive Selling (Close Position ≤ 0.4 AND Body Strength ≥ 0.5):
70% aggressive selling, 20% passive buying, 80% new sellers, 20% new buyers
Weak Bearish (Close Position ≤ 0.5):
0-30% aggressive selling, 20-30% passive buying, 60% new sellers, 40% new buyers
Very Weak Bearish (Close Position > 0.5):
0% aggressive selling, 40% passive buying, 40% new sellers, 60% new buyers
What This Reveals:
High close position + strong body = Aggressive buying overwhelming sellers
Low close position + strong body = Aggressive selling overwhelming buyers
Mid-range close = Battle between buyers and sellers
Small body = Passive orders dominating (limit orders being placed, not filled)
Key Innovation #4: Dynamic Depletion System with Intelligent Thresholds
The indicator adapts depletion thresholds based on zone strength:
High Liquidity Zones (>300% volume strength):
Depletion at 40% consumption - Massive clusters considered broken early because partial depletion indicates institutional withdrawal
Medium Liquidity Zones (150-300% volume strength):
Depletion at 60% consumption - Standard institutional behavior, majority must be consumed
Normal Liquidity Zones (75-150% volume strength):
Depletion at 80% consumption - Retail and smaller institutional zones need near-complete absorption
Low Liquidity Zones (<75% volume strength):
Depletion at 100% consumption - Weak zones must be fully absorbed before marked depleted
Why This Matters:
Strong zones failing early = powerful reversal signal (institutions gave up)
Weak zones holding = hidden strength (more orders being added)
Adaptive logic prevents false signals from fixed thresholds
Depletion Formula:
For Buy Order Zones:
Zone Liquidity % = (Original Buy Volume / Average Volume) × 100
Consumed % = (Sell Volume Absorbed / Average Volume) × 100
If Consumed Volume > Dynamic Threshold → Zone DEPLETED
For Sell Order Zones:
Zone Liquidity % = (Original Sell Volume / Average Volume) × 100
Consumed % = (Buy Volume Absorbed / Average Volume) × 100
If Consumed Volume > Dynamic Threshold → Zone DEPLETED
Key Innovation #5: Absorption Detection & Battle Analysis
The indicator identifies when one side is overwhelming the other using a configurable Absorption Threshold (default 1.5x = 50% more volume).
Battle States for Buy Order Blocks:
New Buyers Dominating (New Buyers > New Sellers × 1.5):
Label: ↑ New Buyers: +X% - Buy orders successfully defended
Sellers Attacking (New Sellers > New Buyers × 1.5):
Label: ↓ Sellers Attack: +X% (AGG) - Sell orders overwhelming the zone
Active Battle (Both active, <1.5x ratio):
Label: Battle: B+X% vs S+Y% - Active two-way order flow
Quiet Zone (Minimal activity):
Label: ↔ Quiet: X% - Zone untested or ignored
Battle States for Sell Order Blocks:
New Sellers Dominating (New Sellers > New Buyers × 1.5):
Label: ↓ New Sellers: +X% - Sell orders successfully defended
Buyers Absorbing (New Buyers > New Sellers × 1.5):
Label: ↑ Buyers Absorb: +X% (AGG) - Buy orders overwhelming the zone
Active Battle (Both active, <1.5x ratio):
Label: Battle: S+X% vs B+Y% - Active two-way order flow
Quiet Zone (Minimal activity):
Label: ↔ Quiet: X% - Zone untested or ignored
The (AGG) Marker:
Appears when aggressive market orders are detected (high body strength + extreme close position). Indicates institutional-sized urgency—someone is willing to pay market price NOW. Often precedes breakouts or strong continuations.
Label System Explained
No Label = Untested Zone
When a zone is first created, you see ONLY the colored box with NO label. This means:
Price has NOT yet reached this order block
The limit orders are still pending/resting
The zone is a future area of interest
Labels only appear after first price contact
Label Format (After First Touch):
Line 1: ● XX% Order Type
Line 2: Flow Analysis
Example Labels:
Buy Order Blocks:
● 150% Buy Orders + ↑ New Buyers: +85%
● 150% Buy Orders + ↑ New Buyers: +120% (AGG)
● 150% Buy Orders + Battle: B+45% vs S+38%
● 150% Buy Orders + ↓ Sellers Attack: +95% (AGG)
● 150% Buy Orders + ↓ Sellers Attack: +95% (AGG)
● 150% Buy Orders
Sell Order Blocks:
● 200% Sell Orders + ↓ New Sellers: +110%
● 200% Sell Orders + ↓ New Sellers: +140% (AGG)
● 200% Sell Orders + Battle: S+62% vs B+41%
● 200% Sell Orders + ↑ Buyers Absorb: +88% (AGG)
● 200% Sell Orders + ↑ Buyers Absorb: +88% (AGG)
● 200% Sell Orders
Status Indicators:
- Price penetrated through the zone
- Orders fully consumed, zone exhausted
Gray color - Zone no longer active
Directional Arrows:
↑ - Upward pressure (buyers stronger)
↓ - Downward pressure (sellers stronger)
↔ - Balanced/quiet (low activity)
↗ / ↘ - Mixed battle with bias
Point of Control (POC) Sub-Level Analysis
Each order block contains advanced volume distribution tracking:
Multi-Level Analysis (default 5 levels): Zones subdivided into horizontal price levels
Volume Distribution: Every candle's volume distributed across sub-levels based on price overlap
Buy/Sell Separation: Each level tracks buy vs sell volume independently
Dynamic POC Line: Marks the price level with highest traded volume within the zone
Real-Time Updates: POC adjusts as new volume enters, showing where "fairest price" is migrating
Style Options: Solid, Dashed, or Dotted lines (configurable width 1-5)
POC Trading Significance:
Represents the most accepted price within the order block
Often the best entry price for limit orders (highest liquidity)
POC migration shows whether zone is being "worked higher" or "worked lower"
Breaking through POC often signals zone failure
Key Settings
Volume Profile:
Lookback Period: 120 bars (historical period for POC)
Price Rows: 25 levels (granularity of volume distribution)
Volume Confirmation: Require structure breaks to align with volume bias
Market Structure:
Pivot Strength: 1 (swing detection sensitivity)
Show Trail: Optional trailing price visualization
Confluence Detection:
Sensitivity: 1.0% (distance threshold for POC/Structure alignment)
Lower = Stricter confluence, fewer zones
Higher = More zones detected
Order Flow Analysis:
Show Real-Time Order Flow: Live buyer/seller activity
Show Aggressive Markers: (AGG) labels for market orders
Show Directional Arrows: Price direction indicators (↑↓↔↗↘)
Absorption Threshold: 1.5x (when one side overwhelms the other)
1.5 = 50% more volume needed
2.0 = 100% more (stricter)
1.2 = 20% more (more sensitive)
Visual Options:
Hide Depleted Zones: Auto-remove exhausted blocks
Smart Bar Coloring: Color candles based on signal alignment
Zone Colors: Customize buy/sell colors
Label Text Size: Tiny, Small, Normal, Large
POC Settings:
Show POC Lines: Toggle Point of Control display
POC Analysis Levels: 3-10 levels
Line Width: 1-5 pixels
Line Style: Solid, Dashed, or Dotted
Trading Applications
1. Institutional Order Detection - Identify where large players positioned limit orders using Volume Profile POC + Market Structure confluence
2. Support/Resistance Validation - Dual confirmation filters weak levels, highlights high-probability reversal areas
3. Order Flow Imbalance Trading - Trade in direction of aggressive flow using (AGG) markers, fade zones showing absorption
4. Breakout/Breakdown Confirmation - and statuses validate moves through key levels
5. Liquidity Hunting - Track stop-loss clusters, anticipate stop runs based on depletion patterns
6. Entry Refinement - Use POC lines for precise limit placement at "fairest price" within zones
Combined Signal System
HVN Volume Profile × Market Structure Signals:
STRONG BUY: Both engines bullish + structure break up + volume confirmation
BUY: Bullish bias with partial confirmation
WEAK BUY: Early bullish signals
STRONG SELL: Both engines bearish + structure break down + volume confirmation
SELL: Bearish bias with partial confirmation
WEAK SELL: Early bearish signals
Alert Conditions:
Strong Buy/Sell signals (with volume confirmation)
Confluence zone activation (new order block created)
Order block depletion (zone exhausted)
What Makes This Indicator Unique
Industry-Standard Foundation:
Volume Profile POC detection + Market Structure analysis (swing pivots, BOS/MSS) + Point of Control tracking
Unique Innovations:
Dynamic Confluence Algorithm + Aggressive vs Passive Order Flow Decomposition + Adaptive Depletion Thresholds + Real-Time Absorption Detection + Battle Analysis with (AGG) markers + Complete Unified Methodology
Technical Excellence:
Resource-optimized (max 50 zones), comprehensive safety checks, multi-tier labeling, flexible customization
Best Practices
Wait for first touch - No label = untested zone
Watch (AGG) markers - Institutional urgency signal
Trust adaptive depletion - Strong zones failing early = major reversal
Use POC for entries - Best price within zone
Combine higher timeframes - Daily/4H zones strongest
Respect zones - Failed support becomes resistance
Follow battle labels - Contested areas show stop clusters
Adjust sensitivity - Tight ranges = lower %, trending = higher %
Performance Notes
Maximum Active Zones: 50 (automatic cleanup)
Maximum Lines: 400 (POC managed dynamically)
Lookback Cap: 1000 bars for optimization
Updates: All calculations on bar close for confirmed signals
In den Scripts nach "imbalance" suchen
Smart Money Toolkit - PD Engine Bias Map [KedArc Quant]Description
Smart Money is an advanced multi-layer Smart Money Concepts framework that automatically detects structure shifts, premium-discount zones, and institutional order flow.
It is built around the PD Engine, which calculates the midpoint of the most recent market swing and dynamically determines BUY or SELL bias based on where current price trades relative to that equilibrium. This toolkit visualizes structure, order blocks, and bias context in one clean map, giving traders an institutional-grade view without unnecessary signal clutter.
Why It Is Unique
- All CHoCH, BOS, Order Block, FVG, and PD logic are coded from scratch.
- Uses true equilibrium (50 percent PD midpoint) for dynamic bias.
- Optimized for stability and non-repainting behavior.
- Designed for clarity with minimal, performance-safe visuals.
Entry and Exit Logic (Discretionary Framework)
- This toolkit is not a signal generator. It provides market context that guides discretionary trading.
BUY Bias (Discount Zone)
- Price trades below PD Mid: the market is in discount.
- Wait for a bullish CHoCH or reaction from a demand OB or FVG before buying.
- Target 1 = PD Mid. Target 2 = next opposite OB or FVG.
SELL Bias (Premium Zone)
- Price trades above PD Mid: the market is in premium.
- Wait for a bearish CHoCH or reaction from a supply OB or FVG before shorting.
- Target 1 = PD Mid. Target 2 = next opposite OB or FVG.
Institutional concept sequence: Bias → Structure Shift → Confirmation → Execution.
Input Configuration
Swing Sensitivity - Determines how far back to identify HH and LL pivots.
OB / FVG Detection - Toggles visual Order Block or Fair Value Gap zones.
PD Engine - Shows PD midpoint line, zone shading, and bias table.
Multi-TF Bias Sync - Optionally reads a higher timeframe bias for confirmation.
Color Themes - Switch between light, dark, or institutional palettes.
Formula / Logic Summary
Concept Formula
PD Mid (Equilibrium) (Recent Swing High + Recent Swing Low) / 2
BUY Bias close < PD Mid
SELL Bias close > PD Mid
CHoCH / BOS Pivot-based structure reversal: HH→LL or LL→HH
Order Block Last bullish or bearish candle before displacement.
FVG Gap between prior candle high/low and next candle range.
These formulas follow the structure used in institutional Smart Money Concepts.
How It Helps Traders
- Shows institutional premium and discount zones visually.
- Defines clear directional bias before entry.
- Combines structure, order blocks, FVG, and equilibrium in one layout.
- Works on any timeframe or asset.
- Prevents emotional trades by giving objective bias context.
Glossary
PD Mid Midpoint between recent swing high and low (market fair value).
Premium Zone Price above PD Mid; sellers control.
Discount Zone Price below PD Mid; buyers control.
CHoCH Change of Character, first reversal signal.
BOS Break of Structure, trend continuation confirmation.
OB Order Block, last institutional candle before move.
FVG Fair Value Gap, price imbalance often revisited.
FAQ
Q: Is this a signal indicator?
A: No. It is a contextual framework that supports manual decision-making.
Q: Does it repaint?
A: No. All structure logic is confirmed on bar close.
Q: Does it work on all markets?
A: Yes. It is purely price-based and timeframe independent.
Q: When does bias change?
A: Only after a new confirmed swing high or low.
Q: Can it be backtested?
A: You can build strategies on top of this context using your own entry and exit rules.
Disclaimer
This script is provided for educational purposes only.
It is not financial advice.
Trading carries risk. Past performance does not guarantee future results.
Use proper risk management and test on demo accounts before applying to live markets.
4H EMA 21/30 Cloud on 15mThis indicator displays the 4-hour EMA 21 and EMA 30 as a dynamic cloud directly on the 15-minute chart, providing a clean and reliable higher-timeframe trend filter for intraday and scalping setups.
The cloud turns:
Green when EMA21 > EMA30 → bullish HTF trend
Red when EMA21 < EMA30 → bearish HTF trend
Because the 4H EMA 21/30 combination tracks mid-term momentum and trend structure extremely well, this indicator helps traders avoid counter-trend trades, time pullbacks more effectively, and align entries with dominant higher-timeframe flow.
Perfect for traders using:
Price Action
FVG / Imbalance concepts
CHOCH/BOS structure
Liquidity-based models
ICT-style intraday execution
Use the 4H cloud as your HTF bias anchor, and execute trades using your own entry model on the 15m timeframe.
SymFlex Band - MAD, RSI, ATRThe SymFlex Band is an adaptive volatility and momentum framework that merges
three independent band models into a unified analytical tool.
• The MAD Band measures deviation from the moving average using Median Absolute Deviation,
providing a stable view of range-based volatility.
• The RSI Momentum Band adjusts its upper and lower boundaries asymmetrically,
expanding in the direction of momentum and contracting against it.
• The ATR Band captures classical volatility expansion for breakout and trend-continuation conditions.
Rather than placing the three indicators separately on a chart, the script synchronizes
their center-line logic, compares their band distances, identifies the nearest active band,
and displays real-time correlation between their dynamic ranges.
This structure helps traders understand whether price behavior is dominated by
range compression, momentum imbalance, or volatility expansion.
The table summarizes:
• active band ranges
• breakout status
• distance from each band
• cross-band correlation
This indicator is designed purely for analysis. It does not generate trade entries.
Weekly Future and ZoneDescription
🔹This multi-tool indicator plots Best-Strike–based R/S levels, BEP zones, Panic zones, Synthetic Future High/Low, Previous Day OHLC, Daily Open, CPR (Daily/Weekly), and key EMAs.
Designed for option writers, index traders, and intraday traders who want all major reference levels in one place.
🔹Includes toggles for every module, auto-cleaned drawing objects, CPR box shading, customizable MAs, and optimized last-bar rendering.
Best Strike : CE/PE Close price which is near.
Need Input CE/PE High, Low, Close Price
💡 Key Features:
Best-strike derived R1, R2, S1, S2
BEP (Break-even) Levels
Panic Zones for directional risk
Synthetic Future High/Low using CE/PE premium imbalance
Previous Day OHLC for intraday structure mapping
Daily Session Open
CPR (Daily/Weekly) + automatic CPR zone shading
EMA Trend Pack + customizable SMA/EMA/WMA/VWMA
⚠️ Disclaimer
This indicator is provided for educational and analytical purposes only.
It does not provide trading advice or buy/sell signals.
Use responsibly and in conjunction with your market analysis.
DeepFlow Zones SNIPER# DeepFlow Zones SNIPER - Documentation & Cheatsheet
## 🎯 DeepFlow Zones - SNIPER Edition
**Horizontal Limit Order Zones | Institutional FVG + Single Prints**
> **Philosophy:** *Only mark the zones where institutions MUST have orders. Everything else is noise.*
---
## ⚡ QUICK CHEATSHEET
```
┌─────────────────────────────────────────────────────────────────────────────┐
│ DEEPFLOW ZONES SNIPER - QUICK REFERENCE │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ 🎯 ZONE CREATION REQUIREMENTS (ALL MUST BE TRUE): │
│ ══════════════════════════════════════════════════ │
│ ✓ FVG exists → Gap between candle low and 2-bar-ago high │
│ ✓ Gap Size → At least 30% of ATR (significant gap) │
│ ✓ Impulse Candle → 1.8x average range + 65% body ratio │
│ ✓ Volume → 2.0x+ average on impulse candle │
│ ✓ Direction → Middle candle confirms gap direction │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ 📊 ZONE TYPES: │
│ ══════════════ │
│ 🟢 BULLISH ZONE → Green box BELOW price (buy zone) │
│ 🔴 BEARISH ZONE → Red box ABOVE price (sell zone) │
│ ⚫ TESTED ZONE → Gray box (CE level touched) │
│ ⬛ BROKEN ZONE → Dark gray (price closed through) │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ ⭐ SINGLE PRINT LINES: │
│ ══════════════════════ │
│ Requirements: │
│ • Range 1.8x+ average │
│ • Body 65%+ of range │
│ • Volume 2.0x+ average │
│ • Delta 60%+ confirms direction │
│ │
│ Usage: │
│ • Gold lines at HIGH and LOW of impulse candle │
│ • Price often returns to these levels │
│ • Use as support/resistance for entries │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ 🚨 ENTRY SIGNALS: │
│ ═══════════════════ │
│ BUY🎯 appears when: │
│ • Price is inside BULLISH zone │
│ • Delta shows 60%+ buy dominance │
│ • Volume is 1.5x+ average │
│ │
│ SELL🎯 appears when: │
│ • Price is inside BEARISH zone │
│ • Delta shows 60%+ sell dominance │
│ • Volume is 1.5x+ average │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ 📐 ZONE ANATOMY: │
│ ═════════════════ │
│ │
│ BULLISH FVG ZONE: BEARISH FVG ZONE: │
│ │
│ Current Low ───────────────── ───────────────── 2-bar-ago Low │
│ ┌─────────────────────────┐ ┌─────────────────────────┐ │
│ │ █████ ZONE █████████████│ │ █████ ZONE █████████████│ │
│ │- - - CE (50%) - - - - - │ │- - - CE (50%) - - - - - │ │
│ │ ████████████████████████│ │ ████████████████████████│ │
│ └─────────────────────────┘ └─────────────────────────┘ │
│ 2-bar-ago High ────────────── ───────────────── Current High │
│ │
│ Entry: At or near CE line Entry: At or near CE line │
│ Stop: Below zone bottom Stop: Above zone top │
│ Target: 1:1 or 2:1 R:R Target: 1:1 or 2:1 R:R │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ ⛔ ZONE IS INVALID WHEN: │
│ ═════════════════════════ │
│ ✗ Gap size < 30% of ATR (too small) │
│ ✗ No impulse candle (weak move) │
│ ✗ Volume < 2x average (retail move) │
│ ✗ Zone age > 50 bars (stale) │
│ ✗ Price already closed through zone │
│ │
└─────────────────────────────────────────────────────────────────────────────┘
```
---
## 📋 DETAILED DOCUMENTATION
### What Makes SNIPER Zones Different?
Standard FVG indicators create zones everywhere. SNIPER zones only appear when there's **institutional footprint**:
| Filter | Standard FVG | SNIPER Zones | Why It Matters |
|--------|-------------|--------------|----------------|
| Gap Size | Any gap | **≥30% ATR** | Significant imbalance |
| Volume | Optional | **2.0x+ avg** | Institutional volume |
| Impulse | None | **1.8x range** | Real momentum |
| Body | None | **65%+ ratio** | Conviction candle |
| Max Zones | 20-50 | **10 max** | Only the best |
| Zone Life | 100 bars | **50 bars** | Fresh zones only |
---
### How Zones Are Created
```
BULLISH FVG FORMATION:
═══════════════════════
Bar 0 (2 bars ago): Bar 1 (Impulse): Bar 2 (Current):
┌─────┐ ┌─────┐ ┌─────┐
│ │ │█████│ │ │
│ │ HIGH ────── │█████│ │ │
│ │ │ │█████│ │ │
└─────┘ │ │█████│ │ │── LOW
│ └─────┘ └─────┘
│ │
└──────── GAP ────────────────┘
(FVG ZONE)
Requirements Met:
✓ Current LOW > 2-bar-ago HIGH (gap exists)
✓ Gap ≥ 30% of ATR (significant)
✓ Bar 1 range ≥ 1.8x average (impulse)
✓ Bar 1 body ≥ 65% of range (conviction)
✓ Bar 1 volume ≥ 2x average (institutional)
✓ Bar 1 was bullish (direction confirms)
RESULT: VALID SNIPER BULLISH ZONE CREATED
```
---
### Single Print Lines Explained
Single Prints mark **institutional impulse candles** where price moved so fast that no orders were filled at those levels. These levels often act as magnets for price.
```
SINGLE PRINT CANDLE:
════════════════════
HIGH ═══════════════════════════════ (Gold Line)
│
┌─────────────────┤
│█████████████████│ ← Large body (65%+)
│█████████████████│ ← Strong volume (2x+)
│█████████████████│ ← Clear delta (60%+)
│█████████████████│
└─────────────────┤
│
LOW ═══════════════════════════════ (Gold Line)
These horizontal lines extend 500 bars into the future.
Price often returns to test these levels.
```
---
### Entry Strategy
#### Zone Entry Checklist
```
□ Zone is active (green/red, not gray)
□ Price enters zone from outside
□ Wait for entry signal (BUY🎯 or SELL🎯)
□ Verify: Delta + Volume confirming
□ Enter at CE line (dotted white line)
□ Stop below/above zone
□ Target: Opposite side of zone (1:1) or 2:1
```
#### Single Print Entry
```
□ Price returns to single print level
□ Look for reaction (rejection candle)
□ Combine with GRA signal if possible
□ Enter on confirmation candle
□ Stop beyond the single print line
```
---
### Table Legend
| Field | Reading | Color Meaning |
|-------|---------|---------------|
| **Delta** | Buy/Sell % | 🟢 Buy dom, 🔴 Sell dom, ⚪ Neutral |
| **Vol** | Volume ratio | 🟢 ≥2x, ⚪ <2x |
| **Buy ⬚** | Active buy zones | Count of bullish zones |
| **Sell ⬚** | Active sell zones | Count of bearish zones |
| **Zone** | Current position | AT BUY / AT SELL / --- |
| **Impulse** | Current bar status | 🟡 Yes (impulse), ⚫ No |
---
### Zone States
| State | Visual | Meaning | Action |
|-------|--------|---------|--------|
| **Fresh** | Bright color | Never tested | Best entries |
| **Tested** | Gray | CE touched | Still valid, less reliable |
| **Broken** | Dark gray | Price closed through | Invalid, ignore |
---
### Integration with GRA v5
The magic happens when you combine both indicators:
```
HIGHEST PROBABILITY SETUP:
══════════════════════════
1. DeepFlow shows active zone (green/red box)
2. Price enters the zone
3. GRA5 fires a signal INSIDE the zone
4. Delta confirms on both indicators
5. Volume confirms on both indicators
This is your SNIPER entry. Take it.
Example:
┌─────────────────────────────────────────┐
│ Price enters BULLISH zone │
│ GRA5 shows: A🎯 LONG │
│ DFZ shows: BUY🎯 │
│ Table: Vol 2.1x, Delta 67%B │
│ │
│ ACTION: Full size LONG at CE │
│ STOP: Below zone bottom │
│ TARGET: 2:1 R:R │
└─────────────────────────────────────────┘
```
---
### Settings by Instrument
| Instrument | Vol Mult | Gap ATR | Impulse | Max Zones |
|------------|----------|---------|---------|-----------|
| **NQ/ES** | 2.0x | 30% | 1.8x | 10 |
| **YM** | 2.0x | 30% | 1.8x | 10 |
| **GC** | 2.5x | 40% | 2.0x | 8 |
| **BTC** | 2.0x | 25% | 1.5x | 10 |
---
### Common Mistakes
| Mistake | Why It's Bad | Solution |
|---------|-------------|----------|
| Trading every zone | Most zones fail | Wait for entry signal |
| Entering at zone edge | Wrong R:R | Enter at CE (middle) |
| Ignoring broken zones | Already invalidated | Gray = don't trade |
| No delta confirmation | Could be false zone | BUY🎯/SELL🎯 required |
| Too many zones | Chart noise | Max 10 zones |
---
### Alert Configuration
| Alert | Priority | Action |
|-------|----------|--------|
| 🎯 BUY/SELL ZONE ENTRY | 🔴 High | Check chart immediately |
| NEW BULL/BEAR ZONE | 🟠 Medium | Note new zone location |
| 🎯 SINGLE PRINT | 🟢 Low | Mark potential S/R |
---
### Pine Script v6 Notes
This indicator uses Pine Script v6 features:
- Array-based zone management
- `request.security_lower_tf()` for delta
- Dynamic zone state tracking
- Efficient garbage collection
**Minimum TradingView Plan:** Pro (for intrabar data)
---
## 🏆 Golden Rules
1. **Fewer zones = Better zones.** If you see more than 5 active zones, your settings are too loose.
2. **Fresh zones > Tested zones.** The first touch is always the best.
3. **CE is king.** The middle of the zone (50% level) is your entry point.
4. **Zone + GRA signal = Sniper entry.** This confluence is what we're hunting for.
5. **Gray zones don't exist.** Once broken, pretend the zone was never there.
---
*© Alexandro Disla - DeepFlow Zones SNIPER*
*Pine Script v6 | TradingView*
Low Volatility Profiles [BigBeluga]🔵 OVERVIEW
Low Volatility Profiles is a market compression and breakout-anticipation tool that identifies phases of low volatility using ADX and then builds a real-time volume profile inside the detected range.
This helps traders spot accumulation/distribution zones and prepare for explosive moves when volatility expands.
When volatility is low ➜ price coils ➜ volume organizes ➜ breakouts become highly actionable.
This tool visualizes that process with dynamic range boxes + volume bins + PoC extension.
🔵 CONCEPTS
Low-Volatility Detection — Uses ADX threshold & cross logic to define volatility contraction regimes.
Range Construction — Draws a price box that expands with highs/lows during the compression phase.
Micro Volume Profile — Builds a volume histogram inside the range using bins (micro volume nodes).
Delta Calculation — Tracks positive vs negative volume to gauge buyer/seller pressure within range.
Point of Control (PoC) — Highlights the price level with max traded volume inside the range.
PoC Extension — Optionally extends PoC into future bars to show potential reaction zone after breakout.
Breakout Validation — Ends the profile zone when price breaks above or below the modeled range.
Noise Removal — Automatically removes invalid or small ranges to prevent chart clutter.
This tool turns consolidation into actionable structure by exposing where smart money accumulates before trending moves.
🔵 FEATURES
ADX-Driven Range Detection — Identify when market transitions into low-volatility compression.
Configurable ADX Threshold — Set sensitivity for contraction zones.
Cross-Type Option — Detect low volatility via cross under / crossover logic.
Dynamic Range Box — Expands live with price as contraction unfolds.
Micro Volume Profile (Bins) — Distributes volume across bins inside range for micro POC mapping.
Volume Delta Visualization — Shows imbalance inside consolidation (accumulation vs distribution).
Real-Time PoC Highlight — Instantly shows most traded price inside the compression.
PoC Extension Mode — Extend PoC forward to project reaction levels post-breakout.
Clean Auto-Reset Logic — Removes boxes if range invalid or breakout occurs too fast.
Optional Filled Boxes — Heatmap-style profile visualization inside range body.
ADX Line + Threshold Plot — Visual assistance for volatility state monitoring.
🔵 HOW TO USE
Identify Accumulation Zones — When price enters low-volatility ADX condition and profile builds.
Watch the PoC — PoC acts as battle zone; move above/below can signal initiator strength.
Breakout Strategy — Trade break above/below the range after compression.
Mean Reversion Inside Range — Fade edges while price remains inside compression box.
Combine With Trend Tools — Use trend confirmation (MA/EMA/Flow indicators) after breakout.
Use Delta Clues — Positive delta tilt suggests accumulation; negative suggests distribution.
Monitor Range Size — Longer build + high PoC volume = stronger potential breakout energy.
🔵 CONCLUSION
Low Volatility Profiles isolates accumulation phases and maps volume concentration before volatility expansion.
By combining ADX compression, micro volume distribution, and PoC tracing, traders gain an edge in anticipating powerful breakout cycles and institutional positioning.
Trade the quiet moment before the storm — where smart money prepares the move, and the real opportunity emerges.
Session Open Range, Breakout & Trap Framework - TrendPredator OBSession Open Range, Breakout & Trap Framework — TrendPredator Open Box
Stacey Burke’s trading approach combines concepts from George Douglas Taylor, Tony Crabel, Steve Mauro, and Robert Schabacker. His framework focuses on reading price behaviour across daily templates and identifying how markets move through recurring cycles of expansion, contraction, and reversal. While effective, much of this analysis requires real-time interpretation of session-based behaviour, which can be demanding for traders working on lower intraday timeframes.
The TrendPredator indicators formalize parts of this methodology by introducing mechanical rules for multi-timeframe bias tracking and session structure analysis. They aim to present the key elements of the system—bias, breakouts, fakeouts, and range behaviour—in a consistent and objective way that reduces discretionary interpretation.
The Open Box indicator focuses specifically on the opening behaviour of major trading sessions. It builds on principles found in classical Open Range Breakout (ORB) techniques described by Tony Crabel, where a defined time window around the session open forms a structural reference range. Price behaviour relative to this range—breaking out, failing back inside, or expanding—can highlight developing session bias, potential trap formation, and directional conviction.
This indicator applies these concepts throughout the major equity sessions. It automatically maps the session’s initial range (“Open Box”) and tracks how price interacts with it as liquidity and volatility increase. It also incorporates related structural references such as:
* the first-hour high and low of the futures session
* the exact session open level
* an anchored VWAP starting at the session open
* automated expansion levels projected from the Open Box
In combination, these components provide a unified view of early session activity, including breakout attempts, fakeouts, VWAP reactions, and liquidity targeting. The Open Box offers a structured lens for observing how price transitions through the major sessions (Asia → London → New York) and how these behaviours relate to higher-timeframe bias defined in the broader TrendPredator framework.
Core Features
Open Box (Session Structure)
The indicator defines an initial session range beginning at the selected session open. This “Open Box” represents a fixed time window—commonly the first 30 minutes, or any user-defined duration—that serves as a structural reference for analysing early session behaviour.
The range highlights whether price remains inside the box, breaks out, or rejects the boundaries, providing a consistent foundation for interpreting early directional tendencies and recognising breakout, continuation, or fakeout characteristics.
How it works:
* At the session open, the indicator calculates the high and low over the specified time window.
* This range is plotted as the initial structure of the session.
* Price behaviour at the boundaries can illustrate emerging bias or potential trap formation.
* An optional secondary range (e.g., 15-minute high/low) can be enabled to capture early volatility with additional precision.
Inputs / Options:
* Session specifications (Tokyo, London, New York)
* Open Box start and end times (e.g., equity open + first 30 minutes, or any custom length)
* Open Box colour and label settings
* Formatting options for Open Box high and low lines
* Optional secondary range per session (e.g., 15-minute high/low)
* Forward extension of Open Box high/low lines
* Number of historic Open Boxes to display
Session VWAPs
The indicator plots VWAPs for each major trading session—Asia, London, and New York—anchored to their respective session opens. These session-specific VWAPs assist in tracking how value develops through the day and how price interacts with session-based volume distributions.
How it works:
* At each session open, a VWAP is anchored to the open price.
* The VWAP updates throughout the session as new volume and price data arrive.
* Deviations above or below the VWAP may indicate balance, imbalance, or directional control.
* Viewed together, session VWAPs help identify transitions in value across sessions.
Inputs / Options:
* Enable or disable VWAP per session
* Adjustable anchor and end times (optionally to end of day)
* Line styling and label settings
* Number of historic VWAPs to draw
First Hour High/Low Extensions
The indicator marks the high and low formed during the first hour of each session. These reference points often function as early control levels and provide context for assessing whether the session is establishing bias, consolidating, or exhibiting reversal behaviour.
How it works:
* After the session starts, the indicator records the highest and lowest prices during the first hour.
* These levels are plotted and extended across the session.
* They provide a visual reference for observing reactions, targets, or rejection zones.
Inputs / Options:
* Enable or disable for each session
* Line style, colour, and label visibility
* Number of historic sessions displayed
EQO Levels (Equity Open)
The indicator plots the opening price of each configured session. These “Equity Open” levels represent short-term reference points that can attract price early in the session.
Once the level is revisited after the Open Box has formed, it is automatically cut to avoid clutter. If not revisited, the line remains as an untested reference, similar to a naked point of control.
How it works:
* At session open, the open price is recorded.
* The level is plotted as a local reference.
* If price interacts with the level after the Open Box completes, the line is cut.
* Untested EQOs extend forward until interacted with.
Inputs / Options:
* Enable/disable per session
* Line style and label settings
* Optional extension into the next day
* Option for cutting vs. hiding on revisit
* Number of historic sessions displayed
OB Range Expansions (Automatic)
Range expansions are calculated from the height of the Open Box. These levels provide structured reference zones for identifying potential continuation or exhaustion areas within a session.
How it works:
* After the Open Box is formed, multiples of the range (e.g., 1×, 2×, 3×) are projected.
* These expansion levels are plotted above and below the range.
* Price reactions near these areas can illustrate continuation, hesitation, or potential reversal.
Inputs / Options:
* Enable or disable per session
* Select number of multiples
* Line style, colour, and label settings
* Extension length into the session
Stacey Burke 12-Candle Window Marker
The indicator can highlight the 12-candle window often referenced in Stacey Burke’s session methodology. This window represents the key active period of each session where breakout attempts, volatility shifts, and reversal signatures often occur.
How it works:
* A configurable window (default 12 candles) is highlighted from each session open.
* This window acts as a guide for observing active session behaviour.
* It remains visible throughout the session for structural context.
Inputs / Options:
* Enable/disable per session
* Configurable window duration (default: 3 hours)
* Colour and transparency controls
Concept and Integration
The Open Box is built around the same multi-timeframe logic that underpins the broader TrendPredator framework.
While higher-timeframe tools track bias and setups across the H8–D–W–M levels, the Open Box focuses on the H1–M30 domain to define session structure and observe how early intraday behaviour aligns with higher-timeframe conditions.
The indicator integrates with the TrendPredator FO (Breakout, Fakeout & Trend Switch Detector), which highlights microstructure signals on lower timeframes (M15/M5). Together they form a layered workflow:
* Higher timeframes: context, bias, and developing setups
* TrendPredator OB: intraday and intra-session structure
* TrendPredator FO: microstructure confirmation (e.g., FOL/FOH, switches)
This alignment provides a structured way to observe how daily directional context interacts with intraday behaviour.
See the public open source indicator TP FO here (click on it for access):
Practical Application
Before Session Open
* Review previous session Open Box, Open level, and VWAPs
* Assess how higher-timeframe bias aligns with potential intraday continuation or reversal
* Note untested EQO levels or VWAPs that may function as liquidity attractors
During Session Open
* Observe behaviour around the first-hour high/low and higher-timeframe reference levels
* Monitor how the M15 and 30-minute ranges close
* Track reactions relative to the session open level and the session VWAP
After the Open Box completes
* Assess price interaction with Open Box boundaries and first-hour levels
* Use microstructure signals (e.g., FOH/FOL, switches) for potential confirmation
* Refer to expansion levels as reference zones for management or target setting
After Session
* Review how price behaved relative to the Open Box, EQO levels, VWAPs, and expansion zones
* Analyse breakout attempts, fakeouts, and whether intraday structure aligned with the broader daily move
Example Workflow and Trade
1. Higher-timeframe analysis signals a Daily Fakeout Low Continuation (bullish context).
2. The New York session forms an Open Box; price breaks above and holds above the first-hour high.
3. A Fakeout Low + Switch Bar appears on M5 (via FO), after retesting the session VWAP triggering the entry.
4. 1x expansion level serves as reference targets for take profit.
Relation to the TrendPredator Ecosystem
The Open Box is part of the TrendPredator Indicator Family, designed to apply multi-timeframe logic consistently across:
* higher-timeframe context and setups
* intraday and session structure (OB)
* microstructure confirmation (FO)
Together, these modules offer a unified structure for analysing how daily and intraday cycles interact.
Disclaimer
This indicator is for educational purposes only and does not guarantee profits.
It does not provide buy or sell signals but highlights structural and behavioural areas for analysis.
Users are solely responsible for their trading decisions and outcomes.
MarketMind PRO v1.0 🜁 MarketMind PRO v1.0 — Multi-Session Real-Time Context Engine
Find opportunity faster. Trade with clarity and conviction.
🜁 MarketMind PRO is a real-time, session-aware context intelligence engine designed to answer one essential question:
Is this ticker truly in play today?
Its analysis adapts instantly to the current trading phase—Early Flow (Pre-Market), Volatility Burst (Open), Low-Vol Window (Midday), Rebuild Phase (Afternoon), or Power Hour (Pre-Close)—so the score and bias signals you see always reflect the conditions that matter right now.
This makes 🜁 MarketMind PRO a multi-timeframe environment engine with a strong emphasis on deep real-time analysis during the two highest-edge windows of the day: Pre-Market and Pre-Close .
By fusing macro alignment, sector flow, liquidity quality, volatility regime, microstructure behavior, and options-driven pressure into a single visual framework, 🜁 MarketMind PRO turns noisy charts into clean, decision-ready environments.
Whether you're hunting high-quality overnight setups in the final hour, scanning gap-driven opportunities before the open, or evaluating structure during the regular session, 🜁 MarketMind PRO highlights the context that matters—and filters out everything that doesn’t.
⭐ WHAT 🜁 MARKETMIND PRO ACTUALLY DOES
🜁 MarketMind PRO performs continuous real-time analysis across all trading phases.
It:
• detects when a ticker is aligned with broader market forces
• highlights high-quality conditions for intraday or overnight trades
• warns you when macro, VWAP, or gap conditions make the setup unsafe
• reveals trend, structure, liquidity, and flow context instantly
• consolidates cross-market awareness into one simple, unobtrusive chart
It’s built for traders who want clarity without complexity.
⭐ THE CORE OF 🜁 MARKETMIND PRO: THE SQS SCORE (0–100)
SQS (System Quality Score) compresses nine critical dimensions of market and setup readiness:
✓ Gap Behavior
✓ Sector Flow
✓ Liquidity Quality
✓ Relative Strength
✓ Macro Alignment
✓ Microstructure Strength
✓ Price Stability
✓ Options Flow
✓ Bonus Context (trend confluence, regime reinforcement)
SQS is fully session-aware and adjusts its weighting model in real time.
It automatically adapts to the two highest-opportunity phases:
• Pre-Close (15:30–16:00 ET) — for overnight hunters
• Pre-Market (04:00–09:30 ET) — for gap traders & open-drive setups
Scores translate into an intuitive tier:
• GO – High-quality environment
• WATCH – Developing conditions
• PASS – Low-quality environment
• SKIP – Hard block triggered (Macro, VWAP, Gap)
SQS doesn’t tell you what to trade — it tells you when the environment is worth your attention.
⭐ OPTIONS FLOW ENGINE v1.0 — A NEW DIMENSION OF CONVICTION
🜁 MarketMind PRO v1.0 introduces a dedicated Options Flow Engine, designed for traders who rely on flow-aligned environments.
Powered by a multi-layer fusion model, Options Flow measures:
• directional bias (Call vs Put)
• macro confirmation state
• RS, volatility, and trend bursts
• volume-imbalance pressure (buy/sell dominance)
• expansion bars & spike behavior
• early reversal/compression signals
• pre-market flow acceleration
• contextual flow multiplier (momentum × volatility × VWAP × sector alignment)
The output is a smooth, conservative, non-inflated flow signal that highlights genuine options pressure—not noise.
When enabled, Options Flow integrates directly into SQS as a weighted component, adding a powerful second layer of confirmation without overwhelming the trader.
⭐ THE HUD — EVERYTHING THAT MATTERS, INSTANTLY
The on-chart HUD is designed for ultra-fast interpretation and adapts automatically to your current session in real-time:
✔ Macro Bias (overall market tone & volatility environment)
✔ Sector Bias (how strong your ticker’s sector is today)
✔ Trend Bias (the chart’s structure, trend quality, VWAP position)
✔ Micro Bias (how similar tickers are behaving — peer confirmation)
✔ SQS Score (0–100) with tiers for GO / WATCH / PASS / SKIP
✔ Hard Block Reason (Macro, VWAP, or Gap — conditions that stop a setup from qualifying)
✔ Breakdown Panel (full 9-factor score display)
✔ Key Driver Analysis (which factor moved SQS the most)
✔ Options Mode Output (direction, expiry, delta, flow%)
Every element is tuned to reduce cognitive load and turn complex market states into clean, actionable context.
⭐ PRE-CLOSE MODE — IDENTIFY HIGH-QUALITY OVERNIGHT SETUPS
During 15:30–16:00 ET, 🜁 MarketMind PRO shifts into its highest-precision overnight model, emphasizing:
• structural integrity
• trend continuation
• sector agreement
• macro confirmation
• liquidity quality
• stability conditions
This helps uncover tickers building strength into the close—ideal for selective overnight positions.
⭐ PRE-MARKET MODE — FIND THE BEST GAP PLAYS BEFORE THE BELL
In the pre-market window, weightings shift toward:
• gap magnitude × character
• early liquidity quality
• volatility expansion vs compression
• microstructure acceleration
• macro alignment ahead of the open
• premarket flow strength (if Options Mode enabled)
You immediately see which tickers are warming up, which are accelerating, and which are fading before the open.
⭐ OPTIONS MODE (OPTIONAL FEATURE)
When activated, 🜁 MarketMind PRO displays:
• Call/Put direction
• Expiry (0DTE / 1DTE / 2DTE)
• Delta
• Options Flow %
• Flow Direction Bias (Bullish / Bearish)
This mode is ideal for:
• flow-confirmation traders
• macro-aligned momentum plays
• premarket sweep/chase setups
• intraday continuation plays
Options Mode is fully optional.
SQS remains complete and accurate without it.
⭐ WHY TRADERS USE 🜁 MARKETMIND PRO
✓ Avoid low-quality environments
No more wasting time in chop, illiquid tickers, or dead setups.
✓ Spot opportunity faster
A single glance tells you whether a ticker is heating up or not worth your time.
✓ Build confidence and clarity
You understand why the environment is favorable—or why it isn’t.
✓ Streamline your scanning routine
🜁 MarketMind PRO was engineered for fast, repeatable workflows.
✓ Stay aligned with broader market structure
Bias and regime context are always visible.
⭐ WHO 🜁 MARKETMIND PRO IS FOR
• Day traders
• Swing traders
• Options traders
• Pre-Market scanners
• Pre-Close overnight hunters
• Momentum, trend, and structure traders
• Systematic/algo traders who need human-readable context
If you value context first, decisions second, this tool was built for you.
⭐ RECOMMENDED SETTINGS & WORKFLOW
• Use Pre-Close Mode 15:30–16:00 ET for overnight setups
• Use Pre-Market Mode 07:00–09:30 ET for gap filtering & open-drive candidates
• Enable Options Mode only if your strategy benefits from flow context
• Keep HUD in Top Right for the cleanest chart layout
• Turn OFF Inputs/Values in Status Line for optimal display
⭐ IMPORTANT NOTES
• 🜁 MarketMind PRO is a context engine, not a buy/sell signal
• It pairs best with your existing strategy or system
• No proprietary signals or predictions are provided
• SQS is session-aware and adapts automatically
• Options Flow is intentionally conservative—greens are rare and meaningful
⭐ FINAL THOUGHTS
🜁 MarketMind PRO v1.0 is built for the modern trader who wants clarity, speed, and conviction.
It provides the macro, micro, structure, and flow context needed to choose smarter setups—without guessing or over-analyzing.
If you want a clean, disciplined way to identify when a ticker truly deserves your attention…
🜁 MarketMind PRO is the missing piece of your workflow.
Advanced Trading System - Volume Profile + BB + RSI + FVG + FibAdvanced Multi-Indicator Trading System with Volume Profile, Bollinger Bands, RSI, FVG & Fibonacci
Overview
This comprehensive trading indicator combines five powerful technical analysis tools into one unified system, designed to identify high-probability trading opportunities with precision entry and exit signals. The indicator integrates Volume Profile analysis, Bollinger Bands, RSI momentum, Fair Value Gaps (FVG), and Fibonacci retracement levels to provide traders with a complete market analysis framework.
Key Features
1. Volume Profile & Point of Control (POC)
Automatically calculates the Point of Control - the price level with the highest trading volume
Identifies Value Area High (VAH) and Value Area Low (VAL)
Updates dynamically based on customizable lookback periods
Helps identify key support and resistance zones where institutional traders are active
2. Bollinger Bands Integration
Standard 20-period Bollinger Bands with customizable multiplier
Identifies overbought and oversold conditions
Measures market volatility through band width
Signals generated when price approaches extreme levels
3. RSI Momentum Analysis
14-period Relative Strength Index with visual background coloring
Overbought (70) and oversold (30) threshold alerts
Integrated into buy/sell signal logic for confirmation
Real-time momentum tracking in info dashboard
4. Fair Value Gap (FVG) Detection
Automatically identifies bullish and bearish fair value gaps
Visual representation with colored boxes
Highlights imbalance zones where price may return
Used for high-probability entry confirmation
5. Fibonacci Retracement Levels
Auto-calculated based on recent swing high/low
Key levels: 23.6%, 38.2%, 50%, 61.8%, 78.6%
Perfect for identifying profit-taking zones
Dynamic lines that update with market movement
6. Smart Signal Generation
The indicator generates BUY and SELL signals based on multi-condition confluence:
BUY Signal Requirements:
Price near lower Bollinger Band
RSI in oversold territory (< 30)
High volume confirmation (optional)
Bullish FVG or POC alignment
SELL Signal Requirements:
Price near upper Bollinger Band
RSI in overbought territory (> 70)
High volume confirmation (optional)
Bearish FVG or POC alignment
7. Automated Take Profit Levels
Three dynamic profit targets: 1%, 2%, and 3%
Automatically calculated from entry price
Visual markers on chart
Individual alerts for each level
8. Comprehensive Alert System
The indicator includes 10+ alert types:
Buy signal alerts
Sell signal alerts
Take profit level alerts (TP1, TP2, TP3)
Fibonacci level cross alerts
RSI overbought/oversold alerts
Bullish/Bearish FVG detection alerts
9. Real-Time Info Dashboard
Live display of all key metrics
Color-coded for quick visual analysis
Shows RSI, BB Width, Volume ratio, POC, Fib levels
Current signal status (BUY/SELL/WAIT)
How to Use
Setup
Add the indicator to your chart
Adjust parameters based on your trading style and timeframe
Set up alerts by clicking "Create Alert" and selecting desired conditions
Recommended Timeframes
Scalping: 5m - 15m
Day Trading: 15m - 1H
Swing Trading: 4H - Daily
Parameter Customization
Volume Profile Settings:
Length: 100 (adjust for more/less historical data)
Rows: 24 (granularity of volume distribution)
Bollinger Bands:
Length: 20 (standard period)
Multiplier: 2.0 (adjust for tighter/wider bands)
RSI Settings:
Length: 14 (standard momentum period)
Overbought: 70
Oversold: 30
Fibonacci:
Lookback: 50 (swing high/low detection period)
Signal Settings:
Volume Filter: Enable/disable volume confirmation
Volume MA Length: 20 (for volume comparison)
Trading Strategy Examples
Strategy 1: Trend Reversal
Wait for BUY signal at lower Bollinger Band
Confirm with bullish FVG or POC support
Enter position
Take partial profits at Fib 38.2% and 50%
Exit remaining position at TP3 or SELL signal
Strategy 2: Breakout Confirmation
Monitor price approaching POC level
Wait for volume spike
Enter on signal confirmation with FVG alignment
Use Fibonacci levels for scaling out
Strategy 3: Range Trading
Identify POC as range midpoint
Buy at lower BB with oversold RSI
Sell at upper BB with overbought RSI
Use FVG zones for additional confirmation
Best Practices
✅ Do:
Use multiple timeframe analysis
Combine with price action analysis
Set stop losses below/above recent swing points
Scale out at Fibonacci levels
Wait for volume confirmation on signals
❌ Don't:
Trade every signal blindly
Ignore overall market context
Use on extremely low timeframes without testing
Neglect risk management
Trade during low liquidity periods
Risk Management
Always use stop losses
Risk no more than 1-2% per trade
Consider market conditions and volatility
Scale position sizes based on signal strength
Use the volume filter for additional confirmation
Technical Specifications
Pine Script Version: 6
Overlay: Yes (displays on main chart)
Max Boxes: 500 (for FVG visualization)
Max Lines: 500 (for Fibonacci levels)
Alerts: 10+ customizable conditions
Performance Notes
This indicator works best in:
Trending markets with clear momentum
High-volume trading sessions
Assets with good liquidity
When multiple signals align
Less effective in:
Extremely choppy/sideways markets
Low-volume periods
During major news events (high volatility)
Updates & Support
This indicator is actively maintained and updated. Future enhancements may include:
Additional volume profile features
More sophisticated FVG tracking
Enhanced alert customization
Backtesting integration
Disclaimer
This indicator is for educational and informational purposes only. It does not constitute financial advice. Past performance does not guarantee future results. Always conduct your own research and consider consulting with a financial advisor before making trading decisions. Trading involves substantial risk of loss.
FPT - Key Levels with VWAP🔶 FPT – Key Levels with VWAP
This indicator combines multi-session VWAP, higher-timeframe key levels, market structure (HH/HL/LH/LL), and liquidity zones into one clean intraday tool.
Designed for scalping, day-trading, and session-based strategies such as Asia → London → New York flows.
🔵 Features
1. Multi-Session VWAP
Asia VWAP
London VWAP
New York VWAP
Daily reset
Optional deviations & clean mode
2. Key Levels (HTF SR Zones)
Automatically detects:
Previous Day High / Low
4H / 1H Key Levels
Session High / Low
Midpoints
Equal Highs & Equal Lows (liquidity lines)
3. Market Structure Engine
Swing points (HH, HL, LH, LL)
Break of Structure (BOS)
Market Structure Shift (MSS)
Optional minimal mode showing only breaks
4. Liquidity Tools
Buyside & sellside liquidity zones
Range high / low liquidity
Optional void / imbalance zones
5. Clean Visualization Mode
Removes unnecessary text
Shows only the essential levels
Perfect for chart posting or backtesting
🟩 Use Cases
Intraday key level mapping
VWAP deviation → mean reversion setups
Liquidity sweep → BOS/MSS setups
Session volatility filtering
Scalping and fast execution planning
⚠️ Disclaimer
This script does not provide financial advice.
It is for educational and analytical purposes only.
All trading decisions are solely your responsibility.
Forex Sessions [Fax Academy]Forex Sessions — Precision Session Mapping for Professional Traders
Overview
Highlights the four major FX sessions — Sydney, Tokyo, London, New York — directly on your chart.
Kill Zones: high-impact windows around the session open (default 10 minutes).
Timezone-aware with full DST support — sessions that cross midnight shade correctly.
Engineered for clean intraday context, overlap visibility, and professional session-based execution.
What It Shows
Kill Zones — bold-tinted windows around each session's open.
Full Session Shading — lighter background for the entire active window.
London–New York Overlap highlight for maximum-liquidity hours.
Inputs
Timezone
Exchange • UTC • Europe/London • America/New_York • Asia/Tokyo • Australia/Sydney
Use Exchange to automatically align with instrument time.
Per-Session Controls for Sydney, Tokyo, London, New York:
Kill Zone toggle + custom minutes (default 10)
Full Session toggle
Start/End hour (24h format)
How To Use
Set the Timezone first — regional options auto-adjust for DST (London/New York).
Enable Kill Zones to expose opening-volatility spikes and liquidity sweeps.
Tune session hours to match your broker if schedules differ from the global standard.
Watch the London–NY overlap for directional moves, breakouts, and trend continuation.
Practical Tips
Intraday Bias : Favor setups inside or shortly after Kill Zones that align with higher-timeframe structure.
Overlap Hours : Often produce the day’s key breakout/continuation legs.
Combine with:
EMA — pullback precision inside session windows.
FVG — imbalance-based entries during high-liquidity periods.
Defaults
Kill Zones: 10 minutes at each session open.
Full sessions: standard global FX windows (fully adjustable).
Color scheme: bold tint for Kill Zones, subtle tint for session ranges.
Notes
Non-repainting — all shading is based on confirmed chart bars.
Works on any instrument and any timeframe.
If a session’s opening bar is missing (holiday/limited trading), shading is automatically skipped.
Brand
Built by Fax Academy to elevate timing, clarity, and execution in the FX markets.
For educational and analytical use only — always validate with backtesting and disciplined risk management.
Josh FXJoshFX Multi-Timeframe Levels & Fair Value Gap Indicator
This powerful TradingView indicator provides a comprehensive view of key market levels and trends across multiple timeframes. Designed for traders who want precise entries and market context, it includes:
Previous Daily Levels: Automatically marks the previous day’s High, Low, and 50% midpoint.
Multi-Timeframe Trend: Displays the trend direction for 5-minute, 15-minute, 1-hour, and 4-hour charts directly on your current chart.
Daily Candle Display: Shows the current daily candle for quick visual reference.
Pivot Points: Accurately marks technical highs and lows (pivot points) to the exact unit on the chart.
Fair Value Gaps (FVGs): Highlights areas of imbalance for potential high-probability trade setups.
JoshFX Telegram Watermark: Includes branding for the JoshFX community.
This all-in-one tool is perfect for traders combining price action, liquidity concepts, and multi-timeframe analysis to find high-quality setups efficiently.
BSSSv2BSSSv2 is a market-structure-based tool designed to highlight potential liquidity zones and liquidity voids on the chart. It detects recurring pivot-based price levels using a custom zigzag structure and marks buyside and sellside liquidity areas with dynamic boxes and lines. The script also tracks breaches of these zones and visually updates levels as new structure forms. Optional liquidity-void visualization is included for users who want to study displacement or imbalance behavior.
This tool is intended for chart analysis and helps traders observe how price interacts with liquidity-related areas. It does not provide trade signals or recommendations.
Delta Signals NO REPINTA (FINAL)📢 New Indicator: Delta Signals NO REPAINT 🔥
Introducing my new indicator based on Order Flow Delta, designed to provide buy and sell signals with absolutely NO repainting — perfect for scalping, day trading, or swing trading.
This tool combines two powerful components:
✅ Order Flow Delta — Measures the real strength between buyers and sellers
✅ Smart Trend Filter — Only shows signals in the direction of the dominant trend
Together, they deliver cleaner, more accurate and more reliable signals, with clear entry markers on the chart and a delta histogram revealing real market pressure.
🚀 What’s Included?
🔹 Buy/Sell signals with NO repaint
🔹 Intelligent delta calculation
🔹 Trend filter using moving average
🔹 Clear labels on entry points
🔹 Visual delta histogram
🔹 Works great on Crypto, Forex, Indices & Stocks
🔹 Very lightweight and fast on TradingView
🎯 Why is it powerful?
Because it doesn't rely on lagging indicators — it reads the actual imbalance between buyers and sellers, often detecting strong moves before traditional indicators do.
This type of analysis is used by professional order flow traders, but now you have it on your TradingView chart in a simple, visual format.
🔥 Perfect for:
Scalpers who need precision
Day traders working breakouts and pullbacks
Swing traders seeking strong confirmations
Traders who want clean, NO-repaint signals
If you want a version with automatic TP/SL, alerts, or full backtesting, I can publish that as well.
Just let me know. 🚀📈
DW's Top and Bottom FinderDW’s Top and Bottom Finder is a precision-engineered volatility model built to reveal moments of extreme market imbalance—points where fear or euphoria stretch price beyond natural limits. These extremes often mark the earliest phase of major reversals, and this tool is designed to help you spot them with clarity and confidence.
Using a dual-direction volatility engine, the indicator identifies when price accelerates sharply away from its recent structure.
• Green signals highlight potential capitulation zones where downside pressure becomes unsustainably high.
• Red signals reveal potential exhaustion zones where upside momentum begins to lose integrity.
A three-mode system—Bottoms, Tops, or Both—lets you tailor the tool to your style, whether you trade reversals, mean-reversion setups, or simply want early warning signs before trend shifts. Optional percentile ranges and deviation bands visually reinforce each signal, providing a multi-layered read on volatility extremes.
DW’s Top and Bottom Finder is built for traders who value precision, adaptability, and an objective lens on market behavior. It works across all timeframes and asset classes, offering a clean and dependable framework for identifying high-energy turning points long before conventional indicators confirm them.















