Pro Scalper - Kalman Supertrend with Dynamic OB/OS Zones═══════════════════════════════════════════════════════════════════
PRO SCALPER - KALMAN SUPERTREND WITH DYNAMIC OB/OS ZONES
Developed by Zakaria Safri
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A powerful day trading and scalping indicator designed for the 30-minute
timeframe, combining advanced Kalman filtering with Supertrend analysis
and VWMA-based overbought/oversold detection for stocks and cryptocurrencies.
🎯 KEY FEATURES
═══════════════════════════════════════════════════════════════════
✅ Kalman-Filtered Supertrend
• Advanced noise reduction using Kalman Filter mathematics
• Reduces false signals by filtering market noise
• Adaptive trend-following with dynamic support/resistance
✅ Clear Buy/Sell Signals
• Green "BUY" labels for long entries
• Red "SELL" labels for short entries
• Signals trigger on confirmed trend reversals
• Matrix-style candle coloring (Green=Bull, Red=Bear)
✅ Dynamic Overbought/Oversold Zones
• VWMA-based adaptive zones
• Automatically adjusts to market volatility
• Visual zone highlighting with fills
✅ Reversal Signal Detection
• "R" markers identify potential reversals
• Vertical lines highlight reversal bars
• Based on price rejection from OB/OS zones
✅ Smart Take Profit System
• Automatic TP levels at OB/OS zones
• "X" markers when targets are hit
• Based on higher-high/lower-low logic
✅ Live Entry Price Table
• Shows current trend direction
• Displays last signal type (BUY/SELL)
• Real-time entry price tracking
✅ Comprehensive Alert System
• Buy/Sell signal alerts
• Reversal detection alerts
• Take profit hit notifications
• All alerts are non-repainting
📊 HOW IT WORKS
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1. KALMAN FILTER
The indicator applies Kalman filtering to price and ATR data, using
mathematical equations derived from Rudolf E. Kalman's work. This
advanced filtering technique:
• Smooths price data while maintaining responsiveness
• Removes outliers and reduces market noise
• Adapts to changing market conditions
• Improves signal accuracy and reliability
2. MODIFIED SUPERTREND
A customized Supertrend calculation that uses:
• Kalman-filtered HL2 price instead of raw prices
• Filtered ATR for volatility measurement
• Adaptive trailing bands that follow price
• Trend detection with minimal lag
3. VWMA DYNAMIC ZONES
Volume-Weighted Moving Average bands that:
• Calculate from highest/lowest prices over lookback period
• Adapt to current volatility and price range
• Identify true overbought/oversold conditions
• Provide logical take-profit targets
4. SIGNAL GENERATION
• BUY: When price breaks above Supertrend (trend flips bullish)
• SELL: When price breaks below Supertrend (trend flips bearish)
• REVERSAL: When price rejects from OB/OS zones
• TAKE PROFIT: When price reaches target zones or forms HH/LL
⚙️ SETTINGS GUIDE
═══════════════════════════════════════════════════════════════════
🔧 KALMAN FILTER SETTINGS
┌─────────────────────────────────────────────────────────────┐
│ Gain (0.7) → Higher = More responsive, Less smooth │
│ Momentum (0.3) → Higher = More momentum, Less filtering │
└─────────────────────────────────────────────────────────────┘
📈 SUPERTREND SETTINGS
┌─────────────────────────────────────────────────────────────┐
│ ATR Period (10) → Lookback for volatility calculation │
│ ATR Multiplier (3.0) → Distance of bands (lower = more sigs)│
└─────────────────────────────────────────────────────────────┘
📊 VWMA BANDS (OB/OS ZONES)
┌─────────────────────────────────────────────────────────────┐
│ VWMA Length (20) → Smoothing period │
│ Overbought Multiplier (1.5) → OB zone distance │
│ Oversold Multiplier (1.5) → OS zone distance │
│ Band Lookback (20) → Range calculation period │
└─────────────────────────────────────────────────────────────┘
💡 USAGE INSTRUCTIONS
═══════════════════════════════════════════════════════════════════
RECOMMENDED SETUP:
• Timeframe: 30 minutes (optimized for intraday trading)
• Markets: Stocks, Cryptocurrencies, Forex
• Risk Management: Always use stop losses
• Confirmation: Combine with volume and support/resistance
ENTRY SIGNALS:
1. Wait for BUY/SELL label to appear
2. Check trend direction (candle color)
3. Confirm entry on next candle open
4. Set stop loss below/above Supertrend line
EXIT SIGNALS:
1. Take profit at "X" markers
2. Exit on opposite signal
3. Exit on reversal "R" if against your position
4. Manual exit at predetermined R:R ratio
REVERSAL TRADING:
1. Wait for "R" marker in OB/OS zone
2. Confirm with candlestick pattern
3. Enter counter-trend trade
4. Target middle VWMA or opposite zone
🎨 VISUAL ELEMENTS
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• GREEN LINE → Bullish Supertrend (support)
• RED LINE → Bearish Supertrend (resistance)
• CYAN LINE → VWMA baseline
• RED ZONE → Overbought area
• GREEN ZONE → Oversold area
• GREEN CANDLES → Bullish trend active
• RED CANDLES → Bearish trend active
• BUY LABEL → Long entry signal
• SELL LABEL → Short entry signal
• R MARKER → Reversal signal
• X MARKER → Take profit hit
⚠️ IMPORTANT NOTES
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✓ NON-REPAINTING: All signals are confirmed on candle close
✓ BACKTESTING: Test on your specific market before live trading
✓ RISK MANAGEMENT: Use proper position sizing and stop losses
✓ MARKET CONDITIONS: Works best in trending and range-bound markets
✓ CONFLUENCE: Combine with other analysis for best results
⚡ Best Performance:
• Trending markets with clear momentum
• Moderate to high volatility environments
• 30-minute to 1-hour timeframes
• Liquid markets with tight spreads
⚠️ Avoid Using:
• During major news events (high slippage)
• In extremely choppy/sideways markets
• On illiquid assets with wide spreads
• Without proper risk management
📚 METHODOLOGY
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This indicator combines three proven technical analysis methods:
1. TREND FOLLOWING (Supertrend)
Captures major price movements and momentum
2. MEAN REVERSION (VWMA Zones)
Identifies extremes and potential reversals
3. NOISE FILTERING (Kalman)
Reduces false signals and improves accuracy
By integrating these approaches with volume weighting and adaptive
calculations, the Pro Scalper provides a comprehensive trading system
suitable for active traders and scalpers.
⚖️ DISCLAIMER
═══════════════════════════════════════════════════════════════════
This indicator is provided for educational and informational purposes
only. It does not constitute financial advice, and past performance
does not guarantee future results.
Trading carries substantial risk of loss and is not suitable for all
investors. Always:
• Do your own research and analysis
• Use proper risk management
• Never risk more than you can afford to lose
• Test thoroughly before live trading
• Consult a financial advisor if needed
The creator (Zakaria Safri) assumes no liability for trading losses
incurred using this indicator.
📞 ABOUT THE DEVELOPER
═══════════════════════════════════════════════════════════════════
Developer: Zakaria Safri
Specialization: Advanced algorithmic trading indicators
Focus: Noise reduction, signal filtering, and trend analysis
• Regular updates and improvements
• Community feedback integration
• Bug fixes and optimization
• Feature requests welcome
📋 VERSION INFO
═══════════════════════════════════════════════════════════════════
Version: 1.0
Created: 2024
License: Mozilla Public License 2.0
Author: Zakaria Safri
═══════════════════════════════════════════════════════════════════
Happy Trading! 📈
Developed with precision by Zakaria Safri
═══════════════════════════════════════════════════════════════════
مؤشرات اتساع النطاق
Trend Strength Detector TSDTrend Strength Detector (TSD)
*Objective Trend Quality Measurement for Educational Market Analysis*
Note: This mathematical framework is a proprietary quantitative model developed by Ario Pinelab, inspired by classical EMA, ADX, RSI and MACD principles, yet not documented in any public technical or academic publication.
## 🎯 Purpose & Design Philosophy
The ** Trend Strength Detector- TSD ** is an educational research tool that provides **quantitative measurement of trend quality** through two independent scoring systems (0-100 scale). It answers the analytical question: *"How strong and aligned is the current market trend environment?"*
This indicator is designed with a **modular, complementary approach** to work alongside various analysis methodologies, particularly pattern-based recognition systems.
## 🔗 Complementary Research Framework
### Designed to Work With Pattern Detection Systems
This indicator provides **environmental context measurement** that complements qualitative pattern recognition tools. It works particularly well alongside systems like:
- **RMBS Smart Detector - Multi-Factor Momentum System**
- Traditional chart pattern analyzers
- Any momentum-based pattern identification tools
🔍 **To find RMBS Smart Detector:**
- Search in TradingView Indicators Library: `" RMBS Smart Detector - Multi-Factor Momentum System"`
- Look for: *Multi-Factor Momentum System*
- By author: ` `
### Why This Complementary Approach?
**Trend Quality Measurement** (TSD - this tool) provides:
- ✅ Structural trend alignment (0-100 score)
- ✅ Momentum intensity levels (0-100 score)
- ✅ Environment classification (Strong/Moderate/Weak)
- 📌 **Answers:** *"HOW STRONG is the underlying trend environment?"*
### Educational Research Value
When used together in a research context, these tools enable systematic study of questions like:
- How do reversal patterns behave when Strength Score is above 70 vs below 30?
- Do continuation patterns in weakening environments (declining scores) show different characteristics?
- What is the correlation between high Alignment Scores and pattern "success rates"?
- Can environment classification help identify genuine trend initiation vs false starts?
⚠️ **Important Note:** Both tools are **independent and work standalone**. TSD provides value whether used alone or with other analysis methods. The relationship with RMBS (or any pattern tool) is **complementary for research purposes**, not dependent.
---
###Mathematical Foundation
##TSA Formula: scoring method developed by Ario
-Trend Model (0 – 100)
TAS = EMA Alignment (0–40) + Price Position (0–30) + Trend Consistency (0–30)
EMA Alignment checks EMA_fast vs EMA_slow vs EMA_trend structure.
Price Position evaluates if Close is above/below all EMAs.
Consistency = 3 × max(bullish,bearish bars within 10 candles).
-Strength Model (0 – 100)
Strength = ADX (0–50) + EMA Slope (0–25) + RSI (0–15) + MACD (0–10)
ADX measures trend energy; Slope shows EMA momentum %;
RSI assesses zone positioning; MACD confirms directional agreement.
Note: This formula represents a proprietary quantitative model by Ario_Pinelab, inspired by classical technical concepts but not published in any external reference.________________________________________
📊 Environment Classification
Based on Total Strength Score:
🟢 Strong Environment: Score ≥ 60
→ Well-defined momentum, clear directional bias
🟡 Moderate Environment: 40 ≤ Score < 60
→ Mixed signals, transitional conditions
🔴 Weak Environment: Score < 40
→ Ranging, choppy, low conviction movement
Color Coding:
• Green background: Strong (≥60)
• Yellow background: Moderate (40-59)
• Red background: Weak (<40)
________________________________________
📈 Visual Components
Main Chart Display
Score Labels (Top-Right Corner):
┌─────────────────────────────────┐
│ 📊 Alignment: 75 | Strength: 82 │
│ Environment: Strong 🟢 │
└─────────────────────────────────┘
Color-Coded Background:
• Environment strength visually indicated via background color
• Helps quick identification of market regime
• Customizable transparency (default: 90%)
Reference Lines:
• Dotted line at 60: Strong/Moderate threshold
• Dotted line at 40: Moderate/Weak threshold
• Mid-line at 50: Neutral reference
________________________________________
🔧 Customization Settings
Input Parameters
The best setting is the default mode.
🚫 Important Disclaimers & Limitations
What This Indicator IS:
✅ Educational measurement tool for trend quality research
✅ Quantitative assessment of current market environment
✅ Complementary analysis tool for pattern-based systems
✅ Historical data analyzer for systematic study
✅ Multi-factor scoring system based on technical calculations
What This Indicator IS NOT:
❌ NOT a trading system or signal generator
❌ NOT financial advice or trade recommendations
❌ NOT predictive of future price movements
❌ NOT a guarantee of pattern success/failure
❌ NOT a substitute for comprehensive risk management
________________________________________
Known Limitations
1. Lagging Nature:
⚠️ All components (EMA, ADX, RSI, MACD) are calculated
from historical price data
→ Scores reflect CURRENT and RECENT conditions
→ Cannot predict sudden reversals or black swan events
→ Trend measurements lag actual price turning points
2. Whipsaw Risk:
⚠️ In choppy/ranging markets, scores may fluctuate rapidly
→ Moderate zone (40-60) can see frequent transitions
→ Low timeframes more susceptible to noise
→ Consider higher timeframes for stable measurements
3. Component Conflicts:
⚠️ Individual components may disagree
→ Example: Strong ADX but weak RSI alignment
→ Scores average these conflicts (may hide nuance)
→ Check individual components for deeper insight
4. Not Predictive:
⚠️ High scores do NOT guarantee continuation
⚠️ Low scores do NOT guarantee reversal
→ Measurement ≠ Prediction
→ Use for CONTEXT, not SIGNALS
→ Combine with comprehensive analysis
________________________________________
Risk Acknowledgments
Market Risk:
• All trading involves substantial risk of loss
• Past performance (even systematic studies) does not guarantee future results
• No indicator, system, or methodology can eliminate market risk
Measurement Limitations:
• Scores are mathematical calculations, not market predictions
• Environmental classification is descriptive, not prescriptive
• Strong measurements can deteriorate rapidly without warning
Educational Purpose:
• This tool is designed for LEARNING about market structure
• Not designed, tested, or validated as a standalone trading system
• Any trading decisions are user’s sole responsibility
No Warranty:
• Indicator provided “as-is” for educational purposes
• No guarantee of accuracy, reliability, or profitability
• Users must verify calculations and apply critical thinking
Open Source
Full Pine Script code available for educational study and modification. Feedback and improvement suggestions welcome.
“All logic is presented for research and educational visualization.”
---
**Attribution & Fair Use Notice**
The Trend Strength Detector (TSD) scoring framework (Multi-Factor Momentum System) was originally designed and formulated by *Ahmadrezarahmati( Ario or Ario_ Pine Lab)*.
If you build upon, modify, or republish this logic—please include proper attribution to the original author. This request is made under a spirit of open collaboration and educational fairness.
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.
Multi-Timeframe Stochastic (4x) z Podświetlaniemnowy skrypt bez etykietek o wyprzedaniu i wykupieniu
Trí Nguyễn TrendM30 → M15 Reversal (Engulfing/Doji/Hammer)Trend follow M30
Entry M15 (Engulfing/Doji/Hammer)
Volume Profile Pro
Volume Profile Pro is an advanced market analysis tool that displays trading activity distribution across price levels. It identifies key market structure levels including Point of Control (POC), Value Area High (VAH), and Value Area Low (VAL) based on actual volume data.
ORIGINALITY & VALUE:
This indicator provides unique volume distribution analysis with intelligent timeframe detection, real-time profile development, and professional visualization. Unlike basic volume indicators, it calculates precise volume distribution across price levels and identifies high-volume nodes that act as dynamic support/resistance zones.
KEY FEATURES:
Smart Timeframe Detection - Automatically uses chart timeframe with manual override option
Value Area Calculation - Customizable percentage (68% recommended for standard deviation)
Real-time Profile Updates - Live developing profile during active trading sessions
Session Awareness - Adjusts for regular vs extended trading hours
Professional Visualization - Clean, customizable display with multiple placement options
Advanced Alert System - POC breach detection with multiple extension options
CORE COMPONENTS:
Point of Control (POC) - Price level with highest traded volume (market consensus price)
Value Area (VA) - Price range containing specified percentage of total volume
Value Area High (VAH) - Upper boundary of value area (Orange)
Value Area Low (VAL) - Lower boundary of value area (Bright Blue)
Volume Distribution - Visual histogram showing volume concentration at price levels
TRADING APPLICATIONS:
Dynamic Support/Resistance - POC and Value Area act as evolving S/R levels
Breakout Confirmation - Volume-backed breakouts from Value Area
Mean Reversion - Trading opportunities at Value Area boundaries
Market Structure - Understanding volume distribution and market acceptance
Risk Management - Using Value Area for strategic stop placement
SETUP INSTRUCTIONS:
Timeframe: Uses current chart timeframe by default (customizable in settings)
Value Area: Set to 68% for standard market profile or adjust based on volatility
Profile Placement: Choose Left for historical analysis or Right for current session
Alerts: Enable POC breach alerts for real-time trading signals
Visualization: Customize colors and widths to match your trading style
This indicator provides institutional-grade market structure analysis in an accessible format, helping traders identify high-probability trading zones based on actual volume data rather than just price action.
Custom Moving Average Cross - White//@version=5
indicator("Custom Moving Average Cross", overlay=true)
// User-defined parameters for moving averages
short_period = input.int(10, title="Short Period", minval=1)
long_period = input.int(100, title="Long Period", minval=1)
// Calculate the moving averages
short_ma = ta.sma(close, short_period)
long_ma = ta.sma(close, long_period)
// Plot the moving averages
plot(short_ma, color=color.blue, title="Short MA")
plot(long_ma, color=color.red, title="Long MA")
// Define the buy and sell conditions based on crossovers
buy_signal = ta.crossover(short_ma, long_ma)
sell_signal = ta.crossunder(short_ma, long_ma)
// Plot the buy and sell signals with labels (white text)
plotshape(buy_signal, location=location.belowbar, color=color.green, style=shape.labelup, title="Buy Signal", text="BUY", textcolor=color.white)
plotshape(sell_signal, location=location.abovebar, color=color.red, style=shape.labeldown, title="Sell Signal", text="SELL", textcolor=color.white)
// Optional: Background color to highlight the signals
bgcolor(buy_signal ? color.new(color.green, 90) : na, title="Buy Signal Background")
bgcolor(sell_signal ? color.new(color.red, 90) : na, title="Sell Signal Background")
Buy/Sell Signals [WynTrader]My name is WynTrader. I cumulate 24 years of experience.
This Indicator produces Buy/Sell Signals using these features:
- Fast and Slow Moving averages (modifiable) optimized at EMA-8 and SMA-35
- Bollinger Bands (modifiable) optimized at Basis-18 and Multiplier-1
Also, the Buy/Sell Signals are conditioned by three Filters (optionable, modifiable) :
. Bollinger-Bands Lookback
. High-Low vs Candle Range %
. Distance from Fast and Slow Moving averages %
The Results Calculation presented in a Table are based :
- on the Current Chart Visible Range (optionable)
or
- on the specified TIme Frame Start and End Dates (modifiable)
The Table shows Calculation Results of the Buy and Sell Signals that are activated on the chart, with the Number of Trades (Signals), the Winning Points and the Win Rate %. The Buy&Hold starts calculation at the first Buy encountered.
So be surprised by my Buy/Sell Indicator. But always remember that the world is not perfect. The Graal Indicator, even with AI, doesn't already exist, maybe one day (all of us richier...), but not now. , depending on the chart product (stocks...), volatility, probabilities, unpredictable behaviour. , the moves, etc.
Enjoy
WynTrader
P. s. :
My name is WynTrader. I cumulate 24 years of experience. In 2001, I took an intensive technical analysis course taught by an exceptional friend, Cyril, who taught me everything I know. The foundation I gained through his teaching remains solid and relevant to this day, never failing me.
Before i made this Indicator, I have used many Trading View Buy/Sell Indicators using alone or combined RSI, SMI, OBV, MACD ATR, ADX, Neural, Fractal, Geometry, etc., that are already available for the Trading View community. A great thanks to those who give their time that help me build this tool.
Note that I'm not a programmer, so... ;-)
G_GMMA• Comprehensive GMMA Visualization: It plots six fast EMAs and six slow EMAs, clearly distinguishing short term and long term trends. The indicator fills the space between the fastest and slowest EMAs in each group, turning the moving averages into easily identifiable ribbons rather than a mass of overlapping lines.
• Customizable Appearance: Users can adjust the colors of the fast and slow EMA lines, the fill colors of each ribbon, and the overall line thickness. This makes it easy to tailor the chart to personal preferences or trading templates.
• Dynamic Background Shading: The script can shade the chart’s background depending on whether the fast ribbon is above or below the slow ribbon, giving a quick visual cue for trend direction (uptrend vs. downtrend).
• Touch Alert System: Up to three different EMA lengths can be monitored for “touch” events. When price touches a selected EMA (e.g., 20 , 50 or 200 period EMA), the indicator triggers an alert condition and plots a small circle on the chart at the contact point. This helps traders catch precise entry or exit signals without staring at the screen.
• Flexible Input: Both fast and slow EMA lengths, colors, and alert parameters are user adjustable from the indicator’s settings. This allows the same script to be used on different instruments (e.g., Gold, forex pairs) and time frames by simply changing the period values.
• Trend Sensitive Support/Resistance: By treating the slow EMA ribbon as a dynamic support/resistance zone, the indicator helps traders identify where price is likely to stall or reverse. Combining this with the touch alerts makes it well suited for scalping or intraday trades.
Candle Color Difference Marker (PSP)This indicator shows when the colors of the candles on two or three charts are different.
多周期趋势动量面板(Multi-Timeframe Trend Momentum Panel - User Guide)多周期趋势动量面板(Multi-Timeframe Trend Momentum Panel - User Guide)(english explanation follows.)
📖 指标功能详解 (精简版):
🎯 核心功能:
1. 多周期趋势分析 同时监控8个时间周期(1m/5m/15m/1H/4H/D/W/M)
2. 4维度投票系统 MA趋势+RSI动量+MACD+布林带综合判断
3. 全球交易时段 可视化亚洲/伦敦/纽约交易时间
4. 趋势强度评分 0100%量化市场力量
5. 智能警报 强势多空信号自动推送
________________________________________
📚 重要名词解释:
🔵 趋势状态 (MA均线分析):
名词 含义 信号强度
强势多头 快MA远高于慢MA(差值≥0.35%) ⭐⭐⭐⭐⭐ 做多
多头倾向 快MA略高于慢MA(差值<0.35%) ⭐⭐⭐ 谨慎做多
震荡 快慢MA缠绕,无明确方向 ⚠️ 观望
空头倾向 快MA略低于慢MA ⭐⭐⭐ 谨慎做空
强势空头 快MA远低于慢MA ⭐⭐⭐⭐⭐ 做空
简单理解: 快MA就像短跑运动员(反应快),慢MA是长跑运动员(稳定)。短跑远超长跑=强势多头,反之=强势空头。
________________________________________
🟠 动量状态 (RSI力度分析):
名词 含义 操作建议
动量上攻↗ RSI>60且快速上升 强烈买入信号
动量高位 RSI>60但上升变慢 警惕回调,可减仓
动量中性 RSI在4060之间,平稳 等待方向明确
动量低位 RSI<40但下跌变慢 警惕反弹,可止盈
动量下压↘ RSI<40且快速下降 强烈卖出信号
简单理解: RSI就像汽车速度表。"动量上攻"=油门踩到底加速,"动量高位"=已经很快但不再加速了。
________________________________________
🟣 辅助信号:
MACD:
• MACD多头 = 柱状图>0 = 买方力量强
• MACD空头 = 柱状图<0 = 卖方力量强
布林带(BB):
• BB超买 = 价格在布林带上轨附近 = 可能回调
• BB超卖 = 价格在布林带下轨附近 = 可能反弹
• BB中轨 = 价格在中间位置 = 平衡状态
________________________________________
💡 快速上手 3步看懂面板:
第1步: 看"综合结论标签" (K线上方)
• 绿色"多头占优" → 可以做多
• 红色"空头占优" → 可以做空
• 橙色"震荡/均衡" → 观望
第2步: 看"票数 多/空" (面板最下方)
• 多头票数远大于空头 (差距>2) → 趋势强
• 票数接近 (差距<1) → 震荡市
第3步: 看"趋势强度" (综合标签中)
• 强度>70% → 强势趋势,可重仓
• 强度5070% → 中等趋势,正常仓位
• 强度<50% → 弱势,轻仓或观望
________________________________________
🎨 时段背景色含义:
• 紫色背景 = 亚洲时段 (东京交易时间) 波动较小
• 橙色背景 = 伦敦时段 (欧洲交易时间) 波动增大
• 蓝色背景 = 纽约凌晨 美盘准备阶段
• 红色背景 = 纽约关键5分钟 (09:3009:35) ⚠️ 最重要! 市场最活跃,趋势易形成
• 绿色背景 = 纽约上午后段 延续早盘趋势
交易建议: 重点关注红色关键时段,这5分钟往往决定全天方向!
________________________________________
⚙️ 三大市场推荐设置
🥇 黄金: Hull MA 12/EMA 34, 阈值0.250.35%
₿ 比特币: EMA 21/EMA 55, 阈值0.801.20%
💎 以太坊: TEMA 21/EMA 55, 阈值0.600.80%
参数优化建议
黄金 (XAUUSD)
快速MA: Hull MA 12 (超灵敏捕捉黄金快速波动)
慢速MA: EMA 34 (斐波那契数列)
RSI周期: 9 (加快反应)
强趋势阈值: 0.25%
周期: 5, 15, 60, 240, 1440
比特币 (BTCUSD)
快速MA: EMA 21
慢速MA: EMA 55
RSI周期: 14
强趋势阈值: 0.8% (波动大,阈值需提高)
周期: 15, 60, 240, D, W
外汇 EUR/USD
快速MA: TEMA 10 (快速响应)
慢速MA: T3 30, 因子0.7 (平滑噪音)
RSI周期: 14
强趋势阈值: 0.08% (外汇波动小)
周期: 5, 15, 60, 240, 1440
📖 Indicator Function Details (Concise Version):
🎯 Core Functions:
1. MultiTimeframe Trend Analysis Monitors 8 timeframes simultaneously (1m/5m/15m/1H/4H/D/W/M)
2. 4Dimensional Voting System Comprehensive judgment based on MA trend + RSI momentum + MACD + Bollinger Bands
3. Global Trading Sessions Visualizes Asia/London/New York trading hours
4. Trend Strength Score Quantifies market strength from 0100%
5. Smart Alerts Automatically pushes strong bullish/bearish signals
📚 Key Term Explanations:
🔵 Trend Status (MA Analysis):
| Term | Meaning | Signal Strength |
| | | |
| Strong Bull | Fast MA significantly > Slow MA (Diff ≥0.35%) | ⭐⭐⭐⭐⭐ Long |
| Bullish Bias | Fast MA slightly > Slow MA (Diff <0.35%) | ⭐⭐⭐ Caution Long |
| Ranging | MAs intertwined, no clear direction | ⚠️ Wait & See |
| Bearish Bias | Fast MA slightly < Slow MA | ⭐⭐⭐ Caution Short |
| Strong Bear | Fast MA significantly < Slow MA | ⭐⭐⭐⭐⭐ Short |
Simple Understanding: Fast MA = sprinter (fast reaction), Slow MA = longdistance runner (stable). Sprinter far ahead = Strong Bull, opposite = Strong Bear.
🟠 Momentum Status (RSI Analysis):
| Term | Meaning | Trading Suggestion |
| | | |
| Momentum Up ↗ | RSI >60 & rising rapidly | Strong Buy Signal |
| Momentum High | RSI >60 but rising slower | Watch for pullback, consider reducing position |
| Momentum Neutral | RSI between 4060, stable | Wait for clearer direction |
| Momentum Low | RSI <40 but falling slower | Watch for rebound, consider taking profit |
| Momentum Down ↘ | RSI <40 & falling rapidly | Strong Sell Signal |
Simple Understanding: RSI = car speedometer. "Momentum Up" = full throttle acceleration, "Momentum High" = already fast but not accelerating further.
🟣 Auxiliary Signals:
MACD:
MACD Bullish = Histogram >0 = Strong buyer power
MACD Bearish = Histogram <0 = Strong seller power
Bollinger Bands (BB):
BB Overbought = Price near upper band = Possible pullback
BB Oversold = Price near lower band = Possible rebound
BB Middle = Price near middle band = Balanced state
💡 Quick Start 3 Steps to Understand the Panel:
Step 1: Check "Composite Conclusion Label" (Above the chart)
Green "Bulls Favored" → Consider Long
Red "Bears Favored" → Consider Short
Orange "Ranging/Balanced" → Wait & See
Step 2: Check "Votes Bull/Bear" (Bottom of the panel)
Bull votes significantly > Bear votes (Difference >2) → Strong Trend
Votes close (Difference <1) → Ranging Market
Step 3: Check "Trend Strength" (In the composite label)
Strength >70% → Strong Trend, consider heavier position
Strength 5070% → Moderate Trend, normal position size
Strength <50% → Weak Trend, light position or wait & see
🎨 Trading Session Background Color Meanings:
Purple = Asian Session (Tokyo hours) Lower volatility
Orange = London Session (European hours) Increased volatility
Blue = NY Early Morning US session preparation phase
Red = NY Critical 5 Minutes (09:3009:35) ⚠️ Most Important! Market most active, trends easily form
Green = NY Late Morning Continuation of early session trend
Trading Tip: Focus on the red critical period; these 5 minutes often determine the day's direction!
⚙️ Recommended Settings for Three Major Markets
🥇 Gold (XAUUSD):
Fast MA: Hull MA 12 (Highly sensitive for gold's fast moves)
Slow MA: EMA 34 (Fibonacci number)
RSI Period: 9 (Faster reaction)
Strong Trend Threshold: 0.25%
Timeframes: 5, 15, 60, 240, 1440
₿ Bitcoin (BTCUSD):
Fast MA: EMA 21
Slow MA: EMA 55
RSI Period: 14
Strong Trend Threshold: 0.8% (High volatility, requires higher threshold)
Timeframes: 15, 60, 240, D, W
💎 Ethereum (ETHUSD):
Fast MA: TEMA 21
Slow MA: EMA 55
RSI Period: 14
Strong Trend Threshold: 0.600.80%
Timeframes: 15, 60, 240, D, W
💱 Forex EUR/USD:
Fast MA: TEMA 10 (Fast response)
Slow MA: T3 30, Factor 0.7 (Smooths noise)
RSI Period: 14
Strong Trend Threshold: 0.08% (Forex has low volatility)
Timeframes: 5, 15, 60, 240, 1440
global credit spread with global yield curveglobal credit spread with global yield curve designed to give short term and longer term asset price reversal
Currency Valuation V2This indicator values currencies against DXY. Using the daily chart annd the differences in the price of the DXY in certain bars.
5-Min ORB (1m) — Asia, London, NY — v6.6Awesome—here’s a ready-to-use Pine Script v5 indicator for a 5-Minute Opening Range Breakout (ORB) across Asia, London, and New York, designed to be applied on the 1-minute chart. It:
Marks the first 5 minutes of each session
Draws the ORB box (high/low)
Infers bias from that 5-minute candle (close vs. open)
Triggers buy/sell signals only in the bias direction when price breaks the ORB
Includes alerts, per-session enable toggles, custom timezones & session windows
ICT Smart Entry – XAUUSD Assistant (IRAQJY v1.0)ICT Smart Entry – XAUUSD Assistant (IRAQJY v1.0)
This indicator is designed to assist traders in identifying high-probability entry zones on XAUUSD (Gold) using refined ICT-based concepts.
It automatically detects:
• Market Structure shifts (BOS & CHoCH)
• Order Blocks and Fair Value Gaps (FVGs)
• Optimal Trade Entry (OTE) zones between 62–79%
• Premium & Discount Arrays (PDA) for directional bias
• Liquidity sweeps confirming institutional activity
The script plots live confluence-based Buy/Sell setups and automatically removes outdated signals to keep the chart clean and focused only on upcoming entries.
You can enable optional alerts for new confirmed entries with dynamic SL & TP levels.
Note: This tool is built for educational and analytical purposes. It does not guarantee profits or provide financial advice.
© 2025 IRAQJY – Original closed-source design.
Arabic (optional addition):
مؤشر ذكي يساعدك على تحديد مناطق الدخول القوية في الذهب (XAUUSD) باستخدام مفاهيم ICT الاحترافية.
يعرض فقط إشارات الدخول القادمة بشكل نظيف، مع تنبيهات فورية للأوامر الجديدة.
© 2025 IRAQJY – جميع الحقوق محفوظة.
ICT Multi-TF Structure VisualizerICT Multi-TF Structure Visualizer — Description (EN)
Overview
This indicator maps higher-timeframe (HTF) structure on any lower-timeframe chart to help you frame directional bias and areas of interest (POIs). It overlays three educational ICT-style components in one clean view:
MSS (simple Market Structure Shift): triangle markers highlight potential structure shifts on the selected HTF.
Fair Value Gaps (FVG, 3-candle definition): shaded boxes show bullish/bearish inefficiencies.
Order Blocks (OB, educational heuristic): shaded boxes mark the opposite candle prior to an impulsive move.
How the pieces work together
FVG & OB boxes identify where price may react (HTF POIs).
MSS markers suggest when momentum may be shifting.
A common workflow is to wait for price to trade into an HTF POI (OB/FVG), then look for an MSS in the confluence direction as a timing cue. This tool is for visualization and process discipline—entries/exits remain at the user’s discretion.
Inputs
Higher TF (Structure): choose the reference timeframe (default: 1H).
Box length (bars): horizontal span of POI boxes.
Transparency (FVG/OB): control the visual emphasis on each box type.
Visual legend
Green = Bullish POIs (FVG/OB).
Red = Bearish POIs (FVG/OB).
Triangles = MSS markers (up = bullish, down = bearish).
Calculation notes & limitations
HTF values update until the HTF candle closes; for strict confirmation, wait for the higher-timeframe bar to close.
OB logic here is intentionally simple (educational). It will not match every proprietary OB definition.
This is an overlay visualization only—no alerts or trade signals are generated in this version.
As with all multi-timeframe visuals, historical boxes/markers may shift as new HTF data completes.
Recommended use
Pair a lower execution TF (e.g., M5–M15) with a higher structure TF (e.g., H1–H4).
Combine with your own execution model, risk management, and session/volatility filters.
Category & tags
Category: Trend Analysis
Suggested tags: ICT, Smart Money, Market Structure, MSS, Fair Value Gap, FVG, Order Block, Multi-Timeframe, HTF, POI
Disclaimer
For educational purposes only. Not financial advice. Past performance does not guarantee future results. Always test on a demo and use appropriate risk management.
الوصف بالعربية (AR)
نظرة عامة
هذا المؤشر يرسم هيكل الفريم الأعلى على أي فريم تنفيذ أقل ليساعدك في تحديد التحيّز والـ POIs. يعرض ثلاث مكوّنات تعليمية بأسلوب ICT:
MSS (تحوّل بسيط في الهيكل): مثلثات تُظهر احتمالات تغيّر الهيكل.
FVG (فجوات القيمة العادلة بثلاث شموع): صناديق ملوّنة لمناطق الخلل السعري.
OB (أوردر بلوك تعليمي): الصندوق يميّز الشمعة المعاكسة قبل الحركة الاندفاعية.
كيف تتكامل العناصر
صناديق FVG/OB تحدد أين قد يتفاعل السعر (مناطق HTF).
علامات MSS تقترح متى قد يتغيّر الزخم.
استخدم عودة السعر إلى منطقة HTF (OB/FVG) ثم راقب MSS باتجاه التوافق كإشارة توقيت. الأداة للعرض والتنظيم فقط—قرارات الدخول/الخروج مسؤوليتك.
الإعدادات
الفريم الأعلى: مرجع الهيكل (افتراضي 1H).
طول الصندوق (بالشموع): الامتداد الأفقي.
شفافية FVG/OB: للتحكم في وضوح الصناديق.
دليل الألوان
أخضر = مناطق شرائية (FVG/OB).
أحمر = مناطق بيعية (FVG/OB).
مثلثات = علامات MSS (صاعد لأعلى، هابط لأسفل).
ملاحظات وحدود
قيم الفريم الأعلى تتغير حتى يغلق شمعة الـ HTF؛ للثبات، انتظر إغلاقها.
تعريف الـ OB هنا مبسّط وتعليمي وقد لا يطابق كل التعاريف.
المؤشر للعرض فقط—لا يصدر تنبيهات أو إشارات تداول في هذه النسخة.
كأي عرض متعدد الأطر، قد يعاد تموضع بعض الصناديق/العلامات مع اكتمال بيانات HTF.
استخدام مقترح
نفّذ على فريم منخفض (M5–M15) مع هيكل على فريم أعلى (H1–H4).
ادمجه مع خطّة تنفيذك وإدارة المخاطر وفلاتر الجلسات.
الفئة والوسوم
الفئة: تحليل الاتجاه (Trend Analysis)
وسوم مقترحة: ICT، Smart Money، Market Structure، MSS، Fair Value Gap، FVG، Order Block، Multi-Timeframe، HTF، POI
إخلاء مسؤولية
محتوى تعليمي فقط وليس نصيحة استثمارية. اختبر دائمًا على حساب تجريبي وطبّق إدارة مخاطر مناسبة.
US Sentiment DashBoard [MaYsTrO]A fast, options-ready market dashboard that turns volatility, credit/liquidity, rotation, breadth, and macro tone into clear entries, risk triggers, and position size—without guesswork.
What it does
US Sentiment Board condenses the market’s moving parts into a single view designed specifically for call/put decisioning:
Regime & Core Trend – quick read on the major indices’ health.
Volatility + Structure Recommender – suggests Long Calls / Debit Spreads / Calendars based on IV state and term structure.
Liquidity Gate (PASS/WARN) – blends credit, USD, and rates into a single green-light.
Sector Rotation – shows where money is rotating so you focus long risk where it’s welcomed.
Breadth & Participation – gauges how many stocks are actually joining the move.
Macro & Safety – keeps a quiet eye on risk proxies without clutter.
Quick Alerts – simple “pay attention now” flags when conditions deteriorate.
Entry Checklist – one clean row that must be ✅ for new long calls.
Options Score → Position Size – converts the whole board into Full / Half / Probe / No Long Calls.
All logic is protected; the board shows results, not the recipe.
Who it’s for
Active traders who:
Trade single-name calls or index/sector options and want a pre-trade checklist.
Need a liquidity and volatility sanity check before pressing buy.
Prefer rules over vibes—with a dashboard that’s fast to read.
How to use it (quick start)
Glance at Market Mood and Core Trend to know if the wind is at your back.
Check Volatility and the Structure Recommender (calls vs. spreads vs. calendars).
Confirm the Liquidity Gate is PASS.
Make sure your target sector appears in Rotation (leaders > laggards).
Ensure Breadth supports the move.
Only enter when the Entry Checklist shows ✅.
Size the trade by the Options Score → Position Size row.
Works on
Any chart. Internally blends daily trend context with live data for “today” reads.
No user parameters needed; layout/visibility toggles are available for convenience.
Key notes
User must have the Ultimate TV plan in order of the indicator to work.
No repaint; signals confirm on bar close for the relevant timeframe.
The board does not place trades. It’s a decision aid for your own execution plan.
Data is subject to each symbol’s exchange feed and TradingView availability.
Support
Questions or access requests? DM MaYsTrO on TradingView.
Tags
sentiment, breadth, volatility, credit, rotation, options, risk, dashboard, liquidity
Disclaimer
This script is for educational and informational purposes only and does not constitute financial advice or a recommendation to buy or sell any security or derivative. Trading involves risk, including the risk of loss. Past performance does not guarantee future results. You are solely responsible for your trading decisions and risk management. The author assumes no liability for any losses or damages resulting from the use of this script.
Protected code. Redistribution, modification, re-uploading, or derivative works are prohibited without the author’s written permission.
KI-StageSpot V3**🧭 KI-StageSpot V3**
An advanced multi-layer visual tool that identifies **Weekly Bases**, **Breakouts**, and **Stage progressions** using Wyckoff-style logic.
It automatically marks **Base Highs/Lows**, shows **Depth & Duration stats**, and highlights **Breakout zones** with customizable labels.
Includes:
* 📊 **Base detection & statistics** (depth %, weeks, merge logic)
* ⚡ **Breakout (BH/BO) markers**
* ☁️ **Daily EMA Cloud (10/20)** for trend confirmation
* 📈 **ST/MT/LT SMA zones** with **Stage Arrows** for phase shifts
* 🧾 **Custom watermark overlay** with ticker & timeframe
Perfect for analyzing **Stage 1–2 transitions**, base durations, and **trend maturity** across Daily/Weekly timeframes.
Global Crash & Rally IndicatorGlobal Crash & Rally Indicator for TradingView:
Detect Market Crashes and Rallies with Precision
Unlock the Power of Global Market Insights:
Your Ultimate Stock Market Crash Detector and Rally Signal Tool 📈⚠️
In the volatile world of stock trading, staying ahead of market crashes and spotting rally opportunities can make all the difference between massive gains and devastating losses.
The Global Crash & Rally Indicator – a cutting-edge TradingView Pine Script tool, has been designed to monitor global financial signals in real-time. Whether you're a day trader, swing trader, or long-term investor, this indicator acts as your early warning system for potential market downturns and upswings, helping you navigate the complexities of the stock market with confidence.
Traders often search "stock market crash indicator," "global rally detector," "TradingView crash alert," and "market volatility tool,", this indicator ends your endless search and is a must-try for serious traders who want to protect their portfolio and capitalize on bullish/bearish trends.
What Makes the Global Crash & Rally Indicator Stand Out? 🚀
This advanced indicator goes beyond basic price analysis by integrating a wide array of global economic and market factors. It scans for signs of stress across major indices, volatility measures, currency movements, and commodity prices to provide a comprehensive view of market health. Here's what you can expect:
Real-Time Crash Warnings ⚠️ :
Get alerted to potential market crashes through color-coded signals – from watchful orange alerts to critical red crisis modes. It identifies emerging risks early, giving you time to adjust your positions.
Rally Detection for Bullish Opportunities 📈 :
Not just a downside protector, this tool highlights bullish regimes with green signals, spotting when markets are poised for strong upward moves. Ideal for identifying entry points during recoveries or bull runs and tells you when you can stay in the trade.
Multi-Factor Analysis 🔍 :
it monitors key global elements like volatility spikes, yield changes, risk-off assets, breadth metrics, and more – all without overwhelming you with data. The intuitive table UI displays metrics, values, risks, and notes in an easy-to-read format.
Probability Estimates 📊 :
The probability model of this Indicator offers probabilistic insights into downside and upside risks, helping you gauge the likelihood of market moves with percentage-based forecasts.
Customizable Alerts 🔔 :
Set up notifications for crash cautions, crisis starts, rally watches, and rally go signals by setting up just 01 alert. Perfect for day trading strategies or manual oversight.
Optimized for Traders ⚙️:
Whether searching for "best TradingView indicator for market crashes" or "global stock rally scanner," this tool ranks high in utility, delivering actionable insights tailored to US and international markets.
With its focus on intraday timeframes (like 5-min, 15-min, or 60-min charts), the indicator is versatile for use on major indices such as SPX, VIX, DXY, and beyond. It's built to handle up to 5000 bars back, ensuring historical accuracy without performance lags.
How to Use the Global Crash & Rally Indicator on TradingView 🛠️
Add to Your Chart: Search for "Global Crash & Rally Indicator" in TradingView's indicator library and apply it to your preferred chart (e.g., SPX or ES futures).
Customize Settings: Adjust inputs like analysis timeframe, thresholds for warnings, and optional filters (e.g., currency jumps) to fit your trading style. Enable 3-of-4 warning mode for stricter signals.
Interpret the Signals:
Background Colors: Green for safe/bullish, orange for warnings, red for crises.
Table Breakdown:
Check the on-chart table for detailed metrics on VIX changes, breadth, basis stress, and macro health.
Alerts:
Use the built-in alert conditions to get notified via email, app, or webhook when key events trigger.
Combine with Strategies:
Pair it with your favorite oscillators, moving averages, or volume indicators for enhanced decision-making in forex, stocks, crypto, or commodities.
No need for complex setups –
it's plug-and-play, yet powerful enough for professional traders monitoring global events.
Why Traders Love This Market Volatility Tool ❤️
Imagine having a "sixth sense" for when the market is about to crack or soar. Users rave about its ability to flag hidden risks that traditional indicators miss, such as subtle shifts in market depth or global macro stress. It's not just a crash detector; it's a rally detector too, helping you ride waves of optimism while sidestepping pitfalls.
In an era of geopolitical tensions, economic uncertainties, and rapid news cycles, this indicator empowers you to trade smarter. It's SEO-friendly for discovering terms like "best indicator for detecting stock market rallies" or "global financial crash predictor," ensuring you find the edge you need.
Best Features and Rating 🤖
Various AI tools rate its best features to be its holistic multi-factor approach that blends volatility, breadth, and macro signals into a seamless, probabilistic framework, plus the user-friendly table UI that makes complex data meaningful at a glance.
Join the Conversation! 💬
What are your thoughts on the Global Crash & Rally Indicator? Have you spotted any crashes or rallies using similar tools? Share your experiences, strategies, or questions in the comments below – let's discuss and help each other thrive in the markets! Get connected for a free trial via contact method mentioned in our profile page.
Z-Signal Pro: RSI+BBThe indicator utilizes RSI and Bollinger Bands, incorporates additional logic to filter out noisy signals, and produces long and short entries.
Market Sentiment Overlay: PCCE + VIX Zones📊 Market Sentiment Suite: PCCE + VIX
Track fear & greed in real time using Put/Call Ratio and VIX percentile.
Spot potential tops and bottoms before they form — ideal for SPX/SPY swing traders.Identify fear, greed, and turning points in the market.
This script combines the CBOE Put/Call Ratio (PCCE) with the VIX volatility index percentile to visualize crowd sentiment and highlight potential market tops and bottoms.
🔍 Key Features
Dual-indicator design: PCCE + normalized VIX percentile
Color-coded zones for Greed (<0.6) and Fear (>1.2)
Automatic alert signals when sentiment reaches extremes
Live sentiment table displaying real-time PCCE and VIX data
Works seamlessly on SPX, SPY, QQQ, or any major index
🧠 How to Use
When PCCE > 1.2 and VIX percentile > 80%, fear is extreme → possible market bottom
When PCCE < 0.6 and VIX percentile < 20%, greed is extreme → possible market top
Perfect for contrarian traders, sentiment analysts, and swing traders
✨ Best Timeframe: Daily
⚙️ Markets: SPX / SPY / QQQ / Global Indexes
📈 Type: Contrarian Sentiment Indicator