Nakurviator (for Long @ 5m interval) v1.6.0Nakurviator v1.6.4 represents a refined evolution of our proprietary trading indicator, meticulously calibrated for long entry signals while operating exclusively on 5-minute timeframes. This sophisticated system leverages higher timeframe data through advanced multi-timeframe analysis, incorporating 1-hour, 4-hour, and daily perspectives to enhance signal accuracy and market context. The indicator employs a sophisticated scoring mechanism that combines technical analysis with supply/demand zones, ensuring optimal entry points through comprehensive market structure analysis. With its exclusive 5M operation requirement and enhanced "Source Timeframes" configuration, Nakurviator delivers precision-engineered long signals backed by robust higher timeframe validation.
The indicator contains over 1000 lines of code and is highly configurable.
SETTINGS:
Source Timeframes
Enable 1h - Enables signal analysis on 1-hour timeframes.
Enable 4h - Enables signal analysis on 4-hour timeframes.
Enable 1d - Enables signal analysis on daily timeframes.
POI
POI display mode - Determines how POI zones are displayed (Stacked/Exclusive).
POI detection mode - Sets POI zone detection mode (Auto/Auto+Manual/Manual/Simple).
HTF OB body multiplier - Multiplier for HTF zone candle body size.
HTF OB lookback for avg body - Number of bars back to calculate average body.
Max bars in POI zone - Maximum number of bars in POI zone.
HTF OB buffer (ATR mult) - HTF zone buffer expressed as ATR multiplier.
Manual POI
Manual POI 1 active - Enables manual POI zone 1.
Manual POI 1 low - Lower level of manual POI zone 1.
Manual POI 1 high - Upper level of manual POI zone 1.
Manual POI 1 weight - Weight of manual POI zone 1 (0-35).
Manual POI 1 type - Type of manual POI zone 1 (Bull/Bear/Both).
Manual POI 2 active - Enables manual POI zone 2.
Manual POI 2 low - Lower level of manual POI zone 2.
Manual POI 2 high - Upper level of manual POI zone 2.
Manual POI 2 weight - Weight of manual POI zone 2 (0-35).
Manual POI 2 type - Type of manual POI zone 2 (Bull/Bear/Both).
Indicators
ATR - Period length for Average True Range.
RSI - Period length for Relative Strength Index.
MACD fast - Fast MACD line.
MACD slow - Slow MACD line.
MACD signal - MACD signal line.
MFI - Period length for Money Flow Index.
Thresholds
Displacement body >= ATR mult - ATR multiplier for candle body displacement.
FVG min-gap (ATR mult) - Minimum FVG gap expressed as ATR multiplier.
CHoCH pivot >= ATR mult - ATR multiplier for Change of Character pivots.
Trend EMA length - EMA length for trend (10-400).
Sweep lookback (bars back) - Number of bars back for sweep analysis (3-50).
Require sweep for signals - Requires sweep for signal generation.
FVG
Include micro (1-candle) gaps - Includes micro single-candle gaps.
Entry zone % (50..66) - Entry zone percentage (50-66%).
Show FVG zones - Displays FVG zones on chart.
SMT
Enable SMT - Enables SMT (Smart Money Tracking) analysis.
Benchmark - Benchmark instrument for SMT.
Lookback - Lookback period for SMT analysis (min. 5).
Asymmetry threshold - Asymmetry threshold for SMT (min. 0.01).
HTF trend
HTF TF for trend - HTF timeframe for trend analysis.
HTF EMA length - HTF EMA length (min. 20).
HTF trend bias (+/-) - HTF trend bias (0-30).
HTF EMA tolerance (ATR) - HTF EMA tolerance expressed as ATR.
Scoring/Display
Grade A >= - Threshold for Grade A (50-100).
Grade B >= - Threshold for Grade B (20-80).
Require POI for signals - Requires POI for signal generation.
Require POI only if counter-HTF - Requires POI only for counter-HTF signals.
Block LONG in PREMIUM zone - Blocks LONG signals in PREMIUM zone.
Show debug labels - Displays debug labels.
Show POI zones on chart - Displays POI zones on chart.
Show tooltip on signals - Displays tooltip on signals.
Max signals / day - Maximum number of signals per day (1-40).
Min distance same-dir (ATR) - Minimum distance between same-direction signals.
Max 1 signal per bar (all TF) - Maximum 1 signal per bar (all timeframes).
Counter-HTF requires Grade A - Counter-HTF requires Grade A rating.
Cooldown (bars) - Cooldown period between signals (min. 1).
No-flip window (bars) - No-flip window (min. 1).
Alerts 1h - Alerts for 1-hour timeframes.
Alerts 4h - Alerts for 4-hour timeframes.
Alerts 1d - Alerts for daily timeframes.
Combined alert (any TF) - Combined alert for all timeframes.
Forecasting
ORB with Golden Zone FIB targets, Any Timeframe by TenAMTraderDescription:
This indicator is designed to help traders identify key price levels using Fibonacci extensions and retracements based on the Opening Range Breakout (ORB). The levels are visualized as “Golden Zones”, which can serve as potential targets for trades.
Features:
Customizable ORB Timeframe: By default, the ORB is set from 9:30 AM to 9:45 AM EST, but any timeframe can be configured in the settings to fit your trading style.
Golden Zones as Targets: Fibonacci levels are intended to be used as potential profit-taking zones or areas to monitor for reversals, providing a structured framework for intraday and swing trading.
Adjustable Chart Settings: Color-coded levels make it easy to interpret at a glance, and all lines can be customized for personal preference.
Versatile Application: The indicator works across any timeframe, enabling traders to analyze both intraday and multi-day price action.
How to Use:
Ensure Regular Trading Hours (RTH) is enabled on your chart for accurate level calculation.
Observe price action near Golden Zones: a confirmed breakout may indicate continuation, while a pullback could signal a reversal opportunity.
Use the Golden Zones as reference targets for managing risk and planning exits.
Adjust the ORB timeframe and display settings to match your preferred trading style.
Legal Disclosure:
This indicator is provided for educational purposes only and is not financial advice. Trading carries a substantial risk of loss. Users should always perform their own analysis and consult a licensed financial professional before making any trading decisions. Past performance is not indicative of future results.
Student Wyckoff RS Symbol/MarketRelative Strength Indicator STUDENT WYCKOFF RS SYMBOL/MARKET
Description
The Relative Strength (RS) Indicator compares the price performance of the current financial instrument (e.g., a stock) against another instrument (e.g., an index or another stock). It is calculated by dividing the closing price of the first instrument by the closing price of the second, then multiplying by 100. This provides a percentage ratio that shows how one instrument outperforms or underperforms another. The indicator helps traders identify strong or weak assets, spot market leaders, or evaluate an asset’s performance relative to a benchmark.
Key Features
Relative Strength Calculation: Divides the closing price of the current instrument by the closing price of the second instrument and multiplies by 100 to express the ratio as a percentage.
Simple Moving Average (SMA): Applies a customizable Simple Moving Average (default period: 14) to smooth the data and highlight trends.
Visualization: Displays the Relative Strength as a blue line, the SMA as an orange line, and colors bars (blue for rising, red for falling) to indicate changes in relative strength.
Flexibility: Allows users to select the second instrument via an input field and adjust the SMA period.
Applications
Market Comparison: Assess whether a stock is outperforming an index (e.g., S&P 500 or MOEX) to identify strong assets for investment.
Sector Analysis: Compare stocks within a sector or against a sector ETF to pinpoint leaders.
Trend Analysis: Use the rise or fall of the RS line and its SMA to gauge the strength of an asset’s trend relative to another instrument.
Trade Timing: Bar coloring helps quickly identify changes in relative strength, aiding short-term trading decisions.
Interpretation
Rising RS: Indicates the first instrument is outperforming the second (e.g., a stock growing faster than an index).
Falling RS: Suggests the first instrument is underperforming.
SMA as a Trend Filter: If the RS line is above the SMA, it may signal strengthening performance; if below, weakening performance.
Settings
Instrument 2: Ticker of the second instrument (default: QQQ).
SMA Period: Period for the Simple Moving Average (default: 14).
Notes
The indicator works on any timeframe but requires accurate ticker input for the second instrument.
Ensure data for both instruments is available on the selected timeframe for precise analysis.
Futures Confluence Delta (FCD) - Histogram
The Futures Confluence Delta (FCD) Histogram is a powerful trend-following indicator tailored for scalping futures on 1-minute charts. Displayed in a bottom panel like RSI or volume, it visualizes cumulative volume delta to identify bullish or bearish market momentum. The histogram turns green for positive delta (buying pressure, suggesting a long trend) and red for negative delta (selling pressure, indicating a short trend), providing quick insight into market direction.
This indicator is ideal for futures traders seeking confluence with other tools, such as VWMA or order block strategies. It uses a simple yet effective delta calculation (buy volume for up candles, sell volume for down candles, smoothed with EMA) to highlight trend strength, making it perfect for fast-paced scalping environments.
Key Features:
Cumulative Delta Histogram: Tracks buying vs. selling pressure, smoothed with an EMA for clarity.
Color-Coded Trend Signals: Green for bullish (long) trends, red for bearish (short) trends.
Customizable Settings: Adjust the delta lookback period and enable/disable daily reset for flexibility.
Optimized for 1-minute charts on futures.
Alert Support: Set alerts for trend changes to stay ahead of market shifts.
How to Use:
Add the indicator to your 1-minute chart. Observe the histogram in the bottom panel:
Green bars (positive delta) suggest a bullish trend, favoring long entries.
Red bars (negative delta) indicate a bearish trend, favoring short entries.
Combine with other indicators (e.g., VWMA, order blocks, or FVGs) for confluence.
Set alerts for trend changes via the FCD Long Trend or FCD Short Trend conditions.
Adjust settings (delta lookback, daily reset) to match your trading style.
Settings:
Delta Lookback Period (default: 14): Controls the EMA smoothing of the delta. Lower values increase sensitivity; higher values smooth trends.
Reset Delta Daily (default: true): Resets cumulative delta at the start of each trading day for futures session alignment.
Long Color (default: green): Color for bullish delta.
Short Color (default: red): Color for bearish delta.
Notes:
Ensure sufficient historical data (500+ bars) for accurate delta calculations.
Test on NQ for higher volatility, as it may show stronger delta signals compared to GC or ES.
Check the Pine Logs pane (“More” > “Pine Logs”) for any NA data issues if the histogram doesn’t display.
Share your feedback or suggestions in the comments!
Trend by ΔMA + Double ZigZag + EMA/WMA Bands by KidevThis script is a multi-tool trend and structure analyzer combining moving average slope confirmation, double zigzag swing mapping, and dynamic EMA/WMA trend bands — all in one overlay indicator.
🔹 Key Features:
ΔMA Trend Detection
Detects trend shifts using the slope of a chosen moving average (SMA, EMA, WMA, RMA, HMA).
Confirms uptrend/downtrend only after a user-defined confirmation window.
Draws color-coded MA line (green = uptrend, red = downtrend, gray = sideways).
Optional arrows for trend change entries.
Alerts for confirmed trend shifts.
Double ZigZag Swing Analysis
Two customizable ZigZag layers with independent lookback periods.
Optional swing labels (HH, HL, LH, LL) to track market structure.
Full control over line style, width, and colors for each ZigZag.
EMA Band (96 default)
Plots a dynamic EMA channel (High, HLC3, Low).
Visual band highlights volatility and trend zones.
Adjustable fill color and transparency.
Weighted Moving Average (WMA 96)
Clean trend-following baseline.
Adjustable source, length, and color.
Background Highlight
Toggleable background shading for bullish / bearish / sideways conditions.
Fully customizable colors and transparency.
Helps visually separate market phases at a glance.
Note:
ZigZag repainting is inherent by design (future swings refine past points). Use it as a structural guide, not as a standalone signal.
Third Eye ORB Pro (0915-0930 IST, no-plot)Third Eye ORB Pro (Opening Range Breakout + Range Mode)
This indicator is designed specifically for Indian stocks and indices (NIFTY, BANKNIFTY, FINNIFTY, MIDCAP, etc.) to track the Opening Range (09:15–09:30 IST) and generate actionable intraday trade signals. It combines two key modes — Range Mode (mean reversion inside the opening range) and Breakout Mode (momentum trading beyond the range).
1. Opening Range Framework (09:15–09:30 IST)
The indicator automatically plots the Opening Range High (ORH) and Opening Range Low (ORL) after the first 15 minutes of market open.
The area between ORH and ORL acts as the intraday battlefield where most price action occurs (historically ~70–80% of the day is spent inside this zone).
A shaded box and horizontal lines mark this range, serving as a visual reference for support and resistance throughout the day.
2. Range Mode (Mean Reversion Inside OR)
When price trades inside the Opening Range, the indicator looks for edge rejections to capture range-bound trades.
Range BUY (RB): Triggered near ORL when a bullish rejection candle forms (strong body + long lower wick).
Range SELL (RS): Triggered near ORH when a bearish rejection candle forms (strong body + long upper wick).
Optional filters (toggleable in settings):
RSI Filter: Only allow range buys if RSI is oversold (≤45) and range sells if RSI is overbought (≥55).
VWAP Filter: Only allow range trades if price is not too far from VWAP (distance ≤ X% of OR size).
Labels show suggested Stop Loss (just outside the OR band) and Target (midline/VWAP).
Cooldown logic prevents consecutive whipsaw signals.
3. Breakout Mode (Directional Moves Beyond OR)
When price closes strongly outside the ORH/ORL with momentum, the indicator confirms a breakout/breakdown trade.
Buffers are applied to avoid false breakouts:
ATR Buffer: Price must extend at least ATR × multiplier beyond the range edge.
% Buffer: Price must extend at least a percentage of OR size (default 10%).
Confirmation Filters:
Candle must have a strong body (≥60% of total bar range).
Optional “two closes” rule: price must close outside the range for 2 consecutive candles.
BUY BO: Trigger when price closes above ORH + buffer with momentum.
SELL BD: Trigger when price closes below ORL – buffer with momentum.
Labels and alerts are plotted for quick action.
4. Practical Usage
Works best on 5-minute charts for intraday trading.
Designed to help traders capture both:
Range-bound moves during the day (mean reversion plays).
Strong directional breakouts when institutions push price beyond the opening range.
Particularly effective on expiry days, trending sessions, and major news days when breakouts are more likely.
On sideways days, Range Mode provides reliable scalp opportunities at the OR edges.
5. Features
Auto-plots Opening Range High, Low, Midline.
Box + line visuals (no repainting).
Buy/Sell labels for both Range Mode and Breakout Mode.
Customizable buffers (ATR, % of range) to suit volatility.
Alerts for all signals (breakouts and range plays).
Built with risk management in mind (suggested SL and TP shown on chart).
Chanpreet RSI Extreme Rays Version 1.0Identifies short-term momentum extremes and highlights potential reversal zones.
Future Value ProjectionFuture Value Projection with Actual CAGR
This indicator calculates the future value (FV) of the current ticker’s price using its historical Compound Annual Growth Rate (CAGR). It measures how much the price has grown over a chosen lookback period, derives the average annual growth rate, and then projects the current price forward into the future.
Formulae:
CAGR:
CAGR = ( PV_now / PV_past )^(1 / t) - 1
Future Value:
FV = PV_now × ( 1 + CAGR / n )^( n × T )
Where:
PV_now = Current price
PV_past = Price t years ago
t = Lookback period (years)
CAGR = Compound Annual Growth Rate
n = Compounding periods per year (1=annual, 12=monthly, 252=daily, etc.)
T = Projection horizon (years forward)
How it works:
Select a lookback period (e.g., 3 years).
The script finds the price from that time and computes the CAGR.
It then projects the current price forward by T years using the CAGR.
The chart shows:
Current price (blue)
Projected FV target (green)
A table with CAGR and projection details
Use case:
Helps investors and traders visualize long-term growth projections if the ticker continues growing at its historical pace.
Auto S/R 1H - Stable Simplethat is a script to find out the support and resistance as trendlines for stocks in one hour timeframe for swing trading.
Lectura de VelasScript designed to display, on a panel as shown, the candlestick readings for Weekly, Daily, 4-hour, and 1-hour timeframes
Hourly Range Dashboard (2.0)This dashboard displays each hourly candles range, High minus Low based on an adjustable Look Back in Days. This clearly shows the most active times/hour of day and range of an instrument and the specific hour(s) that its volatility is low during a 24-hour trading session and the hours that the volatility is high. This can help to focus your trading hours based on the most active/volatility.
Price-Volume RelationshipVolume is the relationship between price and performance. Set the candlestick quantity in the settings. It analyzes price and volume based on the number of candlesticks you specify to determine price expectations.
SMC Concepts (Sessions, Lookback Gaps) | קונספטים SMCThe indicator marks the Asian session and the London session in order to see liquidity taking - in addition, it gently marks gaps throughout the entire chart - the indicator marks gaps of a 24/12/6/3 hour back time - from the New York session. The marking of these gaps will be throughout the entire chart until the New York session. Options for selecting a specific time precisely.האינדיקטור מסמן את סשן אסיה ואת סשן לונדון על מנת לראות לקיחת נזילות -בנוסף מסמן בעדינות גאפים לאורך כל הגרף -האינדיקטור מסמן גאפים של זמן לאחור של 24/12/6/3 שעות- מזמן סשן נויורק סימון הגאפים האלו יהיה לאורך כל הגרף עד לסשן נויורק . אפשרויות לבחירת זמן מסוים בדווקה .
Riz SMC + Wyckoff + VSAAll-in-one confluence engine that blends Smart Money Concepts (SMC), Wyckoff logic, VSA, multi-timeframe bias, cumulative delta, RSI/MACD divergences, sessions/killzones, and rule-based risk management. Built for scalpers, day traders, and swing traders with plug-and-play presets and a clean info panel + legend.
What it plots
Market Structure (HTF/Internal)
Major/minor swings with BOS / CHoCH, ATR sensitivity, noise throttling, and minimum spacing between breaks.
Liquidity Toolkit
Equal highs/lows (pools), confirmed liquidity sweeps with immediate reversal + volume, session highs/lows (optional).
Order Blocks & Breaker Logic
Auto-boxed OBs from impulsive moves (volume + range), optional mitigation tracking (fades after fill).
Fair Value Gaps (FVG)
ATR-scaled gaps with volume validation and forward boxes.
Wyckoff Events + Phase Hints
Spring, UTAD, SOS, SOW, Tests, Stopping Volume, Absorption → running phase labelling (Accumulation/Distribution B–E).
VSA Layer (visual optional)
Buying/Selling climax, No Demand/No Supply, professional activity, effort vs result, dry-up, weakness/strength tags.
Cumulative Delta (price-based)
Delta pressure diamonds, hidden accumulation/distribution, bullish/bearish delta divergences.
Divergences (visual)
RSI / MACD regular divergences + “Strong” (both agree). No impact on signals unless you enable confirmations.
Volume Profile (lightweight)
POC + VAH/VAL (periodic calc for speed).
Sessions & Killzones
Asian/London/NY shading, London/NY/NY-Lunch KZ highlights; optional first-30-min avoidance.
Signals + Strength
BUY / SELL labels from a 0–10 Confluence Score (Structure, Liquidity, OB/FVG, Wyckoff, VSA, HTF bias, Session/KZ, Volume, Delta, Confirmations). Score threshold adapts to your Trading Mode.
Risk & Trade Lines
Structure-based SL, TP1/TP2/TP3 (RR-driven), partials, auto BE at TP1, ATR trailing after TP1, adaptive position sizing by signal strength & mode.
Trading modes (presets)
Scalping / Day Trading / Swing Trading / Custom
When Auto-Adjust is ON, the indicator tunes:
Minimum confluence required
Divergence lookback sensitivity
Structure ATR multiplier
You can always override in Custom.
Key inputs (high level)
Entry Confirmation: require confirmation candles, volume confirm; momentum confirm (optional); set Min Confluence Score.
Structure: Major only / add internal, CHoCH toggle, ATR filter & depths.
SMC: Liquidity pools/sweeps, FVG (ATR min), Order Blocks + mitigation, Breakers, POIs.
Wyckoff & VSA: Event toggles, thresholds, volume profile lookback.
Delta: Lookback & plot toggles for pressure/hidden Acc-Dist.
Filters: Trend (ADX threshold), spread cap (ATR), optional news (manual), session first-30-min block.
Risk: RR, structure stops, partial TP %, move SL→BE at TP1, ATR trailing, adaptive position sizing.
MTF Bias: Up to 3 higher TFs with weighted bias.
Panels & UX
Info Panel (top-right): mode + min score, HTF bias, structure, Wyckoff phase, session/KZ, volume & spread states, RSI/MACD status & divs, ADX trend, delta pressure & Acc/Dist, confluence scores (bull/bear), liquidity state, trade status & position size.
Legend (bottom-left): quick key for labels/shapes so charts stay readable.
Alerts (ready to automate)
Signals: Strong Buy / Strong Sell
Wyckoff: Spring, UTAD, SOS, SOW
Liquidity: Bullish/Bearish Liquidity Grab
Divergences: RSI, MACD, and Strong (both)
Delta: Significant Buy/Sell Pressure, Hidden Accumulation/Distribution
Trade mgmt: TP1 hit
Quick start
1- Pick Trading Mode (start with Day Trading) and keep Auto-Adjust ON.
2- Enable Liquidity, OB, FVG, Wyckoff (and VSA/Delta if you want deeper context).
3- Keep Trend/Spread filters ON to avoid low-quality prints.
4- Watch the Info Panel: HTF bias + Confluence Score (≥ preset threshold) + Session/KZ alignment.
5- Use structure-based SL, scale-out at TP1, let the ATR trailer work after BE.
Notes & best practices
Divergences are visual only unless you explicitly require confirmations.
Works on FX, indices, crypto, metals, and liquid equities.
Timeframes: Scalping 1–5m, Day 5–15m, Swing 1H–4H (guidelines, not rules).
This tool does not guarantee outcomes. Always forward-test, manage risk, and respect your plan.
SMC+Wyckoff+VSA confluence with MTF bias, delta, divergences, liquidity sweeps, OB/FVG, adaptive presets, and structured risk (BE/partials/trailing). Prints BUY/SELL with a 0–10 score, session/KZ awareness, panels, and alerts.
Hopiplaka Goldbach System with SignalsAn advanced mathematical trading system that combines Goldbach Conjecture prime number theory with PO3 (Power of 3) range analysis and Tesla Vortex algorithms. This indicator identifies high-probability price levels and generates trading signals based on mathematical harmony and multi-factor confluence analysis.
Key Features
🔢 Goldbach Mathematical Levels
Generates price levels using Goldbach prime number partitions
Classifies levels as Premium, Standard, or Discount based on prime quality
Enforces precise 6% spacing between levels for harmonic structure
Tesla Vortex alignment detection for enhanced reliability
📊 PO3 Range System
Dynamic range calculation using Powers of 3 (3, 9, 27, 81, 243, 729, 2187)
Auto-expansion capability when price approaches boundaries
Liquidity zone visualization around key levels
📈 Multi-Factor Trading Signals
Buy/Sell signals based on 6 confluence factors:
Tesla Vortex phase alignment
ICT AMD cycle position
Goldbach time analysis
Volume profile weighting
Level quality assessment
Price momentum confirmation
Signal cooldown system to prevent overtrading
Adjustable confluence requirements (1-6 factors)
🎯 Advanced Analysis Integration
Tesla Vortex Algorithm: MMxM detection and trend phase analysis
ICT Concepts: AMD cycles (Accumulation, Manipulation, Distribution)
Time Analysis: Goldbach-aligned temporal patterns
Volume Profiling: Dynamic level weighting based on volume
Liquidity Detection: Sweep probability and pool identification
Visual Components
Color-coded Goldbach levels (Premium/Standard/Discount)
Order Block and Liquidity Void zones
Buy/Sell signal arrows with confidence display
Goldbach hit markers when price touches levels
Comprehensive information panel showing system status
PO3 range boundaries with expansion indicators
Input Parameters
Core Settings
PO3 Range Size: Select base range (3 to 2187)
Goldbach Precision: Number of partitions to calculate (20-200)
Confluence Required: Minimum factors for signal generation (1-6)
Signal Cooldown: Bars between signals (5-50)
Signal Filters
Min Distance to Level: Proximity required for signals (0.1-2.0%)
Minimum Reliability Score: Quality threshold for levels (0.5-2.0)
Signal Sensitivity: Aggressiveness of signal generation (0.5-3.0)
Analysis Toggles
Enable/Disable Tesla Vortex, ICT AMD, Time Analysis
Volume weighting and liquidity detection options
Historical and future projection controls
How It Works
Level Generation: The system calculates Goldbach prime partitions within the current PO3 range, creating mathematically significant price levels
Confluence Analysis: Multiple analytical frameworks assess market conditions at each level
Signal Generation: When price approaches a Goldbach level with sufficient confluence factors aligned, the system generates a trading signal
Risk Management: Built-in cooldown periods and distance requirements prevent excessive signals and overtrading
Best Practices
For Cleaner Signals
Set Confluence Required to 4-5
Increase Signal Cooldown to 15-20 bars
Reduce Min Distance to 0.3% for precision entries
Increase Minimum Reliability to 1.2-1.5
Timeframe Recommendations
Scalping: 1-5 minute charts with tight distance settings
Day Trading: 15-60 minute charts with standard settings
Swing Trading: 4H-Daily charts with relaxed cooldown periods
Alert Conditions
Buy/Sell signal generation with confluence count
Goldbach level hit detection
PO3 range breakouts and expansions
Tesla Vortex phase transitions
Liquidity sweep warnings
Time confluence alignments
Mathematical Foundation
The Goldbach Conjecture states that every even number greater than 2 can be expressed as the sum of two primes. This indicator leverages this mathematical principle to identify price levels where natural market harmony occurs, enhanced by Tesla's 3-6-9 vortex mathematics and ICT's market structure concepts.
Disclaimer
This indicator is for educational and analytical purposes. Past performance does not guarantee future results. Always use proper risk management and combine with other analysis methods for trading decisions.
Version Notes
Advanced signal filtering to prevent noise
Multi-timeframe time analysis capability
Enhanced Tesla Vortex integration
Volume-weighted level reliability scoring
Comprehensive confluence system for high-probability setups
Tags: #goldbach #mathematics #po3 #tesla #vortex #ict #amd #signals #primes #harmonics #levels
Milo Scalping Pro - MTF SMC + Wyckoff + VSAMilo Scalping Pro — MTF SMC + Wyckoff + VSA
A fast, confluence-driven toolkit for intraday traders. Milo Scalping Pro blends Smart Money Concepts (SMC), Wyckoff events, Volume Spread Analysis (VSA), higher-timeframe bias, sessions & kill zones, and a smart TP engine. It adapts to your chart timeframe, filters for quality, and prints clear BUY/SELL labels with strength scores so you can act only when multiple edges align.
What it does
Multi-TF Context (Auto-Adapt)
Auto selects sensible HTF/MTF pairs from your chart (or pick them manually).
HTF bias via customizable EMA(20/50) alignment + distance (trend strength).
Optional HTF lines: Previous Day High/Low and session boxes.
SMC Engine
Order Blocks, Fair Value Gaps with mitigation level (50% by default).
Liquidity Sweeps with session awareness (Asian/London/NY context).
Market Structure: BOS/CHoCH with importance (major/minor/micro), optional confluence filter (volume / KZ / HTF alignment), and dotted structure lines.
Wyckoff Suite
SOS / SOW, Spring / Upthrust, Accumulation/Distribution zoning.
Breakout/retest logic and low-volume retest confirmations.
VSA Layer
Test bar, No Supply / No Demand, Stopping Volume, Effort vs. Result markers, spread & relative volume diagnostics.
Sessions & Kill Zones
Asian / London / New York session shading.
London KZ, NY KZ, London Close KZ highlights (optional filter to only trade inside KZs).
Signal & Strength
BUY/SELL labels generated from HTF bias + SMC + Wyckoff + VSA (+ session/KZ + MSB bonus).
Strength badge for quick sizing/priority decisions.
Smart TP & Trade Lines
ATR-based SL and three TP targets:
Smart: targets nearby imbalances (FVG), liquidity (session/PDH/PDL/recent), then extends.
Fixed RR: classic RR (user-set).
Hybrid: best of both.
Auto TP1/TP2 hit labels; optional multi-TP plotting.
Dashboards
Bias Panel (top-left): HTF bias, session/KZ status, price vs PDH/PDL, structure state, Wyckoff phase, volume state, mode, action.
Info Panel (top-right): SMC/Wyckoff/VSA statuses, HTF details, confluence count, final signal & strength.
EMA Cloud for trend visual.
Key inputs (quick tour)
Timeframe Analysis
Auto-adapt on/off, manual HTF/MTF, show HTF levels, EMA(20/50) lines.
SMC
Order blocks (lookback), FVG min size (ATR-scaled), liquidity sweep threshold, MSB mode (Major-only / Major+Minor / All), structure lookback & min swing size, confluence requirement, lines & alerts.
Wyckoff
Lookback, SOS/SOW toggles, Spring/Upthrust, Acc/Dist zones, volume threshold.
VSA
Lookback, low/high volume thresholds, narrow-spread threshold.
Signals
Auto-Mode (Strict / Normal / Aggressive chosen by market state) or pick manually.
Show buy/sell, alerts on/off, print strength .
Sessions & KZ
Session shading on/off.
KZ windows and “Only trade in KZ” filter.
Risk
SL/TP visibility, TP Mode (Fixed RR / Smart / Hybrid), RR, ATR SL multiplier, multi-TP labels and partials.
Alerts included
Buy Signal / Sell Signal
Wyckoff: SOS, SOW, Spring, Upthrust
VSA: Test Bar, No Supply, No Demand
SMC: Bull/Bear Liquidity Sweep
Structure: Major Bullish/Bearish MSB, Major CHoCH (reversal)
Kill Zone Active
How to use (quick start)
Leave Auto-Adapt ON to get solid HTF/MTF defaults from whatever chart you trade.
Turn on Kill Zone filter if you prefer concentrated intraday windows (London/NY).
Start with Confirmation Mode = Normal (balanced), then adjust:
Strict for fewer, higher-confluence signals in strong trends.
Aggressive for ranging or slower conditions.
Use strength + confluence count in the panels to prioritize entries.
Choose TP Mode:
Smart to target imbalances/liquidity automatically.
Fixed for pure RR.
Hybrid if you want both logic paths.
Manage with plotted SL/TP lines and watch for TP1/TP2 hits.
Notes & tips
Works on FX, indices, crypto, metals, and equities. For scalping, think 1m–15m; for fast swings, M30–H4.
Structure labels clean up automatically; consolidation is flagged to reduce noise.
Past performance metrics are not implied. Always forward-test and use strict risk management.
Raja Bank + VSA + Wyckoff Advanced IndicatorRaja Bank + VSA + Wyckoff Advanced Indicator
A multi-engine execution and context toolkit that fuses Raja Bank supply/demand zones, VSA (Volume Spread Analysis), and Wyckoff phase logic. It scores every bar, grades signals A/B/C, and draws risk lines (SL/TP)—so you can focus on the highest-quality setups.
What’s inside (3 engines)
1) Raja Bank Zones (dynamic S/D)
Auto-detects swing-based demand/supply zones with strength, touch count, age, and decay.
Highlights the strongest nearby zone within ±2% of price.
Strength factors: volume vs MA, retests (weaken on retest), touches, and age decay.
2) VSA Patterns (effort vs result)
Buying/Selling Climax, Stopping Volume (buy/sell)
Shakeout / Upthrust
No Supply / No Demand
Successful/Failed Tests, Backup/Retest
Effort-No-Result, bar spread state (narrow/wide/very wide), relative volume & close position.
3) Wyckoff Advanced
Range detection, Springs/Upthrusts, Jump over the Creek & Backup to the Creek
SOS/SOW, Accumulation/Distribution, and phase progression:
Accumulation / Distribution → Phase C (Spring/UT) → Phase D (Jump) → Phase E (Markup/Markdown) → Trends.
Smart scoring → Signal grades
Per-side scores: RajaScore, VSAScore, WyckoffScore → averaged to a Total Score.
Grade A: all 3 align & score strong; Grade B: 2/3 align; Grade C: 1 strong + confirmation.
Filters (optional) reduce score in noise: Trend filter (MA & slope), Volatility cap (ATR×max), HTF bias (MTF 20-MA).
Final Buy/Sell signals when Total Score ≥ Min Score (user-set).
Visuals & tools
Zones: demand/supply lines with transparency by strength; nearest strong zone emphasized.
Signals: triangles above/below bar with A/B/C grading.
VSA dots for major patterns (BC/SC/SO/UT).
Creek levels (upper/lower/middle) when in range.
Risk management: auto SL (±%) and TP by R:R, plotted with labels.
Failed-signal tracking: counters for buy/sell to monitor false positives.
Dashboard (top-right): Wyckoff phase + counter, regime (Ranging/Trending) & trend arrow, HTF bias (Bull/Bear/Neutral), Buy/Sell Scores & Grades, live VSA state (volume/spread/pattern), and failed-signal counts.
Subtle background tints for Phase C (Spring/UT), Phase D (Jump), and Effort-No-Result.
Inputs you’ll use most
Raja Bank: lookback, min touches, strength multiplier/decay, max age.
VSA: volume MA, spike/climax multipliers, spread multiplier.
Wyckoff: phase length, spring/UT depth %, creek width %.
Signal System: show Grade A/B/C, Min Score.
Smart Filters: trend MA length, ATR cap, HTF timeframe & bias toggle, session time filter.
Risk: SL %, R:R, show SL/TP.
Alerts (ready to go)
Grade A/B/C Buy and Sell signals.
VSA: Buying/Selling Climax, Shakeout, Upthrust.
Wyckoff: Potential Spring / Upthrust.
Quick start
Pick your market/timeframe (M5–H1 for intraday; H4–D1 for swing).
Enable Smart Filters and set HTF timeframe (e.g., H4).
Start with Min Score ~50–60; act mainly on Grade A/B in line with HTF bias.
Use zones for entries/invalidations; let SL% & R:R draw management lines.
Track failed-signal counters and adjust filters if noise rises.
Notes
Works across FX, indices, crypto, metals, and equities.
This is a decision-support tool, not financial advice. Always forward-test and use strict risk management.
Tags: Raja Bank, Supply/Demand, VSA, Wyckoff, Spring, Upthrust, SOS, SOW, Creek/Jump, Accumulation, Distribution, ATR, MTF, HTF Bias, Risk/Reward, Confluence, Trend vs Range
Wyckoff System with Smart DisplayWyckoff System with Smart Display
Rule-based Wyckoff event detection with context, confidence scoring, and clean on-chart visualization. This toolkit helps you identify Springs/Upthrusts, SOS/SOW, Shakeouts, Tests, and accumulation/distribution zones—then filters and ranks them using market regime, HTF bias, volume/RSI/MACD confluence, and a pressure gauge.
What it detects
Core Wyckoff events:
SOS (Sign of Strength), SOW (Sign of Weakness), Spring, Upthrust, Shakeout, Test
States & zones: Accumulation/Distribution, consolidation/range status, S/R lines (20/50-bar)
Momentum & volume context: RSI (with bullish/bearish divergences), MACD crosses, volume spikes/dry-ups
Market regime: ADX/ATR-based Trending/Ranging/Transitioning, plus Uptrend/Downtrend/Sideways via SMA20/50
HTF Bias: Higher-timeframe close/MA structure for alignment (customizable timeframe)
Smart Signal Management
Confidence Score (%) per event (adds points for divergence, MACD confluence, trend and HTF alignment)
Pressure Gauge: live % build-up for SOS/SOW/Spring/Upthrust (pre-signals before the full event)
Preliminary signals with spacing control (avoid label spam)
Hierarchy & throttling: show top 1–2 signals per bar (configurable), or list all (toggle)
On-chart visuals
Colored labels for each event with optional (Confidence %)
Pressure mini-panel (bottom-right) for SOS/SOW/Spring/Upthrust build-up
Regime badge (top-left) and HTF bias badge (top-right)
Light S/R and midpoint guides, plus SMA20/50
Optional Accumulation/Distribution boxes when no higher-priority signals fire
Inputs you’ll use most
Wyckoff Events: toggle SOS/SOW/Spring/Upthrust/Test/Shakeout/Acc/Dist/Preliminary
Early Detection: RSI divergences, volume precursors, Pressure Threshold %, label spacing
Context: Market Regime badge, HTF timeframe for bias, S/R lines
Signal Management: enable Hierarchy, show Confidence %, Min Confidence %, Max signals per bar
Visuals: per-event colors and preliminary opacity
Alerts (ready to use)
SPRING, UPTHRUST, SOS, SOW, SHAKEOUT, TEST
Preliminary (building Spring/Upthrust/SOS/SOW)
Bullish/Bearish RSI Divergence, Bullish/Bearish Volume Pattern
Entering/Extended Consolidation (range duration milestones)
Quick start
1- Set HTF timeframe (e.g., H4,H1 or D1) and keep Min Confidence around 70–80%.
2- Enable Hierarchy with Max 2 signals/bar to stay focused.
3- Trade Springs/Upthrusts primarily inside ranges; use SOS/SOW to confirm continuation after breaks.
4- Favor signals that align with HTF bias and a clear Market Regime.
5- Use Tests/Shakeouts as fine entries only when Confidence is strong and context agrees.
Notes
Optimized for FX, indices, crypto, metals, and equities on intraday or swing TFs.
This is a Wyckoff research/execution aid, not financial advice; forward-test and risk-manage.
Tags: Wyckoff, Spring, Upthrust, SOS, SOW, Accumulation, Distribution, RSI Divergence, Volume, MACD, Market Regime, HTF Bias, Confidence Score, Pressure Gauge, Smart Money, Ranging vs Trending
Lion Vip + V2Lion Vip +V1
The Lion Vip +V1 indicator is a powerful, multi-purpose tool designed to simplify your trading decisions by combining three core analysis components into a single, clean interface. This comprehensive system helps you identify market trends, pinpoint critical support and resistance levels, and confirm overall market direction.
Key Features:
1. Lion VIP Trend-Following Engine
Clear Buy/Sell Signals: Get straightforward buy and sell signals based on the market's price action. The system uses a dynamic trailing stop to follow the trend, making it easy to spot potential reversals.
Intuitive Trend Highlighting: The background of your chart is colored to instantly show you the dominant trend, so you can make decisions at a glance. Green for uptrends, red for downtrends.
2. Multi-Timeframe Support & Resistance (S/R) Module
Automatic S/R Levels: The indicator automatically identifies and draws significant support and resistance levels from pivot points. This saves you time and ensures you're looking at the most relevant levels.
Cross-Timeframe Analysis: Access key S/R levels from higher timeframes directly on your current chart. By enabling up to three different timeframes in the settings, you can see how the bigger picture affects your trading.
Customizable Lines: You have full control over the style, color, and thickness of your S/R lines to match your personal chart layout.
3. Simple Moving Average (MA) Confirmation
Trend Validation: A customizable Simple Moving Average (MA) is included to help you validate the signals from the Lion VIP system. Use it to confirm the overall trend direction and reduce false signals.
Why Use Lion Vip +V1?
Streamlined Analysis: No need to clutter your chart with multiple indicators. Lion Vip +V1 puts trend-following, support/resistance, and trend confirmation all in one place.
Highly Customizable: Each component can be individually turned on or off and its settings can be adjusted to fit your specific trading strategy.
Clarity and Simplicity: The indicator provides a clean and easy-to-read display, helping you make faster, more confident trading decisions.
Lion Vip +V1 is the perfect tool for traders of all levels who want a clear and comprehensive view of the market without the noise.
事件合约(一分钟)CCI-MACD-StochRSI-KC Combined Trading Strategy V3 - Enhanced Statistics Version
This is a sophisticated, multi-indicator trading strategy for TradingView, built with Pine Script v5. It aims to generate high-probability entry signals by combining the trend-filtering power of the Commodity Channel Index (CCI) with momentum, volatility, and volume confirmation from other indicators. Its standout feature is a comprehensive statistical tracking system that evaluates the performance of different signal types.
Trendlines AI Radar by Abu-SarahTrendlines AI Radar – v1
The Trendlines AI Radar is a professional tool built to automatically detect swing highs and lows and dynamically draw uptrend and downtrend lines with high accuracy.
This indicator filters out market noise by displaying only the most recent active trendlines, ensuring clarity and focus on the real price direction.
It combines multiple slope calculation methods: ATR, Standard Deviation, and Linear Regression – making it suitable for both intraday and swing traders.
Key Features:
- Automatic detection of dynamic trendlines.
- Displays only the latest active uptrend & downtrend.
- Multiple slope methods (ATR / Stdev / LinReg).
- Real-time alerts on breakout/breakdown.
- Fully customizable colors & extended lines.
- Designed for clarity, speed, and precision.
مؤشر Trendlines AI Radar هو أداة احترافية تقوم تلقائيًا باكتشاف القمم والقيعان ورسم الترندات الصاعدة والهابطة بدقة عالية.
يعتمد على طرق رياضية متقدمة لحساب الميل (ATR، Stdev، LinReg)، ويعرض فقط آخر ترند فعال لتقليل الضوضاء وتوضيح الاتجاه الحقيقي.
مصمم للمضارب اليومي والمتداول المتوسط المدى، مع تنبيهات فورية عند الاختراق أو الكسر.