DCA Gold BenchmarkOverview
The DCA Gold Benchmark indicator provides a relative valuation tool for assessing an asset's price (such as stocks, cryptocurrencies, commodities, bonds, or forex pairs) against gold priced in the chart's quote currency, treating gold as a reference for value preservation.
It derives a benchmark from the asset's historical relationship to gold across supported currencies, then scales it to overlay on the price chart for visual comparison to gold-implied fair value. Deviations from this benchmark are emphasized.
An envelope, based on historical variability, surrounds the benchmark line to suggest potential overvaluation (price above upper envelope, consider sell) or undervaluation (price below lower envelope, consider buy).
Supported quote currencies: USD (XAUUSD), AUD (XAUAUD), EUR (XAUEUR), GBP (XAUGBP), JPY (XAUJPY), CAD (XAUCAD). For unsupported currencies or assets, it defaults to USD gold pricing.
How It Works
Gold Price Fetch : The indicator automatically detects the chart's quote currency and fetches the corresponding gold price symbol. If unsupported, it falls back to XAUUSD.
Asset in Gold Terms: Computes the asset's value relative to gold.
Benchmark Calculation : Derives a smoothed benchmark from the asset-in-gold relationship over the lookback period, then scales it for overlay on the price chart.
Envelopes: Forms upper and lower bands based on variability in the asset-in-gold data around the benchmark.
Deviation Metrics: Computes raw deviation, percentage deviation, and normalized deviation for display in the table.
Note: Gold data may have daily resolution, potentially causing slight lag on intraday charts. All calculations use built-in TradingView functions for transparency.
Inputs
Lookback Period (default: 200): The length for the smoothed benchmark and standard deviation calculations. Longer periods smooth the benchmark for long-term analysis; shorter ones increase sensitivity for trading.
Deviation Multiplier for Envelope (default: 1.5): Adjusts the width of the upper/lower envelopes. Higher values widen the bands for fewer signals; lower values tighten them for more frequent touches.
Interpretation
Benchmark Line (Yellow): Represents the asset's "fair value" based on its historical relationship to gold. Price above suggests potential overvaluation vs. gold; below indicates undervaluation.
Upper Envelope (Green): Potential resistance level; price touching or exceeding may signal overextension.
Lower Envelope (Red): Potential support level; price dropping to or below may indicate buying opportunities.
Envelope Fill (Blue): Visual range highlighting the benchmark channel.
Table Metrics (Top-Right):Benchmark: Current scaled fair value.
Asset in Gold: Asset's value in ounces of gold.
Price Deviation: Raw and percentage difference from benchmark (green for positive, red for negative).
Norm Deviation: Standardized deviation (z-score-like); values >1 or <-1 may indicate extremes for mean-reversion trades.
Explanation : Quick guide to signals.
Positive deviations might suggest selling or hedging; negative ones could favor accumulation, especially in DCA strategies. Always confirm with volume, trends, or fundamentals.
Usage Examples
Stocks/ETFs: Apply to SPY or individual stocks to gauge inflation-adjusted value vs. gold during economic uncertainty.
Cryptocurrencies: On BTCUSD or ETHUSD, identify periods where crypto is "cheap" vs. gold for long-term holds.
Forex/Commodities: For pairs like EURUSD, it highlights currency strength relative to gold; for oil (CL1!), assess energy vs. precious metals.
Timeframes: Best on daily+ for reliability; intraday may show more noise due to gold data.
Combine with other indicators (e.g., RSI for momentum) for a better context.
Backtest on historical data to evaluate performance in your strategy.
Limitations
Relies on gold as a stable benchmark, which may not hold in all markets (gold can be volatile due to supply/demand or speculation).
Assumes currency detection accuracy; non-supported currencies default to USD, potentially skewing international assets.
Not a predictive tool—deviations can persist in strong trends. No guarantees of accuracy or profitability; use at your own risk.
Data availability: Gold symbols may vary by broker; test on your setup.
This is for informational purposes; combine with other analysis and do not use as sole trading advice. Tested on: BTCUSD (with USD gold), S&P 500 (SPX or SPY), Nasdaq (NDX or QQQ), Dow Jones (DJI), a variety of stocks (e.g., AAPL, NVDA, TSLA), and forex pairs (e.g., EURUSD with EUR gold, USDJPY with JPY gold) - handles various asset types automatically.
متذبذبات
[SpaghettiForex] RO - Regime Oscillator RO — Regime Oscillator is a market-state tool that classifies price action into three regimes: TREND, RANGE, or CHOP.
It outputs a Regime Index (0–100) designed to measure how “directional and structured” the current environment is. RO is not an overbought/oversold oscillator and it does not generate trade entries. Its purpose is to provide context and help you decide how selective you should be with your execution rules.
What it shows:
- Regime Index (0–100): a smoothed score representing the current market state.
- Regime label: TREND / RANGE / CHOP (with optional background shading).
- Bias label: UP / DOWN / FLAT, derived from moving-average slope.
- Optional component breakdown in the table (ADX, BB width, ATR relative, slope).
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Screenshots (examples):
Screenshot 1 — TREND regime (directional phase)
Example where RO stays in TREND during a sustained directional move.
The Regime Index remains high and the table shows a clear bias (UP or DOWN).
RO identifies a sustained directional phase as TREND (high index + clear bias).
Screenshot 2 — RANGE regime (mean-reverting phase)
Example where RO identifies a RANGE environment (lower index + low trend strength).
Useful to visualise when price is mostly oscillating rather than expanding directionally.
RO identifies a range environment with a low index and a flat bias.
Screenshot 3 — CHOP regime (mixed / noisy conditions)
Example where RO stays in CHOP when the market lacks clean structure.
This helps avoid forcing “trend logic” into random or unstable price action.
RO stays in CHOP when price action lacks clean structure and transitions are frequent.
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How it works (high level):
RO combines four normalised components (0–1) into a weighted score, then smooths it:
1. ADX (trend strength)
2. Bollinger Band Width (compression/expansion)
3. Relative ATR (current volatility vs baseline)
4. MA Slope (magnitude) (directionality)
The resulting Regime Index is mapped into regimes using thresholds. An optional Early Trend mode reduces lag by allowing TREND to trigger earlier when ADX is rising and directional bias is present.
How to use it (context, not signals):
- Use RO to filter conditions: apply different rules in TREND vs RANGE vs CHOP.
- Combine RO with your own structure/levels and risk management.
- If you want a faster response, use Early Trend (enabled by default). If you prefer fewer regime flips, increase smoothing or raise thresholds.
Alerts:
RO includes alerts (bar-close confirmed) for:
- Regime changed
- Trend regime start
- Range regime start
- Chop regime start
Important note:
RO is a context tool. It does not provide financial advice or performance guarantees. Market regimes can change quickly and false transitions are possible—always use proper risk management.
BB3 Mean Reversion + EMA Filter (Stateful) v2The English explanation is below the text. I recommend making your investment decisions with your investment advisor. This script may not be suitable for you. Please test this script in your trial trades. Test whether it works. If it doesn't work, don't use it. You can find many scripts on this platform that will be useful to you. Please use them.
I wanted to share my strategy. Like any strategy, it doesn't offer a 100% guarantee. The most accurate investment can only be achieved by working with a professional investment expert.
You should test this strategy on demo accounts to see if it suits your investment strategy and how accurately it works with the instruments you follow. Each instrument, each investment product, has its own unique characteristics. Regardless of the instrument you are in, it is extremely important to observe it for a while, create a strategy through trial and error, and stick to that strategy.
I hope this strategy will help you. If you share the results with me, I will remove it from publication if it's bad, and if it works, we will try to reach more people. Best regards, wishing you profitable days...
Brahmastra Trend Fusion🔱 BRAHMASTRA TREND FUSION 🔱
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A professional-grade trend detection system that fuses THREE powerful indicators into ONE smooth, color-coded trend line with a premium glow effect.
This indicator eliminates noise and delivers crystal-clear trend signals by requiring MULTIPLE confirmations before changing state.
█ CORE TECHNOLOGY
━━━━━━━━━━━━━━━━━
- RSI (14) → Momentum confirmation
- ADX (14) → Trend strength filter
- Bollinger Bands (20, 2.0) → Price position & squeeze detection
█ HOW IT WORKS
━━━━━━━━━━━━━━
The indicator plots a SINGLE glowing trend line:
🟢 GREEN GLOW = Strong Bullish Trend
→ RSI > 50 and rising
→ ADX > 20 and rising (strong trend)
→ Price above Bollinger middle band
🔴 RED GLOW = Strong Bearish Trend
→ RSI < 50 and falling
→ ADX > 20 and rising
→ Price below Bollinger middle band
⚫ GRAY = Sideways / No Trend
→ ADX weak OR Bollinger squeeze detected
→ Avoid trading in this phase
█ KEY FEATURES
━━━━━━━━━━━━━━
✅ Multi-Layer Glow Effect - Premium visual design
✅ Non-Repainting - Uses confirmed bar close only
✅ Sideways Market Filter - Avoids false signals in ranging conditions
✅ Real-Time Info Panel - Live RSI, ADX, BB status & trend strength
✅ Trend Strength Meter - STRONG / MODERATE / WEAK labels
✅ Persistent State - Holds trend until opposite confirmation
✅ Built-In Alerts - Get notified on trend changes
█ INFO PANEL METRICS
━━━━━━━━━━━━━━━━━━━
┌────────────┬──────────────────────┐
│ Trend │ BULLISH/BEARISH/SIDEWAYS │
│ RSI │ Current value │
│ ADX │ Current value │
│ BB Status │ ABOVE/BELOW/INSIDE │
│ Strength │ STRONG/MODERATE/WEAK │
└────────────┴──────────────────────┘
█ SETTINGS
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- RSI Length (default: 14)
- ADX Length (default: 14)
- ADX Threshold (default: 20)
- Bollinger Length (default: 20)
- Bollinger Deviation (default: 2.0)
- Enable/Disable Glow Effect
- Enable/Disable Info Panel
- Customizable Colors
█ HOW TO TRADE
━━━━━━━━━━━━━━
SCALPING (5M-15M)
→ Enter on color change with tight stops
→ Exit when glow turns gray
INTRADAY (15M-1H)
→ Trade in direction of glow color
→ Use strength meter for position sizing
SWING (4H-Daily)
→ Hold positions until color reversal
→ Add on pullbacks when strength is "STRONG"
█ ENTRY RULES
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1. GREEN line → Look for LONG entries only
2. RED line → Look for SHORT entries only
3. GRAY line → Stay flat, avoid new trades
█ EXIT RULES
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1. Exit LONG when line turns RED or GRAY
2. Exit SHORT when line turns GREEN or GRAY
3. Reduce size when strength shows "WEAK"
█ PROFESSIONAL GUARANTEES
━━━━━━━━━━━━━━━━━━━━━━━━━
❌ NO REPAINTING - Signals don't change after bar close
❌ NO FUTURE LEAK - All calculations use historical data
✅ CONFIRMED SIGNALS - Multiple indicators must agree
✅ CLEAN CODE - Optimized Pine Script v5
█ BEST FOR
━━━━━━━━━━
- Indices (NIFTY, BANKNIFTY, SPX, NQ)
- Stocks
- Crypto
- Forex
- All Timeframes
█ CREDITS
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Developed by Brahmastra Trading Systems
For discretionary and algorithmic traders
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💡 Like & Follow for more premium indicators!
🔔 Enable alerts to never miss a trend change!
MTF DashMulti-Timeframe Dashboard: MACD, ADX, Stochastic, and RSI
This indicator is a Multi-Timeframe (MTF) Dashboard. It creates a table directly on your trading chart that summarizes the market condition across 7 different timeframes (from 3-minute to Daily) using 4 popular technical indicators.
It allows you to see the "big picture" trend without having to switch charts or apply multiple indicators manually.
How to Read the Dashboard
The table is organized with Timeframes as rows and Indicators as columns. Here is what each column tells you:
1. MACD (Trend Direction)
What it checks: It compares the MACD line to the Signal line.
Bullish (Green): The MACD line is above the Signal line (momentum is up).
Bearish (Red): The MACD line is below the Signal line (momentum is down).
2. ADX (Trend Strength)
What it checks: It looks at the strength of the current trend, regardless of direction.
Trending (Blue): The ADX value is higher than your set threshold (default is 25). This means the market has a strong trend.
Sideway (Gray): The ADX value is lower than the threshold. This implies a ranging or choppy market.
3. Stoch (Momentum)
What it checks: It compares the Stochastic %K line to the %D line.
Bullish (Green): The %K line is above the %D line.
Bearish (Red): The %K line is below the %D line.
4. RSI (Overbought/Oversold)
What it checks: It displays the raw RSI value.
Green Background: RSI is above 50 (generally bullish territory).
Red Background: RSI is below 50 (generally bearish territory).
The Timeframes Monitored
The script requests data for the specific ticker you are viewing across these fixed timeframes:
3 Minutes
15 Minutes
30 Minutes
1 Hour
2 Hours
4 Hours
Daily
RSI Exhaustion Gate (Visual Flip)An RSI-based indicator that highlights potential overbought and oversold exhaustion points with visual dots. Provides clear signals when RSI reaches extreme levels and flips, helping traders identify short-term reversal opportunities. Includes customizable colors, RSI levels, and alerts for both long and short exhaustion triggers.
Detailed Description (for Publishing):
RSI Exhaustion Gate (Visual Flip) is designed to help traders identify potential overbought and oversold exhaustion levels on any timeframe.
Key Features:
Plots RSI with standard overbought (70) and oversold (30) levels.
Visually flipped exhaustion dots appear when RSI crosses into extreme zones and reverses, signaling potential trade entries.
Customizable colors for overbought and oversold dots.
Option to toggle visibility of RSI levels and dots.
Alerts for both long and short exhaustion points, so you can set TradingView notifications.
Works on any chart timeframe.
This tool is intended as a visual guide for spotting RSI-based exhaustion signals and can be used in conjunction with your trading strategy for improved timing and clarity.
Gaussian Regression Wave | Lyro RSOverview
Gaussian Regression Wave by Lyro RS is a multi-functional technical analysis indicator designed to visualize trend reversals, volatility bands, and momentum shifts using a Gaussian-filtered linear regression approach. It combines price smoothing, standard deviation zones, and Heikin Ashi visualization into one configurable module. The indicator is especially tailored for short-term reversal trading and includes multiple display modes and dynamic regime detection.
Introduction
The Gaussian Regression Wave introduces a comprehensive framework for interpreting price dynamics through a blend of statistical smoothing, volatility filtering, and trend detection. Without revealing internal logic, the core methodology is centered on Gaussian-based smoothing of a momentum-derived linear regression, further layered with volatility envelopes and optional Heikin Ashi representation.
Purpose
This tool was designed to help traders identify potential market reversals with greater clarity on lower timeframes. It integrates a multi-dimensional view of trend momentum, volatility, and overbought/oversold zones. Intended primarily for reversal trading, it is best utilized on lower timeframe charts such as 1-minute, 5-minute, or 15-minute periods. The indicator provides flexible modes that allow traders to assess trend conditions, strength of price moves, and reversal zones in real time. Additionally, the regime detector allows users to adapt visually to trending versus mean-reverting environments.
Originality and Uniqueness
Unlike traditional regression or moving average indicators, this script introduces a Gaussian filter applied to a momentum-adjusted regression wave, which results in more adaptive and noise-filtered signals. It integrates a wide variety of moving average smoothing methods, which are customizable, alongside a configurable volatility engine using both ATR and standard deviation logic. The ability to toggle between classic and Heikin Ashi modes adds visual clarity, while the inclusion of a background-colored regime detector and a table-based summary panel provides an at-a-glance understanding of market state. The indicator's modularity, visual flexibility, and incorporation of both statistical and price-action elements make it distinct from conventional trend-following or reversal tools.
Inputs
Source: Defines the price input for calculations, such as close, open, high, or low.
LR Length: Defines a period for one of the calculations.
Select MA Type: Allows the user to choose from several smoothing methods (e.g., EMA, HMA,
TEMA). Each affects how responsive or smoothed the final regression output is.
Smoothing Length: Determines the smoothing applied post-regression. A higher value increases lag but improves noise reduction.
Gaussian Length: Number of bars over which the Gaussian weights are calculated. A longer length increases smoothness.
Gaussian Sigma: Adjusts the width of the Gaussian distribution curve. Higher sigma results in a flatter curve and broader smoothing effect.
ATR Length: Defines the lookback period for calculating the Average True Range, used to estimate volatility.
ATR Factor: A multiplier applied to the ATR to scale the dynamic range of the indicator.
Standard Deviation Length: Period used for computing standard deviation boundaries, affecting band sensitivity.
Reverse Calculations: When enabled, flips regime coloration, which may be more suitable for interpreting lower timeframe behavior.
Market Regime Detector: Toggles whether regime analysis is active and allows selection between short-term or long-term views.
Regime Trend Color / Regime Mean Reversion Color: Custom user-defined colors for regime states.
Background Color Transparency: Adjusts the opacity of regime background coloration for visual emphasis or subtlety.
Use 0 as Middle Line: Replaces the midline with a static zero level, offering a normalized view of mean reversion zones.
Standard Deviation Length: Sets the calculation length for standard deviation used in SD band plotting.
Standard Deviation Multiplier: Determines how wide the bands are around the midline based on standard deviation multiples.
Enable Take Profit: Enables markers for potential profit-taking conditions based on standard deviation thresholds.
Display Variation: Chooses between standard candle plots or Heikin Ashi-style rendering for a smoother appearance.
Select Mode: Toggles between visual modes — Trend, Strength, or Reversals — depending on user focus.
Custom Color Palette: Offers four pre-configured color themes for bullish and bearish conditions.
Use Custom Palette: Allows manual selection of custom up and down colors.
Custom Up / Down: Sets personalized signal colors for bullish and bearish conditions.
Force Table Overlay: Ensures the state table overlays on the chart, even in constrained layouts.
LR MOM Modes Table: Sets the screen location for the summary table.
Table Size: Adjusts the size of the state display for better chart readability.
Features
Gaussian Smoothing: A hand-coded Gaussian filter smooths input data across a user-defined length and sigma range. This helps reduce short-term noise while maintaining essential trend structure.
Dynamic Regression Wave: Momentum values derived from price are passed through a linear regression, followed by optional smoothing using any of sixteen different MA types. This produces a centerline that visually oscillates with price momentum.
Dual Plot Modes: Users can switch between classic candle visualization and a Heikin Ashi-based mode. The HA mode provides smoother visuals, particularly helpful for observing transitions and reversals.
Volatility Bands: The indicator plots two layers of standard deviation bands (1 and 2 standard deviations). These bands dynamically contract or expand with volatility and can act as reversal or breakout zones.
Midline Options: The script gives the choice between using a dynamically calculated SMA midline or a fixed level at zero, depending on whether users want a normalized reference.
Market Regime Detector: Through background shading, the indicator helps users distinguish trending vs. mean-reverting environments. Users can choose between long-term or short-term perspectives. An optional reversal switch inverts the coloring logic, adapting better to fast or slow markets.
Visual Display Modes:
Trend Mode: Colors candles based on their relationship to the regression midline.
Strength Mode: Applies gradient coloring to price candles, indicating relative momentum intensity.
Reversals Mode: Highlights candles that breach outer deviation zones, helping identify potential exhaustion points.
Take-Profit Signal Markers: Displays small x-crosses above or below candles at designated deviation thresholds to suggest likely profit-taking opportunities in both long and short positions.
Color Customization: Supports full palette customization, either through predefined themes or user-defined color values, allowing better integration with user chart styles.
Summary Table: A compact on-chart table dynamically reports the state of trend, strength, reversal, and regime analysis using clear symbols and color-coded status.
Alert Conditions: Includes a comprehensive set of alerts for each mode and visualization type, allowing real-time notification of trend shifts, momentum changes, reversal signals, and regime transitions.
Conclusion
Gaussian Regression Wave combines several statistical and visual techniques to help traders interpret market conditions with a focus on reversals. Designed for lower timeframes, it provides flexible tools to analyze price behavior across multiple lenses: trend, strength, volatility, and regime. With extensive configuration options and visual modes, the indicator caters to both discretionary and systematic traders who seek real-time confirmation of price exhaustion or momentum shift. The inclusion of Gaussian smoothing, multiple moving average types, and an integrated regime detector makes it a highly adaptable tool within a structured trading system.
⚠️ Disclaimer
This indicator is a technical analysis tool and does not guarantee results. It should be used in conjunction with additional analysis methods and proper risk management strategies. The creators of this indicator are not responsible for any financial decisions made based on its signals.
Simple Trend Performance🎯Overview
Simple Trend Performance is a comprehensive multi-indicator analysis tool that combines 11 popular technical indicators into a unified trend scoring system. This indicator provides traders with a clear visual representation of market sentiment through an easy-to-read scoring panel and graphical display.
Key Features
📊 Multi-Indicator Analysis
11 Technical Indicators: RSI, SMI, CCI, DMI, CMO, MFI, ROC, MOM, Parabolic SAR, SuperTrend, and Moving Average
Customizable Settings: Adjust lengths, sources, and moving average types for each indicator
Real-time Signals: Each indicator provides clear bullish/bearish signals
🎯 Visual Dashboard
Color-Coded Summary Table: Displays all 11 indicators with their current signals and scores
Trend Strength Visualization: Graphical panel shows indicator status as horizontal lines
Sentiment Scoring: Calculates overall market bias with clear bullish/bearish classification
📈 Market Sentiment Analysis
Weighted Scoring System: Each indicator contributes to the overall trend score
Sentiment Classification: From "STRONG BULLISH" to "STRONG BEARISH" based on consensus
Percentage Analysis: Shows bullish vs bearish indicator ratio
How It Works
Indicator Logic
Each indicator generates its own signal based on customizable parameters
All signals are aggregated into a comprehensive score (-11 to +11)
The overall trend direction is determined by the consensus of indicators
Results are displayed in both tabular and graphical formats
Customization Options
Table Settings: Toggle summary table visibility
Individual Settings: Configure each indicator's parameters independently
Moving Averages: Choose from EMA, SMA, RMA, WMA, VWMA, or HMA for relevant indicators
Usage Recommendations
Trading Applications
Trend Confirmation: Use the overall score to confirm prevailing market trends
Divergence Detection: Watch for discrepancies between indicator signals
Entry/Exit Signals: Consider trades when multiple indicators align
Market Sentiment: Gauge overall market bias at a glance
Best Practices
Timeframe Flexibility: Works on all timeframes from minutes to monthly
Market Conditions: Most effective in trending markets
Combination Strategy: Use alongside price action and support/resistance levels
Customization: Adjust indicator parameters to match your trading style
Technical Details
Platform: TradingView Pine Script v6
Overlay: Non-overlay (separate pane)
Calculations: Real-time on each bar
Alerts: Individual alert conditions for each indicator
Benefits
Consolidated View: Monitor multiple indicators in one place
Time-Saving: No need to switch between different indicator windows
Objective Analysis: Reduces subjective interpretation bias
Customizable: Tailor to your specific trading strategy
Perfect for traders who want a comprehensive yet simplified view of market trends without cluttering their charts with multiple indicators.
Momentum - MOM🎯 Overview
This is an advanced Momentum - MOM indicator that measures absolute price change over time, combined with dynamic moving average filtering. Unlike basic MOM implementations, this version features gradient momentum zones, multiple color themes, and a clear signal dashboard for precise price momentum identification.
🧩 Core Components
1. ⚙️ Technical Foundation
📊 Primary Calculation: Uses TradingView's built-in ta.mom() function which calculates absolute price difference between current price and price N periods ago
📈 Dual Analysis Components:
MOM Line: Absolute price change oscillator (unbounded range based on price)
MA Filter: Customizable moving average acting as momentum baseline
Momentum Zones: Gradient fills for strong positive and negative momentum extremes
⚡ Absolute Change Measurement: Unique ability to quantify the actual price movement in points/currency units
2. 🎛️ Configuration Parameters
📏 MOM Length: Default 14 periods (standard momentum setting)
🔄 MA Filter Settings:
Length: Customizable (default 365 periods)
Type: 6 options available (EMA, SMA, RMA, WMA, VWMA, HMA)
🎨 Color Themes: 5 visual schemes consistent with your indicator suite:
Classic, Modern, Robust, Accented, Monochrome
📊 Signal Interpretation:
🟢 BULLISH: MOM > MA Filter (price momentum above baseline)
🔴 BEARISH: MOM < MA Filter (price momentum below baseline)
🚀 STRONG BULLISH: (extreme positive momentum)
📉 STRONG BEARISH: (extreme negative momentum)
3. 🎨 Visual Elements
🚨 Gradient Zones:
Strong Bullish zone : Green gradient intensifying toward higher values
Strong Bearish zone : Red gradient intensifying toward lower values
📋 Dashboard Display: Top-right status indicator showing "⬆️ Bullish" or "⬇️ Bearish"
📊 Dynamic Coloring: MOM line changes color based on position relative to MA
⚡ Midline Reference: Subtle 50-level reference line for scale orientation
⚡ Trading Applications
📈 Primary Uses:
🎯 Absolute Momentum Measurement:
MOM > MA = Bullish price momentum
MOM < MA = Bearish price momentum
MOM = 0 = No net price change over period
💪 Momentum Strength in Price Terms:
Shows actual points/currency gained or lost
Useful for position sizing and risk management
More intuitive than percentages for some traders
🚨 Extreme Momentum Signals:
Extreme Bullish: (major price appreciation)
Extreme Bearish: (major price depreciation)
📊 Zone Analysis:
🟢 Strong Bullish Zone :
Green gradient fills
Indicates substantial price gains over the period
Often signals strong trend continuation or potential exhaustion
🔴 Strong Bearish Zone :
Red gradient fills
Indicates substantial price losses over the period
Often signals strong downtrend or potential reversal
🟡 Equilibrium: Yellow MA line acts as momentum baseline filter
🎨 Customization Options
👁️ Display Features:
📊 Dual Components: Always shows both MOM line and MA filter
🎨 Gradient Visualization: Automatic fill for extreme momentum conditions
📋 Status Dashboard: Clear bullish/bearish momentum indication
📈 Customizable MA: Choose from 6 different moving average types
📏 Wide Dynamic Range: ±15,000 levels accommodate various asset price ranges
🎨 Visual Themes: (Consistent suite)
🎨 Classic: Green/Red (traditional momentum colors)
🚀 Modern: Cyan/Purple (contemporary)
💪 Robust: Amber/Deep Purple (high contrast)
🌈 Accented: Purple/Magenta (vibrant)
⚫⚪ Monochrome: Light Gray/Dark Gray (minimalist)
🔔 Alert System
🟢 LONG Alert: Triggers when MOM crosses above MA
🔴 SHORT Alert: Triggers when MOM crosses below MA
📧 Format: Includes ticker symbol for tracking
⚡ Key Advantages
✅ Strengths:
🎯 Price-Based Analysis: Measures actual price movement in understandable units
💪 Absolute Value Interpretation: Shows exact points gained/lost over period
👁️ Clear Trend Momentum: MA filter separates noise from meaningful momentum
🔄 Flexible Across Assets: Works equally well with stocks, crypto, forex, etc.
📊 Professional Dashboard: Immediate momentum status recognition
📊 Optimal Settings:
⚡ Short-term Trading: MOM Length 10-14, MA Length 20-50
📊 Medium-term Trading: MOM Length 14-20, MA Length 50-100
📈 Long-term Trading: MOM Length 20-30, MA Length 100-365
🏆 Unique Features:
🎯 Absolute Price Measurement: Shows exact price change, not percentages
📊 Extreme Thresholds: ±15,000 levels for major momentum identification
🎨 Consistent Design: Matches your indicator family aesthetics
📋 Momentum Dashboard: Quick visual confirmation of price momentum
🔧 Direct Price Analysis: No conversion needed - shows actual market movement
🔄 Trading Strategies
1. Price Momentum Strategy:
Go LONG when MOM crosses above MA with positive values
Go SHORT when MOM crosses below MA with negative values
Strong signals when MA crossover aligns with extreme zones
2. Momentum Divergence:
Price makes higher high, MOM makes lower high → Bearish divergence (momentum weakening)
Price makes lower low, MOM makes higher low → Bullish divergence (selling pressure decreasing)
3. Trend Strength Assessment:
Large positive MOM values = Strong uptrend momentum
Large negative MOM values = Strong downtrend momentum
MOM near zero = Consolidation or trend change
📈 Performance Tips
Asset-Specific Thresholds: Adjust ±15,000 levels based on typical price ranges
Zero Line Significance: MOM crossing zero often precedes trend changes
Extreme Readings: Very high/low MOM values may indicate exhaustion moves
Multiple Timeframes: Compare MOM values across timeframes for confirmation
Combine with Volume: Add volume analysis to confirm momentum moves
This enhanced Momentum indicator provides professional-grade price-based momentum analysis with intuitive visualization, allowing traders to measure exact price movements, identify momentum trends in absolute terms, and filter signals through the customizable moving average for precise momentum-based trading decisions! 📊📈
Infinity_Algo OscillatorInfinity_Algo Oscillator is an advanced momentum and market-bias indicator designed to identify high-probability reversals, trend direction, and institutional divergence .
It combines WaveTrend logic, smoothed Heikin-Ashi bias, volatility-adaptive momentum, and fractal-based divergence detection into a single oscillator. Smart buy/sell signals are generated only in overbought and oversold zones , helping to filter noise and false entries.
Key features include:
* Smart bullish & bearish reversal signals
* Regular and hidden divergence (bullish & bearish)
* Momentum histogram with strength visualization
* Direction-change and trend bias detection
* Full alert system for manual or automated trading
Designed for traders who rely on confluence, structure, and momentum , not basic oscillator crosses.
Money Flow Index - MFI🎯 Overview
This is an advanced Money Flow Index - MFI indicator that combines volume-weighted momentum analysis with dynamic moving average filtering. Unlike basic MFI implementations, this version features gradient overbought/oversold zones, multiple color themes, and a clear signal dashboard for precise money flow identification.
🧩 Core Components
1. ⚙️ Technical Foundation
📊 Primary Calculation: Uses TradingView's built-in ta.mfi() function which incorporates both price and volume data
📈 Dual Analysis Components:
MFI Line: Volume-weighted momentum oscillator
MA Filter: Customizable moving average acting as dynamic signal line
Threshold Zones: Gradient fills for overbought and oversold conditions
⚡ Volume Integration: Unique ability to combine price action with trading volume for more reliable signals
2. 🎛️ Configuration Parameters
📏 MFI Length: Default 14 periods (standard setting)
🔄 MA Filter Settings:
Length: Customizable (default 365 periods)
Type: 6 options available (EMA, SMA, RMA, WMA, VWMA, HMA)
🎨 Color Themes: 5 visual schemes consistent with your indicator suite:
Classic, Modern, Robust, Accented, Monochrome
📊 Signal Interpretation:
🟢 BULLISH: MFI > MA Filter (money flow above trend)
🔴 BEARISH: MFI < MA Filter (money flow below trend)
⚠️ OVERBOUGHT: MFI > 80 (potential reversal zone)
⚠️ OVERSOLD: MFI < 20 (potential reversal zone)
3. 🎨 Visual Elements
🚨 Gradient Zones:
Overbought zone : Red gradient intensifying toward 100
Oversold zone : Green gradient intensifying toward 0
📋 Dashboard Display: Top-right status indicator showing "⬆️ Bullish" or "⬇️ Bearish"
📊 Dynamic Coloring: MFI line changes color based on position relative to MA
⚡ Trading Applications
📈 Primary Uses:
🎯 Money Flow Direction:
MFI > MA = Bullish money flow regime
MFI < MA = Bearish money flow regime
💪 Trend Strength with Volume Confirmation:
MFI considers both price movement AND volume
Higher volume moves have more significance
Validates price trends with volume support
🚨 Extreme Zone Signals:
Overbought: MFI > 80 (potential sell opportunity)
Oversold: MFI < 20 (potential buy opportunity)
📊 Zone Analysis:
🔴 Overbought Zone :
Red gradient fills
Indicates excessive buying pressure
Watch for bearish reversals
🟢 Oversold Zone :
Green gradient fills
Indicates excessive selling pressure
Watch for bullish reversals
🟡 Equilibrium: Yellow MA line acts as volume-weighted trend filter
🎨 Customization Options
👁️ Display Features:
📊 Dual Components: Always shows both MFI line and MA filter
🎨 Gradient Visualization: Automatic fill for overbought/oversold conditions
📋 Status Dashboard: Clear bullish/bearish money flow indication
📈 Customizable MA: Choose from 6 different moving average types
🎨 Visual Themes: (Consistent suite)
🎨 Classic: Green/Red (traditional volume-weighted colors)
🚀 Modern: Cyan/Purple (contemporary)
💪 Robust: Amber/Deep Purple (high contrast)
🌈 Accented: Purple/Magenta (vibrant)
⚫⚪ Monochrome: Light Gray/Dark Gray (minimalist)
🔔 Alert System
🟢 LONG Alert: Triggers when MFI crosses above MA
🔴 SHORT Alert: Triggers when MFI crosses below MA
📧 Format: Includes ticker symbol for tracking
⚡ Key Advantages
✅ Strengths:
🎯 Volume-Weighted Accuracy: Combines price and volume for more reliable signals
💪 Overbought/Oversold Filter: Built-in 80/20 thresholds with gradient visualization
👁️ Clear Trend Identification: MA filter separates noise from meaningful money flow
🔄 Flexible Configuration: Multiple MA types for different trading styles
📊 Professional Dashboard: Immediate money flow status recognition
📊 Optimal Settings:
⚡ Short-term Trading: MFI Length 10-14, MA Length 20-50
📊 Medium-term Trading: MFI Length 14-20, MA Length 50-100
📈 Long-term Trading: MFI Length 20-30, MA Length 100-365
🏆 Unique Features:
🎯 Volume Integration: The only oscillator in your suite that includes volume data
📊 Gradient Thresholds: Visual intensity shows proximity to extremes
🎨 Consistent Design: Matches your indicator family aesthetics
📋 Money Flow Dashboard: Quick visual confirmation of volume trends
🔧 Dual Analysis: Combines oscillator with dynamic trend filter
🔄 Trading Strategies
1. Basic Money Flow Strategy:
Go LONG when MFI crosses above MA from oversold
Go SHORT when MFI crosses below MA from overbought
Exit when opposite extreme is reached
2. Divergence Detection:
Price makes higher high, MFI makes lower high → Bearish divergence (selling pressure weakening)
Price makes lower low, MFI makes higher low → Bullish divergence (buying pressure increasing)
3. Volume Confirmation:
Strong trend + rising MFI = High conviction move
Weak trend + declining MFI = Potential reversal
📈 Performance Tips
Volume Matters: MFI is most effective in markets with consistent volume
Extreme Zones: levels often act as support/resistance for the indicator
Divergence Signals: More reliable than simple overbought/oversold readings
Trend Alignment: MFI above MA in uptrend, below MA in downtrend
Confirmation: Combine with price action at key support/resistance levels
This enhanced MFI indicator provides professional-grade volume-weighted analysis with intuitive visualization, allowing traders to identify money flow trends, spot potential reversals at extremes, and filter signals through the customizable moving average for higher accuracy trading decisions! 📊💰
MIZAN v11: L-Score ResonanceTitle: MIZAN v11: L-Score Resonance Engine
Description:
MIZAN-L is a next-generation oscillator developed by Mizan Lab, designed to solve the shortcomings of traditional RSI. It utilizes the L-Score Formula, which calculates the "Ontological Consistency" (OCC) of a price movement by synthesizing three dimensions of market physics:
Velocity (CCI): The speed of the price action.
Position (RSI): The relative saturation level.
Fuel (CMF): The volume/mass behind the move.
Unlike standard oscillators that only look at price, MIZAN-L weighs Volume (Fuel) heavily (default 45%). This means a price rise without volume will NOT spike the oscillator, filtering out fake-outs and "bull traps."
Key Features:
L-Score Algorithm: A weighted average of CCI (35%), RSI (20%), and CMF (45%).
Mizan Smoothing: Uses a proprietary WMA filter to eliminate noise, resulting in a smooth, easy-to-read line that changes color based on trend direction (Cyan = Bullish, Orange = Bearish).
The SMC Floor (Level 43):
Through extensive analysis, we have identified Level 43 as the "Institutional Cost Basis" or "Whale Floor."
When the oscillator drops to the green 43 line and bounces, it often signals that Smart Money (SMC) is accumulating positions.
Dynamic Background Zones:
Green Background: Price is in the bottom 20% of its global range (Cheap/Accumulation Zone).
Red Background: Price is in the top 20% of its global range (Expensive/Distribution Zone).
How to Use:
BUY Signal: Watch for the line to touch or dip below the Green Line (43) and turn Cyan. This is the high-probability SMC entry zone.
SELL Signal: When the line enters the Red Background zone and turns Orange.
Trend Confirmation: If the line is Thick Cyan, the trend is fueled by volume. If it is Thick Orange, distribution is active.
Disclaimer: This tool is for educational purposes only. Developed by Mizan Lab.
TS vs vela anterior V6This indicator highlights **Turtle Soup (TS)** setups by comparing **the current candle to the previous one**—and it only triggers **once the candle is fully closed**, so it doesn’t “paint and disappear” while the bar is still forming.
**What it detects**
* **TS Bear (bearish):**
Price *breaks above the previous candle’s high* (liquidity grab), then closes **bearish**, returning back below that prior high.
→ Concept: “fake breakout up, then reversal.”
* **TS Bull (bullish):**
Price *breaks below the previous candle’s low* (liquidity grab), then closes **bullish**, back above that prior low.
→ Concept: “fake breakdown down, then rebound.”
**Strict vs Flexible mode (the indicator switch)**
* ✅ **Allow close outside the previous range (ON):** more flexible.
The close can finish outside the prior candle’s range. Useful in fast, impulsive moves.
* ❌ **Allow close outside the previous range (OFF):** stricter.
The close must finish **inside** the previous candle’s range (cleaner signals, usually fewer of them).
**The key feature**
* Signals are plotted **only after the candle closes on your current timeframe**.
If you’re on M15, it confirms at the M15 close. If you’re on H1, at the H1 close.
Result: more reliable signals and less “indicator drama.”
**What it’s good for**
* Spotting potential **quick reversals** right after a sweep of highs/lows.
* Identifying areas where price often reacts due to **liquidity runs**.
**Practical note**
This isn’t a magic button—signals work best with context (trend, key levels, range/session timing, market structure). Fine-tune strict vs flexible per asset/timeframe and you’ll go from “random dots” to “useful tells.”
Smart Signals 🎯 SMART SIGNALS - 5-Factor Confluence System
One signal. Five confirmations.
The 5 Confluence Factors:
1️⃣ RSI Divergence
2️⃣ HTF Trend Confirmation
3️⃣ Candlestick Patterns
4️⃣ Volatility Filter
5️⃣ S/R Proximity
Signal Strength:
⭐⭐⭐ 5/5 = Strong signal (all factors)
⭐⭐ 4/5 = Medium signal
⭐ 3/5 = Weak signal
Features:
✅ Live dashboard with all factor status
✅ Timeframe-aware (stricter on LTF)
✅ Signal cooldown (no spam)
✅ Customizable colors by strength
━━━━━━━━━━━━━━━━━━━━━━━━
🔒 This is a PREMIUM indicator (Invite-Only)
👉 Purchase at: chartcraft.gumroad.com
💡 Free version: Search "Smart Signals Lite" (1/5 f
Smart Signals Lite - RSI Signals (Free)🎯 FREE RSI Signal Indicator
Shows automatically:
✅ BUY - RSI oversold + turning up
✅ SELL - RSI overbought + turning down
✅ Signal cooldown (no spam)
✅ Live RSI dashboard
Signal strength: 1/5 (RSI only)
⭐ Premium version: 5/5 Confluence
+HTF Trend +Candlesticks +Volatility +S/R
👉 Link in profile
Works on: Forex, Crypto, Stocks - All timeframes
BK AK-Iron Dome📡 BK AK-Iron Dome 📡— (Reversal Detection System)
All glory to G-d — the true source of wisdom, restraint, and right timing.
And every build here is carried in the spirit of AK: discipline, patience, clean execution. May he rest in peace in the presence of the Almighty.
BK / AK — a lens of order, patience, and clean execution under G-d.
What it is
Iron Dome is a score-based reversal framework that lives in its own pane (overlay=false) and compresses multiple “reversal truths” into one readable system:
Where price is vs anchored VWAP bands
RSI + Money Flow pressure
Momentum + acceleration
Divergence (RSI divergence + Score-line divergence)
Liquidity sweeps + exhaustion patterns
Time-of-day context
MTF alignment
Optional “Zenith Killer Gate” that filters signals into only the cleanest setups
It’s not meant to spam arrows — it’s meant to tell you when the market is stretched, conflicted, and vulnerable to snapback, and when a turn is actually being confirmed.
What you’ll see
1) Reversal Score (-100 to +100)
This is the main line. Think of it as “pressure toward reversal”:
+ zone (Peak): overbought / stretched / vulnerable to downside reversal
– zone (Valley): oversold / stretched / vulnerable to upside reversal
0 line: neutral / no edge
Default hard references are drawn (±90, ±74, 0). Adaptive thresholds are available too.
2) “Room to Run” histogram
A second layer that answers: how much space is left before the score hits an extreme (or how far it’s traveled, depending on mode).
Dynamic opacity can make “no room left” visually obvious.
3) Divergence on two channels
RSI divergence (price vs RSI)
Score divergence (price vs the base score series)
Score divergence is treated as a heavier “system-level disagreement” because it’s divergence against the composite itself.
4) Buy/Sell Signals (turns, not guesses)
Signals are built on:
Zone entry (peak/valley)
Turn confirmation (score starts turning after being in the zone)
Optional requirements: divergence, MTF alignment, Zenith filters, time filters, etc.
Core systems inside Iron Dome
VWAP Multi-Anchor System
Anchored VWAP can reset by:
Session / Weekly / Monthly / Quarterly (Auto-Roll) / Custom date / None
Session scope: Full / RTH / ETH
Explicit timezone controls so “RTH” means what you think it means.
Bands are built from true deviation using stdev of residuals (price − VWAP), not a fixed ATR band.
Score Engine (base → final)
Base score blends:
RSI component (smoothed)
MFI component
VWAP position component (0–100 scaled inside bands)
Momentum accel/decel logic
Volume surge adjustments
Then it’s normalized to -100…+100.
Final score can add/subtract boosts from:
Divergence weights (RSI + Score-line)
Liquidity sweep boost
Delta proxy contribution
Exhaustion boost
MTF alignment boost
Time-of-day boost
Optional pattern-confidence contribution
Zenith Killer Gate (optional hard filter)
When enabled, signals can be forced to require:
HTF trend/RSI context
Rejection candle structure (wick/body ratio)
Climax volume / surge confirmation
A one-shot arming/disarming mechanism (prevents repeated spam until score “re-arms”)
Liquidity Sweeps / Exhaustion / Delta Proxy (context engines)
Sweeps: wick past prior swing + close back inside (ATR-qualified)
Exhaustion: spike → decay → stall (ATR-qualified)
Delta proxy: candle-structure proxy normalized to -1…+1 (pressure confirmation)
Targets & R:R Projection (optional)
On a valid signal, projects:
ATR-based stop
R-multiple targets (T1/T2/T3)
Auto-extension + optional cleanup after N bars
Panels & Tracking (optional)
Info panel (score, signal status, divergence status, confluence, etc.)
Key factors table (human-readable why)
Performance stats + outcome tracking (when enabled)
How to use it (intended workflow)
Start with Auto-Scale ON (it adjusts RSI/MFI/Mom + VWAP dev by timeframe).
Use Peak/Valley zones like a radar:
Don’t short because it’s “high.”
Don’t long because it’s “low.”
Wait for a turn + confirmation layer (divergence / sweep / rejection / time window / MTF alignment).
When you see Score Divergence, treat it as “system disagreement” — often a higher-quality warning than RSI divergence alone.
Use Room to Run to avoid chasing: if there’s “no room left,” you’re late.
“To every thing there is a season, and a time to every purpose.” — Ecclesiastes 3:1
This script is about the season: knowing when it’s noise, when it’s pressure, and when it’s finally time.
📡 BK AK-Iron Dome 📡
RSI MTF Table + Divergence (Eugeniothedog)📊 RSI MTF Table + Divergence
This indicator displays a multi-timeframe RSI table with directional momentum and confirmed RSI divergences for the selected timeframes.
Each row represents a timeframe and shows:
RSI value
Short-term direction (comparison with the previous RSI value)
Last confirmed divergence (bullish or bearish), based on pivot structure
🔍 Key Features
Multi-Timeframe RSI in a clean table format
Directional arrows to quickly identify RSI momentum
Confirmed regular divergences (pivot-based, non-repainting after confirmation)
Configurable divergence validity window per timeframe
Visual RSI zones (Overbought, Oversold, Midline)
⚙️ How It Works
Divergences are detected using RSI pivot highs/lows combined with price structure.
Only confirmed pivots are used, reducing false signals.
Once detected, a divergence remains active for a user-defined number of bars in that timeframe.
The table updates only on the last bar to ensure performance and clarity.
🧠 Use Case
This tool is designed to help with:
Higher-timeframe context
Momentum assessment
Divergence confluence across multiple timeframes
It is best used as a confirmation and context tool, not as a standalone trading system.
⚠️ Disclaimer
This indicator is provided for educational and informational purposes only.
It does not constitute financial advice or a trading recommendation.
TDL: HMA Concavity Pro█ **OVERVIEW**
**HMA Concavity Pro** is a comprehensive trading system that transforms the Hull Moving Average into a **multi-factor decision engine**. Instead of simple crossover signals, it analyzes the **curvature (concavity) of momentum** and scores each signal based on 5 institutional-grade filters.
The Core Edge: Detect momentum shifts 2-5 bars before price confirms, then validate with confluence scoring to filter out low-probability setups.
█ **THE SCIENCE BEHIND IT**
**Second Derivative Analysis**
• Traditional MAs tell you where price IS (position)
• First derivatives (ROC, Momentum) tell you how FAST it's moving (velocity)
• This system uses the second derivative — how fast MOMENTUM itself is changing (acceleration)
When the HMA's concavity shifts from negative to positive, momentum is accelerating upward even if price hasn't moved yet. This mathematical edge provides early warning of trend changes.
**The Calculation**
1 — Calculate Hull Moving Average (reduced lag vs SMA/EMA)
2 — Project where HMA should be based on current momentum
3 — Compare actual HMA to projection
4 — Concavity = Actual > Projected (bullish) or Actual < Projected (bearish)
5 — Turning Point = When concavity flips direction
█ **THE 5-POINT SIGNAL SCORING SYSTEM**
Every turning point is scored from 1-5 based on confluence:
┌────────┬──────────────────────┬─────────────────────────────────────────┐
│ Points │ Filter │ What It Checks │
├────────┼──────────────────────┼─────────────────────────────────────────┤
│ +1 │ Base Signal │ Concavity turning point detected │
│ +1 │ HTF Alignment │ Higher timeframe concavity agrees │
│ +1 │ Trend Confirmation │ ADX > 20 AND DI direction matches │
│ +1 │ Volume Confirmation │ Volume > 1.2x average (institutional) │
│ +1 │ Key Level │ At session H/L, PDH/PDL, or round # │
└────────┴──────────────────────┴─────────────────────────────────────────┘
**Signal Quality Tiers**
• ⭐ Score 1-2 — Low quality, avoid or scalp only
• ⭐⭐⭐ Score 3 — Moderate quality, valid with additional confirmation
• 🔥 Score 4-5 — High quality, premium setups with candle highlighting
█ **VISUAL COMPONENTS**
**The HMA Line (4-State Coloring)**
• 🟢 Bright Green — Bullish concavity + rising (strong momentum)
• 🟢 Dark Green — Bullish concavity + falling (bullish pause)
• 🔴 Bright Red — Bearish concavity + falling (strong momentum)
• 🔴 Light Red — Bearish concavity + rising (bearish pause)
• ⚪ Gray — Choppy conditions (ADX below threshold)
**Turning Points**
White dots on HMA mark exact concavity flip moments.
**Signal Labels**
• Compact: "BUY 4/5 🔥" or "SELL 3/5 ✓"
• Detailed: Shows which filters passed (✓HTF ✓Trend ✓Vol)
• Minimal: Just "▲4" or "▼3" for clean charts
**Premium Signal Glow**
Background highlight on candles with score 4-5. Immediately spot the highest-probability setups.
**Real-Time Dashboard**
┌──────────────────────────────────────┐
│ 🟢 BULLISH Score: 4/5 │
├──────────────────────────────────────┤
│ LTF BULL ↑ ✓ │
│ HTF BULL 60m ✓ │
│ ADX TREND 24↑ ✓ │
│ VOL HIGH 1.4x ✓ │
│ LVL Ses Hi 25400 ✓ │
├──────────────────────────────────────┤
│ 🔥 READY │
└──────────────────────────────────────┘
█ **CONFIGURATION GUIDE**
**HMA Settings**
• Length: 21 (scalping) / 34 (intraday) / 55 (swing)
• Lookback: 2 (default) — rarely needs adjustment
• Price Source: HL2 for futures, Close for stocks
**Multi-Timeframe**
• Use 4-6x your chart timeframe
• 5m chart → 30m or 60m HTF
• 15m chart → 60m or 240m HTF
• 1H chart → 4H or D HTF
**Trend Filter**
• ADX Threshold: 20 (default) — signals below this show gray HMA
• ADX Strong: 30 — used for dashboard status
**Volume Filter**
• Volume MA Length: 20
• Spike Multiplier: 1.2x (1.5x for less frequent, higher quality)
**Key Levels**
• Round Number Proximity: 0.15% (adjust for instrument volatility)
• Auto-detects NQ (100), ES (25), GC (10) round number intervals
**Signal Settings**
• Minimum Score: 3 recommended (filters noise)
• Label Style: Compact (clean) / Detailed (learning) / Minimal (pro)
█ **HOW TO TRADE**
**Entry Checklist**
☑️ Dashboard shows score 4+ or "READY"
☑️ LTF and HTF both show ✓ (aligned)
☑️ ADX shows TREND or STRONG (not CHOP)
☑️ Signal at or near key level (bonus confluence)
**For Longs**
1 — Wait for bullish turning point (concavity flip to positive)
2 — HMA should be green or transitioning to green
3 — Enter on signal candle or first pullback to HMA
**For Shorts**
1 — Wait for bearish turning point (concavity flip to negative)
2 — HMA should be red or transitioning to red
3 — Enter on signal candle or first rally to HMA
**Stop Loss**
• Below/above the turning point swing
• Or use ATR-based stop (1.5-2x ATR)
**Take Profit**
• Next key level
• When concavity weakens (color fades)
• When opposite turning point appears
█ **BEST PRACTICES**
**DO:**
• Wait for score 3+ signals
• Confirm HTF alignment before entry
• Use dashboard to assess market conditions
• Pay extra attention to premium (4-5) signals with glow
**DON'T:**
• Trade score 1-2 signals in isolation
• Fight the HTF concavity direction
• Trade when ADX shows CHOP (gray HMA)
• Ignore volume filter in low-liquidity periods
█ **RECOMMENDED PRESETS**
┌──────────────────────────┬─────┬───────┬─────┬───────┐
│ Setup │ HMA │ HTF │ ADX │ Vol │
├──────────────────────────┼─────┼───────┼─────┼───────┤
│ NQ/ES Futures (5m) │ 21-34 │ 60m │ 18 │ 1.3x │
│ NQ/ES Futures (15m) │ 34 │ 60m │ 20 │ 1.2x │
│ Gold Futures (15m) │ 34 │ 240m │ 20 │ 1.5x │
│ Stocks (1H Swing) │ 55 │ D │ 20 │ 1.2x │
└──────────────────────────┴─────┴───────┴─────┴───────┘
█ **ALERTS AVAILABLE**
• Buy Signal (any valid)
• Sell Signal (any valid)
• 🔥 Premium Buy (score 4-5)
• 🔥 Premium Sell (score 4-5)
• Turning Point (any concavity flip)
• Signal at Key Level
█ **COMPANION INDICATOR**
For deeper momentum analysis, use the free **HMA Concavity Divergence Pro** lower-pane oscillator which shows:
• Divergence histogram with momentum coloring
• HTF divergence overlay
• Signal line crossovers
• Zero cross detection
█ **CREDITS & METHODOLOGY**
Built on the HMA Concavity concept by Seth Urion (Mahsume), significantly enhanced with:
• Multi-timeframe confluence analysis
• Institutional-grade filtering (trend, volume, levels)
• Proprietary 5-point signal scoring system
• Real-time trade readiness dashboard
═════════════════════════════════════════════════════════════
█ **ACCESS**
This is an **invite-only** indicator. To request access:
1 — Follow my TradingView profile
2 — Send a DM
█ **DISCLAIMER**
This indicator is for educational purposes only. It does not guarantee profits or predict market direction. All statistics shown are based on historical data within the visible chart range. Past performance does not indicate future results. Always use proper risk management and never risk more than you can afford to lose. Test thoroughly on demo before live trading.
TDL HMA Concavity Divergence Pro█ **OVERVIEW**
**HMA Divergence Pro** measures the **concavity (curvature)** of the Hull Moving Average — essentially the **second derivative of price momentum**. This mathematical approach detects when momentum is accelerating or decelerating BEFORE traditional indicators confirm.
The core concept: Instead of asking "where is price going?" this indicator asks "is the momentum that's pushing price getting stronger or weaker?"
█ **THE SCIENCE BEHIND IT**
**Second Derivative Analysis**
• Traditional MAs tell you where price IS (position)
• First derivatives (ROC, Momentum) tell you how FAST it's moving (velocity)
• This indicator measures how fast MOMENTUM itself is changing (acceleration)
**The Calculation**
1 — Calculate Hull Moving Average (reduced lag vs SMA/EMA)
2 — Project where HMA should be if current momentum continues unchanged
3 — Measure the difference between actual HMA and projected HMA
4 — Positive divergence = HMA curving upward (bullish acceleration)
5 — Negative divergence = HMA curving downward (bearish acceleration)
█ **VISUAL COMPONENTS**
**The Histogram (4-State Coloring)**
• 🟢 Bright Green — Bullish AND strengthening (best for longs)
• 🟢 Dark Green — Bullish but weakening (momentum fading)
• 🔴 Bright Red — Bearish AND strengthening (best for shorts)
• 🔴 Dark Red — Bearish but weakening (momentum fading)
**Signal Line (Blue)**
9-period EMA of divergence for crossover signals:
• Histogram crosses ABOVE signal line → Bullish momentum building
• Histogram crosses BELOW signal line → Bearish momentum building
**HTF Divergence (Yellow Stepline)**
Shows higher timeframe concavity for multi-timeframe confluence. When both LTF histogram and HTF line are on the same side of zero = MTF alignment.
**Zero Cross Markers**
• 🔵 Cyan dot — Crossed above zero → Bullish momentum shift
• 🟠 Orange dot — Crossed below zero → Bearish momentum shift
█ **SETTINGS GUIDE**
**HMA Settings**
• HMA Length: 34 (default) — Lower = faster/noisier, Higher = smoother/laggier
• Lookback: 2 — Period for rate of change calculation
• Price Source: HL2 recommended for futures
**Multi-Timeframe**
• Enable HTF: Shows higher timeframe divergence as yellow stepline
• HTF Timeframe: 60 (1 hour) works well for 5-15m charts
**Visual Options**
• Display Mode: Histogram (default), Line, or Area
• Show Signal Line: Toggle the blue EMA line
• Show Zero Crosses: Toggle the colored dots
• Fill Background: Subtle red/green background shading
█ **TRADING APPLICATIONS**
**Trend Confirmation**
• Use rising green histogram to confirm long entries
• Use falling red histogram to confirm short entries
**Early Reversal Detection**
• Histogram changing from bright to dark = momentum weakening
• Zero cross often precedes price reversal by 2-5 bars
**Multi-Timeframe Confluence**
• Best signals: LTF and HTF divergence agree
• Avoid: LTF and HTF conflict
**Divergence from Price**
• Price makes new high but histogram makes lower high = bearish divergence
• Price makes new low but histogram makes higher low = bullish divergence
█ **RECOMMENDED SETTINGS**
┌─────────────────┬────────────┬─────────┐
│ Instrument │ HMA Length │ HTF │
├─────────────────┼────────────┼─────────┤
│ NQ/ES Futures │ 21-34 │ 60m │
│ Forex Majors │ 34 │ 240m │
│ Stocks (Swing) │ 55 │ D │
│ Crypto │ 21 │ 60m │
└─────────────────┴────────────┴─────────┘
█ **IMPORTANT NOTES**
⚠️ This is a momentum indicator, not a standalone system
⚠️ Works best as confirmation alongside price action analysis
⚠️ Zero crosses in ranging markets can produce false signals
⚠️ Pair with trend filter (ADX > 20) for best results
█ **RELATED**
Looking for the full system with signal scoring and multi-factor confluence?
Check out **HMA Concavity Pro** (invite-only) which adds:
• Overlay signals with 1-5 quality scoring
• ADX trend filtering
• Volume spike confirmation
• Key level detection
• Real-time trade readiness dashboard
█ **CREDITS**
Original HMA Concavity concept by Seth Urion (Mahsume)
Enhanced with MTF analysis, signal line, and visual improvements.
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█ **DISCLAIMER**
This indicator is for educational purposes only. It does not guarantee profits or predict market direction. Past performance does not indicate future results. Always use proper risk management and test thoroughly before live trading.
Vilantro Flux Capacitor (Waddah Attar Explosion (WAE))The Vilantro Flux Capacitor is a significant evolution of the classic Waddah Attar Explosion (WAE). While the original WAE is legendary, it was built for a slower era. Modern markets—especially Crypto and Gold (XAUUSD)—are faster, noisier, and more prone to "fake-outs."
This indicator rebuilds the engine from the ground up to solve the two biggest problems traders face: Lag and Choppy Markets.
Why Use This Indicator?
Most trend indicators are too slow (getting you in late) or too sensitive (getting you killed in the chop). The Vilantro Flux solves this by combining Three Technologies:
Speed (TEMA Engine): We replaced the standard MACD/EMA smoothing with TEMA (Triple Exponential Moving Average). This reduces lag significantly, giving you entries 1-2 bars earlier than standard indicators.
Protection (ADX Chop Filter): This is the game-changer. If the trend strength (ADX) is below the threshold, the bars turn GRAY. This tells you to sit on your hands and avoid trading during low-momentum sideways chop.
Validation (Volume Gate): A breakdown without volume is often a trap. This script automatically "dims" (fades) the signal bars if the volume is below the 20-period average.
Key Features
🚦 Smart Color Coding:
Neon Green/Red: Strong, valid trend.
Gray: Market Chop (No Trade Zone).
Faded/Transparent: Low Volume (Caution).
⚡ TEMA-Based MACD: Faster reaction to price reversals.
📊 Live InfoBox: A professional dashboard in the corner displaying real-time Trend status, Explosion power, and ADX strength.
🛡️ Hull DeadZone: Uses Hull Moving Average for the "Dead Zone" calculation, providing a smoother and more accurate baseline noise filter.
How to Trade
🔹 The BUY Signal (Long)
Bar Color: Must be Bright Green.
Explosion: The bar must cross ABOVE the Gold Line (The Explosion Threshold).
Confirmation: The bar must be outside the Blue DeadZone.
No Chop: Ensure the bar is NOT Gray.
🔻 The SELL Signal (Short)
Bar Color: Must be Bright Red.
Explosion: The bar must cross ABOVE the Gold Line.
Confirmation: The bar must be outside the Blue DeadZone.
No Chop: Ensure the bar is NOT Gray.
Settings Guide
Sensitivity: Controls how sensitive the MACD impulse is. (Default: 150)
Filter Low Volume: If enabled, bars with weak volume become transparent.
ADX Threshold: The level below which the market is considered "Choppy." (Default: 10). Raise this to 20 or 25 for stricter filtering.
DeadZone Length: Controls the baseline noise filter.
Credits & Attribution
Original Concept: Waddah Attar (WAE).
Modernization & Code: Vilantro (www.vilantro.com).
Disclaimer: This tool is for educational purposes. Always manage your risk.
Nealer RSIMy RSI configuration employs three periods—Fast 13, Mid 34, and Slow 89—to capture short-, medium-, and long-term momentum. The midline is set at 50, with upper and lower strength thresholds at 65 and 35, respectively. This layered RSI approach offers a nuanced view of market strength, helping to identify trend continuation, potential reversals, and overbought/oversold conditions with higher precision.
Gabriel's RSI & MACD-BK⚔️📊 Gabriel’s RSI & MACD — BK Tactical Dashboard 📊⚔️
All glory to G-d — the true source of wisdom, restraint, and right timing.
This work stands on the foundation built by GabrielAmadeusLau:
www.tradingview.com
The engine is his.
The upgrade is mine: an institutional-grade dashboard/info-table with hover tooltips — a war-room briefing layer that makes the original outputs faster to read under pressure.
This is not a “buy/sell generator.”
It’s a discipline tool: it compresses multiple truths into one glance so you can confirm the environment, refuse noise, and execute clean.
🧠 What it is (big picture)
Gabriel’s original framework is a multi-oscillator intelligence stack:
• RSI with adaptive weighting options (volume/volatility toggles)
• RSI smoothing with optional Bollinger structure
• MACD normalization + histogram signals
• Stochastic layer (Price / CVD / RSI source modes)
• CCI and %R overlays
• Optional divergence detection
BK’s addition is a command-center interface:
• A meter-based “Ultimate Dashboard” that summarizes the same underlying logic
• Institutional-style tooltips that explain: state, velocity, thresholds, and an action plan
• Faster decisions, less chart clutter — without changing the core engine
🎛️ What the BK Dashboard adds (without altering the core)
1) “One-glance” posture
Bias, MTF alignment, volatility regime, institutional pressure, exhaustion, breakout context, smart-money detection, momentum, CVD divergence, and delta extremes.
2) Hover tooltips (the briefing)
Each meter expands into:
• The math context (what moved, by how much, and why)
• The state machine (what condition you’re in)
• A playbook (what to do, what not to do)
3) Preset system (optional)
Market presets can override manual settings for quicker tuning across SPX / commodities / forex / crypto.
🧭 How to use it (doctrine)
1) Start with Bias + MTF
If timeframes don’t agree, reduce size or stand down.
Alignment is permission; mixed signals are a trap.
2) Treat Volatility as position sizing law
High volatility isn’t “exciting” — it’s a tax on mistakes.
Let the volatility meter decide your leverage, not your mood.
3) Use Institutional + Delta as confirmation
When pressure and flow agree, the market is telling the truth.
When they fight each other, it’s usually distribution/absorption — wait.
4) Exhaustion & Divergence are warnings, not entries
They tell you “fuel is changing,” not “push the button.”
Let price confirm before you commit.
5) Peaks/Valleys are context, not targets
They mark zones where decisions cluster.
Your job is to see whether the market accepts or rejects those zones.
🧱 Non-negotiable rule
This tool doesn’t make you right.
It makes you harder to fool.
Respect to GabrielAmadeusLau — the originator.
BK’s dashboard is a lens, not a takeover.
📜 Proverbs lens (placed at the end, as doctrine)
• Proverbs 18:17 — “The first account sounds right… until it’s cross-examined.”
That’s confluence. Don’t trade the first story your chart tells you.
Let multiple meters testify before you move.
• Proverbs 14:15 — The naive believes everything; the prudent gives thought to his steps.
Tooltips exist for this: slow down, check the conditions, then step.
• Proverbs 16:32 & 25:28 — Self-control is strength; a man without restraint is an exposed city.
If you can’t size down in chop, you’re not trading — you’re leaking.
• Proverbs 21:31 — The horse is prepared for the day of battle, but victory belongs to the Lord.
Your job is preparation: alignment, confirmation, risk.
Outcome is never owed — only earned in process.
Read the meters like counsel, not like fortune-telling.
Confirm. Wait. Strike clean.






















