Sinyal Dominasi Volatilitas (dengan Alarm)sinyal perbandingan btc dan total3 perbedaan yang signifikan di candle TF15 menit
المؤشرات والاستراتيجيات
5/9/21 EMA – Toggle Source (CLOSE or EMA)Allows you to set 5/9/221 EMA but change inputs to either be CLOSE or EMA. The EMA setting provides more smoothing.
A1TradeHub - Oscillator Matrix [1.0]A1TradeHub Oscillator Matrix — Quick Use
🟩 Buy Zone (Oversold)
Enter calls when the fast line (yellow) crosses up the signal (white) from green and price confirms at support (PDL/PM L/EMA 48–200).
🟥 Sell Zone (Overbought)
Enter puts when the fast line crosses down the signal from red and price rejects resistance (PDH/PM H/EMA 48–200).
📈 Trend Filter (Matrix tag)
Trade with the tag: Trend: BULLISH → prefer calls, Trend: BEARISH → prefer puts. Opposite-trend = scalp only.
⚡ Trigger Quality
Stronger when both lines exit a zone together and expand; weak if they flatten or weave near the 0-line.
0️⃣ Midline (0 level)
First scale at the 0-line; flips here often start the next leg.
🎯 Targets & Exits
Target next S/R; take +40–60% and trail the 13 EMA. Exit if the fast line re-crosses or wave fails to leave the zone.
🚫 No-Trade
Avoid entries when lines chop inside the middle band or momentum waves are small/flat.
🔔 Heads-Up
“OB” near the red band = watch for reversal puts; mirrored idea for deep green = call bounces.
High Volume CandlesInspired by Key bars from Option Stalker Pro.
This one is meant to be used on charts where the interval is <1D.
Highlights candles in chart with Volume > 1.4 * last 30 candles average volume.
Helps to not accidentally miss that a candle move happened on high volume (or that it did not happen on high volume...), like potential reversals or resistance/support breaks.
Make sure to move this indicator above the ticker in the Object Tree, so that it is drawn on top of the ticker's candles.
More infos: www.reddit.com
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.
Muzyorae - Quarterly CyclesQuarterly Theory — NY Session Macro Model
The Quarterly Theory is a time-based framework for analyzing intraday market behavior during the New York session. It divides the session into four sequential quarters (Q1–Q4), each reflecting institutional activity, liquidity accumulation, and directional bias.
Q1 – Accumulation (9:30–10:00 AM): Early positioning, initial liquidity sweeps, and potential early breakouts (AMDX - XAMD patterns).
Q2 – Manipulation/Expansion (10:00–11:30 AM): Main directional move with structure breaks, fair value gaps, and liquidity sweeps.
Q3 – Distribution/Retracement (11:30 AM–1:30 PM): Consolidation, profit-taking, and market chop.
Q4 – Final Expansion/Repricing (1:30–4:00 PM): Trend continuation, reversals, and session high/low formation.
Key Features:
Fractal-based cycles scalable across intraday or multi-day timeframes.
Supports AMDX (Accumulation → Manipulation → Distribution → Expansion) and XAMD reversal sequences.
Highlights early Q1 expansions, Q2 open reference, and critical liquidity zones.
Fully synchronized to NY time and compatible with ICT concepts (SMT, FVGs, OBs, BOS).
Professional visualization with optional labels and vertical markers.
Purpose:
Provides traders a systematic framework to align with institutional flow, anticipate liquidity accumulation, identify optimal entry/exit zones, and structure trades around high-probability intraday cycles.
Quick Overview - 5mInspired by Option Stalker Pro, it shows RS/RW on 15m and 30m.
Meant to be used on the 5m chart.
Ideally you want to have RS/RW on as many time scales as possible!
More infos: www.reddit.com
🐋 Radar de Ballenas v3 + PanelEvaluate areas of high interest by gathering information based on the fluctuation of the bar graph + information panel for decision-making
KING_HPM_LPM_SPYName: KING_HPM_LPM_SPY
This indicator identifies and plots the high (HPM) and low (LPM) of the pre-market session for the SPY ticker (or any chart it's applied to), based on the New York timezone (04:00 - 09:30 AM).
Functionality:
Tracks the high and low during the premarket hours.
When the premarket ends (09:30 AM NY time), it draws horizontal lines at the premarket high and low levels.
It also adds labels:
"HPM" for the high
"LPM" for the low
These lines and labels are customizable (style, width, color).
It keeps the plotted lines/labels for a user-defined number of days (default = 2).
If the number of stored days exceeds the limit, it automatically deletes the oldest lines and labels to maintain only the most recent days visible.
BIST/TL_RSI+MA+FibThis indicator combines RSI, Moving Averages, ATR-based volatility bands, and Fibonacci levels into a powerful multi-strategy scanner.
Features:
Selectable combinations: RSI, MA, ATR, or mixed conditions (RSI+ATR, MA+RSI, RSI under 50, RSI < Fib 0.5, etc.)
Customizable Moving Averages (EMA, SMA, WMA, VWMA, TEMA, etc.)
ATR bands for dynamic volatility-based support/resistance zones
RSI with Fibonacci retracements for confluence signals
Multiple timeframe & screening group selection
Use this tool to spot momentum shifts, volatility breakouts, and Fibonacci-based RSI reversals across BIST stocks or your own custom list.
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Jarvis Bitcoin Predictor – Advanced AI-Powered TrendJarvis Bitcoin Predictor is an invite-only indicator designed to help traders anticipate market moves with precision.
It combines advanced momentum tracking, volatility analysis, and adaptive trend filters to highlight high-probability trading opportunities.
🔹 Core Features:
- AI-inspired algorithm for Bitcoin price prediction
- Early detection of bullish and bearish trend reversals
- Dynamic support & resistance zones
- Clear buy/sell signal markers
- Built-in alerts to never miss an opportunity
Optimized for Bitcoin, but compatible with other crypto pairs
🔹 How it works (general explanation):
The indicator uses a mix of momentum calculations, volatility filters, and adaptive trend detection to generate signals.
When several market conditions align, Jarvis provides clear entry/exit signals designed to improve decision-making and timing.
🔹 How to use it:
1- Add Jarvis Bitcoin Predictor to your chart.
2- Follow the green signals/zones for bullish opportunities.
3- Follow the red signals/zones for bearish opportunities.
4- Combine with proper risk management and your own strategy.
This tool was built to give traders clarity and confidence in the fast-paced crypto market.
⚠️ Important:
This script is invite-only. To request access, please contact the author directly.
🐋 Radar de Ballenas v3 (final)evalua zonas de gran interes recopilando informacion basada en la fluctuazion del grafico de barras
Customizable MA StrategiesOptional 3 MA Strategies in an indicator
6 MA Type "EMA", "SMA", "RMA", "VMA", "VWMA", "TEMA"
3 different periods
3 SMA + RSI + MACD + MTF Ultimate Dashboard🎯 Overview:
High-precision trading indicator combining trend, momentum, and multi-timeframe confirmation for reliable buy/sell signals in Forex, Crypto, and other markets.
🔹 Core Features:
📈 3 SMAs (7/25/99) – Short, Medium & Long-term trend detection
⚡ RSI Filter – Avoid weak signals (Buy >55 / Sell <45)
💎 MACD with Threshold – Reduce false crossovers
⏱️ Multi-Timeframe Trend (H4) – Confirm overall market direction
✅ Dashboard & Signals:
🟢 Clear Buy & Sell arrows on chart
📊 Live dashboard showing filter status & total signals
🔔 Audio & Push Alerts – Mobile/Desktop/Webhook
💎 Benefits:
⚡ Minimizes false signals
📈 Works on M15, H1, H4, Daily
🎯 Combines trend, momentum, and confirmation filters in one dashboard
⚠️ Note: Signals are generated only after candle close for maximum reliability.
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
CandelaCharts - Vertex Oscillator 📝 Overview
The Vertex Oscillator is a proprietary momentum-based oscillator designed to detect periods of deep undervaluation (accumulation) and excessive euphoria (distribution) in markets.
By combining price deviation, volume normalization, and volatility scaling, the indicator identifies extreme conditions and provides actionable signals for both traders and analysts.
📦 Features
Volume-normalized momentum – integrates price deviations with relative volume weighting.
Adaptive volatility scaling – reduces distortion from sudden spikes and low-volume noise.
Z-score normalization – standardizes readings into intuitive zones.
Accumulation & Euphoria detection – highlights market extremes with color-coded zones.
Built-in alerts – instantly notify traders when critical thresholds are crossed.
⚙️ Settings
Source: The input price source.
Lookback: Number of bars used for deviation & volatility calculation.
Smoothing: Smoothing length applied to oscillator.
Colors: Customize bullish, bearish, and neutral oscillator line colors.
Zones: Set shading colors for accumulation (≤ -2) and euphoria (≥ +2).
Line: Choose oscillator line width and color.
⚡️ Showcase
≤ -2 (Green Zone)
Market undervaluation / accumulation opportunities.
≥ +2 (Red Zone)
Market euphoria / overheated conditions.
0 (Neutral Line)
Balanced state.
Divergences
📒 Usage
The Vertex Oscillator is most effective when interpreted through its key zones, helping traders quickly spot undervaluation, euphoria, or neutral market conditions.
Identify Accumulation – When the oscillator drops below -2, markets may be undervalued.
Spot Euphoria – When the oscillator rises above +2, markets may be overheated.
Neutral Zone – Around 0, conditions are balanced with no strong bias.
Best Practice – Use alongside trend, support/resistance, or volume tools to confirm signals.
🚨 Alerts
The Vertex Oscillator includes built-in alerts to help traders react instantly when the market enters extreme conditions. Instead of constantly monitoring the chart, alerts notify you in real time when accumulation or euphoria thresholds are triggered.
Deep Accumulation – triggers when the oscillator crosses below -2, signaling undervaluation.
Euphoria Triggered – triggers when the oscillator crosses above +2, signaling overheated conditions.
⚠️ Disclaimer
These tools are exclusively available on the TradingView platform.
Our charting tools are intended solely for informational and educational purposes and should not be regarded as financial, investment, or trading advice. They are not designed to predict market movements or offer specific recommendations. Users should be aware that past performance is not indicative of future results and should not rely on these tools for financial decisions. By using these charting tools, the purchaser agrees that the seller and creator hold no responsibility for any decisions made based on information provided by the tools. The purchaser assumes full responsibility and liability for any actions taken and their consequences, including potential financial losses or investment outcomes that may result from the use of these products.
By purchasing, the customer acknowledges and accepts that neither the seller nor the creator is liable for any undesired outcomes stemming from the development, sale, or use of these products. Additionally, the purchaser agrees to indemnify the seller from any liability. If invited through the Friends and Family Program, the purchaser understands that any provided discount code applies only to the initial purchase of Candela's subscription. The purchaser is responsible for canceling or requesting cancellation of their subscription if they choose not to continue at the full retail price. In the event the purchaser no longer wishes to use the products, they must unsubscribe from the membership service, if applicable.
We do not offer reimbursements, refunds, or chargebacks. Once these Terms are accepted at the time of purchase, no reimbursements, refunds, or chargebacks will be issued under any circumstances.
By continuing to use these charting tools, the user confirms their understanding and acceptance of these Terms as outlined in this disclaimer.
Trade AliThe Trade Ali indicator is designed to identify the continuation of market trends after a correction or pullback. Its core logic combines multiple layers of trend analysis with noise reduction techniques to provide clearer and more reliable trading signals.
🔹 Core Mechanism
Price data is first filtered using a smoothing method that reduces short-term noise. This ensures that the main direction of the market becomes more visible and traders are not misled by minor fluctuations.
🔹 Multi-Timeframe Trend Analysis
The indicator evaluates both short-term and long-term market structures. When both perspectives align in the same direction, it increases the probability of a stronger trend continuation. This multi-layer approach helps avoid false entries.
🔹 Detection of Key Shifts
In addition to tracking the overall trend, the indicator also identifies critical changes in momentum and balance between buyers and sellers. These moments often occur right after a pullback and usually mark the start of a new wave in the dominant direction.
🔹 Entry & Exit Signals
When all necessary conditions are confirmed, the indicator plots buy or sell labels on the chart. These signals typically appear around the end of a correction and the beginning of the next impulsive move.
🔹 Overall Trend Status
Besides the individual signals, the indicator displays the general market condition (bullish, bearish, or neutral) in a visual format on the chart. This gives traders a quick overview of the bigger picture.
✅ Summary
The Trade Ali indicator is built for traders who want to capture trend continuation opportunities after corrections or pullbacks. By combining multiple confirmation layers and filtering out market noise, it focuses on providing cleaner, more meaningful signals that highlight stronger market conditions.
Pullback Confirma**📈 Pullback Strategy with Candle Confirmation**
**🎯 Objective:**
Identify ideal entry points during pullbacks in trends, using the simultaneous crossover of two moving averages with candle confirmation.
**📊 Indicators Used:**
- **Hull Moving Average (HMA):** Period 27 - fast and smoothed average that reduces lag
- **Simple Moving Average (SMA):** Period 11 - short-term average for additional confirmation
**⚡ Strategy Logic:**
**🔹 Conditions for BUY SIGNAL:**
1. **Double Crossover:** Price crosses above both HMA 27 and SMA 11 simultaneously
2. **Pullback:** Price must be near or touching HMA 27 (return-to-average condition)
3. **Confirmation:** On the next candle, it must be a BULLISH candle closing above both averages
**🔸 Conditions for SELL SIGNAL:**
1. **Double Crossover:** Price crosses below both HMA 27 and SMA 11 simultaneously
2. **Pullback:** Price must be near or touching HMA 27
3. **Confirmation:** On the next candle, it must be a BEARISH candle closing below both averages
**🎨 Chart Visualization:**
- **● Blue Circle:** Upward crossover detected (awaiting confirmation)
- **● Orange Circle:** Downward crossover detected (awaiting confirmation)
- **▲ Green Arrow:** Confirmed buy (after confirmation candle)
- **▼ Red Arrow:** Confirmed sell (after confirmation candle)
- **Colored Lines:** HMA (blue) and SMA (orange) plotted on the chart
**⚙️ Customization:**
- Adjustable average periods
- Customizable arrow colors
- Configurable alerts for each confirmed signal
**✅ Advantages:**
- **Double Filter:** Two different averages for confirmation
- **Candle Confirmation:** Eliminates premature signals
- **Intuitive Visual:** Only shows arrows after valid confirmation
- **Controlled Pullback:** Operates only on return-to-average movements
**⏰ Recommended Timeframe:**
Works on multiple timeframes, but particularly effective on M15, H1, and H4 to capture more significant movements.
This strategy is ideal for traders looking for precise entries in consolidated trends, minimizing false signals through candle confirmation! 🚀
Strategy Bias Dashboard📘 Strategy Bias Dashboard (Bullish, Bearish, Sideways)
Overview
This script provides a Bias Dashboard that helps traders quickly evaluate whether the current market condition is Bullish, Bearish, Sideways, or All.
The dashboard is displayed in a styled table with configurable filters, showing market trend, strength, and volatility in a clean format.
It’s designed for Indexes and other liquid instruments, and can be applied on any timeframe, while calculations are based on Daily ATR for consistency.
✨ Features
🔎 Bias Selection Filter → Choose to view only Bullish, Bearish, Sideways, or All conditions.
📊 Dynamic Table → Automatically redraws whenever bias is changed, avoiding empty rows or holes.
🎨 Readable Table Layout → Compact fonts, bold headers, and color-coded cells for clarity.
📈 Trend & Strength Calculation → Uses ADX, RSI, and moving averages to classify trend quality.
⚡ ATR% Volatility → Normalized ATR as % of price, giving a volatility snapshot.
🧩 Strategy Suggestions → Displays best-suited F&O strategies (Credit Spread, Strangle, Iron Condor, Iron Butterfly) depending on bias.
🔔 Real-Time Updates → Table updates dynamically with live data from the chart.
📐 How It Works
Trend Detection
EMA crossovers and RSI bias identify bullish vs. bearish conditions.
Weak trend + low ADX = Sideways bias.
Strength Measurement
ADX is used to classify weak, moderate, and strong trends.
RSI confirms direction and momentum.
ATR % Volatility
Daily ATR normalized by price helps identify whether credit spreads or wider strangles are suitable.
Dashboard Rendering
A top-right aligned table shows the filtered rows.
Redraw occurs when bias is changed, keeping the table compact.
⚙️ User Inputs
Bias Filter → Select All, Bullish, Bearish, Sideways.
Timeframe → Default is current chart timeframe.
Volume Confirmation → Optional filter to check volume spikes.
Table Position → Fixed to top-right for visibility.
📊 Example Output
Bias Trend Strength ATR% Best Strategy
Bullish Uptrend Strong 1.2% Bull Put Spread
Bearish Downtrend Moderate 1.4% Bear Call Spread
Sideways Neutral Weak 0.6% Iron Condor
✅ Best Use Cases
Intraday & Swing traders who want quick bias confirmation.
Options traders selecting credit strategies based on volatility and bias.
Portfolio managers tracking broader market bias on indices.
⚠️ Disclaimer
This script is provided for educational purposes only.
It does not constitute financial advice and should not be used as the sole basis for investment decisions.
Trading involves risk, and you are solely responsible for your own trades.
📌 Author: Chandrashekhar Nagar
📌 Version: Pine Script™ v6
📌 Category: Public Indicators & Strategies
AnalistAnka FlowScore Pro (v8.2)AnalistAnka FlowScore Pro – User Guide (EN)
1) What it is
AnalistAnka FlowScore Pro aggregates money flow into a single scale.
Components:
SMF-Z: Z-score of (log return × volume)
OBV-Z: Z-score of OBV (cumulative volume flow)
MFI-Z (optional): Z-score of Money Flow Index
Combined into FlowScore, then smoothed by EMA.
Core signal:
FlowScore > +0.5 → strong long bias
FlowScore < −0.5 → strong short bias
Optional HTF EMA filter keeps you trading with the higher-timeframe trend.
2) Inputs (summary)
FlowScore & Signal: wSMF, wOBV, wMFI, smoothFS, enterBand, exitBand, cooldownBars
HTF Filter: useHTF, htf (e.g., 60/240/1D), htfEmaLen (default 200)
MFI: useMfi, mfiLen, mfiSmooth, mfiZwin
Spike: spWin, spK (σ threshold), minVolPct (volume MA threshold)
Fills: fillSMF, fillOBV with separate positive/negative colors
Divergences: showDiv, divLeft/right, divShowLines, divShowLabels, colors
3) How to read
A) FlowScore (primary)
Long setup: FlowScore crosses above enterBand (+)
Short setup: FlowScore crosses below −exitBand
Hysteresis (±bands) reduces whipsaws; cooldown throttles repeats.
B) HTF trend filter (recommended)
With useHTF=true: only longs above HTF EMA, only shorts below it.
Example: trade 15-min, filter with 1-hour EMA200.
C) Spike IN/OUT (confirmation)
Detects statistical surges in OBV derivative plus volume threshold.
Use as confirmation, not as a standalone trigger.
D) Divergence (pivot-based)
Bearish: price HH while FlowScore prints LH
Bullish: price LL while FlowScore prints HL
Tune pivots via divLeft/right; toggle lines/labels in the panel.
4) Timeframes & suggested presets
Profile Chart HTF (Filter) Band (±) Cooldown Notes
Scalp 1–5m 15–60m 0.7 5–8 Fewer, cleaner signals
Intraday 5–15m 60–240m 0.5 8–12 Solid default
Swing 1–4h 1D 0.4 12–20 Patient entries
Daily usage:
On a daily chart, nothing extra is needed.
On intraday but want daily filter → set htf=1D.
5) Example playbook
Long:
useHTF=true and price above HTF EMA
FlowScore crosses above +band
Optional confirmations: recent Spike IN, SMF-Z & OBV-Z aligned positive
Stop: below last swing low or ATR(14)×1.5
Exit: partial on FlowScore below 0; full on below −band or at 1R/2R
Short: mirror logic (below HTF EMA, break under −band, Spike OUT, etc.).
6) Alerts
FlowScore LONG / SHORT → immediate signal notification
Spike IN / OUT → money-in/out warnings
7) Tips
Too many signals → widen bands (0.6–0.7), increase cooldown, raise smoothFS (6–9).
Too slow → lower smoothFS (3–4), reduce bands to 0.4–0.5.
Thin liquidity → reduce minVolPct, also reduce position size.
Best reliability when SMF-Z & OBV-Z share the same polarity.
8) Disclaimer
For educational purposes only. Not financial advice. Always apply risk management.