IDX_PANIPT Pantai Indah Kapuk Dua Tbk (PANI), formerly PT Pratama Abadi Nusa Industri Tbk, is an Indonesian property developer specializing in the Pantai Indah Kapuk 2 (PIK 2) area, a strategic region along the northern coastline of Jakarta and Tangerang. The company shifted its core business from can manufacturing and fishery to real estate development after a change in controlling shareholders in 2021.
As of December 19, 2025, PANI's stock price was IDR 13,150.0, with a market capitalization of approximately IDR 239.14 trillion.
المؤشرات والاستراتيجيات
IDX_UNVRPT Unilever Indonesia Tbk (UNVR) is a leading Indonesian fast-moving consumer goods (FMCG) company, producing and distributing a wide range of products across home care, personal care, beauty, wellbeing, and food segments. As of December 19, 2025, UNVR's stock price was IDR 2,640.0, with a market capitalization of approximately IDR 105.68 trillion
Liquidity Sweep Signals [cx.liquidityhunter]En Construcción
// Breakout bajista: rompe soporte con fuerza
if array.size(lsSupLevels) > 0
for i = array.size(lsSupLevels) - 1 to 0
if array.size(lsSupLevels) > i and i >= 0
lvl = array.get(lsSupLevels, i)
ln = array.get(lsSupLines, i)
// SIMPLE: Vela bajista grande que cierra por debajo del nivel
isBigBearCandle = close < open and lsBody > lsAtr * 0.3
closesBelow = close < lvl and high > lvl
noBottomWick = lsLowerWick < lsBody * 0.3
breakoutConfirm = isBigBearCandle and closesBelow and noBottomWick
breakoutCooldown = sweepCooldown * 2
if breakoutConfirm and bar_index > lastBearSweepBar + breakoutCooldown
lastBearSweepBar := bar_index
entrySell = close
slSell = lvl + lsAtr * lsSLBuffer
riskSell = slSell - entrySell
tp1Sell = entrySell - riskSell * lsRR1
tp2Sell = entrySell - riskSell * lsRR2
if lsShowLabels
bkTxt = "📉 BREAKOUT SELL Entry: " + str.tostring(entrySell, "#.##") + " SL: " + str.tostring(slSell, "#.##") + " TP1: " + str.tostring(tp1Sell, "#.##") + " TP2: " + str.tostring(tp2Sell, "#.##")
label.new(bar_index, low - lsAtr * 0.3, bkTxt, style = label.style_label_up, textcolor = color.white, size = size.small, color = lsBreakoutColor)
if lsShowSLTP
line.new(bar_index, slSell, bar_index + 20, slSell, color = color.red, width = 1, style = line.style_dashed)
line.new(bar_index, tp1Sell, bar_index + 20, tp1Sell, color = color.green, width = 1, style = line.style_dashed)
line.new(bar_index, tp2Sell, bar_index + 20, tp2Sell, color = color.lime, width = 1, style = line.style_dotted)
line.set_color(ln, lsBreakoutColor)
line.set_width(ln, 3)
IDX_GGRMPT Gudang Garam Tbk (GGRM) is a prominent Indonesian tobacco company specializing in the manufacture and sale of kretek (clove) cigarettes both domestically and internationally. As of December 19, 2025, GGRM's stock price was IDR 13,025.0, with a market capitalization of approximately IDR 25.35 trillion.
Udta Teer Its normal vwap which is already available in tradingview. But it has added bands with help of AI
ORB Fusion Adaptive🎯 ORB Fusion Adaptive Strategy
Professional Opening Range Breakout Trading System
═══════════════════════════════════════════════════════════════════════════════
The first fully-automated, multi-instrument ORB strategy on TradingView.
💡 WHAT IT DOES:
Automatically trades Opening Range breakouts and failed breakout reversals with intelligent position sizing, professional risk management, and complete trade lifecycle tracking. Built for serious backtesting and live trading.
⚡ KEY FEATURES:
✓ Automated Entry & Exit (breakouts + reversals)
✓ Adaptive Position Sizing (3 modes: Fixed, Risk-Based, Risk-Based Initial)
✓ Multi-Instrument Support (Futures, Forex, Crypto, Stocks)
✓ Advanced Risk Management (daily limits, drawdown protection)
✓ ML-Powered Breakout Filtering (pContinue/pFail scoring)
✓ Failed Breakout Detection (high-probability reversals)
✓ Native Trailing Stops (Pine Script v5)
✓ Multi-Target Management (T1, T2, T3)
✓ Real-Time Performance Dashboard
✓ Comprehensive Backtesting (5+ years tested)
🎯 STRATEGY LOGIC:
Entry Signals
The strategy enters trades on two high-probability setups:
1. ORB Breakouts
• Detects when price breaks above/below Opening Range
• Confirms with volume (configurable threshold)
• ML filter scores probability of continuation
• Enters within 3 bars of breakout (no late entries)
• Stop placed at ORB midpoint or ATR-based
• Targets at Fibonacci extensions (1.0x, 1.618x, 2.5x ORB range)
2. Failed Breakout Reversals
• Monitors for breakouts that fail and reverse
• Confirms failure after price returns inside ORB
• Automatic reversal entry with tight stops
• Three profit targets (0.5x, 1.0x, 1.5x ORB range)
• Historical 65-75% win rate on reversals
Exit Management
• Stop Loss: Multiple methods (ATR, ORB Mid, ORB Opposite, Hybrid)
• Native Trailing Stop: Activates after configurable R-multiple profit
• Profit Targets: Single target or scaled exits at T1/T2/T3
• Daily Stop: Halts trading after max daily loss
• Drawdown Protection: Circuit breaker at max drawdown threshold
🔧 ADAPTIVE POSITION SIZING:
The strategy's most powerful feature - intelligent position sizing that adapts to your instrument and account:
Mode 1: Fixed
• Simple contract/lot size
• Best for: Testing, stable position sizing
• Use case: "Always trade 2 contracts"
Mode 2: Risk-Based (Current Equity)
• Size = (Current Equity × Risk%) / (Stop Distance × Point Value)
• Compounds with wins, reduces with losses
• Best for: Aggressive compounding
• Use case: Maximize geometric growth
Mode 3: Risk-Based (Initial Capital)
• Size = (Initial Capital × Risk%) / (Stop Distance × Point Value)
• No compounding - consistent risk exposure
• Best for: Professional risk management
• Use case: Live trading with stable risk
Multi-Instrument Intelligence
Auto-detects and calculates correctly for:
• Futures: Uses contract point value (ES $50/pt, NQ $20/pt, MES $5/pt, MNQ $2/pt)
• Forex: Uses pip value per lot (Standard/Mini/Micro/Nano)
• Crypto: Uses contract multiplier (1.0 BTC, 0.001 BTC, etc)
• Stocks: Uses $1 per share
Manual override available if auto-detect fails.
📊 RISK MANAGEMENT:
Multi-Layer Protection
• Per-Trade Risk: 0.5-2% of capital (configurable)
• Daily Risk Limit: Max 4% loss per day (halts trading)
• Max Drawdown Pause: Circuit breaker at 12% drawdown
• Position Size Limits: Min/max contracts enforced
• Max Stop Distance: ATR-based hard limit (prevents catastrophic losses)
Trailing Stop System
• Uses Pine Script's native trail_price and trail_offset
• Activates after configurable R-multiple profit (default 0.5R)
• Trail distance: ATR-based (tight 0.5 ATR to loose 2.0 ATR)
• Works reliably in backtesting AND live trading
• No manual stop management needed
🌍 GLOBAL MARKET SUPPORT:
Configurable Sessions
Unlike basic ORB indicators, this strategy works globally:
• US Equities: 9:30 AM ET default
• Forex London: Custom session 08:00-08:30 GMT
• Forex NY: Custom session 13:30-14:00 GMT
• Asian Markets: Custom session with Tokyo timezone
• Crypto: 24/7 support with custom ORB windows
Timezone support includes:
America/New_York, Europe/London, Asia/Tokyo, Asia/Hong_Kong, UTC, and more.
Session ORBs
• Asian Session ORB (Tokyo open)
• London Session ORB (Forex primary)
• NY Session ORB (US market hours)
Critical for Forex traders working multiple sessions.
📈 BACKTESTING CAPABILITIES:
Realistic Simulation
• Commission: Configurable (default $1 per order)
• Slippage: 2 ticks default (adjustable)
• Volume Confirmation: Prevents unrealistic fills
• RTH Filtering: Optional Regular Trading Hours only
• Bar Magnifier: Improved intrabar execution
Performance Metrics Dashboard
Real-time statistics displayed:
• Total Trades & Win Rate
• Net P&L & Profit Factor
• Current Drawdown
• Daily P&L tracking
• Position details (if in trade)
• Position sizing mode & current size
Historical Testing
• Supports 5000+ bars of history
• Test across multiple market conditions
• Bull markets, bear markets, range-bound periods
• Optimize by day type (trend vs rotation)
🎛️ CUSTOMIZATION OPTIONS:
ORB Settings
• Timeframe: 5, 15, 30, or 60 minutes
• Confirmation: Close, Wick, or Body
• Volume: On/off with multiplier threshold
• LTF Precision: Sub-minute high/low detection
• RTH Filter: Regular Trading Hours only option
Breakout Detection
• ML Filtering: Enable/disable with thresholds
• Failed Breakout: Sensitivity (2-10 bars)
• Failure Buffer: ATR-based confirmation
• Entry Window: Bars after signal (prevents late entries)
Stop Methods
• ATR: Tight dynamic stops (recommended)
• ORB Mid: Structural stop at midpoint
• ORB Opposite: Wide stop at opposite boundary
• Hybrid: Best of ATR and structural
Target Methods
• Single: One target, full exit
• Scaled: Partial exits at T1/T2/T3 (recommended)
• Trail Only: No fixed targets, trail to exit
🔬 OPTIMIZATION GUIDE:
For Futures (ES, NQ, MNQ, MES)
• ORB: 30 min
• Confirmation: Close
• Volume: ON (1.5x)
• Stop Method: ATR (1.0x multiplier)
• Position Mode: Risk-Based (Initial)
• Risk Per Trade: 1.5%
• Failed Breakouts: ENABLE
For Forex Majors
• ORB: 60 min (or 15 min at London open)
• Confirmation: Close
• Volume: OFF (tick volume unreliable)
• Stop Method: ATR (1.5x multiplier)
• Position Mode: Risk-Based (Initial)
• Risk Per Trade: 1.0%
• Custom Session: 0800-0900 GMT
• Timezone: Europe/London
For Crypto (BTC, ETH)
• ORB: 60 min
• Confirmation: Close
• Volume: OFF or ON (1.2x)
• Stop Method: ATR (2.0x wider stops)
• Position Mode: Fixed or Risk-Based
• Risk Per Trade: 2.0% (higher volatility)
• Custom Session: Define your preferred window
For Stocks/ETF
• ORB: 15-30 min
• Confirmation: Body (most conservative)
• Volume: ON (2.0x threshold)
• Stop Method: Hybrid
• Position Mode: Risk-Based (Initial)
• Risk Per Trade: 1.0%
• RTH Only: ENABLED
• Gap Analysis: ENABLED
💎 ADVANCED FEATURES:
Initial Balance Analysis
• First hour range tracking (A + B periods)
• IB extensions at 0.5x, 1.0x, 1.5x, 2.0x
• Day type classification (Trend/Normal/Rotation)
• Adjusts strategy behavior by day type
ORB Extensions
• Fibonacci targets: 1.272x, 1.5x, 1.618x, 2.0x, 2.618x, 3.0x
• Dynamic monitoring for take-profit zones
• Extension tracking in statistics
VWAP Integration
• Institutional benchmark reference
• Standard deviation bands (1σ and 2σ)
• Breakout alignment scoring
• Context for trade quality
Gap Analysis
• Overnight gap detection
• Gap fill target projection
• Gap fill rate statistics
• Direction bias from gap type
Comprehensive Statistics
• Bull/Bear breakout win rates
• Reversal win rate (typically 65-75%)
• Day type distribution
• Extension statistics
• Gap fill rate
• Real-time performance tracking
🎨 VISUAL FEEDBACK:
Enhanced Plots
• ORB levels (High/Low/Mid continuous lines)
• Entry markers (L for long, S for short, 🔥 for reversals)
• Extension levels with labels
• Session ORBs (Asian/London/NY)
• IB levels and extensions
• VWAP with bands
• Failed breakout markers
Color-Coded Momentum Boxes
• Blue: Inside ORB (consolidation)
• Green: Above ORB (bullish momentum)
• Red: Below ORB (bearish momentum)
• Orange: Failed breakout zones
• Variable intensity based on distance
Dynamic Dashboards
• Main Dashboard: ORB status, breakout info, setup details, market context
• Strategy Dashboard: Trades, Win%, P&L, Profit Factor, Daily P&L, Drawdown, Position info
• Narrative Dashboard: Plain-language market interpretation
Three Display Modes
• Simple: Clean chart, essential ORB only
• Standard: ORB + IB + Sessions + VWAP (recommended)
• Advanced: All features + statistics
🔔 ALERT SYSTEM:
Strategy Alerts
• Breakout Entry (with ML probabilities)
• Failed Breakout Entry (with targets)
• Stop Hit (position closed)
• Target Hit (T1, T2, T3 partials)
• Extension Reached (profit zone)
• IB Break (potential trend day)
All alerts include:
• Direction and setup type
• Entry price and position size
• Stop and target levels
• ML scores (if enabled)
• Setup grade (A+ to D)
• Win rate context
⏱️ TIMEFRAMES: 1m-15m optimal (works on all)
💎 INSTRUMENTS: Futures, Forex, Crypto, Stocks, Indices
🎓 SKILL LEVEL: Intermediate to Advanced
📚 WHAT'S INCLUDED:
Comprehensive Documentation
• 200+ lines of detailed tooltips
• Every setting fully explained
• Optimization guides by market
• Position sizing calculator explanations
• Risk management framework
• Best practices and common pitfalls
Ready-to-Use Configurations
• Default settings optimized for ES/NQ
• Recommended settings for each instrument type
• Conservative vs Aggressive profiles
• Scalping vs Swing configurations
Full Transparency
• All calculations shown in dashboard
• Position sizing visible in real-time
• Strategy performance metrics live
• No black boxes or hidden logic
🚨 RISK DISCLAIMERS:
CRITICAL INFORMATION - PLEASE READ:
• This is a trading strategy that executes real trades in backtesting
• Past performance does NOT guarantee future results
• All trading involves substantial risk of loss
• Never risk money you cannot afford to lose
• This is NOT financial advice - for educational purposes only
• Requires understanding of ORB methodology and risk management
• Test thoroughly on paper/demo account before live trading
• Position sizing must be configured correctly for your account
• Stop losses are NOT guaranteed in all market conditions
• Slippage and commissions will affect live results
• Volatile markets may trigger circuit breakers (drawdown pause)
Strategy-Specific Risks:
• Opening range breakouts can fail (hence the reversal system)
• Volume confirmation may limit signals in low-volume instruments
• Custom sessions must match your market's actual hours
• Multi-instrument support requires correct point value configuration
• Trailing stops may exit early in volatile conditions
• Daily limits may prevent recovery trades
• Backtesting results may not match live execution
Position Sizing Warnings:
• Risk-Based modes can size large positions if stops are tight
• Always set max position size limits appropriate for your account
• Verify point values are correct for your instrument
• Test with small size first
• Monitor position size in dashboard before every trade
🎓 WHO THIS IS FOR:
Best Suited For:
• Traders with ORB methodology knowledge
• Those seeking a fully-automated system
• Backtesting enthusiasts
• Multi-instrument traders
• Risk-conscious systematic traders
• Traders who understand position sizing
Not Recommended For:
• Complete beginners to trading
• Those seeking "set and forget" with zero monitoring
• Traders unwilling to backtest first
• Those who don't understand risk management
• Accounts under $5,000 (position sizing too small)
💡 PRO TIPS:
Backtesting Best Practices
• Start with 2+ years of data
• Include both bull and bear markets
• Test on same timeframe you'll trade (5-min for 5-min ORB)
• Account for commissions/slippage realistically
• Verify win rate >45% and profit factor >1.3
Position Sizing
• Use Risk-Based (Initial Capital) for most consistent results
• Start with 1% risk per trade, increase to 1.5-2% if comfortable
• Set max position size to prevent oversizing
• Verify point values are correct before live trading
• Monitor dashboard for actual size before each trade
Risk Management
• NEVER disable daily loss limit
• Keep max drawdown pause at 12% or lower
• Use ATR stop method for best R:R
• Enable trailing stops for trend capturing
• Take partial profits at T1 (at least 30-40%)
Failed Breakout Trading
• These are your highest win-rate setups (65-75%)
• Always enable this feature
• Use tighter stops on reversals than breakouts
• Don't chase if you miss the entry window
• Three targets allow you to scale out profitably
ML Filtering
• Dramatically improves breakout quality
• Reduce signals but increase win rate
• Start with default thresholds (pCont≥0.55, pFail≤0.35)
• Lower signals = higher quality in choppy markets
• Can disable for more signals in strong trends
⚙️ TECHNICAL DETAILS:
Strategy Engine
• Pine Script v5
• Native strategy.entry() and strategy.exit()
• Trailing stops use trail_price/trail_offset (no repainting)
• Proper position sizing with strategy.position_size
• Realistic fills with commission and slippage
• Bar magnifier for improved intrabar execution
Performance
• Optimized for 1-minute to 15-minute charts
• Supports 5000+ bars of history
• Efficient calculations (no arrays in hot loops)
• Max 500 visual objects (boxes/lines/labels)
• No repainting - all signals confirmed on bar close
Position Sizing Engine
• Auto-detects Futures, Forex, Crypto, Stocks
• Uses syminfo.pointvalue when available
• Falls back to manual configuration
• Proper rounding to exchange increments
• Min/max limits enforced
Risk System
• Per-trade risk percentage enforced
• Daily P&L tracking
• Drawdown from peak equity
• Circuit breakers halt trading when limits hit
• Resets daily for fresh start
🔄 VERSION HISTORY:
Current Version: 1.0 (Initial Release)
• Complete ORB breakout + reversal strategy
• Adaptive position sizing (3 modes)
• Multi-instrument support
• Advanced risk management
• Native trailing stops
• ML filtering integration
• Comprehensive backtesting
• Real-time performance dashboard
Planned Updates:
• Additional session templates (Tokyo, Sydney)
• More stop methods
• Enhanced ML model training
• Volatility regime detection
• Trade journal export
═══════════════════════════════════════════════════════════════════════════════
Trade the opening range with institutional precision.
Automated entries. Intelligent sizing. Professional risk management.
Test first. Trade smart. Scale safely.
Taking you to school. — Dskyz, Trade with insight. Trade with anticipation.
LY IntraDay Crypto Pro CLEAN v6LY IntraDay Crypto Pro is a universal intraday indicator designed for cryptocurrency markets, including spot and perpetual futures (e.g. Bybit, Binance, OKX).
This indicator combines trend direction, momentum, and market participation to help traders identify high-probability intraday opportunities while filtering out low-quality signals.
🔧 Core Components
EMA Trend Structure (21 / 50 / 200)
Identifies short-, mid-, and long-term trend alignment.
VWAP (Session Based)
Provides institutional reference for intraday bias.
RSI Momentum Filter
Confirms bullish or bearish momentum strength.
ADX + DMI (DI+ / DI−)
Measures trend strength and directional dominance.
Visual Trend Bias
Background color highlights bullish or bearish conditions.
Clear Entry Signals
Green ▲ for LONG opportunities
Red ▼ for SHORT opportunities
📈 How to Use
Best suited for intraday trading on 5m, 15m, and 1h timeframes.
Works on all cryptocurrencies and all exchanges supported by TradingView.
Signals are generated only when trend, momentum, and strength conditions align.
⚠️ Disclaimer
This indicator is not financial advice.
Always apply proper risk management and confirm signals with your own analysis.
Past performance does not guarantee future results.
IDX_INPCPT Bank Artha Graha Internasional Tbk (INPC) is an Indonesian private bank providing general banking services, including savings, loans, and e-banking, through a variety of segments. As of December 19, 2025, INPC's stock price was IDR 148.0, with a market capitalization of approximately IDR 2.96 trillion.
IDX_BNGAPT Bank CIMB Niaga Tbk (BNGA) is a major Indonesian private bank that provides a full range of banking products and services, including retail, corporate, and Sharia banking, through its extensive network and digital platforms. As of December 19, 2025, BNGA's stock price was IDR 1,755.0, with a market capitalization of approximately IDR 44.38 trillion.
EAB: WatermarkEAB: Watermark displays a fully customizable watermark and symbol information panel directly on the chart using table objects.
The indicator allows you to add custom text (watermark), symbol details, timeframe and date, with flexible control over position, size, colors and borders. Each element can be enabled or disabled independently, ensuring a clean and distraction-free chart layout.
Features
• Custom watermark text displayed anywhere on the chart.
• Optional symbol information panel with text, ticker, timeframe and date.
• Independent controls for visibility, position, text size, colors and borders.
• Dynamic table sizing to avoid empty space when elements are disabled.
• Designed for a clean, professional chart appearance.
Notes
• This is a visual and informational tool only.
• No trading signals or alerts are generated.
IDX_BDMNPT Bank Danamon Indonesia Tbk (BDMN) is a diversified Indonesian bank that provides general and Sharia-based banking, with core business segments in retail (including micro-banking and consumer financing) and wholesale banking (serving commercial and corporate customers). As of December 19, 2025, BDMN's stock price was IDR 2,450.0 with a market capitalization of approximately IDR 23.71 trillion. The bank is majority-owned by the Japanese financial giant MUFG Bank, Ltd., which holds a 92.47% stake.
Relative Strength Table📊 RRG Quadrant Scanner - Options Trading Market Direction Tool
A powerful Relative Rotation Graph/Table (RRG) dashboard designed to help OPTIONS TRADERS identify market direction, select optimal strikes, and time entries with precision. Track up to 8 symbols against any benchmark to determine bullish/bearish bias and rotation momentum.
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🎯 WHY OPTIONS TRADERS NEED THIS
Unlike stock traders who can hold losing positions indefinitely, options traders face:
❌ Time decay (theta)
❌ Directional risk (delta)
❌ Volatility changes (vega)
❌ Limited time to be right
This indicator solves these challenges by showing you:
✅ Which direction momentum is flowing (calls vs puts)
✅ Which symbols/sectors have strongest trends (high probability setups)
✅ When rotation is happening (timing entries/exits)
✅ Market breadth for directional confirmation
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🔥 HOW RRG QUADRANTS GUIDE OPTIONS TRADING
🟢 LEADING QUADRANT (Top Right) - BULLISH BIAS
What it means:
• Strong uptrend vs benchmark
• Accelerating momentum
• High relative strength
Options Strategies:
✅ BUY CALLS (ITM/ATM for safer, OTM for aggressive)
✅ SELL CASH-SECURED PUTS (collect premium on strong stocks)
✅ BULL CALL SPREADS (defined risk directional plays)
✅ LONG CALL DIAGONALS (capture continued uptrend)
Direction Signal: STRONG BULLISH
• Multiple symbols in Leading = broad market strength
• Index options: favor call side
• Stock options: bullish strategies on individual leaders
---
🔵 IMPROVING QUADRANT (Top Left) - EARLY BULLISH
What it means:
• Currently underperforming BUT gaining momentum
• Early reversal signal
• Rotation from weak to strong
Options Strategies:
✅ BUY CALLS with longer expiry (give time to develop)
✅ BULL PUT SPREADS (defined risk as support builds)
✅ SELL PUTS at support (premium collection on improving stocks)
✅ CALENDAR SPREADS (benefit from time and momentum shift)
Direction Signal: EMERGING BULLISH
• Symbols moving Lagging → Improving = early buy signal
• Best for patient options traders
• Use longer DTE (45-60 days) to allow rotation to complete
• Watch for move into Leading quadrant for confirmation
---
🔴 LAGGING QUADRANT (Bottom Left) - BEARISH BIAS
What it means:
• Weak relative strength
• Declining momentum
• Persistent underperformance
Options Strategies:
✅ BUY PUTS (directional bearish play)
✅ BEAR CALL SPREADS (defined risk on weakness)
✅ SELL COVERED CALLS (if stuck in position)
✅ PUT DEBIT SPREADS (cheaper than naked puts)
Direction Signal: STRONG BEARISH
• Multiple symbols in Lagging = market weakness
• Avoid bullish strategies entirely
• Index options: favor put side
• Exit existing long calls immediately
---
⚫ WEAKENING QUADRANT (Bottom Right) - EARLY BEARISH
What it means:
• Currently strong BUT losing momentum
• Topping signal
• Rotation from strong to weak
Options Strategies:
✅ SELL CALLS (initiate bearish bias)
✅ BEAR PUT SPREADS (cheaper than naked puts)
✅ CLOSE LONG CALLS (take profits before decay accelerates)
✅ PROTECTIVE PUTS (if holding stock positions)
✅ SHORT STRADDLES/STRANGLES (if expecting range-bound)
Direction Signal: EMERGING BEARISH
• Symbols moving Leading → Weakening = profit-taking signal
• Close bullish positions EARLY
• Initiate bearish strategies
• Watch for move into Lagging for confirmation of downtrend
---
🎯 MARKET DIRECTION CONFIRMATION FOR INDEX OPTIONS
Trading NIFTY/BANKNIFTY/SPX Options? Use this way:
📊 Track These Symbols Against Benchmark:
• Major sectors: Finance, IT, Energy, Auto, Pharma
• Top stocks: RELIANCE, HDFCBANK, INFY, TCS, etc.
• Benchmark: NIFTY or BANKNIFTY
🟢 BULLISH INDEX BIAS (Buy Calls/Sell Puts)
When you see:
• 60%+ symbols in Leading + Improving quadrants
• Financial sector in Leading (indicates BANKNIFTY strength)
• IT sector in Leading (indicates NIFTY strength)
• Few symbols in Lagging
Strategy: Aggressive call buying, put selling, bull spreads
🔴 BEARISH INDEX BIAS (Buy Puts/Sell Calls)
When you see:
• 60%+ symbols in Lagging + Weakening quadrants
• Key sectors rotating to Weakening
• Broad-based weakness across watchlist
Strategy: Put buying, bear spreads, avoiding new longs
⚖️ NEUTRAL/ROTATION PHASE (Iron Condors/Strangles)
When you see:
• Symbols evenly distributed across quadrants
• No clear cluster in any one quadrant
• Conflicting signals between sectors
Strategy: Range-bound strategies, avoid directional bets, reduce position size
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💡 OPTIONS TRADING USE CASES
🎯 Case 1: Earnings Play Setup
Before earnings, check if stock is in:
• Leading = bullish bias, buy calls
• Improving = emerging strength, cautious calls
• Weakening = avoid or buy puts
• Lagging = strong puts
🎯 Case 2: Weekly Options Direction
Monday morning setup:
• Check sector quadrants vs benchmark
• Leading sectors = focus call trades there
• Weakening sectors = focus put trades
• Adjust delta exposure based on quadrant distribution
🎯 Case 3: Spread Selection
For credit spreads:
• Sell puts on Leading/Improving symbols (bullish)
• Sell calls on Weakening/Lagging symbols (bearish)
• Iron condors when symbols are scattered (no clear direction)
🎯 Case 4: Portfolio Hedging
If holding calls:
• Watch symbols move Leading → Weakening = add protective puts
• If 50%+ watchlist enters Weakening = hedge entire portfolio
If holding puts:
• Watch symbols move Lagging → Improving = close puts early
• If broad rotation to Improving = exit bearish positions
🎯 Case 5: Theta Decay Management
Leading quadrant = hold calls longer (trend supports you)
Weakening quadrant = close calls early (decay + downside risk)
Improving quadrant = be patient with calls (need time to develop)
Lagging quadrant = hold puts or exit quickly if rotation starts
---
📈 SECTOR ROTATION FOR OPTIONS STOCK SELECTION
Instead of trading index options, use quadrants to pick individual stocks:
Setup Example - NSE Options:
Symbols: RELIANCE, HDFCBANK, INFY, TCS, SBIN, ICICIBANK, TATAMOTORS, BAJFINANCE
Benchmark: NIFTY
Monday Strategy Session:
1. Check which stocks are in Leading quadrant
2. Focus call trades ONLY on Leading stocks
3. Check which stocks are in Weakening/Lagging
4. Focus put trades on those
5. Ignore stocks in unclear quadrants (save capital)
This approach:
✅ Increases win rate (trading with momentum)
✅ Reduces losses (avoiding weak stocks)
✅ Improves timing (catch early rotations)
---
🔥 REAL TRADING SCENARIOS FOR OPTIONS
📊 Scenario 1: Strong Bullish Market
Quadrant Status:
• Leading: 5 symbols
• Improving: 2 symbols
• Weakening: 1 symbol
• Lagging: 0 symbols
Options Action:
✅ Aggressive call buying on index
✅ Bull call spreads on leading stocks
✅ Sell puts on improving stocks
✅ Avoid bearish strategies
✅ Larger position sizes (conviction high)
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📊 Scenario 2: Rotation/Choppy Market
Quadrant Status:
• Leading: 2 symbols
• Improving: 2 symbols
• Weakening: 2 symbols
• Lagging: 2 symbols
Options Action:
⚠️ AVOID directional bets
✅ Iron condors/strangles (profit from range)
✅ Calendar spreads (volatility plays)
✅ Smaller position sizes
✅ Wait for clearer rotation signal
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📊 Scenario 3: Bearish Reversal
Quadrant Status:
• Leading: 1 symbol
• Improving: 0 symbols
• Weakening: 3 symbols
• Lagging: 4 symbols
Options Action:
✅ Buy puts on index
✅ Bear call spreads on weakening stocks
✅ CLOSE all long calls immediately
✅ Sell covered calls if stuck in stocks
✅ Increase hedge positions
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📊 Scenario 4: Early Recovery
Quadrant Status:
• Leading: 1 symbol
• Improving: 4 symbols (moving from Lagging)
• Weakening: 1 symbol
• Lagging: 2 symbols
Options Action:
✅ Buy calls with 45-60 DTE (give time to develop)
✅ Bull put spreads on improving stocks
✅ Small position sizes initially
✅ Scale in as symbols move to Leading
✅ Close remaining bearish positions
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🎯 TIMING ENTRY/EXIT WITH QUADRANTS
📍 BEST CALL ENTRIES:
1. Symbol moves Improving → Leading (momentum confirmed)
2. 70%+ watchlist in Leading/Improving (broad strength)
3. Key sector enters Leading (focused strength)
📍 BEST PUT ENTRIES:
1. Symbol moves Weakening → Lagging (downtrend confirmed)
2. 70%+ watchlist in Weakening/Lagging (broad weakness)
3. Leading symbols suddenly drop to Weakening (reversal)
📍 EXIT SIGNALS:
Calls: Close when symbol enters Weakening
Puts: Close when symbol enters Improving
Both: Take profits at 50-70% max gain if rotation unclear
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⚙️ SETUP FOR OPTIONS TRADERS
For NIFTY Options Traders:
• Symbols: Top 8 NIFTY stocks (RELIANCE, HDFCBANK, INFY, etc.)
• Benchmark: NIFTY
• Window: 20 periods
• Timeframe: Daily chart
• Use: Gauge NIFTY direction
For BANKNIFTY Options Traders:
• Symbols: Banking stocks (HDFCBANK, ICICIBANK, SBIN, KOTAKBANK, AXISBANK)
• Benchmark: BANKNIFTY
• Window: 20 periods
• Use: Gauge BANKNIFTY direction
For Stock Options Traders:
• Symbols: Your watchlist of optionable stocks
• Benchmark: Relevant sector index
• Window: 10-20 periods
• Use: Pick strongest/weakest for directional trades
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🎓 OPTIONS TRADING RULES USING QUADRANTS
✅ Rule 1: Only buy calls on Leading/Improving stocks
✅ Rule 2: Only buy puts on Weakening/Lagging stocks
✅ Rule 3: Exit calls when stock enters Weakening
✅ Rule 4: Exit puts when stock enters Improving
✅ Rule 5: Use longer DTE when trading Improving/Weakening (rotation takes time)
✅ Rule 6: Use shorter DTE when trading Leading/Lagging (established trends)
✅ Rule 7: If 70%+ watchlist in one side = strong directional bias
✅ Rule 8: If symbols scattered = reduce position sizes, play neutral
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🏆 ADVANTAGES FOR OPTIONS TRADERS
✅ HIGHER WIN RATE
Trade only symbols with clear momentum direction
✅ BETTER TIMING
Catch rotations early = maximize profit potential
✅ REDUCED THETA DECAY LOSSES
Don't hold calls on weakening stocks (double loss)
✅ CLEARER MARKET BIAS
Know if market is bullish/bearish/neutral
✅ PORTFOLIO ALIGNMENT
Match your delta exposure to market direction
✅ EARLY WARNING SYSTEM
Spot rotations before price breaks down/up
✅ RISK MANAGEMENT
Exit positions before momentum shifts against you
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📚 COMBINING WITH OTHER ANALYSIS
This indicator works best when combined with:
📊 Technical Analysis
• Support/Resistance for strike selection
• Chart patterns for entry timing
• Volume for confirmation
📈 Volatility Analysis
• IV Rank for premium selling decisions
• VIX/India VIX for overall market risk
⏰ Time Analysis
• Check quadrants before weekly expiry
• Align DTE with expected rotation speed
💰 Greeks Management
• High delta on Leading symbols (directional confidence)
• Low delta on Improving symbols (early, needs time)
• Negative delta on Weakening/Lagging (bearish bias)
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⚠️ WHAT THIS INDICATOR DOESN'T DO
❌ Doesn't predict exact option prices
❌ Doesn't tell you which strike to buy
❌ Doesn't replace risk management
❌ Doesn't account for news/events
❌ Doesn't consider implied volatility
❌ Doesn't guarantee winning trades
It DOES give you:
✅ Market direction bias
✅ Symbol selection edge
✅ Rotation timing awareness
✅ Risk/reward framework
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🎯 BOTTOM LINE FOR OPTIONS TRADERS
Stop fighting momentum. Stop buying calls on weakening stocks. Stop holding positions through rotations.
Instead:
• Check quadrants BEFORE entering trades
• Buy calls only on Leading/Improving
• Buy puts only on Weakening/Lagging
• Exit when rotation signals change
• Adjust position size based on breadth
This simple framework can dramatically improve your options trading win rate and reduce catastrophic losses from holding through momentum reversals.
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⭐ START TRADING WITH THE TREND
Add this RRG Quadrant Scanner and align your options trades with market rotation - not against it!
Sen Regression ChannelSen Regression Channel
OVERVIEW
The Sen Regression Channel is a trend-structure visualization tool built on the Theil–Sen estimator, a median-based regression method designed to reduce sensitivity to price outliers. Unlike traditional least-squares regression channels, this approach anchors trend using the most representative slope across the lookback period, resulting in a more stable and noise-resistant structure.
TECHNICAL LOGIC & ORIGINALITY
To protect the proprietary implementation of the median-slope engine and adaptive band construction, this script is published as Protected.
Median Slope Engine
Calculates the Theil–Sen slope by evaluating the median rate of change across the lookback window, producing a trendline less distorted by extreme candles or transient volatility.
Adaptive Volatility Bands
Channel width can be derived from either Standard Deviation or ATR, allowing the envelope to adjust dynamically to changing volatility regimes.
Multi-Reference Context (Optional)
VWAP and EMA/SMA overlays can be enabled to compare the median regression structure against commonly used price and volume-weighted references.
HOW TO USE (EDUCATIONAL)
This tool is designed to help analyze trend quality and market structure, not to generate trade signals.
Trend Direction & Stability
A sustained upward or downward slope of the median regression line indicates directional structure with reduced noise sensitivity.
Volatility Expansion Zones
Price closing outside the channel bands highlights volatility expansion relative to the median trend and may signal regime change.
Mean-Reversion Context
Price oscillation between the median line and bands reflects balanced conditions; movement toward the outer bands indicates relative extension.
VWAP Confluence
Alignment between the regression midline and VWAP may highlight areas of consensus value.
USER INPUTS
Lookback Period – Sets the window for the median slope calculation
Band Multiplier – Scales the channel width
Band Method – Standard Deviation or ATR-based envelope
Visual Overlays – Toggle VWAP, midline, and cloud transparency
NOTES
This script is a historical charting and visualization tool for educational purposes only.
It does not provide trade signals, alerts, or financial advice.
All values are calculated in real time using available chart data.
EAB: RS Rating (Table) vs BenchmarkEAB: RS Rating (Table) vs Benchmark displays a compact table showing the Relative Strength (RS) Rating (1–99) of the current symbol compared to a selected benchmark (default: S&P 500).
The RS Rating is calculated using a weighted multi-period performance model inspired by IBD-style relative strength methodology, helping to quickly assess a stock’s performance versus the broader market.
Features
• Relative Strength Rating (1–99) vs benchmark.
• Comparison across multiple lookback periods (current, previous day, previous week and previous month).
• Fully customizable table colors, borders and on-chart location.
• Clean, table-based display designed for quick visual reference.
Notes
• The RS Rating is an informational metric and does not provide entry or exit signals.
• This indicator is intended for market analysis and relative performance comparison only.
IDX_BBTNPT Bank Tabungan Negara (Persero) Tbk (BBTN) is an Indonesian state-owned bank that specializes in the housing finance sector, particularly providing mortgages (KPR) for low- to middle-income individuals and a range of conventional and Sharia banking services. As of December 19, 2025, BBTN's stock price was IDR 1,175.0, with a market capitalization of approximately IDR 16.42 trillion.
IDX_BBRIPT Bank Rakyat Indonesia (Persero) Tbk (BBRI) is the oldest commercial bank in Indonesia, predominantly focused on serving the micro, small, and medium enterprises (MSME) segment. As of December 19, 2025, BBRI's stock price was IDR 3,780.0 with a market capitalization of approximately IDR 566.7 trillion.
Market State & Candlestick Patterns Made in ChinaIndicator Overview
The Market State & Candlestick Patterns Master (MSCP-Master) is a comprehensive, all-in-one technical analysis indicator that combines real-time market state identification with multiple candlestick pattern recognition. This powerful tool not only identifies classic price action patterns but also adapts their significance based on the current market volatility environment, providing context-aware trading signals for smarter decision-making.
Core Innovation: Adaptive Pattern Recognition
Traditional candlestick pattern indicators work in isolation, often giving false signals in the wrong market conditions. MSCP-Master revolutionizes this approach by:
First assessing market state (Low Volatility/Ranging/High Volatility) through a multi-dimensional scoring system
Then applying different confirmation criteria for each pattern based on the detected market state
Finally providing context-aware signals that are more reliable because they consider the broader market environment
Three-Layer Analysis System
Layer 1: Market State Identification (The Foundation)
Uses four key metrics to calculate a comprehensive market state score:
ATR Relative Volatility: Measures current volatility against historical norms
Bollinger Band Width: Identifies contraction/expansion periods
Amplitude Analysis: Evaluates recent price range activity
Momentum Strength: Assesses directional movement power
Based on the composite score, the market is classified into:
🔵 Low Volatility: Tight ranges, potential for breakout
🟡 Ranging: Normal oscillation within established bounds
🟢 High Volatility: Wide ranges, strong momentum moves
Layer 2: Pattern Recognition With Context Adaptation
Each pattern uses different confirmation logic based on market state:
High Volatility State: Uses SMA-based trend confirmation (Long/Short SMA comparison)
Low Volatility/Ranging States: Uses ATR-adjusted threshold confirmation (dynamic based on current vs. baseline volatility)
This adaptive approach means patterns are only considered valid when they make sense for the current market environment.
Layer 3: Comprehensive Pattern Library
The indicator identifies 10+ critical candlestick patterns:
Engulfing Patterns (Bullish/Bearish) with Harami confirmation requirement
Outside Bars (Bullish/Bearish) with customizable engulfing criteria
False Breakouts (Bullish/Bearish) with sophisticated tracking of "trap" moves
Hammer/Inverted Hammer with ATR-adjusted significance thresholds
Doji Variations (Standard, Dragonfly, Gravestone) with precise mathematical definitions
Three Soldiers Method (Enhanced) with dual absolute/relative strength measurements
Enhanced Three Soldiers Method - Beyond Traditional Interpretation
Unlike traditional "Three White Soldiers/Black Crows" patterns that rely on simple visual recognition, our enhanced version introduces:
Quantifiable Strength Metrics: Each candle must meet customizable thresholds for both absolute price movement (%) and relative efficiency (close-to-open vs. total range)
Two Signal Types: Preparation signals (amber) for early warnings and True signals (green/red) for confirmed breakouts
Breakout Confirmation: "True signals" only trigger when price breaks above/below recent signal cluster extremes
Full Customization: All parameters adjustable to match your trading style and market conditions
Key Features
🎯 Context-Aware Signals: Patterns are validated differently in high vs. low volatility markets
📊 Real-Time Market State: Clear color-coded background shows current market conditions
🔍 Multiple Confirmation Methods: Uses both SMA trend-following and ATR-adjusted threshold approaches
⚙️ Fully Customizable: Every parameter adjustable across all pattern types and market state calculations
📈 Comprehensive Visualization: Color-coded labels, reference lines, and information tables
Strategic Application
Preparation Signals: Use amber "single candle" or "three candle" signals to prepare for potential moves
True Signals: Green/red "True" signals indicate confirmed momentum - ideal for main entries
Market State Alignment: Trade with the market's character - aggressive in high volatility, cautious in low volatility
Pattern Convergence: Look for multiple patterns confirming the same direction for higher probability setups
Parameter Groups (Organized for Easy Customization)
Market State Identification: ATR, Bollinger Band, Amplitude, Momentum parameters
Pattern-Specific Settings: Engulfing, Outside Bars, False Breakouts, Hammer/Doji patterns
Three Soldiers Method: Absolute/Relative strength thresholds, lookback periods
Confirmation Logic: SMA lengths, ATR adjustment factors, sensitivity settings
IDX_BRISPT Bank Syariah Indonesia Tbk (BRIS) is the largest Sharia bank in Indonesia, formed by the merger of three state-owned Islamic banks in February 2021. It offers a full range of Sharia-compliant personal and business banking services, including savings, financing (based on profit-sharing principles), cards, and digital banking solutions. As of December 19, 2025, BRIS's stock price was IDR 2,270.0 with a market capitalization of approximately IDR 103.3 trillion.
F&O Auto Option Chain Pro🎯 Auto Option Chain - Live NSE F&O Dashboard
Transform your options trading experience with instant access to complete option chain data - right on your TradingView charts!
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✨ WHAT YOU GET
See the complete option chain whenever you're viewing NSE options. No setup required - it just works!
📊 Live Data Display:
• Last Traded Price (LTP) for all strikes
• Trading Volume in lots
• VWAP levels
• Intraday price changes
• Put-Call Ratio (PCR) analysis
• ATM strike highlighting
🎯 Two Ways to Use:
AUTO MODE - Zero Setup
Simply view any NSE option like NIFTY or BANKNIFTY options, and the complete chain appears instantly around your selected strike.
MANUAL MODE - Universal Access
Use on any chart - equity, index, or options. Just select your underlying symbol, expiry date, and reference strike.
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💼 SUPPORTED MARKETS
✅ NSE Index Options
• NIFTY
• BANKNIFTY
• FINNIFTY
• MIDCPNIFTY
✅ NSE Stock Options (200+ symbols)
• RELIANCE, HDFCBANK, TCS, ICICIBANK
• SBIN, INFY, ITC, BHARTIARTL
• KOTAKBANK, HINDUNILVR, MARUTI
• AXISBANK, BAJFINANCE, TATAMOTORS
• WIPRO, LT, HCLTECH, SUNPHARMA
• And 180+ more popular F&O stocks!
All symbols work seamlessly with correct strike intervals.
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🎨 CUSTOMIZATION
Dashboard Position:
Choose from 9 screen positions to keep your charts clean and visible
Visual Style:
• 4 font sizes for comfortable viewing
• Custom colors for ATM strikes
• Color-coded profit/loss indicators
• Adjustable transparency
Data Range:
Control how many strikes you want to see (up to 8 strikes above and below ATM)
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🔥 PERFECT FOR
✓ Intraday Option Traders
See live premium changes and volume shifts in real-time
✓ Spread Builders
Compare multiple strikes instantly for Iron Condors, Butterflies, and other strategies
✓ Options Sellers
Track volume concentration and decay throughout the trading day
✓ Market Analysts
Study option flow patterns and Put-Call Ratios for sentiment analysis
✓ Swing Traders
Plan weekly positions with complete visibility of the option chain
✓ Scalpers
Quick strike selection with live data updates
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💡 TRADING APPLICATIONS
🎯 Identify Key Levels
High volume strikes often act as support and resistance zones
📊 Sentiment Analysis
Put-Call Ratio shows whether traders are positioned bullish or bearish
⚡ Premium Tracking
Watch real-time option value changes during volatile market moves
🔍 Spread Trading
Visual comparison makes it easy to select optimal strike combinations
💰 Entry Point Selection
Compare multiple strikes before entering positions
🏦 Smart Money Tracking
VWAP reveals institutional trading levels
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📱 HOW TO USE
Getting Started - Auto Mode:
1. Open any NSE option chart
2. Add "Auto Option Chain" indicator
3. Complete chain displays automatically
4. Start trading with full visibility!
Alternative - Manual Mode:
1. Open any NSE chart (index, equity, or option)
2. Add the indicator
3. Switch to Manual mode
4. Enter your symbol (e.g., NIFTY)
5. Set expiry date in YYMMDD format (e.g., 251226 for Dec 26, 2025)
6. Set approximate ATM strike
7. Option chain appears instantly!
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🌟 KEY BENEFITS
✅ CONVENIENCE
No need to switch between TradingView and external option chain websites
✅ SPEED
Instant data updates with every price tick
✅ EFFICIENCY
All strikes visible at once - no scrolling through multiple pages
✅ ACCURACY
Real-time data synchronized with your chart timeframe
✅ SIMPLICITY
Works automatically on option charts, manually on others
✅ FLEXIBILITY
View option chains while analyzing spot/futures charts
✅ INSIGHT
PCR and volume data aid better trading decisions
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⚠️ IMPORTANT INFORMATION
• Works exclusively with NSE options (Indian market)
• Data quality depends on your TradingView subscription
• Best performance on 1-minute to daily timeframes
• Displays up to 8 strikes on each side of ATM
• Requires active market hours for live data
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🎓 TIPS FOR SUCCESS
💡 Start with Auto mode when trading specific options
💡 Use Manual mode for pre-market planning
💡 Adjust strike range based on market volatility
💡 Position dashboard where it doesn't block price action
💡 Monitor PCR for early sentiment shifts
💡 Track volume spikes for potential breakout levels
💡 Compare VWAP with LTP to gauge fair value
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🏆 WHAT MAKES THIS DIFFERENT
Unlike basic option indicators that show single strikes or delayed data:
✅ Shows complete chain around ATM
✅ Updates in real-time with your chart
✅ Works automatically when viewing options
✅ Also works manually on any chart type
✅ Pre-configured for 200+ popular stocks
✅ Includes advanced metrics (PCR, VWAP, Volume in lots)
✅ Clean, professional interface
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📈 REAL TRADER BENEFITS
"See the whole picture before entering trades"
Complete chain visibility helps you select optimal strikes
"No more tab switching"
Everything you need is right on your chart
"Faster decisions"
Instant data comparison across multiple strikes
"Better risk management"
Understand where volume and open interest are concentrated
"Professional-grade analysis"
Tools previously available only on premium platforms
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🎯 IDEAL FOR THESE STRATEGIES
✓ Naked Call/Put selling
✓ Covered Calls
✓ Protective Puts
✓ Bull/Bear Call Spreads
✓ Bull/Bear Put Spreads
✓ Iron Condors
✓ Iron Butterflies
✓ Straddles
✓ Strangles
✓ Calendar Spreads
✓ Ratio Spreads
---
⭐ YOUR SUCCESS IS MY GOAL
If you find this indicator valuable:
• Leave a rating to help others discover it
• Share feedback in the comments
• Suggest improvements for future updates
• Follow for new indicator releases
💬 Need Help?
Drop a comment with your questions - I respond to all users!
🔔 Stay Updated
Follow to get notified about improvements and new features
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⚖️ DISCLAIMER
This indicator is provided for educational and informational purposes only. It displays market data but does NOT provide trading advice or recommendations.
Options trading involves substantial risk and is not suitable for all investors. You can lose more than your initial investment. Past performance does not guarantee future results.
Always:
• Conduct your own research
• Understand options risks fully
• Consult a licensed financial advisor
• Trade only with risk capital
• Use proper position sizing
• Implement stop losses
The creator is not responsible for any trading losses incurred while using this indicator. Use at your own risk.
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🚀 START TRADING SMARTER TODAY
Add "Auto Option Chain" to your charts and experience the difference professional-grade option data makes to your trading decisions!
Happy Trading! 📊💰
IDX_BMRIPT Bank Mandiri (Persero) Tbk (BMRI) is one of Indonesia's largest state-owned banks, offering a wide array of financial services including wholesale, retail, and Sharia banking. As of December 19, 2025, BMRI's stock price was IDR 5,175.0 with a market capitalization of approximately IDR 483 trillion.
EAB: Earnings CountdownEAB: Earnings Countdown displays a compact table showing the number of days remaining until the next earnings release for the current symbol, using TradingView’s built-in earnings data.
Features
• Displays a clear countdown to the next earnings date.
• Configurable alert thresholds based on remaining days.
• Custom messages for earnings day, 1 day before, alert range and normal mode.
• Fully customizable colors, text size and table position.
How to use
1. Select the table position and visual style from the settings.
2. Define how many days before earnings should trigger an alert.
3. Customize the messages displayed for each countdown state.
Notes
• Earnings data is provided by TradingView.
• If no upcoming earnings are available, a default message is shown.
• Informational indicator only; no trading signals are generated.
IDX_BBNIPT Bank Negara Indonesia (Persero) Tbk (BBNI) is a leading Indonesian state-owned bank offering a comprehensive range of personal and business banking solutions, including loans, savings, credit cards, trade finance, and cash management. As of December 19, 2025, BBNI's stock price was IDR 4,340.0 with a market capitalization of over IDR 161.6 trillion.






















