TDL: Formation Scanner: Symbol Scanner with Broadening Formation═══════════════════════════════════════════════════════
TDL: Formation Scanner
Multi-Symbol Scanner with Broadening Formation Analysis
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A comprehensive multi-symbol scanner implementing bar-by-bar price action analysis with advanced broadening formation detection and trade style classification.
Scan up to 20 symbols simultaneously across 14 pre-defined sector buckets. Identify high-quality setups with detailed scoring, formation analysis, and actionable trade recommendations.
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🔑 KEY FEATURES
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Scan 20 symbols at once across 14 sector buckets
Bar-by-bar classification (1, 1-1, 2U, 2D, 3)
Five-factor weighted scoring system (0-100)
Broadening formation detection (7 pattern types)
Trade style classification (Mean Reversion vs Momentum)
Confluence rating based on multiple aligned factors
Reversal pattern detection (2-2 Rev, 3-2 Rev, Failed BO)
Edge-based action recommendations with detailed tooltips
SPY relative strength integration
Time-of-day weighting (power hour, closing drive)
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📊 SCANNER COLUMNS
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SYM — Symbol (color-coded by trade style)
TYPE — Bar classification (1, 1-1, 2U, 2D, 3)
SIGNAL — Current trigger status (LONG/SHORT/RDY/WAIT)
PRICE — Current price
SCORE — Quality score (0-100) with grade
ENTRY — Distance to trigger or extent past trigger
WHY — Key factors (good tags | warning tags)
BRDG — Broadening formation type and bias
LOC — Location within formation (Upper/Lower/Mid)
PAT — Reversal pattern detected
CONF — Confluence rating (⭐⭐⭐ to ○)
ACTION — Recommended trade action
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📚 BAR TYPE CLASSIFICATION
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Every bar is classified by comparing to the prior bar:
★1-1 (Inside of Inside) — Coiling energy, highest potential
★1 (Inside) — Range contraction, either direction
2U (2-Up) — Broke prior high, held low → LONG ONLY
2D (2-Down) — Broke prior low, held high → SHORT ONLY
3 (Outside) — Broke both → Use close position for direction
Critical Rule: The scanner respects directional rules:
2U bars can ONLY trigger long entries
2D bars can ONLY trigger short entries
Inside bars wait for trigger direction
Outside bars use close location for bias
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📐 BROADENING FORMATION DETECTION
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Detects 7 types of expanding range patterns:
MF (Megaphone) — Higher highs + Lower lows → Neutral
ABW (Asc Broadening Wedge) — Both rising, highs steeper → Bear
DBW (Desc Broadening Wedge) — Both falling, lows steeper → Bull
BWB (Broadening Wedge Bottom) — Highs rising faster → Bull
BWT (Broadening Wedge Top) — Lows falling faster → Bear
ARA (Asc Right-Angle) — Flat highs + Rising lows → Bull
DRA (Desc Right-Angle) — Falling highs + Flat lows → Bear
Location Detection:
▲ UPPER = Near upper boundary (favors short/fade)
▼ LOWER = Near lower boundary (favors long/fade)
MID = Middle zone (wait for edge)
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🔄 TRADE STYLE CLASSIFICATION
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🟢 MEAN REVERSION — Fade the edges
(A+) = Perfect setup: Edge + Pattern + Bias aligned
(Go) = Good setup: Edge + Bias aligned
(Caution) = Edge setup but against formation bias
🔵 MOMENTUM — Follow the breakout/breakdown
(Breakout+) = Long through upper with Bull bias
(Breakdown+) = Short through lower with Bear bias
(Breakout) = Long through upper (no bias support)
(Breakdown) = Short through lower (no bias support)
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⭐ CONFLUENCE RATING (CONF Column)
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Confluence rating based on aligned factors:
MEAN REVERSION:
⭐⭐⭐ 🟢 = Strong: Edge + Pattern + Bias aligned
⭐⭐ 🟡 = Moderate: Some factors aligned
⭐ 🟠 = Low: Minimal confluence
MOMENTUM:
⭐⭐ 🟡 = Bias aligned breakout/breakdown
⭐ 🟠 = Neutral bias
○ 🔴 = Against formation bias
NO RATING:
— = Middle zone or no formation detected
Hover over CONF column for detailed breakdown of factors.
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🔍 REVERSAL PATTERNS
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2-2 Rev — Consecutive opposite 2-bars at edge
Example: 2U → 2D at upper edge = Strong reversal
3-2 Rev — Outside bar followed by directional 2-bar
Example: 3 → 2D at upper edge = Reversal after expansion
Failed BO — Price broke edge then reversed back inside
Trap pattern with strong reversal potential
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📊 FIVE-FACTOR SCORING SYSTEM
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Each setup scored 0-100 based on:
1. Setup Quality (20%) — Bar type (1-1 > 1 > 2 > 3)
2. Trigger Timing (20%) — Fresh > Ready > Running > Extended
3. Trend Alignment (20%) — EMA relationship and slope
4. Participation (15%) — Volume and close location
5. Risk Quality (15%) — Range size, gap risk
6. Regime (10%) — Volatility compression/expansion
Grades: A+ (85+) | A (75+) | B+ (65+) | B (55+) | C (<55)
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📁 SECTOR BUCKETS (14 Groups)
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1A - Indices & Mega Tech
1B - Sector ETFs & Crypto-related
2A - Semiconductors
2B - Tech & SaaS
3A - Banks
3B - Finance & Insurance
4A - Consumer
4B - Retail & Travel
5A - Healthcare
5B - Biotech
6A - Energy
6B - Industrial
7A - Speculative
7B - Growth
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⚙️ KEY SETTINGS
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Scan Settings:
Scan Timeframe: D (Daily), W (Weekly), M (Monthly)
Data Mode: Confirmed (no repaint) vs Live
Min Score: Filter low-quality setups
Status Filters:
Show Triggered / Ready / Watch
Inside Bars Only
Hide Extended Signals
Broadening Settings:
Edge Zone Threshold: 15% / 20% / 25%
Boost/Penalize edge setups
Show broadening stocks only
Trade Style Filters:
Show Mean Reversion setups
Show Momentum setups
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📖 HOW TO USE
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1. Select sector bucket
Choose from 14 pre-defined groups.
2. Review scanner results
Sorted by priority (triggered > ready > watch) and score.
3. Check CONF column
More stars = more factors aligned.
4. Check ACTION column
Shows recommended trade style and direction.
5. Apply Execution Suite
Add companion indicator to individual chart for execution.
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🔗 COMPANION INDICATOR
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Use with TDL: Trade Execution Suite for:
Visual formation boundaries on chart
Precise entry trigger lines
Stop and target levels
HTF bar type labels
Real-time trade management
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⚠️ REPAINTING NOTICE
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"Confirmed" mode (default): Uses last completed bar. NO REPAINTING.
"Live" mode: Uses forming bar. WILL REPAINT until bar closes.
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⚠️ DISCLAIMER
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This indicator is for educational and informational purposes only. Trading involves substantial risk of loss. Past performance does not guarantee future results. Always use proper risk management.
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تحليل الاتجاه
Canadian Sector Rotation Momentum, Invite OnlyCanadian Sector Rotation Momentum — Invite-Only (Integrity Edition)
Contact : gm2hoops@gmail.com
Purpose
Sector rotation + market alignment dashboard using normalized Heat (-100..100) with higher timeframe confirmation, confluence scoring, optional whale markers, and an MTF matrix.
Documentation (PDF)
Quick Start:
github.com CAN_Master_Pro_Quick_Start_v2.pdf
github.com
Support: Send screenshot + BUILD ID shown on the dashboard. gm2hoops@gmail.com
Access is tied to your TradingView username & email address.
Policy: Cancel anytime; access remains until the end of the paid period. Because access is granted immediately (invite-only + digital docs), refunds are generally not provided. Billing issues: contact within 7 days with your TradingView username.
Disclaimer
Informational/educational only. Not financial advice. No guarantees. You are responsible for all decisions and risk management.
ADO Sessions Indicator - New York, London, Asia - CustomizableADO Sessions is a clean and flexible session-highlighting indicator for intraday traders.
It allows you to clearly visualize the New York , London , and Asia trading sessions directly on your chart, with full control over how each session is displayed.
This indicator is designed for traders who want clarity without clutter.
Key Features
Three Major Trading Sessions
New York
London
Asia
Three Display Modes per Session
Off – No background, only session name and vertical start/end lines
Price Only – Background highlights only the session’s price range (High–Low)
Full Session – Background covers the entire chart vertically during the session
Session Labels
Session names are displayed at the session start
Labels stay aligned with the session when scrolling the chart
Vertical Session Lines
Precise vertical lines at session start and end
Always visible, independent of the background mode
Highly Customizable
Enable or disable each session independently
Custom colors and transparency per session
Works on all intraday timeframes
Compatible with crypto, futures, and forex markets
Why ADO Sessions
Clean visuals without clutter
No repainting
Built for professional intraday and session-based trading
Use Cases
Session-based trading strategies
Liquidity and volatility analysis
Market open and close timing
Crypto, futures, and forex trading
ADO Sessions focuses on one thing only:
making trading sessions clear, accurate, and fully customizable.
MAFS Target Hunter🔥 MAFS Target Hunter – XABCD & Fibonacci Targeting Tool
MAFS Target Hunter is an advanced price action and Fibonacci-based analysis tool designed to visually highlight potential reaction, entry, and target zones based on XABCD market structures.
This indicator eliminates the need for manual drawing by automatically generating structure-based Fibonacci levels, helping traders focus on clear decision areas rather than subjective interpretation.
🚀 Key Features
🧩 XABCD Structure Analysis
Automatic detection of Bullish and Bearish structures
Pivot-based market structure logic
Confirmed structures with non-repainting behavior
📐 Advanced Fibonacci Zones
B Zone → Expansion area above/below the X level
C Zone → Retracement area between A and X
D Level → Potential reaction level
Target Zone (TP1 – TP2) → Projected target area relative to point A
All Fibonacci ratios are fully customizable by the user.
🎯 Clean & Professional Visualization
Color-coded zone (box) drawings
Extendable target areas
Minimal and readable labels
Separate visual handling for Bullish and Bearish structures
⚙️ Customizable Settings
Pivot period
Bullish / Bearish visibility controls
Fibonacci ratios (B – C – D – Target)
Colors, transparency, and line thickness
Right-side extension length
⚠️ Usage Note
This tool is not a trade signal generator.
For best results, it should be used in combination with:
Higher timeframe structure analysis
Overall market trend
Liquidity and price action context
👑 Who Is This For?
✔ Price action traders
✔ Fibonacci & structure-based analysts
✔ Traders who prefer clear, objective levels
✔ Scalpers and swing traders
📌 MAFS Target Hunter
📌 Developed by Crypto-Wolf-HP
Augury Grid - Multi-Timeframe ScannerAugury Grid - Multi-Timeframe Scanner
A real-time scanner that monitors 7 symbols across 3 timeframes simultaneously, ranking signals by quality and displaying them in a single organized table. Instead of flipping between charts, the grid brings potential setups to you, complete with entry prices, stop losses, and take profit targets.
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🔶 𝗢𝗩𝗘𝗥𝗩𝗜𝗘𝗪
Augury Grid scans 21 symbol-timeframe combinations every bar (7 symbols × 3 timeframes) and displays only the setups that pass multiple quality filters. Each signal receives a quality score based on trend alignment, momentum confirmation, and volume participation. The grid ranks signals from strongest to weakest and automatically removes signals when their stop loss level is hit.
The scanner works across any market: crypto, forex, indices, stocks, or commodities. Eight built-in symbol presets provide instant access to popular watchlists, and a Custom mode allows scanning any 7 symbols of your choice.
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🔶 𝗛𝗢𝗪 𝗜𝗧 𝗪𝗢𝗥𝗞𝗦
The scanner evaluates each symbol-timeframe combination through several analytical layers. Here is what each component does and how to interpret its output.
𝗧𝗿𝗲𝗻𝗱 𝗔𝗹𝗶𝗴𝗻𝗺𝗲𝗻𝘁
What it does: Compares the 21 EMA against the 55 EMA to determine trend direction, and checks price position relative to the 200 EMA for major trend context.
How to interpret: Bullish signals require price above EMA 200 with the fast EMA above the slow EMA. Bearish signals require the opposite. This dual-layer trend check helps filter signals that go against the dominant market structure.
𝗠𝗔𝗖𝗗 𝗖𝗿𝗼𝘀𝘀𝗼𝘃𝗲𝗿
What it does: Monitors the MACD histogram for zero-line crossovers, which indicate shifts in short-term momentum.
How to interpret: A bullish signal triggers when the histogram crosses above zero during an uptrend. A bearish signal triggers when the histogram crosses below zero during a downtrend. The histogram amplitude is also measured to filter out weak, choppy crosses.
𝗔𝗗𝗫 𝗧𝗿𝗲𝗻𝗱 𝗦𝘁𝗿𝗲𝗻𝗴𝘁𝗵
What it does: Measures the strength of the current trend using the Average Directional Index.
How to interpret: Signals require ADX above a configurable minimum (default 20) to confirm meaningful trend strength. Rising ADX adds bonus points to the quality score. ADX below the threshold blocks signals entirely, as ranging markets tend to produce whipsaws.
𝗩𝗼𝗹𝘂𝗺𝗲 𝗖𝗼𝗻𝗳𝗶𝗿𝗺𝗮𝘁𝗶𝗼𝗻
What it does: Compares current volume against the 20-bar average.
How to interpret: Signals require volume at or above a configurable multiplier (default 1.3×) of the average. Volume participation suggests institutional interest and increases the probability that a move will follow through.
𝗥𝗦𝗜 𝗙𝗶𝗹𝘁𝗲𝗿𝗶𝗻𝗴
What it does: Checks RSI position to avoid overbought and oversold extremes, and awards bonus points for mid-range readings.
How to interpret: Bullish signals are blocked when RSI exceeds 70 (overbought). Bearish signals are blocked when RSI falls below 30 (oversold). Signals with RSI in the configurable mid-range (default 40-60) receive bonus points because they have more room to run before hitting extremes.
𝗘𝘅𝘁𝗲𝗻𝘀𝗶𝗼𝗻 𝗖𝗵𝗲𝗰𝗸
What it does: Measures how far price has moved from the 21 EMA in terms of ATR multiples.
How to interpret: If price is more than the configured threshold (default 2.5 ATR) from the EMA, the signal is blocked. Extended moves carry higher risk of mean reversion, so avoiding them helps filter chasing behavior.
𝗤𝘂𝗮𝗹𝗶𝘁𝘆 𝗦𝗰𝗼𝗿𝗶𝗻𝗴
What it does: Combines all factors into a single score from 0-100, displayed as stars in the Bias column.
How to interpret: ★ indicates a score of 70-84, ★★ indicates 85-94, and ★★★ indicates 95 or higher. Higher scores typically mean more factors are aligned: rising ADX, mid-range RSI, growing histogram, and volume participation all contribute bonus points.
𝗠𝘂𝗹𝘁𝗶-𝗧𝗙 𝗖𝗼𝗻𝗳𝗹𝘂𝗲𝗻𝗰𝗲
What it does: Detects when the same symbol has signals on multiple timeframes pointing in the same direction.
How to interpret: A 🔗 symbol appears when 2 timeframes agree, and 🔗🔗 appears when all 3 timeframes agree. These confluence signals receive bonus points (+15 for 2 TFs, +30 for 3 TFs) and often represent stronger setups because multiple perspectives align.
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🔶 𝗪𝗛𝗬 𝗧𝗛𝗘𝗦𝗘 𝗖𝗢𝗠𝗣𝗢𝗡𝗘𝗡𝗧𝗦 𝗪𝗢𝗥𝗞 𝗧𝗢𝗚𝗘𝗧𝗛𝗘𝗥
Each filter addresses a different aspect of trade quality. Trend alignment ensures the signal follows the dominant direction. MACD crossovers provide timing for momentum shifts. ADX confirms the trend has strength behind it. Volume validates institutional participation. RSI filtering prevents chasing into extremes. Extension checks prevent chasing runaway moves.
The scoring system synthesizes these elements into a single ranking. Rather than treating all passing signals equally, the scanner weights signals by how many favorable conditions align. A signal with rising ADX, mid-range RSI, and growing histogram will rank higher than a signal that just barely passes the minimum thresholds.
The multi-timeframe confluence detection adds another dimension. When the 15-minute, 4-hour, and daily timeframes all show bullish signals for the same symbol, the alignment across perspectives often indicates a higher-quality opportunity than a signal appearing on just one timeframe.
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🔶 𝗛𝗢𝗪 𝗧𝗢 𝗨𝗦𝗘
Step 1: Select a Display Preset based on your screen size. Desktop shows all 9 columns at normal text size, positioned in the top right corner. Mobile uses tiny text optimized for phone screens, positioned at the bottom right to avoid interfering with price action. Minimal shows only 5 essential columns (#, Symbol, TF, Bias, Entry) for users who want a quick-glance view without the extra detail. Custom unlocks full control over every display setting: text size, position, abbreviations, row count, and individual column visibility.
Step 2: Choose a Symbol Preset or create a custom watchlist. The scanner includes presets for Crypto Majors on Binance (BTC, ETH, SOL, BNB, XRP, ADA, AVAX), Crypto Majors on Bybit (same symbols, different exchange), Altcoins (ADA, AVAX, DOT, LINK, NEAR, ATOM, UNI), Meme Coins (DOGE, SHIB, PEPE, FLOKI, LUNC, PEOPLE, WIF), Forex Majors (EUR/USD, GBP/USD, USD/JPY, AUD/USD, USD/CAD, USD/CHF, NZD/USD), US Indices (SPY, QQQ, DIA, IWM, VTI, VOO, XLF), US Tech Giants (AAPL, MSFT, GOOGL, NVDA, TSLA, META, AMZN), and Commodities (Gold, Silver, Oil, Gas, Copper, Platinum, Palladium). Select Custom to define your own 7 symbols.
Step 3: Configure your timeframes. The defaults are 15-minute, 4-hour, and Daily, providing coverage across intraday scalping, swing trading, and position trading perspectives. Adjust these to match your preferred trading style. Day traders might use 5m, 15m, 1H. Swing traders might use 1H, 4H, D. Position traders might use 4H, D, W.
Step 4: Set your target multipliers. Stop Loss and Take Profit distances are calculated as ATR multiples. The defaults are 1.5× ATR for stop loss, 2× ATR for first target (TP1), and 3× ATR for the runner target (TP2). Tighter stops mean smaller losses but more frequent stop-outs. Wider stops give trades more room but increase risk per trade.
Step 5: Read the grid from top to bottom. The highest-ranked signal appears at position 1. Each row displays: rank number, symbol ticker, timeframe, direction with quality stars and confluence markers, signal age (how long ago it triggered), entry price (where the signal fired), stop loss level, take profit level, and current P&L percentage showing unrealized profit or loss.
Step 6: Use confluence indicators for stronger setups. When you see 🔗 next to a signal, that symbol has matching direction on 2 timeframes. When you see 🔗🔗, all 3 timeframes agree. These confluence signals receive automatic score bonuses and often represent more reliable opportunities because the setup is confirmed across multiple time perspectives.
Step 7: Monitor signal age and P&L. Fresh signals (age under 1 hour) show developing momentum. Older signals with positive P&L may be extended. Older signals with negative P&L approaching stop loss may soon be removed from the grid. The scanner automatically removes any signal when current price crosses the stop loss level.
𝗘𝘅𝗮𝗺𝗽𝗹𝗲 𝗦𝗰𝗲𝗻𝗮𝗿𝗶𝗼𝘀
*Example Scenario A (Trend Continuation):*
Grid shows BTC with Bull ★★★ 🔗🔗 on the 4H timeframe, ranked first. Signal age is 2 days, current P&L shows +1.5%. The triple star rating indicates strong factor alignment (rising ADX, mid-range RSI, growing histogram). The double confluence marker shows 15m, 4H, and Daily all agree bullish. This type of setup suggests the trend has conviction across multiple perspectives.
*Example Scenario B (Momentum Fading):*
ETH appears with Bull ★★ on the 15m, but the P&L column shows -2.3%. The signal triggered 6 hours ago but price has moved against the entry. The stop loss column shows 3,450 and current price is approaching that level. When price hits stop loss, the scanner will automatically remove this signal and begin looking for fresh setups.
*Example Scenario C (Exhaustion Warning):*
SOL shows Bear ★ at position 5 in the grid. The single star indicates minimum passing score (70-84 range). No confluence marker appears, meaning only one timeframe shows bearish. This type of signal has fewer confirming factors and may warrant additional caution or smaller position sizing.
*Example Scenario D (Fresh Signal Appearing):*
The grid has been showing 4 signals for the past hour. A new row appears at position 2 with BNB Bull ★★★ and Age showing 3m. The fresh signal just triggered on the 4H timeframe with high quality score. When new signals appear near the top of the grid with strong ratings, they often indicate developing momentum that passed all filters at the current bar.
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🔶 𝗡𝗔𝗩𝗜𝗚𝗔𝗧𝗜𝗡𝗚 𝗗𝗜𝗙𝗙𝗘𝗥𝗘𝗡𝗧 𝗠𝗔𝗥𝗞𝗘𝗧 𝗖𝗢𝗡𝗗𝗜𝗧𝗜𝗢𝗡𝗦
𝗧𝗿𝗲𝗻𝗱𝗶𝗻𝗴 𝗠𝗮𝗿𝗸𝗲𝘁𝘀
During strong trends, the grid typically shows multiple signals in the same direction across different symbols. Higher ADX readings produce more ★★ and ★★★ signals. Confluence markers appear more frequently as timeframes align. The scanner works well in trending conditions because its filters are designed to identify trend-following setups.
𝗥𝗮𝗻𝗴𝗶𝗻𝗴 𝗠𝗮𝗿𝗸𝗲𝘁𝘀
During sideways consolidation, the grid may show fewer signals or signals with lower quality scores. ADX typically falls below 20, which blocks most signals. This is intentional: the scanner reduces output during choppy conditions to avoid whipsaw trades. If the grid shows few or no signals, it may indicate the market lacks clear directional bias.
𝗩𝗼𝗹𝗮𝘁𝗶𝗹𝗲 𝗠𝗮𝗿𝗸𝗲𝘁𝘀
High volatility periods may produce signals that hit stop losses quickly. The P&L column helps track which signals are working and which are struggling. The automatic SL-hit removal feature keeps the grid focused on active opportunities rather than failed setups. Consider widening stop loss multipliers during high-volatility regimes.
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🔶 𝗧𝗘𝗖𝗛𝗡𝗜𝗖𝗔𝗟 𝗗𝗘𝗧𝗔𝗜𝗟𝗦
The scanner uses exponential moving averages for trend detection, with fast and slow periods optimized for swing trading timeframes. MACD uses standard parameters for histogram calculation. RSI uses a standard lookback period for overbought and oversold detection. ADX uses a standard smoothing period for trend strength measurement. ATR calculates volatility for position sizing and extension detection.
All signal detection runs on confirmed bars to prevent repainting. The scanner remembers the entry price, ATR, and timestamp when each signal triggers, allowing accurate stop loss and take profit calculations even as the market moves. Stop loss hit detection compares current price against the stored entry and ATR values.
The scoring system weights each factor based on empirical testing across multiple market conditions. Mandatory factors (trend, MACD cross, ADX minimum, volume, RSI extremes, extension) must all pass for a signal to appear. Bonus factors (rising ADX, mid-range RSI, growing histogram, confluence) add points to the quality score.
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🔶 𝗨𝗡𝗜𝗤𝗨𝗘 𝗙𝗘𝗔𝗧𝗨𝗥𝗘𝗦
• Multi-symbol, multi-timeframe scanning in a single indicator (21 combinations)
• Automatic signal invalidation when stop loss is hit
• Quality scoring with star ratings for quick visual assessment
• Multi-timeframe confluence detection with 🔗 indicators
• Eight built-in symbol presets covering crypto, forex, indices, and commodities
• Four display presets optimized for different screen sizes
• Configurable signal thresholds for ADX, RSI, volume, and extension
• Real-time P&L tracking for each active signal
• Actionable alerts with entry, stop loss, and take profit included
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🔶 𝗦𝗘𝗧𝗧𝗜𝗡𝗚𝗦 𝗢𝗩𝗘𝗥𝗩𝗜𝗘𝗪
𝗗𝗶𝘀𝗽𝗹𝗮𝘆 𝗚𝗿𝗼𝘂𝗽
• Display Preset: Desktop, Mobile, Minimal, or Custom
• Text Size: Tiny, Small, Normal, or Large (Custom only)
• Position: 9 positions available (Custom only)
• Abbreviate: Shorter text labels (Custom only)
• Show Rows: 1-7 rows displayed (Custom only)
• Column toggles: Show or hide each of the 9 columns (Custom only)
𝗖𝗼𝗹𝗼𝗿𝘀 𝗚𝗿𝗼𝘂𝗽
• Bullish, Bearish, Neutral colors
• Header and row background colors
• Entry, Stop Loss, Take Profit, Timeframe text colors
𝗙𝗶𝗹𝘁𝗲𝗿𝘀 𝗚𝗿𝗼𝘂𝗽
• Min Score: Minimum quality score to display (0-100)
• Show Top N: Maximum signals to display (1-7)
𝗦𝗶𝗴𝗻𝗮𝗹 𝗧𝘂𝗻𝗶𝗻𝗴 𝗚𝗿𝗼𝘂𝗽
• ADX Minimum: Trend strength threshold (10-40)
• RSI Range Low/High: Mid-range bonus bounds (20-50, 50-80)
• Volume Spike ×: Volume multiplier requirement (1.0-3.0)
• Extension ATR: Maximum distance from EMA (1.0-5.0)
𝗧𝗮𝗿𝗴𝗲𝘁𝘀 𝗚𝗿𝗼𝘂𝗽
• SL ×ATR: Stop loss distance as ATR multiple
• TP1 ×ATR: First take profit as ATR multiple
• TP2 ×ATR: Runner target as ATR multiple
𝗧𝗶𝗺𝗲𝗳𝗿𝗮𝗺𝗲𝘀 𝗚𝗿𝗼𝘂𝗽
• TF 1, TF 2, TF 3: The three timeframes to scan
𝗦𝘆𝗺𝗯𝗼𝗹 𝗣𝗿𝗲𝘀𝗲𝘁 𝗚𝗿𝗼𝘂𝗽
• Preset: Crypto Majors (Binance), Crypto Majors (Bybit), Altcoins, Meme Coins, Forex Majors, US Indices, US Tech Giants, Commodities, or Custom
• Custom Symbols 1-7: Your own symbols when preset is Custom
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🔶 𝗔𝗟𝗘𝗥𝗧𝗦
The scanner provides 45 alert conditions.
𝗔𝗰𝘁𝗶𝗼𝗻𝗮𝗯𝗹𝗲 𝗔𝗹𝗲𝗿𝘁𝘀 (42)
Each symbol-timeframe-direction combination has its own dynamic alert. Alert messages include the symbol, timeframe, direction, entry price, stop loss, and take profit. Example message: "🟢 BTC 4H BULL | Entry: 89,500 | SL: 88,200 | TP: 91,100"
To receive these alerts, create an alert on this indicator and select "Any alert() function call" as the condition.
𝗦𝗶𝗺𝗽𝗹𝗲 𝗔𝗹𝗲𝗿𝘁𝘀 (3)
• Any Bullish (Simple): Triggers when any bullish signal appears
• Any Bearish (Simple): Triggers when any bearish signal appears
• Any Signal (Simple): Triggers when any signal appears
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🔶 𝗟𝗜𝗠𝗜𝗧𝗔𝗧𝗜𝗢𝗡𝗦
• Your chart timeframe must be EQUAL TO or LOWER than your lowest scanner timeframe (TF 1). Scanning 15m data from a 4H chart causes memory errors. If you see "Memory limits exceeded", lower your chart TF or raise TF 1.
• Maximum of 7 symbols can be scanned simultaneously due to TradingView's security function limits
• Signals are based on confirmed bar data; intrabar movements are not evaluated until bar close
• The scanner identifies potential setups based on technical criteria; it does not predict future price movement
• Performance varies across different market conditions; trending markets typically produce better results than ranging markets
• Symbol presets are fixed; adding or removing symbols from presets requires code modification
• Alerts fire once per bar close; rapid intrabar signals are not captured
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🔶 𝗖𝗢𝗡𝗖𝗟𝗨𝗦𝗜𝗢𝗡
Augury Grid consolidates multi-symbol, multi-timeframe scanning into a single organized display. The quality scoring system helps prioritize signals, the confluence detection identifies cross-timeframe agreement, and the automatic stop loss tracking keeps the grid focused on active opportunities. Whether scanning crypto majors, forex pairs, or stock indices, the scanner provides a structured approach to identifying and ranking potential setups across your watchlist.
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🔶 𝗗𝗜𝗦𝗖𝗟𝗔𝗜𝗠𝗘𝗥
Trading is risky and most traders lose money. This indicator is provided for informational and educational purposes only. It does not constitute financial advice, and past performance does not guarantee future results. All content, tools, and analysis should not be considered as recommendations to buy or sell any asset. Users are solely responsible for their own trading decisions. Always use proper risk management and consider consulting a qualified financial advisor before making trading decisions.
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Questions or feedback? Send a private message.
Liquidity Trap: Fakeout & POILiquidity Trap: Fakeout & POI
Indicator designed for mean reversion within accumulation and consolidation phases. It provides high-probability entry signals by identifying when the market creates liquidity traps and returns to the true Point of Interest (POI).
💡 Key Features & Trading Logic:
⚡ Signals (L for Long, S for Short) are confirmed only after the candle closes, ensuring historical signals match real-time performance.
🎯 Liquidity Traps (Fakeout Reversal): The core logic waits for price to break above the established range high or below the range low (hunting liquidity) and only triggers an entry signal once the price re-enters the channel.
⚖️ Volume-Weighted POI: The central yellow line is a dynamic VWAP-based Point of Interest. This is the mathematical fair value zone where the most volume has occurred, acting as a strong magnet for price and an ideal take-profit level.
⚙️ Smart Filters: Employs linear regression slope and volume validation to ensure signals only fire in genuinely ranging markets.
How to Trade It:
Identify the Box: Wait for the script to draw the grey accumulation zone.
Wait for the Trap: Price moves into the pink (sell zone) or teal (buy zone) area and sweeps the extremes.
Enter on the Return: An L (Long) or S (Short) label signals a confirmed entry back into the value area. The yellow POI line is your primary target.
📈 Pro-Tip:
This indicator is designed for non-trending market conditions. It is most effective on instruments that tend to oscillate or spend significant time in consolidation. While it works across all timeframes, lower timeframes can offer frequent opportunities for scalping liquidity traps, provided there is enough volume to validate the moves.
Sessions: Daily Close, Open, Initial Balance [diJMedia Trading]What This Script Does
This advanced session indicator displays critical trading levels for intraday traders, focusing on three main components:
Session Open and Close Lines - Tracks the opening and closing prices of your configured trading session
Initial Balance (IB) - Shows the high and low range formed during the first period of the session (configurable duration)
IB Extensions (IBx) - Dynamically displays extension levels above and below the initial balance based on the IB range
Previous Daily Close - Extends the previous session's close level into the current session
Key Features
Customizable Session Configuration: Define your preferred trading session (e.g., New York, London, Asia) with custom time zones
Initial Balance Period: Set the IB duration in minutes (default: 60 minutes)
Dynamic IB Extensions: Automatically calculates and displays IBH1, IBH2, IBH3... (above IB) and IBL1, IBL2, IBL3... (below IB) as price reaches these levels
IB Middle Lines: Optional middle lines between IB levels for precise entry/exit points (requires minimum IB range of 3 points)
High Precision: Uses lower timeframe (1-minute) data for accurate IB calculations
Full Customization: Each line type has independent color, width, and style (solid/dashed/dotted) settings
Session Range Display: Shows the total range in points for each session
How to Use It
Setup:
Add the indicator to your intraday chart (Note: does not work on daily/weekly/monthly timeframes)
Configure your trading session time and timezone in the "Session" settings group
Set your preferred Initial Balance duration in minutes
Understanding the Levels:
Open Line (cyan): Session opening price - often acts as support/resistance
Close Line (red): Session closing price - updates in real-time
Daily Close (red): Previous session's close - critical reference level
IB High/Low (blue/red dots): The range established during the initial balance period
IBHx/IBLx (orange): Extension levels measured by the IB range (e.g., IBH1 = IB High + 1 x IB range)
IBM, IBHm, IBLm (purple): Middle lines between IB levels for refined entries
Trading Applications:
Initial Balance Theory: Traders use IB as a measure of volatility; breakouts from IB often indicate trending days
Extension Levels: IBx levels act as natural profit targets and reversal zones
Open/Close Levels: Key support/resistance areas for intraday trading
Previous Daily Close: Essential reference point for gap trading and bias determination
Customization:
Toggle display of each component independently in "Display" settings
Customize colors, line widths, and styles in "Lines" and "Initial Balance" groups
Set maximum number of IBx extension levels (0-10)
Adjust minimum IB range required to display middle lines
Best Practices:
Works best on 5-minute to 60-minute charts
Default 60-minute IB period is standard for equity markets
Adjust IB period based on market volatility (shorter for volatile markets)
Use with volume analysis and price action for confirmation
Daily Open/Close Vertical LinesDaily Open/Close Vertical Lines
by LG1234
📈 **Mark your custom session opens and closes with clean vertical lines**
**Features:**
• Set ANY open hour/minute (e.g. 08:00, 08:30, 09:30 London)
• Set ANY close hour/minute (e.g. 16:00, 16:30, 17:00)
• **Perfect for London (08:00-16:30), NY (09:30-16:00), Tokyo (00:00-09:00)**
• Full-height vertical lines (no horizontal mess)
• Custom colours, line styles (solid/dashed/dotted), thickness
• **Independent settings per chart** - London times on EURUSD, NY times on SPX
• Works on ALL symbols/timeframes
**Setup (2 minutes):**
1. Chart Settings → Timezone → Europe/London (or your preferred timezone)
2. Add indicator → Set your open/close hours
3. Done! Lines appear at exact times each day
**Pro tip:** Use on multiple charts with different sessions:
- EURUSD 5m: 08:00/16:30 London ✅
- NAS100 15m: 09:30/16:00 NY ✅
- BTC 1H: 14:00/22:00 Crypto ✅
**Settings persist forever** - close browser, reopen, settings stay perfect.
Perfect for session trading, prop firm challenges, or any strategy needing clean daily markers.
⭐ **Love it? Leave a review!**
TradeX Guru Scalping premium SetupThe TXG Scalping System is a rule-based intraday analytical tool designed for traders who prioritize clarity and discipline over market noise. This indicator is built to identify high-probability expansion phases using a multi-layered confluence of trend, momentum, and volume flow.
🔹 The Core Framework
Trend Tracking: The system uses a multi-layered moving average basis to identify the primary directional bias for the current session.
Momentum Confirmation: We utilize standardized momentum indicators to ensure that signals are only generated when the market is in an "Expansion" phase, avoiding choppy range-bound zones.
Volume & Flow Analysis: The script incorporates volume-weighted data to confirm that market participation is actively supporting the price movement.
Dynamic Volatility Scaling: Risk management levels (Safety SL and Goal Targets) are automatically scaled based on real-time market volatility to adapt to changing conditions.
Actionable Visuals: Clearly marked Bullish and Bearish zones that only appear when all internal conditions are met.
Trigger-Based Execution: Includes a "Trigger Level" logic based on the high/low of signal candles to prevent entering trades too early.
Zero Repainting: All logic is calculated on bar close; once a signal is confirmed, it stays fixed on the chart.
Optimized Performance: Fine-tuned for high-liquidity assets like Nifty50, Bank Nifty, Silver, Gold, Index Futures and Major Crypto pairs like Bitcoin, Ethereum.
Best Practice
Wait for the Setup : Monitor for the visual Bullish/Bearish signal.
Confirm the Break: A setup is considered active only when price breaks the designated Trigger Level. For Visual Clarity. I have color coded it to Orange candle for bullish entry confirmation and purple candle for bearish entry confirmation
Manage with Discipline: Use the tiered Goal Levels to secure points as the trend progresses.
Signal Invalidation: If the price touches the Red Safety Line (SL) before breaking the Trigger Level, the setup is automatically cancelled. You will see the label change to a grey "❌" to signal that the trade is no longer valid.
RACHERO (Z-Div)RACHERO (Z-Div) (Rachero Preview – Limited Version) is a proprietary market-pressure indicator that highlights unusual participation and momentum shifts often preceding key price moves. It emphasizes normal versus extreme conditions and marks early inflection zones where price behavior becomes unstable, helping traders anticipate potential reversals or strong continuations with minimal clutter.
Martell Liquidation Reversal Premium📊 Recommended Settings by Timeframe
⏱️ 1‑Minute Timeframe (Aggressive Scalping)
Best for traders seeking fast entries during high‑volatility conditions.
Z Score Length: 150
Z‑Score Threshold: 3.5
Liquidation Timeout Bars: 12
Min Transparency: 40
Max Transparency: 80
Bullish Base Color: Bright Green
Bearish Base Color: Bright Red
Neutral Candle Color: Light Gray
🔍 Higher threshold to reduce noise. Faster reaction time for quick scalps.
⏱️ 3‑Minute Timeframe (Moderate Scalping)
Balanced configuration for precision and stability.
Z Score Length: 200
Z‑Score Threshold: 3.2
Liquidation Timeout Bars: 18
Min Transparency: 30
Max Transparency: 70
Bullish Base Color: Standard Green
Bearish Base Color: Standard Red
Neutral Candle Color: Medium Gray
🔍 Ideal balance between sensitivity and confirmation.
⏱️ 5‑Minute Timeframe (Conservative Scalping / Intraday)
Designed for cleaner signals and reduced drawdown.
Z Score Length: 300
Z‑Score Threshold: 3.0
Liquidation Timeout Bars: 24
Min Transparency: 30
Max Transparency: 70
Bullish Base Color: Dark Green
Bearish Base Color: Dark Red
Neutral Candle Color: Dark Gray
🔍 More filtered signals, fewer false reversals, stronger trend confirmation.
Swing Dashboard - Titan [RatMutant]NSE:TITAN Titan by Ratmutant is an advanced rule-based swing trading system built around multi-strategy confirmation, higher-timeframe alignment, momentum filtering, and strict risk control.
It is designed to help traders participate only in high-quality market moves while avoiding noise, news volatility, and correlated market risk.
This indicator focuses on BUY-side swing trades with fully automated trade management and real-time performance analytics.
🎯 Core Trading Framework
Titan combines three independent strategies, each validated by multiple filters before any trade is allowed:
📈 Strategy 1 – Fibonacci Reversal
0.618 / 0.382 Fibonacci retracement zones
Volume confirmation
ATR-based zone tolerance
Trend-aligned reversal logic
📉 Strategy 2 – Bollinger Band Squeeze
Volatility contraction detection
Breakout confirmation from squeeze
Designed to capture expansion moves
⚡ Strategy 3 – MACD Reversal
MACD crossover confirmation
Trend-filtered momentum reversals
Each strategy can trigger independently, but final entries require full system alignment.
🧭 Trend & Market Filters
Trades are only allowed when all key conditions agree:
Primary Trend Filter (EMA / SMA, user-selectable)
Higher-Timeframe (HTF) Trend Confirmation
Momentum Spike Filter (range expansion validation)
Market Correlation Filter (index sync awareness)
News Shield System (ATR-based volatility protection)
If volatility spikes abnormally, the system enters LOCKED mode, preventing risky entries.
🛡️ Risk & Trade Management
Titan includes a complete professional trade management engine:
ATR-based or Fixed-% Stop Loss
R:R-based Take Profit targeting
Automatic Break-Even protection
Optional Trailing Stop
Fixed-risk position sizing (₹-based)
Visual Entry, SL, TP levels plotted on chart
All exits are handled systematically, removing emotional decision-making.
📊 Smart Dashboard (Real-Time)
The built-in dashboard provides instant situational awareness:
Trend & HTF alignment status
Momentum & News Shield state
Strategy activation status (Fib / BB / MACD)
Position size & risk/reward
Trade state: READY / LOCKED / IN TRADE
Overall Win Rate
Last-5-Trades (L5) performance analytics
Net P&L
Win rate
Gains vs losses
Designed for zero-gap clarity without chart clutter.
🏷️ Visual Trade Labels
BUY entry labels with active strategies
SELL labels for Target / Stop exits
Break-Even activation alerts
Live P&L holding labels during trades
🔔 Alerts Included
BUY Entry
READY state
LOCKED (News Shield active)
SELL at Target
SELL at Stop Loss
Break-Even activation
Alerts are suitable for manual execution or automation.
🔐 Protection & Usage Integrity
This indicator includes dynamic watermarking based on:
Chart symbol
Timeframe
This helps discourage unauthorized redistribution and protects intellectual property.
👥 Best Suited For
Swing traders
Positional traders NSE:AXISBANK
Rule-based traders
Dashboard-driven decision makers
Works on Stocks, Indices, Crypto, Forex, Commodities.
⚠️ Disclaimer
This indicator is a decision-support tool, not financial advice.
Past performance does not guarantee future results. Always manage risk responsibly.
⭐ If you find this useful, please Like ❤️, Comment 💬, and Follow for future system upgrades.
Normalized MACDNormalize MACD by a moving average, an N-day range, or ATR.
Normalizing the MACD by price level or range leads to values that are more consistent across different assets (since the price factor is removed). My personal favorite is normalizing by a moving average since in addition to more consistent values across securities it also has a slight added smoothing that appears to reduce false signals.
Big Orders Detector ProBig Order Detector – Order Flow Dominance Indicator
Overview
Big Order Detector is an original TradingView indicator designed to highlight areas where unusually strong buying or selling pressure is entering the market. The indicator focuses on order dominance rather than lagging price signals, helping traders assess whether buyers or sellers are exerting greater control at key price levels.
Instead of attempting to predict future price movement, the script provides contextual insight into participation and pressure as they develop, allowing traders to interpret market intent before directional moves become obvious on price alone.
How the Indicator Works
The indicator analyzes the interaction between price movement and volume behavior to identify zones where one side of the market is absorbing or aggressively executing orders. When abnormal buying or selling pressure is detected, the script marks these areas directly on the chart.
These zones often reflect:
Strong buyer or seller participation
Accumulation or distribution behavior
Defensive or offensive positioning ahead of breakouts or reversals
By comparing the persistence and location of buy-side versus sell-side pressure, traders can evaluate which side currently has the advantage.
Practical Use
Traders commonly use Big Order Detector to:
Identify potential accumulation zones before bullish continuation
Identify potential distribution zones before bearish continuation
Confirm breakouts when order dominance aligns with price direction
Filter false moves when price action lacks supporting participation
Add order-flow context to market structure and trend analysis
The indicator operates in real time using confirmed data only and does not repaint.
Design Philosophy
Big Order Detector is not a buy or sell signal generator. It is designed as a decision-support tool that complements:
Market structure analysis
Support and resistance levels
Trend context
Risk management rules
The visual output is intentionally minimal to maintain a clean chart and allow traders to integrate the information into their existing workflow.
Markets and Timeframes
The indicator is applicable across multiple asset classes, including stocks, forex, futures, and crypto, and can be used on intraday, swing, and higher-timeframe charts.
Important Notes
This indicator does not forecast future price movement. It provides analytical context by highlighting where large order pressure is influencing price behavior.
Disclaimer
This indicator is intended for educational and analytical purposes only and does not constitute financial advice. Always apply proper risk management and confirm analysis using additional tools.
Wyckoff Cycle Detection ProWyckoff Market Structure Indicator – Full Cycle Detection
Overview
The Wyckoff Market Structure Indicator is an original TradingView tool designed to identify and visualize the full Wyckoff market cycle using objective, rule-based market structure analysis. The indicator automatically detects Accumulation, Markup, Distribution, and Markdown phases, including Re-Accumulation and Re-Distribution, and displays each phase directly on the chart using clearly defined visual elements.
Rather than relying on rigid, textbook pattern templates, the script applies adaptive logic to interpret real-world price behavior. This allows it to recognize Wyckoff structures even when price action deviates from idealized examples, which is common in live markets.
What the Indicator Displays
Once a Wyckoff phase is confirmed, the indicator plots:
Colored phase boxes to define the active market phase
Dynamic support and resistance levels derived from structural extremes
Wyckoff event labels that appear only when contextual conditions are met
An optional dotted Automatic Rally (AR) extension line to visualize range projection
The indicator operates in real time using confirmed data only and does not rely on future-looking calculations.
Wyckoff Events Identified
During Accumulation, the script may label:
Preliminary Support (PS)
Selling Climax (SC)
Automatic Rally (AR)
Secondary Test (ST)
Spring / Shakeout and Tests (when conditions support them)
Sign of Strength (SOS)
Last Point of Support (LPS)
Back-Up (BU)
During Distribution, the script may label:
Preliminary Supply (PSY)
Buying Climax (BC)
Automatic Reaction (AR)
Secondary Test (ST)
Upthrust / UTAD
Sign of Weakness (SOW)
Last Point of Supply (LPSY)
Labels are only plotted when price structure, volatility behavior, and contextual conditions reasonably support the Wyckoff interpretation, helping reduce visual noise and false signals.
How It Works
The indicator evaluates multiple market factors simultaneously, including:
Swing structure and range development
Volatility behavior using ATR-based measurements
Relative expansion and contraction within trading ranges
Prior trend context to distinguish accumulation from distribution
By combining these inputs, the script focuses on identifying meaningful institutional-style accumulation and distribution rather than random consolidation.
Practical Use
Traders can use this indicator to:
Determine the current Wyckoff phase and dominant market intent
Align trades with Markup or Markdown phases
Identify potential accumulation and distribution zones
Add objective structure and context to discretionary price-action analysis
Review historical cycles for study or strategy refinement (optional)
The indicator is designed to work across all major markets, including Forex, stocks, crypto, and futures, and is applicable to any timeframe.
Design Philosophy
The script emphasizes clarity and usability. It requires minimal configuration, keeps charts readable, and allows optional visibility of historical Wyckoff cycles for educational or analytical purposes.
Disclaimer
This indicator is intended for educational and analytical use only and does not constitute financial advice. Always apply proper risk management when trading.
KaiBot Staircase Magnetized editionOverview
The KaiBot Staircase is a multi-timeframe trend analysis indicator that visualizes hierarchical price levels across different timeframes, creating a "staircase" effect. It helps traders identify confluence zones where multiple timeframe trends align and detect momentum shifts through dynamic color coding.
Core Concept
The indicator operates on a parent-child timeframe relationship:
Each timeframe has a corresponding "sub-timeframe" that acts as its leading signal
For example: the 15m timeframe pairs with 1m, 1H pairs with 3m, 4H pairs with 15m, Daily pairs with 1H, etc.
This creates a cascade from micro to macro timeframes spanning 1 minute to 12 months
Key Features:
1. Adaptive Timeframe Lines
Automatically selects the relevant timeframe based on your chart.
Shows trend lines which help you find pivotal levels in time.
2. Magnet Zones
Highlights support/resistance zones.
Optionally creates a "typical price" pivot with extension targets.
3. Fluctuation Color System
The lines change color based on momentum state of the parent timeframe:
Lime: Strong bullish momentum (increasing)
Green: Bullish but decelerating
Red: Strong bearish momentum (increasing)
Maroon: Bearish but decelerating
Gray: "Danger zone" - low volatility/squeeze condition
4. Lead Line
A directional signal line showing immediate trend (green = bullish bias, red = bearish).
5. Information Table
Displays all active timeframe pairs.
Shows time remaining until each timeframe closes.
Color-coded to match the fluctuation state.
Settings
Show TF lines for: Main Only / Main+Parent / Parentception (recursive) / All above main
Max TF lines: Limit when showing "All above main" (1-15)
Show pivot zones for: Control which timeframes display magnet zones
Show main pivot extensions: Enable extended target levels
Show lead line: Toggle the directional signal line
Disable danger zone gray: Force colors even during squeeze conditions
Show fluctuation colours for: Control which lines receive momentum coloring
Color gaps between TF lines: Fill areas between staircase levels
Only show visible TF index: Filter table to displayed timeframes only
How to Use
Trend Confirmation: When multiple timeframe lines are the same color, it indicates trend alignment across timeframes
Support/Resistance: Use the magnet zones as potential reversal or continuation areas
Squeeze Detection: Gray coloring warns of consolidation periods that often precede breakouts
Time Management: The table shows when each timeframe candle closes, helping time entries/exits
Best Practices
Use "Main and Parentception" mode to see the recursive timeframe hierarchy.
Watch for color transitions from gray to directional colors (breakout signals).
Higher timeframe lines act as stronger support/resistance levels.
The lead line provides early directional bias before the main line confirms.
eXquTrading | Smart Money ICTeXquTrading | Smart Money ICT
An ICT/SMC-style “market map” overlay indicator that combines trend context, market-structure events, nearest FVG/BPR zones, volumized order blocks, and 8X confirmations in a single view—designed to support cleaner and more systematic decision-making.
Features
EMA 9/21/50: Core EMA set for structure & trend reading.
144/169 Cloud Trend: Trend zone and directional filtering.
Market Structure: CHoCH / BOS / IDM / Sweeps markers.
Nearest FVG + BPR: Draws the closest bull/bear FVG and marks BPR overlap when present.
Volumized Order Blocks: Volume-based OB zones with invalidation rules (Wick/Close) and zone count options (High/Medium/Low/One).
Dashboards:
Top-right: oscillator-based analysis panel + decision row
Bottom-right: multi-timeframe trend summary based on EMA(50)
8X Labels: Multi-confirmation BUY/SELL labels.
Watermark: Title/subtitle plus symbol/time info.
How to Use (Quick Workflow)
Define direction: Use the cloud + MTF trend panel for overall bias.
Wait for structure: Track CHoCH/BOS and observe IDM/Sweep interactions.
Pick a reaction zone: Focus on FVG/BPR and/or OB areas.
Confirm & filter: Use 8X labels and dashboards to filter trade quality.
Disclaimer
Not financial advice. Trading involves substantial risk. Always use proper risk management.
Alerts
8X SCALP BUY
8X SCALP SELL
Eagle Algo HyperConcept & Overview
Eagle Algo Hyper is a specialized technical analysis tool designed for scalping and trend-following strategies. It integrates trend detection with momentum filtering to identify high-probability entry zones. Unlike standard indicators that generate signals on every bar condition, this script employs a sequential "State Machine" logic. This ensures that trades are managed in a specific order (Signal -> Result -> Recovery Step) without overlapping, offering a cleaner visual representation for backtesting and live execution.
Underlying Logic
The strategy operates on a multi-stage confirmation process:
Trend Filter: The primary trend is determined using a combination of the Supertrend algorithm and a 20-period Exponential Moving Average (EMA). Long signals are only valid when the price is above the EMA and the Supertrend is bullish (and vice-versa for shorts).
Momentum Validation: To avoid false breakouts, the script utilizes RSI (Relative Strength Index) and Stochastic Oscillators. It seeks entries where momentum aligns with the trend but is not exhausted.
Volatility Filtering: An ADX (Average Directional Index) filter is included to prevent trading during flat or choppy markets. Additionally, Bollinger Bands are used to gauge relative price extremes.
Candle Strength: The script calculates the body size of the signal candle relative to the asset's tick size to ensure there is sufficient volume and conviction behind the move.
Unique Features
Sequential Signal Engine: The script uses persistent variables to track the state of a trade. If a signal is generated, the script waits for the outcome (Win/Loss) or a single-step recovery attempt (Martingale logic) before searching for a new signal.
Automated Market Structure: It automatically identifies and plots Support & Resistance zones and Order Blocks (Bullish/Bearish) based on pivot highs/lows and price action, aiding in manual analysis.
Performance Dashboard: A real-time information panel displays the total number of signals, wins, losses, and calculated accuracy based on the chart's visible history.
Settings & Customization
Traders can adjust the strategy to fit their risk profile:
Filters: Toggle ADX, Stochastic, and Bollinger Band filters on or off.
Sensitivity: Adjust the lengths for Supertrend and momentum indicators.
Visuals: Customize colors for Order Blocks and S/R zones.
Disclaimer
This tool is intended for educational purposes and market analysis. The "Accuracy" shown on the dashboard is based on historical data on the current chart and does not guarantee future performance. Traders should always use proper risk management.
Access
This is an Invite-Only script. To obtain access, please refer to the contact information provided in the Author's Signature below.
V7 BOOM SNIPER PRO P1 free trial🔥 V7 BOOM SNIPER PRO (P1 & P2)
I’ve published two advanced TradingView indicators on my profile, built to help traders analyze the market more clearly and avoid weak entries.
🔹 Clear trend and market structure
🔹 High-quality entry zones with controlled risk
🔹 Smart filtering to reduce false signals
🔹 Supply & Demand, Order Blocks, and Break & Retest logic
🔹 Suitable for scalping, intraday, and swing trading
🔹 Works across all markets and timeframes
You’re welcome to test the indicators directly on my TradingView page and explore how they behave on real charts.
Consecutive Up/Down Bar LabelsThe likelihood of mean reversion increases with consecutive days in a particular direction.
This indicator plots a signal, with increasing brightness, once a stock has had 3 or more days moving in one direction, and peaks at 7 days (i.e. if it has moved in the same direction for more than 7 days, the signal remains at the same max intensity).
The signals are plotted as dots above (for up days) or below (for down days) the bar.
Nifty Move HunterNifty Move Hunter is a powerful price-action–based analysis tool, specially designed for NIFTY / BANKNIFTY intraday traders who want clear structure, trend behavior, and market context — without clutter.
This FREE version focuses on visual clarity and learning, while keeping advanced execution features exclusive for Premium users.
🔍 What this indicator shows (FREE):
✅ Opening Range Levels (9:15 Candle Based)
• First candle High & Low
• Multiple upside & downside projected levels
• Helps identify early market bias
✅ Dynamic Auto Trendlines
• Swing-based adaptive trendlines
• ATR / STDEV / Linear Regression slope methods
• Auto-extending trendlines with rejection zones
• Perfect for support–resistance & structure analysis
✅ Rejection Zones
• Automatically marks price rejection areas
• Useful to spot fake breakouts & supply/demand zones
✅ Symmetrical Triangle Detection
• Identifies volatility contraction patterns
• Draws converging trendlines automatically
• Helps prepare for impulsive moves
✅ Clean & Non-Repainting Logic
• Designed for chart study & learning
• No confusing signals or repaint tricks
🚫 What is NOT included in Free Version:
❌ Buy / Sell signals
❌ Entry, Stop Loss & Target levels
❌ Real-time execution assistance
❌ Premium logic layers
💎 Why Premium Version?
The Premium version unlocks: • Clear directional bias
• Precise Buy / Sell signals
• Defined Risk–Reward levels
• Advanced market logic for live trading
📩 Contact for Premium Access
👉 Telegram: Chandan Trading Solutions
📺 Learn How to Use This Indicator
▶️ YouTube: Chandan Trading Solutions
⚠️ Disclaimer:
This indicator is for educational & analytical purposes only. Trading involves risk. Always use proper risk management.
Mister Blueprint Pro Release v1.24 [ChartWhizzperer]Mister Blueprint Pro® — Initial Release v1.24
Clean direction. Precise entries. Disciplined execution.
Built for lower timeframes & Range Charts (50R, 100R & 200R)
Badges: Indices • FX • high-liquidity assets | Webhook-ready (PineConnector-compatible) | Multilingual (EN/DE/ES/FR/JA/ZH/AR/KO/RU/VI/HI/TR)
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What it is — and what it does
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Mister Blueprint Pro® is a modular execution framework engineered for high-liquidity assets and active market phases.
Designed for lower timeframes and Range Charts, it helps you separate clean participation from low-quality conditions — and
translates decisions into clear, automation-ready signals.
No clutter. No confusion. Just a focused toolkit for structure, timing, and execution.
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Modules (what they do)
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1) DynamicRange-Trendcloud
Defines the active trading direction and provides a clean structure layer to stay aligned with the dominant move.
Helps reduce “signal vs. structure” conflicts by keeping entries tied to market context.
2) Smart Stacking
Enables controlled position building with strict quality focus.
Adds exposure only when conditions justify it — with safeguards that prevent repeated or noisy add-ons.
Built to prioritise the single best moment instead of chasing frequency.
3) Momentum Engine (optional)
Adds an additional participation layer for active phases when price expands and momentum is present.
Includes a selectable trading profile (aggressive / balanced) to match your execution style.
Optional candle colouring provides fast visual feedback for momentum states.
4) Neutral Candle Filter (optional)
Prevents entries during neutral / indecisive momentum phases.
Keeps you selective on lower timeframes by waiting for a clearer participation state before executing.
5) Session Filter Plus (optional)
Lets you define trading sessions and keeps execution disciplined by restricting signals to your active windows.
Provides background session shading for instant orientation.
When a session is OFF, alerts/webhooks stay silent.
6) Support & Resistance Level (visual module)
Plots clean, dynamic support/resistance zones derived from live price structure.
Helps map key areas for decision-making and trade management without overwhelming the chart.
7) Close-All + Global Kill Switch
Provides dedicated Close-All signals for long and short.
Prefer manual exits? The Global Kill Switch disables all Close-All output instantly, so you keep full exit control.
8) Multilingual Interface
Human-facing labels available in:
EN / DE / ES / FR / JA / ZH / AR / KO / RU / VI / HI / TR
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Real-time signals & webhook automation
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Mister Blueprint Pro® emits real-time signals via TradingView alerts and webhook interfaces.
The production API is intentionally minimal for clean automation workflows:
• Mister Blueprint Buy → OPEN_LONG
• Mister Blueprint Sell → OPEN_SHORT
• Mister Blueprint Close All (Long) → CLOSE_LONG
• Mister Blueprint Close All (Short) → CLOSE_SHORT
These signals can be routed directly through a webhook endpoint (e.g., PineConnector) for execution, logging, or monitoring.
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Who it’s for
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Built for traders who operate in high-liquidity markets and active phases — and who need a framework that stays clean,
fast, and automation-ready on lower timeframes and Range Charts.
If you value context-first execution, disciplined scaling, and webhook signals that don’t get in your way, this is for you.
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Quick start (recommended)
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• Use lower timeframes and/or Range Charts (50R, 100R, 200R or higher).
• Start with DynamicRange-Trendcloud as the backbone.
• Add Smart Stacking for controlled scaling.
• Enable Momentum Engine when you want extra participation in active phases.
• Use Neutral Candle Filter for stricter selectivity.
• Activate Session Filter Plus to limit signals to your trading windows.
• Prefer manual exits? Switch on the Global Kill Switch.
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Note
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No hype. No holy grails.
A precise execution framework for structure, timing, and participation — built for markets that move.
MISTER BLUEPRINT PRO® is a registered European Union trade mark (EUTM No. 019205166).
Invite-only distribution
This script is offered exclusively by invitation to protect independently developed methods, reduce unauthorised redistribution,
and ensure controlled onboarding, support, and quality assurance.
Disclaimer
Signals and alerts are provided for informational purposes only and do not constitute financial advice or a recommendation to buy or sell.
Trading involves substantial risk and may result in the total loss of capital. Execution via third-party tools may differ from alerts.
Past performance is not indicative of future results.
Edo Sentiment MapEdo Sentiment Map is a contextual analysis indicator designed to evaluate the internal state of the market based on price behavior, movement intensity and degree of extension.
This indicator does NOT:
• Generate buy or sell signals
• Provide entries or exits
• Predict future price direction
• Automate trading decisions
Its purpose is to describe the current market state, not to indicate what action to take.
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CORE IDEA
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Market movements do not evolve uniformly. There are phases in which price advances in an efficient and balanced manner, and others in which the movement becomes excessive, fragile or vulnerable to behavioral shifts.
Edo Sentiment Map is designed to identify and classify these movement states using a discrete, easy-to-interpret scale.
The terms used in the indicator (such as fear, greed or euphoria) should be understood as descriptive labels commonly used in financial analysis to describe market states, not as literal measurements of human emotions.
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CALCULATION BASIS (CONCEPTUAL EXPLANATION)
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The indicator is built around an internal continuous score that evaluates how price is moving relative to its recent environment.
At a conceptual level, this score combines:
• Net price displacement relative to a prior reference point
• Movement efficiency by comparing effective progress versus volatility
• Intensity and persistence of recent behavior
• Extension filters that penalize movements excessively far from recent highs or lows
• Contextual adjustments that smooth isolated readings and reduce unsustainable spikes
The objective of this process is not to forecast future price, but to describe the quality, pressure and stability of the current movement.
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STATE SCALE (-5 TO +5)
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The continuous score is classified into eleven discrete states ranging from -5 to +5.
Each level represents a market condition:
(+5) Extreme positive extension
(+4) High bullish extension
(+3) Dominant buying pressure
(+2) Stable positive movement
(+1) Weak positive pressure
(0) Neutral or balanced state
(-1) Weak negative pressure
(-2) Increasing downside risk
(-3) Dominant selling pressure
(-4) High bearish extension
(-5) Extreme negative extension
The descriptions associated with certain levels (such as “Take profits” or “Potential entry”) are contextual warnings about areas of possible excess or vulnerability in the movement, not operational instructions or trading recommendations.
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VISUAL REPRESENTATION
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The states are applied directly to price candles through a color map.
• Warm colors indicate positive pressure and bullish extension
• Cool colors indicate negative pressure and bearish extension
• Neutral colors indicate balance or indecision
Optionally, numeric labels and explanatory tooltips can be displayed to support interpretation and historical study of the indicator.
The tooltips expand upon the brief descriptions shown in the legend, providing additional contextual explanations of each numeric level and the market conditions it represents.
All visual elements should be interpreted as contextual information, not as trading signals.
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CONFIGURATION PHILOSOPHY
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The core logic of the indicator is intentionally protected.
Users can only:
• Enable or disable candle coloring
• Show or hide labels and tooltips
• Show or hide the explanatory legend
This approach ensures consistent readings and prevents configurations that could distort market state interpretation.
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FINAL NOTE
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Edo Sentiment Map is designed to describe the state of the market at any given moment, not to automate decisions or replace trader judgment.
Its function is to provide visual and structural context regarding movement pressure and extension.






















