1 minute ago Price Action Dynamics Oscillator (PADO) Indicator Overview and Technical Deep Dive Concept and Philosophy The Price Action Dynamics Oscillator (PADO) is a sophisticated technical analysis tool designed to provide multi-dimensional insights into market behavior by decomposing price action into manipulation and distribution metrics. The indicator goes beyond traditional momentum or trend indicators by introducing a nuanced approach to understanding market microstructure. Key Architectural Components 1. Timeframe and Depth Selection
Pivot Depth Options:
Short Term (Length: 12 periods) Intermediate Term (Length: 20 periods) Long Term (Length: 100 periods)
This flexible configuration allows traders to adapt the indicator's sensitivity to different market conditions and trading styles. 2. Core Calculation Methodology Manipulation Metrics
Calculates manipulation differently for green (bullish) and red (bearish) candles Normalized against Average True Range (ATR) for consistent comparison across different volatility environments Green Candle Manipulation: (Open - Low) / ATR Red Candle Manipulation: (High - Open) / ATR
Distribution Metrics
Measures the directional strength and potential momentum shift Green Candle Distribution: (Close - Open) Red Candle Distribution: (Open - Close)
3. Normalization and Smoothing
Uses Simple Moving Average (SMA) for smoothing Dynamic length calculation based on price range distance Ensures minimum SMA length of 2 to prevent calculation errors
Unique Features Visualization Toggles Traders can selectively display:
Manipulation data Distribution data Long-term reference lines Valuation metrics Strategy signals
Valuation Comparative Analysis
Compares current manipulation and distribution metrics to 1000-bar long-term averages Color-coded visualization for quick interpretation
Blue: Manipulation above average Purple: Manipulation below average Orange: Distribution above average Yellow: Distribution below average
Strategy Deployment
Generates a composite strategy signal by comparing manipulation and distribution valuations Uses Exponential Moving Average (EMA) for smoother signal generation Incorporates volatility bands for context-aware signal interpretation
Quadrant Analysis Classifies market state into four quadrants based on manipulation and distribution valuations:
Q1: Low Manipulation, High Distribution Q2: High Manipulation, High Distribution Q3: Low Manipulation, Low Distribution Q4: High Manipulation, Low Distribution
Each quadrant is color-coded to provide visual market state representation. Warning Signals
Manipulation Warning: When strategy crosses below low volatility band Distribution Warning: When strategy crosses above high volatility band
Visual Indicators
Bar coloration based on strategy momentum Multiple color states representing different market dynamics
Recommended Use Cases
Intraday and swing trading Multi-timeframe market analysis Volatility and momentum assessment Trend reversal and continuation identification
Potential Limitations
Complexity might require significant trader education Performance can vary across different market conditions Requires careful parameter optimization
Recommended Settings
Best used on liquid markets with clear price action Ideal for:
Backtest across multiple assets Adjust timeframe settings Calibrate visualization toggles Use in conjunction with other technical indicators
Licensing
Mozilla Public License 2.0 Open-source and modification-friendly
Conclusion The PADO represents an advanced approach to market analysis, blending traditional technical analysis with innovative metrics for deeper market understanding.
PADO Quadrant Color Analysis: Deep Dive Quadrant Color Scheme Breakdown Quadrant 1: Lime Green Background (RGB: 0, 255, 21, 90)
Condition: val_manip < 1 AND val_distr > 1 Market Interpretation:
Low Manipulation Pressure High Distribution Activity
Potential Scenario:
Smart money might be gradually distributing positions
Trading Implications:
Caution for current trend followers Potential preparation for trend change Increased probability of consolidation or reversal
Quadrant 2: Bright Blue Background (RGB: 0, 191, 255, 90)
Condition: val_manip > 1 AND val_distr > 1 Market Interpretation:
High Manipulation Pressure High Distribution Activity
Condition: val_manip > 1 AND val_distr < 1 Market Interpretation:
High Manipulation Pressure Low Distribution Activity
Potential Scenario:
Accumulation of positions
Trading Implications:
Increased probability of directional move soon
Color Psychology and Technical Significance Color Selection Rationale
Lime Green (Q1): Represents potential growth and transition Bright Blue (Q2): Signifies high energy and institutional activity Light Gray (Q3): Indicates neutrality and consolidation Transparent Green (Q4): Suggests emerging trend potential
Advanced Interpretation Guidelines Color Transition Analysis
Observe how the quadrant colors change Rapid color shifts might indicate:
Market regime changes Shifts in institutional sentiment Potential trend acceleration or reversal
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