Divine Master V18 (Real Money)Key Features:
Smart Portfolio Memory: Saves entry prices for up to 20 different assets automatically.
Real-Time Options Simulator: Calculates theoretical option price, P&L, Delta, Theta, and Breakeven using the Black-Scholes model.
Clean Support & Resistance: Automatically draws and manages the last 3 support and resistance levels to keep the chart clean.
Institutional Tools: Includes MA 150 trend filter, Golden/Death Cross detection, and Smart Money Volume filter.
Risk Management: Calculates maximum allowed contracts based on portfolio size and risk tolerance, plus a built-in Trailing Stop visualizer.
Live Dashboard: A high-contrast HUD displaying all critical data, including Earnings countdown and a weighted Strategy Score (0-100).
Perfect for: Traders looking for a "Cockpit" view of their trades, combining technicals, fundamentals, and risk management in one script.
Candlestick analysis
Real Money)Key Features:
Smart Portfolio Memory: Saves entry prices for up to 20 different assets automatically.
Real-Time Options Simulator: Calculates theoretical option price, P&L, Delta, Theta, and Breakeven using the Black-Scholes model.
Clean Support & Resistance: Automatically draws and manages the last 3 support and resistance levels to keep the chart clean.
Institutional Tools: Includes MA 150 trend filter, Golden/Death Cross detection, and Smart Money Volume filter.
Risk Management: Calculates maximum allowed contracts based on portfolio size and risk tolerance, plus a built-in Trailing Stop visualizer.
Live Dashboard: A high-contrast HUD displaying all critical data, including Earnings countdown and a weighted Strategy Score (0-100).
Perfect for: Traders looking for a "Cockpit" view of their trades, combining technicals, fundamentals, and risk management in one script.
Divine Master V17.1 (Fixed Vault)Key Features:
Smart Portfolio Memory: Saves entry prices for up to 20 different assets automatically.
Real-Time Options Simulator: Calculates theoretical option price, P&L, Delta, Theta, and Breakeven using the Black-Scholes model.
Clean Support & Resistance: Automatically draws and manages the last 3 support and resistance levels to keep the chart clean.
Institutional Tools: Includes MA 150 trend filter, Golden/Death Cross detection, and Smart Money Volume filter.
Risk Management: Calculates maximum allowed contracts based on portfolio size and risk tolerance, plus a built-in Trailing Stop visualizer.
Live Dashboard: A high-contrast HUD displaying all critical data, including Earnings countdown and a weighted Strategy Score (0-100).
Perfect for: Traders looking for a "Cockpit" view of their trades, combining technicals, fundamentals, and risk management in one script.
סופיKey Features:
Smart Portfolio Memory: Saves entry prices for up to 20 different assets automatically.
Real-Time Options Simulator: Calculates theoretical option price, P&L, Delta, Theta, and Breakeven using the Black-Scholes model.
Clean Support & Resistance: Automatically draws and manages the last 3 support and resistance levels to keep the chart clean.
Institutional Tools: Includes MA 150 trend filter, Golden/Death Cross detection, and Smart Money Volume filter.
Risk Management: Calculates maximum allowed contracts based on portfolio size and risk tolerance, plus a built-in Trailing Stop visualizer.
Live Dashboard: A high-contrast HUD displaying all critical data, including Earnings countdown and a weighted Strategy Score (0-100).
Perfect for: Traders looking for a "Cockpit" view of their trades, combining technicals, fundamentals, and risk management in one script.
raziel and arusiTitle: Divine Master V16 - Ultimate Hybrid Trading System
Description: The "Divine Master" is a comprehensive, institutional-grade trading system designed for both long-term investors and short-term options traders. It combines advanced technical analysis with a real-time Black-Scholes options calculator and portfolio management features.
Key Features:
Smart Portfolio Memory: Saves entry prices for up to 20 different assets automatically.
Real-Time Options Simulator: Calculates theoretical option price, P&L, Delta, Theta, and Breakeven using the Black-Scholes model.
Clean Support & Resistance: Automatically draws and manages the last 3 support and resistance levels to keep the chart clean.
Institutional Tools: Includes MA 150 trend filter, Golden/Death Cross detection, and Smart Money Volume filter.
Risk Management: Calculates maximum allowed contracts based on portfolio size and risk tolerance, plus a built-in Trailing Stop visualizer.
Live Dashboard: A high-contrast HUD displaying all critical data, including Earnings countdown and a weighted Strategy Score (0-100).
Perfect for: Traders looking for a "Cockpit" view of their trades, combining technicals, fundamentals, and risk management in one script.
raziel arusi v12
### 🌟 Divine Master V10.1 - Ultimate Hybrid System (Stocks & Options)
**Description:**
The **Divine Master V10.1** is a comprehensive, "All-In-One" algorithmic trading system designed for both long-term investors and short-term traders who demand a complete market overview in a single glance. This system uniquely combines classic technical analysis, institutional trend tracking, and a real-time **Black-Scholes options calculator**.
The standout feature of this version is the **"Smart Portfolio Memory"**, which allows you to save entry prices for up to 12 different assets and track P&L for two separate portfolios simultaneously (e.g., Personal & Family) without re-entering data every time you switch charts.
---
### 🚀 Key Features:
#### 1. 💼 Smart Portfolio Manager
* **12-Asset Memory:** The system automatically detects the ticker you are viewing (e.g., QQQ, NVDA) and retrieves your pre-set entry prices.
* **Dual Tracking:** Calculate P&L (Profit & Loss) in real-time for two separate accounts simultaneously ("Raziel" & "Mom" / Primary & Secondary).
* **Performance Comparison:** A clear display comparing the return on the underlying stock vs. the leveraged return on the option.
#### 2. ⚡ Real-Time Options Simulator (Black-Scholes)
* **Live Pricing:** Calculates the theoretical value of an option (Call/Put) at any given moment based on stock price, DTE (Days to Expiration), and IV (Implied Volatility).
* **Expected Move:** Visualizes a "Purple Box" on the chart, indicating the statistical range the stock is expected to move within until expiration.
* **Smart Recommendations:** Provides textual actionable advice in real-time: "Hold", "Take Profit", "Cut Loss", or warnings about "Divergence".
#### 3. 🏛️ Long-Term Investment Analysis
* **Institutional View (MA 150):** Visual indication of whether the stock is supported by institutional investors (Price above/below the 150-day Moving Average).
* **Macro Trends:** Automatic detection of **Golden Cross** (Bull Market start) and **Death Cross** (Bear Market warning).
* **Drawdown:** Measures the percentage drop from the All-Time High (ATH) to identify value opportunities.
#### 4. 📉 Short-Term Trading Tools
* **Smart Money Filter (Volume):** Identifies abnormal capital inflows (high volume) to validate trade signals.
* **Divergence Hunter:** Alerts on RSI divergences (Bullish/Bearish) to spot potential trend reversals.
* **Squeeze Radar:** Detects low-volatility consolidation periods ("Squeezes") before explosive moves.
* **ATR (Volatility Meter):** Displays volatility levels in percentage (🔥 = High Risk/Expensive Premiums, 🌊 = Calm).
* **Earnings Countdown:** Counts down days to the next earnings report with a red alert warning when the date is near (Risk Management).
#### 5. 📊 Live Dashboard (HUD)
A high-contrast table located at the top-right corner, consolidating all critical data:
* **Weighted Score:** A dynamic score from 0-100 based on all indicators.
* **Win Rate:** Historical success rate of the strategy's signals.
* **Live P&L:** Real-time profit/loss tracking.
* **Actionable Signals:** Clear Buy/Sell/Hold instructions.
---
**Developed by Raziel Arusi.**
*A tool for smart decision-making, combining wisdom and financial practice.*
SELL TOP
Short TradingView Description
This indicator identifies potential exhaustion points in upward trends by combining multiple technical components into one weighted signal.
It evaluates price behavior, volatility structure, momentum shifts, volume pressure, and candle characteristics.
A SELL alert is triggered only when several conditions align and exceed a predefined threshold.
The indicator uses three core technical tools:
* **RSI** – to measure strength and potential overextension
* **MACD** – to confirm momentum weakness
* **Bollinger Bands (BB)** – to assess volatility and price deviation
Each signal is clearly marked on the chart, including a visual stop-level above the signal candle.
This tool does not execute trades or guarantee results; it serves as an analytical assistant to highlight areas where bullish momentum may be weakening.
Sensitivity and behavior can be adjusted through the indicator’s settings.
9/21 EMA Trend TOP rIGHT CORNER INDICATORCrossover indicator for the 9 & 21 EMA. Buy Sell for cross up or down respectively. Daily, weekly and Monthly trend.
raziel arusi
### 🌟 Divine Master V10.1 - Ultimate Hybrid System (Stocks & Options)
**Description:**
The **Divine Master V10.1** is a comprehensive, "All-In-One" algorithmic trading system designed for both long-term investors and short-term traders who demand a complete market overview in a single glance. This system uniquely combines classic technical analysis, institutional trend tracking, and a real-time **Black-Scholes options calculator**.
The standout feature of this version is the **"Smart Portfolio Memory"**, which allows you to save entry prices for up to 12 different assets and track P&L for two separate portfolios simultaneously (e.g., Personal & Family) without re-entering data every time you switch charts.
---
### 🚀 Key Features:
#### 1. 💼 Smart Portfolio Manager
* **12-Asset Memory:** The system automatically detects the ticker you are viewing (e.g., QQQ, NVDA) and retrieves your pre-set entry prices.
* **Dual Tracking:** Calculate P&L (Profit & Loss) in real-time for two separate accounts simultaneously ("Raziel" & "Mom" / Primary & Secondary).
* **Performance Comparison:** A clear display comparing the return on the underlying stock vs. the leveraged return on the option.
#### 2. ⚡ Real-Time Options Simulator (Black-Scholes)
* **Live Pricing:** Calculates the theoretical value of an option (Call/Put) at any given moment based on stock price, DTE (Days to Expiration), and IV (Implied Volatility).
* **Expected Move:** Visualizes a "Purple Box" on the chart, indicating the statistical range the stock is expected to move within until expiration.
* **Smart Recommendations:** Provides textual actionable advice in real-time: "Hold", "Take Profit", "Cut Loss", or warnings about "Divergence".
#### 3. 🏛️ Long-Term Investment Analysis
* **Institutional View (MA 150):** Visual indication of whether the stock is supported by institutional investors (Price above/below the 150-day Moving Average).
* **Macro Trends:** Automatic detection of **Golden Cross** (Bull Market start) and **Death Cross** (Bear Market warning).
* **Drawdown:** Measures the percentage drop from the All-Time High (ATH) to identify value opportunities.
#### 4. 📉 Short-Term Trading Tools
* **Smart Money Filter (Volume):** Identifies abnormal capital inflows (high volume) to validate trade signals.
* **Divergence Hunter:** Alerts on RSI divergences (Bullish/Bearish) to spot potential trend reversals.
* **Squeeze Radar:** Detects low-volatility consolidation periods ("Squeezes") before explosive moves.
* **ATR (Volatility Meter):** Displays volatility levels in percentage (🔥 = High Risk/Expensive Premiums, 🌊 = Calm).
* **Earnings Countdown:** Counts down days to the next earnings report with a red alert warning when the date is near (Risk Management).
#### 5. 📊 Live Dashboard (HUD)
A high-contrast table located at the top-right corner, consolidating all critical data:
* **Weighted Score:** A dynamic score from 0-100 based on all indicators.
* **Win Rate:** Historical success rate of the strategy's signals.
* **Live P&L:** Real-time profit/loss tracking.
* **Actionable Signals:** Clear Buy/Sell/Hold instructions.
---
**Developed by Raziel Arusi.**
*A tool for smart decision-making, combining wisdom and financial practice.*
⚡ VWAP (Recent Segment Only)VWAP, RECENT segment on a horizontal line, so it does not break or squueze the chart like traditional VWAP
find it very useful visually, it does not clutter the chart like traditional VWAP. it will not make the chart messy. clean usefull most recent VWAP line.
Enjoy!
Astro's MG Detector (Ultra Sensitive V2)This indicator helps you find micro gaps on the cash session meaning when there is an imbalance of price found on the 5-minute chart between candles this should detect them. IYKYK
FancyITM💰-Honey DripFancyITM💰 – Honey Drip is an all-in-one trading toolkit built for members of the Honey Drip Network.
It combines smart-money style Order Blocks & Breaker Blocks with a full intraday framework:
Automatic bullish & bearish order blocks
Breaker blocks and polarity shifts
VWAP, 200 SMA, EMA 21 & EMA 9
Bollinger Bands (volatility and squeeze structure)
Premarket High/Low and Previous Day High/Low key levels
How to use it (Honey Drip style):
Use VWAP + MAs to define trend and intraday bias.
Mark liquidity zones with Order Blocks, Premarket H/L, and Previous Day H/L.
Watch Bollinger Bands for volatility expansions, squeezes, and extended moves.
Look for liquidity sweeps and retests of OBs or key levels in the direction of your bias.
Use the opposite OBs, VWAP, or prior day levels as logical targets/trim zones.
Everything is color-configurable and designed to be professional, readable, and friendly how FancyITM trades with the Honey Drip Network!
Learn more at honeydripnetwork.com and follow @fancyITM on instagram
Astros MG DetectorIFKYK this indicator auto detects micro gaps where price has not yet been after an imbalance on said candles has been created.
ORB Break & Retest by QuantCrawlerFree professional Opening Range Breakout indicator built by QuantCrawler.
I'm releasing this as a completely free tool - no subscriptions, no hidden costs. Just add it to your chart and trade.
That said, if this helps your trading:
- Hit subscribe on YouTube (@AutomateWithAaron) - it helps more than you know
- Visit QuantCrawler.com to see our AI-powered analysis platform
- Your support lets me keep building free resources like this
Now let's get into how it works...
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📊 HOW IT WORKS
1. Captures the Opening Range (default: 9:30-9:35 AM ET) from the first 5-minute candle
2. Draws OR High, OR Low, and Midpoint levels on your chart
3. Detects breakouts when price closes beyond the OR zone + your specified distance
4. Fires LONG/SHORT entry signals when price retests the OR midpoint after breakout
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✓ FEATURES
- Universal - works on futures, forex, stocks, and crypto
- Customizable sessions - NY, London, Asia, or any custom timeframe
- Adjustable breakout distance to match your instrument
- Clean visual signals - only shows actionable entries
- Session end time stops monitoring after market close
- Runs on 1-minute chart for precise timing
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⚙️ SETTINGS
- Breakout Distance (Points): Distance outside OR zone to confirm breakout
- Timezone: Select your trading session
- Opening Range Time: First 5 minutes to capture (default 9:30-9:35)
- Session End Time: When to stop monitoring (default 16:00)
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🎯 IDEAL FOR
Day traders and scalpers who trade the opening session using mechanical, rules-based setups. Works best on liquid instruments during active market hours.
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🚀 WANT MORE?
This indicator pairs perfectly with QuantCrawler's AI-powered chart analysis:
- Multi-timeframe futures analysis (15m/5m/1m scalping, 4H/1H/30m intraday, 1D/4H/1H swing)
- Precision entry points, stop losses, and profit targets
- Confidence scoring for every setup
- Covers futures, forex, and crypto markets
Visit quantcrawler.com to see how AI can level up your trading.
═══════════════════════════════════
⚠️ DISCLAIMER
This indicator is for educational purposes only. Past performance does not guarantee future results. Always use proper risk management and never risk more than you can afford to lose.
═══════════════════════════════════
Built with ❤️ by Aaron @ QuantCrawler
quantcrawler.com | AI-Powered Futures Trading Technical Analysis
VHull Adaptive VHull Elite Adaptive - Advanced Hull Moving Average System
The VHull Elite Enhanced is a sophisticated trend-following indicator that combines the power of Hull Moving Averages with intelligent adaptive filtering and market regime detection. Designed for traders who demand precision and clarity, this indicator cuts through market noise to reveal true directional movement.
What Makes It Special
At its core, this indicator uses an enhanced Hull Moving Average calculation that blends traditional Hull MA with zero-lag components. The result is a line that responds quickly to genuine price movements while filtering out false signals. The adaptive noise filter automatically adjusts to current market volatility, providing smoother readings in choppy conditions and faster response in trending markets.
Key Features
The indicator displays a single, dynamic line that changes color based on trend strength. When the trend is strong and reliable, the line appears vibrant and solid. As momentum weakens, the color becomes more transparent, giving you an instant visual cue about trend quality. This color-coding eliminates guesswork and helps you stay in strong trends while avoiding weak or choppy moves.
Smart Market Analysis
The professional dashboard provides essential information at a glance. You can see the current Hull value, trend direction, strength percentage with visual bars, market regime classification, and volume status. The market regime detector identifies whether you are in a strong trend, regular trend, ranging market, volatile chop, or quiet period. This helps you adjust your trading strategy to match current market conditions.
Customization Options
Choose between Fixed mode for consistent behavior or Smart Adaptive mode that automatically adjusts to market conditions. The adaptive filter can be tuned for more smoothing or faster response. You can customize colors, line width, and dashboard position and size to match your preferences. The clean, minimal interface keeps your charts uncluttered while providing all the information you need.
Best Use Cases
This indicator excels in trending markets where it helps you identify entry points, stay with the trend, and recognize when momentum is fading. Use it on any timeframe from intraday to daily charts. It works well on stocks, forex, crypto, and futures. Combine it with your favorite support and resistance levels or volume analysis for a complete trading system.
How To Read It
When the line is green and trending up with high strength readings, look for long opportunities. When the line is red and trending down with high strength, consider short positions. Pay attention to the strength percentage - readings above 70 indicate very strong trends worth following. When strength drops below 40, the trend may be losing steam or entering consolidation.
The dashboard regime indicator helps you avoid trading during unfavorable conditions. Strong Trend and Trending regimes are ideal for position trades. Ranging and Volatile Chop conditions favor shorter-term strategies or staying on the sidelines.
Settings Guide
Start with the default settings which work well for most assets and timeframes. If you find the line too responsive, lower the Filter Sensitivity. For faster reaction to price changes, increase the sensitivity. Smart Adaptive mode is recommended for most traders as it automatically optimizes performance. Use Fixed mode if you prefer consistent behavior regardless of market conditions.
The Base Hull Length controls the overall responsiveness. Lower values like 14 to 18 work well for day trading. Standard settings of 21 to 34 suit swing trading. Higher values above 50 are better for position trading and longer timeframes.
Pro Tips
Watch for the line changing from transparent to solid color as a sign that a new strong trend is beginning. When the line color is very faint, the market may be consolidating - this is often a good time to wait for better setups. Use the volume indicator in the dashboard to confirm moves - strong trends should have elevated volume. The regime detector helps you know when to be aggressive and when to be cautious.
This indicator is not a standalone trading system but a powerful tool to identify high-quality trend opportunities and filter out low-probability setups. Combine it with proper risk management and your trading plan for best results.
Current Year OHLMV Pro+Current Year OHLV + Anchored VWAP – Professional Edition
OVERVIEW
Real-time display of the current calendar year’s developing Open, High, Low, Close (live), and anchored VWAP with a full-size current-year candle in the right margin.
IMPLEMENTATION & VALUE ADDED
• Live anchored VWAP as a major yearly fair-value line
• Full current-year candle rendered in the right margin
• All levels as exportable plots
• Comprehensive alerts on every level and VWAP interaction
HOW TO USE
Apply to weekly or daily charts. The live VWAP and right-margin candle provide macro-level bias and yearly anchor points.
CREDIT & TRANSPARENCY
Core methodology: public domain (Current Year OHLC + Anchored VWAP).
Independent implementation with original live candle display and features.
DISCLAIMER
For educational and informational purposes only. Not financial advice. Test thoroughly.
Current Month OHLMV Pro+Current Month OHLV + Anchored VWAP – Professional Edition
OVERVIEW
Real-time display of the current calendar month’s developing Open, High, Low, Close (live), and anchored VWAP with a full-size current-month candle in the right margin.
IMPLEMENTATION & VALUE ADDED
• Live anchored VWAP as a powerful monthly fair-value reference
• Full current-month candle in the right margin
• All levels as exportable plots
• Comprehensive alerts on every level and VWAP touch/break
HOW TO USE
Apply to daily or lower timeframes. Use the live VWAP and right-margin candle for monthly trend bias and high-probability reversal zones.
CREDIT & TRANSPARENCY
Core methodology: public domain (Current Month OHLC + Anchored VWAP).
Independent implementation with original presentation and features.
DISCLAIMER
For educational and informational purposes only. Not financial advice. Test thoroughly.
Current Week OHLM + VWAPCurrent Week OHLV + Anchored VWAP – Professional Edition
OVERVIEW
Real-time display of the current trading week’s developing Open, High, Low, Close (live), and anchored VWAP with a full-size current-week candle in the right margin.
IMPLEMENTATION & VALUE ADDED
• Live anchored VWAP updated throughout the week as a dynamic anchor
• Full current-week candle rendered in the right margin
• All levels as exportable plots
• Comprehensive alerts on every level and VWAP interaction
HOW TO USE
Apply to daily or intraday charts. The live VWAP serves as the week’s volume-weighted fair value; the right-margin candle gives instant bias and range context.
CREDIT & TRANSPARENCY
Core methodology: public domain (Current Week OHLC + Anchored VWAP).
Independent implementation with original live candle display, exportable plots, and alerting.
DISCLAIMER
For educational and informational purposes only. Not financial advice. Test thoroughly.
Current Day OHLMV Pro+Current Day OHLM + Anchored VWAP – Professional Edition
OVERVIEW
Real-time display of the current trading day’s developing Open, High, Low, Close (live), and anchored VWAP with a full-size current-day candle rendered in the right margin for instant intraday context.
CONCEPT BACKGROUND
Tracking the live day’s OHLM and anchored VWAP is a public-domain institutional practice used for intraday fair-value assessment and volume-weighted bias.
IMPLEMENTATION & VALUE ADDED
• Live anchored VWAP plotted and updated bar-by-bar as a dynamic key level
• Full current-day candle displayed in the right margin (perfectly aligned with price axis)
• All levels (Open, High, Low, Close, VWAP, Midpoint) as exportable plots for CSV download and custom analysis
• Comprehensive alerts on every level and VWAP touch/break
• Clean, lightweight, no-repaint performance on any intraday timeframe
HOW TO USE
Apply to 1–60 min charts. Use the live VWAP as the primary volume-weighted fair-value line and the right-margin candle for immediate visual context of today’s developing range and bias.
CREDIT & TRANSPARENCY
Core methodology: public domain (Current Day OHLM + Anchored VWAP).
This is an independent implementation. The right-margin live candle display, exportable plots, alerting system, and overall presentation are original.
DISCLAIMER
For educational and informational purposes only. Not financial advice. Test thoroughly.
flotschgee gorge PDH/LBased on "PDHL Sweep + C123 (by Veronica)" but it shows the respective PDH/L for every day of the last week
Demand & Supply by DaoEA — v1.1Demand & Supply by DaoEA
This indicator is designed to help traders identify key demand and supply zones, displaying strong price action patterns such as Pin Bar, Engulfing, Hammer, and Shooting Star to confirm reversal points.
Key Features
Automatically identifies Supply & Demand Zones and extends them to the right.
Displays Break of Structure (BOS) when prices break out of these zones.
Tracks Swing Highs/Lows and analyzes HH, HL, LH, and LL.
Highlights strong price action patterns such as Bullish/Bearish Pin Bars, Engulfing, Hammer, and Shooting Star.
Customizable zones, colors, and labels.
Overlay zone protection. To avoid over-cluttering the chart,
Usage
Use with higher timeframes (H1 and above) to identify high demand and supply points.
Switch to smaller timeframes (M15–M30) to identify entry and exit opportunities.
Wait for a strong BOS + PA to confirm the signal.
Suitable for scalpers, swing traders, and Smart Money Concept (SMC) traders who want to clearly understand market structure.
MMM HVC CDS/CDL @MaxMaserati 3.0MMM HVC CDS/CDL @MaxMaserati 3.0
Highest Volume Candle (HVC) Analysis with Expansion Blocks
This indicator identifies and tracks Highest Volume Candles (HVC) within a customizable lookback period, marking critical institutional activity zones where smart money enters the market. HVC candles represent the highest volume bullish (HBuV) or bearish (HBeV) candles and serve as key structural levels in the Max Maserati Methodology (MMM).
Core Concept
HVC Validation Rules:
HBuV (Highest Bullish Volume): Price can wick below the low for liquidity but must NOT close below it. A confirmed close below triggers a BeBrk (Bearish Break) - signaling a CDS (Change of Direction Short).
HBeV (Highest Bearish Volume): Price can wick above the high for liquidity but must NOT close above it. A confirmed close above triggers a BuBrk (Bullish Break) - signaling a CDL (Change of Direction Long) .
Key Features
HVC Detection & Visualization:
Automatically identifies highest volume candles with customizable arrow labels
Displays volume values and directional bias (↑ HBuV / ↓ HBeV)
Optional auto-hide labels when HVC levels are violated
Market Structure Breaks (BuBrk/BeBrk):
Tracks when HVC levels are broken with confirmed closes
Draws horizontal lines connecting the original HVC to the breaking candle
Labels clearly mark CDS and CDL events for trend reversal identification
HVC eBlocks (Expansion Blocks):
Upon HVC break, creates expansion zones from the break level to the last swing high/low
These zones represent expected revisit and reaction areas where price typically returns to retest institutional activity
Color-coded boxes with automatic extension and violation detection
Configurable maximum box limits to keep charts clean
Smart Violation Management:
Optional auto-removal of violated HVC labels and eBlocks
Visual confirmation when zones remain valid vs. when they're invalidated
Trading Application
After a BuB or BeB occurs, traders anticipate price to revisit the eBlock zone as institutions cover positions or test resolve. These areas become high-probability setups for:
Continuation entries after structural breaks
Reaction zone confirmations for trend alignment
Stop-loss placement beyond institutional activity levels
Gabbie - FVG/OBGabbie – FVG-OB plots Fair Value Gaps (FVGs) and Order Blocks (OBs) to help visualize price imbalances and institutional reaction zones.
Fair Value Gaps
Bullish FVGs and Bearish FVGs are marked automatically.
The indicator also shows when an FVG is mitigated (price returns to fill the imbalance).
If price wicks into an FVG without a full body close through it, the FVG remains valid under this model.
Order Blocks / Breaker Blocks
Bullish OBs are marked in green
Bearish OBs are marked in red
Breaker Blocks are marked in yellow
Use these zones for confluence with your market structure and liquidity framework.
Settings
Choose the timeframe source for OB/BB detection.
Adjust the number of active FVGs displayed. Defaults are designed for immediate use.
Limitations / reminder
Zones are plotted from historical price action and are not trade guarantees. Always confirm with structure, liquidity, and risk rules.






















