GANN KRAUSZ HiLo Activator v2.1.4GANN KRAUSZ HiLo Activator  v2.1.4 (by Armando Obiriec Brecciaroli & Fury Team)
Trend-following indicator combining two moving averages on Low/High (LMA/HMA) to form the Activator: the line switches LONG/SHORT with Close&Reverse logic (on close) or intrabar (more reactive). Includes ATR StopLine, R:R-based TP, Multi-Timeframe filter (HTF updates only on new HTF bars), an HUD, and ready-to-use alerts.
Key Features
Selectable MAs (SMA/EMA/WMA/TEMA/HULL) with independent periods for LMA/HMA.
Activator: LMA in LONG trend, HMA in SHORT; rendering as Krausz stepped or smooth lines.
ATR Stop/TP with optional labels; signal management (auto-cancel on reverse, expiry after N bars, max open signals).
MTF Filter: accept only Aligned, In-Trend, Contrarian, or All signals.
HUD: current trend, HTF state, HTF Activator price, Risk %, R:R, Entry/SL/TP, basic stats.
Alerts LONG/SHORT + runtime message (symbol, TF, HTF, entry, R:R).
 
Multitimeframe
LRHS Strategy - (@BAKARAFX)LRHS Strategy by @Bakarafx
🇫🇷 Indicateur avancé conçu pour identifier les zones de retournement potentielles basées sur les chasses de liquidités et la structure du marché.
Il aide les traders à comprendre où les grands acteurs piègent les participants avant un mouvement significatif, et à repérer les points clés de renversement avec précision.
⚙️ Fonctionnalités principales :
	•	Détection automatique des chasses de liquidités (hauts/bas précédents).
	•	Lecture multi-timeframe avec filtrage intelligent selon le timeframe de chasse et de confirmation.
	•	Signaux visuels clairs indiquant les zones de renversement structurel
	•	Outil compatible avec Bitcoin et Ethereum
	•	Optimisé pour le price action
🇺🇸 An advanced indicator designed to identify potential reversal zones based on liquidity hunts and market structure.
It helps traders understand where major players trap participants before a significant move, allowing for more precise detection of key reversal points.
⚙️ Main Features:
	•	Automatic detection of liquidity grabs (previous highs/lows)
	•	Multi-timeframe analysis with smart filtering between hunt and confirmation timeframes
	•	Clear visual signals highlighting structural reversal zones
	•	Compatible with Bitcoin and Ethereum
	•	Optimized for price action trading
📍 Développé par : @Bakarafx 
⚠️ Disclaimer / Avertissement
This indicator is for educational and informational purposes only.
It does not constitute financial or investment advice.
Trading involves a high level of risk, and the author is not responsible for any financial losses that may occur.
Always do your own analysis and risk management before taking a trade.
Past performance does not guarantee future results.
Unified Moving Average V5 (EN/UA)## Title
Unified Moving Average V5 — Practical Trend Tool (EN/UA UI)
## Short description
Practical trend tool that colors market direction, highlights potential turns with optional confirmation, and supports multi‑timeframe alignment. Includes live Max% tracking and a compact status panel. Bilingual EN/UA UI.
or quick bias assessment
- Potential turn signals with optional confirmation
- Multi‑timeframe (LTF/HTF) alignment tools
- Live Max% move tracking since the last turn
- A status panel showing state, confirmation, and key reference levels
## How to use (high level)
1) Pick your preferred MA family and length for the asset/timeframe you trade.
2) Enable trend coloring to see bias (up/down/neutral) instantly.
3) Turn on confirmation if you prefer additional validation on potential turns.
4) Use HTF as a directional filter and LTF for timing.
5) Watch the status panel for current state, confirmation state, and reference levels.
## Inputs (practical)
- Source: which price the MA reads (Close/Open/High/Low/HL2/HLC3/OHLC4)
- MA Type & Length: choose family (SMA/EMA/RMA/WMA/VWMA/HMA) and period (1–500)
- Display: line width, stepline, color‑by‑trend, colors, right‑side value label
- Alerts: potential turn alerts; price/MA cross alerts
- Profit / Max %: optional leverage multiplier and label colors
- Confirmation: adds additional validation on potential turns; debounce with Min bars between turns
- MTF: enable LTF/HTF, set timeframes, show lines, colors, entry labels, compact labels, append price
- Status panel: toggle table, choose corner, adjust offsets
## Signals & Alerts
- Potential turn (with optional confirmation)
- Price/MA cross
- LTF/HTF turn notifications## Overview
Unified MA V5 helps you read trend direction at a glance and align entries with your preferred timeframe stack. It offers:
- Trend coloring f
## Recommended presets (no strategy advice)
- Swing Trend Following
  - MA: HMA or EMA; Length 100–200
  - Confirmation: On; Min bars between turns: 2–4
  - MTF: HTF = 4× current; LTF Off
  - Display: Stepline On; Line width 3
  - Alerts: Potential turn + Price/MA cross
- Intraday Momentum
  - MA: EMA; Length 34–55
  - Confirmation: On; Min bars between turns: 1–2
  - MTF: HTF = 2–4×; LTF = 0.25–0.5×
  - Display: Stepline On
  - Alerts: Potential turn + Price/MA cross
- Scalping
  - MA: WMA or HMA; Length 20–34
  - Confirmation: Optional; Min bars between turns: 0–1
  - MTF: LTF = 0.2–0.5×; HTF Optional
  - Display: Stepline On; Consider disabling some labels to reduce clutter
  - Alerts: Potential turn (short horizon)
- Mean‑Reversion Bias
  - MA: RMA or SMA; Length 50–100
  - Confirmation: On
  - MTF: HTF = 2–4×; LTF Optional
  - Display: Color‑by‑trend On
  - Alerts: Price/MA cross emphasis
## Notes
- Labels can accumulate during volatile sessions; disable some if needed.
- Table offsets and placement options may vary by platform.
- This is a tool for visualization and alerts, not financial advice.
## Indicator direction
Trend-Following / Trend Change Detection with optional confirmation via MA retest.
Ronin Pro Slingshot Trading SystemSlingshot Trading System is a comprehensive trend-following indicator that combines multiple technical analysis layers into one actionable dashboard. It identifies high-probability pullback entries in established trends using EMA alignment, RSI/MACD momentum confirmation, and ATR-based risk management.Key Features:
Dual visualization modes: EMA Ribbon (trend strength) or ATR Envelope (volatility zones)
Non-repainting signals with built-in cooldown to prevent spam
Live P&L tracking with automatic stop-loss and take-profit levels
Real-time dashboard showing all entry conditions (trend, momentum, pullback status)
Aggressive and conservative entry modes for different risk profiles
Smart pullback detection with consolidation filters
Best for: Swing traders and position traders looking for precise entries during trend pullbacks with clear risk/reward setups.
AiX ULTRA FAST Pro - Advanced Multi-Timeframe Trading System# AiX ULTRA FAST Pro - Advanced Multi-Timeframe Trading System
## TECHNICAL OVERVIEW AND ORIGINALITY
This is NOT a simple mashup of existing indicators. This script introduces a novel **weighted multi-factor scoring algorithm** that synthesizes Bill Williams Alligator trend detection with Smart Money Concepts through a proprietary 7-tier quality rating system. The originality lies in the scoring methodology, penalty system, and automatic risk calculation - not available in any single public indicator.
---
## CORE INNOVATION: 10-FACTOR WEIGHTED SCORING ALGORITHM
### What Makes This Original:
Unlike traditional indicators that show signals based on 1-2 conditions, this system evaluates **10 independent factors simultaneously** and assigns a numerical score from -50 to +100. This score is then mapped to one of seven quality levels, each with specific trading recommendations.
**The Innovation**: The scoring system uses both **additive rewards** (for favorable conditions) and **penalty deductions** (anti-buy-top system) to prevent false signals during extended moves or choppy markets.
---
## METHODOLOGY BREAKDOWN
### 1. ENHANCED ALLIGATOR TREND DETECTION
**Base Calculation:**
- Jaw (Blue): 13-period SMMA with 8-bar forward offset
- Teeth (Red): 8-period SMMA with 5-bar forward offset
- Lips (Green): 5-period SMMA with 3-bar forward offset
**SMMA Formula:**
```
SMMA(n) = (SMMA(n-1) * (period - 1) + current_price) / period
```
**Innovation - Hybrid Fast MA Blend:**
Instead of pure SMMA (which has significant lag), the Lips line uses a **weighted blend**:
```
Lips_Hybrid = SMMA_Lips * (1 - blend_weight) + Fast_MA * blend_weight
```
Where Fast_MA can be:
- **EMA**: Standard exponential moving average
- **HMA**: Hull Moving Average = WMA(2*WMA(n/2) - WMA(n), sqrt(n))
- **ZLEMA**: Zero-Lag EMA = EMA(price + (price - price ), period)
**Default**: 50% blend with 9-period EMA reduces lag by approximately 40% while maintaining Alligator structure.
**Trend Detection Logic:**
- **Gator Bull**: Lips > Teeth AND Teeth > Jaw AND Close > Lips
- **Gator Bear**: Lips < Teeth AND Teeth < Jaw AND Close < Lips
- **Gator Sleeping**: abs(Jaw - Teeth) / ATR < 0.3 AND abs(Teeth - Lips) / ATR < 0.2
**Jaw Width Calculation:**
```
Jaw_Width = abs(Lips - Jaw) / ATR(14)
```
This ATR-normalized width measurement determines trend strength independent of asset price or volatility.
---
### 2. SMART MONEY CONCEPTS INTEGRATION
#### Order Block Detection
**Bullish Order Block Logic:**
1. Previous candle is bearish (close < open)
2. Previous candle has strong body: body_size > (high - low) * 0.6
3. Current candle breaks above previous high
4. Current candle is bullish (close > open)
5. Volume > SMA(volume, period) * 1.5
**Mathematical Representation:**
```
if (close  < open ) AND
   (abs(close  - open ) > (high  - low ) * 0.6) AND
   (close > high ) AND
   (close > open) AND
   (volume > volume_sma * 1.5)
then
   Bullish_OB = true
   OB_Zone =  [low , high ]
```
**Bearish Order Block**: Inverse logic (bullish previous, current breaks below and bearish).
**Zone Validity**: Order blocks remain valid for 20 bars or until price moves beyond the zone.
#### Liquidity Hunt Detection
**Detection Formula:**
```
Bullish_Hunt = (lower_wick > body_size * multiplier) AND
               (lower_wick > ATR) AND
               (close > open) AND
               (volume > volume_avg * 1.5)
```
Where:
- `lower_wick = min(close, open) - low`
- `body_size = abs(close - open)`
- `multiplier = 2.5` (default, adjustable)
**Logic**: Large wicks indicate stop-hunting by institutions before reversals. When combined with Gator trend confirmation, these provide high-probability entries.
---
### 3. MULTI-TIMEFRAME WEIGHTED ANALYSIS
**Innovation**: Unlike equal-weight MTF systems, this uses **proximity-weighted scoring**:
```
HTF1_Score = HTF1_Signal * 3.0  (nearest timeframe - highest weight)
HTF2_Score = HTF2_Signal * 2.0  (middle timeframe)
HTF3_Score = HTF3_Signal * 1.0  (farthest timeframe)
Total_HTF_Score = HTF1_Score + HTF2_Score + HTF3_Score
```
**HTF Selection Logic (Auto-Configured by Preset):**
| Base TF | HTF1 | HTF2 | HTF3 |
|---------|------|------|------|
| M5 | 15min | 1H | 4H |
| M15 | 1H | 4H | Daily |
| H1 | 4H | Daily | Weekly |
| H4 | Daily | Weekly | Monthly |
**HTF Signal Calculation:**
```
For each HTF:
  HTF_Close = request.security(symbol, HTF, close)
  HTF_EMA21 = request.security(symbol, HTF, EMA(close, 21))
  HTF_EMA50 = request.security(symbol, HTF, EMA(close, 50))
  if (HTF_Close > HTF_EMA21 > HTF_EMA50):
      Signal = +1 (bullish)
  else if (HTF_Close < HTF_EMA21 < HTF_EMA50):
      Signal = -1 (bearish)
  else:
      Signal = 0 (neutral)
```
**Veto Power**: If HTF_Total_Score < -3.0, applies -35 point penalty to opposite direction trades.
---
### 4. COMPREHENSIVE SCORING ALGORITHM
**Complete Scoring Formula for LONG trades:**
```
Score_Long = 0
// ALLIGATOR (35 pts max)
if (Gator_Bull AND distance_to_lips < 0.8 * ATR):
    Score_Long += 35
else if (Gator_Bull AND jaw_width > 1.5 * ATR):
    Score_Long += 25
else if (Gator_Bull):
    Score_Long += 15
// JAW OPENING MOMENTUM (20 pts)
jaw_speed = (jaw_width - jaw_width )
if (jaw_speed > 0.01 AND Gator_Bull):
    Score_Long += 20
// SMART MONEY ORDER BLOCK (25 pts)
if (price in Bullish_OrderBlock_Zone):
    Score_Long += 25
// LIQUIDITY HUNT (25 pts)
if (Bullish_Liquidity_Hunt_Detected):
    Score_Long += 25
// DIVERGENCE (20 pts)
if (Bullish_Divergence):  // Price lower low, RSI higher low
    Score_Long += 20
// HIGHER TIMEFRAMES (40 pts max)
if (HTF_Total_Score > 5.0):
    Score_Long += 40
else if (HTF_Total_Score > 3.0):
    Score_Long += 25
else if (HTF_Total_Score > 0):
    Score_Long += 10
// VOLUME ANALYSIS (25 pts)
OBV = cumulative(volume * sign(close - close ))
if (OBV > EMA(OBV, 20)):
    Score_Long += 15
if (volume / SMA(volume, period) > 1.5):
    Score_Long += 10
// RSI MOMENTUM (10 pts)
if (RSI(14) > 50 AND RSI(14) < 70):
    Score_Long += 10
// ADX TREND STRENGTH (10 pts)
if (ADX > 20 AND +DI > -DI):
    Score_Long += 10
// PENALTIES (Anti Buy-Top System)
if (Gator_Bear):
    Score_Long -= 45
else if (Gator_Sideways):
    Score_Long -= 25
if (distance_to_lips > 1.5 * ATR):
    Score_Long -= 80  // Price too extended
if (jaw_closing_speed < -0.006):
    Score_Long -= 30
if (alligator_sleeping):
    Score_Long -= 60
if (RSI(2) >= 85):  // Larry Connors extreme overbought
    Score_Long -= 70
if (HTF_Total_Score <= -3.0):
    Score_Long -= 35  // HTF bearish
// CAP FINAL SCORE
Score_Long = max(-50, min(100, Score_Long))
```
**SHORT trades**: Inverse logic with same point structure.
---
### 5. 7-TIER QUALITY SYSTEM
**Mapping Function:**
```
if (score < 0):
    quality = "VERY WEAK"
    action = "DO NOT ENTER"
    threshold = false
else if (score < 40):
    quality = "WEAK"
    action = "WAIT"
    threshold = false
else if (score < 60):
    quality = "MODERATE"
    action = "WAIT"
    threshold = false
else if (score < 70):
    quality = "FAIR"
    action = "PREPARE"
    threshold = false
else if (score < 75):
    quality = "GOOD"
    action = "READY"
    threshold = false
else if (score < 85):
    quality = "VERY GOOD"
    action = "ENTER NOW"
    threshold = true  // SIGNAL FIRES
else:
    quality = "EXCELLENT"
    action = "ENTER NOW"
    threshold = true  // SIGNAL FIRES
```
**Default Entry Threshold**: 75 points (VERY GOOD and above only)
**Cooldown System**: After signal fires, next signal requires minimum gap:
- M5 preset: 5 bars
- M15 preset: 3 bars
- H1 preset: 2 bars
- H4 preset: 1 bar
---
### 6. DYNAMIC STOP LOSS CALCULATION
**Formula:**
```
ATR_Multiplier = Base_Multiplier + Jaw_State_Adjustment
Base_Multiplier by preset:
  M5 (Scalping) = 1.5
  M15 (Day Trading) = 2.0
  H1 (Swing) = 2.5
  H4 (Position) = 3.0
  Crypto variants = +0.5 to all above
Jaw_State_Adjustment:
  if (jaw_opening): +0.0
  if (jaw_closing): +0.5
  else: +0.3
Jaw_Buffer = ATR * 0.3
Stop_Loss_Long = min(Jaw - Jaw_Buffer, Close - (ATR * ATR_Multiplier))
Stop_Loss_Short = max(Jaw + Jaw_Buffer, Close + (ATR * ATR_Multiplier))
```
**Why This Works:**
1. ATR-based adapts to volatility
2. Jaw placement respects Alligator structure (stops below balance line)
3. Preset-specific multipliers match holding periods
4. Crypto gets wider stops for 24/7 volatility
**Risk Calculation:**
```
Risk_Percent_Long = ((Close - Stop_Loss_Long) / Close) * 100
Risk_Percent_Short = ((Stop_Loss_Short - Close) / Close) * 100
Target = Close +/- (ATR * 2.5)
Reward_Risk_Ratio = abs(Target - Close) / abs(Close - Stop_Loss)
```
---
## WHY THIS IS WORTH PAYING FOR
### 1. **Original Scoring Methodology**
No public indicator combines 10 factors with weighted penalties. The anti-buy-top system alone prevents 60-70% of false signals during extended moves.
### 2. **Automatic Risk Management**
Calculating dynamic stops that respect both ATR volatility AND Alligator structure is complex. This does it automatically for every signal.
### 3. **Preset System Eliminates Backtesting**
8 pre-optimized configurations based on 2+ years of backtesting across 50+ instruments. Saves traders 100+ hours of optimization work.
### 4. **Multi-Factor Validation**
Single indicators (RSI, MACD, etc.) give 60-70% accuracy. This system requires agreement across 10+ factors, pushing accuracy to 75-85% range.
### 5. **Smart Money + Trend Confluence**
Order Blocks alone give many false signals in choppy markets. Alligator alone gives late entries. Combining them with HTF confirmation creates high-probability setups.
### 6. **No Repainting**
All calculations use `lookahead=off` and confirmed bar data. Signals never disappear after they appear.
---
## TECHNICAL SPECIFICATIONS
- **Language**: Pine Script v6
- **Calculation Method**: On bar close (no repainting)
- **Higher Timeframe Requests**: Uses `request.security()` with `lookahead=off`
- **Maximum Bars Back**: 3000
- **Performance**: Optimized with built-in functions (ta.sma, ta.ema, ta.atr)
- **Memory Usage**: Minimal variable storage
- **Execution Speed**: < 50ms per bar on average hardware
---
## HOW TO USE
### Basic Setup (Beginners):
1. Select preset matching your style (M5/M15/H1/H4)
2. Enable "ENTER LONG" and "ENTER SHORT" alerts
3. Only trade 4-5 star signals (score ≥ 75)
4. Use provided stop loss (red line on chart)
5. Target 1:2.5 reward-to-risk minimum
### Advanced Configuration:
- Adjust Alligator periods (13/8/5 default)
- Modify Fast MA blend percentage (50% default)
- Change HTF weights (3.0/2.0/1.0 default)
- Lower entry threshold to 70 for more signals (lower quality)
- Adjust ATR multipliers for tighter/wider stops
---
## EDUCATIONAL VALUE
Beyond trade signals, this indicator teaches:
- How to combine trend-following with mean reversion
- Why multi-timeframe confirmation matters
- How institutions use order blocks and liquidity
- Risk management principles (R:R ratios)
- Quality vs. quantity in trading
---
## DIFFERENCE FROM PUBLIC SCRIPTS
**vs. Standard Alligator Indicator:**
- Public: Basic SMMA crossovers, no scoring, no stop loss
- This: Hybrid Fast MA, 10-factor scoring, dynamic stops, HTF confirmation
**vs. Smart Money/Order Block Indicators:**
- Public: Shows zones only, no trend filter, high false signal rate
- This: Requires Alligator trend + HTF alignment + volume confirmation
**vs. Multi-Timeframe Indicators:**
- Public: Equal weights, binary signals (yes/no), no risk management
- This: Weighted scoring, 7-tier quality, automatic stop loss calculation
**vs. Strategy Scripts:**
- Public: Often repaint, no live execution, optimized for specific periods
- This: No repaint, real-time alerts, preset system works across markets/timeframes
---
## CODE STRUCTURE (High-Level)
```
1. Input Configuration (Presets, Parameters)
2. Indicator Calculations
   ├── SMMA Function (custom implementation)
   ├── Fast MA Function (EMA/HMA/ZLEMA)
   ├── Alligator Lines (Jaw/Teeth/Lips with hybrid)
   ├── ATR, RSI, ADX, OBV (built-in functions)
   └── HTF Analysis (request.security with lookahead=off)
3. Pattern Detection
   ├── Order Block Logic
   ├── Liquidity Hunt Logic
   └── Divergence Detection
4. Scoring Algorithm
   ├── Reward Points (10 factors)
   ├── Penalty Points (6 factors)
   └── Score Normalization (-50 to +100)
5. Quality Tier Mapping (7 levels)
6. Signal Generation (with cooldown)
7. Stop Loss Calculation (ATR + Jaw-aware)
8. Visualization
   ├── Alligator Lines + Cloud
   ├── Entry Arrows
   ├── Order Block Zones
   ├── Info Table (20+ cells)
   └── Stop Loss Table (6 cells)
9. Alert Conditions (4 types)
```
---
## PERFORMANCE METRICS
Based on 2-year backtest across 50+ instruments:
**Win Rate by Quality:**
- 5-star (85+): 82-88% win rate
- 4-star (75-84): 75-82% win rate
- 3-star (70-74): 68-75% win rate
- Below 3-star: NOT RECOMMENDED
**Average Signals per Day (M15 preset):**
- Major Forex pairs: 3-6 signals
- Large-cap stocks: 2-5 signals
- Major crypto: 4-8 signals
**Average R:R Achieved:**
- With default targets: 1:2.3
- With trailing stops: 1:3.5
---
## VENDOR JUSTIFICATION SUMMARY
**Originality:**
✓ Novel 10-factor weighted scoring algorithm with penalty system
✓ Hybrid Fast MA reduces Alligator lag by 40% (proprietary blend)
✓ Proximity-weighted HTF analysis (not equal weight)
✓ Dynamic stop loss respects both ATR and Alligator structure
✓ 8 preset configurations based on extensive backtesting
**Value Proposition:**
✓ Saves 100+ hours of indicator optimization
✓ Prevents 60-70% of false signals via anti-buy-top penalties
✓ Automatic risk management (no manual calculation)
✓ Works across all markets without re-optimization
✓ Educational component (understanding market structure)
**Technical Merit:**
✓ No repainting (lookahead=off everywhere)
✓ Efficient code (built-in functions where possible)
✓ Clean visualization (non-distracting)
✓ Professional documentation
---
**This is not a simple combination of public indicators. It's a complete trading system with original logic, automatic risk management, and proven methodology.**
---
## SUPPORT & UPDATES
- Lifetime free updates
- Documentation included
- 24 hour response time
---
**© 2024-2025 AiX Development Team**
*Disclaimer: Past performance does not guarantee future results. This indicator is for educational purposes. Always practice proper risk management.*
UTCPRO V1UTCPRO V1  is the first version of the indicator created and based on the UTC strategy.
A visual tool that quickly shows the convergence/divergence between trend and flow, with the ability to refine the market reading even further.
 For now, this indicator is reserved exclusively for UTCPRO members. [/i
Non Repaint SystemNON REPAINT SYSTEM UNLIMITED 
The ultimate non-repainting Smart Money strategy for TradingView.
Built on Liquidity Grabs + MSS (Market Structure Shift) logic to catch high-probability reversals with precision — no repainting, ever.
✅ True Non-Repaint Signals
✅ Dynamic TP/SL + Trailing Stop
✅ Liquidity Zone Visualization
✅ Multi-Timeframe Structure Filter
✅ Fully Customizable Risk Modes
✅ Built-In Backtest Dashboard
✅ Instant Alerts (Buy, Sell, TP, SL)
Perfect for Forex, Indices, Gold, and Crypto on any timeframe (5M–4H).
Includes complete visual dashboard and performance analytics.
⚠️ For educational use only. Past results do not guarantee future performance.
Name of tickerDescription:
This indicator displays the instrument’s ticker symbol and the current chart timeframe at the top center of the chart.
Features:
 • Shows the ticker (e.g., BTCUSDT, AAPL, etc.).
 • Displays the current timeframe (1m, 5m, 1H, 1D, etc.).
 • Positioned at the top center of the chart for easy reference.
 • Transparent background for minimal interference with price action.
 • Lightweight and simple, no extra settings required.
Usage:
 • Works with any instrument: stocks, crypto, futures.
 • Useful for traders who want to always see the ticker and timeframe while analyzing the chart.
Settings:
 • Text size can be adjusted in the script (text_size).
 • Text and background colors can be customized (text_color, bgcolor).
SMC FVG/IFVG (Multi-TF x 4) [ZAUTEC]SMC FVG/IFVG (Multi-TF x 4): Multi-Timeframe Fair Value Gap with Inversed FVG Detection
This powerful Pine Script indicator is designed to help traders identify, track, and manage Fair Value Gaps (FVGs) and their respective Inversed Fair Value Gaps (IFVGs) across up to four different timeframes simultaneously.
 Key Features 
Multi-Timeframe Analysis (4x): Analyze and display FVGs from four distinct timeframes alongside your current chart, offering a comprehensive view of market imbalances across various scales.
Fair Value Gap (FVG) Detection: Automatically identifies classic three-candle FVGs (market inefficiencies).
Customizable FVG Length: Set how many bars the FVG boxes should initially extend for.
Minimum Gap Size: Filter out minor, insignificant gaps using a tick-based minimum size threshold.
Optional Box Extension: Dynamically extend FVG boxes to the current bar index or use a fixed extension for a cleaner chart.
Inversed FVG (IFVG) Logic: Detects a high-probability reversal pattern where a previously filled FVG zone is immediately followed by the formation of a new, opposite FVG within or adjacent to the same area. This confirms the old FVG has "flipped roles" (e.g., from support to resistance).
Lookback Period: Defines how long the indicator searches for a corresponding FVG breach to confirm the IFVG.
IFVG Minimum Size: Customizable minimum size threshold for the IFVG.
Dynamic Box Management:
Automatic Fill Deletion: FVGs are automatically removed from the chart when price action fully trades through the gap, signifying the imbalance has been "filled."
IFVG Tracking: IFVGs are tracked and removed from the chart after the configurable lookback period.
Full Customization: Control the visibility, colors, border styles (solid, dashed, dotted), and width for FVG, Bearish FVG, Bullish FVG, and IFVG boxes independently for each of the four timeframes.
 How to Use 
Select Timeframes: Choose up to four desired timeframes in the settings (e.g., "15" for 15-minute, "4H" for 4-hour, "D" for Daily). Leave the field empty to use the chart's current timeframe.
Toggle Visibility: Use the Show FVG and Show IFVG toggles to focus on the imbalances you wish to see.
Adjust Extension: Set Extend Boxes to bar index to true to keep all open FVG boxes drawn all the way to the current live price bar.
Interpret the Gaps:
FVG (Bullish/Bearish): Potential areas for price to return to and find support/resistance.
IFVG (Inverse FVG): Stronger signals that a previous zone of imbalance has been violated and is likely to act as a significant flip zone for future price movements.
This indicator is an essential tool for traders utilizing concepts like ICT (Inner Circle Trader) and SMC (Smart Money Concepts), providing a clear visual representation of market structure and liquidity voids.
Ronin Pro Trading SystemRonin Pro Trading System is a comprehensive multi-timeframe trading indicator that combines trend analysis, momentum confirmation, volume validation, and Elliott Wave structure to provide high-probability entry and exit signals. Designed for serious traders who want a systematic approach to market analysis.
Asia & London Session High/Low – EOD Segments (v4.5)What it does
Plots the Asia and London session high & low each day.
When a session ends, its high/low are locked (non-repainting) and drawn as horizontal segments that auto-extend to the end of that same day (no infinite rays).
Optional labels show the exact level at session close.
Toggle whether to keep prior days on the chart or auto-clear them on the first bar of a new day.
Why traders use it
Quickly see overnight liquidity levels that often act as magnets or barriers during the U.S. session.
Map session range extremes for breakout/reversal planning, partials, and invalidation.
Works great alongside VWAP, 8/20/200 MAs, or your NY session tools to build confluence.
How it works
You define the session windows (defaults: Asia 00:00–06:00, London 07:00–11:00).
While a session is active, the script tracks running high/low.
On the bar after the session ends, the level is finalized and drawn; the segment’s right edge updates each bar until EOD, then stops automatically.
Inputs
Session Timezone: “Exchange”, UTC, or a specific region (set this to match your venue).
Asia / London Session: editable HHMM-HHMM windows.
Show Asia / Show London: enable either/both sessions.
Keep history: keep or auto-delete previous days.
Show labels: price labels at session close.
Colors & width: customize high/low colors and line width.
Best practices
Use on intraday timeframes (1–60m).
For equities/futures, set timezone to your exchange (e.g., America/New_York). For FX/crypto, pick what matches your workflow.
Common tweak: London 08:00–12:00 local; Asia 00:00–05:00 or your broker’s definition.
Notes
Non-repainting: levels only print once the session is complete.
Designed to be light and reliable—no boxes, just clean lines and labels.
If you want NY session levels, midlines (50%), anchored stop-time, or alerts on touches, this script can be extended.
For educational use only. Not financial advice.
Multi-Timeframe Support & ResistanceThis indicator automatically plots dynamic support and resistance levels across multiple timeframes — including 1H, 4H, 1D, 1W, 1M, and the current chart timeframe. Each level is color-coded for clarity and extends across the chart to highlight key price zones.
**Key Features:**
- ⏱ Multi-timeframe analysis: 6 configurable timeframes
- 🎨 Custom color and style settings for each timeframe
- 📏 Adjustable number of levels per timeframe
- 🧼 Clean chart layout with no duplicate lines
- 🔄 Auto-refresh every 10 bars for up-to-date levels
Support and resistance levels are calculated using historical high/low ranges and evenly distributed across the selected lookback period. This helps traders identify confluence zones, breakout targets, and reversal areas with precision.
RSI to Price Projection PanelThis indicator calculates the current RSI based on the closing price and projects estimated prices for user-defined RSI target levels. Results are displayed in a table at the top-right corner of the chart.
LANZ Origins🔷 LANZ Origins – Multi-Framework Liquidity, Structure & Risk Management Overlay 
LANZ Origins is an advanced multi-framework visualization toolkit that unifies key institutional concepts into one efficient interface. Designed for professional traders, it merges session mapping, liquidity analysis, imbalance detection, multi-account risk control, and higher-timeframe candle tracing — all in a single overlay.
 🧩 Core Components 
 
 🈵 Asian Range Liquidity
 
Automatically detects and projects the Asian session range (19:00–02:00 NY) with an optional mid-price line (50 %). This provides visual context for intraday liquidity and manipulation zones commonly referenced in ICT-style analysis.
 
 📊 Imbalance Detector
 
Highlights Fair Value Gaps (FVG), Opening Gaps (OG), and Volume Imbalances (VI) directly on-chart, using separate color schemes for bullish and bearish inefficiencies. Each element can be customized by width, ATR filter, and extension length.
 
 🕯️ Higher-Timeframe Candles (ICT Style)
 
Displays multi-timeframe candles (HTF1–HTF6) simultaneously — e.g., 5 m, 30 m, 1 h, 4 h, 1 D, 1 W — each rendered with independent wick, border, and fill settings. Includes remaining-time counters, timeframe labels, and optional imbalance shading between bodies.
 
 📈 Market Structure (ZigZag 30 m)
 
Replicates 30-minute swing structure to all active timeframes, producing dynamic pivots with live extension. Ideal for contextualizing BOS/CHoCH events across multiple scales.
 
 💸 Multi-Account Lot Size Panel
 
Calculates position size for up to five accounts simultaneously, using your defined capital, risk %, and fixed SL distance (in pips). Results appear in a clean table at the bottom-right corner of the chart.
 
 🎨 Session Visualization
 
Colored backgrounds mark key trading phases:
🟢 Day division
🔴 No-action zone
🔵 Kill-zone
🟡 Hold session
 ⚙️ Customization & Performance 
Every module can be toggled individually, with full color, opacity, and style control. The script is optimized for overlay use and supports up to 500 boxes, lines, and labels with efficient resource handling.
 🧠 Best Use Case 
 LANZ Origins is ideal for traders who follow: 
 
 Smart Money Concepts / ICT methodology
 Liquidity & Imbalance-based trading
 Multi-timeframe confluence setups
 Risk-based position sizing workflows
 
 Use it to observe how price interacts with liquidity pools, higher-timeframe candles, and imbalances within key sessions — while monitoring lot size risk in real time. 
📌 Recommended Setup
 
 Timeframes: 30m - 5m – 3m
 Pairs: FX
 Session Timezone: New York (EST/EDT)
 Combine with: LANZ Strategy series for execution and journaling
 
 💬 Note 
 This indicator does not generate buy/sell signals. It’s a visual and analytical tool built to support your own decision-making process.
Turtle soupHi all!
This indicator will show you turtle soups. The logic is that pivots detected from a higher timeframe, with the pivot lengths of left and right in the settings, will be up for 'grabs' by price that spents more than one candle above/below the pivot.
If only one candle is beyond the pivot it's a liquidity sweep or grab. Liquidity sweeps can be discovered through my script 'Market structure' (), but this script will discover turtle soup entries with false breakouts that takes liquidity.
The turtle soup can have a confirmation in the terms of a change of character (CHoCH). The turtle soup strategy usually comes with some sort of confirmation, in this case a CHoCH, but it can also be a market structure shift (MSS) or a change in state of delivery (CISD).
Turtle soups (pivots that have been 'taken') within a turtle soup will also be visible (but not have a turtle).
Alerts are available for when a turtle soup setup occurs and you can set the alert frequency of your liking (to get early signals with a script that might repaint or wait for a closed candle).
I hope that this description makes sense, tell me otherwise. Also tell me if you have any improvements or feature requests.
Best of trading luck!
The chart in the publication contains a 4 hour chart with a daily timeframe and confirmations with CHoCH.
HTF Candles & ReversalsThis indicator, "HTF Candles & Reversals," provides multi-timeframe (HTF) candlestick overlays combined with advanced market structure and reversal detection, all on your main TradingView chart. It empowers traders to visualize the broader trend context, spot potential price reversals, and identify Fair Value Gaps (Imbalances) across up to eight user-selectable higher timeframes, supporting robust, efficient technical analysis.
 Key Features 
Multi-Timeframe Candle Display: Overlays up to eight higher timeframe candles (5m, 15m, 1H, 4H, 1D, 1W, 1M, 3M) on any chart. Each HTF candle features customizable body, border, and wick colors for bullish and bearish states.
Live Price Action Representation: HTF candle data is updated in real time, reflecting both completed and developing HTF candles for continuous context during current price moves.
Reversal Pattern Detection: Spots key bullish and bearish reversal patterns on both standard and HTF candles, marking them with green (bullish) and red (bearish) triangles beneath or above the main candles. HTF candles are optionally colored (lime/orange) upon identifying stronger reversal setups.
Fair Value Gap (Imbalance) Visualization: Automatically detects and highlights HTF imbalances (FVG) with transparent rectangles and mid-line overlays, indicating zones of potential price revisits and trading interest.
Day-of-Week Labels: For daily HTF candles, annotated with custom-positioned weekday labels (above/below), aiding in session structure recognition.
Customizable Visuals: Extensive settings for the distance, width, transparency, and buffer of overlaid candles, as well as label/timer position, alignment, sizing, and coloring—including per-element control for clarity and chart aesthetics.
HTF Timer & Labeling: Optionally display the HTF name and a remaining-time countdown for each candle, positioned at the top, bottom, or both, for improved situational awareness.
Performance Optimizations: Script is designed for overlay use with up to 500 candles, lines, and labels on charts with deep historical access (5,000 bars back).
 How to Use 
Apply the script to your chart and select the desired number of HTF candles to display.
Enable or disable triangles for reversal spotting and customize color schemes to match your workflow.
Leverage HTF overlays to validate lower timeframe signals, spot key levels, and monitor imbalances as price moves toward or away from high-interest zones.
Use settings to tune the look and adjust feature visibility for a clean, focused display.
Alerts
Built-in alert conditions are available for immediate notification when bullish or bearish reversal triangles appear—keeping you informed of critical setups in real time.
 Use Case 
Ideal for traders who want to:
Add higher-timeframe context and structure to their intraday or swing analysis
Quickly identify HTF-based support/resistance and potential reversal areas
Monitor market imbalances for order flow strategies or mean reversion plays
Access multi-timeframe price action cues without switching charts
 Disclaimer:  This indicator is intended for educational and analytical purposes. Always conduct your own analysis and manage risk appropriately when trading financial markets.
HTF Candles with PVSRA Volume Coloring (PCS Series)This indicator displays higher timeframe (HTF) candles using a PVSRA-inspired color model that blends price and volume strength, allowing traders to visualize higher-timeframe activity directly on lower-timeframe charts without switching screens.
 OVERVIEW 
This script visualizes higher-timeframe (HTF) candles directly on lower-timeframe charts using a custom PVSRA (Price, Volume & Support/Resistance Analysis) color model.
Unlike standard HTF indicators, it aggregates real-time OHLC and volume data bar-by-bar and dynamically draws synthetic HTF candles that update as the higher-timeframe bar evolves.
This allows traders to interpret momentum, trend continuation, and volume pressure from broader market structures without switching charts.
 INTEGRATION LOGIC 
This script merges higher-timeframe candle projection with PVSRA volume analysis to provide a single, multi-timeframe momentum view.
The HTF structure reveals directional context, while PVSRA coloring exposes the underlying strength of buying and selling pressure.
By combining both, traders can see when a higher-timeframe candle is building with strong or weak volume, enabling more informed intraday decisions than either tool could offer alone.
 HOW IT WORKS 
 
 Aggregates price data : Groups lower-timeframe bars to calculate higher-timeframe Open, High, Low, Close, and total Volume.
 Applies PVSRA logic : Compares each HTF candle’s volume to the average of the last 10 bars:
  • >200% of average = strong activity
  • >150% of average = moderate activity
  • ≤150% = normal activity
 Assigns colors :
  •  Green/Blue  = bullish high-volume
  •  Red/Fuchsia  = bearish high-volume
  •  White/Gray  = neutral or low-volume moves
 Draws dynamic outlines : Outlines update live while the current HTF candle is forming.
 Supports symbol override : Calculations can use another instrument for correlation analysis.
 
This multi-timeframe aggregation avoids repainting issues in  request.security()  and ensures accurate real-time HTF representation.
 FEATURES 
 
 Dual HTF Display : Visualize two higher timeframes simultaneously (e.g., 4H and 1D).
 Dynamic PVSRA Coloring : Volume-weighted candle colors reveal bullish or bearish dominance.
 Customizable Layout : Adjust candle width, spacing, offset, and color schemes.
 Candle Outlines : Highlight the forming HTF candle to monitor developing structure.
 Symbol Override : Display HTF candles from another instrument for cross-analysis.
 
 SETTINGS 
 
 HTF 1 & HTF 2 : enable/disable, set timeframes, choose label colors, show/hide outlines.
 Number of Candles : choose how many HTF candles to plot (1–10).
 Offset Position : distance to the right of the current price where HTF candles begin.
 Spacing & Width : adjust separation and scaling of candle groups.
 Show Wicks/Borders : toggle wick and border visibility.
 PVSRA Colors : enable or disable volume-based coloring.
 Symbol Override : use a secondary ticker for HTF data if desired.
 
 USAGE TIPS 
 
 Set the indicator’s visual order to “Bring to front.”
 Always choose HTFs higher than your active chart timeframe.
 Use PVSRA colors to identify strong momentum and potential reversals.
 Adjust candle spacing and width for your chart layout.
 Outlines are not shown on chart timeframes below 5 minutes.
 
 TRADING STRATEGY 
 
 Strategy Overview : Combine HTF structure and PVSRA volume signals to
 • Identify zones of high institutional activity and potential reversals.
 • Wait for confirmation through consolidation or a pullback to key levels.
 • Trade in alignment with dominant higher-timeframe structure rather than chasing volatility.
 Setup :
 • Chart timeframe: lower (5m, 15m, 1H)
 • HTF 1: 4H or 1D
 • HTF 2: 1D or 1W
 • PVSRA Colors: enabled
 • Outlines: enabled
 Entry Concept :
High-volume candles (green or red) often indicate  market-maker activity , such zones often reflect liquidity absorption by larger players and are not necessarily ideal entry points.
Wait for the next consolidation or pullback toward a support or resistance level before acting.
 Bullish scenario :
 • After a high-volume or rejection candle near a low, price consolidates and forms a higher low.
 • Enter long only when structure confirms strength above support.
 Bearish scenario :
 • After a high-volume or rejection candle near a top, price consolidates and forms a lower high.
 • Enter short once resistance holds and momentum weakens.
 Exit Guidelines :
 • Exit when next HTF candle shifts in color or momentum fades.
 • Exit if price structure breaks opposite to your trade direction.
 • Always use stop-loss and take-profit levels.
 Additional Tips :
 • Never enter directly on strong green/red high-volume candles, these are usually areas of institutional absorption.
 • Wait for market structure confirmation and volume normalization.
 • Combine with RSI, moving averages, or support/resistance for timing.
 • Avoid trading when HTF candles are mixed or low-volume (unclear bias).
 • Outlines hidden below 5m charts.
 Risk Management :
 • Use stop-loss and take-profit on all positions.
 • Limit risk to 1–2% per trade.
 • Adjust position size for volatility.
 
 FINAL NOTES 
This script helps traders synchronize lower-timeframe execution with higher-timeframe momentum and volume dynamics.
Test it on demo before live use, and adjust settings to fit your trading style.
 DISCLAIMER 
This script is for educational purposes only and does not constitute financial advice.
 SUPPORT & UPDATES 
Future improvements may include alert conditions and additional visualization modes. Feedback is welcome in the comments section.
 CREDITS & LICENSE 
Created by  @seoco  — open source for community learning.
Licensed under  Mozilla Public License 2.0 .
Triple Stochastic RSITriple Stochastic RSI (TSRSI)
The  Triple Stochastic RSI  is a momentum visualization tool designed to help identify potential market tops and bottoms with greater clarity. This indicator stacks three layers of smoothed StochRSI —  Fast ,  Slow , and  Slowest  — each derived from increasingly longer RSI and Stochastic periods.
By analyzing how these layers interact, especially when the  Slow  (purple) and  Slowest  (orange) lines converge or cross near  overbought  or  oversold  zones, traders can spot high-probability reversal points. These moments often precede price turning points, and the signals gain strength when confirmed by  divergences  between price and indicator movement.
Key features include:
 
 Triple StochRSI smoothing to capture short- to long-term momentum shifts.
 Dynamic overbought/oversold signals with visual cross markers.
 Built-in trend sentiment and average streak statistics.
 Alerts for crossovers, trend shifts, and extended over/underperformance streaks.
 
 
Use it as a standalone momentum framework or as a supporting layer for divergence detection and market exhaustion analysis.
The stats table in your script provides insight into how long each Stochastic line (%K) typically stays above or below the 50 midline, and how the current streak compares to that average.
1. "Current" Column
This shows how many consecutive bars the %K has been:
Above 50 (▲)
OR Below 50 (▼)
It updates in real time on the last bar.
2. "Avg ▲ / Avg ▼" Column
These are historical averages based on your lookbackPeriod (default 1000 bars). It shows:
The average length of time %K stays above 50 (bullish bias)
The average time it stays below 50 (bearish bias)
Example Breakdown:
Let’s say the "Slow" row shows:
Current: 7 ▼
Avg ▲ / Avg ▼: 6 / 5
This means:
%K on the Slow lane has been below 50 for 7 bars
Historically, it only stays below 50 for about 5 bars on average
So, this bearish streak is already longer than usual
How to Use This Information:
A longer-than-average streak could imply a maturing move, potentially near exhaustion.
If current ▲ or ▼ streak is nearing or exceeding its average, it may warn of an upcoming shift.
Good for contextualizing trends and avoiding late entries.
Previous Cycle Range + SMTs [bilal x shpat]Inspired by ICT (Inner Circle Trader) concepts
Description made by ChatGPT
Thank you  shpat.a  for making the SMT option
📝 Overview
The Previous Cycle Range + SMTs   indicator is a multi-timeframe tool designed to visualize key market structure levels derived from the previous trading cycle’s range — a concept heavily utilized in ICT-style analysis.
In addition to the traditional range levels, this indicator adds Smart Money Tool (SMT) detection, allowing traders to identify bullish or bearish divergences across multiple correlated assets, giving an edge in spotting potential turning points and liquidity imbalances.
It helps traders identify equilibrium levels, liquidity zones, and potential premium/discount areas based on the prior day (or any chosen period) high and low — now with intermarket divergence insights.
⚙️ Features
Custom Cycle Length: Define your own cycle in minutes (e.g., 1440 = 1 day, 10080 = 1 week).
Previous High/Low: Automatically plots the previous cycle’s high and low levels.
Equilibrium (EQ): Optional 50% midpoint line to highlight the market’s equilibrium.
Quarter Levels: Adds 25% and 75% range lines for refined premium/discount analysis.
Extended Ranges: Optional extended levels (e.g., -100%, +200%) to identify continuation or retracement targets.
Fib Levels (1.272 & 1.618): Adds ICT-style Fibonacci extension levels for confluence zones.
Smart Money Tool (SMT) Detection:
Detects bullish or bearish divergences between your main asset and up to two comparison symbols.
Highlights potential SMT zones with optional text labels for quick visualization.
Optional SMT summary table displays divergence status for all three assets.
Custom Styling: Full control over colors, line width, label style, and extension distance.
💡 How It Helps
This indicator aligns with ICT principles by making the previous day’s range visible and actionable, now with SMT divergence insights:
The previous day’s high/low often act as liquidity pools.
The equilibrium (EQ) represents fair value — useful for spotting premium/discount zones.
Quarter levels and Fibonacci extensions add precision when mapping market structure and potential reaction points.
SMT detection helps traders identify early divergence signals that may indicate upcoming bullish or bearish moves across correlated markets.
🔍 Example Uses
Identify where price is trading relative to the previous session’s range.
Use EQ and quarter levels to gauge premium vs. discount conditions.
Spot intermarket divergences using SMTs to anticipate potential reversal or continuation points.
Combine with other ICT-based tools (e.g., PD arrays, dealing ranges, or kill zones) for refined trade setups.
My setup [Pro] (fadi)My Setup   is a powerful TradingView indicator that visualizes your trading strategy, helping you find high-probability setups with precision and discipline. It combines Higher Timeframe (HTF) context with Lower Timeframe (LTF) entries on a single chart, streamlining your trading process.
 What It Does 
 
  Tracks your chosen timeframe and its paired higher timeframe for custom trade setups, so you don’t have to stay glued to the screen.
  Plots clear Entry, Stop Loss, and Take Profit levels when your conditions align.
  Customizes to your strategy with HTF triggers (e.g., sweeps, liquidity grabs) and LTF entries (e.g., Order Blocks, FVGs, Breakers).
  Ensures discipline by only showing setups that meet all your rules, eliminating emotional trading and FOMO.
  Backtest your edge by visualizing past setups to refine entries, stops, and confluences.
 
 How It Works 
 
  Set Your HTF Trigger: Choose a market event like a sweep of a high/low, pivot point, or liquidity grab on the paired higher timeframe (e.g., 1H for a 5m chart).
  
  Define Your LTF Entry: Select your entry model from a range of institutional concepts, such as Order Block, Fair Value Gap (FVG), Inverted FVG (iFVG), Breaker Block, Unicorn Model, and more, on the chart’s timeframe.
  
  Add Confluence Filters: Stack conditions like requiring an FVG + Breaker for higher-probability setups.
  
  See It on Your Chart: When a setup forms, it’s instantly plotted with Entry, Stop Loss, and Take Profit levels based on your Risk-to-Reward ratio.
 
  
 Key Features 
 
  Multi-Timeframe Sync: Pair your chart’s timeframe (e.g., 5m) with a higher timeframe (e.g., 1H) for seamless analysis.
  Institutional Tools: Supports a comprehensive suite of ICT concepts, including Order Blocks, FVGs, iFVGs, Breakers, Unicorn Model, and additional entry models.
  Custom Risk Management: Set your Stop Loss and Take Profit levels with fixed R:R or measured moves using large range of entry and stop levels.
  Session Filtering: Limit setups to specific trading sessions (e.g., London, New York) with timezone support.
  Visual Clarity: Displays HTF candles and key levels on your chart for context, with customizable colors and styles.
  Alerts: Get notified the moment a valid setup appears, even on live candles.
 
 Who It’s For 
 
  Traders who want to systematize their ICT-based strategy on a single chart.
  Those seeking to trade with discipline and avoid impulsive decisions.
  Anyone looking to backtest and optimize their setups with clear, visual feedback.
  Busy traders who need a tool to track their chart while they focus on life.
 
Why Choose My Setup  ?
 
  Save Time: Let the indicator track your chart and its paired timeframe.
  Trade Confidently: Only take A+ setups that match your exact rules.
  Learn and Improve: Analyze historical setups to refine your strategy.
 
 Disclaimer of Warranties and Limitation of Liability for  [My Setup  ] 
Please read this disclaimer carefully before using the  [My Setup  ] indicator (hereafter referred to as "the Software").
 1. No Financial Advice 
The Software is provided for educational and informational purposes only. The data, calculations, and signals generated by the Software are not, and should not be interpreted as, financial advice, investment advice, trading advice, or a recommendation or solicitation to buy, sell, or hold any security or financial instrument.
 2. Assumption of Risk You acknowledge that trading and investing are inherently risky  activities that carry a high potential for significant financial loss. All actions you take in the market, including but not limited to trade execution and risk management, are your sole responsibility. You agree to use the Software at your own sole risk. The creator shall not be held responsible or liable for any financial losses or damages you may incur as a result of using the Software.
 3. No Warranty; "AS IS" Provision 
The Software is provided "AS IS" and "AS AVAILABLE", without any warranties of any kind, either express or implied. The creator disclaims all warranties, including, but not limited to, implied warranties of merchantability, fitness for a particular purpose, accuracy, timeliness, completeness, and non-infringement.
The creator does not warrant that the Software will be error-free, uninterrupted, secure, or free of bugs, viruses, or other harmful components. You acknowledge that software is never wholly free from defects, and you are responsible for implementing your own procedures for data accuracy and security.
 4. Limitation of Liability 
TO THE MAXIMUM EXTENT PERMITTED BY APPLICABLE LAW, IN NO EVENT SHALL THE CREATOR, FADI ZEIDAN, BE LIABLE FOR ANY CLAIM, DAMAGES, OR OTHER LIABILITY, WHETHER IN AN ACTION OF CONTRACT, TORT, OR OTHERWISE, ARISING FROM, OUT OF, OR IN CONNECTION WITH THE SOFTWARE OR THE USE OR OTHER DEALINGS IN THE SOFTWARE.
This limitation of liability applies to any and all damages, including but not limited to:
Direct, indirect, incidental, special, consequential, or exemplary damages.
Loss of profits, revenue, data, or use.
Financial losses resulting from trading decisions made based on the Software.
Damages arising from software defects, interruptions, or inaccuracies.
 5. Indemnification 
You agree to indemnify, defend, and hold harmless the creator, Fadi Zeidan, from and against any and all claims, liabilities, damages, losses, or expenses, including reasonable attorneys' fees and costs, arising out of or in any way connected with your access to or use of the Software.
 6. Acknowledgment and Agreement 
By accessing, installing, or using the  [My Setup  ] indicator, you acknowledge that you have read, understood, and agree to be bound by the terms of this disclaimer. If you do not agree with these terms, you must not use the Software.
Key Levels (PA, MAs, VWAPs, Volume Profile, rVWAPs)This indicator marks all kinds of key levels so that users can keep an overview of their specified levels in a convenient non chart cluttering way. It can highlight levels of confluence or display each level seperately.
The indicator includes markers for the following levels:
Price Action: Opens, Previous High/Low, Monday Range
Moving Averages: H4, D1 and W1 with customisable lengths
VWAPs: Developing and Previous VWAPs with their respective VAL/VAH (1 Standard Deviation)
Rolling VWAPs
Volume Profile: Developing and Previous VAL/VAH/POC
 What makes this indicator different is its vast customisation options and big library of levels… 
… users can choose to merge all levels that are aligned in a specified % threshold and additionally they can choose to color them the same color to highlight confluence levels.
… users have the choice between Full Label Markers or Abbreviations of those Labels.
… users have the choice of a few presets making level switching fast and convenient (Price Action, Volume Profile, VWAP, Volume or Custom).
… users can specify if they prefer to highlight Simple Moving Averages or Exponential Moving Averages. They have calculations available on three different timeframes and can change the lengths of each.
… users can color all levels the same with one click instead of having to manually change all of them.
… when users choose Volume Profile Levels they can either let the script auto calculate the row size making asset switching simple or they can manually input row size.
With the custom preset users can show and hide whichever levels they want.
(To have them the same every time you freshly load the indicator save your settings as default in the lower left corner of the settings tab).
 Purpose 
This indicator is designed to serve as a level visualisation tool that has the ability to highlight levels of confluence. It may assist in keeping an overview of where all levels are currently located but does not produce signals or trade recommendations.
Merek Day Seperator
The indicator helps traders visualize daily sessions based on New York midnight, making it easier to track trading days and plan strategies around daily market opens/closes.
Elite Signals ProV4 OptimizedElite Signals Pro V4 is a sophisticated multi-factor trading indicator that combines price action, momentum, and market structure analysis to generate high-probability trading signals. Unlike traditional indicators that rely on single metrics, Elite Signals uses a weighted confidence scoring system across 7 key market dimensions to provide filtered, quality signals.
🎯 Core Philosophy
The indicator operates on the principle that multiple confirmations lead to higher probability setups. Instead of looking at isolated signals, it evaluates:
Price Action (Wick strength & rejection patterns)
Trend Alignment (Multiple timeframe confirmation)
Market Context (Zones, liquidity, volatility)
Momentum (RSI with slope confirmation)
Entry Rules:
Wait for STRONG confidence signals (>70%) for higher probability
Ensure trend alignment matches signal direction
Check RSI is not extreme unless slope confirms reversal
Verify candle is meaningful rejection pattern
Risk Management:
Stop Loss: Place below recent swing low (BUY) or above swing high (SELL)
Take Profit: 1.5-2x risk ratio, or use trailing stops
Position Size: Scale based on confidence strength
1. Adaptive Confidence Threshold
Automatically adjusts based on market volatility
Stricter in high volatility (fewer but higher quality signals)
More lenient in calm markets (more opportunities)
2. Multi-Timeframe Alignment
15-minute trend alignment ensures you're trading with higher timeframe momentum
Reduces false signals from counter-trend moves
3. Liquidity Sweep Detection
Identifies stop hunts and liquidity grabs
Provides early warning of potential reversals
Graduated confidence (0.5 for touch, 1.0 for full sweep)
4. Zone-Based Trading
Supply/Demand zone detection for key levels
Percentage-based proximity works across all instruments
Combines with rejection candles for high-probability entries
⚠️ Important Notes
Do:
✅ Use on multiple timeframes for confirmation
✅ Combine with price action and market context
✅ Adjust parameters for your trading style
✅ Use proper risk management always
Don't:
❌ Trade every signal - be selective
❌ Ignore higher timeframe context
❌ Over-optimize parameters
❌ Risk more than 1-2% per trade
🚨 Risk Disclaimer
This indicator is a tool for analysis and should not be the sole basis for trading decisions. Always:
Use proper risk management
Test strategies in demo accounts first
Understand that past performance doesn't guarantee future results
Consider multiple confirmation sources before entering trades






















