Liquidity Depth [AlgoAlpha]OVERVIEW
This script visualizes market liquidity by identifying key price levels where significant volume has transacted. It highlights zones of high buying and selling interest, helping traders understand where liquidity is accumulating and how price may respond to these areas. By dynamically tracking volume at highs and lows, the script builds a real-time liquidity profile, making it a powerful tool for identifying potential support and resistance levels.
CONCEPTS
Liquidity depth analysis helps traders determine how price interacts with supply and demand at different levels. The script processes historical volume data to distinguish between high-liquidity and low-liquidity zones. It assigns transparency levels to plotted lines , ensuring that more relevant liquidity areas stand out visually. The script adds a profile to show the depth of liquidity (derived from historical volume data) for levels above and below the current price
FEATURES
Liquidity Levels: Tracks liquidity levels based on volume concentration at price high and lows.
Volume-Based Transparency: More significant liquidity levels are displayed with higher visibility, showing their significance.
Interpolation: interpolates the bullish and bearish liquidity depth at a user defined range away from the price, helping in comparing the liquidity amounts between bullish and bearish.
Depth Profile: Allows traders to visualize depth of liquidity in a more quantitative and clearer way than the liquidity levels/list]
USAGE
This indicator is best used to track liquidity levels and potential price reaction areas. Traders can adjust the Liquidity Lookback setting to analyze past liquidity levels over different historical periods. The Profile Resolution setting controls the granularity of liquidity depth visualization, with higher values providing more detail. The script can be applied across different timeframes, from intraday scalping to swing trading analysis. The plotted liquidity zones provide traders with insights into where price may encounter strong support, resistance, or potential liquidity-driven reversals.
Göstergeler ve stratejiler
Uptrick: Time Based ReversionIntroduction
The Uptrick: Time Based Reversion indicator is designed to provide a comprehensive view of market momentum and potential trend shifts by combining multiple moving averages, a streak-based trend analysis system, and adaptive color visualization. It helps traders identify strong trends, spot potential reversals, and make more informed trading decisions.
Purpose
The primary goal of this indicator is to assist traders in distinguishing between sustained market movements and short-lived fluctuations. By evaluating how price behaves relative to its moving averages, and by measuring consecutive streaks above or below these averages, the indicator highlights areas where trends are likely to continue or lose momentum.
Overview
Uptrick: Time Based Reversion calculates one or more moving averages of price data and then tracks the number of consecutive bars (streaks) above or below these averages. This streak-based detection provides insight into whether a trend is gaining strength or nearing a potential reversal point. The indicator offers:
• Multiple moving average types (SMA, EMA, WMA)
• Optional second and third moving average layers for additional smoothing of first moving average
• A streak detection system to quantify trend intensity
• A dynamic color scheme that changes with streak strength
• Optional buy and sell signals for potential trade entries and exits
• A ribbon mode that applies moving averages to Open, High, Low, and Close prices for a more detailed visualization of overall trend alignment
Originality and Uniqueness
Unlike traditional moving average indicators, Uptrick: Time Based Reversion incorporates a streak measurement system to detect trend strength. This approach helps clarify whether a price movement is merely a quick fluctuation or part of a longer-lasting trend. Additionally, the optional ribbon mode extends this logic to Open, High, Low, and Close prices, creating a layered and intuitive visualization that shows complete trend alignment.
Inputs and Features
1. Enable Ribbon Mode
This input lets you activate or deactivate the ribbon display of multiple moving averages. When enabled, the script plots moving averages for the Open, High, Low, and Close prices and uses color fills to show whether these four data points are collectively above or below their respective moving averages.
2. Color Scheme Selection
Users can choose from several predefined color schemes, such as Default, Emerald, Crimson, Sapphire, Gold, Purple, Teal, Orange, Gray, Lime, or Aqua. Each scheme assigns distinct bullish, bearish and neutral colors..
3. Show Buy/Sell Signals
The indicator can display buy or sell signals based on its streak analysis logic. These signals appear as markers on the chart, indicating a “Safe Uptrend” (buy) or “Safe Downtrend” (sell).
4. Moving Average Types and Lengths
• First MA Type and Length: Choose SMA, EMA, or WMA along with a customizable period.
• Second and Third MA Types and Lengths: You can optionally stack additional moving averages for further smoothing, each with its own customizable type and period.
5. Streak Threshold Multiplier
This numeric input determines how strong a streak must be before the script considers it a “safe” trend. A higher multiplier requires a longer or more intense streak for a buy or sell signal.
6. Dynamic Transparency Calculation
The color intensity adapts to the streak’s strength. Longer streaks increase the transparency of the opposing color, making the current dominant color stand out. This feature ensures that a vigorous uptrend or downtrend is visually distinct from short-lived or weaker moves.
7. Ribbon Moving Averages
In ribbon mode, the script calculates moving averages for the Open, High, Low, and Close prices. Each of these is optionally smoothed again if the second and/or third moving average layers are active. The final result is a ribbon of moving averages that helps confirm whether the market is uniformly aligned above or below these key reference points.
Calculation Methodology
1. Initial Moving Average
The script calculates the first moving average (SMA, EMA, or WMA) of the closing price over a user-defined period.
2. Optional Secondary and Tertiary Averages
If selected, the script then applies a second and/or third smoothing step. Each of these steps can be a different type of moving average (SMA, EMA, or WMA) with its own period length.
3. Streak Detection
The indicator counts consecutive bars above or below the smoothed moving average. A running total (streakUp or streakDown) increments with every bar that remains above or below that average.
4. Reversion Intensity
The script compares the current streak value to its own average (calculated over the final chosen period). This ratio determines whether the streak is nearing a likely reversion or is strong enough to continue.
5. Color Assignment and Signals
The indicator calculates color transparency based on streak intensity. Buy and sell signals appear when the streak meets or exceeds the threshold multiplier, indicating a safe uptrend or downtrend.
Color Schemes and Visualization
This indicator offers multiple predefined color sets. Each scheme specifies a unique bullish color, bearish color and neutral color. The script automatically varies transparency to highlight strong trends and fade weaker ones, making it visually clear when a trend is intensifying or losing momentum.
Smoothing Techniques
By allowing up to three layers of moving average smoothing, the indicator accommodates different trading styles. A single layer provides faster reactions to market changes, while more layers reduce noise at the cost of slower responsiveness. Traders can choose the right balance between responsiveness and stability for their strategy, whether it is short-term scalping or long-term trend following.
Why It Combines Specific Smoothing Techniques
The Uptrick: Time Based Reversion indicator strategically combines specific smoothing techniques—SMA, EMA, and WMA—to leverage their complementary strengths. The SMA provides stable and consistent trend identification by equally weighting all data points, while the EMA emphasizes recent price movements, allowing quicker responses to market changes. WMA enhances sensitivity to recent price shifts, which helps in detecting subtle momentum changes early. By integrating these methods in layers, the indicator effectively balances responsiveness with stability, helping traders clearly identify genuine trend changes while filtering out short-term noise and false signals.
Ribbon Mode
If Open, High, Low, and Close prices remain above or below their respective moving averages consistently, the script colors the bars fully bullish or bearish. When the data points are mixed, a neutral color is applied. This mode provides a thorough perspective on whether the entire price range is aligned in one direction or showing conflicting signals.
Summary
Uptrick: Time Based Reversion combines multiple moving averages, streak detection, and dynamic color adjustments to help traders identify significant trends and potential reversal areas. Its flexibility allows it to be used either in a simpler form, with one moving average and streak analysis, or in a more advanced configuration with ribbon mode that charts multiple smoothed averages for a deeper understanding of price alignment. By adapting color intensities based on streak strength and providing optional buy/sell signals, this indicator delivers a clear and flexible tool suited to various trading strategies.
Disclaimer
This indicator is designed as an analysis aid and does not guarantee profitable trades. Past performance does not indicate future success, and market conditions can change unexpectedly. Users are advised to employ proper risk management and thoroughly evaluate trades before taking positions. Use this indicator as part of a broader strategy, not as a sole decision-making tool.
diamondpattern.Diamond Pattern (Elmas Formasyonu) İndikatörü
Bu indikatör, fiyat hareketlerinde Elmas Formasyonu (Diamond Pattern) tespit etmek için geliştirilmiştir. Elmas formasyonu genellikle trend dönüş sinyali olarak kabul edilir ve güçlü fiyat hareketleriyle sonuçlanabilir.
Özellikler:
✅ Otomatik Algılama – Grafik üzerinde Elmas Formasyonu oluştuğunda tespit eder.
✅ Trend Dönüş Sinyalleri – Formasyon tamamlandığında olası yön değişimlerini gösterir.
✅ Uyumlu Zaman Dilimleri – Tüm zaman dilimlerinde kullanılabilir.
✅ Kullanıcı Dostu – Karmaşık ayarlara gerek kalmadan kolayca kullanılır.
Nasıl Kullanılır?
1. İndikatörü grafiğe ekleyin.
2. Elmas Formasyonu belirdiğinde takip edin.
3. Formasyonun kırılım yönüne göre işlem stratejinizi belirleyin.
Not: Formasyon tespiti tek başına alım-satım sinyali değildir. Diğer teknik analiz araçlarıyla birlikte değerlendirilmelidir.
1H/3m Concept [RunRox]🕘 1H/3m Concept is a versatile trading methodology based on liquidity sweeps from fractal points identified on higher timeframes, followed by price reversals at these key moments.
Below, I will explain this concept in detail and provide clear examples demonstrating its practical application.
⁉️ WHAT IS A FRACTALS?
In trading, a fractal is a technical analysis pattern composed of five consecutive candles, typically highlighting local market turning points. Specifically, a fractal high is formed when a candle’s high is higher than the highs of the two candles on either side, whereas a fractal low occurs when a candle’s low is lower than the lows of the two adjacent candles on both sides.
Traders use fractals as reference points for identifying significant support and resistance levels, potential reversal areas, and liquidity zones within price action analysis. Below is a screenshot illustrating clearly formed fractals on the chart.
📌 ABOUT THE CONCEPT
The 1H/3m Concept involves marking Higher Timeframe (HTF) fractals directly onto a Lower Timeframe (LTF) chart. When a liquidity sweep occurs at an HTF fractal level, we remain on the same LTF chart (since all HTF fractals are already plotted on this lower timeframe) and wait for a clear Market Structure Shift (MSS) to identify our potential entry point.
Below is a schematic illustration clearly demonstrating how this concept works in practice.
Below is another 💡 real-chart example , showing liquidity in the form of a 1H fractal, swept by a rapid impulse move. Immediately afterward, a clear Market Structure Shift (MSS) occurs, signaling a potential entry point into the trade.
Another example is shown below, where we see our hourly fractal, from which price clearly reacts, providing an opportunity to search for an entry point.
As illustrated on the chart, the fractal levels from the higher timeframe are clearly displayed, but we’re working directly on the 5-minute chart. This allows us to remain on one timeframe without needing to switch back and forth between charts to spot such trading setups.
🔍 MTF FRACTALS
This concept can be applied across various HTF-LTF timeframe combinations. Although our examples illustrate 1H fractals used on a 5-minute chart, you can effectively utilize many other timeframe combinations, such as:
30m HTF fractals on 1m chart
1H HTF fractals on 3m chart
4H HTF fractals on 15m chart
1D HTF fractals on 1H chart
The key idea behind this concept is always the same: identify liquidity at fractal levels on the higher timeframe (HTF), then wait for a clear Market Structure Shift (MSS) on the lower timeframe (LTF) to enter trades.
⚙️ SETTINGS
🔷 Trade Direction – Select the preferred trading direction (Long, Short, or Both).
🔷 HTF – Choose the higher timeframe from which fractals will be displayed on the current chart.
🔷 HTF Period – Number of candles required on both sides of a fractal candle (before and after) to confirm fractal formation on the HTF.
🔷 Current TF Period – Sensitivity to the impulse that sweeps liquidity, used for identifying and forming the MSS line.
🔷 Show HTF – Enable or disable displaying HTF fractal lines on your chart. You can also customize line style and color.
🔷 Max Age (Bars) – Number of recent bars within which fractals from the selected HTF will be displayed.
🔷 Show Entry – Enable or disable displaying the MSS line on the chart.
🔷 Enable Alert – Activates TradingView alerts whenever the MSS line is crossed.
You can also enable 🔔 alerts, which notify you whenever price crosses the MSS line. This significantly simplifies the process of identifying these setups on your charts. Simply configure your preferred timeframes and wait for notifications when the MSS line is crossed.
🔶 We greatly appreciate your feedback and suggestions for improving the indicator!
RSI premium trend - CZ INDICATORSThe indicator draws swings on candlesticks based on price action and RSI.
You can also see in the labels whether the current swing is higher or lower relative to the previous swing.
Ideal for working together with premium structure -
HH stands for Higher High
LL stands for Lower Low
LH stands for Lower High
HL stands for Higher High
Индикатор рисует свинги на свечах, основываясь на ценовом действии и RSI.
Также в метках можно увидеть, выше или ниже текущий свинг по отношению к предыдущему.
Идеальный вариант для совместной работы с -
HH означает Higher High
LL означает Lower Low
LH означает Lower High
HL означает Higher High
LiqD HeatMap 👑 [RubiXalgo].UPER T.REND U.LTIMATE P.ROJECT I.NTELLIGENT D.ESIGN
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// This work is licensed under a Attribution-NonCommercial-ShareAlike 4.0 International (CC BY-NC-SA 4.0) creativecommons.org
// The summary of this code is work done by @ StupidBitcoin 2025 and beyond.
// S.T.U.P.I.D. Disclaimer
// Information contained in (Super Trend Ultimate Project Intelligent Design) or S.T.U.P.I.D does not constitute financial advice or a solicitation to buy or sell any securities of any type.
// pine script, or its publisher, does not accept liability for any loss or damage, including without limitation any loss of profit, which may arise directly or indirectly from the use of
// or reliance on such information. All investments involve risk. Investors are fully responsible for all decisions they make.
// Rubik's Algo is an advanced indicator, but does not guarantee profitable results.
// Trading involves real financial risk. There is always the potential of loss when investing/trading in any financial asset.
// Rubik's Algo is not liable for any potential financial losses incurred from (including but not limited to) open source indicators,
// By using Rubik's Algo, you fully understand and accept these risks.
// Rubik's Algo does not provide legal, tax, investment or accounting advice.
// © 2025 Rubik's Algo. All rights reserved.
BB-BO.ELF Signals by ElfAlgorithms//YOUTUBE: www.youtube.com
//TELEGRAM: t.me
BO.ELF Trading Signals By ElfAlgorithms
📌 English
The BB-Trend-Signals By ElfAlgorithms is a powerful Bollinger Bands-based indicator designed to detect strong price movements and trend continuation signals.
🔹 Key Features:
✅ Detects price touches on the upper and lower Bollinger Bands.
✅ Confirms trends by checking the last five closing candles relative to the middle band.
✅ Filters out false signals by requiring price closures in specific Bollinger zones.
✅ Identifies trend strength by counting consecutive candle closes above/below critical levels.
✅ Provides real-time alerts for trading opportunities.
This indicator is ideal for traders who rely on Bollinger Bands to identify breakout trends and potential reversals. Whether you are a day trader or swing trader, BO.ELF Trading Signals helps you make informed decisions! 🚀
📌 Türkçe
BO.ELF Trading Signals By ElfAlgorithms, güçlü fiyat hareketlerini ve trend devam sinyallerini tespit etmek için Bollinger Bantları’na dayalı geliştirilmiş bir göstergedir.
🔹 Ana Özellikler:
✅ Fiyatın üst ve alt Bollinger bantlarına temaslarını algılar.
✅ Son beş mum kapanışını orta banda göre kontrol ederek trendi doğrular.
✅ Yanıltıcı sinyalleri önlemek için fiyatın belirli Bollinger bölgelerinde kapanmasını şart koşar.
✅ Trend gücünü belirlemek için kritik seviyelerin üzerinde/altında kapanan mumları numaralandırır.
✅ Gerçek zamanlı uyarılar ile işlem fırsatlarını bildirir.
Bollinger Bantlarını kullanarak trend kırılımlarını ve olası dönüşleri yakalamak isteyen yatırımcılar için idealdir. Günlük veya swing trade yapan herkes için BO.ELF Trading Signals, kararlarınıza rehberlik eder! 🚀
Premium ICT - CZ INDICATORSThe ICT premium indicator regroups core concepts highlighted by trader and educator “The Inner Circle Trader” (ICT) into an all-in-one toolkit. Features include Market Structure (MSS & BOS), Order Blocks, Imbalances, Buyside/Sellside Liquidity, Displacements, ICT Killzones, and New Week/Day Opening Gaps.
Индикатор ICT премиум-класса объединяет основные концепции, выделенные трейдером и преподавателем «The Inner Circle Trader» (ICT), в универсальный набор инструментов. Функции включают в себя структуру рынка (MSS и BOS), блоки ордеров, дисбалансы, ликвидность на стороне покупателя/продавца, смещения, киллзоны ICT и гэпы открытия новой недели/дня.
Smart Money Concepts - CZ INDICATORSThe "Smart Money Concepts by CZ INDICATORS ✅" indicator is designed to offer traders a comprehensive tool that integrates multiple advanced features to aid in market analysis. By combining order blocks, liquidity levels, fair value gaps, trendlines, and market structure analysis, the indicator provides a holistic approach to understanding market dynamics and making informed trading decisions.
Components and Their Integration:
Order Blocks and Breaker Blocks Detection
Functionality: Order blocks represent areas where significant buying or selling occurred, creating potential support or resistance zones. Breaker blocks signal potential reversals.
Integration: By detecting and visualizing these blocks, the indicator helps traders identify key levels where price might react, aiding in entry and exit decisions. The customizable settings allow traders to adjust the visibility and parameters to suit their specific trading strategy.
Liquidity Levels Analysis
Functionality: Liquidity levels indicate zones where significant price movements can occur due to the presence of large orders. These are areas where smart money might be executing trades.
Integration: By tracking these high-probability liquidity areas, traders can anticipate potential price movements. Customizable display limits and mitigation strategies ensure that the information is tailored to the trader’s needs, providing precise and actionable insights.
Fair Value Gaps (FVG)
Functionality: Fair value gaps highlight areas where there is an imbalance between buyers and sellers. These gaps often represent potential trading opportunities.
Integration: The ability to identify and analyze FVGs helps traders spot potential entries based on market inefficiencies. The touch and break detection functionalities provide further refinement, enhancing the precision of trading signals.
Trendlines
Functionality: Trendlines help in identifying the direction of the market and potential reversal points. The additional trendline adds a layer of confirmation for breaks or retests.
Integration: Automatically drawn trendlines assist traders in visualizing market trends and making decisions about potential entries and exits. The additional trendline for stronger confirmation reduces the risk of false signals, providing more reliable trading opportunities.
Market Structure Analysis
Functionality: Understanding market structure is crucial for identifying key support and resistance levels and overall market dynamics. This component displays internal, external, and composite market structures.
Integration: By automatically highlighting shifts in market structure, the indicator helps traders recognize important levels and potential changes in market direction. This analysis is critical for strategic planning and execution in trading.
Customizable Alerts
Functionality: Alerts ensure that traders do not miss significant market events, such as the formation or breach of order blocks, liquidity levels, and trendline interactions.
Integration: Customizable alerts enhance the user experience by providing timely notifications of key events. This feature ensures that traders can act quickly and efficiently, leveraging the insights provided by the indicator.
Interactive Visualization
Functionality: Customizable visual aspects of the indicator allow traders to tailor the display to their preferences and trading style.
Integration: This feature enhances user engagement and usability, making it easier for traders to interpret the data and make informed decisions. Personalization options like colors, styles, and display formats improve the overall effectiveness of the indicator.
Индикатор «Smart Money Concepts by CZ INDICATORS ✅» разработан для того, чтобы предложить трейдерам комплексный инструмент, объединяющий множество передовых функций для помощи в анализе рынка. Объединяя блоки ордеров, уровни ликвидности, разрывы справедливой стоимости, линии тренда и анализ структуры рынка, индикатор обеспечивает целостный подход к пониманию динамики рынка и принятию обоснованных торговых решений.
Компоненты и их интеграция:
Блоки ордеров и обнаружение блоков брейкеров
Функциональные возможности: Блоки ордеров представляют собой области, где происходили значительные покупки или продажи, создавая потенциальные зоны поддержки или сопротивления. Блоки разрыва сигнализируют о потенциальных разворотах.
Интеграция: Обнаруживая и визуализируя эти блоки, индикатор помогает трейдерам определить ключевые уровни, на которых цена может отреагировать, помогая принимать решения о входе и выходе. Настраиваемые параметры позволяют трейдерам регулировать видимость и параметры в соответствии с их конкретной торговой стратегией.
Анализ уровней ликвидности
Функциональные возможности: Уровни ликвидности указывают на зоны, где могут происходить значительные движения цены из-за наличия крупных ордеров. Это зоны, где «умные деньги» могут совершать сделки.
Интеграция: Отслеживая эти высоковероятные зоны ликвидности, трейдеры могут предвидеть потенциальные движения цен. Настраиваемые лимиты отображения и стратегии смягчения последствий обеспечивают адаптацию информации к потребностям трейдера, предоставляя точные и действенные сведения.
Пробелы в справедливой стоимости (FVG)
Функциональные возможности: Разрывы справедливой стоимости выявляют области, где существует дисбаланс между покупателями и продавцами. Эти разрывы часто представляют собой потенциальные торговые возможности.
Интеграция: Возможность выявления и анализа FVG помогает трейдерам обнаружить потенциальные входы на основе рыночной неэффективности. Функции обнаружения касаний и прорывов обеспечивают дальнейшее совершенствование, повышая точность торговых сигналов.
Линии тренда
Функциональные возможности: Линии тренда помогают определить направление движения рынка и потенциальные точки разворота. Дополнительная линия тренда добавляет уровень подтверждения для прорывов или ретестов.
Интеграция: Автоматически нарисованные линии тренда помогают трейдерам визуализировать рыночные тенденции и принимать решения о потенциальных входах и выходах. Дополнительная линия тренда для более сильного подтверждения снижает риск ложных сигналов, предоставляя более надежные торговые возможности.
Анализ структуры рынка
Функциональность: Понимание структуры рынка имеет решающее значение для определения ключевых уровней поддержки и сопротивления и общей динамики рынка. Этот компонент отображает внутреннюю, внешнюю и составную структуру рынка.
Интеграция: Автоматически выделяя сдвиги в структуре рынка, индикатор помогает трейдерам распознать важные уровни и потенциальные изменения в направлении рынка. Этот анализ крайне важен для стратегического планирования и исполнения в торговле.
Настраиваемые оповещения
Функциональные возможности: Оповещения позволяют трейдерам не пропустить значимые события на рынке, такие как формирование или разрушение блоков ордеров, уровень ликвидности и взаимодействие линий тренда.
Интеграция: Настраиваемые оповещения повышают удобство работы, обеспечивая своевременное уведомление о ключевых событиях. Благодаря этой функции трейдеры могут действовать быстро и эффективно, используя информацию, предоставляемую индикатором.
Интерактивная визуализация
Функциональность: Настраиваемые визуальные аспекты индикатора позволяют трейдерам адаптировать отображение в соответствии со своими предпочтениями и стилем торговли.
Интеграция: Эта функция повышает вовлеченность пользователей и удобство использования, облегчая трейдерам интерпретацию данных и принятие обоснованных решений. Такие возможности персонализации, как цвета, стили и форматы отображения, повышают общую эффективность индикатора.
A.I. 👑 Optimus Prime [RubiXalgo]Imagine Rubik's cube.
// As speed cubers solve Rubik's cubes, even while juggling, they mimic market movements.
// A speed cuber, while juggling, reveals these slight of hand movements.
// This is because Ichimoku values mirror the mathematics of a Rubik's cube.
// Rubik's Algo offers visualizations of this process by using data-powered color gradients.
// S.UPER T.REND U.LTIMATE P.ROJECT I.NTELLIGENT D.ESIGN
// This Pine Script™ code is subject to the terms of the Mozilla Public License 2.0 at mozilla.org
// This work is licensed under a Attribution-NonCommercial-ShareAlike 4.0 International (CC BY-NC-SA 4.0) creativecommons.org
// The summary of this code is work done by @ StupidBitcoin 2025 and beyond.
SMC super trend - CZ INDICATORSSMC super trend - CZ INDICATORS ✅
The indicator tracks the smallest movements of price action. It can monitor and analyze market context, attempting to identify trends within each time frame.
If a candle has its entire body above the previous swing high, it indicates a strong upward momentum. The market is leaning towards an upward direction. If the candle remains within the range of the previous swing high, it signifies weak upward momentum. The market is reluctant to move higher.
If a candle has its entire body below the previous swing low, it reflects a strong downward momentum. The market is leaning towards a downward direction. If the candle remains within the range of the previous swing low, it indicates weak downward momentum. The market is reluctant to move lower.
SMC super trend - CZ INDICATORS ✅
Индикатор отслеживает мельчайшие движения цены. Он может отслеживать и анализировать рыночный контекст, пытаясь определить тенденции на каждом временном интервале.
Если все тело свечи находится выше максимума предыдущего колебания, это указывает на сильный восходящий импульс. Рынок склоняется к восходящему направлению. Если свеча остается в пределах диапазона предыдущего максимума, это означает слабый восходящий импульс. Рынок неохотно движется вверх.
Если все тело свечи находится ниже предыдущего минимума, это свидетельствует о сильном нисходящем импульсе. Рынок склоняется к нисходящему направлению. Если свеча остается в пределах диапазона предыдущего минимума свинга, это указывает на слабый нисходящий импульс. Рынок неохотно движется вниз.
A.I. 👑 Market Cipher EZ [RubiXalgo]Imagine Rubik's cube.
// As speed cubers solve Rubik's cubes, even while juggling, they mimic market movements.
// A speed cuber, while juggling, reveals these slight of hand movements.
// This is because Ichimoku values mirror the mathematics of a Rubik's cube.
// Rubik's Algo offers visualizations of this process by using data-powered color gradients.
// S.UPER T.REND U.LTIMATE P.ROJECT I.NTELLIGENT D.ESIGN
// This Pine Script™ code is subject to the terms of the Mozilla Public License 2.0 at mozilla.org
// This work is licensed under a Attribution-NonCommercial-ShareAlike 4.0 International (CC BY-NC-SA 4.0) creativecommons.org
// The summary of this code is work done by @ StupidBitcoin 2025 and beyond.
RSI + Divergences new look - CZ INDICATORSA new look at divergence
This indicator gives you the trend changes (Designed with the basics of Vash's RSI advanced and the Fikira divergence indicator)
This indicator will only give you regular divergences.
Please keep in mind that a trading plan is not only built with momentum but also with location and structure.
Новый взгляд на дивергенцию
Этот индикатор показывает изменения тренда (разработан с основами расширенного RSI Вэша и индикатора дивергенции Фикира).
Этот индикатор будет давать вам только регулярные дивергенции.
Помните, что торговый план строится не только на основе импульса, но и на основе местоположения и структуры.
RSI + Volume - CZ INDICATORSRSI + VOLUME
This idea adds volume to the RSI indicator. Because volume offers one means of determining whether money is entering or leaving a market, this would provide additional information with which to make trading decisions.
Эта идея добавляет объем к индикатору RSI. Поскольку объем - это один из способов определить, входят ли деньги в рынок или покидают его, это даст дополнительную информацию для принятия торговых решений.
Open Intrest Lines This is a Pine Script (version 5) indicator designed for TradingView that overlays horizontal lines and labels on a chart to represent strike prices for call and put options, along with their corresponding open interest (OI) values. The script takes user inputs as comma-separated strings, processes them into arrays, and dynamically plots lines and labels for each strike price.
User Inputs
The script collects four inputs from the user as strings:
call_strikes, call_oi , put_strikes, put_oi
These inputs allow the user to manually specify the strike prices and their associated open interest, which the script will then visualize.
This script intended for options traders to:
Mark significant strike prices with high open interest on a chart.
Visually distinguish between call (green) and put (red) levels.
Use these levels as potential support/resistance zones or areas of market interest.
RSI & 5 EMARSI & 5 EMA Reversal Trading Indicator
📌 Category: Reversal Trading
🔹 Overview
This script is designed to identify potential reversal points using the Relative Strength Index (RSI) and the 5-Period Exponential Moving Average (EMA). It helps traders spot short-term exhaustion in price movements and provides clear entry signals when momentum shifts against the prevailing move.
🔹 How It Works
5-Period EMA (Blue Line):
Used to gauge short-term price direction.
RSI-Based Reversal Setup:
Helps filter trade setups to avoid false signals.
A buy preparation level is set when RSI is below 40, and the high is below the 5 EMA, indicating a potential oversold condition.
A sell preparation level is set when RSI is above 60, and the low is above the 5 EMA, signaling a possible overbought condition.
Reversal Entry Conditions:
A buy signal occurs if the price closes above the buy preparation level within the next 3 candles.
A sell signal occurs if the price closes below the sell preparation level within the next 3 candles.
Visual Enhancements:
Signal candles are highlighted with a white wick and border to make reversals easy to spot.
The 5 EMA is plotted in blue to track short-term trends.
🔹 How to Use This Indicator
✅ Best for traders looking to catch short-term reversals.
✅ Works well on 5-min, 15-min, 1-hour, and daily charts.
✅ Can be used in range-bound markets or at key support/resistance levels.
🔹 Customization Request
Even the conditions are met, no signal is plotted by this script. I will be very happy if anyone correct the script for better and accurate result.
SuperTrend Machine - CZ INDICATORS🤖 SuperTrend Machine CZ INDICATORS - Take Your Trading to the Next Level! ✨
Introducing the SuperTrend Machine, an advanced trading indicator designed to adapt to market volatility dynamically using machine learning techniques. This indicator employs k-means clustering to categorize market volatility into high, medium, and low levels, enhancing the traditional SuperTrend strategy. Perfect for traders who want an edge in identifying trend shifts and market conditions.
What is K-Means Clustering and How It Works
K-means clustering is a machine learning algorithm that partitions data into distinct groups based on similarity. In this indicator, the algorithm analyzes ATR (Average True Range) values to classify volatility into three clusters: high, medium, and low. The algorithm iterates to optimize the centroids of these clusters, ensuring accurate volatility classification.
Key Features
🎨 Customizable Appearance: Adjust colors for bullish and bearish trends.
🔧 Flexible Settings: Configure ATR length, SuperTrend factor, and initial volatility guesses.
📊 Volatility Classification: Uses k-means clustering to adapt to market conditions.
📈 Dynamic SuperTrend Calculation: Applies the classified volatility level to the SuperTrend calculation.
🔔 Alerts: Set alerts for trend shifts and volatility changes.
📋 Data Table Display: View cluster details and current volatility on the chart.How It Works
How It Works
The indicator begins by calculating the ATR values over a specified training period to assess market volatility. Initial guesses for high, medium, and low volatility percentiles are inputted. The k-means clustering algorithm then iterates to classify the ATR values into three clusters. This classification helps in determining the appropriate volatility level to apply to the SuperTrend calculation. As the market evolves, the indicator dynamically adjusts, providing real-time trend and volatility insights. The indicator also incorporates a data table displaying cluster centroids, sizes, and the current volatility level, aiding traders in making informed decisions.
🤖 SuperTrend Machine CZ INDICATORS - выведите свою торговлю на новый уровень! ✨
Представляем SuperTrend Machine, продвинутый торговый индикатор, разработанный для динамической адаптации к волатильности рынка с помощью методов машинного обучения. Этот индикатор использует кластеризацию k-means для классификации волатильности рынка на высокий, средний и низкий уровни, усиливая традиционную стратегию SuperTrend. Идеально подходит для трейдеров, которые хотят получить преимущество в определении смены тренда и рыночных условий.
Что такое кластеризация K-Means и как она работает
Кластеризация K-Means - это алгоритм машинного обучения, который разделяет данные на отдельные группы на основе сходства. В данном индикаторе алгоритм анализирует значения ATR (Average True Range), чтобы разделить волатильность на три кластера: высокая, средняя и низкая. Алгоритм проводит итерации для оптимизации центроидов этих кластеров, обеспечивая точную классификацию волатильности.
Ключевые особенности
🎨 Настраиваемый внешний вид: Настройте цвета для бычьих и медвежьих трендов.
🔧 Гибкие настройки: Настройте длину ATR, фактор SuperTrend и начальные предположения о волатильности.
📊 Классификация волатильности: Использует кластеризацию k-means для адаптации к рыночным условиям.
📈 Расчет динамического супертренда: Применяет классифицированный уровень волатильности для расчета Супертренда.
🔔 Оповещения: Установка предупреждений о смене тренда и изменении волатильности.
📋 Отображение таблицы данных: Просмотр подробной информации о кластере и текущей волатильности на графике.Как это работает
Как это работает
Индикатор начинает работу с расчета значений ATR за определенный период обучения для оценки волатильности рынка. Вводятся начальные предположения о перцентилях высокой, средней и низкой волатильности. Затем алгоритм кластеризации k-means проводит итерации для классификации значений ATR по трем кластерам. Эта классификация помогает определить подходящий уровень волатильности для расчета SuperTrend. По мере развития рынка индикатор динамически подстраивается, предоставляя в реальном времени информацию о тренде и волатильности. Индикатор также включает в себя таблицу данных, в которой отображаются центроиды кластеров, их размеры и текущий уровень волатильности, что помогает трейдерам принимать обоснованные решения.
一起成為BB戰士謝謝 wang 哥哥提供的策略
這是1分K以及3分K的兩條BB (20ma/60ma)
為了更方便辨別,在BB的上下軌加上了顏色,為較重點關注的地方
所有顏色都可以自己更改以及設定(包括BB的參數)
祝大家考試都考過,出金出到爆
Dual SuperTrend w VIX Filter - Strategy [presentTrading]Hey everyone! Haven't been here for a long time. Been so busy again in the past 2 months. I recently started working on analyzing the combination of trend strategy and VIX, but didn't get outstanding results after a few tries. Sharing this tool with all of you in case you have better insights.
█ Introduction and How it is Different
The Dual SuperTrend with VIX Filter Strategy combines traditional trend following with market volatility analysis. Unlike conventional SuperTrend strategies that focus solely on price action, this experimental system incorporates VIX (Volatility Index) as an adaptive filter to create a more context-aware trading approach. By analyzing where current volatility stands relative to historical norms, the strategy adjusts to different market environments rather than applying uniform logic across all conditions.
BTCUSD 6hr Long Short Performance
█ Strategy, How it Works: Detailed Explanation
🔶 Dual SuperTrend Core
The strategy uses two SuperTrend indicators with different sensitivity settings:
- SuperTrend 1: Length = 13, Multiplier = 3.5
- SuperTrend 2: Length = 8, Multiplier = 5.0
The SuperTrend calculation follows this process:
1. ATR = Average of max(High-Low, |High-PreviousClose|, |Low-PreviousClose|) over 'length' periods
2. UpperBand = (High+Low)/2 - (Multiplier * ATR)
3. LowerBand = (High+Low)/2 + (Multiplier * ATR)
Trend direction is determined by:
- If Close > previous LowerBand, Trend = Bullish (1)
- If Close < previous UpperBand, Trend = Bearish (-1)
- Otherwise, Trend = previous Trend
🔶 VIX Analysis Framework
The core innovation lies in the VIX analysis system:
1. Statistical Analysis:
- VIX Mean = SMA(VIX, 252)
- VIX Standard Deviation = StdDev(VIX, 252)
- VIX Z-Score = (Current VIX - VIX Mean) / VIX StdDev
2. **Volatility Bands:
- Upper Band 1 = VIX Mean + (2 * VIX StdDev)
- Upper Band 2 = VIX Mean + (3 * VIX StdDev)
- Lower Band 1 = VIX Mean - (2 * VIX StdDev)
- Lower Band 2 = VIX Mean - (3 * VIX StdDev)
3. Volatility Regimes:
- "Very Low Volatility": VIX < Lower Band 1
- "Low Volatility": Lower Band 1 ≤ VIX < Mean
- "Normal Volatility": Mean ≤ VIX < Upper Band 1
- "High Volatility": Upper Band 1 ≤ VIX < Upper Band 2
- "Extreme Volatility": VIX ≥ Upper Band 2
4. VIX Trend Detection:
- VIX EMA = EMA(VIX, 10)
- VIX Rising = VIX > VIX EMA
- VIX Falling = VIX < VIX EMA
Local performance:
🔶 Entry Logic Integration
The strategy combines trend signals with volatility filtering:
Long Entry Condition:
- Both SuperTrend 1 AND SuperTrend 2 must be bullish (trend = 1)
- AND selected VIX filter condition must be satisfied
Short Entry Condition:
- Both SuperTrend 1 AND SuperTrend 2 must be bearish (trend = -1)
- AND selected VIX filter condition must be satisfied
Available VIX filter rules include:
- "Below Mean + SD": VIX < Lower Band 1
- "Below Mean": VIX < VIX Mean
- "Above Mean": VIX > VIX Mean
- "Above Mean + SD": VIX > Upper Band 1
- "Falling VIX": VIX < VIX EMA
- "Rising VIX": VIX > VIX EMA
- "Any": No VIX filtering
█ Trade Direction
The strategy allows testing in three modes:
1. **Long Only:** Test volatility effects on uptrends only
2. **Short Only:** Examine volatility's impact on downtrends only
3. **Both (Default):** Compare how volatility affects both trend directions
This enables comparative analysis of how volatility regimes impact bullish versus bearish markets differently.
█ Usage
Use this strategy as an experimental framework:
1. Form a hypothesis about how volatility affects trend reliability
2. Configure VIX filters to test your specific hypothesis
3. Analyze performance across different volatility regimes
4. Compare results between uptrends and downtrends
5. Refine your volatility filtering approach based on results
6. Share your findings with the trading community
This framework allows you to investigate questions like:
- Are uptrends more reliable during rising or falling volatility?
- Do downtrends perform better when volatility is above or below its historical average?
- Should different volatility filters be applied to long vs. short positions?
█ Default Settings
The default settings serve as a starting point for exploration:
SuperTrend Parameters:
- SuperTrend 1 (Length=13, Multiplier=3.5): More responsive to trend changes
- SuperTrend 2 (Length=8, Multiplier=5.0): More selective filter requiring stronger trends
VIX Analysis Settings:
- Lookback Period = 252: Establishes a full market cycle for volatility context
- Standard Deviation Bands = 2 and 3 SD: Creates statistically significant regime boundaries
- VIX Trend Period = 10: Balances responsiveness with noise reduction
Default VIX Filter Selection:
- Long Entry: "Above Mean" - Tests if uptrends perform better during above-average volatility
- Short Entry: "Rising VIX" - Tests if downtrends accelerate when volatility is increasing
Feel Free to share your insight below!!!
A.I. 👑 Megatron [RubiXalgo]Imagine Rubik's cube.
// As speed cubers solve Rubik's cubes, even while juggling, they mimic market movements.
// A speed cuber, while juggling, reveals these slight of hand movements.
// This is because Ichimoku values mirror the mathematics of a Rubik's cube.
// Rubik's Algo offers visualizations of this process by using data-powered color gradients.
// S.UPER T.REND U.LTIMATE P.ROJECT I.NTELLIGENT D.ESIGN
// This Pine Script™ code is subject to the terms of the Mozilla Public License 2.0 at mozilla.org
// This work is licensed under a Attribution-NonCommercial-ShareAlike 4.0 International (CC BY-NC-SA 4.0) creativecommons.org
// The summary of this code is work done by @ StupidBitcoin 2025 and beyond.
M2 offsetThis is an updated M2 chart that shows global money supply. Users can also offset the days forward and backward to align with other charts.
A.I. 👑 Market Cipher Z [RubiXalgo]Imagine Rubik's cube.
// As speed cubers solve Rubik's cubes, even while juggling, they mimic market movements.
// A speed cuber, while juggling, reveals these slight of hand movements.
// This is because Ichimoku values mirror the mathematics of a Rubik's cube.
// Rubik's Algo offers visualizations of this process by using data-powered color gradients.
// S.UPER T.REND U.LTIMATE P.ROJECT I.NTELLIGENT D.ESIGN
// This Pine Script™ code is subject to the terms of the Mozilla Public License 2.0 at mozilla.org
// This work is licensed under a Attribution-NonCommercial-ShareAlike 4.0 International (CC BY-NC-SA 4.0) creativecommons.org
// The summary of this code is work done by @ StupidBitcoin 2025 and beyond.
SUPER EMA 10/25/75/200/300 - CZ INDICATORSSUPER EMA
5 ema on one chart, with possible customization.
5 ema на одном графике, с возможностью настройки.