Market Regime IndexThe Market Regime Index is a top-down macro regime nowcasting tool that offers a consolidated view of the market’s risk appetite. It tracks 32 of the world’s most influential markets across asset classes to determine investor sentiment by applying trend-following signals to each independent asset. It features adjustable parameters and a built-in alert system that notifies investors when conditions transition between Risk-On and Risk-Off regimes. The selected markets are grouped into equities (7), fixed income (9), currencies (7), commodities (5), and derivatives (4):
Equities = S&P 500 E-mini Index Futures, Nasdaq-100 E-mini Index Futures, Russell 2000 E-mini Index Futures, STOXX Europe 600 Index Futures, Nikkei 225 Index Futures, MSCI Emerging Markets Index Futures, and S&P 500 High Beta (SPHB)/Low Beta (SPLV) Ratio.
Fixed Income = US 10Y Treasury Yield, US 2Y Treasury Yield, US 10Y-02Y Yield Spread, German 10Y Bund Yield, UK 10Y Gilt Yield, US 10Y Breakeven Inflation Rate, US 10Y TIPS Yield, US High Yield Option-Adjusted Spread, and US Corporate Option-Adjusted Spread.
Currencies = US Dollar Index (DXY), Australian Dollar/US Dollar, Euro/US Dollar, Chinese Yuan/US Dollar, Pound Sterling/US Dollar, Japanese Yen/US Dollar, and Bitcoin/US Dollar.
Commodities = ICE Brent Crude Oil Futures, COMEX Gold Futures, COMEX Silver Futures, COMEX Copper Futures, and S&P Goldman Sachs Commodity Index (GSCI) Futures.
Derivatives = CBOE S&P 500 Volatility Index (VIX), ICE US Bond Market Volatility Index (MOVE), CBOE 3M Implied Correlation Index, and CBOE VIX Volatility Index (VVIX)/VIX.
All assets are directionally aligned with their historical correlation to the S&P 500. Each asset contributes equally based on its individual bullish or bearish signal. The overall market regime is calculated as the difference between the number of Risk-On and Risk-Off signals divided by the total number of assets, displayed as the percentage of markets confirming each regime. Green indicates Risk-On and occurs when the number of Risk-On signals exceeds Risk-Off signals, while red indicates Risk-Off and occurs when the number of Risk-Off signals exceeds Risk-On signals.
Bullish Signal = (Fast MA – Slow MA) > (ATR × ATR Margin)
Bearish Signal = (Fast MA – Slow MA) < –(ATR × ATR Margin)
Market Regime = (Risk-On signals – Risk-Off signals) ÷ Total assets
This indicator is designed with flexibility in mind, allowing users to include or exclude individual assets that contribute to the market regime and adjust the input parameters used for trend signal detection. These parameters apply to each independent asset, and the overall regime signal is smoothed by the signal length to reduce noise and enhance reliability. Investors can position according to the prevailing market regime by selecting factors that have historically outperformed under each regime environment to minimise downside risk and maximise upside potential:
Risk-On Equity Factors = High Beta > Cyclicals > Low Volatility > Defensives.
Risk-Off Equity Factors = Defensives > Low Volatility > Cyclicals > High Beta.
Risk-On Fixed Income Factors = High Yield > Investment Grade > Treasuries.
Risk-Off Fixed Income Factors = Treasuries > Investment Grade > High Yield.
Risk-On Commodity Factors = Industrial Metals > Energy > Agriculture > Gold.
Risk-Off Commodity Factors = Gold > Agriculture > Energy > Industrial Metals.
Risk-On Currency Factors = Cryptocurrencies > Foreign Currencies > US Dollar.
Risk-Off Currency Factors = US Dollar > Foreign Currencies > Cryptocurrencies.
In summary, the Market Regime Index is a comprehensive macro risk-management tool that identifies the current market regime and helps investors align portfolio risk with the market’s underlying risk appetite. Its intuitive, color-coded design makes it an indispensable resource for investors seeking to navigate shifting market conditions and enhance risk-adjusted performance by selecting factors that have historically outperformed. While it has proven historically valuable, asset-specific characteristics and correlations evolve over time as market dynamics change.
"GOLD" için komut dosyalarını ara
Multi-Band Comparison (Uptrend)Multi-Band Comparison
Overview:
The Multi-Band Comparison indicator is engineered to reveal critical levels of support and resistance in strong uptrends. In a healthy upward market, the price action will adhere closely to the 95th percentile line (the Upper Quantile Band), effectively “riding” it. This indicator combines a modified Bollinger Band (set at one standard deviation), quantile analysis (95% and 5% levels), and power‑law math to display a dynamic picture of market structure—highlighting a “golden channel” and robust support areas.
Key Components & Calculations:
The Golden Channel: Upper Bollinger Band & Upper Std Dev Band of the Upper Quantile
Upper Bollinger Band:
Calculation:
boll_upper=SMA(close,length)+(boll_mult×stdev)
boll_upper=SMA(close,length)+(boll_mult×stdev) Here, the 20-period SMA is used along with one standard deviation of the close, where the multiplier (boll_mult) is 1.0.
Role in an Uptrend:
In a healthy uptrend, price rides near the 95th percentile line. When price crosses above this Upper Bollinger Band, it confirms strong bullish momentum.
Upper Std Dev Band of the Upper Quantile (95th Percentile) Band:
Calculation:
quant_upper_std_up=quant_upper+stdev
quant_upper_std_up=quant_upper+stdev The Upper Quantile Band, quant_upperquant_upper, is calculated as the 95th percentile of recent price data. Adding one standard deviation creates an extension that accounts for normal volatility around this extreme level.
The Golden Channel:
When the price crosses above the Upper Bollinger Band, the Upper Std Dev Band of the Upper Quantile immediately shifts to gold (yellow) and remains gold until price falls below the Bollinger level. Together, these two lines form the “golden channel”—a visual hallmark of a healthy uptrend where the price reliably hugs the 95th percentile level.
Upper Power‑Law Band
Calculation:
The Upper Power‑Law Band is derived in two steps:
Determine the Extreme Return Factor:
power_upper=Percentile(returns,95%)
power_upper=Percentile(returns,95%) where returns are computed as:
returns=closeclose −1.
returns=close close−1.
Scale the Current Price:
power_upper_band=close×(1+power_upper)
power_upper_band=close×(1+power_upper)
Rationale and Correlation:
By focusing on the upper 5% of returns (reflecting “fat tails”), the Upper Power‑Law Band captures extreme but statistically expected movements. In an uptrend, its value often converges with the Upper Std Dev Band of the Upper Quantile because both measures reflect heightened volatility and extreme price levels. When the Upper Power‑Law Band exceeds the Upper Std Dev Band, it can signal a temporary overextension.
Upper Quantile Band (95% Percentile)
Calculation:
quant_upper=Percentile(price,95%)
quant_upper=Percentile(price,95%) This level represents where 95% of past price data falls below, and in a robust uptrend the price action practically rides this line.
Color Logic:
Its color shifts from a neutral (blackish) tone to a vibrant, bullish hue when the Upper Power‑Law Band crosses above it—signaling extra strength in the trend.
Lower Quantile and Its Support
Lower Quantile Band (5% Percentile):
Calculation:
quant_lower=Percentile(price,5%)
quant_lower=Percentile(price,5%)
Behavior:
In a healthy uptrend, price remains well above the Lower Quantile Band. It turns red only when price touches or crosses it, serving as a warning signal. Under normal conditions it remains bright green, indicating the market is not nearing these extreme lows.
Lower Std Dev Band of the Lower Quantile:
This line is calculated by subtracting one standard deviation from quant_lowerquant_lower and typically serves as absolute support in nearly all conditions (except during gap or near-gap moves). Its consistent role as support provides traders with a robust level to monitor.
How to Use the Indicator:
Golden Channel and Trend Confirmation:
As price rides the Upper Quantile (95th percentile) perfectly in a healthy uptrend, the Upper Bollinger Band (1 stdev above SMA) and the Upper Std Dev Band of the Upper Quantile form a “golden channel” once price crosses above the Bollinger level. When this occurs, the Upper Std Dev Band remains gold until price dips back below the Bollinger Band. This visual cue reinforces trend strength.
Power‑Law Insights:
The Upper Power‑Law Band, which is based on extreme (95th percentile) returns, tends to align with the Upper Std Dev Band. This convergence reinforces that extreme, yet statistically expected, price moves are occurring—indicating that even though the price rides the 95th percentile, it can only stretch so far before a correction or consolidation.
Support Indicators:
Primary and Secondary Support in Uptrends:
The Upper Bollinger Band and the Lower Std Dev Band of the Upper Quantile act as support zones for minor retracements in the uptrend.
Absolute Support:
The Lower Std Dev Band of the Lower Quantile serves as an almost invariable support area under most market conditions.
Conclusion:
The Multi-Band Comparison indicator unifies advanced statistical techniques to offer a clear view of uptrend structure. In a healthy bull market, price action rides the 95th percentile line with precision, and when the Upper Bollinger Band is breached, the corresponding Upper Std Dev Band turns gold to form a “golden channel.” This, combined with the Power‑Law analysis that captures extreme moves, and the robust lower support levels, provides traders with powerful, multi-dimensional insights for managing entries, exits, and risk.
Disclaimer:
Trading involves risk. This indicator is for educational purposes only and does not constitute financial advice. Always perform your own analysis before making trading decisions.
Enhanced Economic Composite with Dynamic WeightEnhanced Economic Composite with Dynamic Weight
Overview of the Indicator :
The "Enhanced Economic Composite with Dynamic Weight" is a comprehensive tool that combines multiple economic indicators, technical signals, and dynamic weighting to provide insights into market and economic health. It adjusts based on current volatility and recession risk, offering a detailed view of market conditions.
What This Indicator Does :
Tracks Economic Health: Uses key economic and market indicators to assess overall market conditions.
Dynamic Weighting: Adjusts the importance of components like stock indices, gold, and bonds based on volatility (VIX) and yield curve inversion.
Technical Signals: Identifies market momentum shifts through key crossovers like the Golden Cross, Death Cross, Silver Cross, and Hospice Cross.
Recession Shading: Marks known recessions for historical context.
Economic Factors Considered :
TIP (Treasury Inflation-Protected Securities): Reflects inflation expectations.
Gold: A safe-haven asset, increases in weight during volatility or rising momentum.
US Dollar Index (DXY): Measures USD strength, fixed weight of 10%, smoothed with EMA.
Commodities (DBC): Indicates global demand; weight increases with momentum or volatility.
Volatility Index (VIX): Reflects market risk, inversely related to market confidence.
Stock Indices (S&P 500, DJIA, NASDAQ, Russell 2000): Represent market performance, with weights reduced during high volatility or negative yield spread.
Yield Spread (10Y - 2Y Treasuries): Predicts recessions; negative spread reduces stock weighting.
Credit Spread (HYG - TLT): Indicates market risk through corporate vs. government bond yields.
How and Why Factors are Weighted:
Stock Indices get more weight in stable markets (low VIX, positive yield spread), while safe-haven assets like gold and bonds gain weight in volatile markets or during yield curve inversions. This dynamic adjustment ensures the composite reflects current market sentiment.
Technical Signals:
Golden Cross: 50 EMA crossing above 200 SMA, signaling bullish momentum.
Death Cross: 50 EMA below 200 SMA, indicating bearish momentum.
Silver Cross: 21 EMA crossing above 50 EMA, plotted only if below the 200-day SMA, signaling potential upside in downtrend conditions.
Hospice Cross: 50 EMA crosses below 21 EMA, plotted only if 21 EMA is below 200 SMA, a leading bearish signal.
Recession Shading:
Recession periods like the Great Recession, Early 2000s Recession, and COVID-19 Recession are shaded to provide historical context.
Benefits of Using This Indicator:
Comprehensive Analysis: Combines economic fundamentals and technical analysis for a full market view.
Dynamic Risk Adjustment: Weights shift between growth and safe-haven assets based on volatility and recession risk.
Early Signals: The Silver Cross and Hospice Cross provide early warnings of potential market shifts.
Recession Forecasting: Helps predict downturns through the yield curve and recession indicators.
Who Can Benefit:
Traders: Identify market momentum shifts early through crossovers.
Long-term Investors: Use recession warnings and dynamic adjustments to protect portfolios.
Analysts: A holistic tool for analyzing both economic trends and market movements.
This indicator helps users navigate varying market conditions by dynamically adjusting based on economic factors and providing early technical signals for market momentum shifts.
CE - Market Performance TableThe 𝓜𝓪𝓻𝓴𝓮𝓽 𝓟𝓮𝓻𝓯𝓸𝓻𝓶𝓪𝓷𝓬𝓮 𝓣𝓪𝓫𝓵𝓮 is a sophisticated market tool designed to provide valuable insights into the current market trends and the approximate current position in the Macroeconomic Regime.
Furthermore the 𝓜𝓪𝓻𝓴𝓮𝓽 𝓟𝓮𝓻𝓯𝓸𝓻𝓶𝓪𝓷𝓬𝓮 𝓣𝓪𝓫𝓵𝓮 provides the Correlation Implied Trend for the Asset on the Chart. Lastly it provides information about current "RISK ON" or "RISK OFF" periods.
Methodology:
𝓜𝓪𝓻𝓴𝓮𝓽 𝓟𝓮𝓻𝓯𝓸𝓻𝓶𝓪𝓷𝓬𝓮 𝓣𝓪𝓫𝓵𝓮 tracks the 15 underlying Stock ETF's to identify their performance and puts the combined performances together to visualize 42MACRO's GRID Equity Model.
For this it uses the below ETF's:
Dividends (SPHD)
Low Beta (SPLV)
Quality (QUAL)
Defensives (DEF)
Growth (IWF)
High Beta (SPHB)
Cyclicals (IYT, IWN)
Value (IWD)
Small Caps (IWM)
Mid Caps (IWR)
Mega Cap Growth (MGK)
Size (OEF)
Momentum (MTUM)
Large Caps (IWB)
Overall Settings:
The main time values you want to change are:
Correlation Length
- Defines the time horizon for the Correlation Table
ROC Period
- Defines the time horizon for the Performance Table
Normalization lookback
- Defines the time horizon for the Trend calculation of the ETF's
- For longer term Trends over weeks or months a length of 50 is usually pretty accurate
Visuals:
There is a variety of options to change the visual settings of what is being plotted and the two table positions and additional considerations.
Everything that is relevant in the underlying logic that can help comprehension can be visualized with these options.
Market Correlation:
The Market Correlation Table takes the Correlation of the above ETF's to the Asset on the Chart, it furthermore uses the Normalized KAMA Oscillator by IkkeOmar to analyse the current trend of every single ETF.
It then Implies a Correlation based on the Trend and the Correlation to give a probabilistically adjusted expectation for the future Chart Asset Movement. This is strengthened by taking the average of all Implied Trends.
With this the Correlation Table provides valuable insights about probabilistically likely Movement of the Asset, for Traders and Investors alike, over the defined time duration.
Market Performance:
𝓜𝓪𝓻𝓴𝓮𝓽 𝓟𝓮𝓻𝓯𝓸𝓻𝓶𝓪𝓷𝓬𝓮 𝓣𝓪𝓫𝓵𝓮 is the actual valuable part of this Indicator.
It provides valuable information about the current market environment (whether it's risk on or risk off), the rough GRID models from 42MACRO and the actual market performance.
This allows you to obtain a deeper understanding of how the market works and makes it simple to identify the actual market direction.
Utility:
The 𝓜𝓪𝓻𝓴𝓮𝓽 𝓟𝓮𝓻𝓯𝓸𝓻𝓶𝓪𝓷𝓬𝓮 𝓣𝓪𝓫𝓵𝓮 is divided in 4 Sections which are the GRID regimes:
Economic Growth:
Goldilocks
Reflation
Economic Contraction:
Inflation
Deflation
Top 5 Equity Style Factors:
Are the values green for a specific Column? If so then the market reflects the corresponding GRID behavior.
Bottom 5 Equity Style Factors:
Are the values red for a specific Column? If so then the market reflects the corresponding GRID behavior.
So if we have Goldilocks as current regime we would see green values in the Top 5 Goldilocks Cells and red values in the Bottom 5 Goldilocks Cells.
You will find that Reflation will look similar, as it is also a sign of Economic Growth.
Same is the case for the two Contraction regimes.
DeepFlow Zones SNIPER# DeepFlow Zones SNIPER - Documentation & Cheatsheet
## 🎯 DeepFlow Zones - SNIPER Edition
**Horizontal Limit Order Zones | Institutional FVG + Single Prints**
> **Philosophy:** *Only mark the zones where institutions MUST have orders. Everything else is noise.*
---
## ⚡ QUICK CHEATSHEET
```
┌─────────────────────────────────────────────────────────────────────────────┐
│ DEEPFLOW ZONES SNIPER - QUICK REFERENCE │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ 🎯 ZONE CREATION REQUIREMENTS (ALL MUST BE TRUE): │
│ ══════════════════════════════════════════════════ │
│ ✓ FVG exists → Gap between candle low and 2-bar-ago high │
│ ✓ Gap Size → At least 30% of ATR (significant gap) │
│ ✓ Impulse Candle → 1.8x average range + 65% body ratio │
│ ✓ Volume → 2.0x+ average on impulse candle │
│ ✓ Direction → Middle candle confirms gap direction │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ 📊 ZONE TYPES: │
│ ══════════════ │
│ 🟢 BULLISH ZONE → Green box BELOW price (buy zone) │
│ 🔴 BEARISH ZONE → Red box ABOVE price (sell zone) │
│ ⚫ TESTED ZONE → Gray box (CE level touched) │
│ ⬛ BROKEN ZONE → Dark gray (price closed through) │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ ⭐ SINGLE PRINT LINES: │
│ ══════════════════════ │
│ Requirements: │
│ • Range 1.8x+ average │
│ • Body 65%+ of range │
│ • Volume 2.0x+ average │
│ • Delta 60%+ confirms direction │
│ │
│ Usage: │
│ • Gold lines at HIGH and LOW of impulse candle │
│ • Price often returns to these levels │
│ • Use as support/resistance for entries │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ 🚨 ENTRY SIGNALS: │
│ ═══════════════════ │
│ BUY🎯 appears when: │
│ • Price is inside BULLISH zone │
│ • Delta shows 60%+ buy dominance │
│ • Volume is 1.5x+ average │
│ │
│ SELL🎯 appears when: │
│ • Price is inside BEARISH zone │
│ • Delta shows 60%+ sell dominance │
│ • Volume is 1.5x+ average │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ 📐 ZONE ANATOMY: │
│ ═════════════════ │
│ │
│ BULLISH FVG ZONE: BEARISH FVG ZONE: │
│ │
│ Current Low ───────────────── ───────────────── 2-bar-ago Low │
│ ┌─────────────────────────┐ ┌─────────────────────────┐ │
│ │ █████ ZONE █████████████│ │ █████ ZONE █████████████│ │
│ │- - - CE (50%) - - - - - │ │- - - CE (50%) - - - - - │ │
│ │ ████████████████████████│ │ ████████████████████████│ │
│ └─────────────────────────┘ └─────────────────────────┘ │
│ 2-bar-ago High ────────────── ───────────────── Current High │
│ │
│ Entry: At or near CE line Entry: At or near CE line │
│ Stop: Below zone bottom Stop: Above zone top │
│ Target: 1:1 or 2:1 R:R Target: 1:1 or 2:1 R:R │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ ⛔ ZONE IS INVALID WHEN: │
│ ═════════════════════════ │
│ ✗ Gap size < 30% of ATR (too small) │
│ ✗ No impulse candle (weak move) │
│ ✗ Volume < 2x average (retail move) │
│ ✗ Zone age > 50 bars (stale) │
│ ✗ Price already closed through zone │
│ │
└─────────────────────────────────────────────────────────────────────────────┘
```
---
## 📋 DETAILED DOCUMENTATION
### What Makes SNIPER Zones Different?
Standard FVG indicators create zones everywhere. SNIPER zones only appear when there's **institutional footprint**:
| Filter | Standard FVG | SNIPER Zones | Why It Matters |
|--------|-------------|--------------|----------------|
| Gap Size | Any gap | **≥30% ATR** | Significant imbalance |
| Volume | Optional | **2.0x+ avg** | Institutional volume |
| Impulse | None | **1.8x range** | Real momentum |
| Body | None | **65%+ ratio** | Conviction candle |
| Max Zones | 20-50 | **10 max** | Only the best |
| Zone Life | 100 bars | **50 bars** | Fresh zones only |
---
### How Zones Are Created
```
BULLISH FVG FORMATION:
═══════════════════════
Bar 0 (2 bars ago): Bar 1 (Impulse): Bar 2 (Current):
┌─────┐ ┌─────┐ ┌─────┐
│ │ │█████│ │ │
│ │ HIGH ────── │█████│ │ │
│ │ │ │█████│ │ │
└─────┘ │ │█████│ │ │── LOW
│ └─────┘ └─────┘
│ │
└──────── GAP ────────────────┘
(FVG ZONE)
Requirements Met:
✓ Current LOW > 2-bar-ago HIGH (gap exists)
✓ Gap ≥ 30% of ATR (significant)
✓ Bar 1 range ≥ 1.8x average (impulse)
✓ Bar 1 body ≥ 65% of range (conviction)
✓ Bar 1 volume ≥ 2x average (institutional)
✓ Bar 1 was bullish (direction confirms)
RESULT: VALID SNIPER BULLISH ZONE CREATED
```
---
### Single Print Lines Explained
Single Prints mark **institutional impulse candles** where price moved so fast that no orders were filled at those levels. These levels often act as magnets for price.
```
SINGLE PRINT CANDLE:
════════════════════
HIGH ═══════════════════════════════ (Gold Line)
│
┌─────────────────┤
│█████████████████│ ← Large body (65%+)
│█████████████████│ ← Strong volume (2x+)
│█████████████████│ ← Clear delta (60%+)
│█████████████████│
└─────────────────┤
│
LOW ═══════════════════════════════ (Gold Line)
These horizontal lines extend 500 bars into the future.
Price often returns to test these levels.
```
---
### Entry Strategy
#### Zone Entry Checklist
```
□ Zone is active (green/red, not gray)
□ Price enters zone from outside
□ Wait for entry signal (BUY🎯 or SELL🎯)
□ Verify: Delta + Volume confirming
□ Enter at CE line (dotted white line)
□ Stop below/above zone
□ Target: Opposite side of zone (1:1) or 2:1
```
#### Single Print Entry
```
□ Price returns to single print level
□ Look for reaction (rejection candle)
□ Combine with GRA signal if possible
□ Enter on confirmation candle
□ Stop beyond the single print line
```
---
### Table Legend
| Field | Reading | Color Meaning |
|-------|---------|---------------|
| **Delta** | Buy/Sell % | 🟢 Buy dom, 🔴 Sell dom, ⚪ Neutral |
| **Vol** | Volume ratio | 🟢 ≥2x, ⚪ <2x |
| **Buy ⬚** | Active buy zones | Count of bullish zones |
| **Sell ⬚** | Active sell zones | Count of bearish zones |
| **Zone** | Current position | AT BUY / AT SELL / --- |
| **Impulse** | Current bar status | 🟡 Yes (impulse), ⚫ No |
---
### Zone States
| State | Visual | Meaning | Action |
|-------|--------|---------|--------|
| **Fresh** | Bright color | Never tested | Best entries |
| **Tested** | Gray | CE touched | Still valid, less reliable |
| **Broken** | Dark gray | Price closed through | Invalid, ignore |
---
### Integration with GRA v5
The magic happens when you combine both indicators:
```
HIGHEST PROBABILITY SETUP:
══════════════════════════
1. DeepFlow shows active zone (green/red box)
2. Price enters the zone
3. GRA5 fires a signal INSIDE the zone
4. Delta confirms on both indicators
5. Volume confirms on both indicators
This is your SNIPER entry. Take it.
Example:
┌─────────────────────────────────────────┐
│ Price enters BULLISH zone │
│ GRA5 shows: A🎯 LONG │
│ DFZ shows: BUY🎯 │
│ Table: Vol 2.1x, Delta 67%B │
│ │
│ ACTION: Full size LONG at CE │
│ STOP: Below zone bottom │
│ TARGET: 2:1 R:R │
└─────────────────────────────────────────┘
```
---
### Settings by Instrument
| Instrument | Vol Mult | Gap ATR | Impulse | Max Zones |
|------------|----------|---------|---------|-----------|
| **NQ/ES** | 2.0x | 30% | 1.8x | 10 |
| **YM** | 2.0x | 30% | 1.8x | 10 |
| **GC** | 2.5x | 40% | 2.0x | 8 |
| **BTC** | 2.0x | 25% | 1.5x | 10 |
---
### Common Mistakes
| Mistake | Why It's Bad | Solution |
|---------|-------------|----------|
| Trading every zone | Most zones fail | Wait for entry signal |
| Entering at zone edge | Wrong R:R | Enter at CE (middle) |
| Ignoring broken zones | Already invalidated | Gray = don't trade |
| No delta confirmation | Could be false zone | BUY🎯/SELL🎯 required |
| Too many zones | Chart noise | Max 10 zones |
---
### Alert Configuration
| Alert | Priority | Action |
|-------|----------|--------|
| 🎯 BUY/SELL ZONE ENTRY | 🔴 High | Check chart immediately |
| NEW BULL/BEAR ZONE | 🟠 Medium | Note new zone location |
| 🎯 SINGLE PRINT | 🟢 Low | Mark potential S/R |
---
### Pine Script v6 Notes
This indicator uses Pine Script v6 features:
- Array-based zone management
- `request.security_lower_tf()` for delta
- Dynamic zone state tracking
- Efficient garbage collection
**Minimum TradingView Plan:** Pro (for intrabar data)
---
## 🏆 Golden Rules
1. **Fewer zones = Better zones.** If you see more than 5 active zones, your settings are too loose.
2. **Fresh zones > Tested zones.** The first touch is always the best.
3. **CE is king.** The middle of the zone (50% level) is your entry point.
4. **Zone + GRA signal = Sniper entry.** This confluence is what we're hunting for.
5. **Gray zones don't exist.** Once broken, pretend the zone was never there.
---
*© Alexandro Disla - DeepFlow Zones SNIPER*
*Pine Script v6 | TradingView*
GRA v5 SNIPER# GRA v5 SNIPER - Documentation & Cheatsheet
## 🎯 Get Rich Aggressively v5 - SNIPER Edition
**Precision Futures Scalping | NQ • ES • YM • GC • BTC**
> **Philosophy:** *Quality over quantity. One sniper shot beats ten spray-and-pray attempts.*
---
## ⚡ QUICK CHEATSHEET
```
┌─────────────────────────────────────────────────────────────────────────────┐
│ GRA v5 SNIPER - QUICK REFERENCE │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ 🎯 SIGNAL REQUIREMENTS (ALL MUST BE TRUE): │
│ ═══════════════════════════════════════════ │
│ ✓ Tier → B minimum (20+ pts NQ) │
│ ✓ Volume → 1.5x+ average │
│ ✓ Delta → 60%+ dominance (buyers OR sellers) │
│ ✓ Body → 70%+ of candle range │
│ ✓ Range → 1.3x+ average candle size │
│ ✓ Wicks → Small opposite wick (<50% of body) │
│ ✓ CVD → Trending with signal direction │
│ ✓ Session → London (3-5am ET) OR NY (9:30-11:30am ET) │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ 📊 TIER ACTIONS: │
│ ════════════════ │
│ S-TIER (100+ pts) → 🥇 HOLD position, ride the wave │
│ A-TIER (50-99 pts) → 🥈 SWING for 2-3 minutes │
│ B-TIER (20-49 pts) → 🥉 SCALP quick, 30-60 seconds │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ 🚨 ENTRY CHECKLIST: │
│ ═══════════════════ │
│ □ Signal appears (S🎯, A🎯, or B🎯) │
│ □ Table shows: Vol GREEN, Delta colored, Body GREEN │
│ □ CVD arrow matches direction (▲ for long, ▼ for short) │
│ □ Session active (LDN! or NY! in yellow) │
│ □ Enter at close of signal candle │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ ⛔ DO NOT TRADE WHEN: │
│ ════════════════════ │
│ ✗ Session shows "---" (outside key hours) │
│ ✗ Vol shows RED (below 1.5x) │
│ ✗ Body shows RED (weak candle structure) │
│ ✗ Delta below 60% (no clear dominance) │
│ ✗ Multiple conflicting signals │
│ │
├─────────────────────────────────────────────────────────────────────────────┤
│ │
│ 📈 INSTRUMENT SETTINGS: │
│ ════════════════════════ │
│ NQ/ES (1-3 min): S=100, A=50, B=20 pts │
│ YM (1-5 min): S=100, A=50, B=25 pts │
│ GC (5-15 min): S=15, A=8, B=4 pts │
│ BTC (1-15 min): S=500, A=250, B=100 pts │
│ │
└─────────────────────────────────────────────────────────────────────────────┘
```
---
## 📋 DETAILED DOCUMENTATION
### What Makes SNIPER Different?
The SNIPER edition eliminates 80%+ of signals compared to standard GRA. Every signal that passes through has been validated by **8 independent filters**:
| Filter | Standard GRA | SNIPER GRA | Why It Matters |
|--------|-------------|------------|----------------|
| Volume | 1.3x avg | **1.5x avg** | Institutional participation |
| Delta | 55% | **60%** | Clear buyer/seller control |
| Body Ratio | None | **70%+** | No dojis or spinners |
| Range | None | **1.3x avg** | Significant price movement |
| Wicks | None | **<50% body** | Conviction in direction |
| CVD | None | **Required** | Trend confirmation |
| B-Tier Min | 10 pts | **20 pts** | Filter noise |
| Session | Optional | **Required** | Institutional hours |
---
### Signal Anatomy
When you see a signal like `A🎯`, here's what passed validation:
```
Signal: A🎯 LONG at 21,450.00
Validation Breakdown:
├── Points: 67.5 pts ✓ (A-Tier = 50-99)
├── Volume: 2.1x avg ✓ (≥1.5x required)
├── Delta: 68% Buyers ✓ (≥60% required)
├── Body: 78% of range ✓ (≥70% required)
├── Range: 1.6x avg ✓ (≥1.3x required)
├── Wick: Upper 15% ✓ (<50% of body)
├── CVD: ▲ Rising ✓ (Matches LONG)
└── Session: NY! ✓ (Active session)
RESULT: VALID SNIPER SIGNAL
```
---
### Table Legend
| Field | Reading | Color Meaning |
|-------|---------|---------------|
| **Pts** | Point movement | Gold/Green/Yellow = Tiered |
| **Tier** | S/A/B/X | Gold/Green/Yellow/White |
| **Vol** | Volume ratio | 🟢 ≥1.5x, 🔴 <1.5x |
| **Delta** | Buy/Sell % | 🟢 Buy dom, 🔴 Sell dom, ⚪ Neutral |
| **Body** | Body % of range | 🟢 ≥70%, 🔴 <70% |
| **CVD** | Cumulative delta | ▲ Bullish trend, ▼ Bearish trend |
| **Sess** | Session status | 🟡 Active, ⚫ Inactive |
---
### Trading Rules
#### Entry Rules
1. **Wait for signal** - Don't anticipate
2. **Verify table** - All conditions GREEN
3. **Enter at candle close** - Not during formation
4. **Position size by tier:**
- S-Tier: Full size
- A-Tier: 75% size
- B-Tier: 50% size
#### Exit Rules
| Tier | Target | Max Hold Time |
|------|--------|---------------|
| S | Let it run | 5-10 minutes |
| A | 1:1.5 R:R | 2-3 minutes |
| B | 1:1 R:R | 30-60 seconds |
#### Stop Loss
- Place at **opposite end of signal candle**
- For S-Tier: Allow 50% retracement
- For B-Tier: Tight stop, quick exit
---
### Session Priority
```
LONDON OPEN (3:00-5:00 AM ET)
════════════════════════════
• Best for: GC, European indices
• Characteristics: Stop hunts, reversals
• Look for: Sweeps of Asian session levels
NY OPEN (9:30-11:30 AM ET)
════════════════════════════
• Best for: NQ, ES, YM
• Characteristics: High volume, trends
• Look for: Continuation after 10 AM
```
---
### Common Mistakes to Avoid
| Mistake | Why It's Bad | Solution |
|---------|-------------|----------|
| Trading outside sessions | Low volume = fake moves | Wait for LDN! or NY! |
| Ignoring weak body | Dojis reverse | Body must be 70%+ |
| Fighting CVD | Swimming upstream | CVD must confirm |
| Oversizing B-Tier | Small moves = small size | 50% max on B |
| Chasing missed signals | FOMO loses money | Wait for next setup |
---
### Alert Setup
Configure these alerts in TradingView:
| Alert | Priority | Action |
|-------|----------|--------|
| 🎯 S-TIER LONG/SHORT | 🔴 High | Drop everything, check chart |
| 🎯 A-TIER LONG/SHORT | 🟠 Medium | Evaluate within 30 seconds |
| 🎯 B-TIER LONG/SHORT | 🟢 Low | Quick glance if available |
| LONDON/NY OPEN | 🔵 Info | Prepare for action |
---
### Pine Script v6 Notes
This indicator uses Pine Script v6 features:
- `request.security_lower_tf()` for intrabar delta
- Type inference for cleaner code
- Array operations for CVD calculation
**Minimum TradingView Plan:** Pro (for intrabar data)
---
## 🏆 Golden Rule
> **"If you have to convince yourself it's a good signal, it's not a good signal."**
The SNIPER edition is designed so that when a signal appears, there's nothing to think about. If all conditions are met, you trade. If any condition fails, you wait.
**Leave every trade with money. That's the goal.**
---
*© Alexandro Disla - Get Rich Aggressively v5 SNIPER*
*Pine Script v6 | TradingView*
Fibonacci Degree System This Pine Script creates a sophisticated technical analysis tool that combines Fibonacci retracements with a degree-based cycle system. Here's a comprehensive breakdown:
Core Concept
The indicator maps price movements onto a 360-degree circular framework, treating market cycles like geometric angles. It creates a visual "mesh" where Fibonacci ratios intersect in both price (horizontal) and time (vertical) dimensions.
How It Works
1. Finding Reference Points
The script looks back over a specified period (default 100 bars) to identify:
Highest High: The peak price point
Lowest Low: The trough price point
Time Locations: Exactly which bars these extremes occurred on
These two points form the boundaries of your analysis window.
2. Creating the Fibonacci Grid
Horizontal Lines (Price Levels):
The script divides the price range between high and low into seven key Fibonacci ratios:
0% (Low) - Bottom boundary in red
23.6% - Minor retracement in orange
38.2% - Shallow retracement in yellow
50% - Midpoint in lime green
61.8% - Golden ratio in aqua (most significant)
78.6% - Deep retracement in blue
100% (High) - Top boundary in purple
Each line represents a potential support/resistance level where price might react.
Vertical Lines (Time Cycles):
The same Fibonacci ratios are applied to the time dimension between the high and low bars. If your high and low are 50 bars apart, vertical lines appear at:
Bar 0 (0%)
Bar 12 (23.6%)
Bar 19 (38.2%)
Bar 25 (50%)
Bar 31 (61.8%)
Bar 39 (78.6%)
Bar 50 (100%)
These suggest when price might make significant moves.
3. The Degree Mapping System
The innovative feature maps the time progression to degrees:
0° = Start point (0% time)
85° = 23.6% through the cycle
138° = 38.2% through the cycle
180° = Midpoint (50%)
222° = 61.8% through the cycle (golden angle)
283° = 78.6% through the cycle
360° = Complete cycle (100%)
This treats market movements as circular patterns, similar to how planets orbit or pendulums swing.
Visual Output
When you apply this indicator, you'll see:
A rectangular mesh extending beyond your high-low range (by 150% default)
Color-coded horizontal lines showing price Fibonacci levels
Matching vertical lines showing time Fibonacci intervals
Price labels on the right showing percentage levels
Degree labels at the bottom showing the angular position in the cycle
Intersection points creating a grid of potentially significant price-time coordinates
Trading Application
Traders use this to identify:
Support/Resistance Zones: Where horizontal and vertical lines intersect
Time Targets: When price might reverse (at vertical Fibonacci times)
Cycle Completion: When approaching 360°, a new cycle may begin
Harmonic Patterns: Geometric relationships between price and time
Customization Features
The script offers extensive control:
Lookback period: Adjust cycle length (10-500 bars)
Mesh extension: How far to project the grid forward
Visual toggles: Show/hide horizontal lines, vertical lines, labels
Styling: Line thickness, style (solid/dashed/dotted), colors
Label positioning: Fine-tune text placement for readability
The intersection at 61.8% time and 61.8% price at 222° becomes a key target zone.
This tool essentially converts the abstract concept of market cycles into a concrete, visual geometric framework that traders can analyze and act upon.
DISCLAIMER: This information is provided for educational purposes only and should not be considered financial, investment, or trading advice.
No guarantee of profits: Past performance and theoretical models do not guarantee future results. Trading and investing involve substantial risk of loss.
Not a recommendation: This script illustration does not constitute a recommendation to buy, sell, or hold any financial instrument.
Do your own research: Always conduct thorough independent research and consider consulting with a qualified financial advisor before making any trading decisions.
Get_rich_aggressively_v5# 🚀 GET RICH AGGRESSIVELY v5 - TIER SYSTEM
### Precision Futures Scalping | NQ • ES • YM • GC • BTC
### *Leave Every Trade With Money*
---
## 📋 QUICK CHEATSHEET
```
┌─────────────────────────────────────────────────────────────────────────────┐
│ GRA v5 SIGNAL REQUIREMENTS │
├─────────────────────────────────────────────────────────────────────────────┤
│ ✓ TIER MET Points ≥ 10 (B), ≥ 50 (A), ≥ 100 (S) │
│ ✓ VOLUME ≥ 1.3x average │
│ ✓ DELTA ≥ 55% dominance (buyers OR sellers) │
│ ✓ DIRECTION Candle color = Delta direction │
│ ✓ SESSION In London (3-5AM) or NY (9:30-11:30AM) if filter ON │
├─────────────────────────────────────────────────────────────────────────────┤
│ TIER ACTIONS │
├─────────────────────────────────────────────────────────────────────────────┤
│ 🥇 S-TIER (100+ pts) │ HOLD LONGER │ Big institutional move │
│ 🥈 A-TIER (50-99 pts) │ HOLD A BIT │ Medium move, trail to BE │
│ 🥉 B-TIER (10-49 pts) │ CLOSE QUICK │ Scalp 5-10 pts, exit fast │
│ ❌ NO TIER (< 10 pts) │ NO TRADE │ Not enough conviction │
├─────────────────────────────────────────────────────────────────────────────┤
│ SESSION PRIORITY │
├─────────────────────────────────────────────────────────────────────────────┤
│ 🔵 LONDON OPEN 03:00-05:00 ET │ IB forms 03:00-04:00 │
│ 🟢 NY OPEN 09:30-11:30 ET │ IB forms 09:30-10:30 │
│ 📊 IB BREAKOUT Close beyond IB + Impulse + 1.3x Vol = HIGH CONVICTION│
├─────────────────────────────────────────────────────────────────────────────┤
│ VOLUME PROFILE ZONES │
├─────────────────────────────────────────────────────────────────────────────┤
│ 🔵 HVN (Blue BG) High volume = Support/Resistance, expect consolidation │
│ 🟡 LVN (Yellow BG) Low volume = Breakout acceleration, fast moves │
│ 🟣 POC Point of Control = Institutional fair value │
│ 🟣 VAH/VAL Value Area edges = S/R zones │
├─────────────────────────────────────────────────────────────────────────────┤
│ MARKET STATE DECODER │
├─────────────────────────────────────────────────────────────────────────────┤
│ TREND UP │ Price > EMA20 + CVD rising │ Trade WITH the trend │
│ TREND DN │ Price < EMA20 + CVD falling │ Trade WITH the trend │
│ RETRACE │ Price/CVD diverging │ Pullback, prepare for entry │
│ RANGE │ No clear direction │ Reduce size or skip │
├─────────────────────────────────────────────────────────────────────────────┤
│ 💎 HIGH CONVICTION UPGRADE │
├─────────────────────────────────────────────────────────────────────────────┤
│ Purple diamond (◆) appears when: │
│ • Strong delta (≥65%) + Strong volume (≥2x) + Market in imbalance │
│ → Consider upgrading tier (B→A, A→S) for position sizing │
└─────────────────────────────────────────────────────────────────────────────┘
```
---
## 🎯 THE TIER SYSTEM
The tier system classifies candles by **point movement** to determine trade management:
| Tier | Points | Action | Expected R:R |
|:----:|:------:|:------:|:------------:|
| 🥇 **S-TIER** | 100+ | HOLD LONGER | 2:1+ |
| 🥈 **A-TIER** | 50-99 | HOLD A BIT | 1.5:1 |
| 🥉 **B-TIER** | 10-49 | CLOSE QUICK | 1:1 |
| ❌ **NO TIER** | < 10 | NO TRADE | — |
---
## ✅ SIGNAL REQUIREMENTS
**ALL conditions must be TRUE for a signal:**
```
SIGNAL = TIER + VOLUME + DELTA + DIRECTION + SESSION
☐ Points ≥ 10 (minimum B-tier)
☐ Volume ≥ 1.3x average
☐ Delta dominance ≥ 55%
☐ Candle direction = Delta direction
☐ In session (if filter ON)
ANY FALSE = NO SIGNAL = NO TRADE
```
---
## 📊 VOLUME DOMINANCE ANALYSIS
This is the **core edge** of GRA v5. We use intrabar analysis to determine who is in control:
```
VOLUME ANALYSIS BREAKDOWN
Total Volume = Buy Volume + Sell Volume
Buy Volume: Who pushed price UP within the bar
Sell Volume: Who pushed price DOWN within the bar
Delta = Buy Volume - Sell Volume
Buy Dominance = Buy Volume / Total Volume
Sell Dominance = Sell Volume / Total Volume
≥ 55% = ONE SIDE IN CONTROL
≥ 65% = STRONG DOMINANCE (high conviction)
```
**Direction Confirmation Matrix:**
| Candle | Delta | Signal |
|:-------|:------|:-------|
| 🟢 Bullish | 55%+ Buyers | ✅ LONG |
| 🟢 Bullish | 55%+ Sellers | ❌ Trap |
| 🔴 Bearish | 55%+ Sellers | ✅ SHORT |
| 🔴 Bearish | 55%+ Buyers | ❌ Trap |
---
## 🕐 SESSION CONTEXT
### Initial Balance (IB) Framework
The **first hour** of each session establishes the IB range. Institutions use this for the day's framework.
```
SESSION WINDOWS (Eastern Time):
LONDON:
├── IB Period: 03:00 - 04:00 ← Range established
├── Trade Window: 03:00 - 05:00 ← Best signals
└── Extension Targets: 1.5x, 2.0x
NY:
├── IB Period: 09:30 - 10:30 ← Range established
├── Trade Window: 09:30 - 11:30 ← Best signals
└── Extension Targets: 1.5x, 2.0x
```
### IB Breakout Signals
```
L▲ / L▼ = London IB Breakout (Blue)
N▲ / N▼ = NY IB Breakout (Orange)
Confirmation Required:
☐ Close beyond IB level (not just wick)
☐ Impulse candle (body > 60% of range)
☐ Volume > 1.3x average
```
**IB Statistics:**
- 97% of days break either IB high or low
- 1.5x extension = first profit target
- 2.0x extension = full range target
- ~66% of London sessions sweep Asian high/low first
---
## 📈 VIRTUAL VOLUME PROFILE ZONES
GRA v5 calculates volume profile zones **without drawing the profile**, giving you the key levels:
### Zone Types
| Zone | Background | Meaning | Action |
|:-----|:-----------|:--------|:-------|
| **HVN** | 🔵 Blue | High Volume Node | S/R zone, expect consolidation |
| **LVN** | 🟡 Yellow | Low Volume Node | Breakout zone, fast acceleration |
| **POC** | 🟣 Purple dots | Point of Control | Institutional fair value |
| **VAH/VAL** | 🟣 Purple lines | Value Area edges | S/R boundaries |
### How to Use
```
ENTERING A TRADE:
At HVN:
├── Expect price to consolidate
├── Look for rejection/absorption
└── Better for reversals
At LVN:
├── Expect fast price movement
├── Don't fight the direction
└── Better for breakouts
Near POC:
├── Institutional fair value
├── Strong magnet effect
└── Watch for volume at POC
```
---
## 🔄 MARKET STATE DETECTION
GRA v5 classifies the market into four states using **CVD + Price Action**:
```
CVD Direction
↑ Rising ↓ Falling
┌─────────────┬─────────────┐
Price > EMA20 │ TREND UP │ RETRACE │
│ (Go Long) │ (Pullback) │
├─────────────┼─────────────┤
Price < EMA20 │ RETRACE │ TREND DN │
│ (Pullback) │ (Go Short) │
└─────────────┴─────────────┘
```
| State | Meaning | Action |
|:------|:--------|:-------|
| **TREND UP** | Buyers in control | Trade long, follow signals |
| **TREND DN** | Sellers in control | Trade short, follow signals |
| **RETRACE** | Pullback against trend | Prepare for continuation entry |
| **RANGE** | No clear direction | Reduce size or wait |
---
## 💎 HIGH CONVICTION UPGRADES
When extra conditions align, GRA v5 marks the signal with a **purple diamond**:
```
HIGH CONVICTION = Base Signal + Strong Delta (65%+) + Strong Volume (2x+) + Imbalance State
```
**Action:** Consider upgrading tier for position sizing:
- B-Tier → A-Tier management
- A-Tier → S-Tier management
---
## 📋 TRADING BY TIER
### 🥇 S-TIER (100+ points)
| | |
|:--|:--|
| **Entry** | Candle close |
| **Target** | IB extension / Next S/R |
| **Management** | HOLD LONGER |
**Rules:**
- Watch next candle - continues? HOLD
- Same tier same direction? ADD
- Opposite tier signal? EXIT on close
- Never close early unless reversal signal
### 🥈 A-TIER (50-99 points)
| | |
|:--|:--|
| **Entry** | Candle close |
| **Target** | 1.5x initial risk minimum |
| **Management** | HOLD A BIT |
**Rules:**
- Target 1.5:1 R:R minimum
- Trail to breakeven after 1:1
- If stalls, take profit
- Upgrade to S-tier management if high conviction
### 🥉 B-TIER (10-49 points)
| | |
|:--|:--|
| **Entry** | Candle close |
| **Target** | 5-10 points MAX |
| **Management** | CLOSE QUICK |
**Rules:**
- Exit in 1-3 candles
- DO NOT hold for more
- Any doubt = EXIT
- Quick scalp mentality
---
## ⚙️ SETTINGS BY INSTRUMENT
| Setting | NQ/ES | YM | GC | BTC |
|:--------|:-----:|:--:|:--:|:---:|
| **Timeframe** | 1-5 min | 1-5 min | 5-15 min | 1-15 min |
| **S-Tier** | 100 pts | 100 pts | 15 pts | 500 pts |
| **A-Tier** | 50 pts | 50 pts | 8 pts | 250 pts |
| **B-Tier** | 10 pts | 15 pts | 3 pts | 50 pts |
| **Min Volume** | 1.3x | 1.3x | 1.5x | 1.3x |
| **Delta %** | 55% | 55% | 58% | 55% |
| **Best Time** | 9:30-11:30 ET | 9:30-11:30 ET | 3-5AM & 8:30-10:30 ET | 24/7 |
---
## 📊 TABLE LEGEND
The info panel displays real-time market data:
| Row | Shows | Colors |
|:----|:------|:-------|
| **Pts** | Candle points | Gold/Green/Yellow by tier |
| **Tier** | S/A/B/X | Gold/Green/Yellow/White |
| **Vol** | Volume ratio | Yellow (2x+) / Green (1.3x+) / Red |
| **Delta** | Buy/Sell % | Green (buy) / Red (sell) / White |
| **CVD** | Direction | Green ▲ / Red ▼ |
| **State** | Market state | Green/Red/Orange/Gray |
| **Sess** | Session | Yellow if active |
| **Zone** | VP zone | Blue/Yellow/Purple |
| **Sig** | Signal | Green/Red if active |
---
## 🔔 ALERTS
| Alert | When | Action |
|:------|:-----|:-------|
| **S-TIER LONG/SHORT** | S-tier signal | Hold longer |
| **A-TIER LONG/SHORT** | A-tier signal | Hold a bit |
| **B-TIER LONG/SHORT** | B-tier signal | Close quick |
| **LON IB BREAK UP/DN** | London IB breakout | Major session move |
| **NY IB BREAK UP/DN** | NY IB breakout | Major session move |
| **HIGH CONVICTION** | Upgraded signal | Consider larger size |
| **LONDON/NY OPEN** | Session start | Get ready |
---
## 💰 THE GOLDEN RULE
> ### **LEAVE EVERY TRADE WITH MONEY**
>
> | Situation | Rule |
> |:----------|:-----|
> | B-Tier | Small win > Small loss |
> | A-Tier | Trail to BE, lock profit |
> | S-Tier | Let it run to target |
> | No Signal | NO TRADE |
> | Wrong Side | EXIT immediately |
>
> **Capital preserved = Trade tomorrow**
---
## ⚠️ DISCLAIMER
> Risk management is **YOUR** responsibility.
> Never risk more than 1-2% per trade.
> Paper trade until you understand the signals.
> Past performance ≠ future results.
---
### Get Rich. Stay Rich. Trade Aggressively. 🚀
**Get Rich Aggressively v5**
*Precision Futures Scalping*
Fibonacci Retrace + 50 EMA Hariss 369This indicator combines 3 concepts:
Fibonacci retracement zones
50 EMA trend filter
Price interaction with specific Fib zones to generate Buy/Sell signals
Let’s break everything down in simple language.
1. Fibonacci Retracement Logic
The script finds:
Most recent swing high
Most recent swing low
Using these two points, it draws Fibonacci levels:
Fibonacci Levels Used
Level Meaning Calculation
0% Swing Low recentLow
38.2% Light retracement high - (range × 0.382)
50% Mid retracement high - (range × 0.50)
61.8% Deep retracement high - (range × 0.618)
100% Swing High recentHigh
🔍 Why only these levels?
Because trading signals are generated based ONLY on:38.2%, 50%,61.8%
These 3 levels define the golden retracement zones.
2. Trend Filter — 50 EMA
A powerful rule:
Trend Up (bullish)
➡️ Price > 50 EMA
Trend Down (bearish)
➡️ Price < 50 EMA
This prevents signals against the main trend.
3. BUY Conditions (Retracement + EMA)
A BUY signal appears when:
Price is above the 50 EMA (trend is up)
Price retraces into the BUY ZONE:
🔵 BUY ZONE = between 50% and 38.2% Fibonacci i.e.,close >= Fib50 AND close <= Fib38.2
This means:
Market is trending up
Price corrected to a healthy retracement level
Buyers are stepping back in
📘 Why this zone?
This is a moderate retracement (not too shallow, not too deep).
Smart money often enters at 38.2%–50% in a strong trend.
📘 BUY Signal Appears With:
Green “BUY” label
Green arrow below the candle
4. SELL Conditions (Retracement + EMA)
A SELL signal appears when:
Price is below the 50 EMA (trend is down)
Price retraces upward into the SELL ZONE:
🔴 SELL ZONE = between 50% and 61.8% Fibonacci i.e.,close <= Fib50 AND close >= Fib61.8
This means:
Market is trending down
Price made a pullback
Sellers regain control in the golden zone
📘 Why this zone?
50–61.8 retracement is the ideal bearish pullback level.
📘 SELL Signal Appears With:
Red “SELL” label
Red arrow above the candle
5. STOP-LOSS (SL) RULES
For BUY trades,
Place SL below 61.8% level.SL = Fib 61.8%
OR
more safe:SL = swing low (Fib 0%)
For SELL trades
Place SL above 38.2% level.SL = Fib 38.2%
OR conservative:
SL = swing high (Fib 100%)
6. TAKE-PROFIT (TP) RULES
Based on common Fibonacci extensions.
BUY Trade TP Options
TP Level Meaning
TP1 Return to 38.2% Quick scalping target
TP2 Return to swing high Full trend target
TP3 Breakout above swing high Trend continuation
Practical suggestion:
TP1 = 1× risk
TP2 = 2× risk
TP3 = trailing stop
SELL Trade TP Options
TP Level Meaning
TP1 Return to 61.8% Moderate bounce
TP2 Return to swing low Trend target
TP3 Break below swing low Trend continuation
7. Recommended Trading Plan (Simple)
BUY PLAN
Price > 50 EMA (uptrend)
Enter at BUY signal in 38.2–50% zone
SL at 61.8%
TP at swing high or structure break
SELL PLAN
Price < 50 EMA (downtrend)
Enter at SELL signal in 50–61.8% zone
SL above 38.2%
TP at swing low
🟩 Summary (Very Easy to Remember)
🔵 BUY
Trend: above 50 EMA
Zone: between 50% and 38.2%
SL: below 61.8%
TP: swing high
🔴 SELL
Trend: below 50 EMA
Zone: between 50% and 61.8%
SL: above 38.2%
TP: swing low
Dimagi72 Trend Suite (EMA/SMA + 52W + Cross Signals)Dimagi72 Trend Suite is an advanced trend analysis tool designed to give traders a clear picture of market direction, momentum, and major structural turning points.
It combines the most reliable long-term and short-term signals into one clean, easy-to-read indicator.
Features
• EMA9 & EMA21 for short-term momentum
• SMA50, SMA100, SMA200 for medium & long-term trend structure
• 52-Week High & Low levels for institutional support/resistance
• Golden Cross / Death Cross signals (SMA50 vs SMA200)
• Trend Strength Meter, shown directly on the chart
• Clean labels without clutter
• Designed for crypto, stocks, and forex on all timeframes (best on Daily)
How it works
The indicator measures alignment between EMAs and SMAs, tracks long-term institutional levels, and highlights major trend reversals through cross signals.
The Trend Strength Meter calculates a score from -4 to +4, making trend direction instantly visible.
Why use this indicator
This suite brings together the most widely used trend-following tools into one unified system.
It helps traders quickly determine when the market is bullish, bearish, or neutral — and when major reversals may be forming.
Best for:
Swing traders, long-term trend followers, crypto traders, and anyone who wants a clean visual overview of the trend without using multiple separate indicators.
Tags (use these to show up in search)
trend
ema
sma
trend-following
golden cross
death cross
momentum
trend strength
52 week high
crypto
stocks
market structure
Filter Cross1. Indicator Name
Filter Cross Indicator
2. One-line Introduction
A multi-filtered crossover strategy that enhances classic moving average signals with trend, volatility, volume, and momentum confirmation.
3. General Overview
The Filter Cross indicator builds upon the traditional golden/dead cross concept by incorporating additional market filters to evaluate the quality of each signal. It uses two key moving averages (50-period and 200-period SMA) to identify crossovers, while adding four advanced metrics:
Linear regression trend ordering,
ATR-based volatility positioning,
Volume pressure,
Price positioning relative to fast MA.
These components are individually scored and averaged to calculate a Confidence %, which is displayed on the chart alongside each crossover signal. Visual cues such as dynamic color changes reflect the current trend direction and strength, making it intuitive for both novice and experienced traders.
The indicator is especially effective in swing trading and trend-following strategies, where false signals can be filtered out through the additional logic.
Security measures are applied to ensure that the core logic remains protected, making it safe for proprietary use.
4. Key Advantages
✅ Multi-factor Signal Validation
Evaluates each signal using four key market filters to improve reliability over classic crossovers.
📉 Confidence Score Display
Each signal is accompanied by a Confidence % label to help traders assess entry/exit quality.
🎨 Dynamic Color Feedback
Automatically adjusts chart color based on trend intensity and direction, aiding visual clarity.
🔍 Linear Regression Trend Logic
Uses pairwise comparison of regression data to quantify trend alignment across lookback periods.
📈 Reduced False Signals
Minimizes noise and weak signals during sideways markets using adaptive thresholds.
📘 Indicator User Guide
📌 Basic Concept
Filter Cross enhances moving average crossover signals using four additional market-based filters.
These include trend alignment, volatility range, volume strength, and price momentum.
Final signals are graded with a Confidence % score, showing how favorable the conditions are for action.
⚙️ Settings Explained
Fast MA Length: Short-term moving average period (default: 50)
Slow MA Length: Long-term moving average period (default: 200)
Linear Regression Length: Period used to assess price trend alignment
Trend Lookback / Threshold: Sensitivity controls for trend scoring
Volume Lookback / ATR Length: Defines volatility and volume filters
Bull/Bear Color: Customize visual colors for bullish and bearish signals
📈 Buy Timing Example
Golden Cross occurs (50 MA crosses above 200 MA)
Confidence % is above 70%
Trend color turns green, volume is rising, price above fast MA → Strong entry signal
📉 Sell Timing Example
Dead Cross occurs (50 MA crosses below 200 MA)
Confidence % above 60% indicates a reliable bearish setup
Regression trend down, color turns red → Valid exit or short opportunity
🧪 Recommended Use Cases
Combine with RSI or MACD for timing confirmation in swing trades
Use Confidence % to filter out weak crossover signals during sideways trends
Effective in medium-to-long term trading with volatile assets
🔒 Precautions
Confidence % reflects current conditions—not future prediction—use with discretion
May produce delayed signals in ranging markets; test before real application
Best results achieved when combined with other indicators or price action context
Always optimize parameters based on the specific market or asset being traded
+++
Stochastic Hash Strat [Hash Capital Research]# Stochastic Hash Strategy by Hash Capital Research
## 🎯 What Is This Strategy?
The **Stochastic Slow Strategy** is a momentum-based trading system that identifies oversold and overbought market conditions to capture mean-reversion opportunities. Think of it as a "buy low, sell high" approach with smart mathematical filters that remove emotion from your trading decisions.
Unlike fast-moving indicators that generate excessive noise, this strategy uses **smoothed stochastic oscillators** to identify only the highest-probability setups when momentum truly shifts.
---
## 💡 Why This Strategy Works
Most traders fail because they:
- **Chase prices** after big moves (buying high, selling low)
- **Overtrade** in choppy, directionless markets
- **Exit too early** or hold losses too long
This strategy solves all three problems:
1. **Entry Discipline**: Only trades when the stochastic oscillator crosses in extreme zones (oversold for longs, overbought for shorts)
2. **Cooldown Filter**: Prevents revenge trading by forcing a waiting period after each trade
3. **Fixed Risk/Reward**: Pre-defined stop-loss and take-profit levels ensure consistent risk management
**The Math Behind It**: The stochastic oscillator measures where the current price sits relative to its recent high-low range. When it's below 25, the market is oversold (time to buy). When above 70, it's overbought (time to sell). The crossover with its moving average confirms momentum is shifting.
---
## 📊 Best Markets & Timeframes
### ⭐ OPTIMAL PERFORMANCE:
**Crude Oil (WTI) - 12H Timeframe**
- **Why it works**: Oil markets have predictable volatility patterns and respect technical levels
**AAVE/USD - 4H to 12H Timeframe**
- **Why it works**: DeFi tokens exhibit strong momentum cycles with clear extremes
### ✅ Also Works Well On:
- **BTC/USD** (12H, Daily) - Lower frequency but high win rate
- **ETH/USD** (8H, 12H) - Balanced volatility and liquidity
- **Gold (XAU/USD)** (Daily) - Classic mean-reversion asset
- **EUR/USD** (4H, 8H) - Lower volatility, requires patience
### ❌ Avoid Using On:
- Timeframes below 4H (too much noise)
- Low-liquidity altcoins (wide spreads kill performance)
- Strongly trending markets without pullbacks (Bitcoin in 2021)
- News-driven instruments during major events
---
## 🎛️ Understanding The Settings
### Core Stochastic Parameters
**Stochastic Length (Default: 16)**
- Controls the lookback period for price comparison
- Lower = faster reactions, more signals (10-14 for volatile markets)
- Higher = smoother signals, fewer trades (16-21 for stable markets)
- **Pro tip**: Use 10 for crypto 4H, 16 for commodities 12H
**Overbought Level (Default: 70)**
- Threshold for short entries
- Lower values (65-70) = more trades, earlier entries
- Higher values (75-80) = fewer but higher-conviction trades
- **Sweet spot**: 70 works for most assets
**Oversold Level (Default: 25)**
- Threshold for long entries
- Higher values (25-30) = more trades, earlier entries
- Lower values (15-20) = fewer but stronger bounce setups
- **Sweet spot**: 20-25 depending on market conditions
**Smooth K & Smooth D (Default: 7 & 3)**
- Additional smoothing to filter out whipsaws
- K=7 makes the indicator slower and more reliable
- D=3 is the signal line that confirms the trend
- **Don't change these unless you know what you're doing**
---
### Risk Management
**Stop Loss % (Default: 2.2%)**
- Automatically exits losing trades
- Should be 1.5x to 2x your average market volatility
- Too tight = death by a thousand cuts
- Too wide = uncontrolled losses
- **Calibration**: Check ATR indicator and set SL slightly above it
**Take Profit % (Default: 7%)**
- Automatically exits winning trades
- Should be 2.5x to 3x your stop loss (reward-to-risk ratio)
- This default gives 7% / 2.2% = 3.18:1 R:R
- **The golden rule**: Never have R:R below 2:1
---
### Trade Filters
**Bar Cooldown Filter (Default: ON, 3 bars)**
- **What it does**: Forces you to wait X bars after closing a trade before entering a new one
- **Why it matters**: Prevents emotional revenge trading and overtrading in choppy markets
- **Settings guide**:
- 3 bars = Standard (good for most cases)
- 5-7 bars = Conservative (oil, slow-moving assets)
- 1-2 bars = Aggressive (only for experienced traders)
**Exit on Opposite Extreme (Default: ON)**
- Closes your long when stochastic hits overbought (and vice versa)
- Acts as an early profit-taking mechanism
- **Leave this ON** unless you're testing other exit strategies
**Divergence Filter (Default: OFF)**
- Looks for price/momentum divergences for additional confirmation
- **When to enable**: Trending markets where you want fewer but higher-quality trades
- **Keep OFF for**: Mean-reverting markets (oil, forex, most of the time)
---
## 🚀 Quick Start Guide
### Step 1: Set Up in TradingView
1. Open TradingView and navigate to your chart
2. Click "Pine Editor" at the bottom
3. Copy and paste the strategy code
4. Click "Add to Chart"
5. The strategy will appear in a separate pane below your price chart
### Step 2: Choose Your Market
**If you're trading Crude Oil:**
- Timeframe: 12H
- Keep all default settings
- Watch for signals during London/NY overlap (8am-11am EST)
**If you're trading AAVE or crypto:**
- Timeframe: 4H or 12H
- Consider these adjustments:
- Stochastic Length: 10-14 (faster)
- Oversold: 20 (more aggressive)
- Take Profit: 8-10% (higher targets)
### Step 3: Wait for Your First Signal
**LONG Entry** (Green circle appears):
- Stochastic crosses up below oversold level (25)
- Price likely near recent lows
- System places limit order at take profit and stop loss
**SHORT Entry** (Red circle appears):
- Stochastic crosses down above overbought level (70)
- Price likely near recent highs
- System places limit order at take profit and stop loss
**EXIT** (Orange circle):
- Position closes either at stop, target, or opposite extreme
- Cooldown period begins
### Step 4: Let It Run
The biggest mistake? **Interfering with the system.**
- Don't close trades early because you're scared
- Don't skip signals because you "have a feeling"
- Don't increase position size after a big win
- Don't revenge trade after a loss
**Follow the system or don't use it at all.**
---
### Important Risks:
1. **Drawdown Pain**: You WILL experience losing streaks of 5-7 trades. This is mathematically normal.
2. **Whipsaw Markets**: Choppy, range-bound conditions can trigger multiple small losses.
3. **Gap Risk**: Overnight gaps can cause your actual fill to be worse than the stop loss.
4. **Slippage**: Real execution prices differ from backtested prices (factor in 0.1-0.2% slippage).
---
## 🔧 Optimization Guide
### When to Adjust Settings:
**Market Volatility Increased?**
- Widen stop loss by 0.5-1%
- Increase take profit proportionally
- Consider increasing cooldown to 5-7 bars
**Getting Too Few Signals?**
- Decrease stochastic length to 10-12
- Increase oversold to 30, decrease overbought to 65
- Reduce cooldown to 2 bars
**Getting Too Many Losses?**
- Increase stochastic length to 18-21 (slower, smoother)
- Enable divergence filter
- Increase cooldown to 5+ bars
- Verify you're on the right timeframe
### A/B Testing Method:
1. **Run default settings for 50 trades** on your chosen market
2. Document: Win rate, profit factor, max drawdown, emotional tolerance
3. **Change ONE variable** (e.g., oversold from 25 to 20)
4. Run another 50 trades
5. Compare results
6. Keep the better version
**Never change multiple settings at once** or you won't know what worked.
---
## 📚 Educational Resources
### Key Concepts to Learn:
**Stochastic Oscillator**
- Developed by George Lane in the 1950s
- Measures momentum by comparing closing price to price range
- Formula: %K = (Close - Low) / (High - Low) × 100
- Similar to RSI but more sensitive to price movements
**Mean Reversion vs. Trend Following**
- This is a **mean reversion** strategy (price returns to average)
- Works best in ranging markets with defined support/resistance
- Fails in strong trending markets (2017 Bitcoin, 2020 Tech stocks)
- Complement with trend filters for better results
**Risk:Reward Ratio**
- The cornerstone of profitable trading
- Winning 40% of trades with 3:1 R:R = profitable
- Winning 60% of trades with 1:1 R:R = breakeven (after fees)
- **This strategy aims for 45% win rate with 2.5-3:1 R:R**
### Recommended Reading:
- *"Trading Systems and Methods"* by Perry Kaufman (Chapter on Oscillators)
- *"Mean Reversion Trading Systems"* by Howard Bandy
- *"The New Trading for a Living"* by Dr. Alexander Elder
---
## 🛠️ Troubleshooting
### "I'm not seeing any signals!"
**Check:**
- Is your timeframe 4H or higher?
- Is the stochastic actually reaching extreme levels (check if your asset is stuck in middle range)?
- Is cooldown still active from a previous trade?
- Are you on a low-liquidity pair?
**Solution**: Switch to a more volatile asset or lower the overbought/oversold thresholds.
---
### "The strategy keeps losing money!"
**Check:**
- What's your win rate? (Below 35% is concerning)
- What's your profit factor? (Below 0.8 means serious issues)
- Are you trading during major news events?
- Is the market in a strong trend?
**Solution**:
1. Verify you're using recommended markets/timeframes
2. Increase cooldown period to avoid choppy markets
3. Reduce position size to 5% while you diagnose
4. Consider switching to daily timeframe for less noise
---
### "My stop losses keep getting hit!"
**Check:**
- Is your stop loss tighter than the average ATR?
- Are you trading during high-volatility sessions?
- Is slippage eating into your buffer?
**Solution**:
1. Calculate the 14-period ATR
2. Set stop loss to 1.5x the ATR value
3. Avoid trading right after market open or major news
4. Factor in 0.2% slippage for crypto, 0.1% for oil
---
## 💪 Pro Tips from the Trenches
### Psychological Discipline
**The Three Deadly Sins:**
1. **Skipping signals** - "This one doesn't feel right"
2. **Early exits** - "I'll just take profit here to be safe"
3. **Revenge trading** - "I need to make back that loss NOW"
**The Solution:** Treat your strategy like a business system. Would McDonald's skip making fries because the cashier "doesn't feel like it today"? No. Systems work because of consistency.
---
### Position Management
**Scaling In/Out** (Advanced)
- Enter 50% position at signal
- Add 50% if stochastic reaches 10 (oversold) or 90 (overbought)
- Exit 50% at 1.5x take profit, let the rest run
**This is NOT for beginners.** Master the basic system first.
---
### Market Awareness
**Oil Traders:**
- OPEC meetings = volatility spikes (avoid or widen stops)
- US inventory reports (Wed 10:30am EST) = avoid trading 2 hours before/after
- Summer driving season = different patterns than winter
**Crypto Traders:**
- Monday-Tuesday = typically lower volatility (fewer signals)
- Thursday-Sunday = higher volatility (more signals)
- Avoid trading during exchange maintenance windows
---
## ⚖️ Legal Disclaimer
This trading strategy is provided for **educational purposes only**.
- Past performance does not guarantee future results
- Trading involves substantial risk of loss
- Only trade with capital you can afford to lose
- No one associated with this strategy is a licensed financial advisor
- You are solely responsible for your trading decisions
**By using this strategy, you acknowledge that you understand and accept these risks.**
---
## 🙏 Acknowledgments
Strategy development inspired by:
- George Lane's original Stochastic Oscillator work
- Modern quantitative trading research
- Community feedback from hundreds of backtests
Built with ❤️ for retail traders who want systematic, disciplined approaches to the markets.
---
**Good luck, stay disciplined, and trade the system, not your emotions.**
Trinity KST (known sure thing) ProThis version is the **modern, low-lag evolution** of Martin Pring’s original 1990s KST.
Key differences from the classic KST
- Original uses only simple moving averages (SMA) on the four ROCs → quite a bit of lag.
- This version lets you replace every SMA with **ALMA, HEMA, TEMA, or EMA** → dramatically reduces lag while keeping the signal smooth and reliable.
- ALMA + progressive offset (0.90–0.97) is especially powerful because longer-term ROCs react almost as fast as the short ones without getting noisy.
- Histogram, clean labels inside the oscillator pane, alerts, background tint — all the quality-of-life stuff the original never had.
How traders actually use it in >2026
1. Primary signal: KST crosses above/below the red signal line = momentum shift (bullish/bearish).
2. Zero-line cross = confirmation of trend change (especially strong on daily/weekly).
3. Divergences between price and KST = high-probability reversals (works great on BTC, SPX, NAS100).
4. Histogram turning from red to green (or vice-versa) = early warning before the actual line cross.
Best settings I and many others run live right now (no table, just the winners)
- Crypto & Nasdaq: **ALMA + aggressiveness 0.93–0.96** → fastest valid signals.
- Forex pairs & Gold: **HEMA** (zero-lag Hull) → super clean, almost no whipsaw.
- Broad stock indices (SPX, DAX, etc.): **ALMA 0.91–0.93** or **TEMA** → perfect middle ground.
- Classic conservative daily/weekly swings: leave it on **SMA** (original Pring) or ALMA 0.88–0.90.
In short: same reliable KST logic you already know, but now it reacts 6–12 bars earlier and with far fewer fakeouts — exactly what you need in today’s fast markets.
EMA & MA Alert Strategies8 Trading Strategies for Alerts:
Strategy 1: EMA Golden Cross / Death Cross
EMA1 crosses above EMA2 → bullish momentum
EMA1 crosses below EMA2 → bearish momentum
Stronger: EMA1 crosses EMA3
Strategy 2: MA Golden Cross / Death Cross
MA1 crosses above MA2 → trend reversal up
MA1 crosses below MA2 → trend reversal down
Strategy 3: EMA Alignment (Trend Direction)
Bullish: EMA1 > EMA2 > EMA3 (uptrend)
Bearish: EMA1 < EMA2 < EMA3 (downtrend)
Alerts when alignment changes
Strategy 4: Price vs EMA (Support/Resistance)
Price breaks above EMA2/EMA3 → bullish breakout
Price breaks below EMA2/EMA3 → bearish breakdown
Strategy 5: EMA vs MA Crossover
EMA1 crosses above MA1 → momentum exceeds trend
EMA2 crosses above MA2 → stronger momentum signal
Strategy 6: Pullback to EMA (Buy the Dip)
Price pulls back to EMA2/EMA3 and bounces → buy signal
Useful for entry during uptrends
Strategy 7: EMA Squeeze/Expansion
EMAs converging → potential breakout
EMAs expanding → trend acceleration
Strategy 8: Multi-Timeframe Confirmation
Price above all EMAs and MAs → strong uptrend
Price below all EMAs and MAs → strong downtrend
Flux-Tensor Singularity [FTS]Flux-Tensor Singularity - Multi-Factor Market Pressure Indicator
The Flux-Tensor Singularity (FTS) is an advanced multi-factor oscillator that combines volume analysis, momentum tracking, and volatility-weighted normalization to identify critical market inflection points. Unlike traditional single-factor indicators, FTS synthesizes price velocity, volume mass, and volatility context into a unified framework that adapts to changing market regimes.
This indicator identifies extreme market conditions (termed "singularities") where multiple confirming factors converge, then uses a sophisticated scoring system to determine directional bias. It is designed for traders seeking high-probability setups with built-in confluence requirements.
THEORETICAL FOUNDATION
The indicator is built on the premise that market time is not constant - different market conditions contain varying levels of information density. A 1-minute bar during a major news event contains far more actionable information than a 1-minute bar during overnight low-volume trading. Traditional indicators treat all bars equally; FTS does not.
The theoretical framework draws conceptual parallels to physics (purely as a mental model, not literal physics):
Volume as Mass: Large volume represents significant market participation and "weight" behind price moves. Just as massive objects have stronger gravitational effects, high-volume moves carry more significance.
Price Change as Velocity: The rate of price movement through price space represents momentum and directional force.
Volatility as Time Dilation: When volatility is high relative to its historical norm, the "information density" of each bar increases. The indicator weights these periods more heavily, similar to how time dilates near massive objects in physics.
This is a pedagogical metaphor to create a coherent mental model - the underlying mathematics are standard financial calculations combined in a novel way.
MATHEMATICAL FRAMEWORK
The indicator calculates a composite singularity value through four distinct steps:
Step 1: Raw Singularity Calculation
S_raw = (ΔP × V) × γ²
Where:
ΔP = Price Velocity = close - close
V = Volume Mass = log(volume + 1)
γ² = Time Dilation Factor = (ATR_local / ATR_global)²
Volume Transformation: Volume is log-transformed because raw volume can have extreme outliers (10x-100x normal). The logarithm compresses these spikes while preserving their significance. This is standard practice in volume analysis.
Volatility Weighting: The ratio of short-term ATR (5 periods) to long-term ATR (user-defined lookback) is squared to create a volatility amplification factor. When local volatility exceeds global volatility, this ratio increases, amplifying the raw singularity value. This makes the indicator regime-aware.
Step 2: Normalization
The raw singularity values are normalized to a 0-100 scale using a stochastic-style calculation:
S_normalized = ((S_raw - S_min) / (S_max - S_min)) × 100
Where S_min and S_max are the lowest and highest raw singularity values over the lookback period.
Step 3: Epsilon Compression
S_compressed = 50 + ((S_normalized - 50) / ε)
This is the critical innovation that makes the sensitivity control functional. By applying compression AFTER normalization, the epsilon parameter actually affects the final output:
ε < 1.0: Expands range (more signals)
ε = 1.0: No change (default)
ε > 1.0: Compresses toward 50 (fewer, higher-quality signals)
For example, with ε = 2.0, a normalized value of 90 becomes 70, making threshold breaches rarer and more significant.
Step 4: Smoothing
S_final = EMA(S_compressed, smoothing_period)
An exponential moving average removes high-frequency noise while preserving trend.
SIGNAL GENERATION LOGIC
When the tensor crosses above the upper threshold (default 90) or below the lower threshold (default 10), an extreme event is detected. However, the indicator does NOT immediately generate a buy or sell signal. Instead, it analyzes market context through a multi-factor scoring system:
Scoring Components:
Price Structure (+1 point): Current bar bullish/bearish
Momentum (+1 point): Price higher/lower than N bars ago
Trend Context (+2 points): Fast EMA above/below slow EMA (weighted heavier)
Acceleration (+1 point): Rate of change increasing/decreasing
Volume Multiplier (×1.5): If volume > average, multiply score
The highest score (bullish vs bearish) determines signal direction. This prevents the common indicator failure mode of "overbought can stay overbought" by requiring directional confirmation.
Signal Conditions:
A BUY signal requires:
Extreme event detection (tensor crosses threshold)
Bullish score > Bearish score
Price confirmation: Bullish candle (optional, user-controlled)
Volume confirmation: Volume > average (optional, user-controlled)
Momentum confirmation: Positive momentum (optional, user-controlled)
A SELL signal requires the inverse conditions.
INPUTS EXPLAINED - Core Parameters:
Global Horizon (Context): Default 20. Lookback period for normalization and volatility comparison. Higher values = smoother but less responsive. Lower values = more signals but potentially more noise.
Tensor Smoothing: Default 3. EMA period applied to final output. Removes "quantum foam" (high-frequency noise). Range 1-20.
Singularity Threshold: Default 90. Values above this (or below 100-threshold) trigger extreme event detection. Higher = rarer, stronger signals.
Signal Sensitivity (Epsilon): Default 1.0. Post-normalization compression factor. This is the key innovation - it actually works because it's applied AFTER normalization. Range 0.1-5.0.
Signal Interpreter Toggles:
Require Price Confirmation: Default ON. Only generates buy signals on bullish candles, sell signals on bearish candles. Reduces false signals but may delay entry.
Require Volume Confirmation: Default ON. Only signals when volume > average. Critical for stocks/crypto, less important for forex (unreliable volume data).
Use Momentum Filter: Default ON. Requires momentum agreement with signal direction. Prevents counter-trend signals.
Momentum Lookback: Default 5. Number of bars for momentum calculation. Shorter = more responsive, longer = trend-following bias.
Visual Controls:
Colors: Customizable colors for bullish flux, bearish flux, background, and event horizon.
Visual Transparency: Default 85. Master control for all visual elements (accretion disk, field lines, particles, etc.). Range 50-99. Signals and dashboard have separate controls.
Visibility Toggles: Individual on/off switches for:
Gravitational field lines (trend EMAs)
Field reversals (trend crossovers)
Accretion disk (background gradient)
Singularity diamonds (neutral extreme events)
Energy particles (volume bursts)
Event horizon flash (extreme event background)
Signal background flash
Signal Size: Tiny/Small/Normal triangle size
Signal Offsets: Separate controls for buy and sell signal vertical positioning (percentage of price)
Dashboard Settings:
Show Dashboard: Toggle on/off
Position: 9 placement options (all corners, centers, middles)
Text Size: Tiny/Small/Normal/Large
Background Transparency: 0-50, separate from visual transparency
VISUAL ELEMENTS EXPLAINED
1. Accretion Disk (Background Gradient):
A three-layer gradient background that intensifies as the tensor approaches extremes. The outer disk appears at any non-neutral reading, the inner disk activates above 70 or below 30, and the core layer appears above 85 or below 15. Color indicates direction (cyan = bullish, red = bearish). This provides instant visual feedback on market pressure intensity.
2. Gravitational Field Lines (EMAs):
Two trend-following EMAs (10 and 30 period) visualized as colored lines. These represent the "curvature" of market trend - when they diverge, trend is strong; when they converge, trend is weakening. Crossovers mark potential trend reversals.
3. Field Reversals (Circles):
Small circles appear when the fast EMA crosses the slow EMA, indicating a potential trend change. These are distinct from extreme events and appear at normal market structure shifts.
4. Singularity Diamonds:
Small diamond shapes appear when the tensor reaches extreme levels (>90 or <10) but doesn't meet the full signal criteria. These are "watch" events - extreme pressure exists but directional confirmation is lacking.
5. Energy Particles (Dots):
Tiny dots appear when volume exceeds 2× average, indicating significant participation. Color matches bar direction. These highlight genuine high-conviction moves versus low-volume drifts.
6. Event Horizon Flash:
A golden background flash appears the instant any extreme threshold is breached, before directional analysis. This alerts you to pay attention.
7. Signal Background Flash:
When a full buy/sell signal is confirmed, the background flashes cyan (buy) or red (sell). This is your primary alert that all conditions are met.
8. Signal Triangles:
The actual buy (▲) and sell (▼) markers. These only appear when ALL selected confirmation criteria are satisfied. Position is offset from bars to avoid overlap with other indicators.
DASHBOARD METRICS EXPLAINED
The dashboard displays real-time calculated values:
Event Density: Current tensor value (0-100). Above 90 or below 10 = critical. Icon changes: 🔥 (extreme high), ❄️ (extreme low), ○ (neutral).
Time Dilation (γ): Current volatility ratio squared. Values >2.0 indicate extreme volatility environments. >1.5 = elevated, >1.0 = above average. Icon: ⚡ (extreme), ⚠ (elevated), ○ (normal).
Mass (Vol): Log-transformed volume value. Compared to volume ratio (current/average). Icon: ● (>2× avg), ◐ (>1× avg), ○ (below avg).
Velocity (ΔP): Raw price change. Direction arrow indicates momentum direction. Shows the actual price delta value.
Bullish Flux: Current bullish context score. Displayed as both a bar chart (visual) and numeric value. Brighter when bullish score dominates.
Bearish Flux: Current bearish context score. Same visualization as bullish flux. These scores compete - the winner determines signal direction.
Field: Trend direction based on EMA relationship. "Repulsive" (uptrend), "Attractive" (downtrend), "Neutral" (ranging). Icon: ⬆⬇↔
State: Current market condition:
🚀 EJECTION: Buy signal active
💥 COLLAPSE: Sell signal active
⚠ CRITICAL: Extreme event, no directional confirmation
● STABLE: Normal market conditions
HOW TO USE THE INDICATOR
1. Wait for Extreme Events:
The indicator is designed to be selective. Don't trade every fluctuation - wait for tensor to reach >90 or <10. This alone is not a signal.
2. Check Context Scores:
Look at the Bullish Flux vs Bearish Flux in the dashboard. If scores are close (within 1-2 points), the market is indecisive - skip the trade.
3. Confirm with Signals:
Only act when a full triangle signal appears (▲ or ▼). This means ALL your selected confirmation criteria have been met.
4. Use with Price Structure:
Combine with support/resistance levels. A buy signal AT support is higher probability than a buy signal in the middle of nowhere.
5. Respect the Dashboard State:
When State shows "CRITICAL" (⚠), it means extreme pressure exists but direction is unclear. These are the most dangerous moments - wait for resolution.
6. Volume Matters:
Energy particles (dots) and the Mass metric tell you if institutions are participating. Signals without volume confirmation are lower probability.
MARKET AND TIMEFRAME RECOMMENDATIONS
Scalping (1m-5m):
Lookback: 10-14
Smoothing: 5-7
Threshold: 85
Epsilon: 0.5-0.7
Note: Expect more noise. Confirm with Level 2 data. Best on highly liquid instruments.
Intraday (15m-1h):
Lookback: 20-30 (default settings work well)
Smoothing: 3-5
Threshold: 90
Epsilon: 1.0
Note: Sweet spot for the indicator. High win rate on liquid stocks, forex majors, and crypto.
Swing Trading (4h-1D):
Lookback: 30-50
Smoothing: 3
Threshold: 90-95
Epsilon: 1.5-2.0
Note: Signals are rare but high conviction. Combine with higher timeframe trend analysis.
Position Trading (1D-1W):
Lookback: 50-100
Smoothing: 5-7
Threshold: 95
Epsilon: 2.0-3.0
Note: Extremely rare signals. Only trade the most extreme events. Expect massive moves.
Market-Specific Settings:
Forex (EUR/USD, GBP/USD, etc.):
Volume data is unreliable (spot forex has no centralized volume)
Disable "Require Volume Confirmation"
Focus on momentum and trend filters
News events create extreme singularities
Best on 15m-1h timeframes
Stocks (High-Volume Equities):
Volume confirmation is CRITICAL - keep it ON
Works excellently on AAPL, TSLA, SPY, etc.
Morning session (9:30-11:00 ET) shows highest event density
Earnings announcements create guaranteed extreme events
Best on 5m-1h for day trading, 1D for swing trading
Crypto (BTC, ETH, major alts):
Reduce threshold to 85 (crypto has constant high volatility)
Volume spikes are THE primary signal - keep volume confirmation ON
Works exceptionally well due to 24/7 trading and high volatility
Epsilon can be reduced to 0.7-0.8 for more signals
Best on 15m-4h timeframes
Commodities (Gold, Oil, etc.):
Gold responds to macro events (Fed announcements, geopolitical events)
Oil responds to supply shocks
Use daily timeframe minimum
Increase lookback to 50+
These are slow-moving markets - be patient
Indices (SPX, NDX, etc.):
Institutional volume matters - keep volume confirmation ON
Opening hour (9:30-10:30 ET) = highest singularity probability
Strong correlation with VIX - high VIX = more extreme events
Best on 15m-1h for day trading
WHAT MAKES THIS INDICATOR UNIQUE
1. Post-Normalization Sensitivity Control:
Unlike most oscillators where sensitivity controls don't actually work (they're applied before normalization, which then rescales everything), FTS applies epsilon compression AFTER normalization. This means the sensitivity parameter genuinely affects signal frequency. This is a novel implementation not found in standard oscillators.
2. Multi-Factor Confluence Requirement:
The indicator doesn't just detect "overbought" or "oversold" - it detects extreme conditions AND THEN analyzes context through five separate factors (price structure, momentum, trend, acceleration, volume). Most indicators are single-factor; FTS requires confluence.
3. Volatility-Weighted Normalization:
By squaring the ATR ratio (local/global), the indicator adapts to changing market regimes. A 1% move in a low-volatility environment is treated differently than a 1% move in a high-volatility environment. Traditional indicators treat all moves equally regardless of context.
4. Volume Integration at the Core:
Volume isn't an afterthought or optional filter - it's baked into the fundamental equation as "mass." The log transformation handles outliers elegantly while preserving significance. Most price-based indicators completely ignore volume.
5. Adaptive Scoring System:
Rather than fixed buy/sell rules ("RSI >70 = sell"), FTS uses competitive scoring where bullish and bearish evidence compete. The winner determines direction. This solves the classic problem of "overbought markets can stay overbought during strong uptrends."
6. Comprehensive Visual Feedback:
The multi-layer visualization system (accretion disk, field lines, particles, flashes) provides instant intuitive feedback on market state without requiring dashboard reading. You can see pressure building before extreme thresholds are hit.
7. Separate Extreme Detection and Signal Generation:
"Singularity diamonds" show extreme events that don't meet full criteria, while "signal triangles" only appear when ALL conditions are met. This distinction helps traders understand when pressure exists versus when it's actionable.
COMPARISON TO EXISTING INDICATORS
vs. RSI/Stochastic:
These normalize price relative to recent range. FTS normalizes (price change × log volume × volatility ratio) - a composite metric, not just price position.
vs. Chaikin Money Flow:
CMF combines price and volume but lacks volatility context and doesn't use adaptive normalization or post-normalization compression.
vs. Bollinger Bands + Volume:
Bollinger Bands show volatility but don't integrate volume or create a unified oscillator. They're separate components, not synthesized.
vs. MACD:
MACD is pure momentum. FTS combines momentum with volume weighting and volatility context, plus provides a normalized 0-100 scale.
The specific combination of log-volume weighting, squared volatility amplification, post-normalization epsilon compression, and multi-factor directional scoring is unique to this indicator.
LIMITATIONS AND PROPER DISCLOSURE
Not a Holy Grail:
No indicator is perfect. This tool identifies high-probability setups but cannot predict the future. Losses will occur. Use proper risk management.
Requires Confirmation:
Best used in conjunction with price action analysis, support/resistance levels, and higher timeframe trend. Don't trade signals blindly.
Volume Data Dependency:
On forex (spot) and some low-volume instruments, volume data is unreliable or tick-volume only. Disable volume confirmation in these cases.
Lagging Components:
The EMA smoothing and trend filters are inherently lagging. In extremely fast moves, signals may appear after the initial thrust.
Extreme Event Rarity:
With conservative settings (high threshold, high epsilon), signals can be rare. This is by design - quality over quantity. If you need more frequent signals, reduce threshold to 85 and epsilon to 0.7.
Not Financial Advice:
This indicator is an analytical tool. All trading decisions and their consequences are solely your responsibility. Past performance does not guarantee future results.
BEST PRACTICES
Don't trade every singularity - wait for context confirmation
Higher timeframes = higher reliability
Combine with support/resistance for entry refinement
Volume confirmation is CRITICAL for stocks/crypto (toggle off only for forex)
During major news events, singularities are inevitable but direction may be uncertain - use wider stops
When bullish and bearish flux scores are close, skip the trade
Test settings on your specific instrument/timeframe before live trading
Use the dashboard actively - it contains critical diagnostic information
Taking you to school. — Dskyz, Trade with insight. Trade with anticipation.
920 Order Flow SATY ATR//@version=6
indicator("Order-Flow / Volume Signals (No L2)", overlay=true)
//======================
// Inputs
//======================
rvolLen = input.int(20, "Relative Volume Lookback", minval=5)
rvolMin = input.float(1.1, "Min Relative Volume (× avg)", step=0.1)
wrbLen = input.int(20, "Wide-Range Lookback", minval=5)
wrbMult = input.float(1, "Wide-Range Multiplier", step=0.1)
upperCloseQ = input.float(0.60, "Close near High (0-1)", minval=0.0, maxval=1.0)
lowerCloseQ = input.float(0.40, "Close near Low (0-1)", minval=0.0, maxval=1.0)
cdLen = input.int(25, "Rolling CumDelta Window", minval=5)
useVWAP = input.bool(true, "Use VWAP Bias Filter")
showSignals = input.bool(true, "Show Long/Short OF Triangles")
//======================
// Core helpers
//======================
rng = high - low
tr = ta.tr(true)
avgTR = ta.sma(tr, wrbLen)
wrb = rng > wrbMult * avgTR
// Relative Volume
volAvg = ta.sma(volume, rvolLen)
rvol = volAvg > 0 ? volume / volAvg : 0.0
// Close location in bar (0..1)
clo = rng > 0 ? (close - low) / rng : 0.5
// VWAP (session) + SMAs
vwap = ta.vwap(close)
sma9 = ta.sma(close, 9)
sma20 = ta.sma(close, 20)
sma200= ta.sma(close, 200)
// CumDelta proxy (uptick/downtick signed volume)
tickSign = close > close ? 1.0 : close < close ? -1.0 : 0.0
delta = volume * tickSign
cumDelta = ta.cum(delta)
rollCD = cumDelta - cumDelta
//======================
// Signal conditions
//======================
volActive = rvol >= rvolMin
effortBuy = wrb and clo >= upperCloseQ
effortSell = wrb and clo <= lowerCloseQ
cdUp = ta.crossover(rollCD, 0)
cdDown = ta.crossunder(rollCD, 0)
biasBuy = not useVWAP or close > vwap
biasSell = not useVWAP or close < vwap
longOF = barstate.isconfirmed and volActive and effortBuy and cdUp and biasBuy
shortOF = barstate.isconfirmed and volActive and effortSell and cdDown and biasSell
//======================
// Plot ONLY on price chart
//======================
// SMAs & VWAP
plot(sma9, title="9 SMA", color=color.orange, linewidth=3)
plot(sma20, title="20 SMA", color=color.white, linewidth=3)
plot(sma200, title="200 SMA", color=color.black, linewidth=3)
plot(vwap, title="VWAP", color=color.new(color.aqua, 0), linewidth=3)
// Triangles with const text (no extra pane)
plotshape(showSignals and longOF, title="LONG OF",
style=shape.triangleup, location=location.belowbar, size=size.tiny,
color=color.new(color.green, 0), text="LONG OF")
plotshape(showSignals and shortOF, title="SHORT OF",
style=shape.triangledown, location=location.abovebar, size=size.tiny,
color=color.new(color.red, 0), text="SHORT OF")
// Alerts
alertcondition(longOF, title="LONG OF confirmed", message="LONG OF confirmed")
alertcondition(shortOF, title="SHORT OF confirmed", message="SHORT OF confirmed")
//────────────────────────────
// End-of-line labels (offset to the right)
//────────────────────────────
var label label9 = na
var label label20 = na
var label label200 = na
var label labelVW = na
if barstate.islast
// delete old labels before drawing new ones
label.delete(label9)
label.delete(label20)
label.delete(label200)
label.delete(labelVW)
// how far to move the labels rightward (increase if needed)
offsetBars = input.int(3)
label9 := label.new(bar_index + offsetBars, sma9, "9 SMA", style=label.style_label_left, textcolor=color.white, color=color.new(color.orange, 0))
label20 := label.new(bar_index + offsetBars, sma20, "20 SMA", style=label.style_label_left, textcolor=color.black, color=color.new(color.white, 0))
label200 := label.new(bar_index + offsetBars, sma200, "200 SMA", style=label.style_label_left, textcolor=color.white, color=color.new(color.black, 0))
labelVW := label.new(bar_index + offsetBars, vwap, "VWAP", style=label.style_label_left, textcolor=color.black, color=color.new(color.aqua, 0))
//────────────────────────────────────────────────────────────────────
//────────────────────────────────────────────
// Overnight High/Low + HOD/LOD (no POC)
//────────────────────────────────────────────
sessionRTH = input.session("0930-1600", "RTH Session (exchange tz)")
levelWidth = input.int(2, "HL line width", minval=1, maxval=5)
labelOffsetH = input.int(10, "HL label offset (bars to right)", minval=0)
isRTH = not na(time(timeframe.period, sessionRTH))
rthOpen = isRTH and not isRTH
// --- Track Overnight High/Low during NON-RTH; freeze at RTH open
// --- Track Overnight High/Low during NON-RTH; freeze at RTH open
var float onHigh = na
var float onLow = na
var int onHighBar = na
var int onLowBar = na
var float onHighFix = na
var float onLowFix = na
var int onHighFixBar = na
var int onLowFixBar = na
if not isRTH
if na(onHigh) or high > onHigh
onHigh := high
onHighBar := bar_index
if na(onLow) or low < onLow
onLow := low
onLowBar := bar_index
if rthOpen
onHighFix := onHigh
onLowFix := onLow
onHighFixBar := onHighBar
onLowFixBar := onLowBar
onHigh := na, onLow := na
onHighBar := na, onLowBar := na
// ──────────────────────────────────────────
// Candle coloring + labels for 9/20/VWAP crosses
// ──────────────────────────────────────────
showCrossLabels = input.bool(true, "Show cross labels")
// Helpers
minAll = math.min(math.min(sma9, sma20), vwap)
maxAll = math.max(math.max(sma9, sma20), vwap)
// All three lines
goldenAll = open <= minAll and close >= maxAll
deathAll = open >= maxAll and close <= minAll
// 9/20 only (exclude cases that also crossed VWAP)
dcUpOnly = open <= math.min(sma9, sma20) and close >= math.max(sma9, sma20) and not goldenAll
dcDownOnly = open >= math.max(sma9, sma20) and close <= math.min(sma9, sma20) and not deathAll
// Candle colors (priority: all three > 9/20 only)
var color cCol = na
cCol := goldenAll ? color.yellow : deathAll ? color.black :dcUpOnly ? color.lime :dcDownOnly ? color.red : na
barcolor(cCol)
// Labels
plotshape(showCrossLabels and barstate.isconfirmed and goldenAll, title="GOLDEN CROSS",
style=shape.labelup, location=location.belowbar, text="GOLDEN CROSS",
color=color.new(color.yellow, 0), textcolor=color.black, size=size.tiny)
plotshape(showCrossLabels and barstate.isconfirmed and deathAll, title="DEATH CROSS",
style=shape.labeldown, location=location.abovebar, text="DEATH CROSS",
color=color.new(color.black, 0), textcolor=color.white, size=size.tiny)
plotshape(showCrossLabels and barstate.isconfirmed and dcUpOnly, title="DC UP",
style=shape.labelup, location=location.belowbar, text="DC UP",
color=color.new(color.lime, 0), textcolor=color.black, size=size.tiny)
plotshape(showCrossLabels and barstate.isconfirmed and dcDownOnly, title="DC DOWN",
style=shape.labeldown, location=location.abovebar, text="DC DOWN",
color=color.new(color.red, 0), textcolor=color.white, size=size.tiny)
// ──────────────────────────────────────────
// Audible + alert conditions
// ──────────────────────────────────────────
alertcondition(goldenAll, title="GOLDEN CROSS", message="GOLDEN CROSS detected")
alertcondition(deathAll, title="DEATH CROSS", message="DEATH CROSS detected")
alertcondition(dcUpOnly, title="DC UP", message="Dual Cross UP detected")
alertcondition(dcDownOnly,title="DC DOWN", message="Dual Cross DOWN detected")
Scout Regiment - MACD# Scout Regiment - MACD Indicator
## English Documentation
### Overview
Scout Regiment - MACD is an advanced implementation of the Moving Average Convergence Divergence indicator with enhanced features including dual divergence detection (histogram and MACD line), customizable moving average types, multi-timeframe analysis, and sophisticated visual elements. This indicator provides traders with comprehensive momentum analysis and high-probability reversal signals.
### What is MACD?
MACD (Moving Average Convergence Divergence) is a trend-following momentum indicator that shows the relationship between two moving averages:
- **MACD Line**: Difference between fast and slow EMAs
- **Signal Line**: Moving average of the MACD line
- **Histogram**: Difference between MACD line and signal line
- **Purpose**: Identifies trend direction, momentum strength, and potential reversals
### Key Features
#### 1. **Enhanced MACD Display**
**Three Core Components:**
**MACD Line** (Default: Blue/Orange, 2px)
- Fast EMA (13) minus Slow EMA (34)
- Shows momentum direction
- Color changes based on position relative to signal line:
- Blue: Above signal line (bullish)
- Orange: Below signal line (bearish)
- Can be toggled on/off
**Signal Line** (Default: White/Blue with transparency, 2px)
- EMA (9) of the MACD line
- Serves as trigger line for crossover signals
- Color varies based on settings
- Essential for identifying entry/exit points
**Histogram** (Default: 4-color gradient, 4px columns)
- Difference between MACD and signal line
- Visual representation of momentum strength
- Advanced 4-color scheme:
- **Dark Green (#26A69A)**: Positive and increasing (strong bullish)
- **Light Green (#B2DFDB)**: Positive but decreasing (weakening bullish)
- **Dark Red (#FF5252)**: Negative and decreasing (strong bearish)
- **Light Red (#FFCDD2)**: Negative but increasing (weakening bearish)
- Histogram tells the "story" of momentum changes
#### 2. **Customizable Moving Average Types**
**Oscillator MA Type** (MACD Line calculation):
- **EMA** (Exponential) - Default, more responsive
- **SMA** (Simple) - Smoother, less responsive
**Signal Line MA Type**:
- **EMA** (Exponential) - Default, faster signals
- **SMA** (Simple) - Slower, fewer false signals
**Flexibility**: Mix and match for different trading styles
- EMA/EMA: Most responsive (day trading)
- SMA/SMA: Smoothest (swing trading)
- EMA/SMA or SMA/EMA: Balanced approaches
#### 3. **Multi-Timeframe Capability**
**Current Chart Period** (Default: Enabled)
- Uses current timeframe automatically
- Simplest option for most traders
**Custom Timeframe Selection**
- Calculate MACD on any timeframe
- Display higher timeframe MACD on lower timeframe charts
- Example: View 1H MACD on 15min chart
- **Use Case**: Align lower timeframe trades with higher timeframe momentum
#### 4. **Visual Enhancement Features**
**Golden Cross / Death Cross Markers**
- Circles mark crossover points
- Color matches MACD line color
- Clearly identifies entry/exit signals
- Can be toggled on/off
**Zero Line** (White, 2px solid)
- Reference for positive/negative momentum
- Critical level for trend identification
- MACD above zero = Bullish bias
- MACD below zero = Bearish bias
**Color Transitions**
- MACD line changes color at signal line crosses
- Histogram shows momentum acceleration/deceleration
- Provides early warning of trend changes
#### 5. **Dual Divergence Detection System**
This indicator features TWO separate divergence detection systems:
**A. Histogram Divergence Detection**
- **Purpose**: Earlier divergence signals (most sensitive)
- **Detects**: Regular bullish and bearish divergences
- **Label**: "H涨" (Histogram Up), "H跌" (Histogram Down)
- **Special Feature**: Same-sign requirement option
- Top divergence: Both histogram points must be positive
- Bottom divergence: Both histogram points must be negative
- Filters out less reliable divergences
**B. MACD Line Divergence Detection**
- **Purpose**: Stronger, more reliable divergences
- **Detects**: Regular bullish and bearish divergences
- **Label**: "M涨" (MACD Up), "M跌" (MACD Down)
- **Use**: Confirmation of histogram divergences or standalone
**Divergence Types Explained:**
**Regular Bullish Divergence (Yellow)**
- **Price**: Lower lows
- **Indicator**: Higher lows (histogram OR MACD line)
- **Signal**: Potential upward reversal
- **Best**: Near support levels, oversold conditions
- **Entry**: After price breaks above recent resistance
**Regular Bearish Divergence (Blue)**
- **Price**: Higher highs
- **Indicator**: Lower highs (histogram OR MACD line)
- **Signal**: Potential downward reversal
- **Best**: Near resistance levels, overbought conditions
- **Entry**: After price breaks below recent support
#### 6. **Advanced Divergence Parameters**
**Histogram Divergence Settings:**
- **Price Reference**: Wicks (default) or Bodies
- **Right Lookback**: Bars to right of pivot (default: 2)
- **Left Lookback**: Bars to left of pivot (default: 5)
- **Max Range**: Maximum bars between divergences (default: 60)
- **Min Range**: Minimum bars between divergences (default: 5)
- **Same Sign Requirement**: Ensures both histogram points have same sign
- **Show Regular Divergence**: Toggle display
- **Show Labels**: Toggle divergence labels
**MACD Line Divergence Settings:**
- **Price Reference**: Wicks (default) or Bodies
- **Right Lookback**: Bars to right of pivot (default: 1)
- **Left Lookback**: Bars to left of pivot (default: 5)
- **Max Range**: Maximum bars between divergences (default: 60)
- **Min Range**: Minimum bars between divergences (default: 5)
- **Show Regular Divergence**: Toggle display
- **Show Labels**: Toggle divergence labels
**Independent Control**: Adjust histogram and MACD line divergences separately
### Configuration Settings
#### MACD Basic Settings
- **Fast EMA Period**: Fast moving average length (default: 13)
- **Slow EMA Period**: Slow moving average length (default: 34)
- **Signal Line Period**: Signal line length (default: 9)
- **Use Current Chart Period**: Auto-adjust to current timeframe
- **Select Period**: Choose custom timeframe
- **Show MACD & Signal Lines**: Toggle lines display
- **Show Cross Markers**: Toggle golden/death cross dots
- **Show Histogram**: Toggle histogram display
- **Show Crossover Color Change**: Enable MACD line color change
- **Show Histogram Colors**: Enable 4-color histogram scheme
- **Oscillator MA Type**: Choose SMA or EMA for MACD
- **Signal Line MA Type**: Choose SMA or EMA for signal
#### Histogram Divergence Settings
- **Show Histogram Divergence**: Enable histogram divergence detection
- **Price Reference**: Wicks or Bodies for price comparison
- **Right/Left Lookback**: Pivot detection parameters
- **Max/Min Range**: Distance constraints between pivots
- **Show Regular Divergence**: Display histogram divergence lines
- **Show Labels**: Display histogram divergence labels
- **Require Same Sign**: Enforce histogram sign consistency
#### MACD Line Divergence Settings
- **Show MACD Line Divergence**: Enable MACD line divergence detection
- **Price Reference**: Wicks or Bodies for price comparison
- **Right/Left Lookback**: Pivot detection parameters
- **Max/Min Range**: Distance constraints between pivots
- **Show Regular Divergence**: Display MACD line divergence lines
- **Show Labels**: Display MACD line divergence labels
### How to Use
#### For Basic Trend Following
1. **Enable Core Components**
- MACD line, signal line, and histogram
- Enable cross markers
2. **Identify Trend**
- MACD above zero = Uptrend
- MACD below zero = Downtrend
3. **Watch for Crossovers**
- Golden cross (MACD crosses above signal) = Buy signal
- Death cross (MACD crosses below signal) = Sell signal
4. **Confirm with Histogram**
- Increasing histogram = Strengthening trend
- Decreasing histogram = Weakening trend
#### For Divergence Trading
1. **Enable Both Divergence Systems**
- Histogram divergence (early signals)
- MACD line divergence (confirmation)
2. **Wait for Divergence Signals**
- "H涨" or "H跌" = Early warning
- "M涨" or "M跌" = Confirmation
3. **Best Divergences**
- Both histogram AND MACD line showing divergence
- Divergence at key support/resistance levels
- Multiple divergences on same trend
4. **Entry Timing**
- Wait for price structure break
- Enter on pullback after confirmation
- Use MACD crossover as trigger
#### For Multi-Timeframe Analysis
1. **Set Higher Timeframe**
- Example: 4H MACD on 1H chart
- Uncheck "Use Current Chart Period"
- Select desired timeframe
2. **Identify Higher TF Trend**
- MACD position relative to zero
- MACD vs signal line relationship
3. **Trade with HTF Direction**
- Only take long signals if HTF MACD bullish
- Only take short signals if HTF MACD bearish
4. **Use Current TF for Entries**
- Higher TF for bias
- Current TF for precise timing
#### For Histogram Analysis
1. **Enable 4-Color Histogram**
- Watch color transitions
- Dark colors = Strong momentum
- Light colors = Weakening momentum
2. **Momentum Stages**
- Dark green → Light green = Bullish losing steam
- Light red → Dark red = Bearish gaining strength
3. **Trade Transitions**
- Light green to light red = Momentum shift (potential reversal)
- Entry on confirmation crossover
### Trading Strategies
#### Strategy 1: Classic MACD Crossover
**Setup:**
- Standard settings (13/34/9)
- Enable MACD, signal line, and cross markers
- Clear trend on higher timeframe
**Entry:**
- **Long**: Golden cross (circle marker) above zero line
- **Short**: Death cross (circle marker) below zero line
**Confirmation:**
- Histogram color supporting direction
- Volume increase helps
**Stop Loss:**
- Below recent swing low (long)
- Above recent swing high (short)
**Exit:**
- Opposite crossover
- MACD crosses zero line against position
**Best For:** Trend following, clear trending markets
#### Strategy 2: Zero Line Bounce
**Setup:**
- Enable all components
- Established trend (MACD staying one side of zero)
- Wait for pullback to zero line
**Entry:**
- **Long**: MACD touches zero from above, bounces up with golden cross
- **Short**: MACD touches zero from below, bounces down with death cross
**Confirmation:**
- Histogram color change
- Price at support/resistance
**Stop Loss:**
- Just beyond zero line (opposite side)
**Exit:**
- Target previous extreme
- Or opposite crossover
**Best For:** Trend continuation, strong markets
#### Strategy 3: Dual Divergence Confirmation
**Setup:**
- Enable both histogram and MACD line divergences
- Price at extreme (high/low)
- Wait for divergence signals
**Entry:**
- **Long**: Both "H涨" AND "M涨" labels appear
- **Short**: Both "H跌" AND "M跌" labels appear
**Confirmation:**
- Price breaks structure
- Volume increase
- Golden/death cross confirms
**Stop Loss:**
- Beyond divergence pivot point
**Exit:**
- MACD crosses zero line
- Or opposite divergence appears
**Best For:** Reversal trading, swing trading
#### Strategy 4: Histogram Color Transition
**Setup:**
- Enable 4-color histogram
- Focus on color changes
- Price in trend
**Entry:**
- **Long**: Light red → Light green transition + golden cross
- **Short**: Light green → Light red transition + death cross
**Rationale:**
- Light colors show momentum exhaustion
- Color flip = momentum shift
- Early entry before full trend reversal
**Stop Loss:**
- Recent swing point
**Exit:**
- Histogram color turns light against position
- Or at predetermined target
**Best For:** Scalping, day trading, early entries
#### Strategy 5: Multi-Timeframe Momentum
**Setup:**
- Display higher timeframe MACD (e.g., 4H on 1H chart)
- Current chart shows current momentum
- Higher TF shows overall bias
**Entry:**
- **Long**: HTF MACD above zero + current TF golden cross
- **Short**: HTF MACD below zero + current TF death cross
**Confirmation:**
- HTF histogram supporting direction
- Both timeframes aligned
**Stop Loss:**
- Based on current timeframe structure
**Exit:**
- Current TF opposite crossover
- Or HTF MACD momentum weakens
**Best For:** Swing trading, high-probability setups
#### Strategy 6: Histogram-Only Divergence Scout
**Setup:**
- Enable only histogram divergence
- Use "same sign requirement"
- Focus on early signals
**Entry:**
- **Long**: "H涨" label + price at support
- **Short**: "H跌" label + price at resistance
**Confirmation:**
- Wait for MACD/signal crossover
- Or price structure break
**Advantage:**
- Earliest divergence signals
- Get in before crowd
**Risk:**
- More false signals than MACD line divergence
- Requires strict confirmation
**Stop Loss:**
- Tight stop beyond entry bar
**Exit:**
- Quick targets (30-50% of expected move)
- Or trail stop
**Best For:** Active traders, scalpers seeking early entries
### Best Practices
#### MACD Period Selection
**Standard (13/34/9)** - Default
- Balanced for most markets
- Good for day trading and swing trading
- Widely used, works with general market psychology
**Faster (8/21/5 or 12/26/9)**
- More responsive
- More signals, more noise
- Best for: Scalping, volatile markets
- Risk: More false signals
**Slower (21/55/13)**
- Smoother signals
- Fewer but stronger signals
- Best for: Swing trading, position trading
- Benefit: Higher reliability
#### Histogram vs MACD Line Divergences
**Histogram Divergence:**
- ✅ Earlier signals
- ✅ Catch moves before others
- ❌ More false signals
- ❌ Requires confirmation
- **Best for**: Active traders, scalpers
**MACD Line Divergence:**
- ✅ More reliable
- ✅ Stronger divergences
- ❌ Later signals
- ❌ May miss early moves
- **Best for**: Swing traders, conservative traders
**Both Together:**
- ✅ Maximum confidence
- ✅ Histogram for alert, MACD for confirmation
- ✅ Highest probability setups
- **Best for**: All traders seeking quality over quantity
#### Same Sign Requirement Feature
**Enabled (Recommended):**
- Filters low-quality divergences
- Top divergence: Both histogram points positive
- Bottom divergence: Both histogram points negative
- Results in fewer but more reliable signals
**Disabled:**
- More divergence signals
- Includes zero-line crossing divergences
- Higher false signal rate
- Only for experienced traders
#### Price Reference: Wicks vs Bodies
**Wicks (Default):**
- Uses high/low prices
- Catches all extremes
- More divergences detected
- Best for: Most trading styles
**Bodies:**
- Uses open/close prices
- Filters out spike movements
- Fewer but cleaner divergences
- Best for: Noisy markets, crypto
#### Visual Settings Recommendations
**For Beginners:**
- Enable: MACD line, signal line, histogram
- Enable: Cross markers
- Enable: Histogram colors
- Disable: Both divergence systems initially
- Focus: Learn basic crossovers first
**For Intermediate:**
- All basic components
- Add: Histogram divergence only
- Use: Same sign requirement
- Focus: Early reversal signals
**For Advanced:**
- All components
- Both divergence systems
- Custom parameters per market
- Multi-timeframe analysis
- Focus: High-probability confluence setups
### Indicator Combinations
**With Moving Averages (EMAs):**
- EMAs (21/55/144) show trend
- MACD shows momentum
- Enter when both align
- Exit when MACD turns first
**With RSI:**
- RSI for overbought/oversold
- MACD for momentum confirmation
- Divergence on both = Extremely strong signal
- RSI + MACD divergence = High probability trade
**With Volume:**
- Volume confirms MACD signals
- Crossover + volume spike = Valid breakout
- Divergence + volume divergence = Strong reversal
**With Support/Resistance:**
- S/R levels for entry/exit targets
- MACD divergence at levels = Highest probability
- MACD crossover at level = Strong confirmation
**With Bias Indicator:**
- Bias shows price deviation from EMA
- MACD shows momentum
- Both diverging = Powerful reversal signal
- Bias extreme + MACD divergence = High conviction trade
**With OBV:**
- OBV shows volume trend
- MACD shows price momentum
- OBV + MACD divergence = Volume not supporting price
- Strong reversal indication
**With KSI (RSI/CCI):**
- KSI for oscillator extremes
- MACD for momentum direction
- KSI extreme + MACD divergence = Reversal likely
- All aligned = Maximum confidence
### Common MACD Patterns
1. **Bullish Cross Above Zero**: Strong uptrend continuation signal
2. **Bearish Cross Below Zero**: Strong downtrend continuation signal
3. **Zero Line Rejection**: Price respects zero as support/resistance
4. **Histogram Peak**: Momentum climax, watch for reversal
5. **Double Divergence**: Two divergences without reversal = Very strong signal when it finally reverses
6. **Histogram Convergence**: Histogram narrowing = Trend losing steam
7. **Signal Line Hug**: MACD stays close to signal = Consolidation, expect breakout
### Performance Tips
- Start with default settings (13/34/9 EMA/EMA)
- Test one divergence system at a time
- Use same sign requirement initially
- Enable cross markers for clear signals
- Adjust lookback parameters per market volatility
- Higher timeframe MACD more reliable than lower
- Combine histogram early signal with MACD line confirmation
- Don't trade every divergence - wait for best setups
### Alert Conditions
While not explicitly coded, you can set custom alerts on:
- MACD crossing above/below signal line
- MACD crossing above/below zero line
- Histogram crossing zero
- When divergence labels appear (using visual alerts)
---
## 中文说明文档
### 概述
Scout Regiment - MACD 是移动平均线收敛发散指标的高级实现版本,具有增强功能,包括双重背离检测(直方图和MACD线)、可自定义的移动平均类型、多时间框架分析和复杂的视觉元素。该指标为交易者提供全面的动量分析和高概率反转信号。
### 什么是MACD?
MACD(移动平均线收敛发散)是一个趋势跟随动量指标,显示两条移动平均线之间的关系:
- **MACD线**:快速和慢速EMA之间的差值
- **信号线**:MACD线的移动平均
- **直方图**:MACD线和信号线之间的差值
- **用途**:识别趋势方向、动量强度和潜在反转
### 核心功能
#### 1. **增强的MACD显示**
**三个核心组件:**
**MACD线**(默认:蓝色/橙色,2像素)
- 快速EMA(13)减去慢速EMA(34)
- 显示动量方向
- 根据相对于信号线的位置改变颜色:
- 蓝色:信号线上方(看涨)
- 橙色:信号线下方(看跌)
- 可开关显示
**信号线**(默认:白色/蓝色带透明度,2像素)
- MACD线的EMA(9)
- 作为交叉信号的触发线
- 颜色根据设置变化
- 识别进出场点的关键
**直方图**(默认:4色渐变,4像素柱)
- MACD和信号线之间的差值
- 动量强度的视觉表示
- 高级4色方案:
- **深绿色(#26A69A)**:正值且增加(强劲看涨)
- **浅绿色(#B2DFDB)**:正值但减少(看涨减弱)
- **深红色(#FF5252)**:负值且减少(强劲看跌)
- **浅红色(#FFCDD2)**:负值但增加(看跌减弱)
- 直方图讲述动量变化的"故事"
#### 2. **可自定义的移动平均类型**
**振荡器MA类型**(MACD线计算):
- **EMA**(指数)- 默认,反应更快
- **SMA**(简单)- 更平滑,反应较慢
**信号线MA类型**:
- **EMA**(指数)- 默认,更快信号
- **SMA**(简单)- 更慢,假信号更少
**灵活性**:混合搭配以适应不同交易风格
- EMA/EMA:最灵敏(日内交易)
- SMA/SMA:最平滑(波段交易)
- EMA/SMA或SMA/EMA:平衡方法
#### 3. **多时间框架功能**
**当前图表周期**(默认:启用)
- 自动使用当前时间框架
- 大多数交易者的最简单选项
**自定义时间框架选择**
- 在任何时间框架上计算MACD
- 在低时间框架图表上显示高时间框架MACD
- 示例:在15分钟图上查看1小时MACD
- **使用场景**:使低时间框架交易与高时间框架动量保持一致
#### 4. **视觉增强功能**
**金叉/死叉标记**
- 圆点标记交叉点
- 颜色与MACD线颜色匹配
- 清晰识别进出场信号
- 可开关
**零线**(白色,2像素实线)
- 正负动量的参考
- 趋势识别的关键水平
- MACD在零线上方 = 看涨偏向
- MACD在零线下方 = 看跌偏向
**颜色转换**
- MACD线在信号线交叉处改变颜色
- 直方图显示动量加速/减速
- 提供趋势变化的早期警告
#### 5. **双重背离检测系统**
该指标具有两个独立的背离检测系统:
**A. 直方图背离检测**
- **用途**:更早的背离信号(最敏感)
- **检测**:常规看涨和看跌背离
- **标签**:"H涨"(直方图上涨)、"H跌"(直方图下跌)
- **特殊功能**:同符号要求选项
- 顶背离:两个直方图点都必须为正
- 底背离:两个直方图点都必须为负
- 过滤不太可靠的背离
**B. MACD线背离检测**
- **用途**:更强、更可靠的背离
- **检测**:常规看涨和看跌背离
- **标签**:"M涨"(MACD上涨)、"M跌"(MACD下跌)
- **用途**:确认直方图背离或独立使用
**背离类型说明:**
**常规看涨背离(黄色)**
- **价格**:更低的低点
- **指标**:更高的低点(直方图或MACD线)
- **信号**:潜在向上反转
- **最佳**:在支撑水平附近、超卖状况
- **入场**:价格突破近期阻力后
**常规看跌背离(蓝色)**
- **价格**:更高的高点
- **指标**:更低的高点(直方图或MACD线)
- **信号**:潜在向下反转
- **最佳**:在阻力水平附近、超买状况
- **入场**:价格跌破近期支撑后
#### 6. **高级背离参数**
**直方图背离设置:**
- **价格参考**:影线(默认)或实体
- **右侧回溯**:枢轴点右侧K线数(默认:2)
- **左侧回溯**:枢轴点左侧K线数(默认:5)
- **最大范围**:背离之间最大K线数(默认:60)
- **最小范围**:背离之间最小K线数(默认:5)
- **同符号要求**:确保两个直方图点符号相同
- **显示常规背离**:切换显示
- **显示标签**:切换背离标签
**MACD线背离设置:**
- **价格参考**:影线(默认)或实体
- **右侧回溯**:枢轴点右侧K线数(默认:1)
- **左侧回溯**:枢轴点左侧K线数(默认:5)
- **最大范围**:背离之间最大K线数(默认:60)
- **最小范围**:背离之间最小K线数(默认:5)
- **显示常规背离**:切换显示
- **显示标签**:切换背离标签
**独立控制**:分别调整直方图和MACD线背离
### 配置设置
#### MACD基础设置
- **快速EMA周期**:快速移动平均长度(默认:13)
- **慢速EMA周期**:慢速移动平均长度(默认:34)
- **信号线周期**:信号线长度(默认:9)
- **使用当前图表周期**:自动调整到当前时间框架
- **选择周期**:选择自定义时间框架
- **显示MACD线和信号线**:切换线条显示
- **显示金叉死叉圆点标记**:切换金叉/死叉圆点
- **显示直方图**:切换直方图显示
- **显示穿越变化MACD线**:启用MACD线颜色变化
- **显示直方图颜色**:启用4色直方图方案
- **振荡器MA类型**:为MACD选择SMA或EMA
- **信号线MA类型**:为信号线选择SMA或EMA
#### 直方图背离设置
- **显示直方图背离信号**:启用直方图背离检测
- **价格参考**:影线或实体用于价格比较
- **右侧/左侧回溯**:枢轴检测参数
- **最大/最小范围**:枢轴之间的距离约束
- **显示直方图常规背离**:显示直方图背离线
- **显示直方图常规背离标签**:显示直方图背离标签
- **要求背离点柱状图同符号**:强制直方图符号一致性
#### MACD线背离设置
- **显示MACD线背离信号**:启用MACD线背离检测
- **价格参考**:影线或实体用于价格比较
- **右侧/左侧回溯**:枢轴检测参数
- **最大/最小范围**:枢轴之间的距离约束
- **显示线常规背离**:显示MACD线背离线
- **显示线常规背离标签**:显示MACD线背离标签
### 使用方法
#### 基础趋势跟随
1. **启用核心组件**
- MACD线、信号线和直方图
- 启用交叉标记
2. **识别趋势**
- MACD在零线上方 = 上升趋势
- MACD在零线下方 = 下降趋势
3. **观察交叉**
- 金叉(MACD向上穿越信号线)= 买入信号
- 死叉(MACD向下穿越信号线)= 卖出信号
4. **用直方图确认**
- 直方图增加 = 趋势加强
- 直方图减少 = 趋势减弱
#### 背离交易
1. **启用两个背离系统**
- 直方图背离(早期信号)
- MACD线背离(确认)
2. **等待背离信号**
- "H涨"或"H跌" = 早期警告
- "M涨"或"M跌" = 确认
3. **最佳背离**
- 直方图和MACD线都显示背离
- 在关键支撑/阻力水平的背离
- 同一趋势上多个背离
4. **入场时机**
- 等待价格结构突破
- 确认后回调时进入
- 使用MACD交叉作为触发
#### 多时间框架分析
1. **设置更高时间框架**
- 示例:在1小时图上显示4小时MACD
- 取消勾选"使用当前图表周期"
- 选择所需时间框架
2. **识别更高TF趋势**
- MACD相对于零线的位置
- MACD与信号线的关系
3. **顺HTF方向交易**
- 仅在HTF MACD看涨时接受多头信号
- 仅在HTF MACD看跌时接受空头信号
4. **使用当前TF入场**
- 更高TF确定偏向
- 当前TF精确定时
#### 直方图分析
1. **启用4色直方图**
- 观察颜色转换
- 深色 = 强动量
- 浅色 = 动量减弱
2. **动量阶段**
- 深绿色→浅绿色 = 看涨失去动力
- 浅红色→深红色 = 看跌获得力量
3. **交易转换**
- 浅绿色到浅红色 = 动量转变(潜在反转)
- 确认交叉时入场
### 交易策略
#### 策略1:经典MACD交叉
**设置:**
- 标准设置(13/34/9)
- 启用MACD、信号线和交叉标记
- 更高时间框架明确趋势
**入场:**
- **多头**:零线上方金叉(圆点标记)
- **空头**:零线下方死叉(圆点标记)
**确认:**
- 直方图颜色支持方向
- 成交量增加有帮助
**止损:**
- 近期波动低点之下(多头)
- 近期波动高点之上(空头)
**离场:**
- 相反交叉
- MACD反向穿越零线
**适合:**趋势跟随、明确趋势市场
#### 策略2:零线反弹
**设置:**
- 启用所有组件
- 已建立趋势(MACD保持在零线一侧)
- 等待回调至零线
**入场:**
- **多头**:MACD从上方触及零线,向上反弹并金叉
- **空头**:MACD从下方触及零线,向下反弹并死叉
**确认:**
- 直方图颜色变化
- 价格在支撑/阻力位
**止损:**
- 零线对面一侧
**离场:**
- 目标前一极值
- 或相反交叉
**适合:**趋势延续、强势市场
#### 策略3:双重背离确认
**设置:**
- 启用直方图和MACD线背离
- 价格在极值(高点/低点)
- 等待背离信号
**入场:**
- **多头**:"H涨"和"M涨"标签都出现
- **空头**:"H跌"和"M跌"标签都出现
**确认:**
- 价格突破结构
- 成交量增加
- 金叉/死叉确认
**止损:**
- 背离枢轴点之外
**离场:**
- MACD穿越零线
- 或出现相反背离
**适合:**反转交易、波段交易
#### 策略4:直方图颜色转换
**设置:**
- 启用4色直方图
- 关注颜色变化
- 价格处于趋势
**入场:**
- **多头**:浅红色→浅绿色转换 + 金叉
- **空头**:浅绿色→浅红色转换 + 死叉
**原理:**
- 浅色显示动量衰竭
- 颜色翻转 = 动量转变
- 完全趋势反转前的早期入场
**止损:**
- 近期波动点
**离场:**
- 直方图颜色变为反向浅色
- 或预定目标
**适合:**剥头皮、日内交易、早期入场
#### 策略5:多时间框架动量
**设置:**
- 显示更高时间框架MACD(例如,在1小时图上显示4小时)
- 当前图表显示当前动量
- 更高TF显示整体偏向
**入场:**
- **多头**:HTF MACD在零线上方 + 当前TF金叉
- **空头**:HTF MACD在零线下方 + 当前TF死叉
**确认:**
- HTF直方图支持方向
- 两个时间框架对齐
**止损:**
- 基于当前时间框架结构
**离场:**
- 当前TF相反交叉
- 或HTF MACD动量减弱
**适合:**波段交易、高概率设置
#### 策略6:仅直方图背离侦察
**设置:**
- 仅启用直方图背离
- 使用"同符号要求"
- 关注早期信号
**入场:**
- **多头**:"H涨"标签 + 价格在支撑位
- **空头**:"H跌"标签 + 价格在阻力位
**确认:**
- 等待MACD/信号线交叉
- 或价格结构突破
**优势:**
- 最早的背离信号
- 在大众之前进入
**风险:**
- 比MACD线背离假信号更多
- 需要严格确认
**止损:**
- 入场K线之外紧密止损
**离场:**
- 快速目标(预期波动的30-50%)
- 或移动止损
**适合:**活跃交易者、寻求早期入场的剥头皮交易者
### 最佳实践
#### MACD周期选择
**标准(13/34/9)** - 默认
- 大多数市场的平衡
- 适合日内交易和波段交易
- 广泛使用,符合一般市场心理
**更快(8/21/5或12/26/9)**
- 更灵敏
- 更多信号,更多噪音
- 最适合:剥头皮、波动市场
- 风险:更多假信号
**更慢(21/55/13)**
- 更平滑的信号
- 信号较少但更强
- 最适合:波段交易、仓位交易
- 优势:更高可靠性
#### 直方图vs MACD线背离
**直方图背离:**
- ✅ 更早信号
- ✅ 在其他人之前捕捉波动
- ❌ 更多假信号
- ❌ 需要确认
- **最适合**:活跃交易者、剥头皮交易者
**MACD线背离:**
- ✅ 更可靠
- ✅ 更强的背离
- ❌ 信号较晚
- ❌ 可能错过早期波动
- **最适合**:波段交易者、保守交易者
**两者结合:**
- ✅ 最大信心
- ✅ 直方图警报,MACD确认
- ✅ 最高概率设置
- **最适合**:所有寻求质量而非数量的交易者
#### 同符号要求功能
**启用(推荐):**
- 过滤低质量背离
- 顶背离:两个直方图点都为正
- 底背离:两个直方图点都为负
- 产生更少但更可靠的信号
**禁用:**
- 更多背离信号
- 包括零线穿越背离
- 假信号率更高
- 仅适合有经验的交易者
#### 价格参考:影线vs实体
**影线(默认):**
- 使用最高/最低价
- 捕捉所有极值
- 检测到更多背离
- 最适合:大多数交易风格
**实体:**
- 使用开盘/收盘价
- 过滤突刺波动
- 背离更少但更干净
- 最适合:噪音市场、加密货币
#### 视觉设置建议
**新手:**
- 启用:MACD线、信号线、直方图
- 启用:交叉标记
- 启用:直方图颜色
- 禁用:初始禁用两个背离系统
- 重点:先学习基本交叉
**中级:**
- 所有基本组件
- 添加:仅直方图背离
- 使用:同符号要求
- 重点:早期反转信号
**高级:**
- 所有组件
- 两个背离系统
- 每个市场自定义参数
- 多时间框架分析
- 重点:高概率汇合设置
### 指标组合
**与移动平均线(EMA)配合:**
- EMA(21/55/144)显示趋势
- MACD显示动量
- 两者一致时进入
- MACD先转向时退出
**与RSI配合:**
- RSI用于超买超卖
- MACD用于动量确认
- 两者都背离 = 极强信号
- RSI + MACD背离 = 高概率交易
**与成交量配合:**
- 成交量确认MACD信号
- 交叉 + 成交量激增 = 有效突破
- 背离 + 成交量背离 = 强反转
**与支撑/阻力配合:**
- 支撑阻力水平用于进出目标
- 水平处的MACD背离 = 最高概率
- 水平处的MACD交叉 = 强确认
**与Bias指标配合:**
- Bias显示价格相对EMA的偏离
- MACD显示动量
- 两者都背离 = 强大反转信号
- Bias极值 + MACD背离 = 高信念交易
**与OBV配合:**
- OBV显示成交量趋势
- MACD显示价格动量
- OBV + MACD背离 = 成交量不支持价格
- 强反转迹象
**与KSI(RSI/CCI)配合:**
- KSI用于振荡器极值
- MACD用于动量方向
- KSI极值 + MACD背离 = 可能反转
- 全部对齐 = 最大信心
### 常见MACD形态
1. **零线上方看涨交叉**:强上升趋势延续信号
2. **零线下方看跌交叉**:强下降趋势延续信号
3. **零线拒绝**:价格将零线作为支撑/阻力
4. **直方图峰值**:动量高潮,注意反转
5. **双重背离**:两次背离未反转 = 最终反转时非常强
6. **直方图收敛**:直方图变窄 = 趋势失去动力
7. **信号线紧贴**:MACD紧贴信号线 = 盘整,预期突破
### 性能提示
- 从默认设置开始(13/34/9 EMA/EMA)
- 一次测试一个背离系统
- 初始使用同符号要求
- 启用交叉标记以获得清晰信号
- 根据市场波动性调整回溯参数
- 更高时间框架MACD比更低的更可靠
- 结合直方图早期信号与MACD线确认
- 不要交易每个背离 - 等待最佳设置
### 警报条件
虽然没有明确编码,但您可以设置自定义警报:
- MACD向上/向下穿越信号线
- MACD向上/向下穿越零线
- 直方图穿越零线
- 背离标签出现时(使用视觉警报)
---
## Technical Support
For questions or issues, please refer to the TradingView community or contact the indicator creator.
## 技术支持
如有问题,请参考TradingView社区或联系指标创建者。
Smart Money Concepts [XoRonX]# Smart Money Concepts (SMC) - Advanced Trading Indicator
## 📊 Deskripsi
**Smart Money Concepts ** adalah indicator trading komprehensif yang menggabungkan konsep Smart Money Trading dengan berbagai alat teknikal analisis modern. Indicator ini dirancang untuk membantu trader mengidentifikasi pergerakan institusional (smart money), struktur pasar, zona supply/demand, dan berbagai sinyal trading penting.
Indicator ini mengintegrasikan multiple timeframe analysis, order blocks detection, fair value gaps, fibonacci retracement, volume profile, RSI multi-timeframe, dan moving averages dalam satu platform yang powerful dan mudah digunakan.
---
## 🎯 Fitur Utama
### 1. **Smart Money Structure**
- **Internal Structure** - Struktur pasar jangka pendek untuk entry presisi
- **Swing Structure** - Struktur pasar jangka panjang untuk trend analysis
- **BOS (Break of Structure)** - Konfirmasi kelanjutan trend
- **CHoCH (Change of Character)** - Deteksi potensi reversal
### 2. **Order Blocks**
- **Internal Order Blocks** - Zona demand/supply jangka pendek
- **Swing Order Blocks** - Zona demand/supply jangka panjang
- Filter otomatis berdasarkan volatilitas (ATR/Range)
- Mitigation tracking (High/Low atau Close)
- Customizable display (jumlah order blocks yang ditampilkan)
### 3. **Equal Highs & Equal Lows (EQH/EQL)**
- Deteksi otomatis equal highs/lows
- Indikasi liquidity zones
- Threshold adjustment untuk sensitivitas
- Visual lines dan labels
### 4. **Fair Value Gaps (FVG)**
- Multi-timeframe FVG detection
- Auto threshold filtering
- Bullish & Bearish FVG boxes
- Extension control
- Color customization
### 5. **Premium & Discount Zones**
- Premium Zone (75-100% dari range)
- Equilibrium Zone (47.5-52.5% dari range)
- Discount Zone (0-25% dari range)
- Auto-update berdasarkan swing high/low
### 6. **Fibonacci Retracement**
- **Equilibrium to Discount** - Fib dari EQ ke discount zone
- **Equilibrium to Premium** - Fib dari EQ ke premium zone
- **Discount to Premium** - Fib full range
- Reverse option
- Show/hide lines
- Custom colors
### 7. **Volume Profile (VRVP)**
- Visible Range Volume Profile
- Point of Control (POC)
- Value Area (70% volume)
- Auto-adjust rows
- Placement options (Left/Right)
- Width customization
### 8. **RSI Multi-Timeframe**
- Monitor 3 timeframes sekaligus
- Overbought/Oversold signals
- Visual table display
- Color-coded signals (Red OB, Green OS)
- Customizable position & size
### 9. **Moving Averages**
- 3 Moving Average lines
- Pilihan tipe: EMA, SMA, WMA
- Automatic/Manual period mode
- Individual color & width settings
- Cross alerts (MA vs MA, Price vs MA)
### 10. **Multi-Timeframe Levels**
- Support up to 5 different timeframes
- Previous high/low levels
- Custom line styles
- Color customization
### 11. **Candle Color**
- Color candles berdasarkan trend
- Bullish = Green, Bearish = Red
- Optional toggle
---
## 🛠️ Cara Penggunaan
### **A. Setup Awal**
1. **Tambahkan Indicator ke Chart**
- Buka TradingView
- Klik "Indicators" → "My Scripts" atau paste code
- Pilih "Smart Money Concepts "
2. **Pilih Mode Display**
- **Historical**: Tampilkan semua struktur (untuk backtesting)
- **Present**: Hanya tampilkan struktur terbaru (clean chart)
3. **Pilih Style**
- **Colored**: Warna berbeda untuk bullish/bearish
- **Monochrome**: Tema warna abu-abu
---
### **B. Penggunaan Fitur**
#### **1. Smart Money Structure**
**Internal Structure (Real-time):**
- ✅ Aktifkan "Show Internal Structure"
- Pilih tampilan: All, BOS only, atau CHoCH only
- Gunakan untuk entry timing presisi
- Filter confluence untuk mengurangi noise
**Swing Structure:**
- ✅ Aktifkan "Show Swing Structure"
- Pilih tampilan struktur bullish/bearish
- Adjust "Swings Length" (default: 50)
- Gunakan untuk konfirmasi trend utama
**Tips:**
- BOS = Konfirmasi trend continuation
- CHoCH = Warning untuk possible reversal
- Tunggu price retest ke order block setelah BOS
---
#### **2. Order Blocks**
**Setup:**
- ✅ Aktifkan Internal/Swing Order Blocks
- Set jumlah blocks yang ditampil (1-20)
- Pilih filter: ATR atau Cumulative Mean Range
- Pilih mitigation: Close atau High/Low
**Cara Trading:**
1. Tunggu BOS/CHoCH terbentuk
2. Identifikasi order block terdekat
3. Wait for price pullback ke order block
4. Entry saat price respek order block (rejection)
5. Stop loss di bawah/atas order block
6. Target: swing high/low berikutnya
**Color Code:**
- 🔵 Light Blue = Internal Bullish OB
- 🔴 Light Red = Internal Bearish OB
- 🔵 Dark Blue = Swing Bullish OB
- 🔴 Dark Red = Swing Bearish OB
---
#### **3. Equal Highs/Lows (EQH/EQL)**
**Setup:**
- ✅ Aktifkan "Equal High/Low"
- Set "Bars Confirmation" (default: 3)
- Adjust threshold (0-0.5, default: 0.1)
**Interpretasi:**
- EQH = Liquidity di atas, kemungkinan sweep lalu dump
- EQL = Liquidity di bawah, kemungkinan sweep lalu pump
- Biasanya smart money akan grab liquidity sebelum move besar
**Trading Strategy:**
- Wait for EQH/EQL formation
- Anticipate liquidity grab
- Entry setelah sweep dengan konfirmasi (order block, FVG, CHoCH)
---
#### **4. Fair Value Gaps (FVG)**
**Setup:**
- ✅ Aktifkan "Fair Value Gaps"
- Pilih timeframe (default: chart timeframe)
- Enable/disable auto threshold
- Set extension bars
**Cara Trading:**
1. Bullish FVG = Support zone untuk buy
2. Bearish FVG = Resistance zone untuk sell
3. Price tends to fill FVG (retest)
4. Entry saat price kembali ke FVG
5. Partial fill = valid, full fill = invalidated
**Tips:**
- FVG + Order Block = High probability setup
- Multi-timeframe FVG lebih kuat
- Unfilled FVG = strong momentum
---
#### **5. Premium & Discount Zones**
**Setup:**
- ✅ Aktifkan "Premium/Discount Zones"
- Zones akan auto-update berdasarkan swing high/low
**Interpretasi:**
- 🟢 **Discount Zone** = Area BUY (price murah)
- ⚪ **Equilibrium** = Neutral (50%)
- 🔴 **Premium Zone** = Area SELL (price mahal)
**Trading Strategy:**
- BUY dari discount zone
- SELL dari premium zone
- Avoid trading di equilibrium
- Combine dengan structure confirmation
---
#### **6. Fibonacci Retracement**
**Setup:**
- Pilih Fib yang ingin ditampilkan:
- Equilibrium to Discount
- Equilibrium to Premium
- Discount to Premium
- Toggle show lines
- Enable reverse jika perlu
- Custom colors
**Key Levels:**
- 0.236 = Shallow retracement
- 0.382 = Common retracement
- 0.5 = 50% golden level
- 0.618 = Golden ratio (penting!)
- 0.786 = Deep retracement
**Cara Pakai:**
- 0.618-0.786 = Ideal entry zone dalam trend
- Combine dengan order blocks
- Wait for confirmation candle
---
#### **7. Volume Profile (VRVP)**
**Setup:**
- ✅ Aktifkan "Show Volume Profile"
- Set jumlah rows (10-100)
- Adjust width (5-50%)
- Pilih placement (Left/Right)
- Enable POC dan Value Area
**Interpretasi:**
- **POC (Point of Control)** = Harga dengan volume tertinggi = magnet
- **Value Area** = 70% volume = fair price range
- **Low Volume Nodes** = Weak support/resistance
- **High Volume Nodes** = Strong support/resistance
**Trading:**
- POC acts as support/resistance
- Price tends to return to POC
- Breakout dari Value Area = momentum
---
#### **8. RSI Multi-Timeframe**
**Setup:**
- ✅ Aktifkan "Show RSI Table"
- Set 3 timeframes (default: chart, 5m, 15m)
- Set RSI period (default: 14)
- Set Overbought level (default: 70)
- Set Oversold level (default: 30)
- Pilih posisi & ukuran table
**Interpretasi:**
- 🟢 **OS (Oversold)** = RSI ≤ 30 = Kondisi jenuh jual
- 🔴 **OB (Overbought)** = RSI ≥ 70 = Kondisi jenuh beli
- **-** = Neutral zone
**Trading Strategy:**
1. Multi-timeframe alignment = strong signal
2. OS + Bullish structure = BUY signal
3. OB + Bearish structure = SELL signal
4. Divergence RSI vs Price = reversal warning
**Contoh:**
- TF1: OS, TF2: OS, TF3: OS + Price di discount zone = STRONG BUY
---
#### **9. Moving Averages**
**Setup:**
- Pilih MA Type: EMA, SMA, atau WMA (berlaku untuk ketiga MA)
- Pilih Period Mode: Automatic atau Manual
- Set period untuk MA 1, 2, 3 (default: 20, 50, 100)
- Custom color & width per MA
- ✅ Enable Cross Alerts
**Interpretasi:**
- **Golden Cross** = MA fast cross above MA slow = Bullish
- **Death Cross** = MA fast cross below MA slow = Bearish
- Price above all MAs = Strong uptrend
- Price below all MAs = Strong downtrend
**Trading Strategy:**
1. MA1 (20) = Short-term trend
2. MA2 (50) = Medium-term trend
3. MA3 (100) = Long-term trend
**Entry Signals:**
- Price bounce dari MA dalam trend = continuation
- MA cross dengan konfirmasi structure = entry
- Multiple MA confluence = strong support/resistance
**Alerts Available:**
- MA1 cross MA2/MA3
- MA2 cross MA3
- Price cross any MA
---
#### **10. Multi-Timeframe Levels**
**Setup:**
- Enable HTF Level 1-5
- Set timeframes (contoh: 5m, 1H, 4H, D, W)
- Pilih line style (solid/dashed/dotted)
- Custom colors
**Cara Pakai:**
- Previous high/low dari HTF = strong S/R
- Breakout HTF level = significant move
- Multiple HTF levels confluence = major zone
---
### **C. Trading Setup Combination**
#### **Setup 1: High Probability Buy (Bullish)**
1. ✅ Swing structure: Bullish BOS
2. ✅ Price di Discount Zone
3. ✅ Pullback ke Bullish Order Block
4. ✅ Bullish FVG di bawah
5. ✅ RSI Multi-TF: Oversold
6. ✅ Price bounce dari MA
7. ✅ POC/Value Area support
8. ✅ Fibonacci 0.618-0.786 retracement
**Entry:** Saat price reject dari order block dengan confirmation candle
**Stop Loss:** Below order block
**Target:** Swing high atau premium zone
---
#### **Setup 2: High Probability Sell (Bearish)**
1. ✅ Swing structure: Bearish BOS
2. ✅ Price di Premium Zone
3. ✅ Pullback ke Bearish Order Block
4. ✅ Bearish FVG di atas
5. ✅ RSI Multi-TF: Overbought
6. ✅ Price reject dari MA
7. ✅ POC/Value Area resistance
8. ✅ Fibonacci 0.618-0.786 retracement
**Entry:** Saat price reject dari order block dengan confirmation candle
**Stop Loss:** Above order block
**Target:** Swing low atau discount zone
---
#### **Setup 3: Liquidity Grab (EQH/EQL)**
1. ✅ Identifikasi EQH atau EQL
2. ✅ Wait for liquidity sweep
3. ✅ Konfirmasi dengan CHoCH
4. ✅ Order block terbentuk setelah sweep
5. ✅ Entry saat retest order block
---
### **D. Tips & Best Practices**
**Risk Management:**
- Selalu gunakan stop loss
- Risk 1-2% per trade
- Risk:Reward minimum 1:2
- Jangan over-leverage
**Confluence adalah Kunci:**
- Minimal 3-4 konfirmasi sebelum entry
- Lebih banyak konfirmasi = higher probability
- Quality over quantity
**Timeframe Analysis:**
- HTF (Higher Timeframe) = Trend direction
- LTF (Lower Timeframe) = Entry timing
- Align dengan HTF trend
**Backtesting:**
- Gunakan mode "Historical"
- Test strategy di berbagai market condition
- Record dan analyze hasil
**Market Condition:**
- Trending market = Follow BOS, use order blocks
- Ranging market = Use premium/discount zones, EQH/EQL
- High volatility = Wider stops, wait for clear structure
**Avoid:**
- Trading di equilibrium zone
- Entry tanpa konfirmasi
- Fighting the trend
- Overleveraging
- Emotional trading
---
## 📈 Recommended Settings
### **For Scalping (1m - 5m):**
- Internal Structure: ON
- Swing Structure: OFF
- Order Blocks: Internal only
- RSI Timeframes: 1m, 5m, 15m
- MA Periods: 9, 21, 50
### **For Day Trading (15m - 1H):**
- Internal Structure: ON
- Swing Structure: ON
- Order Blocks: Both
- RSI Timeframes: 15m, 1H, 4H
- MA Periods: 20, 50, 100
### **For Swing Trading (4H - D):**
- Internal Structure: OFF
- Swing Structure: ON
- Order Blocks: Swing only
- RSI Timeframes: 4H, D, W
- MA Periods: 20, 50, 200
---
## ⚠️ Disclaimer
Indicator ini adalah alat bantu analisis teknikal. Tidak ada indicator yang 100% akurat. Selalu:
- Lakukan analisa fundamental
- Gunakan proper risk management
- Praktik di demo account terlebih dahulu
- Trading memiliki resiko, trade at your own risk
---
## 📝 Version Info
**Version:** 5.0
**Platform:** TradingView Pine Script v5
**Author:** XoRonX
**Max Labels:** 500
**Max Lines:** 500
**Max Boxes:** 500
---
## 🔄 Updates & Support
Untuk update, bug reports, atau pertanyaan:
- Check documentation regularly
- Test new features in replay mode
- Backup your settings before updates
---
## 🎓 Learning Resources
**Recommended Study:**
1. Smart Money Concepts (SMC) basics
2. Order blocks theory
3. Liquidity concepts
4. ICT (Inner Circle Trader) concepts
5. Volume profile analysis
6. Multi-timeframe analysis
**Practice:**
- Start with higher timeframes
- Master one concept at a time
- Keep a trading journal
- Review your trades weekly
---
**Happy Trading! 🚀📊**
_Remember: The best indicator is your own analysis and discipline._
XAUUSD Pro Setup Suite manuel_lnt.fx is an advanced Pine Script v6 indicator designed exclusively for XAUUSD, built to automatically detect the 5 highest-probability setups in gold day trading.
It combines institutional price action, volatility patterns, mean reversion logic, and momentum confirmation to generate clean, filtered, and actionable signals.
The indicator automatically detects:
⸻
1️⃣ Break & Retest Premium (BR)
Identifies valid breaks of key levels and signals the retest with rejection wick, EMA20 trend confirmation, and neutral RSI.
→ Excellent for trend continuation.
⸻
2️⃣ Fakeout Liquidity Trap (FO)
Detects liquidity grabs above highs or below lows with an opposite close + engulfing candle confirmation.
→ The strongest setup for fast and explosive reversals on gold.
⸻
3️⃣ MACD Zero-Line Shift (MACD)
Signals when the MACD crosses the zero line while price breaks micro-structure.
→ Perfect for spotting the start of a new trend.
⸻
4️⃣ Bollinger Squeeze → Breakout (BB)
Recognizes volatility compression and signals when a breakout is likely to explode.
→ Ideal for clean breakout trades.
⸻
5️⃣ Mean Reversion on EMA50 (MR)
Highlights price extensions far away from the EMA50 with ATR confirmation and a reversal candle.
→ Great for pullbacks back toward the mean value.
TraderDemircan Auto Fibonacci RetracementDescription:
What This Indicator Does:This indicator automatically identifies significant swing high and swing low points within a customizable lookback period and draws comprehensive Fibonacci retracement and extension levels between them. Unlike the manual Fibonacci tool that requires you to constantly redraw levels as price action evolves, this automated version continuously updates the Fibonacci grid based on the most recent major swing points, ensuring you always have current and relevant support/resistance zones displayed on your chart.Key Features:
Automatic Swing Detection: Continuously scans the specified lookback period to find the most significant high and low points, eliminating manual drawing errors
Comprehensive Level Coverage: Plots 16 Fibonacci levels including 7 retracement levels (0.0 to 1.0) and 9 extension levels (1.115 to 3.618)
Top-Down Methodology: Draws from swing high to swing low (right-to-left), following the traditional Fibonacci retracement convention where 100% is at the top
Dual Labeling System: Shows both exact price values and Fibonacci percentages for easy reference
Complete Customization: Individual toggle controls and color selection for each of the 16 levels
Flexible Display Options: Adjust line thickness (1-5), style (solid/dashed/dotted), and extension direction (left/right/both)
Visual Swing Markers: Red diamond at the swing high (starting point) and green diamond at the swing low (ending point)
Optional Trend Line: Connects the two swing points to visualize the overall price movement direction
How It Works:The indicator employs a sophisticated swing point detection algorithm that operates in two stages:Stage 1 - Find the Swing Low (Support Base):
Scans the entire lookback period to identify the lowest low, which becomes the anchor point (0.0 level in traditional retracement terms, though displayed at the bottom of the grid).Stage 2 - Find the Swing High (Resistance Peak):
After identifying the swing low, searches for the highest high that occurred after that low point, establishing the swing range. This creates a valid price movement range for Fibonacci analysis.Fibonacci Calculation Method:
The indicator uses the top-down approach where:
1.0 Level = Swing High (100% retracement, the top)
0.0 Level = Swing Low (0% retracement, the bottom)
Retracement Levels (0.236 to 0.786) = Potential support zones during pullbacks from the high
Extension Levels (1.115 to 3.618) = Potential target zones below the swing low
Formula: Price = SwingHigh - (SwingHigh - SwingLow) × FibonacciLevelThis ensures that 0.0 is at the bottom and extensions (>1.0) plot below the swing low, following standard Fibonacci retracement convention.Fibonacci Levels Explained:Retracement Levels (0.0 - 1.0):
0.0 (Gray): Swing low - the base support level
0.236 (Red): Shallow retracement, first minor support
0.382 (Orange): Moderate retracement, commonly watched support
0.5 (Purple): Psychological midpoint, significant support/resistance
0.618 (Blue - Golden Ratio): The most important retracement level, high-probability reversal zone
0.786 (Cyan): Deep retracement, last defense before full reversal
1.0 (Gray): Swing high - the initial resistance level
Extension Levels (1.115 - 3.618):
1.115 (Green): First extension, minimal downside target
1.272 (Light Green): Minor extension, common profit target
1.414 (Yellow-Green): Square root of 2, mathematical significance
1.618 (Gold - Golden Extension): Primary downside target, most watched extension level
2.0 (Orange-Red): 200% extension, psychological round number
2.382 (Pink): Secondary extension target
2.618 (Purple): Deep extension, major target zone
3.272 (Deep Purple): Extreme extension level
3.618 (Blue): Maximum extension, rare but powerful target
How to Use:For Retracement Trading (Buying Pullbacks in Uptrends):
Wait for price to make a significant move up from swing low to swing high
When price starts pulling back, watch for reactions at key Fibonacci levels
Most common entry zones: 0.382, 0.5, and especially 0.618 (golden ratio)
Enter long positions when price shows reversal signals (candlestick patterns, volume increase) at these levels
Place stop loss below the next Fibonacci level
Target: Return to swing high or higher extension levels
For Extension Trading (Profit Targets):
After price breaks below the swing low (0.0 level), use extensions as profit targets
First target: 1.272 (conservative)
Primary target: 1.618 (golden extension - most commonly reached)
Extended target: 2.618 (for strong trends)
Extreme target: 3.618 (only in powerful trending moves)
For Counter-Trend Trading (Fading Extremes):
When price reaches deep retracements (0.786 or below), look for exhaustion signals
Watch for divergences between price and momentum indicators at these levels
Enter reversal trades with tight stops below the swing low
Target: 0.5 or 0.382 levels on the bounce
For Trend Continuation:
In strong uptrends, shallow retracements (0.236 to 0.382) often hold
Use these as low-risk entry points to join the existing trend
Failure to hold 0.5 suggests weakening momentum
Breaking below 0.618 often indicates trend reversal, not just retracement
Multi-Timeframe Strategy:
Use daily timeframe Fibonacci for major support/resistance zones
Use 4H or 1H Fibonacci for precise entry timing within those zones
Confluence between multiple timeframe Fibonacci levels creates high-probability zones
Example: Daily 0.618 level aligning with 4H 0.5 level = strong support
Settings Guide:Lookback Period (10-500):
Short (20-50): Captures recent swings, more frequent updates, suited for day trading
Medium (50-150): Balanced approach, good for swing trading (default: 100)
Long (150-500): Identifies major market structure, suited for position trading
Higher values = more stable levels but slower to adapt to new trends
Pivot Sensitivity (1-20):
Controls how many candles are required to confirm a swing point
Low (1-5): More sensitive, identifies minor swings (default: 5)
High (10-20): Less sensitive, only major swings qualify
Use higher sensitivity on lower timeframes to filter noise
Individual Level Toggles:
Enable only the levels you actively trade to reduce chart clutter
Common minimalist setup: Show only 0.382, 0.5, 0.618, 1.0, 1.618, 2.618
Comprehensive setup: Enable all levels for maximum information
Visual Customization:
Line Thickness: Thicker lines (3-5) for presentation, thinner (1-2) for trading
Line Style: Solid for primary levels (0.5, 0.618, 1.618), dashed/dotted for secondary
Price Labels: Essential for knowing exact entry/exit prices
Percent Labels: Helpful for quickly identifying which Fibonacci level you're looking at
Extension Direction: Extend right for forward-looking analysis, left for historical context
What Makes This Original:While Fibonacci indicators are common on TradingView, this script's originality comes from:
Intelligent Two-Stage Detection: Unlike simple high/low finders, this uses a sequential approach (find low first, then find the high that occurred after it), ensuring logical price flow representation
Comprehensive Level Set: Includes 16 levels spanning from retracement to extreme extensions, more than most Fibonacci tools
Top-Down Methodology: Properly implements the traditional Fibonacci retracement convention (high to low) rather than the reverse
Automatic Range Validation: Only draws Fibonacci when both swing points are valid and in the correct temporal order
Dual Extension Options: Separate controls for extending lines left (historical context) and right (forward projection)
Smart Label Positioning: Places percentage labels on the left and price labels on the right for clarity
Visual Swing Confirmation: Diamond markers at swing points help users understand why levels are positioned where they are
Important Considerations:
Historical Nature: Fibonacci retracements are based on past price swings; they don't predict future moves, only suggest potential support/resistance
Self-Fulfilling Prophecy: Fibonacci levels work partly because many traders watch them, creating actual support/resistance at those levels
Not All Levels Hold: In strong trends, price may slice through multiple Fibonacci levels without pausing
Context Matters: Fibonacci works best when aligned with other support/resistance (previous highs/lows, moving averages, trendlines)
Volume Confirmation: The most reliable Fibonacci reversals occur with volume spikes at key levels
Dynamic Updates: The levels will redraw as new swing highs/lows form, so don't rely solely on static screenshots
Best Practices:
Don't Trade Blindly: Fibonacci levels are zones, not exact prices. Look for confirmation (candlestick patterns, indicators, volume)
Combine with Price Action: Watch for pin bars, engulfing candles, or doji at key Fibonacci levels
Use Stop Losses: Place stops beyond the next Fibonacci level to give trades room but limit risk
Scale In/Out: Consider entering partial positions at 0.5 and adding more at 0.618 rather than all-in at one level
Check Multiple Timeframes: Daily Fibonacci + 4H Fibonacci convergence = high-probability zone
Respect the 0.618: This golden ratio level is historically the most reliable for reversals
Extensions Need Strong Trends: Don't expect extensions to be hit unless there's clear momentum beyond the swing low
Optimal Timeframes:
Scalping (1-5 minutes): Lookback 20-30, watch 0.382, 0.5, 0.618 only
Day Trading (15m-1H): Lookback 50-100, all retracement levels important
Swing Trading (4H-Daily): Lookback 100-200, focus on 0.5, 0.618, 0.786, and extensions
Position Trading (Daily-Weekly): Lookback 200-500, all levels relevant for long-term planning
Common Fibonacci Trading Mistakes to Avoid:
Wrong Swing Selection: Choosing insignificant swings produces meaningless levels
Premature Entry: Entering as soon as price touches a Fibonacci level without confirmation
Ignoring Trend: Fighting the main trend by buying deep retracements in downtrends
Over-Reliance: Using Fibonacci in isolation without confirming with other technical factors
Static Analysis: Not updating your Fibonacci as market structure evolves
Arbitrary Lookback: Using the same lookback period for all assets and timeframes
Integration with Other Tools:Fibonacci + Moving Averages:
When 0.618 level aligns with 50 or 200 EMA, confluence creates stronger support
Price bouncing from both Fibonacci and MA simultaneously = high-probability trade
Fibonacci + RSI/Stochastic:
Oversold indicators at 0.618 or deeper retracements = strong buy signal
Overbought indicators at swing high (1.0) = potential reversal warning
Fibonacci + Volume Profile:
High-volume nodes aligning with Fibonacci levels create robust support/resistance
Low-volume areas near Fibonacci levels may see rapid price movement through them
Fibonacci + Trendlines:
Fibonacci retracement level + ascending trendline = double support
Breaking both simultaneously confirms trend change
Technical Notes:
Uses ta.lowest() and ta.highest() for efficient swing detection across the lookback period
Implements dynamic line and label arrays for clean redraws without memory leaks
All calculations update in real-time as new bars form
Extension options allow customization without modifying core code
Format.mintick ensures price labels match the symbol's minimum price increment
Tooltip on swing markers shows exact price values for precision
EMA Dynamic Crossover Detector with Real-Time Signal TableDescriptionWhat This Indicator Does:This indicator monitors all possible crossovers between four key exponential moving averages (20, 50, 100, and 200 periods) and displays them both visually on the chart and in an organized data table. Unlike standard EMA indicators that only plot the lines, this tool actively detects every crossover event, marks the exact crossover point with a circle, records the precise price level, and maintains a running log of all crossovers during the trading session. It's designed for traders who want comprehensive EMA crossover analysis without manually watching multiple moving average pairs.Key Features:
Four Essential EMAs: Plots 20, 50, 100, and 200-period exponential moving averages with color-coded thin lines for clean chart presentation
Complete Crossover Detection: Monitors all 6 possible EMA pair combinations (20×50, 20×100, 20×200, 50×100, 50×200, 100×200) in both directions
Precise Price Marking: Places colored circles at the exact average price where crossovers occur (not just at candle close)
Real-Time Signal Table: Displays up to 10 most recent crossovers with timestamp, direction, exact price, and signal type
Session Filtering: Only records crossovers during active trading hours (10:00-18:00 Istanbul time) to avoid noise from low-liquidity periods
Automatic Daily Reset: Clears the signal table at the start of each new trading day for fresh analysis
Built-In Alerts: Two alert conditions (bullish and bearish crossovers) that can be configured to send notifications
How It Works:The indicator calculates four exponential moving averages using the standard EMA formula, then continuously monitors for crossover events using Pine Script's ta.crossover() and ta.crossunder() functions:Bullish Crossovers (Green ▲):
When a faster EMA crosses above a slower EMA, indicating potential upward momentum:
20 crosses above 50, 100, or 200
50 crosses above 100 or 200
100 crosses above 200 (Golden Cross when it's the 50×200)
Bearish Crossovers (Red ▼):
When a faster EMA crosses below a slower EMA, indicating potential downward momentum:
20 crosses below 50, 100, or 200
50 crosses below 100 or 200
100 crosses below 200 (Death Cross when it's the 50×200)
Price Calculation:
Instead of marking crossovers at the candle's close price (which might not be where the actual cross occurred), the indicator calculates the average price between the two crossing EMAs, providing a more accurate representation of the crossover point.Signal Table Structure:The table in the top-right corner displays four columns:
Saat (Time): Exact time of crossover in HH:MM format
Yön (Direction): Arrow indicator (▲ green for bullish, ▼ red for bearish)
Fiyat (Price): Calculated average price at the crossover point
Durum (Status): Signal classification ("ALIŞ" for buy signals, "SATIŞ" for sell signals) with color-coded background
The table shows up to 10 most recent crossovers, automatically updating as new signals appear. If no crossovers have occurred during the session within the time filter, it displays "Henüz kesişim yok" (No crossovers yet).EMA Color Coding:
EMA 20 (Aqua/Turquoise): Fastest-reacting, most sensitive to recent price changes
EMA 50 (Green): Short-term trend indicator
EMA 100 (Yellow): Medium-term trend indicator
EMA 200 (Red): Long-term trend baseline, key support/resistance level
How to Use:For Day Traders:
Monitor 20×50 crossovers for quick entry/exit signals within the day
Use the time filter (10:00-18:00) to focus on high-volume trading hours
Check the signal table throughout the session to track momentum shifts
Look for confirmation: if 20 crosses above 50 and price is above EMA 200, bullish bias is stronger
For Swing Traders:
Focus on 50×200 crossovers (Golden Cross/Death Cross) for major trend changes
Use higher timeframes (4H, Daily) for more reliable signals
Wait for price to close above/below the crossover point before entering
Combine with support/resistance levels for better entry timing
For Position Traders:
Monitor 100×200 crossovers on daily/weekly charts for long-term trend changes
Use as confirmation of major market shifts
Don't react to every crossover—wait for sustained movement after the cross
Consider multiple timeframe analysis (if crossovers align on weekly and daily, signal is stronger)
Understanding EMA Hierarchies:The indicator becomes most powerful when you understand EMA relationships:Bullish Hierarchy (Strongest to Weakest):
All EMAs ascending (20 > 50 > 100 > 200): Strong uptrend
20 crosses above 50 while both are above 200: Pullback ending in uptrend
50 crosses above 200 while 20/50 below: Early trend reversal signal
Bearish Hierarchy (Strongest to Weakest):
All EMAs descending (20 < 50 < 100 < 200): Strong downtrend
20 crosses below 50 while both are below 200: Rally ending in downtrend
50 crosses below 200 while 20/50 above: Early trend reversal signal
Trading Strategy Examples:Pullback Entry Strategy:
Identify major trend using EMA 200 (price above = uptrend, below = downtrend)
Wait for pullback (20 crosses below 50 in uptrend, or above 50 in downtrend)
Enter when 20 re-crosses 50 in the trend direction
Place stop below/above the recent swing point
Exit when 20 crosses 50 against the trend again
Golden Cross/Death Cross Strategy:
Wait for 50×200 crossover (appears in the signal table)
Verify: Check if crossover occurs with increasing volume
Entry: Enter in the direction of the cross after a pullback
Stop: Place stop below/above the 200 EMA
Target: Swing high/low or when opposite crossover occurs
Multi-Crossover Confirmation:
Watch for multiple crossovers in the same direction within a short period
Example: 20×50 crossover followed by 20×100 = strengthening momentum
Enter after the second confirmation crossover
More crossovers = stronger signal but also means you're entering later
Time Filter Benefits:The 10:00-18:00 Istanbul time filter prevents recording crossovers during:
Pre-market volatility and gaps
Low-volume overnight sessions (for 24-hour markets)
After-hours erratic movements
Moving Averages DTMoving Averages Combo: SMA 30-50-100-200 + EMA 5-8-21 (Golden & Death Cross Ready)
This clean and lightweight indicator plots the most used simple and exponential moving averages in one single script — perfect for swing traders, position traders, and scalpers.
— Simple Moving Averages (Daily timeframe focus):
• SMA 30 (Red) — Early trend detection
• SMA 50 (Blue) — Classic medium-term trend
• SMA 100 (Green) — Institutional reference
• SMA 200 (Orange) — The legendary Golden/Death Cross line
— Fast Exponential Moving Averages (Perfect for pullbacks & entries):
• EMA 5 (Purple) — Ultra-fast reaction
• EMA 8 (Yellow) — Fibonacci-based favorite
• EMA 21 (Black) — 21-day cycle + Fibonacci
Why this combination works so well:
• EMA 8 + EMA 21 = Powerful short-term trend filter (used by thousands of crypto & forex traders)
• SMA 50/200 = Classic Golden & Death Cross signals
• SMA 30/100 = Extra confirmation layers used by banks and funds
Features:
✓ All MAs on a single indicator (no chart clutter)
✓ Clean colors with perfect contrast on light/dark themes
✓ Ready for alerts: set alert on EMA 8 crossing EMA 21 or SMA 50 crossing SMA 200
✓ Works on all markets & timeframes (stocks, forex, crypto, futures)
How to use:
• Bullish signal: Price above SMA 200 + EMA 8 > EMA 21 + SMA 50 > SMA 200
• Bearish signal: Price below SMA 200 + EMA 8 < EMA 21
• Pullback entries: Wait for price to touch EMA 21 in uptrend
Indicator Overview主力籌碼預判買賣力道 (JUMBO)Pro+ 2.0主力預判買賣力道 Pro+ 是一個先進的多維度交易分析系統,專為台灣股市投資者設計。本指標整合了趨勢、成交量、動量、價格位置和波動率五大維度,通過加權評分系統生成綜合的「Power指標」,精準預判主力資金動向。
🔧 核心技術架構
1. 多維度評分系統
趨勢維度 (30%):雙EMA系統 + MACD + ADX趨勢強度
成交量維度 (25%):OBV能量潮 + 成交量比率分析
動量維度 (20%):RSI + MFI資金流量指標
價格位置維度 (20%):VWAP + 布林通道位置分析
波動率維度 (5%):ATR波動率調整
2. 多重確認機制
趨勢確認:EMA金叉/死叉 + 超級趨勢方向
成交量確認:成交量脈衝檢測 + OBV趨勢確認
動量確認:RSI超買超賣 + MFI資金流向
位置確認:布林通道位置 + VWAP相對位置
📊 主要功能特色
訊號系統
主力佈局訊號 🟥
趨勢多頭確認 + Power > 35
成交量放大 + 動量指標多頭
RSI未超買 + 價格突破基準
主力出貨訊號 🟩
趨勢空頭確認 + Power < -35
成交量異常 + 動量指標空頭
RSI未超賣 + 價格跌破基準
Power交叉訊號 🟠🔵
黃金交叉:Power線向上穿越Power MA線
死亡交叉:Power線向下穿越Power MA線
視覺化系統
台灣股市顏色標準:紅色上漲/多頭,綠色下跌/空頭
多層級K線著色:強力訊號→普通訊號→偏多偏空→盤整
智能資訊面板:實時顯示8大關鍵指標狀態
⚙️ 參數設定說明
主要參數
EMA週期:13/55(短期/長期)
Power閾值:35(靈敏度調整)
成交量濾波:1.2倍(異常成交量檢測)
超級趨勢:10週期/3倍數(趨勢過濾)
進階參數
布林通道:20週期/2倍標準差
波動率設定:14週期ATR
動量指標:14週期RSI/MFI
🎯 交易應用策略
進場時機
強力買入:🔥標記 + Power黃金交叉
常規買入:紅色向上箭頭 + Power > 35
確認買入:多重條件同時滿足
出場時機
強力賣出:💧標記 + Power死亡交叉
常規賣出:綠色向下箭頭 + Power < -35
風險控制:趨勢反轉 + 動量減弱
風險管理
止損設定:ATR波動率參考
倉位控制:Power數值強度分級
訊號過濾:ADX趨勢強度確認
📈 指標優勢
高準確率:多重條件過濾,減少假訊號
及時性:領先指標預判主力動向
完整性:涵蓋技術分析主要維度
用戶友好:直觀的視覺化設計
自定義:參數可調適應不同交易風格
🎯 Indicator Overview
Main Force Prediction Buying/Selling Strength Pro+ is an advanced multi-dimensional trading analysis system specifically designed for Taiwan stock market investors. This indicator integrates five key dimensions: trend, volume, momentum, price position, and volatility, generating a comprehensive "Power Indicator" through a weighted scoring system to accurately predict institutional fund movements.
🔧 Core Technical Architecture
1. Multi-Dimensional Scoring System
Trend Dimension (30%): Dual EMA system + MACD + ADX trend strength
Volume Dimension (25%): OBV accumulation + Volume ratio analysis
Momentum Dimension (20%): RSI + MFI money flow index
Price Position Dimension (20%): VWAP + Bollinger Bands position analysis
Volatility Dimension (5%): ATR volatility adjustment
2. Multi-Confirmation Mechanism
Trend Confirmation: EMA golden/death cross + SuperTrend direction
Volume Confirmation: Volume spike detection + OBV trend confirmation
Momentum Confirmation: RSI overbought/oversold + MFI money flow
Position Confirmation: Bollinger Bands position + VWAP relative position
📊 Key Features
Signal System
Institutional Accumulation Signals 🟥
Bullish trend confirmation + Power > 35
Volume expansion + Momentum indicators bullish
RSI not overbought + Price breakthrough baseline
Institutional Distribution Signals 🟩
Bearish trend confirmation + Power < -35
Abnormal volume + Momentum indicators bearish
RSI not oversold + Price breakdown below baseline
Power Cross Signals 🟠🔵
Golden Cross: Power line crosses above Power MA line
Death Cross: Power line crosses below Power MA line
Visualization System
Taiwan Market Color Standard: Red for uptrend/bullish, Green for downtrend/bearish
Multi-level Candlestick Coloring: Strong signals → Regular signals → Bias signals → Consolidation
Smart Info Panel: Real-time display of 8 key indicator statuses
⚙️ Parameter Settings
Main Parameters
EMA Periods: 13/55 (Short-term/Long-term)
Power Threshold: 35 (Sensitivity adjustment)
Volume Filter: 1.2x (Abnormal volume detection)
SuperTrend: 10 period/3 multiplier (Trend filtering)
Advanced Parameters
Bollinger Bands: 20 period/2 standard deviations
Volatility Settings: 14 period ATR
Momentum Indicators: 14 period RSI/MFI
🎯 Trading Application Strategies
Entry Timing
Strong Buy: 🔥 Mark + Power Golden Cross
Regular Buy: Red upward arrow + Power > 35
Confirmed Buy: Multiple conditions simultaneously met
Exit Timing
Strong Sell: 💧 Mark + Power Death Cross
Regular Sell: Green downward arrow + Power < -35
Risk Control: Trend reversal + Momentum weakening
Risk Management
Stop Loss Setting: ATR volatility reference
Position Sizing: Power value strength grading
Signal Filtering: ADX trend strength confirmation
📈 Indicator Advantages
High Accuracy: Multiple condition filtering reduces false signals
Timeliness: Leading indicators predict institutional movements
Completeness: Covers main dimensions of technical analysis
User-Friendly: Intuitive visualization design
Customizable: Adjustable parameters adapt to different trading styles
🔍 Professional Usage Tips
Trend Confirmation: Use in conjunction with major trend direction
Volume Validation: Ensure volume confirms price movements
Risk Management: Always use appropriate position sizing
Timeframe Analysis: Apply across multiple timeframes for confirmation
Market Context: Consider overall market conditions and sector rotation
版本: Pro+ 2.0
適用市場: 台股、亞股、全球股市
最佳時間框架: 日線、4小時線、1小時線
開發者: JUMBO Trading System
更新日期: 2025版本






















