Stormer setupHere's a trading setup with reversal candle coloring and simple market structure analysis:
Based on the experienced trader Stormer (Alexandre Wolwacz), to be used with combined price action.
Key improvements added:
1. **Smart Reversal Candles**:
- Detects hammer/shooting star patterns and engulfing candles
- Colors candles based on confluence with market structure
- Teal for bullish reversals, Maroon for bearish reversals
2. **Dynamic Confluence System**:
- Uses MA trend direction to determine if SR levels should be prioritized
- Adjustable sensitivity threshold for SR proximity
- Combines price action with stochastic position
3. **Enhanced Market Structure**:
- Improved trend detection using ROC instead of slope
- Adaptive logic that uses SR levels when MA is flat
4. **Advanced Visualization**:
- Semi-transparent candle coloring preserves original colors
- Dotted SR lines with automatic cleanup
- Clear triangle markers for entries
5. **Efficiency Improvements**:
- Limited historical SR storage for better performance
- Automatic line management to prevent chart clutter
To use this enhanced version:
1. Bullish reversal candles appear teal when:
- Hammer/engulfing pattern forms
- Near support (if MA flat) or stochastic oversold
- Price above MA
2. Bearish reversal candles appear maroon when:
- Shooting star/engulfing pattern forms
- Near resistance (if MA flat) or stochastic overbought
- Price below MA
3. Signals combine all elements (MA position, stochastic, SR levels, and candle patterns) for higher probability trades
Komut dosyalarını "smart" için ara
Weekly Open Range [BigBeluga]
A precision weekly range tracker that captures early market positioning from the first moments of the trading week.
By dynamically measuring the highest and lowest points from the first three candles after the Sunday 21:00 UTC open, the indicator builds a reactive support and resistance framework for the week ahead.
It also visualizes the active range with a dynamic box and provides live updates of the current price movement against the established range boundaries.
🔵 KEY FEATURES
Automatically marks the weekly open range starting at Sunday 21:00 UTC .
Identify maximum high and minimum low from the first 3 candles after the weekly open.
if isWeeklyOpen or isWeeklyOpen or isWeeklyOpen or isWeeklyOpen
h = math.max(high, range_box.get_top())
l = math.min(low, range_box.get_bottom())
Draws two horizontal lines from the range extremes, acting as dynamic support/resistance zones throughout the week.
Visualizes the range with a semi-transparent box for clear zone identification.
Includes a compact dashboard panel with:
- Symbol and current price with bullish or bearish bar indication with ▲ / ▼
- Current weekly high/low range values
🔵 USAGE
Treat the high and low of the range as support/resistance zones for the week.
Combine with volume analysis or liquidity tools for entry confirmation .
Refresh your key levels every week as the indicator resets each Sunday night .
Works great alongside Smart Money Concepts (ICT) strategies and weekly planning.
Weekly Open Range gives traders a reliable structure to anchor their week. With clear range mapping, breakout signals, and intuitive visuals, it becomes a valuable part of any strategic trading approach—especially when precision timing around liquidity zones is key.
Bollinger Free BarsIdentify Extreme Price Actions with Non-Overlay Visualization
Core Functionality
This indicator detects two types of Bollinger Band breakout patterns without cluttering your chart:
1 ️⃣ Half Breakout Bar (Blue Triangles)
- Triggers when both open & close prices are outside the Bollinger Bands
- Suggests strong directional momentum continuation
2 ️⃣ Complete Breakout Bar (Red Flags)
- Activates when entire price action (including wicks) stays outside the bands
- Signals extreme volatility exhaustion points
Feature Highlights
◾ Smart Band Display
Translucent bands (#2196F3 & #FF9800 with 70% transparency) maintain chart clarity while showing dynamic volatility ranges
◾ Parameter Customization
- Adjustable period (default 20) & deviation multiplier (default 2.0)
- Selectable price source (close/open/high/low)
◾ Statistical Validation
Based on Bollinger Band's 95.4% price containment principle, signals filter out 4.6% extreme market conditions for high-probability scenarios.
Recommended Usage
1. Combine with volume analysis (significant breakout with high volume increases signal reliability)
2. Confirm with trend lines or RSI divergence
3. Adjust transparency via "Style" tab for multi-indicator layouts
Code Safety
- No repainting: All calculations use historical price data only
- No external network requests
- Open-source logic compliant with Pine Script v6 standards
Disclaimer
This tool is for technical analysis education only. Past performance doesn't guarantee future results. Always validate signals with fundamental analysis and proper risk management.
SMC Entry Signals MTF v2📘 User Guide for the SMC Entry Signals MTF v2 Indicator
🎯 Purpose of the Indicator
This indicator is designed to identify reversal entry points based on Smart Money Concepts (SMC) and candlestick confirmation. It’s especially useful for traders who use:
Imbalance zones, order blocks, breaker blocks
Liquidity grabs
Multi-timeframe confirmation (MTF)
📈 How to Use the Signals on the Chart
✅ LONG Signal (green triangle below the candle):
Conditions:
Price is in a discount zone (below the FIB 50% level)
A bullish engulfing candle appears
A bullish Order Block (OB) or Breaker Block is detected
There’s an upward imbalance
A bullish OB is confirmed on the higher timeframe
➡️ How to act:
Consider entering long on the current or next candle.
Place your stop-loss below the OB or the nearest swing low.
Take profit at the nearest liquidity zone or premium area (above FIB 50%).
🔻 SHORT Signal (red triangle above the candle):
Conditions:
Price is in a premium zone (above FIB 50%)
A bearish engulfing candle appears
A bearish OB or Breaker Block is detected
There’s a downward imbalance
A bearish OB is confirmed on the higher timeframe
➡️ How to act:
Consider short entry after the signal.
Place your stop-loss above the OB or swing high.
Target the discount zone or the next liquidity pocket.
⚙️ Recommended Settings by Trading Style
Trading Style Suggested Settings Notes
Intraday (1–15m) fibLookback = 20–50, obLookback = 5–10, htf_tf = 1H/4H Fast signals. Use Discount/Premium + Engulfing.
Swing/Position (1H–1D) fibLookback = 50–100, obLookback = 10–20, htf_tf = 1D/1W Higher trust in MTF confirmation. Ideal with fundamentals.
Scalping (1m) fibLookback = 10–20, obLookback = 3–5, htf_tf = 15m/1H Remove Breaker and MTF for quick reaction trades.
🧠 Best Practices for Traders
Trend Filtering:
Use EMAs or volume to confirm the current trend.
Take longs only in uptrends, shorts in downtrends.
Liquidity Zones:
Use this indicator after liquidity grabs.
OBs and Breakers often appear right after stop hunts.
Combine with Manual Zones:
This works best when paired with manually drawn OBs and key levels.
Backtest the Signals:
Use Bar Replay mode on TradingView to test past signals.
🧪 Example Trade Setup
Example on BTCUSDT 15m:
Price drops into the discount zone.
A green triangle appears (bullish engulfing + OB + imbalance + HTF OB).
You enter long, stop below the OB, target the premium zone.
🎯 This type of setup often gives a risk/reward ratio of 1:2 or better — profitable even with a 40% win rate.
⏰ Alerts & Automation
Enable alerts:
"SMC Long Entry" — fires when a long signal appears.
"SMC Short Entry" — fires when a short signal appears.
You can integrate this with bots via webhook, like:
TradingConnector, 3Commas, Alertatron, etc.
✅ What This Indicator Gives You
High-probability entries using SMC logic
Customizable filters for entry logic
Multi-timeframe confirmation for stronger setups
Suitable for both intraday and swing trading
Options Volume [theUltimator5]📊 Option Volume — Multi-Strike Option Flow Visualizer
The Option Volume indicator tracks and visualizes volume activity for up to 10 custom option strike symbols on any ticker. It supports both individual strike analysis and a combined cumulative volume mode, providing an intuitive view of option flow across your selected strikes.
🔧 Features:
Dynamic Strike Control: Select up to 10 strikes and customize each with ticker, expiration date (YYMMDD), and option type (Call or Put).
Volume Display Modes:
🔹 Individual: Shows a separate volume bar for each strike.
🔸 Cumulative: Combines all selected strike volumes into a single bar, colored green for Calls and red for Puts.
Customizable Table Display:
Toggle the option symbol table on/off.
Position the table in any corner of the chart.
Table cell colors match plotted bars in Individual mode, or turn red/green in Cumulative mode based on option type.
Smart Volume Filtering: Only shows volume bars on the bar where volume updates (i.e., no carryover from stale bars).
Input Efficiency: All strike prices are automatically rounded to the nearest 0.5 increment for standardized symbol formatting.
⚙️ How to Use:
Select the ticker you want to analyze.
Input the expiration date and option type (C or P).
Define strike prices (up to 10).
Toggle between Individual or Cumulative volume display.
Adjust the number of visible strikes and table position as needed.
This tool is ideal for traders looking to monitor strike-level option volume behavior, spot flow anomalies, or keep track of high-interest strike activity in real-time.
The indicator currently doesn't support multiple expiration dates or a combination of calls/puts. If you want to view multiple expirations or a both calls and puts at the same time, simply add the indicator multiple times.
PRO SMC Full Suite BY Mashrur“PRO SMC Full Suite BY Mashrur”
A Pine Script (v5) indicator for TradingView, focused on Smart Money Concepts (SMC). It overlays on price charts and provides visual tools for identifying key institutional trading behaviors.
🎯 Purpose
This script is designed to help traders analyze and trade using SMC principles by automatically detecting:
Order Blocks (OBs)
Fair Value Gaps (FVGs)
Breaks of Structure (BoS)
Liquidity Sweeps (Buy/Sell Side Liquidity Grabs)
Mitigation Entries
⚙️ Inputs / Settings
Show Fair Value Gaps: Toggle FVGs on/off
Higher Timeframe (HTF): Choose HTF for OB analysis
Use HTF OBs: Switch between current TF OBs and HTF OBs
Show Order Blocks: Toggle OBs on/off
Show OB Mitigation Entries: Toggle mitigation entry signals on/off
🧠 Core Logic Overview
🔹 1. Swing Points Detection
Identifies swing highs/lows using a 3-bar pattern (pivot-based structure).
🔹 2. Break of Structure (BoS)
A bullish BoS happens when price closes above the last swing high.
A bearish BoS occurs when price closes below the last swing low.
🔹 3. Order Block Detection
Upon BoS, the script marks the previous candle as the Order Block.
Uses either:
Current TF OBs (based on price action)
HTF OBs (based on candle body direction)
🔹 4. Mitigation Entry Logic
A mitigation occurs when price returns to the OB and reacts with confirmation:
Bullish: price dips into OB and closes above
Bearish: price wicks into OB and closes below
Plots entry markers for these mitigations.
🔹 5. Liquidity Sweeps
Detects equal highs/lows (liquidity zones)
Marks Buy SL when price dips below an equal low then closes above
Marks Sell SL when price breaks above an equal high then closes below
🔹 6. Fair Value Gaps (FVGs)
FVG Up: Gap between candle 3 and candle 1 (low > high )
FVG Down: Gap between candle 3 and candle 1 (high < low )
Plots highlighted boxes on these gaps
📊 Visual Elements
Boxes: For OB zones and FVGs
Shapes:
Labels: OB Buy/Sell entries
Triangles: Buy SL / Sell SL liquidity sweeps
Lines: Equal Highs and Lows
🔔 Alerts
Built-in alerts to notify when:
OB entries are confirmed
Liquidity sweeps happen
Helps in automation or active monitoring
✅ Ideal For
Traders using SMC, ICT concepts, Wyckoff, or institutional trading models
Anyone wanting to automate detection of structural elements on their chart
Sweep Reversal 5M PRO – by [TuNombre]🔹 **Sweep Reversal 5M PRO – by ** 🔹
This indicator is built to detect high-probability *Institutional Sweeps* using Swing Failure Patterns (SFP), fully filtered with Smart Money Concepts (SMC) logic and volume confirmation.
✅ Identifies key liquidity grabs
✅ Confirms with strong impulse candle + increasing volume
✅ Filters out false signals (doji, weak zones, low volume)
✅ Optimized for the 5-minute timeframe (5M)
✅ Compatible with push alerts to your mobile
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**How to use it:**
1. Wait for a “BUY” or “SELL” signal on the chart
2. Only enter if the next candle confirms with momentum
3. Place a tight stop just beyond the sweep
4. Recommended Take Profit: 1:1 minimum / 2:1 ideal
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💡 Inspired by institutional trading (SMC, ICT-style setups)
🔒 Developed by – private or team-based use
📲 Activate alerts to get real-time trade opportunities on your phone
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⚠️ This script does not repaint.
Built for serious traders who want precision, not noise.
Trend Matrix Multi-Timeframe Dashboard(TechnoBlooms)Trend Matrix Multi-Timeframe Dashboard is a Minimalist Multi-Timeframe Trend Analyzer with Smart Indicator Integration. Trend Matrix MTF Dashboard is a clean, efficient, and visually intuitive trend analyzer built for traders who value simplicity without compromising on technical depth.
This dashboard empowers you to track trend direction across multiple timeframes using a curated set of powerful technical indicators—all from one compact visual panel. The design philosophy is simple: eliminate clutter, highlight trend clarity, and accelerate your decision-making process.
Key Features
✅ Minimalist Design with Maximum Insight
A compact dashboard view designed for clean charts and focused trading
Optimized layout shows everything you need—nothing you don’t
✅ Multi-Timeframe Access at a Glance
Instantly read the trend direction of selected indicators on multiple timeframes (e.g., 15m, 1h, 4h, 1D)
Customize the timeframe stack to fit scalping, intraday, swing, or positional strategies
✅ Robust Technical Indicators Built In
Each one is hand-picked for trend reliability:
MACD – Momentum and crossover confirmation
RSI – Overbought/oversold and directional shift
EMA – Dynamic support/resistance and trend bias
Bollinger Bands – Volatility structure and trend containment
PVT – Volume-Weighted Trend Confirmation
Supertrend – Price-following trend tracker
✅ Live Updates & Lightweight Performance
Built to update efficiently on every bar close
Minimal performance impact even with multiple timeframes active
By offering multi-timeframe (MTF) access to proven trend-following indicators, Trend Matrix helps you confidently align with the market’s dominant direction—without jumping between charts or analyzing indicators one by one.
This indicator offers customizable settings. The trader can choose the input parameters timeframes as per the choice.
Trend Matrix Multi-Timeframe Dashboard helps traders to identify trend based on technical indications. Trader can refer this while taking trading decisions.
🧠 Ideal For
Scalpers who need higher timeframe confirmation
Swing traders identifying clean entries aligned with the macro trend
Trend followers seeking clarity before committing capital
Price action & SMC traders validating market structure setups
Beginners who want a high-level trend guide without messy indicators
Options Volume ProfileOptions Volume Profile
Introduction
Unlock institutional-level options analysis directly on your charts with Options Volume Profile - a powerful tool designed to visualize and analyze options market activity with precision and clarity. This indicator bridges the gap between technical price action and options flow, giving you a comprehensive view of market sentiment through the lens of options activity.
What Is Options Volume Profile?
Options Volume Profile is an advanced indicator that analyzes call and put option volumes across multiple strikes for any symbol and expiration date available on TradingView. It provides a real-time visual representation of where money is flowing in the options market, helping identify potential support/resistance levels, market sentiment, and possible price targets.
Key Features
Comprehensive Options Data Visualization
Dynamic strike-by-strike volume profile displayed directly on your chart
Real-time tracking of call and put volumes with custom visual styling
Clear display of important value areas including POC (Point of Control)
Value Area High/Low visualization with customizable line styles and colors
BK Daily Range Identification
Secondary lines marking significant volume thresholds
Visual identification of key strike prices with substantial options activity
Value Area Cloud Visualization
Configurable cloud overlays for value areas
Enhanced visual identification of high-volume price zones
Detailed Summary Table
Complete breakdown of call and put volumes per strike
Percentage analysis of call vs put activity for sentiment analysis
Color-coded volume data for instant pattern recognition
Price data for both calls and puts at each strike
Custom Strike Selection
Configure strikes above and below ATM (At The Money)
Flexible strike spacing and rounding options
Custom base symbol support for various options markets
Use Cases
1. Identifying Key Support & Resistance
Visualize where major options activity is concentrated to spot potential support and resistance zones. The POC and Value Area lines often act as magnets for price.
2. Analyzing Market Sentiment
Compare call versus put volume distribution to gauge directional bias. Heavy call volume suggests bullish sentiment, while heavy put volume indicates bearish positioning.
3. Planning Around Institutional Activity
Volume profile analysis reveals where professional traders are positioning themselves, allowing you to align with or trade against smart money.
4. Setting Precise Targets
Use the POC and Value Area High/Low lines as potential profit targets when planning your trades.
5. Spotting Unusual Options Activity
The color-coded volume table instantly highlights anomalies in options flow that may signal upcoming price movements.
Customization Options
The indicator offers extensive customization capabilities:
Symbol & Data Settings : Configure base symbol and data aggregation
Strike Selection : Define number of strikes above/below ATM
Expiration Date Settings : Set specific expiry dates for analysis
Strike Configuration : Customize strike spacing and rounding
Profile Visualization : Adjust offset, width, opacity, and height
Labels & Line Styles : Fully configurable text and visual elements
Value Area Settings : Customize POC and Value Area visualization
Secondary Line Settings : Configure the BK Daily Range appearance
Cloud Visualization : Add colored overlays for enhanced visibility
How to Use
Apply the indicator to your chart
Configure the expiration date to match your trading timeframe
Adjust strike selection and spacing to match your instrument
Use the volume profile and summary table to identify key levels
Trade with confidence knowing where the real money is positioned
Perfect for options traders, futures traders, and anyone who wants to incorporate institutional-level options analysis into their trading strategy.
Take your trading to the next level with Options Volume Profile - where price meets institutional positioning.
US30 Smart Money 5M/4H Strategy🧠 How It Works
✅ 1. 4H Trend Bias Detection
Uses the 4-hour chart (internally) to determine if the market is in an uptrend or downtrend.
Background turns green for bullish trend, red for bearish trend.
This helps filter trades — only take longs during uptrend, shorts during downtrend.
✅ 2. Liquidity Sweeps (Stop Hunts) on 5M
Highlights candles that break previous highs/lows and then reverse (typical of institutional stop raids).
Draws a shaded red box above sweep-high candles and green box under sweep-lows.
These indicate key reversal zones.
✅ 3. Order Block Zones
Detects bullish/bearish engulfing patterns after liquidity sweeps.
Draws a supply or demand zone box extending forward.
These zones show where institutions likely placed large orders.
✅ 4. FVG Midpoint from 30-Min Chart
Detects Fair Value Gaps (imbalances) on the 30-minute chart.
Plots a line at the midpoint of the gap (EQ level), which is often revisited for entries or rejections.
✅ 5. Buy/Sell Signals (Non-Repainting)
Buy = 4H uptrend + 5M liquidity sweep low + bullish engulfing candle.
Sell = 4H downtrend + 5M liquidity sweep high + bearish engulfing.
Prints green “BUY” or red “SELL” label on the chart — these do not repaint.
📈 How to Use It
Wait for trend bias — only take trades in the direction of the 4H trend.
Watch for liquidity sweep boxes — these hint a stop hunt just occurred.
Look for a signal label (BUY/SELL) — confirms entry criteria.
Use FVG EQ lines & Order Block zones as confluence or targets.
Take trades after NY open (9:30 AM EST) for best momentum.
VPSRVP Sovereign Reign (VPSR) - Advanced Volume Profile Analysis
A sophisticated volume analysis tool that provides deep insights into market participation and momentum through an intuitive visual interface. This indicator helps traders identify significant market moves, potential reversals, and institutional activity.
Key Features:
1. Smart Volume Analysis
• Dynamic volume profiling
• Institutional participation detection
• Abnormal volume identification
• Real-time momentum tracking
2. Advanced Visual System
• Color-coded volume bars
• Adaptive cloud formation
• Reversal pattern detection
• Fake-out warning system
Visual Components:
1. Volume Bars
• Green: Bullish pressure with normal volume
• Purple: Bearish pressure with normal volume
• White: Significant bullish participation
• Pink: Significant bearish participation
• Orange: High-probability reversal zones
2. Dynamic Cloud
• White Cloud: Bullish control zone
• Purple Cloud: Bearish control zone
• Cloud density indicates participation strength
• Adaptive to market conditions
Signal Interpretation:
1. Normal Market Conditions
• Green/Purple bars show directional pressure
• Cloud color indicates dominant force
• Cloud height shows average participation
2. Significant Events
• White/Pink bars signal major moves
• Orange bars highlight potential reversals
• Cloud expansion shows increasing activity
• Cloud contraction indicates consolidation
Customization Options:
• Volume MA Length: Smoothing factor
• Abnormal Volume Threshold: Sensitivity
• Cloud Display: Toggle visualization
• Color scheme optimization
Best Practices:
1. Multiple Timeframe Analysis
• Start with higher timeframes
• Confirm on lower timeframes
• Watch for confluence
2. Volume Analysis
• Compare to historical levels
• Monitor abnormal spikes
• Track participation trends
3. Trade Management
• Use as confirmation tool
• Wait for clear signals
• Monitor fake-out warnings
• Combine with price action
Trading Applications:
1. Trend Analysis
• Identify strong moves
• Spot weakening trends
• Detect consolidation
2. Reversal Detection
• Spot potential turning points
• Identify fake-outs
• Monitor institutional activity
3. Risk Management
• Volume-based position sizing
• Stop loss placement
• Profit target selection
The VP Sovereign Reign indicator excels at:
• Identifying significant market moves
• Detecting institutional participation
• Warning of potential reversals
• Highlighting fake-outs
• Providing clear market context
Risk Warning:
This indicator is designed as a technical analysis tool and should be used as part of a complete trading strategy. Past performance does not guarantee future results. Always employ proper risk management techniques.
Note: For optimal results, use in conjunction with price action analysis and other complementary indicators.
Oath KeeperOath Keeper - Advanced Money Flow & Market Dynamics Indicator
A sophisticated indicator that analyzes market dynamics through money flow patterns, volume analysis, and liquidation detection to identify high-probability trading opportunities.
Core Features:
• Smart Money Flow Analysis: Proprietary calculation of institutional money movement
• Volume-Enhanced Signals: Multi-timeframe volume confirmation
• Liquidation Detection: Identifies potential forced liquidation events
• Advanced Signal Classification: Regular, Super, and Fakeout signals
Signal Types:
1. Regular Signals (Green/Purple Circles)
• Volume-confirmed momentum shifts
• Money flow threshold breaches
• Institutional participation confirmation
2. Super Signals (Green/Purple Squares)
• Deep oversold/overbought reversals
• High-volume rejection patterns
• Liquidation event confirmation
3. Fakeout Signals (Red X)
• Rapid sentiment shifts
• Trap detection
• False breakout warnings
Visual Components:
• Dynamic Money Flow Line (White/Purple)
• Order Flow Clouds (Green/Red with high transparency)
• Reference Levels (20, 50, 80)
• Multi-type Signal Markers
• Color-coded momentum visualization
Interpretation Guide:
• Green Cloud: Bullish money flow dominance
• Red Cloud: Bearish money flow dominance
• Circle Markers: Standard reversals
• Square Markers: High-conviction moves
• X Markers: Potential trap zones
Best Practices:
• Most effective on 1H+ timeframes
• Use with major trading pairs
• Wait for candle close confirmation
• Combine with support/resistance levels
• Monitor volume confirmation
• Use multiple timeframe analysis
This indicator helps traders identify institutional money flow, potential liquidation events, and market reversals by analyzing volume patterns and money flow dynamics, providing multiple confirmation layers for trade decisions.
Note: Performance varies with market conditions and timeframes. Always employ proper risk management.
Head Hunter HHHead Hunter HH - Advanced Market Structure & Volume Analysis Indicator
This indicator combines volume analysis, price action, and VWAP to identify high-probability trading opportunities across multiple timeframes.
Key Features:
• Smart Volume Analysis: Detects institutional volume patterns using dynamic thresholds
• VWAP-Based Market Structure: Multiple standard deviation bands for precision entry/exit
• Daily Level Integration: Previous day's high, low, close, and current day's open
• Advanced Signal Classification: Regular, Super Strong, and Scalp signals
Signal Types:
1. Regular Signals (White/Purple Triangles)
• Volume-confirmed reversals
• Institutional price levels
• Technical momentum alignment
2. Super Strong Signals (Green/Red Diamonds)
• High-volume breakouts
• Strong momentum confirmation
• Multiple timeframe alignment
3. Scalp Signals (Green/Magenta Circles)
• Quick reversal opportunities
• VWAP deviation analysis
• Volume surge confirmation
Visual Components:
• VWAP with Standard Deviation Bands
• 50 MA (optional)
• Daily Reference Levels
• Color-coded signals based on strength
• Bar color changes on confirmed signals
Best Practices:
• Most effective on higher timeframes (1H+)
• Use with major pairs/instruments
• Combine signals with support/resistance
• Monitor volume confirmation
• Wait for candle close confirmation
This indicator helps identify institutional order flow and high-probability reversal zones by analyzing volume patterns, price action, and market structure, providing traders with multiple confirmation layers before entry.
Note: Results may vary based on market conditions and timeframe selection. Always use proper risk management.
Bijnor Pivot ExtendedOverview: The Bijnor Pivot Extended (BP+) indicator is a powerful visual tool designed to help traders identify key price levels using Fibonacci-based pivots. It dynamically plots Support and Resistance levels based on your chosen timeframe (Daily, Weekly, or Monthly) and displays them only for the current session, reducing chart clutter and improving focus.
🔧 Features:
📆 Pivot Timeframe Selection: Choose between Daily, Weekly, or Monthly pivots.
🎯 Fibonacci Pivot Levels:
Central Pivot (P)
Resistance: R1, R2, R3, R4 (Extended)
Support: S1, S2, S3, S4 (Extended)
🎨 Full Customization:
Toggle labels and prices on/off
Position labels to the left or right
Change line width and individual colors for pivot, support, and resistance lines
🧠 Smart Line Plotting:
Lines are drawn only during the selected session, keeping your chart clean
🕹️ Max Performance: Optimized to stay lightweight with max_lines_count and max_labels_count set to 500
🧭 How to Use It:
Use this indicator to:
Plan entries and exits around key Fibonacci pivot zones
Identify overbought/oversold zones at R3/R4 and S3/S4
Enhance your intraday, swing, or positional trading setups
Combine with price action, candlestick patterns, or volume for maximum edge.
✅ Bonus:
This script is ideal for traders looking for a minimalist yet powerful pivot framework, with extended levels for breakout or reversal scenarios.
Quantum Flow Navigator @DaviddTechQuantum Flow Navigator – DaviddTech
Precision Strategy Builder Powered by Adaptive Filters, Statistical Noise Reduction & Multi-Modal Confirmation
🚀 Bullish Signal : Enter when ALMA, FluxWave, and QuickSilver all confirm bullish trend, with high volume and valid noise filter state.
🔻 Bearish Signal : Enter short when all components align bearishly and filters validate the signal.
🚪 Exit : Automatically managed by dynamic SL/TP or indicator-based reversal logic.
✅ Overview & DaviddTech Methodology
Quantum Flow Navigator is an advanced, multi-component trading system engineered around the strict modular logic of the DaviddTech methodology .
It integrates every core component required for a fully rule-based and signal-driven strategy—baseline, confirmations, volume filter, exit system, and noise filter.
Designed for traders who demand structure, clarity, and data-backed decision-making on 15M, 1H, and 4H charts.
🔍 Indicator Components
Baseline: Adaptive ALMA Filter
Smooth and responsive dynamic trend detection, with momentum validation and optional filled zones for enhanced visual feedback.
Confirmation #1: FluxWave Oscillator
Developed from an enhanced Trendlio concept by @dudeowns , FluxWave uses ALMA-smoothed rate-of-change logic with configurable signal behavior.
Confirmation #2: QuickSilver Band System
Custom breakout engine that maps volatility envelopes using multi-layered deviation bands for clear confirmation of structure breaks and trend direction.
Volume Filter: Normalized Volume Energy
Innovative volume filter inspired by @ceyhun 's work. Filters trades by classifying energy into High, Normal, or Low based on normalized volume context.
Exit System: Dynamic Momentum Stop Loss
Choose from Smart Adaptive, Trailing, Stepped, Percentage, ATR, or Volatility-adjusted logic. Supports TP via risk/reward, ATR multiples, or percentage targets.
Noise Filtration: Quantum Statistical Noise Reduction
Fuses Kalman smoothing with wavelet decomposition to eliminate non-signal noise and improve trade quality and confidence.
🎨 Visual System & Dashboard
🚀/🔻/🚪 Emoji Labels : Buy, sell, and exit trades clearly marked for instant recognition.
Color-Shifting Bars : Reflect FluxWave’s trend bias in real-time.
ALMA Fill Zone : Visual trend envelope between price and ALMA baseline.
QuickSilver Bands : Volatility envelopes with graduated depth for support/resistance awareness.
SL & TP Visuals : Dynamic stop-loss and take-profit zones plotted directly on chart.
Navigator Panel : In-chart dashboard displays real-time trend status, volume energy, noise filter state, signal strength, and active position tracking.
📈 How to Trade with It
Entry Mode Selection : Choose between Combined, ALMA, FluxWave, QuickSilver, or Custom scoring logic.
Final Signals : Trigger only when confirmations align, volume energy is valid, and noise is low.
Dashboard Summary : Use real-time signal display to validate entry strength.
Timeframes : 15M–1H recommended for swing/intraday setups; 5M–15M for automation.
💡 Advanced Features
Entry Strength Scoring: Composite weight of all active components + filters.
Cooldown System: Limits excessive signals in volatile periods.
Multiple Exit Strategies: SL & TP modes with optional indicator-based exits.
Statistical Filtering: Wavelet + Kalman combination optimizes entry confidence.
Full Alert Suite: Covers entries, exits, filter triggers, volume states, and more.
🧠 Suggested Strategy Usage
Wait for full confirmation from ALMA, FluxWave, and QuickSilver.
Ensure volume energy is High and noise filter confirms trend clarity.
Use adaptive SL/TP or indicator-based exits.
Monitor dashboard for live signal strength ≥ threshold.
Use “Balanced” mode for general use; switch to “Aggressive” for tighter signals.
📝 Credits & Originality
Concept based on DaviddTech’s component-driven methodology .
FluxWave Oscillator built as an evolved version of Trendlio with full signal customization — credit @dudeowns .
Volume Energy Filter adapted from the work of @ceyhun .
Noise filtration and system architecture developed independently using Pine Script v6.
All code and logic is original, non-rehashed, and completely refactored to ensure uniqueness.
Quantum Flow Navigator fuses adaptive baselines, confirmation logic, energy-based filters, and statistical refinement into a precision signal engine—optimized for traders who value structure, clarity, and control.
Gradient Range [BigBeluga]
This indicator highlights range-bound market conditions by dynamically plotting gradient-colored candlesticks within a defined price box. It detects whether the market is ranging or trending using ADX and can identify mean reversion points when price steps outside the established range.
🔵KEY FEATURES:
Range Detection Box:
➣ A transparent box is drawn based on the highest and lowest price close over a user-defined period.
➣ Helps visualize range boundaries and the midline for support/resistance reference.
Gradient Candlestick Coloring:
➣ Candles inside the range are colored with a gradient from top to bottom based on proximity to the midline.
➣ Top range candles are shaded with bearish tones, while bottom range candles use bullish tones.
Ranging/Trending State Detection:
➣ Uses ADX to determine if the market is currently in a ranging or trending state.
➣ A label in the bottom right corner shows a real-time status (🟢 Ranging / 🟡 Trending).
Mean Reversion Signal Circles:
➣ When the market is ranging, white circles are plotted at highs/lows that breach the box boundary, indicating potential mean reversion points.
➣ These levels can act as fade trade setups or exhaustion markers.
🔵USAGE:
Range Trading: Trade between the upper and lower boundaries during range-bound conditions with clearer visual feedback.
Mean Reversion Plays: Use circle signals as early alerts to identify when price extends beyond the range and may revert to the mean.
Visual Trend Strength: Instantly recognize where price is concentrated inside the range via the color gradient system.
Ranging Filter: Use the ADX label to avoid false setups during strong trending periods.
Gradient Range provides an elegant and data-driven approach to range-bound market analysis. With its gradient visualization and smart reversion detection, it empowers traders to better time entries and exits within consolidation zones.
Step-Based Trailing Stop-Loss IndicatorThis indicator is built for momentum traders who want to maximize winning trades and minimize losses through a smart, step-based trailing stop-loss system. Instead of using a fixed Take Profit, this tool dynamically protects profits once the trade reaches a favorable RR (Risk-to-Reward) level.
How It Works:
Manual Entry Input
You enter your Entry Price and select Buy/Sell in the settings.
This flexibility allows backtesting or live trade tracking.
Initial Setup
Default SL: 50 ticks(Tested on us30,but works on any pair you just need to adjust SL)
TP for reference: 4R — can be used for benchmarking, but we don't limit profits with a hard TP.
Trailing Logic
Once price reaches 3R in profit:
The SL begins trailing.
It starts at 2R, keeping a 1R cushion behind the max profit.
For every 0.5R gain, SL also moves up by 0.5R:
Example: At 3.5R → SL is at 2.5R
At 5.0R → SL is at 4.0R
This trailing continues until the SL is hit or the trend exhausts.
Chart Features
🟧 Entry Line
🔴 Initial SL
🟢 Reference TP (4R, optional)
🟣 Dynamic Trailing SL
🏷️ Labels for Entry & SL levels
ICT Judas + Silver Bullet🔰 ICT Judas + Silver Bullet Indicator (SMC-based)
Built for Prop Firm and High Win Rate Intraday Traders
This indicator identifies key institutional setups from Inner Circle Trader (ICT) and Smart Money Concepts (SMC) strategies, optimized for XAUUSD, EURUSD, and other high-volume pairs on the 5-minute chart.
📌 Core Features:
✅ Asian Range Box (02:00–08:00 SGT) – used as manipulation anchor
✅ London Killzone (14:00–16:00 SGT) – Judas Swing detection
✅ New York Killzone (22:30–23:30 SGT) – Silver Bullet setups
✅ Automatic Fair Value Gap (FVG) detection
✅ Liquidity sweep detection based on 20-bar EQH/EQL
✅ Entry + Stop Loss + Take Profit visualization with adjustable RR
✅ Alerts for Judas and Silver setups
✅ Perfect for prop firm scalping and intraday swing logic
🛠️ How It Works:
- Judas Swing: triggers when liquidity above the Asian high is swept during London Killzone
- Silver Bullet: triggers when liquidity below recent lows is swept during NY Killzone
- Entry shown via circle, SL and TP lines based on user-defined RR and stop-loss pip distance
- Designed to be paired with SMC/ICT OB/FVG confirmation entries
⚙️ Settings:
- Adjustable session times
- Toggle FVG display
- Set RR and SL pips to match prop firm rules
- Compatible with alert webhooks for Telegram
🕰️ Note:
All times are fixed to **SGT (GMT+8)**. If you're in another timezone, adjust your TradingView timezone accordingly or update the session inputs manually during Daylight Saving Time changes.
🔔 Alert-Ready:
Use alerts for live signals and pair with webhooks for automation.
🔍 Recommended Pairings:
XAUUSD, EURUSD, GBPUSD, NAS100 on M5 chart
📈 Win Rate Potential:
Backtested with high-probability setups aligned with prop firm daily goals. Best used with strict discipline and 1-2 setups per day.
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Built with ❤️ by a trader, for traders looking for precision-based executions using ICT logic.
ICT Liquidity Sweep MAX RETRI (ALERT)Strategy Description: SMC + ICT Reversal Sniper | 5-Min | R2 TP
This strategy applies Smart Money Concepts (SMC) and ICT methodology to identify high-probability reversal trades using a clean, rule-based system designed for the 5-minute timeframe.
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Core Logic:
• Liquidity Sweep: Identifies stop hunts beyond recent swing highs/lows using a configurable lookback window.
• Break of Structure (BOS): Validates a directional shift after the sweep.
• Fixed R2 Risk-Reward: Entry is followed by a 2:1 take-profit target. Stop loss is set at the sweep candle’s high/low.
• No Entry Between 8 PM–12 AM NY Time: Avoids the manipulation-prone and illiquid zone.
• Discreet SL Handling: SL hits close trades silently — no labels or visuals.
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Entry Precision & Timing Notes:
• The strategy may occasionally fire before a confirmed liquidity sweep — this is expected. If a sweep occurs later, you may still re-enter toward equilibrium, with take profit also targeted at equilibrium.
• Alerts or trades that trigger near 9:30 AM NY often align with real direction, but this time can be volatile.
• For more reliable and lower-risk entries, focus on the 1:30 PM to 2:00 PM silver bullet window, which tends to produce cleaner setups with more favorable flow. 🖤
RTH and ETH RangesKey Functions :
Visualizes Regular Trading Hours (RTH) and Extended Trading Hours (ETH) price ranges
Tracks session highs, lows, and 50% levels where significant market reactions occur
Detects breakouts beyond previous session extremes
Trading Applications :
Exposes potential liquidity raids at session boundaries where smart money targets stop orders
Identifies critical price thresholds where institutional activity concentrates
Highlights divergences between RTH and ETH behavior that precede directional moves
Provides measurement of session volatility differences
Maps key price levels for objective entry and exit parameters
Reveals market dynamics at session transitions where institutional positioning changes
Daily Performance HeatmapThis script displays a customizable daily performance heatmap for key assets across crypto, equities, bonds, commodities, currencies, and volatility indices.
Each cell shows the current price and the percent change since the daily open, color-coded using a gradient from negative to positive. Assets are arranged in a left-to-right, top-down grid, with adjustable layout and styling.
⚙️ Features:
🔢 Displays current price and daily % change
🎨 Color-coded heatmap using customizable gradients
🧱 Adjustable layout: number of columns, cell size, and text size
🧠 Smart price formatting (no decimals for BTC, Gold, etc.)
🪟 Clean alignment with padded spacing for UI clarity
🛠️ Future plans:
User-input asset lists and labels
Category grouping and dynamic sorting
Optional icons, tooltips, or alerts
Lot Size TableLot Size Table Indicator – Pine Script (v5)
This TradingView script, “Lot Size Table,” creates a dynamic on-chart table that helps forex traders quickly calculate position sizes (lot sizes) for different capital and risk settings across various stop-loss (SL) pip scenarios.
🔧 Key Features:
📊 Real-time Forex Price Integration
Retrieves daily forex prices from OANDA for accurate lot size adjustments.
Instruments supported: USDJPY, USDCHF, AUDUSD, GBPUSD, NZDUSD, USDCAD, EURUSD.
🧠 Smart Lot Size Adjustments
Custom function adjustLotSize() adjusts lot sizes based on:
The currency of the instrument (e.g., JPY, GBP, AUD, etc.).
Special multiplier for symbols like US30 (e.g., ×8.5).
🧾 Flexible Capital & Risk Inputs
Supports 3 customizable capital groups, each with its own:
Capital amount
Risk percentage
📉 Multiple Stop-Loss (SL) Scenarios
Users input a comma-separated list of SL pip values (e.g., "20,25,30,...").
For each SL value, lot sizes are calculated for all 3 capital/risk combinations.
📋 Formatted On-Chart Table
Displays in a user-selected corner of the chart.
Customizable size, background color, and border.
Header row includes capital values and risk % (formatted to "k" if over 1,000).
Remaining rows show calculated lot sizes for each SL pip value.
📐 How It Works:
User Inputs: Capital, risk %, SL pip list, and table styling.
Calculation:
Lot size = (capital × risk%) / (SL pips × 10)
Adjusted based on instrument’s currency.
Display:
Table shows all SL pip scenarios and the corresponding adjusted lot sizes for each capital group.
CandelaCharts - Premium & Discount 📝 Overview
Premium and Discount are key concepts in ICT (Inner Circle Trader) trading strategies, used to pinpoint ideal entry and exit points in the market. These concepts are based on an understanding of market structure and the behavior of institutional traders, commonly referred to as Smart Money.
To understand the Premium and Discount zones, it's crucial to first grasp the concept of the equilibrium level, also known as the basic or fair value. The equilibrium represents the midpoint of a given price range and acts as a reference point, dividing the range into Premium and Discount zones.
The equilibrium reflects the "fair value" of the price within the considered range. Traders use this as a benchmark to assess whether the current price is in the Premium or Discount zone.
The Premium zone lies above the equilibrium level, while the Discount zone is located below it within the price range.
📦 Features
Swing-based detection
Custom detection
Modes
Styling
⚙️ Settings
Range: Determines how you will identify Premium and Discount, either by swing points or by custom date.
Mode: Controls what UI will be displayed
Premium: Sets the Premium color
Discount: Sets the Discount color
Equilibrium: Sets the Equilibrium color
Labels: Controls the labels visibility
⚡️ Showcase
Pro Mode
Solid Mode
Outlined Mode
Flat Mode
The Indicator can be effortlessly applied in replay mode to highlight premium and discount zones based on the most prominent market swings.
🚨 Alerts
The indicator does not provide any alerts!
⚠️ Disclaimer
Trading involves significant risk, and many participants may incur losses. The content on this site is not intended as financial advice and should not be interpreted as such. Decisions to buy, sell, hold, or trade securities, commodities, or other financial instruments carry inherent risks and are best made with guidance from qualified financial professionals. Past performance is not indicative of future results.