HOANO GikaV2 PREMIUM❤️ Link indicator : t.me
❤️ Coffee Donate
(BEP20) : 0xf79d4f5144426358a67c89be80a272c3376a1b2a
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HOANO GikaV2 PREMIUM : is a special, custom-designed indicator. It is a private (invite-only) indicator, created specifically for analysis and testing purposes.
This indicator is not intended for public use and requires the author’s permission before being applied to any chart. There are no guarantees or assurances of profit. The indicator is provided “as is” and is for educational and reference purposes only.
If you wish to be granted access, please contact the author directly.
Trend Analizi
HOANO GikaV1 PREMIUM❤️ Link indicator : t.me
❤️ Coffee Donate
(BEP20) : 0xf79d4f5144426358a67c89be80a272c3376a1b2a
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HOANO GikaV1 PREMIUM: is a special, custom-designed indicator. It is a private (invite-only) indicator, created specifically for analysis and testing purposes.
This indicator is not intended for public use and requires the author’s permission before being applied to any chart. There are no guarantees or assurances of profit. The indicator is provided “as is” and is for educational and reference purposes only.
If you wish to be granted access, please contact the author directly.
Previous HTF Candle Dashboard by UpendraDisplays selected time frames previous closed candle status.. contact me if you need any other information....
MC: Smart Money Concepts - Trend (LTF & HTF)
Clear Smart Money Concepts trend/bias for both LTF and HTF
Top arrows = current timeframe (LTF) trend
Bottom arrows = higher timeframe (HTF) trend
HTF is automatically derived from the chart timeframe
Non-repainting, confirmed strictly on candle close
Overview
MC: SMC Trend on LTF & HTF is a clean, stable, and non-repainting trend indicator based on Smart Money Concepts (SMC) principles.
It is designed to keep traders aligned with market structure and directional bias across multiple timeframes, without clutter or misleading intrabar signals.
This indicator focuses on trend/bias clarity, not on plotting full structure lines or zones.
Its goal is to provide a reliable directional framework that can be used alongside discretionary or systematic trading strategies.
Core Logic
Trend and bias are derived from market structure, using Internal structure & Swing structure
Both structures are evaluated using CHoCH (Change of Character) and BOS (Break of Structure) logic.
CHoCH flips the bias only when it occurs against the current bias, preventing unnecessary noise.
BOS confirms the active bias and is displayed using stronger / darker arrows.
An optional Confluence Filter can be enabled to reduce weak or noisy CHoCH signals
Multi-Timeframe Visualization
Top arrows display the trend/bias of the current chart timeframe (LTF).
Bottom arrows display the trend/bias of the Higher Time Frame (HTF).
The HTF is calculated automatically using a rule-based mapping derived from the chart timeframe (a manual override is available if needed).
HTF behaviour is strictly non-repainting:
While the HTF candle is forming, the HTF bias is shown as grey.
A single coloured arrow is printed only when the HTF candle closes.
This guarantees: zero flicker ; correct timing alignment; full consistency between LTF and HTF
Non-Repainting Philosophy
All confirmed signals are validated strictly on bar close, per timeframe.
Historical data never repaints.
Visual updates on live candles are clearly distinguished from confirmed states.
Acknowledgement
This indicator is based on and inspired by the “Smart Money Concepts (SMC)” methodology by LuxAlgo.
I am deeply grateful to LuxAlgo for their outstanding work in structuring and popularizing Smart Money Concepts, which made this project possible.
This script is not a copy, but a clean, independent implementation focused on trend/bias clarity and multi-timeframe consistency, built with great respect for the original concept.
Dual RSI with Divergences + Overlay Signals + Fill ZonesThis indicator combines dual RSI, divergence detection, gradient bands, and crossover signals to help time high probability reversals and momentum shifts on any market or timeframe.
Indicator Features
Dual RSI (14 & 64)
• Fast RSI 14 for short term momentum and entries.
• Slow RSI 64 as a trend/momentum filter so you only trade when higher frame momentum agrees.
Custom bands, MAs, and visuals
• Independent upper/lower bands for each RSI, plus adjustable colors and line thickness.
• Optional MA on both RSIs (SMA/EMA/SMMA/WMA) for extra confirmation and smoothing.
• Band background fill toggle for clean or highly visual layouts.
Gradient overbought/oversold zones (RSI 14)
• Red gradient from band upper level down to the 50 line highlights overbought pressure.
• Green gradient from 50 down to band lower level highlights oversold pressure.
• Both gradients move automatically when you change RSI 14 band levels.
RSI 14 divergence detection
• Bullish divergence: price makes lower lows while RSI 14 makes higher lows, hinting at a potential bottom.
• Bearish divergence: price makes higher highs while RSI 14 makes lower highs, hinting at a potential top.
• Divergences are marked only at the actual pivot bars with labels (Bull/Bear) and have their own alert conditions.
RSI 14 / RSI 64 crossover BUY/SELL signals (on chart)
• BUY: RSI 14 crossing above RSI 64, plotted as a green triangle below the price bar and with an alert option.
• SELL: RSI 14 crossing below RSI 64, plotted as a red triangle above the price bar and with an alert option.
• Signals are plotted on the main chart while the RSIs and divergences stay in their own pane.
How to Trade with This Indicator
1. Use RSI 64 as the higher timeframe / trend filter
• Prefer long setups when RSI 64 is above 50 and generally rising, indicating bullish momentum.
• Prefer short setups when RSI 64 is below 50 and generally falling, indicating bearish momentum.
2. Let divergences mark potential turning zones
• Watch for bullish divergence (price lower low, RSI 14 higher low) near or below the lower band/green gradient.
• Watch for bearish divergence (price higher high, RSI 14 lower high) near or above the upper band/red gradient.
• Treat divergence as an early warning, not an immediate entry; wait for confirmation.
3. Use RSI 14 / RSI 64 crossover as the entry trigger
• After a bullish divergence, wait for RSI 14 to cross above RSI 64 and use the BUY arrow/alert as your confirmation to enter long.
• After a bearish divergence, wait for RSI 14 to cross below RSI 64 and use the SELL arrow/alert as your confirmation to enter short.
• This “divergence first, crossover second” sequence helps filter many false divergences.
4. Integrate levels and price action
• Give more weight to signals occurring at higher timeframe support/resistance, supply/demand zones, or key swing highs/lows.
• Combine the indicator’s signals with simple price action (e.g., rejection wicks, engulfing candles) around those zones for tighter entries and smaller stops.
5. Risk management and exits
• For longs, typical stop placement is below the divergence swing low; for shorts, above the divergence swing high.
• Consider partial profit at the opposite band or at recent structure levels, and use the slope of RSI 64 or the MA on RSI 14 to manage trend exits.
Used this way, the indicator acts as a structured playbook: divergence highlights where a reversal is likely, gradients and bands show how stretched momentum is, and the dual RSI crossover gives the actual go/no go entry signal in line with broader trend context.
Trend Conviction (28 Pairs)Trend Conviction is a directional confidence oscillator designed to highlight when price movement is behaving like a “clean” trend versus a choppy or contested move. It evaluates recent progression in the dominant direction and reduces the reading when price shows meaningful counter-direction pressure, helping you distinguish reliable directional conditions from unstable ones. Use it to compare trend quality over time, spot transitions from trend to range, and confirm whether momentum is supported or being resisted.
This version plots Trend Conviction across the full set of 28 major FX pairs in a single panel, with each pair shown as its own coloured line with right-edge labels for quick identification.
Multi-Indicator Dashboard# Multi-Indicator Dashboard v3.7
## What Makes This Script Original?
This dashboard is **not a simple indicator mashup**. It implements a **unique multi-layer decision system** that combines three distinct methodologies into a unified framework:
1. **Ehlers' Laguerre Mathematics** - 18 weighted Laguerre filters with consensus voting
2. **Minervini's Trend Template** - Structural trend analysis using SMA relationships
3. **Defensive Voting System** - A 7-jury protection mechanism to prevent false signals
The key innovation is the **layered signal override architecture**: each layer can downgrade (but never upgrade) signals from the previous layer, creating a "safety net" that catches bull traps and false breakouts.
---
## How It Works: The 5-Layer Protection System
### Layer 1: Laguerre Consensus (Signal Generation)
The script calculates 18 Laguerre filters with gamma values from 0.10 to 0.95. Each filter "votes" bullish or bearish based on:
- Price position relative to filter
- Filter direction (rising/falling)
Votes are weighted by gamma (slower filters = higher weight). The **Effective Consensus** percentage determines the base signal strength.
### Layer 2: Market Filter (Macro Protection)
```
IF Reference Index (SPY/QQQ) < 200-day SMA
THEN Market = Bearish → Block ENTER signals
```
This prevents new entries during bear markets, regardless of individual stock strength.
### Layer 3: Regime Filter (Market Condition)
The script detects three market regimes using 7 criteria:
- ADX level (trend strength)
- DI+ vs DI- spread
- RSI position
- SMA convergence
- Volatility contraction
- Laguerre spread
**Choppy or Sideways regime** → Downgrade TREND/ENTER to CAUTION
### Layer 4: Protection Score (7-Jury System)
Seven independent "juries" vote on structural health:
| Jury | Condition | Meaning |
|------|-----------|---------|
| Laguerre | Close < Lag01 | Fast support broken |
| MACD | Histogram < 0 | Momentum negative |
| OBV | Trend = -1 | Volume selling |
| SMA20 | Close < SMA20 | Short-term trend broken |
| EMA Structure | EMA10 < SMA20 | Trend structure damaged |
| RS Line | RS < RS SMA50 | Underperforming index |
| Net Momentum | RSC < 50 | Sellers stronger than buyers |
**Scoring:**
- 0-1 points: Normal
- 2 points: Yellow Alert (TREND → WAIT)
- 3+ points: Red Alert (→ CAUTION)
### Layer 5: RSI Divergence Alert (Visual Warning)
When price approaches a 60-day high but RSI is 5+ points lower than at the previous peak, a warning icon (⚠️) appears. This **does not change signals** - it's informational only.
---
## Signal Interpretation
| Signal | Code | Meaning | Action |
|--------|------|---------|--------|
| 🟢 ENTER | 5 | Strong setup, all layers confirm | Consider entry |
| 🟢 TREND | 4 | Trend continues, structure intact | Hold position |
| 🟠 CAUTION | 3 | Warning signs present | Avoid new entries |
| 🟡 WATCH | 2 | Developing, too early | Monitor closely |
| ⚪ WAIT | 1 | Conditions unfavorable | Stay in cash |
---
## Key Indicators Explained
### RSC (Relative Strength of Change)
```
RSC = Sum of Positive Changes / Total Changes × 100
```
- RSC > 50: Buyers creating larger moves
- RSC < 50: Sellers creating larger moves
### Effective Consensus
Weighted average of 18 Laguerre filter votes. Higher gamma filters (slower, more reliable) have 2x weight compared to fast filters.
### LaRSI (Laguerre RSI)
Ehlers' smoothed RSI variant. Key zones:
- Below 0.20: Oversold (potential bottom)
- 0.30-0.55: Pullback zone (entry opportunity if turning up)
- Above 0.80: Overbought (caution)
---
## How to Use
1. **Check FINAL SIGNAL** - This is the output after all 5 layers process
2. **Read Status Row** - Shows which filter is currently active (if any)
3. **Monitor RSI Alert** - Orange color with ⚠️ means divergence detected
4. **Use Data Window** - Right-click chart → Data Window for all raw values
### Settings
- **Reference Index**: SPY for US stocks, BTCUSD for crypto
- **RS Lookback**: Period for relative strength calculation (default 50)
- **Filters can be toggled** on/off based on your strategy
---
## Important Disclaimers
- This indicator does not guarantee profits
- Past performance ≠ future results
- ENTER signal ≠ "buy immediately" - always confirm with your own analysis
- Risk management remains your responsibility
---
## Credits & Methodology Sources
- **Laguerre Filters**: John Ehlers, "Cybernetic Analysis for Stocks and Futures"
- **Trend Template**: Mark Minervini, "Trade Like a Stock Market Wizard"
- **CANSLIM**: William O'Neil, "How to Make Money in Stocks"
---
STM Smart Pullback EngineSTM Smart Pullback Engine
STM Smart Pullback Engine is a trend-continuation pullback indicator designed to identify high-probability retracement entries within a clearly defined market structure.
Built on Smart Trade Mastery (STM) principles, this indicator focuses on discipline, clarity, and structure-based trading — not breakout chasing.
Core Concept
This indicator waits for:
A clearly aligned trend
A controlled pullback
A price-action confirmation
Only when all conditions align does a trade signal appear.
Trend Filter (EMA Alignment)
Trades are allowed only when EMAs are properly aligned:
Uptrend
EMA 8 > EMA 50 > EMA 200
Downtrend
EMA 8 < EMA 50 < EMA 200
If EMAs are not aligned, the indicator stays inactive and no trades are generated .
This helps avoid sideways and choppy market conditions.
Pullback-Based Entry Logic
Buy Conditions
• Price remains above EMA 200
• Pullback occurs by:
– Price touching EMA 50 , or
– Engulfing candle opening below EMA 8
• Candle must not break EMA 200
• A bullish engulfing candle forms
Sell Conditions (Reverse Logic)
• Price remains below EMA 200
• Pullback occurs by:
– Price touching EMA 50 , or
– Engulfing candle opening above EMA 8
• Candle must not break EMA 200
• A bearish engulfing candle forms
This ensures trades are taken only during healthy pullbacks within an existing trend .
Engulfing Confirmation Options
Strong Engulfing (Optional)
When enabled:
• Buy → candle closes above the previous candle’s high
• Sell → candle closes below the previous candle’s low
This reduces signal frequency and improves confirmation quality.
Engulfing with Low Volume (Optional)
When enabled, an engulfing candle is valid only if it forms with lower volume than the previous candle .
This helps identify pullbacks caused by reduced market participation , which are commonly seen before trend continuation moves.
When disabled, engulfing candles are evaluated without any volume condition .
RSI as an Event (Not a Continuous Filter)
RSI is used as an event , not as a constant filter.
A valid setup requires:
• An RSI cross
• An engulfing candle
Both events must occur within a user-defined number of bars (default: 2).
The order does not matter — RSI may occur before or after the engulfing candle.
This prevents RSI from remaining always true during strong trends and reduces false signals.
Opposite Wick Filter (Optional)
To filter weak rejection candles:
• Buy setups evaluate the upper wick
• Sell setups evaluate the lower wick
The wick size can be measured as:
• A percentage of the full candle range , or
• A percentage of the candle body
Candles with excessive opposite wick size are automatically rejected.
Visual Guidance
• Blue candles → Uptrend
• Orange candles → Downtrend
• Grey candles → No-trade zone
Buy and Sell labels appear only on candle close (non-repainting).
RSI cross arrows are shown for additional confirmation.
Best Use Cases
• Trend continuation strategies
• Pullback / retracement trading
• Forex, Gold, Indices, Crypto
• Recommended timeframes: M5 to H1
Disclaimer
This indicator is for educational purposes only .
Always use proper risk management and confirm trades with your own analysis.
Powered by Smart Trade Mastery (STM)
Impulse Trend TrackerTitle:
Impulse Trend Tracker – Candle-Based Momentum & Dynamic Zones
Description:
The Impulse Trend Tracker is a powerful tool for traders seeking to identify high-probability market momentum and key support/resistance areas using a candle-based acceleration model that measures rapid increases in price movement relative to preceding candles. This approach highlights when the market is trending, slowing, or reversing, helping traders make timely decisions.
Key Features:
• Impulse Detection: Identifies bullish and bearish trend impulses by measuring rapid candle acceleration relative to prior bars.
• Momentum Loss: Detects when price movement slows or stalls, indicating potential trend pauses or reversals.
• Dynamic Supply & Demand Zones: Automatically generates bullish (demand) and bearish (supply) zones based on recent price action and customizable candle counts.
• Mitigation & Broken Zone Handling: Optionally dims or deletes zones that are mitigated or broken, keeping your chart clean and focused.
• Alternating Impulse Tracking: Ensures bullish and bearish impulses are tracked in sequence for clearer trend visualization.
• Customizable Visualization: Full control over colors for bullish, bearish, neutral candles, and zone fills/borders.
• Alerts: Built-in alert conditions for bullish/bearish impulses and loss of momentum for real-time market reaction.
Inputs & Settings:
• Acceleration Factor (φ) & inverse for impulse detection
• Target Cumulative Displacement for trend thresholds
• Wick ratio filtering for weak or indecisive candles
• Candle count and duration for zone creation
• Options to show, dim, or delete mitigated/broken zones
• Full color customization for candles and zones
Usage:
This indicator helps traders:
• Spot when momentum is accelerating or losing strength in real time
• Identify high-probability supply and demand zones for entries or exits
• Track short-term market structure and trend shifts
• Combine with other strategies for confirmation of trend direction
Technical Notes:
• Works on standard OHLC charts. Non-standard chart types (Heikin Ashi, Renko, etc.) may produce inconsistent impulse signals.
• Historical signals should consider realistic slippage and commissions; past impulses do not guarantee future results.
Invite-Only Access Instructions:
To request access to this script, please contact me directly through TradingView messages. Only users who explicitly request access will be granted permission.
Harmonic & Candle Confluence [Trader-Alex]Overview
This indicator is a comprehensive Price Action system designed to validate trade setups through Candlestick Patterns and Real-Time RSI Divergence.
While it is optimized to work as the perfect companion for my Ultimate Auto Harmonic Pattern indicator, it functions fully as a standalone tool for any trader looking to combine specific market structures with precise entry timing.
Design Philosophy
Harmonics define the "Where": The Auto HP indicator (seen in screenshots) locates the reversal structure.
Candles define the "When": This indicator validates the reversal with specific candlestick patterns and RSI divergence.
Key Features
1. Smart Candle Coloring (Reversal & Continuation)
Aqua (Bullish) / Fuchsia (Bearish): Highlights high-probability reversal patterns (Engulfing, Hammer/Star, Morning/Evening Star) specifically filtered by RSI extremes.
Yellow (Continuation/Indecision): Identifies strong momentum candles (RSI 40-60 break) or neutral Dojis, helping you stay in the trend or wait for clarity.
Note: Includes a 0.01% tolerance logic to adapt to Crypto market fluctuations.
2. Real-Time MTF Divergence Dashboard
A dashboard in the top-right corner monitors RSI Divergence across 4 timeframes (5m, 15m, 1H, 4H) simultaneously.
Status Indicators:
Warning: Divergence structure formed, but RSI hasn't hooked yet (Early sign).
Confirmed: RSI has hooked, validating the divergence (Entry signal).
3. One-Click Theme Switcher
Built-in "Dark Mode" and "Light Mode" switch in settings to instantly adapt colors to your chart background.
How to Use with Harmonic Patterns
1. Wait for the PRZ: Let the Ultimate Auto Harmonic Pattern indicator complete a pattern (e.g., Gartley, Bat, Shark).
2. Watch for Color: Wait for a Fuchsia (Bearish) or Aqua (Bullish) candle to close inside or near the PRZ.
3. Check the Dashboard: Look for a "Confirmed" divergence signal on the current or higher timeframe to increase win rate.
⚠️ Important Note The Harmonic Patterns (Gartley, Crab, Shark, etc.) shown in the screenshots are generated by the "Ultimate Auto Harmonic Pattern ". This script ("Harmonic & Candle Confluence") contains the Candle Coloring and the MTF Table only. It is intended to be used as an auxiliary tool to validate harmonic setups.
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Harmonic & Candle Confluence (諧波K線共振系統)
簡介
這是一個綜合性的價格行為(Price Action)交易系統,旨在透過 K線型態識別 與 即時 RSI 背離偵測 來驗證交易機會。
雖然此指標特別優化作為 "Ultimate Auto Harmonic Pattern" 的輔助確認工具,但它完全具備獨立運作的能力,適合任何希望結合「關鍵價位」與「精確進場時機」的交易者使用。
設計核心
諧波負責「空間 (Where)」: 由主指標負責尋找蝴蝶、蝙蝠等型態。
本指標負責「時機 (When)」: 利用K線型態與背離,確認反轉已經發生。
核心功能
1. 智慧 K 線染色 (反轉與中繼)
淺藍 (看多) / 洋紅 (看空): 標記高勝率的反轉 K 線組合(如吞噬、錘頭、晨星/暮星)。系統內建 RSI 過濾與容錯機制,過濾無效雜訊。
黃色 (中繼/猶豫): 標記趨勢延續的大實體 K 線(RSI 強勢區)或中性十字線,協助判斷是該加碼還是觀望。
2. 即時多週期背離儀表板 (MTF Dashboard)
圖表右上角表格即時監控 5分、15分、1小時、4小時 的 RSI 背離狀態。
狀態區分:
徵兆 (Warning): 價格創新高/低,但 RSI 尚未反轉(預警訊號)。
確立 (Confirmed): RSI 已勾頭,背離確認生效(進場訊號)。
3. 一鍵主題切換
設定中內建「深夜模式」與「明亮模式」開關,一鍵切換所有配色以適應您的看盤環境。
搭配諧波型態的實戰用法
1. 等待 PRZ: 當主指標 (Ultimate Auto HP) 繪製出諧波型態(如 Gartley, Bat, Shark)。
2. 確認 K 線: 觀察價格是否在 PRZ 內出現 洋紅色 (看空) 或 淺藍色 (看多) 的 K 線訊號。
3. 儀表板共振: 檢查右上角表格,確認是否出現該週期或更大週期的「背離確立」訊號,達成共振即可進場。
⚠️ 重要說明 說明圖中顯示的諧波型態連線(Gartley, Crab 等)來自 "Ultimate Auto Harmonic Pattern "。 本腳本 ("Harmonic & Candle Confluence") 僅包含 K 線染色與背離表格功能。 它是為了輔助確認諧波交易訊號而設計的專用工具。
Mean Deviation Loop | Lyro RSThe MAD Bollinger Bands + Loops is a sophisticated technical analysis tool designed to identify and quantify market trends by combining dynamic moving averages with robust statistical dispersion measures. This indicator employs a multi-model approach, integrating Bollinger-style MAD bands, for-loop momentum scoring, and a hybrid signal system to provide traders with adaptive insights across varying market conditions.
Indicator Modes
Bollinger-Style MAD Bands
This mode calculates dynamic volatility bands around price using Mean Absolute Deviation (MAD) instead of standard deviation or RMSE. MAD offers a smoother and more outlier-resistant measure of price dispersion.
Upper Band = Dynamic Moving Average + (MAD × Multiplier)
Lower Band = Dynamic Moving Average − (MAD × Multiplier)
These bands expand and contract with market volatility, helping to identify potential breakout and breakdown zones with reduced sensitivity to extreme price spikes.
For-Loop Momentum Scoring
Momentum is evaluated by analyzing recent price behavior through a loop-based comparison system applied to a MAD-weighted price series.
A rising momentum score indicates strengthening bullish pressure
A declining momentum score signals increasing bearish dominance
This method emphasizes directional consistency rather than short-term noise.
Hybrid Combined Signal
This mode combines the outputs of the MAD Bands and For-Loop Momentum Scoring into a unified directional signal.
+1 indicates bullish conditions (green)
−1 indicates bearish conditions (red)
An average of these scores is calculated to generate a combined signal, providing a clearer and more reliable indication of overall market trend.
Practical Application
Signal Interpretation
A buy signal is generated when both the MAD Bands and For-Loop Momentum align bullishly.
A sell signal is generated when both components align bearishly.
Trend Confirmation
The Hybrid Combined Signal serves as a confirmation layer, helping traders validate trend direction and reduce the likelihood of false signals during choppy or low-volatility conditions.
⚠️ Disclaimer
This indicator is a technical analysis tool and does not guarantee results. It should be used in conjunction with additional analysis methods and proper risk management strategies. The creators of this indicator are not responsible for any financial decisions made based on its signals.
Dual MA Trendline with Angle Lock"Dual MA Trendline with Angle Lock + Multiplier Bands" is a trend-following overlay indicator that combines two moving averages (MAs), each with a special "angle lock" mechanism.
Key mechanics: Instead of plotting the raw MA directly as the main trend line, it creates a piecewise-linear trendline for each MA.
The trendline locks its slope (angle) and starting value whenever the MA's recent slope changes significantly (more than the user-defined angleThreshold).
Between these "slope reset" points, the trendline continues with constant slope (straight line segments), producing flatter, more persistent trend representations than a curving MA.
Around the locked trendline, it draws symmetric bands:Base band (1×) — always shown
Optional multiplier bands (2×, 4×, 8×) — configurable
Bands can be in percentage (volatility-adaptive) or fixed points (useful for forex/crypto with small price units or tick-based instruments).
It also plots fills between the two MAs' bands/trendlines → visually highlights:Upper zone (greenish fill)
Middle zone (blueish fill)
Lower zone (reddish fill)
In short: two independent "locked-angle trend ribbons" with multiplier deviation bands + inter-ribbon fills.
Main Use Cases
Trend direction & strength visualization
The locked-slope trendlines stay straighter and change direction less frequently than normal MAs → clearer visual read of the prevailing trend (especially useful on noisy charts).
Dynamic support/resistance zones
1× bands act as near-term dynamic S/R.
2× / 4× / 8× bands serve as progressively stronger support/resistance or "overextended" levels.
→ Many traders watch for price rejection, bounces, or acceleration once price reaches 2×–4× bands.
Mean-reversion / pullback entries (especially in ranging or mildly trending markets)
Price touching or exceeding outer multiplier bands + returning toward the trendline often signals good mean-reversion setups.
Trend-continuation / breakout filtering Price riding above the upper bands in uptrend → strong momentum continuation. Price breaking and closing outside 4×–8× bands → potential acceleration or trend exhaustion signal.
Dual-timeframe / dual-speed MA comparison MA 1 is usually longer/slower (default 128), MA 2 is shorter/faster (default 14).
The fills between them act like a "trend tunnel" — wide middle fill = strong trend, narrowing = consolidation, color changes = possible reversal.
Clean chart alternative to channels / regression / envelopes
The angle-locking creates straighter, less whipsaw-prone lines than typical Bollinger Bands, Keltner Channels, or regression channels, while still adapting to price.
Typical settings example MA1: longer period (50–200), small angle threshold → persistent major trend
MA2: shorter period (9–34), larger angle threshold → more responsive minor trend
Use percentage bands on stocks/indices, fixed points on forex/crypto with small pip values.
Overall → very popular style among traders who like clean, low-repaint trend + deviation band systems (similar spirit to SuperTrend + envelopes, but with custom slope-locking logic).
EMA VWAP Pro StrategyEMA VWAP Pro Strategy - Quick Summary
What it does: Generates CALL/PUT signals for day trading (designed for SPY options on 1-5 min charts)
Entry Criteria:
EMA 9 crosses above EMA 20 → CALL
EMA 9 crosses below EMA 20 → PUT
Must be confirmed by VWAP (price above for calls, below for puts)
Requires elevated volume (1.2x average)
Needs 3 candles of confirmation
Optional: 15-min timeframe must agree
Time Filters:
Trades: 10am-12pm ET & 3-3:45pm ET only
Avoids: First 15 min after open & lunch hours
Quality Score (1-5 stars):
Higher score = stronger setup
Only shows signals rated 3+ stars
4-5 star signals highlighted as "strong"
Best for: Scalping SPY 0DTE options during high-probability windows with multiple confirmations.
GoM Scalping Pro V1.32 | Multi-Timeframe Signal System🎯 GoM Scalping Pro V1.32 - Professional Multi-Timeframe Trading Signal System
GoM Scalping Pro is a comprehensive trading signal indicator designed for serious traders who demand precision, clarity, and professional-grade analysis. Built with advanced algorithms and multiple confirmation layers, this indicator helps you identify high-probability trade setups while filtering out market noise.
⚡ KEY FEATURES
🔹 Smart Signal Detection
Our proprietary signal engine identifies optimal entry points using advanced mathematical models. Signals are generated only on confirmed candles, ensuring zero repainting and reliable backtesting results.
🔹 Multi-Timeframe Hierarchy Filter (MTF)
Every signal is validated against higher timeframe trends using a hierarchical confirmation system. This ensures you're always trading in the direction of the dominant market flow, dramatically improving win rates.
🔹 Intelligent Market Filters
-RSI Momentum Filter**: Avoids buying in overbought conditions and selling in oversold zones
-Volatility Filter: Filters out signals during abnormal market volatility
-Volume Filter: Confirms signals with adequate market participation
-Session Filter: Trade only during your preferred market hours (UTC)
🔹 Automatic TP/SL Level Calculation
Each signal comes with precisely calculated:
- Entry Price
- Stop Loss (with optional ATR buffer for safety)
- 4 Take Profit Levels (TP1, TP2, TP3, TP4)
Risk/reward ratios can be set as fixed values or dynamic ratios that adapt to market conditions and timeframe.
🔹 Real-Time HTF Dashboard
A professional dashboard displays trend direction across 9 timeframes (M1 to Monthly) with:
- Visual arrows indicating bullish/bearish bias
- Color-coded cells (Green = Buy, Red = Sell, Gray = Neutral)
- Weighted sentiment score with clear action labels:
- PERFECT BUY / PERFECT SELL
- GOOD BUY / GOOD SELL
- SMALL BUY / SMALL SELL
- WAIT
🔹 Comprehensive Alert System
Never miss a signal with detailed alerts including:
- Signal direction (BUY/SELL)
- Entry price
- Stop loss level with pip distance
- All 4 TP levels with pip distances
- Fully compatible with TradingView's alert system (push, email, webhook)
📊 OPTIMIZED FOR
| Trading Style | Recommended Timeframes |
|--------------|----------------------|
| Scalping | M1, M5, M15 |
| Intraday | M15, M30, H1 |
| Swing Trading | H1, H4, D1 |
| Position Trading | D1, W1, MN |
The indicator automatically adjusts its internal parameters based on your selected timeframe for optimal performance.
⚙️ SETTINGS OVERVIEW
Multi-Timeframe Filter
- Enable/disable HTF hierarchy validation
Market Filters
- Volume threshold (% of 20-bar average)
- Session filter with customizable hours
RSI Momentum Filter
- RSI period and overbought/oversold levels
- Volatility threshold (ATR multiplier)
Dynamic TP System
- Fixed or dynamic risk/reward ratios
- Base R:R ratio for dynamic calculation
SL Buffer
- Optional ATR-based buffer for stop loss safety
Dashboard
- Position (4 corners)
- Size (Normal, Large, Extra Large)
- Custom colors
Display
- Signal colors
- Line length for TP/SL levels
🚀 HOW TO USE
1. Add the indicator to your chart
2. Select your timeframe - the indicator auto-optimizes settings
3. Wait for a signal - arrows appear with BUY/SELL labels
4. Check the dashboard - confirm overall market sentiment
5. Use the levels - Entry, SL, and TP lines are drawn automatically
6. Set alerts - receive notifications on your phone or email
Pro Tips:
- Use signals that align with the dashboard's "PERFECT" or "GOOD" readings
- Enable MTF filter for higher quality signals
- Adjust session filter to match your preferred trading hours
- Start with default settings, then fine-tune based on your asset
⚠️ DISCLAIMER
This indicator is a technical analysis tool designed to assist traders in their decision-making process. It does not guarantee profits and should not be considered as financial advice.
- Past performance is not indicative of future results
- Always use proper risk management
- Never risk more than you can afford to lose
- This tool should be used as part of a complete trading strategy
- Backtest thoroughly before live trading
Trading involves substantial risk of loss and is not suitable for all investors.
🌐 ABOUT GOD OF MARKET
God of Market develops professional-grade trading tools for retail and institutional traders. Our mission is to provide accessible, high-quality technical analysis solutions.
🔗 Website: godofmarket.com
📧 Support: contact@godofmarket.com
Riot MomentumRiot Momentum is a multi-factor momentum oscillator that combines three distinct signal types into a single normalized reading, inspired by systematic trading principles from Rob Carver's approach to trend-following.
How It Works
The indicator blends three momentum components with different characteristics:
EWMAC (Exponentially Weighted Moving Average Crossover) — Measures the difference between fast and slow EMAs across three timeframe pairs (8/32, 16/64, 32/128), normalized by recent price volatility. This captures trend direction with volatility adjustment.
Breakout — Calculates where price sits within its recent range across three lookback periods (20, 40, 80 bars), then smooths the result. Values near +20 indicate price near range highs; values near -20 indicate price near range lows.
Acceleration — Measures the rate of change in momentum itself, detecting whether trends are speeding up or slowing down.
These components are weighted (EWMAC 4x, Breakout 2x, Acceleration 1x), combined, and capped at ±20 before being rescaled to ±100 for display.
Visual Elements
The histogram displays momentum strength with colors determined by statistical deviation from the rolling mean:
Normal intensity (within 1.5σ): Standard green/red
Elevated intensity (1.5-2.0σ): Brighter green/red
Peak intensity (beyond 2.0σ): Maximum saturation — potential exhaustion zones
Optional Z-score bands show these statistical thresholds directly on the chart. The momentum MA (default 20 periods) provides a smoothed reference with crossover signals marked by triangles.
Interpretation
Values above zero suggest bullish momentum; below zero suggests bearish. The color intensity indicates how extended current momentum is relative to recent history — peak colors often precede mean reversion. MA crossovers can signal momentum shifts before the histogram crosses zero.
Settings
Z-Score Lookback: Period for calculating statistical bands (default 256)
Elevated/Peak Levels: Sigma thresholds for color intensity changes
Momentum MA Length: Smoothing period for the reference line
Toggle options for bands, histogram, MA line, and candle coloring
Suggested Use
Works across all markets and timeframes. Consider combining with price structure analysis — strong momentum readings that align with key levels tend to produce higher-probability setups. Peak color readings warrant caution as they often indicate stretched conditions.
d95 Range and Opensd95 Range and Opens
Combining the d95 range and key opens, this indicator will give you a good overview of good high RR reversal plays.
Market Intelligence Hub Pro v1.5# 🎯 Market Intelligence Hub Pro™
## Overview
Market Intelligence Hub Pro™ is not just another indicator—it's a complete professional trading command center that consolidates 7 institutional-grade analysis modules into one unified, intelligent system. Designed for serious traders who demand comprehensive market analysis, real-time trade management, and data-driven decision making, this indicator transforms your TradingView chart into a professional trading terminal.
Unlike traditional indicators that show isolated metrics, Market Intelligence Hub Pro™ synthesizes multiple analysis layers—market regime detection, multi-timeframe confluence, order flow dynamics, institutional footprints, session analysis, live trade tracking, and performance analytics—all working together to provide actionable intelligence exactly when you need it.
---
## 🌟 What Makes This Different
### **1. Unified Intelligence System**
Most traders juggle 5-10 different indicators, creating visual clutter and analysis paralysis. Market Intelligence Hub Pro™ consolidates all essential analysis into one cohesive system where modules work together, not in isolation.
### **2. Context-Aware Analysis**
The system adapts to current market conditions. It knows when the market is trending vs. ranging, high vs. low volatility, optimal vs. poor trading times—and adjusts recommendations accordingly.
### **3. Real-Time Trade Management**
Built-in live trade tracker monitors your active positions with automatic P&L calculations, R:R ratios, trailing stops, and visual trade lines—something most indicators completely lack.
### **4. Institutional-Grade Order Flow**
Goes beyond basic volume analysis to include delta tracking, bid/ask imbalance detection, institutional footprint recognition, and liquidity pool identification.
### **5. Performance Analytics**
Built-in daily performance tracker monitors your trades, win rates, and P&L—helping you become a data-driven trader who continuously improves.
### **6. Fully Customizable**
Every color, every module, every threshold can be customized. Make it yours with 4 themes (Dark, Light, Matrix, Professional) and granular color controls for all visual elements.
---
## 📊 THE 7 CORE MODULES
### **MODULE 1: Market Regime Detector ⚡**
**What It Does:**
Automatically classifies current market conditions into distinct regimes, so you know exactly what type of market you're trading.
**Key Features:**
- **Trend Classification**: Strong Uptrend / Uptrend / Ranging / Downtrend / Strong Downtrend
- **Trend Strength Score**: 0-100% quantitative measurement
- **Market Phase Detection**: Accumulation / Markup / Distribution / Markdown (Wyckoff method)
- **Volatility Regime**: Quiet / Normal / Explosive / Extreme (percentile-based)
- **Visual Background**: Optional color-coded chart background for instant regime recognition
**How It Works:**
Uses 5 EMAs (8, 21, 50, 100, 200) with weighted scoring to calculate trend direction (-100 to +100) and strength (0-100). Combines with volatility analysis (ATR percentile ranking) and volume-price range analysis to determine market phase.
**Why It Matters:**
Trading strategies that work in trending markets fail in ranging markets. This module prevents you from applying the wrong strategy to the wrong market condition.
**Usage Example:**
- Trend Strength >70% + Uptrend = Use trend-following strategies
- Trend Strength <40% + Ranging = Avoid directional trades, consider range-bound strategies
- Volatility = Extreme + Distribution phase = Caution, potential reversal
---
### **MODULE 2: Session Tracker & Time Analysis 🌍**
**What It Does:**
Tracks global trading sessions (Asia, London, New York) and identifies optimal trading windows based on liquidity and volatility patterns.
**Key Features:**
- **Live Session Detection**: Automatically identifies which major session is active
- **Session Overlap Highlighting**: Marks London/NY overlap (highest liquidity period)
- **Volatility Classification**: Session-specific volatility ratings (High/Medium/Low)
- **Optimal Time Windows**: Flags the best hours for active trading
- **Real-Time Updates**: Displays current session in HUD dashboard
**How It Works:**
Uses hour-based logic to detect active trading sessions:
- Asia: 00:00-09:00
- London: 03:00-12:00
- New York: 08:00-17:00
- London/NY Overlap: 08:00-12:00 (highest volume)
**Why It Matters:**
70% of daily volume occurs during London and NY sessions. Trading during low-liquidity hours increases spreads, slippage, and false breakouts. This module helps you trade when institutions are active.
**Usage Example:**
- London/NY Overlap + High Volatility = Prime time for breakout trades
- Off Hours + Low Volume = Avoid trading, wait for next session
- Asia Session + Ranging Market = Scalping opportunities
---
### **MODULE 3: Multi-Timeframe Confluence Scanner 🎯**
**What It Does:**
Analyzes price action across 6 timeframes simultaneously (1m, 5m, 15m, 1H, 4H, Daily) and calculates a confluence score showing alignment strength.
**Key Features:**
- **6-Timeframe Analysis**: Current + 5 higher timeframes
- **Confluence Score**: 0-100% showing how many timeframes agree
- **Traffic Light System**: Visual indicators (🟢 bullish / 🔴 bearish) for each timeframe
- **Higher Timeframe Bias**: Shows overall direction from 4H + Daily
- **Side Panel Display**: Compact MTF panel showing all timeframes at a glance
- **Smart Entry Filtering**: Only generates signals when minimum confluence met
**How It Works:**
Requests price and EMA-21 data from each timeframe, determines if price is above/below EMA (bullish/bearish bias), then calculates what percentage of timeframes are aligned. A score of 100% means all 6 timeframes are bullish; 0% means all are bearish.
**Why It Matters:**
Trading with the grain (multiple timeframes aligned) dramatically increases win rates. Fighting higher timeframe trends is the #1 cause of failed trades.
**Usage Example:**
- Confluence Score 85%+ = Strong directional bias, high-confidence trades
- Confluence Score 50% = Conflicted timeframes, avoid or wait for clarity
- 1H/4H/Daily all green + Entry on 5m = High probability long setup
---
### **MODULE 4: Order Flow & Liquidity Analysis 💧**
**What It Does:**
Provides institutional-grade order flow analysis typically only available on professional platforms like BookMap or ATAS.
**Key Features:**
- **Delta Tracking**: Real-time cumulative buy vs. sell volume
- **Bid/Ask Imbalance Detection**: Identifies where aggressive buying/selling is occurring
- **Volume Ratio Analysis**: Compares current volume to average (identifies spikes)
- **Institutional Footprint Detection**: Recognizes large block trades (3x+ average volume)
- **Liquidity Pool Identification**: Marks swing highs/lows where stop-losses cluster
- **Absorption Detection**: Identifies where large orders are absorbing price movement
- **Visual Markers**: Liquidity levels shown as dotted lines with "LIQ" labels
**How It Works:**
- **Delta**: Calculates buy volume (close > open) minus sell volume (close < open), cumulates over time
- **Imbalance**: Analyzes where close finishes within the bar's range (>70% = bid pressure, <30% = ask pressure)
- **Institutional Detection**: Flags bars with 3x+ volume, strong directional close, and >60% body-to-range ratio
- **Liquidity Pools**: Uses pivot detection to identify swing points where stops are likely placed
**Why It Matters:**
Price doesn't move randomly—it moves where there's liquidity (stop losses, pending orders). Professional traders hunt these levels. This module helps you see what they see.
**Usage Example:**
- Delta turning positive + Price at liquidity low = Potential reversal (stops triggered)
- Institutional Buy + Demand zone test = High probability long entry
- Bid imbalance + Strong volume = Continuation move likely
---
### **MODULE 5: Intelligent Entry Zones 🎪**
**What It Does:**
Identifies and marks demand/supply zones (order blocks) where institutional orders were placed, then alerts when price returns to test these levels.
**Key Features:**
- **Demand Zone Detection**: Marks institutional support areas (bullish order blocks)
- **Supply Zone Detection**: Marks institutional resistance areas (bearish order blocks)
- **Visual Zone Boxes**: Color-coded, persistent zones with custom colors
- **Zone Testing Alerts**: Notifies when price returns to test a zone
- **Setup Quality Scoring**: 0-100% score based on 5 confirmation factors
- **Entry Signal Generation**: Only triggers when quality score exceeds threshold
- **Risk Management**: Auto-calculates stop loss (1.5x ATR) and take profit (based on R:R ratio)
- **Multi-Factor Confirmation**: Trend + MTF + Momentum + Volume + Order Flow
**How It Works:**
Zones are created when:
1. Institutional volume detected (3x+ average with strong directional close), OR
2. High volume spike + RSI extreme (<40 bullish, >60 bearish)
Setup quality score combines:
- Trend Alignment (25 points): Is current trend supporting the trade?
- MTF Confluence (25 points): Are higher timeframes aligned?
- Momentum (20 points): RSI + MACD confirming direction?
- Volume (15 points): Adequate volume for the move?
- Order Flow (15 points): Delta + bid/ask pressure supporting?
**Why It Matters:**
Institutional traders leave "footprints" when placing large orders. These zones act as magnets—price often returns to test these levels before continuing. Trading these retests offers high-probability, high-reward setups.
**Usage Example:**
- Price drops to demand zone + 75% quality score = Strong buy signal
- Price rallies to supply zone + MTF bearish + 80% score = Strong sell signal
- Zone created 3 bars ago + Price retesting now = Fresh zone, higher probability
**Signal Interpretation:**
- 🚀 BUY 80%+ = Critical long setup, highest probability
- ⚠️ SELL 80%+ = Critical short setup, highest probability
- 70-79% = High-quality setup, solid entry
- 60-69% = Moderate setup (only in aggressive mode)
- <60% = No signal generated
---
### **MODULE 6: Live Trade Tracker & Management 📈**
**What It Does:**
Actively monitors your open positions with automatic calculations, visual trade lines, and intelligent trailing stop management.
**Key Features:**
- **Position Monitoring**: Tracks entry price, stop loss, take profit for active trades
- **Live P&L Calculation**: Real-time profit/loss in percentage and dollars
- **R:R Ratio Tracking**: Shows current risk/reward ratio as position develops
- **Time in Trade**: Counts bars since entry
- **Automatic Trailing Stop**: Activates at customizable R:R threshold (default 1.5:1)
- **Visual Trade Lines**: Entry (yellow), Stop (red), Target (green) drawn on chart
- **Entry Label**: "ENTRY" marker at entry price for clear reference
- **Dashboard Integration**: Active trade stats shown in HUD
- **Auto Exit Detection**: Automatically detects when stop or target hit
**How It Works:**
- **Entry**: When entry signal triggers, captures current price as entry, calculates stop (1.5x ATR below/above) and target (R:R ratio * stop distance)
- **Monitoring**: Each bar checks if stop or target hit, updates P&L
- **Trailing Stop**: Once R:R ratio hits activation threshold, stop moves to lock in profits (ATR-based trailing)
- **Exit**: Trade closes when stop or target touched, stats added to performance tracker
**Trailing Stop Logic:**
- Bullish trade: Stop = close - ATR, only moves up (never down)
- Bearish trade: Stop = close + ATR, only moves down (never up)
- Updates every bar while R:R > activation threshold
**Why It Matters:**
Most traders enter a trade, then forget to manage it properly. They hold losers too long and exit winners too early. This module enforces disciplined trade management automatically.
**Usage Example:**
- Enter long at 100, stop at 95, target at 115 (3:1 R:R)
- Price moves to 107.50 → Current R:R = 1.5:1 → Trailing stop activates
- Stop moves to 102.50 (locking in 2.50 profit)
- Price hits 115 → Trade exits at target → +15% captured
**Dashboard Displays:**
- P&L: +2.45% (real-time)
- R:R: 1.83:1 (current ratio)
- BARS: 23 (time in position)
---
### **MODULE 7: Performance Analytics 📊**
**What It Does:**
Tracks all completed trades during the trading day, calculating key performance metrics to help you improve systematically.
**Key Features:**
- **Daily Trade Counter**: Total number of trades taken today
- **Win Rate Calculation**: Percentage of winning trades
- **Total P&L Tracking**: Sum of all profits and losses in dollars
- **Automatic Reset**: Resets at midnight for fresh daily tracking
- **Dashboard Display**: Shows all stats in HUD for constant visibility
- **Color-Coded Metrics**: Win rate shown in green (>60%), yellow (40-60%), red (<40%)
**How It Works:**
- Monitors trade tracker module for trade completions
- When trade exits (stop or target hit), records outcome
- Calculates P&L based on account size, risk %, and price movement
- Adds to running totals for trades, wins, losses, and P&L
- Resets all counters at day change (dayofmonth change detection)
**Metrics Explained:**
- **TRADES**: How many positions you opened today
- **WIN RATE**: (Wins / Total Trades) * 100
- **TOTAL P&L**: Sum of all trade outcomes in account currency
**Why It Matters:**
You can't improve what you don't measure. This module provides immediate feedback on your trading performance, helping you identify patterns, strengths, and weaknesses.
**Usage Example:**
- After 10 trades: 7 wins, 3 losses = 70% win rate ✓
- Total P&L: +$450 = Profitable day ✓
- Next day starts fresh at 0 trades, ready for new session
**Performance Targets:**
- Win Rate >60% = Excellent consistency
- Win Rate 50-60% = Good if R:R ratio >2:1
- Win Rate <40% = Review strategy, reduce trade frequency
---
## 🎨 VISUAL FEATURES
### **Professional HUD Dashboard**
- **Position**: Choose from 4 corners (Top Right, Top Left, Bottom Right, Bottom Left)
- **Size**: 4 sizes (Tiny, Small, Normal, Large) for any screen
- **Modular Display**: Each module can be toggled on/off independently
- **Collapsible Sections**: Organized with clear separators
- **Color-Coded Data**: Instant visual interpretation (green=bullish, red=bearish, yellow=caution)
- **Real-Time Updates**: All metrics update every bar
### **MTF Side Panel**
- **Compact Design**: Minimal screen real estate
- **Traffic Light System**: 🟢 bullish / 🔴 bearish for each timeframe
- **Quick Glance**: Instant confluence assessment
- **Confluence Score**: Large display at bottom showing alignment percentage
### **Chart Annotations**
- **Demand/Supply Zones**: Persistent boxes with custom colors
- **Liquidity Levels**: Dotted lines showing stop-hunt zones
- **Entry Signals**: Large, clear labels with probability scores
- **Trade Management Lines**: Entry, stop, target clearly marked
- **EMA Lines**: 4 customizable moving averages
### **Background Regime Coloring**
- Optional regime-based background tinting
- Subtle transparency (98%) for minimal distraction
- Green tint = Bullish regime
- Red tint = Bearish regime
- Yellow tint = Ranging regime
---
## ⚙️ CUSTOMIZATION OPTIONS
### **Module Toggles (Enable/Disable Individually):**
- ✅ Market Regime Detector
- ✅ Multi-Timeframe Scanner
- ✅ Intelligent Entry Zones
- ✅ Session Tracker
- ✅ Order Flow & Liquidity
- ✅ Trade Manager
- ✅ Performance Tracker
- ✅ Main HUD Dashboard
### **Color Customization (Full Control):**
**Zone Colors:**
- Demand Zone: Border, Background, Text (independent)
- Supply Zone: Border, Background, Text (independent)
**Signal Colors:**
- Buy Signal label color
- Sell Signal label color
**Trade Line Colors:**
- Entry line color (default: yellow)
- Stop loss line color (default: red)
- Take profit line color (default: green)
**EMA Colors:**
- EMA 8, 21, 50, 200 (each customizable)
**Liquidity Colors:**
- Liquidity highs (resistance)
- Liquidity lows (support)
### **Strategy Settings:**
- **Risk Per Trade**: 0.1% to 5.0% (default: 1.0%)
- **Account Size**: Any amount in dollars (for P&L calculation)
- **Minimum Confluence**: 50% to 90% (default: 60%)
- **Minimum R:R Ratio**: 1.0 to 5.0 (default: 2.0)
- **Aggressive Mode**: Enable for more signals at 60% threshold vs. 70%
### **Trade Management:**
- **Trailing Stop**: Enable/disable
- **Trail Activation**: 1.0 to 3.0 R:R (when trailing begins)
### **Display Settings:**
- **HUD Position**: 4 corners
- **HUD Size**: Tiny, Small, Normal, Large
- **Theme**: Dark, Light, Matrix, Professional
- **Regime Background**: Enable/disable color tinting
---
## 📚 HOW TO USE - COMPLETE GUIDE
### **Step 1: Installation & Setup**
1. Add indicator to chart
2. Open settings (gear icon)
3. Choose your preferred theme (Dark/Light/Matrix/Professional)
4. Set HUD position and size for your screen
5. Enable/disable modules based on your needs
6. Customize colors if desired
### **Step 2: Understanding the Dashboard**
**Market Regime Section:**
- STATUS: Current trend classification
- STRENGTH: 0-100% (>70% = strong trend, <40% = weak/ranging)
- PHASE: Wyckoff cycle position
- VOLATILITY: Current volatility regime
**Session Section:**
- ACTIVE: Current trading session
- OPTIMAL: Whether now is a good time to trade
**Confluence Section:**
- SCORE: 0-100% timeframe alignment (>65% bullish, <35% bearish)
- HTF BIAS: Overall direction from 4H + Daily
**Order Flow Section:**
- DELTA: Positive = buying pressure, Negative = selling pressure
- VOLUME: High/Normal/Low relative to average
**Active Trade Section:**
- P&L: Current profit/loss percentage
- R:R: Current risk/reward ratio
- STATUS: Active or no position
**Performance Section:**
- TRADES: Count of completed trades today
- WIN RATE: Winning percentage
- TOTAL P&L: Dollar profit/loss for the day
### **Step 3: Reading the MTF Panel**
- **All Green (🟢)**: Strong bullish alignment, favor longs
- **All Red (🔴)**: Strong bearish alignment, favor shorts
- **Mixed**: Conflicted timeframes, wait or reduce position size
- **Bottom Number**: Overall confluence score
### **Step 4: Identifying Entry Opportunities**
**Perfect Long Setup:**
1. Regime: Uptrend or Strong Uptrend (Dashboard)
2. MTF Confluence: >65% (green)
3. Session: London/NY (optimal)
4. Price: Testing demand zone (green box on chart)
5. Signal: 🚀 BUY label appears with 70%+ score
6. Order Flow: Delta positive, bid pressure
7. Volume: High or normal (not low)
**Perfect Short Setup:**
1. Regime: Downtrend or Strong Downtrend
2. MTF Confluence: <35% (red)
3. Session: London/NY (optimal)
4. Price: Testing supply zone (red box on chart)
5. Signal: ⚠️ SELL label appears with 70%+ score
6. Order Flow: Delta negative, ask pressure
7. Volume: High or normal (not low)
### **Step 5: Trade Entry & Management**
1. **Signal Appears**: 🚀 BUY or ⚠️ SELL label
2. **Check Quality**: Tooltip shows confluence %, R:R, stop, target
3. **Verify Context**: Check dashboard (regime, session, order flow)
4. **Enter Trade**: Use the exact stop and target shown
5. **Monitor**: Watch HUD "ACTIVE TRADE" section for live P&L and R:R
6. **Trailing Stop**: Automatically activates at 1.5:1 R:R (if enabled)
7. **Exit**: Automatically detected when stop or target hit
### **Step 6: Performance Review**
- Check "TODAY'S STATS" section at end of day
- Win rate >60% = Excellent
- Win rate 50-60% = Good if R:R maintained
- Win rate <40% = Review setups, maybe too aggressive
---
## 🎯 TRADING STRATEGIES
### **Strategy 1: High-Confluence Trend Following**
**Best For**: Day traders, swing traders
**Setup Requirements**:
- Trend Strength >60%
- Confluence Score >70%
- Entry signal appears
- Optimal trading session
**Execution**:
1. Wait for signal at demand/supply zone
2. Enter immediately
3. Use provided stop loss
4. First target: Shown target price
5. Second target (optional): Trail stop until opposite signal
**Expected Win Rate**: 65-75%
**Expected R:R**: 2:1 to 3:1
### **Strategy 2: Order Flow Scalping**
**Best For**: Active scalpers
**Setup Requirements**:
- Any trend direction
- Strong delta movement (>1000 volume)
- Institutional footprint detected
- Liquidity pool test
**Execution**:
1. Wait for price to reach liquidity level
2. Watch for institutional buy/sell alert
3. Enter in direction of delta + institutional flow
4. Tight stop (ATR-based)
5. Quick target (1:1 to 1.5:1 R:R)
**Expected Win Rate**: 55-65%
**Expected R:R**: 1:1 to 1.5:1
### **Strategy 3: MTF Confluence Swing Trading**
**Best For**: Part-time traders, lower timeframes
**Setup Requirements**:
- Confluence Score >80%
- All higher timeframes aligned (4H, D)
- Entry signal on lower timeframe (5m, 15m)
- High-quality score (>75%)
**Execution**:
1. Identify HTF bias (bullish/bearish)
2. Wait for pullback on LTF to demand/supply zone
3. Enter only when all timeframes re-align
4. Wide stop (2x ATR)
5. Hold for target or opposite MTF alignment
**Expected Win Rate**: 70-80%
**Expected R:R**: 3:1 to 5:1
### **Strategy 4: Session Breakout Trading**
**Best For**: Traders available at session opens
**Setup Requirements**:
- London or NY session open
- Ranging price action pre-session
- Volatility increasing
- Clear support/resistance levels
**Execution**:
1. Identify pre-session range
2. Wait for session open (check SESSION indicator)
3. Enter on breakout with volume confirmation
4. Stop below/above range
5. Target: 2x range height
**Expected Win Rate**: 50-60%
**Expected R:R**: 2:1 to 3:1
---
## ⚠️ RISK MANAGEMENT RULES
### **Position Sizing**
- Set "Account Size" in settings accurately
- Set "Risk Per Trade %" to 1-2% maximum
- Never risk more than you can afford to lose
- System calculates P&L based on these settings
### **Stop Loss Discipline**
- Always use the stop loss shown in signal tooltip
- Never move stop loss further from entry (against you)
- Allow trailing stop to work (don't override it)
- If stop hit, exit immediately—no "holding and hoping"
### **Take Profit Strategy**
- **Conservative**: Exit 50% at target, trail remaining 50%
- **Balanced**: Exit 100% at target shown
- **Aggressive**: Trail entire position for larger gains
### **Trade Frequency**
- Quality over quantity
- In ranging markets (Strength <40%), reduce frequency
- During off-hours, avoid trading
- Maximum 5-10 trades per day to avoid overtrading
### **Confluence Requirements**
- Minimum 60% confluence score (adjustable)
- In volatile markets, increase to 70%+
- Never trade against all higher timeframes (score <35% for longs)
---
## 💡 PRO TIPS & BEST PRACTICES
### **For Beginners:**
1. Start with default settings
2. Paper trade for 2 weeks before risking capital
3. Only take 80%+ quality signals initially
4. Focus on one strategy at a time
5. Review daily stats to track improvement
### **For Intermediate Traders:**
1. Customize confluence threshold based on your win rate
2. Experiment with aggressive mode on lower timeframes
3. Use multiple timeframes (trade 5m, check 15m/1H)
4. Note which session works best for your strategy
5. Track performance by setup type
### **For Advanced Traders:**
1. Customize all colors for your workflow
2. Adjust R:R ratio based on volatility regime
3. Combine with your existing volume profile tools
4. Use as confirmation for your existing strategy
5. Create multiple chart layouts for different approaches
### **Universal Best Practices:**
1. **Never fight the regime**: If trending, don't mean-revert; if ranging, don't trend-follow
2. **Respect higher timeframes**: Don't short when Daily + 4H are bullish
3. **Volume confirms everything**: Low volume moves are unreliable
4. **Sessions matter**: 70% of volume is London + NY
5. **Quality over quantity**: One 80% setup > Three 60% setups
6. **Track your stats**: Use performance module daily
7. **Adapt to conditions**: What works in trending markets fails in ranging markets
---
## 🔧 TECHNICAL SPECIFICATIONS
### **Indicator Type**: Overlay
### **Pine Script Version**: v5
### **Performance Optimized**:
- Maximum 500 lines (for zones and liquidity)
- Maximum 500 labels (for signals)
- Maximum 50 boxes (for demand/supply zones)
- Efficient calculations to prevent lag
### **Data Requirements**:
- Volume data required (for order flow)
- Works on all timeframes (1m to Monthly)
- Best on: 1m, 5m, 15m, 1H (intraday trading)
- Higher timeframe data requested automatically
### **Calculation Methods**:
- EMA: Exponential moving average
- ATR: Average True Range (14 periods)
- RSI: Relative Strength Index (14 periods)
- MACD: Moving Average Convergence Divergence (12, 26, 9)
- Pivot Points: 5-bar swing detection
- Delta: Cumulative buy/sell volume difference
- Confluence: Percentage of aligned timeframes
### **Repainting**:
- **NO repainting on signals** - once a zone or signal appears, it stays
- **NO repainting on zones** - demand/supply zones are locked at creation
- **HUD metrics update live** - this is expected and not repainting
- **MTF data** - uses lookahead to prevent repainting on higher timeframes
---
## 📊 RECOMMENDED SETTINGS BY STYLE
### **Scalper (1m - 5m charts)**
- Aggressive Mode: ON
- Min Confluence: 50%
- Min R:R: 1.5:1
- Trailing Stop: OFF (quick exits)
- Risk Per Trade: 0.5-1%
### **Day Trader (5m - 15m charts)**
- Aggressive Mode: OFF
- Min Confluence: 60%
- Min R:R: 2:1
- Trailing Stop: ON (1.5 R:R activation)
- Risk Per Trade: 1-2%
### **Swing Trader (1H - 4H charts)**
- Aggressive Mode: OFF
- Min Confluence: 70%
- Min R:R: 3:1
- Trailing Stop: ON (2.0 R:R activation)
- Risk Per Trade: 1-2%
### **Position Trader (Daily+ charts)**
- Aggressive Mode: OFF
- Min Confluence: 80%
- Min R:R: 4:1
- Trailing Stop: ON (2.5 R:R activation)
- Risk Per Trade: 0.5-1%
---
## 🎓 LEARNING RESOURCES
### **Understanding the Dashboard**
Each metric serves a purpose:
- **Regime Status**: Tells you WHAT market you're in
- **Trend Strength**: Tells you HOW strong the trend is
- **Market Phase**: Tells you WHERE in the cycle you are
- **Session**: Tells you WHEN to trade
- **Confluence**: Tells you IF timeframes agree
- **Order Flow**: Tells you WHO is in control (buyers/sellers)
- **Active Trade**: Tells you HOW your trade is performing
- **Performance**: Tells you WHETHER you're improving
### **Reading Entry Signals**
🚀 **BUY 85%** means:
- Setup Quality Score: 85 out of 100
- Trend: ✓ Bullish and trending
- MTF: ✓ Confluent (>60% of timeframes bullish)
- Momentum: ✓ RSI + MACD confirming
- Volume: ✓ Adequate volume
- Order Flow: ✓ Delta + bid pressure
### **Confluence Interpretation**
- **85-100%**: Very strong alignment, highest probability
- **65-84%**: Good alignment, tradeable
- **50-64%**: Moderate alignment, lower confidence
- **35-49%**: Weak alignment, avoid or wait
- **0-34%**: Strong opposite alignment (bearish if looking for longs)
---
## ❓ FREQUENTLY ASKED QUESTIONS
### **Q: Does this indicator repaint?**
A: No. Once a demand/supply zone is created or a signal appears, it stays. The only thing that updates live is the HUD metrics (P&L, confluence score, etc.), which is expected behavior, not repainting.
### **Q: What markets does this work on?**
A: Any market with volume data: Stocks, Forex, Crypto, Futures, Indices. It's timeframe-agnostic and works from 1-minute to monthly charts.
### **Q: Can I use this for automated trading?**
A: The indicator provides signals and alerts, but you need to execute trades manually. It's designed as a decision support system, not an automated trading bot.
### **Q: How accurate are the predictions?**
A: This is not a "prediction" indicator—it's a probability-based analysis system. Win rates depend on your discipline and market conditions. Expect 60-70% win rates with proper risk management.
### **Q: Do I need other indicators?**
A: No. This is a complete system. Adding more indicators creates clutter and analysis paralysis. However, you can use it to confirm your existing strategy.
### **Q: Why don't I see any signals?**
A: Signals only appear when quality score exceeds threshold (60% aggressive, 70% normal) AND price is testing a demand/supply zone. If market conditions don't meet criteria, no signals appear (which is good—quality over quantity).
### **Q: Can I customize the colors?**
A: Yes! Every color is customizable: zones, signals, trade lines, EMAs, liquidity levels. There are 4 preset themes plus full manual color control.
### **Q: What's the best timeframe?**
A: Depends on your style:
- Scalpers: 1m, 5m
- Day traders: 5m, 15m
- Swing traders: 1H, 4H
- Position traders: Daily, Weekly
### **Q: How much capital do I need?**
A: Set "Account Size" to your actual trading capital. The system calculates P&L based on this. Minimum recommended: $500 for stocks, $100 for crypto, $1000 for forex.
### **Q: Do alerts work?**
A: Yes! 7 alert types available:
- 🚨 Critical Buy (80%+ quality)
- 🚨 Critical Sell (80%+ quality)
- ⚡ High Buy (70%+ quality)
- ⚡ High Sell (70%+ quality)
- 🎯 2:1 R:R Achieved
- 🐋 Whale Buy (institutional)
- 🐋 Whale Sell (institutional)
### **Q: Can I hide modules I don't use?**
A: Absolutely! Every module can be toggled on/off in settings. Customize your HUD to show only what you need.
---
## ⚠️ IMPORTANT DISCLAIMERS
### **No Guarantee of Profits**
This indicator is a tool, not a guarantee. Markets are unpredictable. Past performance does not indicate future results. You can lose money trading.
### **Risk Warning**
Trading involves substantial risk of loss. Only trade with capital you can afford to lose. This indicator does not constitute financial advice.
### **Backtesting Recommended**
Always backtest settings on your specific market and timeframe before live trading. Paper trade for at least 2 weeks to understand the system.
### **Not Financial Advice**
This indicator is for educational and informational purposes only. Consult a licensed financial advisor before making trading decisions.
### **No Magic Formula**
There is no "holy grail" in trading. Success requires discipline, risk management, emotional control, and continuous learning. This tool helps with analysis, but you must execute properly.
### **Market Conditions Vary**
What works in trending markets may fail in ranging markets. What works during high volatility may fail during low volatility. Always consider market context.
---
## 📈 VERSION HISTORY
**v1.5 - Current Version**
- ✅ Full color customization for all elements
- ✅ 7 complete analysis modules
- ✅ Live trade tracking with P&L
- ✅ Performance analytics
- ✅ 7 smart alert conditions
- ✅ 4 preset themes
- ✅ No syntax errors, production-ready
**Planned Updates (v2.0)**
- Volume Profile heatmap
- AI pattern recognition (50+ patterns)
- Multi-symbol scanner
- Trade journal integration
- News calendar integration
- Advanced statistics (Sharpe ratio, max drawdown)
---
## 🙏 SUPPORT & FEEDBACK
If you find this indicator valuable:
- 👍 **Boost it** to help others discover it
- 💬 **Leave a comment** with your feedback
- ⭐ **Rate it** honestly
- 📧 **Report bugs** so we can fix them
- 💡 **Suggest features** for future updates
Your feedback helps make this tool better for the entire community.
---
## 📄 LICENSE & TERMS
**License**: Open source for personal use
**Modification**: Allowed for personal use
**Redistribution**: Allowed with credit to original author
**Commercial Use**: Contact author for permission
---
## 🔗 LINKS & RESOURCES
**Documentation**:
**Tutorial Video**:
**Community**:
**Support**:
---
## 🏆 PERFECT FOR:
✅ Day traders seeking comprehensive analysis
✅ Scalpers needing fast, reliable signals
✅ Swing traders wanting multi-timeframe confirmation
✅ Order flow traders moving from Level 2 platforms
✅ Traders who want institutional-grade tools
✅ Anyone tired of using 10 different indicators
✅ Data-driven traders who track performance
✅ Traders seeking automated trade management
✅ Beginners who need structured guidance
✅ Professionals who demand precision
---
**Transform your TradingView chart into a professional trading command center. Download Market Intelligence Hub Pro™ today and experience the difference institutional-grade analysis makes.**
**Happy Trading! 📈💰**
---
*Version: 1.5 | Last Updated: January 2026 | Pine Script v5*
*Indicator Type: Overlay | Repainting: No | Data Required: Volume*
*Best Timeframes: 1m, 5m, 15m, 1H | Markets: All (Stocks, Forex, Crypto, Futures)*
FVG (stormbey)
📊 Overview
This indicator automatically detects and displays Fair Value Gaps (FVG) across multiple timeframes simultaneously on a single chart. FVGs are imbalances in price action that often act as support/resistance zones where price tends to return.
🎯 Key Features
• Multi-Timeframe Analysis: Monitor up to 5 different timeframes at once (Chart, 15m, 1H, 4H, Daily)
• Smart Timeframe Filtering: Automatically hides FVGs from lower timeframes than your current chart (e.g., on Daily chart, only Daily FVGs are shown)
• Inverse FVG Detection (iFVG): Optionally display inverse FVGs when original gaps are filled
• Customizable Labels: Labels displayed inside boxes showing timeframe origin
• Auto-Delete on Fill: Boxes automatically removed when price fills the gap
• Flexible Fill Detection: Choose between Close or Wick-based fill detection
⚙️ Settings
TIMEFRAMES
- Enable/disable each of the 5 timeframes independently
- Default: Chart, 15m, 1H, 4H, Daily
FVG SETTINGS
- Wait for candle close to identify FVGs
- Hide FVGs lower than current chart timeframe
- Show/Hide regular FVG and inverse FVG (iFVG)
- Filled FVG Type: Close, Wick, or None
- Max bars back to search for FVGs
LABEL SETTINGS
- Show/Hide labels
- Customize label text for each timeframe
- Label distance adjustment for extended boxes
BOX SETTINGS
- Delete boxes after fill
- Extend boxes to current bar
- Adjustable box length
- Separate colors for Bullish/Bearish FVG and iFVG
BORDER SETTINGS
- Border style: Solid, Dashed, Dotted, None
- Border width customization
- Separate border colors for FVG and iFVG
📈 How to Use
1. Add the indicator to your chart
2. Enable the timeframes you want to monitor
3. FVG boxes will automatically appear showing imbalances
4. Green boxes = Bullish FVG (potential support)
5. Red boxes = Bearish FVG (potential resistance)
6. Use these zones for potential entry/exit points
💡 Trading Tips
- Higher timeframe FVGs are generally more significant
- FVGs often get "filled" before price continues in the original direction
- Combine with other confluence factors (S/R levels, order blocks, trend)
- Use iFVG feature to spot when gaps flip from support to resistance (or vice versa)
⚠️ Disclaimer
This indicator is for educational purposes only. Always do your own research and use proper risk management. Past performance does not guarantee future results.
---
If you find this indicator helpful, please leave a like and follow for more trading tools!
Madman's ADX with Filter LevelsMadMan's Custom ADX Filter Indicator — Trade Permission System
This indicator is a trend-quality and risk-permission filter built on a modified ADX with volatility and momentum conditions applied. It is not a signal generator. Its sole purpose is position sizing and trade permission.
How to use it
🔴 Red background — NO TRADE
Trend strength and/or market conditions are invalid.
Expect chop, false breakouts, or liquidity traps.
Stand aside regardless of other signals.
🟡 Yellow background — REDUCED SIZE
Trend strength is emerging but not fully confirmed.
Acceptable for probe entries or scaled positions.
Increased risk of failed continuation.
🟢 Green background — FULL POSITION
Strong, confirmed trend conditions.
Volatility and momentum are aligned.
Optimal environment for execution and follow-through.
Design intent
Filters out low-quality ADX expansion.
Prevents over-trading in sideways or manipulated conditions.
Acts as a risk governor for discretionary or automated strategies.
Can be layered with any entry system (price action, structure, Wyckoff, EMA, VWAP, etc.).
Rule summary
Red = stand down
Yellow = test size only
Green = deploy full risk
Trade TrackerThis indicator is a lightweight trade P/L monitor that takes a manual entry price, direction (long/short), position size, and a configurable dollar value per point/tick.
It computes real-time profit/loss by comparing the current close to the entry price, converting the move into points and then dollars based on your size and tick value.
On the last bar, it draws an entry line at the specified price and renders a stacked label at that level showing Buy/Sell, size, dollar P/L (green/red), and the point P/L.
It continuously deletes and redraws the line/labels to keep the chart clean, and it also plots the entry price so the value is visible in the data window and price scale.
Z-Score STDEMA BandsZ-Score STDEMA Bands is a mean-reversion and regime-strength indicator built on normalized price deviation.
The indicator converts price into a Z-Score, measuring how many standard deviations the current price is from its moving average over a configurable lookback. This makes signals comparable across assets and timeframes.
On top of the Z-Score, the script applies an EMA of the Z-Score and dynamically builds upper and lower STDEMA bands using the rolling standard deviation of the Z-Score itself. These bands adapt to volatility in deviation, not price.
How to read it:
Z-Score (orange line): Distance from mean in standard deviations.
Horizontal levels (±1, ±2, ±3): Statistical extremes and mean-reversion zones.
Green/Red bands: EMA-based dynamic deviation envelopes.
Blue bars: Strong positive deviation (bullish expansion beyond statistical expectation).
Yellow bars: Strong negative deviation (bearish expansion beyond statistical expectation).
Use cases:
Identify overextended price conditions in a normalized framework.
Detect trend strength vs. mean-reversion (expansion outside bands).
Filter trades by statistical significance, not raw price movement.
AI-Enhanced MSS HunterAI-Enhanced MSS Hunter
This indicator is a hybrid trading system that merges Mechanical Price Action (ICT Concepts) with Statistical Machine Learning (K-Nearest Neighbors). It is designed to assist traders in identifying high-probability reversals after liquidity sweeps, as well as trend-continuation entries during specific "Kill Zone" sessions.
How It Works
The script operates on a strict 3-step validation process to filter out false signals during choppy market conditions.
1. Liquidity Sweep (The Trigger) The system automatically plots the Previous Day High (PDH) and Previous Day Low (PDL).
The logic begins only when price "sweeps" (breaks) one of these key levels.
State Persistence: Once a level is swept, the system remembers this event for the remainder of the session (or until a signal fires), waiting for the market to reverse.
2. Market Structure Shift (The Setup) After a sweep, the indicator hunts for a Market Structure Shift (MSS).
It tracks dynamic Swing Highs and Swing Lows.
A signal is prepared only if price breaks a recent structural swing point in the opposite direction of the sweep (e.g., Sweep PDL -> Break Swing High).
3. AI / Machine Learning Filter (The Confirmation) To reduce false positives, the signal must be confirmed by a K-Nearest Neighbors (KNN) algorithm.
The Logic: The script analyzes the current values of RSI (14), CCI (14), and ROC (10).
The Comparison: It looks back at the last ~1,000 bars of history to find similar market conditions (neighbors).
The Prediction: If the majority of those historical "neighbors" resulted in a favorable move, the AI confirms the trade. If historical data suggests chop or reversal, the signal is blocked.
Key Features
🎯 Primary Reversal Signals (Circles)
Green Circle: Price swept PDL + Bullish MSS + AI Confirmation.
Red Circle: Price swept PDH + Bearish MSS + AI Confirmation.
♻️ Golden Zone Re-Entries (Triangles) Once a Primary Signal is active, the script tracks the new trend leg.
It automatically draws a dynamic Golden Zone (0.5 – 0.618 Fibonacci Retracement).
If price pulls back into this zone and forms a new MSS, a Re-Entry Triangle is plotted.
Invalidation: If the pullback breaks the original setup's low/high, the zone is removed to prevent bad trades.
⏰ Kill Zone Time Filters Signals are filtered by time to ensure you are trading during high-volume sessions.
Default AM Session: 08:30 – 10:00 (New York Time)
Default PM Session: 14:00 – 15:00 (New York Time)
Fully customizable in settings.
Settings Guide
Key Levels: Toggle PDH/PDL lines and customize colors.
Kill Zones: Enable/Disable time filtering and highlight background colors.
AI Settings:
K-Nearest Neighbors (k): Number of historical neighbors to compare (Default: 5).
Training Window: How far back the AI looks for patterns (Default: 1000 bars).
Visuals: Turn on/off the Golden Zone fib clouds or text labels.
Disclaimer
This tool is for educational purposes only. The "AI" component is a statistical classification algorithm based on historical momentum and does not guarantee future results. Always manage risk and use this indicator as part of a comprehensive trading plan.
Level 2 Order Flow Oracle# 🔮 Level 2 Order Flow Oracle™
## Overview
The Level 2 Order Flow Oracle is an institutional-grade predictive indicator that analyzes market microstructure, order flow dynamics, and institutional footprints to generate high-probability trading signals. Unlike traditional indicators that only show historical data, this system predicts future price movements with confidence-scored projections and locks predictions to prevent whipsaw signals.
## 🎯 Core Features
### 1. **Advanced Order Flow Analysis**
- **Delta Tracking**: Real-time cumulative buy vs. sell volume
- **Aggressive Order Detection**: Identifies large absorption zones via wick analysis
- **Delta Divergence**: Detects when buying/selling pressure diverges from price action
- **Bidirectional Flow Measurement**: Tracks momentum shifts in real-time
### 2. **Bid/Ask Imbalance Detection**
- **Close Position Analysis**: Proxy for Level 2 bid/ask pressure
- **Imbalance Scoring**: EMA-smoothed pressure indicators
- **Strong Imbalance Alerts**: Triggered on high-volume confirmations
- **Market Depth Simulation**: Replicates order book behavior
### 3. **Volume Profile (VPOC)**
- **Automatic VPOC Calculation**: Finds price levels with highest volume concentration
- **Price Magnetism**: Identifies levels where price gravitates
- **Distance Tracking**: Shows percentage distance from key volume nodes
- **Support/Resistance Zones**: Volume-based S/R levels
### 4. **Institutional Footprint Detection**
- **Whale Detection**: Identifies 3x+ average volume with directional bias
- **Iceberg Order Recognition**: Detects hidden institutional orders
- **Absorption Analysis**: High volume + low price movement = big players
- **Smart Money Divergence**: Distribution/accumulation detection
### 5. **Order Block Tracking**
- **Bullish Order Blocks**: Marks institutional support zones
- **Bearish Order Blocks**: Identifies institutional resistance levels
- **Order Block Tests**: Alerts when price retests these critical levels
- **Visual Markers**: Dotted lines showing active order blocks
### 6. **Prediction Lock Mechanism**
- **Stable Predictions**: Locks signals for 10 bars (configurable) to prevent flip-flopping
- **Confidence-Based**: Only updates on 15%+ confidence improvement
- **Countdown Timer**: Shows bars remaining on current prediction
- **Risk/Reward Filter**: Only displays signals with 2:1+ R:R ratio
### 7. **Multi-Factor Scoring System (0-100%)**
Combines 8 analysis layers with weighted scoring:
- **Trend Analysis (20%)**: Multi-timeframe EMA alignment
- **Order Flow (25%)**: Delta, aggressive orders, cumulative flow
- **Bid/Ask Imbalance (15%)**: Level 2 pressure indicators
- **Institutional Activity (20%)**: Whale detection, iceberg orders
- **Volume Profile (10%)**: VPOC positioning
- **Absorption (10%)**: Order absorption events
- **Pattern Recognition (10%)**: Exhaustion, continuation, reversal patterns
- **Momentum (10%)**: RSI, MACD, Money Flow Index
### 8. **Compact Dashboard**
Minimal screen space with maximum information:
- Signal direction (BULL/BEAR/WAIT)
- Confidence percentage
- Lock countdown timer
- Target & Stop prices
- Risk/Reward ratio
- Delta (order flow balance)
- Bid/Ask imbalance status
- Institutional activity alerts
- Absorption detection
- VPOC distance
- Order block tests
- Volume status
- RSI & MFI values
## 📊 How It Works
### Signal Generation Process:
1. **Data Collection**: Analyzes price, volume, and order flow across 8 dimensions
2. **Scoring**: Each factor contributes to bullish/bearish score (0-100)
3. **Confidence Calculation**: Normalizes scores to probability percentage
4. **Lock Mechanism**: Prediction locks when confidence threshold met
5. **Risk Validation**: Ensures minimum 2:1 Risk/Reward ratio
6. **Signal Display**: Shows entry with confidence % and R:R ratio
### Prediction Lock Logic:
- Predictions lock for specified period (default: 10 bars)
- Only updates if new signal has 15%+ higher confidence
- Prevents signal flip-flopping in choppy conditions
- Countdown shows bars remaining on current prediction
## 🎓 How to Use
### **Best Timeframes:**
- **1-minute**: For scalping with 10-minute predictions
- **5-minute**: For day trading with 50-minute predictions
- **15-minute**: For swing entries with 2.5-hour predictions
### **Entry Rules:**
✅ Wait for 🚀 **STRONG BUY** or ⚠️ **STRONG SELL** signal
✅ Check CONF is 65%+ (higher = better)
✅ Verify R:R ratio is 2:1 or better
✅ Confirm with dashboard metrics:
- DELTA should align with signal direction
- INSTIT showing whale activity in same direction
- VOL should be ↑ or 🔥 (not ❄️ LOW)
- RSI not in extreme overbought/oversold
✅ Enter immediately after signal appears
### **Exit Rules:**
✅ **Take Profit**: At TARGET price shown in dashboard
✅ **Stop Loss**: At STOP price (typically 1x ATR)
✅ **Early Exit**: If opposite signal appears
✅ **Confidence Drop**: If CONF falls below 60% mid-trade
### **Dashboard Interpretation:**
| Metric | Meaning |
|--------|---------|
| **SIGNAL** | Current prediction: 📈 BULL / 📉 BEAR / ⏸ WAIT |
| **CONF** | Prediction confidence (aim for 70%+) |
| **LOCK** | Bars remaining before prediction can change |
| **TARGET** | Take profit price level |
| **STOP** | Stop loss price level |
| **R:R** | Risk/Reward ratio (minimum 2:1) |
| **DELTA** | Order flow balance (+ = buying, - = selling) |
| **IMBALNC** | 🔵 BID = strong buying / 🔴 ASK = strong selling |
| **INSTIT** | 🐋 BUY/SELL = institutional orders detected |
| **ABSORB** | ✓ = Large orders being absorbed |
| **VPOC** | Distance from high-volume price magnet |
| **OB TEST** | Testing bullish/bearish order block |
| **VOL** | 🔥 High / ↑ Above avg / ━ Normal / ↓ Low |
| **RSI** | Momentum (>70 overbought / <30 oversold) |
| **MFI** | Money flow (>70 distribution / <30 accumulation) |
### **Signal Strength Levels:**
**🚀 STRONG BUY** (Green label):
- 5+ confirmations aligned
- High confidence (65%+)
- Volume confirmation
- R:R ratio met
- Best entries!
**⚠️ STRONG SELL** (Red label):
- 5+ confirmations aligned
- High confidence (65%+)
- Volume confirmation
- R:R ratio met
- Best entries!
## ⚙️ Settings
### **Prediction Engine:**
- **Prediction Horizon**: Number of bars to predict (5-20, default: 10)
- **Min Confidence %**: Threshold for signal generation (50-90%, default: 65%)
- **Lock Period**: Bars to lock prediction (5-20, default: 10)
### **Level 2 Analysis:**
- **Order Flow Analysis**: Enable/disable delta tracking
- **Volume Profile (VPOC)**: Enable/disable VPOC calculation
- **Institutional Footprints**: Enable/disable whale detection
- **Order Absorption Detection**: Enable/disable absorption analysis
- **Bid/Ask Imbalance**: Enable/disable imbalance tracking
### **Display:**
- **Dashboard**: Show/hide metrics panel
- **Order Blocks**: Show/hide order block lines
- **Signals**: Show/hide buy/sell labels
- **Font Size**: tiny / small / normal (affects dashboard only)
## 🎯 Best Practices
### **DO:**
✅ Use on liquid markets (stocks, forex, crypto with good volume)
✅ Trade only when confidence >70% for better win rate
✅ Respect the stop loss (typically 1x ATR)
✅ Check multiple dashboard metrics before entry
✅ Use during active market hours (avoid low volume periods)
✅ Wait for prediction to lock before entering
✅ Combine with support/resistance analysis
### **DON'T:**
❌ Trade during sideways/choppy markets
❌ Ignore the risk/reward ratio (never <2:1)
❌ Enter when VOL is ❄️ LOW
❌ Override the stop loss
❌ Trade against strong INSTIT signals
❌ Enter when LOCK is about to expire (wait for new signal)
❌ Use on extremely low timeframes (<1 min) or high timeframes (>1D)
## 📈 Strategy Examples
### **Scalping Strategy (1-min chart):**
1. Wait for 🚀 signal with 70%+ confidence
2. Enter immediately
3. Exit at TARGET or within 10 bars
4. Use tight stops (1x ATR)
### **Day Trading Strategy (5-15 min chart):**
1. Wait for 🚀 signal with 65%+ confidence
2. Confirm with DELTA + INSTIT alignment
3. Enter on confirmation
4. Hold to TARGET or opposite signal
5. Trail stop after 1:1 R:R achieved
### **Swing Trading Strategy (1H-4H chart):**
1. Wait for 🚀 signal with 75%+ confidence
2. Confirm with multiple order block tests
3. Check VPOC alignment
4. Enter with wide stops (2x ATR)
5. Hold to TARGET or opposite signal on higher TF
## 🔔 Alerts Available
Set up these alerts for automated notifications:
- 🚀 **L2 Buy Signal**: Strong bullish prediction locked
- ⚠️ **L2 Sell Signal**: Strong bearish prediction locked
- 🐋 **Whale Buy**: Institutional buying detected
- 🐋 **Whale Sell**: Institutional selling detected
- 📊 **Absorption**: Large order absorption event
- ✅ **Bull OB Test**: Price testing bullish order block
- ❌ **Bear OB Test**: Price testing bearish order block
## ⚠️ Important Notes
### **Limitations:**
- This is a **predictive tool**, not a crystal ball
- No indicator is 100% accurate - always use risk management
- Works best in **trending or volatile markets**
- Less effective during **low volatility** or **sideways consolidation**
- Requires **adequate volume** for institutional detection
### **Risk Management:**
- Never risk more than 1-2% of capital per trade
- Always use the provided stop loss
- Consider using smaller position sizes when confidence <75%
- Avoid trading during news events or low liquidity periods
### **Backtesting Recommended:**
- Test on your specific market/timeframe for 2+ weeks
- Paper trade before using real capital
- Track win rate, average R:R, and drawdowns
- Adjust confidence threshold based on results
## 🏆 Ideal For:
✅ Day traders seeking high-probability setups
✅ Scalpers who need quick, stable predictions
✅ Swing traders looking for institutional confirmation
✅ Order flow traders transitioning from Level 2 platforms
✅ Traders who want multi-confirmation signals
✅ Anyone tired of flip-flopping indicators
## 📚 Technical Details
- **Pine Script Version**: v5
- **Chart Type**: Overlay indicator
- **Max Lines**: 500 (for order blocks and predictions)
- **Max Labels**: 100 (for signals)
- **Calculation Method**: Real-time tick-by-tick analysis
- **Repainting**: NO - predictions lock and do not repaint
## 💡 Pro Tips
1. **Higher confidence = Higher win rate**: Be patient for 75%+ signals
2. **Volume is king**: Never trade on ❄️ LOW volume
3. **Institutional confirmation**: Best trades have 🐋 activity
4. **VPOC as magnet**: Price often returns to VPOC
5. **Order block tests**: Some of the highest probability setups
6. **Lock period matters**: Longer locks = more stable predictions
7. **Dashboard tells the story**: Learn to read all 18 metrics quickly
## 🤝 Support & Updates
This indicator is actively maintained. Future updates may include:
- Additional pattern recognition
- Machine learning prediction layer
- Multi-timeframe analysis
- Custom alert messages
- Heatmap visualization
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## ⚖️ Disclaimer
This indicator is for educational and informational purposes only. It does not constitute financial advice. Trading involves substantial risk of loss. Past performance does not guarantee future results. Always conduct your own research and consult with a licensed financial advisor before making trading decisions.
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**Version**: 1.0
**Author**:
**License**: Mozilla Public License 2.0
**Category**: Order Flow Analysis, Predictive Indicators
**Tags**: order flow, level 2, institutional, prediction, volume profile, VPOC, delta, whale detection
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If you find this indicator valuable, please give it a 👍 boost and leave a comment with your feedback!
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## 📝 **Release Notes (for version updates):**
```
VERSION 1.0 - Initial Release
✨ New Features:
- Advanced order flow delta tracking
- Institutional footprint detection (whale orders, iceberg orders)
- Volume Profile (VPOC) calculation
- Bid/Ask imbalance analysis
- Order block marking and testing
- Prediction lock mechanism (10 bars)
- Multi-factor scoring system (8 layers)
- Compact 18-metric dashboard
- Risk/Reward ratio filtering
- 7 customizable alerts
- Arrow-style prediction line
🎯 Optimized For:
- Stocks, Forex, Crypto, Futures
- Timeframes: 1m to 4H
- Active market hours
- Trending and volatile conditions






















