多周期趋势动量面板(Multi-Timeframe Trend Momentum Panel - User Guide)多周期趋势动量面板(Multi-Timeframe Trend Momentum Panel - User Guide)(english explanation follows.)
📖 指标功能详解 (精简版):
🎯 核心功能:
1.	多周期趋势分析  同时监控8个时间周期(1m/5m/15m/1H/4H/D/W/M)
2.	4维度投票系统  MA趋势+RSI动量+MACD+布林带综合判断
3.	全球交易时段  可视化亚洲/伦敦/纽约交易时间
4.	趋势强度评分  0100%量化市场力量
5.	智能警报  强势多空信号自动推送
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📚 重要名词解释:
🔵 趋势状态 (MA均线分析):
名词	含义	信号强度
强势多头	快MA远高于慢MA(差值≥0.35%)	⭐⭐⭐⭐⭐ 做多
多头倾向	快MA略高于慢MA(差值<0.35%)	⭐⭐⭐ 谨慎做多
震荡	快慢MA缠绕,无明确方向	⚠️ 观望
空头倾向	快MA略低于慢MA	⭐⭐⭐ 谨慎做空
强势空头	快MA远低于慢MA	⭐⭐⭐⭐⭐ 做空
简单理解: 快MA就像短跑运动员(反应快),慢MA是长跑运动员(稳定)。短跑远超长跑=强势多头,反之=强势空头。
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🟠 动量状态 (RSI力度分析):
名词	含义	操作建议
动量上攻↗	RSI>60且快速上升	强烈买入信号
动量高位	RSI>60但上升变慢	警惕回调,可减仓
动量中性	RSI在4060之间,平稳	等待方向明确
动量低位	RSI<40但下跌变慢	警惕反弹,可止盈
动量下压↘	RSI<40且快速下降	强烈卖出信号
简单理解: RSI就像汽车速度表。"动量上攻"=油门踩到底加速,"动量高位"=已经很快但不再加速了。
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🟣 辅助信号:
MACD:
•	MACD多头 = 柱状图>0 = 买方力量强
•	MACD空头 = 柱状图<0 = 卖方力量强
布林带(BB):
•	BB超买 = 价格在布林带上轨附近 = 可能回调
•	BB超卖 = 价格在布林带下轨附近 = 可能反弹
•	BB中轨 = 价格在中间位置 = 平衡状态
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💡 快速上手  3步看懂面板:
第1步: 看"综合结论标签" (K线上方)
•	绿色"多头占优" → 可以做多
•	红色"空头占优" → 可以做空
•	橙色"震荡/均衡" → 观望
第2步: 看"票数 多/空" (面板最下方)
•	多头票数远大于空头 (差距>2) → 趋势强
•	票数接近 (差距<1) → 震荡市
第3步: 看"趋势强度" (综合标签中)
•	强度>70% → 强势趋势,可重仓
•	强度5070% → 中等趋势,正常仓位
•	强度<50% → 弱势,轻仓或观望
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🎨 时段背景色含义:
•	紫色背景 = 亚洲时段 (东京交易时间)  波动较小
•	橙色背景 = 伦敦时段 (欧洲交易时间)  波动增大
•	蓝色背景 = 纽约凌晨  美盘准备阶段
•	红色背景 = 纽约关键5分钟 (09:3009:35) ⚠️ 最重要! 市场最活跃,趋势易形成
•	绿色背景 = 纽约上午后段  延续早盘趋势
交易建议: 重点关注红色关键时段,这5分钟往往决定全天方向!
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⚙️ 三大市场推荐设置
🥇 黄金: Hull MA 12/EMA 34, 阈值0.250.35%
₿ 比特币: EMA 21/EMA 55, 阈值0.801.20%
💎 以太坊: TEMA 21/EMA 55, 阈值0.600.80%
 参数优化建议
 黄金 (XAUUSD)
快速MA: Hull MA 12 (超灵敏捕捉黄金快速波动)
慢速MA: EMA 34 (斐波那契数列)
RSI周期: 9 (加快反应)
强趋势阈值: 0.25%
周期: 5, 15, 60, 240, 1440
 比特币 (BTCUSD)
快速MA: EMA 21
慢速MA: EMA 55
RSI周期: 14
强趋势阈值: 0.8% (波动大,阈值需提高)
周期: 15, 60, 240, D, W
 外汇 EUR/USD
快速MA: TEMA 10 (快速响应)
慢速MA: T3 30, 因子0.7 (平滑噪音)
RSI周期: 14
强趋势阈值: 0.08% (外汇波动小)
周期: 5, 15, 60, 240, 1440
📖 Indicator Function Details (Concise Version):
🎯 Core Functions:
1.  MultiTimeframe Trend Analysis  Monitors 8 timeframes simultaneously (1m/5m/15m/1H/4H/D/W/M)
2.  4Dimensional Voting System  Comprehensive judgment based on MA trend + RSI momentum + MACD + Bollinger Bands
3.  Global Trading Sessions  Visualizes Asia/London/New York trading hours
4.  Trend Strength Score  Quantifies market strength from 0100%
5.  Smart Alerts  Automatically pushes strong bullish/bearish signals
📚 Key Term Explanations:
🔵 Trend Status (MA Analysis):
| Term             | Meaning                                      | Signal Strength        |
|  |  |  |
| Strong Bull      | Fast MA significantly > Slow MA (Diff ≥0.35%)  | ⭐⭐⭐⭐⭐ Long       |
| Bullish Bias     | Fast MA slightly > Slow MA (Diff <0.35%)       | ⭐⭐⭐ Caution Long   |
| Ranging          | MAs intertwined, no clear direction          | ⚠️ Wait & See        |
| Bearish Bias     | Fast MA slightly < Slow MA                   | ⭐⭐⭐ Caution Short |
| Strong Bear      | Fast MA significantly < Slow MA              | ⭐⭐⭐⭐⭐ Short      |
Simple Understanding: Fast MA = sprinter (fast reaction), Slow MA = longdistance runner (stable). Sprinter far ahead = Strong Bull, opposite = Strong Bear.
🟠 Momentum Status (RSI Analysis):
| Term               | Meaning                            | Trading Suggestion                  |
|  |  |  |
| Momentum Up ↗      | RSI >60 & rising rapidly           | Strong Buy Signal                   |
| Momentum High      | RSI >60 but rising slower          | Watch for pullback, consider reducing position |
| Momentum Neutral   | RSI between 4060, stable          | Wait for clearer direction          |
| Momentum Low       | RSI <40 but falling slower         | Watch for rebound, consider taking profit |
| Momentum Down ↘    | RSI <40 & falling rapidly          | Strong Sell Signal                  |
Simple Understanding: RSI = car speedometer. "Momentum Up" = full throttle acceleration, "Momentum High" = already fast but not accelerating further.
🟣 Auxiliary Signals:
MACD:
 MACD Bullish = Histogram >0 = Strong buyer power
 MACD Bearish = Histogram <0 = Strong seller power
Bollinger Bands (BB):
 BB Overbought = Price near upper band = Possible pullback
 BB Oversold = Price near lower band = Possible rebound
 BB Middle = Price near middle band = Balanced state
💡 Quick Start  3 Steps to Understand the Panel:
Step 1: Check "Composite Conclusion Label" (Above the chart)
 Green "Bulls Favored" → Consider Long
 Red "Bears Favored" → Consider Short
 Orange "Ranging/Balanced" → Wait & See
Step 2: Check "Votes Bull/Bear" (Bottom of the panel)
 Bull votes significantly > Bear votes (Difference >2) → Strong Trend
 Votes close (Difference <1) → Ranging Market
Step 3: Check "Trend Strength" (In the composite label)
 Strength >70% → Strong Trend, consider heavier position
 Strength 5070% → Moderate Trend, normal position size
 Strength <50% → Weak Trend, light position or wait & see
🎨 Trading Session Background Color Meanings:
 Purple = Asian Session (Tokyo hours)  Lower volatility
 Orange = London Session (European hours)  Increased volatility
 Blue = NY Early Morning  US session preparation phase
 Red = NY Critical 5 Minutes (09:3009:35) ⚠️ Most Important! Market most active, trends easily form
 Green = NY Late Morning  Continuation of early session trend
Trading Tip: Focus on the red critical period; these 5 minutes often determine the day's direction!
⚙️ Recommended Settings for Three Major Markets
🥇 Gold (XAUUSD):
 Fast MA: Hull MA 12 (Highly sensitive for gold's fast moves)
 Slow MA: EMA 34 (Fibonacci number)
 RSI Period: 9 (Faster reaction)
 Strong Trend Threshold: 0.25%
 Timeframes: 5, 15, 60, 240, 1440
₿ Bitcoin (BTCUSD):
 Fast MA: EMA 21
 Slow MA: EMA 55
 RSI Period: 14
 Strong Trend Threshold: 0.8% (High volatility, requires higher threshold)
 Timeframes: 15, 60, 240, D, W
💎 Ethereum (ETHUSD):
 Fast MA: TEMA 21
 Slow MA: EMA 55
 RSI Period: 14
 Strong Trend Threshold: 0.600.80%
 Timeframes: 15, 60, 240, D, W
💱 Forex EUR/USD:
 Fast MA: TEMA 10 (Fast response)
 Slow MA: T3 30, Factor 0.7 (Smooths noise)
 RSI Period: 14
 Strong Trend Threshold: 0.08% (Forex has low volatility)
 Timeframes: 5, 15, 60, 240, 1440
Wstęgi i Kanały
1H / 1D / 1W Çoklu Zaman Ölçekli Destek–Direnç (Reg Kanal Özeti)Multi-Timeframe Regression Channel — Support & Resistance Map
This indicator automatically plots regression-based support and resistance levels for three major timeframes — 1H (short-term traders), 1D (swing traders), and 1W (long-term investors) — all displayed on the same chart.
It combines linear regression channels and standard deviation offsets to reveal the active trend and volatility structure across multiple time horizons.
Each timeframe includes:
Upper band (Resistance) — potential selling or overextension zone
Basis line (Regression mean) — fair-value trend midpoint
Lower band (Support) — potential accumulation or reaction zone
A summary table in the top-left corner shows current levels, slope direction (↑ / ↓ / →), RSI-based strength notes, and percentage distances to each band.
All levels auto-update with the latest data, regardless of the chart timeframe.
Ideal for:
Multi-timeframe confluence analysis
Swing trading setups and breakout confirmations
Trend-following or mean-reversion strategies
✅ Tip:
When price holds above the lower band, the structure remains bullish.
A clean break above resistance often signals momentum continuation, while a close below support can mark a trend weakening.
G_GMMA•	Comprehensive GMMA Visualization: It plots six fast EMAs and six slow EMAs, clearly distinguishing short term and long term trends. The indicator fills the space between the fastest and slowest EMAs in each group, turning the moving averages into easily identifiable ribbons rather than a mass of overlapping lines.
•	Customizable Appearance: Users can adjust the colors of the fast and slow EMA lines, the fill colors of each ribbon, and the overall line thickness. This makes it easy to tailor the chart to personal preferences or trading templates.
•	Dynamic Background Shading: The script can shade the chart’s background depending on whether the fast ribbon is above or below the slow ribbon, giving a quick visual cue for trend direction (uptrend vs. downtrend).
•	Touch Alert System: Up to three different EMA lengths can be monitored for “touch” events. When price touches a selected EMA (e.g., 20 , 50  or 200 period EMA), the indicator triggers an alert condition and plots a small circle on the chart at the contact point. This helps traders catch precise entry or exit signals without staring at the screen.
•	Flexible Input: Both fast and slow EMA lengths, colors, and alert parameters are user adjustable from the indicator’s settings. This allows the same script to be used on different instruments (e.g., Gold, forex pairs) and time frames by simply changing the period values.
•	Trend Sensitive Support/Resistance: By treating the slow EMA ribbon as a dynamic support/resistance zone, the indicator helps traders identify where price is likely to stall or reverse. Combining this with the touch alerts makes it well suited for scalping or intraday trades.
Buy/Sell Signals [WynTrader]My name is WynTrader.  I cumulate 24 years of experience. 
 This Indicator produces Buy/Sell Signals using these features: 
 - Fast and Slow Moving averages (modifiable) optimized at EMA-8 and SMA-35 
 - Bollinger Bands (modifiable) optimized at Basis-18 and Multiplier-1 
 
Also, the Buy/Sell Signals are conditioned by three Filters (optionable, modifiable) :
     . Bollinger-Bands Lookback 
     . High-Low vs Candle Range %
     . Distance from Fast and Slow Moving averages %
The Results Calculation presented in a Table are based :
  - on the  Current Chart Visible Range (optionable)
      or 
  - on the specified TIme Frame Start and End Dates (modifiable)
The Table shows Calculation Results of the Buy and Sell Signals that are activated on the chart, with the Number of Trades (Signals), the Winning Points and the Win Rate %. The Buy&Hold starts calculation at the first Buy encountered. 
So be surprised by my Buy/Sell Indicator. But always remember that the world is not perfect. The Graal Indicator, even with AI, doesn't already exist, maybe one day (all of us richier...), but  not now. , depending on the chart product (stocks...), volatility, probabilities, unpredictable behaviour. , the moves, etc. 
Enjoy
WynTrader
P. s. :
My name is WynTrader. I cumulate 24 years of experience.  In 2001, I took an intensive technical analysis course taught by an exceptional friend, Cyril, who taught me everything I know. The foundation I gained through his teaching remains solid and relevant to this day, never failing me. 
Before i made this Indicator, I have used many Trading View Buy/Sell Indicators using alone or combined RSI, SMI, OBV, MACD ATR, ADX, Neural, Fractal, Geometry, etc., that are already available for the Trading View community. A great thanks to those who give their time that help me build this tool.
Note that I'm not a programmer, so... ;-)
Nq/ES daily CME risk intervalReverse engineering the risk interval for CME (Chicago Mercantile Exchange) products based on margin requirements involves understanding the relationship between margin requirements, volatility, and the risk interval (price movement assumed for margin calculation)
The CME uses a methodology called SPAN (Standard Portfolio Analysis of Risk) to calculate margins. At a high level, the initial margin is derived from:
Initial Margin = Risk Interval × Contract Size × Volatility Adjustment Factor
Where:
Risk Interval: The price movement range used in the margin calculation.
Contract Size: The unit size of the futures contract.
Volatility Adjustment Factor: A measure of how much price fluctuation is expected, often tied to historical volatility.
To calculate an approximate of the daily CME risk interval, we need:
Initial Margin Requirement: Available on the CME Group website or broker platforms.
Contract Size: The size of one futures contract (e.g., for the S&P 500 E-mini, it is $50 × index points).
Volatility Adjustment Factor: This is derived from historical volatility or CME's implied volatility estimates.
As we do not have access to CME calculations , the volatility adjustment factor can be estimated using historical volatility: We calculate the standard deviation of daily returns over a specific period (e.g., 20 or 30  or 60 days).
Key Considerations
The exact formulas and parameters used by CME for  CME's implied volatility estimates are proprietary, so this calculation based on standard deviation of daily returns is an approximation.
How to use:
Input the maintenance margin obtained from the CME website.
Adjust volatility period calculation.
The indicator displays the range high and low for the trading day.
1.Lines  can be used as targets intraday
2.Market tends to snap back in between the lines and close the day in the range
HEMA Trend Levels [AlgoAlpha]This indicator analyzes trend, momentum, volume and liquidity traps to generate LONG/SHORT signals.
It also includes automatic support/resistance zones, volatility warnings, and a risk panel.
Features:
EMA, DEMA, RSI, MACD, ADX, HTF EMA confirmations
ATR-based TP1 / TP2 targets with trailing SL
Liquidity trap / wick detection
Pump/dump movement alarms
Colored Heikin Ashi candles
Automatic support/resistance zones (pivot-based)
Top-right panel with trend, RSI, MACD, volume/ADX, active trade and risk score
How to Use:
Timeframes: Best for 1m–15m scalping, 1H–4H swing trading.
Signals: “BUY” label → Long entry, “SELL” label → Short entry.
Zones: Green = support, Red = resistance.
Alerts: High ATR = reduce leverage, Bot trap = caution.
Panel: When trend & confirmations align, the signal is stronger.
ORDER FLOW Professional & Delta LineThe ORDER FLOW Professional & Delta Line indicator provides a powerful visualization of buy and sell volume imbalances within each candle — offering traders a deeper view into market order flow dynamics.
Inspired by footprint charts, this tool estimates Up Volume, Down Volume, and their difference (Delta) to highlight whether buyers or sellers are in control. It’s designed for traders who want a clear and professional way to track volume-based momentum directly on their charts.
🔹 Key Features:
Accurate estimation of buy (Up) and sell (Down) volume per bar
Delta Line displaying the net order flow difference
Customizable delta color for personalized visualization
Optional numeric labels showing Up, Down, and Δ values
Footprint-style column display in a clean lower panel
Background color shading to reflect positive/negative delta
💡 Ideal For:
Professional traders and volume analysts seeking to confirm price action through order flow insights, detect absorption or exhaustion, and enhance decision-making with visual delta tracking.
Multi-Timeframe Stochastic (4x Konfiguracja + Schodki)Skrypt stoch z wielu TF można sobie ustawiać pod siebie.
DM ziggy lines..Use on chart
1
0
Understand What ZigZag Shows
The ZigZag connects swing points:
Up move (Bull leg) → identifies higher swing lows (potential start of uptrend)
Down move (Bear leg) → identifies lower swing highs (potential start of downtrend)
It doesn’t repaint here (since you used a non-repainting logic), so signals are confirmed once the line appears.
Entry Logic (Trend-Following Style)
You can trade in the direction of the last confirmed ZigZag leg:
Long entry idea
Wait for the ZigZag to plot a bullish leg (green line in your script).
Confirm the higher low (price doesn’t break below the last swing low).
Enter when a candle closes above the recent swing high or with bullish momentum (e.g., a bullish engulfing candle).
📉 Short entry idea
Wait for the ZigZag to plot a bearish leg (red line).
Confirm the lower high (price doesn’t break above the last swing high).
Enter when a candle closes below the recent swing low or with bearish momentum.
. Exit or Stop-Loss
Stop-loss: Place just beyond the most recent swing point (ZigZag high/low).
Take-profit: Use risk/reward (e.g. 1:2 ratio) or next opposite ZigZag point.
Example:
Long trade after green ZigZag up-leg → stop below last swing low → exit near next swing high (red ZigZag reversal).
Optional Enhancements
You can combine the ZigZag logic with:
RSI or MACD → to confirm momentum.
Moving averages → to confirm overall trend.
Volume spikes → to confirm strong swing reversals.
KAB 1 BETAKAB 1: The Premier AI-Driven Neural Network Trading Indicator
Unlock the future of trading with KAB 1, an elite, subscription-based indicator meticulously engineered by Koby A. Brown (Lastkingkoby) using state-of-the-art artificial intelligence and advanced neural network algorithms. This isn't your average tool – it's a sophisticated powerhouse that integrates deep learning models to analyze market dynamics, delivering unparalleled insights for professional traders.
Key Highlights:
AI-Powered Precision: Built on proprietary neural networks trained on vast datasets, KAB 1 intelligently identifies dynamic support and resistance zones, forecasting potential breakouts and reversals with high-fidelity accuracy.
Intelligent Signal Generation: Receive crystal-clear buy/sell alerts, complete with predictive warnings for momentum shifts, all derived from AI-optimized range filtering and trend detection mechanisms.
Overlay Mastery: Seamlessly overlays on your charts, visualizing critical levels and signals in real-time, adaptable to any timeframe or asset (with exceptional performance on high-volatility markets like gold and forex).
Beta-Exclusive Features: Early subscribers gain access to evolving AI enhancements, ensuring your edge stays sharp in ever-changing markets.
Priced as a premium subscription service to reflect its exclusive, high-value technology (details via private invite), KAB 1 is reserved for serious traders seeking institutional-grade tools without the hassle. No mimics, no knockoffs – this is the real deal, copyrighted and protected. Elevate your strategy today and experience trading redefined.
© 2025 Koby "Lastkingkoby" Brown. All rights reserved. Subscription required for access.
Power Zone Trader (PZT)The PZT Indicator (Power Zone Trader ) is a multi-timeframe confluence system designed to identify and visualize natural support and resistance levels with exceptional clarity. By automatically mapping key structural highs and lows from higher timeframes, PZT allows traders to see where price is most likely to react, reverse, or accelerate, forming the foundation for high-probability trade setups. PZT highlights key reaction zones that influence order flow and trader behavior across all markets — including Forex, Crypto, Indices, and Commodities.
📍 Indicator Key
Each color represents a significant price level derived from its respective timeframe, helping traders instantly gauge market context and potential liquidity pools:
Color	Level Represented	Significance
🔴 Red Yearly High 	Strong resistance — potential selling pressure and major liquidity sweep zones.
🟢 Green	Yearly Low	Strong support — potential buying interest and accumulation points.
🟠 Orange Monthly High  Intermediate resistance — swing rejection or continuation decision zone.
🔵 Blue	Monthly Low	Intermediate support — potential retracement or base-building area.
🟣 Purple Weekly High	Short-term resistance — common rejection level or stop hunt zone.
🟤 Teal	Weekly Low	Short-term support — potential rebound or liquidity grab.
⚫ Gray	Daily High	Intraday resistance — active scalper and day trader interest.
⚪ White	Daily Low	Intraday support — short-term bounce or continuation pivot.
DM Order BlocksBullish setup:
Wait for a bullish OB to form (price broke structure upward).
Wait for price to return into that blue box (mitigation).
Drop to a lower timeframe (e.g., from 5 min → 1 min) and look for:
Bullish engulfing candle
BOS / liquidity sweep inside OB
Enter long near the OB’s low or midpoint.
Stop loss below OB’s low.
Target previous highs or the next bearish OB above.
 Bearish setup:
Wait for a bearish OB to form (price broke down).
Wait for price to retrace into the red box.
Look for a rejection candle or structure shift down.
Enter short near the OB’s high or midpoint.
Stop loss above the OB’s high.
Target previous lows or next bullish OB below.
 Timeframe Combination Ideas
Style	Chart	Confirmation
Scalping	1 min or 3 min	Entry on 15 sec or 30 sec
Day Trade	5 min or 15 min	Entry on 1 min or 3 min
Swing	1 h	Entry on 5 min or 15 min
 Example Strategy
Example (Scalping):
On the 1-min chart, you see a new blue internal OB.
Price pulls back into it.
You see a small bullish engulfing candle at the OB’s bottom.
You enter long.
Stop loss just below the box.
Target 2×–3× risk reward (often around the previous swing high).
Valuation 2.0Valuation 2.0 Indicator
The Valuation 2.0 indicator is a powerful and customizable tool designed for traders seeking to assess the relative valuation of an asset against up to four correlated instruments (e.g., DXY, GC1!, ZB1!, or sector ETFs like XLK). Built on the principles of Larry Williams' valuation methods, it provides a visual and data-driven approach to identify overvalued ("Caro") and undervalued ("Barato") conditions, helping traders make informed decisions across various markets such as forex, commodities, bonds, or equities.
Key Features
1. Relative Valuation Calculation
Core Mechanism: Calculates a valuation index by comparing the asset's price to correlated instruments using a ratio-based formula, normalized between 0 and 100.
EMA-Based Smoothing: Utilizes short-term (default: 2 periods) and long-term (default: 22 periods) Exponential Moving Averages (EMAs) to derive a relative valuation index, with a lookback period of 156 bars (approximately 3 years of weekly data) for normalization.
Custom Timeframe: Option to use a custom timeframe (e.g., weekly) or the chart's default timeframe for calculations.
2. Flexible Asset Selection
Supports up to four correlated instruments (default: DXY, GC1!, ZB1!, with the fourth slot disabled by default for sector ETFs like XLK).
Users can enable/disable each instrument individually via the "Inputs" tab, allowing tailored analysis for specific markets or strategies.
3. Customizable Valuation Levels
Manual Levels: Fixed thresholds for overvaluation (85 and 95), undervaluation (15 and 5), neutral (50), and intermediate levels (67.5 and 32.5) for consistent analysis.
Automatic Levels: Dynamically calculated levels based on recent price action, using a lookback period (default: 50 bars) and customizable multipliers for adaptability to market conditions.
Visual Feedback: Levels are plotted as horizontal lines with customizable colors and opacities, and overvaluation/undervaluation zones are filled for quick visual interpretation.
4. Informative Table
Displays a table summarizing each active instrument's details:
Columns: Asset (ticker), Value (current valuation index), Status ("Caro" for overvalued, "Barato" for undervalued, "Normal" otherwise), and Color (visual indicator).
Footer Count: Shows the number of active instruments in overvalued ("Caro: X of Y") or undervalued ("Barato: Z of Y") states, only displaying counts greater than 0 for clarity.
Customization: Adjustable table position (default: Top Right), text size (default: Small), header color, and text color via the "Inputs" tab.
5. Visual Styling
Index Lines: Each instrument's valuation index is plotted with distinct colors for overvalued (#FF0000), undervalued (#16e520), and normal states (customizable, default: #9C27B0 for Index 1, #FF9800 for Index 2, #FFFFFF for Index 3).
Levels and Zones:
Overvaluation Level 1: #f23645
Overvaluation Level 2: #2962ff (60% opacity)
Undervaluation Level 1: #4caf50
Undervaluation Level 2: #2962ff (60% opacity)
Neutral Level: #b8b8b8 (50% opacity)
Intermediate Levels: #3d3d3d (90% opacity)
Overvaluation Zone: #f23645 (10% opacity)
Undervaluation Zone: #4caf50 (10% opacity)
All colors and opacities are editable in the "Style" tab for personalized visualization.
6. Use Cases
Cross-Market Analysis: Ideal for comparing an asset's valuation against indices, commodities, or bonds (e.g., analyzing BTC against DXY, GC1!, and ZB1!).
Sector ETF Integration: Supports sector ETFs (e.g., XLK for tech stocks) to assess relative performance within a sector.
Multi-Timeframe Flexibility: Suitable for day traders, swing traders, or long-term investors by adjusting the timeframe and lookback parameters.
How to Use
Add to Chart: Apply the indicator to any chart in TradingView.
Configure Inputs:
Select correlated instruments in the "Seleção de Ativos" section (default: DXY, GC1!, ZB1!).
Choose manual or automatic levels in the "Níveis de Valuation" section.
Adjust table settings (position, text size, colors) in the "Configurações de Tabela" section.
Customize Style: Modify colors and opacities for index lines, levels, and zones in the "Style" tab.
Interpret Results:
Monitor the plotted lines for each instrument to identify overvalued (>85 or dynamic) or undervalued (<15 or dynamic) conditions.
Use the table for a quick overview of each instrument's status and the footer count for a summary of overvalued/undervalued assets.
Notes
Default Settings: Optimized for three active instruments (DXY, GC1!, ZB1!) with the fourth (ETF) disabled, but fully customizable.
Performance: Designed to compile efficiently in Pine Script v6, with no external dependencies.
Best Practices: Test the indicator on your preferred assets and timeframes to fine-tune levels and multipliers for optimal results.
Enjoy the Valuation 2.0 indicator, and enhance your trading strategy with precise, visually intuitive valuation insights! 🚀
CVD with Divergences and Alerts (Subwindow)This indicator calculates the Cumulative Volume Delta (CVD) to visualize buying and selling pressure, and automatically detects regular and hidden divergences between price and volume flow. It also includes optional alerts for real-time trade signal generation.
Core Logic:
	•	Cumulative Volume Delta (CVD):
Tracks the cumulative difference between buy and sell volume. Buy volume is defined as volume on bars where the close ≥ open; sell volume when close < open.
This reveals whether real participation supports price direction or not.
	•	Regular Divergences:
	•	Bullish Divergence: Price makes a lower low while CVD forms a higher low → potential upward reversal.
	•	Bearish Divergence: Price makes a higher high while CVD forms a lower high → potential downward reversal.
	•	Hidden Divergences:
	•	Hidden Bullish Divergence: Price pulls back to a lower low, but CVD shows strength with a higher high → possible continuation of an uptrend.
	•	Hidden Bearish Divergence: Price makes a higher high, but CVD weakens → possible continuation of a downtrend.
Features:
	•	Adjustable lookback period (default: 500 bars).
	•	Graphical visualization:
	•	Plots the CVD as a blue line in a separate panel.
	•	Marks divergences with green (bullish) and red (bearish) triangle shapes on the chart.
	•	Draws divergence lines between price and CVD for easy visual identification.
	•	Alerts:
	•	Configurable alert types (“Buy Only”, “Sell Only”, “Buy and Sell”).
	•	Sends alerts for all four divergence types (regular + hidden).
Usage:
Ideal for traders who want to detect shifts in volume momentum that precede price reversals or continuations. Works on all timeframes and instruments that provide volume data.
NFTs vs SOL - Momentum Divergence DetectionNFTs vs SOL – Momentum Divergence Detection: 
 See when NFT activity (proxy volumes) leads or lags SOL momentum. 
This is an indicator that I designed to compare Solana’s price momentum with aggregated NFT market activity. It converts both into standardized z-scores for direct comparison, then measures their divergence. The resulting signal highlights when NFT trading activity begins to move ahead of, or behind, SOL price action.
 Core Function: 
•	Measures SOL’s momentum using Rate of Change (ROC), then standardizes and smooths it.
•	Combines multiple NFT-related token volumes (BLUR, LOOKS, TNSR, MAGIC, APE, optionally ME and PENGU), applies log normalization, weighting, and smoothing to form a composite NFT activity score.
•	Plots their difference (NFT Z − SOL Z) as a histogram to visualize lead/lag phases.
 Interpretation: 
•	div > 0: NFT activity exceeds SOL momentum → potential early signal for upside.
•	div < 0: NFT activity trails SOL momentum → possible cooling or lag.
•	Zero-line crosses: indicate leadership changes between NFTs and SOL.
 On-Chart Visualization: 
•	Orange histogram: divergence (lead/lag strength).
•	Purple line: NFT composite z-score.
•	Blue line: SOL momentum z-score.
•	Green/Red markers: lead or lag signals.
•	Top-right table: rolling correlation and active proxies.
 Usage: 
Apply to 30m–1D charts.
Enter exchange-prefixed NFT tickers (e.g., KUCOIN:BLURUSDT).
Adjust weights to emphasize liquid tokens.
Interpret lead/lag crosses within the broader market structure, using trend and volume as confirmation.
 Recommended Presets: 
•	Swing trading: 1D or 4H charts, smoother settings for stability.
•	Active setups: 2H or 1H charts, lower smoothing for responsiveness.
 Key Notes: 
•	Requires valid tickers and sufficient lookback history.
•	Use crosses as context, not direct trade signals.
•	High correlation = synchronous behavior; low correlation = decoupled regime.
 Summary: 
A contextual radar for Solana traders tracking NFT market flow. It helps identify when NFT trading activity begins leading or lagging SOL’s momentum which often signals shifts in speculative energy and trend strength.
 Copyright © 2025 imaclone (Zen Silva). All rights reserved.
License: Private. No copying, sharing, or derivative works.
Smart Structure Pro - Market Structure & Smart Money Concepts═══════════════════════════════════════════════════════════════════════════════
SMART STRUCTURE PRO
═══════════════════════════════════════════════════════════════════════════════
A comprehensive market structure analysis tool that identifies institutional trading 
patterns and smart money concepts for improved trade timing and decision-making.
═══════════════════════════════════════════════════════════════════════════════
📊 WHAT IT DOES
═══════════════════════════════════════════════════════════════════════════════
This indicator automatically detects and visualizes key market structure elements:
🔹 BOS (Break of Structure)
   - Identifies trend continuation patterns
   - Marks when price breaks above previous highs (bullish) or below previous lows (bearish)
   - Confirms trend strength and momentum
🔹 CHoCH (Change of Character)  
   - Detects potential trend reversals
   - Alerts when market structure shifts from bullish to bearish or vice versa
   - Helps identify early reversal opportunities
🔹 Order Blocks
   - Highlights institutional entry zones
   - Identifies the last opposite candle before a structure break
   - Shows areas where smart money likely entered positions
🔹 Fair Value Gaps (FVG)
   - Detects price imbalances and inefficiencies
   - Shows areas where price moved rapidly leaving gaps
   - Often act as support/resistance when retested
🔹 Liquidity Zones
   - Marks swing high and low levels
   - Identifies areas where stop losses likely cluster
   - Shows potential stop hunt and liquidity grab zones
═══════════════════════════════════════════════════════════════════════════════
🎯 HOW TO USE
═══════════════════════════════════════════════════════════════════════════════
BULLISH SETUP:
1. Wait for Bullish CHoCH (trend reversal signal) or BOS ↑ (continuation)
2. Look for price to pull back into an Order Block or Fair Value Gap
3. Enter long when price bounces from these zones
4. Place stop loss below the Order Block
5. Target the next liquidity zone or resistance level
BEARISH SETUP:
1. Wait for Bearish CHoCH (trend reversal signal) or BOS ↓ (continuation)
2. Look for price to retrace into an Order Block or Fair Value Gap
3. Enter short when price rejects from these zones
4. Place stop loss above the Order Block
5. Target the next liquidity zone or support level
DASHBOARD INTERPRETATION:
• Trend: Current market direction (Bullish/Bearish)
• Volume: Confirmation strength (High volume = stronger signals)
• Signal: Latest structure break detected
• Key High/Low: Critical levels for the current trend
• Position: Price location (Premium = expensive, Discount = cheap)
═══════════════════════════════════════════════════════════════════════════════
⚙️ SETTINGS GUIDE
═══════════════════════════════════════════════════════════════════════════════
STRUCTURE DETECTION:
• Pivot Length (Default: 10)
  - Lower values = More signals but potentially weaker
  - Higher values = Fewer signals but stronger/more reliable
  - Recommended: 8-12 for intraday, 10-15 for higher timeframes
• Structure Line Extension
  - Visual preference for how far lines extend
  - Does not affect signal detection
SMART MONEY CONCEPTS:
• Order Block Extension: How long OB boxes remain visible
• FVG Extension: How long gap boxes remain visible  
• Min FVG Size: Filter out small gaps (0 = show all)
  - Set to 10-20% to reduce noise
  - Set to 0 to see all gaps
VOLUME FILTER:
• Volume Confirmation (Recommended: ON)
  - Filters weak signals without volume support
  - Reduces false breakouts
  
• Volume Multiplier (Default: 1.5)
  - Higher = Stricter filtering (fewer but stronger signals)
  - Lower = More signals (but may include weak ones)
DISPLAY:
• Dashboard: Toggle information panel
• Trend Background: Subtle color tint showing current trend
• Dashboard Position: Choose corner placement
═══════════════════════════════════════════════════════════════════════════════
🔔 ALERTS
═══════════════════════════════════════════════════════════════════════════════
Available alert conditions:
✓ Bullish BOS - Uptrend continuation confirmed
✓ Bearish BOS - Downtrend continuation confirmed  
✓ Bullish CHoCH - Reversal to uptrend detected
✓ Bearish CHoCH - Reversal to downtrend detected
✓ Structure Break - Any significant market structure change
To set up alerts:
1. Click the "⏰" alert icon
2. Select "Smart Structure Pro"
3. Choose your desired condition
4. Configure notification method
5. Click "Create"
═══════════════════════════════════════════════════════════════════════════════
⚠️ IMPORTANT DISCLOSURES
═══════════════════════════════════════════════════════════════════════════════
REPAINTING BEHAVIOR:
• Pivot points WILL repaint until confirmed (this is by design and unavoidable)
• Structure breaks (BOS/CHoCH) use CLOSED candles and do NOT repaint after confirmation
• Order Blocks and FVGs are drawn on confirmed signals and do NOT repaint
• All signals wait for candle close before triggering
BEST PRACTICES:
• Use on higher timeframes (15min+) for more reliable signals
• Combine with other analysis (support/resistance, volume profile, etc.)
• Wait for candle close confirmation before acting on signals
• Use proper risk management - this is not a standalone trading system
• Backtest on your preferred instrument and timeframe
PERFORMANCE:
• Limited to 100 boxes, 100 lines, 100 labels for optimal performance
• Older objects automatically removed as new ones appear
• Works on all markets (Forex, Crypto, Stocks, Indices, Commodities)
═══════════════════════════════════════════════════════════════════════════════
📚 CONCEPTS EXPLAINED
═══════════════════════════════════════════════════════════════════════════════
MARKET STRUCTURE:
Market structure refers to the pattern of price movements creating swing highs 
and lows. Understanding structure helps identify trend direction and potential 
reversal points.
SMART MONEY CONCEPTS:
These are trading techniques based on tracking institutional order flow and 
understanding where large players (banks, funds, institutions) enter and exit 
positions.
ORDER BLOCKS:
The last opposing candle before a strong directional move. Institutions often 
leave unfilled orders in these zones, which can act as support/resistance when 
price returns.
FAIR VALUE GAPS:
Areas where price moved so quickly that it left an imbalance. These gaps often 
get "filled" as price returns to find equilibrium, creating trading opportunities.
═══════════════════════════════════════════════════════════════════════════════
🎓 EDUCATIONAL VALUE
═══════════════════════════════════════════════════════════════════════════════
This indicator helps traders:
✓ Understand market structure mechanics
✓ Identify institutional trading patterns  
✓ Improve trade timing and entry precision
✓ Recognize trend continuation vs reversal
✓ Learn smart money concepts through visualization
═══════════════════════════════════════════════════════════════════════════════
📋 TECHNICAL DETAILS
═══════════════════════════════════════════════════════════════════════════════
• Version: 1.0.0
• Pine Script Version: 5
• Indicator Type: Overlay
• No Repainting: Structure breaks use confirmed candles
• Performance Optimized: Limited drawing objects
• Works On: All markets and timeframes
• Alerts: Yes, fully customizable
═══════════════════════════════════════════════════════════════════════════════
👤 AUTHOR
═══════════════════════════════════════════════════════════════════════════════
Created by: Zakaria Safri
Original Work: All code and concepts are original implementations
Based On: ICT (Inner Circle Trader) educational concepts
License: © 2024 Zakaria Safri - Personal Use Only
═══════════════════════════════════════════════════════════════════════════════
⚖️ 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.
The author is not responsible for any losses incurred from using this indicator.
═══════════════════════════════════════════════════════════════════════════════
If you find this indicator helpful, please:
👍 Like and favorite
⭐ Leave a review  
📢 Share with other traders
💬 Comment with feedback or suggestions
Happy Trading! 📈
momo breakout signals by ANkit Pandeymomo breakout signals by ANkit Pandey
basically the strategy is
1. take buy entry when the yellow line is below the lower band
2. similarly take sell position when the yellow line is above the upper band
🔰BOT TEAM PSS🔰This hybrid strategy integrates the institutional focus of Smart Money Concepts (SMC) with the confirmation power of technical indicators. The approach begins with an SMC framework, identifying high-probability zones such as Order Blocks (OB), Fair Value Gaps (FVG), and liquidity pools. Traders first analyze market structure, watching for a Market Structure Shift (MSS) or Change of Character (CHoCH) to signal a potential shift in direction.
Once price retraces into a key SMC zone, the trader does not enter immediately. Instead, they seek confirmation from a specialized indicator, such as a proprietary tool developed by the 'La Chan Dau Tu' (Investment Shield) team. This custom indicator is specifically designed to validate SMC signals, filtering out low-probability trades. This dual-layer analysis is key: SMC provides the high-probability "where," while the team's indicator provides the "when," confirming momentum alignment before entry.
Multi-Timeframe Trend Indicator with Signals═══════════════════════════════════════════════════════════════
         Multi-Timeframe Trend Indicator with Signals
                    by Zakaria Safri
═══════════════════════════════════════════════════════════════
⚠️ IMPORTANT DISCLAIMERS:
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
• This indicator may REPAINT on unconfirmed bars
• Signals appear in real-time but may change or disappear
• FOR EDUCATIONAL PURPOSES ONLY - NOT FINANCIAL ADVICE
• Past performance does not guarantee future results
• Always do your own research and use proper risk management
• The Risk Management feature is VISUAL ONLY - does not execute trades
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
📊 OVERVIEW:
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
This indicator combines multiple technical analysis tools to help identify
potential trend directions and entry/exit points across different timeframes.
It uses SuperTrend, EMAs, ADX, RSI, and Keltner Channels to generate signals.
🎯 KEY FEATURES:
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
📍 SIGNAL TYPES:
   • All Signals: Shows all SuperTrend crossovers
   • Filtered Signals: Additional EMA filter for potentially higher quality signals
   • Signals use barstate.isconfirmed to reduce (but not eliminate) repainting
📈 TREND ANALYSIS:
   • Trend Ribbon: 8 EMAs creating a visual trend direction indicator
   • Trend Cloud: EMA 150/250 cloud for long-term trend context
   • Chaos Trend Line: Dynamic support/resistance trend line
   • Multi-timeframe dashboard showing trend across 8 timeframes (3m to Daily)
📊 TECHNICAL INDICATORS:
   • Keltner Channels: Dynamic price channels
   • RSI Background: Visual overbought/oversold zones
   • Candlestick Coloring: Three modes (CleanScalper/Trend Ribbon/Moving Average)
   • ADX-based trend strength analysis for MTF dashboard
🎯 VISUAL TOOLS:
   • Order Blocks: Supply/demand zones (optional)
   • Channel Breakouts: Pivot-based support/resistance levels
   • Reversal Signals: RSI-based potential reversal indicators
   • Visual TP/SL Lines: For reference only - does NOT execute trades
📊 DASHBOARD:
   • Real-time multi-timeframe trend analysis
   • Volatility indicator (Very Low to Very High)
   • Current RSI value with color coding
   • Customizable position and size
⚙️ SETTINGS:
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
MAIN SETTINGS:
• Sensitivity: Controls signal frequency (lower = more signals)
• Signal Type: Choose between All Signals or Filtered Signals
• Factor: ATR multiplier for SuperTrend calculation
TREND SETTINGS:
• Toggle Trend Ribbon, Trend Cloud, Chaos Trend, Order Blocks
• Moving Average: Customizable EMA (default 200)
ADVANCED SETTINGS:
• Candlestick coloring with 3 different modes
• Overbought/Oversold background coloring
• Channel breakout levels
• Show/hide signals
RISK MANAGEMENT (VISUAL ONLY):
• ⚠️ Does NOT execute trades automatically
• Shows potential Take Profit levels (TP1, TP2, TP3)
• Shows potential Stop Loss level
• Adjustable TP strength multiplier
• For educational reference only
📖 HOW TO USE:
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
1. SIGNAL INTERPRETATION:
   • "Buy" signals appear below candles when conditions are met
   • "Sell" signals appear above candles when conditions are met
   • Wait for bar close confirmation to avoid repainting
   • Use multiple timeframes for confluence
2. TREND CONFIRMATION:
   • Check the multi-timeframe dashboard for trend alignment
   • Use Trend Ribbon for visual trend direction
   • Trend Cloud shows longer-term market bias
   • Green candles = potential uptrend, Red = potential downtrend
3. ENTRY/EXIT STRATEGY:
   • Combine signals with other analysis tools
   • Check volatility status before entering trades
   • Use support/resistance levels for confirmation
   • The visual TP/SL lines are for planning only
4. RISK MANAGEMENT:
   • Always use stop losses (indicator shows suggested levels only)
   • Position size according to your risk tolerance
   • Never risk more than you can afford to lose
   • The indicator does NOT manage trades automatically
⚠️ LIMITATIONS & RISKS:
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
REPAINTING:
• Signals may appear and disappear on unconfirmed bars
• Always wait for bar close before taking action
• Historical performance may look better than real-time results
FALSE SIGNALS:
• No indicator is 100% accurate
• Signals can fail in ranging/choppy markets
• Use additional confirmation methods
• Consider market context and fundamentals
VISUAL TP/SL:
• Lines are for reference/planning only
• Does NOT place or manage actual trades
• You must manually set your own stop losses
• TP levels are calculated estimates, not guarantees
🔧 TECHNICAL DETAILS:
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
• Version: Pine Script v5
• Overlay: Yes (displays on main chart)
• Anti-repaint measures: Uses barstate.isconfirmed on signals
• Security function: Uses lookahead protection for higher timeframes
• Dynamic requests: Enabled for MTF analysis
• Max labels: 500
📚 COMPONENTS EXPLAINED:
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
SUPERTREND:
• Core signal generator using ATR-based bands
• Crossovers indicate potential trend changes
• Adjustable via Sensitivity and Factor inputs
EMA FILTER:
• Uses 200 EMA as trend filter (customizable)
• Filtered signals require price above/below EMA
• Helps reduce false signals in ranging markets
ADX TREND QUALITY:
• Measures trend strength across timeframes
• Used in multi-timeframe dashboard
• Shows Bullish/Bearish/Neutral states
KELTNER CHANNELS:
• Multiple bands showing volatility zones
• Color-coded based on RSI levels
• Helps identify overbought/oversold conditions
ORDER BLOCKS:
• Identifies supply/demand zones
• Based on price structure and pivots
• Can extend to the right for projection
💡 BEST PRACTICES:
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
✓ Use multiple timeframe confirmation
✓ Wait for bar close before acting on signals
✓ Combine with support/resistance analysis
✓ Check overall market conditions
✓ Use proper risk management (1-2% per trade)
✓ Backtest on your specific market/timeframe
✓ Paper trade before using real money
✓ Keep a trading journal
✓ Adjust settings to your trading style
✗ Don't rely solely on this indicator
✗ Don't ignore risk management
✗ Don't trade on unconfirmed signals
✗ Don't overtrade every signal
✗ Don't use without understanding how it works
✗ Don't expect the TP/SL feature to trade for you
📞 SUPPORT & UPDATES:
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Creator: Zakaria Safri
Version: 4.3 (Compliance Update)
For questions or feedback, please use TradingView's comment section.
⚖️ FINAL DISCLAIMER:
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
This indicator is provided for EDUCATIONAL and INFORMATIONAL purposes only.
It is NOT financial advice, investment advice, or a recommendation to buy/sell.
Trading involves substantial risk of loss. Past performance, whether actual or
indicated by historical tests of strategies, is not indicative of future results.
The creator assumes NO responsibility for your trading results. You are solely
responsible for your own investment decisions and due diligence.
Always consult with a qualified financial advisor before making investment decisions.
By using this indicator, you acknowledge and accept these risks and limitations.






















