Volume-Adjusted CCI Trend [Alpha Extract]A sophisticated trend identification system that combines dual EMA direction analysis with volume-weighted normalization and CCI momentum filtering for comprehensive trend validation. Utilizing Volume RSI integration and standard deviation-based bands that expand and contract with volume characteristics, this indicator delivers institutional-grade trend detection with multi-layered confirmation requirements. The system's volume adjustment mechanism modulates signal sensitivity based on participation strength while CCI thresholds prevent false signals during weak momentum conditions, creating a robust trend-following framework with reduced whipsaw susceptibility.
🔶 Advanced Dual EMA Direction Engine
Implements fast and slow exponential moving average comparison to establish primary trend direction bias with configurable period parameters for timeframe optimization. The system calculates trend direction as binary +1 (bullish when fast EMA exceeds slow EMA) or -1 (bearish when slow exceeds fast), providing foundational directional input that requires additional confirmation before generating actionable trend states.
🔶 Volume-Adjusted Normalization Framework
Features sophisticated normalization calculation that measures price deviation from basis EMA, scales by standard deviation, then applies volume-weighted adjustment factor for participation-sensitive signal generation. The system calculates Volume RSI to quantify relative volume strength, converts to ratio format, and multiplies normalized deviation by volume factor scaled by impact parameter, creating signals that strengthen during high-volume confirmations and weaken during low-volume moves.
// Volume-Adjusted Normalization
Vol_Ratio = Volume_RSI / 50
Vol_Factor = 1 + (Vol_Ratio - 1) * Vol_Impact
Dev = src - Basis_EMA
Raw_Normalized = Dev / (StdDev * Multiplier)
Vol_Adjusted_Norm = Raw_Normalized * Vol_Factor
🔶 CCI Momentum Filter Integration
Implements Commodity Channel Index threshold system with configurable upper and lower bounds to validate trend strength and filter sideways market conditions. The system calculates standard CCI with adjustable length, compares against asymmetric thresholds (default +100 bullish, -50 bearish), and requires CCI confirmation in addition to EMA direction and normalized deviation before transitioning trend states, ensuring only high-conviction signals generate entries.
🔶 Multi-Layer Trend State Logic
Provides intelligent trend state machine requiring simultaneous confirmation from EMA direction, volume-adjusted normalization threshold breach, and optional CCI momentum validation. The system maintains persistent trend state that only transitions when all three conditions align, preventing premature reversals during temporary retracements or low-volume fluctuations while capturing genuine trend changes with institutional-grade confirmation requirements.
🔶 Dynamic Volume Band Architecture
Creates volatility-adjusted bands around basis EMA using standard deviation multiplied by volume factor, producing channels that widen during high-volume periods and contract during low-volume consolidations. The system applies identical volume adjustment to band calculations as normalization metric, ensuring visual envelope consistency with underlying signal logic and providing intuitive reference boundaries for trend-following price action.
🔶 Gradient Strength Visualization System
Implements color intensity modulation based on normalized signal strength relative to threshold requirements, creating visual feedback that communicates trend conviction. The system calculates strength ratio by dividing absolute normalized value by threshold, caps at 1.0, and applies gradient interpolation from muted to vivid colors, instantly conveying whether current trend exhibits marginal or strong characteristics through line and candle coloring.
🔶 Volume RSI Calculation Engine
Utilizes RSI methodology applied to volume series rather than price to quantify relative participation strength with normalization to 0.5-1.5 range for factor multiplication. The system processes volume through standard RSI calculation, divides by 50 to center around 1.0, and produces ratio values where readings above 1.0 indicate above-average volume and below 1.0 suggest below-average participation for signal adjustment purposes.
🔶 Asymmetric Threshold Configuration
Features separate positive and negative normalization thresholds with independent CCI upper and lower bounds enabling optimization for bullish versus bearish signal generation characteristics. The system defaults to symmetric normalized thresholds (±0.2) but asymmetric CCI levels (+100/-50), recognizing that bullish momentum often requires stronger confirmation than bearish reversals in typical market structures.
🔶 Comprehensive Visual Integration
Provides multi-dimensional trend visualization through color-coded basis line, volume-adjusted bands with gradient fills, trend-synchronized candle coloring, and transition signal labels. The system enables selective display toggling for each visual component while maintaining consistent color scheme and strength-based intensity across all elements for cohesive chart presentation without overwhelming information density.
🔶 Alert and Signal Framework
Generates trend change alerts when state transitions occur with all confirmation requirements satisfied, providing notifications for bullish (transition to +1) and bearish (transition to -1) signals. The system implements state change detection through comparison with previous bar trend state, ensuring single alert per transition rather than continuous notifications during sustained trends.
🔶 Performance Optimization Architecture
Employs efficient calculation methods with null value handling for Volume RSI initialization and nz() functions preventing calculation errors during early bars. The system includes intelligent state persistence maintaining previous trend during ambiguous conditions and optimized gradient calculations balancing visual quality with computational efficiency across extended historical periods.
🔶 Why Choose Volume-Adjusted CCI Trend ?
This indicator delivers sophisticated trend identification through multi-layered confirmation combining directional EMA analysis, volume-weighted normalization, and momentum validation via CCI filtering. Unlike traditional trend indicators relying solely on price-based calculations, the volume adjustment mechanism ensures signals strengthen during high-participation moves and weaken during low-volume drifts, reducing false breakouts and choppy market whipsaws. The system's requirement for simultaneous EMA direction, normalized threshold breach, and CCI momentum confirmation creates institutional-grade signal quality suitable for systematic trend-following approaches across cryptocurrency, forex, and equity markets. The volume-adjusted bands provide dynamic support/resistance references while the gradient strength visualization enables instant assessment of trend conviction for position sizing and risk management decisions.
Oscylatory skupione
Aura Squeeze Projections [Pineify]Pineify - Aura Squeeze Projections
This indicator combines the volatility compression detection of the TTM Squeeze methodology with an innovative "aura glow" visualization, offering traders a clear and aesthetically distinct way to identify low-volatility consolidation phases and anticipate breakout directions. By merging Bollinger Bands, Keltner Channels, and linear regression momentum analysis, the Aura Squeeze Projections provides actionable squeeze signals with directional bias.
Key Features
Visual "aura glow" effect highlighting squeeze zones and momentum shifts
Squeeze detection combining Bollinger Bands and Keltner Channels
Linear regression-based momentum for directional bias
Dynamic candle coloring reflecting current market state
Squeeze start and release signal markers
How It Works
The core logic identifies volatility compression by comparing Bollinger Bands to Keltner Channels. When the Bollinger Bands contract inside the Keltner Channel boundaries (BB upper < KC upper AND BB lower > KC lower), the market enters a "squeeze" state — a period of low volatility that often precedes significant price movement.
Momentum direction is calculated using a linear regression slope of the difference between price and its moving average. A positive slope indicates bullish momentum; negative indicates bearish momentum. This determines the anticipated breakout direction when the squeeze releases.
How Multiple Indicators Work Together
Bollinger Bands measure statistical volatility through standard deviation, expanding during high volatility and contracting during consolidation. Keltner Channels use Average True Range (ATR) for a smoother volatility envelope. When BB fits entirely within KC, volatility has compressed below normal levels — the squeeze condition.
The linear regression momentum component adds directional intelligence. Rather than simply detecting compression, it forecasts the likely breakout direction by analyzing the trend slope of price deviation from its mean. This synergy transforms a binary squeeze signal into an actionable directional setup.
Unique Aspects
The "aura glow" visualization creates gradient fills between the trend midline and Keltner boundaries, providing an intuitive heat-map style view of market conditions. Colors transition dynamically: gray during squeeze (consolidation), green for bullish momentum, and red for bearish momentum. This makes market state immediately recognizable at a glance.
How to Use
Watch for the gray squeeze state indicating volatility compression
Note the circle marker appearing above bars when squeeze begins
Observe when the diamond marker appears below bars — squeeze release
The color at release (green/red) indicates anticipated breakout direction
Use candle coloring for confirmation of momentum alignment
Customization
Lookback Length : Adjusts sensitivity (shorter = more signals, longer = fewer but stronger)
BB/KC Multipliers : Fine-tune squeeze detection threshold
Use EMA : Toggle between EMA (smoother) or SMA for the midline basis
Aura Transparency : Control visual intensity of the glow effect
Conclusion
Aura Squeeze Projections offers a refined approach to squeeze-based trading by combining proven volatility compression detection with momentum-based directional analysis and distinctive visual presentation. The indicator helps traders identify consolidation periods and prepare for breakouts with directional confidence. Best used alongside price action analysis and support/resistance levels for confirmation.
BIST Commander - Strategic MomentumDescription : This indicator is designed for retail investors who want to follow the trend without getting caught in market noise. It is optimized for 1-Hour, 2-Hour, and 4-Hour timeframes.
Key Features:
Triple Filter Mechanism: Checks Daily Bullish structure, Weekly Confirmation, and Momentum (CCI) simultaneously.
No Repaint: Signals are calculated based on fixed daily/weekly data to ensure stability.
Anti-Noise: By using a strict CCI threshold (95/-85), it avoids premature entries in sideways markets.
Strategy Logic:
BUY: Active when the price is above Today's Open AND Yesterday's High AND Weekly Open AND CCI is above 95.
SELL: Triggered when CCI loses momentum (falls below 85) or enters a bearish zone.
Note: This is a trend-following tool. It works best in trending markets and helps you stay disciplined.
EMA Exhaustion + ContinuationA fast, mechanical scalping system that detects EMA exhaustion, filters with RSI, and manages exits plus continuations.
This indicator is designed for ultra‑short timeframe scalping, where speed and clarity matter more than anything else. It combines three core elements into one mechanical workflow:
- EMA Spread Exhaustion
The system measures the distance between fast and slow EMAs relative to ATR. When the spread reaches extreme levels and then begins to contract, it signals exhaustion — the point where momentum is likely to stall or reverse. This gives traders a structural way to identify setups without relying on subjective “feel.”
- RSI Filter (Accelerated for Scalping)
A shortened RSI (default length 7) is normalized by ATR to match the tempo of 15‑second scalps. This filter ensures that entries only trigger when momentum aligns with the exhaustion signal, reducing false positives and keeping trades in sync with volatility.
- Entry, Exit, and Continuation Logic
- Entries:
- Long entry triggers when spread retreats, EMA‑3 crosses price, and RSI confirms bearish exhaustion (RSI < 0).
- Short entry triggers under the opposite conditions (spread retreat, EMA‑3 cross, RSI > 0).
- Icons: Blue arrow up for longs, Red arrow down for shorts.
- Exits:
- Long exits occur when price closes below the 7 EMA smoothed by SMA‑2 while all EMAs are still sloping upward.
- Icon: Yellow cross above the candle.
- Continuations:
- Long continuation triggers when price dips below EMA‑9 and then reclaims above it.
- Short continuation triggers when price closes above EMA‑9 and then reclaims below it.
- Icons: Green triangle up for long continuation, Purple triangle down for short continuation.
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- Apply the indicator to your chart. I use 15 second chart
- Watch for blue/red arrows — these are your primary entry signals.
- Respect yellow crosses — they mark mechanical exit points.
- Use green/purple triangles to re‑engage continuation trades after shallow pullbacks. I only take the first continuation signal above/below the 20 EMA.
- Keep the RSI filter active to avoid chasing false setups.
- Combine with your risk management rules (position sizing, stop placement) for full system integrity.
Momentum Status Tracker by VKKScript Coder: Vivek K.
Disclaimer : Use this indicator at your own risk. Do proper back testing to make sure it works for you. I am not responsible for any losses you may have. Indicator may give false signals during consolidation state. Make sure to use other indicators for correct momentum or directional confirmations.
Bullish: Price is above the 5, 13, 20 EMAs AND the VWAP.
Bearish: Price is below the 5, 13, 20 EMAs AND the VWAP.
Cautious: This triggers when the "stack" is broken. For example, if you are in a clear uptrend but the price closes below the 5 EMA, the table will flip to Cautious to warn you of a potential slowdown.
Neutral: Used as a fallback if the price is chopping directly inside the EMA cluster.
Confluence Framework ProConfluence Framework Pro is a discretionary market-context indicator that evaluates whether trend, structure, momentum, volume, and value are aligned in the same direction.
Instead of producing frequent entry signals, the script focuses on identifying periods of strong participation and avoiding low-quality or extended market conditions.
All calculations are performed on confirmed bar close and the indicator does not repaint.
How the indicator works
The framework evaluates eight independent components on every bar:
Trend & Direction
Supertrend direction
EMA position (price above/below long-term EMA)
Value
Distance of price from session VWAP using ATR-normalized thresholds
Momentum & Participation RSI slope and level (above/below 40)
Recent MACD crossover strength
ADX trend strength with DI confirmation
Volume Current volume compared to its moving average
Market Structure
Breakout of recent swing highs/lows using an ATR buffer
Each component contributes:
A binary match (used for minimum confluence requirements)
A weighted score (used for strength grading)
Confluence scoring & grading
Each condition contributes a fixed weight to a total score:
Supertrend (20%)
EMA alignment (18%)
VWAP context (17%)
ADX trend strength (16%)
MACD momentum (12%)
Market structure breakout (7%)
RSI participation (5%)
Volume confirmation (5%)
The final score is converted into a grade:
A+ / A → strong multi-factor alignment
B → partial alignment
C → weak or early formation
The dominant side (bullish or bearish) becomes the displayed market bias.
Risk & market quality filters
Before any signal is allowed, the script blocks setups when:
Price is excessively far from EMA or VWAP (chasing condition)
Candle size is unusually large relative to ATR
Volume is below threshold
Market structure is weak
The dashboard displays the blocking reason (weak structure, low volume, big candle, or extended price).
Trading modes & risk profiles
Trading modes adjust indicator sensitivity:
Intraday: 5m–15m
Swing: 1H–4H
Positional: Daily+
Risk profiles modify thresholds:
Aggressive – earlier signals, looser filters
Balanced – default
Conservative – stronger confirmation, fewer signals
These settings affect ADX thresholds, minimum confluence count, volatility filters, and volume requirements.
Dashboard information
The on-chart dashboard displays:
Buy & sell scores
Current market bias
Market regime (Trending / Balanced / Chop)
Structure strength (Strong / Forming / Weak)
Setup context (Aligned / Wait)
Confluence grade
How to use
This indicator is intended as a market quality and bias filter, not a mechanical trading system.
Common uses:
Trade only in the direction of the displayed bias
Avoid entries when setup context is “WAIT”
Prefer A/A+ grades for continuation trades
Use structure state and regime to filter choppy markets
Best used alongside price action and risk management.
Important notes This is not an automated strategy
It does not provide take-profit or stop-loss levels
Alerts are contextual only
All trading decisions remain the user’s responsibility
Disclaimer
This indicator is provided for educational and informational purposes only and does not constitute financial advice. Past performance does not guarantee future results.
Master Cycle: Quantum Wave# AI Smart Signal: Quantum Wave Edition
**The Ultimate Market Co-Pilot: Precision Trend & Momentum Synthesis**
The **Quantum Wave** is not just another moving average; it is a sophisticated **Double-Smoothed Heiken Ashi Oscillator** designed to mathematically filter out market noise and visualize the true underlying trend structure.
This script combines three powerful engines into one "Master" system:
1. **Quantum Cycle Logic:** A proprietary algorithm that smooths price action to reveal the dominant "Heartbeat" of the market.
2. **Adaptive Momentum Visuals:** Dynamic dot sizing that reacts to volatility expansion and contraction.
3. **Smart Regime Filtering:** An AI-driven filter (ADX & Volatility) that automatically suppresses signals during dangerous "Choppy" or sideways markets.
---
## 🔬 Scientific Methodology
### 1. The Quantum Smoothing Algorithm
Most indicators suffer from "Whipsaws" (fake signals) because they react to every candle wick. The Quantum Wave solves this by creating a **Synthetic Price Series**.
* **Step 1:** It normalizes Open, High, Low, and Close data.
* **Step 2:** It applies a dual-layer Exponential Smoothing filter.
* **Result:** A clean, flowing "Ribbon" that ignores noise and only turns when the actual trend structure shifts.
### 2. Dynamic Momentum Sizing (The "Living" Dots)
The visual dots on the chart are "alive". They resize in real-time based on the **Body Strength** of the movement:
* 🔵 **Small Dots (Weak/Range):** Indicates the market is resting or deciding. *Guidance: STAY OUT / WAIT.*
* 🟢 **Medium Dots (Trend):** Indicates a confirmed healthy trend. *Guidance: ENTER / HOLD.*
* 🟡 **Large Dots (Power):** Indicates a high-volatility expansion phase. *Guidance: MAX PROFIT POTENTIAL.*
---
## 🛠️ Key Features
* **Instruction Overlay:** A built-in Dashboard tells you exactly what to do (BUY, SELL, HOLD, or WAIT) based on complex logic, simplified into one word.
* **Auto-Timeframe Detection:** The sensitivity automatically adjusts whether you are scalping (1-min) or Swing Trading (Daily).
* **Market Structure Labels:** Automatically identifies Higher Highs (HH) and Lower Lows (LL) to confirm trend direction.
* **Demand & Supply Zones:** Auto-plots key reaction levels for Take Profit targets.
---
## 🎯 How to Trade
**For a BUY Setup:**
1. **Trend:** Ensure the Quantum Wave (Dots) are **GREEN**.
2. **Momentum:** Look for the dots to grow from Small to Medium.
3. **Confirmation:** Wait for the Dashboard to read "ACTION: BUY".
**For a SELL Setup:**
1. **Trend:** Ensure the Quantum Wave (Dots) are **RED**.
2. **Momentum:** Look for the dots to grow from Small to Medium.
3. **Confirmation:** Wait for the Dashboard to read "ACTION: SELL".
---
Chaos Chameleon Risk Reactor [JOAT]# Chaos Chameleon Risk Reactor
Chaos Chameleon Risk Reactor is a Pine Script v6 indicator that fuses pattern-based reversal detection with real-time risk telemetry. It answers two questions on every chart: Is a reversal developing with genuine confluence? And if I take it, what does my risk profile look like right now?
Note: This script is published as an invite-only INDICATOR. It does not generate backtesting results or automated trade execution. Access requires authorization through the script's access control settings.
## Why This Script Merits Invite-Only Protection
This indicator combines multiple analytical dimensions that individually exist as separate tools across the trading community. The value proposition lies in the specific integration methodology and risk-gated scoring system that synthesizes:
Pattern intelligence engine detecting 10 candlestick patterns with weighted scoring and configurable thresholds
Multi-timeframe confirmation using dual higher timeframes with adjustable weight multipliers
Volatility context engine with shock index, compression detection, and squeeze identification
Risk architecture calculating VaR proxy, drawdown tracking, heat metrics, and position sizing guidance
Signal gating logic requiring pattern score + RR + volume + trend alignment before any signal fires
Persistent risk console dashboard displaying 28 real-time metrics across 14 rows
The proprietary elements include the mathematical scoring normalization system, the volatility penalty multipliers during shock conditions, the priority-based label cooldown system preventing overlap, and the multi-module integration logic that prevents conflicting signals. While individual components like EMAs and RSI are standard, their specific combination, the composite risk-gated methodology, and the multi-module integration represent original development work that justifies source code protection.
## How Components Work Together
The indicator's value comes from how its modules interact, not from any single component:
Data Flow:
Pattern detection identifies candlestick formations and assigns weighted scores (0-20 scale)
Multi-timeframe EMAs establish directional bias across primary and secondary confirmation timeframes
Volatility engine assesses shock conditions and compression states, applying penalty multipliers
Risk architecture calculates RR ratios, VaR proxy, drawdown, and heat metrics
Signal gating requires ALL conditions to align before any entry signal appears
Dashboard displays all metrics persistently so risk is never hidden during trade management
Integration Logic:
Each module produces normalized scores that feed into the final signal decision:
Pattern score normalized to 0-1 scale against 20-point maximum
EMA trend bias applies 1.0x multiplier when aligned, 0.6x when counter-trend
RSI momentum applies 1.0x when favorable (>55 bull, <45 bear), 0.8x otherwise
Volatility shock applies 0.92x penalty during active shock conditions
Final signal requires smoothed score ≥ 0.55, RR ≥ floor, volume confirmed, EMA aligned, no emergency
Why This Integration Matters:
A standard pattern detector might signal "buy" on a hammer while volatility is in shock mode, RR is below minimum, and volume is below baseline. The risk-gated scoring system catches these conflicts and suppresses the signal. This multi-dimensional validation is what separates this indicator from simple pattern detectors that fire on any match.
## Core Functionality
This indicator addresses the challenge of combining reversal detection with persistent risk visibility. Most pattern indicators show entries but leave risk management to guesswork. This script keeps risk math in your field of view throughout the trade.
What This Script Does:
Detects 10 candlestick patterns: Hammer, Inverted Hammer, Doji, Bullish/Bearish Engulfing, Morning Star, Evening Star, Piercing Pattern, Dark Cloud Cover, Tweezer Top/Bottom, Continuation Flags
Multi-timeframe confirmation using two configurable higher timeframes with weight multipliers
RSI divergence detection at confirmed pivot points with configurable pivot span
Liquidity sweep identification when price breaks recent extremes then reverses
Volatility shock detection combining body-to-ATR ratio with ATR expansion metrics
Squeeze/compression detection tracking ATR relative to baseline
Risk/Reward calculation using ATR-based stop and target projections
VaR proxy calculation using log-return standard deviation with configurable confidence levels
Drawdown and heat tracking as exposure proxies with emergency thresholds
Position sizing guidance based on account size and risk per trade percentage
Adaptive trailing stop that updates as price moves favorably
28-metric risk console dashboard with real-time updates
## Technical Architecture
### Pattern Intelligence Module
The indicator detects 10 candlestick patterns with configurable parameters and weighted scoring:
Hammer/Inverted Hammer (weight: 2.0) - Configurable lower shadow ≥ body × 2.5, upper shadow ≤ body × 0.5, body ≤ range × 0.35
Doji (weight: 0.5) - Body ≤ range × 0.1 threshold
Bullish/Bearish Engulfing (configurable weight, default: 1.5) - Current candle engulfs prior candle body
Morning Star/Evening Star (weight: 1.8) - Three-candle reversal with doji middle
Piercing Pattern/Dark Cloud Cover (configurable weight, default: 1.1) - Two-candle reversal patterns
Tweezer Top/Bottom (configurable weight, default: 1.0) - Equal highs/lows within 15% tolerance
Continuation Flags (configurable weight, default: 0.75) - 7-bar high/low with volume confirmation
Each pattern contributes to a cumulative score (0-20 scale) that gets normalized, filtered through trend/volume confirmation, and penalized during volatility shock before any signal appears.
### Multi-Timeframe Confirmation Engine
The script uses two confirmation timeframes to establish directional bias:
Primary Confirmation Timeframe (default: 240m/4H) - Higher TF Weight multiplier (default: 1.5x)
Secondary Confirmation Timeframe (default: 60m/1H) - Secondary TF Weight multiplier (default: 1.0x)
MTF data uses request.security with lookahead_off to prevent future data leakage. EMA bias from higher timeframes increases pattern score weight. RSI values from both timeframes are fused into a consensus score for composite confidence calculation.
### Volatility Context Engine
Shock Index - Combines body-to-ATR ratio (threshold: 1.8x) with ATR expansion relative to baseline (threshold: 1.4x)
Compression Lab - Tracks ATR compression ratio (lookback: 21 bars, threshold: 0.85) to identify squeeze conditions
Squeeze Detection - Identifies when compression ratio falls below threshold; tracks squeeze initiation and release
Volatility Penalty - During active shock, pattern scores receive 0.92x multiplier to reduce false signals
### Risk Architecture
Risk/Reward Calculation - Uses ATR × Exit Stop Multiplier (default: 1.2) for stop, ATR × Exit Target Multiplier (default: 2.4) for target
VaR Proxy - Log-return standard deviation × Z-score (90%: 1.28, 95%: 1.65, 99%: 2.33) × √horizon days × account size
Drawdown Tracking - Percentage decline from highest close over lookback period (default: 200 bars)
Heat Metric - ATR% × correlation factor as exposure proxy
Emergency Exit - Triggers when drawdown ≥ threshold (default: 12%), heat ≥ threshold (default: 18%), or RR below floor
Position Sizing - (Account size × risk%) ÷ dollar risk per share
### Signal Gating Logic
A signal only prints when ALL conditions align:
Smoothed pattern score ≥ 0.55 (normalized)
Risk/Reward ≥ minimum floor (default: 1.6)
Volume > baseline × confirmation multiplier (default: 1.25x)
EMA bias confirms direction (Fast EMA vs Slow EMA alignment)
No emergency condition active
### Exit Engineering
EMA Exit - Price crosses EMA with ATR buffer (default: 0.25 ATR)
Time Exit - Configurable bar count since signal (default: 120 bars)
Emergency Exit - Drawdown, heat, or RR threshold breach
Adaptive Trailing Stop - ATR × trail multiplier (default: 0.85), updates as price moves favorably
### Priority-Based Label System
A cooldown mechanism (default: 8 bars) prevents label overlap. Labels are prioritized:
Priority 1: Bull/Bear Signal (Long/Short labels with score)
Priority 2: RSI Divergence (RSI Div triangles)
Priority 3: Liquidity Sweep (Sweep arrows)
Priority 4: Continuation (Flag circles)
Priority 5: EMA Exit (EMA Exit crosses)
Priority 6: Time Exit (Time Exit diamonds)
Priority 7: Burst (compression release diamonds)
Only the highest priority signal displays per cooldown period.
## Visual Elements
Primary Source as Open with Confirmation TimeFrames as 4hr and Daily.
Signal Labels:
"Long" / "Short" - Primary entry signals when all gating conditions pass, displays smoothed score (0.00-1.00)
Pattern Markers:
"Sweep" (Arrow up/down) - Liquidity sweep detected, price broke recent extreme then reversed
"RSI Div" (Triangle up/down) - RSI divergence at confirmed pivot points
"Flag" (Circle) - Continuation pattern with volume confirmation
"Burst" (Diamond at top) - Compression release, squeeze ending
"Pred" (Flag shape) - Predator mode: bull signal + low heat + ADX > 25 + no squeeze
"EMA Exit" (Cross) - Price crossed EMA with ATR buffer
"Time Exit" (Diamond) - Time-based exit threshold reached
"Emergency" (X-cross at top) - Emergency exit conditions active
Camouflage Bands:
EMA-based bands (default: 34-period) with ATR envelopes (default: 1.8x multiplier):
Above upper band = bullish tone (lime color)
Inside bands = neutral tone (gray color)
Below lower band = bearish tone (red color)
Transparency adjusts dynamically based on distance from midline
Execution Guides:
Stop line (red) - ATR × Exit Stop Multiplier from entry
Target line (green) - ATR × Exit Target Multiplier from entry
Trail line (yellow) - Adaptive trailing stop, updates as price moves favorably
Bias Bar Coloring:
Bars colored based on net bias (bull score minus bear score). Emergency conditions override with red. Transparency reflects bias magnitude.
Background Tint:
Red tint - Emergency exit conditions active
Gray tint - Squeeze/compression active
## Risk Console Dashboard
Showing Emergency Bearish Signals, and Burst into Bullish Structure on Chart:
The dashboard displays 28 metrics across 14 rows in a 4-column table (bottom-right position):
Row 1 - Pattern Scores:
Bull Score - Current bullish pattern strength (0.00-1.00)
Bear Score - Current bearish pattern strength (0.00-1.00)
Row 2 - Volatility & Trend:
ATR% - ATR as percentage of price
ADX - Average Directional Index strength
Row 3 - Risk/Reward:
RR Long - Risk/Reward ratio for long positions
RR Short - Risk/Reward ratio for short positions
Row 4 - Exposure Metrics:
Drawdown% - Chart-level drawdown from highest close
Heat% - Volatility-based exposure proxy
Row 5 - Bias Analysis:
Net Bias - Bull score minus bear score
Confidence - Level (High/Medium/Developing/Forming) with bias label (Bullish/Bearish/Balanced)
Row 6 - Risk Metrics:
VaR - Value at Risk proxy with configured confidence level
Shock - Volatility shock status with multiplier (Active/Calm)
Row 7 - Momentum:
Slope - Smoothed RSI momentum slope
Div / Sweep - Last divergence and sweep events
Row 8-9 - Execution Levels:
Stop L / Stop S - Current stop levels for long/short
Trail L / Trail S - Adaptive trailing stop levels
Row 10 - Position Sizing:
Pos Size L / Pos Size S - Recommended position sizes based on account and risk settings
Row 11 - Exit Status:
Emergency - Emergency exit status (ACTIVE/Clear)
Time Exit - Time-based exit status (Pending/n/a)
Row 12 - Performance Proxies:
Sharpe* - Sharpe ratio proxy (annualized from chart data)
Sortino* - Sortino ratio proxy
Row 13 - Additional Metrics:
Hit Rate - Win rate proxy from chart data
Camouflage - Band position (Above/Inside/Below) + Squeeze status (Coiled/Expansion/Normal) with compression ratio
Proxy Disclaimer: VaR, Sharpe, Sortino, and Hit Rate are derived from chart data with simplified assumptions. They provide context, not audited performance statistics.
## Complete Configuration Reference
Customized Settings with a new Primary Source, and New Risk:
### Trend & Confirmation Group
Primary Source (default: close) - Price source for calculations. Options: open, high, low, close, hl2, hlc3, ohlc4, hlcc4
Fast EMA Length (default: 21) - Fast exponential moving average period
Slow EMA Length (default: 55) - Slow exponential moving average period
Confirmation Timeframe (default: 240/4H) - Primary higher timeframe for trend confirmation
Higher TF Weight (default: 1.5) - Weight multiplier for primary timeframe signals
Secondary Confirmation TF (default: 60/1H) - Secondary timeframe for additional confirmation
Secondary TF Weight (default: 1.0) - Weight multiplier for secondary timeframe signals
Pattern Score Smoothing (default: 3, range: 1-15) - EMA smoothing applied to pattern scores
### Pattern Intelligence Group
Hammer Lower Shadow ≥ Body × (default: 2.5) - Minimum lower shadow to body ratio for hammer detection
Hammer Upper Shadow ≤ Body × (default: 0.5) - Maximum upper shadow to body ratio for hammer detection
Hammer Body ≤ Range × (default: 0.35) - Maximum body to candle range ratio for hammer detection
Doji Body ≤ Range × (default: 0.1) - Maximum body to range ratio for doji detection
Engulfing Weight (default: 1.5) - Score weight for engulfing patterns
Continuation Pattern Weight (default: 0.75) - Score weight for continuation patterns
Piercing / Dark Cloud Weight (default: 1.1) - Score weight for piercing and dark cloud patterns
Tweezer Weight (default: 1.0) - Score weight for tweezer patterns
Volume Lookback (default: 30) - Bars for volume baseline calculation
Volume Confirmation Multiplier (default: 1.25) - Volume must exceed baseline × this value
RSI Divergence Pivot Span (default: 5, range: 1-20) - Bars for pivot detection in divergence analysis
Show RSI Divergence Markers (default: true) - Toggle RSI divergence labels
Highlight Liquidity Sweeps (default: true) - Toggle liquidity sweep detection
Liquidity Sweep Lookback (default: 20) - Bars to look back for sweep floor/ceiling
### Risk Architecture Group
ATR Length (default: 14) - Period for Average True Range calculation
ATR Position Sizing Multiplier (default: 1.5) - Multiplier for ATR-based position sizing
Account Size (default: 100,000) - Base currency account size for position sizing
Risk Per Trade % (default: 1.0%, range: 0.1-10%) - Percentage of account to risk per trade
Correlation Heat Factor (default: 1.0, range: 0.5-3.0) - Multiplier for heat metric calculation
VaR Confidence (default: 95%) - Confidence level for VaR calculation. Options: 90%, 95%, 99%
VaR Lookback (default: 100, min: 20) - Bars for VaR standard deviation calculation
VaR Holding Horizon (default: 1 day, range: 1-10) - Days for VaR projection
Drawdown Lookback (default: 200, min: 50) - Bars for drawdown calculation
Emergency Drawdown Threshold % (default: 12%, range: 2-50%) - Drawdown level triggering emergency exit
Portfolio Heat Threshold % (default: 18%, range: 5-50%) - Heat level triggering emergency exit
Minimum Risk/Reward (default: 1.6, min: 0.5) - Minimum RR required for signal generation
Performance Lookback (default: 60, range: 20-500) - Bars for Sharpe/Sortino/Hit Rate calculations
### Flow & Volatility Group
Shock Index Lookback (default: 20, min: 5) - Bars for shock baseline calculation
Shock Sensitivity (default: 1.8) - Body ÷ ATR threshold for shock detection
Volatility Shock Threshold (default: 1.4) - ATR ÷ baseline threshold for shock detection
Momentum Slope Length (default: 21) - Bars for RSI slope calculation
### Exit Engineering Group
Exit Stop ATR × (default: 1.2, min: 0.5) - ATR multiplier for stop placement
Exit Target ATR × (default: 2.4, min: 0.5) - ATR multiplier for target placement
EMA Exit ATR Buffer (default: 0.25, range: 0-5) - ATR buffer for EMA exit detection
Time-Based Exit Bars (default: 120, min: 10) - Bars before time exit triggers
Show Adaptive Trailing Guides (default: true) - Toggle trailing stop visualization
Trailing Stop ATR × (default: 0.85, range: 0.2-5) - ATR multiplier for trailing stop
### Visualisation Group
Show Reversal Labels (default: true) - Toggle main Long/Short signal labels
Show Continuation Labels (default: true) - Toggle Flag continuation labels
Display Risk Console Table (default: true) - Toggle dashboard visibility
Show Execution Bands (default: true) - Toggle stop/target level lines
Show Risk Pulse Panel (default: true) - Toggle heat ratio histogram in separate pane
Show Pattern Heat Histogram (default: true) - Toggle bull/bear pattern strength histogram in separate pane
Bias Bar Coloring (default: true) - Toggle bias-based bar coloring
Show Camouflage Bands (default: true) - Toggle EMA envelope bands
Show Tactical Markers (default: true) - Toggle Burst/Predator markers
Label Cooldown Bars (default: 8, range: 1-50) - Minimum bars between labels to prevent overlap
Camouflage EMA Length (default: 34, min: 2) - Period for camouflage band midline
Camouflage ATR Multiplier (default: 1.8, min: 0.5) - ATR multiplier for band width
Squeeze Lookback (default: 21, min: 5) - Bars for squeeze baseline
Squeeze Compression Threshold (default: 0.85, range: 0.1-2.0) - Ratio below which squeeze is active
### Color Customization
Bull Skin Color (default: lime) - Primary bullish color for camouflage bands
Bear Skin Color (default: red) - Primary bearish color for camouflage bands
Neutral Skin Color (default: gray 60%) - Neutral/inside band color
Accent Color (default: teal) - Accent for continuation patterns
Bull Primary (default: lime) - Bull signal and metric color
Bear Primary (default: red) - Bear signal and metric color
Neutral Tone (default: gray 75%) - Neutral background tone
Pulse Accent (default: aqua) - Heat pulse accent color
## Alert System
The script includes six alert conditions:
Bull Signal - Fires when bullish reversal detected with all gating conditions met (pattern score ≥ 0.55, RR ≥ floor, volume confirmed, EMA aligned, no emergency)
Bear Signal - Fires when bearish reversal detected with all gating conditions met
Long Exit - Fires when exit logic triggered for long positions (EMA break, time exit, or emergency)
Short Exit - Fires when exit logic triggered for short positions
Squeeze Release - Fires when compression ends and expansion begins (potential breakout)
Predator Mode - Fires when strong trend alignment with favorable conditions (bull signal + low heat + ADX > 25 + no squeeze)
All alerts fire once per bar at bar close.
Bearish Alert Signal:
## Technical Implementation Notes
Pine Script v6 compliant
All request.security calls use barmerge.gaps_off and barmerge.lookahead_off to prevent historical repainting
RSI divergence and liquidity sweep detection rely on confirmed pivot points only
All calculations include nz() wrappers and division-by-zero guards for real-time stability
Label cooldown system prevents visual overlap using priority-based filtering
Dashboard updates only on last confirmed history bar or realtime to optimize performance
Plot count optimized to stay within TradingView's 64-plot limit
## Usage Considerations
Timeframe Selection: The indicator works across all timeframes. Default confirmation timeframes (4H/1H) are optimized for swing and intraday trading. Scalpers may prefer 15m/5m confirmation; position traders may extend to Daily/4H.
Market Compatibility: Tested on forex, crypto, stocks, and indices. Pattern detection works best on liquid markets with clean price action. Adjust volume lookback for markets with irregular volume data.
Signal Interpretation: Signals indicate confluence across multiple dimensions but do not guarantee profitable outcomes. Use in conjunction with risk management and market context. The indicator is a tool for analysis, not a standalone trading system.
Resource Usage: With all features enabled, the script operates within TradingView's resource budgets. Disable unused visual elements (camouflage bands, pattern heat histogram, risk pulse panel) if running multiple instances on a single layout.
## Limitations & Compromises
Heat, drawdown, and performance values are chart-derived proxies dependent on your inputs-they do not reflect actual portfolio performance
The indicator does not know your broker fills, fees, leverage, slippage, or actual portfolio holdings
VaR, Sharpe, Sortino, and Hit Rate are simplified proxies using chart data, not audited statistics
Pattern detection may produce false signals during extended consolidation or low-volume conditions
Multi-timeframe confirmation requires sufficient historical data on higher timeframes
Signals are informational-always use broker-side risk controls and proper position sizing
Past pattern performance does not guarantee future results
The indicator is optimized for trending and reversal markets. Performance may degrade during extended sideways consolidation or during major news events when patterns become unreliable.
## Disclaimer
This script is provided for informational and educational purposes only and does not constitute financial advice. Trading involves substantial risk of loss. You are solely responsible for your own trading decisions. Past results shown on any chart do not guarantee future performance. Always conduct your own analysis and use appropriate risk management.
If anyone has any questions please feel free to talk to me on anything! Would love to help everyone out!
Made with passion by officialjackofalltrades
AI Smart Signal (MASTER)# User Guide: AI Smart Signal (MASTER)
**The Ultimate All-In-One Trading System**
This comprehensive indicator combines the power of trend following, momentum analysis, and market structure into a single, intelligent tool. It is designed to act as your "Co-Pilot" in the market, providing clear signals and filtering out noise.
---
## 1. Visual Overview
### The Quantum Dots (Wave)
The core of the system is the **Smoothed Heiken Ashi** ribbon, displayed as dynamic dots by default.
- **Green Dots**: Bullish Trend (Look for BUY).
- **Red Dots**: Bearish Trend (Look for SELL).
- **Dot Size**:
- *Small*: Weak market / Ranging.
- *Medium*: Strong Trend.
- *Large*: **HIGH MOMENTUM** (Powerful Move).
### The Instruction Overlay
A dashboard on the chart provides real-time guidance:
- **TREND**: Shows if the market is currently Up or Down.
- **MOMENTUM**: Analyzes the strength of the move (Weak/Strong/Power).
- **ACTION**: Suggests to "HOLD", "BiUY", "SELL", or "WAIT".
---
## 2. Key Features
### A. Signal Strategy
You can choose your preferred entry signal logic in the settings:
1. **AI Smart Signal (Default)**: Uses a SuperTrend-based adaptive algorithm.
2. **Heiken Ashi Reversal**: Signals when the Quantum Wave changes color.
3. **Market Structure**: Signals on Higher Highs (HH) and Lower Lows (LL).
4. **EMA Crossover**: Signals when Fast EMA crosses Slow EMA.
### B. Smart Filters
- **Sideways Filter**: Automatically hides signals when the ADX (trend strength) is low (< 15), preventing losses during choppy markets.
- **Auto Timeframe**: The indicator automatically adjusts its sensitivity based on the chart timeframe (e.g., faster settings for 1-minute, stable settings for Daily).
### C. Additional Tools (Toggle ON/OFF)
- **Demand & Supply Zones**: Auto-draws support and resistance rectangles.
- **Market Structure**: Labels Highs and Lows (HH, HL, LH, LL).
- **Volume Profile**: Shows value areas on the side of the chart.
- **Turtle Channels**: Donchian Channel breakout levels.
- **Multi-Timeframe**: See trend status of higher timeframes on your current chart.
---
## 3. How to Trade
### Long Setup (BUY)
1. **Trend Check**: The Quantum Dots or Ribbon must be **GREEN**.
2. **Signal**: Wait for a **BUY** label or "Cycle Hijau" confirmation.
3. **Validation**: Ensure the "ACTION" dashboard says "BUY" or "HOLD".
4. **Stop Loss**: Place below the recent Swing Low or Demand Zone.
### Short Setup (SELL)
1. **Trend Check**: The Quantum Dots or Ribbon must be **RED**.
2. **Signal**: Wait for a **SELL** label or "Cycle Merah" confirmation.
3. **Validation**: Ensure the "ACTION" dashboard says "SELL" or "HOLD".
4. **Stop Loss**: Place above the recent Swing High or Supply Zone.
---
## 4. Settings Guide
- **Visual Settings**: Change "Visual Style" from Dots to Candles, Line, or Ribbon.
- **Signal Strategy**: Switch entry logic here.
- **Dashboard**: Toggle the AI Dashboard ON/OFF or change its size.
Viper Oscillator🔶 Overview
The Mkt-Viper Oscillator is a specialized Kinetic Momentum Engine engineered for Precision Timing and energy measurement. It serves as a high-fidelity market oscilloscope, designed to decode the raw velocity of price action and identify high-probability entry and exit points with enhanced clarity.
Markets move with varying degrees of force and resistance. Mkt-Viper Oscillator analyzes this behavior by utilizing a Kinetic Momentum Model. It measures Price Displacement against Market Viscosity (a dynamic resistance filter) to determine the true energy behind a move. By filtering out low-energy "drift," this approach allows traders to gauge the true strength of a trend and identify moments of momentum exhaustion or renewal.
🔶 What makes Mkt-Viper Oscillator unique?
The Viper Oscillator distinguishes itself through its Multi-Dimensional Calculation Matrix. Rather than relying on a single data source, it fuses Price Action, Volume Flow, and Volatility (Z-Score) into a single output.
The core engine measures Market Inertia. By applying a "Denoising Kernel" and recursive smoothing algorithms, it filters out erratic ticks to visualize the smooth, hydrodynamic flow of money entering and exiting the asset, providing a clearer picture of market intent.
Main Features
🔶 The Core Oscillator
The central Line or Ribbon of the oscillator represents the "Engine Core." It visualizes the battle between momentum (Torque) and resistance (Drag).
Visual Modes:
Standard:
Uses a multi-layered rendering technique (Core + Outer Glow) to create a crisp, high-visibility "Neon" line.
Ribbon Mode:
Displays a Signal Line cross system. When the fast line crosses the slow "Trail," it signals a micro-shift in momentum.
Momentum Flips:
The oscillator plots discrete Circles on the ribbon when the slope flips direction. These mark the precise moment momentum shifts from expansion to contraction.
🔶 Kinetic Exhaustion Zones
Standard oscillators often use static lines (like 70/30) that provide little context on trend strength. The Viper Oscillator replaces these with dynamic Kinetic Exhaustion Zones.
The Logic:
These zones represent the limits of "Market Torque." Instead of a binary On/Off signal, the zones function as a gradient stress field.
Visuals (Adaptive Glow):
The system utilizes a programmed opacity gradient.
Fade In:
The zones begin to materialize when the Core passes a certain threshhold (Moderate Momentum).
Maximum Glow:
As the oscillator begins to travel deeper beyond the threshold (Peak Torque), the zones glow with maximum intensity, signaling that the move is becoming statistically stretched or overextended.
Usage:
In a strong trend, the oscillator can "pin" inside the glow zone. This is a sign of immense strength, not a reversal. The reversal signal occurs when the Core exits the glow zone and returns toward the mean.
🔶 Z-Score Velocity Line
Floating above the main oscillator is the Velocity Line (Thin Line). This is not just a second oscillator; it is a volatility-adjusted Z-Score.
The Logic:
It measures the speed of price change relative to the current volatility conditions.
Usage:
When the Velocity Line spikes aggressively while the main Oscillator moves slowly, it is an early warning sign for a potential pullback.
🔶 Money Flow Wave (Background)
The background of the oscillator features a subtle, filled "Wave." This is the Money Flow Index (MFI) overlay.
The Logic:
This layer tracks volume-weighted price action. It allows you to see Divergences between Price and Volume.
Usage:
If the Kinetic Core (Price Momentum) is making a Higher High, but the Money Flow Wave (Volume) is making a Lower Low, it indicates a "Hollow Rally" lacking institutional backing.
🔶 Sigma Sniper Signals
The system constantly monitors Volume Volatility using a 3.0 Sigma (Standard Deviation) threshold.
Visuals:
When a volume spike exceeds 3 standard deviations from the mean (a statistical anomaly), a small "⌃" or "⌄" symbol appears at the top or bottom of the panel.
Meaning:
This marks a potential Volume Climax. It signifies potential capitulation (panic selling) or euphoria (fomo buying). These points are possibly probable reversal areas.
🔶 Trend Power Bar
Located at the very bottom of the pane is the Trend Power Bar. This is a binary filter designed to keep you on the right side of the macro flow.
The Logic:
It uses a "Linkage Kernel" (Correlation Coefficient) to measure the alignment of the trend.
Green:
Macro Trend is Bullish.
Red:
Macro Trend is Bearish.
Opacity:
The bar becomes transparent when the trend is weakening, warning you of potential consolidation.
🔶 Fractal Divergences
Timing reversals requires spotting the disconnect between price and momentum. The Divergence Engine uses Fractal Geometry to detect these setups automatically.
Regular Divergence:
Draws lines connecting peaks or valleys where Price pushes further but Momentum fails to follow. These are potential reversal signals.
🔶 Synthetic Resolution Scaler (MTF)
Traders often need to see higher-timeframe momentum without changing charts. The Resolution Scaler allows you to project higher-timeframe data onto your current chart.
How it works:
Instead of using repainting request.security calls, the script mathematically scales the internal lookback periods (Lengths) to simulate higher timeframes (e.g., viewing Hourly momentum on a 15-minute chart) while maintaining smooth, real-time updates.
🔶 Visual Intelligence (Theme Engine)
Visual clarity is essential for rapid decision-making. A cluttered or poorly contrasted chart can lead to cognitive fatigue. To address this, the Viper Oscillator features a global Color Theme Engine that instantly synchronizes every element of the suite—signals, candles, clouds, and text—to a unified palette.
The Presets:
The system comes with five professionally designed profiles to suit different trading environments and lighting conditions:
Viper Original: High-contrast Neon Green & Purple (Optimized for Dark Mode).
Classic: Standard Green/Red configuration for traditionalists.
Cool Blues: A calming Blue/Violet palette designed to reduce emotional reactivity.
Ember & Ash: High-warmth Orange/Slate contrast.
Monochrome: Grayscale/Silver logic for distraction-free structural analysis.
Customization:
Traders with specific branding requirements or accessibility needs (such as color blindness) can select "Custom Theme." This unlocks distinct color inputs, allowing you to define your own specific Bullish, Bearish, and Neutral colors that instantly propagate across the entire indicator suite.
🔶 How to use: The "Timing" Workflow
Mkt-Viper Oscillator is designed to filter out premature entries. Rather than catching falling knives, we recommend a workflow based on Momentum Structure:
Strategy: Momentum Continuation (The HL/LH Setup)
The highest probability entries occur when momentum resets but the trend structure remains intact.
Trend Context:
Ensure the Trend Power Bar is Green (Bullish) or Red (Bearish).
Wait for Structure:
Do not buy the first dip. Wait for the Kinetic Core to print a Higher Low (HL) in a bullish trend or a Lower High (LH) in a bearish trend. This "Momentum Stair-Step" confirms that counter-trend energy has been exhausted.
The Trigger:
Enter when a Momentum Flip Circle (Dot) appears after this Higher Low or Lower High is established.
Exit:
Take profits when the Velocity Line spikes into the extremes or a Divergence line appears.
While powerful as a standalone unit, this engine is mathematically calibrated to pair with the Mkt-Viper Pro (Trend) and Mkt-Viper Edge (Structure) indicators.
Important:
This indicator is intended to be used with additional confluences and key areas. It is not recommended to blindly buy or sell the momentum flip dots.
🔶 Realistic Expectations & Methodology
Oscillator Lag:
All oscillators are derivative of price and inherently possess some lag. The "Kinetic" math reduces this lag significantly, but it cannot eliminate it entirely as it must process past data.
Signal Confirmation:
The "Flip Circles" and Reversal signals are confirmed on candle close. While they do not repaint history, they will wait for the bar to close before locking in. This is a safety feature to prevent fake-outs.
Trending vs. Ranging:
Oscillators perform best in Ranging markets or during Pullbacks in a trend. Using Overbought/Oversold signals blindly during a parabolic trend is dangerous, as momentum can stay "Overbought" for extended periods. Always check the Trend Power Bar context.
---------------------
Disclaimer
The content provided in my scripts, indicators, ideas, algorithms, and systems is for educational and informational purposes only. It does not constitute financial advice, investment recommendations, or a solicitation to buy or sell any financial instruments. I will not accept liability for any loss or damage, including without limitation any loss of profit, which may arise directly or indirectly from the use of or reliance on such information.
All investments involve risk, and the past performance of a security, industry, sector, market, financial product, trading strategy, back test, or individual's trading does not guarantee future results or returns. Investors are fully responsible for any investment decisions they make. Such decisions should be based solely on an evaluation of their financial circumstances, investment objectives, risk tolerance, and liquidity needs.
LAMI RSI INDIThis RSI indicator is built to do 2 things fast:
Catch momentum shifts when RSI crosses your overbought/oversold levels (customizable).
Detect regular divergence (bullish & bearish) so you can spot reversal clues early.
You’ll see arrows for level-cross signals, plus divergence labels to help confirm whether the move is losing strength.
Ghost Shadow [Bit2Billions]📌 Ghost Shadow — Adaptive Momentum & Divergence Engine
Ghost Shadow is a closed-source momentum intelligence system designed to provide a consistent, structured interpretation of momentum, divergence, and trend transitions across all markets and timeframes.
Traditional momentum indicators often behave inconsistently across assets, rely on fixed thresholds, or produce isolated signals with little context. Ghost Shadow addresses this by normalizing momentum behavior and synchronizing all momentum-related analysis into one adaptive framework driven by shared internal logic.
This script is not a simple mashup of public indicators.
All components operate from the same normalized momentum and swing engines, ensuring coherence, originality, and practical trading context.
📌 Reason for Mashup
Reliable momentum analysis cannot be achieved using isolated oscillators.
MACD behavior, stochastic momentum, divergence, candle structure, and supply/demand pressure are interdependent. When these tools are used separately, traders often encounter noise, contradictory signals, or inconsistent readings across markets.
Ghost Shadow intentionally combines these elements so that:
* Momentum is defined once using a normalized baseline
* All secondary analysis references that same momentum state
* Context is added without introducing conflicting signals
The mashup exists to standardize and contextualize momentum interpretation, not to merge unrelated indicators.
📌 How the Script Works
Ghost Shadow follows a single internal momentum pipeline:
### Step 1: Normalized Adaptive MACD Core
A proprietary normalization process converts MACD behavior into percentage-scaled momentum zones.
This allows momentum to behave consistently across symbols and timeframes instead of reacting differently in each market.
### Step 2: Heikin-Ashi-Style MACD Structure
MACD values are processed into smoothed, candle-style structures that define internal momentum swings.
These structures act as the reference point for all other modules.
### Step 3: Stochastic Momentum Layer
Stochastic momentum is evaluated using the same swing and normalization logic, providing adaptive OB/OS pressure rather than fixed levels.
### Step 4: Divergence Detection Engine
Price swings are compared against MACD and stochastic swings using past-data-only pivots.
This ensures divergence signals are structurally validated and non-repainting.
### Step 5: Contextual Confirmation Layers
Candle behavior, supply/demand pressure, and volume scoring respond to momentum shifts to provide confirmation and context rather than independent signals.
### Step 6: Dashboard Aggregation
All module outputs are summarized into a visual dashboard that presents directional bias and momentum state in a clear, centralized format.
Because all components reference the same normalized momentum structure, outputs reinforce rather than contradict each other.
📌 What Problem This Script Solves
Most traders experience the following issues with momentum tools:
• MACD behaving differently across markets
• Fixed OB/OS levels failing under changing volatility
• Divergence indicators that repaint or lack structure context
• Overcrowded charts from multiple momentum indicators
• Difficulty combining momentum, divergence, and candle behavior
Ghost Shadow solves these issues by providing:
• Consistent, normalized momentum behavior
• Volatility-responsive OB/OS logic
• Real-time, non-repainting divergence detection
• Integrated candle and pressure context
• A clean, unified visual workflow
The result is a clear momentum context instead of fragmented signals.
📌 Why This Momentum System Is Different From Standard Tools
Traditional momentum indicators:
• Use raw MACD values
• Rely on fixed thresholds
• Treat markets uniformly
• Generate isolated signals
Ghost Shadow:
• Normalizes momentum into percentage-based zones
• Adapts OB/OS behavior to volatility
• Evaluates momentum structurally
• Aligns divergence, stochastic pressure, and candle behavior
• Maintains consistency across timeframes
This makes Ghost Shadow a momentum interpretation system, not a basic oscillator.
📌 Why Traders Pay for This Script
Ghost Shadow justifies paid, invite-only access because it replaces multiple manual and automated momentum tools with a single closed-source framework built on original normalization and integration logic.
It replaces:
• Multiple MACD variations
• Separate stochastic indicators
• Standalone divergence scripts
• Candle-pattern scanners
• Manual momentum bias assessment
• Multi-timeframe momentum comparisons
The value is not in individual concepts such as MACD or stochastic, but in how they are normalized, synchronized, and contextually interpreted within one system.
This level of consistency, clarity, and workflow efficiency cannot be achieved by combining public indicators, which is why Ghost Shadow is offered as a closed-source, paid script.
📌 Usage Notes
Ghost Shadow is designed for momentum analysis and context building, not automated trade execution.
All visuals are intended to support interpretation and planning rather than generate guaranteed entries or exits.
📌 Key Features
• Normalized Adaptive MACD
Percentage-based MACD with dynamic overbought/oversold shading for stable momentum context across assets.
• Heikin-Ashi MACD Candles
Smooth, noise-reduced candle representation for clearer swing identification.
• Stochastic Candles & Signals
OB/OS highlights, adaptive zone shifts, and real-time divergence detection.
• Divergence Engine
Flexible detection of:
* Regular Divergence (bull & bear – dashed lines)
* Hidden Divergence (bull & bear – dotted lines)
* Live developing divergences using past-data only (no lookahead)
• Multi-Module Dashboard
A structured overview of everything happening on the chart in one place.
📌 Dashboard Metrics
📌 MACD Bias
Directional momentum & trend strength from the normalized MACD engine.
📌 Stochastic Bias
Short-term momentum read with OB/OS sensitivity.
📌 Candle Pattern Detection (70+ patterns)
Doji, Morning/Evening Star, Shooting Star, Hammer, Bearish/Bullish Engulfing, Harami, Piercing Line, Hanging Man, Spinning Top, Dark Cloud Cover, Raindrop/Doji, Tweezer Top/Bottom, Tower patterns, Inside/Outside Bar, Three Line Strike, Three White Soldiers, Three Black Crows, Marubozu, Tasuki patterns, Rising/Falling Three Methods — and many more.
📌 Body/Wick/Volume Ratios
Automatic interpretation of candle sentiment through proportional body/wick/volume analysis.
📌 Demand & Supply Strength
Real-time scoring of active candle pressure and MA-based supply/demand bias.
📌 Directional Bias
Aggregated long/short *lean* using combined momentum, divergence, and structure inputs.
*This is a contextual bias, not an automated signal.*
Higher-Timeframe Metrics
* HTF Trap Levels & Scoring
* HTF Volume Conditions
* HTF Price Action Alignment
* Quick HTF Bias Reads
📌 Market Summary
Consolidated sentiment, structure, and volatility status into one panel.
🔹 How Modules Work Together (Conceptual Overview)
Ghost Shadow uses a structured pipeline:
1. Normalized MACD builds the base momentum landscape.
2. Swing Structure is read internally to anchor divergences and zone shifts.
3. Divergence Engine compares MACD/Stoch swings vs price swings using past pivots only.
4. Adaptive OB/OS Zones adjust to volatility using dynamic scaling.
5. Dashboard aggregates all module outputs into a unified directional lean for interpretation.
This ensures each module references the same internal logic rather than acting as separate uncorrelated tools.
📌 Visual Design & Chart Clarity
* Only essential real-time labels shown.
* All historical/replayed labels disabled to maintain chart cleanliness.
* Consistent color-coded visuals for divergence, momentum zones, and pattern signals.
* Shapes, line-styles, and colors remain organized for fast interpretation.
📌 Divergence Lines
* Regular Divergence: Dashed Green/Red
* Hidden Divergence: Dotted Green/Red
📌 Inputs & Settings
* Clean layout with simple Show/Hide toggles
* Pre-configured defaults
* Minimal exposed fields for ease of use
* Designed to reduce setup time and improve workflow speed
📌 Recommended Timeframes & Markets
* Best on 15m, 1H, 4H, Daily, Weekly
* Works across forex, crypto, indices, commodities, equities
* Pivot-based structures may show noise on illiquid assets
📌 Performance & Limitations
* Heavy modules may draw many objects → disable unused sections
* If the chart stops loading objects, simply refresh
* All TradingView platform limitations handled internally
📌 License & Legal
* Proprietary © 2025
* Redistribution, resale, or sharing of internals is prohibited
* Independently developed; uses only public-domain trading concepts
* Any resemblance to other tools is coincidental and concept-based only
📌 Respect & Transparency
* Built fully on public, widely known trading concepts
* No code reused or copied; all logic developed independently
* If any similarity is noticed, it can be addressed constructively
📌 Disclaimer
* For education and analysis only
* Not financial advice
* Market risk is real — always backtest and manage risk properly
📌 FAQs
* Source code is not public
* Works best on 15m, 1H, 4H, Daily, Weekly
* All modules individually toggleable
* Alerts can be set manually
* Compatible with forex, crypto, indices, commodities, and equities
📌 About Ghost Trading Suite
Author: BIT2BILLIONS
Project: Ghost Trading Suite © 2025
Indicators: Ghost Matrix, Ghost Protocol, Ghost Cipher, Ghost Shadow
Strategies: Ghost Robo, Ghost Robo Plus
Pine Version: V6
The Ghost Trading Suite is designed to simplify and automate many aspects of chart analysis. It helps traders identify market structure, divergences, support and resistance levels, and momentum efficiently, reducing manual charting time.
The suite includes several integrated tools — such as Ghost Matrix, Ghost Protocol, Ghost Cipher, Ghost Shadow, Ghost Robo, and Ghost Robo Plus — each combining analytical modules for enhanced clarity in trend direction, volatility, pivot detection, and momentum tracking.
Together, these tools form a cohesive framework that assists in visualizing market behavior, measuring momentum, detecting pivots, and analyzing price structure effectively.
This project focuses on providing adaptable and professional-grade tools that turn complex market data into clear, actionable insights for technical analysis.
Crafted with 💖 by BIT2BILLIONS for Traders. That's All Folks!
📌 Changelog
v1.0 – Core Release
* Introduced Normalized Adaptive MACD with percentage-based zones and overbought/oversold shading.
* Added Heikin-Ashi style MACD candles for smoother swing visualization.
* Implemented Stochastic Candles with dynamic zones and divergence detection.
* Added Real-Time Divergence Engine for MACD and Stochastic (regular, hidden, live).
* Integrated Automated Candle Pattern Recognition with 70+ patterns.
* Added Body/Wick/Volume Ratio Metrics for long/short market analysis.
* Implemented Demand & Supply Strength Analysis (current candle & moving average-based).
* Added Directional Predictions for long and short positions.
* Developed Higher-Timeframe Analysis Modules with traps, volume, alignment, and quick signals.
* Added Comprehensive Dashboard summarizing momentum, patterns, HTF traps, and actionable market status.
[iQ]PRO O.M.N.I. Singularity Oscillator+The PRO Ω_SINGULARITY+ is a next-generation momentum oscillator that applies principles of Fluid Dynamics and Physics to market data. It moves beyond traditional oscillators (like RSI or MACD) by incorporating "Laminar Flow" efficiency and "Volume Mass" to distinguish between high-quality trends and turbulent noise.
This tool is designed to solve the "False Signal" problem. A standard oscillator triggers simply because price moved. The Singularity Engine only triggers if the price movement possesses sufficient Mass (Volume) and Efficiency (Flow State) to sustain the trajectory.
Key Features & Methodology
Physics Core: Laminar Flow Detection:
Utilizes an Efficiency Ratio (ER) algorithm (similar to Kaufman's Adaptive logic) to measure the "cleanliness" of price movement.
Laminar Flow: Smooth, directional price action increases the Flow State multiplier.
Turbulence: Choppy, sideways price action reduces the multiplier, dampening signals during consolidation.
Mass-Energy Verification:
Integrates Volume as "Mass."
Phantom Mass Filter: Price moves on low volume are treated as "hollow" and are mathematically suppressed.
Heavy Mass: Moves supported by volume surges (> SMA 50) are amplified, signaling institutional participation.
The Singularity Wave (Signal Generation):
The core calculation is a modified Relative Vigor Index (RVI) derivative, smoothed with a Symmetrically Weighted Moving Average (SWMA).
This "Raw Energy" is then multiplied by the Flow State and Mass Factor.
Result: A signal that is hyper-sensitive during strong trends but flat/neutral during chop.
Anomaly Detection:
Zero-Point Breach: Standard zero-line crossovers indicate a shift in market polarity (Trend Reversal).
⚡ Hyper-Velocity Events: Specific thresholds (±0.2) that indicate an explosive release of energy (Momentum Breakout).
How to Use
Trend Confirmation: When the Singularity Wave (Area) is expanding and holding above the Signal Lag (White Line), the trend is robust.
Filtering Chop: If the oscillator is hovering near the "Event Horizon" (Zero Line) with low amplitude, the market is in a "Turbulent" state. Avoid entries.
Entry Triggers:
Triangle Up/Down: Polarity shift (Early Entry).
⚡ Lightning Bolt: High-momentum breakout (Confirmation Entry).
Divergence: As with all oscillators, divergence between Price and the Singularity Wave signals potential exhaustion.
2. Code Logic & Architecture Explanation
(A technical breakdown of the script's internal mechanics)
A. Physics Core: Laminar Flow (Efficiency Ratio)
The script begins by determining the quality of the trend using an Efficiency Ratio (ER).
Concept: It compares the net distance price traveled (change_abs) vs. the total path traveled (volatility_sum).
Math: ER = Net Change / Sum of Individual Changes.
If price moves in a straight line, ER ≈ 1.0 (Laminar Flow).
If price chops up and down but ends near the start, ER ≈ 0.0 (Turbulence).
Flow State: The ER is squared (math.pow) to punish noise even more severely, ensuring only the strongest trends register high values.
B. Mass-Energy Verification (Volume Weighting)
Standard oscillators ignore volume. This script forces volume to validate the move.
Baseline: Calculates a 50-period Simple Moving Average (vol_mean) of volume.
Mass Factor: Current Volume / Average Volume.
Clipping: The factor is capped at 3x (mass_factor := mass_factor > 3 ? 3 : mass_factor) to prevent a single massive volume spike (like news events) from distorting the chart for the rest of the day.
C. The Singularity Oscillator (The Fusion)
This section combines the components into the final signal.
Base Engine: It uses a calculation similar to the Relative Vigor Index (RVI), which compares Closing prices relative to the High-Low range.
numerator (Open vs Close) captures the directional momentum.
denominator (High vs Low) captures the trading range (volatility).
SWMA Smoothing: Symmetrically Weighted Moving Averages are used to smooth inputs before calculation to reduce lag.
The Omega Equation:
Ω=Raw Energy×Flow State×Mass Factor
This is the critical innovation. A signal requires Direction (Raw Energy) + Efficiency (Flow) + Volume (Mass) to be significant.
D. Signal Processing & Anomalies
Signal Line: An EMA (Exponential Moving Average) of the Omega signal provides a crossover trigger point.
Thresholds:
Zero Cross: The classic "Bull/Bear" divider.
Hyper-Velocity: Hardcoded thresholds (0.2 / -0.2) act as "Turbo" zones. If the weighted signal breaches these, it implies all three factors (Price, Efficiency, Volume) are peaking simultaneously.
E. Visualization Layer
Adaptive Coloring: The plot color changes not just on direction (Green/Red) but on intensity.
col_bull (Green) is used when the Wave is above the Signal Line (Accelerating).
color.new(col_bull, 50) (Faded Green) is used when the Wave is positive but below the Signal Line (Decelerating).
Visual Hierarchy: The "Singularity Wave" is an area plot for visibility, while the "Signal Lag" is a thin line for precision.
3. Recommended "Author's Instructions" (Readme)
WARNING: This indicator is NOT a standalone signal service. It is a Physics-Based Filter.
Do not trade every triangle blindly.
Do use this to confirm price action. If Price breaks resistance, but the Singularity Wave is flat (low Mass/Flow), the breakout is likely a trap (Fakeout).
Best Timeframes: 15m, 1H, 4H.
Asset Class: Optimized for High-Volume assets (Crypto Majors, Forex, Indices) where Volume Flow is reliable.
CT RSI+OSCILADORSignals based on WT crossovers and market context
// Includes advanced divergences:
// - Regular bullish / bearish
// - Hidden bullish / bearish
//
// Useful for identifying:
// - Market reversals
// - Continuation moves
// - Momentum exhaustion zones
Mi script📝 DESCRIPTION
This indicator is based on the WaveTrend oscillator, designed as a momentum and timing filter, not as an automatic trading system.
The logic is simple and disciplined:
📊 Mid-range zone → no trades
🔴 Upper zones → look for short opportunities only with confluence
🟢 Lower zones → look for long opportunities only with confluence
WaveTrend cross signals are used only as confirmation, never as standalone entries.
Features included:
Main WaveTrend line + signal line
Clear overbought and oversold zones
Optional histogram
Candle coloring for quick market reading
Customizable alerts
This indicator is intended to be combined with:
RSI
Stochastic
Market structure
Support and resistance levels
⚠️ Not financial advice.
For educational purposes only. Use at your own risk
Grand Master: UNIVERSAL FUSION Description:
See the Market's True Direction with a Single Indicator: Grand Master Universal Fusion
Instead of getting lost in a sea of hundreds of indicators, we have developed a hybrid decision support system that combines Trend, Momentum, Volatility, and Market Maker movements under a single roof. This indicator is not just a simple moving average; it is an advanced algorithm that calculates the "fair value" equilibrium point of the price and protects you from market traps.
WHY SHOULD YOU USE THIS INDICATOR?
The biggest problem for most traders is getting caught in "Fakeouts" and entering a trade exactly when the trend is exhausted. Grand Master Fusion does not generate a signal without confirmation from 10 different background indicators and, thanks to its "Market Maker Mode," it shows you in advance how far the wicks might extend.
KEY FEATURES AND LOGIC
1. 5-Engine Hybrid Wave (Consensus Line)
The main wave (line) in this system does not just look at the closing price. It calculates the weighted average of the following 5 factors to find the "True Equilibrium Point":
Price Action: The base data.
Momentum: The acceleration of the price.
MACD: The strength of the trend.
RSI: Correction based on overbought/oversold zones.
Ichimoku Kumo (Cloud): The balance between the past and the future.
Result: A clean guide line stripped of noise, showing the true market direction.
2. Library of 20 Different Smoothing Methods
Every pair has a different character. Therefore, you are not stuck with a single method when calculating your wave. You can choose any method from the settings:
Popular: EMA, SMA, WMA
Advanced: TEMA, DEMA, Hull MA (HMA), Arnaud Legoux (ALMA)
Adaptive: KAMA, McGinley Dynamic, T3, Super Smoother
Japanese Style: Kijun-sen
3. Adaptive Market Maker Mode (Universal Fake Channel)
Fixed percentage channels work in Crypto but fail in Forex. This indicator uses a universal ATR (Average True Range) based engine.
Memory System: It scans the wick tips of the past 100 bars.
Dynamic Channel: When market volatility increases, the "Fakeout Channel" (Dotted Lines) automatically expands.
Trap Detection: Even if the price breaks the main wave, if it returns from this outer safety channel, the system marks it as a "BEAR TRAP" or "BULL TRAP" (Orange Diamond Signal), protecting you from a bad entry.
4. T9 Reversal Signals (Sequential Engine)
Integrated into the system to pinpoint exactly where the trend is exhausted.
Perfect 9: When a sequence of 9 candles occurs in one direction, a "9" appears on the chart. This indicates a very high probability of a reversal or correction.
5. Verified Divergences
Automatically scans for details you might miss with the naked eye:
Regular (R): Signals trend reversals.
Hidden (H): Indicates trend continuation (opportunity to join the trend).
(Supports both RSI and MACD divergences)
6. Background GM Scoring Engine
To measure the strength of signals, a voting system runs in the background using 10 different indicators (KAMA, Aroon, TRIX, RCI, etc.).
If Total Score is 6 or higher: The Wave is Green (Strong Buyers).
If Total Score is 4 or lower: The Wave is Red (Strong Sellers).
HOW TO USE?
Main Signal: It is an entry opportunity when the Price crosses the Hybrid Wave and the Wave color supports the signal (e.g., Green Wave + Upward Breakout).
Fakeout Control: If the price breaks the wave but enters the "Fakeout Channel" (Outer dotted line) and turns back, an ORANGE DIAMOND (TRAP) signal appears on the screen. This creates a trading opportunity in the opposite direction of the breakout.
Exit Strategy: You can consider taking profits when you see a T9 signal (Number 9) or when the price touches the opposite Fakeout channel.
Disclaimer: This indicator is a decision support system. It does not contain investment advice. Always perform your own risk analysis before entering a trade.
STM Precision Pro🎯 STM Precision Pro
A professional educational indicator with 3-Layer Precision Filter System for identifying potential high-probability trading setups.
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🔬 HOW IT WORKS
Three Quality Filters:
1️⃣ HTF Alignment - Confirms H1 trend direction
2️⃣ MACD Confirmation - Validates momentum
3️⃣ Strong Momentum - EMA distance >0.10%
Signal Generation:
• Market structure (BOS/CHoCH) detected
• EMA trend confirmed (50 vs 200)
• ALL 3 filters must pass → Signal ✓
• Any filter fails → Signal rejected ✗
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📊 KEY FEATURES
Visual Components:
• Setup markers ("BULLISH ✓PRECISION" / "BEARISH ✓PRECISION")
• Filter status panel (real-time filter checks)
• Reference levels (Entry, Invalidation, Targets)
• Info panel with complete setup details
• Supply/Demand zones (optional)
• Market structure markers (BOS/CHoCH)
Filter Status Display:
🎯 PRECISION ON
HTF ✓
MACD ✓
MOM ✓
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⚙️ SETTINGS
Precision Filters (Recommended: All ON):
☑ Enable Precision Filters
☑ Filter 1: HTF Alignment (H1, EMA 50)
☑ Filter 2: MACD (12,26,9)
☑ Filter 3: Momentum (>0.10%)
EMA System: 50 / 200 (adjustable)
Reference Levels:
• Invalidation: 1.5× ATR
• Target 1: 1.5× Risk
• Target 2: 3.0× Risk
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💡 HOW TO USE
1. Enable all 3 Precision Filters
2. Wait for signal on chart
3. Check filter panel (all must show ✓)
4. Review reference levels
5. Apply your own analysis
6. Use proper risk management (1-2% max)
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📈 EXPECTED BEHAVIOR
Signal Frequency:
• ~3-5 signals per week (varies)
• Quality over quantity
• Some days = zero signals (normal)
With Filters ON:
✓ Fewer but higher quality
✓ Reduced false positives
✓ Selective entries
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⚠️ DISCLAIMERS
EDUCATIONAL PURPOSE ONLY
This indicator is for education and information only. NOT financial advice.
Risk Warning:
• Trading involves substantial risk
• Past performance ≠ future results
• No indicator predicts the future
• Shows potential areas for analysis
• NOT sole basis for decisions
Not a Complete System:
❌ Does NOT guarantee profits
❌ Does NOT eliminate risk
✅ Tool to assist analysis
✅ Requires your analysis
✅ Needs risk management
Your Responsibility:
You are solely responsible for trading decisions, risk management, and understanding this tool.
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🎓 BEST PRACTICES
Risk Management:
• Max 1-2% per trade
• Always use stop losses
• Never risk more than you can lose
• Have a trading plan
Realistic Expectations:
• NOT a "holy grail"
• Losses are normal
• Long-term consistency focus
• Keep trading journal
Usage:
• Test on demo first
• Understand each filter
• Consider market context
• Combine with your analysis
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🔧 TECHNICAL BACKGROUND
Market Structure:
• Pivot-based swing detection
• BOS = continuation
• CHoCH = reversal
Filters:
• HTF via request.security()
• MACD (12,26,9) standard
• Momentum via EMA distance
• ATR-based levels (14-period)
Methodology:
Combines SMC, multi-timeframe analysis, momentum indicators, and risk management principles.
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🎨 CUSTOMIZATION
Display:
• Individual filter toggles
• Color customization
• Panel positioning
• Alert settings
Recommended Timeframes:
• M15 (Primary) ✅
• M5, H1 (adjust HTF)
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🚨 WHAT THIS DOES NOT DO
❌ Predict future
❌ Guarantee profits
❌ Work 100%
❌ Replace analysis
✅ Show setups
✅ Filter signals
✅ Provide references
✅ Educational tool
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📝 NOTES
• Version 2.0
• No repainting
• Bar close calculations
• Independent filters
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⚖️ FINAL REMINDER
EDUCATIONAL TOOL - TRADE RESPONSIBLY
Always:
✓ Do your research
✓ Use risk management
✓ Never invest more than you can lose
✓ Understand what you trade
✓ Seek professional advice if needed
Trading is risky. This is a learning tool, not advice.
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Version 2.0 | Educational Indicator | Overlay
© 2026 STM Trading Solutions | Educational Purpose Only
Filtered Percentile OscillatorThe Filtered Percentile Oscillator is a new trend following tool that uses trend strength for filtering. Noisy at times - but do not underrate it, this tool has great potential. :)
Benefits:
- Very high speed
- Adaptive behaviour filtering excess noise
- High performance on CRYPTO:SUIUSD
- Plotting for better visualization
The Idea
Get a simple indicator that is combined with trend strength for filtering. The best for this was the Percentile. I used it on the classic source to keep it simple, but if anybody wants feel free to change it with/without ChatGPT.
How it works:
Calculate the Percentile of the source.
Calculate the ADX & the Percentile of ADX.
Then we have two filter conditions:
If ADX Percentile+ Absolute Percentile of source > Sum Filter Treshhold is not true, both the Long & Short conditions are automaticly false.
If ADX Percentile > Filter Treshhold it will make the treshholds for the Percentile lower, while if it is below the filter treshhold, it will put the treshholds higher to filter excess noise further.
Enjoy Gs!
Adaptive For LoopThe Adaptive For Loop is a new advanced trend following tool that can avoid false signals while keeping a high speed.
Benefits
- Good speed
- Low noise
- High Performance on INDEX:BTCUSD
- Plotting for clear visualization of trend and values.
The Idea
Before I tried using a For Loop on a singular piece of source - but every source was noisy in different parts and was not really that good.
So I got an idea: How about I make a for loop on all of them (open, high, low, close) and filter them to get the best out of all worlds?
How it works
Calculate the For Loop for open, high, low, close -> a For Loop compares the current value to past values and scores it accordingly.
After calculating them, it picks the one with the highest absolute value. This means only the for loop with the highest strength gets applied. This filters noise and provides users with high speed even in the environments that do not support it.
Enjoy Gs!
BRYCE EMA 9/15 Momentum MA (AGGRESSIVE)BRYCE EMA 9/15 Momentum — AGGRESSIVE (All Tickers)
This indicator is a fast-paced momentum tool built around a simple concept: when the 9 EMA crosses the 15 EMA and the move has real “push,” it highlights a potential entry. It’s designed for traders who want more opportunities while still avoiding the worst “choppy” crossover signals.
What it shows and why it matters
EMA 9 & EMA 15 (trend trigger): These two moving averages help you see short-term momentum. A crossover can signal a shift in direction.
Angle/Slope Filter (momentum confirmation) : The indicator checks that the EMAs are actually rising or falling with strength (not flat). This helps reduce false signals in sideways markets.
EMA Separation Filter (avoids weak crossovers): If the EMAs are too close together, crossovers tend to be noise. Separation helps confirm the move is expanding.
VWAP (institutional bias): VWAP is a key level many traders watch. This indicator grades signals higher when the trade direction agrees with VWAP.
Volume Impulse (participation check): Momentum is more reliable when volume expands. Higher volume often means the move has more follow-through potential.
Time Window Filter (liquidity timing): The system favors times of day when the market tends to move cleaner (like the open and active mid-day windows).
HTF Bias Table (1m & 5m): A small on-chart table shows whether the 1-minute and 5-minute trend is bullish or bearish, helping you align trades with the bigger intraday flow.
A/B/C Trade Quality Score: Each signal is graded so you can focus on the best setups (A) and treat lower grades (C) more cautiously.
Best suited for
1. 15-second to 1-minute charts when you want more signals
2. Active, liquid tickers (SPY, QQQ, TSLA, NVDA, META, etc.)
3. Momentum scalping and quick intraday trades
Least suited for
1. Sideways/choppy markets (especially midday low-volume grind)
2. Illiquid stocks with wide spreads
3. Slow “swing trade” environments (signals are designed for short-term movement)
Best timeframes
1. Primary: 15-second
2. Also works: 30-second and 1-minute (may feel smoother with fewer signals)
Blockcircle GLS V2 - Global Liquidity ScorecardBlockcircle Global Liquidity Scorecard (GLS) V2 is a professional-grade global liquidity monitoring scorecard.
The simplest application is tracking the global money supply forward projected 10-14 weeks (blue line on the chart), and you will see a fairly accurate forecast of risk-on asset prices. It helps immensely in identifying whether monetary conditions support risk-on or risk-off positioning.
It's extremely useful in the short-term and long-term
Rules to remember:
When net liquidity is positive and rising with signals being green, when M2 is expanding, and when the majority of central banks are easing, you want to be positioned for long positional bias with expected rises in asset prices.
When net liquidity is negative or falling with signals being red, when M2 is contracting, and when central banks are tightening, you want to be defensive or consider short positional bias with expected drops in asset prices.
The GLS tracks M2 money supply, central bank balance sheets, Fed balance sheet, RRP, TGA, and net liquidity across major economies.
Includes monetary policy scorecard for US, Japan, EU, China, UK, Canada, Australia, and Russia. Real-time signals show whether liquidity conditions favor bulls or bears.
Built an advanced alerts engine to be notified when multiple conditions happen.
Key Features:
Global M2 money supply tracking
Global central bank balance sheet aggregation
US Net Liquidity calculation (US Fed BS - RRP - TGA)
Monetary Policy Scorecard by country
Multi-condition alerts engine for major events
Track when liquidity or money supply is accelerating or decelerating
Multi-timeframe % changes (1P, 3P, 5P, 10P, 20P, 52P)
Overlay global market cap for Bitcoin, Crypto, and S&P 500
Forward-projected M2 overlay to forecast BTC and S&P500 prices
Designed for live macro analysis on weekly and monthly timeframes
Tracking Overnight Lending Rate - Real-time secured overnight financing rate
Tracking 30-Day Lending Rate Average - Smoothed trend indicator
Tracking Bank Reserve Rate (IORB) - The Fed's anchor rate for bank reserves
Tracking Fed Rate Ceiling & Floor - Target range boundaries
Tracking Actual Fed Rate (EFFR) - Where rates actually trade
Automatic Liquidity Regime Detection: CRITICAL → TIGHT → NEUTRAL → AMPLE
Monitoring Fed Emergency Lending (SRF) - Stress indicator for funding markets
Monitoring Fed Bond Holdings (TREAST) - Treasury securities on Fed balance sheet
Real-time liquidity trend classification
Funding condition assessment
Policy stance aggregation
Risk sentiment indicator
Normalized the entire scorecard to make it much more powerful across all timeframes
You will notice a new automated regime detection for short-term funding rates and Federal Repo
🟢 AMPLE - Rates trading comfortably below IORB
🟠 NEUTRAL - Rates at IORB
🟠 TIGHT - SOFR above IORB (watch closely)
🔴 CRITICAL - SOFR above Fed Funds ceiling (crisis conditions)
If you want access, please comment below and send me a DM!
The USER GUIDE with step-by-step instructions is posted HERE
Blockcircle MRS V2 - Macroeconomic Risk ScorecardBlockcircle MRS - Macroeconomic Risk Scorecard is a real-time economic analysis dashboard tracking 30+ key metrics and custom indicators across GDP, employment, income, consumption, industrial production, yield curves, and credit markets.
Simply put, it helps you know when conditions support risk-taking and when caution is warranted. It immediately helps you decide whether to be risk-on or risk-off across different timeframes, and you can adjust accordingly depending on whether you are more risk-tolerant or more risk-averse.
It is optimized for daily short-term insights and long-term insights.
Features:
Seven recession risk methodologies: M1-Blockcircle Labs Metrics , M2-GDP 2-Quarter Rule, M3-Yield Curve Inversion, M4-Sahm Rule, M5-Credit Stress Index, and M6-Leading Indicators, and M7- Combined Method
Core metrics with percentage changes across 8 historical periods
Quantitative ratios: Employment/Population, GDP/GDI, Income/Consumption, Monetary Velocity and more
Delinquency tracking across 7 loan categories
Combined risk score with color-coded signals
Customizable alerts for risk threshold breaches, to be notified when macroeconomic shocks or cracks are exposed
Use Cases:
Assess economic and monetary policy impacts for asset allocation decisions
Monitor recessionary risk across multiple methodologies individually and all rolled-into one composite risk score
Monitor credit stress as an early warning indicator.
Validate economic narratives against objective data
More detailed features:
Unified table structure across all sections with consistent columns: VALUE, 1P%, 2P%, 3P%, 5P%, 10P%, 20P%, 30P%, 50P%, TF, STATUS, and SIG (Signal)
Standardized STATUS column across all metrics
New TF (Timeframe) column clearly shows data frequency for each metric (3M for quarterly, M for monthly, W for weekly, D for daily)
Compact view options with toggles to hide TF column or extended period columns (10P%-50P%)
Expanded Metrics Coverage
ISM Manufacturing PMI to Key Economic Metrics
Building Permits as a leading housing indicator
NY Fed Recession Probability forecast model
Financial Conditions Index (NFCI) for broader stress monitoring
T-Bill/Eurodollar Spread for banking sector stress
Corporate Spread (BAA-AAA) for credit quality assessment
Commercial RE Delinquency to debt monitoring
Employment/Population Ratio to quantitative ratios
Income/Consumption Ratio for savings capacity analysis
Industrial Momentum for manufacturing trend analysis
Real Interest Rate for policy stance assessment
Overall Code Performance Optimization
Code refactoring reduced script complexity from 40+ request.security() calls to 38 optimized calls
Function-based table rendering dramatically reduced code length and improved execution speed
Enhanced Moving Average Features
Chart labels now display full metric names with MA details (e.g., "Unemployment Rate SMA(10)")
All 5 custom MAs now show descriptive labels when enabled
Faster loading times and a more responsive dashboard
Easier interpretation with consistent formatting across all 80+ metrics
Better trend analysis with expanded historical comparison periods
Clearer risk signals with color-coded status indicators throughout
Enhanced alert configuration with multi-condition triggers
Export functionality for historical risk data
If you want access, please comment below and send me a DM
The full USER GUIDE with step-by-step instructions is posted HERE






















