Formacje wykresów
XAU 1H Clean Confluence — Micro Table v2XAU 1H Clean Confluence — Micro Table
What it is
A clean, low-clutter 1-hour XAUUSD indicator that summarizes confluences in a compact on-chart table. It’s designed for traders who want structure + momentum + location without covering the chart in drawings.
Best used on: ICMARKETS:XAUUSD or your broker’s XAUUSD feed, 1H timeframe.
Style: Table-only by default (optional EMA200 line and tiny signal markers).
How signals are built (long example; shorts mirror)
A Long Confluence is printed when all of the below are true:
Trend alignment: EMA20 > EMA50 > EMA200
Pullback & re-engage: price crossed back above EMA20 after a pullback
RSI regime: RSI(14) crosses up through 50 (trend confirmation)
Displacement/imbalance: a 3-candle Bull FVG exists (low > high )
Structure: either a BOS up or CHOCH up via swing pivots (pivotLen input)
Sweep (optional): if enabled, require a sweep of Asian Low and/or PDL first
Time gating (optional): only during London/NY windows and outside news windows
Short signals use the mirrored conditions (EMA stack down, cross back below EMA20, RSI cross down through 50, Bear FVG, BOS/CHOCH down, optional Asian High/PDH sweep).
Institutional Interest DisplayIndicator Overview:
This dashboard helps evaluate stocks quickly based on Market Cap, 52-week positioning, and liquidity metrics. It combines price strength with volume demand signals for breakout or institutional interest.
Logic Implemented:
1. Market Cap Classification:
- Market Cap = close × shares_outstanding (built-in value if available)
- Large-cap: ≥ ₹20,000 Cr
- Mid-cap: ₹5,000 – 20,000 Cr
- Small-cap: < ₹5,000 Cr
2. 52-Week Range (% from High/Low):
- 52W High = ta.highest(high, 252)
- 52W Low = ta.lowest(low, 252)
- % from 52W High = (Close ÷ 52W High – 1) × 100
- % from 52W Low = (Close ÷ 52W Low – 1) × 100
- CANSLIM logic → Prefer stocks near highs, avoid near lows
3. Average Daily Volume (ADV):
- ADV = ta.sma(volume, 50)
- Chosen 50D (more reliable than 20/30D, smooths anomalies)
4. Breakout Volume Confirmation:
- Volume Signal = Current Volume ÷ ADV
- Breakout Threshold = >1.5 × ADV
- Helps detect demand-driven price breakouts
5. % Change in Volume vs ADV:
- %Chg = ((Current Vol ÷ ADV) – 1) × 100
- Indicates abnormal activity vs typical trading
6. Up/Down Volume Ratio (U/D Ratio):
- Defined as: (Sum of volume on up days ÷ Sum of volume on down days)
- 50-day window
- U/D > 1 = net buying pressure
- U/D > 1.2 = stronger institutional demand
7. Up Days with Volume ≥ 1.5 × ADV:
- Counts number of up days (Close > Previous Close) in last 50 days where Volume ≥ 1.5 × ADV
8. Average Turnover:
- AvgTurnover = Avg Volume × Price
- Thresholds:
- Large-cap ≥ 1000M
- Mid-cap ≥ 200M
- Small-cap ≥ 50M
Table Layout:
- 4 Columns:
- Col 1 → Category, Market Cap, % from 52W Low, % from 52W High
- Col 2 → Values for above
- Col 3 → Avg Volume, Vol Today, %Chg Vol, U/D Ratio
- Col 4 → Values for above + Up Days >1.5 × ADV, Avg Turnover
Color Coding:
- Value cells have distinct background colors
- Labels = black text, grey background
- Green highlights signify thresholds met
RSI deyvidholnik
📊 Overview
RSI deyvidholnik is an advanced technical indicator that combines the power of traditional RSI (Relative Strength Index) with automatic divergence detection to identify potential market reversal points. This indicator was developed by kingthies and offers clear visual analysis of overbought/oversold conditions along with highly precise divergence signals.
🔧 Key Features
Customizable RSI
Data Source: Configurable (default: close)
Period: Adjustable (default: 14)
Moving Average: Multiple types available (SMA, EMA, SMMA, WMA, VWMA, MMS)
MA Period: Configurable (default: 14)
Divergence Detection
The indicator identifies four types of divergences:
🟢 Bullish Divergence
Occurs when price makes lower lows, but RSI makes higher lows
Indicates possible trend reversal from bearish to bullish
Signaled with green dots on RSI
🔴 Bearish Divergence
Occurs when price makes higher highs, but RSI makes lower highs
Indicates possible trend reversal from bullish to bearish
Signaled with red dots on RSI
🟢 Hidden Bullish Divergence (Optional)
Price makes higher lows while RSI makes lower lows
Confirms continuation of bullish trend
Useful in trending markets
🔴 Hidden Bearish Divergence (Optional)
Price makes lower highs while RSI makes higher highs
Confirms continuation of bearish trend
Useful in trending markets
⚙️ Pivot Settings
Optimized Default Configuration
Right Bars: 1 (quick confirmation)
Left Bars: 5 (noise filtering)
Maximum Bars Between Pivots: 60
Minimum Bars Between Pivots: 3
These settings have been adjusted to provide:
✅ Faster and more responsive signals
✅ Reduction of false signals
✅ Better identification of significant pivots
🎨 Visual Interface
RSI Levels
Line 70: Overbought zone (red)
Line 50: Neutral centerline
Line 30: Oversold zone (green)
Gradient fill: Visually intensifies extreme zones
Graphical Elements
RSI: Main line in white
Moving Average: Smoothed yellow line
Divergence Points: Colored markers on pivots
Background: Subtle fill for better readability
📈 How to Use
For Reversal Trading
Enable only: Bullish and Bearish (default)
Look for: Divergences in overbought/oversold zones
Confirm with: Other indicators or price analysis
For Trend Trading
Enable: Hidden Bull and Hidden Bear
Use in: Markets with clear established trends
Combine with: Market structure analysis
Alert Configuration
The indicator includes automatic alerts for:
⚠️ Bullish Divergence
⚠️ Bearish Divergence
⚠️ Hidden Bullish Divergence
⚠️ Hidden Bearish Divergence
💡 Main Advantages
✅ Automatic Detection: Identifies divergences without manual interpretation
✅ Optimized Configuration: Default values tested for maximum efficiency
✅ Clean Interface: Clear and professional visual
✅ Integrated Alerts: Automatic signal notifications
✅ Flexibility: Multiple customization options
✅ Performance: Optimized code for efficient execution
🎯 Recommended Timeframes
Scalping: 1m, 5m (with more sensitive settings)
Intraday: 15m, 30m, 1h (default configuration)
Swing: 4h, 1D (for medium-term signals)
⚠️ Important Considerations
Not infallible: Always use in conjunction with other analysis methods
Sideways markets: More effective in markets with directional movement
Confirmation: Always wait for signal confirmation before trading
Risk management: Always implement adequate stop-loss and take-profit
Long Elite Squeeze (LES) — H.H 22 Lindsay (AI)LES (Long Elite Squeeze)
LES (Long Elite Squeeze) is a trading framework designed to capture the highest-probability long setups. It’s not just another signal script — it’s a structured system built to filter noise, manage risk, and keep you aligned with real momentum.
🔹 Core Logic
Breakout Confirmation – Ensures moves have structure, not just random spikes.
Relative Volume (RVOL) – Confirms participation and fuel behind the move.
RSI Alignment – Avoids overextended traps and fakeouts.
Squeeze Momentum – The backbone of LES. Signals fire only after a defined squeeze pattern shift (6+ dark green bars followed by a light green bar).
🔹 Trade Management Built In
Automated Sell Signals – Trigger on either:
2 consecutive dark green bars on Squeeze Momentum
WaveTrend cross down
(only valid after a Buy signal — no random shorts)
HUD Entry Checklist – Live conditions shown on chart.
Status Tracker HUD – Flips between “Waiting for Entry” and “In Trade” for clear context.
🔹 Flexibility
3 switchable squeeze versions (V1, V2, V3) for different market conditions.
Customizable EMA & ATR settings (with color options).
Session-aware logic — filter signals to prime trading hours.
🔹 Blueprint & Credits
LES is a fusion of proven concepts, standing on the shoulders of respected creators:
-Squeeze Momentum – LazyBear
-WaveTrend Oscillator – LazyBear
-Relative Volume – LonesomeTheBlue
Breakout/structural logic – refined from classic frameworks
Their work laid the foundation — LES expands and integrates them into a complete trading system.
⚡ Why LES Stands Out
LES wasn’t coded overnight. It’s the result of countless hours of live testing, rebuilding, and refining. Every feature earned its place by proving value in real trading, not theory.
LES is more than an indicator. It’s a disciplined framework — crafted to turn chaos into structure, randomness into probability, and noise into clarity.
⚠️ Disclaimer: This is a trading framework, not financial advice. Performance depends on trader discipline, risk management, and market conditions.
Customisable Asia & London Session High/Low (UTC+1)london + asia high / low
can customise however you like. its not perfect but saves time
Today’s Key Time Markers (Last 6 Only)updated version of key markets. london session asia and new york
BreakTrend MatrixBreakTrend Matrix is a smart indicator designed to be easy to use yet powerful, suitable for traders of all levels, whether they are scalpers, breakout traders or swing traders. It supports analysis of multiple time frames in one.
Ninja Indicator, Crypto, Forex, IndicesIndicator Description:
It is the version 2.0 of Ninja Entry Indicator. It has all the features of Ninja, added new POI support/resistance feature.
If it takes support from POI and on retest you can take long entry.
If it takes resistance from POI and on retest you can take short side entry.
Darvas Box with Mid, 25% & 75% LinesThis script draws a Darvas Box.
The box is drawn between Top (High) and Bottom (Low).
Optionally, additional lines can be displayed:
Midline (50%) → customizable color, width, and style
25% Line → customizable color, width, and style
75% Line → customizable color, width, and style
This helps to quickly identify support and resistance zones inside the box.
Additionally, Breakout/Breakdown arrows are drawn, and alerts can be triggered.
Hassi XAUUSD 15TF BUY/SELL (Anchored, Non-Repainting)What this does
Hassi XAUUSD 15TF BUY/SELL is a non-repainting signal indicator designed for XAUUSD (Gold) on the 15-minute timeframe (also works on BTCUSD). It blends EMA crossover + RSI + MACD with optional volume & volatility filters, and prints anchored BUY/SELL arrows that stay glued to their candle (no visual drifting on zoom/scale/replay). Optional confidence% labels help you judge signal quality at a glance.
Why it’s stable (no repaint)
Signals confirm only on bar close (barstate.isconfirmed).
Arrows/X marks are placed with label.new(x=bar_index, y=high/low, xloc.bar_index, yloc.abovebar/belowbar) so they remain exactly above/below the triggering candle.
No request.security for higher-TF lookaheads; no negative offsets.
How signals are generated
Core trigger: EMA(9) crosses EMA(21)
RSI filter (opt): RSI ≥ RSI Buy Min (default 50) for buys; ≤ RSI Sell Max (default 50) for sells
MACD filter (opt): MACD line crosses its signal or histogram sign matches direction
Volume/ATR filters (opt): require a basic volume spike and above-average ATR volatility (toggleable)
Divergence (opt): lightweight RSI divergence hints (diamond marks)
Anchored markers
BUY: triangle below the signal candle
SELL: triangle above the signal candle
EXIT (❌): small x above (long exit) / below (short exit) when the opposite signal confirms
Nudges: fine-tune vertical placement with tick offsets (inputs) without breaking anchoring
Inputs (defaults)
Fast EMA: 9
Slow EMA: 21
RSI Length: 14
MACD Fast/Slow/Signal: 12 / 26 / 9
Require RSI filter (50 line): ✅
Require MACD cross filter: ✅
RSI Buy Min / RSI Sell Max: 50 / 50
Buy/Sell/Exit Offset (ticks): 0 / 0 / 0
Advanced toggles: Trend Strength ✅, Dynamic Sizing (visual) ✅, Volume Filter ⛔, Volatility Filter ⛔, RSI Divergence ⛔, Show Confidence ✅
Status line/table: ✅
Alerts
Add any of these in Add Alert → Condition: this indicator
Buy Signal → {{ticker}} BUY @ {{close}} - ANCHORED SIGNAL
Sell Signal → {{ticker}} SELL @ {{close}} - ANCHORED SIGNAL
Exit Mark → {{ticker}} EXIT @ {{close}} - ANCHORED EXIT
Recommended use (15-minute XAUUSD)
Use during active sessions (London/NY overlaps).
Keep defaults; enable Volume & Volatility filters in high-noise conditions.
Add confluence (S/R, structure/BOS, session highs/lows, FVG or HTF bias).
Manage risk with structure-based SL or ATR x 1.0–1.5, and partial TP at 1:1–1.5R.
Note: You mentioned it has ~80% win rate on 15TF in your testing. Performance varies by broker feed, session, spread, and risk management. Treat results as educational, not a guarantee.
Non-repainting notes
Signals lock on close; historical arrows are final.
Labels are bar/price anchored (no drift when you zoom or change scale).
Arrays trim old labels automatically to avoid drawing limits.
FAQ
Q: Why don’t past arrows move when I resize the chart?
A: They’re label.new() anchored to bar_index and bar high/low with xloc/yloc, so they stay with the candle.
Q: Can I turn it into a strategy/backtest?
A: Yes—wrap the same signals into strategy.entry/exit, but this release is an indicator by design.
Q: Will it work on BTC or other pairs/timeframes?
A: Yes, but it’s tuned for XAUUSD M15. Adapt filters for other markets.
Changelog
v1.0 — Initial public release: anchored non-repainting arrows, optional RSI/MACD filters, volume/ATR filter, divergence hints, confidence labels, status panel, alerts.
Disclaimer
This tool is for education and analysis only. It is not financial advice. Trading involves risk; do your own research and manage risk responsibly.
Multi-Session Opening RangesThe Multi-Session Opening Ranges indicator plots the Opening Range (OR) levels for three major trading sessions: Asia, London, and New York. It displays the high (ORH), low (ORL), and midline of each session's opening range, helping traders identify key price levels for potential breakouts, reversals, or support/resistance zones.
This indicator is highly customizable, allowing users to tailor the appearance and behavior of each session independently.
Features
Multi-Session Support: Visualizes Opening Ranges for Asia, London, and New York sessions, with customizable session times and timezones.
Customizable Lines: Adjust the color, style (solid, dashed, dotted), and width of ORH, ORL, and midline for each session.
Offset Control: Set a custom offset (in bars) for lines and labels to position them away from price action for better visibility.
Fill Customization: Choose the fill color for the area between ORH and ORL for each session.
Historical Data Option: Toggle the display of historical OR levels to focus on current session data or analyze past ranges.
Timezone Flexibility: Select from a wide range of timezones to align session times with your trading needs.
Label Customization: Adjust the size of labels (tiny, small, normal, large, huge) for clarity on any chart.
How It Works
The indicator identifies the high and low prices during the user-defined opening range period for each session (default: 5 minutes). It then draws:
ORH (Opening Range High): The highest price during the session's opening range.
ORL (Opening Range Low): The lowest price during the session's opening range.
Midline: The average of ORH and ORL, plotted as a dashed line by default.
Filled Area: A semi-transparent fill between ORH and ORL to highlight the range.
Lines and labels extend until the start of the next session or can be offset by a user-specified number of bars for better chart readability. The indicator supports historical data display for analyzing past session ranges.
Inputs
Display:
Show Historical Data: Enable/disable historical OR levels.
Timezone: Select the timezone for session calculations (e.g., UTC-4, UTC+1, etc.).
Asia/London/New York Sessions:
Show Session: Enable/disable the session.
Session Time: Define the start and end time for the opening range (e.g., "0930-0935:1234567" for 9:30–9:35 AM, all days).
Asia/London/New York Style:
ORH/ORL/Midline Color: Set the color for each line.
ORH/ORL/Midline Style: Choose solid, dashed, or dotted styles.
ORH/ORL/Midline Width: Adjust line thickness (1–5).
OR Fill Color: Customize the fill color for the OR area.
Lines/Labels Offset: Set the offset (in bars, -50 to 50) to shift lines and labels relative to price action.
General Style:
Label Size: Set the size of ORH and ORL labels (tiny, small, normal, large, huge).
Usage
Add the indicator to your chart.
Configure session times to match your trading instrument and timezone.
Customize colors, line styles, widths, and offsets for each session to suit your chart preferences.
Use the ORH, ORL, and midline levels to identify key price zones for trading strategies, such as breakouts or reversals.
Notes
Ensure session times do not overlap to avoid conflicts in visualization.
Large offsets may place lines/labels outside the visible chart area; adjust as needed.
The indicator is optimized for intraday timeframes but works on any timeframe.
2 goblins 15 Min Breakout w/ RSI, Volume, MACD & Targettwo green bars in a row with a bullish mac D and an RSI<70 with volume rising on second candle. Use only for stocks that move within .50 cents within the trading day.
SR Zones - ADA 4HThink of ADA’s price like a ball bouncing in a hallway. This script watches the **4‑hour** chart to spot where the ball keeps **turning around**—those become **floors (support)** and **ceilings (resistance)**. It groups nearby turnarounds into **thick colored bands** (green floors, red ceilings), makes bands **wider when the market is jumpy** and **narrower when it’s calm**, and **strengthens** a band each time price bumps it. Old or weak bands get **cleaned up**, overlapping ones get **merged**, and the bands **extend forward** so you can see likely bounce zones ahead
BTC NY Session Envelopes: Dynamic Levels & Settle AlertsCore Concept and Genesis
Born from forex institutional timing principles, this tool has been precision-engineered for the relentless pace of Bitcoin and cryptocurrency markets. It visualizes adaptive session-derived boundaries—spanning weekly, daily, and Asia-specific envelopes—capped with a Friday US settlement "sentinel" zone. Enhanced with targeted alerts for crossings of Asia highs/lows, daily highs/lows, weekly highs/lows, and the settle midpoint, it empowers traders to capture momentum shifts in real-time, transforming raw price data into actionable intelligence for volatile, non-stop assets.
The Fusion Edge: What Sets This Apart
This isn't a generic level plotter; it's a synergistic ecosystem where NY-timed envelopes intersect to reveal hidden confluences, like Asia's quiet buildup funneling into daily volatility spikes or the US settle acting as a "gap magnet" for weekend resolutions. Tailored for BTC's unique liquidity flows, it employs a low-timeframe data pull for noise-free accuracy, sidestepping common pitfalls in 24/7 charts. The built-in alerts—firing on precise crossovers—add a proactive layer, alerting to potential "liquidity hunts" or reversals (e.g., a breakout above weekly high amid high volume). In personal simulations across 500+ BTC sessions, this setup flagged ~65% of high-conviction moves with fewer false positives than isolated tools—always backtest to confirm your edge.
Inner Mechanics: A Transparent Peek
Weekly/Daily Envelopes: Anchored to 5pm NY resets for institutional alignment; computes highs/lows/mids through ongoing max/min accumulation, sourced from a user-defined sub-timeframe for cross-chart reliability.
Asia Envelope: A dynamic 8pm-3am NY capture window that evolves bar-by-bar, spotlighting pre-London setups often overlooked in crypto.
US Settle Sentinel: Zeroes in on Friday's 4:45pm NY 15-minute finale, rendering a containment box and midpoint to forecast post-weekend reactions. Overlaps are intelligently clustered in labels for at-a-glance clarity, with extension options for forward projection.
Timeframe-Adaptive Visibility: To declutter higher timeframes and focus on relevant horizons, the Asia envelope auto-hides on charts above 1hr, while daily envelopes vanish above 4hr—ensuring a streamlined view for swing or position traders without sacrificing intraday detail.
Alert System: Leverages crossover/crossunder detection on closing prices against levels, with granular triggers (e.g., "Surge Beyond Asia Low") for customized notifications—perfect for webhook integrations or mobile pings.
Strategic Deployment and Scenarios
BTC Day-Trading Playbook: Initiate longs when price rebounds from Asia low near a daily mid, amplified by an alert on "Dip Below Daily Low" for entry confirmation—pair with external volume spikes for confluence.
Trend Harmony: Overlay with a 200-period EMA; use "Breach Under Weekly High" alerts to exit longs in downtrends, safeguarding against fakeouts.
Caveats and Optimization: Thrives in momentum-driven phases but tune out in ultra-low volatility; alerts activate post-bar, so layer with candlestick patterns. Ideal for 15m-4H frames on perpetual futures like BTCUSDT.P.
Exclusive Access Rationale (If Restricted) The bespoke crypto recalibrations, seamless multi-envelope fusion, and alert-driven foresight deliver a tactical advantage absent in off-the-shelf alternatives—reach out via TradingView message for tailored access and optimization insights.
Worstfx SessionsThis indicator is designed to outline major Forex/Futures market sessions.
It is built for traders who want visual clarity on sessions & important market structure zones.
✅ Features:
• Automatic shading of Asia, London, Pre-NY, and NY sessions.
• Centered session titles that adapt to each window.
• 6:00 pm ET day divider (new trading day) with vertical weekday labels.
• Lightweight design — no extra clutter, just structure.
⚙️Customization
• Session colors & opacity: change each session’s look.
• Titles: toggle on/off, adjust color and font size.
• Dividers: toggle day divider on/off, change line color, choose weekday label color/size.
Market Compass V95 TRForeword for Your Friends
Hey everyone! I'm excited to share with you all the indicator I've been working on, which I believe brings a completely different perspective to market analysis.
This indicator combines many critical analyses—from momentum and volume data to volatility and RSI scoring—into a single panel. Thanks to its Normalised Gaussian MACD integration, it has become a unique tool for gaining a deep understanding of market dynamics and catching potential turning points.
I hope this tool opens up new doors for you as you read the market. I'm looking forward to hearing about your experiences and feedback. Wishing you all profitable trades!
Essa - Market Structure Crystal Ball SystemEssa - Market Structure Crystal Ball V2.0
Ever wished you had a glimpse into the market's next move? Stop guessing and start anticipating with the Market Structure Crystal Ball!
This isn't just another indicator that tells you what has happened. This is a comprehensive analysis tool that learns from historical price action to forecast the most probable future structure. It combines advanced pattern recognition with essential trading concepts to give you a unique analytical edge.
Key Features
The Predictive Engine (The Crystal Ball)
This is the core of the indicator. It doesn't just identify market structure; it predicts it.
Know the Odds: Get a real-time probability score (%) for the next structural point: Higher High (HH), Higher Low (HL), Lower Low (LL), or Lower High (LH).
Advanced Analysis: The engine considers the pattern sequence, the speed (velocity) of the move, and its size to find the most accurate historical matches.
Dynamic Learning: The indicator constantly updates its analysis as new price data comes in.
The All-in-One Dashboard
Your command center for at-a-glance information. No need to clutter your screen!
Market Phase: Instantly know if the market is in a "🚀 Strong Uptrend," "📉 Steady Downtrend," or "↔️ Consolidation."
Live Probabilities: See the updated forecasts for HH, HL, LL, and LH in a clean, easy-to-read format.
Confidence Level: The dashboard tells you how confident the algorithm is in its current prediction (Low, Medium, or High).
🎯 Dynamic Prediction Zones
Turn probabilities into actionable price areas.
Visual Targets: Based on the highest probability outcome, the indicator draws a target zone on your chart where the next structure point is likely to form.
Context-Aware: These zones are calculated using recent volatility and average swing sizes, making them adaptive to the current market conditions.
🔍 Fair Value Gap (FVG) Detector
Automatically identify and track key price imbalances.
Price Magnets: FVGs are automatically detected and drawn, acting as potential targets for price.
Smart Tracking: The indicator tracks the status of each FVG (Fresh, Partially Filled, or Filled) and uses this data to refine its predictions.
🌍 Trading Session Analysis
Never lose track of key session levels again.
Visualize Sessions: See the Asia, London, and New York sessions highlighted with colored backgrounds.
Key Levels: Automatically plots the high and low of each session, which are often critical support and resistance levels.
Breakout Alerts: Get notified when price breaks a session high or low.
📈 Multi-Timeframe (MTF) Context
Understand the bigger picture by integrating higher timeframe analysis directly onto your chart.
BOS & MSS: Automatically identifies Breaks of Structure (trend continuation) and Market Structure Shifts (potential reversals) from up to two higher timeframes.
Trade with the Trend: Align your intraday trades with the dominant trend for higher probability setups.
⚙️ How It Works in Simple Terms
1️⃣ It Learns: The indicator first identifies all the past swing points (HH, HL, LL, LH) and analyzes their characteristics (speed, size, etc.).
2️⃣ It Finds a Match: It looks at the most recent price action and searches through hundreds of historical bars to find moments that were almost identical.
3️⃣ It Analyzes the Outcome: It checks what happened next in those similar historical scenarios.
4️⃣ It Predicts: Based on that historical data, it calculates the probability of each potential outcome and presents it to you.
🚀 How to Use This Indicator in Your Trading
Confirmation Tool: Use a high probability score (e.g., >60% for a HH) to confirm your own bullish analysis before entering a trade.
Finding High-Probability Zones: Use the Prediction Zones as potential areas to take profit, or as reversal zones to watch for entries in the opposite direction.
Gauging Market Sentiment: Check the "Market Phase" on the dashboard. Avoid forcing trades when the indicator shows "😴 Low Volatility."
Confluence is Key: This indicator is incredibly powerful when combined with your existing strategy. Use it alongside supply/demand zones, moving averages, or RSI for ultimate confirmation.
We hope this tool gives you a powerful new perspective on the market. Dive into the settings to customize it to your liking!
If you find this indicator helpful, please give it a Boost 👍 and leave a comment with your feedback below! Happy trading!
Disclaimer: All predictions are probabilistic and based on historical data. Past performance is not indicative of future results. Always use proper risk management.
BBCONLL(100)BBLL helps you quickly spot market extremes and potential turning points.
By combining the Relative Volatility Index with fixed Bollinger Bands, it gives a clear view of when momentum is stretched too far — making it easier to time entries, exits, or confirm trends.
Simple, visual, and effective for traders who want a sharper edge in decision-making.
Precision AI Trading Pro🔹 Overview
EN:
Precision AI Trading Pro is an advanced indicator built for adaptability across Crypto, Gold, US Futures, and Forex. Instead of guessing tops and bottoms, it focuses on multi-layer confirmations: higher timeframe alignment, EMA trend structure, momentum filters, and risk-based scoring.
中文:
Precision AI Trading Pro 是一款專為多市場打造的進階版指標,適用於加密貨幣、黃金、美股期貨與外匯。它的重點並非預測轉折,而是透過多層濾網確認進場,結合高階時框共振、EMA 趨勢結構、動能濾網與風險星級評分。
🔹 11 Filter Systems / 11 種過濾系統
HTF Trend Alignment – Confirms higher timeframe direction for stronger bias.
高階時框趨勢共振 – 確認高階時框方向,提高進場可靠度。
Bright Zone (RSI extremes) – Avoids chasing in overbought/oversold extremes.
亮區 (極端 RSI) – 避免在超買/超賣區域追單。
LTF Trend Structure – Ensures local EMAs (3/8/21) align with price action.
低階時框趨勢結構 – 要求 EMA(3/8/21) 與價格方向一致。
MACD Filter – Uses MACD line & signal to confirm momentum strength.
MACD 濾網 – 透過 MACD 快慢線確認動能方向。
Volume Filter – Requires above-average volume to validate signals.
量能濾網 – 必須成交量高於平均,訊號才有效。
ADX Gate – Trades only when ADX shows trend strength, avoids chop.
ADX 閘 – 僅在 ADX 顯示趨勢強度時進場,避免盤整假訊號。
Structure Breakout – Needs breakout of recent swing high/low with buffer.
結構突破 – 需突破近期高低點(含 ATR 緩衝)才允許進場。
Pullback to EMA – Waits for EMA8/21 retest before entry.
回踩 EMA – 僅在回踩 EMA8/21 後才進場。
EMA Band Width – Filters out narrow EMA bands (no clear trend).
EMA 窄帶濾網 – 排除 EMA 過窄的盤整市況。
Peak Guard – Blocks signals during overheated moves, new highs, or surges.
Peak Guard 高位防護 – 避免過熱、新高或急漲時追單。
Trendline / EMA200 Confirmation – Requires EMA200 or pivot-line breakout.
趨勢線 / EMA200 確認 – 僅在突破 EMA200 或樞紐趨勢線後才有效。
(User can define how many filters must be passed, default = 7)
(用戶可自訂需通過幾項濾網才產生訊號,預設為 7 項)
🔹 Features / 功能特色
EN:
Multi-market presets (Crypto, Gold, Futures, Forex)
TP/SL auto-calculation and labels with dynamic R:R
Risk-based star rating system (0★ to 5★)
Optional Peak Guard (avoid chasing extended moves)
Signal modes: Conservative / Balanced / Aggressive
中文:
多市場預設(加密貨幣、黃金、期貨、外匯)
TP/SL 自動計算與標註(動態風報比)
基於風險的星級評分系統(0★ 至 5★)
可選 Peak Guard 功能,避免過度延伸追單
訊號模式:保守 / 平衡 / 積極
🔹 Usage / 操作說明
EN:
Choose your market preset (Crypto, Gold, US Futures, Forex).
Adjust the number of required filters (filterLayers) — default = 7.
TP/SL and risk parameters can be tuned per symbol & timeframe.
Star ratings (0★–5★) help visualize risk level and confluence strength.
Peak Guard and signal modes (Conservative/Balanced/Aggressive) can be toggled based on preference.
中文:
選擇市場預設(加密貨幣、黃金、美股期貨、外匯)。
可調整所需濾網通過數 (filterLayers),預設為 7。
TP/SL 與風險參數可依幣種與時框自行微調。
星級評分(0★–5★)用於直觀顯示風險程度與共振強度。
Peak Guard 以及訊號模式(保守 / 平衡 / 積極)可依需求開關。
⚠️ Disclaimer / 免責聲明
EN:
This indicator is for research and educational purposes only. It is not financial advice and should not be considered a guarantee of profits. Always test responsibly before using it on live markets.
中文:
本指標僅供研究與教育用途。這並非投資建議,也不保證獲利。請務必在實盤使用前,先行測試並謹慎評估風險。
Vertical Line - Time SpecificIf you want to draw a vertical line at a certain time , you can use this Indicator - Work with 24 hr format