EMA Pro Signals (Clean)EMA Pro Signals (Clean), EMA Pro Signals (Clean)
EMA Pro Signals (Clean)
EMA Pro Signals (Clean)
EMA Pro Signals (Clean)
EMA Pro Signals (Clean)
Średnie kroczące
EMAs - Multi time frameIt takes up multiple indicators to plot all the time frame EMAs. This indicator will help you to plot all EMAs together while using space of only one indicator
Table - Trend Multi TF + RSI + Stoch ByBankTHTable (Multi timefram)
- show Trend
- show rsi
- show Stoch
- show prev candle (default hide)
- show curr candle (default hide)
- shows the time when the candlestick will close.
---- can config show/hide all column
Graph
- show rsi 89/21
Signal
- show signal with tp/sl (default hide)
EMA 9,18,50,200It always take multiple indicator to plot EMAs of multi time frame. This will help you to plot all timeframe EMAs together while using only one indicator
BTC vs US500: Normalized Trend DivergenceOverview:
In the financial landscape of 2026, the correlation between Bitcoin and traditional equity markets has reached institutional maturity. This indicator provides a sophisticated way to visualize this relationship by normalizing the US500 index directly onto the Bitcoin price scale.
This script is designed specifically for trading Bitcoin. We focus on anomalies where BTC either aligns with or diverges from the global market trend.
Key Features:
Target Asset: BTCUSD
Recommended Timeframe: 1D for reliable macro trend analysis.
Normalized US500 MA (Neon Blue): The primary signal line showing the 50-period trend of the S&P 500 adapted to BTC’s price.
Live Correlation Dashboard: Real-time data showing Market Status (Strong Risk-On, BTC Strength, etc.).
Crossover Signals: Visual alerts (triangles) when Bitcoin’s price breaks above or below the normalized US500 trend.
How to use:
Strong Risk-On: Price is above both MAs. Global markets and BTC are in sync.
BTC Strength (Divergence): BTC is above the US500 MA but US500 itself is lagging. This often signals institutional accumulation of BTC.
Ed's Swing Ready Ripper v2 (SMC) - RIP + TREND + SMC Filter// ============================================================================
// Ed's Swing Ready Ripper v2 (SMC) - How to Trade It (Rules + Reasoning)
// ============================================================================
//
// PURPOSE
// This indicator is built for swing trades that try to enter strong stocks
// WITHOUT chasing. It uses:
// 1) DAILY filters to choose which type of setup is active:
// - Ready-to-Rip (RIP): strong but not too extended
// - Trend Continuation (TREND): very strong trend, ride it longer
// 2) ENTRY timeframe (default 2H) to time entries.
// 3) Optional SMC filter to reduce late entries:
// - BOS Up confirmation (break of last swing high)
// - Discount pullback (buy the pullback, not the top)
//
// ---------------------------------------------------------------------------
// TIMEFRAMES (IMPORTANT)
// - Daily TF controls the "market regime" filter (RIP vs TREND).
// - Entry TF controls signals and management (BUY PART, BUY FULL, exits).
//
// Suggested workflow:
// 1) Use Daily chart to confirm overall trend + avoid earnings/news spikes.
// 2) Use 2H (or 4H) for entries and trade management.
// 3) Use 1H only if you want more signals (more noise).
//
// ---------------------------------------------------------------------------
// MODE LOGIC (RIP vs TREND)
// - Ready-to-Rip (RIP) activates when:
// * Daily uptrend: Close > EMA20 > EMA50
// * RSI is strong but not too high (default 40-65)
// * Optional Relative Volume >= threshold
// Reasoning: You want strength, but not overextended "already blew off" moves.
//
// - Trend Continuation (TREND) activates when:
// * Daily uptrend: Close > EMA20 > EMA50
// * RSI is stronger (default >= 55)
// * Optional Relative Volume >= threshold
// Reasoning: Some stocks keep trending; this mode exits slower to capture runners.
//
// - Auto mode:
// * Prefers RIP when both qualify.
// * Uses TREND when RIP is not active but TREND is.
//
// ---------------------------------------------------------------------------
// SMC FILTER (OPTIONAL but recommended)
// This is a LIGHT SMC gate (not a full Smart Money Concepts clone).
//
// 1) BOS Up (Break of Structure Up)
// - BOS happens when Entry TF close breaks above the last pivot swing high.
// - When BOS triggers, the script "arms" an impulse range.
// Reasoning: BOS confirms buyers are actually pushing structure higher.
//
// 2) Discount Pullback (Entry Quality)
// - Discount level = impulseLow + (impulseHigh - impulseLow) * discountPct
// default discountPct = 0.50 (50% level).
// - "inDiscount" means price pulls back into the lower part of the impulse.
// Reasoning: This attempts to reduce chasing and improves R:R by entering on pullback.
//
// Notes:
// - If you want MORE signals, turn off Discount requirement.
// - If you want HIGHER quality signals, keep BOS + Discount ON.
//
// ---------------------------------------------------------------------------
// ENTRY RULES
// BUY PART triggers when ALL are true:
// 1) Daily mode is active (RIP or TREND)
// 2) Entry timeframe bias is positive (Close > Entry EMA50)
// 3) Entry trigger fires: Close crosses ABOVE Entry EMA20 (reclaim)
// 4) SMC gate passes (if enabled): BOS armed and/or inDiscount (depending settings)
//
// Reasoning: In strong markets, the EMA20 reclaim after a pullback is a common
// continuation entry. Bias filter avoids countertrend longs.
//
// ---------------------------------------------------------------------------
// ADD RULE ("BUY FULL")
// BUY FULL triggers when:
// - Already in trade
// - TP1 has been hit
// - Not already added
// - Price is still above Entry EMA20
//
// Reasoning: This is a pyramiding concept:
// - You start smaller (risk control)
// - Only add once trade is proving itself
//
// If you do NOT want adding, you can disable it in code later.
//
// ---------------------------------------------------------------------------
// TARGETS (TP1 / TP2)
// Targets are ATR-based from the entryPrice on the Entry TF:
// - TP1 = entryPrice + ATR * atrMult1
// - TP2 = entryPrice + ATR * atrMult2
//
// Defaults:
// - RIP has slightly smaller targets (more "hit and run").
// - TREND has larger TP2 (try to catch runners).
//
// Reasoning: ATR adapts to volatility automatically.
//
// ---------------------------------------------------------------------------
// EXIT RULES
// RIP Exit (faster protection):
// - Exit if Entry TF closes below EMA20, OR TP2 hit.
//
// Reasoning: RIP is not meant to sit through deep pullbacks.
// If it loses EMA20, momentum likely fading.
//
// TREND Exit (slower, runner-friendly):
// - Trail Entry EMA20 with grace bars.
// - If close stays below EMA20 for more than graceBars, exit, OR TP2 hit.
//
// Reasoning: Trends often dip below EMA20 briefly before continuing.
// Grace bars prevent exiting too early.
//
// ---------------------------------------------------------------------------
// RISK MANAGEMENT (HOW TO SIZE + STOPS)
// This script gives entries/exits/targets, but YOU manage risk.
// A simple approach:
// - Risk 0.5% to 1.0% of account per trade.
// - Stop idea (manual):
// * Conservative: below the most recent Entry TF swing low
// * Aggressive: below EMA50 on Entry TF
// - If stock gaps hard against you (earnings/news), exit quickly.
// - Avoid holding through earnings unless you accept gap risk.
//
// ---------------------------------------------------------------------------
// BEST PRACTICES (REALISTIC USE)
// - This works best on liquid stocks/ETFs and strong sectors.
// - Use your screener to narrow candidates, then use this indicator to time entries.
// - If too many signals are "late":
// * require Discount ON
// * raise RelVolMin
// * tighten RIP RSI max (e.g., 60)
// - If too few signals:
// * turn Discount OFF (keep BOS on)
// * lower RelVolMin
//
// ---------------------------------------------------------------------------
// DISCLAIMER
// For educational use only. Not financial advice.
// ============================================================================
TEMA (Shift4Tradezz)This is a Triple EMA made to help with identifying pullbacks and trend continuation
This TEMA is adjustable to your EMA length wants!
The default for this TEMA is 8, 13, 21
These are the lengths i like the best but you can change it to whatever
I hope this indicator is helpful and works well for you!
Modular OmniTrendOverview
Modular OmniTrend Pro 2026 is a sophisticated, trend-following trading indicator designed for traders who value precision and multi-layer confirmation. Unlike standard indicators, this system utilizes a "modular confluence" engine, requiring multiple technical conditions—momentum, trend direction, and market participation—to align before issuing a signal.
The core philosophy of this script is to eliminate market noise and capture high-probability swings by filtering out low-liquidity movements.
Key Features
Modular Architecture: Toggle between various trend-detection methods (EMA, WMA, HMA, DEMA) and confirmation layers (MACD, Parabolic SAR, ADX).
Volume-Validated Entries: Built-in volume analysis ensures that every signal is backed by real market interest, protecting you from "fake-outs" during low-volume periods.
Visualization: A clean UI that colors candles based on overall trend health and provides a dynamic "magnetic field" fill for immediate trend identification.
How to Use & Set Up Alerts
Setting Alerts: :
- Long Entry Signal: Triggers when bullish conditions align.
- Short Entry Signal: Triggers when bearish conditions align (if "Both" directions are enabled).
State Logic: The indicator remembers its state. It won't give a new Long signal until the bearish conditions have reset the cycle, ensuring cleaner entries.
Best Performance
Optimized for ETHUSD INDEX, 4H Timeframe to filter out intraday noise.
Volume Required: As this system uses Volume Confirmation, it is strictly intended for pairs with reliable volume data (Exchanges like Binance, Kraken, Coinbase).
Disclaimer: Trading involves significant risk. This indicator is a technical tool and does not constitute financial advice. Past performance is not indicative of future results.
EMA 5/21/50 > EMA200 + RSI70 AL (Tek Sinyal) by SistnblluEMA 5/21/50 > EMA200 + RSI70 AL (Tek Sinyal) by Sistnbllu
Lou Renko v3.6 Enter 4 Flip 3 Clean Alerts Exit TagsNew Indicator, Working on refining details, I have it as a Strategy but TV wont let me publish because of the chart type. So the work around is an indicator.
WVF TREND + ATR Zone + Smart Pivot ZonesThis indicator combines Williams Vix Fix (WVF) EMA, ATR-based dynamic zones, and Smart Pivot Zones into a single, clean overlay tool designed to help visualize market pressure, volatility, and key structural levels on the chart.
Core Components
WVF EMA Overlay
The WVF value is smoothed with an EMA and projected onto the price chart. This helps visualize relative market stress and momentum behavior directly on price.
ATR-Based WVF Zone
An adaptive zone is calculated around the WVF EMA using ATR.
This zone reflects current volatility conditions and adjusts automatically as market activity changes.
Smart Pivot Zones
Pivot highs and lows are detected and expanded into dynamic support and resistance zones using ATR.
These zones highlight areas where price has previously reacted with significance.
Visual Logic
The WVF EMA line changes color based on price position relative to it.
The ATR zone is softly shaded to avoid clutter while maintaining context.
Pivot zones are clearly separated into support (low pivots) and resistance (high pivots).
Purpose
This indicator is intended to provide context, not signals.
It helps traders visually assess:
Volatility expansion or contraction
Areas of historical price reaction
The relationship between price structure and volatility-based pressure
Important Notice
This indicator does not generate buy or sell signals and should not be considered financial advice.
It is a visual analysis tool meant to be used alongside other forms of technical analysis and proper risk management.
Ed's Swing Ready Ripper (STABLE v3) Ed’s Swing Ready Ripper
Ed’s Swing Ready Ripper is a swing-trading indicator built to identify stocks that are consolidating in a strong daily uptrend and preparing for an upside breakout.
It combines higher-timeframe trend confirmation with precise 4H / 2H entry signals, helping traders enter early while managing risk clearly.
🎯 Best For
Swing trades (days to weeks)
Growth stocks & strong sector leaders
Works best on 4H charts (2H for aggressive traders)
⚙️ How It Works
Daily trend filter confirms bullish structure & consolidation
4H / 2H entry logic looks for EMA20 pullbacks with momentum
BUY signals are labeled:
🟢 FULL – higher confidence setup
🟠 PARTIAL – lower confidence setup
TP1 & TP2 are plotted automatically
TP3 uses EMA20 trailing exit to let winners run
🚨 Built-In Alerts
BUY signal
TP1 hit
TP2 hit
TP3 exit (close below EMA20)
⚠️ Disclaimer
This indicator is for educational purposes only and does not constitute financial advice. Always manage risk and confirm signals with price action.
⭐ Tip
Use the Daily chart for trend direction, then switch to 4H (or 2H) for entries.
PJana-Buy/Sell Signal (STL)PJana Buy/Sell Signal (STL) is a trend-following indicator designed to identify high-probability buy and sell opportunities.
Dealer Compass PRO v4.1 Institutional Confluence EngineHere's a TradingView publication description:
---
Dealer Compass PRO v4.1 — Institutional Confluence Engine
Overview
Dealer Compass PRO is a multi-factor confluence indicator designed for intraday trading on SPY, SPX, ES, and MES. It combines regime detection, key level mapping, multi-timeframe analysis, and institutional flow concepts into a single decision-support system.
The indicator identifies high-probability trade setups by requiring alignment across multiple independent factors before generating a signal. No single condition triggers a trade — confluence is mandatory.
---
Core Components
4-Layer Confluence Engine:
1. Regime Detection — Classifies market state as TREND, BALANCED, or VOLATILE using price efficiency, VWAP crosses, and ATR expansion
2. Key Level Map — Tracks VWAP ± bands, prior day levels, opening range, overnight highs/lows, and auto-calculated magnet levels
3. Signal Engine — Generates directional signals based on regime-appropriate setups (pullbacks in trends, mean reversion in ranges)
4. Confluence Scoring — Weights and combines 10+ factors into a 0-100 confidence score
Multi-Timeframe Cascade:
- Analyzes alignment across 5m, 15m, 30m, 1H, and 4H timeframes
- Higher timeframes carry more weight in the scoring system
- Requires majority alignment before confirming trend signals
VIX Sentiment Filter:
- Reads daily VIX relative to its moving average
- Acts as a directional gate — blocks counter-trend entries during elevated fear or complacency
---
Signal Types
┌────────┬──────────────────────────────────────────────────────┬───────────────┐
│ Signal │ Description │ Market Regime │
├────────┼──────────────────────────────────────────────────────┼───────────────┤
│ PB │ Pullback to support/resistance in a trending market │ TREND │
├────────┼──────────────────────────────────────────────────────┼───────────────┤
│ MR │ Mean reversion bounce off ±2 standard deviation band │ BALANCED │
├────────┼──────────────────────────────────────────────────────┼───────────────┤
│ ORB │ Opening range breakout with volume confirmation │ TREND │
├────────┼──────────────────────────────────────────────────────┼───────────────┤
│ ORF │ Opening range failure / false breakout fade │ BALANCED │
└────────┴──────────────────────────────────────────────────────┴───────────────┘
Signals display as chart labels with confidence scores. Bar coloring highlights signal bars.
---
Info Panel
A real-time dashboard displays:
- Current regime and session window
- VWAP position and slope
- Multi-timeframe alignment status
- Volume and momentum readings
- RSI divergence detection
- VIX sentiment status
- Live confluence score breakdown
---
Built-In Filters
The indicator automatically suppresses signals during:
- Opening auction (first 6 minutes)
- Lunch window (11:00-13:00 ET)
- Volatile regime (ATR expansion > 1.8x average)
- Extreme VIX readings (> 30)
- Low confluence conditions (score < 75)
---
Recommended Setup
- Symbols: SPY, SPX, ES, MES
- Timeframe: 2 minute
- Session: Regular trading hours (9:30-16:00 ET)
The indicator includes configurable inputs for session times, risk overlay levels, and filter thresholds. Default settings are optimized for the 2-minute timeframe.
---
Risk Overlay
Optional SL/TP projection lines display on signal bars:
- Stop loss: 2 × ATR from entry
- Take profit: 1 × stop distance (1:1 R:R)
These are visual guides — the indicator does not execute trades.
---
Notes
- This is a decision-support tool, not a trading system
- Signals indicate confluence conditions, not guaranteed outcomes
- Always apply proper risk management
- Designed specifically for S&P 500 instruments on intraday timeframes
Commitments of Traders ReportCommitments of Traders (COT)
What this indicator does (very simple):
Shows weekly COT data from large traders (institutions)
Displays Long / Short / Net positions
Tells you who is in control: Bulls or Bears
🧠 How to read it (quick)
1) COT Table
Long Change → Institutions added / closed longs
Short Change → Institutions added / closed shorts
Net Position → Long − Short
Data updates once per week (Friday)
2) Buy / Sell Labels
BUY → Weekly Net position increased
SELL → Weekly Net position decreased
Signals appear only when a new COT report is released
3) Market Context (Bias Table)
Uses Daily EMA trend
Combines it with weekly COT behavior
Shows:
Bullish continuation
Bearish continuation
Caution / Sideways
Reversal risk
✅ Bias
🎯 Best use
For big-picture bias
[X342] Volume Insight Volume Insight — Smart Flow Analysis
OVERVIEW
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Volume Insight is a comprehensive volume analysis indicator that helps identify unusual trading activity and momentum shifts through smart volume classification.
METHODOLOGY
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
The indicator employs a multi-layered volume analysis approach:
1. Volume Classification
- Compares current volume to moving average
- Identifies "high volume" bars using configurable multiplier
- Color-codes bars by direction (bullish/bearish) and intensity
2. Moving Average Options
- SMA: Simple Moving Average (equal weight)
- EMA: Exponential Moving Average (recent bias)
- WMA: Weighted Moving Average (linear weight)
- RMA: Running Moving Average (smoothed)
- HMA: Hull Moving Average (responsive, less lag)
3. Daily Context
- Fetches daily timeframe volume data
- Compares today vs yesterday volume
- Calculates percentage change for trend context
VISUAL ELEMENTS
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
• Volume Bars: Colored by direction and high-volume status
- Green: Bullish volume (close > open)
- Red: Bearish volume (close < open)
- Gold: High volume (exceeds threshold)
• MA Line: Blue line showing average volume
• Threshold Line: Gold step-line showing high volume trigger level
FEATURES
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
✓ Dual language support (English / Türkçe)
✓ Multiple MA type options
✓ Configurable high volume detection
✓ Daily volume comparison
✓ Comprehensive info panel
✓ Alert conditions for volume spikes
SETTINGS
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Display:
- Show Volume Bars: Toggle bar display
- Show Moving Average: Toggle MA line
- Show High Volume Threshold: Toggle threshold line
Moving Average:
- MA Period: Lookback period (default: 20)
- MA Type: SMA/EMA/WMA/RMA/HMA
Detection:
- High Volume Multiplier: Threshold multiplier (default: 1.5x)
Panel:
- Show Info Panel: Toggle dashboard
- Panel Position: Corner selection
INFO PANEL
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Displays:
- Current volume value and status
- Average volume over selected period
- Volume ratio (current / average)
- Today's total volume
- Yesterday's total volume
- Daily change percentage
ALERTS
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
• High Bullish Volume: Above threshold + green bar
• High Bearish Volume: Above threshold + red bar
• Volume Spike: 2x+ average volume detected
BEST PRACTICES
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
- High volume on breakouts confirms the move
- Declining volume on rallies warns of exhaustion
- Volume spikes near support/resistance are significant
- Combine with price action for best results
[X342] Market Radar Market Radar — Multi-Indicator Dashboard
OVERVIEW
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Market Radar is a comprehensive dashboard that consolidates 19+ technical indicators into a single, easy-to-read panel with automatic scoring and decision signals.
METHODOLOGY
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
The indicator combines multiple technical analysis approaches:
1. Trend Indicators (7 total)
- EMA 14, 21, 34 (short-term trend)
- SMA 50, 200 (long-term trend)
- SuperTrend (ATR-based)
- Parabolic SAR
- Ichimoku Cloud
2. Oscillators (7 total)
- RSI (14) - momentum
- MACD - trend momentum
- Stochastic - overbought/oversold
- ADX - trend strength
- ROC - rate of change
- Williams %R - momentum
- RVOL - relative volume
3. Pivot Levels (3 timeframes)
- Daily Pivot
- Weekly Pivot
- Monthly Pivot
4. Special Indicators
- Fibonacci retracements (auto-drawn)
- AVWAP (monthly)
- Squeeze detection (BB inside KC)
- Composite analysis (E34, E233)
SCORING SYSTEM
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Each indicator contributes to the total score (max 19 points):
- Score ≥ 10: BUY signal
- Score 7-9: NEUTRAL
- Score ≤ 6: SELL signal
Strong signals: ≥14 (Strong Buy) or ≤4 (Strong Sell)
FEATURES
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
✓ Dual language support (English / Türkçe)
✓ 19-point scoring system
✓ Auto-drawn Fibonacci levels
✓ Squeeze detection
✓ Composite EMA analysis
✓ Color-coded indicators
DASHBOARD LAYOUT
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
6 columns × 11 rows organized by category:
Column 1-2: Trend indicators and values
Column 3-4: Oscillators and values
Column 5-6: Pivots, special, score, decision
SETTINGS
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Fibonacci:
- Show Fibonacci: Toggle Fib levels
- Fibonacci Lookback: Period for high/low (default: 100)
Dashboard:
- Show Dashboard: Toggle panel
- Position: Corner selection
Colors:
- Bullish Color: Green for positive signals
- Bearish Color: Red for negative signals
- Neutral Color: Gray for neutral
ALERTS
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
• Strong Buy Signal: Score ≥ 14
• Strong Sell Signal: Score ≤ 4
• Squeeze Detected: Volatility compression
BEST PRACTICES
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
- Use for quick market overview
- Higher scores on higher timeframes = stronger signals
- Combine with price action confirmation
- Watch for squeeze as potential breakout setup
- Score changes can indicate trend shifts
IPC Strategy........ Ignition Pullback ContinuationIPC Strategy — Ignition Pullback Continuation
The IPC (Ignition Pullback Continuation) Strategy is an intraday trend-continuation framework designed to capture institutional momentum after a true market “ignition” move.
The script identifies when price establishes a strong directional trend using EMA structure, VWAP positioning, volume confirmation, and chop filtering. Once a valid trend is confirmed, the indicator does not signal late entries. Instead, it waits for the first controlled pullback or EMA reclaim rejection, then marks the precise continuation candle where probability favors trend resumption.
This creates a two-step process:
Detect institutional trend ignition
Execute on the first high-quality pullback continuation
Key features:
Non-repainting buy/sell arrows on confirmed trend shifts
Precise pullback and rejection entry dots for execution
Chop filter to avoid low-probability market conditions
VWAP and volume confirmation for institutional context
Background and trend labeling for visual clarity
Alerts aligned with confirmed signals
The IPC Strategy is built for traders who want to avoid chasing moves and instead participate where institutions typically re-enter the market: the first pullback after momentum ignition.
Ideal for intraday trading on equities, ETFs, and liquid tickers across all timeframes.
Multi-Timeframe Moving Average Tracker
Tracks user-defined higher timeframe moving averages on a 1-min chart (maybe higher?).
Useful to see where current price is in relation to a higher timeframe (e.g., 5-min, 1-hr) moving average like the 50 period. This allows the trader to determine size position risk based on personal rules (e.g., price below the 1-hr 40p EMA is high risk for lower price, so position size needs to be lightened, etc).
The higher timeframe moving average is live and plotted on the lower chart as a line (user-defined type and color) with the timeframe and period noted. It will move as the period closes (i.e., 5-min period closes every 5 minutes, 1-hr period closes every 60 minutes, etc.).
F&O AIO Dashboard - Ultra-Pro Edition - v2F&O AIO Dashboard - Ultra-Pro Edition
A comprehensive all-in-one trading dashboard designed specifically for Indian F&O (Futures & Options) traders.
🎯 Key Features
📊 Multi-Timeframe Analysis
Dynamic trend identification using EMA (5, 20, 75) and SMMA indicators
Session-based VWAP calculation (resets at 9:15 AM IST)
CPR (Central Pivot Range) levels with BC/TC zones
Intraday Fibonacci retracement levels (23.6%, 38.2%, 50%, 61.8%, 78.6%)
⚡ Advanced Price Action
Fair Value Gap (FVG) detection with visual boxes and size percentage
Order Block identification for institutional levels
Customizable threshold filters for quality setups
📅 Smart Expiry Detection
Automatic detection of Weekly and Monthly expiry days
Support for NIFTY, BANKNIFTY, FINNIFTY, MIDCPNIFTY, SENSEX, and BANKEX
Updated for NSE/BSE rule changes effective September 2025
Days-to-expiry counter with theta decay calculation
Visual highlighting on expiry days
🕐 Session Intelligence
9:20 AM opening range breakout levels
First 15-minute range markers
Optional lunch and closing session zones
All times calibrated for Asia/Kolkata timezone
🔴 Volatility Monitoring
India VIX integration with real-time tracking
Customizable VIX alert thresholds
Visual volatility status badge
📊 OI & Volume Analysis
Volume spike detection (OI proxy)
Adjustable threshold multipliers
🎯 Strike Suggestion Engine
Two selectable modes:
9:20 Lock Mode: Locks ATM strike at 9:20 AM for intraday consistency
VWAP Mode: Dynamic ATM based on VWAP for trend-following and scalping
Automatically suggests CE/PE strikes based on setup strength:
ATM and OTM recommendations
Adapts to NIFTY (50-point) and BANKNIFTY (100-point) strike intervals
🛡️ Risk Management
Automatic Stop Loss calculation (percentage-based)
Target levels using Risk:Reward ratio
Visual SL and Target markers on chart
📈 Setup Scoring System
5-point bullish/bearish strength meter
Combines VWAP, EMAs, SMMA, and VIX momentum
Real-time setup classification (Strong Long, Long, Short, Strong Short, Wait)
🔔 Alert System
9:20 range breakout alerts (up/down)
VIX spike notifications
Expiry day reminders
FVG and setup alerts
📊 Comprehensive Info Dashboard
Real-time status table showing:
Expiry status and countdown
9:20 range metrics
Current trend direction
Session phase
VIX level
Theta decay percentage
Active FVG/Order Block status
⚙️ Customization Options
All features are toggle-based with granular control:
Show/hide any indicator component
Adjustable lengths for all moving averages
Customizable thresholds for FVG, OB, and OI detection
Flexible alert configuration
Optional line labels for cleaner charts
📌 Important Notes
Disclaimer: This indicator is for educational purposes only. It does not provide buy/sell recommendations. All trading decisions should be made based on your own analysis and risk appetite. Options trading involves substantial risk and is not suitable for all investors.
Timezone: All session markers are calibrated for Indian markets (Asia/Kolkata timezone).
Expiry Rules: The indicator automatically applies the correct expiry day rules:
Before Sept 1, 2025: Old NSE/BSE rules
From Sept 1, 2025: New NSE/BSE rules (NIFTY→Tuesday, SENSEX→Thursday, etc.)
Best Used With: 1-minute to 15-minute timeframes for intraday F&O trading.
🎨 Visual Design
Clean, professional layout with:
Color-coded trend indicators
Transparent zone overlays
Non-intrusive labels
Organized info table
Minimal chart clutter
📚 Suitable For
Intraday Options traders
Scalpers and swing traders
Traders using institutional order flow concepts
Multi-indicator analysis enthusiasts
Version: 2.0
Language: Pine Script v5
Chart Type: Overlay indicator
EMA-SMA Moving Average Cloud v2EMA-SMA Moving Average Cloud v2
A versatile moving average indicator featuring two operating modes: Simple Mode for quick setups with preset length combinations, and Multi-MA Mode for advanced configurations with up to 5 customizable moving averages.
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
FEATURES
▸ Unified MA Type Selection
Choose between EMA or SMA - the selected type applies consistently across all moving averages in both modes.
▸ Simple Mode (Default)
Perfect for traders who prefer classic dual-MA setups:
• Preset length combinations: 9/21, 21/50, 50/200, 10/20, 20/50, 8/21, 13/48, 5/13
• Option to define custom fast/slow lengths
• Visual cloud between the two MAs showing trend direction
• Automatic buy/sell signals on crossovers
▸ Multi-MA Mode
For traders requiring more comprehensive analysis:
• Up to 5 independently configurable moving averages
• Individual control over length, color, and line width for each MA
• Flexible cloud pairing - choose any two MAs to form the cloud
• Signals generated based on selected cloud pair crossovers
▸ Dynamic Cloud Visualization
• Color-coded trend identification (green for bullish, red for bearish)
• Adjustable transparency
• Cloud automatically reflects the relationship between selected MAs
▸ Cross Signals & Labels
• Triangle markers on MA crossovers
• Optional buy/sell labels
• Customizable signal colors
▸ Higher Timeframe Support
• Overlay HTF moving averages on your current chart
• Useful for multi-timeframe confluence analysis
▸ Info Panel
• Optional on-chart display showing current MA values, trend direction, and active settings
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
HOW TO USE
Simple Mode:
1. Select your preferred MA type (EMA/SMA)
2. Choose a preset or define custom fast/slow lengths
3. Use the cloud color to identify trend direction
4. Look for crossover signals for potential entries
Multi-MA Mode:
1. Enable "Multi-MA Mode" in Core Settings
2. Configure each MA (enable/disable, set length, choose color)
3. Select which MA pair should form the cloud
4. Monitor crossovers between your selected cloud pair for signals
Common Setups:
• Scalping: 9/21 EMA on lower timeframes
• Swing Trading: 21/50 or 50/200 on daily charts
• Trend Following: Multiple MAs (9, 21, 50, 100, 200) in Multi-MA mode
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
ALERTS
• Bullish Cross - Fast MA crosses above Slow MA
• Bearish Cross - Fast MA crosses below Slow MA
• Trend Turned Bullish - Trend shifts from bearish to bullish
• Trend Turned Bearish - Trend shifts from bullish to bearish
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
NOTES
• The cloud provides a visual representation of trend strength - wider clouds indicate stronger momentum
• In Multi-MA mode, signals are only generated when a cloud pair is selected (not "None")
• HTF overlay is available only in Simple Mode
• Works on all instruments and timeframes
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
If you find this indicator useful, please consider giving it a boost!
Feedback and suggestions are always welcome.
Fusion System | BUY/SELL + Auto FibonacciMariSakel – Fusion System | BUY / SELL Signals + Auto Fibonacci
Overview
MariSakel – Fusion System is a trend-following trading indicator that combines BUY / SELL signals, automatic Fibonacci levels, and Take Profit indications directly on the chart.
It is designed to help traders identify trend direction, entries, and exits without manual drawing.
BUY / SELL Signals
BUY signal appears when price shifts into a bullish trend and moves above the system’s dynamic trend line.
SELL signal appears when price shifts into a bearish trend and moves below the system’s dynamic trend line.
Signals are optimized to follow real trend changes, not random price noise.
Trend Visualization
Green candles indicate bullish market conditions
Red candles indicate bearish market conditions
This allows instant visual confirmation of the active trend, as shown in the chart.
Automatic Fibonacci Levels
The indicator automatically plots key Fibonacci retracement levels:
0.236 / 0.382 / 0.500 / 0.618 / 0.786 / 1.000
These levels act as:
Support & resistance zones
Potential take profit targets
Reaction areas for price continuation or pullbacks
No manual Fibonacci drawing is required.
Take Profit Signals
Take Profit labels appear when price reaches areas of:
extended movement
overbought or oversold conditions
These signals are meant for exiting or partially closing positions, not for opening new trades.
How to Use
Follow the active trend (green for long, red for short)
Enter trades only in the direction of the BUY or SELL signal
Use Fibonacci levels and Take Profit labels to manage exits
Markets & T
Works on Crypto, Forex
Suitable for all t (best performance on H1 and higher)






















