DOWTHEORY_PNT1.X_WithSMC_LITE_TH🇹🇭 ภาษาไทย (Thai Description)
ชื่อสคริปต์: Dow Theory + SMC Structure & Order Blocks V7
คำอธิบาย: สคริปต์นี้เป็นการผสมผสานระหว่างทฤษฎีพื้นฐานที่แข็งแกร่งอย่าง Dow Theory และแนวคิดยอดนิยมอย่าง SMC (Smart Money Concepts) เพื่อช่วยให้นักเทรดระบุโครงสร้างตลาดและจุดเข้าเทรดที่ได้เปรียบที่สุด โดยระบบจะคำนวณโครงสร้างราคาแบบเรียลไทม์เพื่อหาจุดเปลี่ยนเทรนด์และจุดไปต่อของราคา
คุณสมบัติเด่น:
Market Structure: ระบุ Higher High (HH), Higher Low (HL), Lower High (LH), และ Lower Low (LL) อัตโนมัติ
SMC Order Blocks (OB): แสดงโซนแนวรับ-แนวต้านที่มีนัยสำคัญ (กล่องสีเขียว/แดง) ซึ่งเป็นจุดที่คาดว่าสถาบันการเงินวางคำสั่งซื้อขายไว้
BOS (Break of Structure): สัญญาณยืนยันการเบรคโครงสร้างเพื่อไปต่อตามเทรนด์เดิม ช่วยให้คุณไม่พลาดจังหวะการรันเทรนด์
Multi-Level Signals: แยกสัญญาณความสำคัญสูง (B/S) และสัญญาณยืนยัน (BOS) พร้อมสัญญาณเตือนล่วงหน้า (pb/ps)
Dynamic Dash Lines: เส้นประแนวรับ-แนวต้านความยาว 3-5 บาร์ เพื่อช่วยในการวางจุด Stop Loss และ Take Profit อย่างแม่นยำ
วิธีใช้งาน:
มองหาโครงสร้างขาขึ้น (HL) หรือขาลง (LH)
รอสัญญาณ B (Buy) หรือ S (Sell) เพื่อยืนยันเทรนด์ใหม่
ใช้โซน Order Block เป็นจุดพิจารณาเข้าเทรด (Entry) เมื่อราคาย้อนกลับมาทดสอบ (Retrace)
🇺🇸 English Description
Script Name: Dow Theory + SMC Structure & Order Blocks V7
Description: This script combines the time-tested Dow Theory with modern SMC (Smart Money Concepts) to provide a comprehensive market structure analysis. It is designed to help traders identify structural shifts and high-probability entry zones by tracking "Smart Money" footprints on the chart.
Key Features:
Automated Market Structure: Automatically labels HH, HL, LH, and LL to define the current trend environment.
SMC Order Blocks (OB): Highlights potential supply and demand zones (Green/Red boxes) where institutional orders are likely concentrated.
BOS (Break of Structure): Clearly identifies trend continuations, allowing traders to scale into winning positions with confidence.
Smart Signaling System: Features Primary signals (B/S), Confirmation signals (BOS), and Pre-Breakout alerts (pb/ps).
Flexible Visuals: Customizable dashed lines and line styles to suit your charting preferences, making it easy to spot key price levels at a glance.
How to Use:
Identify the trend through HL or LH formations.
Enter on B (Primary Buy) or S (Primary Sell) labels.
Use Order Blocks as "Buy on Dip" or "Sell on Rally" zones for optimal Risk:Reward entries.
Wskaźniki i strategie
PWH / PWL / PDH / PDL Right SidePDH/PDL,PWH/PWLを表示し価格がヒットしたら削除またはラベルの色が変わる仕様になっています。
It shows PDH/PDL and PWH/PWL, and when price touches any of these levels, the level is either removed or its label color changes.
Trend Reversal Divergence Indicator 📈 Trend Reversal Divergence Indicator (V1)
This indicator highlights potential trend reversal zones by evaluating price behavior around market exhaustion areas.
Core logic:
Identifies reversal pressure when price continues to extend while momentum weakens
Signals are generated only in overbought or oversold conditions
Multiple confirmations are required, increasing overall signal reliability
Signal strength levels:
🔷 / 🔶 → Early reversal pressure
🚀 / ☠️ → Strong reversal setup
🌛 / 🔥 → High-confidence reversal zone
Built-in visual tools:
Multiple Exponential Moving Averages (EMAs) for trend context
Volatility bands to visualize expansion and contraction
Trend-following reference tools for directional bias and structure
Market balance zones projected forward for contextual support
Best use cases:
Short-term and intraday trading
Timing entries near local tops and bottoms
Enhancing decision-making with multi-layered confirmation
⚠️ All calculations are based on closed candles to prevent repainting.
KPA Advisory - Vietnam Sector-Based Growth & Trend ScreenerKPA Advisory - Vietnam Sector-Based Growth & Trend Screener
Introduction
This indicator is developed by KPA Advisory to support individual investors in the Vietnam stock market in filtering, comparing, and evaluating stocks by sector, with the goal of identifying stocks that are exhibiting positive growth trends.
Instead of monitoring a large number of individual charts, the indicator helps investors quickly identify standout stocks within each sector, saving time and improving the efficiency of market observation.
Purpose
This indicator is designed to:
Filter stocks by sector
Compare relative strength among stocks within the same sector
Identify stocks with clear and positive growth trends
Help investors focus on in-depth analysis of selected stocks instead of tracking the entire market
The indicator is suitable for stock screening and observation on both Daily and Weekly timeframes.
Displayed Information
The data is presented in a clear and structured table, allowing users to choose which information fields are displayed, including:
Stock: Ticker symbol, with exchange information shown when the stock is not listed on HOSE
Price: Current price and percentage change compared to the previous session
Volume: Indicates the level of market participation in the stock
Trend: Reflects the current trend state of the stock (Up / Down / Neutral)
SMXH (Trend Strength): Evaluates the clarity and sustainability of the stock’s trend
Flexible Customization
Users can:
Enable or disable individual data columns based on their preferences
Display a single sector or multiple sectors simultaneously
Adjust the number of stocks shown per column
Sort stocks according to different observation criteria
Suggested Usage
Select the sector of interest
Prioritize stocks with positive trends and SMXH marked as STRONG
Open detailed charts only for these selected stocks for deeper analysis
This approach helps investors reduce noise, improve focus, and manage their analysis time more efficiently.
Disclaimer
This indicator is designed to support market observation, stock screening, and comparison
It does not constitute investment advice or a buy/sell recommendation
Investors should combine this tool with their own analysis and appropriate risk management before making any investment decisions
📬 Contacts
Email: khaibds1009@gmail.com
Phone/Zalo: 0934 050 375
© Copyright
Developed by: KPA Advisory
Market focus: Vietnam Stock Market
© 2025 KPA Advisory. All rights reserved.
1H EMA window multiple cyclesThis is a display method with nested EMAs across multiple timeframes. Within the one-hour window, you can see whether there are key moving averages providing resistance above or below the current candlestick, allowing for effective judgment and eliminating the need to repeatedly switch between different timeframes and multiple alerts.
这是一个多时间级别EMA嵌套的显示方式。在一小时窗口下,可以看到当下K线的上下是否有关键均线的阻力,以便做出有效判断,免去了切换不同时间窗口和多重报警的反复切换。
GKZ anchored EMAsimple explanation
I choose the time period of EMA
I choose its timeframe...( daily /weekly)
and I simply anchor it...no matter which timeframe chart I open
NAhi samjhe!
lets say I am long nifty but I want to trail it on 30 ema ( weekly). I use GKz anchored EMA and chose 30 ema ( weekly) ....it is default option.
Now, irrespective of what timeframe chart i use....daily , weekly, monthly , 2 hours, 4 hours etc etc.....GKz anchored EMA always shows values as under 30 EMA weekly.
Good when you are trailing your trades!
Cheers
Ticker Dashboard EMA8 4H 1D 30m 10mhkuhuhiuhbgubh iuyguyigbkbgh ouhoulnjlkb hiugb igyiyfv iljnob iykbn
Previous Close Fibonacci前日終値を基準値としてATRでフェボナッチラインを計算するインジケータです。
This indicator calculates Fibonacci lines using ATR, based on the previous close.
Box- velocity targetPlease consult with financial advisor for trade entry and exit , this is just indicator to show probability
This indicator automates price action analysis by identifying dynamic consolidation ranges and projecting "velocity targets" based on measured moves. Unlike static box indicators, this script utilizes an "Elastic Range" logic that adapts to market volatility and fakeouts before confirming a breakout.
How it Works:
Pivot Detection: The script identifies potential range highs and lows using a configurable pivot lookback.
Elastic Expansion: If price breaks out of the range but fails to hold (a fakeout) within a specific validation period, the box automatically expands to encompass the new high or low. This ensures the range captures the true liquidity area.
Velocity Targets: Once a valid breakout occurs, the indicator projects upside or downside targets based on the box height:
T1: 1x Box Height
T2: 2x Box Height
Key Features:
Smart OCO (One-Cancels-Other) Logic: If the upside targets are hit, the downside projection lines are automatically removed to keep your chart clean (and vice versa).
Size Filters: Built-in percentage filters (Min/Max Box Size) allow you to ignore tiny noise ranges or massive, untradeable ranges.
Auto-Hide: Options to automatically delete the box and lines once T1 or T2 is achieved.
Visual Customization: Toggle between specific user-defined colors or dynamic Bull/Bear coloring based on the breakout direction.
Settings:
Pivot Lookback: Sensitivity of the high/low detection.
Fakeout Validation: How many bars the price must stay outside the box to confirm a breakout.
Box Color Mode: Choose between a single color or Red/Green indicators.
Usage: Best used for breakout strategies and identifying measured move objectives on trending assets.
Volume Moving Average 5MV Fast Line (Orange): Reflects short-term volume surges, quickly capturing large order entry or sudden shifts in market sentiment.
21MV Slow Line (Purple): Represents the average benchmark over a period. If the fast line is above the slow line, it usually indicates that current momentum is above average.
Trend Background Color:
When 5MV > 21MV, the background will be light green, suggesting increased market activity.
When 5MV < 21MV, the background will be light red, suggesting the market is entering a period of consolidation with reduced volume.
Heikin Ashi Toggle: I have retained the HA logic from your original script, enabled by default. This will make the volume bar color more consistent with the trend, rather than fragmented fluctuations.
NSE MCX Future Open Interest Vol- Analysis (JITENDRA)NSE MCX Future Open Interest Volume Analysis (JITENDRA)
This indicator is designed for derivatives traders who want a structured, session-aware view of Futures Open Interest (OI), Price change, and Volume behavior across intraday and higher timeframes.
Unlike standard OI indicators that only show bar-by-bar changes, this script organizes Futures data into a time-slot-based log table, allowing traders to track how positions are being built, unwound, or covered throughout the trading session.
Summary of This Indicator
What This Indicator Does
Open Interest Only Available in Future Chart.
Automatically detects and loads the current Futures contract (1!) when applied on spot or futures charts, if Script Available in Derivatives.
Logs Price change, Open Interest change, and Volume into fixed time slots (15-min / 60-min / Daily). Classifies market positioning behavior using Price–OI relationships:
Long Buildup
Short Buildup
Short Covering
Long Covering
Neutral activity
No Future Data Leak – Upcoming slots stay blank until time arrives
Automatic Session Detection – Day & Evening sessions handled intelligently
Professional OI Logic – Clear Long / Short Build-Up & Covering signals
Separates Day (Morning) and Evening sessions intelligently without overwriting data
Highlights abnormally high OI or Volume activity using adaptive averages
This creates a log-book style view of Futures participation rather than a single-bar indicator
Core Logic Behind Data Reading
The indicator evaluates three core derivatives components together:
Works on 15-min, 60-min, Daily, or Chart-based safe timeframes
Price Change → Directional intent
Open Interest Change → Position creation or reduction
Volume → Activity strength and participation
By combining these, the script identifies whether traders are:
Adding fresh longs or shorts
Covering existing positions
Exiting without fresh participation
Session-Aware & Time-Slot Based
Day Session (NSE): 09:15 – 16:00 IST
Evening Session (MCX / Extended Futures): 16:00 – 23:45 IST
In Auto mode, the indicator:
Continues displaying Day session data until actual Evening session data appears
Switches sessions without overwriting the existing table
Each row represents a completed time block, helping traders visually analyze how positioning evolves through the session.
Table Columns (Configurable)
All columns can be enabled or disabled from settings.
Time Slot
Price Δ
OI Δ
Volume
OI-Based Signal
Snapshot to Understand 15 Minutes Data on Table
Snapshot to Understand 60 Minutes Data on Table
Data Fetching Logic Summary
Uses controlled request.security() calls
Avoids loops with dynamic security requests
Table is rebuilt only on: First bar, Session change bar occur.
Pine Logic Concept
chartTFMin = timeframe.isintraday ? timeframe.multiplier : 1440
safeChartTF = chartTFMin < 15 ? 15 : chartTFMin
Futures Symbol Convert (Auto 1!)
if syminfo.type == "futures"
t := syminfo.ticker
else
t := syminfo.ticker + "1!"
Fetching LTP (Close Price) & Volume
=
request.security(baseSymbol, logTF, [time, close, close , volume])
Fetching Open Interest (OI)
oiSymbol = syminfo.prefix + ":" + baseTicker + "_OI"
=
request.security(oiSymbol, logTF, [close, close ], ignore_invalid_symbol=true)
Safety Feature
Prevents runtime errors if OI data is unavailable for a symbol
gnore_invalid_symbol = true
Thanks
Trading View
Vilantro SMC, Sessions, FRVP Master Algo V2.3Vilantro SMC, Sessions, FRVP Master Algo (V2.3)
Overview The Vilantro SMC Master Algo is a comprehensive institutional trading toolkit designed for Smart Money Concepts (SMC) and ICT traders. It combines Time, Price, Volume, and Structure into a single, high-performance indicator.
Instead of cluttering your chart with multiple indicators, this tool provides a "mechanical" framework to identify high-probability setups by visualizing Liquidity Sweeps, Order Blocks, Fair Value Gaps, and Session Kill Zones automatically.
Key Features
1. Advanced Session & Kill Zones Time is the most critical element in ICT trading. This module highlights key trading windows to help you catch volatility. • Asia Range: Visualizes the accumulation phase (Default: 20:00 - 00:00 NY). • London Kill Zone: Captures the "Judas Swing" or initial breakout (Default: 02:00 - 05:00 NY). • New York Kill Zone: The primary session for trend continuation or reversals (Default: 07:00 - 10:00 NY). • Custom Session: A user-defined window (e.g., Close, Lunch) for added flexibility. • Feature: Toggle any session ON/OFF individually.
2. Smart Money Concepts (PD Arrays) The core engine automatically detects institutional reference points: • Order Blocks (OB): Highlights the last candle before a strong move. Green for Bullish, Red for Bearish. • Fair Value Gaps (FVG): Detects imbalances where price moved too quickly. • Breaker Blocks (BB): Advanced Logic. Automatically identifies Failed Order Blocks (e.g., a Bullish OB that got smashed through) and marks them as Breakers for retests. • Inversion FVGs (IFVG): Advanced Logic. Marks Failed FVGs that flip from support to resistance (or vice versa).
3. Market Structure & Swings • Swing Points: Automatically labels HH (Higher High), LL (Lower Low), LH , and HL to visualize the trend. • Break of Structure (BOS): Draws lines when trend continuation occurs. • Change of Character (CHoCH): Draws lines when the trend potentially reverses. • Customization: You can toggle the Labels and Lines independently to keep charts clean.
4. Fixed Range Volume Profile (FRVP) - Gap Logic Unlike standard indicators, this calculates the Volume Profile specifically for the "Gap" periods between sessions (e.g., Pre-London or Pre-NY). • POC (Point of Control): The price level with the highest volume traded during the gap. • VAH / VAL: Volume Area High and Low lines. • Usage: Helps identify where price is likely to magnetize before the next session opens.
5. Liquidity & Sweeps • Equal Highs/Lows (EQH/EQL): Automatically spots "Double Top/Bottom" formations where retail stops are hiding. • Sweep Signals: Provides real-time BUY/SELL signals when a session high/low is swept (liquidity raid) and price reverses back into the range.
6. Daily Premium & Discount • Calculates the Daily High , Daily Low , and Equilibrium (50%) level. • Helps you avoid buying in "Premium" (expensive) or selling in "Discount" (cheap) zones.
Settings Guide
Kill Zones • Show : Toggle visibility for Asia, London, NY, or Custom boxes. • Time Inputs: Set start/end times (Format: HHmm-HHmm in NY time).
Visuals • Colors: Customize the background colors and opacity for each session.
Premium / Discount • Calculate P/D: Enables the Daily Range calculation. • Show BG/Lines: Toggles the background shading or the High/Low/Eq lines.
Volume Profile • POC / VAH / VAL: Customize the color, width, and style (Solid/Dash) of volume lines.
SMC • Show FVG / OB: Toggles standard Order Blocks and Fair Value Gaps. • Req FVG?: Filter: Only shows OBs that created a Fair Value Gap (High Quality). • Show Breakers / IFVG: Toggles advanced "flipped" zones (Breaker Blocks & Inversion FVGs).
Structure • Show Swings: Toggles HH/LL labels on pivots. • Show Structure Lines: Toggles BOS/CHoCH horizontal lines.
Liquidity • Thresh: Sensitivity for detecting Equal Highs/Lows.
Trade Mgmt • Show Signals: Toggles the Buy/Sell labels on the chart.
How to Trade (Strategy Examples)
Strategy A: The "Session Sweep" (Reversal)
Wait for a Session Box (e.g., Asia) to form.
Look for price to break out above the Session High (Sweep).
Wait for a "SELL (Sweep)" signal. This confirms price grabbed liquidity and closed back inside.
Target: The opposing side of the session (Asia Low) or the Session POC.
Strategy B: The "Unicorn" (Breaker + FVG)
Identify a Breaker Block (BB) (a failed OB that flipped).
Look for a Fair Value Gap (FVG) overlapping with that Breaker.
Entry: Limit order at the overlap of the BB and FVG.
Stop Loss: Just outside the Breaker structure.
Disclaimer: This tool is for educational and analytical purposes only. Trading involves significant risk. Always combine these signals with your own analysis and risk management rules.
Ghost Matrix [Bit2Billions]Ghost Matrix — Institutional Market Structure Engine
A unified price-mapping system built on original logic, designed for professional-grade market structure analysis.
Ghost Matrix is a closed-source script engineered to give traders a single, coherent view of liquidity, structure, swings, trend pressure, and institutional behavior across all time horizons.
It is not a mashup of public indicators. Every module is built around the same proprietary internal engines, ensuring consistency, originality, and practical trading value.
The script’s purpose is to solve a common problem among traders: multiple indicators producing conflicting signals.
Ghost Matrix consolidates structure, liquidity, momentum, zone logic, and higher-timeframe context into one synchronized framework.
Reason for Mashup
Ghost Matrix combines multiple market-structure components because institutional price analysis cannot be performed with isolated tools.
Market structure, liquidity, swings, zones, trend pressure, and regime context are interdependent. Using separate indicators for each element often results in conflicting or delayed signals.
Ghost Matrix intentionally unifies these components into a single framework so structure is evaluated once, then shared across all modules.
This is not a mashup for convenience—it is necessary to maintain a consistent structural narrative.
How the Components Work Together
All components in Ghost Matrix are driven by the same internal logic layers:
1. Ghost Swing Engine defines valid market swings using adaptive displacement and fractal-strength scoring.
2. These swings feed the Structural Mapping Engine, which determines BOS, CHoCH, internal/external structure, and liquidity behavior.
3. The Adaptive Confluence Engine then responds to the confirmed structure, adjusting trend models, zones, momentum behavior, and targets.
Because every module references the same swing and structure state:
* Zones only appear where structure supports them
* Trend pressure aligns with structural direction
* Liquidity lines and targets update with structural shifts
This ensures all outputs confirm or contextualize each other rather than conflict.
What Problem It Solves
Most traders face the following problems:
• Conflicting indicators for structure, trend, and zones
• Manual swing and BOS/CHOCH marking
• Liquidity levels drawn without confirmation
• Trend tools that ignore structure
• Difficulty maintaining higher-timeframe context
Ghost Matrix solves these issues by providing a single, coherent market-structure model that:
• Automates swing and structure detection
• Maps liquidity and zones based on validated structure
• Aligns trend, momentum, and regime context
• Eliminates indicator disagreement
• Preserves narrative continuity across timeframes
The result is clearer decision context, not signal overload.
Why It Is Worth Paying For
Ghost Matrix justifies paid access because it replaces multiple manual and automated processes with a single, closed-source system built on original logic.
It replaces:
• Manual swing plotting
• Structure and BOS/CHOCH tracking
• Liquidity and EQH/EQL mapping
• Demand/supply zone drawing
• Trend and regime identification
• Volume and momentum context tools
• Higher-timeframe overlays
The value lies not in individual concepts (structure, zones, Ichimoku, MAs), but in how they are mathematically synchronized and decision-driven.
This level of integration, automation, and consistency cannot be achieved by combining public indicators, which is why Ghost Matrix is offered as a closed-source, invite-only script.
Ghost Matrix is driven by three custom systems:
1. Proprietary Swing & Pivot Engine (Ghost Swing Engine)
This engine determines market turning points using:
* Adaptive displacement logic
* Dynamic pivot length calculations
* Fractal-strength scoring
* Multi-tier swing confirmation
These swings act as the foundation for BOS, CHoCH, liquidity lines, and zone detection.
This method is not based on standard fractals, ZigZag, or public swing scripts.
2. Structural Mapping Engine (Institutional Model Layer)
This system evaluates structure in the same narrative sequence used by advanced traders:
* Internal vs. external structure
* Trend progression vs. structural failure
* Strength/weakness of highs & lows
* Volatility-based CHoCH/BOS validation
This ensures structure is not drawn based on a single candle pattern, but from a multi-step decision model.
3. Adaptive Confluence Engine
Trend, volume, zones, and momentum modules respond to the structure engine, producing *contextual* signals instead of isolated indicators.
This includes:
* Adaptive moving average engine (custom smoothing + gradient logic)
* Demand/supply zones derived from momentum + displacement + volume footprints
* Ichimoku behavior model (crosses, twists, regime shifts)
* Multi-pivot target engine
This creates a full ecosystem rather than individual tools merged together.
Why This Script Has Genuine Value
TradingView’s requirements demand clear originality and practical use.
Ghost Matrix meets these requirements by offering:
✔ A unified structural ecosystem
Every module connects to the same logic layers so the chart tells one consistent story.
✔ Proprietary decision-making logic
Swing detection, structure interpretation, liquidity lines, and zones are built from original formulas—not from built-ins or simple replications.
✔ A visual-first trading workflow
All visuals are designed for institutional-style reading:
* Structure confirmation
* Liquidity reach & sweep behavior
* Swing-to-fractal alignment
* Momentum vs. structural conflict
* Regime shifts through Ichimoku + MA pressure
✔ Designed for traders who rely on narrative-based execution
The indicator replaces:
* Manual swing marking
* Structure identification
* BOS/CHOCH tracking
* Liquidity mapping
* Zone drawing
* Trend mapping
* Volume context
* HTF candle overlays
All in a single, consistent tool.
This provides clear justification for being an script.
Key Components & Intent
Market Structure Module (ICT/SMC Integration)
Detects:
* BOS / CHOCH
* BMS / SMS
* Internal / external structure
* IDM
* Liquidity lines (LQDT / Dynamic LQDT)
* FVG, EQH, EQL
* Strong/weak swing points
Purpose: provide a complete reading of institutional structure transitions.
Swing Visualization
Includes:
* Swing highs/lows
* Horizontal levels
* Connector lines
* Extension shadows
* Swing summary tables
Purpose: show turning points with clarity and narrative continuity.
Demand & Supply Zone Engine
Zones consider:
* Momentum displacement
* Volume presence
* Swing strength
* Structural side (pro-trend vs. corrective)
Purpose: highlight zones institutional traders monitor.
Adaptive Trend Model
Custom gradient-based MA system that reacts to:
* Volatility
* Momentum shifts
* Directional strength
Purpose: provide dynamic trend insight, not static MA interpretation.
Ichimoku Regime State (Modified)
Includes:
* TK Cross
* Kijun Cross
* Chikou interactions
* Kumo breakouts + twists
Purpose: define regime shifts and trend environments.
Aggregated Candles (Multi-Timeframe Context)
Shows higher-timeframe behavior without switching charts.
Dashboard
Shows:
* Swing direction
* CISD structure state
* Fractal alignment %
* Ichimoku events
* Consolidated signals
Visual Design (Clutter-Free Standard)
* Only real-time labels appear; historical labels stay hidden for clarity.
* Consistent, structured line styles:
* Trendlines: solid green/red
* CHOCH: dashed red/green
* BOS: solid red/green
* LQDT/Dynamic: yellow dotted
* EQH/EQL: red/green dotted
* CISD & IDM: gray dotted
This color logic helps traders read structure quickly.
Recommended Use
* Best on: 15m, 1H, 4H, Daily, Weekly
* Works across: crypto, forex, indices, liquid equities
* Pivot tools may show noise on illiquid markets
Performance Notes
* Heavy modules can draw many objects → disable what you don’t need
* Refresh chart if historical buffer limits are reached
* All TV object limits are handled internally
License
* proprietary script © 2025
* Independently developed logic and visualization system
* Redistribution, resale, sharing, or decompilation strictly prohibited
* Any similarity to public concepts is due to overlap with common trading methodologies
Disclaimer
This tool is for educational and research purposes only.
Not financial advice.
Always test responsibly.
FAQs
* Source is intentionally closed
* Alerts can be manually created
* Modules can be toggled
* Designed for multi-market, multi-timeframe workflow
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
* Added Custom Heikin-Ashi Candles for dust-free, clutter-free charting.
* Introduced Price Line overlay for clean close-price visualization.
* Implemented Adaptive Moving Averages with smooth transitions and gradient coloring.
* Added Intelligent Swing Detection with horizontal lines, shadow extensions, connectors, labels, and summary tables.
* Introduced full Market Structure (ICT & SMC) Mapping including short-, mid-, and long-term structures, IDM, LQDT, Dynamic LQDT, CISD, FVGs, EQH, EQL, premium/discount zones, weak/strong highs and lows, and order blocks.
* Added Demand & Supply Zones with adaptive institutional detection, highlighted boxes, and auto-labeling.
* Integrated Targets (Pivot Systems) supporting Camarilla, Fibonacci, Woodie, and other pivot levels.
* Added Aggregated Candles combining real-time and historical data for multi-timeframe analysis.
* Added General Dashboard consolidating swing direction, CISD state, structure alignment, Ichimoku signals, and overall market overview.
* Included Trend Lines & Ichimoku Modules for enhanced visual market context.
iFVG Engine V1 - ICT 50% Lvl/ifvg/fvg/Killzones/liquidity lvlsiFVG Engine V1 — ICT 50% Line, Killzones, Liquidity Levels, A-Rated Setup Labels + Auto Checklist
This indicator is a complete session + liquidity + displacement workflow tool built around an ICT-style approach. It combines FVG/iFVG detection, session high/low mapping, daily range framework (premium/discount), multi-timeframe liquidity levels, and an auto-updating confluence checklist that can also output A-Rated setup labels when specific conditions align.
What it does
1) FVG + iFVG Engine (with master toggle)
Detects classic 3-candle Fair Value Gaps (FVG) on the chart timeframe or a selected source timeframe.
Projects gaps forward for a configurable number of bars.
Supports iFVG behavior (inverse state) where a gap can flip states based on price interaction.
Optional CE (midline) plotted inside each gap.
Optional labels showing gap type and size (points), plus full control over label text color, size, and placement.
2) Daily range framework (ICT-style 50% line + daily highs/lows)
Builds a session-based daily range and plots:
Daily High
Daily Low
50% Midpoint (Premium/Discount framework)
Includes customizable label positions and a session-based “true day” structure.
3) Killzone mapping (Asia, London, NY + NY sub-sessions)
Tracks and prints session highs/lows for:
Asia
London
NY Full Session
NY AM / NY Lunch / NY PM
Lines are drawn “static” after session close and can be extended forward.
Optional labels for each session high/low, with alignment controls.
4) 4H + 1H Swing Liquidity Levels
Detects confirmed swing highs/lows on 4H and 1H using pivot logic.
Extends levels forward with the option to stop extending after a sweep.
Optional label printing for each level.
Includes overlap control (example: hide 1H labels when near a 4H level).
5) Auto-Updating Confluence Checklist
This script includes an on-chart checklist that updates automatically to reflect your current market context. Checklist items can be manual and/or auto-checked. Current auto modules include:
Premium/Discount (bias-aware)
Major Liquidity Sweep (latched for a configurable number of bars)
Inside Killzone (session-time aware)
Momentum (bias-aware)
6) “A-Rated” Setup Labels
When enabled, the script can print “✅ LONG” / “✅ SHORT” labels when multiple components align. The A-Rated logic is designed to combine:
A qualifying iFVG flip event
A recent major liquidity sweep (session-based)
Premium/Discount context
Basic momentum confirmation
To reduce false positives, NY-family levels can be required to be “fresh” (recently printed) before they qualify as major liquidity.
How it works (conceptual)
This tool is built around the idea that higher-quality setups happen when liquidity + timing + displacement structure align:
Liquidity is represented by session highs/lows and swing levels (1H/4H).
Timing is represented by Killzones / session windows.
Displacement structure is represented by FVG/iFVG behavior and state changes.
Context is represented by premium/discount and momentum checks.
The checklist and A-Rated labels are meant to help traders quickly see when multiple “green lights” are present, while still allowing full manual discretion.
How to use it
Choose whether you want the FVG engine enabled and select a source timeframe if desired.
Turn on the sessions you trade (Asia/London/NY and optional NY sub-sessions).
Use the daily 50% line and PD framework to determine directional context.
Use session highs/lows and 1H/4H swings as liquidity references.
Use the checklist as a “go/no-go” filter and watch for A-Rated labels when your conditions align.
Customization
This indicator includes 15+ adjustable settings, including:
FVG source timeframe, gap filter, extension length, CE line styling, label styling/colors
Daily 50% and high/low appearance
Session toggles, colors, label alignment, and extension
1H/4H swing detection parameters, max levels, sweep-stop logic, label controls
Auto-check and latch durations for checklist logic
A-Rated thresholds such as lookback windows, wick rejection, and sweep distance
Notes / Disclaimer
This is not financial advice. This indicator is a decision-support tool designed for traders who already understand ICT-style concepts (liquidity, sessions, premium/discount, displacement). Always backtest and forward test before using any signals live.
Originality & Scope Notice
This script does not replicate or repackage any single public or open-source indicator. Instead, it implements a custom, integrated workflow that combines multiple widely known trading concepts—such as session-based liquidity, fair value gaps, premium/discount context, swing structure, and conditional momentum—into a single, configurable decision-support system.
The logic, structure, and interaction between these components were developed specifically for this tool and are not derived from any one existing script. The indicator is designed for discretionary traders who want structured, rules-based confluence without relying on fixed signals or predictions.
From a technical standpoint, this project consists of over 1,300 lines of custom Pine Script, developed and refined over an extended period of live market use and iteration. The protected source reflects both the scale and the custom architecture required to support its modular features, auto-updating checklist logic, and conditional setup labeling.
Cumulative RSI StrategyThis strategy is designed for high-volatility assets (like 3x Leveraged ETFs: SOXL). Instead of using a standard RSI, it calculates a Cumulative RSI (CRSI), which is the sum of the RSI over a specific number of bars (default is 2 or 3 days). This smoothes out noise and identifies extreme overbought or oversold conditions more accurately.
Adaptive Trend HomerunAdaptive Trend Homerun is a sophisticated higher-timeframe trend-following indicator that dynamically adjusts to market volatility and volume conditions. By intelligently adapting to different market environments, it provides clear trend signals while minimizing false alarms in ranging markets.
For Day Trading (1-15 minute charts):
Higher Timeframe: 15-60 minutes
Adaptive Type: ATR or Volume
Smoothing: HMA or WMA
For Swing Trading (1H-4H charts):
Higher Timeframe: 4H-Daily
Adaptive Type: ATR
Smoothing: EMA or DEMA
For Position Trading (Daily-Weekly charts):
Higher Timeframe: Weekly-Monthly
Adaptive Type: SD or ATR
Smoothing: SMA or EMA
S/D Boring-Explosive (Non-Repaint)S/D Boring-Explosive Zone Detector (Non-Repaint)
📊 Overview
This indicator automatically identifies high-probability Supply and Demand zones using the "Boring-Explosive" pattern - a proven price action concept where consolidation (boring candles) precedes explosive moves. The script provides clean, non-repainting zones with intelligent retest alerts for optimal entry timing.
🎯 Core Concept: The Boring-Explosive Pattern
What is a Boring Candle?
A candle with wicks larger than its body
Represents consolidation, indecision, or accumulation/distribution
Often marks institutional order flow areas
What is an Explosive Candle?
A candle significantly larger than the preceding boring candle (default: 50% bigger)
Represents a breakout with strong momentum
Confirms the zone as a valid supply/demand area
The Pattern:
Price creates a boring candle (consolidation)
Within 3 bars, an explosive move occurs
The boring candle's range becomes a supply/demand zone
Future retests of this zone offer high-probability entries
✨ Key Features
🎨 Automatic Zone Detection
Demand Zones (Green): Form after bullish explosive moves - act as support
Supply Zones (Red): Form after bearish explosive moves - act as resistance
Non-Repainting: All zones confirmed on closed candles only
Customizable Size: Adjust explosive multiplier to filter zone quality
🔔 Smart Retest Alerts
Multiple Entry Signals: Get alerts each time price retests a valid zone
Time-Based Filtering: Configurable minimum time between retests (default: 60 min) prevents alert spam
Visual Labels: Clear "RETEST ▲" and "RETEST ▼" labels at retest points
Respect-Based Logic: Labels only appear when price enters zone and closes outside (showing respect)
📈 Multi-Timeframe Support
Higher Timeframe Zones: Overlay HTF zones on lower timeframe charts
Visual Distinction: HTF zones shown in blue/orange with thicker borders
Combined Analysis: View both current and higher timeframe zones simultaneously
🧹 Clean Chart Management
Auto-Delete on Fill: Zones automatically removed when price breaks through
Configurable History: Keep zones for 100-5000 bars
Label Lifecycle: Retest labels deleted when their zone is invalidated
Decluttered View: Only shows relevant, active zones
⚙️ Settings Guide
Zone Detection
Explosive Size Multiplier: How much bigger explosive candle must be (1.5 = 50% larger)
Bars Back to Check: How long to maintain zones (500 = keep zones for 500 bars)
Delete Zones After Fill: Remove zones when price closes through them
Fill Type: Choose "Close" (zone filled on close) or "Wick" (filled on touch)
Multi-Timeframe
Use Higher Timeframe: Enable HTF zone detection
Higher Timeframe: Select HTF (e.g., 60min, 240min, Daily)
Show Current TF Zones: Toggle current timeframe zones on/off
Retest Settings
Show Retest Labels: Display visual labels at retest points
Min Minutes Between Retests: Time filter to prevent duplicate signals (1-60+ minutes)
Label Text Size: Adjust label visibility
Alert on Zone Retest: Enable push/email/sound alerts
Styles
Customize colors for demand/supply zones
Adjust border width (1-5)
Toggle zone extension to the right
📖 How to Use
For Day Traders:
Set "Min Minutes Between Retests" to 15-30 minutes
Use on 5min or 15min charts
Enable HTF zones (60min) for additional confluence
Take entries on retest labels aligned with HTF zones
For Swing Traders:
Set "Min Minutes Between Retests" to 60-240 minutes
Use on 1H or 4H charts
Enable HTF zones (Daily or Weekly)
Look for zones that hold multiple retests
Entry Strategy:
Wait for zone to form (boring + explosive pattern)
Wait for price to return to the zone
Enter when retest label appears (price entered zone and closed outside)
Place stop loss beyond the zone
Zone remains valid until price closes through it
🎓 Trading Logic
Demand Zone Retest (Long Entry):
Price drops into green zone (low touches zone)
Candle closes ABOVE the zone top
Shows buyers defended support → Entry signal
Supply Zone Retest (Short Entry):
Price rises into red zone (high touches zone)
Candle closes BELOW the zone bottom
Shows sellers defended resistance → Entry signal
⚠️ Important Notes
Non-Repainting: Uses confirmed bars for all detections
Zone Validity: Zones deleted when filled (if enabled) or after bars back limit
Multiple Retests: Same zone can generate multiple signals based on time filter
Timeframe Compatibility: Works on all timeframes (1min to Monthly)
Best Practice: Combine with trend analysis and risk management
🔧 Technical Details
Uses confirmed candle data only (no repainting)
Tracks zone state (untested vs. respected)
Links labels to zones for automatic cleanup
Validates zone existence before creating signals
Supports up to 500 zones simultaneously
📱 Alerts Available
Demand Zone Retest: Fires when price respects support zone
Supply Zone Retest: Fires when price respects resistance zone
Configurable: Enable/disable in retest settings
Perfect for: Price action traders, supply/demand traders, institutional order flow analysis, multi-timeframe analysis
Compatible with: All markets (Forex, Stocks, Crypto, Futures, Indices)
MTF TSL + RSI Dashboard🚀 Catchy Headlines
The Ultimate Trend & Momentum Hub: MTF TSL + RSI Dashboard
Master the Waves: Professional Multi-Timeframe Trend Suite (v6)
All-in-One Market Visualizer: MTF Trend Stop Line & RSI Dynamics
1. OverviewThe MTF TSL + RSI Dashboard is a comprehensive technical analysis tool designed to bridge the gap between price action and momentum across multiple horizons. Built on Pine Script v6, this indicator provides a "birds-eye view" of the market, allowing traders to identify high-probability setups by aligning trends from 12 different timeframes on a single chart.
2. Core ComponentsA. Trend Stop Line (TSL)The TSL is the backbone of this system. Unlike static support levels, the TSL is a dynamic, swing-based indicator:Calculation: It tracks the highest highs and lowest lows over a user-defined Swing Period.Signal Logic: A BUY signal is triggered when the price crosses above the resistance level, and a SELL signal when it drops below the support level.Visuals: Includes on-chart labels and bar coloring for instant trend recognition.B. RSI Trend FilterStandard RSI (70/30) can be noisy. This script enhances RSI by comparing it against two moving averages (EMA and WMA):Bullish Momentum: RSI is above both EMA and WMA.Bearish Momentum: RSI is below both EMA and WMA.Neutral/Side: RSI is sandwiched between the averages, signaling a lack of direction.C. The Multi-Timeframe DashboardThe dashboard summarizes market health from 1m up to 1W.ColumnDescriptionTFThe specific timeframe (1m, 5m, 1h, 1D, etc.).TSLDisplays the current TSL signal (BUY/SELL).RSI TRDisplays the RSI Trend (Bullish/Bearish/Side).RSIThe raw RSI value (Color-coded: Green for Oversold, Red for Overbought).WAVEThe "Market Phase" – A fusion of TSL and RSI data.
3. Understanding the "WAVE" (Market Phases)The WAVE column is the most powerful feature, categorizing the market into specific states:Bullish/Bearish (Tang/Giam): Full alignment between Price Trend and Momentum.Slowing (T.Cham/G.Cham): The trend is still active, but momentum is fading.Divergence (PK-T/PK-G): Price and RSI are signaling opposite directions—high risk of a reversal.
4. How to Trade with this IndicatorStep 1: Check the Higher Timeframes (HTF)Look at the Dashboard for the 1H, 4H, and 1D rows. If they are all Green ("Tang"), you should prioritize Long positions.Step 2: Identify the EntryWait for a BUY signal on your local timeframe (e.g., 5m or 15m). Ensure the "WAVE" status is not showing "Slowing" or "Divergence."Step 3: Set Your Stop LossUse the plotted TSL line as your dynamic Stop Loss. If the price closes on the opposite side of the TSL, the trend has officially shifted, and it’s time to exit.
5. Key SettingsSwing Period: Adjust the TSL sensitivity (Default: 3).EMA Lines: Toggle four customizable EMAs (9, 21, 50, 200) for structural context.Dashboard Customization: Fully adjustable position (Top/Bottom/Left/Right), size, and orientation (Vertical/Horizontal).Alerts: Native TradingView alerts for Buy/Sell crossovers.
RSI Divergence Multi-Timeframe Alert RSI Divergence & Dual Moving Average (EMA 9 / WMA 45)
The Perfect Synergy of Momentum and Trend Following
This indicator is a comprehensive trading system designed to merge trend-following logic with high-probability reversal signals. It provides a clean, visual approach to the markets by combining three essential components: RSI 14, EMA 9, and WMA 45.
💡 Trading Philosophy
The biggest challenge for any trader is catching a reversal without fighting the primary trend. This system solves that by using a "Triple-Filter" approach:
WMA 45 (Weighted Moving Average - The Backbone): Acts as your primary trend filter. By giving more weight to recent data, it offers a smoother yet more responsive trend line compared to a standard SMA.
EMA 9 (Exponential Moving Average - The Trigger): A fast-reacting average that identifies short-term momentum shifts and provides early entry points.
RSI 14 (Relative Strength Index - The Engine): Measures price velocity and automatically identifies Divergence/Convergence—the most reliable signs of trend exhaustion.
✨ Key Features
Auto Divergence Detection: Automatically identifies and plots Bullish/Bearish Divergences directly on the RSI oscillator, saving you from "eye-straining" manual analysis.
Smart Trend Filtering: Eliminates market noise. The system suggests looking for Longs only when price is above the WMA 45 and Shorts when below.
Integrated Alert System: Set up custom alerts for RSI Divergences or Moving Average crossovers, so you never miss a high-quality setup while away from your screen.
🛠 How to Trade with This System
Define the Bias: Check the price position relative to the WMA 45 to determine the major trend.
Identify Momentum Shifts: Look for an RSI Divergence alert near overbought (70) or oversold (30) levels.
Confirm the Entry: Enter when the EMA 9 crosses in your direction or when the price successfully retests the EMA 9 after a divergence signal.
📝 Pro Tips
Timeframes: Best performed on H1, H4, and Daily charts to minimize market noise.
Confluence: For the highest win rate, look for divergences that occur at key Support/Resistance or Supply/Demand zones.
Risk Management: Always use a stop-loss and consider the WMA 45 as a dynamic trailing stop.
Happy Trading! If you find this script helpful, please leave a Like and Follow for more professional trading tools.






















