Gann SQ9//@version=5
indicator("Gann Square of Nine HA Pivot Levels", overlay=true)
// ===== USER INPUT =====
haPivot = input.float(3339.33, "HA Pivot")
degreeStep = input.int(45, "Degree Step (Default 45°)")
// ===== CALCULATIONS =====
root = math.sqrt(haPivot)
step = degreeStep / 360.0
// Function to calculate level
gannLevel(multiplier) =>
math.pow(root + (step * multiplier), 2)
// R levels
R1 = gannLevel(1)
R2 = gannLevel(2)
R3 = gannLevel(3)
R4 = gannLevel(4)
R5 = gannLevel(5)
R6 = gannLevel(6)
R7 = gannLevel(7)
R8 = gannLevel(8)
R9 = gannLevel(9)
// S levels
S1 = math.pow(root - (step * 1), 2)
S2 = math.pow(root - (step * 2), 2)
S3 = math.pow(root - (step * 3), 2)
S4 = math.pow(root - (step * 4), 2)
S5 = math.pow(root - (step * 5), 2)
S6 = math.pow(root - (step * 6), 2)
S7 = math.pow(root - (step * 7), 2)
S8 = math.pow(root - (step * 8), 2)
S9 = math.pow(root - (step * 9), 2)
// ===== PLOTTING =====
plot(haPivot, "HA Pivot", color=color.yellow, linewidth=2)
plot(R1, "R1", color=color.green)
plot(R2, "R2", color=color.green)
plot(R3, "R3", color=color.green)
plot(R4, "R4", color=color.green)
plot(R5, "R5", color=color.green)
plot(R6, "R6", color=color.green)
plot(R7, "R7", color=color.green)
plot(R8, "R8", color=color.green)
plot(R9, "R9", color=color.green)
plot(S1, "S1", color=color.red)
plot(S2, "S2", color=color.red)
plot(S3, "S3", color=color.red)
plot(S4, "S4", color=color.red)
plot(S5, "S5", color=color.red)
plot(S6, "S6", color=color.red)
plot(S7, "S7", color=color.red)
plot(S8, "S8", color=color.red)
plot(S9, "S9", color=color.red)
// ===== LABELS (last bar only) =====
if bar_index == last_bar_index
label.new(bar_index, R9, "R9", style=label.style_label_down, color=color.green, textcolor=color.white)
label.new(bar_index, R8, "R8", style=label.style_label_down, color=color.green, textcolor=color.white)
label.new(bar_index, R7, "R7", style=label.style_label_down, color=color.green, textcolor=color.white)
label.new(bar_index, R6, "R6", style=label.style_label_down, color=color.green, textcolor=color.white)
label.new(bar_index, R5, "R5", style=label.style_label_down, color=color.green, textcolor=color.white)
label.new(bar_index, R4, "R4", style=label.style_label_down, color=color.green, textcolor=color.white)
label.new(bar_index, R3, "R3", style=label.style_label_down, color=color.green, textcolor=color.white)
label.new(bar_index, R2, "R2", style=label.style_label_down, color=color.green, textcolor=color.white)
label.new(bar_index, R1, "R1", style=label.style_label_down, color=color.green, textcolor=color.white)
label.new(bar_index, S1, "S1", style=label.style_label_up, color=color.red, textcolor=color.white)
label.new(bar_index, S2, "S2", style=label.style_label_up, color=color.red, textcolor=color.white)
label.new(bar_index, S3, "S3", style=label.style_label_up, color=color.red, textcolor=color.white)
label.new(bar_index, S4, "S4", style=label.style_label_up, color=color.red, textcolor=color.white)
label.new(bar_index, S5, "S5", style=label.style_label_up, color=color.red, textcolor=color.white)
label.new(bar_index, S6, "S6", style=label.style_label_up, color=color.red, textcolor=color.white)
label.new(bar_index, S7, "S7", style=label.style_label_up, color=color.red, textcolor=color.white)
label.new(bar_index, S8, "S8", style=label.style_label_up, color=color.red, textcolor=color.white)
label.new(bar_index, S9, "S9", style=label.style_label_up, color=color.red, textcolor=color.white)
Wskaźniki i strategie
ComboPro with Multi-Timeframe RangeComboPro+Strategy with Multi-Timeframe Range - Complete Indicator Description
📌 ओवरव्यू (Overview)
यह एक comprehensive ट्रेडिंग इंडिकेटर है जो 7 अलग-अलग टूल्स को एक साथ combine करता है। यह multi-timeframe analysis, trend identification, support/resistance levels, और supply/demand zones को एक chart पर दिखाता है।
🎯 मुख्य फीचर्स (Key Features)
1. Multi-Timeframe Range (MTR) Boxes
क्या है: Higher timeframe (HTF) के bars को boxes के रूप में दिखाता है
कैलकुलेशन मोड:
High/Low Range (Default)
Open/Close Range
OHLC (High/Low + Open/Close दोनों)
True Range (ATR-based)
टाइमफ्रेम ऑप्शन्स:
Auto Timeframe: Chart TF के हिसाब से automatically select करता है
Manual Timeframe: अपनी choice का TF select करें
2. Cloud System (मेघ प्रणाली)
Dynamic Cloud: High और Low पर moving averages से बनता है
ATR Adjustment: ATR के हिसाब से cloud की width adjust होती है
बैकग्राउंड कलरिंग:
Price cloud के ऊपर → Bullish (हरा)
Price cloud के नीचे → Bearish (लाल)
Cloud के अंदर → Neutral (ग्रे)
3. Bollinger Bands
Standard Bollinger Bands with customizable settings
Basis line, upper/lower bands, और fill color
Volatility measurement के लिए useful
4. Triple Auto Round Number Levels
तीन लेवल्स में support/resistance lines:
Level 1: Small increments (e.g., 250 points)
Level 2: Medium increments (e.g., 500 points)
Level 3: Large increments (e.g., 1000 points)
Automatic adjustment based on current price
5. Madrid Moving Averages (6 MAs)
6 अलग-अलग moving averages:
EMA 20
EMA 30
EMA 40
EMA 50
EMA 100
SMA 200
हर MA के लिए अलग colors:
Rising → Green
Falling → Red
Flat → Purple/Other colors
6. Supply/Demand Zones
Supply Zones (Resistance): Cyan boxes
Demand Zones (Support): Blue boxes
Features:
Swing High/Low detection
BOS (Break of Structure) labels
POI (Point of Interest) marking
ZigZag lines for trend visualization
ITM/OTM options levels (NIFTY specific)
7. Trend Analysis Table
Real-time trend analysis of all 6 MAs
Market Condition identification:
STRONG BULL 📈 (सभी 6 MAs up)
BULLISH 🟢 (5 MAs up)
MILD BULL (4 MAs up)
NEUTRAL ⚖️ (3-3 MAs up-down)
MILD BEAR 🔴 (4 MAs down)
BEARISH (5 MAs down)
STRONG BEAR 📉 (सभी 6 MAs down)
⚙️ इनपुट सेटिंग्स (Input Settings)
1. Multi-Timeframe Range Settings
text
☑ Show Multi-Timeframe Range
☑ Auto Timeframe
Calculation Type: High/Low Range
☐ Use Heikin Ashi
☐ Use Daily-Based Values
Colors: Up/Down bars के colors customize करें
2. Cloud Settings
text
☑ Show Cloud
Cloud MA Length: 50
☑ Use EMA for Cloud
Cloud Transparency: 60%
☑ Use ATR to Adjust Cloud Bands
ATR Length: 14
ATR Multipliers: High-0.50, Low-0.50
3. Bollinger Bands Settings
text
☑ Show Bollinger Bands
Length: 20, Std Dev: 2.0
Colors customize करें
4. Round Number Levels
तीनों levels के लिए अलग-अलग settings:
Rounding Value (50, 100)
Line Amount (कितनी lines दिखाएं)
Colors और thickness
5. Moving Averages
हर MA के लिए अलग settings:
Type: EMA/SMA/SMMA
Length
Colors (Up/Down/Flat)
6. Supply/Demand Settings
text
Swing Length: 5
Box Width: 10.0
Round to Nearest: 50 (NIFTY के लिए)
Show ZigZag: ☑
Show Price Action Labels: ☑
ITM/OTM Distance: 300/600 points
7. Trend Table Settings
text
☑ Show Trend Analysis Table
Table Position: Top Right
📈 कैसे यूज़ करें (How to Use)
ट्रेंड आइडेंटिफिकेशन (Trend Identification)
Cloud के साथ:
Price cloud के ऊपर → Bullish
Price cloud के नीचे → Bearish
Cloud के अंदर → Range-bound
MAs के साथ:
Short-term MAs (5,10) long-term MAs (50,100,200) के ऊपर → Bullish
Trend Table देखें overall market condition के लिए
सपोर्ट/रेजिस्टेंस (Support/Resistance)
Round Number Levels: Psychological levels
Supply/Demand Zones: Institutional buying/selling areas
Bollinger Bands: Dynamic support/resistance
एंट्री/एग्जिट पॉइंट्स (Entry/Exit Points)
Cloud Breakouts:
Cloud के ऊपर breakout → Long entry
Cloud के नीचे breakdown → Short entry
BOS (Break of Structure):
Supply zone break → Bullish continuation
Demand zone break → Bearish continuation
MA Crossovers:
Fast MA crossing above slow MA → Bullish
Fast MA crossing below slow MA → Bearish
Multi-Timeframe Analysis
HTF Boxes देखें higher timeframe trend के लिए
Current TF price action compare करें HTF boxes से
Confluence ढूंढें multiple timeframes में
🎨 विजुअल फीचर्स (Visual Features)
कलर कोडिंग (Color Coding)
Green: Bullish/Buy signals
Red: Bearish/Sell signals
Blue/Cyan: Neutral/Support-Demand zones
Purple/Orange: MA lines और अन्य indicators
बॉक्सेस और लाइन्स (Boxes and Lines)
Solid Boxes: Supply/Demand zones
Dashed Lines: Round number levels
Transparent Boxes: HTF ranges
Colored Background: Cloud-based trend
लेबल्स और टेबल्स (Labels and Tables)
BOS Labels: Break of Structure points
POI Labels: Point of Interest
Trend Table: Complete MA analysis
Price Action Labels: HH, HL, LH, LL
⚡ परफॉर्मेंस टिप्स (Performance Tips)
सभी features एक साथ on न करें - जरूरत के हिसाब से select करें
Chart को clutter-free रखें - only essential indicators show करें
Timeframe selection: Higher TFs के लिए less aggressive settings use करें
Backtesting: Historical data पर test करें optimal settings find करने के लिए
📱 कम्पेटिबिलिटी (Compatibility)
Pine Script Version: v6
Markets: Stocks, Forex, Crypto, Commodities, Indices
Timeframes: All (seconds से monthly तक)
Brokers: TradingView supported सभी brokers
🚨 डिस्क्लेमर (Disclaimer)
यह indicator educational purposes के लिए है। Trading decisions लेने से पहले proper analysis करें और risk management follow करें। Past performance future results की guarantee नहीं है।
Institutional Aggregated Volume Proxy (BTC) + vpinDescription:
This indicator is a comprehensive suite for analyzing institutional market activity, designed to detect "smart money" flow, order flow toxicity, and hidden accumulation/distribution patterns. It aggregates data from multiple liquidity sources (Binance, CME, ETFs, Coinbase) to create a single composite "Institutional Pressure Index."
Key Features:
Composite Institutional Index: A weighted signal combining 5 layers of institutional activity:
OI Conviction: Aggregated Open Interest Delta from major exchanges (Binance, Bybit, OKX) weighted by price direction.
CME Flow: Institutional futures flow derived via Bulk Volume Classification (BVC), gated by daily OI changes.
Coinbase Premium: Detects US institutional spot buying pressure.
ETF Flow: Tracks creation/redemption pressure from US Spot ETFs (IBIT, FBTC, etc.) relative to NAV.
Funding Basis: Identifies crowded trades and potential contrarian reversals.
Real VPIN (Volume-Synchronized Probability of Informed Trading):
Implements a Volume-Clock simulation using 1-minute lower timeframe (LTF) data to fill dynamic volume buckets.
Measures Order Flow Toxicity: Differentiates between healthy liquidity provision (low VPIN) and aggressive, toxic informed trading (high VPIN).
Regime Detection: Classifies market states into "Passive Accumulation" (Healthy) vs. "Toxic Breakout" (Aggressive).
Aggregated Delta Bars: Visualizes the net buying/selling volume across Spot, Futures, and ETFs in a single histogram.
"Rabbit" Labels: Highlights bars where a specific institutional group (e.g., CME, ETFs) dominates the price action.
How to Use:
Green Line (Index): Rising index indicates net institutional buying.
VPIN Line (Purple):
Low (<50%): Healthy market, safe for trend following (Passive Accumulation).
High (>75%): Toxic flow, aggressive takers active. Expect volatility or reversals.
Divergences: Look for price making new highs while the Institutional Index makes lower highs (weakness).
Note: This script uses request.security_lower_tf and requires a higher plan for full historical resolution.
Russian (Русский)
Название: Institutional Aggregated Volume Proxy (BTC) + VPIN v5
Описание:
Этот индикатор представляет собой комплексный инструмент для анализа институциональной активности, разработанный для обнаружения потоков «умных денег», токсичности ордер-флоу и скрытых паттернов накопления/распределения. Он агрегирует данные из нескольких источников ликвидности (Binance, CME, ETF, Coinbase) в единый композитный «Индекс Институционального Давления».
Ключевые особенности:
Композитный Индекс: Взвешенный сигнал, объединяющий 5 слоев институциональной активности:
OI Conviction (Открытый Интерес): Агрегированная дельта OI с основных бирж (Binance, Bybit, OKX), взвешенная по направлению цены.
Поток CME: Поток фьючерсов, классифицированный через BVC (Bulk Volume Classification) и фильтруемый дневным изменением OI.
Coinbase Premium: Определяет давление спотовых покупок со стороны институционалов США.
Поток ETF: Отслеживает давление создания/погашения паев спотовых ETF США (IBIT, FBTC и др.) относительно NAV.
Фандинг и Базис: Определяет перегретые позиции и потенциальные развороты.
Real VPIN (Вероятность Информированной Торговли):
Реализует симуляцию «Объемных Баров» (Volume-Clock), используя минутные данные (LTF) для заполнения динамических корзин объема.
Измеряет Токсичность Потока (Toxicity): Различает здоровое предоставление ликвидности (низкий VPIN) и агрессивную инсайдерскую торговлю (высокий VPIN).
Определение Режимов: Классифицирует состояние рынка на «Пассивное Накопление» (Healthy) и «Токсичный Пробой» (Aggressive).
Агрегированная Дельта: Гистограмма, показывающая чистый объем покупок/продаж по Споту, Фьючерсам и ETF.
Метки "Rabbit" (Кролики): Подсвечивает бары, где определенная группа (например, CME или ETF) доминирует в движении цены.
Как использовать:
Зеленая линия (Индекс): Рост индекса указывает на чистые институциональные покупки.
Линия VPIN (Фиолетовая):
Низкий (<50%): Здоровый рынок, безопасно для трендовых стратегий (Пассивное накопление).
Высокий (>75%): Токсичный поток, работают агрессивные тейкеры. Ожидайте волатильность.
Дивергенции: Ищите моменты, когда цена делает новый максимум, а Индекс показывает более низкий максимум (слабость движения).
Примечание: Скрипт использует request.security_lower_tf и требует соответствующий тарифный план TradingView для отображения полной истории.
Whole Number (ES 25s, NQ 250s)This indicator automatically plots key psychological price levels based on the current instrument.
• On ES1!, it draws the three nearest levels around the current price in 25-point increments (e.g. 6925, 6950, 6975).
• On NQ1!, it draws the three nearest levels around the current price in 250-point increments.
The levels are displayed as dotted horizontal lines and update dynamically with price.
Lines extend to the right and refresh on the latest bar to always reflect the nearest relevant levels.
Expert Imtiazz 3.0.5 Pro With Hybrid Multiple Strategy🔹 Expert Imtiazz 3.0.5 Pro – With Hybrid Multiple Strategy
Expert Imtiazz 3.0.5 Pro is a high-performance TradingView indicator specially designed for Binary Options trading, with a strong focus on the 1-minute timeframe.
This indicator delivers powerful and fast Buy/Sell signals by combining multiple hybrid strategies that analyze trend direction, momentum, and market volatility in real time.
It is optimized to capture short-term price movements, making it ideal for quick and precise entries.
🚀 Core Highlights:
• ⚡ 1-Minute Timeframe Optimized – Built for fast market conditions
• 💹 Strong Buy & Sell Signals – Clear, non-repainting trade signals
• 🔼 Uptrend & 🔽 Downtrend Detection – Trade only in the correct market direction
• 🌊 Market Volatility Filter – Avoids low-probability and choppy zones
• 🔗 Hybrid Strategy Engine – Multiple strategies combined for stronger confirmation
• 🎯 Binary-Focused Logic – Designed specifically for CALL & PUT entries
📌 Ideal For:
• Binary Options traders
• 1-minute scalping strategies
• Traders who prefer quick, high-probability setups
⚠️ Risk Notice:
This indicator is a trading assistance tool. Results may vary depending on market conditions. Always apply proper money management and test on a demo account before live trading.
Whole Number (ES 25s, NQ 250s)This indicator automatically plots key psychological price levels based on the current instrument.
• On ES1!, it draws the three nearest levels around the current price in 25-point increments (e.g. 6925, 6950, 6975).
• On NQ1!, it draws the three nearest levels around the current price in 250-point increments.
The levels are displayed as dotted horizontal lines and update dynamically with price.
Lines extend to the right and refresh on the latest bar to always reflect the nearest relevant levels.
Smart Trend Sniper [Noise Filter]"See the Trend, Ignore the Noise."
This is a specialized Trend Indicator designed to filter out market noise and visualize market momentum. It is a variation of the traditional Heikin Ashi calculation, displayed in a separate pane to help you make clearer decisions without cluttering your main chart.
Why use this indicator? Traditional K-lines often have too many "fake moves" (long wicks). This indicator smoothes price action into "Bricks," making it easier to hold winning trades and spot reversals instantly.
Key Features:
Noise Reduction: Turns messy price action into smooth color blocks.
Reversal Alert (Split Color): Unlike standard indicators, this script detects the exact moment of a trend shift.
It splits the candle into two colors (e.g., Red Top / White Bottom) to signal a "Tug of War" between buyers and sellers.
Harmonious Trading: It works perfectly with Trendlines and Fibonacci levels. When price hits a Fibo level AND this indicator changes color, it is a high-probability entry signal.
How to Read Signals:
🔴 Solid Red: Bullish Trend. Strong momentum. Hold your long position.
⚪ Solid White: Bearish Trend. Strong selling pressure. Hold short or stay out.
🌗 Split Color (Half Red/Half White): Reversal Warning! The trend is changing. Be ready to exit or enter.
Configuration:
Up Color: Default Red (Bullish).
Down Color: Default White (Bearish).
Tip: Use this in the bottom pane to confirm your main chart analysis.
“看清趋势,过滤噪音。”
这是一个专为捕捉波段趋势设计的副图指标。它是传统 Heikin Ashi(平均K线)的变种优化版,旨在通过视觉化的颜色变化,帮你过滤掉市场中的“假动作”和噪音。
核心功能与优势:
极致去噪:将原本杂乱的K线平滑为整齐的“资金砖块”,让你在持仓时心态更稳,不会被细小的回调震出局。
变盘预警(独家分层技术):
当趋势发生反转的瞬间(例如由涨转跌),指标会将柱子分裂为双色(上红下白)。
这是一个极佳的**“变盘信号”**,提示你多空力量正在发生逆转。
技术共振:该指标非常适合配合 趋势线 和 斐波那契 (Fibo) 使用。当价格回踩 Fibo 支撑位,且本指标出现变色信号时,往往是胜率极高的进场点。
小白使用指南(看颜色):
🔴 纯红色连排:多头趋势。资金强势,建议持股/做多,不要轻易下车。
⚪ 纯白色连排:空头趋势。抛压沉重,建议空仓或做空。
🌗 双色柱 (红白分层):反转信号! 趋势即将改变(例如:上红下白 = 涨势结束,准备下跌)。
设置建议:
建议放在副图使用。
只看红白转换,操作简单明了。
Disclaimer: Past performance is not indicative of future results. This tool is for educational purposes only. 免责声明:过往表现不代表未来收益,本指标仅供学习参考,不构成投资建议。
Universal Value Hunter [Bottom & DCA]"More than just Bitcoin—A Universal HODL Strategy."
This version features a complete refactoring of the underlying algorithm to break asset limitations. The Universal Enhanced Edition perfectly inherits the classic BTC HODL logic while introducing adjustable Time Anchors and Growth Slopes. This allows it to adapt to ETH, US Stocks (Nasdaq/NVDA), China A-shares (Moutai/Longi), and any other high-quality assets with long-term growth potential.
Key Features:
Universal Support: No longer limited to Bitcoin. By adjusting parameters, it can be applied to any growth asset (stocks, indices, altcoins).
Algorithmic Upgrade: Adopts the "Log-Geometric Mean" algorithm, thoroughly solving calculation overflows or precision loss issues common with small-cap coins or high-priced stocks.
Fully Localized Interface: Features a full Chinese menu with detailed tooltips, making it easy for beginners to get started.
Smart Status Panel: Real-time display on the left side of the chart showing current index readings, "Bottom/Top" status, and the asset's precise "Age."
Signal Guide:
Red Line (0.45): Historical Bottom Line. Breaking below this line historically implies a "golden opportunity."
Blue Line (1.0): DCA (Dollar Cost Averaging) Boundary.
Grey Dotted Line (1.2): Top Alert Line.
Disclaimer:
This indicator is based on historical data fitting; past performance does not guarantee future returns. The "Bottom/Top" signals provided are for reference only and do not constitute financial advice. Investment involves risks; please enter the market with caution.
“不仅仅是比特币,万物皆可囤。”
本版本经过底层算法重构与深度优化,打破了品种限制。
通用增强版不仅完美继承了 BTC 的囤币逻辑,更开放了时间锚点与生长斜率的调节权限,使其能够适配 ETH、美股(纳指/英伟达)、A股(茅台/隆基) 等任何具备长期成长性的优质资产。
全品种支持:不再局限于比特币,通过调整参数,可用于任何成长型资产(股票、指数、其他加密货币)。
数学算法升级:采用“对数几何平均”算法,彻底解决了小市值币种或超高价股可能导致的计算溢出或精度丢失问题。
完全汉化界面:全中文菜单与详细的工具提示(Tooltip),小白也能轻松上手。
智能状态面板:图表左侧实时显示当前指标读数、抄底/逃顶状态以及资产的精确“年龄”。
红线 (0.45):历史大底线。跌破此线通常意味着“送钱机会”。
蓝线 (1.0):定投分界线。
灰虚线 (1.2):顶部警戒线。
免责声明
本指标基于历史数据拟合,历史表现不代表未来收益。
指标提供的“抄底/逃顶”信号仅供参考,不构成任何财务建议。
投资有风险,入市需谨慎。
cephxs / Quartely Theory Gaps [Pro+]cephxs / Quarterly Theory Gaps
Multi-asset Fair Value Gap detection with Smart Money Technique (SMT) Fill divergence tracking. Identifies correlated FVGs across up to three assets and visualizes fill divergence in real time.
WHAT IT DOES
This indicator detects Fair Value Gaps (FVGs) on the chart and simultaneously monitors correlated assets for matching gaps on the same timeframe. When one asset begins filling its FVG while the correlated asset holds (Does not fill), an "SMT-Fill" divergence is identified and drawn directly on your chart -- giving you a clear visual edge for spotting institutional activity.
IMAGE: Overview screenshot showing FVG boxes on chart with SMT fill lines during divergence
The indicator supports two-asset (pair) and three-asset (triad) correlation modes, with automatic detection for major forex pairs and indices, or fully manual asset selection for any market. Utilizing the AssetCorrelationUtils Library for asset correlation.
HOW IT WORKS
FVG/Imbalance Detection
A three-candle pattern is identified where a gap exists between Candle 1 and Candle 3, confirmed by the impulse direction of Candle 2. Bullish FVGs form when Candle 3's low is above Candle 1's high with a bullish impulse candle. Bearish FVGs form in the opposite scenario. Each gap is tracked from creation through mitigation to full fill.
Multi-Asset Correlation
When enabled, the indicator checks whether correlated assets form matching FVGs at the same bar. This confirms that institutional order flow is present across multiple instruments simultaneously, adding confluence to your analysis.
Correlation modes:
Auto: Automatically detects correlated pairs for major forex and index instruments. Use Divergence Mode to choose between Dyad (2 assets) or Triad (3 assets)
Manual: Specify up to three custom assets with optional inversion for inverse correlations (e.g., DXY)
Off: Disables correlation, runs as a standalone FVG indicator
SMT Fill Divergence
After a correlated FVG forms, the indicator tracks fill progress independently on each asset. When one asset begins filling its gap while the other holds, a divergence line is drawn from the FVG's proximal edge to the extreme price reached. This divergence signals that smart money may be engineering liquidity on one asset while accumulating on another.
SMT Fill divergence example -- one asset filling while the correlated asset holds
Fill States
Each FVG progresses through three visual states based on how much price has retraced into the gap:
Open: Fresh FVG, unfilled; Brightest Opacity
Mitigated: Partially filled beyond the configurable threshold (Default to 1%)
Filled: Fully retraced and closed out either by a wick or body (100%)
Box opacity changes automatically as gaps transition between states.
HOW TO USE
Add the indicator to your chart. FVG boxes appear automatically
Set the Correlation Mode to Auto for supported pairs (Most popular Quarterly Theory Rated Assets), or Manual to specify your own correlated assets
Watch for SMT Fill lines appearing across timeframes -- these indicate one asset is filling its gap while the other holds
Use divergence as confluence: when one asset fills and the correlated asset holds, it suggests the hold side may reverse from the FVG zone
Adjust mitigation and fill thresholds to match your trading style
Recommended workflow:
Use on 15 minute charts and above for intraday setups
Combine with session timing and market structure for higher-probability entries
Monitor the SMT fill lines for real-time divergence signals
Example trade setup using SMT-fill divergence as entry confluence in a trend with an ICT CISD (CISD Not included in this indicator / Hand drawn)
INPUTS
Correlation
Enable Correlation Detection: On. Detect FVGs on correlated assets and track SMT fills
Show Only Correlated FVGs: Off. Filter to show only FVGs with a correlated match
SMT Fill Display
Show SMT Fill Lines: On. Draw divergence lines between proximal edge and extreme price
Line Width: 1. Visual thickness of SMT fill lines
Line Style: Solid. Options: Solid, Dashed, Dotted
FVG Display
Show FVG Boxes: On. Toggle all FVG box rendering
FVG Colors: Blue (bull) / Red (bear). Customize gap box colors
FVG Box Opacity: 80. Transparency for open (unfilled) FVGs
Box Left Boundary: C2 (Impulse). Start box from Candle 1 (formation) or Candle 2 (impulse)
Extend to Last Touch: Off. Extend box right edge to the last candle that contacted the FVG
FVG Cleanup
Hide Mitigated FVGs: Off. Remove FVGs once they reach the mitigation threshold
Mitigated Threshold (%): 1.0. Percentage fill at which an FVG is considered mitigated
Mitigated Opacity: 90. Transparency for mitigated FVGs
Hide Filled FVGs: Off. Remove FVGs once fully filled
Filled Opacity: 95. Transparency for filled FVGs
Divergence Inputs
Correlation Mode: Auto. Options: Off, Auto, Manual
Divergence Mode: Triad. Options: Dyad (primary + secondary only), Triad (all 3 assets). Only applies to Auto mode - Manual mode is unaffected
Asset 1: (blank). Override the local chart asset (Manual mode only)
Asset 2: (blank). Secondary correlated asset (Manual mode only)
Asset 3: (blank). Tertiary correlated asset (Manual mode only, optional - enables triad mode)
Invert Asset 3: Off. Flip direction for inverse correlations (e.g., DXY) (Manual mode only)
Performance
Max FVGs to Display: 50. Limits active FVG tracking for chart performance
FEATURES
Real-time FVG detection with three-candle confirmation
Multi-asset correlation (pair and triad modes)
Dyad/Triad mode selection for Auto correlation
Automatic correlated asset detection for major instruments
Manual asset selection with inversion support
Independent fill tracking per asset with percentage-based states
SMT Fill divergence lines with customizable style
Progressive opacity for open, mitigated, and filled states
Configurable box boundaries and extension behavior
Performance-optimized with configurable FVG limits
CONCEPTS AND CREDITS
The Fair Value Gap and Smart Money Technique concepts referenced in this indicator are credited to ICT (Inner Circle Trader) and TraderDaye . This indicator implements and extends these concepts with multi-asset correlation detection and automated divergence tracking.
DISCLAIMER
This indicator is a technical analysis tool and does not constitute financial advice. Past performance is not indicative of future results. Always use proper risk management and do your own research before making trading decisions. No guarantee of profitability is implied.
Future Updates will include a Higher Timeframe Adaptation in an intuitive way, will consult with users to find out if labels are useful or not, and if they are, how to best to implement them
TOP BOTTOM SCALPINGTOP BOTTOM SCALPING Intraday scalping is a high-frequency trading strategy aimed at profiting from small price changes on high-volume, liquid assets, with trades lasting seconds to minutes. Scalpers execute 10–50+ trades daily, using 1-5 minute charts, tight stop-losses
Dr. Pengu Neon AMO (Adaptive Momentum Oscillator)🐧 Dr.Pengu Neon AMO (PenguAMO V2)
Dr.Pengu Neon AMO is a crypto-optimized WaveTrend momentum oscillator built for BTC, ETH, SOL and altcoins, featuring automatic tuning by ticker and timeframe, dynamic OB/OS intensity visualization, staged-strength divergences, and a unique Power Laser system designed to highlight momentum exhaustion and potential turning zones.
This indicator is designed for clarity, consistency, and reduced noise across scalping, intraday, and swing trading.
✨ Core Features
🔁 Auto Presets (Ticker + Timeframe Aware)
Automatically adapts to BTC / ETH / SOL / Alts and Scalp / Intraday / Swing timeframes.
🌈 Neon WaveTrend Engine
Dual WaveTrend lines (WT1 / WT2) with strength-based neon gradients and optional ribbon fill.
🔥 Power Laser System
Centered OB/OS lasers printed at momentum exhaustion peaks using:
Level-based run tracking
Pivot-confirmed firing
Cooldown + directional locking to prevent spam
📊 Dynamic OB / OS Zones
Intensity-based OB/OS levels with optional background heatmap.
🪜 OB / OS Ladder Markers
Step-based marker printing showing how deep momentum pushes into extremes.
🔀 WaveTrend Divergences
Regular & Hidden divergences with staged strength (3-stage or 5-stage) and optional glow.
🔔 Built-in Alerts
Alerts for Power Lasers and WaveTrend divergences.
⚙️ Auto Preset Logic (How It Thinks)
Ticker Detection
BTC / ETH / SOL are detected automatically
All other symbols are treated as Altcoins
Timeframe Buckets
Scalp: ≤ 30 minutes
Intraday: 30 minutes → 4 hours
Swing: > 4 hours (Daily / Weekly / Monthly)
Each combination uses optimized WaveTrend lengths, OB/OS thresholds, and scaling to maintain consistent behavior across markets.
🔹 Manual override is available if you prefer fixed presets.
🔥 Power Laser Explained
The Power Laser highlights momentum exhaustion rather than random signals.
Laser Modes
LevelFire
Tracks WaveTrend runs through step levels and fires a laser when momentum peaks and exits the zone.
PivotFire
Fires lasers on confirmed WaveTrend pivot highs/lows.
Both
Combines both engines.
Smart Controls
Cooldown system prevents rapid re-firing
Directional locking prevents OB and OS lasers from overlapping
Laser strength scales visually based on depth and intensity
Lasers are centered on the strongest bar, not printed late.
🪜 OB / OS Ladder Markers
Ladder markers show progressive pressure into OB/OS zones.
Prints rows of markers as WT crosses step levels
Supports shape-based or text-based rendering
Optional OB / OS letters appear when marker count exceeds a threshold
Built-in spacing and object limits keep charts clean
🔀 WaveTrend Divergences
Supports:
Regular Bullish / Bearish Divergence
Hidden Bullish / Bearish Divergence
Strength Staging
Divergences are graded using:
Normalized WaveTrend swing distance
Bonus weighting when formed near OB/OS extremes
Displayed with:
3-stage or 5-stage strength
Optional glow
Separate styling for regular vs hidden
🌈 Dynamic OB / OS Heatmap
Optional background heatmap that:
Activates only at extremes or
Gradually increases intensity as WaveTrend moves deeper into OB/OS
Helps visualize pressure, not just levels.
🔔 Alerts Included
You can create TradingView alerts for:
WT OB Power Laser
WT OS Power Laser
WT Regular Bullish Divergence
WT Regular Bearish Divergence
WT Hidden Bullish Divergence
WT Hidden Bearish Divergence
Alerts trigger only on confirmed events, not repainting signals.
🧠 Recommended Usage
BTC
1m – 15m → Scalping (Auto)
1h – 4h → Intraday (Auto)
1D+ → Swing (Auto)
Altcoins
Expect higher volatility
Presets use wider OB/OS thresholds by design
Manual override can be used if signals feel late
🛠 Performance & Stability
Object queues automatically delete old lines and labels
Safe to use on lower timeframes
Designed to stay within TradingView’s object limits
📌 Notes
This indicator is non-repainting
Designed for crypto markets
Best used alongside structure, volume, or price-action context
Not a standalone buy/sell system
📖 Tip
If the chart feels busy:
Increase marker spacing
Reduce step counts
Disable PivotFire or heatmap
Lower divergence line limits
🚀 Built for traders who want clarity over clutter.
True StdDev + IV Adjusted Bands by 8lso (Enhanced)dm if there is any bugs, made by 8lso concept/inspo by makiel
Street Sweeper 2.0im Honestly Speechless. Countless nights went into this just go follow my Youtube @ Boripips
Channel and go show some Love.
OTP - 1HR ZONES v6So the clean fix (WITHOUT changing anything else you already like) is:
keep all your existing inputs/settings/behavior
keep zones never expiring (still true)
keep extendRight optional (you can toggle it)
add a “cooldown” after a zone prints so the very next HTF close can’t immediately print another “reactive” one
OTP -1HR ZONES v5WHY THIS VERSION IS IMPORTANT
✅ Matches your verbal definition exactly
✅ No “push candles” marked
✅ No reactive garbage
✅ No extensions
✅ No expiration
✅ No consecutive same-type zones
✅ Only the true origin candle wick-to-wick
✅ Syntax is 100% Pine-correct
DACC 2026-This indicator was designed and developed in Bolivia to support trading
decision-making through advanced technical market analysis.
It combines multiple market conditions to identify potential entry and exit
zones, helping traders improve trend confirmation and risk management.
FinCafeSupportResistanceByJKIts totally diff view to see the support, resistance and trend give by ARNAV sir from FinCafe.
PIPSBULL Pice ActionPIPSBULL Price Action is an advanced price action and market structure analysis toolkit built for discretionary traders who focus on structure, context, and execution rather than automated signals.
This indicator integrates internal and swing market structure, multi-timeframe trend context, volumetric order blocks, fair value gaps, and a premium–discount framework into a single configurable tool designed for structured market analysis.
Market Structure
The script identifies internal and swing BOS, CHoCH, and CHoCH+ with adjustable sensitivity using manual or dynamic modes. Structural events are displayed with clear directional context, supported by optional candle and bar coloring to reflect current structure bias.
Multi-Timeframe Structure Scanner
A built-in structure scanner displays real-time bullish or bearish bias across higher and lower timeframes (15m, 1H, 4H, and 1D). This feature is designed to support top-down HTF to LTF analysis through a compact visual dashboard.
Volumetric Order Blocks
Internal and swing order blocks are detected with configurable mitigation logic, volume relevance metrics, overlap handling, and optional grayscale display. Multiple positioning methods are available to improve precision and adaptability to different market conditions.
Fair Value Gaps
The indicator supports Fair Value Gaps, Volume Imbalances, and Opening Gaps with selectable timeframes, adjustable extension, and mitigation behavior. Bullish and bearish gaps are visualized directly on the chart to assist contextual analysis.
High and Low Framework
Strong and weak highs and lows are identified alongside premium, discount, and equilibrium zones. Equal highs and equal lows are detected using volatility-based tolerance to highlight potential liquidity areas.
Accumulation and Distribution Zones
Accumulation and distribution phases are detected using structural pattern recognition with fast and slow modes, allowing users to identify range-based market behavior and contextual transitions.
Customization and Performance
All components are modular and configurable through user inputs, including structure visibility, order block behavior, volume metrics, multi-timeframe levels, and dashboard placement. Object usage is optimized to remain within TradingView limits for stable performance.
How to Use
This indicator is intended for market context and structural analysis only. It does not generate trade signals or provide trade recommendations and should be used alongside proper risk management and a personal trading plan.
Disclaimer
This tool is for educational and analytical purposes only and does not constitute financial advice. Trading involves risk, and all decisions remain the responsibility of the user.
© PIPSBULL
[YUTAS] AKIRA_MAゆうたす作
AKIRA_MA
概要
多数の移動平均(MA)を重ねてトレンドの方向・強さ・並びを可視化するインジです。
MAは最大10本まで表示可能で、色・タイプ・長さ・上昇/下降時の色変化も個別設定できます。
PO(パーフェクトオーダー)の判定に使うMAも任意の3本を選択可能。
さらに乖離サインやボリンジャーバンドも同時に確認でき、トレンドと過熱感を一画面で把握できます。
主な機能
MA1〜MA10の表示(ON/OFF、タイプ、長さ、色、ChangeColor)
PO判定に使うMAを3本選択(背景色表示&アラート対応)
予測平均値(先読みプロット)を任意の3本で表示
乖離サイン(乖離用MA+乖離先MAもしくわclose価格を選択可能)
ボリンジャーバンド表示(中心線+±σ)
用途
トレンド把握 / 順張り判断
PO成立の視認とアラート通知
乖離での過熱チェック
MAの多重配置による相場の地合い確認
Yutas’
AKIRA_MA
Overview
This indicator overlays multiple moving averages to visualize trend direction, strength, and alignment.
You can display up to 10 MAs and customize each one’s color, type, length, and up/down color change.
The MAs used for Perfect Order (PO) detection are selectable (any 3).
It also includes deviation signals and Bollinger Bands, so you can read trend and overheating in one view.
Key Features
MA1–MA10 display (ON/OFF, type, length, color, ChangeColor)
Select 3 MAs for PO detection (background highlight + alerts)
Prediction tails (forward plots) for any 3 selected MAs
Deviation signals (select MA target or close price)
Bollinger Bands (basis + ±σ)
Use Cases
Trend confirmation / momentum entries
Visual PO alignment + alert notifications
Overextension checks with deviation signals
Market structure read using multi-MA alignment
Robust Adaptive Cloud - Blue/White ThemeRobust Adaptive Cloud - Blue/White Theme
Robust Adaptive Cloud - Blue/White ThemeRobust Adaptive Cloud - Blue/White ThemeRobust Adaptive Cloud - Blue/White ThemeRobust Adaptive Cloud - Blue/White ThemeRobust Adaptive Cloud - Blue/White Theme
Stock Sniper V1 (Absolute Health)Stock Sniper V1 (Absolute Health)
It's used to assess the strength and recovery of an asset.
JPX 33Sect IndexThe indicator, “JPX 33Sect-IDX,”is designed to compare Japan’s Tokyo Stock Exchange sector indices, JPX-33, with stock prices. It allows you to compare the price movements of various sectors with those of individual stocks, and also to identify sector-specific price trends.
This indicator automatically sets the value at the left edge of the displayed chart to 100 and when viewing sector index trends over the short term, you can quickly see which sectors have been strong or weak recently. Over the long term, the indicator helps you grasp sector cycles. As reference indicators, the Nikkei 225 can also be displayed simultaneously.
Moving averages (MA) can be applied to indicators to identify trends using smoothed lines.
note:
Due to Pine Script's plot limit, some sectors have been consolidated. Additionally, a semiconductor sector has been added, which is considered desirable to track as a separate sector in recent years.
This indicator is intended for trading Japanese stocks, so please note that the display uses Japanese text.






















