Session By BullancePrime Multi-Session VisualizerThe Session BullancePrime indicator allows you to visualize the major trading sessions (Asia, London, New York) directly on your chart. It provides:
✅ Customizable session times in AM/PM or 24-hour format
✅ Enable/disable each session independently
✅ Background highlighting for each session
✅ Open line, high/low tracking, vertical line, and midline for precise session analysis
✅ Midline centered on the session range, updating in real-time
✅ Fully customizable colors, line styles, and widths
Use it to identify key trading ranges, session overlaps, and potential breakout zones across global markets. Ideal for day traders, swing traders, and anyone looking to analyze session-based price action.
Wskaźniki i strategie
SEPA Sell Signal IndicatorSEPA Sell Signal Indicator - Documentation
Overview
A comprehensive exit signal indicator designed to work alongside the main SEPA (Stage, EMA, Price Action) indicator. It detects entry points via SEPA base breakouts and provides intelligent sell signals to protect profits and limit losses.
Core Features
Entry Detection
Automatically detects SEPA base breakout patterns
Tracks entry price and calculates swing low reference
Monitors position status (LONG/FLAT)
5 Sell Triggers
Price < EMA50 (Technical weakness)
Protected by EMA10 system (see below)
Trend Broken (Price < EMA150 AND EMA200)
Major trend reversal signal
Not protected - always fires
EMA Cross (EMA50 < EMA150)
Death cross indicating momentum shift
Not protected - always fires
Swing Low Broken (Price < Previous Swing Low)
Hard stop loss trigger
Lookback period: 10 bars (adjustable 5-50)
Not protected - always fires
Relative Strength Negative (RS vs NIFTY500 < 0)
Stock underperforming benchmark index
Based on 21-period EMA comparison
Not protected - always fires
EMA10 Protection System (Refinement Feature)
Purpose
Prevents premature exits during healthy pullbacks in strong uptrends.
Protection Criteria (All must be true)
✅ Stock in uptrend (EMA50 > EMA150 > EMA200)
✅ Price above EMA10
✅ Price above EMA50
✅ Only protects Condition 1 (Price < EMA50)
Two-Stage Warning System
Stage 1: Yellow "CAUTION" Signal
Appears when Condition 1 triggers but protection is active
Grace period begins (default: 5 bars)
Allows time for price to recover
Stage 2: Red "SELL" Signal
Fires when ANY of these occur:
Warning timer expires (5/5 bars)
Price drops below EMA10
Price drops below EMA50
Uptrend ends
Any other sell condition (2-5) triggers
Settings
Enable EMA10 Protection: ON/OFF toggle (default: ON)
Protection Time Limit: 1-20 bars (default: 5)
Visual Elements
Chart Signals
🔴 Red Triangle (SELL): Confirmed sell signal - exit position
🟡 Yellow Circle (CAUTION): Warning - monitor closely
🟢 Green Background Tint: Currently in position
Information Tables
Top Right - Sell Conditions Table
Shows real-time status of all 5 conditions
✓ (Green) = Condition NOT met (safe)
✓ (Red) = Condition met (danger)
⚠ (Yellow) = Warning active (monitoring)
Displays EMA10 protection status (ON/OFF)
Shows warning timer (e.g., "3/5")
Bottom Right - Position Details (when in position)
Entry price
Swing low level
Relative strength value (color-coded)
Current P&L percentage
Bottom Right - Status (when flat)
Shows "NO POSITION"
Indicates waiting for "BASE BREAKOUT"
Alert System
Entry Signal: SEPA base breakout detected
Warning Alert: Caution - price below EMA50 but protected
EMA50 Break: Sell confirmed after protection expires
Trend Break: Major reversal - exit immediately
EMA Cross: Death cross - exit immediately
Swing Low Break: Hard stop - exit immediately
RS Negative: Underperformance - exit immediately
Configuration Parameters
ParameterDefaultRangeDescriptionEMA 10101-50Fast moving average for protectionEMA 50501-200Primary trend indicatorEMA 1501501-300Medium-term trendEMA 2002001-500Long-term trendSwing Low Lookback105-50Bars to find previous swing lowRS EMA215-50Period for relative strength calcBenchmarkCNX500-Index for RS comparisonProtection Time Limit51-20Max bars for warning stateTable Text Size1 (Small)0-40=Tiny, 4=HugeEMA10 ProtectionONON/OFFEnable/disable protection
Trading Workflow
Entry: Indicator detects SEPA base breakout
Monitoring: Track 5 sell conditions in real-time
Warning: Yellow CAUTION if minor weakness (Condition 1 only)
Grace Period: 5 bars to recover or confirm breakdown
Exit: Red SELL signal when conditions confirm weakness
Reset: Returns to flat, waits for next base breakout
Key Advantages
✅ Selective Protection: Only protects shallow pullbacks, not real breakdowns
✅ Time-Limited: Won't delay exits indefinitely (5-bar max)
✅ Multi-Layered: 5 independent sell conditions
✅ Visual Clarity: Color-coded signals and comprehensive tables
✅ Customizable: All parameters adjustable for your style
✅ Alert System: Never miss a critical signal
Philosophy
The indicator balances two competing goals:
Stay in winning trades during healthy pullbacks
Exit quickly when trends genuinely reverse
The refined EMA10 protection system achieves this by giving breathing room for minor dips while ensuring swift exits on confirmed weakness.
Trader Baboo Aanna V 1.0This Script uses Moving Exponential average of five to generate bullish signals. it is based only on 5 ema. it could be used on any time frame.
Korvex - KombiKORVEX Keylevel Must-Move Trading is a precise approach focused on identifying Must-Move-Levels to generate high-quality trades at clearly defined Keylevels. The strategy targets reversals and pullbacks at prominent Keylevels, resulting in a high hit rate with fewer, but highly qualitative signals.
Core Idea & Market Logic
KORVEX is not a classic continuous-signal indicator, but a targeted Must-Move finder for GOLD, DAX, S&P500, and EURUSD.
The strategy aims to trade reversals and pullbacks at clearly identifiable Keylevels (Daily High/Low, Previous High/Low, Daily Pivot, relevant Fibonacci zones such as 0.5, 0.618, 0.786).
Trading primarily takes place on the M15 timeframe, optionally also on M30 or H1, to find the best combination of signal quality and trading time.
Advantages of the Strategy
Fewer, but high-quality trades instead of continuous trading, which strengthens discipline and focus.
The use of clear Keylevels increases the probability of sustainable moves and reduces the risk of erroneous trades.
Combining technical levels with Fibonacci zones provides an objective decision basis and prevents subjective interpretations.
This approach creates a clear market logic based on quality and precise entries – ideal for traders aiming for sustainable results with fewer, but targeted trades.
VWAP Gravity Oscillator (VGO) (Intraday Only)Update: Configurable Price Source for VWAP Delta
This update introduces a configurable Price Source for calculating VWAP deviation (Delta).
Users can now select how price is defined when measuring displacement from VWAP:
Close (default)
Average of High, Low, Close
Maximum of Open and Close
Minimum of Open and Close
This enhancement allows the VWAP Gravity Oscillator to adapt to different intraday behaviors, including wick-sensitive conditions, breakout confirmation, and mean-reversion analysis, while preserving the original indicator logic and defaults.
No changes were made to signal structure, scaling, or timeframe restrictions.
Korvex - TP ReversalKORVEX Keylevel Must-Move Trading is a precise approach focused on identifying Must-Move-Levels to generate high-quality trades at clearly defined Keylevels. The strategy targets reversals and pullbacks at prominent Keylevels, resulting in a high hit rate with fewer, but highly qualitative signals.
Core Idea & Market Logic
KORVEX is not a classic continuous-signal indicator, but a targeted Must-Move finder for GOLD, DAX, S&P500, and EURUSD.
The strategy aims to trade reversals and pullbacks at clearly identifiable Keylevels (Daily High/Low, Previous High/Low, Daily Pivot, relevant Fibonacci zones such as 0.5, 0.618, 0.786).
Trading primarily takes place on the M15 timeframe, optionally also on M30 or H1, to find the best combination of signal quality and trading time.
Advantages of the Strategy
Fewer, but high-quality trades instead of continuous trading, which strengthens discipline and focus.
The use of clear Keylevels increases the probability of sustainable moves and reduces the risk of erroneous trades.
Combining technical levels with Fibonacci zones provides an objective decision basis and prevents subjective interpretations.
This approach creates a clear market logic based on quality and precise entries – ideal for traders aiming for sustainable results with fewer, but targeted trades.
Korvex - Must MoveKORVEX Keylevel Must-Move Trading is a precise approach focused on identifying Must-Move-Levels to generate high-quality trades at clearly defined Keylevels. The strategy targets reversals and pullbacks at prominent Keylevels, resulting in a high hit rate with fewer, but highly qualitative signals.
Core Idea & Market Logic
KORVEX is not a classic continuous-signal indicator, but a targeted Must-Move finder for GOLD, DAX, S&P500, and EURUSD.
The strategy aims to trade reversals and pullbacks at clearly identifiable Keylevels (Daily High/Low, Previous High/Low, Daily Pivot, relevant Fibonacci zones such as 0.5, 0.618, 0.786).
Trading primarily takes place on the M15 timeframe, optionally also on M30 or H1, to find the best combination of signal quality and trading time.
Advantages of the Strategy
Fewer, but high-quality trades instead of continuous trading, which strengthens discipline and focus.
The use of clear Keylevels increases the probability of sustainable moves and reduces the risk of erroneous trades.
Combining technical levels with Fibonacci zones provides an objective decision basis and prevents subjective interpretations.
This approach creates a clear market logic based on quality and precise entries – ideal for traders aiming for sustainable results with fewer, but targeted trades.
Korvex - BandsKORVEX Keylevel Must-Move Trading is a precise approach focused on identifying Must-Move-Levels to generate high-quality trades at clearly defined Keylevels. The strategy targets reversals and pullbacks at prominent Keylevels, resulting in a high hit rate with fewer, but highly qualitative signals.
Core Idea & Market Logic
KORVEX is not a classic continuous-signal indicator, but a targeted Must-Move finder for GOLD, DAX, S&P500, and EURUSD.
The strategy aims to trade reversals and pullbacks at clearly identifiable Keylevels (Daily High/Low, Previous High/Low, Daily Pivot, relevant Fibonacci zones such as 0.5, 0.618, 0.786).
Trading primarily takes place on the M15 timeframe, optionally also on M30 or H1, to find the best combination of signal quality and trading time.
Advantages of the Strategy
Fewer, but high-quality trades instead of continuous trading, which strengthens discipline and focus.
The use of clear Keylevels increases the probability of sustainable moves and reduces the risk of erroneous trades.
Combining technical levels with Fibonacci zones provides an objective decision basis and prevents subjective interpretations.
This approach creates a clear market logic based on quality and precise entries – ideal for traders aiming for sustainable results with fewer, but targeted trades.
Dow Theory Cockpit1. Evolution History
The system has reached its final form through five distinct development phases:
Phase 1: Logic Development (V1–V6)
Established four core logics: BREAK and DIP (Dow Theory), SNIPER (Reversal), and PUSH (Trend continuation).
Implemented the Multi-Timeframe (MTF) panel and Market Scanner.
Phase 2: Strategy Transition (V7–V9)
Integrated backtesting features, but found the Pine Script calculation load too heavy for real-time charting.
Phase 3: Optimization & Performance (V10–V11)
Prioritized smooth real-time execution by returning to a lightweight indicator format.
Introduced the on-chart stats panel for Win Rate and P&L tracking.
Phase 4: Visual Completion (V12–V13)
High-Vis Fib: Bold orange lines highlighting the Golden Zone (38.2%/61.8%).
Visual Zones: Introduced Green and Red bands for intuitive trade tracking.
Phase 5: Smart Adjust Implementation (V14 - Current)
Barrier Avoidance: Automatically detects nearby Support/Resistance boxes and shortens the TP to secure profits before a potential reversal.
Dynamic RR Optimization: Automatically adjusts the SL in tandem with the shortened TP to maintain a healthy Risk-Reward ratio.
2. Specifications
Name: Dow Theory Cockpit
Format: Indicator
Trading Style: Scalping to Day Trading
Timeframes: 5M, 15M (Recommended), 1H
Assets: All pairs (Gold, Crypto, Forex, Indices)
3. Features
① Quad-Logic Entry Signals
🎯 SNIPER: Reversal logic targeting "Tops and Bottoms" when the market is overextended.
🌊 DIP: Trend-following logic for "Deep Pullbacks" with clean Moving Average alignment.
⚡ PUSH: Scalping logic for "Shallow Pullbacks" during high-momentum trends.
🚀 BREAK: Classic Dow Theory momentum entry on recent High/Low breakouts.
② Visual Analysis Tools
S/R BOX: Displays key price levels as shaded zones to account for market noise and wick volatility.
High-Vis Auto Fib: Automatically plots Fibonacci levels, highlighting the Golden Zone with bold lines.
③ Bulletproof Money Management
Calculated Lot Size: Displays the precise lot size based on your account balance and Risk % directly on the signal label.
TP/SL Zones: Dynamic Green and Red bands show exactly where your profit and loss targets lie.
④ Smart Adjust Function (NEW)
Logic: Automatically scans for strong S/R walls near your entry.
Normal Condition: Displays TP/SL at your default Risk-Reward ratio.
Wall Detected: Automatically pulls the TP to the edge of the barrier and tightens the SL to maintain the ratio.
Alert: A "⚠️Adj" warning appears on the label when this adjustment is active.
⑤ Integrated Info Panel
Main Panel: Trends across all timeframes, real-time Win Rate, and Period Net P&L.
Scanner: Constant monitoring of Gold/JPY/BTC and major US/JP economic data.
4. How to Use
Configuration: In the settings under , input your balance and Risk %. Set your start date in .
Entry Decision: Wait for the "★ BUY" or "★ SELL" label.
"⚠️Adj" displayed: The system has detected a nearby barrier and narrowed the TP/SL for safety. This results in a higher win rate with smaller gains.
No warning: No barriers detected. Targets the default wide Risk-Reward ratio.
Execution: Enter using the exact Lot size on the label. Set your Limit/Stop orders at the provided TP/SL prices.
Exit: The trade concludes when the price reaches the Green or Red zone. Smart Adjust ensures you exit the market before a potential bounce.
1. 大幅なアップデート履歴 (Evolution History)
このシステムは、以下の5つのフェーズを経て完成しました。
フェーズ1:ロジック構築期 (V1〜V6)
ダウ理論に基づく「BREAK」「DIP」に加え、逆張り「SNIPER」、順張り追撃「PUSH」の4つのロジックを搭載。
マルチタイムフレーム(MTF)パネル、市場監視スキャナーの実装。
フェーズ2:ストラテジー化への挑戦 (V7〜V9)
バックテスト機能を搭載したが、Pine Scriptの計算負荷増大によりチャート動作が重くなる問題が発生。
フェーズ3:軽量化と原点回帰 (V10〜V11)
**「実戦での快適さ」**を最優先し、indicator 形式へ戻して超軽量化。
期間損益や勝率を、チャート上のパネルで簡易確認できる仕様に変更。
フェーズ4:視認性の完成 (V12〜V13)
High-Vis Fib: フィボナッチの重要ライン(38.2%/61.8%)を太いオレンジ実線で強調。
Visual Zone: トレード中、チャート上に「緑(利益)/赤(損失)」の帯を表示し、直感的な判断を可能に。
フェーズ5:スマート・アジャスト実装 (V14 - Current)
障害物回避機能: エントリー方向の直近に「逆側のレジサポBOX(壁)」がある場合、TPをその手前に自動短縮し、反発による含み益消滅リスクを回避。
RR自動最適化: TPの短縮に合わせて、最低限のリスクリワード(RR)を維持するようSLも自動調整する機能を搭載。
2. 全体の仕様 (Specifications)
名称: Dow Theory Cockpit
形式: インジケーター (Indicator)
※TradingViewの「ストラテジーテスター」タブは使用しません。
推奨スタイル: スキャルピング 〜 デイトレード
推奨時間足: 5分足、15分足(推奨)、1時間足
通貨ペア: 全通貨対応(Gold, Crypto, Forex, Index)
3. 特徴と機能 (Features)
① 4つの「高期待値」エントリーロジック
相場の状況に合わせて最適なサインが点灯します。
🎯 SNIPER: 行き過ぎた相場の反転(天底)を狙う逆張り。
🌊 DIP: 移動平均線の並びが良い状態での「深い押し目」を拾う順張り。
⚡ PUSH: 強いトレンド(ADX上昇中)の「浅い押し目」で飛び乗るスキャルピング用。
🚀 BREAK: ダウ理論の基本、直近高値・安値ブレイクでのエントリー。
② 視覚的環境認識ツール
レジサポ BOX: 重要価格帯を「面(ボックス)」で表示。ヒゲのダマシを許容します。
High-Vis Auto Fib: 直近の波を検知し、38.2%/61.8%(ゴールデンゾーン)を太線で強調表示。
③ 鉄壁の資金管理 (Money Management)
推奨ロット表示: 口座資金と許容リスク(%)に基づき、適正ロット数を自動計算して表示します。
TP/SL ゾーン: エントリー中、チャート上に「利確までの緑の帯」と「損切までの赤の帯」が表示され、価格の進行度合いが一目で分かります。
④ スマート・アジャスト機能 (Smart Adjust) ★NEW
機能: エントリー時、目標地点の手前に「強力なレジサポBOX」があるかを自動検知します。
動作:
通常時: 設定通りのRR(2.5倍など)でTP/SLを表示。
壁がある時: **「壁の手前」**にTPを引き下げ、それに合わせてSLも浅く調整します。
表示: 調整が行われた場合、ラベルに 「⚠️Adj(調整済み)」 と警告が出ます。
⑤ 情報集約パネル
Main Panel: 全時間足のトレンド方向、直近の勝率、期間内の純損益を表示。
Scanner: Gold / JPY / BTC の動向と、日米経済指標を常時監視。
4. 使い方 (How to Use)
STEP 1: 初期設定
インジケーター設定の 【F. 資金管理】 を開き、口座資金 と リスク(%) を入力します。
【T. バックテスト期間】 で損益計算を開始したい日付を設定します。
STEP 2: エントリー判断
チャートに 「★ BUY」 または 「★ SELL」 のラベルが出現するのを待ちます。
ラベルの確認:
「⚠️Adj」 と出ている場合 → 「近くに壁があるため、TP/SLを狭く調整しました」という意味です。勝率は上がりますが、値幅は小さくなります。
何も出ていない場合 → 「障害物なし。通常のRRで大きく狙います」という意味です。
STEP 3: 注文 (Execution)
ラベルの数値を信頼して注文を出します。
Lot: 表示された数量を入力。
TP/SL: 表示された価格に指値・逆指値を置く。
STEP 4: 決済 (Exit)
チャート上の 「緑の帯(TP)」 か 「赤の帯(SL)」 にローソク足が到達したら決済です。
**「スマートアジャスト」により、壁の手前で利確設定されているため、「反発して戻ってくる前に逃げ切る」**ことができます。
Dow Theory Cockpit [Final Fixed V15]1. Evolution History
The system has reached its final form through five distinct development phases:
Phase 1: Logic Development (V1–V6)
Established four core logics: BREAK and DIP (Dow Theory), SNIPER (Reversal), and PUSH (Trend continuation).
Implemented the Multi-Timeframe (MTF) panel and Market Scanner.
Phase 2: Strategy Transition (V7–V9)
Integrated backtesting features, but found the Pine Script calculation load too heavy for real-time charting.
Phase 3: Optimization & Performance (V10–V11)
Prioritized smooth real-time execution by returning to a lightweight indicator format.
Introduced the on-chart stats panel for Win Rate and P&L tracking.
Phase 4: Visual Completion (V12–V13)
High-Vis Fib: Bold orange lines highlighting the Golden Zone (38.2%/61.8%).
Visual Zones: Introduced Green and Red bands for intuitive trade tracking.
Phase 5: Smart Adjust Implementation (V14 - Current)
Barrier Avoidance: Automatically detects nearby Support/Resistance boxes and shortens the TP to secure profits before a potential reversal.
Dynamic RR Optimization: Automatically adjusts the SL in tandem with the shortened TP to maintain a healthy Risk-Reward ratio.
2. Specifications
Name: Dow Theory Cockpit
Format: Indicator
Trading Style: Scalping to Day Trading
Timeframes: 5M, 15M (Recommended), 1H
Assets: All pairs (Gold, Crypto, Forex, Indices)
3. Features
① Quad-Logic Entry Signals
🎯 SNIPER: Reversal logic targeting "Tops and Bottoms" when the market is overextended.
🌊 DIP: Trend-following logic for "Deep Pullbacks" with clean Moving Average alignment.
⚡ PUSH: Scalping logic for "Shallow Pullbacks" during high-momentum trends.
🚀 BREAK: Classic Dow Theory momentum entry on recent High/Low breakouts.
② Visual Analysis Tools
S/R BOX: Displays key price levels as shaded zones to account for market noise and wick volatility.
High-Vis Auto Fib: Automatically plots Fibonacci levels, highlighting the Golden Zone with bold lines.
③ Bulletproof Money Management
Calculated Lot Size: Displays the precise lot size based on your account balance and Risk % directly on the signal label.
TP/SL Zones: Dynamic Green and Red bands show exactly where your profit and loss targets lie.
④ Smart Adjust Function (NEW)
Logic: Automatically scans for strong S/R walls near your entry.
Normal Condition: Displays TP/SL at your default Risk-Reward ratio.
Wall Detected: Automatically pulls the TP to the edge of the barrier and tightens the SL to maintain the ratio.
Alert: A "⚠️Adj" warning appears on the label when this adjustment is active.
⑤ Integrated Info Panel
Main Panel: Trends across all timeframes, real-time Win Rate, and Period Net P&L.
Scanner: Constant monitoring of Gold/JPY/BTC and major US/JP economic data.
4. How to Use
Configuration: In the settings under , input your balance and Risk %. Set your start date in .
Entry Decision: Wait for the "★ BUY" or "★ SELL" label.
"⚠️Adj" displayed: The system has detected a nearby barrier and narrowed the TP/SL for safety. This results in a higher win rate with smaller gains.
No warning: No barriers detected. Targets the default wide Risk-Reward ratio.
Execution: Enter using the exact Lot size on the label. Set your Limit/Stop orders at the provided TP/SL prices.
Exit: The trade concludes when the price reaches the Green or Red zone. Smart Adjust ensures you exit the market before a potential bounce.
1. 大幅なアップデート履歴 (Evolution History)
このシステムは、以下の5つのフェーズを経て完成しました。
フェーズ1:ロジック構築期 (V1〜V6)
ダウ理論に基づく「BREAK」「DIP」に加え、逆張り「SNIPER」、順張り追撃「PUSH」の4つのロジックを搭載。
マルチタイムフレーム(MTF)パネル、市場監視スキャナーの実装。
フェーズ2:ストラテジー化への挑戦 (V7〜V9)
バックテスト機能を搭載したが、Pine Scriptの計算負荷増大によりチャート動作が重くなる問題が発生。
フェーズ3:軽量化と原点回帰 (V10〜V11)
**「実戦での快適さ」**を最優先し、indicator 形式へ戻して超軽量化。
期間損益や勝率を、チャート上のパネルで簡易確認できる仕様に変更。
フェーズ4:視認性の完成 (V12〜V13)
High-Vis Fib: フィボナッチの重要ライン(38.2%/61.8%)を太いオレンジ実線で強調。
Visual Zone: トレード中、チャート上に「緑(利益)/赤(損失)」の帯を表示し、直感的な判断を可能に。
フェーズ5:スマート・アジャスト実装 (V14 - Current)
障害物回避機能: エントリー方向の直近に「逆側のレジサポBOX(壁)」がある場合、TPをその手前に自動短縮し、反発による含み益消滅リスクを回避。
RR自動最適化: TPの短縮に合わせて、最低限のリスクリワード(RR)を維持するようSLも自動調整する機能を搭載。
2. 全体の仕様 (Specifications)
名称: Dow Theory Cockpit
形式: インジケーター (Indicator)
※TradingViewの「ストラテジーテスター」タブは使用しません。
推奨スタイル: スキャルピング 〜 デイトレード
推奨時間足: 5分足、15分足(推奨)、1時間足
通貨ペア: 全通貨対応(Gold, Crypto, Forex, Index)
3. 特徴と機能 (Features)
① 4つの「高期待値」エントリーロジック
相場の状況に合わせて最適なサインが点灯します。
🎯 SNIPER: 行き過ぎた相場の反転(天底)を狙う逆張り。
🌊 DIP: 移動平均線の並びが良い状態での「深い押し目」を拾う順張り。
⚡ PUSH: 強いトレンド(ADX上昇中)の「浅い押し目」で飛び乗るスキャルピング用。
🚀 BREAK: ダウ理論の基本、直近高値・安値ブレイクでのエントリー。
② 視覚的環境認識ツール
レジサポ BOX: 重要価格帯を「面(ボックス)」で表示。ヒゲのダマシを許容します。
High-Vis Auto Fib: 直近の波を検知し、38.2%/61.8%(ゴールデンゾーン)を太線で強調表示。
③ 鉄壁の資金管理 (Money Management)
推奨ロット表示: 口座資金と許容リスク(%)に基づき、適正ロット数を自動計算して表示します。
TP/SL ゾーン: エントリー中、チャート上に「利確までの緑の帯」と「損切までの赤の帯」が表示され、価格の進行度合いが一目で分かります。
④ スマート・アジャスト機能 (Smart Adjust) ★NEW
機能: エントリー時、目標地点の手前に「強力なレジサポBOX」があるかを自動検知します。
動作:
通常時: 設定通りのRR(2.5倍など)でTP/SLを表示。
壁がある時: **「壁の手前」**にTPを引き下げ、それに合わせてSLも浅く調整します。
表示: 調整が行われた場合、ラベルに 「⚠️Adj(調整済み)」 と警告が出ます。
⑤ 情報集約パネル
Main Panel: 全時間足のトレンド方向、直近の勝率、期間内の純損益を表示。
Scanner: Gold / JPY / BTC の動向と、日米経済指標を常時監視。
4. 使い方 (How to Use)
STEP 1: 初期設定
インジケーター設定の 【F. 資金管理】 を開き、口座資金 と リスク(%) を入力します。
【T. バックテスト期間】 で損益計算を開始したい日付を設定します。
STEP 2: エントリー判断
チャートに 「★ BUY」 または 「★ SELL」 のラベルが出現するのを待ちます。
ラベルの確認:
「⚠️Adj」 と出ている場合 → 「近くに壁があるため、TP/SLを狭く調整しました」という意味です。勝率は上がりますが、値幅は小さくなります。
何も出ていない場合 → 「障害物なし。通常のRRで大きく狙います」という意味です。
STEP 3: 注文 (Execution)
ラベルの数値を信頼して注文を出します。
Lot: 表示された数量を入力。
TP/SL: 表示された価格に指値・逆指値を置く。
STEP 4: 決済 (Exit)
チャート上の 「緑の帯(TP)」 か 「赤の帯(SL)」 にローソク足が到達したら決済です。
**「スマートアジャスト」により、壁の手前で利確設定されているため、「反発して戻ってくる前に逃げ切る」**ことができます。
Heikin Ashi Intraday Power SetupThe Heikin Ashi Intraday Power Trend indicator is a trend-following intraday tool designed to capture high-probability moves while filtering false signals commonly seen in sideways and low-momentum markets.
It combines Heikin Ashi price action with EMA trend direction, VWAP confirmation, RSI momentum, ATR-based noise filtering, and time-session logic to deliver clean, non-repeating BUY and SELL signals.
How It Works
The indicator generates signals only when multiple conditions align:
Strong Heikin Ashi momentum candle
Price positioned relative to EMA (trend filter)
EMA slope confirms trend direction
VWAP direction supports the move
RSI avoids late or overextended entries
ATR distance filter removes EMA noise
Time filter avoids low-quality intraday zones
Anti-repeat logic ensures one signal per trend
This layered approach helps reduce overtrading and whipsaws.
BUY Conditions
Bullish Heikin Ashi candle with strong momentum
Price above EMA and VWAP
EMA slope upward
RSI between 55–70
Price expanded away from EMA
Within active intraday session
SELL Conditions
Bearish Heikin Ashi candle with strong momentum
Price below EMA and VWAP
EMA slope downward
RSI between 30–45
Price expanded away from EMA
Within active intraday session
Recommended Usage
Market: Nifty, Bank Nifty, Fin Nifty, liquid stocks
Timeframe: 5-min (scalping), 15-min (stable intraday)
Trade Management
Entry: Break of signal candle high / low
Stop Loss: Opposite Heikin Ashi candle
Exit: Heikin Ashi color change or EMA retest
Risk: Follow strict position sizing
Titan 6.1 Alpha Predator [Syntax Verified]Based on the code provided above, the Titan 6.1 Alpha Predator is a sophisticated algorithmic asset allocation system designed to run within TradingView. It functions as a complete dashboard that ranks a portfolio of 20 assets (e.g., crypto, stocks, forex) based on a dual-engine logic of Trend Following and Mean Reversion, enhanced by institutional-grade filters.Here is a breakdown of how it works:1. The Core Logic (Hybrid Engine)The indicator runs a daily "tournament" where every asset competes against every other asset in a pairwise analysis. It calculates two distinct scores for each asset and selects the higher of the two:Trend Score: Rewards assets with strong directional momentum (Bullish EMA Cross), high RSI, and rising ADX.Reversal Score: Rewards assets that are mathematically oversold (Low RSI) but are showing a "spark" of life (Positive Rate of Change) and high volume.2. Key FeaturesPairwise Ranking: Instead of looking at assets in isolation, it compares them directly (e.g., Is Bitcoin's trend stronger than Ethereum's?). This creates a relative strength ranking.Institutional Filters:Volume Pressure: It boosts the score of assets seeing volume >150% of their 20-day average, but only if the price is moving up.Volatility Check (ATR): It filters out "dead" assets (volatility < 1%) to prevent capital from getting stuck in sideways markets."Alpha Predator" Boosters:Consistency: Assets that have been green for at least 7 of the last 10 days receive a mathematically significant score boost.Market Shield: If more than 50% of the monitored assets are weak, the system automatically reduces allocation percentages, signaling you to hold more cash.3. Safety ProtocolsThe system includes strict rules to protect capital:Falling Knife Protection: If an asset is in Reversal mode (REV) but the price is still dropping (Red Candle), the allocation is forced to 0.0%.Trend Stop (Toxic Asset): If an asset closes below its 50-day EMA and has negative momentum, it is marked as SELL 🛑, and its allocation is set to zero.4. How to Read the DashboardThe indicator displays a table on your chart with the following signals:SignalMeaningActionTREND 🚀Strong BreakoutHigh conviction Buy. Fresh uptrend.TREND 📈Established TrendBuy/Hold. Steady uptrend.REV ✅Confirmed ReversalBuy the Dip. Price is oversold but turning Green today.REV ⚠️Falling KnifeDo Not Buy. Price is cheap but still crashing.SELL 🛑Toxic AssetExit Immediately. Trend is broken and momentum is negative.Icons:🔥 (Fire): Institutional Buying (Volume > 1.5x average).💎 (Diamond): High Consistency (7+ Green days in the last 10).🛡️ (Shield): Market Defense Active (Allocations reduced due to broad market weakness).
Price Levels [TickDaddy] - v5Added more instruments and fixed some calculation errors. please let me know if you find anything else!
Advanced Concept V4 Change your trading time zone to New York . To maximize readiness for institutional trading setups based on the prescribed models, traders should set alarms for specific times in the New York Time Zone (EST/EDT), which is generally 10.5 hours behind IST.
Asian Stop Hunt Model
The Stop Hunt Model is a liquidity-based strategy designed to exploit market stop-loss sweeps by aligning with the IPDA daily bias. The core idea is to wait for price to sweep the engineered liquidity of the Asian Session High or Low (after 10:30 AM IST). Once the sweep occurs, the trader confirms the market's true direction via a Change of Character (CHoCH) on the lower timeframe. The entry is then taken only on a retest of the resulting price inefficiency, specifically a Balanced Price Range (BPR) or imbalance, which represents the institutional entry point. By targeting the next major liquidity pool with a minimum 1:3 risk-to-reward ratio, the model prioritizes discipline and quality over frequent trading.
The New York Open Model
The New York Open Model is an index-focused strategy (SPX500, NAS100, US30) that trades solely during the New York Session (9:30 AM – 12:30 PM NYT). It establishes a Range Zone high and low from midnight until the open, treating these boundaries as institutional liquidity targets. Execution is triggered by a mandatory liquidity sweep of one side of this range, followed by a confirming Change of Character (CHoCH) on the 1-minute chart. Entry is taken precisely on the retest of a resulting price inefficiency (like an FVG), aiming for the opposite side of the session range, prioritizing simplicity, timing, and controlled risk over external biases like IPDA.
The ATM Strategy
The ATM Strategy is a high-precision, New York-session trading model designed to capture institutional liquidity moves using the IPDA directional bias. The strategy operates by first defining a Range Zone (00:00 to 8:30 AM NY time) where high and low boundaries act as liquidity targets. Execution is restricted to the Trading Zone (8:30AM to 12:30 PM NY time) and is only triggered when price executes a mandatory liquidity sweep of one range boundary that aligns with the IPDA bias. This sweep must then be confirmed on the 1-minute chart by a Change of Character (CHoCH). Final entry is taken on the retest of a resulting price inefficiency (like an FVG or BPR), with targets set at session highs or lows, ensuring institutional-style execution with high clarity and discipline.
The Central Bank Dealer Range (CBDR)
The Central Bank Dealer Range (CBDR) model is a disciplined, institutional trading strategy used on the 15-minute chart, primarily focusing on London Session liquidity for major currency pairs. The core idea is to align with Interbank Price Delivery Algorithm (IPDA) bias, which dictates a mandatory liquidity sweep (a false breakout of the previous day's high or low) must occur first. Following this sweep, a visible price imbalance (Fair Value Gap) must form within the London Session. Entry is strictly taken only on the retest of this imbalance zone, confirming institutional order flow, with a fixed target at the opposite boundary of the previous day's range.
Super Indicator v12 - Scalper EngineSuper Indicator and buy sell signal for scalping
Dual Supertrend confirmation
• EMA trend structure
• MACD/RSI/VWMA filters
• Candle coloring
• Buy Sell Arrows
Disclaimer:
This script is for educational purposes only. Trading involves risk, and past performance does not guarantee future results. Please test thoroughly and use at your own discretion. You are solely responsible for your trading decisions.
Virgin-VWAPThis draws the Virgin levels of VWAP.
It gives a visual representation of Volume-Weighted Gap Map.
Visual "Fill": It looks like a "Gap Fill" indicator. The lines will look like rectangles or "beams" shooting across the chart, stopping exactly where the market "filled" that price level.
Trimmed lines: The virgin line gets trimmed once touched. This tells you: "This level was hit, it might still be support/resistance, but the 'Virgin' status is gone."
Terminal Labels: A vigin vwap lines carries the price label so ones can see the strike's value at a glance.
Clean Forward Space: Because the lines stop when touched, your "future" chart (the empty space to the right) won't be cluttered with old lines that are no longer relevant. You will only see the lines for levels that haven't been hit yet extending into the empty space.
Was built for NSE options in mind, seeing those "beams" of historical value stop exactly where price met them is a powerful way to visualize where the market has found "fair value" versus where there are still "unfilled orders."
PS: Built with Gemini 3!!
Ghost Cipher [Bit2Billions]Ghost Cipher — Adaptive Market Flow Engine
A structured, intelligence-driven framework that decodes market flow using smoothing, liquidity distribution, volatility behavior, and range-based logic.
Ghost Cipher translates complex price action into a clean, intuitive visual environment. It combines multiple analytical modules—including adaptive smoothing, liquidity mapping, volatility profiling, and CRT range-theory detection—into a cohesive, rule-based system. Each component is designed to complement the others: smoothing reduces noise for clearer trend detection, liquidity mapping identifies imbalance zones for potential reversals, and range theory structures intra-day and multi-timeframe price dynamics.
This integration provides traders with a streamlined, actionable view of market flow from micro swings to macro transitions, supporting both decision-making and workflow efficiency.
Reason for Mashup
Ghost Cipher combines smoothing, liquidity analysis, volatility profiling, and range-based logic because market flow cannot be reliably interpreted using any single analytical tool.
Trend direction, liquidity behavior, volatility expansion, and range structure are interdependent. When analyzed with separate indicators, they often produce conflicting or incomplete conclusions.
Ghost Cipher intentionally unifies these elements into one framework so market flow is evaluated once and shared across all modules.
This mashup exists to create a coherent market-flow narrative, not to merge unrelated tools.
How the Components Work Together
All components in Ghost Cipher operate through a shared decision structure:
1. Adaptive Smoothing & Zero-Lag Ribbon establishes the baseline trend and reduces noise.
2. Liquidity & Order-Block Mapping references the smoothed structure to identify imbalance zones and potential reaction areas.
3. Dynamic Demand/Supply Engine refines those zones using volatility, displacement, and liquidity conditions.
4. Volatility Bands, Channels, and Macro Trendlines define expansion, compression, and directional boundaries.
5. CRT Range-Theory Logic structures price into ranges, equilibrium zones, and breakout/reaction phases.
6. Session and Dashboard Modules summarize all internal states into a clear, contextual bias.
Because each module depends on the same underlying trend, volatility, and liquidity state, outputs confirm one another instead of contradicting.
What Problem It Solves
Traders commonly struggle with:
• Noisy trend indicators
• Liquidity tools without volatility context
• Order blocks drawn without structural validation
• Range tools disconnected from trend and volume
• Chart clutter from overlapping indicators
Ghost Cipher solves these issues by providing:
• Noise-reduced trend assessment
• Liquidity and imbalance zones grounded in structure
• Volatility-aware demand and supply areas
• Clear range and equilibrium identification
• A clean, unified visual environment
The result is a clear market-flow context from micro swings to macro transitions, without indicator conflict.
Why It Is Worth Paying For
Ghost Cipher justifies paid access because it replaces multiple manual and automated tools with a single, closed-source system built on original integration logic.
It replaces:
• Multiple moving-average systems
• Standalone liquidity and order-block tools
• Separate volatility band and channel indicators
• Manual range and equilibrium analysis
• Session-based bias tools
• Market-flow dashboards
The value is not in individual elements like MAs, volatility bands, or order blocks, but in how they are dynamically synchronized into one decision-driven framework.
This level of cohesion, clarity, and workflow efficiency cannot be achieved by combining public indicators, which is why Ghost Cipher is offered as a closed-source, paid script.
Why This Script Is Original and Useful
* Ghost Cipher is not a simple mashup: each module is developed with proprietary logic and integrates dynamically with others.
* Classic elements like moving averages, volatility bands, and order blocks are adapted and enhanced, not copied from public scripts.
* Closed-source design ensures that traders see what the script does (trend, liquidity, range signals) without exposing full underlying code.
* All visual and analytical outputs are designed to add tangible value over existing indicators, reducing manual analysis and improving clarity.
Key Features & Components
1. Candles & Visualization
* Custom Heikin-Ashi–style candle coloring for a clean chart.
* Multi-timeframe overlays to highlight higher-timeframe influence.
2. Smoothed Trend Processing
* Proprietary smoothing for noise-reduced trend detection.
* Zero-Lag Multi-Ribbon: layered momentum ribbon with gradient shading for lag-free directional assessment.
3. Liquidity & Institutional Mapping
* Real-time liquidity depth visualization.
* Detection of pockets, imbalance zones, and resting liquidity clusters.
* Smart Bullish & Bearish Order Blocks with mitigation-focused logic.
4. Dynamic Demand & Supply Engine
* Auto-detection of institutional demand/supply zones.
* Adaptive boundaries respond to volatility, displacement, and liquidity conditions.
5. Volatility & Channel Tools
* Adaptive Bollinger-style volatility bands.
* Macro trendlines, break structures, and volumetric channel mapping.
6. Intelligent Market Flow Tools
* Dynamic Magic Line: adapts to real-time volatility, range compression, and volume shifts.
* CRT Candle Range Theory: detects ranges, equilibrium zones, and breakout/reaction signals.
7. Market Sessions
* Highlights bull/bear sessions for directional bias and structural insight.
Dashboard Metrics
* Volume Delta Dashboard: aggregated BTC delta across major exchanges; multi-asset pairing for comparison.
* Market Overview Panel: current bias, trend regime, and structured analyst notes.
Chart Clarity & Design Standards
* Only essential real-time labels displayed; historical labels hidden.
* Organized visuals with consistent colors, line types, and modular design for quick interpretation.
How to Use / What Traders Gain
* Reduces manual charting and repetitive analysis.
* Speeds workflow using rule-based, automated visualization.
* Cuts through market noise for consistent, structured insights.
* Supports multi-timeframe and multi-market analysis.
Inputs & Settings
* Default settings pre-configured
* Simple Show/Hide toggles for modules
* Minimal exposed fields for ease of use
Recommended Timeframes & Markets
* Works best on 15M, 1H, 4H, Daily, and higher
* Suitable across forex, crypto, indices, and liquid equities
* Pivot-based modules may show noise on illiquid assets
Performance & Limitations
* May draw many objects → disable unused modules for speed
* Refresh the chart if historical buffer issues occur
* TradingView platform limitations handled internally
License & Legal
* Proprietary © 2025
* Redistribution, resale, or disclosure prohibited
* Independently developed with proprietary extensions
* Any resemblance to other tools may result from public-domain concepts
Respect & Transparency
* Built on widely recognized public trading concepts.
* Developed with respect for the TradingView community.
* Any overlaps or similarities can be addressed constructively.
Disclaimer
* Educational purposes only
* Not financial advice
* Trading carries risk — always use paper testing and proper risk management
FAQs
* Source code is not public
* Works best on 15m, 1H, 4H, Daily, Weekly charts
* Modules can be hidden/shown with toggles
* Alerts can be set up manually by users
* Supports multiple markets: forex, crypto, indices, and equities
About Ghost Trading Suite
Author: BIT2BILLIONS
Project: Ghost Trading Suite © 2025
Indicators: Ghost Matrix, Ghost Protocol, Ghost Cipher, Ghost Shadow
Strategies: Ghost Robo, Ghost Robo Plus
Pine Version: V6
The Ghost Trading Suite is designed to simplify and automate many aspects of chart analysis. It helps traders identify market structure, divergences, support and resistance levels, and momentum efficiently, reducing manual charting time.
The suite includes several integrated tools — such as Ghost Matrix, Ghost Protocol, Ghost Cipher, Ghost Shadow, Ghost Robo, and Ghost Robo Plus — each combining analytical modules for enhanced clarity in trend direction, volatility, pivot detection, and momentum tracking.
Together, these tools form a cohesive framework that assists in visualizing market behavior, measuring momentum, detecting pivots, and analyzing price structure effectively.
This project focuses on providing adaptable and professional-grade tools that turn complex market data into clear, actionable insights for technical analysis.
Crafted with 💖 by BIT2BILLIONS for Traders. That's All Folks!
Changelog
v1.0 Core Release
* Custom Heikin-Ashi Candles: Clean, visually intuitive candle designs for effortless chart reading.
* Smoothed Moving Averages: Advanced smoothing algorithms for precise trend tracking and confirmation.
* Liquidity Depth Visualization: Real-time insight into liquidity levels, depth pockets, and imbalance zones.
* Dynamic Demand & Supply Mapping: Automatic detection of institutional demand and supply zones with adaptive boundaries.
* High-Timeframe Candle Zones (HTF): Dual HTF candle overlays for macro-level trend context and control over candle count.
* Trend Lines & Channels: Macro and aggressive volumetric trendlines for structured market flow analysis.
* Zero-Lag Moving Average Ribbon: Layered ribbon with shaded gradients for smoother, lag-free momentum visualization.
* Volatility Bands: Adaptive Bollinger-style bands for dynamic range analysis.
* Dynamic Magic Line: Self-adjusting line responding to real-time volatility and volume shifts.
* CRT Candle Range Theory: Automatic detection and visualization of CRT candle ranges and range-based signals.
* Bull & Bear Sessions: Highlights key market sessions to identify directional bias and volatility shifts.
* Order Blocks: Smart detection of bullish and bearish institutional order blocks.
* Dashboard Module:
* Volume Delta Dashboard: Aggregated delta volume from all major exchanges for BTC, with the ability to pair up to 4 additional assets.
* Market Overview Panel: Displays current bias, trend insights, and actionable analyst notes.
VWAP Gravity Oscillator (VGO) (Intraday Only)VWAP Gravity Oscillator (VGO)
The VWAP Gravity Oscillator (VGO) is an intraday analytical indicator designed to quantify price displacement from VWAP and the rate of change of that displacement.
The indicator models VWAP as a statistical equilibrium level and evaluates:
Price deviation from VWAP (Delta)
Momentum and acceleration of that deviation via MACD
This framework enables assessment of trend persistence versus mean-reversion pressure in intraday price action.
Methodology
VWAP Delta
Measures the signed distance between price and VWAP, representing directional bias relative to equilibrium.
MACD on Delta
Captures the first- and second-order dynamics of VWAP deviation, highlighting acceleration, deceleration, and potential inflection points.
Zero Line
Represents price–VWAP equilibrium. Crossings may indicate regime transitions.
Interpretation Guidelines
Positive Delta
Price is trading above VWAP with positive directional bias.
Negative Delta
Price is trading below VWAP with negative directional bias.
Increasing MACD
Expansion of VWAP deviation (trend reinforcement).
Decreasing or reversing MACD
Contraction of VWAP deviation (mean-reversion risk).
Intended Applications
Intraday trend validation
Early detection of trend exhaustion
Mean-reversion risk assessment
Filtering low-conviction or balanced market conditions
Implementation Notes
Designed exclusively for intraday timeframes
Automatically suppressed on higher-timeframe charts
Intended as a contextual analysis tool, not a standalone signal generator
Conceptual Summary
VGO evaluates whether price is diverging from, stabilizing around, or reverting toward VWAP by analyzing both displacement and its rate of change.
HOHO Oscillator Squeeze With AGAIG TurnsHOHO OSCILLATOR SQUEEZE WITH AGAIG TURN DETECTION
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OVERVIEW
This powerful indicator combines three proven trading concepts into one visually stunning, highly accurate momentum and trend analysis tool:
• HOHO (Hump Oscillator) - Multi-timeframe momentum oscillator
• Squeeze Indicator - Bollinger Bands/Keltner Channel volatility compression detector
• AGAIG (As Good As It Gets) Turn Detection - Intelligent price reversal identification
The result is a comprehensive trading system that identifies high-probability entry and exit points with exceptional visual clarity.
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KEY FEATURES
HOHO OSCILLATOR
The foundation of this indicator is the Hump Oscillator, which creates distinctive wave patterns ("humps") above and below the zero line. These colorful columns provide instant visual feedback on momentum direction and strength:
• Fast oscillator (thin columns) - Responsive to immediate price action
• Slow oscillator (wide columns) - Confirms underlying trend momentum
• Color-coded bars shift from bright (strong momentum) to dark (weakening momentum)
• Fully customizable MA types (EMA/SMA) and lengths
SQUEEZE DETECTION
Integrated Bollinger Band and Keltner Channel analysis identifies volatility compression:
• Yellow zero-line dots signal active squeeze conditions
• Optional yellow background highlights compression zones
• Anticipates explosive breakout moves
• Adjustable BB and KC parameters for different markets and timeframes
AGAIG TURN DETECTION
Intelligent price reversal identification based on the "As Good As It Gets" methodology:
• Automatically identifies significant market turning points
• Adjustable sensitivity via "Turn Detection Length" (lower = more signals, higher = fewer signals)
• Strength filter ensures only quality setups are marked (1-10 scale)
• Eliminates noise and false signals common in traditional pivot indicators
VISUAL SIGNALS
• BUY arrows (green triangles) mark bullish reversal opportunities
• SELL arrows (red triangles) mark bearish reversal opportunities
• Text labels positioned for optimal readability
• All arrows appear at actual turning points with configurable lookback offset
FLEXIBLE CUSTOMIZATION
• Choose between EMA or SMA for all moving average calculations
• Adjustable oscillator lengths for different trading styles
• Configurable turn detection sensitivity
• Optional bar coloring based on Fast or Slow momentum
• Clean, professional visual design
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HOW TO USE
ENTRY SIGNALS
Look for BUY/SELL arrows combined with:
1. Squeeze conditions (yellow markers) for highest-probability setups
2. Oscillator color confirmation (green for longs, red for shorts)
3. Turn strength that meets your minimum requirements
TREND CONFIRMATION
• Strong green humps = bullish momentum building
• Strong red humps = bearish momentum building
• Oscillator crossing zero = momentum shift
• Color transitions = momentum strengthening or weakening
VOLATILITY ANALYSIS
• Yellow zero-line dots = consolidation/squeeze active
• Expansion after squeeze = high-probability breakout opportunity
• Combine with turn arrows for precise entry timing
PARAMETER TUNING
For scalping/day trading (5m-15m charts):
• Turn Detection Length: 3-5
• Turn Strength: 2-4
For swing trading (1H-4H charts):
• Turn Detection Length: 5-8
• Turn Strength: 3-5
For position trading (Daily charts):
• Turn Detection Length: 8-15
• Turn Strength: 5-7
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CREDITS & ATTRIBUTION
This indicator builds upon the excellent work of:
• HOHO (Hump Oscillator) - Original concept from ThinkorSwim community
• Squeeze Indicator - Based on TTM Squeeze by John Carter
• AGAIG (As Good As It Gets) - Turn detection methodology by NPR21
Converted and enhanced for TradingView with permission from the trading community.
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BEST PRACTICES
✓ Use on liquid markets (major indices, forex pairs, crypto)
✓ Combine with support/resistance levels for confluence
✓ Wait for oscillator color confirmation before entry
✓ Higher turn strength settings = fewer but higher-quality signals
✓ Squeeze breakouts offer exceptional risk/reward opportunities
✓ Practice proper risk management and position sizing
✗ Don't trade every arrow - wait for confluence
✗ Don't ignore the oscillator colors - they show momentum health
✗ Don't use overly sensitive settings in choppy markets
✗ Don't trade counter to the oscillator trend without strong confirmation
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WHAT MAKES THIS INDICATOR UNIQUE
Unlike standalone momentum oscillators or simple pivot indicators, this tool synthesizes three proven methodologies into a single, coherent visual system. The combination of momentum analysis (HOHO), volatility detection (Squeeze), and intelligent turn identification (AGAIG) provides traders with a comprehensive view of market conditions and high-probability trading opportunities.
The indicator's visual design uses color psychology and positioning to make complex market analysis instantly understandable at a glance - critical for fast-moving markets and quick decision-making.
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SUITABLE FOR
• Day traders on 5m-30m timeframes
• Swing traders on 1H-Daily timeframes
• Scalpers seeking momentum confirmation
• Options traders identifying reversal points
• Futures traders (especially /ES, /NQ, /YM)
• Forex traders on major pairs
• Cryptocurrency traders
Asset Volatility Heatmap [SeerQuant]Asset Volatility Heatmap (AVH)
AVH is a cross-sectional volatility dashboard that ranks up to 30 assets and visualizes regime shifts as a time-series heatmap.
It computes annualized historical volatility (%) on a fixed 1D basis, then maps each asset’s volatility into a configurable color spectrum for fast, intuitive scanning of risk conditions across cryptocurrencies.
⚙️ How It Works
1. Daily, Annualized Historical Volatility
Each asset is measured on a fixed 1D timeframe (independent of your chart timeframe). Volatility is annualized and expressed in percentage terms. The user can choose between 1 of 4 volatility estimators: Close-Close (log returns stdev), Parkinson (H/L), Garman-Klass or Rogers-Satchell.
2. Heatmap
A heatmap is plotted on the lower window (sorting is turned on by default). Each row represents a rank position. (Rank #1 highest vol ... Rank #30 lowest vol). This means that tokens will move between rows over time as their volatility changes. The asset labels show the current token sitting in each rank bucket. This setting can be turned off for more of a "random" look.
3. Color Scaling
The user can select how the color range is normalized for visualization.
n = (v - scaleMin) / (scaleMax - scaleMin)
Cross-Section: Scales colors using the current bar’s cross-sectional min/max across the asset list.
Rolling: Scales colors using a lookback window of cross-sectional ranges, so today’s values are judged relative to recent volatility history.
Fixed: Uses your chosen Fixed Scale Min / Max for consistent benchmarking across time.
4. Contrast Control
The Color Contrast control option changes how aggressively the palette emphasizes extremes (useful for making “risk spikes” pop vs keeping gradients smooth).
5. Summary Table + Composite Read
The table highlights the highest vol / lowest vol token, along with average / median volatility, and a simple regime read (low / medium / high cross-sectional volatility).
✨ How to Use (Practical Reads)
Spot risk-on / risk-off transitions: When the heatmap “heats up” broadly (more hot colors across ranks), cross-sectional volatility is expanding (higher dispersion / risk).
Identify which names are driving the narrative: With sorting ON, the top ranks show which assets are currently the volatility leaders — often where attention, liquidity, and positioning stress is concentrated.
Use it as a regime overlay: Low/steady colors across most ranks tends to align with calmer conditions; sharp bright bursts signal volatility events.
✨ Customizable Settings
1. Assets
30 symbol inputs (defaults to crypto, but works across markets)
2. Calculation Settings
Length (lookback)
Volatility Estimator (Close-Close / Parkinson / GK / RS)
3. Style Settings
Color Scheme (SeerQuant / Viridis / Plasma / Magma / Turbo / Red-Blue)
Color Scaling (Cross-Section / Rolling / Fixed)
Scaling Lookback (for Rolling)
Fixed Scale Min / Max (for Fixed)
Color Contrast (emphasize extremes vs smooth gradients)
Sort Heatmap (High → Low)
Gradient Legend toggle
Focus Mode (highlights the chart symbol if included)
Ticker Label Right Padding
🚀 Features & Benefits
Cross-sectional volatility at a glance (dispersion/risk conditions)
Sortable rank heatmap for tracking “who’s hot” in volatility
Multiple estimators for different volatility philosophies
Flexible normalization (current cross-section, rolling context, or fixed benchmarks)
Clean legend + summary stats for quick context
📌 Notes
Sorting changes which token appears in each row over time (rows are rank buckets).
Volatility is computed on 1D even if your chart is lower/higher timeframe.
📜 Disclaimer
This indicator is for educational purposes only and does not constitute financial advice. Past performance does not guarantee future results. Always consult a licensed financial advisor before making trading decisions. Use at your own risk.





















