Simple Candle StrategyIf you want to receive the same indicators, then write in telegram @RussianObzhina
If you want to receive the same indicators, then write in telegram @RussianObzhina
If you want to receive the same indicators, then write in telegram @RussianObzhina
, The basic concept
The strategy is based on the "Outside Bar" pattern with a breakout. This is a classic pattern that is used in price action trading.
, The logic of the work
TWO TYPES OF SIGNALS:
1. BUY signal (Long) - signalValue = 2
Conditions:
The current candle is red (open > close)
High > High of the previous candle
Low < Low of the previous candle
Close < Low of the previous candle (closing below the minimum of the previous candle)
What does this mean?:
Bearish break down
An upward reversal is expected
Entry: purchase at the opening of the next candle
2. Sell signal (Short) - signalValue = 1
Conditions:
The current candle is green (open < close)
Low < Low of the previous candle
High > High of the previous candle
Close > High of the previous candle (closing above the high of the previous candle)
What does this mean?:
Bullish Upside breakout
A downward reversal is expected
Entry: sell at the opening of the next candle
, Risk management
Stop loss:
Calculated in pips (slPips parameter)
Default: 250 pips
Formula:
For Long: Entry Price - (slPips × pipValue)
For Short: Entry Price + (slPips × pipValue)
Take-profit:
Missing from the code (which is interesting!)
Positions are closed according to two scenarios:
Automatic profit closing: the position is closed if the current price is better than the entry price
Stop loss
, Statistics from Python code
It can be seen from your Python notebook that the strategy was tested on EURUSD and GBPUSD (daily data from 2017 to 2024):
Total transactions: 431
Win rate: 87.53% (very high!)
Maximum drawdown: -11.23%
Average transaction: +0.06%
Best Deal: +1.79%
Worst deal: -2.60%
The strengths of the strategy
A high win rate (87.5%) is a statistically significant result.
Simple logic - easy to understand and modify
Clear entry rules - minimum subjectivity
Risk management through stop loss
Automatic closing of profitable positions
⚠️ Problems and risks
There is no take profit - positions are held until a stop loss or reverse signal is triggered.
Small average profit (+0.06%) - commissions can eat up profits
Volatility Dependence - The Outside Bar pattern works better in trends
False breakouts - there may be frequent losing trades on the side
Optimization for historical data - curve fitting is possible
If you want to receive the same indicators, then write in telegram @RussianObzhina
Narzędzia Pine
DCA + Martingale strategy.DCA + Martingale: smart synergy for volatile markets
Tame market swings with a powerful hybrid strategy that marries the discipline of Dollar‑Cost Averaging (DCA) with the aggressive recovery logic of the Martingale system. This approach turns price dips into opportunities — systematically building positions while keeping risk in check.
How it works:
1. Entry trigger
The strategy activates when the asset price drops by a predefined percentage on the 1‑hour timeframe. This ensures you only engage when a meaningful pullback occurs, avoiding premature entries.
2. DCA grid for controlled averaging
Once the entry condition is met, a grid of buy orders is deployed:
Each subsequent order is placed at progressively lower price levels (e.g., every 2–5% drop).
Order sizes can be fixed or follow a progressive scale (e.g., 1x, 1.5x, 2x the initial amount).
This dilutes your average entry price, improving the breakeven point as the market corrects.
3. Martingale‑style recovery mechanism
After each unsuccessful trade (i.e., price continues falling), the next position size is increased — not necessarily doubled, but scaled according to your risk tolerance. This accelerates recovery potential when the trend reverses.
4. Take‑profit with a fixed percentage target
A simple, predefined profit target (e.g., +3–7%) is set for the entire averaged position. Once hit, all open trades close, locking in gains. This prevents over‑exposure during uncertain reversals.
Key advantages
Psychological edge: removes emotional decision‑making by automating entries and exits.
Cost optimization: lowers average entry during downtrends, improving profit potential.
Controlled aggression: Martingale logic helps recoup losses faster without infinite scaling.
Flexibility: parameters (entry %, grid spacing, position sizing, TP) are fully customizable.
Risk management essentials
Stop‑loss safeguard: a hard stop‑loss (e.g., 10–15% below the lowest grid level) prevents catastrophic drawdowns in prolonged downtrends.
Position sizing: never risk more than 1–3% of capital per grid cycle.
Market context: best suited for assets with mean‑reverting behavior and moderate volatility. Avoid strong, sustained trends.
Capital buffer: ensure sufficient reserves to withstand multiple grid levels without margin calls.
When to use it
During sideways or range‑bound markets with regular pullbacks.
On assets with historical tendency to recover from short‑term dips.
When you expect a bounce but can’t pinpoint the exact bottom.
Bottom line
DCA + Martingale isn’t a «set‑and‑forget» miracle — it’s a disciplined framework for turning volatility into opportunity. Combine it with rigorous risk rules, and you’ll navigate downtrends with precision, turning market noise into structured profit potential.
CTAY Hive Worker 3.3 ProfessionalCTAY Hive Worker 3.3 Professional
Intelligent DCA Strategy for Structured, Rule-Based Trading
The CTAY Hive Worker 3.3 Professional is an advanced TradingView strategy designed for systematic, transparent, and fully deterministic trading.
It combines RSI-based logic, multi-timeframe analysis, and sophisticated DCA and budget management to deliver controlled and reproducible trading behavior.
This strategy is built for traders who value clarity, consistency, and risk awareness over black-box automation — both in backtesting and live operation.
Key Features:
Intelligent RSI-Based Entries
• Configurable RSI entry logic
• Optional Median-RSI filtering to reduce market noise
• Supports both rebound-based and trend-continuation setups
Multi-Timeframe Architecture (MTF)
• Independent timeframes for entries, filters, and trend evaluation
• Automatic validation to prevent indicators from running below chart timeframe
• Full synchronization between chart, strategy logic, and alerts
Advanced DCA Management
• Multi-level safety orders with linear or geometric spacing
• Clear separation of base investment, DCA budget, and reinvest budgets
• Dynamic safeguards to prevent over-allocation
Reinvest & Capital Flow Logic
• Optional reinvestment of profits
• Separate handling of bot capital, order reinvestment, and savings
• Full transparency of all internal capital movements
Exit & Take-Profit Logic
• Fixed Take-Profit
• Optional Trailing Take-Profit
• Cycle-based exit logic for clean and traceable trade closures
Trend & Market Filters
• Optional trend filters (e.g. SuperTrend)
• Independent logic for uptrend and downtrend phases
• Helps avoid trades against dominant market conditions
Deterministic Strategy Design
• 100% reproducible behavior across backtests, replay mode, and live trading
• No asynchronous side effects
• Ideal for systematic analysis and optimization
Extensive Visualization & Debug Information
• Investment, profit, and status plots
• Detailed tables for trades, cycles, and statistics
• All relevant internal states visible directly on the chart
Alert & Automation Ready
• Designed for TradingView alert integration
• Compatible with external automation platforms (e.g. API-based broker execution)
⸻
Who Is CTAY Hive Worker For?
• Advanced traders focused on structured DCA strategies
• Users who require reliable backtests and deterministic live behavior
• Educational and seminar environments where transparency matters more than black-box automation
⸻
Important Notice – Limited Demo Version
This script is a limited demo version of CTAY Hive Worker 3.3 Professional.
Certain features and configuration options are restricted and provided for demonstration and evaluation purposes only.
This strategy is intended solely for educational, analytical, and demonstration use and does not constitute financial, investment, or tax advice.
⸻
More Information
For further information about CTAY Hive Worker licenses, training content, and background materials, please contact:
• Email: demo@ctay.io
• YouTube: CTAY – Crypto Trading Academy
www.youtube.com
Example Indicator: 3 Sessions Indicator [Nexo Mechanics]This indicator is a demo script inspired by the Forex 3-Session System. It visualises three major market sessions (Tokyo, London, New York) on-chart and shows a simple world clock.
What it demonstrates
How to detect sessions in different time zones and draw session boxes that update with the session high/low.
Optional Tokyo split into AM and PM blocks.
A compact World Clock table (London, New York, Tokyo) with local time and OPEN/CLOSED status.
Basic session open alerts (London, New York, Tokyo, Tokyo PM).
Notes
Sessions are intentionally limited to up to 60m charts for clarity/performance.
Some timeframes can show slightly misaligned boundaries if they don’t divide evenly into an hour.
Published for demo purposes. Not a robust or tested trading system.
Not financial advice.
Money Management PanelDescription
Funds Management Panel (Turtle Trading Specialized)
This script is a specialized money management dashboard designed to help traders calculate their "Practical Operating Funds" for precise position sizing. It is particularly useful for traders who use collateral (stocks/bonds) alongside cash and want to maintain a conservative safety margin.
Key Features:
Collateral Stress Testing: Automatically applies a discount (Stress %) to your collateral assets to account for potential market crashes.
Real-time Funds Calculation: Dynamically calculates your total practical funds by combining discounted collateral and available cash.
Risk Amount (1R) Display: Shows the exact currency amount you are allowed to risk per trade based on your specified risk tolerance percentage.
Safety Margin Tracking: Visually displays the "Hidden Assets" (the amount discounted from your collateral) for a clear view of your safety buffer.
Customizable UI: Adjust the panel's position and size to fit your chart layout.
How to Use:
Input your current Collateral Value and Available Cash in the settings.
Set your Stress Test % (e.g., 20%) to safely discount your collateral.
Define your Risk Tolerance % (e.g., 2.0%).
Use the calculated "★Funds" value as the capital base for your position sizing (Turtle method, etc.).
Calculated Values:
Funds: Stressed Collateral+ Cash
Risk Amount (1R): Funds*Risk Tolerance %
Safety Margin: Original Collateral- Stressed Collateral
NQ 5x Daily SessionsThis indicator automatically plots horizontal lines for the Daily Open as well as four of the most significant trading milestones of the day (CET/Berlin time). It helps you instantly identify psychological price levels and institutional opening marks directly on your chart.
Features:
Key Time Stamps: Automatic lines for the daily opening price and specific session opens at 08:00 (Frankfurt/Pre-Market), 10:00, 14:00, and 15:30 (NYSE Open).
Fully Customizable:
Control line thickness, label visibility, and the extension of current intraday lines via the settings menu.
Trading Application:
These levels often act as significant Support & Resistance during intraday trading. The 08:00 and 15:30 marks, in particular, frequently represent turning points or the start of strong trends, as trading volume spikes significantly during these windows.
EMA 13/89 Scalping Strategy# 🎯 EMA 13/89 Scalping Strategy
## What It Does
Simple yet powerful scalping strategy based on EMA 13 and EMA 89 crossovers. Get clear entry signals with automated risk management and live performance tracking.
BEST SETTING FOR BTCUSDT.P 4H TP %2 SL%2
## ✨ Key Features
**Smart Signals**
- 📊 EMA 13 × 89 crossover system
- ✅ Non-repaint - signals confirmed on bar close
- 🔔 Built-in alerts for LONG/SHORT entries
- 🎯 Visual triangle markers for easy identification
**Risk Management**
- 💚 Customizable Take Profit (default 2%)
- 🛑 Customizable Stop Loss (default 1%)
- 🎲 TP/SL calculated from entry price, not current price
- 🔒 One position at a time - no pyramiding
**Live Dashboard**
Real-time stats on your chart:
- Total trades executed
- TP vs SL hit count
- Win rate percentage
- Net profit/loss
- Current position status
## ⚙️ Settings
**Adjustable Parameters:**
- EMA Short: 13 (default)
- EMA Long: 89 (default)
- Take Profit %: 2.0 (recommended 1.5-3.0%)
- Stop Loss %: 1.0 (recommended 0.5-1.5%)
## 📈 Best Use Cases
**Recommended Timeframes:**
- Crypto: 1m, 5m, 15m
- Forex: 5m, 15m, 30m
- Stocks: 15m, 1h
**Best Markets:**
- ✅ Cryptocurrency (BTC, ETH, altcoins)
- ✅ Major Forex pairs (EUR/USD, GBP/USD)
- ✅ Liquid stocks with volatility
- ⚠️ Avoid ranging/low-volume markets
## 🎮 How to Use
1. **Add to chart** - Works on any timeframe
2. **Adjust TP/SL** - Set your risk tolerance
3. **Set alerts** - Get notified on new signals
4. **Backtest first** - Test before live trading
## 💡 Pro Tips
- Keep TP:SL ratio at 2:1 minimum
- Backtest at least 3-6 months of data
- Works best in trending markets
- Consider adding volume confirmation
- Start with paper trading
## 🎯 Strategy Logic
**LONG Entry:** EMA 13 crosses above EMA 89
**SHORT Entry:** EMA 13 crosses below EMA 89
**Exit:** Automatic at TP or SL levels
## ⚠️ Risk Warning
- For educational purposes only
- Always use proper risk management
- Test before live trading
- Past results ≠ future performance
## 📊 Technical Specs
- Pine Script v5
- Non-repaint guaranteed
- Long & Short positions
- Bar close calculation
- Alert compatible
---
**Found this useful?**
👍 Like | 💬 Comment | 🔔 Follow for more strategies
**Happy Trading! 📈**
*Risk only what you can afford to lose.*
```
---
## 📋 Quick Setup
### Tags:
```
EMA, Scalping, Strategy, Dashboard, Crypto, Forex, Automated, NonRepaint
SHFE vs COMEX Silver USD Spread (FX Adjusted)This indicator converts Shanghai Futures Exchange silver pricing (CNY per kilogram) into U.S. dollars per troy ounce using the live USD/CNY exchange rate. It compares the FX-adjusted Shanghai price with COMEX silver futures pricing and displays:
• Shanghai silver (converted to USD/oz)
• COMEX silver (USD/oz)
• The spread between the two markets (Shanghai − COMEX)
The tool helps visualize cross-market pricing differences and how currency movements influence silver valuation between Chinese and U.S. futures markets.
This is an analytical comparison tool and does not provide trading signals.
Notes:
• Requires access to SHFE and COMEX futures data on TradingView
• Uses USDCNY from the current chart (or selected FX symbol)
• Spread values are calculated mechanically from price and FX conversion
Volume Divergence Detector - COT EnhancedVolume Divergence Detector – COT Enhanced
This advanced indicator analyzes institutional vs retail money flow to uncover hidden market intent, focusing on Gold and Gold Futures.
Instead of relying on simple volume spikes, the script separates smart money (institutions, commercial hedgers, large speculators) from retail traders using a blend of:
Volume-based accumulation/distribution
Price momentum
RSI behavior
MACD divergence
Institutional-sized volume detection
Optional real CFTC Commitment of Traders (COT) data
The result is a dynamic money-flow model designed to expose who is truly controlling the market.
🔹 Institutional Flow Engine
Large-volume activity is tracked and converted into a smoothed institutional money line. Heavy volume is weighted more aggressively to highlight professional accumulation and distribution. When volume fades, flow naturally decays to avoid stale signals.
If enabled, weekly CFTC COT data is blended into the calculation (70% internal model, 30% real positioning), providing genuine futures-market confirmation for Gold.
Positive values indicate institutional buying.
Negative values indicate institutional selling.
🔹 Retail Flow Engine
Retail behavior is modeled using:
RSI momentum (retail follows trends)
MACD breakout behavior
Smaller volume spikes
Retail flow reacts faster and decays quicker, reflecting emotional trading and late entries. Extreme retail positioning often signals potential reversals.
🔹 Core Signals
The indicator automatically detects:
Institutional Takeover
When institutional flow crosses above retail.
Retail Takeover
When retail flow crosses above institutions (often a warning sign).
Bullish Setup
Institutions buying + retail selling.
Bearish Setup
Institutions selling + retail buying.
Extreme Divergence
Institutional and retail flows at opposite extremes. These zones often precede major reversals or powerful trend continuations.
Clear BUY / SELL labels appear directly on the chart, positioned dynamically using ATR to avoid candle overlap.
🔹 Visual Feedback
Background shading shows which side currently dominates
Extreme divergence adds special highlighting
Real-time labels display institutional and retail values
A built-in information table summarizes:
Institutional flow
Retail flow
Dominant side
Flow spread
Current signal
COT status
Everything updates live on the last bar.
🔹 Alerts Included
Custom alerts are provided for:
Institutional control
Retail control
Bullish setups
Bearish setups
Extreme divergence
Perfect for automation or hands-off monitoring.
⚠️ Important Notes
COT data works only on Gold Futures symbols.
Spot Gold uses volume-based estimation only.
Designed for directional bias and timing, not blind entries. Always confirm with structure and price action.
Created by xqweasdzxcv
A professional-grade money flow system built to follow smart capital instead of emotional traders.
4H Range + Quadrants (TTT)This indicator marks out the current and previous 4H candle + quadrants of the previous 4H candle.
Price Above VWAP FilterPrice above VWAP
this shows either a zero or one if the price is above or below the vwap
MK 1 MIN EMA 9 / EMA 21 CrossoverEMA 9 / EMA 21 Crossover Strategy (1-Minute Scalping)
This strategy is a clean, fast, and reliable EMA crossover system designed specifically for 1-minute intraday scalping.
It uses only EMA 9 and EMA 21, keeping the chart uncluttered while delivering clear BUY and SELL signals based on momentum shifts.
🔹 How It Works
BUY Signal:
When EMA 9 crosses above EMA 21, indicating bullish momentum.
SELL Signal:
When EMA 9 crosses below EMA 21, indicating bearish momentum.
Signals are confirmed visually using:
On-chart BUY / SELL text labels
Dynamic EMA color highlighting
Smart legend (top-right) that remembers the last active signal
🎨 Visual Features
EMA 9 plotted in green (turns bright on bullish trend)
EMA 21 plotted in red
BUY and SELL labels displayed directly on crossover candles
Dynamic legend:
BUY row stays green after bullish cross
SELL row stays red after bearish cross
Makes trend direction instantly clear, even on fast charts
⏱ Best Use
Timeframe: 1-minute
Suitable for:
Index scalping
Options scalping
High-liquidity stocks & ETFs
Works best during high-volume market hours
Straddle Premium TrackerStraddle Premium Trackefr is used to combine CALL and PUT of premiums of same strike price
ARX Killzone Session Flags (UK)This script provides minimal session time flags for London and New York, designed to offer time-based context only.
It marks the start and end of predefined session windows using small, non-intrusive labels directly on the chart.
The script automatically adjusts for UK daylight saving time (GMT / BST) using the Europe/London timezone, requiring no manual changes throughout the year.
This tool does not generate trade signals, does not analyse price, and does not provide execution guidance.
Educational and contextual use only.
Not financial advice.
Universe_PRMP (Universe_Professional Risk Management Panel)Description
Universe_PRMP (Universe_Professional Risk Management Panel)
This comprehensive tool is designed to bring institutional-grade risk discipline to retail traders. Managing risk is the most critical part of trading, especially in high-leverage environments. This script automates the complex calculations of position sizing and profit/loss projection.
How to Use:
Initial Setup: When you add the script to your chart, it will prompt you to select two price levels. The first click sets your Stop Loss (SL) and the second sets your Take Profit (TP).
Account Configuration: Open the script settings (the gear icon) to input your Account Balance and the Percentage of Risk you are willing to take per trade (standard is 1% or 2%).
Market Conditions: Enter your broker's current Spread in pips to ensure the lot size calculation accounts for the cost of entry.
Active Monitoring:
Suggested Lot: The dashboard will immediately show the exact lot size you should enter in your trading platform.
Real-Time Projection: As price moves, the dashboard tracks whether your trade is active, hit the target, or stopped out.
Visual Labels: Red (SL) and Green (TP) labels on the chart provide clear visual cues for your exit points.
Key Features:
Dynamic Position Sizing: Automatically adjusts lot size based on the distance between entry and SL.
Spread Integration: Protects your capital by including transaction costs in the risk calculation.
Ticker Sensitivity: The panel recognizes symbol changes to prevent calculation errors across different pairs.
Visual Status Indicators: Color-coded status alerts to keep you emotionally detached and strategically focused.
DISCLAIMER:
This script is an educational and utility tool designed for risk calculation purposes only. It does not provide trading signals or investment advice. Past performance is not indicative of future results. Use this tool at your own risk.
Weekly Bias - High/Low/Close (Clean No Connections)Gives you the weekly bias candle on your 4 hour closing NY trading hours
Buy Sell V1Buy Sell V1 is a non-repainting trend reversal indicator designed to help traders spot buy and sell opportunities easily. It combines triple EMA trend detection, ATR-based sensitivity, and pivot point reversals to generate clear signals. Optional supply/demand zones, info panel, and alerts make it easy to track market direction and act quickly.
Key Features:
Real-time BUY/SELL reversal signals
Adaptive ATR sensitivity for different market conditions
Triple EMA trend detection for bullish/bearish confirmation
Optional supply/demand zone visualization
Customizable info panel and alert system
Best For: Day trading, scalping, and intraday strategies to quickly spot trend changes and key price levels.
#Crypto #Forex #Stocks #TradingView #DayTrading #Scalping #TechnicalAnalysis #Indicators #BuySellSignals #TrendReversal #EMATrend #ATR #PivotPoints #SupplyDemand #TradingTools #NonRepainting #IntradayTrading #MarketAnalysis #PriceAction #TradingAlerts
Crypto Coin Perpetual 45m MTF Trend StrategyStrategy Description
This strategy is designed to identify probability trend reversals and momentum shifts by utilizing multi-timeframe analysis. The primary objective is to capture sustained trend movements while effectively filtering out market noise and false signals during sideways or choppy price action. By integrating trend-following indicators with volatility and momentum filters, the system aims to maintain a high signal-to-quality ratio.
Signal Guide:
L: Long Entry
S: Short Entry
LC: Long Position Closed
SC: Short Position Closed
Backtest & Feedback:
The strategy is optimized for the 45-minute (45m) timeframe. It is recommended to conduct backtests on high-liquidity assets such as XRPUSDC.P, DOGEUSDC.P, and ETHUSDC.P. For a comprehensive performance evaluation, testing across multiple look-back periods—specifically the last 365 days, 90 days and 30 days — is advised. I am open to any feedback or optimization suggestions from the community.
Note:
Delete shapes for a cleaner look: Settings > Style > Shapes.
Also, adjust the equity, default order size, and commission according to your preference: Settings > Properties.
Disclaimer:
IMPORTANT: THIS IS NOT FINANCIAL ADVICE.
The script and information provided are for educational and informational purposes only. Trading cryptocurrencies, futures, and other financial instruments involves significant risk and can lead to the loss of your invested capital. Past performance is not indicative of future results. The author does not guarantee the accuracy or reliability of the strategy. Always perform your own due diligence and consult with a certified financial advisor before engaging in any trading activity. You acknowledge that you are trading at your own risk.
Buy & Sell Side Liquidity [Bellsz]Detects Buy-Side & Sell-Side Liquidity zones across multiple HTFs with purge tracking and clean visual logic.
Buy & Sell Side Liquidity is a multi-timeframe liquidity mapping engine designed to visualize where Buy-Side & Sell-Side Liquidity accumulates and gets purged.
This script automatically tracks:
Buy-Side Liquidity above Highs
Sell-Side Liquidity below Lows
Higher-Timeframe liquidity structures
Liquidity sweep events (purges)
Clean structural dividers for session context
The logic is optimized for clean execution, low chart noise & precision tracking of institutional liquidity behavior.
Every plotted level represents latent liquidity pressure, areas where price is statistically drawn, swept & repriced by large market participants.
The system dynamically updates levels in real time, removes or fades purged liquidity & preserves only relevant market-sensitive zones, keeping the chart focused on actionable liquidity data.
ARX | Time Window Box AsiaThis script displays a visual time window box on the chart to represent a predefined Asia session time range.
It is a visual and organizational utility only. The script does not analyze price, generate signals, issue alerts, or provide any form of trading guidance.
Its sole purpose is to help users visually identify time periods on a chart.
Educational and organizational use only. Not financial advice.
ARX | Chart Watermark Utility This script adds a simple visual watermark or label to the chart for identification and presentation purposes.
It does not generate signals, alerts, predictions, or trading logic, and does not analyze price data.
The tool is intended purely as a visual utility to help users organize and brand their charts.
Educational and organizational use only. Not financial advice.
Core Of My Desire {xqweasdzxcv}
Creator's Notes
Developer: xqweasdzxcv or x²
Current Version: 2.8.3.4
Telegram: t.me
For access requests:
If anyone wants access to this indicator then DM me
Core Of My Desire - Trading Indicator Documentation
Overview
Core Of My Desire is a comprehensive trading indicator system engineered for advanced technical analysis across all markets and timeframes, with no dependency on a single asset class, trading style, or market condition. Developed by xqweasdzxcv (x²), the indicator is designed as a unified analytical framework rather than a collection of disconnected tools. It combines multiple analytical methodologies into a single, coherent system, allowing traders to evaluate price action through structure, trend, volume, momentum, and contextual market behavior simultaneously.
The system integrates market structure analysis to identify continuation and reversal phases, trend logic to establish directional bias, volume-based sentiment to validate participation, and momentum dynamics to detect acceleration or exhaustion. Supply and demand principles are incorporated to highlight areas of historical imbalance and potential reaction, while adaptive signal generation adjusts responsiveness based on changing market conditions rather than static rules. Sensitivity-based logic allows the indicator to scale between faster, more reactive behavior and slower, confirmation-driven behavior depending on user calibration.
Risk management is not treated as an external concept but is embedded directly into the indicator’s design. Dynamic support and resistance references, projected take-profit structures, re-entry logic, and exhaustion detection are provided to assist with trade planning, position management, and exit decision-making. Signals are designed to function as informational guidance within a broader discretionary process, emphasizing confluence and context over isolated triggers.
Core Of My Desire is intended for disciplined traders who understand that no indicator can predict the market. Its purpose is to organize complex market information into a readable, adaptive framework that supports structured analysis, informed execution, and consistent decision-making across varying market environments.
Core Philosophy
This indicator provides confluence from multiple analytical perspectives:
• Market structure defines context
• Trend determines directional bias
• Volume confirms participation
• Momentum identifies continuation or exhaustion
• Supply and demand highlight reaction zones
• Risk management governs execution
No single component is intended to be used in isolation.
Key Features
Adaptive Signal Generation
• Primary Buy and Sell signals with adjustable sensitivity
• Optional Trend Cloud filter for directional confirmation
• Configurable confirmation latency
• Strength-based labeling for signal quality
Market Structure Analysis
• Swing and Internal structure tracking
• Dynamic and Manual analysis modes
• BOS, CHoCH, and CHoCH+ detection
• Equal Highs and Lows identification
• Structural labeling (HH, HL, LH, LL)
Multi-Timeframe Dashboard
• Volume sentiment across 8 timeframes (1m to Daily)
• Market state detection (Trending or Ranging)
• Volatility awareness
• Active position tracking
• Trading session identification:
• Sydney
• Tokyo
• London
• New York
Supply and Demand Zones
• Preset configurations:
• Standard
• Majors
• Nearest
• Custom
• Automatic validation on price interaction
• Visual feedback based on zone strength
• Progressive fading of invalidated zones
• Automatic cleanup for chart performance
Risk Management System
• Dynamic Support and Resistance bands
• Three Take-Profit levels with configurable ratios
• Peak Profit alerts for position management
• Three-tier Re-Entry signals
• Reversal detection near key price areas
Technical Analysis Suite
• Nine moving average types
• Zero-Lag EMA
• Fibonacci retracement levels
• Fair Value Gaps (FVG)
• Multi-timeframe Support and Resistance
• Trendline breakout detection
• Structure breakout confirmation
• Divergence-based tactical signals
• Momentum fluctuation detection
Visual Customization
• Multiple candle coloring modes
• Adaptive bands with overbought and oversold markers
• Trend Cloud visualization
• Optional background coloring
• Fully customizable color themes
Signal Classification
Primary Entry Signals
• BUY and SELL labels
• Strength tiers:
• Buy
• Strong Buy
• Very Strong Buy
• Optional Trend Cloud confirmation
• Intended for core trade entries
Directional Bias Signals
• Up Trend and Down Trend indicators
• Macro trend context
• Adjustable sensitivity (0.1–20.0)
• Optional Heikin Ashi smoothing
Reversal Signals
• Three intensity levels
• Exhaustion and exit indications
• Counter-trend opportunity identification
Peak Profit Signals
• Extreme condition alerts
• Trade-aware and position-specific
• Designed to protect unrealized gains
• Frequently precede reversals
Re-Entry Signals
• Small arrow markers
• Three progressive entry levels
• Pullback-based continuation entries
• Displayed only during active trades
Structure Breakout Signals
• Triangle markers
• Body-close confirmation logic
• Adjustable lookback period (5–50)
• Used to confirm decisive breaks
Tactical Signals
• Divergence-based arrows
• Contrarian in nature
• Higher risk, higher reward profile
Fluctuation Signals
• Momentum-based arrows
• Volume or Volatility modes
• Rapid shift detection
• Best suited for scalping conditions
Settings Guide
Sensitivity
• Default: 4.5
• Range: 0.1–20.0
Behavior:
• Lower values produce faster signals with increased noise
• Higher values reduce signal frequency but improve confirmation
Adjustment guidelines:
• Excessive false signals → Increase sensitivity
• Missed opportunities → Decrease sensitivity
Trend Cloud Filter
• Multiplier: 4.3
• ATR Length: 27
• Confirmation latency: 2–20 bars (default 5)
Purpose:
• Enforces trend alignment
• Reduces counter-trend signals
• Introduces intentional confirmation delay
Supply and Demand Presets
• Standard: Balanced, suitable for most use cases
• Majors: Key levels only, ideal for higher timeframes
• Nearest: Recent price focus, optimal for scalping
• Custom: Full user-defined control
Risk Management (Take-Profit Structure)
• TP1: Fixed at 1:1
• TP2 Multiplier: 0.5 (default)
• TP3 Multiplier: 1.5 (default)
Common configurations:
• Conservative: 0.5 / 1.0
• Balanced: 1.0 / 2.0
• Aggressive: 1.5 / 3.0
Performance Notes
• High computational complexity
• Optimized for 1m–4H timeframes
• No repainting on closed candles
• Certain signals intentionally wait for confirmation
Final Thoughts
Core Of My Desire is a professional-grade analytical framework that requires understanding and practice. It's not a "magic button" - it's a sophisticated toolset for serious traders.
Your success depends on:
Proper calibration for your specific market
Understanding what each signal represents
Having a solid trading plan
Disciplined risk management
Continuous learning and adaptation
Legal Disclaimer
Educational and informational purposes only. Trading involves substantial risk of loss and is not suitable for every investor. Past performance is not indicative of future results.
You acknowledge:
You trade at your own risk
No profitability guarantees
Never risk more than you can afford to lose
Risk management is your responsibility
This is a tool, not financial advice
MAFS Pro Trading System📌 Indicator Description
This indicator combines Support & Resistance levels, Fibonacci retracement levels, and Fair Value Gap (FVG) structures into a single visual framework to help identify key reaction, reversal, and continuation zones in the market.
🔹 Support & Resistance
Automatically detects significant price levels where the market previously reacted.
These levels can be used as reference points for potential entries, stop-loss, and take-profit areas.
🔹 Fibonacci Levels
Draws key Fibonacci ratios based on the selected price movement.
Useful for identifying retracement zones and trend continuation areas.
🔹 Fair Value Gap (FVG)
Highlights market imbalance areas as visual boxes on the chart.
These zones often act as liquidity targets where price may return to rebalance.
Can be used to anticipate potential reactions or continuations.
⚠️ Usage Notes
This indicator does not generate buy or sell signals and should be used as a decision-support tool.
For best results, it is recommended to use it together with trend analysis, multi-timeframe confirmation, and proper risk management.
Suitable for crypto, forex, indices, and other financial markets.
📉📈 Purpose:
To provide a clear, structured view of where price is likely to react, allowing traders to make more informed and disciplined decisions.






















