Liquidity Grab ScannerMarks last week and last 3 days highs and lows. Can be used for liquidity grabs above or below those levels, I use for it. Claude AI coded it. Wskaźnik Pine Script®od alexrgmusic1Zaktualizowano 17
Custom MACD Strategy with Trailing Stop on 12SMAtest1:Strategy This is a special, somewhat unexpected indicator. AI optimization was applied after the strategy was developed, giving it a certain win rate and practical reference value.Strategia Pine Script®od YYmonster1
Adaptive Elliott Wave: Forecast + Dashboard (V.2)Title: Adaptive Elliott Wave: Forecast + Dashboard Description: Overview The Adaptive Elliott Wave: Forecast + Dashboard is a technical analysis tool designed to visualize potential Elliott Wave structures using a dynamic, multi-factor approach. Unlike static wave scripts, this indicator adapts its projections based on real-time trend context (Weighted Moving Averages) and momentum shifts (RSI). It is built to help traders identify the most likely path—Impulse or Correction—based on current market conditions. How It Works The script uses a combination of pivot-point detection and trend filtering to project future wave paths. Pivot Logic: The indicator identifies significant Highs and Lows using a sensitivity setting. These pivots form the "anchors" for the Elliott Wave count. Adaptive Engine: The "Auto-Detect" mode analyzes the relationship between the 50/200 WMA (Trend) and RSI (Momentum). In a Bull Trend: If RSI is oversold, the script anticipates a bullish "Impulse" wave. If RSI is overbought, it prepares for a "Correction." In a Bear Trend: The logic reverses to project rallies or downward impulses. Projections: It calculates Fibonacci-based targets for waves 1-5 (Impulse) or A-B-C/W-X-Y (Correction) and renders them as "ghost lines" that move with the price. Macro Outlook: For long-term context, the script includes a Macro Projection feature that uses higher-period pivots to show the possible 1-year direction. Key Features Target Table: A real-time dashboard showing exact Fibonacci target prices and the percentage distance from the current price. Corrective Channels: Automatically draws channels for wave corrections to help identify potential breakout or breakdown zones. Bullish/Bearish Extensions: Shows immediate volatility-based extensions beyond the last confirmed pivot. RSI Signals: Visual markers on the chart indicate overbought/oversold conditions that feed into the adaptive logic. How to Use Identify the Phase: Use the "AI STATUS" in the dashboard to see if the script is currently projecting an Impulse (Trend move) or a Correction (Counter-trend). Confirm with WMA: Use the 50 (Blue) and 200 (Orange) WMAs to confirm the macro trend before following a projection. Monitor Fib Targets: Watch for price reactions at the projected labels. If price breaks a target significantly, the wave count may need to be re-evaluated (re-pivot). Customize Sensitivity: For scalping, lower the "Short-Term Sensitivity." For swing trading, increase it. Disclaimer This script is for educational purposes only. Elliott Wave Theory is subjective, and projections are mathematical estimates based on historical volatility. Past performance does not guarantee future results. Always use proper risk management. Settings Guide Forecast Mode: Choose between "Auto-Detect" (Dynamic) or manually force an Impulse/Correction count. Macro Sensitivity: Controls how far back the script looks to generate the purple 1-year projection. Link Correction to Extension: A unique feature that starts the forecast from a potential extension target rather than the current live price.Wskaźnik Pine Script®od TheTankTrades271
TradingPilotAIFor AI TRADING VIP members. Good luck to all! May the charts be in your favor!Wskaźnik Pine Script®od grahamtrading26
Market ContextMarket Context is a context-based trading indicator designed to evaluate entry conditions , not to blindly follow signals. The indicator combines: trend momentum strength of movement volatility volume multi-timeframe context and presents them in a clear and structured decision-making table. What the indicator does analyzes the market across multiple dimensions separates valid trading conditions from noise and chop shows when an entry is justified and when it is better to stay out does not repaint suitable for manual trading and as a foundation for algorithmic logic Core idea Context first — entry second. The indicator does not say “buy” or “sell” without conditions. It shows how prepared the market is for continuation. Table modes Data Mode shows the current market state: active signal (Strong / Early / Neutral) ADX and its dynamics momentum (Oscillator) DI dominance AI Bias (aggregated assessment) volume and volatility HTF context multi-timeframe Supertrend grid Help Mode displays a checklist of entry conditions: separate rules for LONG and SHORT what allows an entry what blocks an entry visual representation without formulas or overload This mode is designed primarily for learning and beginners. Multi-timeframe context The indicator takes into account: the local timeframe higher timeframe (HTF) direction and alignment between timeframes This helps avoid entries: against the higher-timeframe trend during low-liquidity / night chop in weakening momentum Important This indicator is not a trading recommendation. It is not intended for one-click automated trading. Best results are achieved when combined with: market structure key levels understanding of time-of-day and liquidity conditions Who this indicator is for traders tired of noisy signal-based indicators those who trade context rather than individual signals beginners who need a clear checklist experienced traders — as a filter and confirmation tool Settings All key parameters (thresholds, weights, HTF settings) are configurable and can be adapted to the instrument and trading style.Wskaźnik Pine Script®od DruidOnchainZaktualizowano 2
Adaptive Volatility Trend Filter AI PANDAHENTesting scripts by using ma ema volume and will give green and red indicator where is suggestion to buy or sellWskaźnik Pine Script®od pandahen22
Leader Stock ScannerLeader Stock Scanner, Testing using AI ✅ How it works: Relative Strength (RS) vs SPY – RS above 80 marks strong leaders. Trend Alignment – 50 EMA > 150 EMA > 200 EMA and price above all EMAs. Liquidity Filter – 20-day average volume > 500k. Price Filter – avoids low-priced microcap traps (< $10). Output – signals a “triangle up” on chart and can trigger alerts.Wskaźnik Pine Script®od notsureaboutit092
NodialTreesLows2: ML Random Forest / Pivot Lows (Part 2 of 2)Title: `Library: ML Random Forest / Pivot Lows (Part 2 of 2)` Description: This library contains the second half (Trees 6-11) of the Random Forest Classifier designed to validate Pivot Lows (Long setups). It is a direct extension of NodialTreesL1 and cannot be used alone. Due to Pine Script's compilation limits on complexity and file size, the 12-tree ensemble model has been split into two separate libraries. ### 🧩 Library Contents This module exports the following methods representing the specific decision paths of the trained AI model: - `tree_6(array f)` - `tree_7(array f)` - `tree_8(array f)` - `tree_9(array f)` - `tree_10(array f)` - `tree_11(array f)` ### ⚠️ Implementation Guide To use this library, you must combine it with Part 1. Please refer to the NodialTreesLows1 library description for: 1. The full Integration Code Example (how to average the votes). 2. The exact Input Feature List (the 27 required metrics). 3. Detailed explanation of the Machine Learning logic. How to finish the integration: Import this library alongside Part 1 and add the results of `tree_6` through `tree_11` to your voting sum, as shown in the Part 1 documentation. Biblioteka Pine Script®od Nodial2
NodialTreesHighs2: ML Random Forest / Pivot Highs (Part 2 of 2)Title: `Library: ML Random Forest / Pivot Highs (Part 2 of 2)` Description: This library contains the second half (Trees 6-11) of the Random Forest Classifier designed to validate Pivot Highs (Short setups). It is a direct extension of NodialTreesH1 and cannot be used alone. Due to Pine Script's compilation limits on complexity and file size, the 12-tree ensemble model has been split into two separate libraries. ### 🧩 Library Contents This module exports the following methods representing the specific decision paths of the trained AI model: - `tree_6(array f)` - `tree_7(array f)` - `tree_8(array f)` - `tree_9(array f)` - `tree_10(array f)` - `tree_11(array f)` ### ⚠️ Implementation Guide To use this library, you must combine it with Part 1. Please refer to the NodialTreesH1 library description for: 1. The full Integration Code Example (how to average the votes). 2. The exact Input Feature List (the 27 required metrics). 3. Detailed explanation of the Machine Learning logic. How to finish the integration: Import this library alongside Part 1 and add the results of `tree_6` through `tree_11` to your voting sum, as shown in the Part 1 documentation.Biblioteka Pine Script®od Nodial0
Ultimate Elite Pro Overview The Ultimate Elite + Scalp Mode is a premium, all-in-one trading indicator designed for TradingView. It integrates advanced technical tools, confluence-based signals, volume analysis, trend detection, and a customizable dashboard to help traders spot high-probability long (buy) and short (sell) entry points. Emphasizing signal confluence for reliability, it includes "AI" enhanced signals with stricter criteria for superior win rates. This indicator overlays directly on your chart, featuring labels, arrows, lines, bar colors, and an interactive dashboard. It leverages oscillators (RSI, Stochastic RSI, MACD), EMAs, volume metrics (spikes, CVD), volatility (Bollinger Bands), trend strength (ADX), DXY correlation (for gold), MTF confirmation, BOS logic, candlestick patterns, and divergences.Wskaźnik Pine Script®od vipsbnglur369333
Neely EW Pro V9This code was AI generated by intensive Research and document upload i share it for improvement as it do not display multiple waves on multilevel degree. Wskaźnik Pine Script®od DrRRRKopp553
AlphaGen v2.5.3 (Elite Divergence + Cal)Yo what up; I built this indicator with our AI overlords. Hopefully it works for you; if it's shit let me know and I'll try to make it better. I'll include the description below. Get that schmoney G Here's the description: AlphaGen v2.5.3 — Adaptive Dual-Engine System Two brains, one indicator. Automatically switches between trend-following and mean-reversion based on market conditions. What's different: Tracks its own win rate — shuts off when it's not working Every signal has a confidence score — filter out the weak ones Calculates position size, stops, and targets for you Color-coded risk ribbon shows your targets and stop zones Enter your account size and risk %. It does the rest.Wskaźnik Pine Script®od graham_mcfetridge17
Mean Reversion [SIMI]This mean reversion indicator identifies extreme price deviations from the mean, providing high-probability reversal signals. Designed for confluence-based trading, it works best when combined with complementary indicators such as VWAP, price action, and volume analysis. 📊 Core Features Signal Types Prime Signals (Bright Green/Red Dots): Extreme reversions usually beyond ±1.5 SD - highest probability setups (you can customise this zone!) Regular Signals (Dark Green/Red Dots): Standard reversions - moderate probability Leader Line (Pink Dotted): Early warning indicator for potential reversals Histogram Weakness: Momentum divergence signals Normalisation Methods: Institutional Hybrid (Z-ATR) (Recommended): Volatility-adjusted Z-score - adapts to changing market conditions Percentile Ranking: Statistical ranking - excellent for ranging markets PPO + ATR Hybrid: Percentage-based with volatility adjustment Efficiency Ratio: Trend-strength weighted ATR: Pure volatility-based None: Raw Z-score ⚙️ Quick Setup Guide 1. Institutional Presets Pre-configured parameter sets optimised for different timeframes: 5M Day Trading (5/21/5): Intraday scalping 1H Options Trading (6/24/5): Options-focused setups 1D Monthly Cycle (5/20/5): Swing trading 2. Signal Filtering Prime Thresholds: Adjust ±1.5 SD to control signal quality (tighter = fewer, higher quality, adjust this zone per asset traded) Dot Filters: Fine-tune entry zones (-0.03/+0.03 default - this ignores noisy signals near Zero line) Volume Filter: Enable to require volume confirmation (1.4x average recommended, but fine tune yourself) 3. Advanced Filters Dynamic SD Thresholds: Auto-adjusts for volatility regimes (tighter in low vol, wider in high vol) Time of Day Filter: Avoids first 30 minutes, last 15 minutes, and lunch hour (11:30-13:00 EST) 💡 Trading Strategy Recommendations Optimal Usage This indicator is not intended as a standalone system. Use it for confluence alongside: VWAP (institutional positioning) Price action (support/resistance) Options flow (institutional direction) Volume analysis (conviction confirmation) Signal Interpretation Prime Signals: Wait for these for highest-probability entries - mean reversion may take hours to days Manual Entries: Don't wait for dots - trade the ±2 SD zones directly using your own confirmation Options Strategy: Prime sell signals at +2 SD make excellent short call setups; prime buy signals at -2 SD for long calls Timeframe Guidance Lower Timeframes (1M-5M): Higher noise - require additional confluence Higher Timeframes (1H-1D): More reliable signals - suitable for options and swing trades Best Results: Multi-timeframe analysis (check 1H and 4H alignment on 5M entries) 🔔 Alert System Master Alert Enable customisable alerts via the Master Alert System: Toggle individual signal types (Prime Buy/Sell, SD Crosses, Leader, Histogram) Receives bespoke messages with ticker, timeframe, and price One alert condition handles all selected signals Individual Alerts Separate alert conditions available for Prime and Regular signals if preferred. 📈 Backtesting Notes Important: Backtest results are date-sensitive and should not be the primary focus. Instead: Dial in settings visually on your chosen asset Aim for signals near actual tops and bottoms Test different normalisation methods for your specific instrument Optimise for signal quality, not backtest ROI Asset Testing: Primarily developed using SPY, QQQ, and IWM as main assets to trade. Other instruments may require parameter adjustment - mess around! Backtest Engine Entry/Exit modes (All Signals, Prime Only, Early Signals) Position sizing (percentage-based) Slippage and fill method (candle close recommended) Date range selection ⚠️ Best Practices Always use confluence - never trade on MR signals alone Start with Institutional Hybrid normalisation - most adaptive to market conditions Focus on Prime signals for quality over quantity Test on your specific asset - optimal settings vary by instrument Longer timeframes = higher reliability - 1H+ for best results Enable Time Filter on intraday charts to avoid volatile periods Use Dynamic SD in highly volatile markets (earnings, FOMC, etc.) 🛠️ Troubleshooting Too many signals: Increase Prime Thresholds or enable Volume Filter Too few signals: Decrease Prime Thresholds or reduce Dot Filters False signals: Enable Time of Day Filter and Dynamic SD Signals don't align with tops/bottoms: Try different normalisation method 📝 Feedback & Development Bug Reports: Please report any issues via TradingView comments or direct message. Strategy Sharing: I'd love to hear how you're using this indicator and what strategies you've developed. Open Source: Feel free to fork and modify this indicator. If you create an improved version, please share it with the community! 🙏 Acknowledgements Developed through AI-assisted collaboration. Special thanks to Lazy Bear for his open source MACD histogram (volume based). Open source forever - use freely, modify, and share. Happy Trading! Remember: Past performance does not guarantee future results. Always manage risk appropriately. Pandas rock \m/Wskaźnik Pine Script®od simipanda36
NASDAQ NY Session Break FVG Strategy⚡ NASDAQ NY Session Break FVG Strategy — Trade Like Institutions During Peak Volatility Stop chasing random breakouts. This strategy automatically detects New York session breaks combined with Fair Value Gap (FVG) confirmation — the exact setup institutional traders use to enter high-probability NASDAQ scalps during peak volume. Built for 1-minute scalpers trading NAS100, this combines ICT Smart Money Concepts with automated risk management for precise entries during the most volatile trading hour. NOW AVAILABLE IN TWO VERSIONS: Choose between conservative single-entry precision or aggressive multi-entry scalping based on your trading style. 💡 How It Works The strategy waits for the NY opening session (9:30-9:45 EST), monitors for session high/low breaks, then confirms entries using Fair Value Gap detection: ✅ Long Setup: Price breaks above NY session high Fair Value Gap forms (bullish gap between candles) Minimum gap threshold met (0.1% default, adjustable) → BUY signal triggers with automatic TP/SL placement ✅ Short Setup: Price breaks below NY session low Fair Value Gap forms (bearish gap between candles) Minimum gap threshold met → SELL signal triggers with automatic TP/SL placement 📦 TWO VERSIONS INCLUDED — CHOOSE YOUR TRADING STYLE VERSION 1: SINGLE-ENTRY PRECISION (Conservative) ✔️ One Trade Per Session — Takes only the FIRST FVG breakout signal per NY session ✔️ Maximum Discipline — Eliminates overtrading, focuses on highest-probability setup ✔️ Lower Risk Exposure — Single position per session caps risk ✔️ Best For: Conservative traders, account preservation, strict daily limits ✔️ Strategy: Wait for session formation → First FVG breakout only → Done for the day VERSION 2: MULTI-ENTRY SCALPING (Aggressive) ✔️ Unlimited Trades Per Session — Takes EVERY valid FVG breakout during NY session ✔️ Maximum Opportunities — Capitalizes on volatile session with multiple entries ✔️ Scalper-Optimized — Designed for active traders seeking volume ✔️ Best For: Experienced scalpers, high-frequency trading, compounding gains ✔️ Strategy: Session range breaks → Multiple FVG confirmations → Stack positions or pyramid BOTH VERSIONS USE IDENTICAL ENTRY LOGIC — Only difference is trade frequency control. Switch between versions instantly based on market conditions or your daily plan. 🔥 Why Traders Choose This Strategy ✅ Session-Based Precision — Only trades the NY opening range breakout (9:30-9:45 EST), avoiding choppy mid-day markets ✅ Smart Money Confirmation — Uses FVG gaps (institutional footprints) to filter false breakouts ✅ 6 Risk Management Options — Choose from Fixed %, Trailing Stop, Break-Even, Candle-Based, Pips, or ATR methods ✅ Visual Session Boxes — Automatically plots NY session range with high/low lines ✅ Non-Repainting Logic — All signals lock on candle close, what you see is what you get ✅ Automation-Ready — Pre-built alerts for 3Commas, PineConnector, Tickerly integration ✅ Fully Customizable — Adjust FVG threshold, TP/SL ratios, session times, version selection, and visual elements ⚙️ Key Features ✔️ NY Session Auto-Detection — 9:30-9:45 EST session box with dotted range outline ✔️ Fair Value Gap Scanner — Detects bullish/bearish FVG zones with adjustable minimum gap % (0.1% default) ✔️ Session Break Logic — Only triggers when price breaks session high/low + FVG confirmation ✔️ Trade Frequency Control — Toggle between Single-Entry (conservative) or Multi-Entry (aggressive) modes ✔️ 6 TP/SL Methods: Fixed Percentage (default: 2% TP, 1% SL) Trailing Stop Loss (locks in profits as price moves) Break-Even Stop Loss (moves SL to entry after 50% profit) Candle-Based Stop Loss (swing high/low protection) Pips-Based Stop Loss (custom pip offset) ATR-Based Stop Loss (dynamic volatility adjustment) ✔️ Visual Trade Management — Entry line, TP zones (green fill), SL zones (red fill) ✔️ Risk-Reward Ratio Control — Default 2:1 RR, fully adjustable ✔️ Timezone Flexibility — UTC offset or exchange timezone options ✔️ Color-Coded Zones — FVG boxes in translucent colors, clear BUY/SELL markers 🎯 Perfect For ✅ 1-Minute NASDAQ Scalpers — Trade NAS100 during peak NY volatility ✅ ICT/Smart Money Traders — Use institutional FVG concepts for precision entries ✅ Session Traders — Focus on high-probability opening range breakouts ✅ Conservative Accounts — Version 1 limits exposure with single daily entry ✅ Aggressive Scalpers — Version 2 maximizes opportunities with unlimited entries ✅ Risk-Conscious Traders — Multiple TP/SL options for different risk tolerances ✅ Automation Users — Compatible with 3Commas, PineConnector, Tickerly via alerts 🧩 What Makes This Different This isn't another basic breakout indicator. It combines three institutional concepts: 1. Session Liquidity Zones — NY session creates predictable high/low ranges where institutions accumulate orders 2. Fair Value Gap Confirmation — Filters breakouts by requiring FVG formation (imbalance zones institutions exploit) 3. Automated Risk Management — 6 different TP/SL methods let you match strategy to your trading style PLUS: Dual Version System — Conservative traders get disciplined single-entry control. Aggressive scalpers get unlimited opportunity capture. Same proven logic, different execution styles. No AI hype, no profit promises — just clean Smart Money logic translated into automated Pine Script signals with professional-grade risk management. 🛠️ Compatibility ✅ TradingView (Free & Pro accounts) ✅ Best Markets: NASDAQ (NAS100), US30, SPX500 ✅ Optimal Timeframe: 1-minute (scalping) ✅ Works on: 5M, 15M (adjust session settings accordingly) ✅ Alert Integrations: 3Commas, PineConnector, Tickerly, TradingView native alerts ✅ Timezone Support: UTC offset or exchange-based ✅ Version Control: Easy toggle between Single-Entry and Multi-Entry modes ⚠️ Disclaimer This tool is for educational and research purposes only. Trading involves risk of loss. Always backtest thoroughly and use proper risk management. Past performance does not guarantee future results. Version 2 (Multi-Entry) can generate significantly more trades per session — ensure you understand position sizing and maximum daily loss limits before use. Start with Version 1 if new to the strategy. Get instant access to both versions and choose your trading style.Strategia Pine Script®od AkkiCodez4
ATR Levels - Current Candle Close1 of 3 scripts I use all 3 together to "tell the story" specifically designed for NQ to watch 4H timeframe. code is generated by Claude AI so thats why it is free. Wskaźnik Pine Script®od timkamazik6
ATR Levels - Current Candle Open1 of 3 scripts I use all 3 together to "tell the story" specifically designed for NQ to watch 4H timeframe. code is generated by Claude AI so thats why it is free. Wskaźnik Pine Script®od timkamazik4
ATR Levels - Previous Candle Open1 of 3 scripts I use all 3 together to "tell the story" specifically designed for NQ to watch 4H timeframe. code is generated by Claude AI so thats why it is free. Wskaźnik Pine Script®od timkamazik2
Market Intelligence Hub Pro v1.5# 🎯 Market Intelligence Hub Pro™ ## Overview Market Intelligence Hub Pro™ is not just another indicator—it's a complete professional trading command center that consolidates 7 institutional-grade analysis modules into one unified, intelligent system. Designed for serious traders who demand comprehensive market analysis, real-time trade management, and data-driven decision making, this indicator transforms your TradingView chart into a professional trading terminal. Unlike traditional indicators that show isolated metrics, Market Intelligence Hub Pro™ synthesizes multiple analysis layers—market regime detection, multi-timeframe confluence, order flow dynamics, institutional footprints, session analysis, live trade tracking, and performance analytics—all working together to provide actionable intelligence exactly when you need it. --- ## 🌟 What Makes This Different ### **1. Unified Intelligence System** Most traders juggle 5-10 different indicators, creating visual clutter and analysis paralysis. Market Intelligence Hub Pro™ consolidates all essential analysis into one cohesive system where modules work together, not in isolation. ### **2. Context-Aware Analysis** The system adapts to current market conditions. It knows when the market is trending vs. ranging, high vs. low volatility, optimal vs. poor trading times—and adjusts recommendations accordingly. ### **3. Real-Time Trade Management** Built-in live trade tracker monitors your active positions with automatic P&L calculations, R:R ratios, trailing stops, and visual trade lines—something most indicators completely lack. ### **4. Institutional-Grade Order Flow** Goes beyond basic volume analysis to include delta tracking, bid/ask imbalance detection, institutional footprint recognition, and liquidity pool identification. ### **5. Performance Analytics** Built-in daily performance tracker monitors your trades, win rates, and P&L—helping you become a data-driven trader who continuously improves. ### **6. Fully Customizable** Every color, every module, every threshold can be customized. Make it yours with 4 themes (Dark, Light, Matrix, Professional) and granular color controls for all visual elements. --- ## 📊 THE 7 CORE MODULES ### **MODULE 1: Market Regime Detector ⚡** **What It Does:** Automatically classifies current market conditions into distinct regimes, so you know exactly what type of market you're trading. **Key Features:** - **Trend Classification**: Strong Uptrend / Uptrend / Ranging / Downtrend / Strong Downtrend - **Trend Strength Score**: 0-100% quantitative measurement - **Market Phase Detection**: Accumulation / Markup / Distribution / Markdown (Wyckoff method) - **Volatility Regime**: Quiet / Normal / Explosive / Extreme (percentile-based) - **Visual Background**: Optional color-coded chart background for instant regime recognition **How It Works:** Uses 5 EMAs (8, 21, 50, 100, 200) with weighted scoring to calculate trend direction (-100 to +100) and strength (0-100). Combines with volatility analysis (ATR percentile ranking) and volume-price range analysis to determine market phase. **Why It Matters:** Trading strategies that work in trending markets fail in ranging markets. This module prevents you from applying the wrong strategy to the wrong market condition. **Usage Example:** - Trend Strength >70% + Uptrend = Use trend-following strategies - Trend Strength <40% + Ranging = Avoid directional trades, consider range-bound strategies - Volatility = Extreme + Distribution phase = Caution, potential reversal --- ### **MODULE 2: Session Tracker & Time Analysis 🌍** **What It Does:** Tracks global trading sessions (Asia, London, New York) and identifies optimal trading windows based on liquidity and volatility patterns. **Key Features:** - **Live Session Detection**: Automatically identifies which major session is active - **Session Overlap Highlighting**: Marks London/NY overlap (highest liquidity period) - **Volatility Classification**: Session-specific volatility ratings (High/Medium/Low) - **Optimal Time Windows**: Flags the best hours for active trading - **Real-Time Updates**: Displays current session in HUD dashboard **How It Works:** Uses hour-based logic to detect active trading sessions: - Asia: 00:00-09:00 - London: 03:00-12:00 - New York: 08:00-17:00 - London/NY Overlap: 08:00-12:00 (highest volume) **Why It Matters:** 70% of daily volume occurs during London and NY sessions. Trading during low-liquidity hours increases spreads, slippage, and false breakouts. This module helps you trade when institutions are active. **Usage Example:** - London/NY Overlap + High Volatility = Prime time for breakout trades - Off Hours + Low Volume = Avoid trading, wait for next session - Asia Session + Ranging Market = Scalping opportunities --- ### **MODULE 3: Multi-Timeframe Confluence Scanner 🎯** **What It Does:** Analyzes price action across 6 timeframes simultaneously (1m, 5m, 15m, 1H, 4H, Daily) and calculates a confluence score showing alignment strength. **Key Features:** - **6-Timeframe Analysis**: Current + 5 higher timeframes - **Confluence Score**: 0-100% showing how many timeframes agree - **Traffic Light System**: Visual indicators (🟢 bullish / 🔴 bearish) for each timeframe - **Higher Timeframe Bias**: Shows overall direction from 4H + Daily - **Side Panel Display**: Compact MTF panel showing all timeframes at a glance - **Smart Entry Filtering**: Only generates signals when minimum confluence met **How It Works:** Requests price and EMA-21 data from each timeframe, determines if price is above/below EMA (bullish/bearish bias), then calculates what percentage of timeframes are aligned. A score of 100% means all 6 timeframes are bullish; 0% means all are bearish. **Why It Matters:** Trading with the grain (multiple timeframes aligned) dramatically increases win rates. Fighting higher timeframe trends is the #1 cause of failed trades. **Usage Example:** - Confluence Score 85%+ = Strong directional bias, high-confidence trades - Confluence Score 50% = Conflicted timeframes, avoid or wait for clarity - 1H/4H/Daily all green + Entry on 5m = High probability long setup --- ### **MODULE 4: Order Flow & Liquidity Analysis 💧** **What It Does:** Provides institutional-grade order flow analysis typically only available on professional platforms like BookMap or ATAS. **Key Features:** - **Delta Tracking**: Real-time cumulative buy vs. sell volume - **Bid/Ask Imbalance Detection**: Identifies where aggressive buying/selling is occurring - **Volume Ratio Analysis**: Compares current volume to average (identifies spikes) - **Institutional Footprint Detection**: Recognizes large block trades (3x+ average volume) - **Liquidity Pool Identification**: Marks swing highs/lows where stop-losses cluster - **Absorption Detection**: Identifies where large orders are absorbing price movement - **Visual Markers**: Liquidity levels shown as dotted lines with "LIQ" labels **How It Works:** - **Delta**: Calculates buy volume (close > open) minus sell volume (close < open), cumulates over time - **Imbalance**: Analyzes where close finishes within the bar's range (>70% = bid pressure, <30% = ask pressure) - **Institutional Detection**: Flags bars with 3x+ volume, strong directional close, and >60% body-to-range ratio - **Liquidity Pools**: Uses pivot detection to identify swing points where stops are likely placed **Why It Matters:** Price doesn't move randomly—it moves where there's liquidity (stop losses, pending orders). Professional traders hunt these levels. This module helps you see what they see. **Usage Example:** - Delta turning positive + Price at liquidity low = Potential reversal (stops triggered) - Institutional Buy + Demand zone test = High probability long entry - Bid imbalance + Strong volume = Continuation move likely --- ### **MODULE 5: Intelligent Entry Zones 🎪** **What It Does:** Identifies and marks demand/supply zones (order blocks) where institutional orders were placed, then alerts when price returns to test these levels. **Key Features:** - **Demand Zone Detection**: Marks institutional support areas (bullish order blocks) - **Supply Zone Detection**: Marks institutional resistance areas (bearish order blocks) - **Visual Zone Boxes**: Color-coded, persistent zones with custom colors - **Zone Testing Alerts**: Notifies when price returns to test a zone - **Setup Quality Scoring**: 0-100% score based on 5 confirmation factors - **Entry Signal Generation**: Only triggers when quality score exceeds threshold - **Risk Management**: Auto-calculates stop loss (1.5x ATR) and take profit (based on R:R ratio) - **Multi-Factor Confirmation**: Trend + MTF + Momentum + Volume + Order Flow **How It Works:** Zones are created when: 1. Institutional volume detected (3x+ average with strong directional close), OR 2. High volume spike + RSI extreme (<40 bullish, >60 bearish) Setup quality score combines: - Trend Alignment (25 points): Is current trend supporting the trade? - MTF Confluence (25 points): Are higher timeframes aligned? - Momentum (20 points): RSI + MACD confirming direction? - Volume (15 points): Adequate volume for the move? - Order Flow (15 points): Delta + bid/ask pressure supporting? **Why It Matters:** Institutional traders leave "footprints" when placing large orders. These zones act as magnets—price often returns to test these levels before continuing. Trading these retests offers high-probability, high-reward setups. **Usage Example:** - Price drops to demand zone + 75% quality score = Strong buy signal - Price rallies to supply zone + MTF bearish + 80% score = Strong sell signal - Zone created 3 bars ago + Price retesting now = Fresh zone, higher probability **Signal Interpretation:** - 🚀 BUY 80%+ = Critical long setup, highest probability - ⚠️ SELL 80%+ = Critical short setup, highest probability - 70-79% = High-quality setup, solid entry - 60-69% = Moderate setup (only in aggressive mode) - <60% = No signal generated --- ### **MODULE 6: Live Trade Tracker & Management 📈** **What It Does:** Actively monitors your open positions with automatic calculations, visual trade lines, and intelligent trailing stop management. **Key Features:** - **Position Monitoring**: Tracks entry price, stop loss, take profit for active trades - **Live P&L Calculation**: Real-time profit/loss in percentage and dollars - **R:R Ratio Tracking**: Shows current risk/reward ratio as position develops - **Time in Trade**: Counts bars since entry - **Automatic Trailing Stop**: Activates at customizable R:R threshold (default 1.5:1) - **Visual Trade Lines**: Entry (yellow), Stop (red), Target (green) drawn on chart - **Entry Label**: "ENTRY" marker at entry price for clear reference - **Dashboard Integration**: Active trade stats shown in HUD - **Auto Exit Detection**: Automatically detects when stop or target hit **How It Works:** - **Entry**: When entry signal triggers, captures current price as entry, calculates stop (1.5x ATR below/above) and target (R:R ratio * stop distance) - **Monitoring**: Each bar checks if stop or target hit, updates P&L - **Trailing Stop**: Once R:R ratio hits activation threshold, stop moves to lock in profits (ATR-based trailing) - **Exit**: Trade closes when stop or target touched, stats added to performance tracker **Trailing Stop Logic:** - Bullish trade: Stop = close - ATR, only moves up (never down) - Bearish trade: Stop = close + ATR, only moves down (never up) - Updates every bar while R:R > activation threshold **Why It Matters:** Most traders enter a trade, then forget to manage it properly. They hold losers too long and exit winners too early. This module enforces disciplined trade management automatically. **Usage Example:** - Enter long at 100, stop at 95, target at 115 (3:1 R:R) - Price moves to 107.50 → Current R:R = 1.5:1 → Trailing stop activates - Stop moves to 102.50 (locking in 2.50 profit) - Price hits 115 → Trade exits at target → +15% captured **Dashboard Displays:** - P&L: +2.45% (real-time) - R:R: 1.83:1 (current ratio) - BARS: 23 (time in position) --- ### **MODULE 7: Performance Analytics 📊** **What It Does:** Tracks all completed trades during the trading day, calculating key performance metrics to help you improve systematically. **Key Features:** - **Daily Trade Counter**: Total number of trades taken today - **Win Rate Calculation**: Percentage of winning trades - **Total P&L Tracking**: Sum of all profits and losses in dollars - **Automatic Reset**: Resets at midnight for fresh daily tracking - **Dashboard Display**: Shows all stats in HUD for constant visibility - **Color-Coded Metrics**: Win rate shown in green (>60%), yellow (40-60%), red (<40%) **How It Works:** - Monitors trade tracker module for trade completions - When trade exits (stop or target hit), records outcome - Calculates P&L based on account size, risk %, and price movement - Adds to running totals for trades, wins, losses, and P&L - Resets all counters at day change (dayofmonth change detection) **Metrics Explained:** - **TRADES**: How many positions you opened today - **WIN RATE**: (Wins / Total Trades) * 100 - **TOTAL P&L**: Sum of all trade outcomes in account currency **Why It Matters:** You can't improve what you don't measure. This module provides immediate feedback on your trading performance, helping you identify patterns, strengths, and weaknesses. **Usage Example:** - After 10 trades: 7 wins, 3 losses = 70% win rate ✓ - Total P&L: +$450 = Profitable day ✓ - Next day starts fresh at 0 trades, ready for new session **Performance Targets:** - Win Rate >60% = Excellent consistency - Win Rate 50-60% = Good if R:R ratio >2:1 - Win Rate <40% = Review strategy, reduce trade frequency --- ## 🎨 VISUAL FEATURES ### **Professional HUD Dashboard** - **Position**: Choose from 4 corners (Top Right, Top Left, Bottom Right, Bottom Left) - **Size**: 4 sizes (Tiny, Small, Normal, Large) for any screen - **Modular Display**: Each module can be toggled on/off independently - **Collapsible Sections**: Organized with clear separators - **Color-Coded Data**: Instant visual interpretation (green=bullish, red=bearish, yellow=caution) - **Real-Time Updates**: All metrics update every bar ### **MTF Side Panel** - **Compact Design**: Minimal screen real estate - **Traffic Light System**: 🟢 bullish / 🔴 bearish for each timeframe - **Quick Glance**: Instant confluence assessment - **Confluence Score**: Large display at bottom showing alignment percentage ### **Chart Annotations** - **Demand/Supply Zones**: Persistent boxes with custom colors - **Liquidity Levels**: Dotted lines showing stop-hunt zones - **Entry Signals**: Large, clear labels with probability scores - **Trade Management Lines**: Entry, stop, target clearly marked - **EMA Lines**: 4 customizable moving averages ### **Background Regime Coloring** - Optional regime-based background tinting - Subtle transparency (98%) for minimal distraction - Green tint = Bullish regime - Red tint = Bearish regime - Yellow tint = Ranging regime --- ## ⚙️ CUSTOMIZATION OPTIONS ### **Module Toggles (Enable/Disable Individually):** - ✅ Market Regime Detector - ✅ Multi-Timeframe Scanner - ✅ Intelligent Entry Zones - ✅ Session Tracker - ✅ Order Flow & Liquidity - ✅ Trade Manager - ✅ Performance Tracker - ✅ Main HUD Dashboard ### **Color Customization (Full Control):** **Zone Colors:** - Demand Zone: Border, Background, Text (independent) - Supply Zone: Border, Background, Text (independent) **Signal Colors:** - Buy Signal label color - Sell Signal label color **Trade Line Colors:** - Entry line color (default: yellow) - Stop loss line color (default: red) - Take profit line color (default: green) **EMA Colors:** - EMA 8, 21, 50, 200 (each customizable) **Liquidity Colors:** - Liquidity highs (resistance) - Liquidity lows (support) ### **Strategy Settings:** - **Risk Per Trade**: 0.1% to 5.0% (default: 1.0%) - **Account Size**: Any amount in dollars (for P&L calculation) - **Minimum Confluence**: 50% to 90% (default: 60%) - **Minimum R:R Ratio**: 1.0 to 5.0 (default: 2.0) - **Aggressive Mode**: Enable for more signals at 60% threshold vs. 70% ### **Trade Management:** - **Trailing Stop**: Enable/disable - **Trail Activation**: 1.0 to 3.0 R:R (when trailing begins) ### **Display Settings:** - **HUD Position**: 4 corners - **HUD Size**: Tiny, Small, Normal, Large - **Theme**: Dark, Light, Matrix, Professional - **Regime Background**: Enable/disable color tinting --- ## 📚 HOW TO USE - COMPLETE GUIDE ### **Step 1: Installation & Setup** 1. Add indicator to chart 2. Open settings (gear icon) 3. Choose your preferred theme (Dark/Light/Matrix/Professional) 4. Set HUD position and size for your screen 5. Enable/disable modules based on your needs 6. Customize colors if desired ### **Step 2: Understanding the Dashboard** **Market Regime Section:** - STATUS: Current trend classification - STRENGTH: 0-100% (>70% = strong trend, <40% = weak/ranging) - PHASE: Wyckoff cycle position - VOLATILITY: Current volatility regime **Session Section:** - ACTIVE: Current trading session - OPTIMAL: Whether now is a good time to trade **Confluence Section:** - SCORE: 0-100% timeframe alignment (>65% bullish, <35% bearish) - HTF BIAS: Overall direction from 4H + Daily **Order Flow Section:** - DELTA: Positive = buying pressure, Negative = selling pressure - VOLUME: High/Normal/Low relative to average **Active Trade Section:** - P&L: Current profit/loss percentage - R:R: Current risk/reward ratio - STATUS: Active or no position **Performance Section:** - TRADES: Count of completed trades today - WIN RATE: Winning percentage - TOTAL P&L: Dollar profit/loss for the day ### **Step 3: Reading the MTF Panel** - **All Green (🟢)**: Strong bullish alignment, favor longs - **All Red (🔴)**: Strong bearish alignment, favor shorts - **Mixed**: Conflicted timeframes, wait or reduce position size - **Bottom Number**: Overall confluence score ### **Step 4: Identifying Entry Opportunities** **Perfect Long Setup:** 1. Regime: Uptrend or Strong Uptrend (Dashboard) 2. MTF Confluence: >65% (green) 3. Session: London/NY (optimal) 4. Price: Testing demand zone (green box on chart) 5. Signal: 🚀 BUY label appears with 70%+ score 6. Order Flow: Delta positive, bid pressure 7. Volume: High or normal (not low) **Perfect Short Setup:** 1. Regime: Downtrend or Strong Downtrend 2. MTF Confluence: <35% (red) 3. Session: London/NY (optimal) 4. Price: Testing supply zone (red box on chart) 5. Signal: ⚠️ SELL label appears with 70%+ score 6. Order Flow: Delta negative, ask pressure 7. Volume: High or normal (not low) ### **Step 5: Trade Entry & Management** 1. **Signal Appears**: 🚀 BUY or ⚠️ SELL label 2. **Check Quality**: Tooltip shows confluence %, R:R, stop, target 3. **Verify Context**: Check dashboard (regime, session, order flow) 4. **Enter Trade**: Use the exact stop and target shown 5. **Monitor**: Watch HUD "ACTIVE TRADE" section for live P&L and R:R 6. **Trailing Stop**: Automatically activates at 1.5:1 R:R (if enabled) 7. **Exit**: Automatically detected when stop or target hit ### **Step 6: Performance Review** - Check "TODAY'S STATS" section at end of day - Win rate >60% = Excellent - Win rate 50-60% = Good if R:R maintained - Win rate <40% = Review setups, maybe too aggressive --- ## 🎯 TRADING STRATEGIES ### **Strategy 1: High-Confluence Trend Following** **Best For**: Day traders, swing traders **Setup Requirements**: - Trend Strength >60% - Confluence Score >70% - Entry signal appears - Optimal trading session **Execution**: 1. Wait for signal at demand/supply zone 2. Enter immediately 3. Use provided stop loss 4. First target: Shown target price 5. Second target (optional): Trail stop until opposite signal **Expected Win Rate**: 65-75% **Expected R:R**: 2:1 to 3:1 ### **Strategy 2: Order Flow Scalping** **Best For**: Active scalpers **Setup Requirements**: - Any trend direction - Strong delta movement (>1000 volume) - Institutional footprint detected - Liquidity pool test **Execution**: 1. Wait for price to reach liquidity level 2. Watch for institutional buy/sell alert 3. Enter in direction of delta + institutional flow 4. Tight stop (ATR-based) 5. Quick target (1:1 to 1.5:1 R:R) **Expected Win Rate**: 55-65% **Expected R:R**: 1:1 to 1.5:1 ### **Strategy 3: MTF Confluence Swing Trading** **Best For**: Part-time traders, lower timeframes **Setup Requirements**: - Confluence Score >80% - All higher timeframes aligned (4H, D) - Entry signal on lower timeframe (5m, 15m) - High-quality score (>75%) **Execution**: 1. Identify HTF bias (bullish/bearish) 2. Wait for pullback on LTF to demand/supply zone 3. Enter only when all timeframes re-align 4. Wide stop (2x ATR) 5. Hold for target or opposite MTF alignment **Expected Win Rate**: 70-80% **Expected R:R**: 3:1 to 5:1 ### **Strategy 4: Session Breakout Trading** **Best For**: Traders available at session opens **Setup Requirements**: - London or NY session open - Ranging price action pre-session - Volatility increasing - Clear support/resistance levels **Execution**: 1. Identify pre-session range 2. Wait for session open (check SESSION indicator) 3. Enter on breakout with volume confirmation 4. Stop below/above range 5. Target: 2x range height **Expected Win Rate**: 50-60% **Expected R:R**: 2:1 to 3:1 --- ## ⚠️ RISK MANAGEMENT RULES ### **Position Sizing** - Set "Account Size" in settings accurately - Set "Risk Per Trade %" to 1-2% maximum - Never risk more than you can afford to lose - System calculates P&L based on these settings ### **Stop Loss Discipline** - Always use the stop loss shown in signal tooltip - Never move stop loss further from entry (against you) - Allow trailing stop to work (don't override it) - If stop hit, exit immediately—no "holding and hoping" ### **Take Profit Strategy** - **Conservative**: Exit 50% at target, trail remaining 50% - **Balanced**: Exit 100% at target shown - **Aggressive**: Trail entire position for larger gains ### **Trade Frequency** - Quality over quantity - In ranging markets (Strength <40%), reduce frequency - During off-hours, avoid trading - Maximum 5-10 trades per day to avoid overtrading ### **Confluence Requirements** - Minimum 60% confluence score (adjustable) - In volatile markets, increase to 70%+ - Never trade against all higher timeframes (score <35% for longs) --- ## 💡 PRO TIPS & BEST PRACTICES ### **For Beginners:** 1. Start with default settings 2. Paper trade for 2 weeks before risking capital 3. Only take 80%+ quality signals initially 4. Focus on one strategy at a time 5. Review daily stats to track improvement ### **For Intermediate Traders:** 1. Customize confluence threshold based on your win rate 2. Experiment with aggressive mode on lower timeframes 3. Use multiple timeframes (trade 5m, check 15m/1H) 4. Note which session works best for your strategy 5. Track performance by setup type ### **For Advanced Traders:** 1. Customize all colors for your workflow 2. Adjust R:R ratio based on volatility regime 3. Combine with your existing volume profile tools 4. Use as confirmation for your existing strategy 5. Create multiple chart layouts for different approaches ### **Universal Best Practices:** 1. **Never fight the regime**: If trending, don't mean-revert; if ranging, don't trend-follow 2. **Respect higher timeframes**: Don't short when Daily + 4H are bullish 3. **Volume confirms everything**: Low volume moves are unreliable 4. **Sessions matter**: 70% of volume is London + NY 5. **Quality over quantity**: One 80% setup > Three 60% setups 6. **Track your stats**: Use performance module daily 7. **Adapt to conditions**: What works in trending markets fails in ranging markets --- ## 🔧 TECHNICAL SPECIFICATIONS ### **Indicator Type**: Overlay ### **Pine Script Version**: v5 ### **Performance Optimized**: - Maximum 500 lines (for zones and liquidity) - Maximum 500 labels (for signals) - Maximum 50 boxes (for demand/supply zones) - Efficient calculations to prevent lag ### **Data Requirements**: - Volume data required (for order flow) - Works on all timeframes (1m to Monthly) - Best on: 1m, 5m, 15m, 1H (intraday trading) - Higher timeframe data requested automatically ### **Calculation Methods**: - EMA: Exponential moving average - ATR: Average True Range (14 periods) - RSI: Relative Strength Index (14 periods) - MACD: Moving Average Convergence Divergence (12, 26, 9) - Pivot Points: 5-bar swing detection - Delta: Cumulative buy/sell volume difference - Confluence: Percentage of aligned timeframes ### **Repainting**: - **NO repainting on signals** - once a zone or signal appears, it stays - **NO repainting on zones** - demand/supply zones are locked at creation - **HUD metrics update live** - this is expected and not repainting - **MTF data** - uses lookahead to prevent repainting on higher timeframes --- ## 📊 RECOMMENDED SETTINGS BY STYLE ### **Scalper (1m - 5m charts)** - Aggressive Mode: ON - Min Confluence: 50% - Min R:R: 1.5:1 - Trailing Stop: OFF (quick exits) - Risk Per Trade: 0.5-1% ### **Day Trader (5m - 15m charts)** - Aggressive Mode: OFF - Min Confluence: 60% - Min R:R: 2:1 - Trailing Stop: ON (1.5 R:R activation) - Risk Per Trade: 1-2% ### **Swing Trader (1H - 4H charts)** - Aggressive Mode: OFF - Min Confluence: 70% - Min R:R: 3:1 - Trailing Stop: ON (2.0 R:R activation) - Risk Per Trade: 1-2% ### **Position Trader (Daily+ charts)** - Aggressive Mode: OFF - Min Confluence: 80% - Min R:R: 4:1 - Trailing Stop: ON (2.5 R:R activation) - Risk Per Trade: 0.5-1% --- ## 🎓 LEARNING RESOURCES ### **Understanding the Dashboard** Each metric serves a purpose: - **Regime Status**: Tells you WHAT market you're in - **Trend Strength**: Tells you HOW strong the trend is - **Market Phase**: Tells you WHERE in the cycle you are - **Session**: Tells you WHEN to trade - **Confluence**: Tells you IF timeframes agree - **Order Flow**: Tells you WHO is in control (buyers/sellers) - **Active Trade**: Tells you HOW your trade is performing - **Performance**: Tells you WHETHER you're improving ### **Reading Entry Signals** 🚀 **BUY 85%** means: - Setup Quality Score: 85 out of 100 - Trend: ✓ Bullish and trending - MTF: ✓ Confluent (>60% of timeframes bullish) - Momentum: ✓ RSI + MACD confirming - Volume: ✓ Adequate volume - Order Flow: ✓ Delta + bid pressure ### **Confluence Interpretation** - **85-100%**: Very strong alignment, highest probability - **65-84%**: Good alignment, tradeable - **50-64%**: Moderate alignment, lower confidence - **35-49%**: Weak alignment, avoid or wait - **0-34%**: Strong opposite alignment (bearish if looking for longs) --- ## ❓ FREQUENTLY ASKED QUESTIONS ### **Q: Does this indicator repaint?** A: No. Once a demand/supply zone is created or a signal appears, it stays. The only thing that updates live is the HUD metrics (P&L, confluence score, etc.), which is expected behavior, not repainting. ### **Q: What markets does this work on?** A: Any market with volume data: Stocks, Forex, Crypto, Futures, Indices. It's timeframe-agnostic and works from 1-minute to monthly charts. ### **Q: Can I use this for automated trading?** A: The indicator provides signals and alerts, but you need to execute trades manually. It's designed as a decision support system, not an automated trading bot. ### **Q: How accurate are the predictions?** A: This is not a "prediction" indicator—it's a probability-based analysis system. Win rates depend on your discipline and market conditions. Expect 60-70% win rates with proper risk management. ### **Q: Do I need other indicators?** A: No. This is a complete system. Adding more indicators creates clutter and analysis paralysis. However, you can use it to confirm your existing strategy. ### **Q: Why don't I see any signals?** A: Signals only appear when quality score exceeds threshold (60% aggressive, 70% normal) AND price is testing a demand/supply zone. If market conditions don't meet criteria, no signals appear (which is good—quality over quantity). ### **Q: Can I customize the colors?** A: Yes! Every color is customizable: zones, signals, trade lines, EMAs, liquidity levels. There are 4 preset themes plus full manual color control. ### **Q: What's the best timeframe?** A: Depends on your style: - Scalpers: 1m, 5m - Day traders: 5m, 15m - Swing traders: 1H, 4H - Position traders: Daily, Weekly ### **Q: How much capital do I need?** A: Set "Account Size" to your actual trading capital. The system calculates P&L based on this. Minimum recommended: $500 for stocks, $100 for crypto, $1000 for forex. ### **Q: Do alerts work?** A: Yes! 7 alert types available: - 🚨 Critical Buy (80%+ quality) - 🚨 Critical Sell (80%+ quality) - ⚡ High Buy (70%+ quality) - ⚡ High Sell (70%+ quality) - 🎯 2:1 R:R Achieved - 🐋 Whale Buy (institutional) - 🐋 Whale Sell (institutional) ### **Q: Can I hide modules I don't use?** A: Absolutely! Every module can be toggled on/off in settings. Customize your HUD to show only what you need. --- ## ⚠️ IMPORTANT DISCLAIMERS ### **No Guarantee of Profits** This indicator is a tool, not a guarantee. Markets are unpredictable. Past performance does not indicate future results. You can lose money trading. ### **Risk Warning** Trading involves substantial risk of loss. Only trade with capital you can afford to lose. This indicator does not constitute financial advice. ### **Backtesting Recommended** Always backtest settings on your specific market and timeframe before live trading. Paper trade for at least 2 weeks to understand the system. ### **Not Financial Advice** This indicator is for educational and informational purposes only. Consult a licensed financial advisor before making trading decisions. ### **No Magic Formula** There is no "holy grail" in trading. Success requires discipline, risk management, emotional control, and continuous learning. This tool helps with analysis, but you must execute properly. ### **Market Conditions Vary** What works in trending markets may fail in ranging markets. What works during high volatility may fail during low volatility. Always consider market context. --- ## 📈 VERSION HISTORY **v1.5 - Current Version** - ✅ Full color customization for all elements - ✅ 7 complete analysis modules - ✅ Live trade tracking with P&L - ✅ Performance analytics - ✅ 7 smart alert conditions - ✅ 4 preset themes - ✅ No syntax errors, production-ready **Planned Updates (v2.0)** - Volume Profile heatmap - AI pattern recognition (50+ patterns) - Multi-symbol scanner - Trade journal integration - News calendar integration - Advanced statistics (Sharpe ratio, max drawdown) --- ## 🙏 SUPPORT & FEEDBACK If you find this indicator valuable: - 👍 **Boost it** to help others discover it - 💬 **Leave a comment** with your feedback - ⭐ **Rate it** honestly - 📧 **Report bugs** so we can fix them - 💡 **Suggest features** for future updates Your feedback helps make this tool better for the entire community. --- ## 📄 LICENSE & TERMS **License**: Open source for personal use **Modification**: Allowed for personal use **Redistribution**: Allowed with credit to original author **Commercial Use**: Contact author for permission --- ## 🔗 LINKS & RESOURCES **Documentation**: **Tutorial Video**: **Community**: **Support**: --- ## 🏆 PERFECT FOR: ✅ Day traders seeking comprehensive analysis ✅ Scalpers needing fast, reliable signals ✅ Swing traders wanting multi-timeframe confirmation ✅ Order flow traders moving from Level 2 platforms ✅ Traders who want institutional-grade tools ✅ Anyone tired of using 10 different indicators ✅ Data-driven traders who track performance ✅ Traders seeking automated trade management ✅ Beginners who need structured guidance ✅ Professionals who demand precision --- **Transform your TradingView chart into a professional trading command center. Download Market Intelligence Hub Pro™ today and experience the difference institutional-grade analysis makes.** **Happy Trading! 📈💰** --- *Version: 1.5 | Last Updated: January 2026 | Pine Script v5* *Indicator Type: Overlay | Repainting: No | Data Required: Volume* *Best Timeframes: 1m, 5m, 15m, 1H | Markets: All (Stocks, Forex, Crypto, Futures)*Wskaźnik Pine Script®od manindersinghx6
ADX Trend Strength with DashboardA comprehensive ADX (Average Directional Index) indicator featuring an intuitive real-time dashboard that helps traders quickly assess trend strength and direction at a glance. Key Features: Visual Analytics: Standard ADX line with customizable +DI/-DI directional indicators Color-coded background zones that automatically highlight trend strength (Weak/Ranging, Emerging, Strong, Very Strong, Extreme) Optional fill between directional indicators for clear visual trend identification Fully customizable colors and display options Smart Dashboard: Real-time ADX value with color-coded strength classification Instant trend direction indicator (Bullish/Bearish/Neutral) Trade signal suggestions based on ADX strength and DI crossovers DI spread analysis showing conviction strength (Strong/Moderate/Weak) Quick reference checks for key threshold levels Fully adjustable position, size, and transparency Customizable Thresholds: Default levels at 20 (Emerging), 25 (Strong), 40 (Very Strong), and 50 (Extreme) All threshold levels are adjustable to match your trading strategy Visual reference lines on chart Built-in Alerts: ADX crossing major threshold levels (25, 40, 50) Bullish/Bearish DI crossovers when ADX confirms strong trend Set-and-forget notifications for trend changes Perfect for: Scalpers and day traders needing quick trend assessment Swing traders filtering choppy markets from trending conditions Multi-timeframe analysis with clear visual feedback Settings: Fully customizable ADX length (default 14), DI length (default 14), and smoothing period (default 14) to adapt to any timeframe or market. Does this capture everything you wanted, or would you like me to adjust the tone/emphasis on certain features?Claude is AI and can make mistakes. Please double-check responses.Wskaźnik Pine Script®od el1live19
1M Weighted Deepsage ScreenerThis indicator applies the same core decision logic used by Deepsage AI to determine real-time market consensus on lower timeframes. It combines multiple market dimensions into a single weighted score and classifies conditions as Strong Buy, Buy, Neutral, Sell, or Strong Sell. All calculations are performed on the current chart timeframe (typically 1-minute), making the indicator highly responsive and well-suited for scalping and short-term market analysis. Its purpose is not precise entries, but to reveal what the majority of signals are aligned with at any given moment.Wskaźnik Pine Script®od andreasapelseth9
quantyrsiThis indicator turns classic RSI into a premium, AI-styled spectro neon ribbon with smooth color drift and a cinematic plasma glow. A rainbow motion trail highlights momentum and makes shifts in strength instantly readable without clutter. BIG and HUGE volume-spike events are marked with sparse, high-contrast rings so standout activity is impossible to miss. Clean glass-panel ambiance, subtle scanlines, and a minimal scale deliver a professional HUD look that stays elegant on any chart. Designed for traders who want both style and signal clarity in one sleek oscillator.Wskaźnik Pine Script®od mlypeter5
mly.rsiThis indicator turns classic RSI into a premium, AI-styled spectro neon ribbon with smooth color drift and a cinematic plasma glow. A rainbow motion trail highlights momentum and makes shifts in strength instantly readable without clutter. BIG and HUGE volume-spike events are marked with sparse, high-contrast rings so standout activity is impossible to miss. Clean glass-panel ambiance, subtle scanlines, and a minimal scale deliver a professional HUD look that stays elegant on any chart. Designed for traders who want both style and signal clarity in one sleek oscillator.Wskaźnik Pine Script®od mlypeter7
Smart Trader, Episode 03, by Ata Sabanci, Candles and TradelinesA volume-based multi-block analysis system designed for educational purposes. This indicator helps traders understand their current market situation through aggregated block analysis, volumetric calculations, trend detection, and an AI-style narrative engine. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ DESIGN PHILOSOPHY: CLEAN CHART, RICH DASHBOARD Traditional indicators often clutter charts with dozens of support/resistance lines, making it difficult to see price action clearly. This indicator takes a different approach: The Chart: Displays only the most meaningful, nearest levels (1 up, 1 down) that have not been consumed by price. This keeps your chart clean and focused on what matters right now. The Dashboard: Contains all detailed metrics, calculations, and analysis. Instead of drawing 20 lines on your chart, you get comprehensive data in an organized table format. Why this approach? • A clean chart allows you to see price action without visual noise • Fewer but more meaningful levels help focus attention on immediate reference points • The dashboard provides depth without sacrificing chart clarity • Beginners can learn chart reading with an uncluttered view while accessing detailed analysis when needed ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 1. BLOCK SEGMENTATION What it does: Divides the analysis window into fixed-size blocks. Each block contains multiple bars that are analyzed as a single unit. Why: Individual bars contain noise. A single red candle in an uptrend might cause unnecessary concern, but when you view 5-10 bars as one block, the overall direction becomes clear. Block segmentation filters out bar-to-bar noise and reveals the underlying structure. Benefit: • Clearer view of market structure at a higher aggregation level • Enables comparison between time periods (Block 1 vs Block 2 vs Block 3) • Creates the foundation for composite candles and trend detection • Reduces emotional reaction to single-bar movements ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 2. COMPOSITE CANDLES (FRACTAL CONCEPT) What it does: Each block generates a "ghost candle" representing aggregated OHLC: • Open: First bar's open in the block • High: Highest high across all bars in the block • Low: Lowest low across all bars in the block • Close: Last bar's close in the block Why: This is essentially a FRACTAL view of the market. The same candlestick patterns that appear on a daily chart also appear on hourly charts, and on 5-minute charts. By aggregating bars into composite candles, you create a synthetic higher timeframe view without changing your actual timeframe. Benefit: • See higher timeframe patterns while staying on your preferred timeframe • Identify block-level candlestick patterns (Doji, Hammer, Marubozu, Engulfing, etc.) • Compare composite candle relationships: Does Block 1 engulf Block 2? Is Block 1 an inside bar relative to Block 2? • Recognize patterns that individual bars obscure due to noise Fractal Nature: A hammer pattern means the same thing whether it appears on a 1-minute chart or a weekly chart: price tested lower levels and was rejected. Composite candles let you see these patterns at your chosen aggregation level, providing a multi-scale view of market behavior. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 3. VOLUME ENGINE What it does: This indicator is 100% VOLUME-BASED. It separates total volume into buying volume and selling volume using two methods: Method 1 - Geometric (Approximation): • Buy Volume = Total Volume × ((Close - Low) / Range) • Sell Volume = Total Volume × ((High - Close) / Range) Method 2 - Intrabar LTF (Precise): Uses actual tick-level or lower timeframe data to determine real buy/sell distribution. Why: Raw volume tells you HOW MUCH was traded, but not WHO was aggressive. A large volume bar could mean heavy buying, heavy selling, or both. By separating buy and sell volume, you can identify which side is driving the market. Benefit: • Identify whether buyers or sellers are more aggressive • Detect when volume contradicts price direction (divergence) • Measure accumulation (buying into weakness) vs distribution (selling into strength) • Quantify the delta (buy minus sell) to see net pressure Why Delta Matters: If price is rising but delta is negative, sellers are actually more aggressive despite the price increase. This divergence often precedes reversals because the price movement lacks volume confirmation. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 4. PIN ANALYSIS (WICK MEASUREMENT) What it does: Calculates average upper pin (wick) and lower pin sizes for each block, then tracks how these change across consecutive blocks. Why: Upper pins represent price levels that were tested but rejected by sellers. Lower pins represent price levels that were tested but rejected by buyers. The size and direction of pins reveal rejection strength at specific price zones. Benefit: • Large upper pins = strong selling pressure at higher levels • Large lower pins = strong buying support at lower levels • Increasing upper pins across blocks = intensifying selling pressure • Decreasing lower pins across blocks = weakening buying support Why Track Pin Changes: Pin behavior often changes before price direction changes. If lower pins are shrinking while price is still rising, the buying support that was defending dips is weakening. This is observable data, not prediction. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 5. TREND CHANNEL DETECTION What it does: Identifies trend direction using block-level price structure: • UPTREND: Block highs are higher than previous block highs, AND block lows are higher than previous block lows (HH/HL pattern) • DOWNTREND: Block highs are lower than previous block highs, AND block lows are lower than previous block lows (LH/LL pattern) • RANGE: No consistent directional pattern Once detected, the system draws upper and lower channel boundaries by connecting extreme points within each trend segment. Why: HH/HL and LH/LL are the classical definitions of trend. By applying this logic to composite candles (blocks) rather than individual bars, the trend detection becomes more stable and less prone to whipsaws from single-bar noise. Benefit: • Clear visual boundaries showing the current trend channel • Upper channel line = dynamic resistance based on actual price structure • Lower channel line = dynamic support based on actual price structure • Channel angle indicates trend strength (steeper = stronger) • Channel width indicates volatility Why Lock Trend States: Once a block's trend classification is determined, it locks and does not change on subsequent recalculations. Without locking, the same block could flip between UP and DOWN repeatedly, creating inconsistent analysis. Locking ensures stability. Why Project Lines Forward: Channel lines can be projected into the future to show where support/resistance would be if the current trend continues at the same angle. This is not a prediction; it is a visual reference showing the trend's trajectory. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 6. CORE LEVELS: POC, MAX BUY, MAX SELL What it does: Identifies key price levels within each block based on volume data: POC (Point of Control): The price level where the highest total volume occurred within the block. MAX BUY Level: The bar with the highest buying volume. The HIGH of this bar marks the level. MAX SELL Level: The bar with the highest selling volume. The LOW of this bar marks the level. MIN BUY/SELL Levels: Optional levels showing where minimum buy/sell volume occurred. Why: High volume at a specific price means many participants entered positions there. These participants have a vested interest in that price level. If price returns to that area, those same participants may act to defend their positions. Benefit: • POC acts as a volume-based magnet; price tends to revisit high-volume areas • MAX BUY level shows where buyers committed most aggressively • MAX SELL level shows where sellers committed most aggressively • These levels are based on actual transaction data, not arbitrary calculations Why Consumed Levels Disappear: When price crosses through a level, that level has been "tested." Keeping consumed levels on the chart creates visual clutter and suggests they are still relevant when they may no longer be. Removing them keeps focus on levels that have not yet been tested. Why Show Only Nearest Levels: If you have 20 blocks, you could have 60+ potential levels (POC, MAX BUY, MAX SELL for each). Displaying all of them makes the chart unreadable. Showing only the nearest untested level above and below current price keeps the chart clean while providing immediate reference points. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 7. QUALITY SCORE AND TREND INTELLIGENCE What it does: Calculates a quality score (0-100) for the current trend based on multiple factors: • Angle steepness (stronger trends have steeper angles) • Delta consistency (does volume support the trend direction?) • Volume momentum (is participation increasing or decreasing?) • Body expansion (are candle bodies growing or shrinking?) • Pin alignment (do pins support the trend direction?) • Contradiction count (how many factors disagree?) Why: Not all trends are equal. A trend with consistent volume support, expanding bodies, and aligned pins is healthier than a trend with contradicting signals. The quality score quantifies this. Benefit: • HIGH quality (80+): Multiple factors confirm the trend • MEDIUM quality (60-79): Some factors confirm, some neutral • LOW quality (below 60): Multiple contradictions exist • Strength rating based on channel angle: VERY STRONG, STRONG, MODERATE, WEAK ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 8. NARRATIVE ENGINE What it does: Generates a text-based market analysis by synthesizing all calculated data into readable sentences. How it works: 1. Analyzes current candle: pattern type (Doji, Hammer, Marubozu, etc.), body/wick ratios, range vs ATR 2. Analyzes composite candle: Block 1 pattern and relationship to Block 2 (Engulfing, Inside, Outside) 3. Evaluates trend context: direction, duration, quality, transitions 4. Examines volume data: delta, dominance, momentum direction 5. Checks proximity to key levels: channel boundaries, POC, core levels 6. Identifies divergences: when price and volume directions contradict 7. Produces a coherent narrative describing the current situation Why: Numbers and charts require interpretation. The narrative engine translates calculated data into plain language, helping traders understand what the data means in context. This is especially valuable for beginners learning to read charts. Benefit: • Synthesizes multiple data points into a coherent story • Explicitly flags divergences and contradictions • Describes the current situation without making predictions • Educational: shows how different factors relate to each other What the Narrative Does NOT Do: The narrative describes what IS, not what WILL BE. It does not predict future price movement. It reports the current candle pattern, the current trend state, the current volume situation, and the current proximity to levels. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 9. SMART DASHBOARD What it does: Displays all metrics in an organized table with multiple sections. Sections: • Volume Engine: Calculation method, data availability, current candle buy/sell/delta • Trend Volumetrics: Aggregated buy/sell/delta across the current trend, trend type • Pressure and Momentum: Average pins, pin change percentages, body expansion status • Trend Channel Boundaries: Upper/lower levels with exact prices, distances, percentages • Trend Intelligence: Quality score, confidence level, strength rating, volume momentum Why: All the detailed calculations need to live somewhere without cluttering the chart. The dashboard provides comprehensive data in a structured format. Benefit: • All metrics in one place • Organized by category for easy reference • Hover over any label to see a tooltip explaining that metric • No need to draw dozens of lines on the chart TIP: Hover over dashboard headers and labels to see tooltips explaining each metric. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 10. LANGUAGE SUPPORT The indicator supports three languages: • English • Türkçe (Turkish) • हिन्दी (Hindi) Why only three languages? Each additional language requires duplicate strings throughout the code, increasing memory usage and compilation time. To keep the script optimized and responsive, language options are limited to these three. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 11. DATA ACCURACY AND LIMITATIONS This indicator is 100% VOLUME-BASED and requires Lower Timeframe (LTF) intrabar data for accurate calculations. DATA ACCURACY LEVELS: • 1T (Tick): Most accurate, real volume distribution per tick • 1S (1 Second): Reasonably accurate approximation • 15S (15 Seconds): Good approximation, longer historical data available • 1M (1 Minute): Rough approximation, maximum historical data range BACKTEST AND REPLAY LIMITATIONS: • Replay mode results may differ from live trading due to data availability • For longer backtest periods, use higher LTF settings (15S or 1M) • Not all symbols/exchanges support tick-level data • Crypto and Forex typically have better LTF data availability than stocks A NOTE ON DATA ACCESS: Higher TradingView plans provide access to more historical intrabar data, which directly impacts the accuracy of volume-based calculations. More precise volume data leads to more reliable calculations. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 12. SETTINGS OVERVIEW Main Settings: • Window Bars: Total bars to analyze • Group Count: Number of blocks to create • Calculation Basis: Current bar (live updates) or Closed bar (stable, no repaint) Block Analytics: • Show Composite Candle: Toggle ghost candles on/off • Composite Candle Transparency: Adjust visibility • Dim Original Candles: Fade original candles when composites are shown Volume Engine: • Calculation Method: Geometric (approx) or Intrabar (precise) • Lower Timeframe: Select LTF for intrabar calculations Multi-Segment Trend: • Enable Trend Detection: Toggle trend channels on/off • Range Angle Threshold: Angle below which trend is classified as RANGE • Line colors, width, and style • Project to Future: Extend trend lines forward Core Calculation: • Enable Core Calculation: Toggle POC and core levels • Show POC Nearest Up/Down: Display nearest untested POC levels • Include MAX/MIN Buy/Sell Levels: Toggle extremes display • Nearest Only: Show only the closest level above and below price Market Narrative: • Enable Market Narrative: Toggle narrative text • Language selection • Show Educational Disclaimer: Toggle disclaimer in dashboard ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ EDUCATIONAL PURPOSE This indicator is designed to help traders: 1. Understand their current market situation at a glance 2. Learn chart reading through block analysis and composite candles 3. See how volume relates to price movement 4. Recognize when technical factors align or contradict 5. Focus on meaningful levels without chart clutter Whether you are a beginner learning to read charts or an experienced trader seeking a cleaner analytical view, this tool provides structured data to support your analysis. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ IMPORTANT DISCLAIMER This indicator is for EDUCATIONAL PURPOSES ONLY and does not constitute investment advice. Always conduct your own research and consult with a qualified financial advisor before making investment decisions. This disclaimer is also displayed within the indicator itself. If you prefer a cleaner chart, you can disable it in Settings under Market Narrative by unchecking Show Educational Disclaimer.Wskaźnik Pine Script®od ata_sabanciZaktualizowano 2929 2 K