CVD & Big Trade Detector By HKOverview The CVD & Big Trade Detector By HK offers a unique perspective on Cumulative Volume Delta (CVD). This indicator utilizes Floating Bars (Candles) to visualize the cumulative buying and selling pressure. This design allows you to clearly see the net delta of each specific candle relative to the cumulative trend.
Additionally, it integrates the "Big Trade" algorithm to highlight statistically significant volume anomalies (Whale activity) directly on the CVD bars.
How it Works Since standard volume data does not always provide buy/sell splitting, this script estimates intrabar pressure using price action logic:
Buying Pressure: Calculated based on the push from the Low to the Close.
Selling Pressure: Calculated based on the push from the High to the Close.
The indicator then calculates the Delta (Buy Vol - Sell Vol) and accumulates it.
Floating Bars: Instead of plotting from the zero-line, each bar opens at the previous CVD value and closes at the new cumulative value.
Teal/Green Bar: Net buying in the current period (CVD increased).
Maroon/Red Bar: Net selling in the current period (CVD decreased).
Key Features
Floating CVD Structure: Prevents the "barcode effect" common in histogram CVDs. It provides a clean, candle-like view of momentum accumulation.
Whale Detection:
The script calculates the moving average and standard deviation (Sigma) of the buying/selling volume.
Green Dots: Appear when buying volume exceeds the statistical threshold (Signifying a "Big Buy").
Red Dots: Appear when selling volume exceeds the statistical threshold (Signifying a "Big Sell").
Precise Positioning: Whale markers are plotted exactly at the closing value of the CVD bar, showing you exactly where the volume spike impacted the delta.
How to Use
Divergences: Look for situations where Price makes a Higher High, but the CVD Bars fail to make a new high (bearish divergence).
Absorption: If you see a Large Whale Dot on a very small CVD bar (doji-like), it indicates massive volume fighting for direction with little net result—often a sign of absorption or a pending reversal.
Trend Confirmation: Strong floating bars in the direction of the trend, accompanied by Whale Dots, confirm smart money participation.
Settings
Lookback Period: Defines the baseline for the statistical volume calculation (default: 50).
Sensitivity (Sigma): Adjusts how strict the "Whale" detection is (default: 3.0). Higher values = fewer, more significant signals.
Colors: Fully customizable colors for Up/Down bars and Buy/Sell markers.
Built with Pine Script™ v6
Zmienność
Best RSI (SIIT) By Nagaraj HiremathBest RSI (SIIT) By Nagaraj Hiremath is based on RSI shows when to By and sell .
DTR + ATR + OR + VWAP PRO (Merged Model)This indicator combined
Day Trading Range
ATR
VWAP
Open Rang for the selected time frame
BT Session VP & VolatilityBT Session VP v0.6 is a professional-grade Session Volume Profile designed for futures, index, and intraday traders who need clean, accurate session structure without clutter.
This tool builds a true volume distribution for each trading session using lower-timeframe data, detects high- and low-volume nodes, and tracks a dynamic Point of Control (POC) to help traders identify balance, acceptance, and trend conditions in real time.
• Index futures, session-based crypto trading
• Intraday equity index trading
• Momentum scalping with session context
• Auction market theory workflows
Features
• True session-based volume profile (RTH or ETH)
• Futures-correct ETH handling (18:00–17:00 session)
• Hard session fencing — no volume bleed between sessions
• Lower-timeframe volume aggregation for accuracy
• Dynamic Point of Control (POC) tracking
• High Volume Nodes (HVN) and Low Volume Nodes (LVN)
• Live session and prior session profiles
• Optional volatility-weighted volume
• Fully customizable colors, opacity, and labels
**Volatility-Weighted Volume** is an optional feature that adjusts how volume contributes to the session profile based on current market volatility.
Instead of treating all volume equally, BT Session VP can weight volume more heavily during periods of expansion and less during periods of compression.
When volatility weighting is enabled:
• If volatility is above its recent average, volume is amplified; below volume is dampened
• The strength of this effect is controlled by a user-defined multiplier
• Volatility weighting does not change price levels, Iit does not introduce signals or repainting. It only affects how volume contributes to the distribution
• The feature can be disabled at any time for a traditional volume profile
The Point of Control is calculated dynamically as the session evolves.
• If the POC remains stable for N bars, the market is considered balanced
• If the POC shifts upward, it reflects bullish acceptance
• If the POC shifts downward, it reflects bearish acceptance
• POC color changes automatically based on these conditions
This allows traders to quickly distinguish between balance, rotation, and trend days.
• HVN represent price levels where the market previously accepted value
• LVN represent areas of rejection or inefficiency
Nodes are filtered using:
• Local dominance logic
• Minimum separation (prevents clustering)
These levels often act as:
• Support / resistance
• Acceptance or rejection zones
• Rotation targets during balance
How traders use BT Session VP
• Identify balance vs trend days early
• Use POC direction to confirm market regime
• Trade rotations between HVNs during balance
• Fade LVNs during rejection
• Use prior session nodes as reaction levels
• Combine with momentum tools for confirmation
This indicator is designed to provide context , not signals.
It works best when combined with execution tools, order flow, or momentum confirmation.
Ai Kavach by Pooja v16✅ Fakeout Kavach by Pooja — Smart Fake Breakout Protector
Fakeout Kavach is designed to help traders understand when a breakout is strong and when it is likely to be a trap.
It works as a confirmation and filtering system, giving you a clear view of market strength, momentum, volume pressure, and potential reversal signs — without providing buy/sell recommendations.
This is a support tool for traders who want cleaner entries, fewer trap trades, and better clarity in fast-moving markets.This tool adds an intelligent multi-layer confirmation system on your chart so you can quickly understand:
✔ When the breakout is real
✔ When the market has strength
✔ When momentum is fading
✔ And when you should simply avoid the move
It doesn’t give buy/sell calls.
Instead, it helps you decide “Should I trust this move or not?”
⭐ Core Features (Explained in Simple Language)
🔹 1. Fake Breakout Filter (RSI + MA Logic)
Fakeouts often happen when price shows strength but momentum does not.
This module checks:
RSI strength
RSI–MA crossover behaviour
Momentum direction
Push/rejection zones
📌 Benefit:
Quickly see if the breakout has real strength behind it or it’s just a trap candle.
🔹 2. Trend Strength Filter (ADX Protection)
Most traders lose money in sideways markets.
ADX Filter helps you understand whether the market actually has trend strength or not.
📌 Benefit:
Avoid taking trades when the market is weak, choppy, or directionless.
Only focus on moves backed by strength.
🔹 3. SB/SS Smart Confirmation
SB (Strong Break) and SS (Strong Slide) confirmations highlight alignment between:
Momentum
Trend
Strength
RSI structure
📌 Benefit:
Cleaner entries, fewer false triggers, and more confidence in the move you take.
🔹 4. Divergence Detection (RSI Based)
Catches early signs of:
Bullish reversal
Bearish reversal
Exhaustion at highs/lows
📌 Benefit:
Helps you avoid entering at the worst possible points and improves exit timing.
🔹 5. VAD Module (Volume + ATR + Delta Pressure)
Fake moves usually have weak volume or no volatility.
This module checks:
Volume strength
Volatility (ATR)
Buying/selling pressure (Delta)
📌 Benefit:
Helps you understand whether the breakout is backed by real buyer/seller pressure.
🔹 6. Session Protection
Opening candles can be noisy and unpredictable.
Session block lets you avoid signals during high volatility windows.
📌 Benefit:
No more taking wrong entries during the rush at market open.
🔹 7. Fully Modular – Use Only What YOU Need
Every feature has its own ON/OFF switch.
You can create your perfect setup by enabling only what you prefer.
📌 Benefit:
Suitable for scalpers, intraday traders, swing traders, and even beginners.
🎨 Customization Power — Fully Modular Design
✔ Every section of Fakeout Kavach has its own ON/OFF toggle:
✔ Turn RSI visuals on/off
✔ Enable or disable MA & fills
✔ Activate or hide divergences
✔ Use or ignore ADX trend filter
✔ Show or hide SB/SS signals
✔ Enable or disable session block
✔ Choose label style, shapes, colors, sizes
✔ Keep chart clean or run full analysis mode
✔ You decide what appears.
✔ You control the complexity.
✔ One indicator fits all types of traders.
🌍 Works Across All Markets
✔ Stocks
✔ Crypto
✔ Forex
✔ Commodities
✔ Indices
All timeframes from scalping to swing trading.
⭐ What This Indicator Helps You With
Avoiding trap candles
✔ Understanding when a move is strong or weak
✔ Filtering bad breakouts
✔ Confirming market structure with momentum
✔ Spotting reversal signs early
✔ Building confidence in your entries
✔ Staying out of sideways/no-volume zones
🛠 Support
For indicator-related questions, clarification, or feature suggestions, you can contact the creator through TradingView’s comment section or direct message.
⚠ Disclaimer (TradingView Policy Safe)
This indicator does not provide buy/sell signals, does not predict market movements, and does not guarantee results or profitability.
It is a technical analysis tool intended to assist traders in making their own trading decisions.
Always use proper risk management and follow your own trading plan.
Sigma Trinity ModelSigma Trinity Model
Sigma Trinity Model is a modular market-structure and risk-management framework designed for clarity, discipline, and real-time execution.
The model is built around three tightly integrated components that work together to define structure, continuation, and risk control — without relying on prediction, repainting, or hindsight logic.
1. Rasta Engine — Structural State
The Rasta Engine defines the core market regime using real-time EMA structure:
Identifies LONG and SHORT states based on directional structure
Uses optional EMA 8/21 filtering for trend alignment
Designed to operate intrabar with bar-close confirmation
One state change per move (no signal spam)
Rasta acts as the primary decision layer of the system.
2. Pyramid Module — Continuation & Scaling
The Pyramid Module is an optional continuation component:
Only activates when the Rasta Engine is already in a LONG state
Designed for controlled position scaling during sustained momentum
Fully optional and toggleable
Does not override or conflict with the core Rasta state
This module allows users to participate more fully in strong trends while maintaining structure discipline.
3. Risk Engine — Unified Fixed & Trailing Stops
Sigma Trinity includes a built-in Risk Engine that manages exits using a unified approach:
Fully adjustable fixed stop and trailing stop logic
Independent controls for LONG and SHORT risk
Unified exit behavior (all stop logic resolves to a single EXIT event)
Designed for compatibility with automation tools such as GoodCrypto
The system does not expose internal stop mechanics to the user — all exits are handled cleanly and consistently to reduce error and confusion.
About RSI Extremes (Companion Indicator)
Sigma Trinity Model is intentionally focused on execution and risk control.
For traders who want additional context around exhaustion, pressure, and timing, RSI Extremes is provided as a separate companion indicator.
RSI Extremes:
Displays in its own lower pane
Uses RSI of HIGH and LOW to visualize pressure extremes
Provides ENTER / EXIT context markers
Does not open or close trades
Does not interfere with Sigma Trinity execution logic
Keeping RSI Extremes separate ensures:
Clear visual interpretation
Cleaner execution logic
Greater flexibility for users who prefer different confirmation tools
This separation is intentional and allows each component to remain focused on its specific role.
Important Notes
Sigma Trinity Model is an execution framework, not a prediction system.
No indicator can guarantee results; proper risk management is essential.
Users should test and understand the model before applying it in live environments.
RSI Extremes is optional and not required for Sigma Trinity to function correctly.
Summary
Sigma Trinity Model is designed for traders who value:
Structural clarity over noise
Risk control over prediction
Modular systems over monolithic indicators
Used together, Sigma Trinity Model and RSI Extremes provide a clear, disciplined way to observe market structure, manage positions, and understand context — while remaining transparent, stable, and adaptable.
AI Chakra for Global Markets by Pooja🔮 AI Chakra for Global Markets — by Pooja
Invite-Only | Rule-Based Market Structure & Momentum Indicator
🔹 What this indicator actually does
AI Chakra is a rule-based indicator that generates Auto Buy / Auto Sell signals
only when predefined rules across trend, momentum, volatility and structure are satisfied together.
It is not a simple RSI, EMA or SMC indicator, and it is not a visual mash-up.
Each component has a fixed role, and no signal is allowed unless all required rules pass.
🟢 AUTO BUY / 🔴 AUTO SELL — How signals are generated
BUY signal is allowed ONLY when ALL rules below are true on candle close:
Trend Rule
Price above EMA trend structure
EMA alignment confirms bullish bias
Fair-Price Rule
Price above VWAP (no buy below VWAP)
Momentum Rule
RSI above its moving average
RSI–RSI-MA distance above minimum threshold
RSI-MA slope positive (flat momentum blocked)
Volatility Rule
ADX confirms market strength
ATR confirms sufficient price movement
Low-energy / sideways markets are ignored
Structure Rule
Market structure is valid (BOS or active CHoCH context)
No buy allowed against recent structure shift
Candle Confirmation Rule
Signal triggers only after candle close
No intrabar or repaint signals
If any single rule fails → NO BUY SIGNAL.
SELL signal follows the same rules in the opposite direction.
🧠 What “AI” means here (no hype, no prediction)
“AI” in this indicator does NOT mean machine learning or prediction.
It refers to:
Multi-rule decision logic
State-based signal control
Conditional signal rejection
Context-aware validation instead of single-condition triggers
👉 The indicator decides whether a signal is allowed or rejected, similar to a rule engine.
📉 Fake Breakout Protection (Core Purpose)
This indicator is specifically designed to avoid fake breakouts.
Fake signals are blocked using:
RSI distance + slope filter
ADX strength validation
ATR volatility requirement
VWAP position filter
Structure (BOS / CHoCH) alignment
Low-volume, sideways and weak momentum moves are intentionally ignored.
🧱 Market Structure (SMC) — How it is used
Break of Structure (BOS)
Detected using swing highs / lows
Confirms continuation of current trend
Used as structure validation, not as a trade trigger
Change of Character (CHoCH)
Detected when price breaks previous structure
Marks possible trend shift
Remains valid only for limited bars
⚠️ BOS / CHoCH do not generate trades alone.
They only allow or block signals from the main engine.
🔁 Partial Signals — Why they exist
Instead of only final Buy/Sell, the indicator shows Partial Signals:
CHoCH + RSI
EMA + VWAP + RSI
EMA + VWAP + Supertrend + RSI
Breakout structure (RSI intentionally excluded)
Partial signals:
Do not mean trade entry
Show which rules are already satisfied
Help traders track setup development
📍 Support & Resistance (Context Only)
Traditional Pivot Points
Multi-timeframe calculation (Daily / Weekly / Monthly)
Optional price labels
Pivot levels:
Never generate signals
Used only as support / resistance reference
📐 Trendline Module (Optional)
Trendlines drawn from swing points
ATR / Std-Dev / Regression-based slope
Extended forward for interaction zones
Trendlines are contextual, not breakout triggers.
⚙️ Trading Modes (Different rule handling)
Intraday Mode
Direction resets daily
Prevents repeated same-side signals in one session
Positional Mode
Direction stays active until opposite structure appears
No daily reset
Logic is different internally — not cosmetic.
🔔 Alerts
Auto Buy / Auto Sell alerts
Partial alerts available
Candle-close only
Non-repainting
Webhook compatible
🔒 Why Invite-Only
The script uses:
Stateful signal logic
Multi-rule validation
Structure-based filters
Partial-to-confirmed signal flow
Source is restricted to protect these mechanisms.
⚠️ Disclaimer
This indicator is for educational and analytical use only.
It does not provide financial advice or trade recommendations.
Risk management is the user’s responsibility.
Bollinger Bands + MA 50/100/200📊 Bollinger Bands + MA 50 / 100 / 200 Indicator
This indicator combines Bollinger Bands with key Moving Averages (50, 100, 200) to help you spot trend direction, volatility, and potential reversal zones in one clean view.
🔹 Bollinger Bands
* Customizable length & MA type (SMA, EMA, RMA, WMA, VWMA)
* Visualizes market volatility
* Upper & lower bands help identify overbought / oversold conditions
🔹 Moving Averages
* MA 50 → Short-term trend
* MA 100 → Medium-term trend
* MA 200 → Long-term trend & major support/resistance
* Easy toggle on/off for clean charting
💡 How to use
* Price near upper band + strong MA trend → possible continuation
* Price near lower band → watch for bounce or breakdown
* MA alignment (50 > 100 > 200) → bullish trend
* MA cross & BB squeeze → potential breakout incoming
⚠️ Best used with price action & risk management
📌 Works on stocks, crypto, forex, indices
Order Flow Signals - Alphaomega18═══════════════════════════════════════════════════════════════════════════════
ORDER FLOW SIGNALS - TRADINGVIEW PUBLICATION (ENGLISH)
Created by Alphaomega18
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📌 PUBLICATION TITLE
═══════════════════════════════════════════════════════════════════════════════
Order Flow Signals - Absorptions & CVD Divergences - Alphaomega18
📝 COMPLETE DESCRIPTION
═══════════════════════════════════════════════════════════════════════════════
🎯 DETECT INSTITUTIONAL MOVES IN REAL-TIME
Order Flow Signals is an advanced order flow analysis indicator that displays institutional absorption signals, hidden CVD divergences, and extreme buy/sell pressure directly on your chart.
Fully customizable with 9 configurable colors, adjustable label sizes, and extreme absorption detection (300%+), this indicator allows you to trade WITH institutions, not against them.
🔥 THE PROBLEM IT SOLVES
Have you ever:
✗ Taken a technically perfect setup but got stopped out?
✗ Seen price reject a support/resistance but go the other way?
✗ Entered counter-trend without knowing institutions were accumulating?
✗ Missed big moves due to lack of confirmation?
Order Flow Signals solves these problems by revealing what smart money is REALLY doing behind each candle.
📊 SIGNALS DISPLAYED ON CHART
🔷 ABSORPTIONS (💎 Diamonds)
Institutions absorb order flow when volume is high BUT price doesn't move in the expected direction.
💎 BULLISH ABSORPTION (Cyan)
→ Volume spike + bearish candle + positive delta
→ Institutions are BUYING despite selling pressure
→ Strong accumulation signal
💎 BEARISH ABSORPTION (Orange)
→ Volume spike + bullish candle + negative delta
→ Institutions are SELLING despite buying pressure
→ Strong distribution signal
🔥 EXTREME ABSORPTIONS (Fuchsia Fire)
→ Volume > 300% of average (customizable)
→ MASSIVE institutional activity
→ Ultra-rare and ultra-strong signals
→ Indicates major moves in preparation
🔺 DIVERGENCES (▲ Green Triangles)
Price makes lower lows BUT CVD makes higher lows
→ Hidden accumulation in progress
→ Bullish reversal signal likely
→ Confirms your BUY entries
🔻 DIVERGENCES (▼ Red Triangles)
Price makes higher highs BUT CVD makes lower highs
→ Hidden distribution in progress
→ Bearish reversal signal likely
→ Confirms your SELL entries
🚀 EXTREME BUY PRESSURE (Rockets)
Delta > 2x average
→ Massive aggressive buying
→ Strong bullish momentum
→ Continuation likely
💥 EXTREME SELL PRESSURE (Explosions)
Delta < -2x average
→ Massive aggressive selling
→ Strong bearish momentum
→ Capitulation or panic
📈 DELTA PER CANDLE DISPLAY (NEW)
Option to display numerical delta on each candle:
• ✅ GREEN when delta positive (+250, +180, etc.)
• ❌ RED when delta negative (-320, -150, etc.)
• Tiny size to avoid clutter
• Perfect for tracking flow in real-time
🎯 REAL USE CASES
📌 Example 1: Avoid the Classic Trap
Technical setup:
→ Price rejects VWAP Weekly (resistance)
→ FVG below attracting
→ Single Prints above
→ You think: "Perfect SELL setup!"
WITHOUT Order Flow Signals:
❌ You enter SELL
❌ Price goes up and stops you out
❌ Frustration and loss
WITH Order Flow Signals:
✅ You see 💎 CYAN DIAMOND (Bullish absorption)
✅ Institutions are BUYING despite rejection
✅ You DON'T ENTER SELL
✅ Trade saved, loss avoided!
📌 Example 2: Confirm a Breakout
Setup:
→ Price breaks major resistance
→ But is it a real breakout or fakeout?
Check Order Flow Signals:
→ 🚀 ROCKET appears (extreme buy pressure)
→ 💎 CYAN DIAMOND (bullish absorption)
→ Massive positive delta visible
Clear signal: It's a REAL breakout!
→ Enter BUY with confidence
→ Institutions pushing price
📌 Example 3: Detect Hidden Accumulation
Situation:
→ Price consolidating in range
→ Apparently neutral
→ No clear technical signal
Order Flow Signals reveals:
→ ▲ GREEN TRIANGLE (bullish divergence)
→ Price flat BUT CVD rising progressively
→ Institutional accumulation in progress
Action: Prepare LONG position
→ When price breaks, it will be violent!
⚙️ COMPLETE CUSTOMIZATION
🎨 COLORS (9 configurable colors)
• Bullish Absorption (default: cyan)
• Bearish Absorption (default: orange)
• EXTREME Absorption (default: fuchsia)
• Bullish Divergence (default: green)
• Bearish Divergence (default: red)
• Buy Pressure (default: lime)
• Sell Pressure (default: fuchsia)
• Positive Delta (default: green)
• Negative Delta (default: red)
Adapt the indicator to your chart style!
📏 LABEL SIZES
5 sizes available: Tiny / Small / Normal / Large / Huge
→ Perfect for all screen types
→ Large 4K screen? → Large or Huge
→ Small laptop? → Small or Normal
🔍 CUSTOMIZABLE DETECTION
• Normal Absorption Threshold: 1.5x (default)
• EXTREME Absorption Threshold: 3.0x (default)
• Divergence Periods: 14 (default)
• All thresholds adjustable to your style
👁️ ON/OFF DISPLAY
• Absorptions 💎 (On/Off)
• Divergences ▲▼ (On/Off)
• Extreme Pressure 🚀💥 (On/Off)
• Delta per Candle (On/Off)
Display only what you need!
🔔 COMPLETE ALERT SYSTEM
8 independently configurable alert types:
1. 🔵 Bullish Absorption
2. 🔴 Bearish Absorption
3. 🔥🔵 EXTREME Bullish Absorption
4. 🔥🔴 EXTREME Bearish Absorption
5. 📈 Bullish Divergence
6. 📉 Bearish Divergence
7. 🚀 Extreme Buy Pressure
8. 💥 Extreme Sell Pressure
Receive push, email or SMS notifications when institutions act!
💡 MARKETS AND TIMEFRAMES
✅ ALL markets compatible:
• Futures (ES, NQ, YM, RTY, MNQ, MES, etc.)
• Forex (EUR/USD, GBP/USD, USD/JPY, etc.)
• Crypto (BTC, ETH, altcoins)
• Stocks (Tesla, Apple, Nvidia, etc.)
• Indices (S&P 500, Nasdaq, Dow Jones)
• Commodities (Gold, Oil, etc.)
✅ All timeframes:
• Scalping: 1min, 5min
• Day Trading: 15min, 30min, 1H ⭐ (optimal!)
• Swing Trading: 4H, Daily
Note: More reliable signals with real volume data
→ TradingView Premium recommended for tick data
🏆 UNIQUE ADVANTAGES
✅ Automatic institutional absorption detection
✅ EXTREME absorptions (300%+) for ultra-strong signals
✅ Integrated CVD (Cumulative Volume Delta)
✅ Optional per-candle delta display (green/red)
✅ 9 customizable colors - adapt to your style
✅ 5 label sizes - perfect for all screens
✅ Clear visual signals directly on chart
✅ Detailed tooltips on each signal
✅ 8 independent configurable alerts
✅ Clean, optimized code, no repaint
✅ Compatible all markets and timeframes
📊 RECOMMENDED CONFIGURATION
For MNQ / ES / NQ (15min):
```
Detection:
├─ Normal Absorption Threshold: 1.5x
└─ EXTREME Absorption Threshold: 3.0x
Display:
├─ Absorptions: ✅ ON
├─ Divergences: ✅ ON
├─ Extreme Pressure: ✅ ON
└─ Delta per Candle: ❌ OFF (or ON if preferred)
Customization:
└─ Label Size: Normal (or Large for big screen)
Colors:
└─ Default (or customize!)
Alerts:
└─ All ✅ ON
```
For Scalping (1-5min):
```
└─ Label Size: Small
└─ Delta per Candle: ✅ ON (useful in scalping)
└─ Absorption Threshold: 2.0x (stricter)
```
🎓 SUPPORT AND TOOLTIPS
Each signal includes detailed tooltip on hover:
• Exact volume and multiplier (e.g. 2.3x)
• Precise delta
• Signal explanation
• Suggested action
Hover over 💎▲🚀 to understand each signal!
🔗 PERFECT COMPLEMENT
This indicator works perfectly with:
• Order Flow Dashboard (to see CVD and pressures)
• VWAP Multi-Timeframe
• Fair Value Gaps (FVG)
• Market Profile (POC/VPOC)
• Support/Resistance
Combine Order Flow signals with your technical analysis!
⚠️ DISCLAIMER
Technical indicators are decision support tools. No indicator guarantees profits. Always use:
• Appropriate risk management
• Stop loss on every trade
• Proper position sizing
• Demo account testing first
Order Flow Signals improves your analysis but doesn't replace a complete strategy.
📞 CONTACT AND SUPPORT
Created by Alphaomega18
For questions, bugs or suggestions:
Find my other indicators:
• Order Flow Dashboard (CVD and pressures)
• VWAP Multi-Timeframe Pro
• Fair Value Gap Detector
• Volume & Volatility Crisis Detector
CVD Oscillator - Alphaomega18ORDER FLOW DASHBOARD OSCILLATOR - TRADINGVIEW PUBLICATION (ENGLISH)
Created by Alphaomega18
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📌 PUBLICATION TITLE
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Order Flow Dashboard - CVD Oscillator & Pressures - Alphaomega18
📝 COMPLETE DESCRIPTION
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🎯 TRACK INSTITUTIONAL FLOW IN REAL-TIME
Order Flow Dashboard Oscillator is an advanced indicator that displays CVD (Cumulative Volume Delta) as a percentage oscillator, combined with real-time buy/sell pressures.
Unlike traditional CVD indicators where raw CVD reaches millions and crushes other data, this oscillator displays CVD deviation from its average in %, allowing clear reading on the SAME scale as pressures.
🔥 THE PROBLEM SOLVED
Classic CVD indicator problem:
✗ Raw CVD climbs to 1,000,000+ → Unreadable
✗ Pressures stay small (0-500) → Invisible
✗ Impossible to see both simultaneously
✗ Cluttered and confusing chart
Solution with CVD Oscillator:
✅ CVD displayed as % deviation (oscillates around 0)
✅ Pressures normalized on same scale
✅ EVERYTHING visible simultaneously
✅ Clear and intuitive reading
📊 INDICATOR COMPONENTS
🔷 CVD OSCILLATOR (Thick white line)
Traditional CVD accumulates infinitely:
→ Raw CVD = 50,000 ... 100,000 ... 500,000 ... 1,000,000+
→ Hard to interpret
CVD Oscillator shows DEVIATION:
→ CVD Oscillator = +5% ... +12% ... -3% ... -8%
→ Easy to interpret!
**How it works:**
• Calculates distance between CVD and its moving average (20 periods default)
• Converts to percentage
• Oscillates around 0 (gray center line)
**Interpretation:**
• **Above 0** → CVD > Average = BULLISH trend
• **Below 0** → CVD < Average = BEARISH trend
• **+10% zone** (green dotted line) → Buyer strength
• **-10% zone** (red dotted line) → Seller strength
🔷 BUY/SELL PRESSURES (Green/Red zones)
**Buy Pressure (Green zone)**
→ Calculated on bullish candles
→ Proportional to candle size
→ Normalized for optimal visibility
**Sell Pressure (Red zone)**
→ Calculated on bearish candles
→ Proportional to candle size
→ Normalized for optimal visibility
**Extreme Pressures** (Background)
→ 🟢 Light green background = EXTREME buy pressure (delta > 2x average)
→ 🔴 Light red background = EXTREME sell pressure (delta < -2x average)
🔷 REAL-TIME DASHBOARD (Top right corner)
Displays 6 key metrics:
1. **CVD Osc**: Oscillator value in %
2. **CVD Raw**: Raw CVD value (reference)
3. **Trend**: 🟢 Bullish or 🔴 Bearish
4. **Delta**: Current candle delta
5. **Volume**: HIGH (spike) or Normal
6. **Pressure**: 🚀 BUY / 💥 SELL / Neutral
🎯 HOW TO USE IT
📌 CASE 1: HOLD TRADES LONGER
**Classic problem:**
→ You're in a LONG
→ Price pulls back slightly, you panic
→ You exit... then price resumes up
→ Frustration: "I was right but exited too early!"
**Solution with CVD Oscillator:**
Example LONG trade:
1. You enter LONG on breakout
2. You watch CVD Oscillator
3. **As long as it stays ABOVE 0** → Keep the trade
4. Institutions continue accumulating
5. Trend remains intact
Exit:
→ CVD Oscillator **crosses below 0**
→ Signal: Institutions now selling
→ You exit or take profits
**Result:**
✅ You maximize your gains
✅ You exit at right time (when flow changes)
✅ You don't panic on small corrections
📌 CASE 2: CONFIRM TREND STRENGTH
**Setup:**
→ Price in uptrend
→ But is it real trend or just noise?
**Check CVD Oscillator:**
STRONG trend:
→ CVD Oscillator **stays positive** (+5%, +8%, +12%)
→ Dominant buy pressures (green zones)
→ Few or no red backgrounds
WEAK trend:
→ CVD Oscillator **oscillates around 0** (+2%, -1%, +3%)
→ Mixed pressures (green and red alternate)
→ Lack of conviction
**Action:**
✅ Strong trend → Trade with confidence
⚠️ Weak trend → Be cautious or avoid
📌 CASE 3: DETECT TREND CHANGE
**CVD Oscillator Divergence:**
Price makes higher highs BUT:
→ CVD Oscillator makes lower highs
→ +15% ... +12% ... +8% (progressive decline)
→ Sell pressures increasing
Signal: Distribution in progress
→ Institutions selling into rally
→ Reversal likely
→ Prepare SHORT or exit LONG
📌 CASE 4: OPTIMAL ENTRY TIMING
**Situation:**
→ Price consolidating
→ You wait for signal to enter
**LONG entry signal:**
→ CVD Oscillator **crosses above 0**
→ Green background (extreme buy pressure) appears
→ Dashboard: 🚀 BUY
Action: Enter LONG immediately
**SHORT entry signal:**
→ CVD Oscillator **crosses below 0**
→ Red background (extreme sell pressure) appears
→ Dashboard: 💥 SELL
Action: Enter SHORT immediately
⚙️ CUSTOMIZABLE PARAMETERS
🔧 **CVD Moving Average Length** (default: 20)
→ Moving average period for oscillator
→ Shorter (10-15) = More reactive, more signals
→ Longer (30-50) = Smoother, fewer false signals
👁️ **Show CVD Oscillator** (On/Off)
→ Show/hide CVD Oscillator line
👁️ **Show Buy/Sell Pressure** (On/Off)
→ Show/hide pressure zones
👁️ **Show Info Dashboard** (On/Off)
→ Show/hide information table
📊 RECOMMENDED CONFIGURATIONS
**For Day Trading (15min-1H):**
```
CVD MA Length: 20
Show CVD Oscillator: ✅ ON
Show Buy/Sell Pressure: ✅ ON
Show Info Dashboard: ✅ ON
```
**For Scalping (1-5min):**
```
CVD MA Length: 10 (more reactive)
Show CVD Oscillator: ✅ ON
Show Buy/Sell Pressure: ✅ ON
Show Info Dashboard: ✅ ON
```
**For Swing Trading (4H-Daily):**
```
CVD MA Length: 30 (smoother)
Show CVD Oscillator: ✅ ON
Show Buy/Sell Pressure: ✅ ON
Show Info Dashboard: ✅ ON
```
💡 MARKETS AND TIMEFRAMES
✅ **ALL markets compatible:**
• Futures (ES, NQ, YM, RTY, MNQ, MES, etc.)
• Forex (EUR/USD, GBP/USD, USD/JPY, etc.)
• Crypto (BTC, ETH, altcoins)
• Stocks (Tesla, Apple, Nvidia, etc.)
• Indices (S&P 500, Nasdaq, Dow Jones)
✅ **All timeframes:**
• Scalping: 1min, 5min
• Day Trading: 15min, 30min, 1H ⭐ (optimal!)
• Swing Trading: 4H, Daily
Note: More reliable with real volume data
→ TradingView Premium recommended
🏆 UNIQUE ADVANTAGES
✅ **CVD Oscillator**: % deviation instead of raw value
✅ **Same scale**: CVD and pressures visible together
✅ **Intuitive reading**: Above/below 0
✅ **Normalized pressures**: Always visible
✅ **Real-time dashboard**: 6 key metrics
✅ **Strength zones**: +10% and -10% marked
✅ **Background alerts**: Visual extreme pressures
✅ **Optimized code**: Light and fast
✅ **No repaint**: Reliable signals
🔗 PERFECT COMPLEMENT
Use with **Order Flow Signals** for complete system:
• **Order Flow Signals** (overlay=true) → Signals on chart
→ 💎 Absorptions, ▲ Divergences, 🚀 Pressures
• **Order Flow Dashboard** (overlay=false) → CVD and metrics
→ CVD Oscillator, Pressures, Live dashboard
**Complete system = 360° order flow vision!**
🎓 QUICK INTERPRETATION
**CVD Oscillator:**
• +5% to +10% = Moderate bullish
• +10% and above = STRONG bullish
• -5% to -10% = Moderate bearish
• -10% and below = STRONG bearish
• Near 0 = Neutral / Consolidation
**Pressures:**
• Large green zones = Dominant buying
• Large red zones = Dominant selling
• Balanced = Indecision
**Dashboard:**
• 🟢 Bullish + 🚀 BUY = Strong LONG signal
• 🔴 Bearish + 💥 SELL = Strong SHORT signal
• Massive positive delta = Bullish momentum
• Massive negative delta = Bearish momentum
⚠️ DISCLAIMER
Technical indicators are decision support tools. No indicator guarantees profits. Always use:
• Appropriate risk management
• Stop loss on every trade
• Proper position sizing
• Demo account testing first
Order Flow Dashboard improves your analysis but doesn't replace a complete strategy.
🚀 INSTALLATION
1. Copy the Pine Script code
2. Open Pine Editor in TradingView
3. Paste the code
4. Click "Add to Chart"
5. Indicator displays in separate pane (below)
6. Configure parameters to your preferences
7. Combine with Order Flow Signals for complete system!
💡 USAGE TIPS
**Golden Rule for Holding Trades:**
→ LONG: Keep as long as CVD Osc > 0
→ SHORT: Keep as long as CVD Osc < 0
**Strength Signals:**
→ CVD Osc > +10% = Very bullish
→ CVD Osc < -10% = Very bearish
**Trend Change:**
→ CVD Osc crosses 0 = Potential change
→ + Extreme background = Strong confirmation
📞 CONTACT AND SUPPORT
Created by Alphaomega18
For questions, bugs or suggestions:
Find my other indicators:
• Order Flow Signals (signals on chart)
• VWAP Multi-Timeframe Pro
• Fair Value Gap Detector
• Volume & Volatility Crisis Detector
RSI ExtremesRSI Extremes — Exhaustion-Based Entry & Exit Framework
RSI Extremes is an analytical momentum-exhaustion framework designed to highlight statistically rare conditions where price action has stretched far enough to warrant heightened attention. Rather than attempting to predict direction or forecast outcomes, this tool focuses on identifying extreme pressure zones where risk dynamics materially change.
The indicator is intentionally minimal, rule-based, and transparent, making it suitable for studying market behavior across any asset class or timeframe.
Core Concept
Traditional RSI implementations rely on a single RSI line calculated from closing prices. RSI Extremes takes a more nuanced approach by separating downside exhaustion from upside exhaustion using different price references:
RSI (Low) is used to evaluate downside pressure
RSI (High) is used to evaluate upside pressure
This separation allows the indicator to react to true intrabar extremes instead of relying solely on closes, which can obscure meaningful stress during volatile moves.
Signal Logic
ENTER (Oversold Exhaustion)
An ENTER event is generated when:
RSI calculated on Low prices touches or falls below a user-defined lower threshold (default: 15)
This condition highlights moments where selling pressure has reached an extreme and downside momentum may be statistically overextended.
EXIT (Overbought Exhaustion)
An EXIT event is generated when:
RSI calculated on High prices touches or exceeds a user-defined upper threshold (default: 85)
This condition highlights moments where buying pressure has reached an extreme and upside momentum may be statistically overextended.
Real-Time + Bar-Close Safety
RSI Extremes is designed to function reliably in both live and historical environments:
Real-time detection allows signals to appear as conditions are met intrabar
Bar-close backup logic ensures signals are not missed if real-time conditions occur between updates
One alert per event prevents duplicate or spam signals
This structure makes the indicator suitable for observation, testing, and integration into broader analytical workflows.
Cooldown (Rest Period)
To reduce signal clustering in choppy or highly compressed conditions, RSI Extremes includes a configurable cooldown period after any signal. During this rest window, no new ENTER or EXIT events will fire.
This helps isolate meaningful extremes rather than repeated micro-signals.
Visual Components
RSI (Low) — highlights downside pressure
RSI (High) — highlights upside pressure
Ghost RSI (smoothed) — a visual-only reference to contextualize momentum flow
Neutral band (30–70) — provides orientation without acting as a signal source
The ghost line does not participate in signal logic and exists strictly to improve visual clarity.
How RSI Extremes Works with Rasta
RSI Extremes is designed to complement Rasta, not replace it.
Role Separation
Rasta focuses on structure and directional rhythm
RSI Extremes focuses on exhaustion and pressure extremes
When used together:
Rasta helps define context and trend behavior
RSI Extremes highlights where that behavior may be stretched
Practical Pairing Concept
A common analytical workflow is:
Use Rasta to understand market structure, regime, and directional flow
Use RSI Extremes to observe where price has reached statistically rare exhaustion levels within that structure
This pairing allows users to study timing versus context without relying on a single indicator to do everything.
Important Notes
RSI Extremes is an analytical and educational tool
It does not predict future price movement
It does not provide financial advice
Signals indicate conditions, not outcomes
Users are responsible for interpretation, risk management, and decision-making
Summary
RSI Extremes is a focused exhaustion-detection framework built to:
Highlight rare momentum conditions
Reduce noise through strict thresholds and cooldown logic
Operate cleanly in real-time and historical analysis
Integrate naturally with structure-based tools like Rasta
Its strength lies in clarity, restraint, and role discipline — identifying when markets are stretched, not what must happen next.
RastaRasta — Real-Time Directional State Framework
Rasta is a real-time, state-based momentum and structure indicator designed to help users visualize directional market bias and observe transitions between bullish and bearish regimes. The script combines an adaptive baseline (EMA) with a selectable smoothing layer to create a clean, readable structure that highlights how price momentum and trend context evolve over time.
This indicator is built to be responsive in real time while remaining readable on higher timeframes. It is intended for users who want a practical framework for studying market rhythm, structure, and directional bias—without relying on hindsight-based visuals.
Concept Overview
Rasta works by tracking two primary curves:
EMA Line (core baseline)
A fast baseline that responds to price movement according to the selected length and source.
Smoothed Line (structure layer)
A second line derived from the baseline using a user-selected smoothing method. This creates a stable “structure reference” that helps distinguish meaningful directional shifts from minor noise.
When the baseline crosses the structure line, the script interprets it as a directional state transition:
LONG state when momentum structure shifts upward
SHORT state when momentum structure shifts downward
These transitions are presented as labels and can be used to trigger alerts that notify the user when a state change occurs.
Key Features
1) Real-Time Directional State Transitions
Rasta evaluates transitions continuously and can generate state-change markers in real time. This makes it suitable for users who want a framework that can react during the bar, not only after a bar closes.
2) Per-Bar Lock for Clean Signaling
To prevent repeated triggering inside the same candle, Rasta uses a per-bar lock. This helps keep the visual output and alerting behavior clean and prevents rapid repeats when price oscillates around the crossover level.
3) One-Position State Logic
Rasta uses an internal state model so signals behave consistently:
A LONG state change occurs only when not already in that state
A SHORT state change occurs only when already in a LONG state (and vice versa depending on configuration)
This produces a stable “state machine” feel rather than noisy multi-trigger behavior.
4) Bar-Close Backup Events
In addition to real-time behavior, Rasta includes bar-close confirmation events so that state transitions can still be captured on confirmed closes. This is intended as a reliability layer for users who prefer bar-close confirmations or want a secondary confirmation pathway.
5) Optional EMA 8/21 Trend Context Filter
Rasta includes an optional EMA 8 / EMA 21 trend context filter:
When enabled, LONG transitions can be gated by a higher-level trend condition
Exits/transitions are not blocked by the filter (filter is focused on trend alignment rather than preventing regime changes)
This allows users to tune between:
More responsive behavior (filter off)
More trend-aligned behavior (filter on)
6) Adaptive Entry Behavior When Trend Context Flips
When the trend filter flips into alignment, Rasta can optionally allow an adaptive entry behavior if internal structure is already aligned. This is intended to reduce missed transitions when broader trend context changes after the internal structure has already shifted.
Visual System
Rasta includes several visual aids designed to make directional regime clarity obvious at a glance:
Lines
EMA (baseline)
Smoothed (structure)
Directional Fog (optional)
A colored fill between the lines helps highlight:
Positive structure alignment
Negative structure alignment
Opacity is adjustable for different chart styles.
DNA Rungs (optional)
Rasta can draw “rungs” that connect the EMA line and the smoothed line, creating a ladder-style visualization of structure spacing and momentum intensity over time. Users can:
Enable/disable rungs
Adjust rung width
Control the max number of rungs retained (performance management)
Choose rung color behavior (fixed vs directional)
Inputs and Tuning Notes
Rasta is intentionally configurable so you can tailor it to different markets and timeframes:
Core Settings
Length: Controls baseline responsiveness
Source: Baseline source (close by default)
Offset: Optional visual offset (does not change logic)
Smoothing Settings
Type: SMA / EMA / RMA / WMA / None
Length: Controls how stable the structure line becomes
General intuition:
Lower smoothing = faster, more reactive
Higher smoothing = cleaner, more selective transitions
EMA 8/21 Filter (optional)
Enable/disable
Fast/slow EMA lengths
Optional plotting for transparency
How to Use
Rasta is best used as a directional context tool—a framework for evaluating regime shifts, momentum structure, and trend alignment.
Common analytical workflows:
Apply Rasta to a chart and observe LONG/SHORT state transitions
Use the line relationship and fog as a visual confirmation of structure alignment
Optionally enable the EMA 8/21 filter for higher-level trend context
Use alerts if you want notifications when state changes occur
This indicator is designed to be applied to many assets and timeframes. Users should expect to tune parameters based on:
Volatility profile
Liquidity
Timeframe
Market regime
Alerts
Rasta supports alerts that notify you when a directional state change occurs.
Provided alert messages:
LONG
SHORT
These alerts indicate a state transition condition occurred. Users can route these alerts to external systems if they choose; however, Rasta itself is an analytical indicator and does not execute trades.
Recommended alert frequency (typical best practice):
“Once per bar” for real-time transitions
Users may choose bar-close alerting preferences depending on their workflow
Performance and Platform Notes
Rasta includes optional visual elements (fog and rungs). If you notice slowdowns on very low timeframes or long histories, reduce rung count or disable rungs.
The indicator is designed to avoid repeated triggers within a single bar via a per-bar lock, improving signal cleanliness.
Important Disclosures
Rasta is an analytical and educational framework intended to help users study market structure and directional bias. It is not financial advice and is not a signal service. No claims are made regarding profitability or future performance. Markets involve risk, and users are responsible for their own decisions, risk management, and execution.
PDH/PDL + ONH/ONL (Enhanced Labels)At the start of a new day's session, this indicator will plot the Previous Day's High and Low as well as the Overnight (afterhours) High and Low as horizontal dotted lines on the current day's session.
You can edit the colors of the lines and the text (the same)
You can edit the color of the labels as well as the transparency of the label color itself
The label for each line will be plotting with the chart, you can edit the number of bars that the label will appear to the live price action to keep from having to zoom to determine which line it represents.
the chart settings - session must be set to "extended trading hours" for this to appear on your chart
DX Supply and Demand Pro💎 DX Supply and Demand Pro: Adaptive Line and Zone Mastery
The DX Supply and Demand Pro indicator is an advanced, hybrid trading tool engineered for precision and context. It seamlessly integrates the proprietary Arbitor Line with dynamic, volume-weighted Supply and Demand Zones. This unique combination provides traders with a clear, adaptive view of both the current trend bias and critical structural price levels.
⚠️ Critical Trading Disclaimer 🛑
Trading is highly speculative and carries a substantial risk of loss. The use of this indicator does not guarantee profits, and you may lose more than your initial capital. Before using this tool in a live trading environment, you must test its performance thoroughly using paper trading or a simulated account.
Why Traders Need the DX S&D Pro 🎯
Proprietary Adaptive Intelligence: The Arbitor Line is a calculated price anchor derived from a complex, undisclosed combination of multiple market factors and proprietary equations. It automatically adjusts its sensitivity based on the chart's timeframe, effectively filtering out market noise to present an accurate, weighted average of the prevailing market bias.
Structural Clarity: It detects high-probability Supply and Demand Zones using pivot points, filtering them for strength based on volume, ATR (volatility), and High Volume Node (HVN) confirmation from a higher timeframe.
Actionable Confluence: The indicator combines dynamic trend bias (the Arbitor Line) with static structural levels (S&D Zones). This allows traders to identify high-conviction setups where the structural turning point is confirmed by the real-time bias of the Arbitor Line.
📚 How to Use DX Supply and Demand Pro
This indicator is best used as a confluence tool, where the Arbitor Line confirms the strength and direction of the setup identified by the Supply/Demand Zones.
Trading Confluence with the Arbitor Line:
Scenario: Buy Zone Rejection 🟢
Condition: Price touches a Demand Zone.
Confluence: The Arbitor Line is Above the zone.
Interpretation: Indicates a Bullish Bias is confirming the structural support. Focus on long entries.
Scenario: Sell Zone Rejection 🔴
Condition: Price touches a Supply Zone.
Confluence: The Arbitor Line is Below the zone.
Interpretation: Indicates a Bearish Bias is confirming the structural resistance. Focus on short entries.
Scenario: Momentum Break ⚡
Condition: Price Closes strongly beyond a zone.
Confluence: The Arbitor Line is Aligned with the Break.
Interpretation: Confirms market momentum and suggests the structural break is valid for directional continuation.
⚙️ Key Settings and Optimization Guide 🔧
Arbitor Line Settings (Trend Bias):
VWAP Weight: (Default: 0.33) — The weight applied to a key volume component within the proprietary Arbitor calculation.
Suggestion for High Volatility/Volume: Increase to 0.40 to emphasize volume's influence.
Suggestion for Clean Trends: Decrease to 0.25 to allow momentum components to dictate the line's position.
Supply & Demand Zone Settings (Structural Levels)
HVN Volume TF: (Default: D - Daily) — Crucial Context Setter. The higher timeframe used to look for High Volume Nodes (HVNs) to confirm zone strength.
For Scalping (1m-15m): Use 1H or 4H for validation.
For Day Trading (30m-1H): Use 4H or D. D is the recommended default.
For Swing Trading (4H-Daily): Use W (Weekly).
HVN Bonus %: (Default: 20) — The strength boost applied to a zone if it aligns with an HVN.
Max Supply/Demand Zones: (Default: 2) — Limits the number of active, displayed zones to keep the chart clean.
Retest Bonus %: (Default: 10) — Boosts a zone's strength score each time it is retested (up to max retests).
Time Decay Rate %: (Default: 1) — Reduces a zone's strength for every 10 bars it remains unbroken (stale zones weaken).
Flip Zone on Break: (Default: True) — Turns a broken Demand Zone into a Supply Zone (and vice versa), reflecting structural flip concepts.
💡 Suggestions for Power Users 🚀
Look for Flipped Zones: Pay attention to zones that have been broken and flipped (indicated by yellow text in the labels). Flipped zones that confirm the Arbitor direction often lead to high-momentum continuation moves.
Confirm HVN Strength: Always prioritize trading zones with a high strength score (e.g., 90% or higher), as this indicates maximum confluence of Volume, Volatility, and the HVN Bonus.
Adaptive Timeframes: Use the indicator on multiple timeframes to ensure the Arbitor bias aligns with your trade direction. If the Arbitor is bullish on both the 5-minute and the 1-hour chart, the conviction is exceptionally high.
Final Note: The DX S&D Pro combines the best of trend following with the best of structural trading. It's so good, we call it the Arbitor because it settles the arguments between buyers and sellers... until the next bar, of course! 😉
....................................................................................
💎 مؤشر DX Supply and Demand Pro: خط التكيّف وإتقان المناطق ✨
مؤشر DX Supply and Demand Pro هو أداة تداول هجينة ومتقدمة مصممة للدقة والسياق. إنه يدمج بسلاسة خط Arbitor الخاص بنا مع مناطق العرض والطلب الديناميكية المرجحة بالحجم. يوفر هذا المزيج الفريد للمتداولين رؤية واضحة ومتكيفة لكل من انحياز الاتجاه الحالي ومستويات الأسعار الهيكلية (Structural Price Levels) الحرجة.
⚠️ إخلاء مسؤولية حاسم بشأن التداول 🛑
التداول ينطوي على مخاطرة عالية للغاية ويحمل مخاطر خسارة كبيرة. استخدام هذا المؤشر لا يضمن الأرباح، وقد تخسر أكثر من رأس مالك الأولي. قبل استخدام هذه الأداة في بيئة تداول حقيقية، يجب عليك اختبار أدائها بشكل شامل باستخدام التداول الورقي (Paper Trading) أو حساب محاكاة.
لماذا يحتاج المتداولون إلى مؤشر DX S&D Pro 🎯
ذكاء تكيّفي خاص (Proprietary Adaptive Intelligence): خط Arbitor هو مرساة سعر محسوبة مشتقة من تركيبة معقدة وغير معلنة من عوامل سوق متعددة ومعادلات خاصة. يقوم بضبط حساسيته تلقائيًا بناءً على الإطار الزمني للرسم البياني، مما يزيل ضوضاء السوق بشكل فعال لتقديم متوسط مرجح ودقيق للانحياز السائد في السوق.
وضوح هيكلي (Structural Clarity): يكتشف مناطق العرض والطلب ذات الاحتمالية العالية باستخدام نقاط التحول (Pivot Points)، ويقوم بترشيحها وتحديد قوتها بناءً على الحجم، ATR (التقلب)، وتأكيد من عقدة الحجم العالية (HVN) من إطار زمني أعلى.
تضافر قابل للتطبيق (Actionable Confluence): يجمع المؤشر بين انحياز الاتجاه الديناميكي (خط Arbitor) ومستويات الهيكل الثابتة (مناطق العرض والطلب). يتيح ذلك للمتداولين تحديد إعدادات ذات قناعة عالية حيث يتم تأكيد نقطة التحول الهيكلية من خلال انحياز خط Arbitor في الوقت الفعلي.
📚 كيفية استخدام مؤشر DX Supply and Demand Pro
يُفضل استخدام هذا المؤشر كأداة تضافر، حيث يؤكد خط Arbitor قوة واتجاه الإعداد المحدد بواسطة مناطق العرض والطلب.
تضافر التداول مع خط Arbitor:
السيناريو: ارتداد منطقة الشراء 🟢
الحالة: يلامس السعر منطقة الطلب (Demand Zone).
التضافر: يقع خط Arbitor فوق المنطقة.
التفسير: يشير إلى أن انحياز صعودي (Bullish Bias) يؤكد الدعم الهيكلي. التركيز على صفقات الشراء (Long Entries).
السيناريو: ارتداد منطقة البيع 🔴
الحالة: يلامس السعر منطقة العرض (Supply Zone).
التضافر: يقع خط Arbitor أسفل المنطقة.
التفسير: يشير إلى أن انحياز هبوطي (Bearish Bias) يؤكد المقاومة الهيكلية. التركيز على صفقات البيع (Short Entries).
السيناريو: كسر الزخم ⚡
الحالة: يُغلق السعر بقوة خارج المنطقة.
التضافر: يتماشى خط Arbitor مع الكسر.
التفسير: يؤكد زخم السوق ويشير إلى أن الكسر الهيكلي صالح للاستمرار الاتجاهي.
⚙️ الإعدادات الرئيسية ودليل التحسين 🔧
إعدادات خط Arbitor (انحياز الاتجاه)
VWAP Weight (وزن VWAP): (افتراضي: 0.33) — الوزن المطبق على مكون حجم رئيسي ضمن حساب Arbitor الخاص بنا.
اقتراح للتقلب/الحجم العالي: زيادة إلى 0.40 للتأكيد على تأثير الحجم.
اقتراح للاتجاهات النظيفة: تقليل إلى 0.25 للسماح لمكونات الزخم بتحديد موقع الخط بشكل أقوى.
إعدادات مناطق العرض والطلب (المستويات الهيكلية)
HVN Volume TF (الإطار الزمني لحجم HVN): (افتراضي: D - يومي) — مُحدِد السياق الحاسم. الإطار الزمني الأعلى المستخدم للبحث عن عقد الحجم العالية (HVNs) لتأكيد قوة المنطقة.
للمضاربة اللحظية (1د-15د): استخدم 1س أو 4س للتحقق.
للتداول اليومي (30د-1س): استخدم 4س أو D. D هو الإعداد الافتراضي الموصى به.
للتداول المتأرجح (4س-يومي): استخدم W (أسبوعي).
HVN Bonus % (مكافأة HVN %): (افتراضي: 20) — تعزيز القوة المطبق على المنطقة إذا كانت تتماشى مع عقدة HVN.
Max Supply/Demand Zones (الحد الأقصى لمناطق العرض/الطلب): (افتراضي: 2) — يحد من عدد المناطق النشطة المعروضة للحفاظ على نظافة الرسم البياني.
Retest Bonus % (مكافأة إعادة الاختبار %): (افتراضي: 10) — يعزز درجة قوة المنطقة في كل مرة يتم فيها إعادة اختبارها (حتى الحد الأقصى لإعادة الاختبارات).
Time Decay Rate % (معدل الاضمحلال الزمني %): (افتراضي: 1) — يقلل من قوة المنطقة لكل 10 شمعات تبقى فيها دون كسر (المناطق القديمة تضعف).
Flip Zone on Break (قلب المنطقة عند الكسر): (افتراضي: True - صحيح) — يحول منطقة الطلب المكسورة إلى منطقة عرض (والعكس صحيح)، مما يعكس مفاهيم التحول الهيكلي.
💡 اقتراحات للمستخدمين المتقدمين 🚀
ابحث عن المناطق المقلوبة (Flipped Zones): انتبه بشكل خاص إلى المناطق التي تم كسرها وقلبها (يشار إليها بنص أصفر في التسميات). غالبًا ما تؤدي المناطق المقلوبة التي تؤكد اتجاه Arbitor إلى تحركات استمرارية ذات زخم عالٍ.
تأكيد قوة HVN: أعطِ الأولوية دائمًا لتداول المناطق ذات درجة القوة العالية (على سبيل المثال، 90% أو أعلى)، حيث يشير هذا إلى أقصى درجات التضافر بين الحجم والتقلب ومكافأة HVN.
الأطر الزمنية التكيفية: استخدم المؤشر على أطر زمنية متعددة للتأكد من توافق انحياز Arbitor مع اتجاه تداولك. إذا كان Arbitor صعوديًا على كل من الرسم البياني 5 دقائق والساعة الواحدة، تكون القناعة عالية بشكل استثنائي.
ملاحظة أخيرة: يجمع مؤشر DX S&D Pro أفضل ما في تتبع الاتجاه مع أفضل ما في التداول الهيكلي. إنه جيد جدًا، لدرجة أننا نطلق عليه اسم Arbitor لأنه يحسم الجدل بين المشترين والبائعين... حتى الشمعة التالية بالطبع! 😉
دعواتكم 🙏.
Omni-Trend Analytics + Live PnL DashboardOverview
The Omni-Trend Analytics suite is an all-in-one technical command center. It integrates the battle-tested UT Bot signal logic with a sophisticated real-time dashboard, session tracking, and multi-timeframe trend analysis.
📊 The "Nexus" Dashboard
The heart of this script is the 6-row dynamic dashboard, designed to give you "at-a-glance" confluence:
RSI & RSI-MA: Tracks the standard RSI alongside a custom RSI-based Moving Average to spot momentum shifts before they hit the price.
Selectable Trend Status: Unlike static indicators, you can toggle the "Trend" source between EMA 9, 20, or 200 in the settings to match your trading style (Scalping vs. Swing).
Distance to EMA: Shows exactly how "overextended" the price is from your selected trend line.
ATR Volatility (Color-Coded): Turns Green when volatility is expanding (ideal for trend following) and Red when the market is contracting (ideal for range-trading or caution).
Live PnL Tracking: Automatically calculates the profit or loss of the most recent UT Bot signal in real-time.
🛠️ Key Features & Settings
Precision Signals: Combines UT Bot Buy/Sell labels with RSI "!" reversal warnings for high-probability entries.
Institutional Moving Averages: Includes 5 SMAs (including the 610 SMA) and 3 EMAs (9, 20, 200) all set to a professional Thickness 2 for clarity.
Session Highlighting: Automatically shades the background for London and New York sessions to help you trade when liquidity is highest.
VWAP Integration: Includes a purple VWAP line to ensure you are trading at a "fair value" relative to volume.
🔔 Strategic Alert Suite
The script comes pre-loaded with 6 specialized alert conditions:
UT Bot Signal: Standard entry alerts.
RSI Cross RSI-MA: Early warning for momentum reversals.
High-Prob UT + VWAP: Signals that only trigger when aligned with institutional volume.
EMA 9/20 Momentum Cross: Classic trend-shift notification.
ATR Volatility Spike: Alerts you to 50% increases in market volatility.
PnL Target / Break-Even: Pings you when your live trade reaches a user-defined profit threshold.
💡 Trading Pro-Tip
The Convergence Strategy: Look for a UT Bot Buy signal that occurs during the London/NY Overlap while the ATR is Green (expanding) and the RSI is crossing over its RSI-MA. This "triple confluence" is the primary design intent of the Omni-Trend suite.
RastaRasta — Real-Time Directional State Framework
Rasta is a real-time, state-based momentum and structure indicator designed to help users visualize directional market bias and observe transitions between bullish and bearish regimes. The script combines an adaptive baseline (EMA) with a selectable smoothing layer to create a clean, readable structure that highlights how price momentum and trend context evolve over time.
This indicator is built to be responsive in real time while remaining readable on higher timeframes. It is intended for users who want a practical framework for studying market rhythm, structure, and directional bias—without relying on hindsight-based visuals.
Concept Overview
Rasta works by tracking two primary curves:
EMA Line (core baseline)
A fast baseline that responds to price movement according to the selected length and source.
Smoothed Line (structure layer)
A second line derived from the baseline using a user-selected smoothing method. This creates a stable “structure reference” that helps distinguish meaningful directional shifts from minor noise.
When the baseline crosses the structure line, the script interprets it as a directional state transition:
LONG state when momentum structure shifts upward
SHORT state when momentum structure shifts downward
These transitions are presented as labels and can be used to trigger alerts that notify the user when a state change occurs.
Key Features
1) Real-Time Directional State Transitions
Rasta evaluates transitions continuously and can generate state-change markers in real time. This makes it suitable for users who want a framework that can react during the bar, not only after a bar closes.
2) Per-Bar Lock for Clean Signaling
To prevent repeated triggering inside the same candle, Rasta uses a per-bar lock. This helps keep the visual output and alerting behavior clean and prevents rapid repeats when price oscillates around the crossover level.
3) One-Position State Logic
Rasta uses an internal state model so signals behave consistently:
A LONG state change occurs only when not already in that state
A SHORT state change occurs only when already in a LONG state (and vice versa depending on configuration)
This produces a stable “state machine” feel rather than noisy multi-trigger behavior.
4) Bar-Close Backup Events
In addition to real-time behavior, Rasta includes bar-close confirmation events so that state transitions can still be captured on confirmed closes. This is intended as a reliability layer for users who prefer bar-close confirmations or want a secondary confirmation pathway.
5) Optional EMA 8/21 Trend Context Filter
Rasta includes an optional EMA 8 / EMA 21 trend context filter:
When enabled, LONG transitions can be gated by a higher-level trend condition
Exits/transitions are not blocked by the filter (filter is focused on trend alignment rather than preventing regime changes)
This allows users to tune between:
More responsive behavior (filter off)
More trend-aligned behavior (filter on)
6) Adaptive Entry Behavior When Trend Context Flips
When the trend filter flips into alignment, Rasta can optionally allow an adaptive entry behavior if internal structure is already aligned. This is intended to reduce missed transitions when broader trend context changes after the internal structure has already shifted.
Visual System
Rasta includes several visual aids designed to make directional regime clarity obvious at a glance:
Lines
EMA (baseline)
Smoothed (structure)
Directional Fog (optional)
A colored fill between the lines helps highlight:
Positive structure alignment
Negative structure alignment
Opacity is adjustable for different chart styles.
DNA Rungs (optional)
Rasta can draw “rungs” that connect the EMA line and the smoothed line, creating a ladder-style visualization of structure spacing and momentum intensity over time. Users can:
Enable/disable rungs
Adjust rung width
Control the max number of rungs retained (performance management)
Choose rung color behavior (fixed vs directional)
Inputs and Tuning Notes
Rasta is intentionally configurable so you can tailor it to different markets and timeframes:
Core Settings
Length: Controls baseline responsiveness
Source: Baseline source (close by default)
Offset: Optional visual offset (does not change logic)
Smoothing Settings
Type: SMA / EMA / RMA / WMA / None
Length: Controls how stable the structure line becomes
General intuition:
Lower smoothing = faster, more reactive
Higher smoothing = cleaner, more selective transitions
EMA 8/21 Filter (optional)
Enable/disable
Fast/slow EMA lengths
Optional plotting for transparency
How to Use
Rasta is best used as a directional context tool—a framework for evaluating regime shifts, momentum structure, and trend alignment.
Common analytical workflows:
Apply Rasta to a chart and observe LONG/SHORT state transitions
Use the line relationship and fog as a visual confirmation of structure alignment
Optionally enable the EMA 8/21 filter for higher-level trend context
Use alerts if you want notifications when state changes occur
This indicator is designed to be applied to many assets and timeframes. Users should expect to tune parameters based on:
Volatility profile
Liquidity
Timeframe
Market regime
Alerts
Rasta supports alerts that notify you when a directional state change occurs.
Provided alert messages:
LONG
SHORT
These alerts indicate a state transition condition occurred. Users can route these alerts to external systems if they choose; however, Rasta itself is an analytical indicator and does not execute trades.
Recommended alert frequency (typical best practice):
“Once per bar” for real-time transitions
Users may choose bar-close alerting preferences depending on their workflow
Performance and Platform Notes
Rasta includes optional visual elements (fog and rungs). If you notice slowdowns on very low timeframes or long histories, reduce rung count or disable rungs.
The indicator is designed to avoid repeated triggers within a single bar via a per-bar lock, improving signal cleanliness.
Important Disclosures
Rasta is an analytical and educational framework intended to help users study market structure and directional bias. It is not financial advice and is not a signal service. No claims are made regarding profitability or future performance. Markets involve risk, and users are responsible for their own decisions, risk management, and execution.
DX Supply and Demand Pro💎 DX Supply and Demand Pro: Adaptive Line and Zone Mastery
The DX Supply and Demand Pro indicator is an advanced, hybrid trading tool engineered for precision and context. It seamlessly integrates the proprietary Arbitor Line with dynamic, volume-weighted Supply and Demand Zones. This unique combination provides traders with a clear, adaptive view of both the current trend bias and critical structural price levels.
⚠️ Critical Trading Disclaimer 🛑
Trading is highly speculative and carries a substantial risk of loss. The use of this indicator does not guarantee profits, and you may lose more than your initial capital. Before using this tool in a live trading environment, you must test its performance thoroughly using paper trading or a simulated account.
Why Traders Need the DX S&D Pro 🎯
Proprietary Adaptive Intelligence: The Arbitor Line is a calculated price anchor derived from a complex, undisclosed combination of multiple market factors and proprietary equations. It automatically adjusts its sensitivity based on the chart's timeframe, effectively filtering out market noise to present an accurate, weighted average of the prevailing market bias.
Structural Clarity: It detects high-probability Supply and Demand Zones using pivot points, filtering them for strength based on volume, ATR (volatility), and High Volume Node (HVN) confirmation from a higher timeframe.
Actionable Confluence: The indicator combines dynamic trend bias (the Arbitor Line) with static structural levels (S&D Zones). This allows traders to identify high-conviction setups where the structural turning point is confirmed by the real-time bias of the Arbitor Line.
Feedback & Accountability 🤝
This indicator is provided "as is" and its performance is based on the parameters set by the user. Any suggestions or comments from users regarding performance, bugs, or feature requests should be directed to the developer here or X @Falcondxeye. The developer assumes no liability for trading losses incurred using this tool.
📚 How to Use DX Supply and Demand Pro
This indicator is best used as a confluence tool, where the Arbitor Line confirms the strength and direction of the setup identified by the Supply/Demand Zones.
Trading Confluence with the Arbitor Line:
Scenario: Buy Zone Rejection 🟢
Condition: Price touches a Demand Zone.
Confluence: The Arbitor Line is Above the zone.
Interpretation: Indicates a Bullish Bias is confirming the structural support. Focus on long entries.
Scenario: Sell Zone Rejection 🔴
Condition: Price touches a Supply Zone.
Confluence: The Arbitor Line is Below the zone.
Interpretation: Indicates a Bearish Bias is confirming the structural resistance. Focus on short entries.
Scenario: Momentum Break ⚡
Condition: Price Closes strongly beyond a zone.
Confluence: The Arbitor Line is Aligned with the Break.
Interpretation: Confirms market momentum and suggests the structural break is valid for directional continuation.
⚙️ Key Settings and Optimization Guide 🔧
Arbitor Line Settings (Trend Bias):
VWAP Weight: (Default: 0.33) — The weight applied to a key volume component within the proprietary Arbitor calculation.
Suggestion for High Volatility/Volume: Increase to 0.40 to emphasize volume's influence.
Suggestion for Clean Trends: Decrease to 0.25 to allow momentum components to dictate the line's position.
Supply & Demand Zone Settings (Structural Levels)
HVN Volume TF: (Default: D - Daily) — Crucial Context Setter. The higher timeframe used to look for High Volume Nodes (HVNs) to confirm zone strength.
For Scalping (1m-15m): Use 1H or 4H for validation.
For Day Trading (30m-1H): Use 4H or D. D is the recommended default.
For Swing Trading (4H-Daily): Use W (Weekly).
HVN Bonus %: (Default: 20) — The strength boost applied to a zone if it aligns with an HVN.
Max Supply/Demand Zones: (Default: 2) — Limits the number of active, displayed zones to keep the chart clean.
Retest Bonus %: (Default: 10) — Boosts a zone's strength score each time it is retested (up to max retests).
Time Decay Rate %: (Default: 1) — Reduces a zone's strength for every 10 bars it remains unbroken (stale zones weaken).
Flip Zone on Break: (Default: True) — Turns a broken Demand Zone into a Supply Zone (and vice versa), reflecting structural flip concepts.
💡 Suggestions for Power Users 🚀
Look for Flipped Zones: Pay attention to zones that have been broken and flipped (indicated by yellow text in the labels). Flipped zones that confirm the Arbitor direction often lead to high-momentum continuation moves.
Confirm HVN Strength: Always prioritize trading zones with a high strength score (e.g., 90% or higher), as this indicates maximum confluence of Volume, Volatility, and the HVN Bonus.
Adaptive Timeframes: Use the indicator on multiple timeframes to ensure the Arbitor bias aligns with your trade direction. If the Arbitor is bullish on both the 5-minute and the 1-hour chart, the conviction is exceptionally high.
Final Note: The DX S&D Pro combines the best of trend following with the best of structural trading. It's so good, we call it the Arbitor because it settles the arguments between buyers and sellers... until the next bar, of course! 😉
....................................................................................
💎 مؤشر DX Supply and Demand Pro: خط التكيّف وإتقان المناطق ✨
مؤشر DX Supply and Demand Pro هو أداة تداول هجينة ومتقدمة مصممة للدقة والسياق. إنه يدمج بسلاسة خط Arbitor الخاص بنا مع مناطق العرض والطلب الديناميكية المرجحة بالحجم. يوفر هذا المزيج الفريد للمتداولين رؤية واضحة ومتكيفة لكل من انحياز الاتجاه الحالي ومستويات الأسعار الهيكلية (Structural Price Levels) الحرجة.
⚠️ إخلاء مسؤولية حاسم بشأن التداول 🛑
التداول ينطوي على مخاطرة عالية للغاية ويحمل مخاطر خسارة كبيرة. استخدام هذا المؤشر لا يضمن الأرباح، وقد تخسر أكثر من رأس مالك الأولي. قبل استخدام هذه الأداة في بيئة تداول حقيقية، يجب عليك اختبار أدائها بشكل شامل باستخدام التداول الورقي (Paper Trading) أو حساب محاكاة.
لماذا يحتاج المتداولون إلى مؤشر DX S&D Pro 🎯
ذكاء تكيّفي خاص (Proprietary Adaptive Intelligence): خط Arbitor هو مرساة سعر محسوبة مشتقة من تركيبة معقدة وغير معلنة من عوامل سوق متعددة ومعادلات خاصة. يقوم بضبط حساسيته تلقائيًا بناءً على الإطار الزمني للرسم البياني، مما يزيل ضوضاء السوق بشكل فعال لتقديم متوسط مرجح ودقيق للانحياز السائد في السوق.
وضوح هيكلي (Structural Clarity): يكتشف مناطق العرض والطلب ذات الاحتمالية العالية باستخدام نقاط التحول (Pivot Points)، ويقوم بترشيحها وتحديد قوتها بناءً على الحجم، ATR (التقلب)، وتأكيد من عقدة الحجم العالية (HVN) من إطار زمني أعلى.
تضافر قابل للتطبيق (Actionable Confluence): يجمع المؤشر بين انحياز الاتجاه الديناميكي (خط Arbitor) ومستويات الهيكل الثابتة (مناطق العرض والطلب). يتيح ذلك للمتداولين تحديد إعدادات ذات قناعة عالية حيث يتم تأكيد نقطة التحول الهيكلية من خلال انحياز خط Arbitor في الوقت الفعلي.
الملاحظات والمساءلة 🤝
يتم توفير هذا المؤشر "كما هو" ويستند أدائه إلى الاعدادات التي يحددها المستخدم. يجب توجيه أي اقتراحات أو تعليقات من المستخدمين بخصوص الأداء أو الأخطاء أو طلبات الميزات إلى المطور هنا أو على X @Falcondxeye. لا يتحمل المطور أي مسؤولية عن خسائر التداول المتكبدة باستخدام هذه الأداة.
📚 كيفية استخدام مؤشر DX Supply and Demand Pro
يُفضل استخدام هذا المؤشر كأداة تضافر، حيث يؤكد خط Arbitor قوة واتجاه الإعداد المحدد بواسطة مناطق العرض والطلب.
تضافر التداول مع خط Arbitor:
السيناريو: ارتداد منطقة الشراء 🟢
الحالة: يلامس السعر منطقة الطلب (Demand Zone).
التضافر: يقع خط Arbitor فوق المنطقة.
التفسير: يشير إلى أن انحياز صعودي (Bullish Bias) يؤكد الدعم الهيكلي. التركيز على صفقات الشراء (Long Entries).
السيناريو: ارتداد منطقة البيع 🔴
الحالة: يلامس السعر منطقة العرض (Supply Zone).
التضافر: يقع خط Arbitor أسفل المنطقة.
التفسير: يشير إلى أن انحياز هبوطي (Bearish Bias) يؤكد المقاومة الهيكلية. التركيز على صفقات البيع (Short Entries).
السيناريو: كسر الزخم ⚡
الحالة: يُغلق السعر بقوة خارج المنطقة.
التضافر: يتماشى خط Arbitor مع الكسر.
التفسير: يؤكد زخم السوق ويشير إلى أن الكسر الهيكلي صالح للاستمرار الاتجاهي.
⚙️ الإعدادات الرئيسية ودليل التحسين 🔧
إعدادات خط Arbitor (انحياز الاتجاه)
VWAP Weight (وزن VWAP): (افتراضي: 0.33) — الوزن المطبق على مكون حجم رئيسي ضمن حساب Arbitor الخاص بنا.
اقتراح للتقلب/الحجم العالي: زيادة إلى 0.40 للتأكيد على تأثير الحجم.
اقتراح للاتجاهات النظيفة: تقليل إلى 0.25 للسماح لمكونات الزخم بتحديد موقع الخط بشكل أقوى.
إعدادات مناطق العرض والطلب (المستويات الهيكلية)
HVN Volume TF (الإطار الزمني لحجم HVN): (افتراضي: D - يومي) — مُحدِد السياق الحاسم. الإطار الزمني الأعلى المستخدم للبحث عن عقد الحجم العالية (HVNs) لتأكيد قوة المنطقة.
للمضاربة اللحظية (1د-15د): استخدم 1س أو 4س للتحقق.
للتداول اليومي (30د-1س): استخدم 4س أو D. D هو الإعداد الافتراضي الموصى به.
للتداول المتأرجح (4س-يومي): استخدم W (أسبوعي).
HVN Bonus % (مكافأة HVN %): (افتراضي: 20) — تعزيز القوة المطبق على المنطقة إذا كانت تتماشى مع عقدة HVN.
Max Supply/Demand Zones (الحد الأقصى لمناطق العرض/الطلب): (افتراضي: 2) — يحد من عدد المناطق النشطة المعروضة للحفاظ على نظافة الرسم البياني.
Retest Bonus % (مكافأة إعادة الاختبار %): (افتراضي: 10) — يعزز درجة قوة المنطقة في كل مرة يتم فيها إعادة اختبارها (حتى الحد الأقصى لإعادة الاختبارات).
Time Decay Rate % (معدل الاضمحلال الزمني %): (افتراضي: 1) — يقلل من قوة المنطقة لكل 10 شمعات تبقى فيها دون كسر (المناطق القديمة تضعف).
Flip Zone on Break (قلب المنطقة عند الكسر): (افتراضي: True - صحيح) — يحول منطقة الطلب المكسورة إلى منطقة عرض (والعكس صحيح)، مما يعكس مفاهيم التحول الهيكلي.
💡 اقتراحات للمستخدمين المتقدمين 🚀
ابحث عن المناطق المقلوبة (Flipped Zones): انتبه بشكل خاص إلى المناطق التي تم كسرها وقلبها (يشار إليها بنص أصفر في التسميات). غالبًا ما تؤدي المناطق المقلوبة التي تؤكد اتجاه Arbitor إلى تحركات استمرارية ذات زخم عالٍ.
تأكيد قوة HVN: أعطِ الأولوية دائمًا لتداول المناطق ذات درجة القوة العالية (على سبيل المثال، 90% أو أعلى)، حيث يشير هذا إلى أقصى درجات التضافر بين الحجم والتقلب ومكافأة HVN.
الأطر الزمنية التكيفية: استخدم المؤشر على أطر زمنية متعددة للتأكد من توافق انحياز Arbitor مع اتجاه تداولك. إذا كان Arbitor صعوديًا على كل من الرسم البياني 5 دقائق والساعة الواحدة، تكون القناعة عالية بشكل استثنائي.
ملاحظة أخيرة: يجمع مؤشر DX S&D Pro أفضل ما في تتبع الاتجاه مع أفضل ما في التداول الهيكلي. إنه جيد جدًا، لدرجة أننا نطلق عليه اسم Arbitor لأنه يحسم الجدل بين المشترين والبائعين... حتى الشمعة التالية بالطبع! 😉
دعواتكم 🙏..
MarketMind PROM🜁rketMind PRO ────────────────────
Descriptive Market Context & Risk Awareness
M🜁rketMind PRO is a professional-grade market context system designed to help traders maintain situational clarity and explicit risk awareness — without signals, confidence scoring, or forward-looking interpretation.
Rather than telling traders what to trade or how confident to be, M🜁rketMind PRO focuses on describing what is happening in the market and where caution may be warranted.
This script is designed as a standalone descriptive tool. It does not provide execution guidance, trade signals, or predictive insight.
WHAT IT DOES ────────────────────
M🜁rketMind PRO evaluates current market conditions across multiple dimensions — including session context, regime state, momentum direction, volatility, liquidity, and structural behavior — and presents them in a clean, human-readable HUD.
The system emphasizes description over interpretation.
It highlights conditions that may elevate or reduce risk without assessing alignment strength, assigning confidence, or projecting outcomes.
The script provides visibility into:
Market context and session awareness
Basic regime states and transitions
Momentum direction (up, down, neutral)
Volatility, liquidity, and structural caution conditions
Environmental factors that may influence risk
The goal is to make risk visible — without telling traders what to do with it.
HOW TO USE IT ────────────────────
M🜁rketMind PRO is not a signal generator.
It is designed to be used alongside discretionary price action, rule-based entries, or systematic strategies, helping traders stay aware of context and potential risk while executing their own process.
Common questions it can help inform include:
What type of market environment is currently present?
Is momentum developing, stalling, or absent?
Are volatility or liquidity conditions elevated?
Does the environment appear clean or structurally fragile?
M🜁rketMind PRO describes conditions as they are.
Interpretation and decision-making remain entirely with the trader.
DESIGN PHILOSOPHY ────────────────────
M🜁rketMind PRO is intentionally descriptive.
It includes context and caution layers without interpretive or evaluative frameworks:
Market context, momentum, and risk visibility
Volatility, liquidity, and structural awareness
Session awareness without gating or execution logic
A single, consistent HUD perspective
No confidence scoring or conviction grading
No predictive or forward-looking language
Nothing is implied.
Nothing is projected.
This script shows what is happening and where risk may exist — nothing more.
WHO IT IS FOR ────────────────────
M🜁rketMind PRO is suited for traders who:
Prefer structured context over signals
Manage their own execution and risk decisions
Value awareness of environmental and structural conditions
Want clarity without interpretive bias
It is not designed for:
Buy or sell alerts
Execution guidance
Predictive or outcome-based analysis
IMPORTANT NOTES ────────────────────
M🜁rketMind PRO does not provide financial advice
No system can predict future price behavior
This tool is designed to inform awareness, not decisions
Used appropriately, M🜁rketMind PRO supports disciplined, context-aware trading
Ichimoku Cloud Strategy - 1H HyperliquidStategy for Hyperliquid 1hr time frame using Ichimoku's Cloud.
Price Contraction / Expansion1. Introduction
The Price Contraction / Expansion indicator highlights areas of market compression and volatility release by analyzing candle body size and volume behavior. It provides a fast, color-coded visualization to identify potential breakout zones, accumulation phases, or exhaustion movements.
This tool helps traders recognize when price action is tightening before a volatility expansion — a common precursor to strong directional moves.
2. Key Features
Dynamic body analysis: Compares each candle’s body size with a moving average to detect contraction (small bodies) and expansion (large bodies).
Volume confirmation: Measures whether volume is unusually high or low compared to its recent average, helping filter false breaks.
Color-coded system for clarity:
Yellow: Contraction with high volume (potential accumulation or strong activity).
Blue: Contraction with normal volume or expansion with low volume (neutral/reduced participation).
Green: Expansion in bullish candle (buyer dominance).
Red: Expansion in bearish candle (seller dominance).
Customizable parameters: Adjust body and volume averaging periods and thresholds to fit different market conditions or timeframes.
3. How to Use
Identify contraction zones: Look for blue or yellow bars to locate areas of price compression — these often precede breakouts or large movements.
Wait for expansion confirmation: A shift to green or red bars with increasing volume indicates that volatility is expanding and momentum is building.
Combine with context: Use this indicator alongside trend tools, liquidity zones, or moving averages to confirm directional bias and filter noise.
Adapt thresholds: In highly volatile markets, increase the “Threshold multiplier” to reduce false contraction signals.
This indicator is most effective for traders who focus on volatility behavior, market structure, and timing potential breakout opportunities.
Butterworth Cloud + Squeeze (Upper)The Butterworth Squeeze Cloud – Simple Guide
The Butterworth Cloud is a volatility + trend structure indicator that shows when the market is contracting (coiling) or expanding (breaking out) using a smoothed trend line and dynamic volatility bands.
It is designed to be easy to read visually while giving very advanced information about volatility behavior.
1. What the Butterworth Cloud Actually Measures
The indicator builds three things:
1. A smoothed trend line (Butterworth line)
This filters out noise better than a normal moving average.
When price is above it → bullish bias
When price is below it → bearish bias
When it is flat → ranging market
2. Volatility bands around the trend line
These form the “cloud.”
The cloud expands or contracts depending on volatility.
3. Color signals that show what volatility is doing
Cyan → Contracting (squeezing)
Market energy is tightening. Moves become more likely.
Magenta → Expanding (releasing)
Market is breaking out or trending.
Gray → Neutral
No strong compression or expansion.
This gives a visual map of volatility shifts, similar in concept to Bollinger squeezes, but much smoother and more reactive.
2. How to Read the Cloud at a Glance
A. Contracting Cloud (Cyan)
This signals volatility compression:
Market is coiling
Price is getting tighter around the trend line
Breakouts often follow contraction periods
The longer the cloud stays cyan, the larger the potential move afterward.
B. Expanding Cloud (Magenta)
This signals volatility expansion:
Trend activity increases
Strong directional move is underway
Expansion often begins right after a squeeze ends
Great for:
Trend continuation entries
Avoiding counter-trend trades into strength
C. Neutral Cloud (Gray)
Mixed or unstable volatility.
Often a transition zone, early chop, or slowdown.
3. How Traders Use the Butterworth Cloud
1. Spotting Squeeze → Breakout Cycles
This is the most common use.
Look for cyan contraction
Then wait for a switch to magenta
Combine with price breaking above/below structure
This setup often predicts high-momentum moves.
2. Confirming Trend Strength
Longs are higher probability when cloud is magenta & expanding upward
Shorts are higher probability when cloud is magenta & expanding downward
Avoid trading against expansion unless mean-reverting intentionally
3. Avoiding Chop
If the cloud flips:
cyan → magenta → cyan → magenta
within a short period, the market is choppy.
This helps you stand aside and avoid unnecessary losses.
4. Using the Bands for Targets
The Butterworth Cloud also includes:
Upper band
Lower band
Midline (the Butter line)
Common usage:
Long take profit at upper band
Short take profit at lower band
Mean reversion take profit at midline
Because the bands track volatility, these targets adapt to market conditions.
4. Why Use Butterworth Instead of Standard Indicators?
The Butterworth Cloud has several advantages:
1. Noise filtering
It reduces random spikes better than an EMA or SMA.
2. Cleaner squeeze detection
Unlike Bollinger Bands, it avoids overreacting to single candles.
3. Earlier expansion recognition
Especially in “EARLY” mode, it detects momentum bursts as soon as they start.
4. Works on any timeframe including seconds
Crypto scalpers especially benefit from this.
Cyan = Squeeze (volatility contracting) → market building pressure
Magenta = Expansion (volatility releasing) → breakout or trend
Use cyan → magenta transitions to detect new moves
Use bands for natural take-profits (upper for longs, lower for shorts, midline for reversions)
Works on all markets and timeframes
Very clean representation of volatility behavior
RSI + Volume reversal This indicator designed on RSI reversal concept...For a better understanding of the indicator, please watch the videos
HC HighCrew Intelligent RSI Scout EditionHC HighCrew — Intelligent RSI (Scout Edition) is a multi-timeframe RSI analysis tool designed to interpret momentum, pressure, and control, not generate trade signals.
This indicator evaluates RSI behavior across 1-minute, 5-minute, and 15-minute timeframes and organizes that information into a clear on-chart terminal that explains market context, including:
• Which side (buyers or sellers) currently has structural control
• Whether short-term RSI movement represents continuation, pullback, or early counter-move
• When momentum is probing, stabilizing, or escalating
• How RSI pressure is behaving relative to price movement
• Current market mode (scalp-only vs expansion conditions)
Rather than displaying multiple RSI lines without context, this script interprets RSI relationships between timeframes to help traders understand what the market is attempting to do, not just what has already happened.
Key Features
• Multi-Timeframe RSI State Snapshot (1m / 5m / 15m)
• Control Detection (Bull Control, Bear Control, or Neutral)
• Counter-Move Identification
• Early reversal attempts
• Contained pullbacks
• Escalating momentum shifts
• Volatility & Participation Awareness
• ATR expansion/contraction
• Volume context (normal vs elevated)
• Color-Coded RSI Visualization
• Highlights pressure shifts, momentum changes, and regime transitions
• On-Chart Terminal Output
• Designed for fast readability without clutter
What This Script Is — and Is Not
• ✅ A contextual RSI intelligence tool
• ✅ A decision-support system for reading momentum behavior
• ❌ Not a buy/sell signal generator
• ❌ Not a prediction or guarantee of market outcome
This indicator is intended to assist with market awareness, structure recognition, and short-term decision context, especially for active traders and scalpers who rely on RSI behavior and momentum flow.
🔎 Intended Use
Best suited for:
• Intraday traders
• Scalpers
• Traders who already understand RSI and want interpretation, not signals
Works on any market and timeframe, with emphasis on lower-timeframe execution context.
⚠️ Disclaimer
This script is provided for educational and informational purposes only.
It does not constitute financial advice, trading recommendations, or guarantees of performance.
Users are responsible for their own trading decisions and risk management.






















