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HTF LiquidityThe ICT Liquidity Sweeps Indicator is designed to track liquidity zones in the market areas where stop-losses and pending orders are typically clustered. This indicator marks buyside liquidity (resistance) and sellside liquidity (support) from HTF (H4, H1 and M15), helping traders identify areas where price is likely to manipulate liquidity before making a significant move.
This tool is based on Inner Circle Trader (ICT) Smart Money Concepts, which emphasize how institutional traders, or “Smart Money,” manipulate liquidity to fuel price movements. By identifying these zones, traders can anticipate liquidity sweeps and position themselves accordingly.
⚙️ How It Works
1️⃣ Detects Key Liquidity Zones
The script automatically identifies significant swing highs and swing lows in price action using a pivot-based method.
A swing high (buyside liquidity) is a peak where price struggles to break higher, forming a resistance level.
A swing low (sellside liquidity) is a valley where price struggles to go lower, creating a support level.
These liquidity points are prime targets for liquidity sweeps before a true trend direction is confirmed.
2️⃣ Draws Liquidity Lines
Once a swing high or low is identified, a horizontal line is drawn at that level.
The lines extend to the right, serving as future liquidity targets until they are broken.
The indicator allows customization in terms of color, line width, and maximum number of liquidity lines displayed at once.
3️⃣ Handles Liquidity Sweeps
When price breaks a liquidity level, the indicator reacts based on the chosen action setting:
Dotted/Dashed: The line remains visible but changes style to indicate a sweep.
Delete: The line is completely removed once price has interacted with it.
This feature ensures that traders can easily spot where liquidity has been taken and determine whether a reversal or continuation is likely.
4️⃣ Prevents Chart Clutter
To maintain a clean chart, the script limits the number of liquidity lines displayed at any given time.
When new liquidity zones are formed, the oldest lines are automatically removed, keeping the focus on the most relevant liquidity zones.
Adaptive Volatility Stop by Pedro Paulo de MeloStop ATR is a clean and reliable volatility-based trailing stop system, built to adapt dynamically to market conditions using the Average True Range (ATR).
It identifies trend direction, adjusts the stop level using stair-step logic, and automatically flips the stop when price reversals occur.
How it works
Uses ATR × Multiplier to calculate an adaptive volatility buffer
Tracks trend direction internally
Recomputes and repositions the stop when a trend flip is detected
Plots separate lines for bullish and bearish stop states
Works on any market and timeframe (crypto, forex, commodities, indices, stocks)
Why it’s useful
This Stop ATR implementation is extremely stable and visually clean.
It is particularly effective for:
Trend following
Position management
Swing and position trading
Systematic stop placement
Unlike many ATR-based stop versions, this script uses a corrected flip-handling method that prevents stop misalignment and ensures consistent trend state tracking.
Inputs
Period — ATR length
Multiplier — ATR factor that defines stop distance
Author
Developed by Pedro Paulo de Melo, open-source version.
ALT Risk Metric StrategyHere's a professional write-up for your ALT Risk Strategy script:
ALT/BTC Risk Strategy - Multi-Crypto DCA with Bitcoin Correlation Analysis
Overview
This strategy uses Bitcoin correlation as a risk indicator to time entries and exits for altcoins. By analyzing how your chosen altcoin performs relative to Bitcoin, the strategy identifies optimal accumulation periods (when alt/BTC is oversold) and profit-taking opportunities (when alt/BTC is overbought). Perfect for traders who want to outperform Bitcoin by strategically timing altcoin positions.
Key Innovation: Why Alt/BTC Matters
Most traders focus solely on USD price, but Alt/BTC ratios reveal true altcoin strength:
When Alt/BTC is low → Altcoin is undervalued relative to Bitcoin (buy opportunity)
When Alt/BTC is high → Altcoin has outperformed Bitcoin (take profits)
This approach captures the rotation between BTC and alts that drives crypto cycles
Key Features
📊 Advanced Technical Analysis
RSI (60% weight): Primary momentum indicator on weekly timeframe
Long-term MA Deviation (35% weight): Measures distance from 150-period baseline
MACD (5% weight): Minor confirmation signal
EMA Smoothing: Filters noise while maintaining responsiveness
All calculations performed on Alt/BTC pairs for superior market timing
💰 3-Tier DCA System
Level 1 (Risk ≤ 70): Conservative entry, base allocation
Level 2 (Risk ≤ 50): Increased allocation, strong opportunity
Level 3 (Risk ≤ 30): Maximum allocation, extreme undervaluation
Continuous buying: Executes every bar while below threshold for true DCA behavior
Cumulative sizing: L3 triggers = L1 + L2 + L3 amounts combined
📈 Smart Profit Management
Sequential selling: Must complete L1 before L2, L2 before L3
Percentage-based exits: Sell portions of position, not fixed amounts
Auto-reset on re-entry: New buy signals reset sell progression
Prevents premature full exits during volatile conditions
🤖 3Commas Automation
Pre-configured JSON webhooks for Custom Signal Bots
Multi-exchange support: Binance, Coinbase, Kraken, Bitfinex, Bybit
Flexible quote currency: USD, USDT, or BUSD
Dynamic order sizing: Automatically adjusts to your tier thresholds
Full webhook documentation compliance
🎨 Multi-Asset Support
Pre-configured for popular altcoins:
ETH (Ethereum)
SOL (Solana)
ADA (Cardano)
LINK (Chainlink)
UNI (Uniswap)
XRP (Ripple)
DOGE
RENDER
Custom option for any other crypto
How It Works
Risk Metric Calculation (0-100 scale):
Fetches weekly Alt/BTC price data for stability
Calculates RSI, MACD, and deviation from 150-period MA
Normalizes MACD to 0-100 range using 500-bar lookback
Combines weighted components: (MACD × 0.05) + (RSI × 0.60) + (Deviation × 0.35)
Applies 5-period EMA smoothing for cleaner signals
Color-Coded Risk Zones:
Green (0-30): Extreme buying opportunity - Alt heavily oversold vs BTC
Lime/Yellow (30-70): Accumulation range - favorable risk/reward
Orange (70-85): Caution zone - consider taking initial profits
Red/Maroon (85-100+): Euphoria zone - aggressive profit-taking
Entry Logic:
Buys execute every candle when risk is below threshold
As risk decreases, position sizing automatically scales up
Example: If risk drops from 60→25, you'll be buying at L1 rate until it hits 50, then L2 rate, then L3 rate
Exit Logic:
Sells only trigger when in profit AND risk exceeds thresholds
Sequential execution ensures partial profit-taking
If new buy signal occurs before all sells complete, sell levels reset to L1
Configuration Guide
Choosing Your Altcoin:
Select crypto from dropdown (or use CUSTOM for unlisted coins)
Pick your exchange
Choose quote currency (USD, USDT, BUSD)
Risk Metric Tuning:
Long Term MA (default 150): Higher = more extreme signals, Lower = more frequent
RSI Length (default 10): Lower = more volatile, Higher = smoother
Smoothing (default 5): Increase for less noise, decrease for faster reaction
Buy Settings (Aggressive DCA Example):
L1 Threshold: 70 | Amount: $5
L2 Threshold: 50 | Amount: $6
L3 Threshold: 30 | Amount: $7
Total L3 buy = $18 per candle when deeply oversold
Sell Settings (Balanced Exit Example):
L1: 70 threshold, 25% position
L2: 85 threshold, 35% position
L3: 100 threshold, 40% position (final exit)
3Commas Setup
Bot Configuration:
Create Custom Signal Bot in 3Commas
Set trading pair to your altcoin/USD (e.g., ETH/USD, SOL/USDT)
Order size: Select "Send in webhook, quote" to use strategy's dollar amounts
Copy Bot UUID and Secret Token
Script Configuration:
Paste credentials into 3Commas section inputs
Check "Enable 3Commas Alerts"
Save and apply to chart
TradingView Alert:
Create Alert → Condition: "alert() function calls only"
Webhook URL: api.3commas.io
Enable "Webhook URL" checkbox
Expiration: Open-ended
Strategy Advantages
✅ Outperform Bitcoin: Designed specifically to beat BTC by timing alt rotations
✅ Capture Alt Seasons: Automatically accumulates when alts lag, sells when they pump
✅ Risk-Adjusted Sizing: Buys more when cheaper (better risk/reward)
✅ Emotional Discipline: Systematic approach removes fear and FOMO
✅ Multi-Asset: Run same strategy across multiple altcoins simultaneously
✅ Proven Indicators: Combines RSI, MACD, and MA deviation - battle-tested tools
Backtesting Insights
Optimal Timeframes:
Daily chart: Best for backtesting and signal generation
Weekly data is fetched internally regardless of display timeframe
Historical Performance Characteristics:
Accumulates heavily during bear markets and BTC dominance periods
Captures explosive altcoin rallies when BTC stagnates
Sequential selling preserves capital during extended downtrends
Works best on established altcoins with multi-year history
Risk Considerations:
Requires capital reserves for extended accumulation periods
Some altcoins may never recover if fundamentals deteriorate
Past correlation patterns may not predict future performance
Always size positions according to personal risk tolerance
Visual Interface
Indicator Panel Displays:
Dynamic color line: Green→Lime→Yellow→Orange→Red as risk increases
Horizontal threshold lines: Dashed lines mark your buy/sell levels
Entry/Exit labels: Green labels for buys, Orange/Red/Maroon for sells
Real-time risk value: Numerical display on price scale
Customization:
All threshold lines are adjustable via inputs
Color scheme clearly differentiates buy zones (green spectrum) from sell zones (red spectrum)
Line weights emphasize most extreme thresholds (L3 buy and L3 sell)
Strategy Philosophy
This strategy is built on the principle that altcoins move in cycles relative to Bitcoin. During Bitcoin rallies, alts often bleed against BTC (high sell, accumulate). When Bitcoin consolidates, alts pump (take profits). By measuring risk on the Alt/BTC chart instead of USD price, we time these rotations with precision.
The 3-tier system ensures you're always averaging in at better prices and scaling out at better prices, maximizing your Bitcoin-denominated returns.
Advanced Tips
Multi-Bot Strategy:
Run this on 5-10 different altcoins simultaneously to:
Diversify correlation risk
Capture whichever alt is pumping
Smooth equity curve through rotation
Pairing with BTC Strategy:
Use alongside the BTC DCA Risk Strategy for complete portfolio coverage:
BTC strategy for core holdings
ALT strategies for alpha generation
Rebalance between them based on BTC dominance
Threshold Calibration:
Check 2-3 years of historical data for your chosen alt
Note where risk metric sat during major bottoms (set buy thresholds)
Note where it peaked during euphoria (set sell thresholds)
Adjust for your risk tolerance and holding period
Credits
Strategy Development & 3Commas Integration: Claude AI (Anthropic)
Technical Analysis Framework: RSI, MACD, Moving Average theory
Implementation: pommesUNDwurst
Disclaimer
This strategy is for educational purposes only. Cryptocurrency trading involves substantial risk of loss. Altcoins are especially volatile and many fail completely. The strategy assumes liquid markets and reliable Alt/BTC price data. Always do your own research, understand the fundamentals of any asset you trade, and never risk more than you can afford to lose. Past performance does not guarantee future results. The authors are not financial advisors and assume no liability for trading decisions.
Additional Warning: Using leverage or trading illiquid altcoins amplifies risk significantly. This strategy is designed for spot trading of established cryptocurrencies with deep liquidity.
Tags: Altcoin, Alt/BTC, DCA, Risk Metric, Dollar Cost Averaging, 3Commas, ETH, SOL, Crypto Rotation, Bitcoin Correlation, Automated Trading, Alt Season
Feel free to modify any sections to better match your style or add specific backtesting results you've observed! 🚀Claude is AI and can make mistakes. Please double-check responses. Sonnet 4.5
Composite Market Momentum Index (CMM)***The Composite Market Momentum Index (CMMI), developed by Alcides Davila, a Miami-based Business Consultant, functions as a specialized momentum oscillator within sophisticated technical frameworks such as the Composite Predictive Index (CPI-IGv5)***. Davila's background in volatile sectors informs CMMI's design, emphasizing resilient, multi-layered analysis to navigate market uncertainties. At its essence, CMMI synthesizes momentum from RSI and momentum indicators, serving as a key input to CPI-(IGv5's)*** probability engine for directional forecasts.
The primary purpose of CMMI is to assess market strength and potential shifts, helping traders identify high-probability opportunities while mitigating risks from isolated metrics. Integrated into CPI-IGv5, it bolsters the "probUp" metric—a probabilistic estimate of upward price action—by fusing complementary factors, yielding a claimed 68-80% trend-prediction accuracy in backtests. Productivity is moderate to high under trending conditions, where multi-indicator redundancy reduces false positives. Still, it may underperform in ranging or highly volatile markets, necessitating user-led backtesting to assess real-world efficacy.
Mathematically, CMMI originates from a 9-period momentum applied to a 14-period RSI, enhanced by a 3-period smoothed short RSI to create the base composite. It undergoes Z-score standardization over a 50-bar window for normalization, followed by a linear weighted sum with other elements (e.g., 0.10 allocation to momentum). Logical enhancements include using the hyperbolic tangent (tanh) for value bounding and cumulative distribution function (CDF) or logistic mappings to derive probabilities, ensuring outputs are statistically rigorous. Threshold logic governs signals: overbought alerts trigger on crossovers above 75 (normalized scale), oversold below 25, with strict pro filters at 0.55 (buy) and 0.45 (sell) on a 0-1 basis, often requiring confirmations from EMA slopes, POC crossovers, or volume deltas. This gated approach adds precision by filtering signals through base, strong, and ultra categories based on probUp thresholds, such as>0.68 for medium-term entries.
Versatility is evident in CMMI's multitimeframe adaptability, supporting modes from scalping (1-minute resolution, short multipliers) to long-term (daily, extended lookbacks up to 500 bars), dynamically adjusting via secure data requests to incorporate live and historical momentum. It accommodates diverse assets, including commodities—Davila's focus—equities, and forex, with customizable weights and manual inputs ( scale) for external variables like news impact (elevated to 0.20 for emphasis) or industry segments (0.05), allowing fine-tuning for macroeconomic or sector-specific contexts. Efficiency is achieved through real-time rolling sums, Z-windows, and resource optimizations (e.g., max 500 bars/lines/labels), minimizing computational overhead while enabling cooldowns to mitigate alert fatigue in high-frequency setups.
For enhanced application, pair with confirmatory indicators such as MACD ratios or VWAP, and use strategy modes to backtest signal viability across horizons. Target investors include day traders and scalpers seeking quick, data-driven entries, institutions focused on commodity analysis, and technically adept retail users, all of whom benefit from its probabilistic framework over rigid rules. While versatile, CMMI's closed-source aspects in Pine Script limit full transparency, underscoring the need for empirical testing.
Multi-Layer Reversal Pro [The_lurker]🔮 MULTI-LAYER REVERSAL PRO
💡 CONCEPT
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An intelligent indicator that detects potential market reversal
points through multi-layer analysis combining momentum indicators,
Smart Money Concepts, and an advanced confirmation system.
HOW IT WORKS:
1. When prices reach exhaustion levels, market behavior is
analyzed through key Smart Money Concepts
2. When SMC concepts align with exhaustion, additional
advanced confirmations are activated
3. When all conditions are met, the appropriate signal appears
🥇 Gold 5M Tips
═════════════════════════════════════════════════════════════
📊 SIGNAL TYPES
═════════════════════════════════════════════════════════════
🟢 BUY SIGNALS
─────────────────────────────────────────────────────────────
BUY
Confirmed buy signal - all conditions met
Confidence: HIGH ●●●
E.BUY (Early Buy)
Early buy opportunity - strong exhaustion + high ADX
Confidence: MEDIUM ●●○
🔴 SELL SIGNALS
─────────────────────────────────────────────────────────────
SELL
Confirmed sell signal - all conditions met
Confidence: HIGH ●●●
E.SELL (Early Sell)
Early sell opportunity - strong exhaustion + high ADX
Confidence: MEDIUM ●●○
🟡 YELLOW WARNING
─────────────────────────────────────────────────────────────
Yellow candle = Warning of potential nearby reversal
→ Action: Monitor only, do not rush
⚠️ CLOSE TRADE
─────────────────────────────────────────────────────────────
"Close Trade ⚠️" appears when:
- A yellow warning candle appeared
- The next candle closed below the TP level
→ Meaning: Exit long position + automatic short entry
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🎯 QUICK ACTION GUIDE
═════════════════════════════════════════════════════════════
BUY / SELL
Confidence: HIGH
✅ Direct entry
E.BUY / E.SELL
Confidence: MEDIUM
⚡ Cautious entry / smaller size
Yellow Candle
Confidence: ALERT
👁️ Monitor only
Close Trade
Confidence: URGENT
🚪 Immediate exit
⚠️ DISCLAIMER
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
This indicator is for educational purposes only. Past performance does not
guarantee future results. Always use proper risk management and conduct your
own analysis before making trading decisions.
═════════════════════════════════════════════════════════════
مؤشر الانعكاس الذكي متعدد الطبقات
═════════════════════════════════════════════════════════════
💡 الفكرة
─────────────────────────────────────────────────────────────
مؤشر ذكي يكتشف نقاط الانعكاس المحتملة في السوق عبر تحليل
متعدد الطبقات يجمع بين مؤشرات الزخم ومفاهيم Smart Money
مع نظام تأكيدات متقدم.
آلية العمل:
1. عند وصول الأسعار إلى مراحل التشبع ، يتم تحليل سلوك السوق من عدة نقاط جوهرية تعتمد على مفاهيم Smart Money
2. عند تطابق مفاهيم SMC مع التشبع ، تُفعَّل تأكيدات متقدمة
3. عند تحقق جميع الشروط، تظهر الإشارة المناسبة
🥇 نصيحة للذهب 5 دقائق
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📊 أنواع الإشارات
═════════════════════════════════════════════════════════════
🟢 إشارات الشراء
─────────────────────────────────────────────────────────────
1- شراء BUY
إشارة شراء مؤكدة - استوفت جميع الشروط
الثقة: عالية ●●●
2- شراء مبكر E.BUY
فرصة شراء مبكرة - تشبع قوي + ADX عالي
الثقة: متوسطة ●●○
🔴 إشارات البيع
─────────────────────────────────────────────────────────────
1- بيع SELL
إشارة بيع مؤكدة - استوفت جميع الشروط
الثقة: عالية ●●●
2- بيع مبكر E.SELL
فرصة بيع مبكرة - تشبع قوي + ADX عالي
الثقة: متوسطة ●●○
🟡 التحذير الأصفر
─────────────────────────────────────────────────────────────
الشمعة الصفراء = تحذير من احتمال انعكاس قريب
← التصرف: راقب فقط ولا تتسرع
⚠️ إغلاق الصفقة
─────────────────────────────────────────────────────────────
تظهر علامة "إغلاق الصفقة ⚠️" عندما:
- ظهرت شمعة تحذير صفراء
- الشمعة التالية أغلقت تحت مستوى TP
← المعنى: إشارة خروج من الشراء + فتح صفقة بيع تلقائياً
═════════════════════════════════════════════════════════════
🎯 دليل التصرف السريع
═════════════════════════════════════════════════════════════
شراء/بيع BUY / SELL
الثقة: عالية
✅ دخول مباشر
شراء مبكر/ بيع مبكر E.BUY / E.SELL
الثقة: متوسطة
⚡ دخول بحذر أو حجم أقل
شمعة صفراء
الثقة: تنبيه
👁️ مراقبة فقط
إغلاق صفقة
الثقة: عاجل
🚪 خروج فوري
═════════════════════════════════════════════════════════════
⚠️ إخلاء المسؤولية
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
هذا المؤشر للأغراض التعليمية فقط. الأداء السابق لا يضمن النتائج المستقبلية.
استخدم دائماً إدارة مخاطر مناسبة وقم بتحليلك الخاص قبل اتخاذ قرارات التداول.
HSS Price Action v1based on price action and SMC concepts this indicator will give you trade entry and also guide on order blocks and liquidity .. good luck
The Composite Predictive Index-(CPI-IGv5)***Main Purpose: Developed by Alcides J. Davila (TradingView: Alcides0265), a Miami-based daily trader and financial consultant specializing in commodities and capital solutions. The primary reason for CPI-IG v5 is to deliver institutional-grade predictive signals for market direction, synthesizing diverse technical factors into a probabilistic "probUp" score (upward movement likelihood) to guide high-confidence trades, aiming for 68-80% predictability in identifying trends/reversals.
Key Features: Probability Engine: Weighted combination of price delta, momentum (CMMI from RSI/mom), volume pressure, volatility (ATR/BB), trend slope, sentiment/news (manual inputs), projection (MACD ratio), and POC crossover; normalized via Z-score and tanh approx, mapped to probUp using normal CDF or logistic.
Signals and Strategies: Base/strong/ultra buy/sell gates based on prob thresholds (e.g., >0.68 for medium-term buys), bullish/bearish alignments (EMA9/20/SMA9 vs. VWAP/POC proxy), Golden/Death crosses (EMA50/200), short/medium/long confirmations, and breakout/breakdown with retest detection.
Visuals and HUD: Overlay plots (EMAs, BB, VWAP, projections), dynamic tables for stats (prob/z/ATR/delta vol), oscillator (bull/neu/bear on LTF/current/HTF), indexes (S&P/DJIA/Nasdaq), ETFs (SPY/QQQ/VIX), all resizable/movable.
Trading Modes: Versatile for scalping (short projections, 0.55 buy thresh), intraday, short/medium/long-term (stricter thresh up to 0.70, adjusted lookbacks/projections up to 500 bars).
Additional Tools: Internal backtest (with TP/SL via ATR mults, slippage/fees), alerts with cooldown, multi-timeframe alignment (HTF strict option).
Design and Protocol Structure: Modular Pine Script v5 with helpers (tanh/erf approx for ASCII-only math, safe div/Z-score norms); core series compute indicators (RSI/MACD/BB/VWAP/volume delta); linear weighted sum -> standardized Z -> prob calc -> gated signals with filters; efficient resource caps (max bars/lines/labels=500).
Reliability: Multi-factor redundancy and confirmations (e.g., simultaneous POC crosses, vol/MACD filters for ultra signals) reduce noise; HTF/LTF integration ensures alignment; backtest tracks cumR/wins/maxDD for validation; robustness via clamping/approx handles extremes/div0.
Efficiency: Real-time computation with rolling sums/Z-windows (50 bars); optimized for daily/institutional use without heavy lag; cooldowns prevent alert overload.
Robustness: Edge-case handling (e.g., na checks, mintick ranges); flexible inputs (weights, mults, modes) adapt to markets; no strict cutoff, continuous updates via security requests.
Flexibility: Customizable weights/thresh/resolutions; manual sentiment/news for external integration; toggles for visuals/backtest; suits pros, institutions, scalpers, daily traders across assets/timeframes.
Market Predictability: Claims 68-80% effectiveness via sophisticated prob model, multi-indicator fusion, and strategy layers; thresholds imply edge (e.g., 70% long-term buy prob), enhanced by projections/breakouts for forward bias.
Tiny Simplified Feedback Summary
CPI-IG v5 excels as a versatile, prob-driven institutional tool for predictive trading (68-80% edge), blending TA factors with custom modes/signals/visuals; robust and efficient for all trader levels, per code analysis and TradingView desc. Cheers!!!
KIMATIX Info TableKIMATIX Info Table is an executive-grade market dashboard that brings real-time orderflow, volume dynamics, directional bias, and signal confirmation directly onto your chart.
Instead of guessing market conditions, this tool quantifies them and displays structured, colour-coded insights—giving traders the ability to read context at a glance.
It tracks live Buy/Sell pressure, session-based CumDelta behaviour, higher-timeframe directional flow, relative volume, heatmap sentiment, and signal strength.
The result is a transparent market interpreter—ideal for traders who want objective insight instead of subjective opinion.
The table shows:
Active Buy vs Sell volume
Buy/Sell probability weights
CumDelta bias & pressure shifts
Higher-timeframe trend direction (HTF Bias)
Negative-delta heatmap (selling pressure %)
Relative volume acceleration
Signal plots mark valid opportunities directly on the chart, and built-in alerts enable automation or notifications.
Designed for scalpers, orderflow traders, and systematic decision-makers who demand clarity without clutter.
Key Features
• Real-time orderflow breakdown (Buy vs Sell strength)
• Higher-timeframe directional bias confirmation
• Session-reset CumDelta tracking
• Dynamic sentiment heatmap
• Relative volume acceleration detection
• Trade signal classification with alerts
• Visual chart markers for Long/Short events
Benefits for Traders
• Understand whether buyers or sellers control the tape
• See whether momentum is supported or fading
• Identify when trend and orderflow align
• Receive confirmed timing signals without guessing
• Suitable for scalping, intraday trading, futures, indices, crypto, FX
A compact institutional-style dashboard for traders who think in probabilities—not emotions.
仓位计算器# 仓位计算器
通过开仓、止损、止盈计算固定盈亏比适合的开仓数量,根据开仓和止损判断开仓方向。
首次使用需要手动设置开仓、止盈、止损,之后可以手动拖拽价格线设置值然后自动计算仓位信息。
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# Position Calculator
Calculates the optimal position size with a fixed profit/loss ratio based on opening, stop-loss, and take-profit levels. Determines the direction of the position based on the opening and stop-loss settings.
Initial use requires manual setting of opening, take-profit, and stop-loss. Afterward, you can manually drag the price line to set values and the system will automatically calculate position information.
The Composite Predictive Index-(CPI-IG v5)**The Composite Predictive Index (CPI-IG v5) is a comprehensive Market Institutional Indicator created by Alcides Davila and is an overlay indicator designed for institutional-grade market analysis and trading signals. Nevertheless, Daily-Short-Term Traders may also take advantage of this robust and efficient indicator. Still, they must make the necessary adjustments for scalping and for short-, medium-, and long-term trading. It synthesizes multiple technical factors (e.g., RSI, MACD, Bollinger Bands, VWAP, EMAs/SMAs, volume pressure, delta volume, manual sentiment/news inputs) into a weighted Z-score-based probability model (probUp) for forecasting price direction—generating buy/sell gates, strong/ultra signals, and short-term projections. It supports multi-timeframe alignment (HTF/LTF), breakout/breakdown detection with retests, internal backtesting, and alerts, while displaying dashboards for probabilities, stats, oscillators (bull/bear/neutral), major indexes (S&P, DJIA, Nasdaq), and ETFs (SPY, QQQ, etc.).
In terms of structure, it's highly reliable and productive: modular code with error-handling (safe divisions, approximations for tanh/erf), customizable modes (scalp to long-term), efficient resource use (max_bars_back=500), and cooldowns to prevent alert spam. Quality is strong, with transparent math, visual flexibility, and no apparent logic bugs—though real-world performance depends on market conditions and user tuning.
Investors can benefit significantly by using it for data-driven decisions, reducing bias through probability scores (e.g., >68% for buys), timing entries/exits with cross-confirmations, and monitoring broader market context via indexes/ETFs. It's especially useful for trend-following or reversal strategies, potentially improving win rates in volatile markets, but, like all indicators, it's not foolproof—use it in combination with risk management.
Strongest feature: The probability engine, which normalizes diverse signals into a robust, Z-scaled probUp metric (via the normal CDF or a logistic), enabling a quantifiable edge over traditional oscillators. Cheers...!!!
The Composite Predictive Index-(CPI-IG v5)*The Composite Predictive Index (CPI-IG v5) is the creation of Alcides Davila (Alcides0265), Daily Trader. This indicator, which I call "The Predictor Index" and is also known as "The Composite Predictive Index (CPI-IG v5)", is an overlay indicator designed for institutional-grade market analysis and trading signals. Daily traders could also take advantage of this indicator by making the necessary adjustments for each trading session, whether for short-term (scalping), medium-term, or long-term investments. It synthesizes multiple technical factors (e.g., RSI, MACD, Bollinger Bands, VWAP, EMAs/SMAs, volume pressure, delta volume, manual sentiment/news inputs) into a weighted Z-score-based probability model (probUp) for forecasting price direction—generating buy/sell gates, strong/ultra signals, and short-term projections. It supports multi-timeframe alignment (HTF/LTF), breakout/breakdown detection with retests, internal backtesting, and alerts, while displaying dashboards for probabilities, stats, oscillators (bull/bear/neutral), major indexes (S&P, DJIA, Nasdaq), and ETFs (SPY, QQQ, etc.).
In terms of structure, it's highly reliable and productive: modular code with error-handling (safe divisions, approximations for tanh/erf), customizable modes (scalp to long-term), efficient resource use (max_bars_back=500), and cooldowns to prevent alert spam. Quality is strong, with transparent math, visual flexibility, and no apparent logic bugs—though real-world performance depends on market conditions and user tuning.
Investors can benefit significantly by using it for data-driven decisions, reducing bias through probability scores (e.g., >68% for buys), timing entries/exits with cross-confirmations, and monitoring broader market context via indexes/ETFs. It's especially useful for trend-following or reversal strategies, potentially improving win rates in volatile markets, but, like all indicators, it's not foolproof—use it in combination with risk management.
Strongest feature: The probability engine, which normalizes diverse signals into a robust, Z-scaled probUp metric (via the normal CDF or a logistic), enabling a quantifiable edge over traditional oscillators.
The Composite Predictive Index (CPI-IG v5)The Composite Predictive Index (CPI-IG v5) is the creation of Alcides Davila (Alcides0265), Daily Trader. This indicator, which I call "The Predictor Index" and is also known as "The Composite Predictive Index (CPI-IG v5)", is an overlay indicator designed for institutional-grade market analysis and trading signals. Daily traders could also take advantage of this indicator by making the necessary adjustments for the trading sessions, whether for short (scalping), medium, or long-term investments. It synthesizes multiple technical factors (e.g., RSI, MACD, Bollinger Bands, VWAP, EMAs/SMAs, volume pressure, delta volume, manual sentiment/news inputs) into a weighted Z-score-based probability model (probUp) for forecasting price direction—generating buy/sell gates, strong/ultra signals, and short-term projections. It supports multi-timeframe alignment (HTF/LTF), breakout/breakdown detection with retests, internal backtesting, and alerts, while displaying dashboards for probabilities, stats, oscillators (bull/bear/neutral), major indexes (S&P, DJIA, Nasdaq), and ETFs (SPY, QQQ, etc.).
In terms of structure, it's highly reliable and productive: modular code with error-handling (safe divisions, approximations for tanh/erf), customizable modes (scalp to long-term), efficient resource use (max_bars_back=500), and cooldowns to prevent alert spam. Quality is strong, with transparent math, visual flexibility, and no apparent logic bugs—though real-world performance depends on market conditions and user tuning.
Investors can benefit significantly by using it for data-driven decisions, reducing bias through probability scores (e.g., >68% for buys), timing entries/exits with cross-confirmations, and monitoring broader market context via indexes/ETFs. It's especially useful for trend-following or reversal strategies, potentially improving win rates in volatile markets, but, like all indicators, it's not foolproof—use it in combination with risk management.
Strongest feature: The probability engine, which normalizes diverse signals into a robust, Z-scaled probUp metric (via the normal CDF or a logistic), enabling a quantifiable edge over traditional oscillators.
Setup Keltner Banda 3 e 5 - MMS + RSI + Distância Tabela
📊 Indicator Overview: Keltner Bands + RSI + Distance Table
This custom TradingView indicator combines three powerful tools into a single, visually intuitive setup:
Keltner Channels (Bands 3x and 5x ATR)
Relative Strength Index (RSI)
Dynamic Table Displaying RSI and Price Distance from Moving Average (MMS)
🔧 Components and Functions
1. Keltner Channels (3x and 5x ATR)
Based on a Simple Moving Average (MMS) and Average True Range (ATR).
Two sets of bands are plotted:
3x ATR Bands: Used for moderate volatility signals.
5x ATR Bands: Used for high volatility extremes.
Visual fills between bands help identify overextended price zones.
2. RSI (Relative Strength Index)
Measures momentum and potential reversal zones.
Customizable overbought (default 70) and oversold (default 30) levels.
RSI values are color-coded in the table:
Green for RSI ≤ 30 (oversold)
Blue for 30 < RSI ≤ 70 (neutral)
Red for RSI > 70 (overbought)
3. Distance Table (Price vs. MMS)
Displays the real-time distance between the current price and the MMS:
In points (absolute difference)
In percentage (relative to MMS)
Helps traders assess how far price has deviated from its mean.
📈 How to Use
Trend Reversal Signals
Look for price crossing back inside the 3x or 5x Keltner Bands.
Confirm with RSI:
RSI > 70 + price re-entering from above = potential short
RSI < 30 + price re-entering from below = potential long
Volatility Zones
Price outside the 5x band indicates extreme movement.
Use this to anticipate mean reversion or breakout continuation.
Table Insights
Monitor RSI and price distance in real time.
Use color cues to quickly assess momentum and stretch.
⚙️ Customization
Adjustable parameters for:
MMS period
ATR multipliers
RSI period and thresholds
Table position on chart
Fill colors between bands
This indicator is ideal for traders who want a clean, data-rich visual tool to track volatility, momentum, and price deviation in one place.
美股宽广度指标NH-NLThe NH–NL breadth indicator is used to measure the underlying strength or weakness of the market (Market Breadth).
It tracks how many stocks are making 52-week new highs (New Highs) and 52-week new lows (New Lows), and calculates the difference between them.
This is one of the most widely followed institutional indicators of market health, helping traders observe:
• Whether an uptrend has real breadth support (i.e., whether most stocks are participating in the advance)
• Whether weakness is spreading during pullbacks (e.g., new lows expanding rapidly)
• Whether the medium-term structure is shifting (NH–NL often reveals trend changes earlier than price)
The core purpose of this breadth indicator is to help traders assess whether the market environment is suitable for increasing risk exposure, or whether they should reduce exposure and stay cautious.
NH–NL宽广度指标用于衡量市场内部的强弱结构(Market Breadth)。
它统计市场中有多少股票创 52 周新高(New Highs) 与 52 周新低(New Lows),并计算两者的差值
这是机构最常参考的市场健康度指标之一,用于观察:
• 上涨行情是否具备广度支持(是否多数股票都参与上涨)
• 回调过程中是否有恶化迹象(新低是否快速扩散)
• 中期结构是否变化(NH–NL 案例中最常见的是趋势转折提前出现)
这个宽广度指标核心价值是让交易者判断市场是否适合提高风险敞口或是否需要降低风险并观察。
Setup Keltner BandS MMS + RSI SIGNALS
📊 Keltner Bands with RSI Confirmation – TradingView Script
Introduction
This script combines Keltner Channel logic with Relative Strength Index (RSI) confirmation to provide traders with visual signals and alerts for potential reversals. It is designed for scalping and short-term trading strategies, where precision and quick decision-making are essential.
🔧 How It Works
• Keltner Bands (ATR-based):
• Two sets of bands are plotted around a moving average:
• Band 3 (ATR × 3) – more sensitive, suitable for aggressive entries.
• Band 5 (ATR × 5) – wider, used as a filter or confirmation zone.
• Signals are generated when the price crosses back inside the bands from outside.
• RSI Confirmation:
• RSI is calculated with a customizable period (default: 14).
• Overbought and oversold levels (default: 70/30) are used to filter signals.
• A bearish reversal is confirmed only if RSI is above the overbought level.
• A bullish reversal is confirmed only if RSI is below the oversold level.
📌 Functions and Features
• Visual Signals:
• Triangles plotted above/below candles for Keltner-only signals.
• Additional colored triangles for Keltner + RSI confirmed signals.
• Alerts:
• Configurable alerts for both Keltner-only and RSI-confirmed conditions.
• Messages include the type of reversal and the band level.
• Customizable Parameters:
• Moving average length.
• ATR multipliers (3 and 5).
• RSI length and thresholds.
• Colors for band fills and signals.
🎯 Usage
1. Apply the script to your chart in TradingView.
2. Adjust parameters to fit your trading style (scalping, intraday, swing).
3. Watch for signals:
• Red/green/orange/teal triangles → Keltner-only reversals.
• Maroon/lime/purple/blue triangles → RSI-confirmed reversals.
4. Set alerts to receive notifications when conditions are met.
5. Use RSI confirmation to filter out false signals and increase accuracy.
✅ Benefits
• Clear visualization of reversal zones.
• Dual-layer confirmation (Keltner + RSI).
• Flexible for different timeframes and trading styles.
• Ready-to-use alerts for automation or manual trading.
SMC Pro: Real-Time Final**Description:**
This comprehensive SMC indicator is designed to automatically visualize major **Trading Sessions** and **Killzones**, alongside Fair Value Gaps (FVG). It helps traders identify high-probability setups by correlating time and price, specifically during key market hours (London, New York, Asia).
**Key Features:**
1. **Trading Sessions & Killzones:** The indicator clearly highlights the open and duration of major sessions (Asia, London, New York), allowing traders to spot volatility injections and "Judas Swings."
2. **Automated FVG Detection:** Scans price action to locate valid Fair Value Gaps and Imbalances within these sessions.
3. **Entry Logic:** Marks potential entry zones at the 50% retracement level of the identified FVG.
4. **Risk Management:** Projects a fixed Risk-to-Reward ratio (e.g., 1:3) with automatic Stop Loss and Take Profit levels.
5. **Clean Visualization:** Color-coded boxes for sessions and gaps keep the chart organized.
**How to Use:**
* **Time Analysis:** Watch for price action as the London or NY session opens (highlighted by the indicator).
* **Signal:** Wait for an Imbalance/FVG to form during these high-volume times.
* **Entry:** Set a limit order at the 50% mark of the gap.
* **Exit:** Use the projected TP levels.
**Disclaimer:**
This tool is for educational purposes and technical analysis assistance only. Past performance does not guarantee future results.
Manual Zones SafeUse cases:
Support and resistance levels
Supply and demand zones
Price action areas for manual trading strategies
IndiabizlistFX Scalper 1.0the detailed description will be updated soon
basically an indicator with customized settings for reversal trading, i am currently updating it, with the dashboard, it will be updated soon
Volatility Aurora [The_lurker]█░░░░░░░░░░░░░░░░░░░ VOLATILITY AURORA ░░░░░░░░░░░░░░░░░░░░█
█░░░░░░░░░░░░░░░ Where Market Energy Meets Visual Poetry ░░░░░░░░░░░░░░░░█
📖 INTRODUCTION
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
The Aurora Borealis occurs when charged particles from the sun collide with gases in Earth's atmosphere, creating mesmerizing waves of colorful light.
𝗩𝗼𝗹𝗮𝘁𝗶𝗹𝗶𝘁𝘆 𝗔𝘂𝗿𝗼𝗿𝗮 applies this elegant concept to financial markets:
⚡ Price Momentum = Charged Particles
🌌 ATR Layers = Atmospheric Layers
🎨 Color Intensity = Energy Magnitude
📐 Layer Expansion = Volatility State
When momentum "collides" with volatility layers, the Aurora illuminates potential market regime changes — often before they fully manifest in price action.
🔬 THE SCIENCE BEHIND IT
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Unlike traditional volatility indicators that provide a single value, Volatility Aurora creates a 𝗺𝘂𝗹𝘁𝗶-𝗱𝗶𝗺𝗲𝗻𝘀𝗶𝗼𝗻𝗮𝗹 𝘃𝗼𝗹𝗮𝘁𝗶𝗹𝗶𝘁𝘆 𝗳𝗶𝗲𝗹𝗱 using five distinct ATR layers based on Fibonacci periods:
│ Layer │ Period │ Atmospheric │ Function │
├──────────────────────┼─────────────────┼─────────────────┤
│ Layer 1 │ 5 │ Ionosphere │ Captures immediate vol shifts
│ Layer 2 │ 13 │ Mesosphere │ Medium-term vol response
│ Layer 3 │ 34 │ Stratosphere │ Intermediate vol structure
│ Layer 4 │ 55 │ Troposphere │ Foundational vol baseline
│ Layer 5 │ 89 │ Surface │ Structural, long-term vol
⚡ CORE CONCEPTS
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
𝟭. 𝗟𝗮𝘆𝗲𝗿 𝗘𝘅𝗽𝗮𝗻𝘀𝗶𝗼𝗻 & 𝗖𝗼𝗻𝘁𝗿𝗮𝗰𝘁𝗶𝗼𝗻
Each layer dynamically expands or contracts based on its normalized ATR value:
• 𝗘𝘅𝗽𝗮𝗻𝗱𝗶𝗻𝗴 𝗟𝗮𝘆𝗲𝗿𝘀 → Increasing volatility regime
• 𝗖𝗼𝗻𝘁𝗿𝗮𝗰𝘁𝗶𝗻𝗴 𝗟𝗮𝘆𝗲𝗿𝘀 → Decreasing volatility / Consolidation
• 𝗕𝗿𝗲𝗮𝘁𝗵𝗶𝗻𝗴 𝗘𝗳𝗳𝗲𝗰𝘁 → Natural market rhythm visualization
𝟮. 𝗛𝗮𝗿𝗺𝗼𝗻𝘆 𝗦𝗰𝗼𝗿𝗲
Measures alignment between all five layers:
• 𝗛𝗶𝗴𝗵 𝗛𝗮𝗿𝗺𝗼𝗻𝘆 (>70%) → All timeframes agree → Strong, reliable trends
• 𝗟𝗼𝘄 𝗛𝗮𝗿𝗺𝗼𝗻𝘆 (<30%) → Timeframe divergence → Choppy conditions
𝟯. 𝗘𝗻𝗲𝗿𝗴𝘆 𝗜𝗻𝘁𝗲𝗻𝘀𝗶𝘁𝘆
Quantifies how strongly momentum is "hitting" the volatility layers:
• 𝗛𝗶𝗴𝗵 𝗜𝗻𝘁𝗲𝗻𝘀𝗶𝘁𝘆 → Strong directional conviction
• 𝗟𝗼𝘄 𝗜𝗻𝘁𝗲𝗻𝘀𝗶𝘁𝘆 → Weak momentum, potential reversal
𝟰. 𝗥𝗲𝗴𝗶𝗺𝗲 𝗖𝗹𝗮𝘀𝘀𝗶𝗳𝗶𝗰𝗮𝘁𝗶𝗼𝗻
Based on aggregate layer states:
🟢 𝗖𝗔𝗟𝗠 → Low volatility across all layers
🟡 𝗡𝗢𝗥𝗠𝗔𝗟 → Balanced market conditions
🟠 𝗩𝗢𝗟𝗔𝗧𝗜𝗟𝗘 → Elevated activity
🔴 𝗘𝗫𝗧𝗥𝗘𝗠𝗘 → Maximum volatility state
🎨 VISUAL COMPONENTS
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
🌈 𝗔𝘂𝗿𝗼𝗿𝗮 𝗟𝗮𝘆𝗲𝗿𝘀 (𝗚𝗿𝗮𝗱𝗶𝗲𝗻𝘁 𝗕𝗮𝗻𝗱𝘀)
• Five pairs of symmetrical bands around the price core
• Color gradient from core (bright) to outer (dim)
• Expansion reflects current volatility state
💠 𝗖𝗼𝗿𝗲 𝗟𝗶𝗻𝗲
• Central EMA-based trend line
• Color changes with momentum direction:
🟢 Cyan/Teal = Bullish
🔴 Pink/Magenta = Bearish
🟣 Purple = Neutral
💫 𝗘𝗻𝗲𝗿𝗴𝘆 𝗣𝘂𝗹𝘀𝗲 𝗟𝗶𝗻𝗲𝘀
• Diagonal flow lines showing momentum trajectory
• Thicker lines = Higher energy
• Direction indicates momentum flow
🎵 𝗛𝗮𝗿𝗺𝗼𝗻𝘆 𝗪𝗮𝘃𝗲𝘀
• Vertical dotted lines appear when harmony exceeds 70%
• Signals timeframe alignment — high-probability zones
📊 HOW TO USE
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
📈 𝗧𝗿𝗲𝗻𝗱 𝗙𝗼𝗹𝗹𝗼𝘄𝗶𝗻𝗴
• Enter when Aurora expands in your direction
• Core line color confirms bias
• High harmony = Higher confidence
💥 𝗩𝗼𝗹𝗮𝘁𝗶𝗹𝗶𝘁𝘆 𝗕𝗿𝗲𝗮𝗸𝗼𝘂𝘁𝘀
• Watch for regime shift from CALM to VOLATILE
• Expanding layers signal incoming movement
• Intensity spike confirms breakout strength
↩️ 𝗠𝗲𝗮𝗻 𝗥𝗲𝘃𝗲𝗿𝘀𝗶𝗼𝗻
• EXTREME regime often precedes reversals
• Contracting layers after expansion = Potential pullback
• Low harmony during trends = Weakening momentum
🛡️ 𝗥𝗶𝘀𝗸 𝗠𝗮𝗻𝗮𝗴𝗲𝗺𝗲𝗻𝘁
• Use outer layers as dynamic support/resistance
• Wider Aurora = Wider stops required
• Contracting Aurora = Tighter risk parameters
⚙️ SETTINGS GUIDE
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
🌌 𝗔𝘂𝗿𝗼𝗿𝗮 𝗖𝗼𝗿𝗲
│ Setting │Default │ Description
│ Layer 1-5 │ Fib │ ATR periods (5,13,34,55,89)
│ Expansion Factor │ 2.5 │ Controls layer width multiplier
│ Smoothing │ 5 │ EMA smoothing for visual clarity
⚡ 𝗘𝗻𝗲𝗿𝗴𝘆 𝗙𝗶𝗲𝗹𝗱
│ Setting │ Default │ Description
│ Momentum Length │ 14 │ Period for momentum calculation
│ Energy Lookback │ 21 │ Normalization window
│ Energy Multiplier │ 1.5 │ Amplifies energy display
🎨 𝗩𝗶𝘀𝘂𝗮𝗹
│ Setting │ Default │ Description
│ Language │ EN │ Interface language (EN/AR)
│ Show Aurora │ ✓ │ Toggle layer visibility
│ Show Core Line │ ✓ │ Toggle center line
│ Show Energy Pulse │ ✓ │ Toggle flow lines
│ Show Harmony Waves │ ✓ │ Toggle alignment indicators
🔔 ALERTS
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
⚡ 𝗥𝗲𝗴𝗶𝗺𝗲 𝗦𝗵𝗶𝗳𝘁 — Volatility regime changed
🎵 𝗛𝗶𝗴𝗵 𝗛𝗮𝗿𝗺𝗼𝗻𝘆 — All layers aligned (>85%)
↕️ 𝗗𝗶𝗿𝗲𝗰𝘁𝗶𝗼𝗻 𝗖𝗵𝗮𝗻𝗴𝗲 — Momentum direction reversed
🔥 𝗜𝗻𝘁𝗲𝗻𝘀𝗶𝘁𝘆 𝗦𝗽𝗶𝗸𝗲 — Energy exceeded 80% threshold
💡 TIPS FOR BEST RESULTS
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
1️⃣ 𝗛𝗶𝗴𝗵𝗲𝗿 𝗧𝗶𝗺𝗲𝗳𝗿𝗮𝗺𝗲𝘀 — Aurora works best on 1H+ charts
2️⃣ 𝗖𝗼𝗺𝗯𝗶𝗻𝗲 𝘄𝗶𝘁𝗵 𝗣𝗔 — Use Aurora as context, not signals
3️⃣ 𝗪𝗮𝘁𝗰𝗵 𝗛𝗮𝗿𝗺𝗼𝗻𝘆 — High harmony setups win more
4️⃣ 𝗥𝗲𝘀𝗽𝗲𝗰𝘁 𝗥𝗲𝗴𝗶𝗺𝗲 — Don't fight EXTREME volatility
5️⃣ 𝗟𝗮𝘆𝗲𝗿 𝗖𝗼𝗻𝗳𝗹𝘂𝗲𝗻𝗰𝗲 — Multi-layer bounces = Strong S/R
⚠️ DISCLAIMER
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
This indicator is for educational purposes only. Past performance does not
guarantee future results. Always use proper risk management and conduct your
own analysis before making trading decisions.
█████████████████████████████████████████████████████████████
█░░░░░░░░░░░░░░░░░░░░░ شفق التقلب ░░░░░░░░░░░░░░░░░░░░░░█
█░░░░░░░░░░░░░░░ حيث تلتقي طاقة السوق بالشعور البصري ░░░░░░░░░░░░░░░░█
📖 المقدمة
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
يحدث الشفق القطبي عندما تصطدم الجسيمات المشحونة القادمة من الشمس بالغازات في الغلاف الجوي للأرض، مما يخلق موجات ساحرة من الضوء الملون.
يطبق نفس المفهوم الأنيق على الأسواق المالية
⚡ زخم السعر = الجسيمات المشحونة
🌌 طبقات ATR = طبقات الغلاف الجوي
🎨 شدة اللون = حجم الطاقة
📐 توسع الطبقات = حالة التقلب
عندما "يصطدم" الزخم بطبقات التقلب، يُضيء الشفق التغيرات المحتملة في نظام السوق — غالباً قبل أن تتجلى بالكامل في حركة السعر.
🔬 العلم وراء المؤشر
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
على عكس مؤشرات التقلب التقليدية التي تقدم قيمة واحدة، يُنشئ شفق التقلب 𝗽𝗮𝗾𝗹 𝘁𝗮𝗾𝗮𝗹𝗹𝘂𝗯 𝗺𝘂𝘁𝗮'𝗮𝗱𝗱𝗶𝗱 𝗮𝗹-𝗮𝗯'𝗮𝗱 باستخدام خمس طبقات ATR مميزة مبنية على أرقام فيبوناتشي:
│ الطبقة │ الفترة │ المعادل الجوي │ الوظيفة
│ الطبقة١ │ 5 │ الأيونوسفير │ تلتقط تحولات التقلب الفورية
│ الطبقة٢ │ 13 │ الميزوسفير │ استجابة التقلب متوسطة المدى
│ الطبقة٣ │ 34 │ الستراتوسفير │ هيكل التقلب المتوسط
│ الطبقة٤ │ 55 │ التروبوسفير │ خط الأساس للتقلب
│ الطبقة٥ │ 89 │ السطح │ التقلب الهيكلي طويل المدى
⚡ المفاهيم الأساسية
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
𝟭. توسع وانكماش الطبقات
تتوسع أو تنكمش كل طبقة ديناميكياً بناءً على قيمة ATR المعيارية:
• طبقات متوسعة ← نظام تقلب متزايد
• طبقات منكمشة ← تقلب متناقص / تجميع
• تأثير التنفس ← تصور إيقاع السوق الطبيعي
𝟮. درجة التناغم
تقيس التوافق بين جميع الطبقات الخمس:
• تناغم عالي (>٧٠٪) ← جميع الأطر متفقة ← اتجاهات قوية
• تناغم منخفض (<٣٠٪) ← تباين الأطر ← ظروف متقطعة
𝟯. شدة الطاقة
تحدد مدى قوة "اصطدام" الزخم بطبقات التقلب:
• شدة عالية ← قناعة اتجاهية قوية
• شدة منخفضة ← زخم ضعيف، احتمال انعكاس
𝟰. تصنيف النظام
بناءً على حالات الطبقات المجمعة:
🟢 هادئ ← تقلب منخفض عبر جميع الطبقات
🟡 طبيعي ← ظروف سوق متوازنة
🟠 متقلب ← نشاط مرتفع
🔴 متطرف ← حالة التقلب القصوى
🎨 المكونات البصرية
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
🌈 طبقات الشفق (النطاقات المتدرجة)
• خمسة أزواج من النطاقات المتماثلة حول نواة السعر
• تدرج لوني من النواة (ساطع) إلى الخارج (خافت)
• التوسع يعكس حالة التقلب الحالية
💠 خط النواة
• خط اتجاه مركزي قائم على EMA
• يتغير اللون مع اتجاه الزخم:
🟢 سماوي = صاعد
🔴 وردي = هابط
🟣 بنفسجي = محايد
💫 خطوط نبض الطاقة
• خطوط تدفق مائلة تُظهر مسار الزخم
• خطوط أسمك = طاقة أعلى
• الاتجاه يشير إلى تدفق الزخم
🎵 موجات التناغم
• خطوط عمودية منقطة تظهر عندما يتجاوز التناغم ٧٠٪
• تشير إلى توافق الأطر الزمنية — مناطق احتمالية عالية
📊 كيفية الاستخدام
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
📈 تتبع الاتجاه
• ادخل عندما يتوسع الشفق في اتجاهك
• لون خط النواة يؤكد التحيز
• تناغم عالي = ثقة أعلى
💥 اختراقات التقلب
• راقب تحول النظام من هادئ إلى متقلب
• الطبقات المتوسعة تشير إلى حركة قادمة
• ارتفاع الشدة يؤكد قوة الاختراق
↩️ الارتداد للمتوسط
• النظام المتطرف غالباً يسبق الانعكاسات
• طبقات منكمشة بعد التوسع = احتمال تراجع
• تناغم منخفض أثناء الاتجاهات = زخم ضعيف
🛡️ إدارة المخاطر
• استخدم الطبقات الخارجية كدعم/مقاومة ديناميكية
• شفق أوسع = وقف خسارة أوسع مطلوب
• شفق منكمش = معايير مخاطر أضيق
⚙️ دليل الإعدادات
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
🌌 نواة الشفق
│ الإعداد │الافتراضي│ الوصف
│ الطبقات ١-٥ │ Fib │ فترات ATR (5,13,34,55,89)
│ معامل التوسع │ 2.5 │ يتحكم في مضاعف عرض الطبقات
│ التنعيم │ 5 │ تنعيم EMA للوضوح البصري
⚡ مجال الطاقة
│ الإعداد │الافتراضي│ الوصف
│ فترة الزخم │ 14 │ فترة حساب الزخم
│ فترة الطاقة │ 21 │ نافذة التطبيع
│ مضاعف الطاقة │ 1.5 │ يضخم عرض الطاقة
🎨 العرض البصري
│ الإعداد │الافتراضي│ الوصف
│ اللغة │ EN │ لغة الواجهة (EN/AR)
│ إظهار الشفق │ ✓ │ تبديل ظهور الطبقات
│ خط النواة │ ✓ │ تبديل الخط المركزي
│ نبض الطاقة │ ✓ │ تبديل خطوط التدفق
│ موجات التناغم │ ✓ │ تبديل مؤشرات التوافق
🔔 التنبيهات
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
⚡ تحول النظام — تغير نظام التقلب
🎵 تناغم عالي — جميع الطبقات متوافقة (>٨٥٪)
↕️ تغير الاتجاه — انعكس اتجاه الزخم
🔥 ارتفاع الشدة — تجاوزت الطاقة عتبة ٨٠٪
💡 نصائح للحصول على أفضل النتائج
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
1️⃣ الأطر الزمنية الأعلى — الشفق يعمل بشكل أفضل على ساعة فأكثر
2️⃣ ادمج مع حركة السعر — استخدم الشفق كسياق وليس إشارات
3️⃣ راقب التناغم — إعدادات التناغم العالي تربح أكثر
4️⃣ احترم النظام — لا تحارب التقلب المتطرف
5️⃣ تقاطع الطبقات — ارتداد من طبقات متعددة = دعم/مقاومة قوية
⚠️ إخلاء المسؤولية
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
هذا المؤشر للأغراض التعليمية فقط. الأداء السابق لا يضمن النتائج المستقبلية.
استخدم دائماً إدارة مخاطر مناسبة وقم بتحليلك الخاص قبل اتخاذ قرارات التداول.
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Setup Keltner Banda 3 e 5 - MMS
⚙️ How It Works:
• Calculates a 20-period Simple Moving Average (SMA) as the central line.
• Uses the ATR (Average True Range) to build two volatility bands:
o 3x ATR Band (more sensitive)
o 5x ATR Band (more extreme)
• Detects potential reversals when the price closes outside a band and then re-enters it.
🔍 Signals Generated:
• 🔻 Bearish Reversal: Price re-enters from above the upper band.
• 🔺 Bullish Reversal: Price re-enters from below the lower band.
• Signals are displayed with colored arrows on the chart for easy visual recognition.
🔔 Alerts:
The script also triggers automatic alerts for each type of reversal, so you can be notified in real time.
🧱 Ideal For:
• Traders using Renko, Range, or traditional candlestick charts
• Scalping or swing trading strategies
• Anyone looking for visual confirmation of price exhaustion and potential reversals
BK AK-Momentum Pivot Wolf🐺⚔️ BK AK–Momentum Pivot Wolf — The Court of Price. ⚔️🐺
Not prophecy. Procedure. Not prediction. Judgment.
Most indicators sell you a feeling: “it’s going up.”
Pivot Wolf is built to do the opposite: make the market prove it—under rules.
Price lies. Not maliciously—mechanically.
It prints motion whether there’s intent behind it or not. That’s why traders get slaughtered: they treat movement like truth.
Pivot Wolf treats movement like a defendant.
⚖️ The Law of the Tool (What It Refuses to Do)
This script does not exist to “call tops and bottoms.”
It exists to remove the sin that ruins traders:
answering before hearing.
If you trade before testimony, you’re not trading—you’re volunteering.
So Pivot Wolf is designed to withhold permission until three things line up:
Pivots = Boundary Stones
Where price must answer. Where excuses die. Where decisions become visible.
Momentum = Witness
Not what price did—what it carried. Force behind the move, not the costume of the candle.
Acceleration = Confession
The moment intent leaks. The early tell that strength is arriving—or that strength is bleeding out.
You’re not hunting “signals.”
You’re watching a case get built.
🪨 Solomon’s Hidden Layer (Why This Is a Wisdom Tool)
Solomon’s world wasn’t obsessed with forecasting. It was obsessed with right judgment.
He didn’t ask, “What do I want to happen?”
He asked, “What’s true—and what is counterfeit?”
That’s why his writing keeps returning to the same themes:
Weights & measures (standardization over vibes)
Witnesses (confirmation over impulse)
Gates & boundaries (permissioned action over chaos)
Silence (restraint as intelligence)
Pivot Wolf is built in that spirit: it’s a weights-and-witness engine disguised as an indicator.
It’s trying to keep you from trading counterfeit strength at the edge of a boundary.
🐺 How to Use It Like You Actually Respect Capital
1) Campaign Mode (Trend):
Boundaries tell you where business is allowed. Momentum/acceleration tell you whether business is justified. You press when testimony is clean—not when price is exciting.
2) Verdict Mode (Turns):
Reversals aren’t vibes. They’re a collapse of testimony: momentum fails at the boundary, acceleration flips, and the move confesses exhaustion.
3) Stand-Down Mode (The Feature Tourists Hate):
When the script goes quiet, it’s not “missing trades.”
It’s telling you: the court is not in session.
That’s the part that keeps your P&L alive.
🏷️ BK / AK
BK is the mark I’m building.
AK is honor—my mentor’s standard: clarity, patience, no shortcuts.
Above that: gratitude to Gd, the true source of wisdom, restraint, and endurance.
📜 King Solomon Lens
“Solomon didn’t predict. He judged. He built tests that made truth show itself. Pivot Wolf is that: pivots as boundary stones, momentum as witness, acceleration as the confession. No hammer in the Temple — rules are cut before entry. When it’s quiet, it’s saving you. When it speaks, it’s a ruling.”
This is not financial advice. This is structure.
If you wanted a fortune teller, you’ll hate this script.
If you wanted a system that makes the market prove itself before you strike—welcome to the Wolf.






















