Option Strike Previous Day high and LowThis script automatically plots the previous day’s High and Low levels for a selected Call (CE) and Put (PE) option contract.
It is designed to help options traders quickly identify important price zones without having to fetch or calculate them manually.
Mandatory to Input expiry like. YYMMDD
Mandatory to Input Strike like. 25350
✨ Key Features:
• Automatically requests previous day High/Low for CE and PE of the chosen strike.
• Full-width horizontal lines for clear visibility across the entire chart.
• Configurable appearance: dashed/solid lines, custom width, and label placement (left/right).
• Optional manual level input for custom support/resistance marking.
• Debug mode available to show the tickers and requested values.
⚙️ How to Use:
1. Choose the underlying root (e.g., NIFTY), expiry (YYMMDD), and strike price.
2. Select whether you want to show CE, PE, or both.
3. Adjust label offset to position tags near the chart’s right edge.
4. Use the manual level input if you want to mark an additional reference line.
💡 Why it’s useful:
Option traders often rely on previous day’s option Highs and Lows as intraday reference zones for support, resistance, and breakout levels. This script makes those levels instantly visible and consistently updated, saving time and reducing manual charting errors.
📌 Notes:
• Works on any timeframe chart of the underlying.
• For best use, apply on the underlying index/stock chart, not on the option itself.
• This script does not generate trading signals or make predictions; it provides levels for reference.
Графические паттерны
Qullamaggie High Tight Flag TableThis indicator is a breakout scanner inspired by Qullamaggie's high-tight flag momentum strategy and Stockbee's Momentum Burst setups. It displays a 2x5 table of key technical metrics to identify high-probability long breakout opportunities in trending stocks or crypto on daily charts. The table highlights setups where a stock consolidates tightly after a strong uptrend, signaling potential volatility expansion for sharp upside moves. Green boxes indicate bullish conditions, while alerts notify traders of optimal setups or risks.
Table Box Descriptions
The table is divided into two columns: the left focuses on volatility and range, the right on trend and relative strength. Each cell shows a metric’s value with conditional coloring—green for bullish alignment, red for bearish/unmet conditions, yellow/orange for neutral/warning zones, and consistent transparency (90%) for readability. Below are the updated box descriptions:
ADR (Left, Row 1): Average Daily Range (%) over a user-selectable lookback (5/10/15/20 days, default 20), calculated relative to the previous low, close, or current close (user-selectable). Always green for visibility, with higher values (e.g., ≥6%) indicating volatility suited for breakouts.
Change from Today Low (Left, Row 2): Percentage gain from the current day’s low to close. Green if ≥0% (intraday strength), red if negative (weakness). Signals if the stock is holding support without excessive downside.
ADR Multiples from 50 SMA (Left, Row 3): Price deviation from the 50-day SMA in ADR units (e.g., 6% move above SMA with 1% ADR = 6x). Green (<6x, healthy trend), yellow (6-9x, extended), red (9-14x, overextended), purple (>14x, extreme caution). Identifies coiled setups or overextension risks.
% from 52W Low (Left, Row 4): Percentage distance from the 52-week low. Green if ≥30% (strong recovery from bases), red otherwise. Filters for stocks with significant momentum from yearly lows.
Narrow Range (Left, Row 5): Average daily range (%) over 3-5 days (user-selectable), compared to ADR, with checks for today’s change from low < ADR and volume ≤70% of 20-day average. Optional: limits to one 4%+ drop. Green if range < ADR and volume low (tight consolidation), yellow if range < ADR but volume high, red otherwise. Signals coiling before a breakout.
Percent from Short SMA (Right, Row 1): Percentage deviation from the 10-day SMA. Green if ≥0% (price at/above short-term trend), red if below. Ensures alignment with immediate uptrend support.
VCP Tightness (Right, Row 2): 5-day high-low range as a percentage of the lowest low, with a breakout check (≥12% gain in prior 5-10 days). Shows "Tight: X.XX%" or "N/A". Green if <10% (tight contraction), red otherwise. Captures high-tight flag volatility squeezes.
Days Since 10d > 21d (Right, Row 3): Days since the 10-day SMA crossed above the 21-day SMA. Red if NA or downtrend (10d ≤ 21d), green if ≤10 days (fresh uptrend), yellow if 11-30 days (maturing), orange if >30 days (aging). Tracks trend freshness for timely entries.
% from 52W High (Right, Row 4): Percentage distance from the 52-week high. Green if ≥-25% (near highs), yellow if -25% to -30% (warning zone), red if <-30% (far from highs). Gauges proximity to breakout resistance.
7d SMA vs 65d SMA (Right, Row 5): Percentage difference between 7-day and 65-day SMAs. Green if ≥5% (short-term outpacing long-term), red otherwise. Confirms broader trend acceleration.
Key Features
Ideal Setup: Look for green boxes in Days Since 10d > 21d (≤10), VCP Tightness (<10%), and % from Short SMA (±3%) during a narrow range consolidation near support, signaling a high-probability breakout.
Alerts:
Qullamaggie Breakout Alert: Triggers when ADR ≥6%, Days Since 10d > 21d ≤10, 10d SMA > 21d SMA, VCP Tightness <10%, and price within ±3% of 10d SMA. Signals a high-tight flag breakout setup.
High Tight Flag Good Setup: Triggers when all non-ADR boxes (9 metrics) are green, yellow, or orange (no red or purple). Indicates a strong setup for long entry.
Overextension Warning: Triggers when ADR Multiples from 50 SMA ≥9x (red or purple), warning of pullback risk.
SMA Plots: 10-day (white) and 21-day (green) SMAs, toggleable in settings (off by default).
Customizable: Adjust table position (top/middle/bottom, left/center/right), text/background colors, ADR lookback, narrow range period (3-5 days), and enforce a single 4%+ drop limit.
Usage
Apply to daily charts (e.g., SOLUSDT, AAPL, TSLA) with 100+ bars.
Seek mostly green boxes, especially in Days Since 10d > 21d, VCP Tightness, and % from Short SMA, with rising volume for confirmation.
Use alerts to catch breakouts, strong setups, or overextensions in real-time.
Enable SMA plots to visualize trends if needed.
Handles edge cases (short history, crypto precision) for robust performance.
Note: Not financial advice—combine with your risk management, chart patterns, and market context.
SMC Structure SuiteSMC Structure Suite — BOS, CHOCH & Order Blocks
This indicator provides automated Smart Money Concepts (SMC) tools to help traders analyze market structure objectively. It is designed for traders who want to quickly identify shifts in price behavior without manually marking charts.
Core Features
Market Structure Recognition
Automatically detects Higher Highs (HH), Lower Lows (LL), Higher Lows (HL), and Lower Highs (LH). Detection uses a pullback validation mechanism to confirm swing structure.
BOS & CHOCH Detection
Identifies Break of Structure (BOS) for potential continuation and Change of Character (CHOCH) for possible reversals.
Order Block Highlighting
Marks bullish and bearish order blocks when confirmed by price action. Options allow choosing mitigation style (wick touch or body close). Blocks are hidden when invalidated.
Multi-Timeframe Analysis
Works on any timeframe. Historical analysis allows reviewing past structure.
Customizable Visuals
Colors, label positions, and background style can be adjusted for a clear chart.
Alert System
Alerts are provided for trend changes to monitor potential shifts in market direction in real time.
Disclaimer
This indicator is a tool to assist with chart analysis. It does not guarantee results and is not financial advice. Use appropriate risk management.
FU + SMI Validator (Proper FU, 30m)Overview
The FU + SMI Validator is a sophisticated technical analysis indicator designed to detect Proper FU (Fakeouts or Liquidity Sweeps) on the 30-minute timeframe. This tool aims to help traders identify high-probability reversal setups that occur when price briefly breaks key levels (sweeping liquidity), then reverses with momentum confirmation.
Fakeouts are common market events where price action “hunts stops” before reversing direction. Correctly identifying these events can offer excellent entry points with defined risk. This indicator combines price action logic with momentum and volatility filters to provide reliable signals.
Core Concepts
Proper FU (Fakeout) Detection
At its core, the script identifies proper fakeouts by checking if the current bar’s price:
For bullish fakeouts: dips below the previous bar’s low (sweeping stops) and then closes above the previous bar’s high
For bearish fakeouts: spikes above the previous bar’s high and then closes below the previous bar’s low
This ensures that the breakout is a true sweep rather than just a one-sided close.
Optionally, the script can require one additional confirmation bar after the FU, ensuring that the momentum is sustained and reducing false signals.
SMI-style Momentum Validation
To improve the quality of signals, the indicator uses a proxy for the Stochastic Momentum Index (SMI) by calculating the difference between current and past linear regression slopes of price. This momentum check helps ensure that fakeouts occur alongside actual directional strength.
Key points:
Momentum must be increasing in the direction of the FU signal.
Momentum filters can be enabled or disabled based on user preference.
Squeeze Condition to Avoid Low-Volatility Traps
The script includes a volatility filter based on a squeeze-like condition:
It compares Bollinger Bands (BB) and Keltner Channels (KC).
When BB bands contract inside KC bands, the market is in a squeeze state, signaling low volatility.
Fakeouts during squeeze conditions are often unreliable; the script can filter these out to reduce false alarms.
Killzone Session Timing Filter
Recognizing that liquidity and volatility vary by session, this tool supports optional filtering for:
London Killzone: 09:00 to 10:30 (UK time)
New York Killzone: 13:00 to 14:30 (UK time)
Signals only trigger during these high-activity windows if enabled, helping traders focus on periods with the best liquidity and market participation.
Note: For Killzone filtering to work accurately, your TradingView chart must be set to the UK timezone.
Features & Benefits
Robust FU detection ensures the breakout price action is meaningful, reducing noise.
Momentum filter via linear regression slope captures trend strength in a smooth, mathematically sound way.
Low-volatility squeeze avoidance helps reduce false signals in choppy or range-bound markets.
Killzone timing filter focuses your attention on the most liquid and active market hours.
Optional confirmation bar increases signal reliability.
Raw FU markers allow visualization of all detected fakeouts for pattern recognition and manual analysis.
Alerts built-in for both valid buy and sell FU setups, enabling real-time notification and quicker decision-making.
Customization Options
Killzone usage: Enable or disable the session timing filter.
Sessions: Configure London and New York killzone time ranges.
Momentum alignment: Enable or disable momentum filter based on SMI proxy.
Volatility filter: Avoid signals during squeeze or low-volatility conditions.
FU confirmation: Option to require one additional confirming candle after the initial FU.
Squeeze and momentum parameters: Adjust Bollinger Bands length and multiplier, Keltner Channel length and ATR multiplier.
Raw FU markers: Show or hide all detected fakeouts regardless of filters.
How to Use This Indicator
Apply to 30-minute charts for forex pairs, indices, cryptocurrencies, or other instruments.
Set your chart timezone to UK time if using Killzone filters.
Adjust input parameters based on your preferred sessions and risk tolerance.
Look for green “VALID BUY FU” labels below bars for bullish fakeout entries.
Look for red “VALID SELL FU” labels above bars for bearish fakeout entries.
Use the alert system to receive notifications on setups.
Combine with your existing analysis or risk management strategy for entries, stops, and profit targets.
Why Use FU + SMI Validator?
Fakeouts are some of the most lucrative but tricky setups for many traders. Without proper filters, they can lead to false entries and losses. This script integrates price action, momentum, volatility, and session timing into one package, providing a robust tool to spot high-quality fakeout opportunities and improve trading confidence.
Limitations
Requires chart to be set to UK timezone for session filters.
Designed specifically for 30-minute timeframe — performance on other timeframes may vary.
Momentum is a proxy, not a direct SMI calculation.
Like all indicators, best used in conjunction with sound risk management and other analysis tools.
Potential Enhancements
Conversion into a full strategy script for backtesting entries and exits.
Addition of other momentum indicators (RSI, MACD) or volume filters.
Customizable time zones or auto time zone detection.
Multi-timeframe analysis capabilities.
Visual dashboard for summary of signal stats.
週末線(全時間足対応) © Idakenこのスクリプトは、日本時間の土曜日をチャート全面にハイライト表示します。 1週間を視覚的に区別したいトレーダーに最適です。
This indicator highlights the entire chart during Saturdays in Japan Standard Time (JST). It is ideal for traders who want to visually distinguish each week.
GrowEasy Money## Grow Easy AI Mentor Strategy
### Overview
The *Grow Easy AI Mentor Strategy* is a sophisticated yet beginner-friendly long-only trend-following indicator designed exclusively for the TradingView platform. It embodies the core principles of the Grow Easy AI agent: capital preservation, disciplined risk management, and educational growth. By combining multiple technically sound filters, it identifies high-probability entry and exit points while providing clear visual guidance, making it an ideal tool for new traders seeking sustainable and informed market engagement.
### Core Philosophy
This strategy is built on three foundational pillars:
- **Follow the Trend:** Trades only when price is above the 200-period Simple Moving Average (SMA), ensuring alignment with the long-term market direction.
- **Gauge Momentum:** Uses a dynamic Relative Strength Index (RSI) threshold to confirm strong buying pressure, adjusting sensitivity near recent highs to avoid premature entries.
- **Manage Risk Dynamically:** Employs a volatility-based trailing stop calculated via Average True Range (ATR) multiplied by a user-defined factor, adapting stops to market volatility and protecting profits effectively.
### Key Features & Functionality
- **Intelligent Entry Filters:** Combines long-term trend, momentum, and volatility breakout criteria for filtered and measured entries.
- **Optional Confirmation Filter:** Can wait for price to close above the trigger bar’s high before entry to reduce false signals and whipsaws.
- **Dynamic Trailing Stop:** Adjusts stop loss distance based on market volatility, widening in volatile conditions and tightening in calmer environments.
- **Educational Visuals:**
- Background shading indicates bullish (green) or bearish (red) trends.
- Entry (green triangle) and exit (red triangle) signals provide clear, actionable markers.
- Orange highlights indicate bars awaiting confirmation, promoting disciplined trading patience.
- Real-time label displays the current trend, momentum, volatility levels, and stop price for ongoing market education.
- **Fully Configurable:** All important parameters—ATR multiplier, RSI levels, lookback periods, confirmation toggles—are easily adjustable for various assets and volatility profiles.
- **Agent-Ready Alerts:** Built-in alert conditions allow seamless integration with Grow Easy AI autonomous trading agents or manual monitoring for timely trade execution.
### How to Use
Add the indicator to daily or higher timeframe charts for optimal results. Only consider long trades when buy signals appear, and use alerts for timely notifications. Pair the strategy with a sound risk management plan, such as limiting risk per trade to 1%, to ensure sustainable portfolio growth. Paper trading is recommended before live deployment to familiarize yourself with signal timing and behavior.
### Limitations
This strategy is exclusively long-only and may underperform in sideways or highly choppy markets where trend filters fail to detect clear direction. Adjust ATR multiplier and dynamic RSI thresholds as needed to match the volatility characteristics of individual assets. False signals can occur, especially during low-volume or highly volatile periods, underscoring the importance of risk controls and disciplined trade management.
### Ideal For
- New investors seeking an educational yet practical introduction to trading.
- Disciplined traders who prefer rules-based entries and exits over emotional decisions.
- Automated trading system developers looking for reliable, well-documented signal generation logic.
### In Essence
More than just a trading indicator, *Grow Easy AI Mentor Strategy* acts as a calm, patient mentor on the chart—enforcing disciplined strategy execution, visually explaining every step, and prioritizing risk management to support sustained learning and growth in trading.
Rejection Zones with FVG ConfirmationOverview
This indicator is designed to identify high-probability Rejection Zones by detecting a specific and powerful price action pattern. The core logic combines the concepts of price rejection , indicated by overlapping wicks, with a Fair Value Gap (FVG) that confirms a strong market imbalance.
These zones are automatically drawn on your chart and can serve as critical levels of potential support (demand) or resistance (supply) for future price movements. The indicator is fully equipped with multi-timeframe (MTF) capabilities, advanced zone management, and customizable alerts to enhance your trading analysis.
Key Features
Dual Timeframe Analysis : Simultaneously displays Rejection Zones from your current timeframe (CTF) and a selected higher timeframe (HTF). HTF zones often represent more significant price levels.
Advanced Zone Management : Zones are dynamically tracked and their status updates as price interacts with them (e.g., Touch, Covered). You can define conditions for when a zone should be considered invalid.
Smart Overlap Handling : Choose how to handle overlapping zones. Either Replace the old zone with the new one or Keep Both to see all areas of interest.
Performance Optimization : Includes an option to Calculate on Visible Range Only, which significantly improves script performance on charts with extensive historical data.
Customizable Alerts : Set up alerts for when a new Rejection Zone is created or when price touches an existing zone, for both CTF and HTF.
Full Visual Customization : Easily customize the colors of Bullish and Bearish zones for both timeframes to match your chart's theme.
How The Logic Works
A Rejection Zone is identified based on a sequence of candlestick patterns:
Bullish Rejection Zone (Potential Demand) :
- Imbalance Confirmation : A bullish Fair Value Gap (FVG) is detected, meaning the high of the candle two bars ago (high ) is lower than the current candle's low (low ).
- Price Rejection : The script then checks if the lower wicks of the two candles preceding the FVG (bar and bar ) overlap. This overlap signifies a concentrated area where price was aggressively rejected.
- Zone Creation : If both conditions are met, a Bullish Rejection Zone is drawn covering the area of the combined rejection wicks.
Bearish Rejection Zone (Potential Supply) :
Imbalance Confirmation: A bearish FVG is detected (the low of bar is higher than the current high ).
Price Rejection: The script checks for overlapping upper wicks on bar and bar .
Zone Creation: A Bearish Rejection Zone is drawn on the area of the combined upper wicks.
How to Use
Identify Key Levels : Use these zones as you would with traditional support/resistance or supply/demand zones. They represent areas where a significant market reaction previously occurred.
Entry Triggers : Look for price to return to a zone and show signs of reaction (e.g., reversal candlestick patterns, shift in market structure on a lower timeframe) before considering an entry.
Higher Timeframe Confluence : Pay close attention to the HTF zones. A reaction from an HTF zone is generally more significant than one from a CTF zone. When a CTF zone forms within an HTF zone, it can signal a very high-probability setup.
Settings Explained
Higher Timeframe
Show : Toggles the visibility of HTF zones.
Timeframe Mapping (e.g., 30Sec:, 1Min:) : Choose which higher timeframe to display based on your current timeframe.
Rejection Zone
Show : Toggles the visibility of all zones.
History : Sets the maximum number of recent zones to display on the chart.
Size Half : If checked, reduces the vertical size of the zone by 50%, drawing it from the wick's midpoint to its tip. This can help pinpoint more precise entry levels.
Invalidation Condition : Defines when a zone should be considered invalid and stop being monitored.
- None : Never invalidates.
- Touch : Invalidates when price touches the zone.
- Left : Invalidates after price touches and then leaves the zone.
- Covered : Invalidates when price moves completely through the zone.
- Passed : Invalidates when price has clearly passed the zone.
Do (for Invalidation) : Action to take when a zone is invalidated. Remove will delete it from the chart; Nothing will just stop tracking it.
Overlap Action :
- Replace : If a new zone overlaps an old one, the old one is removed.
- Keep Both : Allows new and old zones to overlap on the chart.
Color Settings (CTF/HTF) : Full control over the border, background, and center-line colors for Bullish and Bearish zones.
Calculate Range
Calculate on Visible Range Only :
- IMPORTANT : Check this to improve performance. The script will only process visible bars.
- NOTE : Enabling this option will disable all alerts, as alerts require the script to process all historical data.
Alert Rejection Zone
Set your desired alert conditions here. You can enable alerts for zone creation and/or when price touches a zone, for both CTF and HTF separately.
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Disclaimer: This indicator is for educational and analytical purposes only. It is not financial advice. Always conduct your own research and backtesting before making any trading decisions.
Multi Asset Position Size Calculator (Extended with Entry ModeMulti Asset Position Size Calculator (Extended with Entry Mode
Multi Asset Position Size Calculator Multi Asset Position Size Calculator (Extended with Entry Mode)_Mr_X
Whale Money Flow DetectorKey Components:
Volume Analysis: Detects unusual volume spikes compared to average
Money Flow Index: Shows buying vs selling pressure
Whale Detection: Identifies large moves with high volume
Cumulative Flow: Tracks net whale activity over time
Visual Signals: Background colors and whale emoji labels
What it detects:
Large volume transactions (configurable multiplier)
Significant price moves with corresponding volume
Buying vs selling pressure from large players
Cumulative whale flow momentum
Customizable Parameters:
Volume MA Length (default: 20)
Whale Volume Multiplier (default: 2.0x)
Money Flow Length (default: 14)
Detection Sensitivity (default: 1.5)
Visual Features:
Green background for whale buying
Red background for whale selling
Whale emoji labels on significant moves
Real-time stats table
Multiple plot lines for different metrics
How to use:
Copy the code to TradingView's Pine Editor
Apply to your chart
Adjust sensitivity settings based on your asset's behavior
Set up alerts for whale buy/sell signals
Williams Fractals BW - Flechas + Breakoutsfractal con velas en la direccion hacia donde va para menos conficion
Feza Feza Upper and Lower Band with AlertsFeza Feza Upper and Lower Band with Alerts. Feza Feza Upper and Lower Band with Alerts. Feza Feza Upper and Lower Band with Alerts. Feza Feza Upper and Lower Band with Alerts. Feza Feza Upper and Lower Band with Alerts.
Long 20x - Very powerfull strategy - By M.LolasVery powerful strategy.
Refined strategy that encompasses 20× Long trades with E1/E2 entries, TP1/TP2 targets, and trailing stop-losses, for real-time trade monitoring.
By M. Lolas
SL + TP Dynamics - By M.LolasStop Loss e Take Profit dinâmicos para operações semiautomatizadas.
By M.Lolas
RSI+VOL——Binary(One bar)Overview
This indicator integrates Stochastic RSI, MACD trend alignment, ADX trend strength, and multi-dimensional volume analysis to provide intelligent signal guidance and market activity monitoring. It is suitable for short-term, swing, and event-driven trading, offering clear visualization of trend direction, market strength, and volume anomalies.
Core Features
1️⃣ Stochastic RSI Signals
Automatically identifies overbought and oversold conditions to generate buy and sell reference signals.
Signals are filtered with candle closing direction to reduce counter-trend entries.
2️⃣ MACD Trend Alignment
Signals trigger only when MACD trend direction aligns with Stochastic RSI, improving accuracy.
Real-time trend alignment reduces noise from ranging markets.
3️⃣ ADX Trend Strength Filter
Signals trigger only when ADX indicates a significant trend, filtering out low-strength movements.
Helps capture primary market directions.
4️⃣ Multi-Dimensional Volume Analysis
Differentiates bullish and bearish volume to identify breakout signals.
Relative volume (RVOL) ensures signals occur during periods of active trading.
Background highlights abnormal spikes and extreme volume, clearly reflecting market activity.
5️⃣ Signal Visualization and Alerts
Buy and sell labels with corresponding RSI values are displayed on the chart.
Built-in alert conditions support TradingView notifications and strategy integration.
Indicator Value
Multi-dimensional alignment: combines trend, momentum, and market activity for comprehensive assessment.
High-precision signal reference: filters noise and provides clear entry indications.
Market activity monitoring: highlights extreme volume to reflect market participation.
Broad applicability: suitable for short-term, swing, and event-driven trading across various markets.
ICT SMC ToolKit By VIPIN | High Volume OB + BOS, CHoCH, FVG📌 ICT Smart Money Concepts (SMC) Toolkit
This indicator provides traders with a complete Smart Money Concepts (SMC) framework inside a single tool. It helps to visualize institutional trading footprints and market structure shifts more effectively without the need to combine multiple separate indicators.
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🔹 Key Features
1. **Order Blocks (OB):**
- Automatically detects bullish and bearish order blocks.
- Helps traders identify institutional buying/selling zones where large players may be active.
- Volume filters included for more accurate signals.
2. **Break of Structure (BOS):**
- Marks market structure breaks that indicate continuation of the trend.
- Useful for identifying trend direction and confirming order flow.
3. **Change of Character (CHoCH):**
- Highlights early signs of market reversals.
- Shows when price transitions from bullish to bearish order flow (or vice versa).
4. **Fair Value Gaps (FVG):**
- Automatically draws zones of price imbalance.
- Traders can use these zones as possible retracement or entry levels.
- Helps to spot areas where price may return to "rebalance".
5. **Liquidity Sweeps:**
- Identifies liquidity grabs around recent highs and lows.
- Useful for spotting stop hunts and smart money manipulation before reversals.
6. **Custom Presets & Filters:**
- Users can toggle between OB-only, FVG-only, Sweep-only, or full SMC mode.
- Multiple color settings available for clear chart visualization.
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🎯 Purpose of the Script
- Brings all major SMC tools (OB, BOS, CHoCH, FVG, Liquidity Sweep) together in one indicator.
- Reduces the need for multiple overlapping indicators.
- Helps traders simplify their workflow and keep charts clean.
- Focused on education, analysis, and market structure visualization.
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⚠️ Disclaimer
This script is intended **for educational and analytical purposes only**.
It does not provide financial advice, trade recommendations, or guaranteed profits.
Traders should always manage their own risk and confirm setups with additional confluences.
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ℹ️ Notes for Users
- This indicator works on multiple timeframes and instruments (Forex, Commodities, Indices, Crypto).
- Best used with a strong understanding of Smart Money Concepts (SMC) and ICT methodology.
- Combining this tool with your own analysis will provide the best results.
My Crossover AlertCross over of EMA - Krish
This is the big crossover of two Long EMAs . When it comes to Day indicator. Most probably the price might shoot up.
Mag 7 Weighted Performance % (Today Only)shows the cumulative weighted performance of mag 7 stocks as a percentage.
Reversal Scalper – Adib NooraniThe Reversal Scalper is an indicator designed to identify potential reversal zones based on supply and demand dynamics. It uses smoothed stochastic logic along with ATR bands, to reduce noise and highlight areas where momentum may be weakening, signaling possible market turning points.
🔹 Smooth, noise-reduced stochastic oscillator
🔹 Custom zones to highlight potential supply and demand imbalances
🔹 Non-repainting, compatible across all timeframes and assets
🔹 Visual-only tool — intended to support discretionary trading decisions
This oscillator assists scalpers and intraday traders in tracking subtle shifts in momentum, helping them identify when a market may be preparing to reverse — always keeping in mind that trading is based on probabilities, not certainties.
📘 How to Use the Indicator Efficiently
For Reversal Trading:
Buy Setup
– When the blue line dips below the 20 level, wait for it to re-enter above 20.
– Look for reversal candlestick patterns (e.g., bullish engulfing, hammer, or morning star).
– Enter above the pattern’s high, with a stop loss below its low.
Sell Setup
– When the blue line rises above the 80 level, wait for it to re-enter below 80.
– Look for bearish candlestick patterns (e.g., bearish engulfing, inverted hammer, or evening star).
– Enter below the pattern’s low, with a stop loss above its high.
🛡 Risk Management Guidelines
Risk only 0.5% of your capital per trade
Book 50% profits at a 1:1 risk-reward ratio
Trail the remaining 50% using price action or other supporting indicators
趨勢突破交易 [CK Trading] 趨勢突破交易
指標介紹
厭倦了在盤整中被反覆掃損,或在趨勢啟動時猶豫不決嗎?
市場上充斥著落後、充滿噪音的指標,它們讓交易者陷入「追高殺低」的困境,並在關鍵時刻提供錯誤的訊號。無數交易者因為被假突破欺騙、在無趨勢的行情中消磨掉本金而最終離場。
「趨勢突破交易 」 是一套專為解決這些核心痛點而設計的專業級交易輔助系統。它不是另一個簡單的移動平均線或傳統指標的組合,而是一個經過精心構建、旨在精準定位趨勢起點的決策框架。
核心特色 (Core Features)
智慧降噪核心 (Intelligent Noise-Reduction Core):
我們的系統內建一個先進的價格數據處理引擎,能有效過濾掉市場的隨機波動與噪音。它為您呈現出更平滑、更真實的潛在趨勢,讓您能洞察市場的主要流向,而不是被短期的價格毛刺所干擾。
動態動能偵測 (Dynamic Momentum Detection):
真正的趨勢始於動能的爆發。本指標配備了自適應的波動偵測模組,它能動態識別出市場從「盤整」到「趨勢」的關鍵轉折點。當價格展現出超越正常波動的突破性力量時,系統才會將其視為潛在的交易機會。
雙重驗證進場引擎 (Dual-Validation Entry Engine):
這是我們系統的獨家優勢。一個訊號的可靠性取決於多重條件的共振。我們的進場引擎要求**「趨勢方向」與「突破動能」**必須同時得到驗證,形成一致的信號。這種雙重確認機制極大地提高了訊號的可靠性,旨在為您過濾掉大量的假突破和弱趨勢。
趨勢鎖定濾波器 (Trend-Locking Filter):
一旦趨勢確立,最大的挑戰就是如何「抱住」獲利單。本系統內建趨勢鎖定功能,當一個明確的多頭或空頭訊號出現後,它會自動過濾掉逆勢的微小波動,幫助您專注於當前的主要趨勢,避免因市場的正常回調而被過早地洗出場。
這套系統能為您帶來什麼?
提升訊號勝率:透過獨家的雙重驗證機制,專注於高機率的交易機會。
清晰的進出場點:告別模棱兩可的猜測,系統以明確的視覺化標籤和線條,提供結構化的交易計畫(進場、停損、止盈目標)。
過濾市場噪音:讓您專注於真正重要的趨勢,而不是迷失在混亂的盤整行情中。
紀律化交易:內建基於市場波動率的風險管理工具,幫助您養成一致的倉位與風險控制習慣。
解放您的時間:搭配內建的警報功能,無需時刻盯盤,讓系統成為您24小時的市場監測哨兵。
本指標基於歷史數據回測,所示數據僅供參考,不保證未來獲利。使用者需自行承擔交易手續費、鏈上Gas費、波動與合約漏洞風險。指標僅為交易輔助,不構成投資建議,任何因使用本指標導致的損失,開發者不承擔責任。高波動市場交易風險極高,請審慎評估後使用。
Trend Breakout Indicator Introduction
Tired of being whipsawed in choppy markets and hesitating when a real trend begins?
The market is flooded with lagging, noisy indicators that trap traders into chasing highs and selling lows. Countless traders are ultimately forced out of the game, deceived by false breakouts and bleeding their capital in directionless, choppy conditions.
The Trend Breakout system is a professional-grade trading tool engineered specifically to solve these core challenges. This is not just another repackaged combination of standard indicators; it is a meticulously constructed framework designed to precisely identify the inception of a new trend.
Core Features
Intelligent Noise-Reduction Core:
Our system integrates an advanced data processing engine that effectively filters out random market noise and volatility spikes. It presents a smoother, more authentic view of the underlying trend, allowing you to see the market's true direction without being distracted by insignificant price chatter.
Dynamic Momentum Detection:
True trends begin with a burst of momentum. This indicator is equipped with an adaptive volatility module that dynamically identifies the critical transition from a consolidation phase to a trending phase. Only when price demonstrates exceptional force, breaking beyond its normal volatility threshold, is it considered a potential trading opportunity.
Dual-Validation Entry Engine:
This is the proprietary advantage of our system. A high-quality signal requires the confluence of multiple conditions. Our entry engine demands that both Trend Direction and Breakout Momentum are confirmed and aligned simultaneously. This dual-validation mechanism is designed to significantly increase the reliability of our signals, filtering out a vast majority of false breakouts and weak moves.
Trend-Locking Filter:
Once a trend is established, the greatest challenge is holding on to a winning position. The system features a built-in trend-locking mechanism. After a clear long or short signal is confirmed, it automatically filters out minor counter-trend fluctuations, helping you stay focused on the primary trend and avoid being prematurely shaken out by normal market pullbacks.
What This System Delivers to You
Higher-Probability Signals: Focus on high-conviction trade setups through our unique dual-validation engine.
Clarity and Confidence: Eliminate guesswork with a structured trading plan, featuring clear visual cues for your entry, stop-loss, and profit targets.
Market Noise Filtration: Allow you to focus on what truly matters—the underlying trend—instead of getting lost in chaotic market conditions.
Disciplined Trading: Foster consistent risk management habits with an integrated system based on real-time market volatility.
Free Up Your Time: Use the built-in alert functions so you don't have to watch the charts all day. Let the system act as your 24/7 market watchtower.