CAD DataThis indicator provides all of the data required to use the Context Analysis Dashboard (CAD) for live trading.
Графические паттерны
1H Color-Change Open Levels (non-repainting)objective way of getting levels. better than anything else out there
H/L Swings/pivots detectorThis indicator detects and labels swing highs and swing lows using pivot logic.
It highlights market structure shifts by identifying:
- Higher Highs (HH) and Lower Highs (LH)
- Lower Lows (LL) and Higher Lows (HL)
Traders often use these levels to analyze trends, reversals, and key support/resistance zones.
The script also plots pivot markers above highs and below lows for visual clarity.
This tool is designed for educational and analytical purposes, and it does not provide financial advice or guaranteed results.
📂 Categories (choose when publishing)
Type of script → Indicator
Category → Trend Analysis (fits best for HH/LL pivots)
Optionally → Support/Resistance (if you emphasize pivots as zones)
swing high
swing low
pivot points
market structure
trend analysis
higher high
lower low
support resistance
Dwaggy Scalping Trio (VWAP + EMA + RSI)First attempt at pine script this is a scalping indicator that combines VWAP, EMA, and RSI to signal entry/exit for scalping lower time frames
JORGE v1 Calls Puts On CandleA multi-timeframe script built for SPX 500 options traders.
• 1m entries, 5m bias, 15m levels
• CALL signals in bright green, PUT signals in bright red
• Black arrows mark each trade idea directly on the candles
• Includes VWAP bands, EMA cloud bias, opening range, ATR targets/stops, and previous day levels
• Risk mapping with TP/SL zones based on ATR multiples
• Alerts ready for CALL, PUT, and Opening Range Breakouts
This script is designed to simplify intraday decision making, giving you fast visual signals plus context levels for discipline and consistency.
Enjoy trading! 🚀📉📈
Golden/Death Cross with SMAGolden Cross: Triggered when the 50 SMA crosses above the 200 SMA.
Death Cross: Triggered when the 50 SMA crosses below the 200 SMA.
Quantura - Quantified Price Action StrategyIntroduction
“Quantura – Quantified Price Action Strategy” is an invite-only Pine Script strategy designed to combine multiple price action concepts into a single trading framework. It integrates supply and demand zones, liquidity sweeps and runs, fair value gaps (FVGs), RSI filters, and EMA trend confirmation. The strategy also provides a visual overlay with dynamic trend-colored candles for easier chart interpretation. It is intended for multi-market use across cryptocurrencies, Forex, equities, and indices.
Originality & Value
The strategy is original in how it unifies several institutional-style price action elements and validates trades only when they align. This reduces noise compared to using single indicators in isolation. Its unique value lies in the combination of:
Supply & Demand detection: Dynamic boxes identified through pivots, ATR, and volume sensitivity.
Liquidity sweeps and runs: Detects when swing highs/lows are broken and retested, distinguishing between liquidity grabs (sweeps) and directional runs.
RSI filter: Can be set to normal or aggressive, confirming momentum before trades.
Fair Value Gaps (FVGs): Optional detection and filtering of price inefficiencies.
EMA filter: Aligns trades with the broader market trend.
Trend candle visualization: Candles dynamically colored bullish, bearish, or neutral, based on strategy positions.
This layered confluence approach ensures that entries are not taken on a single condition but require agreement across several dimensions of market structure, momentum, and order flow.
Functionality & Indicators
Supply & Demand Zones: Zones are created when pivots, ATR sensitivity, and volume thresholds overlap.
Liquidity: Swing highs and lows are tracked, with options for sweep (fakeout/reversal) or run (continuation) detection.
RSI: Confirms long signals when oversold and shorts when overbought, with configurable aggressiveness.
FVG filter: Adds validation by requiring price interaction with inefficiency zones.
EMA filter: Ensures longs are above EMA and shorts below EMA.
Signals & Visualization: Trade entries are marked on the chart, while candles change color to reflect trade direction and status.
Parameters & Customization
Supply & Demand: Sensitivity (swing range, volume multiplier, ATR multiplier) and display options.
Liquidity filter: Mode (Run or Sweep), display, and swing length.
RSI: Enable/disable, length, and style (normal or aggressive).
Fair Value Gaps: Sensitivity via ATR factor, optional volume filter, and display toggles.
EMA: Length, enable/disable, and visualization.
Risk management: Up to three configurable take-profit levels, stop-loss, break-even logic, and capital-based position sizing.
Visualization: Custom candle coloring and optional overlay for better clarity.
Default Properties (Strategy Settings)
Initial Capital: 10,000 USD
Position Size: 100% of equity per trade (backtest default)
Commission: 0.1%
Slippage: 1
Pyramiding: 0 (only one position at a time)
Note: The default of 100% equity per trade is used for testing purposes only and would not be sustainable in real trading. A typical allocation in practice would be between 1–5% of account equity per trade, sometimes up to 10%.
Backtesting & Performance
Backtests on XPTUSD over 2.5 years with the default settings produced:
129 trades
73.64% win rate
Profit factor: 2.6
Maximum drawdown: 18.2%
These results show how the confluence of supply/demand, liquidity, and RSI filters can produce robust setups. However, past performance does not guarantee future results. While the trade count (129) is sufficient for statistical analysis, results may vary across markets and timeframes.
Risk Management
Three configurable take-profit levels with percentage allocation.
Initial stop-loss based on user-defined percentage.
Dynamic stop-loss that adjusts with market movement.
Break-even logic that shifts stops to entry after predefined gains.
Position sizing based on risk percentage of equity.
This framework allows both conservative and aggressive configurations, depending on user preference.
Limitations & Market Conditions
Works best in volatile and liquid markets such as crypto, metals, indices, and FX.
May produce false signals in low-volume or sideways environments.
Unexpected news or macro events can override technical conditions.
Default position sizing of 100% equity is highly aggressive and should be reduced before any practical use.
Usage Guide
Add “Quantura – Quantified Price Action Strategy” to your chart.
Select Supply & Demand, Liquidity, RSI, EMA, and FVG settings according to your market and timeframe.
Configure risk management: take-profits, stop-loss, and risk-per-trade percentage.
Use the Strategy Tester to analyze statistics, equity curve, and performance under different conditions.
Optimize parameters before applying the strategy to different markets.
Author & Access
Developed 100% by Quantura. Published as an Invite-Only script. Access is available upon request via the Author’s Instructions field.
Important
This description complies with TradingView’s publishing rules. It clarifies originality, explains the underlying logic, discloses default properties, and presents backtest results with realistic disclaimers.
Smart Session MarkerAutomatically displays the open times of the major markets: Sydney/Asia, London, and New York, including Daylight Saving Time (DST) adjustments. Lines and labels are drawn directly on the chart to clearly indicate session opens. Perfect for tracking global market activity in real-time.
EMA + MACD Sequential Crossover MNQ BBCbest works for 100 or 1000 tick chart for nasdaq 100.
9 21 ema crossover with macd crossover
Publisher BBCKPS
LibbyThis script is a refined chopzone index script with additional functionalities.
it produce buy and sell signals as directed by chopzone
How to use:
BUY: Look for buy signal on the chart and proceed to place buy or long orders
SELL: Look for sell on the chart and proceed to place sell or short orders.
NOTE: i recommend you set alerts and make it activate on bar close to avoid fadeouts and sideways.
expect sideways market and multiple opposite signals within a short time during news or when economic data are released.
as always, no indicator is failproof, it is recommended to always pair more than 1 indicator for more clarity and practice safe trading.
M5 Session Rectangles (GMT+2) - Last 30 Sessions Rectangles on the M5 timeframe showing the MAX and MIN of the New York Session:
OPEN SESSION (15:30 - 16:20)
MID SESSION (16:20 - 19:00)
POWER HOUR (19:00 - 22:00)
The indicator tracks the last 30 days, and the rectangle for the current day is drawn only after the respective session closes.
Multi Timeframe BOS & rBOSThis is the same Multi-Timeframe Break of Structure and Market Structure Shift posted by Lenny_Kiruthu. However, the only difference is the naming of Market Structure Shift to rBOS (Break of Structure Reverse). To me, they are all break of structures when previous peaks or valleys are violated. The only difference is in sequence. Once a sequence of BOS reverses, then a new sequence begins. To me, this simplifies the various terminology incorporated by different systems such as ICT or SMT which adds unnecessary complexity.
eT
RTH_Open_Futures_RWARTH NY Open — Session Anchor & Levels (Futures-aware)
What it does:
Anchors your intraday view to the New York RTH open (09:30 ET) and draws the core decision levels for U.S. stocks and CME equity-index futures. In Futures mode, it respects the CME RTH close at 16:15 ET (vs. 16:00 ET for cash equities).
Plots (toggle on/off):
RTH Open line from 09:30 ET to session end (label optional).
RTH Close at 16:15 ET in Futures mode (16:00 in Cash mode).
Session High/Low with optional midpoint and range fill.
Prior-day close + gap label/box at the open; optional “gap filled” color change.
Initial Balance (09:30–10:30) with optional extensions.
RTH-only VWAP with optional bands.
Session start/end markers and end-of-day range label.
Behavior & reliability:
Correct session windows: Futures 09:30–16:15 ET, Cash 09:30–16:00 ET.
Precise handling of the last RTH bar (no drift, no repaint).
DST-safe and multi-timeframe friendly (1–5m ideal; higher TFs supported).
Inputs:
Market Mode: Futures vs. Cash.
Per-element show/hide, line style/weight, label formatting.
Alerts: Touch/Break (Open, H/L, IB, VWAP), Gap Fill, New Session.
Use it for:
Fast bias framing around the open (reclaim/loss).
Gap management (targets/risk).
Range development via H/L and midpoint.
IB structure and clean RTH VWAP without Globex noise.
Notes:
PT equivalents: Futures 06:30–13:15 PT, Cash 06:30–13:00 PT.
Designed for standard U.S. RTH; extended hours intentionally excluded.
TL;DR:
A clean, futures-aware RTH scaffold: open, close, prior close, gap, IB, VWAP, and session H/L—precise, minimal, and alert-ready.
Crypto Market Dominance Stacked with LabelsA professional stacked area chart showing the dominance of major crypto market segments: BTC, ETH, Top 100 Altcoins, and #101+ Altcoins. Each layer is color-coded for clarity and includes dynamic labels with the current dominance percentage. Provides a clear visual representation of market share trends for traders, analysts, and crypto enthusiasts.
Features:
Stacked visualization of BTC, ETH, Top 100, and small-cap altcoins (#101+).
Color-coded areas for easy identification.
Dynamic labels showing each category’s current dominance percentage.
Horizontal reference lines for percentage levels.
Approximates top 100 and #101+ altcoins using TOTAL2 and TOTAL3 market cap tickers.
Use Case:
Track how market share shifts between BTC, ETH, large altcoins, and smaller altcoins over time. Ideal for analyzing trends, spotting dominance changes, and visualizing overall crypto market structure.
OR Box + Full Key Levels (Cash Hours • Strict v5)This is the final working script, just choose from the drop down to adjkust for Europeon / US markets
Opening ATR + High Momentum (10/30/60)this is a custom momentum indicator using atr
A fixed, compiling Pine v5 script is below with the three issues corrected: no plots in local scope, a ≤10-character shorttitle, and cleaned ternaries/formatting that remove the “end of line without line continuation” error.
Pattern Scanner — RealTime By joshPattern Scanner — Real-Time (Lines Only)
This study draws line outlines of popular price patterns in real time using swing pivots (no marketing claims, no signals).
It focuses on visual structure only—use it as an educational aid to spot potential areas of interest.
What it shows
Double Top / Double Bottom (neckline only, optional pullback check)
Head & Shoulders / Inverse H&S (neckline projection)
Wedges & Symmetrical Triangles (upper/lower guides from recent swings)
Flags / Parallel Channels (top & bottom rails if slopes are near-parallel)
Consolidation Range (simple recent high/low band)
Optional RSI Divergence filter (basic confirmation; off by default)
How it works (high level)
Builds swing points using left/right pivot lengths.
Draws straight guide lines between recent swing pairs.
Optional “equality tolerance” (in %) for double tops/bottoms.
Optional “pullback after break” rule to reduce first-touch breaks.
No labels, arrows, targets, or profits: only lines for study/visualization.
Inputs you can tune
Pivot lengths, equality tolerance, minimum touches & lookback window
Pullback rule and tolerance (% of range)
Line thickness for major/minor structures
Optional RSI divergence check (length & source)
Good to know
Real-time detection can update while bars are forming; confirmed pivots require the right-side length to complete.
This tool does not generate trade advice. Combine with your own risk management and additional analysis.
Results may vary across symbols/timeframes due to data and volatility.
License: Pine Script® v5. Educational use only.
UP MM BY JOSHUP MM BY JOSH — Educational Market Study Tool
This script is a technical study and visualization tool designed to help traders explore concepts of baseline, flow, ATR risk, and continuation conditions.
It combines multiple moving average frameworks (SMA, EMA, HMA, JMA, McGinley, etc.) with volatility analysis (ATR) and visual guidance (labels, colors, tables) to make chart reading easier.
Features
Baseline & Flow Visualization
Displays multi-type moving averages and channel structures to study trend direction and potential continuation areas.
ATR-based Risk Insights
Uses ATR percentile and custom thresholds to highlight relative volatility and potential risk zones.
Visual Labels & Alerts
Shows optional Buy/Sell labels, exit markers, and alert conditions to help identify crossover or continuation events.
Risk Table Overlay
Provides a quick snapshot of volatility percentile, ATR value, and entry distance to baseline.
How to Use
Apply the script on your chart and adjust parameters (baseline length, flow type, ATR multiplier, etc.) to suit your study.
Use visual labels and colors to observe market behavior, not as trading instructions.
Combine with other forms of technical analysis such as support/resistance, higher timeframe bias, or volume analysis.
Important Disclaimer
This script is intended for educational and research purposes only.
It does not provide financial advice or guarantee profitable outcomes.
All signals, labels, or alerts are visual markers for study — not buy/sell instructions.
Users are responsible for their own trading decisions and risk management.
SMC style josh )SMC style josh — FVG, OB, BOS/CHoCH, EQH/EQL, PD, HTF, Trendlines
What it does
A clean-room Smart-Money–style study that visualizes market structure and liquidity concepts:
Structure: BOS & CHoCH for swing and internal legs (width/style controls, preview of last pivots)
Order Blocks: internal & swing OBs with midline (50%), mitigated/invalid handling, optional auto Breaker creation
Fair Value Gaps (FVG): auto boxes with optional 50% line, ATR filter, extend length, and “after-CHoCH only” window
Equal High/Low (EQH/EQL): ATR-based proximity threshold
Liquidity Grabs: wick-through/close-back tags
Premium/Discount (PD) zones: live boxes + equilibrium line from latest swing range
HTF levels: previous Daily/Weekly/Monthly highs/lows with labels (PDH/PDL, PWH/PWL, PMH/PML)
Trendlines: auto swing-to-swing lines (liquidity)
Confluence Score: column plot summarizing recent events (+/− weighting)
Key options
Safety switch to pause all drawings
Per-module visibility, label sizes/colors, line styles/widths
ATR-based filters for impulses and gaps
Limits for lines/labels/boxes to avoid runtime errors
How to read
BOS = continuation break of the current leg; CHoCH = potential regime shift
OB mitigated when price returns into the block; invalid when price closes beyond; mitigated-then-invalid can form a Breaker
FVG is considered “filled” when price closes through the gap boundary (optional hide/gray-out)
Strong/Weak High/Low tags reflect the active swing bias (potential liquidity/targets)
Good practice
Combine with risk management, multiple timeframes, and your own rules. All drawings are for study/visualization; signals are not trade instructions.
Compliance / Disclaimer
This script is for educational and research purposes only. It is not financial advice or a solicitation to buy/sell any asset. Past performance does not guarantee future results. Always test and manage risk responsibly.
License / Credits
Built with Pine Script® v5. “SMC style josh” is an original, clean-room implementation and does not reuse third-party code.
RSI — Josh (Refined)RSI Buy/Sell Pro — Josh (Refined)
Overview
This study enhances the classic RSI (Relative Strength Index) by adding multiple visualization layers and research tools. It helps users see overbought/oversold conditions, divergence patterns, and momentum shifts more clearly — in a way that is visually intuitive.
⚠️ Disclaimer: This script is for educational and research purposes only. It does not provide financial advice or trading recommendations. Past signals are not indicative of future results. Users remain fully responsible for their own decisions and risk management.
Key Features
Custom RSI Signals
Flexible signal modes (Strict 30/70, Loose, Aggressive 50-cross)
Optional “BUY/SELL” visual text or compact labels
Adjustable cooldown between signals
RSI Divergence Detection
Classic bullish/bearish divergence with pivot confirmation
Real-time “Shadow Divergence” preview (may repaint, by design)
Visual waterline and shaded shadow effects
MA Cross on RSI
Overlay fast/slow moving averages directly on the RSI scale
Crossovers highlighted with markers and alerts
Bollinger Aura (Glow Effect)
Bollinger Bands applied to RSI with customizable color modes
Single color, Upper/Lower, or Zone-driven bull/bear tint
Optional soft fill between bands for clarity
Guidance Panel
On-chart panel summarizing RSI state (OB/OS/Neutral), real-time shadow status, and credits
Alerts Included
RSI BUY / SELL cross conditions
RSI MA cross up / down
Divergence signals (classic & real-time)
Usage Notes
Designed to visualize RSI dynamics and assist in technical research
The “BUY/SELL” markers are visual study tags only — not trade calls
For best practice, combine with higher timeframe context, support/resistance, or volume analysis
Always validate ideas in a demo environment before applying to live trading
Compliance & Credits
Built in Pine Script® v5 on TradingView
Indicator name and labels are for visualization only — not investment advice
Credits: Inspired by classic RSI concepts, refined with additional visualization methods
✅ This description keeps your script compliant:
No performance guarantees
No marketing language like “make profit fast”
Clear disclaimer & educational framing
MACD Josh MACD Study — Visual Crossover Tags
Overview:
This script displays MACD signals in a clear, visual way by showing:
Histogram = EMA(Fast) − EMA(Slow)
Signal = EMA(Histogram, Signal Length)
It adds labels and arrows to help you see crossover events between the Histogram and the Signal line more easily.
⚠️ Disclaimer: This tool is for educational and research purposes only. It is not financial advice or an investment recommendation. Past performance does not guarantee future results. Users should make their own decisions and manage risk responsibly.
Features
Central Zero Line with Signal and Histogram plots
Optional labels/arrows to highlight Histogram–Signal crossovers
Alerts for crossover and crossunder events, integrated with TradingView’s alert system
Standard adjustable inputs: Fast EMA, Slow EMA, Signal EMA
How to Interpret (for study only)
When the Histogram crosses above the Signal, a visual label/arrow marks a positive MACD event
When the Histogram crosses below the Signal, a visual label/arrow marks a negative MACD event
The “BUY/SELL” labels are visual study tags only — they do not represent trade instructions or recommendations
Responsible Usage Tips
Test across multiple timeframes and different assets
Combine with higher-timeframe trend, support/resistance, or volume for confirmation
Use alerts with caution, and always test in a demo environment first
Technical Notes
The script does not use future data and does not repaint signals once bars are closed
Results depend on market conditions and may vary across assets and timeframes
License & Credits
Written in Pine Script® v5 for TradingView
The indicator name shown on chart is for labeling purposes only and carries no implication of advice or solicitation
📈 Aidous-Comprehensive Trend Signal Matrix📈 Aidous-Comprehensive Trend Signal Matrix
A powerful, multi-dimensional trend analysis tool that aggregates signals from 24+ technical indicators across 6 key categories:
Pure Trend Indicators (SuperTrend, Ichimoku, EMA Crossover, Parabolic SAR, etc.)
Momentum Oscillators (RSI, MACD, CCI, Stochastic RSI, Awesome Oscillator)
Volatility-Based Tools (Bollinger Bands, Choppiness Index)
Volume & Flow Indicators (Chaikin Money Flow, OBV)
Price Action Filters (Higher Highs/Lower Lows, Fractals)
Custom & Proprietary Logic (Wolfpack ID, Waddah Attar Explosion, Trend Magic)
This indicator doesn’t just show one signal—it synthesizes 24 independent trend signals into a unified matrix, giving you a holistic view of market direction. The Overall Trend is dynamically classified as:
Strong Uptrend (≥ +5 net bullish signals)
Uptrend (+1 to +4)
Neutral (balanced or conflicting signals)
Downtrend (–1 to –4)
Strong Downtrend (≤ –5 net bearish signals)
📊 Interactive Table Display
Choose between Full Table (detailed per-indicator breakdown) or Compact Summary mode. Customize position and size to fit your chart layout.
🎨 Visual Feedback
Background color changes based on overall trend strength
Color-coded signal cells (green = bullish, red = bearish, orange = neutral)
Real-time signal counts for quick sentiment assessment
💡 How to Use:
Use the Overall Trend for high-level market bias
Drill into the table to identify which indicators are driving the signal
Combine with your own strategy for confluence-based entries/exits
⚠️ Disclaimer:
This script is provided "as is" without warranty of any kind. Past performance is not indicative of future results. Always conduct your own analysis and risk management.






















