Premium & Liquidity Zones By TradingSmurf ver.20250911=========================================
Premium & Liquidity Zones (PLZ) + AEMA
=========================================
Features:
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• Liquidity Zones (Daily / Weekly / Monthly)
- Previous Highs/Lows with text labels
- Auto purge when liquidity is swept
• Adaptive EMA (Kaufman-style)
- Fast = 2, Slow = 30, Efficiency = 10
- Toggle On/Off
• Premium & Discount Zones
- Supply/Demand imbalance shading
• Market Structure Tools
- BOS (Break of Structure) / CHoCH detection
- Order Blocks
- Fair Value Gaps (FVGs)
- MSS signals
- Swing High/Low labels
• Signals & Alerts
- SSMA crossover Buy/Sell signals
- BOS, CHoCH, MSS alerts
Usage:
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All-in-one Smart Money Concepts (SMC) toolkit
for liquidity, structure, and adaptive trend
confirmation.
Индикаторы и стратегии
ICT NDOG/NWOGICT NDOG / NWOG — Opening Gap Visualizer
Plots daily (NDOG) and weekly (NWOG) opening gaps.
An opening gap is the price range between the previous close and the new session’s open.
Features:
• Optional border lines at gap high/low.
• Optional Consequent Encroachment line (50%).
• Optional Quadrant lines (25% and 75%).
• Color customization
• Custom NDOG and NWOG amount (separated)
*Also included in ICT ULT (All In One) Indicator
*Feel free to suggest improvement in the comments
TradeIQ 3.31 • Smart Market Direction [EN]
TradeIQ is designed to guide traders with predictive arrows that highlight potential market peaks and reversal zones. It also provides entry point guidance along with suggested TP/SL zones, giving you a practical framework for trade planning.
✅ Key Features:
• Predictive arrows for possible turning points
• Visual guide for entry opportunities
• Suggested TP/SL zones for trade management
• Scalping signals to capture quick, short-term opportunities
• Works across Forex, Gold, Crypto, and Indices
• Fully customizable to match your trading style
Built from years of trading experience, TradeIQ gives traders a clear visual roadmap to support decision-making — not rigid signals.
👉 Perfect for traders who want guidance, structure, and clarity in the markets.
Advanced Volume Gaps & Liquidity Sweeps Advanced Volume Fair Value Gaps Detector with Liquidity Sweep Alerts
📊 Overview
This advanced Pine Script indicator combines sophisticated Fair Value Gap (FVG) detection with comprehensive volume analysis and liquidity sweep alerts. It provides traders with a powerful tool to identify high-probability trading opportunities by analyzing price gaps through the lens of volume dynamics and market structure.
🔧 Key Features
🎯 Smart Gap Detection
Advanced gap size filtering using percentile ranking
Sophisticated quality filters to eliminate noise
Dynamic timeframe adaptation for volume analysis
Bullish and Bearish FVG identification
📈 Volume Analysis Engine
Real-time volume segmentation by price direction
Visual volume profile bars within each gap
Percentage-based volume distribution display
Multi-timeframe volume aggregation
⚡ Liquidity Sweep Detection
Automated raid detection on Fair Value Gaps
Visual sweep indicators with confirmation logic
Real-time sweep tracking and visualization
Advanced sweep confirmation algorithms
🔔 Comprehensive Alert System
FVG creation alerts (Bullish/Bearish)
Liquidity sweep/raid detection alerts
Customizable alert frequency settings
Detailed price level information in alerts
⚙️ Configuration Options
Detection Settings:
Gap Mitigation Method: Choose between "close" or "high/low" for gap invalidation
Quality filters for gap significance
Display Controls:
Toggle Long/Short gaps independently
Volume profile bar visibility
Liquidity sweep detection on/off
Color customization for bullish (green) and bearish (red) gaps
Alert System:
Enable/disable liquidity sweep alerts
Real-time notifications for gap creation and raids
🎨 Visual Elements
Gap Visualization:
Color-coded boxes (Green for bullish, Red for bearish)
Semi-transparent backgrounds for clear chart reading
Dynamic gap extension as price develops
Volume Profile:
Integrated volume bars showing buying vs selling pressure
Percentage labels for quick volume assessment
Color-coded volume distribution
Sweep Indicators:
Lightning bolt markers for confirmed sweeps
Horizontal lines tracking sweep levels
Direction-specific label positioning
📋 How It Works
Gap Detection: The indicator identifies significant price gaps using advanced filtering techniques that consider gap size relative to historical data.
Volume Analysis: Each gap is analyzed for volume characteristics, breaking down buying vs selling pressure during gap formation.
Sweep Monitoring: The system continuously monitors price action around existing gaps to detect liquidity sweeps/raids.
Alert Generation: Real-time alerts notify traders of new gap formations and liquidity sweep events.
🎯 Trading Applications
Reversal Trading: Use FVG raids as potential reversal signals
Continuation Patterns: Identify gaps that may act as support/resistance
Volume Confirmation: Validate gap significance through volume analysis
Risk Management: Use gap levels for stop-loss and take-profit placement
⚠️ Important Notes
Enable "Liquidity Sweep Detection" in settings to see raid visualizations
Alerts work on all timeframes but are optimized for intraday trading
Volume analysis requires sufficient market data for accuracy
Best used in conjunction with other technical analysis tools
🔧 Settings Guide
Gap Mitigation Method: Determines how gaps are considered "filled"
Show Long/Short Gaps: Toggle gap types based on your trading strategy
Volume Profile Bars: Display detailed volume information within gaps
Liquidity Sweep Detection: Enable advanced raid detection and alerts
This indicator is perfect for traders who want to combine price action analysis with volume dynamics and liquidity concepts for more informed trading decisions.
Manipulation Ribbon [FxScripts]Manipulation Ribbon
Designed to detect areas of price manipulation by Market Makers vs areas where it is trading in a natural, price-driven state. By identifying zones of control and imbalance, the ribbon provides a clear visualization of where price is being held or artificially displaced, offering key insights into potential future direction.
Indicator Function
Unlike traditional oscillators, the Manipulation Ribbon plots a continuous line or ribbon, with no defined y-axis. The ribbon dynamically adapts to market conditions, allowing the user to spot potential manipulation and price containment vs natural price movement.
Calculation Methodology
The Manipulation Ribbon is derived exclusively from price action. The underlying algorithm evaluates where price is, where it should be and where it’s being held.
The resulting ribbon reflects these dynamics in real time, providing a visual framework for interpreting price behavior at a granular level.
Operational Use: Divergences
The primary use of the Manipulation Ribbon is to locate divergences between price and the ribbon.
There are two distinct types of divergence to look for:
Price Containment: Where the ribbon moves but price doesn’t. This can help identify zones where price is being held, often preceding sharp movements once control is released.
Price Manipulation: Where price moves but the ribbon doesn’t. This can help identify liquidity sweeps, often preceding swift reversals once the liquidity has been taken.
Analytical Scenarios
High Liquidity Sweep: Price forms a higher high while the ribbon forms a lower high. Indicates a liquidity sweep may be occurring at the highs and a potential bearish reversal may be imminent.
Low Liquidity Sweep: Price forms a lower low while the ribbon forms a higher low. Indicates a liquidity sweep may be occurring at the lows and a potential bullish reversal may be imminent.
Top Edge Hold: Upwards movement of the ribbon without price followthrough. Indicates price may be being held at the highs, suggesting Market Makers are artificially holding price down in order to create a top edge and potential bearish reversal.
Bottom Edge Hold: Downwards movement of the ribbon without price followthrough. Indicates price may be being held at the lows, suggesting Market Makers are artificially holding price up in order to create a bottom edge and potential bearish reversal.
Settings
Guides: Option to have dynamic guides applied to your chart. Customizable style, color and width.
Guide Lookback: Due to the ribbon having a non-standard y-axis scale, it’s not possible to plot standard interval guides. Due to technical limitations this value is not calculable automatically either. The upper and lower bounds of the guides are therefore calculated using a user-inputted lookback function. In order to ensure the guides use the correct y-axis on the chart, simply input the average number of bars in your current viewport using the ruler, the guides will automatically update to match this.
Line 1 / Band 1: Option to turn on/off Line 1 and Band 1 alongside updating color and linewidth. Line 1 and Band 1 use the current chart symbol as their source.
Line 2 / Band 2: Option to add a second line and/or band to the chart. Use this to compare any correlated instrument e.g. BTCUSDT and ETHUSDT (as visualized in the chart above) or other pairs such as XAUUSD/XAUEUR or ES/NQ. Due to differences in y-axis scaling it's advised to add this as an additional indicator on a new pane (as per chart above).
Inverse Line 2 / Band 2: Option to show/hide the inverse of Line 2 and Band 2. This is useful for comparing inversely correlated symbols e.g. EURUSD and USDCHF.
Performance and Optimization
Backtesting Results: The Manipulation Ribbon has undergone extensive backtesting across various instruments, timeframes and market conditions, demonstrating strong performance in identifying where price is out of sync with its natural state. User backtesting is strongly encouraged as it allows traders to gain familiarity with the ribbon using their preferred instruments and timeframes.
Optimization for Diverse Markets: The Manipulation Ribbon can be used on crypto, forex, indices, commodities and stocks. The Manipulation Ribbon's algorithmic foundation ensures consistent performance across a variety of instruments. The lack of complex settings makes it easy for the trader to set up and go.
Educational Resources and Support
Users of the Manipulation Ribbon benefit from comprehensive educational resources and full access to FxScripts Support. This ensures traders can maximize the potential of the Manipulation Ribbon and other tools in the Sigma Indicator Suite by learning best practices and gaining insights from an experienced team of traders.
Table Logic ExtractorTable Logic Extractor v2.0
Advanced multi-timeframe analysis with intelligent trade recommendations!
Overview:
This sophisticated indicator provides comprehensive market analysis through multiple technical indicators and timeframes. It combines EMA analysis, RSI momentum, MACD signals, Bollinger Bands, volume analysis, divergence detection, and intelligent trade recommendations with support/resistance distance calculations and trading style detection.
Key Features:
✅ Multi-Indicator Analysis - EMA, RSI, MACD, Bollinger Bands, Volume, ATR
✅ Multi-Timeframe Analysis - M1, M5, M15, M30 trend comparison
✅ Divergence Detection - Bullish and bearish divergence with strength calculation
✅ Support/Resistance Analysis - Distance calculations with Fibonacci levels
✅ Trading Style Detection - Trend, Range, Breakout, Scalping identification
✅ Intelligent Trade Signals - Style-based trade recommendations with confidence levels
✅ Risk Management - Stop Loss and Take Profit calculations
✅ Comprehensive Table - Real-time analysis with 14 different metrics
How It Works:
The indicator uses advanced analysis:
• Multi-Timeframe - M1, M5, M15, M30 trend analysis
• Style Detection - Automatic trading style identification
• S/R Analysis - Fibonacci-based support/resistance levels
• Weighted Scoring - EMA (2.0), RSI (1.5), MACD (1.5), BB (1.0), Volume (1.0)
• Intelligent Signals - Style-based trade recommendations
Trading Style Detection:
• TREND TRADING - Strong trend + aligned timeframes (Green)
• RANGE TRADING - Low volatility + sideways movement (Yellow)
• BREAKOUT TRADING - High volume + near levels (Orange)
• SCALPING - High volatility + quick moves (Red)
Information Table (14 Metrics):
Real-time display showing:
• ATR volatility with signal (HIGH/MED/LOW/NORMAL VOL)
• Divergence status with strength percentage
• S/R Distance with Fibonacci levels
• Stop Loss (2.0:1 ratio) and Take Profit 1 (1.5:1 ratio)
• Multi-Timeframe analysis (M1, M5, M15, M30)
• Scalping signals with confidence levels
• Current trend with strength percentage
• Intelligent trade recommendations
Trade Recommendations:
• TREND BUY/SELL - All timeframes aligned (High confidence)
• SHORT-TERM BUY/SELL - M5 signal only (Medium confidence)
• SCALPING BUY/SELL - M5 vs higher timeframes (Low confidence)
• WAIT - No clear signal (No confidence)
Support/Resistance Analysis:
• Fibonacci Levels: 23.6%, 38.2%, 50% retracements
• Distance Categories: Very Near (Red), Near (Orange), Medium (Yellow), Far (Green)
• ATR-based distance measurement
• Real-time proximity alerts
Scalping Detection:
Specialized signals based on:
• High volatility (ATR ratio > 1.5)
• Quick price moves (fast momentum)
• Volume confirmation (high volume spikes)
• RSI extremes (oversold/overbought)
Settings:
• EMA - Fast (9), Slow (21), Trend (50)
• RSI - Length (14), Overbought (70), Oversold (30)
• MACD - Fast (12), Slow (26), Signal (9)
• Bollinger Bands - Length (20), Multiplier (2.0)
• ATR - Length (14) for volatility measurement
• Volume Threshold - 1.5x average volume
• Divergence - Lookback (3), Threshold (0.5)
Best Practices:
🎯 Adapt strategy to detected trading style
📊 Use multi-timeframe analysis for confirmation
⚡ Monitor S/R distances for entry timing
🛡️ Always use calculated Stop Loss levels
🔍 Watch for divergence signals
📈 Follow intelligent trade recommendations
Pro Tips:
• Table provides all essential information in one place
• Trading style detection helps adapt your strategy
• S/R distance shows proximity to key levels
• Confidence levels indicate signal reliability
• Multi-timeframe alignment increases success rate
• Scalping signals work best in high volatility
Alerts:
• Trend Change Alert - "Trend changed across timeframes"
• Divergence Alert - "Divergence detected"
• Scalping Alert - "Scalping opportunity"
• Trade Signal Alert - "Trade recommendation available"
Version 2.0 Improvements:
• Advanced multi-timeframe analysis (M1, M5, M15, M30)
• Intelligent trading style detection
• Comprehensive support/resistance analysis
• Professional trade recommendations with confidence levels
• Scalping detection with specialized signals
• Risk management with calculated SL/TP levels
• 14-metric comprehensive information table
Created with ❤️ for the trading community
This indicator is free to use for both commercial and non-commercial purposes.
TradeIQ 3.31 • Smart Market Direction [TH]TradeIQ is designed to guide traders with predictive arrows that highlight potential market peaks and reversal zones. It also provides entry point guidance along with suggested TP/SL zones, giving you a practical framework for trade planning.
✅ Key Features:
• Predictive arrows for possible turning points
• Visual guide for entry opportunities
• Suggested TP/SL zones for trade management
• Scalping signals to capture quick, short-term opportunities
• Works across Forex, Gold, Crypto, and Indices
• Fully customizable to match your trading style
Built from years of trading experience, TradeIQ gives traders a clear visual roadmap to support decision-making — not rigid signals.
👉 Perfect for traders who want guidance, structure, and clarity in the markets.
Shadow Mimicry🎯 Shadow Mimicry - Institutional Money Flow Indicator
📈 FOLLOW THE SMART MONEY LIKE A SHADOW
Ever wondered when the big players are moving? Shadow Mimicry reveals institutional money flow in real-time, helping retail traders "shadow" the smart money movements that drive market trends.
🔥 WHY SHADOW MIMICRY IS DIFFERENT
Most indicators show you WHAT happened. Shadow Mimicry shows you WHO is acting.
Traditional indicators focus on price movements, but Shadow Mimicry goes deeper - it analyzes the relationship between price positioning and volume to detect when large institutional players are accumulating or distributing positions.
🎯 The Core Philosophy:
When price closes near highs with volume = Institutions buying
When price closes near lows with volume = Institutions selling
When neither occurs = Wait and observe
📊 POWERFUL FEATURES
✨ 3-Zone Visual System
🟢 BUY ZONE (+20 to +100): Institutional accumulation detected
⚫ NEUTRAL ZONE (-20 to +20): Market indecision, wait for clarity
🔴 SELL ZONE (-20 to -100): Institutional distribution detected
🎨 Crystal Clear Visualization
Background Colors: Instantly see market sentiment at a glance
Signal Triangles: Precise entry/exit points when zones are breached
Real-time Status Labels: "BUY ZONE" / "SELL ZONE" / "NEUTRAL"
Smooth, Non-Repainting Signals: No false hope from future data
🔔 Smart Alert System
Buy Signal: When indicator crosses above +20
Sell Signal: When indicator crosses below -20
Custom TradingView notifications keep you informed
🛠️ TECHNICAL SPECIFICATIONS
Algorithm Details:
Base Calculation: Modified Money Flow Index with enhanced volume weighting
Smoothing: EMA-based smoothing eliminates noise while preserving signals
Range: -100 to +100 for consistent scaling across all markets
Timeframe: Works on all timeframes from 1-minute to monthly
Optimized Parameters:
Period (5-50): Default 14 - Perfect balance of sensitivity and reliability
Smoothing (1-10): Default 3 - Reduces false signals while maintaining responsiveness
📚 COMPREHENSIVE TRADING GUIDE
🎯 Entry Strategies
🟢 LONG POSITIONS:
Wait for indicator to cross above +20 (green triangle appears)
Confirm with background turning green
Best entries: Early in uptrends or after pullbacks
Stop loss: Below recent swing low
🔴 SHORT POSITIONS:
Wait for indicator to cross below -20 (red triangle appears)
Confirm with background turning red
Best entries: Early in downtrends or after rallies
Stop loss: Above recent swing high
⚡ Exit Strategies
Profit Taking: When indicator reaches extreme levels (±80)
Stop Loss: When indicator crosses back to neutral zone
Trend Following: Hold positions while in favorable zone
🔄 Risk Management
Never trade against the prevailing trend
Use position sizing based on signal strength
Avoid trading during low volume periods
Wait for clear zone breaks, avoid boundary trades
🎪 MULTI-TIMEFRAME MASTERY
📈 Scalping (1m-5m):
Period: 7-10, Smoothing: 1-2
Quick reversals in Buy/Sell zones
High frequency, smaller targets
📊 Day Trading (15m-1h):
Period: 14 (default), Smoothing: 3
Swing high/low entries
Medium frequency, balanced risk/reward
📉 Swing Trading (4h-1D):
Period: 21-30, Smoothing: 5-7
Trend following approach
Lower frequency, larger targets
💡 PRO TIPS & ADVANCED TECHNIQUES
🔍 Market Context Analysis:
Bull Markets: Focus on buy signals, ignore weak sell signals
Bear Markets: Focus on sell signals, ignore weak buy signals
Sideways Markets: Trade both directions with tight stops
📈 Confirmation Techniques:
Volume Confirmation: Stronger signals occur with above-average volume
Price Action: Look for breaks of key support/resistance levels
Multiple Timeframes: Align signals across different timeframes
⚠️ Common Pitfalls to Avoid:
Don't chase signals in the middle of zones
Avoid trading during major news events
Don't ignore the overall market trend
Never risk more than 2% per trade
🏆 BACKTESTING RESULTS
Tested across 1000+ instruments over 5 years:
Win Rate: 68% on daily timeframe
Average Risk/Reward: 1:2.3
Best Performance: Trending markets (crypto, forex majors)
Drawdown: Maximum 12% during 2022 volatility
Note: Past performance doesn't guarantee future results. Always practice proper risk management.
🎓 LEARNING RESOURCES
📖 Recommended Study:
Books: "Market Wizards" for institutional thinking
Concepts: Volume Price Analysis (VPA)
Psychology: Understanding smart money vs. retail behavior
🔄 Practice Approach:
Demo First: Test on paper trading for 2 weeks
Small Size: Start with minimal position sizes
Journal: Track all trades and signal quality
Refine: Adjust parameters based on your trading style
⚠️ IMPORTANT DISCLAIMERS
🚨 RISK WARNING:
Trading involves substantial risk of loss
Past performance is not indicative of future results
This indicator is a tool, not a guarantee
Always use proper risk management
📋 TERMS OF USE:
For personal trading use only
Redistribution or modification prohibited
No warranty expressed or implied
User assumes all trading risks
💼 NOT FINANCIAL ADVICE:
This indicator is for educational and analytical purposes only. Always consult with qualified financial advisors and trade responsibly.
🛡️ COPYRIGHT & CONTACT
Created by: Luwan (IMTangYuan)
Copyright © 2025. All Rights Reserved.
Follow the shadows, trade with the smart money.
Version 1.0 | Pine Script v5 | Compatible with all TradingView accounts
AROMATH Power Index 11The most powerful, prefabricated, author's Aromath 💪 Power index
Anton Romashov's AROMATH Community - t.me .
Club of profitable investors Aromath-VIP🎩 - more profit.
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Мощнейший, сборный, авторский индикатор силы Aromath 💪
Сообщество Антона Ромашова AROMATH - t.me
Клуб прибыльных инвесторов Aromath-VIP🎩 - прибыль больше.
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Cash and Carry Strategy and Profit ExpectationCash and Carry Strategy and Profit Expectation
In contemporary finance, price discrepancies between spot markets and futures markets represent a significant source of profit opportunities. One of the most established and widely utilized methods of arbitrage to exploit these discrepancies is the Cash and Carry Strategy. This approach is not speculative in nature, but rather market-neutral, grounded in the principle that the spot price and the futures price of an asset must converge upon the expiration of the futures contract.
The essence of the strategy lies in simultaneously purchasing the underlying asset in the spot market and selling an equivalent position in the futures market. By doing so, the investor holds the physical or underlying asset while securing a predetermined selling price through the futures contract. The difference between the futures price and the spot price at the inception of the trade—referred to as the carry spread—becomes the expected profit of the strategy.
Because the spot position and the futures position are of equal size but opposite direction, the investor is largely insulated from fluctuations in the underlying asset’s price. Any losses incurred in the spot position due to price declines are offset by corresponding gains in the futures position, and vice versa. The net result is a locked-in profit equal to the carry spread, provided that costs are properly accounted for. For this reason, the Cash and Carry is categorized as a market-neutral strategy, attractive to institutional investors and funds seeking stable, predictable returns while minimizing exposure to volatility.
In practice, however, the realized profit depends on more than the raw spread between futures and spot. Transaction costs, exchange commissions, and financing expenses must all be deducted from the gross profit. In many cases, these costs can erode, or even entirely eliminate, the arbitrage margin. Careful calculation and capital management are therefore essential for effective implementation.
Beyond its profit potential, the Cash and Carry strategy also plays a systemic role in maintaining market efficiency. When futures contracts are overpriced relative to their theoretical fair value, arbitrageurs enter into Cash and Carry positions, which exert downward pressure on the futures price and upward pressure on the spot price. This process restores equilibrium, ensuring consistency with the Law of One Price, which states that identical assets should not persistently trade at different prices. Thus, the strategy not only benefits individual investors but also contributes to the overall stability and fairness of financial markets.
In conclusion, the Cash and Carry strategy exemplifies how arbitrage can serve as both a tool for profit generation and a mechanism of systemic balance. It demonstrates that investors need not rely on forecasting the direction of markets to achieve returns; rather, they can profit from temporary inefficiencies in price structures. Ultimately, the strategy’s significance lies not only in its ability to secure predictable profit through the carry spread but also in its broader contribution to the efficiency and stability of global financial systems.
MACD Fading Bullish MomentumMACD fading bullish momentum (early alert). I have designed this indicator as an early alert system for fading bullish momentum. The indicator will fire on the second consecutive histogram bar with decreasing bullish momentum (light green bars). My thought process is that it should provide traders with an earlier alert than a typical (MACD line crossing below Signal line) alert available on Trading View. However, this is not a sell indicator! It's an early alert system. My trading technique is heavily based on where the 9/20/50/100/200 EMAs are compared to one another, on the hourly timeframe and the daily timeframe. I plan to use this indicator alongside technical analysis to give me a better idea if i should exit my long swing trades. Cheers.
James
地合いパターン勝率テスター地合いパターン勝率テスター
概要
日経225/TOPIXの変化率(微分)から市場の地合いを判定し、その地合いと個別銘柄の値動きの関係を過去データから統計的に分析するインジケーターです。「地合いに逆らわない」取引の実現を支援します。
主な機能
1. レジーム判定(背景色)
緑:指数の変化率が上向き(地合い良好)
赤:下向き(地合い悪化)
白:横ばい(明確なトレンドなし)
グラデーション機能により変化率の強さを視覚化
2. 統計表示(右上テーブル)
Hit率:該当レジームでの勝率(過去実績)
ExpRet:平均リターン
Coverage:シグナル出現頻度
Forward horizon:評価期間(営業日換算付き)
3. 押し目フィルター機能
RSI≤40 または 価格0を確認
サンプル数(n)≥50を満たす設定を採用
エントリー判断
白/赤→緑への切り替え後
押し目条件を確認(RSI≤40 or 価格0 for each setting
Adopt settings that meet sample size (n) ≥50
Entry Decision
After white/red → green transition
Confirm dip conditions (RSI≤40 or Price
MONEYZEYAH | ATR DISPLAYATR (Average True Range) indicator shows market volatility by displaying the average price range over a set period, usually 14. It appears as a number below the main chart, helping traders gauge price movement strength and adjust stop losses or position sizes accordingly. 📊🌡️
MONEYZEYAH | SMART TREND LINESAutomatically detects swing highs/lows, draws trend lines, marks key support/resistance levels, and highlights breakouts for fast trend analysis. 📈🚩
Trend Analyzer v0.6Trend Analyzer EMA Only v0.6
Simple yet powerful EMA trend analysis with multi-timeframe support!
Overview:
This comprehensive indicator focuses on EMA-based trend analysis with clean visual presentation. It provides clear BUY/SELL signals, trend tracking with unique IDs, peak detection, and multi-timeframe analysis across M15, M30, and H1 timeframes.
Key Features:
✅ EMA Trend Analysis - Fast and Slow EMA crossover signals
✅ Trend Tracking - Unique trend IDs with start/end markers
✅ Peak Detection - Automatic peak identification during trends
✅ Multi-Timeframe - Analysis across M15, M30, and H1 timeframes
✅ Visual Clarity - Dotted lines connecting labels to candles
✅ Statistics - BUY/SELL count and average trend length
How It Works:
The indicator calculates signal strength using weighted analysis:
• MACD (50%) - Primary trend momentum
• RSI (30%) - Overbought/oversold conditions
• Volume (20%) - Volume confirmation
Signal Logic:
• BUY - Fast EMA crosses above Slow EMA + both slopes positive
• SELL - Fast EMA crosses below Slow EMA + both slopes negative
• NEUTRAL - EMAs too close (below threshold)
Visual Elements:
• 🟢 BUY - Green label with trend ID
• 🔴 SELL - Red label with trend ID
• ⚪ NEUTRAL - Gray label with trend ID
• 🟡 PEAK - Yellow label marking trend extremes
• ⚫ END - Gray label marking trend end
Information Table:
Real-time display showing:
• Current Timeframe trend state
• Multi-Timeframe analysis (M15, M30, H1)
• PEAK Labels status
• Offset Type configuration
• Trend Strength percentage
• Statistics (BUY/SELL count, average trend length)
Settings:
• Fast EMA Length - 9 (default)
• Slow EMA Length - 21 (default)
• Min Trend Bars - 3 (filters short trends)
• Label Offset Type - ATR, % of price, or Dynamic
• Show PEAK Labels - On/Off toggle
Best Practices:
🎯 Works best in trending markets
📊 Use as overlay on main chart
⚡ Combine with price action analysis
🛡️ Always use proper risk management
Pro Tips:
• Green background = Strong uptrend, Red background = Strong downtrend
• Watch for trend change arrows for early reversal signals
• Use the information table for quick market assessment
• Monitor trend statistics for market behavior insights
Alerts:
• BUY Alert - "BUY signal detected"
• SELL Alert - "SELL signal detected"
Version 0.6 Improvements:
• Optimized performance
• Enhanced visual clarity
• Improved multi-timeframe analysis
• Refined trend detection algorithms
Created with ❤️ for the trading community
This indicator is free to use for both commercial and non-commercial purposes.
MACD The MACD indicator can identify bullish crossovers above zero and bearish crossovers below zero.