Box Theory PRO WeeklyBox Theory PRO Weekly is an invite-only indicator designed to identify key weekly, daily, and intraday levels for analyzing range conditions, breakouts, and potential manipulation moves.
It automatically plots weekly boxes, multi-timeframe swings (hourly, 4H, daily), refined pivots, EMAs, Bollinger Bands, VWAP, and Supertrend overlays, and labels potential manipulation moves and structured entry points.
The indicator provides decision zones and signals to support market analysis. It is intended for observation, backtesting, and discretionary execution, and does not place trades automatically.
Key Features
Weekly boxes with prior-week high/low and midline
Multi-timeframe swings (1H, 4H, daily)
Refined levels including opening ranges and pivot highs/lows
Trend overlays: EMA 200 (required), optional EMA 50/20, Bollinger Bands, VWAP, Supertrend
Manipulation detection based on 1H candle size relative to weekly ATR
Entry labels categorized by behavior and timeframe (bounce, break, manipulation fade)
Optional tables for ATR, performance, and key weekly levels
Intended Use
Analyze weekly-structured instruments, including futures, indices, and stocks
Study breakouts, reversals, and multi-timeframe interactions
Complement other analysis methods such as candlestick and volume study
This script does not execute trades; all signals are for analysis and educational purposes only.
Limitations
Optimized for weekly-ranged assets; thresholds may require adjustment for 24/7 markets (crypto, futures)
Signals are informational; past historical behavior does not ensure future results
Access
Box Theory Pro Weekly is offered as a TradingView invite-only script.
Subscription management and billing are handled externally.
Step-by-Step Guide to Using Box Theory PRO Weekly
Step 1: Understand the Indicator
Load your chart (15-minute, 1-hour, or 4-hour recommended) with sufficient historical data to view weekly context. The indicator displays multiple overlays and signals for market structure analysis:
Weekly Box:
Yellow box shows prior weekโs high (PWH, red line) and low (PWL, green line)
Extends 20 bars to the right; midline displayed as dashed
Can be used to study range or breakout behavior
Swings and Pivots:
Hourly swings: white highs/lows from 1H data
4H swings: aqua highs / fuchsia lows
Daily swings: lime highs / orange lows
Refined levels: Opening range high/low, pivot highs/lows
Trend Filters and Overlays:
EMA: White 200-period primary trend
Optional EMAs: Gray 50-period, Black 20-period
Bollinger Bands: Blue upper/lower, green midline
VWAP: Blue line, resets weekly
Supertrend: Green = uptrend, Red = downtrend (factor 2.0, ATR 14)
Manipulation Detection:
Labels large 1H candles relative to weekly ATR
Green = Bull Manip, Red = Bear Manip (default threshold: weekly ATR ร 0.20)
Entry Signals:
โMANIP LONGโ / โMANIP SHORTโ
Signals grouped by type: Manipulation, Box, 1H, 4H, Daily โ based on bounces, breaks, or structured behavior
Tables (optional): ATR table, performance table, info table
Ensure relevant display settings are enabled and sufficient historical bars are loaded.
Step 2: Customize Settings
Core Options: Box extension (default 20 bars), line width, pivot length, ATR length, touch tolerance
Toggles: Show/hide boxes, swings, refined levels, signals, EMAs, Bollinger Bands, VWAP, Supertrend, tables
Filters: EMA trend filter, Supertrend per strategy, manipulation threshold
Strategies: Enable/disable Manip, Box, 1H, 4H, Daily; max wait candles per strategy; configure filters individually
Alerts: Enable alerts for signals (e.g., โBox Longโ or โManip Longโ)
Appearance: Adjust label visibility, colors, max visible labels
Step 3: Interpret and Use
Weekly Box Analysis: Price inside box indicates potential range context; bounces from PWL/PWH indicate possible reactions
Signals: BOX LONG / BOX SHORT; manipulation signals highlight potential unusual activity
Filters in Action: EMA and Supertrend for trend context; Bollinger Bands for volatility assessment
Combine with candlestick and volume analysis for broader context
Signals are for study and discretionary analysis only; outcomes are not guaranteed
Step 4: Set Up Alerts
Right-click chart โ Add Alert โ select indicator โ choose condition (e.g., โBox Long Signalโ)
Alerts trigger on confirmed bar close only
Set frequency (once per bar close) and notification method (app/email)
Alerts are informational and do not execute trades
Step 5: Troubleshooting and Notes
Cluttered chart? Disable unused swings or tables
No signals? Ensure strategies are enabled and historical data is sufficient
Adjust colors and visibility for clarity
Review historical signals using the performance table
Optimized for weekly-ranged assets; may require adjustments for 24/7 markets
Candlestick analysis
Auto Decision Box PRO Auto Decision Box PRO
Auto Decision Box PRO is a rule-based market structure framework that identifies balance, expansion, breakout continuations, and failed breakout reversals using adaptive volatility and higher-timeframe structure logic.
The indicator automatically builds decision zones (โboxesโ) after impulse moves and consolidation, then analyzes how price reacts around these zones to generate structured breakout and reversal signals.
By defining clear rules for balance, expansion, confirmation, and failure, this framework reduces subjectivity and allows traders to study repeatable market behavior.
Core Logic
Automatically builds structure boxes after impulse moves and periods of balance
Adaptive logic adjusts box size based on current volatility
Supports both breakout continuation and failed breakout reversal entries
Higher-timeframe box construction with lower-timeframe execution
Optional VWAP + EMA trend alignment and Supertrend filtering
Detects fake breakouts with delayed failure confirmation
Optional volume filter for breakout strength
Configurable ATR-based or fixed-value risk management
Optional RTH session filtering
All entries are confirmed by candle close; no discretionary drawing required
Strategy Behavior
Breakout entries occur only after confirmed structure breaks
Reversal entries trigger only after defined breakout failure behavior
Fake breakouts are filtered and can trigger early exits
Logic adapts dynamically to changing volatility conditions
Designed for structured decision-making, not prediction
This script does not place trades automatically; it is intended for analysis, backtesting, and discretionary execution support
Intended Use
Futures, indices, and liquid intraday markets
Traders seeking structure-based decision zones
Study breakout vs. rejection behavior
Backtesting and rules-driven execution frameworks
Access
Auto Decision Box is offered as a TradingView invite-only script.
Subscription management and billing are handled externally.
Ongoing Development
This script is actively maintained and updated with:
Continued logic refinement
Structural improvements
Additional filters and confirmations
Quality-of-life updates based on user feedback
Disclaimer
For educational and informational purposes only.
Not financial advice. Trading involves risk; past performance is not indicative of future results.
Use at your own discretion.
Step-by-Step Guide to Using Auto Decision Box PRO
Step 1: Understand What the Strategy Shows
Decision Box: Orange high/low lines with translucent fill, based on 15m โbalance barsโ after impulses. Box size uses ATR(20) and adapts to volatility. Manual override is available.
Supertrend (optional): Red = bearish, lime = bullish. Acts as entry filter.
Signals & Labels:
Breakout entries: BRC LONG / BRC SHORT
Reversal entries: REV LONG / REV SHORT
Rejection labels: LBR / SBR (optional)
Bar colors indicate failed breakouts (optional)
Static daily label: โAuto Decision Boxโ reminder
Trades: Simulated only (pyramiding=1, fixed quantity=1). Exits based on TP/SL.
Stats Table: Shows trades, wins/losses, and percentages for educational purposes.
Filters: Session limits, trend, Supertrend, volume, fake break detection.
Boxes form automatically after impulse โ balance periods.
Step 2: Customize Settings
Box setup: Timeframe, ATR, impulse multiplier
Balance bars: Adaptive/manual override
Session filter: Enable/disable, set minutes after open
Modes: Breakouts & reversals
Risk management: ATR-based TP/SL or fixed values
Filters: Trend, Supertrend, volume, fake break
Appearance: Show/hide signals, labels
Strategy tab: Adjust quantity, capital, commission for backtesting
Step 3: Interpret and Use
Breakouts: Confirmed cross above box high โ long; below low โ short
Reversals: Fade fake breakouts (brief break above/below then reject)
Entries only during filtered sessions
Exits occur on TP/SL or failure detection
Focus on studying structure and behavior; performance varies by market and timeframe
Step 4: Alerts
Alerts available for entries and rejections
Add alerts via right-click โ Add Alert โ Select strategy โ Frequency: Once per bar
Notifications via app/email
Step 5: Troubleshooting
No boxes/signals? Verify 15m data, session, and filters
Missing labels/colors? Enable in settings
Backtest skewed? Include commission/slippage
Limitations: Intraday/RTH focus; pyramiding=1
Manipulation Candle Strategy PROManipulation Candle Strategy PRO is a rule-based reversal framework designed to identify potential short-term exhaustion moves using higher-timeframe volatility expansion and structured lower-timeframe confirmation.
The indicator focuses on large 15-minute candles relative to daily ATR, treating these volatility expansions as potential liquidity events. After detection, it waits for defined lower-timeframe structure and confirmation before signaling potential reversals.
This framework provides structured, rules-driven analysis rather than discretionary or subjective signals.
Core Logic
Detects 15-minute candles exceeding a user-defined percentage of daily ATR
Classifies bullish and bearish volatility expansion
Waits for an opposite 5-minute candle to define potential reversal structure
Confirms entries using candle-close conditions across multiple timeframes
Uses 1-minute price confirmation to trigger entries beyond defined levels
Optional Supertrend and EMA filters for directional alignment
Configurable fixed or ATR-based take profit and stop loss
Optional session filtering for intraday markets
All signals are based on confirmed candle closes
Signals may update intrabar but only execute after confirmation conditions are met
Strategy Behavior
Reversal entries trigger only after defined manipulation and confirmation conditions
Fake or incomplete setups are filtered automatically
Logic adapts dynamically to volatility and market structure
Designed for structured decision-making, not prediction
This script does not place trades automatically; it is intended for analysis, backtesting, and discretionary execution support
Intended Use
Futures, indices, and liquid intraday markets
Traders seeking repeatable, rules-based reversal logic
Study short-term exhaustion moves and reversals
Backtesting and educational analysis of volatility-based setups
Access
Manipulation Candle is offered as a TradingView invite-only script.
Subscription management and billing are handled externally.
Ongoing Development
This script is actively maintained with:
Continued logic refinement
Additional filters and confirmations
Performance and execution improvements
Quality-of-life updates based on user feedback
Disclaimer
For educational and informational purposes only.
Not financial or investment advice. Trading involves risk; past performance is not indicative of future results.
Use at your own discretion.
Step-by-Step Guide to Using Manipulation Candle Strategy PRO
Step 1: Understand the Strategy
Manipulation Candles: Large 15-minute candles exceeding a percentage of daily ATR; bullish or bearish
Lower-Timeframe Structure: 5-minute candle opposite the manipulation defines potential reversal structure
Confirmation: 1-minute price confirmation triggers entry beyond defined levels
Filters: Optional Supertrend and EMA filters for trend alignment
Labels & Tables:
Bull/Bear manipulation labels
Entry labels: REV LONG / REV SHORT
Exit labels: EXIT LONG / EXIT SHORT
ATR and win/loss table updates
Step 2: Customize Settings
Strategy Inputs: Max hold time, max wait for confirmation, TP/SL values, ATR multipliers
Manipulation Detection: Daily ATR length, manipulation percentage threshold
Session Filtering: Enable/disable, define session times
Trend Filters: Supertrend factor/period, EMA length, enable/disable
Appearance: Show/hide manipulation, entry, exit labels; limit number of visible labels
Strategy Tester: Adjust capital, quantity, and commission for backtesting
Step 3: Interpret and Use
Reversals:
Fade bear manipulation โ long reversal
Fade bull manipulation โ short reversal
Entry Confirmation: Only during filtered sessions and after 5-minute + 1-minute confirmation
Exits: Based on TP/SL or max hold time
Filters: Trend, Supertrend, EMA, session, fake break detection
Focus on studying structure and behavior; performance varies by market and timeframe
Step 4: Alerts
Alerts can be added for entries and exits via TradingViewโs alert system
Right-click chart โ Add Alert โ Select strategy โ Condition โ Frequency: Once per bar
Notifications sent via app/email
Step 5: Troubleshooting
No labels/signals? Load sufficient historical data, check session and filters
Missing labels/colors? Enable in appearance settings
Backtest skewed? Include commission/slippage
Limitations: Intraday and RTH focus; pyramiding = 0 (one position at a time)
SMC IndicatorSMC Indicator
A comprehensive Smart Money Concepts (SMC) indicator that identifies institutional trading patterns and market structure shifts in real-time.
Features:
Market Structure Detection
CHoCH (Change of Character) - Identifies trend reversals when price breaks structure against the prevailing bias
BoS (Break of Structure) - Confirms trend continuation when price breaks structure in the direction of the current bias
Swing Points - Labels Higher Highs (HH), Higher Lows (HL), Lower Highs (LH), and Lower Lows (LL) for easy structure tracking
Liquidity Analysis
Equal Highs/Lows (EQH/EQL) - Detects liquidity pools where price has touched similar levels multiple times, creating resting liquidity
Liquidity Sweeps - Identifies when price sweeps beyond swing levels and closes back inside, indicating stop hunts and liquidity grabs
LP Sweep Priority - Highlights sweeps occurring at established EQH/EQL zones with enhanced labeling
Volume & Displacement Filtering
Displacement Filter - Requires significant body size (ATR-based) and above-average volume for valid structure breaks
VSA Integration - Volume Spread Analysis confirms sweep quality with short and long-term volume thresholds
VWAP Mean Zone
Rolling VWAP calculation with dynamic zone based on recent price range
Visual reference for mean reversion and value area trading
Setup Scoring Table
Real-time composite score (-3 to +3 scale) combining:
Structure (CHoCH/BoS events)
Sweep activity
Displacement strength
Volume confirmation
VWAP positioning
Bias direction
Alerts Included:
Bullish/Bearish CHoCH
Bullish/Bearish BoS
Bullish/Bearish LP Sweep (at EQH/EQL zones)
XTD Super wealthThe custom indicator you described is quite distinctive, using different colored lines and areas to mark market conditions, which is very intuitive.
To help you better understand and use it, I can provide you with some common technical analysis ideas as a reference. You can see if they align with your indicator logic:
- Blue Thick Line Bearish: This typically represents a long-term downtrend or a strong resistance level. When the stock price operates below the blue thick line, it may indicate strong bearish momentum, suggesting you consider holding cash or looking for selling opportunities.
- White Thick Line Bullish: This typically represents a long-term upward trend or solid support level. When the stock price operates above the white thick line, it may indicate that bullish forces are dominant, making it an area where you might consider holding your position or looking for buying opportunities.
- **The yellow line is the mark of the previous downward breakout
Asia Session + London ORB (NY Time)This TradingView indicator automatically identifies and marks key price levels from the **Asia trading session** and the **London Opening Range Breakout (ORB)** in **New York time (NY)**. It is designed for traders who want a clear visual reference for breakout and reversal strategies across major sessions.
**Features:**
1. **Asia Session High, Low, and Midpoint:**
* Automatically detects the high, low, and midpoint of the Asia session (default: 7:00 PM โ 3:00 AM NY time).
* Draws a semi-transparent box to visualize the Asia session range.
* Extends levels forward for breakout or range-trading reference.
2. **London ORB High, Low, and Midpoint:**
* Marks the first 15-minute opening range of the London session (default: 3:00 AM โ 3:15 AM NY time).
* Draws a semi-transparent box for the London ORB.
* Calculates midpoint and extends lines for easy breakout observation.
3. **Customizable Colors and Line Widths:**
* Users can set colors for session highs, lows, midpoints, and session boxes.
* Adjustable line width for better visibility on charts.
4. **Fully Automated:**
* No manual drawing required.
* Works for futures, forex, indices, or any market symbol.
**Use Case:**
* Identify breakout levels for **London session** relative to **Asia session range**.
* Spot potential reversals or continuation patterns at session highs/lows.
* Quick visual reference for high-probability intraday setups.
**Technical Notes:**
* Built in **Pine Script v6** for TradingView.
* Uses NY timezone by default but sessions can be customized.
* Compatible with intraday and higher timeframes.
Wickless Liquidity Draw PRO [Reggie_W]Wickless Liquidity Draw PRO
Wickless Liquidity Draw PRO is an advanced institutional liquidity tracker designed to identify, monitor, and analyze high-probability price magnets known as "Single Prints" or "Wickless/Tailless" candles.
Unlike standard support and resistance, these specific price levels represent inefficiencies in the market auctionโgaps where price was delivered so aggressively that no wick was formed. Institutional algorithms frequently revisit these levels to "rebalance" the auction, making them powerful draw-on-liquidity targets.
This indicator does not just plot lines; it provides a statistical engine to help you understand when and how often these targets are hit, giving you a quantifiable edge in your trading model.
๐ฏ Key Features
1. Automated Target Detection
โข Wickless Targets (Bearish Flow): Identifies candles where High == Max(Open, Close). These are often revisited to sweep buy-side liquidity.
โข Tailless Targets (Bullish Flow): Identifies candles where Low == Min(Open, Close). These are revisited to sweep sell-side liquidity.
โข Dynamic Ray Management: Automatically manages up to 5,000 historical rays, extending them until they are tested by price.
2. Institutional Data Dashboard
Stop guessing and start measuring. The PRO dashboard offers two powerful modes:
โข Standard Stats: Displays the Mean, Median, and Mode duration (in bars) it takes for price to sweep or break a level.
โข Frequency Matrix (Heatmap): A detailed ranking of the top 10 most common durations for liquidity sweeps. Example: You might see that your asset has a 90% probability of sweeping a Wickless level within 3 bars.
3. "Smart" Metrics & Outlier Filtering
Markets contain noise. The PRO edition includes a proprietary Outlier Filter (IQR Method).
โข Toggle between "Standard" and "Filtered" calculations.
โข "Filtered" mode removes extreme anomalies (e.g., a target hit after 5,000 bars) to give you the true statistical expectancy of a trade setup.
4. Visual Strength Fading
Not all liquidity is created equal. Fresh levels are often more reactive than stale ones.
โข Ray Fading: Old, untested rays slowly fade in transparency, allowing you to visually prioritize fresh, high-probability targets at a glance.
๐ง How It Works (The Logic)
In ICT (Inner Circle Trader) and Smart Money Concepts (SMC), price moves to do two things:
1. Rebalance Inefficiency (Fair Value Gaps)
2. Seek Liquidity (Stops)
A "Wickless" candle is a specific type of inefficiency. Because price moved away from the level instantly without trading back (no wick), it leaves a "pocket" of low-volume liquidity.
The Strategy:
1. The Setup: A Wickless/Tailless candle forms. The indicator plots a ray.
2. The Draw: If market structure aligns, this ray becomes a magnet.
3. The Execution: Use the Dashboard to align your trade duration. If the dashboard shows the "Mode" time to sweep is 5 bars, and you are on Bar 2, statistical probability suggests a sweep is imminent.
๐ Dashboard Breakdown
โข Tot T (Total Touched): How many targets were swept (price touched the line).
โข Tot C (Total Crossed): How many targets were broken (candle closed beyond the line).
โข Touch-to-Cross: Advanced metric showing the average delay between a "Sweep" and a full "Breakout."
โข Hit Rate: See exactly what % of targets are revisited by the market.
โ๏ธ Settings & Customization
โข Lookback Period: Customize how far back the system analyzes (up to 10,000 bars).
โข Max Rays: Control memory usage by limiting active lines.
โข Fade Duration: Adjust how quickly older lines fade out.
โข Alerts: Fully integrated alerts for Touches and Crosses on both Upper and Lower targets.
Risk Disclaimer:
Trading involves substantial risk. This tool provides statistical analysis of historical price action and does not guarantee future performance. Use it to enhance your edge, not as a blind signal generator.
OTT + Supertrend - cift Teyit v3OTT + Supertrend Strategy - Brief Explanation
This is a technical analysis strategy combining two popular trend-following indicators:
OTT (Optimized Trend Tracker):
Uses VAR moving average and ATR (Average True Range)
Tracks price movements in an optimized way
Determines trend direction and strength
Supertrend:
ATR-based indicator
Creates dynamic support/resistance levels above or below price
Green line indicates uptrend, red line indicates downtrend
Combined Usage:
Provides strong trend confirmation when both indicators signal the same direction
OTT green + Supertrend green = Buy signal
OTT red + Supertrend red = Sell signal
Reduces false signals and confirms trend strength
Advantages: Double confirmation system, more reliable entry-exit points, early warning on trend changes
Caution: May generate false signals in sideways markets, should be supported with additional indicators.
Reverse/Bounce LiteReverse/Bounce Indicator Lite
(EN) Indicator shows expected price rebound/reverse positions.
Calculations starts at first tick of every new bar/candlestick. In settings you can set range for calculations, text on label, label color and text color. Alerts working only on 15M timeframe or less. Feel free to contact me and leave comments when you have questions or suggestions.
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Smart Trader winning//@version=6
indicator('Smart Trader winning', overlay = true, max_labels_count = 500)
// Inputs
emaLength = input.int(20, 'EMA Length')
buyColor = input.color(color.teal, 'Buy Arrow Color')
sellColor = input.color(color.red, 'Sell Arrow Color')
// Price and EMA
ema = ta.ema(close, emaLength)
// Volume Delta
deltaVolume = volume * (close - open) / (high - low + 0.0001)
// Buy / Sell Condition
buyCond = ta.crossover(close, ema)
sellCond = ta.crossunder(close, ema)
// Plot EMA
plot(ema, color = color.fuchsia, linewidth = 2)
// Labels for Buy / Sell
if buyCond
label.new(bar_index, low, text = 'โฒ Buy', color = buyColor, style = label.style_label_up, textcolor = color.white)
if sellCond
label.new(bar_index, high, text = 'โผ Sell', color = sellColor, style = label.style_label_down, textcolor = color.white)
// Delta Volume Table (on chart right side)
var table t = table.new(position.top_right, 2, 2, border_width = 1)
buyVol = buyCond ? volume : na
sellVol = sellCond ? volume : na
table.cell(t, 0, 0, 'Buy Vol', bgcolor = color.new(color.green, 80))
table.cell(t, 1, 0, str.tostring(buyVol, format.volume), bgcolor = color.new(color.green, 90))
table.cell(t, 0, 1, 'Sell Vol', bgcolor = color.new(color.red, 80))
table.cell(t, 1, 1, str.tostring(sellVol, format.volume), bgcolor = color.new(color.red, 90))
// Background Highlight for Trade Zone
bgcolor(buyCond ? color.new(color.green, 85) : na)
bgcolor(sellCond ? color.new(color.red, 85) : na)
Smart Trader winning//@version=6
indicator('Smart Trader winning', overlay = true, max_labels_count = 500)
// Inputs
emaLength = input.int(20, 'EMA Length')
buyColor = input.color(color.teal, 'Buy Arrow Color')
sellColor = input.color(color.red, 'Sell Arrow Color')
// Price and EMA
ema = ta.ema(close, emaLength)
// Volume Delta
deltaVolume = volume * (close - open) / (high - low + 0.0001)
// Buy / Sell Condition
buyCond = ta.crossover(close, ema)
sellCond = ta.crossunder(close, ema)
// Plot EMA
plot(ema, color = color.fuchsia, linewidth = 2)
// Labels for Buy / Sell
if buyCond
label.new(bar_index, low, text = 'โฒ Buy', color = buyColor, style = label.style_label_up, textcolor = color.white)
if sellCond
label.new(bar_index, high, text = 'โผ Sell', color = sellColor, style = label.style_label_down, textcolor = color.white)
// Delta Volume Table (on chart right side)
var table t = table.new(position.top_right, 2, 2, border_width = 1)
buyVol = buyCond ? volume : na
sellVol = sellCond ? volume : na
table.cell(t, 0, 0, 'Buy Vol', bgcolor = color.new(color.green, 80))
table.cell(t, 1, 0, str.tostring(buyVol, format.volume), bgcolor = color.new(color.green, 90))
table.cell(t, 0, 1, 'Sell Vol', bgcolor = color.new(color.red, 80))
table.cell(t, 1, 1, str.tostring(sellVol, format.volume), bgcolor = color.new(color.red, 90))
// Background Highlight for Trade Zone
bgcolor(buyCond ? color.new(color.green, 85) : na)
bgcolor(sellCond ? color.new(color.red, 85) : na)
Hieu gold m2 1688This indicator compares global gold price dynamics with global M2 liquidity.
The M2 aggregate is constructed from four major economies the United States, China, the Eurozone, and Japan which together account for roughly 80 percent of global GDP and the vast majority of global liquidity creation.
By comparing gold with this core M2 proxy, the indicator highlights how changes in global liquidity influence long term gold valuation and macro cycles.
It is designed for macro analysis rather than short term trading and focuses on trend and regime shifts in monetary conditions.
Mid Line๐ Mid Line โ Volatility-Based Equilibrium Levels
This indicator draws horizontal mid lines at the midpoint of high-volatility candles.
When a candle exceeds the defined volatility threshold, its midpoint is marked as a potential short-term equilibrium level. These levels often act as temporary support or resistance, especially after strong impulsive moves.
If price pulls back, it may react around the mid line before continuing or breaking, helping traders identify reaction zones, pullback areas, and momentum shifts.
Key features:
Detects strong candles based on body volatility
Draws midpoint equilibrium levels automatically
Adjustable line length (up to 6 bars)
Designed for clean price action and intraday analysis
Best used on lower and intraday timeframes after impulsive moves.
Shahed Pro Indicator-2Shahed Pro โ Pullback & SwingโHigh Buy Indicator
What it does (in one line):
Shows two highโprobability long setups in uptrends: SwingโHigh Breakout and Pullback to EMAโ20.
It also shows a small info panel with Target (RR), % from 52โweek High/Low, Sector, and Industry.
Why this can help
Focuses only on trendโaligned long signals.
Filters out weak conditions (no signals when EMA10 โค EMA20).
Keeps risk simple: stop = previous candleโs low; target = RR ร risk (default 2R).
Lightweight panel gives quick context (how far from 52โweek extremes + the symbolโs sector/industry).
How it works (simple)
1) Trend Filter (hard gate)
No Buy if EMA(10) โค EMA(20).
Also requires a broader bias: SMA(50) > SMA(150) and SMA(50) > SMA(200).
2) Buy Signals (only two)
SwingโHigh Buy (SH):
A confirmed breakout above the last pivot high (swing high). You can choose closeโbased or tickโbased breakout.
Pullback Buy (PB):
After a swingโhigh breakout, price pulls back with 3โ7 lower closes, touches/nearโtouches EMAโ20 (tolerance configurable), then prints a bullish bar (close > open).
3) Risk & Reward
Stop = previous candleโs low at the entry bar.
Target = Entry + RR ร (Entry โ Stop). Default RR = 2.0 (2R).
Optional lines plot on chart for both target (dashed) and stop (dotted).
Signals on chart
BUY (SH) โ SwingโHigh breakout over the last pivot high.
BUY (PB) โ Pullback to EMAโ20 with a bullish reversal after 3โ7 lower closes.
SELL (recent low / swingโlow break) โ Minimal downside references (optional; kept for context).
All signals are confirmed on bar close (no repaint of signals after the bar closes).
Mini Info Panel (topโright by default)
Target (RR) โ shows the current absolute target price based on your RR (e.g., 2R).
% from 52โweek High
% from 52โweek Low
Sector (from the symbol metadata)
Industry (from the symbol metadata)
You can move or hide the panel in settings.
Key Inputs (quick guide)
Breakout must be by CLOSE / tick โ choose how to confirm a swingโhigh breakout.
Use confirmed recent levels โ excludes the forming bar when finding recent H/L.
Swing Left / Right โ pivot sensitivity for swingโhigh detection.
Pullback: EMAโ20 touch โ enable/disable, tolerance (%), and lookback window.
RR (x risk) โ target multiple (default: 2.0).
Show Target/Stop Lines โ toggle lines for clarity.
Mini Info Panel โ show/hide, position, transparency.
Bestโpractice tips
Timeframe: Designed for daily charts (works on others, but the logic and 52โweek context align best on 1D).
Stocks with clean trends: Works best on names with smooth EMA/MA structure and reasonable liquidity.
Avoid counterโtrend: The EMA10 > EMA20 and SMA filters help, but always check structure and nearby resistance.
Use with a plan: Size risk per trade (e.g., 0.5โ1R), stick to the stop, and take partials at 1R if that suits your style.
Alerts (ready to use)
Buy โ triggers on either BUY (SH) or BUY (PB) at bar close.
Sell โ triggers on sell references at bar close.
Alert messages:
Buy: {{ticker}} {{interval}} close={{close}}
Sell: {{ticker}} {{interval}} close={{close}}
Create alerts from the โAlertsโ panel and pick this indicatorโs conditions.
What this indicator is not
Not a promise of profits or a guarantee of future performance.
Not a fully automated strategy (itโs an indicator; entries/exits need your discretion).
Not a replacement for risk management or a complete trading plan.
Changelog (summary)
Focused scope: only two buy signals (SwingโHigh, Pullback).
Hard EMA gate: no buy when EMA10 โค EMA20.
Minimal panel with Target, 52W distances, Sector, Industry.
Clean, confirmed signals at bar close (reduced noise).
Disclaimer
This script is provided for educational and informational purposes only. It does not constitute financial, investment, or trading advice. Markets involve risk, including the possible loss of capital. Past performance is not indicative of future results. You are solely responsible for your own trading decisions and risk management. Always do your own research and consult a licensed financial professional if needed.
High & Low [ Major + Minor ]๐ Highs & Lows
See market structure clearly. Trade with confidence.
Highs & Lows automatically marks key swing highs and lows to help you identify trend direction, pullbacks, and structure levels without manual chart work.
Designed for traders who want clarity, not clutter.
๐ What You Get
Major Highs & Lows โ Overall trend & key levels
Minor Highs & Lows โ Pullbacks & precise entries
Clean, minimal, non-repainting structure
Works on Forex, Crypto, Indices & Stocks
Fully customizable for all timeframes
๐ง Why It Works
Avoids false reversals
Helps trade with the trend
Improves entry, stop-loss & target accuracy
Perfect for SMC & structure-based traders
โ ๏ธ Important
This is not a buy/sell signal indicator.
Itโs a structure & confirmation tool โ best used with your own strategy or signal system.
Stop guessing structure. Let the chart explain itself.
MTF Zone Trading [SSAS] v2๐ฅ MTF Zone Trading System v2 ๐ฅ
A powerful Multi-Timeframe Engulfing Pattern Detection System that identifies high-probability trading zones across 8 timeframes (Monthly to 5-Minute) with automatic MTF confluence detection, RSI divergence analysis, and a smart alert system.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ฏ KEY FEATURES
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ
Multi-Timeframe Zone Detection (M, W, D, 4H, 2H, 1H, 15M, 5M)
โ
Automatic MTF Confluence Detection (2-5+ TF zones overlapping)
โ
RSI Divergence Detection (Regular + Hidden)
โ
Smart Entry System with SL/TP Management
โ
Color-Coded Zones by Timeframe
โ
Ready & Touch Alert System
โ
Master Alerts (2 alerts cover everything!)
โ
Real-time RSI Dashboard
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ HOW IT WORKS
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
1๏ธโฃ ZONE CREATION
โข Detects Engulfing Bullish (EB) and Engulfing Sell (ES) patterns
โข EB Zone: 1st Bearish + 2nd Bullish candle (Close > High of 1st)
โข ES Zone: 1st Bullish + 2nd Bearish candle (Close < Low of 1st)
โข Zone = 1st candle's High-Low range
2๏ธโฃ ZONE VALIDITY
โข EB zones only shown BELOW current price (Support)
โข ES zones only shown ABOVE current price (Resistance)
โข Zones auto-delete when price touches them
3๏ธโฃ MTF CONFLUENCE
โข When a higher TF zone contains lower TF zones inside
โข More overlapping zones = Stronger signal
โข MTF ZONE (2 TF) โ STRONG MTF (3 TF) โ VERY STRONG MTF (4 TF) โ SUPER MTF (5+ TF)
4๏ธโฃ ENTRY SIGNALS
โข Price touches zone + Confirmation EB/ES pattern = Entry
โข Automatic SL (below/above recent swing)
โข Automatic TP (based on Risk:Reward ratio)
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐จ COLOR SCHEME
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ฉท Monthly - Pink/Magenta
๐ Weekly - Purple
๐ Daily - Blue
๐งก 4H - Orange
๐ 2H - Yellow
๐ฉต 1H - Cyan
๐ข 15M - Green
๐ข 5M - Light Green
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ ALERT SYSTEM
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
MASTER ALERTS (Recommended - saves alert limit):
โข ๐ฏ ALL ZONE TOUCH - Any zone touch
โข ๐ ALL ENTRY SIGNALS - Any BUY/SELL entry
INDIVIDUAL ALERTS:
โข Ready alerts (price approaching zone)
โข Touch alerts (price touching zone)
โข Separate BUY/SELL alerts
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ๏ธ SETTINGS
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
TIMEFRAME SCANNING: Enable/disable each timeframe
ENTRY SETTINGS: Confirmation TF, SL Buffer, TP Ratio
RSI SETTINGS: Length, Divergence display options
ZONE COLORS: Customize colors for each timeframe
ALERT SETTINGS: Ready distance, Enable/disable alerts
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ BEST PRACTICES
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โข Use on 15M or 5M chart for intraday trading
โข Focus on MTF zones (2+ timeframes) for higher probability
โข Combine with RSI divergence for confirmation
โข Use master alerts to save TradingView alert limits
โข Always use proper risk management
### 1. MTF CONFLUENCE DETECTION
When multiple timeframe zones overlap, the system automatically detects and labels them:
| Overlap | Label | Strength |
|---------|-------|----------|
| 2 TF zones | MTF ZONE | Good |
| 3 TF zones | โญ STRONG MTF | Better |
| 4 TF zones | โญโญ VERY STRONG MTF | Great |
| 5+ TF zones | โญโญโญ SUPER MTF | Best |
**Example**: If a Weekly ES zone contains a Daily ES zone and a 4H ES zone inside it, the Weekly zone will be labeled as "โญ STRONG MTF (3 TF)"
### 2. RSI DIVERGENCE
The indicator detects 4 types of RSI divergence:
| Type | Price | RSI | Signal | Line Style |
|------|-------|-----|--------|------------|
| ๐ข Regular Bullish | Lower Low | Higher Low | Buy | Solid Green |
| ๐ก Hidden Bullish | Higher Low | Lower Low | Buy (Trend) | Dashed Lime |
| ๐ด Regular Bearish | Higher High | Lower High | Sell | Solid Red |
| ๐ Hidden Bearish | Lower High | Higher High | Sell (Trend) | Dashed Orange |
### 3. ENTRY SYSTEM
**Entry Conditions**:
1. Price touches a fresh zone
2. Confirmation EB/ES pattern forms on lower timeframe
3. Entry is taken at candle close
**Stop Loss**:
- BUY: Below the lower of last 2 candles - buffer
- SELL: Above the higher of last 2 candles + buffer
**Take Profit**:
- Based on Risk:Reward ratio (default 1:2)
### 4. SETTINGS EXPLAINED
#### Timeframe Scanning
- Enable/disable each timeframe (M, W, D, 4H, 2H, 1H, 15M, 5M)
- Disable lower timeframes on higher TF charts to reduce clutter
#### Entry Settings
- **Confirmation TF**: Timeframe for entry confirmation patterns
- **SL Buffer**: Extra points added to stop loss
- **TP Ratio**: Risk:Reward ratio for take profit
#### RSI Settings
- **RSI Length**: Period for RSI calculation (default 14)
- **Show RSI Divergence**: Toggle divergence display
- **Show Regular/Hidden Divergence**: Filter divergence types
- **Pivot Lookback**: Bars to look back for pivot detection
#### Alert Settings
- **Ready Alert Distance**: Points away from zone to trigger ready alert
- **Enable Ready/Touch Alert**: Toggle alert types
### 5. ALERT SETUP
#### Recommended: Master Alerts (2 alerts only)
1. Right-click on chart โ "Add Alert"
2. Condition: "MTF Engulfing Zone System v2"
3. Select "๐ฏ ALL ZONE TOUCH" for zone notifications
4. Create another alert for "๐ ALL ENTRY SIGNALS"
#### Individual Alerts (for specific filtering)
- Ready alerts for each zone strength level
- Touch alerts for each zone strength level
- Separate BUY and SELL entry alerts
### 6. BEST TRADING PRACTICES
1. **Chart Timeframe**: Use 15M or 5M for intraday, 1H or 4H for swing
2. **Focus on MTF Zones**: Higher confluence = Higher probability
3. **Wait for Confirmation**: Don't enter just on zone touch
4. **Use RSI Divergence**: Additional confirmation
5. **Risk Management**: Never risk more than 1-2% per trade
6. **Market Context**: Consider overall trend direction
### 7. TROUBLESHOOTING
**Too many zones on chart?**
- Disable lower timeframes (5M, 15M)
- Increase chart timeframe
**Zones not appearing?**
- Check if timeframe is enabled in settings
- Ensure sufficient historical data is loaded
**Alerts not firing?**
- Verify alert is created correctly
- Check if alert conditions are enabled in settings
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ ๏ธ DISCLAIMER
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
This indicator is for EDUCATIONAL PURPOSES ONLY. It is not financial advice. Trading involves substantial risk of loss. Past performance does not guarantee future results. Always do your own research and consult a financial advisor before trading.
**IMPORTANT RISK DISCLOSURE**
This indicator ("MTF Engulfing Zone System v2") is provided for **EDUCATIONAL AND INFORMATIONAL PURPOSES ONLY**. It is not intended to be and should not be construed as financial advice, investment advice, trading advice, or any other type of advice.
**NO GUARANTEE OF PROFITS**: The use of this indicator does not guarantee profits or protect against losses. Trading in financial markets involves substantial risk of loss and is not suitable for all investors.
**PAST PERFORMANCE**: Past performance of any trading system or methodology is not necessarily indicative of future results. Historical results shown by this indicator should not be interpreted as a promise or guarantee of future performance.
**NOT A RECOMMENDATION**: Nothing contained in this indicator or its documentation constitutes a recommendation to buy, sell, or hold any security, financial product, or instrument.
**DO YOUR OWN RESEARCH**: Before making any investment decisions, you should conduct your own research, review your financial situation, and consult with a qualified financial advisor.
**RISK WARNING**:
- Trading foreign exchange, CFDs, cryptocurrencies, and other financial instruments on margin carries a high level of risk
- You may sustain a loss of some or all of your invested capital
- You should not invest money that you cannot afford to lose
- The leverage associated with trading can work against you as well as for you
**LIABILITY**: The developer of this indicator ("Shiv Shakti Algo Systems") shall not be liable for any direct, indirect, incidental, special, or consequential damages arising out of the use of this indicator.
By using this indicator, you acknowledge that you have read, understood, and agree to this disclaimer.
ยฉ 2024 Shiv Shakti Algo Systems | All Rights Reserved
#MTF #Engulfing #SupplyDemand #SmartMoney #TradingZones #RSIDivergence #Confimation Entry #Order Block #Panding Order
Ahmed Order BlockAhmed Order Block
//
// ANTI-REPAINTING FEATURES:
// - Only processes order blocks on confirmed/closed bars (barstate.isconfirmed)
// - Uses historical bar references with explicit offsets
// - Mitigation checks only on confirmed bars
// - Pivot points are inherently confirmed by ta.pivothigh/pivotlow with lookback
//
// NEW FEATURES:
// - Session detection (London, NY, Asian)
// - Order block age tracking (in bars/candles)
// - Customizable info labels inside order blocks
// Session time ranges (in UTC/GMT)
// Asian Session: 00:00 - 09:00 UTC
// London Session: 08:00 - 17:00 UTC
// NY Session: 13:00 - 22:00 UTC
// These pivots are already confirmed - they look swing_length bars left and right
// The pivot value returned is from swing_length bars ago
// CRITICAL FIX: Only detect order blocks on confirmed bars
// This prevents OBs from appearing and disappearing during real-time bar formation
// Find bullish OB (last bearish candle before bullish move)
// The swing_low detected now actually occurred swing_length bars ago
Smart Money Concepts 2026๐ The Smart Money Concepts (SMC) 2026 indicator is an institutional-grade trading tool built to give traders a measurable edge by automating key SMC price-action events and highlighting high-probability areas of interest. Alerts using TradingView built-in alerts system. Strength ranking to highlight stronger zones. Market structure mark-up. OB/FVG/BB detection. NRP algo, all zones do not repaint.
๐ฉถ Smart Money Concepts (SMC) 2026
๐๏ธ User Guide & Trading Protocol
1.0 ๐งพ Executive Overview
โผ๏ธ This protocol explains the indicatorโs features, how to read its data, and how to apply it inside a structured, confluence-based trading plan.
โซ๏ธ The system is engineered to de-clutter charts, focus attention on high-conviction zones, and support disciplined execution.
________________________________________
2.0 โ๏ธ Core Feature Compendium
๐ฉถ The indicator integrates advanced components for a complete SMC market view.
โ๏ธ Feature ๐ Description
Market Structure ||| Plots BOS + CHOCH to define trend and potential reversals. ||| โ
ON
Order Blocks (OB) ||| Detects bullish/bearish OBs showing institutional supply/demand zones. ||| โ
ON
Fair Value Gaps (FVG) ||| Flags imbalances price often revisits to rebalance (key entry areas). ||| โ
ON
Breaker Blocks (BB) ||| Finds failed/mitigated OBs that break and become strong reversal zones. ||| โ OFF
Premium & Discount ||| Draws Premium (sell) / Discount (buy) from latest major swing range. ||| โ
ON
Liquidity Zones ||| Marks EQH/EQL where stop liquidity is likely to rest. ||| โ
ON
Strength Rating (0โ10) ||| Scores each OB/FVG by momentum, size, and session context for quality filtering. ||| โ
ON
Integrated Alerts ||| Native alerts when new OB/FVG forms so you donโt miss setups. ||| โ
ON
BTCUSD with Smart Money Concepts 2026
________________________________________
3.0 ๐งญ Zone Information Panel
๐ Every OB and FVG zone includes an info panel for fast decision-making.
๐งฉ Data Point ||| ๐ Meaning / How to Use It
Type ||| Identifies zone type (e.g., Bullish OB, Bearish FVG).
Strength ||| Proprietary 0โ10 score. โพ Primary quality filter: > 6.5 preferred.
Session ||| Session where the zone formed: Asian / London / New York (London/NY often stronger).
Age ||| Bars since creation. Older unmitigated zones can still react strongly.
Distance ||| Current price distance from zone midpoint in pips/points (proximity context).
Pips/Points ||| Total height of the zone. Tighter zones can improve R:R efficiency.
________________________________________
4.0 ๐ก๏ธ Trading Methodology & Protocol
๐ฉถ The edge is not trading every zone. The edge is:
โป๏ธ Select high-strength zones โ treat as AOIs โ demand confirmation โ execute with discipline.
________________________________________
4.1 ๐ฏ High-Probability Reversal Strategy
1) ๐งฉ Identify the Area of Interest (AOI)
๐ Scan for Order Blocks / Fair Value Gaps with:
โผ๏ธ Strength โฅ 6.5 (quality threshold)
โซ๏ธ Add conviction by location:
โข Short bias: AOI in Premium
โข Long bias: AOI in Discount
TSLA with Smart Money Concepts 2026
________________________________________
2) โฑ๏ธ Wait for Price to Test the Zone
๐ Let price trade into the high-strength OB/FVG.
โป๏ธ Do not front-run entries.
๐งท Alerts ||| Set an alert for price entering the zone so youโre ready for execution.
________________________________________
3) ๐ง Seek Confirmation for Entry Most Critical Step
๐ Confirmation reduces failure risk. On a lower timeframe (e.g., zone on 1H โ confirm on 5m/15m), look for one or more:
๐ Confirmation Type ||| What You Want To See
Market Structure Shift ||| LTF CHOCH against the move into the zone.
Momentum Divergence ||| RSI/MACD divergence (LL in price + HL in oscillator for longs; inverse for shorts).
Engulfing Candle ||| Strong bullish/bearish engulfing showing decisive rejection.
________________________________________
4) ๐ Trade Execution Rules
๐ Execute only after confirmation prints.
๐งพ Rule ||| Execution Standard
Entry ||| After a clear confirmation signal closes.
Stop Loss ||| Just beyond the distal end of the zone.
Bearish OB/FVG SL ||| Place SL above the zone high.
Bullish OB/FVG SL ||| Place SL below the zone low.
Take Profit ||| Target logical liquidity: opposing high/low, opposing OB/FVG, nearby EQH/EQL.
________________________________________
Brent oil with Smart Money Concepts 2026
โฌ๐ ๏ธ Key Features Overview
โ๏ธ Feature ๐ Description
Zone Strength Ranking ||| Each zone is dynamically scored from 1โ10 based on its age and number of retests. Fresher, less-tested zones are stronger, helping prioritize high-impact levels.
Real-Time Distance ||| Each active zoneโs info label shows the exact distance in pips from current price to the zone edge for quick risk/opportunity assessment.
Trading Session Tracking ||| Zones are tagged by formation session (Asian / London / New York) for added contextโhigh-volume session zones often matter more.
Advanced ATR Filtering ||| Volatility-based filters control zone quality: set min/max zone height and optionally enforce a consistent zone height using ATR.
Minimum Zone Distance ||| Reduces clutter by requiring a minimum number of bars between new zones, ensuring zones are distinct and well-separated.
Built on Pine Script v6 ||| Uses the newest Pine Script version for better efficiency, reliability, and smoother handling of complex logic/drawings.
________________________________________
5.0 โ
Conclusion
๐ฉถ The SMC 2026 indicator is most powerful when used as a structured decision framework, not a blind signal generator.
๐ Its core value is systematically identifying + scoring high-probability institutional zones.
โผ๏ธ By following this protocolโprioritize Strength โฅ 6.5, align with Premium/Discount, and require confirmationโyou elevate consistency, clarity, and execution discipline.
RSI DIVERGENCES SCANNER (10 Symbols)RSI DIVERGENCES SCANNER can scan 10 scrips simultaneously for RSI DIVERGENCE on them .
This could greatly benefit the trading community in spotting divergence on multiple scrips.
Happy Trading
GOLD Reversal[MIT]Gold Reversal
Overview
This indicator monitors the relative strength of Gold (GLD) against the S&P 500 (SPX) in real time, highlighting extreme deviations in their performance. Ideal for cross-asset allocation, relative value trading, safe-haven rotation, and macro hedging strategies.
Key Features
Clear visualization of goldโs relative performance vs equities (in percentage terms).
Dynamic volatility bands: ยฑ1ฯ, ยฑ2ฯ, ยฑ3ฯ zones centered around long-term equilibrium.
Visual emphasis:
Orange main line: Real-time relative strength path.
Gradient fills: Purple/blue for extreme gold outperformance, blue/purple for underperformance.
Red fill above -2ฯ (overvaluation caution zone).
Green fill below -3ฯ (extreme undervaluation opportunity zone).
Usage Guidelines
Recommended Timeframe: Daily (D) for medium-to-long-term relative analysis.
Interpretation
Strength above +3ฯ: Gold significantly outperforming equities โ rare historical peak, often precedes correction
Strength below -3ฯ: Gold severely lagging โ potential relative value entry
Downward crossover from high bands (e.g., +3ฯ to +2ฯ): Momentum fade, higher mean-reversion probability โ suitable for hedging setups.
้ป้็ฟป่ฝฌๆๆ
ๆๆ ๆฆ่ฟฐ
ๆฌๆๆ ๅฎๆถ็ๆง้ป้๏ผGLD๏ผ็ธๅฏนไบๆ ๆฎ500ๆๆฐ๏ผSPX๏ผ็็ธๅฏน่กจ็ฐๅผบๅบฆ๏ผ็ชๅบไธค่
ๅจๅธๅบไธญ็ๆ็ซฏๅ็ฆป็ถๆใ
ไธป่ฆๅ่ฝ
็ด่งๆพ็คบ้ป้็ธๅฏนๆ ๆฎ500็ๅผบๅบฆ่ตฐๅฟ
ๅจๆๆณขๅจๅธฆ๏ผๆ ๆณจยฑ1ฯใยฑ2ฯใยฑ3ฯๅบๅ๏ผไปฅ้ฟๆๅ่กกๆฐดๅนณไธบไธญๅฟใ
่ง่ง้ซไบฎ๏ผ
ๆฉ่ฒไธป็บฟ๏ผ็ธๅฏนๅผบๅบฆๅฎๆถ่ฝจ่ฟนใ
้ข่ฒๆธๅๅกซๅ
๏ผ็ดซ/่ๆธๅ็จไบ้ป้ๆ็ซฏๅผบๅฟๅบ๏ผ่่ฒ/็ดซ่ฒ็จไบๅผฑๅฟๅบใ
-2ฯไธๆน็บข่ฒๅกซๅ
๏ผ้ซไผฐ่ญฆ็คบๅบ๏ผใ
-3ฯไธๆน็ปฟ่ฒๅกซๅ
๏ผไฝไผฐๆบไผๅบ๏ผใ
ไฝฟ็จๅปบ่ฎฎ
ๆจ่ๅจๆ๏ผๆฅ็บฟ๏ผD๏ผ๏ผ้็จไบไธญ้ฟๆ็ธๅฏนไปทๅผๅๆใ
่งฃ่ฏป่ฆ็น๏ผ
ๅผบๅบฆ่ฟๅ
ฅ+3ฯไปฅไธ๏ผ้ป้ๅคงๅน
่ท่ตข่กๅธ๏ผๅๅฒ็ฝ่ง้ซไฝ๏ผๅธธ้ข็คบๅ่ฐ้ฃ้ฉ
ๅผบๅบฆ่ท่ณ-3ฯไปฅไธ๏ผ้ป้ไธฅ้่ฝๅ๏ผ็ธๅฏนไฝไผฐ
ไป้ซไฝๅ่ฝ๏ผๅฆ็ฉฟ่ถ+2ฯๅไธ๏ผ๏ผ็ธๅฏนๅผบๅฟๅๅผฑ๏ผๅๅผๅๅฝๆฆ็ไธๅ๏ผ้ๅๅฏนๅฒๅธๅฑ






















