8FigRenko – Precision FVG Zones8FigRenko – Pure FVG Zones is a clean, reliable Fair Value Gap tool designed for traders who want accurate FVG zones only from the chart timeframe — without repainting, without higher-timeframe complications, and without messy borders.
This script is built for traders who want simple, precise, and visually clean imbalance zones that work the way FVGs should work:
🔥 Features
✔ Chart-timeframe FVGs only
No request.security, no multi-TF artifacts, no lagging or repainting.
The script reads exactly what your chart shows and never mixes timeframes.
✔ Wick-based or Body-based detection
Use classic ICT wick gaps, or switch to body-only gaps with one click.
✔ Minimum FVG size (points)
Filters out noise by requiring a minimum point distance (default: 5 points).
Great for futures and fast intraday charts.
✔ Clean, seamless boxes (no borders)
The FVG zones are rendered with borderless boxes, matching the modern style shown in institutional imbalance tools.
✔ Proper “end-to-end” FVG drawing
Each gap box starts from the origin of the imbalance and extends forward automatically.
✔ Auto-disrespect removal
FVGs are automatically deleted when price invalidates the zone:
Bullish FVG removed if close < FVG low
Bearish FVG removed if close > FVG high
No clutter. No manual cleanup.
✔ Extend zones forever or to the current bar
Choose if your FVGs run across the full future chart or just up to the latest candle.
✔ Optional: show only most recent FVG
Great for scalping or IFV (Immediate Fair Value) strategies.
Motif-Motif Chart
Magnus Bestest 3This indicator is a sophisticated version of my Magnus Bestest signature move only as this script is highly advanced and has a huge amount of lines of code and structures so I had to create a new separate indicator for it. It signals only when there is a very nice liquidity and broken pivot points, confirming a truly nice trade opportunity.
My indicators so far that you can find and use:
1.) Magnus Bestest - full of various signals like liquidity signals, reversal signals, top/bottom ICT style signals, liquidity power candles showing big institutions joining the moves.
2.) Magnus Bestest 2 - My signature moves to clean liquidity = quality signals but not so often.
3.) Magnus Bestest 3 - Latest and most powerful signals. I finally captured my signature move in it's most powerful form. Biggest advantages are: Extreme precision, many trades on 1,2,3,4,5 minute TimeFrames so you can be sure to get at least 10 signals per day and very sim0le unambiguous entries and SL/TP levels making it a monkey-style indicator avoiding most possibilities to do human errors.
DISCLAIMER: I'm not a financial adviser and this is not a financial advise, just for educational purposed. Remember, most traders lose money.
raziel arusi v12
### 🌟 Divine Master V10.1 - Ultimate Hybrid System (Stocks & Options)
**Description:**
The **Divine Master V10.1** is a comprehensive, "All-In-One" algorithmic trading system designed for both long-term investors and short-term traders who demand a complete market overview in a single glance. This system uniquely combines classic technical analysis, institutional trend tracking, and a real-time **Black-Scholes options calculator**.
The standout feature of this version is the **"Smart Portfolio Memory"**, which allows you to save entry prices for up to 12 different assets and track P&L for two separate portfolios simultaneously (e.g., Personal & Family) without re-entering data every time you switch charts.
---
### 🚀 Key Features:
#### 1. 💼 Smart Portfolio Manager
* **12-Asset Memory:** The system automatically detects the ticker you are viewing (e.g., QQQ, NVDA) and retrieves your pre-set entry prices.
* **Dual Tracking:** Calculate P&L (Profit & Loss) in real-time for two separate accounts simultaneously ("Raziel" & "Mom" / Primary & Secondary).
* **Performance Comparison:** A clear display comparing the return on the underlying stock vs. the leveraged return on the option.
#### 2. ⚡ Real-Time Options Simulator (Black-Scholes)
* **Live Pricing:** Calculates the theoretical value of an option (Call/Put) at any given moment based on stock price, DTE (Days to Expiration), and IV (Implied Volatility).
* **Expected Move:** Visualizes a "Purple Box" on the chart, indicating the statistical range the stock is expected to move within until expiration.
* **Smart Recommendations:** Provides textual actionable advice in real-time: "Hold", "Take Profit", "Cut Loss", or warnings about "Divergence".
#### 3. 🏛️ Long-Term Investment Analysis
* **Institutional View (MA 150):** Visual indication of whether the stock is supported by institutional investors (Price above/below the 150-day Moving Average).
* **Macro Trends:** Automatic detection of **Golden Cross** (Bull Market start) and **Death Cross** (Bear Market warning).
* **Drawdown:** Measures the percentage drop from the All-Time High (ATH) to identify value opportunities.
#### 4. 📉 Short-Term Trading Tools
* **Smart Money Filter (Volume):** Identifies abnormal capital inflows (high volume) to validate trade signals.
* **Divergence Hunter:** Alerts on RSI divergences (Bullish/Bearish) to spot potential trend reversals.
* **Squeeze Radar:** Detects low-volatility consolidation periods ("Squeezes") before explosive moves.
* **ATR (Volatility Meter):** Displays volatility levels in percentage (🔥 = High Risk/Expensive Premiums, 🌊 = Calm).
* **Earnings Countdown:** Counts down days to the next earnings report with a red alert warning when the date is near (Risk Management).
#### 5. 📊 Live Dashboard (HUD)
A high-contrast table located at the top-right corner, consolidating all critical data:
* **Weighted Score:** A dynamic score from 0-100 based on all indicators.
* **Win Rate:** Historical success rate of the strategy's signals.
* **Live P&L:** Real-time profit/loss tracking.
* **Actionable Signals:** Clear Buy/Sell/Hold instructions.
---
**Developed by Raziel Arusi.**
*A tool for smart decision-making, combining wisdom and financial practice.*
9/21 EMA Trend TOP rIGHT CORNER INDICATORCrossover indicator for the 9 & 21 EMA. Buy Sell for cross up or down respectively. Daily, weekly and Monthly trend.
raziel arusi
### 🌟 Divine Master V10.1 - Ultimate Hybrid System (Stocks & Options)
**Description:**
The **Divine Master V10.1** is a comprehensive, "All-In-One" algorithmic trading system designed for both long-term investors and short-term traders who demand a complete market overview in a single glance. This system uniquely combines classic technical analysis, institutional trend tracking, and a real-time **Black-Scholes options calculator**.
The standout feature of this version is the **"Smart Portfolio Memory"**, which allows you to save entry prices for up to 12 different assets and track P&L for two separate portfolios simultaneously (e.g., Personal & Family) without re-entering data every time you switch charts.
---
### 🚀 Key Features:
#### 1. 💼 Smart Portfolio Manager
* **12-Asset Memory:** The system automatically detects the ticker you are viewing (e.g., QQQ, NVDA) and retrieves your pre-set entry prices.
* **Dual Tracking:** Calculate P&L (Profit & Loss) in real-time for two separate accounts simultaneously ("Raziel" & "Mom" / Primary & Secondary).
* **Performance Comparison:** A clear display comparing the return on the underlying stock vs. the leveraged return on the option.
#### 2. ⚡ Real-Time Options Simulator (Black-Scholes)
* **Live Pricing:** Calculates the theoretical value of an option (Call/Put) at any given moment based on stock price, DTE (Days to Expiration), and IV (Implied Volatility).
* **Expected Move:** Visualizes a "Purple Box" on the chart, indicating the statistical range the stock is expected to move within until expiration.
* **Smart Recommendations:** Provides textual actionable advice in real-time: "Hold", "Take Profit", "Cut Loss", or warnings about "Divergence".
#### 3. 🏛️ Long-Term Investment Analysis
* **Institutional View (MA 150):** Visual indication of whether the stock is supported by institutional investors (Price above/below the 150-day Moving Average).
* **Macro Trends:** Automatic detection of **Golden Cross** (Bull Market start) and **Death Cross** (Bear Market warning).
* **Drawdown:** Measures the percentage drop from the All-Time High (ATH) to identify value opportunities.
#### 4. 📉 Short-Term Trading Tools
* **Smart Money Filter (Volume):** Identifies abnormal capital inflows (high volume) to validate trade signals.
* **Divergence Hunter:** Alerts on RSI divergences (Bullish/Bearish) to spot potential trend reversals.
* **Squeeze Radar:** Detects low-volatility consolidation periods ("Squeezes") before explosive moves.
* **ATR (Volatility Meter):** Displays volatility levels in percentage (🔥 = High Risk/Expensive Premiums, 🌊 = Calm).
* **Earnings Countdown:** Counts down days to the next earnings report with a red alert warning when the date is near (Risk Management).
#### 5. 📊 Live Dashboard (HUD)
A high-contrast table located at the top-right corner, consolidating all critical data:
* **Weighted Score:** A dynamic score from 0-100 based on all indicators.
* **Win Rate:** Historical success rate of the strategy's signals.
* **Live P&L:** Real-time profit/loss tracking.
* **Actionable Signals:** Clear Buy/Sell/Hold instructions.
---
**Developed by Raziel Arusi.**
*A tool for smart decision-making, combining wisdom and financial practice.*
⚡ VWAP (Recent Segment Only)VWAP, RECENT segment on a horizontal line, so it does not break or squueze the chart like traditional VWAP
find it very useful visually, it does not clutter the chart like traditional VWAP. it will not make the chart messy. clean usefull most recent VWAP line.
Enjoy!
Change in State of Delivery CISD [AlgoAlpha]🟠 OVERVIEW
This script tracks how price “changes delivery” after failed attempts to push in one direction. It builds swing levels from pivots, watches for those levels to be wicked, and then checks if price delivers cleanly in the opposite direction. When the pattern meets the script’s tolerance rules, it marks a Change in State of Delivery (CISD). These CISD levels are drawn as origin lines and are used to spot shifts in intent, failed pushes, and continuation attempts. A CISD becomes stronger when it forms after opposing liquidity is swept within a defined lookback.
🟠 CONCEPTS
The script first defines structure using swing highs/lows. These levels act as potential liquidity points. When price wicks through a swing, the script registers a mitigation event. After this, it looks for a reversal-style candle sequence: a failed push, followed by a counter-move strong enough to pass a tolerance ratio. This ratio compares how far price expanded away from the failed attempt versus the counter-move that followed. If the ratio is high enough, this becomes a CISD. The idea is simple: liquidity interaction sets context , and the tolerance logic identifies actual intent . CISD levels and sweep markers combine these two ideas into a clean map of where delivery flipped.
🟠 FEATURES
Liquidity tracking: marks swing highs/lows and updates them until expiry
Liquidity sweep confirmation when CISD aligns with recent mitigations
Alert conditions for all key events: mitigations, CISDs, and strong CISDs
🟠 USAGE
Setup : Add the script to your chart. Use it on any timeframe where swing behavior matters. Set the Swing Period for how wide a pivot must be. Set Noise Filter to control how strict the CISD detection is. Liquidity Lookback defines how recent a wick must be to confirm a sweep.
Read the chart : Origin lines mark where the CISD began. A green line signals bullish intent; a red line signals bearish intent. ▲ and ▼ shapes show CISDs that form after liquidity is swept, these mark strong signals for potential entry. Swing dots show recent swing highs/lows. Candle colors follow the latest CISD trend.
Settings that matter : Increasing Swing Period produces fewer but stronger swings. Raising Noise Filter requires cleaner counter-moves and reduces false CISDs. Liquidity Lookback controls how strict the sweep confirmation is. Expiry Bars decides how long swing levels remain active.
FancyITM💰-Honey DripFancyITM💰 – Honey Drip is an all-in-one trading toolkit built for members of the Honey Drip Network.
It combines smart-money style Order Blocks & Breaker Blocks with a full intraday framework:
Automatic bullish & bearish order blocks
Breaker blocks and polarity shifts
VWAP, 200 SMA, EMA 21 & EMA 9
Bollinger Bands (volatility and squeeze structure)
Premarket High/Low and Previous Day High/Low key levels
How to use it (Honey Drip style):
Use VWAP + MAs to define trend and intraday bias.
Mark liquidity zones with Order Blocks, Premarket H/L, and Previous Day H/L.
Watch Bollinger Bands for volatility expansions, squeezes, and extended moves.
Look for liquidity sweeps and retests of OBs or key levels in the direction of your bias.
Use the opposite OBs, VWAP, or prior day levels as logical targets/trim zones.
Everything is color-configurable and designed to be professional, readable, and friendly how FancyITM trades with the Honey Drip Network!
Learn more at honeydripnetwork.com and follow @fancyITM on instagram
ETH/USDT Advanced Liquidity + TrendAuto-detect high-volume nodes (liquidity zones) using a simple proxy method.
Combine trend confirmation from multiple timeframes (Daily + 4H).
Mark dynamic support/resistance zones.
ORB Break & Retest by QuantCrawlerFree professional Opening Range Breakout indicator built by QuantCrawler.
I'm releasing this as a completely free tool - no subscriptions, no hidden costs. Just add it to your chart and trade.
That said, if this helps your trading:
- Hit subscribe on YouTube (@AutomateWithAaron) - it helps more than you know
- Visit QuantCrawler.com to see our AI-powered analysis platform
- Your support lets me keep building free resources like this
Now let's get into how it works...
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📊 HOW IT WORKS
1. Captures the Opening Range (default: 9:30-9:35 AM ET) from the first 5-minute candle
2. Draws OR High, OR Low, and Midpoint levels on your chart
3. Detects breakouts when price closes beyond the OR zone + your specified distance
4. Fires LONG/SHORT entry signals when price retests the OR midpoint after breakout
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✓ FEATURES
- Universal - works on futures, forex, stocks, and crypto
- Customizable sessions - NY, London, Asia, or any custom timeframe
- Adjustable breakout distance to match your instrument
- Clean visual signals - only shows actionable entries
- Session end time stops monitoring after market close
- Runs on 1-minute chart for precise timing
═══════════════════════════════════
⚙️ SETTINGS
- Breakout Distance (Points): Distance outside OR zone to confirm breakout
- Timezone: Select your trading session
- Opening Range Time: First 5 minutes to capture (default 9:30-9:35)
- Session End Time: When to stop monitoring (default 16:00)
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🎯 IDEAL FOR
Day traders and scalpers who trade the opening session using mechanical, rules-based setups. Works best on liquid instruments during active market hours.
═══════════════════════════════════
🚀 WANT MORE?
This indicator pairs perfectly with QuantCrawler's AI-powered chart analysis:
- Multi-timeframe futures analysis (15m/5m/1m scalping, 4H/1H/30m intraday, 1D/4H/1H swing)
- Precision entry points, stop losses, and profit targets
- Confidence scoring for every setup
- Covers futures, forex, and crypto markets
Visit quantcrawler.com to see how AI can level up your trading.
═══════════════════════════════════
⚠️ DISCLAIMER
This indicator is for educational purposes only. Past performance does not guarantee future results. Always use proper risk management and never risk more than you can afford to lose.
═══════════════════════════════════
Built with ❤️ by Aaron @ QuantCrawler
quantcrawler.com | AI-Powered Futures Trading Technical Analysis
Systemic Net Liquidity (Macro Fuel for Crypto & Stocks)This indicator tracks Systemic Net Liquidity, the single most important macro factor for determining the long-term trend of risk assets like Bitcoin (BTC) and major indices (S&P 500). It measures the amount of actual cash available in the financial system to chase speculative assets, distinguishing between money that is circulating and money that is locked up at the Federal Reserve.
Mechanism (What It Measures)
The script uses direct data from the FRED (Federal Reserve Economic Data) to calculate the true state of market funding:
\text{Net Liquidity} = \text{Fed Assets (WALCL)} - \text{Treasury General Account (TGA)} - \text{Reverse Repo (RRP)}
1. Fed Assets (WALCL): The total balance sheet of the Fed (The overall supply of money).
2. Treasury General Account (TGA): Funds the US Treasury collects via bond issuance. When the TGA rises, liquidity is actively drained from the banking system (A major bearish pressure).
3. Overnight Reverse Repo (RRP): Cash parked by banks and money market funds at the Fed, effectively frozen and not contributing to market activity.
How to Interpret Signals
Treat the Net Liquidity line as the market's "Fuel Gauge":
📈 BULLISH SIGNAL (Liquidity Injection): When the Net Liquidity line is rising, money is flowing back into the system, signalling a tailwind for risk assets.
📉 BEARISH SIGNAL (Liquidity Drain): When the line is falling (often due to high TGA balances), cash is being removed. This signals major friction and pressure on price action.
⚠️ DIVERGENCE WARNING: A strong signal is generated when Price (e.g., BTC) rises, but Net Liquidity falls. This macro divergence strongly suggests a major trend reversal or correction is imminent.
Important Notes
Data Source: Data is directly sourced from FRED and updates daily/weekly. This tool is best used for macro analysis and identifying high-level cycles, not short-term scalping.
Disclaimer: Use this indicator as a confirmation tool within your broader strategy. It is not a standalone trading signal.
Amiya's Nifty 50 Doji Buy Sell IndicatorDoji Candle to be identified and coloured as Yellow.
Only such Doji candle is to be coloured as yellow, that fulfils the following criteria and both conditions must be met simultaneously
1. The candle's total range (high - low) must be greater than 10 points AND less than 21.5 points.
2. The combined length of upper and lower shadows must be at least 2 times the body size. This means the body should be relatively small compared to the shadows.
The key characteristic is that the body is small relative to the total candle range, indicating indecision in the market, with the total candle size being within a specific point range (10-21.5 points) - likely designed for index trading like NIFTY or BANKNIFTY.
Long Entry alert to be given when both the below conditions are met simultaneously:
1. When LTP crosses above the high of the Doji Candle
2. RSI is > 60
Long Entry SL should be when LTP goes 2 points below the low of the Doji Candle. Draw a red dotted line at that level.
Long Entry Take Profit level should be the ( Long Entry price + Doji candle's total range (high - low) X 5). Draw a green dotted line at that level.
For Sort entry alert, to be given when both the below conditions are met simultaneously:
1. When LTP crosses below the low of the Doji Candle
2. RSI is < 40
Short Entry SL should be when LTP goes 2 points above the high of the Doji Candle. Draw a red dotted line at that level.
Long Entry Take Profit level should be the ( Short Entry price - Doji candle's total range (high - low) X 5). Draw a green dotted line at that level.
Universal Exit should be suggested at 3:25 PM.
Systemic Net Liquidity (Macro Fuel for Crypto & Stocks)This indicator tracks Systemic Net Liquidity, the single most important macro factor for determining the long-term trend of risk assets like Bitcoin (BTC) and major indices (S&P 500). It measures the amount of actual cash available in the financial system to chase speculative assets, distinguishing between money that is circulating and money that is locked up at the Federal Reserve.
Mechanism (What It Measures)
The script uses direct data from the FRED (Federal Reserve Economic Data) to calculate the true state of market funding:
\text{Net Liquidity} = \text{Fed Assets (WALCL)} - \text{Treasury General Account (TGA)} - \text{Reverse Repo (RRP)}
1. Fed Assets (WALCL): The total balance sheet of the Fed (The overall supply of money).
2. Treasury General Account (TGA): Funds the US Treasury collects via bond issuance. When the TGA rises, liquidity is actively drained from the banking system (A major bearish pressure).
3. Overnight Reverse Repo (RRP): Cash parked by banks and money market funds at the Fed, effectively frozen and not contributing to market activity.
How to Interpret Signals
Treat the Net Liquidity line as the market's "Fuel Gauge":
📈 BULLISH SIGNAL (Liquidity Injection): When the Net Liquidity line is rising, money is flowing back into the system, signalling a tailwind for risk assets.
📉 BEARISH SIGNAL (Liquidity Drain): When the line is falling (often due to high TGA balances), cash is being removed. This signals major friction and pressure on price action.
⚠️ DIVERGENCE WARNING: A strong signal is generated when Price (e.g., BTC) rises, but Net Liquidity falls. This macro divergence strongly suggests a major trend reversal or correction is imminent.
Important Notes
Data Source: Data is directly sourced from FRED and updates daily/weekly. This tool is best used for macro analysis and identifying high-level cycles, not short-term scalping.
Disclaimer: Use this indicator as a confirmation tool within your broader strategy. It is not a standalone trading signal.
Friendly IT Algo SystemFriendly IT Algo System
Hello, this is the YouTube channel 'Friendly IT'.
This indicator is an All-in-One tool designed to help beginners easily identify trends and entry points by automating complex chart analysis.
It goes beyond simple moving average crosses by analyzing Volume (Whale Activity), Divergence, and Support/Resistance to display highly reliable signals.
The most significant feature of this indicator is that it clearly displays the specific Long and Short entry prices directly on the chart. This allows traders to know exactly at what price to enter the market without confusion.
Users can freely adjust all setting values, such as EMA lengths and volume multipliers, to optimize the strategy for the specific stock or cryptocurrency they are trading.
1. Whale Volume Hunter
- Displays fluorescent candles and entry prices only when volume exceeds 1.5x the average.
- Filters out fake signals and captures genuine trends driven by institutional activity.
2. Smart Order Block
- Green Box: High probability support zone (Buy area).
- Red Box: High probability resistance zone (Sell area).
- Automatically draws boxes to help set price targets and stop-loss levels.
3. Divergence Lines
- Bullish Divergence (Green Line): Price makes a lower low, but the indicator makes a higher low (Reversal signal).
- Bearish Divergence (Red Line): Price makes a higher high, but the indicator makes a lower high (Drop signal).
- Visually connects highs and lows with lines for intuitive reading.
4. Auto Fibonacci
- Automatically plots the key reversal levels: 0.618 (Bold White Line) and 0.5.
5. Noise Filter (Sideways Market)
- Uses the ADX indicator to highlight choppy, sideways markets with a Gray Background.
- It is recommended to avoid trading during these periods to prevent losses.
1. Entry
- LONG: Consider buying when a Green Neon Candle appears with a price number at the bottom.
- SHORT: Consider selling when a Pink Neon Candle appears with a price number at the top.
2. Exit
- Take partial profits at Order Blocks (Colored Boxes).
- Take profit when price touches the White Bold Line (Fib 0.618).
- React immediately if an opposing Divergence Line appears.
3. Note
- Reliability is low during Gray Backgrounds (Sideways market); avoid entering trades.
Friendly IT Algo System
안녕하세요, 유튜브 채널 '친절한 아이티'입니다.
이 지표는 복잡한 차트 분석을 자동화하여 초보자도 쉽게 추세와 타점을 잡을 수 있도록 설계된 올인원(All-in-One) 보조지표입니다.
단순한 이동평균선 크로스가 아니라, 거래량(세력 개입), 다이버전스, 매물대를 복합적으로 분석하여 신뢰도 높은 신호만 표시합니다.
이 지표의 가장 큰 장점은 차트에 롱(Long)과 숏(Short)의 진입 가격을 숫자로 명확하게 표시해 준다는 것입니다. 덕분에 사용자는 헷갈리지 않고 정확한 가격에 진입 타점을 잡을 수 있습니다.
이동평균선(EMA) 길이를 비롯한 모든 설정값은 본인이 거래하는 주식이나 코인의 특성에 맞게 자유롭게 변경하여 최적화할 수 있습니다.
1. 세력 거래량 감지 (Whale Volume Hunter)
- 평균 거래량의 1.5배 이상이 터질 때만 형광색 캔들과 진입 가격을 표시합니다.
- 속임수 신호를 걸러내고 세력이 개입한 진짜 추세만 포착합니다.
2. 스마트 오더블락 (Smart Order Block)
- 초록색 박스: 가격이 지지받을 확률이 높은 매수 구간
- 빨간색 박스: 가격이 저항받을 확률이 높은 매도 구간
- 차트에 자동으로 박스를 그려주어 목표가 및 손절 라인 설정에 도움을 줍니다.
3. 다이버전스 라인 (Divergence Lines)
- 상승 다이버전스 (초록선): 가격은 하락했으나 지표가 상승할 때 (반등 신호)
- 하락 다이버전스 (빨간선): 가격은 상승했으나 지표가 하락할 때 (하락 신호)
- 꼬리와 꼬리를 잇는 선으로 직관적으로 표시됩니다.
4. 자동 피보나치 (Auto Fibonacci)
- 반등의 핵심 구간인 0.618(흰색 굵은 선)과 0.5 구간을 자동으로 작도합니다.
5. 횡보장 필터 (Noise Filter)
- ADX 지표를 활용해 추세가 없는 지루한 횡보장은 회색 배경으로 표시합니다.
- 이때는 매매를 쉬면서 손실을 방지할 수 있습니다.
1. 진입 (Entry)
- LONG: 초록색 형광 캔들과 함께 하단에 가격(숫자)이 뜨면 매수 고려
- SHORT: 핑크색 형광 캔들과 함께 상단에 가격(숫자)이 뜨면 매도 고려
2. 청산 (Exit)
- 오더블락(색깔 박스)에 도달했을 때 분할 익절
- 하얀색 굵은 선(피보나치 0.618)에 닿았을 때 익절
- 반대 방향의 다이버전스 선이 생기면 즉시 대응
3. 주의사항
- 회색 배경(횡보장)에서는 신뢰도가 낮으니 진입을 자제하세요.
MA Suite 10/50/150/200 + Legend (v6)ma 10 50 150 200 that i have made with chat gpt to help find moving avarage
CBS Strategy with Trailing Stop _ IK3-Candle High/Low Breakout Strategy – Clean, Powerful, Fully Customizable (Pine Script v6)
A simple yet effective momentum breakout strategy that triggers trades when price closes above the highest high or below the lowest low of the previous 3 completed candles.
Perfect for trending markets (stocks, forex, crypto, indices) on any timeframe.
Key Features:
• Pure price-action breakout logic (no repainting)
• Long & Short entries with visual triangle signals
• Built-in Stop Loss & Take Profit (fixed % or ATR-based)
• Optional Trailing Stop (percentage or ATR multiplier)
• All risk parameters fully adjustable from the settings panel
• Clean on-chart visualization of SL, TP, and active trailing stop levels
• Works on all instruments and timeframes
Default Settings (2:1 Reward/Risk):
• Stop Loss: 1.5%
• Take Profit: 3.0%
• Trailing Stop: 1.0% (optional)
How to Use:
1. Add to chart
2. Adjust risk settings to match your style (fixed % or ATR)
3. Enable/disable trailing stop as needed
4. Backtest and optimize per instrument/timeframe
Fully open-source • No external libraries • Pine Script v6
Great for swing trading, intraday breakouts, or as a base for further enhancements.
Happy trading!
Gabbie - LiquidityGabbie – Liquidity identifies high-probability liquidity pools on your current trading timeframe. It detects swing highs/lows that fail to meaningfully break prior highs/lows, marking areas where liquidity is most likely resting.
It also plots:
Asia Session High / Low as a key liquidity and mean-reversion zone
Support & Resistance zones derived from recent swing behavior on the active timeframe
This indicator is designed to support discretionary traders who model liquidity, sessions, and structure.
Settings
Adjust the font size of the liquidity labels ($$$).
All other features are optimized to work on default settings.
Limitations / reminder
Liquidity levels are probabilistic. Use alongside confirmation tools and always apply your own risk management.
Gabbie - FVG/OBGabbie – FVG-OB plots Fair Value Gaps (FVGs) and Order Blocks (OBs) to help visualize price imbalances and institutional reaction zones.
Fair Value Gaps
Bullish FVGs and Bearish FVGs are marked automatically.
The indicator also shows when an FVG is mitigated (price returns to fill the imbalance).
If price wicks into an FVG without a full body close through it, the FVG remains valid under this model.
Order Blocks / Breaker Blocks
Bullish OBs are marked in green
Bearish OBs are marked in red
Breaker Blocks are marked in yellow
Use these zones for confluence with your market structure and liquidity framework.
Settings
Choose the timeframe source for OB/BB detection.
Adjust the number of active FVGs displayed. Defaults are designed for immediate use.
Limitations / reminder
Zones are plotted from historical price action and are not trade guarantees. Always confirm with structure, liquidity, and risk rules.
3 Fib Strategy – Automatic Trend Fib Extension ConfluenceWhat This Script Does
✔ Auto-detects swing highs and lows
Using pivot detection, adjustable by the user.
✔ Builds 3 independent trend-based Fib extension projections
Measures:
Wave 1 → Wave 2 → Wave 3
Wave 2 → Wave 3 → Wave 4
Wave 3 → Wave 4 → Wave 5
✔ Calculates the exact fib levels:
1.0 (1:1 extension)
1.236 extension
1.382 extension
✔ Detects confluence zones
When all 3 fib measurement sets overlap at the same target:
Green label = 1:1 confluence
Orange label = 1.236–1.382 confluence
✔ Draws long dotted lines across the chart
So you can visually track confluence zones.
Otomatik Trend ÇizgileriOtomatik Trend Çizgileri çizen bu indikatörle zahmetsizce trendleri görebilirisiniz
Otomatik Destek ve Direnç (Pivot)Otomatik Destek ve Dirençleri gösteren bu indikatörler kolayca destek ve dirençleri görebilirsiniz.
Trader Dogout
“Trader Dogout — Official team template.
Combines EMA20, EMA200, and optimized volume for a clear read of trend, momentum, and decision zones.
Designed for traders who operate with precision, simplicity, and zero distractions.
Perfect for both day trading and swing trading.”






















