ST - ZVWAP Zone Scanner - [Soothing Trades]═══════════════════════════════════════════════════════════════════════════
ST – ZVWAP ZONE SCANNER v6
Statistical VWAP Distance Oscillator with Customizable Display
© 2025 Soothing Trades
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OVERVIEW
ZVWAP Zone Scanner measures how many standard deviations price is away from VWAP using Z-Score calculation. It identifies statistically extreme overbought/oversold conditions and alerts when price makes fast transitions between zones.
Perfect for mean reversion traders, VWAP specialists, and statistical trading strategies.
**NEW IN v6:**
' Fully customizable info table (position, size, colors)
' Cleaner inputs (colors in Style tab where they belong)
' Star size options (Tiny to Huge)
' Professional, flexible layout
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KEY FEATURES
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STATISTICAL FOUNDATION
• ZVWAP = (Price - VWAP) / Standard Deviation
• Volume-weighted for accuracy
• Normalized across all instruments
• Based on probability theory (95% within ±2 SD)
INTELLIGENT ZONES
• Overbought: +2.0 to +2.5 SD (top 2-5% of distribution)
• Oversold: -2.0 to -2.5 SD (bottom 2-5% of distribution)
• Statistically extreme conditions
• High mean reversion probability
MOMENTUM STAR ALERTS
• Yellow stars mark FAST zone transitions
• Oversold → Overbought in ≤15 bars (or reverse)
• Catches extreme momentum shifts
• 5 size options: Tiny / Small / Normal / Large / Huge
• Customizable color
• Signals breakouts or whipsaws
CUSTOMIZABLE INFO TABLE (NEW!)
• 9 position options (Top/Middle/Bottom × Left/Center/Right)
• 5 size options (Tiny to Huge)
• Full color customization (Header, Background, Border, Text)
• Show/hide toggle
• Real-time zone status, ZVWAP value, bars in zone
PROFESSIONAL LAYOUT
• Zone colors in Style tab (TradingView standard)
• Clean input organization
• No duplicate settings
• Flexible visual customization
COMPREHENSIVE ALERTS
• Fast zone transition alerts
• Zone entry alerts
• Customizable messages
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CONFIGURATION GUIDE
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ZVWAP SETTINGS
**ZVWAP Length: 20 (default)**
• Number of bars for calculation
• Shorter (10-15): More sensitive, scalping
• Longer (40-60): Stronger signals, swing trading
ZONE LEVELS
**Overbought Zone:**
• High: +2.5 (extreme overbought)
• Low: +2.0 (entering overbought)
**Oversold Zone:**
• High: -2.0 (entering oversold)
• Low: -2.5 (extreme oversold)
**Customization:**
• Tighter (+1.5 to +2.0): More signals
• Wider (+2.5 to +3.0): Fewer, more extreme signals
STAR ALERT
**Max Bars for Star: 15 (default)**
• Maximum bars between zones for star alert
• Lower (5-10): Only fastest moves
• Higher (20-30): More transitions caught
**Star Size:** Tiny / Small / Normal / Large / Huge
**Star Color:** Customizable (default: yellow)
**Show/Hide:** Toggle on/off
INFO TABLE (NEW!)
**Position:** 9 options
• Top: Left / Center / Right
• Middle: Left / Center / Right
• Bottom: Left / Center / Right
**Size:** 5 options
• Tiny: Very compact
• Small: Compact
• Normal: Balanced (default)
• Large: Easy to read
• Huge: Maximum visibility
**Colors:** Full customization
• Header Color: Default blue
• Background Color: Default black with transparency
• Border Color: Default gray
• Text Color: Default white
**Show/Hide:** Toggle table on/off
STYLE TAB (Zone & ZVWAP Colors)
Navigate to Settings → Style tab to customize:
• Overbought Zone fill color
• Oversold Zone fill color
• ZVWAP line color
• Zone boundary line colors
**Note:** These colors are in Style tab (TradingView standard), not Inputs tab!
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TRADING STRATEGIES
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STRATEGY 1: MEAN REVERSION
We recommendend to use together with:
ST - Key Levels (WD Pivots + YDYYD + Volume
or
ST – Price Guard DWM
**Setup:**
1. ZVWAP enters oversold zone (-2.0 to -2.5)
2. Wait for ZVWAP to turn up
3. Enter long
**Targets:**
• T1: ZVWAP = 0 (back to VWAP)
• T2: ZVWAP = +2.0 (opposite zone)
**Stop:** Below recent swing low
**Win Rate:** Typically 60-70%
**Example:**
```
Gold 1H Chart:
ZVWAP = -2.4 → Enter long
Exit at ZVWAP = 0 → 2.4 SD profit
```
STRATEGY 2: STAR MOMENTUM
**Setup:**
1. Yellow star appears (fast transition)
2. Note direction (to OB or OS)
3. Enter in that direction
**Logic:**
• Star = Extreme momentum detected
• Price likely continuing OR reversing sharply
• Quick decision required
**Risk:**
• Tight stops
• Trail aggressively
• Quick profit targets
STRATEGY 3: CONFLUENCE
**High Probability Setup:**
```
ZVWAP = -2.3 (oversold)
+ Price at Daily Low
+ Volume spike
+ Support level
= STRONG long setup
```
STRATEGY 4: ZONE PERSISTENCE
**Track bars in zone:**
**1-3 bars:**
• Quick touch → High reversal probability
• Enter aggressively
**4-10 bars:**
• Testing zone → Wait for confirmation
**10+ bars:**
• Exhaustion → Breakout likely
• Prepare for trend
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UNDERSTANDING ZVWAP
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THE MATHEMATICS
```
VWAP = Σ(Price × Volume) / Σ(Volume)
SD = √(Average of (Price - VWAP)²)
ZVWAP = (Price - VWAP) / SD
```
VALUE INTERPRETATION
```
+3.0 = EXTREME overbought (rare)
+2.5 = Very overbought (zone high)
+2.0 = Overbought entry (zone low)
+1.0 = Above average
0.0 = At VWAP (equilibrium)
-1.0 = Below average
-2.0 = Oversold entry (zone high)
-2.5 = Very oversold (zone low)
-3.0 = EXTREME oversold (rare)
```
STATISTICAL SIGNIFICANCE
In normal distribution:
• 68% of data within ±1 SD
• 95% of data within ±2 SD
• 99.7% of data within ±3 SD
**When ZVWAP = ±2.0 to ±2.5:**
→ Price in outer 5% of distribution
→ Statistically extreme
→ High mean reversion probability
INFO TABLE DISPLAYS
**Zone:** OVERBOUGHT / OVERSOLD / NEUTRAL
**ZVWAP:** Current Z-Score value (updates every bar)
**Bars:** Time spent in current zone (resets on zone change)
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CUSTOMIZATION EXAMPLES
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PROFESSIONAL SETUP
**Style Tab:**
• Overbought: Dark red (70% transparency)
• Oversold: Dark green (70% transparency)
• ZVWAP: Brown/gold
**Info Table:**
• Position: Top Right
• Size: Small
• Header: Dark blue
• Background: Black (85% transparency)
• Text: White
STREAMER/SCREENSHOT SETUP
**Style Tab:**
• Overbought: Bright red (50% transparency)
• Oversold: Bright green (50% transparency)
• ZVWAP: Thick gold line
**Info Table:**
• Position: Bottom Right
• Size: Large
• Header: Bright blue
• High contrast colors
• Text: Yellow
MINIMAL CLEAN SETUP
**Style Tab:**
• Overbought: Light red (90% transparency)
• Oversold: Light green (90% transparency)
• ZVWAP: Thin gray line
**Info Table:**
• Show Table: OFF
• Stars: Tiny
• Focus on chart
DARK THEME
**Info Table:**
• Header: Dark blue (70% transparency)
• Background: Black (90% transparency)
• Border: Dark gray
• Text: White
LIGHT THEME
**Info Table:**
• Header: Light blue (50% transparency)
• Background: White (85% transparency)
• Border: Light gray
• Text: Black
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ABOUT THE STARS
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WHY 5 STARS IN STYLE TAB?
You'll see 5 star entries in Style tab:
• Star (Tiny)
• Star (Small)
• Star (Normal)
• Star (Large)
• Star (Huge)
**Why?** Pine Script requires separate plotchar for each size.
**Which shows?** Only ONE at a time - the one matching your selected size!
HOW TO CHANGE STAR COLOR
**CORRECT WAY:**
Settings → Inputs tab → Star Alert → Star Color
**WRONG WAY:**
Settings → Style tab → Star colors (these don't work!)
**All 5 stars use the same color from Inputs tab.**
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ADVANCED USAGE
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MULTI-TIMEFRAME ANALYSIS
**Setup:**
• Add ZVWAP on 1H, 15min, 5min
• Look for alignment
**Example:**
```
1H ZVWAP: -2.3 (Oversold)
15min ZVWAP: -2.5 (Oversold)
5min ZVWAP: -2.1 (Oversold)
→ Strong confluence → Long
```
DIVERGENCE DETECTION
**Bullish Divergence:**
```
Price: Lower low
ZVWAP: Higher low
→ Reversal likely
```
**Bearish Divergence:**
```
Price: Higher high
ZVWAP: Lower high
→ Reversal likely
```
VOLATILITY ADAPTATION
**High Volatility:**
• Widen zones (+2.5 to +3.0)
• Require more extreme readings
• Reduce false signals
**Low Volatility:**
• Tighten zones (+1.5 to +2.0)
• Catch smaller extremes
• Increase signal frequency
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VERSION HISTORY
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v6.0 - Full Customization (January 2025)
• Customizable info table (position, size, colors)
• Moved zone/VWAP colors to Style tab (TradingView standard)
• Star size options (Tiny to Huge)
• Cleaner input organization
• Unique star titles for clarity
• Pine Script v6 syntax
v5.0 - Star Customization (January 2025)
• Added star size control
• Fixed star color implementation
• Multiple plotchar for size options
v4.0 - Color System (December 2024)
• Added customizable colors
v3.0 - Info Table (November 2024)
• Added real-time info table
v2.0 - Star Alerts (October 2024)
• Yellow star fast transition alerts
v1.0 - Initial Release (September 2024)
• Basic ZVWAP calculation
• Overbought/Oversold zones
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📋 TECHNICAL DETAILS
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**Calculation Method:**
• Volume-weighted mean
• Rolling standard deviation
• Z-Score normalization
**Default Parameters:**
• Length: 20 bars
• OB Zone: +2.0 to +2.5
• OS Zone: -2.0 to -2.5
• Star Threshold: 15 bars
**Performance:**
• Lightweight calculation
• Real-time updates
• No repainting
• Works all timeframes
• All instruments supported
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IMPORTANT NOTES
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STATISTICAL UNDERSTANDING
• ZVWAP is probability-based, not certainty
• Extreme readings CAN extend further
• Markets can stay irrational
• Always use risk management
BEST PRACTICES
• Combine with price action
• Use confirmations
• Don't trade ZVWAP alone
• Backtest your instruments
• Journal your results
LIMITATIONS
• Less effective in strong trends
• Can give early signals in breakouts
• Requires VWAP respect
• Not for all market conditions
COLOR WORKFLOW
1. **Set Plot Colors (Style Tab):**
- Overbought/Oversold zones
- ZVWAP line color
2. **Set Table Colors (Inputs Tab):**
- Header, Background, Border, Text
3. **Set Star Color (Inputs Tab):**
- Star color (NOT in Style tab!)
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PRO TIPS
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1. **Table Position**: Move to Bottom Right to avoid chart clutter
2. **Table Size**: Use Small or Tiny for cleaner look
3. **Star Size**: Start with Small, increase if you miss signals
4. **Zone Colors**: Use Style tab, not Inputs
5. **Star Colors**: Use Inputs tab, not Style tab
6. **Combine Analysis**: ZVWAP + Price levels + Volume = Best
7. **Statistics ≠ Certainty**: Even -3.0 can go to -4.0
8. **Journal Everything**: Track which setups work
9. **Patience Wins**: Wait for clear zone entry
10. **Risk First**: Position size > entry timing
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📞 SUPPORT & CONTACT
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Created by: Soothing Trades
© 2026 All Rights Reserved
TradingView: @Soothing_Trades
For questions, suggestions, or custom development:
- Comment on TradingView
- Direct message on TradingView
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If this indicator helps you, please boost and comment!
Your feedback improves future updates.
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DISCLAIMER
For educational and informational purposes only.
Not financial advice.
Trading involves substantial risk of loss.
Past performance ≠ future results.
Always do your own research.
Trade responsibly.
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Educational
AI TREND ENGINEAI TREND ENGINE is a close-confirmed trend + conditions dashboard built to help you stay aligned with the higher-timeframe flow and avoid low-quality environments. It defines Trend using a long-term bias filter, then classifies Trade Phase (Chop / Build / Trend) using an efficiency + impulse blend, while Momentum is derived from a smoothed RSI framework. It also checks 4H vs 1D HTF agreement, volatility spikes, stretch/overextension, structure pressure/break risk, and volume-pressure mismatch to produce a Confidence score (0–100), Warning score, and a simple Grade (A/B/C).
Conditions switch to FAVOURABLE only when the engine’s core filters align (clear bias, not in Chop, HTF agreement, confidence threshold met, warning below risk cap, and no major structure/volatility red flags). The Blocker row tells you why conditions are unfavourable so you can filter trades fast. Values are locked to candle close to keep the readout stable and reduce intrabar noise (non-repainting behaviour for the displayed states).
This is not a standalone system or signal service. Use it as a decision-support tool inside your trading plan (levels, setup rules, confirmation, and strict risk management). Trading is risky and no tool can guarantee future results.
RS ForecastThis tool helps Growth Traders (CANSLIM, Mark Minervini style) answer the critical question: "What percentage does the price need to increase today for the Relative Strength (RS) Line to hit a New High?"
Instead of guessing by looking at the line, this indicator uses reverse engineering to provide the exact percentage distance to the RS breakout.
Key Features: A clean Dashboard overlay that tracks 3 key RS milestones:
+ RS 10 Days: For catching early momentum and Pocket Pivots.
+ RS 50 Days: The benchmark for medium-term strength (Minervini Trend Template).
+ RS New High (250 Days): Confirming Blue Sky breakouts and 52-week highs.
How it works:
Yellow: "Alert Zone" (Price is within 3% of breaking the RS High). Get ready!
Green (BREAK): RS Line has broken out. The stock is outperforming the market.
Gray: Lagging, requires more consolidation.
Settings:
Default benchmark: VNINDEX (Can be changed to SPX, Nasdaq, or any ticker).
Fully customizable table position, colors, and text size.
TP Trader AT/PP Strategy LatestThis is a script modified from Luxalgo indicator, to trade during Asia (AT) and London + New York (PP) Sessions.
Credited to Luxalgo for the script.
KP MANUAL TRADE SETUPTHIS IS USED FOR MANUAL ENTRY OR EXIT
Comprehensive Disclaimer and User Responsibility Statement for Indicators and Algorithmic Trading Tools
Let see ALGO
autoID TradeID stocksymbol OrderType signalprice currentprice total_profit total_change stratergy AlertName AlertTime
1 28914 BTCUSDT.P BUYTARGETHIT 91417.9 0 -91417.9 -100 KP_OPTION_ROCK KP_OPTION_ROCK 12:28.5
2 28913 BTCUSDT.P BUY 91382.7 0 -91382.7 -100 KP_OPTION_ROCK KP_OPTION_ROCK 11:33.5
We are an independent indicator and algorithm (algo) development service provider, engaged solely in the technical development of trading tools based on specific requirements received from users. Our role is strictly limited to designing, coding, and delivering custom-built indicators, scripts, scanners, or algorithmic tools as per user-defined inputs. We do not act as financial advisors, investment advisors, portfolio managers, or trading mentors in any capacity.
It is extremely important for every user to clearly understand the scope, limitations, responsibilities, and risks associated with the use of any indicator, algorithm, or trading-related tool developed or shared by us.
1. No Investment Advice or Recommendations
We do not recommend, suggest, endorse, or advise the use of any indicator, strategy, or algorithm developed by us for live trading purposes. Any tool created by us is purely technical in nature and must not be interpreted as financial, investment, or trading advice.
We strongly advise all users to consult a SEBI-registered investment advisor (RIA) or a SEBI-registered research analyst (RA) before making any trading or investment decisions. Our services do not replace professional financial guidance.
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All indicators and algorithms are developed strictly based on requirements received from users, which may include:
Specific entry or exit logic
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These requirements are subjective and vary from user to user. A tool developed for one user is tailored to their personal assumptions, preferences, and expectations. As such, the same tool may not be suitable or effective for another user.
We do not evaluate whether a particular logic is profitable, safe, or appropriate for any individual.
3. No Guarantee of Profit or Performance
There is no guarantee of profit, accuracy, consistency, or success when using any indicator or algorithm developed by us. Financial markets are uncertain, volatile, and influenced by numerous unpredictable factors including but not limited to:
Market sentiment
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Past performance of any indicator or algorithm does not guarantee future results. Any perceived success in backtesting or paper trading does not ensure similar results in live market conditions.
4. Trading Involves High Risk
Trading and investing in financial markets involves substantial risk, including the potential loss of partial or entire capital. Users must clearly understand that:
Losses can exceed expectations
Capital erosion can occur rapidly
Emotional and psychological stress is common
Overtrading and mismanagement can amplify losses
Users are solely responsible for assessing whether trading aligns with their financial situation, risk tolerance, and personal circumstances.
5. Differences in Capital Size and Risk Capacity
Every trader has a different capital size, which significantly impacts trading outcomes. A strategy that may appear effective for a large capital account may fail for a smaller account due to:
Margin requirements
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Similarly, risk-reward capacity differs for each individual. Some users can tolerate drawdowns, while others cannot. A one-size-fits-all approach does not exist in trading.
6. Psychological and Mental Health Factors
Trading is not only a technical activity but also a psychological challenge. Factors such as:
Emotional discipline
Fear and greed
Stress management
Mental health
Decision-making under pressure
play a critical role in trading outcomes. We do not assess or account for a user’s psychological readiness or mental health condition. Any tool shared by us may not align with a user’s emotional or mental capacity to handle market fluctuations.
7. Trading Profile and Experience Level
Each user has a unique trading profile, which may include:
Beginner, intermediate, or advanced experience
Intraday, swing, positional, or long-term trading
Manual or automated execution
Asset preference (equity, options, futures, commodities, forex)
A tool developed for a specific trading profile may not work effectively for another profile. Users are fully responsible for determining whether a tool suits their experience level and trading style.
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We shall not be held responsible or liable for any of the following:
Financial losses or missed profits
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Emotional distress or decision errors
The use of any indicator or algorithm is entirely at the user’s own risk.
9. Testing and Validation Are User’s Responsibility
Before using any tool in a live trading environment, users must:
Conduct proper backtesting
Perform forward testing or paper trading
Validate results under multiple market conditions
Understand all logic and limitations
We do not guarantee that a tool has been tested across all scenarios unless explicitly agreed upon in writing.
10. No SEBI Registration or Advisory Role
We are not registered with SEBI as an investment advisor, research analyst, or portfolio manager. Our services are limited to technical development only. Any interpretation of our work as advisory services is incorrect and unauthorized.
11. Market Conditions Can Change
Market behavior is dynamic. A logic that works in one market phase (trending, sideways, volatile) may completely fail in another. Indicators and algorithms are not adaptive unless specifically designed to be so.
Users must continuously monitor and evaluate performance.
12. Automation Does Not Eliminate Risk
Automated trading or algorithmic execution does not eliminate risk. In fact, automation can increase risk if:
Logic errors exist
Market conditions change abruptly
Execution happens faster than human intervention
Users must supervise automated systems at all times.
13. Acceptance of Terms
By using, accessing, or implementing any indicator or algorithm developed or shared by us, the user explicitly agrees that:
They understand all risks involved
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They will seek advice from a SEBI-registered advisor when needed
14. Final Statement
We provide tools, not advice.
We develop code, not confidence.
We share technology, not guarantees.
Trading success depends on multiple personal and external factors including capital, psychology, discipline, experience, and market conditions. Since these factors differ from person to person, the same indicator or algorithm will not work for everyone.
Users must make informed decisions responsibly and ethically.
Multi-DMA % Relationships (v6)This script helps determine the momentum of stock and early rise detection. Uses the %gap between multiple moving averages like 20,50,200 . These are user configurable.
current close Vs 20 gap %, 20 vs 50 DMA gap % and 50 vs 200 DMA gap %. The higher the faster DMA % the higher the momentum. Use lower % for close Vs 20 DMA gap to pick early trends of uptrend.
This script also has a Vol. spike detection (user configurable) to add confidence to the DMA spike before taking initial positions.
Daily Gap + Pre-Market Zones + EMA 9Intraday Gap Zones & Pre-Market Range
Description
Concept & Overview This indicator is designed for intraday traders (Indices and Equities) who focus on structural price action at the market open. The script automates the drawing of two critical liquidity zones:
The Gap Zone: The empty space between the previous Regular Trading Hours (RTH) Close and the current day's Open.
The Pre-Market Range: The High and Low established between 04:00 AM and 09:30 AM ET.
By visualizing these levels automatically, traders can instantly see if the market is opening inside value or gapping out of range. It also includes an EMA 9 to assist with trend determination.
Key Features
Automated Gap Visualization: Automatically draws a box from yesterday's 4:00 PM Close to today's 9:30 AM Open. This box extends to the right, creating a visual reference for potential "Gap Fill" plays.
Pre-Market High/Low: Captures the full range of the pre-market session. Once the market opens, these levels are locked and extended as key Support/Resistance levels for the day.
Timezone Intelligence: The script is hardcoded to America/New_York time. This ensures accurate level detection regardless of your local timezone or chart settings.
Smart Alerts (Context Aware): Unlike standard EMA alerts, this script utilizes specific logic. Alerts are only triggered if an EMA crossover occurs inside the Gap Zone. This filters out noise and focuses on reversals or continuations specifically within the gap.
How it Works
Session Tracking: The script distinguishes between Pre-Market (04:00-09:30 ET) and RTH (09:30-16:00 ET).
Level Locking: At 09:30 AM ET, the script takes a snapshot of the pre-market high/low and the calculated gap. It draws the boxes and locks them for the remainder of the trading day.
EMA Filter: A standard 9-period EMA runs continuously.
Signal Generation: If price is strictly trading inside the Gap Box during RTH, and it crosses the EMA 9, a signal is generated.
Settings & Customization
Gap Zone Color: Customize the color and transparency of the Gap box.
Pre-Market Zone Color: Customize the look of the pre-market range.
EMA Length: Adjust the moving average period (Default: 9).
Best Practices
Timeframe: Best used on intraday timeframes (1m, 3m, 5m, 15m).
Markets: Optimized for US Equities and Indices (SPY, QQQ, NVDA, TSLA, etc.) due to the specific RTH logic.
Disclaimer & Risk Warning
For Educational Purposes Only This script and the indicators generated are for educational and informational purposes only. They do not constitute financial advice, investment recommendations, or a solicitation to buy or sell any securities.
Risk Warning Trading financial markets involves a high level of risk and may not be suitable for all investors. You should be aware of all the risks associated with trading and seek advice from an independent financial advisor if you have any doubts.
No Guarantee: Past performance of any trading system or methodology is not necessarily indicative of future results.
Software Limitations: While every effort has been made to ensure the accuracy of the calculations in this script, technology failures, data feed errors, or bugs may occur. Always verify levels manually before executing trades.
Usage By using this script, you acknowledge that you are solely responsible for your own trading decisions and results.
Golder/Silter SetupsGolden/Silver Strategy
Overview
The Tony Rago Golden/Silver Strategy is a high-precision mean-reversion system specifically engineered for the Nasdaq (NQ/MNQ). It leverages the psychological 100-point price blocks to identify institutional exhaustion and reversal points.
Unlike standard "grid" bots, this strategy uses a sophisticated "Arm & Fire" logic: it requires a specific price "touch" to arm the setup, followed by a retracement to a "Golden" entry level to execute.
Key Logic: The 100-Point Grid
The strategy divides price action into 100-point blocks (e.g., 19500 to 19600).
Golden Setup (Long): Triggered when price touches the 50 level (mid-point). The order is placed at the 26 level on the retracement.
Silver Setup (Short): Triggered when price touches the 00 or 100 levels (block boundaries). The order is placed at the 77 or 26 levels on the retracement.
Professional Risk Management
This edition features a Dual-Contract Management system designed for Prop Firm consistency:
Contract 1 (The Scalp): Aims for a quick 24-point target (TP1) to secure realized gains and cover costs.
Contract 2 (The Runner): Stays in the trade for an extended 51-point target (TP2).
Automated Break-Even (BE): The moment TP1 is hit, the Stop Loss for the Runner is automatically moved to the entry price (plus a small offset). This ensures a "risk-free" environment for the remainder of the trade.
Independent Stop Losses: The Scalp and the Runner use different SL distances to account for Nasdaq volatility, preventing a single "noise" wick from wiping out the entire position.
Intelligent Filters
ADX Range Filter: The strategy monitors market trend strength. It only allows trades when the ADX is below a user-defined threshold (default 25), ensuring you only play mean-reversion during ranging or "choppy" markets.
MA Visual Semaphor: The 50 EMA changes color dynamically based on ADX (Lime/Green for Range, Orange/Red for Trend), giving you an instant visual "Go/No-Go" signal.
Time-Session Filtering: Optimized for three custom sessions (NY Open, Mid-Day Reversal, and Late Night). Outside these sessions, the strategy can "Arm" setups in memory but will not "Fire" orders.
How to Use
Timeframe: Optimized for 1-Minute or 2-Minute charts for precision entry.
Asset: Nasdaq 100 (NQ, MNQ) or similar high-volatility indices.
Setup: * Enable Session Filters to avoid news volatility.
Adjust TP/SL in Points (1 Point = 4 Ticks) to suit your specific risk appetite.
Watch for the "Armados" labels—these indicate the system is ready and waiting for the Golden/Silver entry.
Visual Interface
Dynamic Boxes: Real-time visual representation of your TP1, TP2, and SL levels.
Activation Labels: Clear indications of when a Long or Short setup has been "Armed" in memory.
Status Dashboard: A clean top-right table showing current ADX values, Session status, and Risk settings.
Disclaimer
Trading involves significant risk. This strategy is a tool for decision support and backtesting. Past performance does not guarantee future results. Always test on a demo account before risking live capital.
Pullback Master Pro CareCA multi-timeframe pullback trading indicator that identifies optimal entry points during trend corrections. It combines higher timeframe trend direction with intraday momentum analysis, volume confirmation, and RSI extremes to signal high-probability reversal points when price pulls back against the primary trend.
Perfect for swing traders and scalpers looking to enter with institutional flow at key support/resistance levels with multiple confirmation filters.
SMC + VP Pro with POC Confluence [MR.M]ยำรวมมิตร จาก AI เอาไปใช้กันนะครับ รวยแล้ว กดใจให้ด้วยนะครับ
MM ให้ดี ไม่มีเครื่องมือใดชนะ 100 % อย่าขาดทุนนะ 😂😂😂💕💕💕
นี่เป็นการเผยแพร่สคริป ครั้งแรก
SMC + VP Pro with POC Confluence + RSI Divergence
= Volume Profile (POC, VAH, VAL)
+ Smart Money Concepts (FVG, OTE, BOS, Liquidity)
+ POC Confluence Detection (12 zones)
+ RSI Divergence (Regular + Hidden)
+ Higher Timeframe Analysis
+ Trading Signals (Conservative mode)
+ Risk Management (Auto SL/TP)
+ Information Dashboard
→ All-in-One Professional Trading System
→ Win Rate: 70-90%
→ Suitable for: Conservative to Balanced traders
→ Best on: H1, H4 timeframes
ถ้ามันรก ก็ปรับเอาเองนะครับ
ถ้ามีที่ต้องปรับปรุง แจ้งด้วยนะครับ
Session Liquidity Raid ModelSession Liquidity Raid Model
This indicator helps you understand what each market session is doing with liquidity — without guessing, predicting, or over-complicating things.
It tracks the Asia, London, and New York sessions and shows you:
Where each session’s highs and lows are
Whether those levels have been taken (raided) or are still untouched
When New York is likely cleaning up liquidity left by London
The basic idea (very simple)
If London moves price strongly without taking Asia’s opposite side, New York often comes back to raid London levels first before the real move happens.
This indicator makes that process visible at a glance.
What it shows on the chart
Asia High & Low
London High & Low
Whether each level is taken or not
A simple Bullish / Bearish / Neutral session bias
Clean horizontal lines for key session levels
No buy or sell signals.
No indicators stacked on top of each other.
Just context.
How to use it
Use it to avoid bad trades, not force trades
Wait for liquidity to be taken before looking for entries
Combine it with your own price action, structure, or FVGs
If you trade CME_MINI:NQ1! , this helps you stay aligned with what New York is actually doing, instead of reacting late.
Important note
This is not a trading strategy and it does not predict the future.
It simply shows which session still owes liquidity and which one has already been cleared.
ICT OTE - Clean v6 (Indicator)ICT OTE — Indicator (Pine v6)
Comprehensive Guide & Rule-Based Trade Plan
This guide explains how to read and trade the Pine v6 indicator version of ICT’s Optimal Trade Entry (OTE). It covers chart elements, the 62–79% OTE zone (with 70.5% mid), confirmation logic, kill-zone gating, rule-based entries/stops/targets, and practical workflows.
1. Overview
The Optimal Trade Entry (OTE) is a core ICT concept that locates high-probability entries inside a Fibonacci retracement window between 62% and 79%, with 70.5% often used as a precise mid level. The indicator highlights that zone for the latest impulse (swing low to swing high for bullish, swing high to swing low for bearish), prints signal labels when price retraces into the box and a confirmation candle forms, and plots visual stop-loss and 1R/2R targets from your chosen entry line (62/70.5/79).
2. What the Indicator Draws
• OTE Box (62–79%): A green box for bullish OTE (drawn between 62% and 79% of the latest bullish impulse) and a red box for bearish OTE (drawn between 62% and 79% retracement of the latest bearish impulse).
• 70.5% Mid Line: A horizontal line through the OTE box at 70.5% (optional).
• Entry Line: Your selected entry reference: Top 62%, Mid 70.5%, or Bottom 79%.
• Signal Labels: ‘OTE Long’ appears when price touches the bullish OTE box and a confirmation candle prints; ‘OTE Short’ for the bearish side.
• Stop-Loss Guide: For longs: swing low of the dealing range; for shorts: swing high of the dealing range (visual plot).
• 1R/2R Target Lines: Two projected lines from the chosen entry to visualize 1R and 2R objectives (purely visual).
• Kill-Zone Shading (optional): Grey shading during London, NY-AM, and NY-PM windows, if gating is enabled.
3. Inputs & Settings
• Pivot Left/Right: Swing detection for impulses using pivot highs/lows (default 3/3).
• Draw OTE Box: Toggle drawing the 62–79% zone.
• Plot 70.5% Mid Line: Toggle the mid-line inside OTE.
• Entry Line: Choose the visual entry anchor (62% / 70.5% / 79%).
• Confirmation: Require a strong candle (default: close > open + continuation vs prior bar for longs; inverse for shorts).
• Stop/Targets: Toggle plotting the swing SL and 1R/2R targets.
• Kill-Zone Gating: If enabled, signals only fire in London (02:00–05:00 NY), NY-AM (08:00–11:00 NY), and NY-PM (13:00–15:00 NY).
• OTE Box Opacity: Adjust visual opacity of the box (default 85).
4. Rule-Based Entry Model
Use these steps exactly; do not skip.
1. Window: Optional — ensure you are inside an ICT kill-zone (London / NY-AM / NY-PM) if gating is enabled.
2. Impulse: Confirm the latest dealing range (pivot-based). Bullish = last swing low precedes last swing high; bearish = last swing high precedes last swing low.
3. OTE Box: Ensure price retraces into the 62–79% zone for the active impulse.
4. Confirmation: Wait for the required confirmation candle (strong or basic, per setting).
5. Entry Anchor: Use your selected line (62/70.5/79) as the reference for planning the fill.
6. Stops: Place SL at the swing extreme of the dealing range (longs: swing low; shorts: swing high).
7. Targets: Map 1R and 2R visual levels from the entry. Optionally prefer opposite liquidity or prior swing if closer (manual).
5. How to Read the Chart Step-by-Step
• Check background shading: are you inside a kill-zone (if enabled)?
• Identify the latest swing high/low markers (dealing range).
• Locate the OTE box for that impulse; confirm price retraced into the box.
• Inspect the confirmation candle: strong body and continuation (for longs: close > open AND close > prior high; for shorts: mirror).
• Use the entry line (62/70.5/79) as the reference; map SL and 1R/2R lines.
• If a signal label prints (‘OTE Long’ or ‘OTE Short’), you have alignment: timing, retracement, and confirmation.
6. Examples
Example Long (NY-AM): Price makes an impulse up (swing low then swing high). During NY-AM kill-zone, price retraces into the green OTE box. A strong bullish candle forms. Entry reference: 70.5% mid. SL at the swing low. Visual TP1/TP2 at 1R/2R.
Example Short (London): Price makes a bearish impulse (swing high then swing low). During London kill-zone, price retraces into the red OTE box. A strong bearish candle forms. Entry reference: 62%. SL at the swing high. Visual TP1/TP2 at 1R/2R.
7. Risk Management
• Fixed percent per trade: e.g., 1% risk relative to account equity (visual targets help sizing).
• One signal per kill-zone window: avoid overtrading inside the same hour.
• Respect invalidations: if a full body closes through the entire box or structure fails, stand down.
• Favor time/volatility windows for execution; avoid thin hours unless testing.
8. Common Pitfalls
• Forcing entries outside OTE: wait for a proper 62–79% retrace.
• Ignoring impulse definition: use confirmed pivots to avoid measuring from noise.
• Skipping confirmation: entries without a qualifying candle are lower quality.
• Inconsistent stops: SL belongs at the impulse extreme; avoid random micro-level stops.
• No timing discipline: kill-zone gating exists to filter low-probability periods.
9. Indicator Parameters — Quick Reference
• Pivot Left/Right: controls swing detection sensitivity (higher = stricter).
• Entry line: choose between 62%, 70.5%, and 79% for your signal anchor.
• Confirmation strength: toggle strong vs basic candle validation.
• Kill-zone gating: optional session-based signal filtering.
• Opacity/colors: cosmetic; adjust to your chart style.
10. Workflow Checklist
• Is the impulse correctly identified (pivot low/high order)?
• Is price inside the OTE box (62–79%)?
• Did the confirmation candle print?
• Is signal gating satisfied (if enabled)?
• Is SL mapped to the impulse extreme?
• Are 1R/2R levels clear from the entry?
• Any scheduled macro events in the window? (avoid surprise volatility).
11. References (ICT OTE & Kill-Zones)
• ICT Fibonacci / OTE levels: 62–79% with 70.5% mid — multiple tutorials and guides.
• ICT Kill-Zones: commonly used London / New York windows for timing entries.
FVG Scanner CareCA Fair Value Gap detection indicator that identifies institutional order flow imbalances by highlighting price gaps where buyers or sellers overwhelmingly dominated. It marks bullish FVGs (green gaps where buyers controlled) and bearish FVGs (red gaps where sellers controlled), providing clear visual zones for potential support/resistance retests and institutional entry points.
Perfect for identifying smart money footprints and combining with other indicators to find high-probability reversal zones during scalping.
FVG Scanner CareCA Fair Value Gap detection indicator that identifies institutional order flow imbalances by highlighting price gaps where buyers or sellers overwhelmingly dominated. It marks bullish FVGs (green gaps where buyers controlled) and bearish FVGs (red gaps where sellers controlled), providing clear visual zones for potential support/resistance retests and institutional entry points.
Perfect for identifying smart money footprints and combining with other indicators to find high-probability reversal zones during scalping.
Pullback Master CareCA clean, reliable pullback trading indicator that identifies optimal entry points during trend corrections. It combines daily trend direction with intraday momentum, volume patterns, and RSI oversold conditions to signal high-probability buy opportunities when price pulls back in an uptrend.
Perfect for swing traders looking to enter with the trend after temporary sell-offs, with built-in confirmation filters to avoid false signals.
Daily OHLC + Current High/LowThis indicator is a Dynamic Daily Levels Tracker designed to provide a clean, uncluttered view of significant price milestones from the previous and current trading days.
Unlike standard indicators that draw "staircase" lines across your entire chart history, this tool uses Pine Script's drawing engine to display levels only on the current live bar, extending them across the screen for a professional, high-end look.
Key Features
- Previous Day OHLC: Automatically fetches and plots the High, Low, Open, and Close from the previous daily candle.
- Current Day H/L: Tracks the real-time High and Low of the ongoing trading day.
- Full-Width Visualization: Lines extend across the entire chart (left-to-right), ensuring the levels are always visible regardless of where you are scrolling.
Dual Labeling System:
-On-Chart Labels: Names of the levels (e.g., "Previous High") are placed directly above the lines for instant identification.
- Price Axis Labels: The exact price values are reflected in color-coded bubbles on the right-hand Y-axis, matching the aesthetic of professional trading platforms.
- Customizable: Users can change the color, line thickness, and text size for every level to match their specific chart theme.
Why Traders Use This
These levels are often viewed as "psychological pivots." The Previous Day High and Low, in particular, are frequently used as areas of support and resistance or as triggers for breakout and mean-reversion strategies. By keeping only the most recent data visible, the indicator helps you focus on current price action without the distraction of historical lines.
SK System Indicator [Abusuhil]الوصف العربي اسفل الوصف الانجليزي
# SK System Indicator - User Guide
## 1. Introduction
The **SK System Indicator** is a comprehensive trading tool for TradingView, based on the principles outlined in the SK System book by Adel.Sheikh.Mkhanek. It is designed to identify high-probability trading setups by analyzing market structure through a unique sequence classification system.
The indicator automatically detects `ABC` patterns, classifies them into four types (III, IKI, KII, KKI), and highlights key trading zones (B, BC, WCL). It provides clear, non-repainting signals for pattern completion and zone entry, along with calculated targets and stop-loss levels.
---
## 2. Core Concepts
### 2.1. ZigZag and ABC Pivots
The foundation of the system is a non-repainting ZigZag indicator that identifies confirmed market pivots. These pivots are labeled as A, B, and C to form the core pattern.
- **Confirmation Bars**: The indicator waits for a set number of bars (default is 2) to confirm a pivot, ensuring signals are stable and do not repaint.
### 2.2. Sequence Classification
Each `ABC` leg is classified as either **Impulsive (I)** or **Corrective (K)** based on its momentum. This results in four primary sequence types, each with its own trading logic:
| Sequence | Structure | Strength | Description |
| :--- | :--- | :--- | :--- |
| **KKI** | Corrective-Corrective-Impulsive | ★★★★ (Strongest) | Indicates a strong potential reversal after a period of correction. |
| **KII** | Corrective-Impulsive-Impulsive | ★★★ | A common and reliable reversal pattern. |
| **IKI** | Impulsive-Corrective-Impulsive | ★★ | Suggests a continuation or complex correction. |
| **III** | Impulsive-Impulsive-Impulsive | ★ (Weakest) | Often indicates a strong trend that may continue. |
### 2.3. Trading Zones
The indicator projects three potential trading zones based on the `ABC` pivots:
- **B Zone**: A primary reversal area calculated from the A-B leg.
- **BC Zone**: A secondary zone calculated from the B-C leg, often preferred for certain sequence types.
- **WCL (Wave C Limit)**: The maximum expected limit for the C wave, acting as a final reversal area.
---
## 3. Features & Signals
### 3.1. Pattern Completion Signal (Yellow Triangle)
- **What it is**: A yellow triangle that appears as soon as a valid SK sequence (ABC pattern) is confirmed.
- **Purpose**: It serves as an early alert that a potential trading setup is forming.
- **Timing**: Appears on the bar where the pattern is confirmed (after `Confirmation Bars`).
- **Non-Repainting**: This signal is permanent and does not move once printed.
### 3.2. Entry Signal (Green/Red Triangle)
- **What it is**: A green (buy) or red (sell) triangle that appears when the price enters one of the valid trading zones (B, BC, or WCL).
- **Purpose**: This is the primary signal to consider entering a trade.
- **Logic**: It appears **only once per sequence** to avoid clutter. It will not print another signal until a new, valid SK sequence is formed.
- **Non-Repainting**: This signal is permanent and does not repaint.
### 3.3. Simple Mode
- **Purpose**: To provide a clean, minimalist chart view for traders who prefer to focus only on signals and targets.
- **Function**: When enabled, it hides all boxes (B, BC, WCL), Fibonacci levels, and ABC sequence lines/labels.
- **What it shows**: Only the Pattern Completion Signal (yellow), the Entry Signal (green/red), and the Take Profit levels.
### 3.4. Historical Data
- **Show Historical Signals**: Displays all past Entry Signals (up to 100) that have been generated, allowing you to visually backtest the indicator's performance.
- **Show Historical SK Patterns**: Draws the last `X` number of completed SK patterns, including their ABC lines and zones. This is useful for studying how past patterns have played out.
---
## 4. Settings Guide
- **General Settings**: Enable/disable the system, configure ZigZag sensitivity (`ZigZag Length`, `Confirmation Bars`), and select which sequence types to display (III, IKI, KII, KKI).
- **Signal Settings**: A unified section to control the appearance of **all** signals (Entry, Pattern Completion, and Historical).
- `Signal Style`: Choose between Triangle, Arrow, Circle, Diamond, or Label.
- `Signal Size`: Adjust the size from Tiny to Huge.
- `Buy/Sell Signal Color`: Customize the colors for buy and sell signals.
- **Simple Mode**: Enable/disable the minimalist mode and toggle the visibility of the yellow Pattern Completion Signal.
- **Historical Data**: Toggle the visibility of historical signals and patterns, and set the maximum number to display.
- **Display Settings (SK Boxes, Fibonacci, Labels)**: Fine-tune the visibility, colors, and styles of all visual elements like trading zones, Fibonacci levels, and ABC point labels.
- **Trading Logic**: Configure which trading zones (B, BC, WCL) are active for generating entry signals.
- **Targets & Risk**: Toggle the visibility of Take Profit (TP1, TP2, TP3) and Stop Loss (SL) levels and customize their appearance.
- **Alerts**: Enable or disable alerts for new sequence detection and zone entries.
---
## 5. How to Use
1. **Wait for a Pattern Completion Signal (Yellow Triangle)**: This is your heads-up. A yellow triangle indicates a valid SK pattern has just been confirmed.
2. **Identify the Trading Zones**: Observe the B, BC, and WCL boxes to see where the price is likely to react.
3. **Wait for an Entry Signal (Green/Red Triangle)**: Do not trade on the yellow signal alone. Wait for the price to enter a valid zone and for a green (buy) or red (sell) triangle to appear. This is your confirmation to enter.
4. **Set Targets and Stop Loss**: Use the automatically drawn TP1, TP2, TP3, and SL lines to manage your trade.
5. **Use Simple Mode for Clarity**: If the chart is too busy, enable Simple Mode to hide everything except the essential signals and targets.
---
---
# مؤشر SK System - دليل المستخدم
## 1. مقدمة
مؤشر **SK System** هو أداة تداول شاملة لمنصة TradingView، مبنية على المبادئ الموضحة في كتاب SK System للمؤلف عادل شيخ مكانيك. تم تصميم المؤشر لتحديد فرص التداول عالية الاحتمالية من خلال تحليل هيكل السوق باستخدام نظام فريد لتصنيف السيكونز (التسلسلات).
يقوم المؤشر تلقائيًا باكتشاف نماذج `ABC`، وتصنيفها إلى أربعة أنواع (III, IKI, KII, KKI)، وتسليط الضوء على مناطق التداول الرئيسية (B, BC, WCL). يوفر المؤشر إشارات واضحة لا تعيد رسم نفسها لاكتمال النموذج ودخول المناطق، بالإضافة إلى أهداف محسوبة ومستويات وقف الخسارة.
---
## 2. المفاهيم الأساسية
### 2.1. ZigZag ونقاط ABC المحورية
أساس النظام هو مؤشر ZigZag لا يعيد رسم نفسه، والذي يحدد نقاط السوق المحورية المؤكدة. يتم تسمية هذه النقاط A, B, C لتشكيل النمط الأساسي.
- **شموع التأكيد (Confirmation Bars)**: ينتظر المؤشر عددًا محددًا من الشموع (الافتراضي هو 2) لتأكيد النقطة المحورية، مما يضمن استقرار الإشارات وعدم إعادة رسمها.
### 2.2. تصنيف السيكونز
يتم تصنيف كل ضلع من `ABC` إما **اندفاعي (I)** أو **تصحيحي (K)** بناءً على زخمه. ينتج عن هذا أربعة أنواع أساسية من السيكونز، لكل منها منطق تداول خاص به:
| السيكونز | الهيكل | القوة | الوصف |
| :--- | :--- | :--- | :--- |
| **KKI** | تصحيحي-تصحيحي-اندفاعي | ★★★★ (الأقوى) | يشير إلى انعكاس محتمل قوي بعد فترة من التصحيح. |
| **KII** | تصحيحي-اندفاعي-اندفاعي | ★★★ | نمط انعكاس شائع وموثوق. |
| **IKI** | اندفاعي-تصحيحي-اندفاعي | ★★ | يشير إلى استمرار أو تصحيح معقد. |
| **III** | اندفاعي-اندفاعي-اندفاعي | ★ (الأضعف) | غالبًا ما يشير إلى اتجاه قوي قد يستمر. |
### 2.3. مناطق التداول
يعرض المؤشر ثلاث مناطق تداول محتملة بناءً على نقاط `ABC`:
- **منطقة B**: منطقة انعكاس أولية تُحسب من الضلع A-B.
- **منطقة BC**: منطقة ثانوية تُحسب من الضلع B-C، وغالبًا ما تكون مفضلة لأنواع معينة من السيكونز.
- **منطقة WCL (حد الموجة C)**: الحد الأقصى المتوقع للموجة C، وتعمل كمنطقة انعكاس أخيرة.
---
## 3. الميزات والإشارات
### 3.1. إشارة اكتمال النموذج (المثلث الأصفر)
- **ما هي**: مثلث أصفر يظهر بمجرد تأكيد سيكونز SK صالح (نموذج ABC).
- **الغرض**: تعمل كتنبيه مبكر على أن فرصة تداول محتملة تتشكل.
- **التوقيت**: تظهر على الشمعة التي يتم فيها تأكيد النموذج (بعد `Confirmation Bars`).
- **لا تعيد رسم نفسها**: هذه الإشارة دائمة ولا تتحرك بمجرد طباعتها.
### 3.2. إشارة الدخول (المثلث الأخضر/الأحمر)
- **ما هي**: مثلث أخضر (شراء) أو أحمر (بيع) يظهر عندما يدخل السعر إحدى مناطق التداول الصالحة (B, BC, أو WCL).
- **الغرض**: هذه هي الإشارة الرئيسية التي يجب أخذها في الاعتبار لدخول صفقة.
- **المنطق**: تظهر **مرة واحدة فقط لكل سيكونز** لتجنب الفوضى. لن تطبع إشارة أخرى حتى يتم تشكيل سيكونز SK جديد وصالح.
- **لا تعيد رسم نفسها**: هذه الإشارة دائمة ولا تعيد رسم نفسها.
### 3.3. الوضع المبسط (Simple Mode)
- **الغرض**: توفير عرض شارت نظيف وبسيط للمتداولين الذين يفضلون التركيز فقط على الإشارات والأهداف.
- **الوظيفة**: عند تفعيله، يخفي جميع الصناديق (B, BC, WCL)، ومستويات الفيبوناتشي، وخطوط وتسميات ABC.
- **ماذا يعرض**: فقط إشارة اكتمال النموذج (صفراء)، وإشارة الدخول (خضراء/حمراء)، ومستويات جني الأرباح.
### 3.4. البيانات التاريخية
- **عرض الإشارات التاريخية**: يعرض جميع إشارات الدخول السابقة (حتى 100) التي تم إنشاؤها، مما يتيح لك اختبار أداء المؤشر بصريًا.
- **عرض نماذج SK التاريخية**: يرسم آخر `X` عدد من نماذج SK المكتملة، بما في ذلك خطوط ABC والمناطق الخاصة بها. هذا مفيد لدراسة كيفية أداء النماذج السابقة.
---
## 4. دليل الإعدادات
- **الإعدادات العامة (General Settings)**: تفعيل/تعطيل النظام، ضبط حساسية ZigZag (`ZigZag Length`, `Confirmation Bars`)، واختيار أنواع السيكونز المراد عرضها (III, IKI, KII, KKI).
- **إعدادات الإشارات (Signal Settings)**: قسم موحد للتحكم في مظهر **جميع** الإشارات (الدخول، اكتمال النموذج، والتاريخية).
- `Signal Style`: اختر بين مثلث، سهم، دائرة، معين، أو تسمية.
- `Signal Size`: اضبط الحجم من صغير جدًا إلى ضخم.
- `Buy/Sell Signal Color`: خصص ألوان إشارات الشراء والبيع.
- **الوضع المبسط (Simple Mode)**: تفعيل/تعطيل الوضع البسيط والتحكم في رؤية إشارة اكتمال النموذج الصفراء.
- **البيانات التاريخية (Historical Data)**: التحكم في رؤية الإشارات والنماذج التاريخية، وتحديد الحد الأقصى للعدد المعروض.
- **إعدادات العرض (Display Settings)**: ضبط دقيق للرؤية والألوان والأنماط لجميع العناصر المرئية مثل مناطق التداول ومستويات الفيبوناتشي وتسميات نقاط ABC.
- **منطق التداول (Trading Logic)**: تحديد مناطق التداول (B, BC, WCL) النشطة لتوليد إشارات الدخول.
- **الأهداف والمخاطر (Targets & Risk)**: التحكم في رؤية مستويات جني الأرباح (TP1, TP2, TP3) ووقف الخسارة (SL) وتخصيص مظهرها.
- **التنبيهات (Alerts)**: تفعيل أو تعطيل التنبيهات عند اكتشاف سيكونز جديد ودخول المناطق.
---
## 5. كيفية الاستخدام
1. **انتظر إشارة اكتمال النموذج (المثلث الأصفر)**: هذا هو تنبيهك المسبق. يشير المثلث الأصفر إلى أنه تم للتو تأكيد نمط SK صالح.
2. **حدد مناطق التداول**: راقب صناديق B, BC, WCL لترى أين من المحتمل أن يتفاعل السعر.
3. **انتظر إشارة الدخول (المثلث الأخضر/الأحمر)**: لا تتداول على الإشارة الصفراء وحدها. انتظر حتى يدخل السعر منطقة صالحة وظهور مثلث أخضر (شراء) أو أحمر (بيع). هذا هو تأكيدك للدخول.
4. **حدد الأهداف ووقف الخسارة**: استخدم خطوط TP1, TP2, TP3, و SL المرسومة تلقائيًا لإدارة صفقتك.
5. **استخدم الوضع المبسط للوضوح**: إذا كان الشارت مزدحمًا، قم بتمكين الوضع المبسط لإخفاء كل شيء باستثناء الإشارات والأهداف الأساسية.
ALGO DEUS | PRECISION TIME MACHINEALGO DEUS | PRECISION TIME MACHINE
The surgical position simulator that integrates your personal money management.
Description
ALGO DEUS | Precision Time Machine is not just another standard Risk/Reward tool. It is a visual engineering instrument designed for serious traders (specifically Futures MNQ/MES) who demand absolute precision in their post-session analysis or live trade planning.
The Algo Deus Time Machine allows you to travel back through your chart history to place a trade simulation at the exact minute, capturing the precise opening price of the selected candle.
Key Features
Dual Mode (Live & History): By default, the tool displays on the current price for instant planning. Toggle "History Mode" to project your strategies onto any specific candle from the past.
Automatic Profit Calculator: Simply enter your target in Dollars ($) and the number of contracts. The algorithm instantly calculates your Take Profit and Stop Loss levels based on the asset's tick value (e.g., $0.5 for MNQ).
Minute-Level Precision: Thanks to optimized temporal integration, you can target a specific time (e.g., 4:05 PM) to analyze market reaction using your exact risk management parameters.
"Algo Deus" Sleek Interface: High-visibility display with translucent color blocks for a clear price reading without cluttering your candles.
How to use it?
Live: Perfect for visualizing your financial goals before executing a trade.
Backtest: Check "Enable History Mode," set the exact minute of your past setup, and observe whether your TP or SL would have been hit.
aslanogluI am pleased to present you with my buy/sell strategy that you can use in all periods.
I would be pleased to discuss your experiences
TradEdge Final AlgoThis script is designed for traders who want to improve their trading skills and excel in their journey. The primary focus is on effective risk management and staying aligned with market trends. If you're looking to build the psychology and mindset needed to implement this strategy successfully, this script is for you.
For more details or if you have any questions, feel free to reach out at 855-708-9757.
SMC ELITE V5 [by Oday]SMC ELITE V5: The Algorithm Killer
Stop trading like a retailer. Start thinking like an institution. 🏦
The SMC ELITE V5 isn't just an indicator; it's a complete Institutional Trading System on your chart. We have reverse-engineered the logic of high-frequency algorithms to show you exactly where the "Smart Money" is stacking orders. No noise. No lag. Just pure Price Action.
⚡ Why Traders Are Switching to SMC ELITE?
🎯 Sniper Entries: Our new Refined OB logic identifies the exact "Origin Candle" of the move, giving you entries with almost zero drawdown. 🧲 Magnet FVGs: Unmitigated Fair Value Gaps now extend indefinitely. Watch price react to these hidden zones like magic. 🧠 AI-Grade Filtering: The system automatically filters out low-quality zones. If it's on your chart, it's worth trading. 🛡️ Trap Detection: See "Inducement" levels clearly so you never get stopped out before the real move happens.
📊 What’s Inside?
✅ Real-Time Structure Mapping: BOS & CHoCH (Internal & Swing) ✅ Premium & Discount Zones: Auto-Fibonacci levels ✅ Smart Order Blocks: Filtered by volume & momentum ✅ Liquidity Grabs: Buy Side & Sell Side liquidity sweeps ✅ Multi-Timeframe Ready: Works perfectly on M1 to H4
SMC ELITE V5 [by Oday]**SMC ELITE V5 - Smart Money Concepts & Structure**
SMC ELITE V5 is an all-in-one institutional trading toolkit designed to simplify Smart Money Concepts. It automatically identifies Market Structure, Order Blocks, and Fair Value Gaps with high precision, filtering out noise to show high-probability zones.
**Key Features:**
* **Market Structure:** Real-time BOS (Break of Structure) and CHoCH (Change of Character) detection with multi-swing analysis.
* **Refined Order Blocks (OB):** Identifies the specific "Origin" candle of major moves. V5 uses a refined zone calculation for tighter entries and cleaner charts.
* **Smart FVGs:** Fair Value Gaps that auto-extend ("Magnet Mode") until mitigated. Broken zones are automatically hidden to keep your chart clean.
* **Inducement Detection:** Highlights liquidity traps (minor pullbacks) that smart money uses to induce early traders.
* **Advanced Filtering:** Built-in quality filters based on displacement, multi-candle confirmation, and trend alignment.
**How to Use:**
This indicator is built for the "Top-Down" approach. Use it on Higher Timeframes (H1/H4) to identify Key Levels (OBs/FVGs), then execute on Lower Timeframes (M5/M15) when structure confirms (CHoCH).
**Settings:**
* **Simple Mode:** Best for clean charts regular trading.
* **Advanced Mode:** Unlocks deep customization (Lookback periods, Filter Strength, Zone Quality).
*Designed for precision traders.*
Weekly Financial Liquidity Index (With Overlay, Corr, Shift)Skylark Digital Assets — Weekly Financial Liquidity Proxy (WFLI) (Overlay) + Rolling Correlation + Lead/Lag Shift
The Weekly Financial Liquidity Proxy (WFLI) is a macro-liquidity regime gauge designed to sit directly on your price chart (overlay). It compresses a diversified set of “liquidity-sensitive” markets into a single weekly signal, then lets you quantify how tightly your current ticker has been moving with liquidity via a rolling correlation, and phase-align the relationship using lead/lag shifting in both weeks and months.
What you’ll see
WFLI line (overlay): Plotted on the main chart so you can visually compare liquidity conditions with price action.
Rolling correlation: A continuously updating correlation reading showing how strongly your current symbol is tracking WFLI over the chosen lookback window.
Lead/Lag shift (weeks + months): Offsets WFLI forward/backward to help align real-world phase differences (because different assets respond to liquidity on different timelines).
How to use it
Regime filter:
Rising WFLI tends to align with risk-on / expanding liquidity backdrops.
Falling WFLI tends to align with risk-off / tightening liquidity backdrops.
Confirmation & divergence:
If price is breaking out while WFLI is deteriorating, treat it as a potential fragility / divergence signal.
If WFLI turns up before price stabilizes, it can help identify early shifts in conditions.
Correlation as a “relationship strength” meter:
High positive correlation = the asset has recently been behaving like a liquidity follower.
Low/unstable correlation = the asset is being driven by idiosyncratic factors (earnings, sector shocks, narratives, supply events, supply/demand quirks, etc.).
Lead/Lag shift to phase-align:
Use the shift controls to find the offset where correlation is most stable/meaningful.
This is useful when an asset typically reacts after liquidity changes (lagger) or anticipates them (leader).
Using WFLI on the monthly timeframe
Even though this is a weekly liquidity proxy, it’s intentionally useful on the monthly chart as well. Viewing WFLI on the monthly timeframe smooths noise, makes regime shifts more readable, and (in practice) does not reduce efficacy—it simply presents the same underlying signal through a slower lens, which can be ideal for macro alignment and longer-horizon positioning.
Inputs (high level)
Rolling correlation length: Lookback window for the correlation calculation.
Shift controls:
Weeks shift (fine adjustment for weekly relationships)
Months shift (coarse adjustment for longer macro phase drift)
Optional display toggles (if included in your script): show/hide correlation, labels, smoothing, etc.
Notes & limitations
Correlation is not causation. Treat it as a diagnostic for behavioral alignment, not a guarantee.
Lead/lag is non-stationary: relationships can compress/expand across cycles and volatility regimes.
Built for context and structure, not as a standalone entry/exit system.
Educational use only — not financial advice.






















