Supertrend ProThis is the Supertrend indicator based on ATR (Average True Range), which is most accepted technical way for such indicator.
Setting menu is fully customizable:
drive.google.com
1. You can change ATR lookback period means how many bars to check. default is 10, you can set it as per you trading style.
2. ATR multiplier is set to 3 by default. You can change it to your preferred value.
3. You can choose your own price reference.
4. Option to enable/disable ATR calculation, Background etc..
Style section is also fully customizable:
drive.google.com
Educational
Shadows, by Paragon Signals"Shadows" is a momentum indicator with a twist: Instead of reading raw price at face value, it focuses on moves that look more intentional, then measures momentum through a MACD-style lens. It includes filters to avoid getting baited by chop or dead market conditions, a directional state so it doesnโt flip on noise, and a quality score as a quick โis this clean or messy?โ check.
Quick use:
a) Check the quality score first: high = cleaner context, low = noise.
b) Follow the directional bias: bullish โ favor longs, bearish โ favor shorts.
L / S= suggested entry when everything lines up. **XL / XS** = exit when momentum fades or bias flips.
* You can also use the **colored lines** as signals on their own ( blue-longs, red-shorts) โnot just the entry/exit markersโsince they help you read momentum and direction in real time.
Great for 15m TF (crypto perp)
About me: Quant trader with years in the game, building a new project and using Pine Script as a sandbox/proyect. Iโm also a data scientist and Python developer, eat, sleep, and breathe markets is mandatory lol ( jk ). Outside trading, my second passion is football (watching it and playing it).
a = "peace out"
print(a)
Breakout SignalShow big bars closing on the high or low
This script allows you to find highlighted bars (bullish green and bearish red ) for bars that close with a particular Internal Bar Strength and ATR. I set the default at showing bars with an ATR > ATR10 and the IBS can be effected to show if the bar closes at its high or low.
I also put a EMA filter here. i usually set this quite low to about 7 but can be changed depending on your preference.
SMC Pivot Confluence Strategy-onlyThe **SMC Pivot Confluence Strategy** is a **trend-following price action strategy** based on:
* **Smart Money Concepts (SMC, Market Structure)**
* **Pivot Points**
It is specifically designed for **Crypto Spot and Perpetual Contract markets (24/7)**.
### Core Strategy Philosophy:
> **Enter trades following the trend only when the Smart Money structure is clearly defined, positioned near key price pivots (Pivot P), utilizing distinct structural stop losses and fixed risk-to-reward ratios for position management.**
This is a trading system that is:
* **Backtestable** (Strategy-based)
* **Parameterized** (Adjustable settings)
* **Explainable** (Logic-driven)
* **Suitable for Invite-only membership models.**
---
## 1. Use Cases and Scope
### 1.1 Recommended Markets
* BTC / ETH Perpetual Contracts
* High-liquidity mainstream coins
### 1.2 Markets to Avoid
* Low-liquidity altcoins
* Newly listed coins
* Extremely manipulated coins
### 1.3 Recommended Timeframes
* **Primary Timeframe: 15m (Highly Recommended)**
* Optional: 5m (Aggressive) / 1h (Conservative)
---
## 2. Overall Strategy Structure (Modular Breakdown)
* **A. Smart Money Concepts (Structure Module)**
* **B. Pivot Points (Price Pivot Module)**
* **C. Trend Confluence Filter**
* **D. Entry Logic**
* **E. Risk & Position Management**
* **F. Exit Logic (SL / TP)**
* **G. State Management (Avoiding Duplicate Trades)**
* **H. Visualization (Trade & Structure Display)**
Ultimate Lines Statistical Backtest @MaxMaseratiUltimate lines (MAs/MACD/VWAP,DWA etc..) Statistical Backtest
This is a comprehensive statistical backtesting tool that allows traders to objectively measure the performance of 27+ different trading lines across multiple timeframes and sessions. Instead of guessing which moving averages, VWAPs, or volume levels actually work for your trading style, this indicator provides hard data showing exactly how price behaves around each line at specific times of day.
The indicator solves a critical problem: most lines create whipsaws in choppy markets, but knowing which lines have the highest continuation rates vs reversal rates at specific session times helps you avoid false signals and focus on setups with proven statistical edges.
๐ฏ LINES YOU CAN TEST
MMM Core Lines:
Mid MA: Trend velocity tracker using simple moving average
MMPD Line: Premium/Discount change-of-direction indicator
Fair Value Golden Ratio: 0.618 equilibrium level between premium and discount zones
Volume-Based Lines:
VWAP Daily/Weekly: Volume-weighted average price (daily and weekly sessions)
Volume POC Multi-TF: Multi-timeframe Point of Control (highest volume price level)
Volume POC Weekly: Weekly momentum pivot based on volume distribution
Range Midpoints:
Range Midpoint 50: 50-period high/low midpoint
Range Midpoint 14 TF1/TF2: Configurable timeframe range midpoints with smoothing options
Moving Averages (10 MA Types):
MACD Fast (12) / Signal (26): Standard MACD moving averages
Fast MA 20 / Mid MA 50 / Slow MA 200: Classic trend-following averages
Available MA Types: SMA, EMA, WMA, HMA, DEMA, TEMA, LSMA, KAMA, ALMA, VWMA
Volatility Indicators:
MVM Upper/Lower Bands: Momentum-based volatility bands with adaptive option
HVC Bullish/Bearish: High Volume Candle support/resistance levels
Ultimate Suite Advanced Lines:
DWAP (Delta Weighted Average Price): Directional volume-weighted price with upper/lower bands
HVN (High Volume Node): High-frequency trading node detection
Hybrid Line: Volume-weighted momentum composite
Trend Filter: Two-pole smoothing filter for trend clarity
STL Lines:
iBuSTL / iBeSTL: Internal Bullish/Bearish Structural Trend Liquidity levels
โ๏ธ HOW TO TEST
Select Lines: Check the boxes for lines you want to analyze (Mid MA, VWAP Daily, Volume POC, etc.)
Choose Times: Enable tracking for specific session times (default: 8:30 AM, 9:30 AM, 10:00 AM, Daily Close - EST)
Set Lookback: Choose how many days of historical data to analyze (default: 60 days)
Enable Pattern Analysis: Turn on "Enable Pattern Analysis" in settings
Wait for Data: The indicator needs 20 bars after each signal time to complete analysis
Review Statistics: Check the statistics table for detailed breakdowns
๐ STATISTICS EXPLAINED
For Each Tracked Time, You'll See:
๐ข Above Selected Lines (X samples):
Continuedโ: Price stayed above the lines = bullish continuation
Reversedโ: Price broke below the lines = reversal/rejection
โKept Goingโ: After reversing down, price continued lower (bars 11-20)
โStalled: After reversing down, price came back up (consolidation)
Neutral: Price didn't make a clear move either way
๐ด Below Selected Lines (X samples):
Continuedโ: Price stayed below the lines = bearish continuation
Reversedโ: Price broke above the lines = reversal/support bounce
โKept Goingโ: After reversing up, price continued higher (bars 11-20)
โStalled: After reversing up, price came back down (consolidation)
Neutral: No clear directional move
โญ Star Ratings: Show which outcome happens most frequently (best probability)
๐ฌ HYBRID DETECTION SYSTEM (ADVANCED)
When enabled, the indicator uses a multi-signal composite scoring system that goes beyond simple percentage movements:
Signal A - % Movement Direction (40% weight):
Measures the strength and direction of price movement. Strong directional moves (>0.8%) score higher, while opposite-direction moves score negatively.
Signal B - Inside Candles (30% weight):
Detects true consolidation by counting how many candles close within a defined range. High inside-candle counts indicate choppy, stalled price action rather than clean continuation.
Signal C - Successive Closes (30% weight):
Tracks momentum persistence by counting consecutive closes in the expected direction. Long streaks (6+ bars) indicate strong follow-through, while breaks in the sequence suggest weakness.
Composite Score Classification:
โญโญโญ Strong (75-100 points): All three signals align - high-confidence pattern
โญโญ Moderate (50-75 points): Two signals agree - reliable pattern
โญ Weak (25-50 points): Mixed signals - lower confidence
โ ๏ธ Strong Stalled (0-25 points): Signals show consolidation/reversal
This provides nuanced pattern detection that identifies not just IF a pattern succeeded, but HOW STRONGLY it performed.
๐ก INTERPRETING RESULTS
Good Lines Show:
High continuation % when price is above/below (>60% is strong)
Clean "Kept Going" patterns after reversals (>50% indicates reliable rejection)
Low stalled % (less whipsaw/consolidation)
Consistent patterns across multiple times (validates the line's reliability)
Poor Lines Show:
50/50 continuation vs reversal (coin flip = no edge)
High stalled % (lots of whipsaw/false signals)
Inconsistent patterns across different times (unreliable)
Example Interpretation:
9:30 AM - VWAP Daily (120 samples)
๐ข Above:
Continuedโ 75 (62.5%) โญ BEST
Reversedโ 30 (25.0%)
Meaning: When price is above VWAP Daily at 9:30 AM, it continues higher 62.5% of the time - this is a statistically strong bullish signal for that session time.
๐ฏ PRACTICAL VALUE
Solves the Whipsaw Problem:
Most moving averages and lines work beautifully in trending markets but create endless false signals in choppy, range-bound conditions. By analyzing specific session times and continuation vs reversal patterns, you can:
Identify high-probability setups: Focus on lines that show >60% continuation at your preferred trading times
Avoid weak signals: Skip lines with high stall rates or 50/50 outcomes
Time your entries better: Know which session times produce the cleanest patterns
Combine complementary lines: Stack multiple high-scoring lines for confluence
Adapt to market conditions: Switch to different lines when market structure changes
Real-World Application:
Instead of blindly trading VWAP crosses or MA bounces, you'll have objective data showing: "At 9:30 AM on ES, when price is above Mid MA + VWAP Daily + Volume POC, it continues higher 68% of the time with strong momentum (โญโญโญ)." This transforms discretionary guesswork into data-driven decision making.
โ๏ธ LINE DEFINITIONS
Moving Averages: Smooth price data over X periods to identify trend direction and dynamic support/resistance.
VWAP: Anchored average price weighted by volume - institutional traders' benchmark for "fair value."
Volume POC (Point of Control): Price level with the most traded volume - represents maximum market acceptance.
Fair Value Golden Ratio: Fibonacci 0.618 level between recent premium (high) and discount (low) - equilibrium zone.
DWAP (Delta Weighted): Price average weighted by buying vs selling volume delta - shows directional money flow.
Range Midpoints: Geometric center of recent high/low range - mean reversion pivot.
Volatility Bands: Envelope around momentum lines showing normal price deviation ranges.
HVN (High Volume Node): Automated detection of high-volume price clusters - institutional accumulation/distribution zones.
Note: This indicator is purely for statistical analysis and backtesting. It does not generate trade signals or provide entry/exit recommendations. Use the statistics to inform your own trading decisions and strategy development.
Entradas Inteligentes Oro JosePR indicador creado para el oro, pero funciona tambien en el mercado de futuros
BTC - DCA vs HODL Calculator MatrixBTC - DCA vs. HODL Calculator Matrix | RM
Overview
The BTC - DCA vs. HODL Calculator Matrix is a high-performance telemetry laboratory designed to settle the ultimate debate in Bitcoin accumulation: Is it more efficient to deploy all capital at once ( Lump Sum & HODL ) or utilize a recurring purchase strategy ( DCA )? More importantly, if DCA is the choice, which exact frequency and weekday provides the mathematical edge?
The Calculator Matrix was engineered to solve a critical limitation in the current script ecosystem (at least I couldnt find such an indicator): the inability to compare multiple DCA frequencies and specific calendar days simultaneously within a single dashboard. While developing this tool, I found that existing calculators typically only permit testing one strategy at a time (e.g., a generic "Weekly" buy). This script fills that gap by utilizing a high-performance array-based "Telemetry Engine" to rank dozens of variablesโincluding every individual weekday and specific monthly datesโagainst a HODL benchmark in real-time. This unique simultaneous comparison allows investors to mathematically identify "Weekday Alpha" across any user-defined timeframe.
Core Philosophy
The script utilizes a Normalized Capital Model . To ensure a true "apples-to-apples" comparison, your total capital (e.g., $10,000) is distributed with mathematical precision across the exact number of entries for each specific strategy. This eliminates the ROI skewing commonly found in basic scripts, ensuring that every strategy is judged on the same total dollar expenditure over the same "Race Track."
Key Features & Analytics
โข The Podium System: An automated ranking algorithm that awards ๐ฅ Gold, ๐ฅ Silver, and ๐ฅ Bronze medals to the top three performing strategies. Spoiler: Regular Winner: 1-time HODL (Lump Sum)
โข Simultaneous Strategy Testing: Compare Daily, 7 different Weekly days (Mon-Sun), and Monthly dates (1stโ28th) all at once.
โข Risk Telemetry: Integrated Max Drawdown (MDD) sensors for every strategy, revealing the "Emotional Cost" of your accumulation path.
โข Race Track Visuals: Blue dashed "Green Flag" and "Checkered Flag" lines visually define the boundaries of your backtest.
โข Dashboard Customization: Use the "Odd/Even" filter to keep the matrix sleek and readable on (nearly) any screen resolution.
The Strategies Tested
โข 1-TIME HODL: The benchmark (Lump sum entry on Day 1 - meaning all the capital is deployed at the start date).
โข DAILY DCA: High-frequency, day-by-day accumulation (the capital is split amongst the different entries).
โข WEEKLY (SUN-SAT): Evaluates which specific day of the week historically captures the best entries (e.g., "Weekend Dips").(The capital is split amongst the different entries).
โข MONTHLY (1-28 + END): Tests monthly date performance to optimize for beginning-of-month or end-of-month cycles. (The capital is split amongst the different entries).
Monte Carlo Simulation & Python Research
While this tool allows you to manually check any specific timeframe, manual testing is limited by "Start Date Bias." To find the Universal Winner , I have conducted a Monte Carlo Simulation using 100 random entry dates over the last 5 years via Python/Colab. This research reveals the statistical probability of a day (like Saturday) winning the Gold medal across all market conditions.
Access the Python Heatmap Research in my substack article (link for substack in Bio).
How to Use
1. Set the Race Track: Input Start and End dates in the settings.
2. Fuel the Engine: Set your Total Capital ($).
3. Analyze the Matrix: Compare ROI vs. MAX DD. The goal is not just the highest return, but the best Risk-Adjusted return.
Technical Implementation
This script utilizes an array-based telemetry engine to handle the simultaneous calculation of 30+ independent investment strategies. To ensure computational efficiency and bypass the limitations of standard security-based backtesting, I implemented a custom-built accumulator logic using array.new_float() and array.set() . The core calculation loop ( if in_race and is_new_day ) processes capital deployment on a per-bar basis, utilizing ta.change(time("D")) to ensure entry synchronization with the Daily UTC close. By decoupling the unit accumulation ( u_weekly , u_monthly ) from the final valuation logic ( f_get_stats ), the script maintains a Normalized Capital Model. This ensures that even with complex comparative logic across varying frequencies, the script provides a mathematically rigorous, reproducible result that matches real-world execution at the Daily UTC Midnight close.
Note: All calculations are made on the "close" bar, which means UTC 00:00. By creating a strategy or using the research, make sure to be aware of your time zone
Disclaimer: Past performance is not indicative of future results. This tool is for educational and research purposes only. Rob Maths is not liable for any financial losses.
Tags:
robmaths, Rob Maths, DCA, HODL, Bitcoin, BTC, Backtest, RiskManagement, Investment, Strategy, Statistics
Sessions for IndexesTitle: Sessions for Indexes (Intraday Precision)
Description
This indicator is a specialized tool designed for intraday traders (Indices) who focus on specific market sessions and liquidity windows. It visually highlights key trading periods and provides a clean, real-time dashboard for better market orientation.
Key Features:
Intraday Focus: Automatically restricts visibility to timeframes of 15 minutes and below to keep your high-timeframe charts clean.
Comprehensive Session Tracking: Covers major US and EU sessions, including:
US: Pre-market, AM Session, Lunch, and PM Session.
EU/Asia: Asia, EU Pre-market, London Session, and NY Overlap.
Dynamic HUD (Heads-Up Display): A modern table in the top-right corner that displays the currently active session name and changes color dynamically.
On-Chart Labels: Each session is clearly labeled at the bottom of the price action, making it easy to review historical sessions without cluttering the candles.
Fully Customizable: You can adjust session times, colors, and visibility according to your local timezone and trading plan.
How to Use:
Timezone: Set the timezone in the inputs to match your broker or local time (default is UTC).
Visuals: Use the colored background zones to identify "Silver Bullet" windows or session transitions.
Active Session: Quickly check the top-right corner to know exactly which session you are currently trading.
Technical Note:
To ensure performance and chart clarity, this indicator will display an error message ("TF too high") if used on timeframes higher than 15m. This is intentional to promote disciplined intraday analysis.
PA SystemPA System - Price Action Trading System
ไปทๆ ผ่กไธบไบคๆ็ณป็ป
๐ ๆฆ่ฟฐ / Overview
PA System is a comprehensive price action trading indicator that combines Smart Money Concepts (SMC), market structure analysis, and multi-timeframe confirmation to identify high-probability trade setups. Designed for both manual traders and algorithmic trading systems.
PA System ๆฏไธไธช็ปผๅๆงไปทๆ ผ่กไธบไบคๆๆๆ ๏ผ็ปๅไบSmart Moneyๆฆๅฟต(SMC)ใๅธๅบ็ปๆๅๆๅๅคๆถ้ดๆกๆถ็กฎ่ฎค๏ผ็จไบ่ฏๅซ้ซๆฆ็ไบคๆๆบไผใ้็จไบๆๅจไบคๆ่
ๅ็ฎๆณไบคๆ็ณป็ปใ
โจ ๆ ธๅฟ็นๆง / Key Features
๐ฏ Four-Phase Signal System / ๅ้ถๆฎตไฟกๅท็ณป็ป
H1 (First Pullback) - Initial bullish retracement in uptrend
H2 (Confirmed Entry) - Breakout confirmation for long entries
L1 (First Bounce) - Initial bearish bounce in downtrend
L2 (Confirmed Entry) - Breakdown confirmation for short entries
ไธญๆ่ฏดๆ๏ผ
H1๏ผ้ฆๆฌกๅ่ฐ๏ผ - ไธๅ่ถๅฟไธญ็ๅๆฌกๅๆคไฟกๅท
H2๏ผ็กฎ่ฎคๅ
ฅๅบ๏ผ - ็ช็ ด็กฎ่ฎค็ๅๅคๅ
ฅๅบ็น
L1๏ผ้ฆๆฌกๅๅผน๏ผ - ไธ้่ถๅฟไธญ็ๅๆฌกๅๅผนไฟกๅท
L2๏ผ็กฎ่ฎคๅ
ฅๅบ๏ผ - ่ท็ ด็กฎ่ฎค็ๅ็ฉบๅ
ฅๅบ็น
๐ Market Structure Detection / ๅธๅบ็ปๆ่ฏๅซ
HH (Higher High) - Uptrend confirmation / ไธๅ่ถๅฟ็กฎ่ฎค
HL (Higher Low) - Bullish pullback / ๅคๅคดๅ่ฐ
LH (Lower High) - Bearish bounce / ็ฉบๅคดๅๅผน
LL (Lower Low) - Downtrend confirmation / ไธ้่ถๅฟ็กฎ่ฎค
๐ Smart Money Concepts (SMC) / ๆบ่ฝ่ต้ๆฆๅฟต
BoS (Break of Structure) - Trend continuation signal / ่ถๅฟๅปถ็ปญไฟกๅท
CHoCH (Change of Character) - Potential trend reversal / ๆฝๅจ่ถๅฟๅ่ฝฌ
๐ Dynamic Trendlines / ๅจๆ่ถๅฟ็บฟ
Auto-drawn support and resistance trendlines / ่ชๅจ็ปๅถๆฏๆ้ปๅ่ถๅฟ็บฟ
Real-time extension to current bar / ๅฎๆถๅปถไผธ่ณๅฝๅK็บฟ
Slope-filtered for accuracy / ๆ็่ฟๆปค็กฎไฟๅ็กฎๆง
๐๏ธ Multi-Timeframe Analysis / ๅคๆถ้ดๆกๆถๅๆ
Higher timeframe trend filter (default 4H) / ๅคงๅจๆ่ถๅฟ่ฟๆปค๏ผ้ป่ฎค4ๅฐๆถ๏ผ
Prevents counter-trend trades / ้ฒๆญข้ๅฟไบคๆ
Configurable timeframe / ๅฏ้
็ฝฎๆถ้ดๅจๆ
๐ Volume Confirmation / ๆไบค้็กฎ่ฎค
Filters signals based on volume strength / ๅบไบๆไบค้ๅผบๅบฆ่ฟๆปคไฟกๅท
20-period volume MA comparison / ไธ20ๆๆไบค้ๅ็บฟๅฏนๆฏ
High-volume bars highlighted / ้ซๆไบค้K็บฟ้ซไบฎๆพ็คบ
๐ฏ Risk Management Tools / ้ฃ้ฉ็ฎก็ๅทฅๅ
ท
Automatic SL/TP calculation and display / ่ชๅจ่ฎก็ฎๅนถๆพ็คบๆญขๆๆญข็
Visual stop loss and take profit lines / ๅฏ่งๅๆญขๆๆญข็็บฟๆก
Risk percentage and R:R ratio display / ๆพ็คบ้ฃ้ฉ็พๅๆฏๅ็ไบๆฏ
Dynamic stop loss sizing (0.3% - 1.5%) / ๅจๆๆญขๆ่ๅด๏ผ0.3% - 1.5%๏ผ
๐ฑ Real-Time Alerts / ๅฎๆถ่ญฆๆฅ
Instant notifications on H2/L2 signals / H2/L2ไฟกๅทๅณๆถ้็ฅ
Webhook support for automation / ๆฏๆWebhook่ชๅจๅ
Mobile, email, and popup alerts / ๆๆบใ้ฎไปถๅๅผน็ช่ญฆๆฅ
๐ Professional Dashboard / ไธไธไปช่กจ็
Real-time market state (CHANNEL/RANGE/BREAKOUT) / ๅฎๆถๅธๅบ็ถๆ
Local and MTF trend indicators / ๆฌๅฐๅๅคงๅจๆ่ถๅฟๆๆ
Order flow status (HIGH VOL / LOW VOL) / ่ฎขๅๆต็ถๆ
Last signal tracker / ๆๆฐไฟกๅท่ฟฝ่ธช
๐ง ๅๆฐ่ฎพ็ฝฎ / Parameter Settings
Structure Settings / ็ปๆ่ฎพ็ฝฎ
Parameter Default Range Description
Swing Length / ๆๅจ้ฟๅบฆ 5 2-20 Pivot detection sensitivity / ๆข่ฝด็นๆฃๆต็ตๆๅบฆ
Trend Confirm Bars / ่ถๅฟ็กฎ่ฎคๆ นๆฐ 3 2-10 Consecutive bars for breakout / ็ช็ ดๆ้่ฟ็ปญK็บฟๆฐ
Channel ATR Mult / ้้ATRๅๆฐ 2.0 1.0-5.0 Range detection threshold / ๅบ้ดๆฃๆต้ๅผ
Signal Settings / ไฟกๅท่ฎพ็ฝฎ
Parameter Default Description
Enable H2 Longs / ๅฏ็จH2ๅๅค โ
Toggle long signals / ๅผๅ
ณๅๅคไฟกๅท
Enable L2 Shorts / ๅฏ็จL2ๅ็ฉบ โ
Toggle short signals / ๅผๅ
ณๅ็ฉบไฟกๅท
Micro Range Length / ๅพฎๅนณๅฐ้ฟๅบฆ 3 Breakout detection bars / ็ช็ ดๆฃๆตK็บฟๆฐ
Close Strength / ๆถ็ๅผบๅบฆ 0.6 Minimum close position in bar / K็บฟๅ
ๆๅฐๆถ็ไฝ็ฝฎ
Filter Settings / ่ฟๆปค่ฎพ็ฝฎ
Parameter Default Description
Use MTF Filter / ๅคงๅจๆ่ฟๆปค โ
Enable higher timeframe filter / ๅฏ็จๅคงๅจๆ่ฟๆปค
MTF Timeframe / ๅคงๅจๆๆถ้ดๆกๆถ 240 (4H) Higher timeframe period / ๅคงๅจๆๆถ้ด
Use Volume Filter / ๆไบค้่ฟๆปค โ
Require high volume confirmation / ้่ฆ้ซๆไบค้็กฎ่ฎค
Volume MA Length / ๆไบค้ๅ็บฟๅจๆ 20 Volume comparison period / ๆไบค้ๅฏนๆฏๅจๆ
Fast EMA / ๅฟซ้EMA 20 Short-term trend / ็ญๆ่ถๅฟ
Slow EMA / ๆ
ข้EMA 50 Long-term trend / ้ฟๆ่ถๅฟ
Risk Management / ้ฃ้ฉ็ฎก็
Parameter Default Description
Risk % / ้ฃ้ฉ็พๅๆฏ 1.0% Risk per trade / ๆฏ็ฌไบคๆ้ฃ้ฉ
R:R Ratio / ็ไบๆฏ 2.0 Reward to risk ratio / ็ไบๆฏ็
Max SL ATR / ๆๅคงๆญขๆATR 3.0 Maximum stop loss in ATR / ๆๅคงๆญขๆATRๅๆฐ
Min SL % / ๆๅฐๆญขๆ็พๅๆฏ 0.3% Minimum stop loss percentage / ๆๅฐๆญขๆ็พๅๆฏ
Max SL % / ๆๅคงๆญขๆ็พๅๆฏ 1.5% Maximum stop loss percentage / ๆๅคงๆญขๆ็พๅๆฏ
๐ ไฝฟ็จๆนๆณ / How to Use
1. ๅบ็ก่ฎพ็ฝฎ / Basic Setup
For Day Trading (5-15 min charts) / ๆฅๅ
ไบคๆ๏ผ5-15ๅ้ๅพ๏ผ
text
Swing Length: 5
MTF Timeframe: 240 (4H)
Risk %: 1.0%
R:R: 2.0
For Swing Trading (1-4H charts) / ๆณขๆฎตไบคๆ๏ผ1-4ๅฐๆถๅพ๏ผ
text
Swing Length: 8
MTF Timeframe: D (Daily)
Risk %: 0.5%
R:R: 3.0
For Scalping (1-5 min charts) / ๅฅๅคด็ฎ๏ผ1-5ๅ้ๅพ๏ผ
text
Swing Length: 3
MTF Timeframe: 60 (1H)
Risk %: 0.5%
R:R: 1.5
Use Volume Filter: โ
2. ไฟกๅท่ฏๅซ / Signal Identification
Long Entry / ๅๅคๅ
ฅๅบ
โ
Dashboard shows "Local Trend: BULL" / ไปช่กจ็ๆพ็คบ"ๆฌๅฐ่ถๅฟ๏ผๅคๅคด"
โ
MTF Trend shows "BULLISH" / ๅคงๅจๆ่ถๅฟๆพ็คบ"็ๆถจ"
โ
Green circle (H1) appears below bar / ็ปฟ่ฒๅ็น(H1)ๅบ็ฐๅจK็บฟไธๆน
โณ Wait for H2 signal (green triangle โฒ) / ็ญๅพ
H2ไฟกๅท๏ผ็ปฟ่ฒไธ่งโฒ๏ผ
๐ Check volume bar is cyan (HIGH VOL) / ๆฃๆฅๆไบค้ๆฑไธบ้่ฒ๏ผ้ซๆไบค้๏ผ
๐ฏ Enter at close of H2 bar / ๅจH2 K็บฟๆถ็ไปทๅ
ฅๅบ
๐ก๏ธ Set SL at red dashed line / ๆญขๆ่ฎพๅจ็บข่ฒ่็บฟไฝ็ฝฎ
๐ Set TP at green dashed line / ๆญข็่ฎพๅจ็ปฟ่ฒ่็บฟไฝ็ฝฎ
Short Entry / ๅ็ฉบๅ
ฅๅบ
โ
Dashboard shows "Local Trend: BEAR" / ไปช่กจ็ๆพ็คบ"ๆฌๅฐ่ถๅฟ๏ผ็ฉบๅคด"
โ
MTF Trend shows "BEARISH" / ๅคงๅจๆ่ถๅฟๆพ็คบ"็่ท"
โ
Red circle (L1) appears above bar / ็บข่ฒๅ็น(L1)ๅบ็ฐๅจK็บฟไธๆน
โณ Wait for L2 signal (red triangle โผ) / ็ญๅพ
L2ไฟกๅท๏ผ็บข่ฒๅไธ่งโผ๏ผ
๐ Check volume bar is cyan (HIGH VOL) / ๆฃๆฅๆไบค้ๆฑไธบ้่ฒ๏ผ้ซๆไบค้๏ผ
๐ฏ Enter at close of L2 bar / ๅจL2 K็บฟๆถ็ไปทๅ
ฅๅบ
๐ก๏ธ Set SL at red dashed line / ๆญขๆ่ฎพๅจ็บข่ฒ่็บฟไฝ็ฝฎ
๐ Set TP at green dashed line / ๆญข็่ฎพๅจ็ปฟ่ฒ่็บฟไฝ็ฝฎ
3. ่ญฆๆฅ่ฎพ็ฝฎ / Alert Setup
Step-by-Step / ๅๆญฅๆไฝ
Click the "โฐ" alert icon on chart / ็นๅปๅพ่กจไธ็"โฐ"่ญฆๆฅๅพๆ
Select "PA System - Indicator Version" / ้ๆฉ"PA System (V1.1) - Indicator Version"
Condition: "Any alert() function call" / ๆกไปถ๏ผ้ๆฉ"Any alert() function call"
Choose notification method: / ้ๆฉ้็ฅๆนๅผ๏ผ
๐ฑ Mobile Push / ๆๆบๆจ้
๐ง Email / ้ฎไปถ
๐ Webhook URL (for automation) / Webhook็ฝๅ๏ผ็จไบ่ชๅจๅ๏ผ
Set frequency: "Once Per Bar Close" / ้ข็๏ผ้ๆฉ"Once Per Bar Close"
Click "Create" / ็นๅป"ๅๅปบ"
Webhook Example for IBKR API / IBKR API็Webhook็คบไพ
json
{
"signal": "{{strategy.order.action}}",
"ticker": "{{ticker}}",
"entry": {{close}},
"stop_loss": {{plot_0}},
"take_profit": {{plot_1}},
"timestamp": "{{timenow}}"
}
4. ไบคๆ็ฎก็ / Trade Management
Position Sizing / ไปไฝ่ฎก็ฎ
text
Account: $10,000
Risk per Trade: 1% = $100
Entry Price: $690.45
Stop Loss: $687.38
Risk per Share: $690.45 - $687.38 = $3.07
Position Size: $100 / $3.07 = 32 shares
Partial Profit Taking / ้จๅๆญข็
Close 50% position at 1:1 R:R / ๅจ1:1็ไบๆฏๆถๅนณไป50%
Move SL to breakeven / ็งปๅจๆญขๆ่ณไฟๆฌไฝ
Let remaining 50% run to 2R target / ่ฎฉๅฉไฝ50%่ทๅ2R็ฎๆ
๐จ ่ง่งๅ
็ด ่ฏดๆ / Visual Elements Guide
Chart Markers / ๅพ่กจๆ ่ฎฐ
Symbol Color Meaning
โซ Small Circle / ๅฐๅ็น ๐ข Green / ็ปฟ่ฒ H1 - First bullish pullback / ้ฆๆฌกๅคๅคดๅ่ฐ
โฒ Triangle / ไธ่งๅฝข ๐ข Green / ็ปฟ่ฒ H2 - Confirmed long entry / ็กฎ่ฎคๅๅคๅ
ฅๅบ
โซ Small Circle / ๅฐๅ็น ๐ด Red / ็บข่ฒ L1 - First bearish bounce / ้ฆๆฌก็ฉบๅคดๅๅผน
โผ Inverted Triangle / ๅไธ่ง ๐ด Red / ็บข่ฒ L2 - Confirmed short entry / ็กฎ่ฎคๅ็ฉบๅ
ฅๅบ
Structure Labels / ็ปๆๆ ็ญพ
Label Position Meaning
HH Above high / ้ซ็นไธๆน Higher High - Bullish / ๆด้ซ็้ซ็น-็ๆถจ
HL Below low / ไฝ็นไธๆน Higher Low - Bullish / ๆด้ซ็ไฝ็น-็ๆถจ
LH Above high / ้ซ็นไธๆน Lower High - Bearish / ๆดไฝ็้ซ็น-็่ท
LL Below low / ไฝ็นไธๆน Lower Low - Bearish / ๆดไฝ็ไฝ็น-็่ท
BoS/CHoCH Lines / ็ ดไฝ็บฟๆก
Type Color Width Meaning
BoS ๐ต Teal / ้่ฒ 2px Break of Structure - Trend continues / ็ปๆ็ช็ ด-่ถๅฟๅปถ็ปญ
CHoCH ๐ด Red / ็บข่ฒ 2px Change of Character - Trend reversal / ๆง่ดจๆนๅ-่ถๅฟๅ่ฝฌ
Trendlines / ่ถๅฟ็บฟ
Type Color Style Meaning
Bullish / ็ๆถจ ๐ต Teal / ้่ฒ Solid / ๅฎ็บฟ Uptrend support / ไธๅ่ถๅฟๆฏๆ
Bearish / ็่ท ๐ด Red / ็บข่ฒ Solid / ๅฎ็บฟ Downtrend resistance / ไธ้่ถๅฟ้ปๅ
Risk Lines / ้ฃ้ฉ็บฟๆก
Type Color Style Meaning
Stop Loss / ๆญขๆ ๐ด Red / ็บข่ฒ Dashed / ่็บฟ Suggested stop loss level / ๅปบ่ฎฎๆญขๆไฝ
Take Profit / ๆญข็ ๐ข Green / ็ปฟ่ฒ Dashed / ่็บฟ Suggested take profit level / ๅปบ่ฎฎๆญข็ไฝ
Dashboard Colors / ไปช่กจ็้ข่ฒ
Status Color Meaning
BULL / ๅคๅคด ๐ข Green / ็ปฟ่ฒ Bullish trend / ็ๆถจ่ถๅฟ
BEAR / ็ฉบๅคด ๐ด Red / ็บข่ฒ Bearish trend / ็่ท่ถๅฟ
NEUTRAL / ไธญๆง โช Gray / ็ฐ่ฒ No clear trend / ๆ ๆ็กฎ่ถๅฟ
BREAKOUT / ็ช็ ด ๐ก Lime / ้ป็ปฟ Strong momentum / ๅผบๅฒๅจ่ฝ
HIGH VOL / ้ซๆไบค้ ๐ต Cyan / ้่ฒ High volume confirmation / ้ซๆไบค้็กฎ่ฎค
๐ก ไบคๆ็ญ็ฅๅปบ่ฎฎ / Trading Strategy Tips
โ
High Probability Setups / ้ซๆฆ็่ฎพ็ฝฎ
Trend Alignment / ่ถๅฟไธ่ด
Local Trend = BULL + MTF Trend = BULLISH / ๆฌๅฐๅคๅคด + ๅคงๅจๆ็ๆถจ
Or: Local Trend = BEAR + MTF Trend = BEARISH / ๆ๏ผๆฌๅฐ็ฉบๅคด + ๅคงๅจๆ็่ท
Volume Confirmation / ๆไบค้็กฎ่ฎค
H2/L2 signal appears with cyan volume bar / H2/L2ไฟกๅทไผด้้่ฒๆไบค้ๆฑ
Volume > 20-period MA / ๆไบค้ > 20ๆๅ็บฟ
Trendline Support / ่ถๅฟ็บฟๆฏๆ
H2 appears near bullish trendline / H2ๅบ็ฐๅจ็ๆถจ่ถๅฟ็บฟ้่ฟ
L2 appears near bearish trendline / L2ๅบ็ฐๅจ็่ท่ถๅฟ็บฟ้่ฟ
BoS Confirmation / BoS็กฎ่ฎค
Recent BoS in same direction / ๆ่ฟๅๆนๅ็BoS
No CHoCH against the trade / ๆ ้ๅ็CHoCH
โ Avoid These Setups / ้ฟๅ
่ฟไบๆ
ๅต
Conflicting Trends / ่ถๅฟๅฒ็ช
Local BULL but MTF BEARISH / ๆฌๅฐๅคๅคดไฝๅคงๅจๆ็่ท
Market State = RANGE / ๅธๅบ็ถๆ = ๅบ้ด
Low Volume / ไฝๆไบค้
Order Flow shows "LOW VOL" / ่ฎขๅๆตๆพ็คบ"ไฝๆไบค้"
Volume bar is red (below MA) / ๆไบค้ๆฑไธบ็บข่ฒ๏ผไฝไบๅ็บฟ๏ผ
Against Trendline / ้่ถๅฟ็บฟ
Shorting at bullish trendline support / ๅจ็ๆถจ่ถๅฟ็บฟๆฏๆๅคๅ็ฉบ
Buying at bearish trendline resistance / ๅจ็่ท่ถๅฟ็บฟ้ปๅๅคๅๅค
Recent CHoCH / ่ฟๆCHoCH
CHoCH appeared within 10 bars / 10ๆ นK็บฟๅ
ๅบ็ฐCHoCH
Potential trend reversal zone / ๆฝๅจ่ถๅฟๅ่ฝฌๅบๅ
๐ ไผๅๅปบ่ฎฎ / Optimization Tips
For Different Markets / ้ๅฏนไธๅๅธๅบ
Stocks / ่ก็ฅจ
text
Swing Length: 5-8
MTF: 240 (4H) or D (Daily)
Risk %: 0.5-1.0%
Best on: SPY, QQQ, AAPL, TSLA
Forex / ๅคๆฑ
text
Swing Length: 5
MTF: 240 (4H)
Risk %: 1.0-2.0%
Best on: EUR/USD, GBP/USD, USD/JPY
Use Volume Filter: OFF (Forex volume is unreliable)
Crypto / ๅ ๅฏ่ดงๅธ
text
Swing Length: 3-5
MTF: 240 (4H)
Risk %: 0.5-1.0% (high volatility)
Max SL %: 2.0-3.0%
Best on: BTC, ETH, SOL
Futures / ๆ่ดง
text
Swing Length: 5
MTF: 240 (4H)
Risk %: 1.0-1.5%
Best on: ES, NQ, RTY, CL
๐ค ่ชๅจๅ้ๆ / Automation Integration
Python + IBKR API Example / Python + IBKR API็คบไพ
python
import requests
from ib_insync import *
def handle_tradingview_alert(alert_data):
"""
Receives webhook from TradingView alert
ๆฅๆถๆฅ่ชTradingView่ญฆๆฅ็webhook
"""
signal = alert_data # "H2 LONG" or "L2 SHORT"
ticker = alert_data # "SPY"
entry = alert_data # 690.45
stop_loss = alert_data # 687.38
take_profit = alert_data # 696.59
# Connect to IBKR
ib = IB()
ib.connect('127.0.0.1', 7497, clientId=1)
# Create contract
contract = Stock(ticker, 'SMART', 'USD')
# Calculate position size (1% risk)
account_value = ib.accountValues() .value
risk_amount = float(account_value) * 0.01
risk_per_share = abs(entry - stop_loss)
quantity = int(risk_amount / risk_per_share)
# Place order
if "LONG" in signal:
order = MarketOrder('BUY', quantity)
else:
order = MarketOrder('SELL', quantity)
trade = ib.placeOrder(contract, order)
# Set stop loss and take profit
ib.placeOrder(contract, StopOrder('SELL', quantity, stop_loss))
ib.placeOrder(contract, LimitOrder('SELL', quantity, take_profit))
ib.disconnect()
TradersPost Integration / TradersPost้ๆ
Create TradersPost account / ๅๅปบTradersPost่ดฆๆท
Connect IBKR broker / ่ฟๆฅIBKRๅธๅ
Get Webhook URL / ่ทๅWebhook็ฝๅ
Add to TradingView alert / ๆทปๅ ๅฐTradingView่ญฆๆฅ
Test with paper trading / ็จๆจกๆ่ดฆๆทๆต่ฏ
๐ ๆง่ฝๆๆ / Performance Metrics
Expected Performance (Backtested) / ้ขๆ่กจ็ฐ๏ผๅๆต๏ผ
Metric Value Notes
Win Rate / ่็ 60-75% With all filters enabled / ๅฏ็จๆๆ่ฟๆปคๅจ
Avg R:R / ๅนณๅ็ไบๆฏ 1.8-2.2 Using 2R target / ไฝฟ็จ2R็ฎๆ
Max Drawdown / ๆๅคงๅๆค 8-12% 1% risk per trade / ๆฏ็ฌ1%้ฃ้ฉ
Profit Factor / ็ๅฉๅ ๅญ 1.8-2.5 Trend-following bias / ่ถๅฟ่ท้ๅๅ
Best Markets / ๆไฝณๅธๅบ Trending Avoid ranging markets / ้ฟๅ
ๅบ้ดๅธๅบ
โ ๏ธ Disclaimer: Past performance does not guarantee future results. Always test in paper trading first.
โ ๏ธ ๅ
่ดฃๅฃฐๆ๏ผๅๅฒ่กจ็ฐไธไฟ่ฏๆชๆฅ็ปๆใ่ฏทๅ
ๅจๆจกๆ่ดฆๆทๆต่ฏใ
๐ ๏ธ ๆ
้ๆ้ค / Troubleshooting
Problem: No signals appearing / ้ฎ้ข๏ผๆฒกๆไฟกๅทๅบ็ฐ
Solution / ่งฃๅณๆนๆก:
Disable MTF Filter temporarily / ๆๆถๅ
ณ้ญๅคงๅจๆ่ฟๆปค
Disable Volume Filter / ๅ
ณ้ญๆไบค้่ฟๆปค
Reduce Swing Length to 3 / ๅฐๆๅจ้ฟๅบฆ้่ณ3
Check if market is ranging (no clear trend) / ๆฃๆฅๅธๅบๆฏๅฆๅคไบๅบ้ด๏ผๆ ๆ็กฎ่ถๅฟ๏ผ
Problem: Too many signals / ้ฎ้ข๏ผไฟกๅทๅคชๅค
Solution / ่งฃๅณๆนๆก:
Enable MTF Filter / ๅฏ็จๅคงๅจๆ่ฟๆปค
Enable Volume Filter / ๅฏ็จๆไบค้่ฟๆปค
Increase Swing Length to 8 / ๅฐๆๅจ้ฟๅบฆๅข่ณ8
Enable Break Filter / ๅฏ็จ็ ดไฝ่ฟๆปค
Problem: Alerts not working / ้ฎ้ข๏ผ่ญฆๆฅไธๅทฅไฝ
Solution / ่งฃๅณๆนๆก:
Check "Enable Alerts" is ON / ๆฃๆฅ"ๅฏ็จ่ญฆๆฅ"ๅทฒๅผๅฏ
Verify alert condition is "Any alert() function call" / ็กฎ่ฎค่ญฆๆฅๆกไปถไธบ"Any alert() function call"
Check notification settings in TradingView / ๆฃๆฅTradingView้็ฅ่ฎพ็ฝฎ
Test alert with "Test" button / ็จ"ๆต่ฏ"ๆ้ฎๆต่ฏ่ญฆๆฅ
Problem: SL/TP lines not showing / ้ฎ้ข๏ผๆญขๆๆญข็็บฟไธๆพ็คบ
Solution / ่งฃๅณๆนๆก:
Enable "Show SL/TP Labels" in settings / ๅจ่ฎพ็ฝฎไธญๅฏ็จ"ๆพ็คบๆญขๆๆญข็ๆ ็ญพ"
Check if signal is recent (lines expire after 10 bars) / ๆฃๆฅไฟกๅทๆฏๅฆ่ฟๆ๏ผ็บฟๆกๅจ10ๆ นK็บฟๅๆถๅคฑ๏ผ
Zoom in to see lines more clearly / ๆพๅคงๅพ่กจไปฅๆดๆธ
ๆฅๅฐ็ๅฐ็บฟๆก
๐ ๅธธ่ง้ฎ้ข FAQ
Q1: Can I use this on any timeframe? / ๅฏไปฅๅจไปปไฝๆถ้ดๆกๆถไฝฟ็จๅ๏ผ
A: Yes, but works best on 5min-4H charts. Recommended: 15min (day trading), 1H (swing trading).
ๅฏไปฅ๏ผไฝๅจ5ๅ้-4ๅฐๆถๅพ่กจๆๆๆไฝณใๆจ่๏ผ15ๅ้๏ผๆฅๅ
ไบคๆ๏ผ๏ผ1ๅฐๆถ๏ผๆณขๆฎตไบคๆ๏ผใ
Q2: Do I need to enable all filters? / ้่ฆๅฏ็จๆๆ่ฟๆปคๅจๅ๏ผ
A: No. Start with all enabled, then disable based on your risk tolerance. MTF filter is highly recommended.
ไธ้่ฆใไปๅ
จ้จๅฏ็จๅผๅง๏ผ็ถๅๆ นๆฎ้ฃ้ฉๆฟๅ่ฝๅ็ฆ็จใๅผบ็ๆจ่MTF่ฟๆปคๅจใ
Q3: Can I automate this with IBKR? / ๅฏไปฅไธIBKR่ชๅจๅๅ๏ผ
A: Yes! Use TradingView alerts + Webhook + Python script + IBKR API. See automation example above.
ๅฏไปฅ๏ผไฝฟ็จTradingView่ญฆๆฅ + Webhook + Python่ๆฌ + IBKR APIใๅ่งไธๆน่ชๅจๅ็คบไพใ
Q4: What's the difference between Strategy and Indicator version? / ็ญ็ฅ็ๅๆๆ ็ๆไปไนๅบๅซ๏ผ
A: Strategy = backtesting only. Indicator = real-time alerts + automation. Use both: backtest with strategy, trade with indicator.
็ญ็ฅ็=ไป
ๅๆตใๆๆ ็=ๅฎๆถ่ญฆๆฅ+่ชๅจๅใไธค่
็ปๅไฝฟ็จ๏ผ็จ็ญ็ฅ็ๅๆต๏ผ็จๆๆ ็ไบคๆใ
Q5: Why does H2 appear but no trade? / ไธบไปไนๅบ็ฐH2ไฝๆฒกๆไบคๆ๏ผ
A: This is an indicator, not a strategy. You need to manually place orders or use automation via alerts.
่ฟๆฏๆๆ ๏ผไธๆฏ็ญ็ฅใไฝ ้่ฆๆๅจไธๅๆ้่ฟ่ญฆๆฅไฝฟ็จ่ชๅจๅใ
โ๏ธ ๅ
่ดฃๅฃฐๆ / Disclaimer
IMPORTANT / ้่ฆๆ็คบ:
This indicator is for educational purposes only. Trading involves substantial risk of loss. Past performance does not guarantee future results. Always:
ๆฌๆๆ ไป
ไพๆ่ฒ็ฎ็ใไบคๆๆถๅ้ๅคงไบๆ้ฃ้ฉใๅๅฒ่กจ็ฐไธไฟ่ฏๆชๆฅ็ปๆใ่ฏทๅกๅฟ
๏ผ
โ
Test in paper trading first / ๅ
ๅจๆจกๆ่ดฆๆทๆต่ฏ
โ
Use proper risk management (1-2% max per trade) / ไฝฟ็จ้ๅฝ้ฃ้ฉ็ฎก็๏ผๆฏ็ฌๆๅค1-2%๏ผ
โ
Never risk more than you can afford to lose / ๆฐธ่ฟไธ่ฆๅ่ถ
ๅบๆฟๅ่ฝๅ็้ฃ้ฉ
โ
Understand the strategy before using / ไฝฟ็จๅ็่งฃ็ญ็ฅๅ็
Not financial advice. Trade at your own risk.
้ๆ่ตๅปบ่ฎฎใไบคๆ้ฃ้ฉ่ช่ดใ
Tactical Volume Matrix Divergence Pro๐ฆ Tactical Volume Matrix: Divergence Pro
Structured RSI Environment Intelligence & Tactical Volume Interpretation
Product Class: RSI Context Awareness, Tactical Volume Visualization, Divergence Intelligence
Designed For: Traders who value clarity, discipline, and responsible analytical support across Crypto, Forex, Stocks, Commodities, and Indices
๐ฆ 1 Overview
Tactical Volume Matrix: Divergence Pro is engineered to give traders a disciplined, structured, and visually clear understanding of RSI environments, tactical volume behavior, and potential divergence conditions.
Rather than overwhelming users with aggressive alerts or exaggerated promises, the system focuses on calm clarity, organized interpretation, and educational guidance that supports responsible decision-making.
It is built for traders who prioritize understanding, situational awareness, and structured visual intelligence over โsignal chasing.โ
๐ฆ 2 Core Concept
The indicator revolves around three analytical pillars:
RSI Environment Classification
Evaluates RSI conditions to identify potential bullish environments, potential bearish environments, or neutral states. This creates context instead of simple โyes/noโ reactions.
Tactical Volume Visualization
Volume is visually expressed through tactical color logic, helping traders quickly observe whether participation strength aligns with RSI conditions.
Divergence Awareness System
Continuously scans for potential bullish and bearish RSI divergences, helping traders recognize early signs of possible momentum imbalance. These are awareness signals, not forced decisions.
๐ฆ 3 Key Features
โ Clear RSI environment interpretation
โ Tactical volume color adaptation
โ Matrix HUD tactical interface
โ Bullish divergence awareness markers
โ Bearish divergence awareness markers
โ Optional candle-close confirmation
โ Beginner-friendly presentation
โ Designed for clarity and education
โ Works on all markets and timeframes
This is a structured analytical tool, not a hype-based signal generator.
๐ฆ 4 Customization & Flexibility
The indicator remains adaptable while preserving structural discipline.
RSI Controls
โข Adjustable RSI period
โข Adjustable RSI zone thresholds
Confirmation Behavior
โข Instant mode
โข Candle-close secured confirmation
Visual Customization
โข Full tactical color controls
โข Volume transparency tuning
โข Matrix structure preserved for clarity
This allows each trader to personalize behavior while maintaining a clean, structured analytical flow.
๐ฆ 5 Usage Guidance
Tactical Volume Matrix: Divergence Pro is designed as situational awareness support, not a standalone decision enforcer.
Recommended approach:
โข Use RSI zone classification to understand environment bias
โข Use tactical volume visualization to assess participation strength
โข Use divergence awareness as a caution framework
โข Always combine with your broader trading system, price structure, and disciplined execution
This results in more confident, measured, and controlled market interpretation.
๐ฆ 6 Example Scenario
RSI enters above the bullish threshold.
The Matrix HUD reflects a bullish tactical environment. Light blue represents Rsi value trapped between oversold and overbought. Green color indicates overbought potential bullish scenario. Red signal of the Matrix represent the Rsi as oversold and potential bearish continuation.
Volume adapts visually to bullish strength.
Price continues higher, but RSI begins weakening while price forms new highs.
The tool marks a potential bearish divergence.
This does not force a sell.
Instead, it informs the trader, allowing time to reassess exposure, evaluate risk, and respond intelligently within their trading framework.
๐ฆ 7 Settings Overview
RSI Logic Controls
Define environment sensitivity and structure.
Confirmation Mode
Choose between instant responsiveness or secured non-repainting confirmation.
Visual Controls
Personalize appearance while maintaining clarity and organizational consistency.
Every setting is designed to enhance understanding without sacrificing usability.
๐ฆ 8 Conclusion
Tactical Volume Matrix: Divergence Pro focuses on clarity, discipline, and educational value.
It helps traders develop stronger situational awareness, recognize evolving market behavior, and understand momentum dynamics in a structured, visually intuitive way. Light blue
This is a tool for traders who appreciate thoughtful design, conservative communication, and analytical support that encourages responsible trading behavior.
๐ฆ 9 Disclaimer
This indicator does not guarantee results and does not constitute financial advice.
Trading involves risk, and users remain fully responsible for trading decisions, execution, and capital management.
It is designed as an educational and informational support tool.
Session ModelSessionModel.pine - Indicator Overview
Purpose: A deterministic session model indicator that identifies trading sessions (Asian, London, NY), builds range levels from specific time windows, detects price action states (Range โ Sweep โ Displacement โ Rebalance), and tracks divergences across 3 index symbols.
Key Feature: Uses a fixed internal timeframe (engineTF) for all decision logic, ensuring identical results regardless of what chart timeframe you're viewing.
---
HUD Display Rows - Explanations
1. SESSION
- Values: ASIAN | LONDON | NY | WAITING
- Meaning: Which trading session is currently active
- Why it matters: Each session uses different range references (ASIAN uses NY PM range, LONDON uses Asia range, NY uses London or ORB range)
2. STATE
- Values: Range | Sweep | Displacement | Rebalance
- Meaning: Current phase of the price action state machine
- Why it matters:
- Range: Building session extremes, awaiting price structure break
- Sweep: Price penetrated range boundary and closed back inside (rejection)
- Displacement: Directional move away from the range (trend confirmation)
- Rebalance: Retracement within displacement zone before resuming direction
3. CORRELATION (SMT)
- Values: Bull | Bear | Neutral
- Color: Green (Bull) | Red (Bear) | Orange (Neutral)
- Meaning: Smart Money divergence detection between US500, US100, US30
- Why it matters:
- Bull: At least one index makes new LOW but NOT all (weak shorts = bullish)
- Bear: At least one index makes new HIGH but NOT all (weak longs = bearish)
- Neutral: All indices move same direction OR insufficient window data
4. RANGE H (Range High)
- Values: Price level or "-" (not set)
- Color: Red (matching input.color rangeHighColor)
- Meaning: The highest price reached during the active range window
- Why it matters: Upper boundary for sweep detection and displacement measurement
5. RANGE L (Range Low)
- Values: Price level or "-" (not set)
- Color: Green (matching input.color rangeLowColor)
- Meaning: The lowest price reached during the active range window
- Why it matters: Lower boundary for sweep detection and displacement measurement
6. SWEEP
- Values: High | Low | "-" (not in sweep)
- Color: Yellow (if sweeping) | Gray (if not)
- Meaning: Direction of the current sweep if state == 2
- Why it matters:
- High: Price broke above range high and closed back below (bearish rejection)
- Low: Price broke below range low and closed back above (bullish rejection)
- Shows which boundary was "swept" and rejected
7. DISP DIR (Displacement Direction)
- Values: Bullish | Bearish | "-" (not displacing)
- Color: Green (Bullish) | Red (Bearish) | Gray (Not active)
- Meaning: Direction of the current displacement move (state == 3 or 4)
- Why it matters: Confirms directional bias during displacement phase
- Bullish: Price displaced above range after sweeping low
- Bearish: Price displaced below range after sweeping high
8. LEG 50% (Displacement 50% Retracement)
- Values: Price level or "-" (not set)
- Color: Cyan/Aqua
- Meaning: 50% retracement level between displacement origin and extreme
- Formula: displacementOrigin + (displacementExtreme - displacementOrigin) * 0.5
- Why it matters:
- Key retracement zone during displacement and rebalance phases
- Often acts as resistance (if bullish displacement) or support (if bearish)
- Used in rebalance trigger logic
---
How to Read the HUD Together
Example 1: Waiting for Entry
Session: NY
State: Range
Correlation: Neutral
Range H: 4050.25
Range L: 4040.50
Sweep: -
Disp Dir: -
Leg 50%: -
โ NY session active, building range. No sweep yet, no displacement. Waiting for price action.
Example 2: Sweep Detected
Session: NY
State: Sweep
Correlation: Neutral
Range H: 4050.25
Range L: 4040.50
Sweep: Low
Disp Dir: -
Leg 50%: -
โ Price swept below range low (rejected), now countdown timer running. Likely reversal coming.
Example 3: In Displacement
Session: NY
State: Displacement
Correlation: Bull
Range H: 4050.25
Range L: 4040.50
Sweep: Low
Disp Dir: Bullish
Leg 50%: 4060.75
โ After sweeping low, price displaced bullish. SMT confirming (bull divergence on indices). 50% at 4060.75 is key retracement zone.
HTF Bias Detector=== HUD DISPLAY ITEMS ===
1. **HTF (Timeframe Label)**
Shows the selected higher timeframe being monitored (e.g., "4h", "1D", "1W"). This confirms which timeframe data you're viewing above your current chart.
2. **Open, High, Low, Close (OHLC Values)**
Displays the candlestick values from the higher timeframe:
โข Open: Entry price when the HTF candle opened
โข High: Highest price reached during the HTF period
โข Low: Lowest price during the HTF period
โข Close: Most recent closing price on the HTF
Use these to identify key HTF price levels and support/resistance zones.
3. **TP (True Price Range)**
Shows the maximum price movement within the HTF candle. Calculated as: max(High - Low, |High - Previous Close|, |Low - Previous Close|)
Higher TP indicates greater volatility; lower TP suggests a consolidation period.
4. **ATR (Average True Range)**
Displays the average volatility over the last 14 HTF periods (customizable).
Use this to gauge typical price movement on the higher timeframe and set realistic profit targets and stop losses.
5. **MACD Value**
Shows the MACD momentum indicator (difference between 12 and 26-period EMAs) on the HTF.
Positive values suggest upward momentum; negative values indicate downward momentum on the higher timeframe.
6. **Signal Line**
The 9-period EMA of MACD on the HTF.
When MACD crosses above the signal line, it indicates bullish momentum confirmation on the higher timeframe.
7. **Histogram**
The difference between MACD and its Signal Line, visualized as bars.
Expanding bars show increasing momentum; shrinking bars show weakening momentum.
8. **Price Deviation**
Displays how far current price deviates from the HTF close in percentage terms.
Helps identify overbought/oversold conditions relative to the higher timeframe context.
---
=== HOW TO USE ===
โข Select your chart timeframe (e.g., 5m, 15m, 1h)
โข Set the HTF to a higher timeframe (e.g., 4h, 1D) in indicator settings
โข Look for confluence: when both timeframes align, trades are stronger
โข Use HTF volatility (ATR) to size positions appropriately
โข Combine HTF MACD direction with your current chart setup for confirmation
---
=== SETTINGS ===
โข HTF Period: Choose the higher timeframe to monitor
โข ATR Length: Adjust sensitivity of volatility measurement (default: 14)
โข MACD Settings: Customize fast/slow/signal periods for momentum analysis
CRSI-TSA Colored RSI Entry Exit signals PRO๐ฆ CRSI-TSA Colored RSI Entry Exit Signals PRO
Institutional Momentum Precision System
Product Category: Momentum Reversal & Continuation Execution Intelligence
Designed For: Traders who require disciplined RSI execution, zero-repaint confidence, and professional-grade reliability
๐ฆ PURPOSE & ROLE OF THE INDICATOR
CRSI-TSA Colored RSI Entry Exit Signals PRO is a next-generation RSI execution framework engineered to transform RSI from a basic momentum oscillator into a structured professional decision system.
Built on an enhanced adaptive RSI engine with institutional-grade confirmation logic, it identifies:
โข High-probability reversal opportunities
โข Structured continuation entries
โข Reliable momentum transitions
โข Action-ready entry confirmations
With strict candle-close validation and zero-repaint enforcement, signals remain locked, stable, and trustworthy โ even in volatile environments.
Designed for scalpers, swing traders, crypto, forex, indices, stocks, and futures traders, CRSI-TSA PRO converts traditional RSI usage into disciplined market intelligence.
๐ฆ CORE CONCEPT & INTELLIGENCE MODEL
The indicator integrates three foundational pillars.
โถ Enhanced RSI Engine
A mathematically optimized RSI variant increases momentum sensitivity while maintaining structural smoothness, resulting in clearer directional bias and superior responsiveness compared to standard RSI.
โถ Smart Signal Crossover Logic
Signals are generated only when momentum alignment confirms strength, not noise. Internal confirmation logic ensures entries appear only at validated market decision points.
โถ Institutional-Grade Stability
Reliability is a core priority. CRSI-TSA PRO includes:
โข Candle-close validation to prevent repaint
โข Optional higher-timeframe RSI with freeze-lock protection
โข Strict Institutional Mode providing 100% zero-repaint guarantee
Result: signals you can trust โ not illusions.
๐ฆ FEATURE SET
CRSI-TSA PRO delivers professional capability through a disciplined feature suite:
โ Zero-Repaint Confirmation Engine
โ Optional Higher Timeframe RSI with Lock Protection
โ Strict Institutional Mode ensuring absolute signal integrity
โ Bull/Bear Momentum Ribbon visualization
โ Fully colored RSI structure for clarity
โ Clear Entry Circles for instant execution awareness
โ Dynamic Overbought & Oversold Levels
โ Optional Trend Filter for directional discipline
โ Alert system included
โ Lightweight and highly optimized performance
This is not a decorative RSI enhancement.
It is a serious execution instrument.
๐ฆ CUSTOMIZATION & FLEXIBILITY
CRSI-TSA PRO adapts naturally to your strategy and trading style.
You can configure:
โข RSI length
โข Smoothing method (EMA / SMA / RMA / TMA)
โข Background visibility
โข Ribbon color logic
โข Trend filtering behavior
โข Higher Timeframe Mode activation
โข Strict Institutional Mode
โข Overbought & Oversold thresholds
โข Confirmation sensitivity
Every trader can tune the system to match their execution discipline.
๐ฆ PRACTICAL USAGE FRAMEWORK
This indicator is ideal for multiple trading methodologies.
โถ Reversal Trading
Identifies exhaustion zones and structured momentum shifts.
โถ Trend Trading
Supports disciplined pullback re-entries when used with trend filtering.
โถ Scalping
Provides fast, precise lower-timeframe momentum entries.
โถ Swing Trading
Delivers clear mid-term directional transitions.
Compatible with:
Crypto โข Forex โข Indices โข Commodities โข Stocks โข Futures
๐ฆ PRACTICAL EXECUTION EXAMPLES
Bullish Execution Logic
1๏ธโฃ Price above optional trend filter
2๏ธโฃ RSI crosses above signal line
3๏ธโฃ Green entry circle prints
4๏ธโฃ Ribbon turns bullish
5๏ธโฃ Execute according to strategy
Bearish Execution Logic
1๏ธโฃ Price below optional trend filter
2๏ธโฃ RSI crosses below signal
3๏ธโฃ Red entry circle prints
4๏ธโฃ Ribbon confirms bearish bias
5๏ธโฃ Execute short logic
Interpretation remains simple. Execution remains disciplined.
๐ฆ SETTINGS OVERVIEW
Primary configurable controls include:
โข RSI length
โข Signal smoothing & method
โข No-repaint confirmation mode
โข Higher timeframe RSI + freeze lock
โข Strict Institutional Mode
โข Trend Filter / EMA Length
โข Ribbon visualization controls
โข Overbought / Oversold thresholds
โข Alerts
All controls are structured for intuitive workflow inside TradingView.
๐ฆ CONCLUSION
CRSI-TSA Colored RSI Entry Exit Signals PRO is designed for traders who demand clarity, trust, and execution confidence.
Whether operating in fast environments or structured swing conditions, it provides:
โข Actionable entries
โข Visual intelligence
โข Zero-repaint assurance
โข Institutional-grade discipline
If you are tired of repainting indicators, unreliable RSI tools, and noisy signals, this is the professional upgrade.
๐ฆ DISCLAIMER
This indicator is for educational and analytical purposes only. It does not guarantee profits or provide financial advice. Trading involves risk, and users remain responsible for their decisions and risk management. Past performance does not guarantee future outcomes.
Financial Markets Composite Custom Index PRO๐ฆ Financial Markets Composite Custom Index (FMCCI PRO)
Professional Multi-Asset Index Construction Platform
Product Category: Institutional Analytics & Custom Index Engineering
Designed For: Traders, analysts, portfolio managers, and macro researchers who need true multi-asset structural insight
๐ฆ PURPOSE & ROLE OF THE INDICATOR
FMCCI PRO is an institutional-grade market composition framework that enables users to build real, mathematically accurate custom indices directly inside TradingView.
Unlike standard indicators that analyze a single instrument, FMCCI PRO constructs a fully weighted, normalized synthetic index by combining up to 20 assets into a single chart โ following the same methodology used by global index institutions.
It is ideal for:
โข Equity & sector analysis
โข ETF replication
โข Portfolio benchmarking
โข Macro structural research
โข Multi-asset strategy development
โข Risk monitoring and divergence detection
Instead of inefficiently watching 10โ20 charts, FMCCI PRO consolidates complex market behavior into one clear, transparent, professional index.
๐ฆ CORE CONCEPT & ENGINE DESIGN
FMCCI PRO is built on professional index-engineering principles.
โถ Composite Market Representation
It blends weighted OHLC price data from multiple instruments into a single synthetic instrument, revealing macro structure, momentum stability, and underlying strength that cannot be seen from isolated charts.
โถ Advanced Weighted Construction
Users can assign individual weighting allocations to create:
โข Equal-weighted indices
โข Market-cap style structures
โข Sector baskets
โข Custom multi-asset portfolios
โข Strategic conviction weighting
All weights are automatically normalized to 100% โ ensuring mathematical precision.
โถ Institutional Methodology
FMCCI PRO implements the same structural logic used by index providers:
1๏ธโฃ Weighted OHLC computation
2๏ธโฃ Base value normalization (default: 1000)
3๏ธโฃ True candlestick price plotting
4๏ธโฃ Multi-timeframe stability
5๏ธโฃ Historical reliability suitable for analytical backtesting
You are not applying an indicator.
You are constructing a true professional index.
๐ฆ FEATURE SET
โถ Technical Capabilities
โ Up to 20 assets
โ Independent weight assignment
โ Auto-normalization engine
โ Institutional OHLC weighting model
โ Base index scaling (default 1000, fully adjustable)
โ True candlestick chart plotting
โ Timeframe compatibility from 1-minute to Monthly
โ Backtest-friendly architecture
โถ Market Coverage
Fully compatible with:
Stocks โข ETFs โข Global Indices โข Commodities โข Forex โข Crypto โข Bonds
โถ Transparency Dashboard
Built-in live composition panel shows:
โข Active tickers
โข Assigned weights (%)
โข Normalized contribution (%)
Includes professional UI positioning flexibility.
โถ Professional Visual Themes
Multiple institutional visual modes including TradingView Standard and Black/White presentation.
๐ฆ CUSTOMIZATION & CONTROL
FMCCI PRO offers full construction flexibility while maintaining professional consistency.
โถ Instrument Construction Possibilities
Create:
โข Sector indices
โข Regional market composites
โข Multi-asset strategy blends
โข Crypto market indices
โข Personal portfolio trackers
โถ Weighting Methodologies
โข Equal weight
โข Market-cap style logic
โข Performance-centric allocation
โข Risk-balanced models
โข Fully custom discretionary allocation
โถ Visual Interface Control
โข Theme selection
โข Base value customization
โข Show / Hide composition table
โข Nine positioning zones
โข Optimized text clarity
๐ฆ PRACTICAL USAGE APPLICATIONS
FMCCI PRO delivers strong value across professional analytical workflows:
โข Market sentiment & structural breadth reading
โข ETF & index replication comparisons
โข Risk & divergence tracking
โข System development confirmation
โข Portfolio performance tracking
โข Global macro environment monitoring
It consolidates information overload into objective clarity.
๐ฆ CONCLUSION
FMCCI PRO transforms TradingView into a professional-grade market analytics platform typically available only to banks, institutional desks, hedge funds, and asset managers.
If your work requires true insight into:
โข Market structure
โข Sector dynamics
โข Portfolio health
โข Macro sentiment
FMCCI PRO is not optional.
It is essential.
Stop analyzing 20 independent charts.
Start analyzing one professional market index.
๐ฆ DISCLAIMER
This tool is designed for educational and analytical purposes. It does not constitute financial advice and does not guarantee profit. Trading and investing involve risk. Users remain fully responsible for their decisions and risk management.
Decoy Long / Decoy ShortThis indicator plots a decoy bar. A Decoy bar can be a 'decoy long' or a 'decoy short' bar. A 'decoy long' is a bar that creates a higher high and higher low but ends up as a red bar. A 'decoy short' is a bar that creates a lower high and lower low but still ends up as a green bar.
Half Closing CandleHalf Closing Candle
This indicator identifies candles whose closing price falls within the upper or lower half of the candle range, measured from the midpoint relative to the candleโs open. It helps traders quickly spot candles that close toward the open or high/low extremes, providing insight into momentum, indecision, or potential reversal areas.
The script highlights these candles with a subtle, non-intrusive overlay directly on the chart, without altering candle wicks or overall price representation, ensuring visual clarity and professional presentation.
4H & Daily Previous Candle + Fibonacci + OTE# Multi-Timeframe OTE & Fibonacci Indicator (4H & Daily)
This Pine Script v5 indicator is designed for traders who utilize **Optimal Trade Entry (OTE)** zones and **Fibonacci retracements** based on higher timeframe market structures. It automatically identifies and plots key levels from the previous 4-hour and Daily candles to help find high-probability reversal zones.
## Key Features
### 1. Dual Timeframe OTE Zones
- **4H OTE Zone**: Automatically calculates and shades the Optimal Trade Entry area (default 61.8% - 78.6%) based on the previous 4-hour candle's range.
- **Daily OTE Zone**: Plots a secondary OTE zone based on the previous Daily candle, allowing for multi-timeframe confluence analysis.
- **Dynamic Adaptation**: The zones automatically flip based on whether the previous candle was bullish or bearish, ensuring you are always looking at the correct retracement levels.
### 2. Automated Market Structure
- **High/Low Tracking**: Plots clear horizontal lines for the previous 4H and Daily Highs and Lows.
- **Visual Distinction**: Daily levels are highlighted with thicker lines to distinguish them from 4H levels.
- **Price Labels**: Displays real-time price labels for all structural levels for quick reference.
### 3. Customizable Fibonacci Retracements
- **4H Fibonacci Levels**: Plots standard retracement levels (23.6%, 38.2%, 50%, 61.8%, 78.6%) for the 4H timeframe.
- **Fully Adjustable**: Users can input custom Fibonacci levels via the settings menu.
### 4. Real-Time Information Dashboard
- **Range Summary**: A clean table in the top-right corner displays the total pip/point range for both the previous 4H and Daily candles.
- **Clean UI**: All visual elements (colors, line widths, labels) can be toggled or customized to fit any chart theme.
## How to Use
This indicator is ideal for "Smart Money" or "ICT" style trading. Look for **confluence** where the 4H OTE zone overlaps with the Daily OTE zone or other key structural levels to identify high-precision entry points.
Threshold-Triggered Asset Rotation (TTAR) ModelJust an attempt at tracking historical rotational capital flows between assets
VWAP Engine Pro V3# VWAP Candles Pro V3 - Advanced Volume-Weighted Price Analysis
## ๐ Overview
**VWAP Candles Pro V3** is a comprehensive volume-weighted average price (VWAP) analysis system that transforms traditional VWAP indicators into an intelligent, multi-dimensional trading tool. Instead of treating VWAP as just another moving average, this indicator creates a complete analytical framework that combines volume-weighted candle visualization, statistical deviation bands, momentum indicators, and intelligent signal scoring to help you understand where money is flowing and how price is behaving relative to true fair value.
At its core, the indicator reconstructs price action through the lens of volume, showing you not just where price went or where it will go (NOT PREDICTIVE), but where the significant trading activity has occurred. It then layers on momentum analysis through Moving VWAPs (MVWAPs), identifies high-probability setups through multi-factor signal strength scoring, and provides real-time context through an intelligent information dashboardโall of which MAY help a trader take informed decisions and identify trading opportunities with proper risk and rewards.
## โจ Key Features
* **Volume-Weighted Candle Reconstruction** - Visualizes price action weighted by trading volume, revealing where activity is concentrated
* **Intelligent Signal Strength System** - Multi-factor scoring engine that evaluates volume, body size, alignment, trend context, and momentum to quantify setup quality from 0-100
* **Dual MVWAP Momentum Framework** - Fast and Slow Moving VWAPs that identify momentum shifts and trend alignment in volume-weighted price flow
* **Multi-Layer Standard Deviation Bands** - Statistical zones (1ฯ, 2ฯ, 3ฯ) that identify extension, exhaustion, and mean-reversion opportunities
* **Session & Historical Context** - Tracks current session VWAP alongside previous session levels to identify key reference points
* **Adaptive Candle Coloring** - Visual strength grading system that fades weak signals and highlights high-conviction setups based on configurable thresholds
* **Comprehensive Signal Detection** - Automated identification of VWAP crosses, MVWAP momentum shifts, and statistical band rejections with strength filtering
* **Multi-Dimensional Information Dashboard** - Real-time display of signal strength, price zone, trend bias, distance metrics, and component breakdowns
## ๐ง How It Works
### ๐ฏ Volume-Weighted Candle Construction
The indicator analyzes each bar within your selected lookback period and reconstructs OHLC values based on volume distribution rather than simple time-based averaging.
The attempt is to create a "cleaner" view of price action that filters out low-volume noise and emphasizes areas where real money changed hands.
### ๐ MVWAP Momentum System
Moving VWAPs (MVWAPs) apply moving average smoothing to the VWAP itself, creating momentum indicators specifically designed for volume-weighted analysis:
* **Fast MVWAP** (default 9 periods) - Captures immediate shifts in volume-weighted momentum
* **Slow MVWAP** (default 20 periods) - Establishes longer-term trend direction
* **Crossover Logic** - When Fast crosses above Slow, volume-weighted momentum is bullish; when it crosses below, momentum is bearish
* **Trend Alignment Filter** - Used as a component in the signal strength system to ensure trades align with dominant volume flow
### ๐ฏ Signal Strength Intelligence
Rather than treating every VWAP cross or setup equally, the indicator employs a sophisticated multi-factor scoring system that evaluates:
* **Volume Intensity** - Compares current bar volume to recent average to gauge commitment level
* **Candle Body Size** - Measures decisiveness of the move relative to recent action
* **Price-VWAP Alignment** - Confirms regular price candles align with volume-weighted candles
* **Trend Context** - Verifies setup agrees with broader VWAP trend and MVWAP positioning
* **Consecutive Momentum** - Rewards sustained directional moves that show follow-through
* **Statistical Distance Bonus** - Adds points when price is near extreme deviations (2ฯ+)
Each factor is weighted according to your preferences, producing a final strength score from 0-100. This allows you to:
* Filter out weak, low-conviction setups automatically
* Focus attention on trades with multiple confirming factors
* Visualize signal quality through adaptive candle transparency and color intensity
* Set custom strength thresholds for alerts and labels
### ๐ Statistical Deviation Framework
The indicator calculates and displays three layers of standard deviation bands around VWAP:
* **1ฯ Bands** - Normal trading range where most price action occurs
* **2ฯ Bands** - Extended zones suggesting overextension; mean-reversion setups often emerge here
* **3ฯ Bands** - Extreme statistical outliers indicating exhaustion or major moves; high-probability reversal areas
Price behavior at these bands is automatically monitored for rejection patterns, with signals fired when price reaches extreme deviations but fails to sustain, suggesting institutional profit-taking or absorption.
### ๐จ Adaptive Visual Feedback
The indicator provides multiple layers of visual intelligence:
* **Gradient Candle Coloring** - Transparency adjusts based on signal strength, so weak setups appear faded while strong ones are vivid
* **Strength Labels** - Display actual numeric strength scores on qualifying candles with detailed component breakdowns in tooltips
* **Signal Markers** - Automatically place labeled alerts for VWAP crosses, MVWAP momentum shifts, and band rejections
* **Information Dashboard** - Real-time table showing current strength, VWAP level, distance metrics, zone classification, trend bias, and component scores
### ๐ Zone Classification System
Price is continuously classified into zones relative to VWAP:
* **At VWAP (Fair Value)** - Within ยฑ0.2ฯ, considered equilibrium
* **Slightly Above/Below** - 0.2โ1ฯ, normal activity zone
* **Above/Below VWAP** - 1โ2ฯ, extended but not yet extreme
* **Extended High/Low** - 2โ3ฯ, overextension zone with reversion probability
* **Extreme High/Low** - 3+ฯ, statistical outliers with high mean-reversion probability
This classification, combined with MVWAP positioning and trend context, produces the overall **Bias** reading (Strong Bull, Bullish, Bearish, Strong Bear) displayed in the dashboard.
## ๐ก How to Use
### ๐ฏ Identifying High-Probability Setups
Switch on **Enable Strength Scoring** and set your **Min Strength to Color** threshold (typically 50-70). This causes:
* Weak signals to appear gray/faded, allowing you to ignore them
* Medium signals to show standard coloring for context
* Strong signals (70+) to appear bold and receive strength labels
Focus your trading attention on setups that show:
* Strength scores above your threshold
* Alignment between price candles and VWAP candles
* Confirmation from MVWAP positioning (Fast above/below Slow matching signal direction)
* Appropriate zone classification (e.g., not buying at 3ฯ high)
### ๐ Using MVWAP for Trend Context
The MVWAP crossover system provides institutional momentum context:
* **When Fast MVWAP > Slow MVWAP**: Look primarily for long entries on pullbacks to VWAP or lower bands
* **When Fast MVWAP < Slow MVWAP**: Look primarily for short entries on rallies to VWAP or upper bands
* **On MVWAP Crossovers**: Consider these as early warning signals of momentum regime change; wait for price confirmation before trading
Enable **Show MVWAP Crossover Signals** to receive labeled alerts when momentum shifts occur.
### ๐ฏ Mean-Reversion vs Continuation
The indicator supports both mean-reversion and continuation strategies:
**Mean-Reversion Trading:**
* Watch for price reaching 2ฯ or 3ฯ bands
* Look for rejection signals (high/low beyond band but close back inside)
* Confirm with opposing signal strength (bearish at upper bands, bullish at lower bands)
* Target return to VWAP or opposite band
**Continuation Trading:**
* Wait for VWAP crosses with strong signal scores (70+)
* Confirm MVWAP alignment supports the direction
* Look for consecutive candles building momentum
* Use bands as initial targets and VWAP as trailing stop reference
### ๐ Session & Anchor Settings
Choose your **Anchor Period** based on trading style:
* **Session** - Best for intraday trading; resets VWAP each trading session
* **Week** - For swing trading; tracks weekly institutional levels
* **Month** - For position trading; long-term volume-weighted fair value
* **Rolling** - Adaptive moving window; useful for continuous markets or crypto
Enable **Show Previous VWAP** and **Show Previous VWAP High/Low** to see institutional reference levels from prior periodsโthese often act as support/resistance.
### ๐จ Dashboard Configuration
The **Info Table** provides real-time intelligence:
* **Strength** - Current signal quality (0-100) with classification
* **VWAP** - Current volume-weighted fair value level
* **Distance** - Points and percentage away from VWAP
* **SD Dist** - Statistical distance in standard deviations
* **Zone** - Current price classification relative to VWAP
* **Bias** - Overall trend/momentum assessment
* **MVWAP** - Fast/Slow relationship status
* **Strength Breakdown** - Component scores showing what's driving current strength
Position and customize the table to match your chart layout preferences.
### โ๏ธ Signal Filtering
Use **Only Show Strong Signals** to filter labels to setups meeting your **Strong Signal Threshold** (typically 70). This prevents chart clutter while ensuring you see genuinely high-probability opportunities.
Adjust the **Strength Weights** to match your trading style:
* Increase **Volume Weight** if you trade breakouts and strong moves
* Increase **Trend Alignment** if you prefer trading with established momentum
* Increase **Consecutive Candles** if you favor follow-through setups
* Balance weights equally for a general-purpose scoring approach
### ๐ Alerts
Set up automated alerts for:
* Strong VWAP crosses (above/below your strength threshold)
* MVWAP momentum crossovers (bullish/bearish)
* Very strong signals (80+ strength)
* 3ฯ band rejections (extreme mean-reversion opportunities)
## โ๏ธ Configuration Overview
### VWAP Settings
* **Anchor Period** - Session/Week/Month/Rolling basis for VWAP calculation
* **Rolling Length** - Lookback bars when using Rolling anchor
* **Session Time** - Defines trading session hours (default IST market hours)
* **Use Regular Session Only** - Filter calculations to regular trading hours
### VWAP Candles
* **Show VWAP Candles** - Toggle volume-weighted candle display
* **Candle Smoothing Length** - Lookback for constructing VW candles
* **Color Settings** - Bullish/bearish/weak candle colors and wick color
### Signal Strength
* **Enable Strength Scoring** - Activate intelligent signal evaluation
* **Min Strength to Color** - Threshold for displaying candle colors (weak signals appear gray)
* **Show Strength Labels** - Display numeric scores on strong candles
* **Strong Signal Threshold** - Defines "strong" vs "moderate" signals
* **Strength Weights** - Configure relative importance of each scoring component
### VWAP Line & Bands
* **Show VWAP Line** - Display main VWAP level with color/width options
* **Show SD Bands** - Toggle standard deviation band display
* **SD Multipliers** - Adjust 1ฯ, 2ฯ, 3ฯ band distances
* **Fill Between Bands** - Gradient fill for visual band identification
### MVWAP Settings
* **Show Fast/Slow MVWAP** - Toggle momentum indicator displays
* **MVWAP Lengths** - Period settings for Fast (9) and Slow (20) MVWAPs
* **Show Crossover Signals** - Label MVWAP momentum shifts
### Signals & Labels
* **Show VWAP Cross Signals** - Mark price crosses of VWAP line
* **Show Band Rejection Signals** - Identify mean-reversion setups at bands
* **Only Show Strong Signals** - Filter labels by strength threshold
* **Label Sizes & Colors** - Customize appearance of all labels and signals
### Info Table
* **Show Info Table** - Display real-time dashboard
* **Table Position/Size** - Layout and text size settings
* **Color Scheme** - Comprehensive color customization for table components
---
## โ ๏ธ Disclaimer
This indicator is provided for **educational and informational purposes only**. It does not constitute financial advice, investment recommendations, or a solicitation to buy or sell any financial instruments.
All trading involves risk. Past performance of any strategy, indicator, or system does not guarantee future results. You are fully responsible for your own trading decisions, which should be based on your personal financial situation, risk tolerance, investment objectives, and independent analysis.
The signal strength scores, zone classifications, and automated alerts are analytical tools designed to assist in decision-makingโthey are not trade recommendations. Always conduct your own due diligence and consider consulting with a qualified financial advisor before making investment decisions.
Conditions GateNon-directional indicator gating risk and permissions based purely on seasonal calendar patterns and mechanical event window detection without price analysis.
---
Key Insights from HUD
What to watch:
- State: Primary output for permission decisions
- SeasonPrior vs State: Difference shows event impact
- EventWindow + ActiveEvent: Explains why State changed (seasonal vs event-driven)
- RiskMult: Direct risk cap applicable to position sizing
- Runner / MarketMaker: Binary permission gates (green = allowed, red = blocked)
- ForcedState: If not "โ", an override is active (useful for manual testing)
Color Logic:
- Green: FAVOURABLE state or allowed (1.0 risk, YES permissions)
- Orange: NEUTRAL state or event window active (0.5 risk, NO permissions)
- Red: UNFAVOURABLE state or blocked (0.25 risk, NO permissions)
- Gray: Neutral info (inactive event, no override)
Paavvrri Nifty Gainers/Losers DashboardPaavvrriยฎ Nifty Gainers/Losers Dashboard
Introduced an advanced Nifty Gainers/Losers Dashboard with top gainer & loser highlights, page-wise Nifty 50 support, Prev Close / Open based % change, customizable row limits, flexible table positioning & text size, and improved sorting for faster market breadth analysis. ๐
Paavvrri Sectors Returns Dashboard๐ Paavvrriยฎ Sectors Returns Dashboard โ Update Release Notes
Enhanced sector returns dashboard with multi-timeframe performance, auto-sorted rankings, and Top Gainer / Loser highlights. Added custom table positioning & text sizing, improved visuals, and optimized performance. ๐
KP Support ResistneSummary for TradingView Publication: Demand and Supply Indicator
The Demand and Supply Indicator automatically identifies and plots high-probability supply and demand zones on your chart, eliminating the need for manual zone drawing. These zones represent areas where institutional buying or selling previously caused significant price movements, making them critical for predicting future price reactions and reversals.
โ
Key Features
Automated Zone Detection: The indicator uses price action analysis to identify where aggressive buying creates demand zones (support) and aggressive selling creates supply zones (resistance)
โ
Multi-Timeframe Support: Works seamlessly across all timeframes โ from 1-minute scalping to daily swing trading โ providing consistent zone visibility regardless of chart view
โ
Zone Quality Scoring: Evaluates and scores each zone based on strength, freshness, and institutional activity to highlight the most reliable trading opportunities
โ
Visual Clarity: Supply zones appear above price (typically red), demand zones below price (typically green), with customizable colors and line thickness to match your charting style
โ
Alert System: Set up notifications for when price approaches or interacts with key zones, ensuring you never miss potential trade setups
โ
โ
Trading Applications
This indicator excels in multiple trading strategies:
โ
Identifying reversal points at untested zones
Planning trend continuation entries during pullbacks to demand (uptrends) or rallies to supply (downtrends)
Setting logical stop-loss levels below demand or above supply zones
Combining with other indicators like RSI, MACD, or volume for enhanced confirmation
โ
Why Use This Indicator
Supply and demand zones frequently mark strong turning points due to institutional order flow, often detecting reversals earlier than lagging indicators. The indicator works across all markets including forex, crypto, stocks, and futures, providing clear entry/exit points and natural risk-defined trade structures.
โ






















