Tick-Tock (UT Bot Alert + Linear Regression Candles)The video stated to use LineReg Candels indicator combined with UT Bot Alerts
Setting the inputs to the defvalues i've setted
setting the chart on heiken ashi and a 30m interval
Have in mind to follow indicator signals as a strategy, the confirmation of the signal and the entry happen in the
next open. entering always late, yes but never failing and with automation possibilities. no fakouts real backtest
as proven by the backtest this is not a good strategy! i should make a ticktok strategies series to disprove them
Always backtest strategies published in ticktock! www.facebook.com
if you have more strategies from ticktok you want dissproven hit me.
Educational
Trading Checklist - POI & iFVG StrategyInspired by Navi Trades rules of trade engagement, I'm keeping it open on the side of the chart as reminder
Watch: www.youtube.com
Read: www.notion.so
Indicators Navi Uses:
iFVG:
CCT:
VWT:
Sessions: ICT Killzones + Pivots indicator
**Strategy**
**A+ Trade (Bullish Example):**
- Wait for a H1 candle to above virgin wick(s)
- Virgin wick(s) becomes H1 Bullish POIs
- Drop to M1 and look for price to trade under POI (can be wick or close)
- Then wait for a confirmed iFVG
- (iFVG can be on either side of POI)
- Limit order on confirmation of iFVG
**TP/SL:**
- SL: Just on the other side of the iFVG or the entry candle (which ever is further/safer)
- TP: Obvious DOL OR 2R is DOL is more than 2R away
- If DOL is significantly more than 2R away, I will widen the SL a bit and lessen the TP a bit
- No partial TP, No moving SL, No trailing, No breakeven. Either SL or TP
- Risk = 10% of drawdown ($200 for $50k Lucid accounts)
- Contract size will change depending on how far SL is so I can maintain same $ risk
**A+ Rules**
- Each POI is only valid for an hour
- If still in trade at end of hour, let it play out
- No entries from XX:51
- If price already delivers off POI without giving entry I will not consider it anymore
- There must be an obvious DOL - I will not target empty space
- 1.5R MINIMUM, 2R MAXIMUM
**A+ Process:**
- Wait for iFVG alert
- Check that none of the above rules have been breached
- Check if price engaged with respective POI (bullish/bearish) - this is where indicators help (personal preference) (you still need to understand the model)
- Limit order at iFVG confirmation
- SL on other side of iFVG or entry candle (which ever is further)
- TP at clear DOL (2R max)
- If DOL is a lot more than 2R away - can widen SL a bit
**Reminders**
- Process > Profits.
- A perfectly executed red day > poorly executed green day
- Follow your system.
- Trust your edge - trading is a probabilities game.
- You can lose more than half of your trades and STILL BE PROFITABLE
- There will be losses. That is a part of this business. There is no model in the world that has a 100% win rate.
- Be grateful for the opportunity to make magic internet monies by clicking buttons on a screen
Strat Master FTFC V5Setup Ready alert fires on the close of the last โsetupโ candle (the candle right before the entry trigger candle).
Entry alert still fires intrabar when the current candle becomes 2U/2D and takes out the trigger.
Below is the fully updated, compiling Pine v5 script with:
All your reversal patterns
Real FTFC (0โ3) + flip alerts
Calls/Puts bias + strike
Gap-safe takeout (no crossover)
NEW: Setup Ready alerts for every pattern (bar-close only)
Strat Master FTFC v1Setup Ready alert fires on the close of the last โsetupโ candle (the candle right before the entry trigger candle).
Entry alert still fires intrabar when the current candle becomes 2U/2D and takes out the trigger.
Below is the fully updated, compiling Pine v5 script with:
All your reversal patterns
Real FTFC (0โ3) + flip alerts
Calls/Puts bias + strike
Gap-safe takeout (no crossover)
NEW: Setup Ready alerts for every pattern (bar-close only)
SPX 0DTE Options War Detector v2 (RELAXED)# SPX 0DTE Options War Detector v2
## Real-Time Contract Acceleration Analysis for Same-Day SPX Options Trading
---
## ๐ฏ WHAT THIS INDICATOR DOES
The SPX 0DTE Options War Detector identifies when SPX option contracts are moving **significantly faster** than the underlying SPX index itself - a critical signal for 0DTE (zero days to expiration) options traders looking for explosive intraday moves.
**Core Concept:**
When a 1 OTM call contract moves +30% while SPX only moves +0.15%, the **acceleration ratio is 200x**. This indicates gamma expansion, dealer hedging, or strong directional conviction - exactly what creates 100%+ option gains in minutes.
**This indicator tracks that acceleration in real-time and alerts you when contracts are exploding.**
---
## ๐ฅ KEY FEATURES
### 1. **Real-Time Option Contract Tracking**
- Fetches live prices for your specified call and put option contracts
- Calculates % change over customizable lookback period (default: 3 bars)
- Compares contract movement vs. SPX movement every bar
### 2. **Acceleration Ratio Detection**
- **Calculates: Contract % Change รท SPX % Change**
- Signals when ratio exceeds threshold (default: 2x)
- Example: Contract up 40% while SPX up 0.20% = 200x acceleration
### 3. **Multi-Timeframe Alignment (Optional)**
- Checks 1-minute, 5-minute, and 15-minute EMA trends
- Confirms all timeframes agree before entry (can be toggled off)
- Reduces fakeouts by requiring conviction across multiple timeframes
### 4. **Smart Entry Signals**
- ๐ **Green Arrow (CALL)**: Contract accelerating + SPX rising + bullish alignment
- ๐ฅ **Red Arrow (PUT)**: Contract accelerating + SPX falling + bearish alignment
- Only triggers during active trading hours (10am-3pm EST default)
### 5. **Automatic Exit Management**
- โ **Orange X**: Momentum dying (acceleration drops below 1x)
- โฑ๏ธ **Time Exit**: Automatic exit after 30 minutes max hold
- **"In Trade" Tracking**: Dashboard shows current position status
### 6. **Live Dashboard**
- Real-time contract prices
- % change for calls, puts, and SPX
- Acceleration ratios (with color coding)
- Multi-timeframe alignment status (โ|โ|โ)
- Winner indicator (๐) showing which side has edge
- Volume status (๐ฅ surge or ๐ด quiet)
- Session status (LIVE or CLOSED)
### 7. **Background Regime Detection**
- ๐ข **Green background**: Calls winning (higher acceleration)
- ๐ด **Red background**: Puts winning (higher acceleration)
- โช **Gray background**: Chop zone (no clear edge)
### 8. **Customizable Alerts**
- CALL ENTRY alert with acceleration details
- PUT ENTRY alert with acceleration details
- EXIT alerts when momentum dies
- All alerts include specific metrics (acceleration ratio, % changes)
---
## ๐ HOW TO USE THIS INDICATOR
### **STEP 1: Daily Setup (Most Important!)**
Every morning before market open:
1. **Open SPX Options Chain** on TradingView
2. **Find current SPX price** (e.g., 6965)
3. **Calculate 1 OTM strikes:**
- Call Strike = SPX + 5 points (e.g., 6970)
- Put Strike = SPX - 5 points (e.g., 6960)
4. **Copy exact ticker symbols** from options chain:
- Example Call: `OPRA:SPXW260113C6970`
- Example Put: `OPRA:SPXW260113P6960`
5. **Update indicator settings:**
- Click gear icon
- Paste Call Option Ticker
- Paste Put Option Ticker
- Save
**Ticker Format:**
- `OPRA:SPXW` = Prefix for SPX weekly options
- `260113` = Expiry date (YYMMDD format, Jan 13, 2026)
- `C` or `P` = Call or Put
- `6970` = Strike price
### **STEP 2: Chart Setup**
- **Symbol**: SPX (S&P 500 Index)
- **Timeframe**: 1-minute chart
- **Session**: Regular market hours (9:30am-4pm EST)
- **Indicator Settings**: Default settings work well for most traders
### **STEP 3: During Trading Hours**
**Watch for Entry Signals:**
1. Monitor the dashboard for acceleration building (50x โ 150x โ 250x)
2. Check that "WINNER" ๐ appears on one side consistently
3. Verify volume is ๐ฅ (if volume filter enabled)
4. **Wait for the arrow to print on chart**
- ๐ Green arrow up = ENTER CALL
- ๐ฅ Red arrow down = ENTER PUT
5. Check the label for exact metrics (acceleration, % changes)
**Execute Trade:**
- Entry is MANUAL (indicator provides signals, you execute)
- Enter your chosen contract size
- Set stop loss at -50% contract value (or your risk tolerance)
- Target: 50-150% gain (typical for 0DTE accelerations)
**Exit When:**
- โ Orange X appears (momentum dying)
- โฑ๏ธ 30 minutes elapsed (time-based exit)
- Dashboard shows "In Trade: NO"
- Target profit hit
- Stop loss hit
### **STEP 4: Settings Customization**
**Default Settings (Recommended for Starting):**
```
Trading Hours: 10am - 3pm EST
Acceleration Threshold: 2.0x
Contract % Threshold: 3.0%
Lookback Bars: 3
Require All Timeframes: FALSE
Require Volume Surge: FALSE
```
**If Getting Too Many Signals (>20/day):**
- Increase Acceleration Threshold to 3.0x or 4.0x
- Increase Contract % Threshold to 5.0%
- Enable "Require All Timeframes" = TRUE
- Enable "Require Volume Surge" = TRUE
**If Getting Too Few Signals (<5/day):**
- Decrease Acceleration Threshold to 1.5x
- Decrease Contract % Threshold to 2.0%
- Keep both filters OFF
---
## โ๏ธ INDICATOR SETTINGS EXPLAINED
### **Core Parameters:**
**Trading Start/End Hour**
- Default: 10am - 3pm EST
- Most volatile 0DTE action happens in these hours
- Adjust if you trade different sessions
**Min Acceleration Ratio**
- Default: 2.0x
- How many times faster contract must move vs. SPX
- Higher = fewer but stronger signals
- Lower = more signals, potentially more noise
**Min Contract % Change**
- Default: 3.0%
- Minimum % gain contract must show
- Filters out tiny movements
- Higher = more selective entries
**Lookback Bars**
- Default: 3 bars (3 minutes on 1min chart)
- Period for calculating % changes
- Shorter = more reactive to quick moves
- Longer = smoother but slower signals
**Require All Timeframes Aligned**
- Default: FALSE (only checks 1min EMA)
- When TRUE: Requires 1min, 5min, AND 15min all aligned
- Use TRUE for highest-quality signals (fewer entries)
- Use FALSE for more opportunities
**Require Volume Surge**
- Default: FALSE
- When TRUE: Only signals when volume >1.5x average
- Confirms conviction behind moves
- Can miss quiet but powerful setups if enabled
### **Option Ticker Inputs:**
**Call Option Ticker**
- MUST be updated daily for 0DTE trading
- Format: `OPRA:SPXW `
- Example: `OPRA:SPXW260113C6970`
- Find in TradingView's SPX Options Chain
**Put Option Ticker**
- MUST be updated daily for 0DTE trading
- Format: `OPRA:SPXW `
- Example: `OPRA:SPXW260113P6960`
- Usually 5-10 points below ATM strike
---
## ๐ UNDERSTANDING THE DASHBOARD
### **Dashboard Fields:**
**Price** โ Current option contract price
**% Change** โ Contract % change over lookback period (green = up, red = down)
**Accel Ratio** โ Contract % รท SPX % (green if >threshold)
**SPX % Chg** โ SPX index % change
**1m|5m|15m** โ Timeframe alignment (โ = aligned, โ = not aligned)
**WINNER** โ ๐ appears on side with higher acceleration
**Volume** โ ๐ฅ = surge, ๐ด = quiet
**In Trade** โ YES = currently tracking a position, NO = flat
**Session** โ LIVE = trading hours active, CLOSED = outside hours
### **What to Look For:**
**Strong CALL Setup:**
```
Price: 45.2
% Change: +38% (green)
Accel Ratio: 250x (green - above threshold)
SPX % Chg: +0.15%
1m|5m|15m: โ|โ|โ (all aligned)
WINNER: ๐ (call side)
Volume: ๐ฅ
In Trade: NO (ready for entry)
Session: LIVE
```
โ Wait for ๐ green arrow, then consider entry
**Strong PUT Setup:**
```
Price: 52.8
% Change: +45% (green)
Accel Ratio: 225x (green)
SPX % Chg: -0.20%
1m|5m|15m: โ|โ|โ (all aligned)
WINNER: ๐ (put side)
Volume: ๐ฅ
In Trade: NO
Session: LIVE
```
โ Wait for ๐ฅ red arrow, then consider entry
---
## ๐ก BEST PRACTICES
### **DO:**
โ
Update option tickers EVERY morning
โ
Wait for the arrow signal (don't trade dashboard alone)
โ
Exit when orange X appears (momentum dying)
โ
Respect the 30-minute max hold time
โ
Only trade during high-volume periods (๐ฅ)
โ
Start with paper trading for 5-10 days
โ
Track your actual results (not just signals)
โ
Use proper position sizing (risk 1-2% of account per trade)
### **DON'T:**
โ Trade without updating tickers daily
โ Chase signals after arrow already printed
โ Hold past exit signals "hoping" for recovery
โ Trade during lunch hour (low volume)
โ Take every signal (filter for best setups)
โ Ignore timeframe alignment when enabled
โ Trade outside 10am-3pm window (lower liquidity)
โ Risk more than you can afford to lose
---
## ๐ฏ TYPICAL USE CASES
### **Case 1: Scalper (Multiple Trades Per Day)**
- Settings: Acceleration 2.0x, All filters OFF
- Expectation: 15-20 signals per day
- Strategy: Take 5-8 best setups (๐ฅ volume + โ|โ|โ alignment)
- Hold Time: 3-10 minutes
- Target: 50-100% per trade
### **Case 2: Selective Trader (Quality Over Quantity)**
- Settings: Acceleration 3.0x, All filters ON
- Expectation: 5-8 signals per day
- Strategy: Take every signal with conviction
- Hold Time: 10-20 minutes
- Target: 100-150% per trade
### **Case 3: Trend Rider (Momentum Continuation)**
- Settings: Acceleration 2.5x, Volume ON, Timeframes OFF
- Expectation: 10-15 signals per day
- Strategy: Take signals that align with market trend
- Hold Time: 15-30 minutes
- Target: 75-125% per trade
---
## โ ๏ธ IMPORTANT DISCLAIMERS
### **Risk Warning:**
- 0DTE options are EXTREMELY high risk
- You can lose 100% of position in minutes
- Only trade with money you can afford to lose completely
- This indicator does NOT guarantee profits
- Past performance does not indicate future results
### **Not Financial Advice:**
- This is an educational tool for analyzing option acceleration
- Not a recommendation to buy or sell any security
- Consult a licensed financial advisor before trading
- The creator assumes no liability for trading losses
### **Technical Limitations:**
- Requires real-time option data subscription
- Option tickers MUST be updated daily for 0DTE
- Signals are based on historical patterns (not predictive)
- Acceleration can reverse instantly (use stops always)
- Low liquidity contracts may show false signals
### **Market Conditions:**
- Works best in trending markets (strong directional moves)
- Less effective in choppy/range-bound conditions
- High volatility days produce more signals
- Quiet days may produce few or no signals
---
## ๐ EXPECTED RESULTS
### **Signal Frequency:**
- **Relaxed Settings**: 15-20 signals per day
- **Balanced Settings**: 10-15 signals per day
- **Strict Settings**: 5-8 signals per day
### **Signal Quality:**
- **Not every signal is a trade** (filter for best setups)
- **Trending days = more signals** (this is normal)
- **Chop days = fewer quality signals** (be patient)
- **Exit signals are fast** (3-10 minutes typical for 0DTE)
### **Win Rate Expectations (Realistic):**
- **Beginner**: 40-50% win rate
- **Intermediate**: 50-60% win rate
- **Advanced**: 60-70% win rate
- **Risk/Reward**: Target 1:1 to 1:3 (with discipline)
### **Performance Factors:**
- Your entry timing (taking best vs. all signals)
- Your exit discipline (following stops)
- Market conditions (trending vs. chop)
- Position sizing (proper risk management)
- Experience level (paper trade first!)
---
## ๐ง TROUBLESHOOTING
### **"Dashboard shows NaN"**
โ Option ticker not found or no data
โ Verify ticker format is correct
โ Check strike is not too far OTM (use 1-2 OTM only)
### **"No signals generating"**
โ Check "Session" shows LIVE
โ Lower acceleration threshold (try 1.5x)
โ Disable all filters temporarily
โ Verify option tickers updated for today
### **"Too many signals"**
โ Increase acceleration to 3x or higher
โ Enable "Require All Timeframes" = TRUE
โ Enable "Require Volume Surge" = TRUE
โ Increase contract % to 5-7%
### **"Exit warnings without entries"**
โ Fixed in V2 (only shows when "In Trade: YES")
โ If still appearing, indicator may need refresh
### **"Only CALL or only PUT signals"**
โ This is NORMAL on trending days
โ Market dictates which side has edge
โ System working correctly if directional
---
## ๐ ADDITIONAL RESOURCES
### **Recommended Learning:**
- SPX 0DTE options basics and mechanics
- Gamma risk and dealer hedging concepts
- Option acceleration vs. underlying movement
- Proper position sizing and risk management
- Backtesting vs. forward testing methodology
### **Complementary Tools:**
- Bookmap (order flow analysis)
- Volume profile indicators
- Opening range breakout tools
- Volatility index (VIX) monitoring
### **Community:**
- Share your results and optimizations
- Discuss settings for different market conditions
- Report bugs or suggest improvements
- Help other traders learn the system
---
## ๐ VERSION HISTORY
**v2.0 - Relaxed Entry Conditions**
- Removed new high/low requirement (too strict)
- Made multi-timeframe alignment optional
- Made volume surge optional
- Added "In Trade" tracking to dashboard
- Fixed exit warnings appearing without entries
- Lowered default contract % threshold to 3%
**v1.0 - Initial Release**
- Core acceleration detection logic
- Multi-timeframe EMA alignment
- Dashboard with real-time metrics
- Entry and exit signal system
- Basic alert structure
---
## ๐ค CREDITS & ATTRIBUTION
**Concept:** Contract acceleration detection for 0DTE SPX options
**Methodology:** Real-time comparison of option contract movement vs. underlying index movement
**Target Audience:** Active 0DTE options traders seeking explosive intraday moves
**Development:** Collaborative refinement through live testing and user feedback
**Open Source:** This script is published for the trading community. Feel free to modify and improve, but please credit the original work.
---
## ๐ฌ FINAL NOTES
This indicator was built by traders, for traders who understand that 0DTE options require:
- **Speed** (decisions in seconds)
- **Precision** (knowing when contracts are truly accelerating)
- **Discipline** (following exits without emotion)
- **Risk Management** (proper sizing and stops)
If you use this tool, you accept the risks. If you profit from it, pay it forward by helping others learn.
**Trade smart. Trade small. Trade safe.**
---
## ๐ SUPPORT & FEEDBACK
If this indicator helps you, please:
- โญ Leave a review
- ๐ Share your optimization settings
- ๐ Report any bugs or issues
- ๐ก Suggest improvements
**Good luck, and may your acceleration ratios be ever in your favor!**
---
*Disclaimer: This indicator is for educational and informational purposes only. Trading options involves substantial risk of loss. The creator makes no guarantees of profitability and assumes no liability for trading decisions made using this tool.*
Night Mode Session | ZeeZeeMon๐ท๐บ ะะฟะธัะฐะฝะธะต (Russian)
Night Mode Session Highlight
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ะฒัะฟะพะผะพะณะฐัะตะปัะฝะพะน ะฒะธะทัะฐะปัะฝะพะน ัะธะปัััะฐัะธะธ ะณัะฐัะธะบะฐ
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ัะธะณะฝะฐะปะพะฒ ะธ ะฝะต ัะฒะปัะตััั ัะพัะณะพะฒะพะน ัััะฐัะตะณะธะตะน.
๐ฌ๐ง Description (English)
Night Mode Session Highlight
Night Mode Session Highlight is a visual indicator designed to highlight a specific time range on the chart. It allows users to mark the night trading session or any custom time interval using background shading, making it easier to analyze price behavior during selected hours.
Key Features
Highlights a custom time session on the chart
Session time input in HHMMโHHMM format
Timezone selection via dropdown list (IANA)
Customizable background color and transparency
Correct handling of sessions crossing midnight
Works on all timeframes and instruments
Settings
Night Session โ time range to be highlighted (e.g. 0000-0800)
Timezone โ timezone used for session calculation
Night Background Color โ background shading color and transparency
How It Works
The indicator checks whether the current bar belongs to the specified session using the selected timezone. If the condition is met, the chart background is filled with the chosen color.
Purpose
This indicator can be used for:
analyzing night or Asian trading sessions
visually separating trading periods
studying volatility and liquidity at different times
additional visual filtering of the chart
This indicator does not generate trading signals and is not a trading strategy.
Overlay Alerts: AMD/PLTR/NVDA (PUTS ONLYDesk Overlay Alerts: AMD/PLTR/NVDA (PUTS ONLY) VWAP Reject/Breakdown
SOP CYCLE UP (MYX:FCPOH2026)# SOP CYCLE TRAILING STRATEGY (MYX:FCPOH2026)
## Technical Overview
This strategy is designed specifically for **FCPO (Crude Palm Oil)** using the "SOP Cycle" algorithm optimized for "Exponential Growth". This technique combines the precision of Scalping with the profit potential of Trend Following.
**Timeframe:** 1 Hour (H1)
**Asset:** MYX:FCPOH2026
## How to Use (Trade Rules)
### 1. Indicator (Visual)
Add the `indicator.pine` file to your TradingView chart.
* **Green Line**: BUY Zone (Cycle Up)
* **Red Line**: SELL Zone (Cycle Down)
* **Label**: Look for "BUY" or "SELL" signals.
### 2. Strategy (Auto/Manual)
Use the `strategy.pine` file for backtesting or automation.
**Entry Rules:**
* **BUY**: When the Cycle changes from Red to **Green** (Confirmed Bar).
* **SELL**: When the Cycle changes from Green to **Red** (Confirmed Bar).
**Exit Rules (Trailing Logic):**
This strategy does not use a fixed Take Profit target. It uses a smart **Trailing Stop**:
1. Trade runs until profit reaches **3 Points** (Activation).
2. Stop Loss will automatically rise, following the price at a distance of **1 Point** (Offset).
* *Advantage*: If price rallies 50 points, we capture huge profits. If price reverses, we lock in a minimum profit.
3. **Trend Change**: If the trend reverses drastically, the system will "Force Close" to prevent large losses.
### 3. Risk Management
* **Initial Stop Loss**: 8 Points (To protect account from sudden spikes).
* **Leverage**: FCPO requires margin, ensure sufficient equity.
---
## Performance
* **Win Rate**: ~High Probability
* **Style**: Hybrid Scalp-Trend
Good Luck!
25 EMA High-Low Band with 200 EMA by Basanta25 EMA High-Low Band with 200 EMA by Basanta.
This indicator is purely for Trend Trading by observing the Exponential moving average 200.
When the price is above EMA 200 it is considered Bullish and When the price is below EMA 200 it is considered Bearish. Entry will be made in pullback of 25 EMA.
PaisaPani - Nifty Demo PerformanceThis script displays a DEMO performance table only.
It does NOT generate real-time Buy/Sell signals.
๐ PaisaPani Nifty Strategy is Invite-Only
The complete logic, entries, exits, and risk management are locked to protect users.
What this script shows
Sample Nifty trade performance (demo data)
Trade structure & outcome format
Educational / showcase purpose only
What this script does NOT do
โ No live signals
โ No automation
โ No profit guarantees
๐ฉ To request access
Please message me directly on TradingView.
โ Disclaimer
This script is for educational and demonstration purposes only.
Trading in markets involves risk. Use at your own responsibility
PaisaPani - Demo Performance๐ PaisaPani โ Demo Performance (Invite-Only)
This script is only a DEMO performance display.
It does NOT generate live Buy/Sell signals.
๐ PaisaPani Strategy is Invite-Only
The real logic, entries, exits, and risk management are locked to protect users.
What this script shows:
Sample performance table (demo data)
Trade format & consistency preview
Educational / showcase purpose only
What this script does NOT do:
โ No live signals
โ No auto trading
โ No guarantee of profits
๐ฉ To request access:
Please message me directly on TradingView.
โ Disclaimer:
This script is for educational and demonstration purposes only.
Trading involves risk. Use at your own responsibility.
Continuity ContextContinuity Context
Continuity Context is a multi-timeframe market-context indicator designed to help assess whether trend structure is aligned or fragmented across daily, weekly, and monthly timeframes. It does not generate trade signals and is intended for informational and analytical use only.
The indicator evaluates whether price is holding above a rising moving average on each timeframe and optionally confirms leadership using a weekly relative-strength comparison versus a benchmark. The objective is to highlight periods of strong structural continuity versus periods where alignment is weakening or conflicted.
This tool is designed to support context awareness, watchlist filtering, and higher-timeframe confirmation alongside your own entries, exits, and risk management rules.
________________________________________
What It Evaluates
โข Daily Continuity
Price above a rising daily moving average.
โข Weekly Continuity
Price above a rising weekly moving average.
โข Monthly Continuity
Price above a rising monthly moving average.
โข Weekly Relative Strength (optional)
Indicates whether the symbol is trading near its recent relative-strength highs versus a benchmark.
Each condition contributes to a simple alignment score shown in the on-chart dashboard.
________________________________________
Dashboard Overview
The dashboard summarizes:
โข Overall continuity tier (Full, Tactical, Repair, Conflict)
โข Alignment posture (from high alignment to unfavorable)
โข First condition currently failing, if any
โข Daily, weekly, and monthly continuity status with streak length
โข Composite alignment score
Green and red rows indicate whether individual conditions are currently satisfied, using confirmed bar-close data only.
________________________________________
How to Use
โข Market context:
Assess whether trend structure is broadly aligned or becoming fragmented.
โข Watchlist filtering:
Focus attention on symbols with stronger continuity and reduce focus on conflicted structures.
โข Strategy confirmation:
Use as a higher-timeframe filter alongside your own entry and exit logic.
โข Risk awareness:
Exercise additional caution when continuity weakens across higher timeframes.
________________________________________
How This Differs From EMA Cross Tools
Continuity Context does not rely on moving-average crossovers or signal timing. Instead, it evaluates whether trend structure remains consistently aligned across multiple timeframes, emphasizing durability and context rather than entries or exits.
________________________________________
Important Notes
โข Indicator only โ no orders are placed.
โข All calculations are evaluated on confirmed bar close.
โข No lookahead and no intentional repainting.
โข Designed to provide context, not prediction or trading signals.
Test screener to be deletedTest screener to be deleted
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TA Checklist and Kontext and VstupKontext a vstup pravidla TA, jednoduchรฉ vฤty pro vlastnรญ vstup a pลehled.
Kadunagra-Pivot Point SuperTrend-trades analysis
๐ Pivot Point SuperTrend Strategy (MA-Filtered, 100% Equity)
This strategy is a trend-following system that combines Pivot Pointโbased SuperTrend logic with a higher-timeframe Moving Average filter and percentage-based risk control.
---
๐น Core Logic
1๏ธโฃ Trend Detection (Pivot Point SuperTrend)
Uses pivot highs and lows to calculate a dynamic center line
Builds ATR-based upper and lower bands
Determines market trend:
Bullish trend when price breaks above the trailing band
Bearish trend when price breaks below the trailing band
Trend changes generate:
Buy signal โ trend flips from bearish to bullish
Sell signal โ trend flips from bullish to bearish
---
2๏ธโฃ Moving Average Trend Filter (User-Selectable)
A single Moving Average is used as a higher-timeframe confirmation
User can select the MA type from a dropdown:
SMA, EMA, WMA, VWMA, RMA, or HMA
Trade rules:
Long trades only when price is above the selected MA
Short trades only when price is below the selected MA
This helps avoid counter-trend trades and improves signal quality.
---
3๏ธโฃ Trade Execution & Position Sizing
Strategy uses 100% of account equity per trade
No pyramiding
Long and short trades are handled symmetrically
---
4๏ธโฃ Risk Management (Percentage Stop-Loss)
Uses a fixed percentage stop-loss
Stop-loss is calculated from the actual entry price:
Long SL โ Entry Price โ SL%
Short SL โ Entry Price + SL%
Ensures consistent risk control across all trades
---
โฑ Recommended Timeframe & Market
โ
Default / Optimized Use Case
Timeframe: 4-Hour (4H)
Market: BTC (Bitcoin)
MA Length (default): 200 EMA
ATR Factor & Period: Tuned for swing-style trend moves
These default parameters are best suited for 4H BTC based on trend behavior and volatility.
---
โ๏ธ Customization & Flexibility
All parameters are fully adjustable and can be optimized for:
Different timeframes (1H, Daily, etc.)
Other cryptocurrencies or markets
More aggressive or conservative risk profiles
You can modify:
Pivot period
ATR factor & period
MA type and length
Stop-loss percentage
---
๐ง Strategy Style Summary
โ Trend-following
โ MA-filtered confirmation
โ No repaint logic
โ Works best in trending markets
โ Suitable for swing trading
Peter's Relative Strength vs VTI (1 year)In Stockcharts.com, I would always view 1-year charts and have a RS line showing relative strength of the stock or ETF I'm looking at relative to VTI. When I moved to TradingView, this information was harder to see, so I made this indicator. It always shows what the stock or ETF has done relative to the wider market over the past 1 year.
ICC PRO - Complete Trading SystemICC Trading, or Indication, Correction, Continuation, is a structured day/swing trading strategy that identifies market cycles for high-probability entries, focusing on price breaking key levels (Indication), pulling back (Correction) to grab liquidity, and then resuming the trend (Continuation) for entries, emphasizing discipline and market structure over impulsive trades. It helps traders avoid chasing breakouts by waiting for pullbacks, improving timing and risk management by understanding how institutions move markets.
ICC PRO INDICATOR - Complete User Guide
1. **โ
Break of Structure (BOS) Detection**
- Automatically identifies H1 bullish and bearish BOS
- Marks HH, HL, LH, LL on the chart
- Clear visual lines showing BOS levels
2. **โ
Supply & Demand Zones**
- Automatically draws demand zones (green boxes) at swing lows
- Automatically draws supply zones (red boxes) at swing highs
- Tracks how many times each zone is tested
- Zones extend forward to show upcoming resistance/support
3. **โ
Fair Value Gap (FVG) Detection**
- Identifies bullish FVGs (blue dashed boxes)
- Identifies bearish FVGs (purple dashed boxes)
- Only shows gaps larger than minimum ATR threshold
- Highlights imbalance areas where price may return
4. **โ
Multi-Timeframe Analysis**
- H1 timeframe for BOS identification
- M15 timeframe for entry signals
- Automatic structure analysis across timeframes
5. **โ
M15 Reversal Pattern Confirmation**
- Waits for M15 to print HH+HL (bullish reversal)
- Waits for M15 to print LH+LL (bearish reversal)
- Optional: Can disable and trade without waiting
6. **โ
Confluence Rating System**
- Rates each setup from C to A+
- Scores based on: BOS + M15 Reversal + S/D Zone + FVG + R:R
- Only trade A/A+ setups for highest probability
7. **โ
Professional TP/SL Calculations**
- Multiple TP methods: H1 swing, R:R ratios, ATR multiples
- Conservative vs Aggressive SL options
- Visual TP1, TP2, and SL lines on chart
8. **โ
Enhanced Dashboard**
- Shows current ICC phase
- Displays H1 trend direction
- Shows confluence score and rating
- Real-time R:R ratio
- Zone and FVG status
## ๐ You're Ready to Trade!
The ICC PRO Indicator does the heavy lifting:
- โ
Identifies BOS automatically
- โ
Waits for proper correction
- โ
Confirms M15 reversal
- โ
Detects S/D zones
- โ
Finds FVG confluence
- โ
Calculates TP and SL levels
- โ
Rates setup quality
- โ
Sends you alerts
**Your job is simple**
1. Wait for A or A+ signal
2. Enter the trade
3. Set SL and TP from indicator
4. Manage the trade
5. Log results
**Remember**
- Discipline beats intelligence
- Quality over quantity
- Follow the system
- Trust the confluence rating
- Risk management is everything
Good luck, and may your ICC setups be A+ rated! ๐๐
Institutional Trend Engine v3.2
Institutional Trend Engine โ Version 3.2
Pine Script v5
Overlay Indicator
OVERVIEW
Institutional Trend Engine (ITE) is a market structure and participation state indicator.
It visually describes the **current condition of the chart** using institutional price-action concepts such as structure, momentum, exhaustion, and liquidity interaction.
This indicator does **not** predict future price direction.
It is designed to help traders **understand what the market is doing right now**, not what it might do next.
All signals are derived from **confirmed candle closes** and **non-repainting logic**.
CORE PHILOSOPHY
โข State, not prediction
โข Context, not signals
โข Structure before execution
โข Non-repainting, bar-close confirmed logic
This tool is meant to be used alongside discretionary analysis, not as a standalone trading system.
WHAT THE INDICATOR SHOWS
1. Market Structure
2. Structural Transitions
3. Momentum Expansion
4. Exhaustion Conditions
5. Liquidity Interaction
6. Optional Regime Visualization
Each element can be individually enabled or disabled from settings.
STRUCTURE LABELS
BOS (Break of Structure)
Printed when price breaks a prior confirmed swing high or low in the direction of the current trend.
Indicates structural continuation.
CHoCH (Change of Character)
Printed when structure breaks against the prior trend.
Indicates a potential regime shift or transition phase.
These labels describe **structure confirmation**, not entries.
MOMENTUM
Momentum labels appear when:
โข Structure changes or continues
โข Participation expands
โข Volatility supports continuation
Momentum indicates that the current directional move is being actively accepted by the market.
Momentum is a **state**, not a buy or sell signal.
EXHAUSTION
Exhaustion labels appear when:
โข Momentum weakens
โข Volatility contracts
โข Price continues without participation
Exhaustion indicates reduced energy in the current move.
It does not imply reversal.
Price may consolidate, rotate, or continue later.
LIQUIDITY SWEEP (LIQ)
Liquidity labels mark situations where:
โข Prior highs or lows are taken
โข Price immediately rejects those levels
This highlights **liquidity interaction**, not reversal signals.
Liquidity is contextual information only.
Institutions use liquidity to facilitate orders, not to predict direction.
CANDLE COLORING
Optional candle body coloring reflects the current market state:
โข Bullish participation
โข Bearish participation
โข Neutral / balanced state
โข Exhaustion phase
Wicks remain unchanged to preserve raw price information.
REGIME RIBBON (OPTIONAL)
The regime ribbon provides a soft background bias:
โข Bullish regime
โข Bearish regime
โข Transitional states
It can be:
โข Enabled or disabled
โข Color-customized
โข Transparency-adjusted
โข Auto-faded during low volatility
โข Extended to include higher-timeframe bias
This is a visual aid only, not a signal.
ALERTS
Alerts are available for:
โข BOS
โข CHoCH
โข Momentum
โข Exhaustion
โข Liquidity Sweep
All alerts trigger only on confirmed bar closes.
IMPORTANT NOTES
โข This indicator does NOT forecast future trends
โข It does NOT repaint
โข All labels are event-based and anti-spam filtered
โข Designed for zoom-safe and scale-safe charting
โข Best used with higher-timeframe context and risk management
INTENDED USE
Institutional Trend Engine is designed for:
โข Market structure analysis
โข Bias alignment
โข Trade management
โข Contextual decision-making
It is not designed for:
โข Mechanical entries
โข Signal-only trading
โข Prediction-based strategies
VERSION HISTORY
v3.0 โ Structural engine rebuild
v3.1 โ Label synchronization, liquidity integration
v3.2 โ Anti-spam refactor, regime ribbon, visual stability improvements
Institutional Trend Engine v3.2
Institutional Trend Engine โ Version 3.2
Description
Institutional Trend Engine (ITE) is a state-based market structure and
participation indicator designed to help traders understand the
current condition of the chart.
This indicator does not predict future price direction.
All signals are confirmation-based, non-repainting, and plotted
only after candle close.
ITE focuses on institutional-grade concepts such as:
Market structure (BOS & CHoCH)
Trend regime and transitions
Momentum expansion
Participation exhaustion
Liquidity interaction
All labels, candle coloring, and contextual markers reflect
what the market is doing now, not what it may do next.
This tool is intended for discretionary traders who value
structure, confirmation, and clarity over prediction.
How to Use
BOS (Break of Structure) โ Confirms continuation of the existing trend.
CHoCH (Change of Character) โ Signals a shift in market behavior.
Momentum โ Indicates expansion in participation after a structural event.
Exhaustion โ Shows fading participation and possible rotation or balance.
Liquidity Sweep โ Marks prior highs/lows taken and rejected; contextual only.
All elements are optional and can be enabled or disabled from settings.
Labels are printed only on state change to avoid clutter.
Important Notes
This indicator is not a signal generator.
This indicator is not a leading indicator.
No buy or sell recommendations are provided.
Best used alongside price action and higher-timeframe context.
Version History
v3.1 โ Structural & visual stability update
Unified label engine (no desync on zoom or scale)
Anti-spam logic across all labels
Liquidity sweep converted to boxed label
Consistent font size and label styling
Optional tooltips for all annotations
Regime ribbon support (manual, non-adaptive)
Bug fixes for barcolor and label synchronization
v3.0 โ Major architecture release
Full institutional state engine
BOS and CHoCH framework
Momentum and exhaustion detection
Liquidity sweep identification
Non-repainting, confirmation-only logic
Versioning Policy
Major changes increment X
Feature updates increment X.Y
Minor refinements increment X.Y.Z
Alpha Accumulator v3.4OVERVIEW
Alpha Accumulator is an intelligent accumulation strategy that outperforms traditional Dollar-Cost Averaging (DCA) by deploying capital proportionally to market dip severity. Instead of buying the same amount every week regardless of price, Alpha Accumulator "starves" small pullbacks and "feasts" on corrections.
The core philosophy: When the market gives you a real opportunity, take it seriously.
HOW IT WORKS
For Example:
Traditional DCA: Buy $100 every week, no matter what.
Alpha Accumulator: Buy based on how deep the dip is.
โโโโโโโโโโโโโโโโโโโฌโโโโโโโโโโโโโโโโฌโโโโโโโโโโโโโโโโโโ
โ Market Dip โ DCA Buys โ Alpha Buys โ
โโโโโโโโโโโโโโโโโโโผโโโโโโโโโโโโโโโโผโโโโโโโโโโโโโโโโโโค
โ -5% pullback โ $100 โ $200 (2x) โ
โ -10% correctionโ $100 โ $1200 (12x) โ
โ -16% deep dip โ $100 โ $3800 (38x) โ
โโโโโโโโโโโโโโโโโโโดโโโโโโโโโโโโโโโโดโโโโโโโโโโโโโโโโโโ
The result? Lower average cost, higher returns, same or similar total capital deployed.
KEY FEATURES
โฏ SMART DIP DETECTION
Combines multiple technical signals to identify high-probability accumulation zones:
โข Volume spike confirmation (panic selling = opportunity)
โข Volatility expansion (ATR/StdDev spike)
โข Price below EMAs (discount to trend)
โข Bearish structure (EMA20 < EMA50)
โฏ AUTO-DETECT SYMBOL PROFILES
Automatically selects optimized multipliers based on your chart:
โข ๐ต SPY: Low volatility โ Higher multipliers (fewer signals, must capitalize)
โข ๐ข QQQ: Medium volatility โ Balanced multipliers
โข ๐ด SMH: High volatility โ Lower multipliers (more frequent signals)
10-TIER MULTIPLIER SYSTEM
โฏ PROFESSIONAL METRICS DASHBOARD
Real-time comparison between Alpha Accumulator and traditional DCA:
โข CAGR (Compound Annual Growth Rate) - Time-weighted returns
โข Sortino Ratio - Risk-adjusted performance
โข Maximum Drawdown - Worst decline experienced
โข Capital Ratio - How much capital deployed vs DCA
โข Cost Advantage - Average cost basis improvement
MULTIPLIER PROFILES
The indicator includes 9 pre-built profiles for different risk tolerances:
SYMBOL-SPECIFIC (Auto-detected):
โข SPY Optimized
โข QQQ Optimized
โข SMH Optimized
GENERIC PROFILES:
โข Conservative - Cap ~1.0x, Max 35x (Match DCA capital)
โข Balanced - Cap ~1.2x, Max 45x
โข CAGR Balanced - Cap ~1.5x, Max 50x
โข Aggressive - Cap ~1.8x, Max 60x
โข CAGR Optimized - Cap ~2.0x, Max 65x
โข Custom - Define your own 10-tier multiplier ladder
VISUAL SIGNALS
๐ต Blue Triangle = STARVE signal (low multiplier, small buy)
๐ Orange Triangle = RAMP signal (medium multiplier)
๐ก Yellow Triangle = TRANSITION signal
๐ข Green Triangle = FEAST signal (high multiplier, big buy)
๐ Bright Green = MAX FEAST signal (maximum deployment)
Each signal displays:
โข Current multiplier (e.g., "12.5x")
โข Dollar amount to deploy
โข Entry price
SETTINGS GUIDE
DIP FINDER SETTINGS (Match to your Dip Finder indicator):
โข Vol Lookback: 65 (bars for volume average)
โข Vol Spike: 2.0x (volume must exceed this multiple)
โข Fast/Slow EMA: 20/50
โข Volatility Len: 14
โข Dip %: 2.0% (minimum price drop)
โข Min Gap: 5 bars (cooldown between signals)
STRATEGY SETTINGS:
โข DCA Buy Amount: Your regular DCA amount (e.g., $100/week)
โข Base Lump-Sum: Base amount for Alpha signals (multiplied by tier)
โข Start Date: Backtest start date
INTERPRETING RESULTS
The results table shows head-to-head comparison:
โ
ALPHA WINS when:
โข Higher CAGR (better returns)
โข Higher Sortino (better risk-adjusted returns)
โข Lower Avg Cost (buying at better prices)
โข Positive Cost Advantage %
๐ CAP RATIO explained:
โข 1.0x = Alpha deployed same capital as DCA
โข 0.5x = Alpha deployed half the capital
โข 1.5x = Alpha deployed 50% more capital
๐ฏ IDEAL SETUP:
โข Cap Ratio: 0.9x - 1.3x (similar capital to DCA)
โข Cost Advantage: +5% to +15%
โข CAGR Outperformance: +1% to +5%
โ BEST PRACTICES
1. MATCH YOUR DIP FINDER
If you use a separate Dip Finder indicator, match its settings here for consistency.
2. SET REALISTIC BASE AMOUNTS
Base Lump-Sum ร Max Multiplier = Maximum single buy
3. HAVE CAPITAL READY
Alpha Accumulator requires available capital when signals fire.
Keep a "dry powder" reserve for deep corrections.
4. TRUST THE SIGNALS
The system is designed to deploy heavily in corrections.
If you can't stomach a higher buy during a crash, lower your base amount.
5. LONG-TERM MINDSET
Best results come from multi-year holding periods.
This is an accumulation strategy, not a trading system.
ALERTS
Set up alerts to never miss a signal:
โข "Buy Signal" - Triggers on every valid dip signal
โข Includes: Symbol, Price, Multiplier, Dollar Amount, Shares to Buy
โข Bot-friendly JSON format for automated trading
DISCLAIMER
This indicator is for educational purposes only. Past performance does not guarantee future results. Always do your own research and never invest more than you can afford to lose. The multiplier system can result in very large position sizes during market corrections - ensure you have appropriate risk management in place.
Developed by Sahebson
Built for long-term accumulators who believe in buying fear






















