Liquidity ThermometerThis is a universal indicator that assesses market liquidity based on five key market parameters: volume, volatility, candlestick range, body size, and price momentum.
The indicator does not use open interest data and is suitable for all markets, including spot, futures, and Forex.
This indicator normalizes each metric historically and creates a composite index between 0 and 1, where higher values โโcorrespond to a stable and calm market environment, and lower values โโindicate periods of increased risk and potential liquidity stress.
LT generates an integral liquidity index in the range based on five normalized components:
-nVol โ normalized volume, reflecting trading density and activity.
-nATR โ the volatility component (ATR), inverted, as high volatility is typically associated with declining liquidity.
-nRange โ the normalized candlestick range, also inverted to assess the structural narrowness of the price movement.
-nBody โ the normalized candlestick body size (|close โ open|), inverted to assess the balance of supply and demand.
-nMove โ the normalized value of the price impulse movement (|ฮclose|), reflecting short-term price spikes.
Each metric is linearly normalized over a sliding window (200 bars) using the formula:
norm(x) = (x โ min) / (max โ min),
where at max = min, the value is fixed at 0.5 to ensure stability.
The ALT index is calculated as a weighted combination:
ALT = 0.35 nVol + 0.20 (1 โ nATR) + 0.20 (1 โ nRange) + 0.15 (1 โ nBody) + 0.10 (1 โ nMove)
The result is further smoothed using EMA(3) to reduce micronoise.
Red Zone (MLI < 0.25) โ Risk, Thin Liquidity
When the indicator falls into the red zone, it means the market is extremely volatile:
Characteristics:
Low volume โ small trades have a strong impact on the price.
High volatility โ candlesticks rise or fall sharply.
Wide candlestick range โ the market is "breathing heavily," easily breaking price extremes.
Impulsive movements โ small market shocks lead to sharp spikes.
Thin liquidity โ few orders in the order book, large orders "eat up" the market.
What this means for a trader:
๐ฅ High risk of spikes and false breakouts.
โ Possible series of liquidations on leverage.
โ It is not recommended to enter long or short positions without a filter or protection.
โ
Can be used for short scalping strategies if you know the entry point, but very carefully.
Green Zone (MLI > 0.75) โ High Liquidity, Safe Zone
When the indicator rises into the green zone, it means the market is stable and balanced:
Characteristics:
High volume โ the market is deep, orders are executed without a strong impact on the price.
Low volatility โ candlesticks are stable, no sharp spikes.
Narrow candlestick range โ price moves calmly.
Weak impulse movements โ no sharp surges.
Sufficient liquidity โ the market can handle large orders.
What this means for a trader:
โ
Safe zone for opening positions.
๐ Easier to set stop-loss and take-profit orders.
๐ก You can trade both up and down, the risk of sharp movements is minimal.
โก Under these conditions, there is a lower risk of spikes and accidental liquidations.
It does not predict price movements or guarantee results. It is an analytical tool intended for additional research into market structure.
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Liquidity Hour by Ibramiho v2Liquidity Hour by Ibramiho (Version 2) - Identify High-Potential Reversal Zones
Understanding the pre-New York session hour is crucial for institutional traders. This period is often characterized by increased liquidity and price volatility as major financial players prepare for the upcoming trading day. The Liquidity Hour indicator capitalizes on this phenomenon, automatically pinpointing the candle (by default, in orange) immediately before the New York session opens.
Why Focus on This Candle?
Liquidity Magnet: Institutional traders often use this hour to establish or adjust positions, creating pockets of liquidity.
Breakout and Retracement Potential: The indicator helps you spot potential areas where price might retrace after a breakout, offering high-probability trading opportunities.
Visual Clarity: The highlighted candle acts as a visual anchor, making it easy to identify these key levels on your chart.
How It Works
1. Automatic Detection: The indicator intelligently detects the pre-New York session candle, regardless of your chart's timeframe.
2. Colour Coding: The candle is highlighted in orange (customizable), instantly drawing your attention.
3. Trade Insights: Watch for price breakouts above or below the highlighted candle. When price retraces back to this level, it signals a potential entry or exit point.
Key Features
Customizable Colour: Change the highlight colour to suit your chart preferences.
Working Timeframes: Works on timeframes, from minutes up to 2 hours timeframe.
Versatile Trading: Suitable for both intraday and swing trading strategies.
Unlock the Power of Institutional Liquidity
Don't miss out on the opportunities that arise in the hour before the New York session. With the Liquidity Hour indicator, you'll gain a valuable edge by identifying key levels where price action is most likely to reverse.
Liquidity Zones (JTS)Title: Liquidity Zones (JTS)
Description:
This script marks out key liquidity zones using pivot highs and lows. It includes:
Buy-Side Liquidity (Highs): Shown in red lines
Sell-Side Liquidity (Lows): Shown in green lines
Sweep Protection: Zones will only be removed after a defined number of bars AND a true sweep beyond the level
Toggle Controls: Enable/disable highs or lows individually
Adjustable Settings: Pivot length, sweep delay, max lines, and colors
Perfect for traders looking to track untapped or recently swept liquidity.
Created by JTS
For educational and strategic use
Liquidity Heatmap [Eหฃ]๐ง Liquidity Heatmap - Free Indicator
Overview
The Liquidity Heatmap reveals where stop losses are clustered in the market - the hidden liquidity zones that smart money targets. This indicator automatically identifies Buy-Side Liquidity (BSL) above price and Sell-Side Liquidity (SSL) below price, showing you exactly where institutional traders are likely to hunt for stops before major moves.
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๐ฏ What This Indicator Does
Identifies Liquidity Zones:
โข Buy-Side Liquidity (BSL) - Stop losses from SHORT positions clustered above price
โข Sell-Side Liquidity (SSL) - Stop losses from LONG positions clustered below price
โข Automatically clusters nearby levels into high-probability zones
โข Shows liquidity strength (1-5+) - higher numbers = more stops = bigger target
โข Removes swept liquidity in real-time as price takes out stops
Visual Display:
โข ๐ด Red Zones Above Price = Buy-Side Liquidity (shorts' stops)
โข ๐ข Green Zones Below Price = Sell-Side Liquidity (longs' stops)
โข Thicker/Darker Zones = Higher liquidity concentration
โข BSL/SSL Labels = Show exact strength count
โข Triangle Markers = Liquidity sweep alerts (when price takes stops)
Smart Features:
โข Auto-removes old liquidity (customizable lookback period)
โข Clusters nearby levels to reduce noise
โข Tracks liquidity strength and age
โข Updates in real-time as new swing points form
โข Alerts when major liquidity zones are swept
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๐ How To Use This Indicator
Understanding Liquidity Concepts
What is Liquidity?
Liquidity refers to clusters of stop loss orders sitting in the market. These stops represent:
โข Long traders' stop losses (below support) = Sell-Side Liquidity
โข Short traders' stop losses (above resistance) = Buy-Side Liquidity
Why Does This Matter?
โข Institutions NEED liquidity to fill large orders
โข Price often "sweeps" liquidity zones before reversing
โข Major liquidity = major target for smart money
โข Understanding liquidity = understanding market maker behavior
The Liquidity Cycle:
1. Retail traders place stops at obvious levels (swing highs/lows)
2. Smart money identifies these clusters
3. Price is pushed to sweep the stops (liquidity grab)
4. Institutions fill their orders with this liquidity
5. Price reverses in the opposite direction
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๐ก Trading Strategies
Strategy 1: Liquidity Sweep Reversals
Best For: Swing trading, catching reversals
Timeframes: 15min, 1H, 4H, Daily
Entry Setup:
1. Identify strong Sell-Side Liquidity (SSL) zone below price
2. Wait for price to sweep down into the SSL zone
3. Look for rejection/reversal candle pattern (pin bar, engulfing)
4. Enter LONG after sweep and reversal confirmation
5. Stop loss: Below the swept liquidity zone
6. Target: Opposite liquidity zone or key resistance
Why It Works: Smart money sweeps stops to fill buy orders, then pushes price higher
Example:
โข SSL zone at $45,000 with strength 3
โข Price drops to $44,950, sweeps the SSL
โข Strong bullish reversal candle forms
โข Enter long at $45,100
โข Target: BSL zone at $47,000
Strategy 2: Liquidity-to-Liquidity Runs
Best For: Day trading, scalping
Timeframes: 5min, 15min, 1H
Entry Setup:
1. Price sweeps Sell-Side Liquidity below and reverses up
2. Identify Buy-Side Liquidity zone above
3. Enter LONG targeting the BSL zone above
4. Exit near/at the BSL zone (don't wait for sweep)
5. Stop loss: Below recent swing low
Why It Works: Price moves from liquidity pool to liquidity pool
Variation - Reverse for Shorts:
โข BSL sweep above โ Look for SSL zone below
โข Enter short targeting lower liquidity
Strategy 3: Liquidity Avoidance (Stop Placement)
Best For: Improving win rate on existing strategies
Timeframes: All
Rules:
1. NEVER place stops exactly at obvious liquidity zones
2. Place stops beyond the liquidity zone with buffer
3. Or place stops before the liquidity zone (tighter, riskier)
4. Monitor liquidity strength - avoid zones with strength 3+
Why It Works: Market makers hunt obvious stop clusters
Example:
โข Trading long, swing low at $100 (SSL zone, strength 4)
โข Bad: Stop at $99.50 (will get swept)
โข Better: Stop at $98.50 (beyond the liquidity)
โข Alternative: Stop at $100.50 (tighter, before sweep zone)
Strategy 4: Confluence Trading
Best For: High probability setups
Timeframes: 1H, 4H, Daily
Entry Setup:
1. Find liquidity zone that aligns with:
โข Major support/resistance level
โข Fibonacci retracement (0.618, 0.786)
โข Trendline
โข Round psychological number ($50,000, $2,000, etc)
2. Wait for sweep of this high-confluence zone
3. Enter on reversal with multiple confirmations
4. Larger position size justified by confluence
Why It Works: Multiple factors = institutional interest = higher probability
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โ๏ธ Settings Explained
Core Settings
Swing Detection Length (Default: 10)
โข Number of bars left/right to identify swing highs and lows
โข Lower values (5-8): More sensitive, more liquidity zones, more noise
โข Higher values (12-20): Less sensitive, only major swings, cleaner chart
โข Recommended: 8-10 for intraday, 10-15 for swing trading
Liquidity Lookback Bars (Default: 100)
โข How many historical bars to track liquidity zones
โข Lower values (50-75): Shows only recent liquidity
โข Higher values (100-200): Shows longer-term liquidity clusters
โข Zones older than this are automatically removed
โข Recommended: 100-150 for most timeframes
Zone Proximity % (Default: 0.5)
โข Percentage threshold to group nearby levels into single zone
โข Lower values (0.2-0.4): Keeps levels separate, more zones
โข Higher values (0.6-1.0): Aggressive clustering, fewer zones
โข Recommended: 0.4-0.6 for crypto, 0.3-0.5 for forex, 0.5-0.8 for stocks
Visualization Settings
Show Buy-Side Liquidity
โข Toggle ON/OFF red zones above price
โข Turn OFF if only interested in downside liquidity
Show Sell-Side Liquidity
โข Toggle ON/OFF green zones below price
โข Turn OFF if only interested in upside liquidity
Show Liquidity Labels
โข Toggle BSL/SSL labels with strength numbers
โข Turn OFF for cleaner chart appearance
โข Keep ON to see exact liquidity strength
Display Style
โข Boxes: Filled rectangular zones (best for visualizing strength)
โข Lines: Horizontal dashed lines (minimal, clean look)
โข Both: Boxes + Lines (maximum visibility)
Color Intensity
โข Low: 85% transparency (subtle, less distracting)
โข Medium: 75% transparency (balanced visibility)
โข High: 65% transparency (bold, maximum visibility)
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๐ฑ Info Panel Guide
Located in the top-right corner, the info panel provides real-time liquidity statistics:
Buy-Side Zones
โข Count of active BSL zones above current price
โข Higher number = More upside targets for price
Sell-Side Zones
โข Count of active SSL zones below current price
โข Higher number = More downside targets for price
Total Zones
โข Combined count of all active liquidity
โข Useful for gauging overall market structure
Nearest BSL
โข Distance in % to closest Buy-Side Liquidity above
โข Example: +2.5% means BSL is 2.5% above current price
โข Quick reference for next upside target
Nearest SSL
โข Distance in % to closest Sell-Side Liquidity below
โข Example: -1.8% means SSL is 1.8% below current price
โข Quick reference for next downside target
Liquidity Bias
โข โฌ๏ธ Bullish : More BSL than SSL (upside targets dominate)
โข โฌ๏ธ Bearish : More SSL than BSL (downside targets dominate)
โข โ๏ธ Balanced: Equal liquidity on both sides (range-bound)
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๐ Understanding Liquidity Strength
What Do The Numbers Mean?
Strength 1 : Single swing point
โข Light liquidity, minor target
โข Can be ignored in trending markets
โข Useful in ranging/choppy conditions
Strength 2-3 : Moderate liquidity cluster
โข Multiple nearby swing points merged
โข Decent target for intraday moves
โข Watch for potential sweeps
Strength 4-5 : Strong liquidity cluster
โข Major cluster of stops
โข High-probability target for institutions
โข Expect reactions when swept
Strength 6+ : Extreme liquidity pool
โข Massive stop cluster (rare)
โข Critical zone - high probability of sweep
โข Often marks major support/resistance
โข Ideal for confluence setups
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๐ฑ Alert Setup
This indicator includes 2 powerful alert types:
1. Buy-Side Liquidity Sweep
โข Triggers when price sweeps BSL zone above
โข Shows potential bullish reversal opportunity
โข Often precedes upward continuation after sweep
2. Sell-Side Liquidity Sweep
โข Triggers when price sweeps SSL zone below
โข Shows potential bearish reversal opportunity
โข Often precedes downward continuation after sweep
To Set Up Alerts:
1. Click the "Alert" button (clock icon) in TradingView
2. Condition: Select "Liquidity Heatmap"
3. Choose alert type: BSL Sweep or SSL Sweep
4. Configure notification method (push, email, webhook)
5. Click "Create"
Pro Tip: Set alerts for both BSL and SSL sweeps to catch opportunities in both directions
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๐ Pro Tips & Best Practices
โ
DO:
โข Wait for confirmation - Don't enter immediately on sweep, wait for reversal pattern
โข Combine with trend - SSL sweeps in uptrends = higher probability longs
โข Check multiple timeframes - 1H liquidity + 4H liquidity = strongest zones
โข Monitor strength - Focus on zones with strength 3+
โข Use proper risk management - Liquidity sweeps can go further than expected
โข Watch for re-sweeps - Sometimes liquidity zones get swept multiple times
โข Consider volume - High volume sweeps = stronger reversal potential
โ ๏ธ DON'T:
โข Don't fade strong trends - In strong trends, sweeps often continue rather than reverse
โข Don't overtrade - Not every sweep is a tradeable setup
โข Don't ignore context - Check broader market conditions and news
โข Don't use alone - Combine with price action, support/resistance, and other analysis
โข Don't place stops at liquidity - Your stops will be hunted
โข Don't expect perfection - Some sweeps fail, some zones never get hit
๐ฏ Best Timeframes:
โข Scalping: 5min, 15min (fast moves, frequent sweeps)
โข Day Trading: 15min, 1H (balanced view)
โข Swing Trading: 1H, 4H, Daily (major liquidity zones)
โข Position Trading: 4H, Daily, Weekly (institutional liquidity)
๐ฅ Best Markets:
โข Crypto (high volatility, frequent liquidity grabs)
โข Forex (EUR/USD, GBP/USD - liquid pairs)
โข Futures (ES, NQ, CL - high liquidity contracts)
โข Stocks (large caps with high volume)
โฐ Best Times:
โข Market opens (high volatility = liquidity hunting)
โข Before/after major news events
โข Session overlaps (London/NY for forex)
โข First hour and last hour of trading
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๐ What Makes This Different?
Unlike basic pivot indicators, the Liquidity Heatmap:
โข Institutional Perspective - Shows where smart money hunts stops
โข Dynamic Clustering - Automatically groups nearby levels for clarity
โข Strength Tracking - Not just where, but HOW MUCH liquidity exists
โข Auto-Cleanup - Removes swept and old liquidity automatically
โข Visual Clarity - Instant understanding of market structure
โข Actionable - Clear targets and reversal zones for trading
โข Real-Time Updates - Adapts as market structure evolves
Based On Professional Concepts:
โข Order flow analysis
โข Market maker behavior
โข Institutional trading techniques
โข Liquidity engineering principles
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๐ Common Liquidity Patterns
Pattern 1: The Double Sweep
โข Price sweeps SSL below, reverses up
โข Price sweeps BSL above, reverses down
โข Back to original range
โข Trading: Fade the second sweep for mean reversion
Pattern 2: The Cascade
โข Multiple SSL zones stacked below
โข Price sweeps first zone, continues to next
โข Chain reaction of stop losses triggering
โข Trading: Ride the momentum to lowest zone
Pattern 3: The Fake-Out
โข Price approaches liquidity but doesn't quite sweep
โข Reverses before hitting the zone
โข "Scared money" didn't wait for full sweep
โข Trading: Wait for actual sweep, don't anticipate
Pattern 4: The Absorption
โข Price sweeps major liquidity zone (strength 5+)
โข No reversal, just consolidation
โข Institutions absorbed all liquidity
โข Trading: Wait for breakout direction, likely continuation
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๐ Upgrade Your Trading Arsenal
This free indicator gives you institutional-level liquidity analysis. Want more?
๐ฅ Check out my premium scripts for:
โข Automated entry signals with liquidity confirmation
โข Multi-timeframe liquidity analysis
โข Advanced stop loss management that avoids liquidity zones
โข Backtested strategies with performance tracking
โข Custom alerts for high-probability setups
โข And much more...
๐ Visit my profile to see all available tools!
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๐ Important Notes
โข Liquidity analysis is one piece of the puzzle - use with other analysis methods
โข Not all liquidity zones get swept - some remain untouched
โข Market conditions change - adapt your strategy accordingly
โข Always use proper position sizing and risk management
โข Liquidity sweeps can be violent - use appropriate stop losses
โข Practice on demo accounts before trading with real capital
โข Past liquidity patterns don't guarantee future price action
Disclaimer: This indicator is for educational purposes. Trading involves risk. Always do your own research and never risk more than you can afford to lose.
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๐ Support This Work
If you find this indicator valuable:
โข โญ Give it a thumbs up
โข ๐ฌ Share your best liquidity sweep trades in the comments
โข ๐ Follow for more free professional-grade tools
โข ๐ Share with traders who need to understand liquidity
Got questions? Drop a comment and I'll help you master liquidity trading!
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Developed with โค๏ธ for traders who want to think like institutions
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Version History
โข v1.0 - Initial release with dynamic liquidity detection and clustering
Liquidity Zones [ActiveQuants]The Liquidity Zones indicator detects price areas where high trading volume coincides with below-average volatility , critical zones where large players often accumulate or distribute positions. Ideal for spotting potential reversal points and strategic liquidity pools.
Core Detection Formula
Liquidity Zone = (Volume > SMA(Volume, Length) ร Multiplier) AND (Short-Term Volatility < 0.5 ร Average Volatility)
Volume Surge Detection
Compares current volume to its SMA (user-defined length).
Multiplies threshold with " Volume Threshold Multiplier " parameter.
Volatility Contraction Filter
Calculates 5-bar volatility (standard deviation of closes).
Compares to average volatility over " Price Std. Dev. Length " period.
Requires short-term volatility < 50% of average.
โ KEY FEATURES
Merging Consecutive Zones
If the " Merge Consecutive Zones " option is enabled, the indicator will:
Calculate the number of consecutive bars that meet the liquidity zone criteria.
Sum the volume of these consecutive bars.
Display only the most recent label for the merged zone (previous labels in the sequence are removed).
Displays volume in either
Raw units (" Units ").
Dollar-equivalent (" Currency Value ") using closing price.
Alerts
An alert condition is built into the script. Traders can selectively enable alerts via TradingViewโs alert system. Whenever a liquidity zone is detected, an alert is triggered with the message: " High-volume and low-volatility zone detected! ".
โ USER INPUTS
- Liquidity Zones Color
Sets the background color for liquidity zones.
Default: Orange (with 70 transparency).
- Volume SMA Length
Determines the number of bars over which the volume simple moving average is calculated.
Default: 20 bars.
- Volume Threshold Multiplier
Multiplies the volume SMA to establish a threshold. A barโs volume must exceed this product to be considered high volume.
Default: 2.0.
- Price Std. Dev. Length
The period used to calculate the standard deviation of the closing prices. This is the basis for measuring average volatility.
Default: 14 bars.
- Zone Volume
A toggle to display a label with the volume value on liquidity zones.
Allows you to choose how the volume is displayed: Units (shows raw volume) or Currency Value (multiplies volume by the current closing price).
Allows you to choose the font size of the volume label.
- Merge Consecutive Zones
When enabled, volumes from consecutive liquidity zones are summed into a single total, and only the most recent label is displayed (previous labels in the sequence are removed).
Default: Enabled.
- Show Last
Specifies the number of bars back that the indicator will evaluate and plot liquidity zones.
Default: 500 bars.
- Timeframe
Analysis period.
Default: Chart.
โ CONCLUSION
The Liquidity Zones indicator is a powerful tool for traders seeking to identify key areas on the chart where liquidity is concentrated, characterized by high volume and low volatility . With customizable settings for volume analysis and volatility measurement , this indicator can be integrated into a wide range of trading strategies. It not only highlights these zones visually but also provides volume data labels and alerts for timely decision-making.
โ IMPORTANT NOTES
โ Volume and Volatility Settings: Adjust the Volume SMA Length , Volume Threshold Multiplier , and Price Std. Dev. Length to suit the typical trading volume and volatility of the asset you are analyzing.
โ Confirmed Bars Only: Signals are generated only on confirmed bars. This minimizes false signals due to intra-bar noise and also prevents indicator repainting .
โ Risk Management: Liquidity zones may signal areas of potential accumulation or distribution, but they should be used in conjunction with other technical analysis tools (e.g., support/resistance levels, trendlines, or momentum indicators). Trading involves risk, and it is recommended to combine this indicator with proper risk management techniques.
โ RISK DISCLAIMER
Trading involves substantial risk of loss. Liquidity zones indicate potential interest areas but don't guarantee price reactions. Always confirm with additional analysis and proper risk management. Past performance is not indicative of future results.
๐ Happy trading! ๐
Liquidity Sweep + BOS Retest System โ Prop Firm Edition๐ฆ Liquidity Sweep + BOS Retest System โ Prop Firm Edition
A High-Probability Smart Money Strategy Built for NQ, ES, and Funding Accounts
๐ Overview
The Liquidity Sweep + BOS Retest System (Prop Firm Edition) is a precision-engineered SMC strategy built specifically for prop firm traders. It mirrors institutional liquidity behavior and combines it with strict account-safe entry rules to help traders pass and maintain funding accounts with consistency.
Unlike typical indicators, this system waits for three confirmations โ liquidity sweep, displacement, and a clean retest โ before executing any trade. Every component is optimized for low drawdown, high R:R, and prop-firm-approved risk management.
Whether youโre trading Apex, TakeProfitTrader, FFF, or OneUp Trader, this system gives you a powerful mechanical framework that keeps you within rules while identifying the marketโs highest-probability reversal zones.
๐ฅ Key Features
1. Liquidity Sweep Detection (Stop Hunt Logic)
Automatically identifies when price clears a previous swing high/low with a sweep confirmation candle.
โ Filters noise
โ Eliminates early entries
โ Locks onto true liquidity grabs
2. Automatic Break of Structure (BOS) Confirmation
Price must show true displacement by breaking structure opposite the sweep direction.
โ Confirms momentum shift
โ Removes fake reversals
โ Ensures institutional intent
3. Precision Retest Entry Model
The strategy enters only when price retests the BOS level at premium/discount pricing.
โ Zero chasing
โ Extremely tight stop loss placement
โ Prop-firm-friendly controlled risk
4. Built-In Risk & Trade Management
SL set at swept liquidity
TP set by user-defined R:R multiplier
Optional session filter (NY Open by default)
One trade at a time (no pyramiding)
Automatically resets logic after each trade
This prevents overtrading โ the #1 cause of evaluation and account breaches.
5. Designed for Prop Firm Futures Trading
This script is optimized for:
Trailing/static drawdown accounts
Micro contract precision
Funding evaluations
Low-risk, high-probability setups
Structured, rule-based execution
It reduces randomness and emotional trading by automating the highest-quality SMC sequence.
๐ฏ The Trading Model Behind the System
Step 1 โ Liquidity Sweep
Price must take out a recent high/low and close back inside structure.
This confirms stop-hunting behavior and marks the beginning of a potential reversal.
Step 2 โ BOS (Break of Structure)
Price must break the opposite side swing with a displacement candle. This validates a directional shift.
Step 3 โ Retest Entry
The system waits for price to retrace into the BOS level and signal continuation.
This creates optimal R:R entry with minimal drawdown.
๐ Best Markets
NQ (NASDAQ Futures) โ Highly recommended
ES, YM, RTY
Gold (XAUUSD)
FX majors
Crypto (with high volatility)
Works best on 1m, 2m, 5m, or 15m depending on your trading style.
๐ง Why Traders Love This System
โ No signals until all confirmations align
โ Reduces overtrading and emotional decisions
โ Follows market structure instead of random indicators
โ Perfect for maintaining long-term funded accounts
โ Built around institutional-grade concepts
โ Makes your trading consistent, calm, and rules-based
โ๏ธ Recommended Settings
Session: 06:30โ08:00 MST (NY Open)
R:R: 1.5R โ 3R
Contracts: Start with 1โ2 micros
Markets: NQ for best structure & volume
๐ฆ Whatโs Included
Complete strategy logic
All plots, labels, sweep markers & BOS alerts
BOS retest entry automation
Session filtering
Stop loss & take profit system
Full SMC logic pipeline
๐ Summary
The Liquidity Sweep + BOS Retest System is a complete, prop-firm-ready, structure-based strategy that automates one of the cleanest and most reliable SMC entry models. It is designed to keep you safe, consistent, and rule-compliant while capturing premium institutional setups.
If you want to trade with confidence, discipline, and prop-firm precision โ this system is for you.
Good Luck -BG
Liquidity Sweep & Reversal โ Body Anchored + Risk (v6)Overview
The Liquidity Sweep & Reversal โ Locked to Price (v6) indicator identifies liquidity sweeps around major swing highs and lows, confirming reversals when price closes back inside the swept level.
All signals are locked to price (bottom of green candle for BUY, top of red candle for SELL), so they remain perfectly aligned when zooming or scaling.
This indicator is ideal for swing traders and scalpers who trade reversals, liquidity events, and reclaim structures.
How It Works
Detects confirmed swing highs and lows using a pivot-based structure.
Waits for a liquidity sweep โ when price wicks beyond a recent swing.
Confirms a reclaim when price closes back inside the previous swing level.
Triggers a BUY or SELL signal anchored to the candle body.
Automatically calculates stop loss and risk using ATR and your inputs.
Input Settings
Swing Detection
Swing Detection Strength: How many bars confirm a swing pivot. Higher = stronger swings.
Bars to Confirm Reclaim: Number of bars after a sweep for price to close back within the swing zone.
Swing Proximity %: How close price must come to a swing to count as a liquidity sweep.
Trend Filter (optional)
Use EMA Trend Filter: When enabled, only BUY in uptrend and SELL in downtrend.
Fast EMA Length / Slow EMA Length: Define EMAs used to detect trend direction.
Risk & Stop Management
ATR Length: Period for ATR calculation (volatility measurement).
Base ATR Stop Buffer (x ATR): Distance of stop loss from entry based on ATR multiplier.
Position Size (quote units): Your total position size in quote currency (e.g., USDT).
Risk % of (Position / 20): Defines how much of your position to risk per trade.
Example: (Position / 20) ร Risk % = per-trade risk.
Chart Elements
BUY Arrow (green): Appears after a liquidity sweep and reclaim near a swing low.
SELL Arrow (red): Appears after a sweep and reclaim near a swing high.
Labels: Display entry price, stop loss (SL), and calculated risk dollar value.
EMAs: Optional fast/slow moving averages for directional bias.
Dynamic Stops: Adjust automatically using ATR ร risk settings.
Trading Tips
Use BUY signals near liquidity sweeps under swing lows.
Use SELL signals near liquidity sweeps above swing highs.
Adjust swing length for different timeframes:
Lower values for scalping (3โ5)
Higher values for swing trading (7โ10)
Respect stop loss levels and use risk control settings for consistent sizing.
Combine with volume, OBV, or structure for confirmation.
Alerts
BUY โ Locked to Price: "BUY: swing low reclaimed with dynamic stop."
SELL โ Locked to Price: "SELL: swing high reclaimed with dynamic stop."
Best Use Cases
Liquidity-based reversals
Swing entry confirmation
Stop hunt reclaims
Structure-based entries
Author
Created by @roccodallas
For traders who value clean structure, risk control, and chart precision.
Liquidity Sweep ReversalOverview
The Liquidity Sweep Reversal indicator is a sophisticated intraday trading tool designed to identify high-probability reversal opportunities after liquidity sweeps occur at key market levels. Based on Smart Money Concepts (SMC) and Institutional Order Flow analysis, this indicator helps traders catch market reversals when stop-loss clusters are hunted.
Key Features
๐ฏ Multi-Level Liquidity Analysis
Previous Day High/Low (PDH/PDL) detection
Previous Week High/Low (PWH/PWL) tracking
Session highs/lows for Asian, London, and New York markets
Real-time level validation and usage tracking
โก Advanced Signal Generation
CISD (Change In State of Delivery) detection algorithm
Engulfing pattern recognition at key levels
Liquidity sweep confirmation system
Directional bias filtering to avoid false signals
โฐ Kill Zone Integration
Pre-configured optimal trading windows
Asian Kill Zone (20:00-00:00 EST)
London Kill Zone (02:00-05:00 EST)
New York AM/PM Kill Zones (08:30-11:00 & 13:30-16:00 EST)
Optional kill zone-only trading mode
๐ Customization Options
Multiple timezone support (NY, London, Tokyo, Shanghai, UTC)
Flexible HTF (Higher Time Frame) selection
Adjustable signal sensitivity
Visual customization for all levels and signals
Hide historical signals option for cleaner charts
How It Works
The indicator continuously monitors price action around key liquidity levels
When price sweeps liquidity (stop-loss hunting), it marks potential reversal zones
Confirmation signals are generated through CISD or engulfing patterns
Trade signals appear as arrows with color-coded candles for easy identification
Best Suited For
Intraday traders focusing on 1m to 15m timeframes
Smart Money Concepts (SMC) practitioners
Scalpers looking for high-probability reversal entries
Traders who understand liquidity and market structure
Usage Tips
Works best on liquid forex pairs and major indices
Combine with volume analysis for stronger confirmation
Use proper risk management - not all signals will be winners
Monitor higher timeframe bias for better accuracy
==============================================
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้ฃ้ฉๆ็คบ๏ผ ไปปไฝๆๆฏๆๆ ้ฝไธ่ฝไฟ่ฏ100%ๅ็กฎ๏ผ่ฏท็ปๅ่ชๅทฑ็ไบคๆ็ณป็ปๅ้ฃ้ฉ็ฎก็ไฝฟ็จใ
Liquidity LinesLiquidity Lines Indicator
This advanced TradingView indicator identifies key liquidity zones on your price chart by detecting bullish and bearish engulfing candles, which often signify areas where liquidity accumulates. It helps traders visually spot potential support and resistance levels created by market participantsโ stop-loss orders or pending orders.
Key Features :
-Aggregated Bars Option : Smooth out price data by grouping bars together, enabling clearer liquidity zone identification on higher timeframes or noisy charts.
-Upper Liquidity Lines : Displays dashed lines at recent highs where bearish engulfing patterns indicate potential resistance or supply zones.
-Lower Liquidity Lines : Displays dashed lines at recent lows where bullish engulfing patterns suggest potential support or demand zones.
-Customizable Colors : Choose your preferred colors for bullish (default black) and bearish (default white) liquidity lines for better visual distinction.
-Automatic Line Cleanup : Maintains chart clarity by automatically removing old liquidity lines after a configurable limit.
-Dynamic Alerts : Trigger alerts when price breaches upper or lower liquidity lines, signaling potential breakout or reversal opportunities.
Use Cases :
Liquidity Sweep with EMAThis Pine Script indicator helps traders identify potential market reversals based on liquidity sweeps, where the price moves through the previous candle's low or high and then closes above or below the previous candle's wick. These are often seen as significant market moves or liquidity grabs before a potential reversal or continuation.
The indicator is also equipped with an EMA (Exponential Moving Average) as an optional visual aid to give traders a sense of the prevailing trend, though it is not used as part of the signal generation logic.
Key Features:
Liquidity Sweep Detection:
Bullish Sweep: Triggered when the current candle sweeps below the low of the previous candle and then closes above the high of the previous candle. This indicates a potential market reversal to the upside after the liquidity sweep.
Bearish Sweep: Triggered when the current candle sweeps above the high of the previous candle and then closes below the low of the previous candle. This indicates a potential market reversal to the downside after the liquidity sweep.
EMA:
The EMA (50) is plotted on the chart for visual trend guidance. While it is not used to confirm the signals, it can help traders see if the market is in a general uptrend or downtrend.
Signal Presentation:
Buy Signal: The indicator will plot a green upward arrow below the candle when a bullish liquidity sweep is detected.
Sell Signal: The indicator will plot a red downward arrow above the candle when a bearish liquidity sweep is detected.
Timeframe Filter:
The indicator only generates signals on the following timeframes: 30-minute, 1-hour, 4-hour, and Daily. This helps to ensure the sweeps are significant and likely to result in meaningful price moves.
Alerts:
Alerts can be set up for both bullish and bearish sweep signals, so traders can be notified when these events occur.
Customizable:
EMA Length: The length of the Exponential Moving Average (EMA) can be adjusted. By default, it is set to 50, but you can modify this to fit your trading strategy.
Show EMA Option: You can toggle whether or not to display the EMA line on the chart.
How It Works:
The indicator looks for price action patterns where the current candle sweeps through the high or low of the previous candle and closes beyond the previous wick.
These patterns are often seen as potential traps, where the price initially moves in one direction (sweeping the liquidity) and then quickly reverses, making them important for traders who want to catch reversals or breakouts after a liquidity sweep.
The EMA (50) gives a general trend direction but doesn't directly affect the trade signals. It serves as a visual reference for trend analysis.
Potential Use Cases:
Reversal Trading: Traders can use this indicator to catch reversals after a liquidity sweep. The green upward arrows may indicate a bullish reversal, while the red downward arrows may indicate a bearish reversal.
Trend Trading: The EMA can help traders gauge the overall market trend. If the price is above the EMA, the market may be in an uptrend, and traders may focus on bullish sweeps. Conversely, if the price is below the EMA, the market may be in a downtrend, and traders may focus on bearish sweeps.
Confirmation with Other Indicators: Although the EMA is not used to confirm signals in this script, it can be combined with other indicators (like RSI, Volume, or MACD) to enhance the accuracy of your trades.
Final Thoughts:
This script is designed to identify liquidity sweeps and price reversals based on price action alone, without relying on complex indicators. The optional EMA serves as a helpful tool for understanding the overall market trend. Itโs ideal for traders looking to spot potential reversal points after significant price sweeps and is suitable for multiple timeframes (30m, 1h, 4h, Daily).
You can use this description to help potential users understand the functionality of your indicator when publishing it on TradingView or selling it as an invite-only script. Let me know if you need any adjustments or further details!
Liquidity + Engulfment StrategyThis strategy identifies potential trading opportunities by combining bullish and bearish engulfing candle patterns with liquidity seal-off points. The logic is based on the concept of engulfing candles, which signal a shift in market sentiment, and liquidity lines, which represent local price extremes (highs and lows) that can indicate potential reversal or continuation points.
Key Features:
Mode Selection
The strategy allows for three modes: "Both", "Bullish Only", and "Bearish Only". Users can choose whether to trade both directions, only bullish setups, or only bearish setups.
Time Range
Users can define a specific time range for when the strategy is active, enabling tailored analysis and trade execution over a desired period.
Engulfing Candles
Bullish Engulfing: A candle that closes above the high of the previous bearish candle, signaling potential upward momentum.
Bearish Engulfing: A candle that closes below the low of the previous bullish candle, indicating a potential downtrend.
Liquidity Seal-Off Points
The strategy detects local highs and local lows within a specified lookback period, which can serve as critical support and resistance points.
A bullish signal is triggered when the price touches a lower liquidity point (local low), and a bearish signal is triggered at a higher liquidity point (local high).
Signal Confirmation
Signals are only triggered when both an engulfing candle and the price action at a liquidity seal-off point align. This helps filter out weaker signals.
Consecutive signals are prevented by locking the trade direction after an initial signal and waiting for the liquidity line to be broken before re-triggering a signal.
Entry and Exit Conditions
The strategy can enter both long (bullish) or short (bearish) positions based on the mode and signals.
Exit is based on opposing signals or reaching predefined stop-loss and take-profit levels.
Alerts
The strategy supports alert conditions to notify users when bullish engulfing after a lower liquidity touch or bearish engulfing after an upper liquidity touch is detected.
Liquidity weighted SupertrendOverview
The Liquidity Weighted Supertrend Indicator (LWST) is an advanced iteration of the traditional Supertrend indicator, meticulously crafted to improve trend detection by incorporating liquidity into its calculations. By weighting price movements according to trading volume, the LWST becomes more responsive to significant market activities, offering traders a more accurate depiction of market trends.
Indicator Description
The Liquidity Weighted Supertrend Indicator is a versatile and adaptive tool designed to assist traders in recognizing trends and potential reversal points within the market. This indicator features two operational modes: Aggressive and Smoothed, allowing traders to tailor trend detection to their specific trading style and market conditions.
Key Features
Two Supertrend Modes:
Aggressive Mode: This mode offers more responsive signals, ideal for short-term trading. It utilizes an Exponential Moving Average (EMA) to smooth the price data, resulting in quicker reactions to market changes.
Smoothed Mode: This mode provides more stable signals, suitable for longer-term trading, by employing a Simple Moving Average (SMA). Note that when "Smoothed" mode is selected, the "Fast MA length" input is not utilized, focusing instead on producing smoother trend lines.
LWMA Calculation:
The Liquidity Weighted Moving Average (LWMA) is a distinctive feature of the LWST, blending volume and price action to filter out market noise and pinpoint significant price movements. This calculation begins with the liquidity factor, determined by multiplying volume with the price change, which is then smoothed using an EMA for accuracy.
Customizable Parameters:
Factor: Adjusts the Supertrend line's sensitivity to price movements.
Supertrend Length: Defines the lookback period for the Average True Range (ATR) calculation, which affects the width of the Supertrend channel.
Fast and Slow MA Lengths: Allows customization of the fast and slow moving averages used in the LWMA calculation, offering further control over the indicator's responsiveness.
How the Indicator Works
LWMA Smoothing:
The LWST calculates liquidity by multiplying volume with the absolute difference between the close and open prices. This liquidity value is smoothed using an EMA and compared to its standard deviation, identifying significant price movements. Depending on the selected mode, the price data (hl2) is smoothed either with an EMA (in Aggressive Mode) or an SMA (in Smoothed Mode). Itโs important to note that when Smoothed mode is active, the "Fast MA length" input does not affect the output.
Visual Signals:
The Supertrend line is visually represented on the chart, with different colors indicating bullish (lime) and bearish (red) trends.
Buy and sell signals are clearly marked with arrows: green triangles indicate potential buying opportunities (when the price crosses above the Supertrend line), and red triangles suggest selling opportunities (when the price crosses below the Supertrend line).
Additional arrows may appear, signaling potential trend reversals, providing further confirmation for traders.
How to Use the Indicator
Configuring the Indicator:
Supertrend Type: Choose between Aggressive and Smoothed modes depending on your trading strategy and the current market conditions. Aggressive mode is better suited for shorter timeframes, while Smoothed mode provides more consistent signals for longer-term analysis.
Factor and Length Settings: Customize the Factor, Supertrend Length, and Moving Average lengths to fine-tune the sensitivity and responsiveness of the Supertrend line, adapting the indicator to various market environments.
Interpreting the Signals:
Trend Identification: The Supertrend line offers a clear visualization of the current market trend. A green line indicates a bullish trend, suggesting upward price movement, while a red line indicates a bearish trend, signaling potential downward price movement.
Entry and Exit Points: The arrows plotted by the LWST provide straightforward entry and exit signals. Green arrows signal potential buy opportunities, indicating that the price may continue to rise, while red arrows signal potential sell opportunities, suggesting that the price may decline. These visual cues help traders make informed decisions based on the current market trend.
Liquidity Engulfing & Displacement [MsF]Japanese below / ๆฅๆฌ่ช่ชฌๆใฏ่ฑๆใฎๅพใซใใใพใใ
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*This indicator is based on upslidedown's "Liquidity Engulfing Candles ". It's a very cool indicator. thank you.
It has 2 functions: show the Liquidity Engulfing on HTF and candle color change when displacement occurs.
=== Function description ===
1. Liquidity Engulfing on HTF
This indicator gives Liquidity Engulfing signals not only for the current candle, but also for H4 and H1 on HTF.
You can use that a bullish engulfing on H1 is a BOS on m5 and on H4 is a BOS on m15. It uses the theory of stop hunt from ICT.
Also, It's possible to fire alert.
2. Displacement
Change the color display of the candlesticks when a bullish candleStick or bearish candleStick is attached. Furthermore, by enabling the "Require FVG" option, you can easily discover the FVG (Fair Value Gap). It is a very useful function for ICT trading.
When H1 candle takes liquidity from one side and moves with an explosive move to the other side of the previous candle (displacement), it creates break of market structure on M5. Entry on discount FVG or OTE with stop loss at or below the stop hunt wick.
=== Parameter description ===
- Liquidity engulfing candles(LEC) SETTING
- Show H1 LEC โฆ Whether to show LEC for H1
- Show H4 LEC โฆ Whether to show LEC for H4
- Show Current LEC โฆ Whether to show LEC for current timeframe
- Apply Stop Hunt Wick Filter โฆ Require candle wick into prior candle retracement zone
- Apply Close Filter โฆ Require LL/HH on candle in order to print a valid engulfing signal
- DISPLACEMENT SETTING
- Require FVG โฆ Draw only when FVG occurs
- Displacement Type โฆ Displacement from open to close? or from high to low?
- Displacement Length โฆ Period over which to calculate the standard deviation
- Displacement Strength โฆ The larger the number, the stronger the displacement detected
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2ใคใฎๆฉ่ฝใใใใพใ: ไธไฝ่ถณใฎLiquidity engulfing๏ผๆตๅๆง็ฒๅพ๏ผใ่กจ็คบใใใใจใจใๅคงใใชๅคไฝใ็บ็ใใใจใใซใญใผใฝใฏ่ถณใฎ่ฒใๅคๆดใใใใจใงใใ
=== ๆฉ่ฝ่ชฌๆ ===
1. ไธไฝ่ถณใฎLiquidity engulfing
ใใฎใคใณใธใฑใผใฟใผใฏใ็พๅจใฎใญใผใฝใฏ่ถณใ ใใงใชใใไธไฝ่ถณใฎ H4 ใใใณ H1 ใซๅฏพใใฆใLiquidity engulfingใทใฐใใซใๆไพใใพใใ
H1ใฏm5ใH4ใฏm15ใงใฎไฝฟ็จใๆจๅฅจใใพใใใใใฏICTใฎในใใใใใณใ็่ซใๆดป็จใใฆใใพใใใพใใใขใฉใผใใ็บใใใใจใๅฏ่ฝใงใใ
2. ๅคไฝ๏ผDISPLACEMENT๏ผ
ๅคงใใช้ฝ็ทใ้ฐ็ทใไปใใๅ ดๅใซใใใฎใญใผใฝใฏ่ถณใใซใฉใผ่กจ็คบใๅคๆดใใพใใ
ใใใซ"Require FVG"ใชใใทใงใณใๆๅนใซใใใใจใงใFVG๏ผFair Value Gap๏ผใๅฎนๆใซ็บ่ฆใใใใจใใงใใพใใICTใใฌใผใใซใ่กใใซใใใๅคงๅคๆ็จใชๆฉ่ฝใจใชใฃใฆใใพใใ
=== ใใฉใกใผใฟใฎ่ชฌๆ ===
- Liquidity engulfing candles(LEC) SETTING
- Show H1 LEC โฆ H1ใฎLECใ่กจ็คบใใใใฉใใ
- Show H4 LEC โฆ H4ใฎLECใ่กจ็คบใใใใฉใใ
- Show Current LEC โฆ ็พๅจใฎๆ้ใฎ LEC ใ่กจ็คบใใใใฉใใ
- Apply Stop Hunt Wick Filter โฆ ใใฉใ่ถณใใใใใฏๅ
ใฟ่ถณใซใชใฃใฆใใๅ ดๅใฎใฟใซๆค็ฅใใใ
- Apply Close Filter โฆ ๏ผใคๅใฎใญใผใฝใฏใใใ็ตๅคใง่ถ
ใใฆใใๅ ดๅใฎใฟใซๆค็ฅใใใ
- DISPLACEMENT SETTING
- Require FVG โฆ FVG็บ็ๆใฎใฟๆ็ปใใ
- Displacement Type โฆ openใใcloseใพใงใฎๅคไฝใ๏ผhighใใlowใพใงใฎๅคไฝใ๏ผ
- Displacement Length โฆ ๆจๆบๅๅทฎใ่จ็ฎใใๆ้
- Displacement Strength โฆ ๅคไฝใฎๅผทใ๏ผๆฐๅญใๅคงใใใปใฉๅผทใๅคไฝใๆคๅบ๏ผ
Liquidity Sweep + FVG Entry Model//@version=5
indicator("Liquidity Sweep + FVG Entry Model", overlay = true, max_labels_count = 500, max_lines_count = 500)
// Just to confirm indicator is loaded, always plot close:
plot(close, color = color.new(color.white, 0))
// โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
// PARAMETERS
// โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
len = input.int(5, "Liquidity Lookback")
tpMultiplier = input.float(2.0, "TP Distance Multiplier")
// โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
// LIQUIDITY SWEEP DETECTION
// โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
lowestPrev = ta.lowest(low, len)
highestPrev = ta.highest(high, len)
sweepLow = low < lowestPrev and close > lowestPrev
sweepHigh = high > highestPrev and close < highestPrev
// Plot liquidity levels
plot(lowestPrev, "Liquidity Low", color = color.new(color.blue, 40), style = plot.style_line)
plot(highestPrev, "Liquidity High", color = color.new(color.red, 40), style = plot.style_line)
// โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
// DISPLACEMENT DETECTION
// โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
bullDisp = sweepLow and close > open and close > close
bearDisp = sweepHigh and close < open and close < close
// โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
// FAIR VALUE GAP (FVG)
// โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
bullFVG = low > high
bearFVG = high < low
// weโll store the last FVG lines
var line fvgTop = na
var line fvgBottom = na
// clear old FVG lines when new one appears
if bullFVG or bearFVG
if not na(fvgTop)
line.delete(fvgTop)
if not na(fvgBottom)
line.delete(fvgBottom)
// Bullish FVG box
if bullFVG
fvgTop := line.new(bar_index , high , bar_index, high , extend = extend.right, color = color.new(color.green, 60))
fvgBottom := line.new(bar_index , low, bar_index, low, extend = extend.right, color = color.new(color.green, 60))
// Bearish FVG box
if bearFVG
fvgTop := line.new(bar_index , low , bar_index, low , extend = extend.right, color = color.new(color.red, 60))
fvgBottom := line.new(bar_index , high, bar_index, high, extend = extend.right, color = color.new(color.red, 60))
// โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
// ENTRY, SL, TP CONDITIONS
// โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
var line slLine = na
var line tp1Line = na
var line tp2Line = na
f_deleteLineIfExists(line_id) =>
if not na(line_id)
line.delete(line_id)
if bullDisp and bullFVG
sl = low
tp1 = close + (close - sl) * tpMultiplier
tp2 = close + (close - sl) * (tpMultiplier * 1.5)
f_deleteLineIfExists(slLine)
f_deleteLineIfExists(tp1Line)
f_deleteLineIfExists(tp2Line)
slLine := line.new(bar_index, sl, bar_index + 1, sl, extend = extend.right, color = color.red)
tp1Line := line.new(bar_index, tp1, bar_index + 1, tp1, extend = extend.right, color = color.green)
tp2Line := line.new(bar_index, tp2, bar_index + 1, tp2, extend = extend.right, color = color.green)
label.new(bar_index, close, "BUY Entry\nFVG Retest\nSL Below Sweep",
style = label.style_label_up, color = color.new(color.green, 0), textcolor = color.white)
if bearDisp and bearFVG
sl = high
tp1 = close - (sl - close) * tpMultiplier
tp2 = close - (sl - close) * (tpMultiplier * 1.5)
f_deleteLineIfExists(slLine)
f_deleteLineIfExists(tp1Line)
f_deleteLineIfExists(tp2Line)
slLine := line.new(bar_index, sl, bar_index + 1, sl, extend = extend.right, color = color.red)
tp1Line := line.new(bar_index, tp1, bar_index + 1, tp1, extend = extend.right, color = color.green)
tp2Line := line.new(bar_index, tp2, bar_index + 1, tp2, extend = extend.right, color = color.green)
label.new(bar_index, close, "SELL Entry\nFVG Retest\nSL Above Sweep",
style = label.style_label_down, color = color.new(color.red, 0), textcolor = color.white)
Liquidity Sniper V3 (ANTI-FAKEOUT)An advanced institutional trading indicator combining liquidity pool targeting, smart money concepts, and momentum-based entries with comprehensive risk management.
๐ฏ CORE FEATURES:
- Liquidity Sniper Module: Identifies and targets major liquidity pools (PDH/PDL, PWH/PWL, Equal Highs/Lows, HVN/LVN edges)
- Anti-Fakeout Stack: 10-layer confirmation system including VWAP reclaim, micro BOS, displacement, relative volume, and mitigation entries
- Momentum Engulf Add-On: Catches high-velocity impulsive moves with engulfing candles, volume spikes, and volatility breakouts
- GARCH Volatility Filter: Dynamic volatility analysis to avoid choppy conditions
- Multi-Timeframe Confirmation: Ensures alignment across timeframes before entries
๐ SIGNAL CLASSIFICATION:
- BEST (Green): Highest probability setups with all confirmations aligned - 6.0+ score
- BETTER (Medium Green): Strong setups with most confirmations - 4.5-6.0 score
- GOOD (Light Green): Valid setups with basic confirmations - 3.0-4.5 score
๐ TRADE SCENARIOS:
S1: Liquidity Reversal - Sweeps + reversals at key levels with displacement
S2: Continuation - Trend following with VWAP mean reversion
S3: Mean Reversion - Extreme deviations (2ฯ+) with Fibonacci exhaustion
S4: Deep Sweep - 3ฯ sweeps at major liquidity with high confluence
โก MOMENTUM TRIGGERS:
- MET (Momentum Engulf): Bullish/bearish engulfing with 1.5x+ volume spike and ATR impulse
- VBT (Volatility Breakout): Range breakouts with sigma bursts and participation
๐ก๏ธ RISK MANAGEMENT:
- Dynamic TP/SL based on ATR, VWAP bands, and liquidity pools
- 3-tier targets (T1: VWAP, T2: Nearest pool, T3: 5R extension)
- Early invalidation tracking (0.5R movement monitoring)
- Minimum 2:1 RR requirement with cooldown periods
- RTH session filters and anti-spam protection
๐ TECHNICAL EDGE:
- SMT Divergence detection vs ES correlation
- CVD (Cumulative Volume Delta) divergence confirmation
- FVG (Fair Value Gap) and Order Block mitigation entries
- Equal highs/lows clustering analysis
- Volume profile HVN/LVN identification
โ๏ธ FULLY CUSTOMIZABLE:
All parameters adjustable including cooldowns, proximity thresholds, ATR multipliers, RR floors, and scenario weights.
Perfect for: ES/NQ futures, forex majors, and liquid stocks. Works on 1-15 min timeframes. Best results during NY session (9:35-11:00 AM & 1:30-3:30 PM ET).
Created for serious traders seeking institutional-grade edge with quantifiable risk/reward and high-probability setups
Liquidity-Weighted Business Cycle (Satoshi Global Base)๐ BTC-Affinity Global Liquidity Business Cycle (MACD Model)
This indicator models Bitcoinโs macroeconomic business cycle using a BTC-weighted global liquidity index as its foundation. It adapts a MACD-based framework to visualize expansions and contractions in fiat liquidity across major economies with high Bitcoin affinity.
๐ What It Does:
๐ง Constructs a Global M2 Liquidity Index from the top 10 most BTC-relevant fiat currencies
(USD, EUR, JPY, GBP, INR, CNY, KRW, BRL, CAD, AUD)
โ each weighted by its Bitcoin adoption score and FX-converted into USD.
๐ Applies a MACD (Moving Average Convergence Divergence) signal to the index to detect macro liquidity trends.
๐ข Plots a histogram of business cycle momentum (red = expansion, green = contraction).
๐ด Marks potential cycle peaks, useful for macro trading alignment.
โ๏ธ BTC Affinity-Weighted Countries:
๐บ๐ธ United States
๐ช๐บ Eurozone
๐ฏ๐ต Japan
๐ฌ๐ง United Kingdom
๐ฎ๐ณ India
๐จ๐ณ China
๐ฐ๐ท South Korea
๐ง๐ท Brazil
๐จ๐ฆ Canada
๐ฆ๐บ Australia
Weights are user-adjustable to reflect evolving capital controls, regulation, and real-world BTC adoption trends.
โ
Use Cases:
Confirm macro risk-on vs risk-off regimes for BTC and crypto.
Identify ideal entry and exit zones in macro pair trades (e.g., MSTR vs MSTY).
Monitor how global monetary expansion feeds into BTC valuations.
Liquidity + Internal Market Shift StrategyLiquidity + Internal Market Shift Strategy
This strategy combines liquidity zone analysis with the internal market structure, aiming to identify high-probability entry points. It uses key liquidity levels (local highs and lows) to track the price's interaction with significant market levels and then employs internal market shifts to trigger trades.
Key Features:
Internal Shift Logic: Instead of relying on traditional candlestick patterns like engulfing candles, this strategy utilizes internal market shifts. A bullish shift occurs when the price breaks previous bearish levels, and a bearish shift happens when the price breaks previous bullish levels, indicating a change in market direction.
Liquidity Zones: The strategy dynamically identifies key liquidity zones (local highs and lows) to detect potential reversal points and prevent trades in weak market conditions.
Mode Options: You can choose to run the strategy in "Both," "Bullish Only," or "Bearish Only" modes, allowing for flexibility based on market conditions.
Stop-Loss and Take-Profit: Customizable stop-loss and take-profit levels are integrated to manage risk and lock in profits.
Time Range Control: You can specify the time range for trading, ensuring the strategy only operates during the desired period.
This strategy is ideal for traders who want to combine liquidity analysis with internal structure shifts for precise market entries and exits.
This description clearly outlines the strategy's logic, the flexibility it provides, and how it works. You can adjust it further to match your personal trading style or preferences!
Liquidity IndicatorThe Liquidity Indicator helps identify key price levels where liquidity may be concentrated by highlighting local highs and local lows on the chart. These levels are calculated using a lookback period to determine the highest and lowest points in the recent price action.
Local Highs: Displayed as red lines, these indicate recent peaks where price has experienced rejection or a possible reversal point.
Local Lows: Displayed as green lines, these represent recent troughs where price may find support or experience a bounce.
This indicator is useful for spotting potential areas of interest for price reversal or continuation, as high liquidity zones may lead to more significant price movements.
Key Features:
Adjustable lookback period to define the scope for identifying local highs and lows.
Continuous plotting without any time restrictions, providing real-time insights into liquidity conditions.
Alerts available for when a local high or local low is detected, enabling timely market analysis.
Use Case:
This indicator can be used in conjunction with other technical analysis tools or strategies to help identify significant price levels where liquidity could impact price action. It is suitable for both intraday and swing traders looking for key price zones where potential reversals or continuations might occur.
Liquidity LevelsThe "Liquidity Levels" indicator on TradingView is designed to identify and highlight liquidity levels in the market. This indicator is based on pivot highs and lows with an adjustable offset to adjust the importance and length of the identified levels.
The strength of this indicator lies in its ability to highlight changes in liquidity levels, which can be crucial for traders. By marking pivot highs and lows, potential areas of high liquidity are highlighted, which can indicate where significant market movements or reversal points may occur.
The flexibility of whether the calculation is based on the closing price or the high/low prices allows for customisable analysis. The visual representation of liquidity levels by lines makes it easier to identify and monitor these key areas in the chart, which can provide additional value for traders.
Liquidity Channel with B/SIndicator - Liquidity Level
Which calculates the liquidity levels based on the highest high and lowest low of the specified period. It determines the middle line, upper line, and lower line of the liquidity channel. The liquidity level is the average of the upper and lower lines, and the liquidity level distance is half of the difference between the upper and lower lines.
Here, the code determines if the conditions for overbought and oversold signals are met. It compares the current closing price with the previous opening price to determine the color of the bar (red or green). If the conditions are met and the bar color matches the expected direction (red for overbought and green for oversold), the respective signals are triggered.
The code plots buy and sell signals on the chart using shape labels. It displays "Buy" labels below the bars for buy signals and "Sell" labels above the bars for sell signals. Additionally, it colors the bars in gray. The code also sets up alert conditions to send notifications when buy or sell signals occur.
*************** Please note that this is a high-level overview of the code's functionality. The specific details and calculations may vary based on the parameters and settings provided in the code.
*************** Remember, trading involves risks, and it's important to thoroughly test any strategy and consider risk management principles before using it in live trading. It's recommended to consult with a knowledgeable financial advisor or professional trader for guidance and assistance in developing and implementing trading strategies.
***************Happy trading..
I will try to share my most commonly used strategies with you as much as possible. For this, you can follow me as a source of motivation, and if you like the indicators, you can give me a rocket to make me happy, my friends! :))
Liquidity Oscillator (Price Impact Proxy)Osc > +60: liquidity is high relative to recent history โ slippage tends to be lower.
Osc < -60: liquidity is low โ expect worse fills, bigger wicks, easier manipulation.
Itโs most useful as a filter (e.g., โdonโt enter when liquidity is lowโ).
Liquidity Void Detector + Pro SignalsWhat This Indicator Does
This indicator detects โliquidity voidsโโlarge displacement candles with very high body-to-wick ratios and size significantly above recent ATRโwhere price moved rapidly and left untested areas.
It automatically draws shaded boxes for new, non-overlapping voids, shows a moveable dashboard (void fill probabilities), and provides one clean, actionable long/short signal per void when price action and momentum confirm.
How It Works
Void Detection: Candles with a body/wick ratio and size above user threshold trigger a potential liquidity void.
Box Drawing: Each new void is drawn as a shaded box (yellow/orange) that never overlaps other active voids.
Signal Confirmation: A โLONGโ or โSHORTโ label appears at the first bar within each valid void if momentum and candlestick structure align.
Dashboard: User-selectable dashboard shows up-to-date stats on remaining unfilled, partially filled, and fully filled voids.
Alerts: Built-in alerts fire when a new high-probability long/short signal is detected (user must add alerts manually).
Key Features
No overlap, no clutter: Only the latest set of boxes and a single signal per event are drawn. Oldest boxes are pruned automatically.
Momentum filter: Signals combine void and trend strength for higher conviction, filtering out weak/fake moves.
Non-repainting: Signals, boxes, and logic only use confirmed bar dataโno repaint or future leaks.
Adjustable settings: Every threshold (body/wick ratio, ATR size, maximum boxes, dashboard location, signal label size) is user-configurable.
Efficient for all timeframes and asset classes.
How to Use
Add to your chart:
Click "Add to Chart" or search โLiquidity Void Detectorโ in the indicator search panel.
Tune your inputs:
Adjust the Body/Wick Ratio and Min Size vs ATR for your market or timeframe.
Set the Void Box Length (how many bars the box displays), signal sensitivity, and maximum concurrent voids.
Move the dashboard as needed for your chart layout.
What to look for:
Yellow/orange boxes highlight recent liquidity voidsโuntested price gaps where future reactions may occur.
LONG/SHORT signals appear only where a fresh void coincides with confirmed momentum in that direction.
Dashboard tracks probability of voids remaining unfilled, being partially filled, or fully refilled by price.
Trading logic and best use:
Traders may use void boxes to anticipate where price might react, reverse, or trend continuation can resume.
Combine signals with additional price action confirmation such as S/R levels, order blocks, wick rejections, volume spikes, or patterns (e.g., pin bars, engulfing).
Use signal alerts in conjunction with order flow, session profile, or support/resistance tools for increased confluence.
Always backtest and demo trade before live use.
Important Compliance & Disclaimer
No advice: This tool provides visual context only. All trading and risk decisions are the userโs responsibility.
No repainting, original source: The code is fully open-source, uses only native Pine Script, and never repaints.
No spam, no links, no 3rd-party promotion: 100% TradingView House Rules compliant.
If you find this useful, please consider leaving a positive review, and remember to always confirm with your own analysis.
Liquidity & Momentum Master (LMM)๐ Liquidity & Momentum Master (LMM)
A professional dual-system indicator that combines:
๐ฆ High-Volume Support/Resistance Zones and
๐ RSI + Bollinger Band Combo Signals โ to visualize both smart money footprints and momentum reversals in one clean tool.
๐งฑ 1. High-Volume Liquidity Zones (Support/Resistance Boxes)
Conditions
Visible only on 1H and higher timeframes (1H, 4H, 1D, etc.)
Detects candles with abnormally high volume and strong ATR-based range
Separates bullish (support) and bearish (resistance) zones
Visualization
All boxes are white, with adjustable transparency (alphaW, alphaBorder)
Each box extends to the right automatically
Only the most important (Top-N) zones are kept โ weaker ones are removed automatically
Interpretation
White boxes = price areas with heavy liquidity and volume concentration
Price approaching these zones often leads to bounces or rejections
Narrow spacing = consolidation, wide spacing = potential large move
๐ 2. RSI Exit + BB-RSI Combo Signals
RSI Exit (Overbought/Oversold Recovery)
RSI drops from overbought (>70) โ plots red โRSIโ above the candle
RSI rises from oversold (<30) โ plots green โRSIโ below the candle
Works on 15m, 30m, 1H, 4H, 1D
โ Indicates short-term exhaustion recovery
BB-RSI Combo (Momentum Reversal Confirmation)
Active on 1H and higher only
Requires both:
โ
RSI divergence (bullish or bearish)
โ
Bollinger Band re-entry (after temporary breakout)
Combo Buy (Green Diamond)
Bullish RSI divergence
Candle closes back above lower Bollinger Band
Combo Sell (Red Diamond)
Bearish RSI divergence
Candle closes back below upper Bollinger Band
โ Confirms stronger reversal momentum compared to standard RSI signals






















