SuperMA 4hr Study w/ AlertsThis script seems to find a trend change fairy well on the 4hr with the default settings. It is adjustable for other time frames, though it seems that 4hr seems the most profitable. Enjoy.
This is the study version w/ built in alerts for automation.
Tip: 1AseP4EbtAdoGa9jKv691XC5oiNMrLwire
Cari skrip untuk "profitable"
NGRN MACD-X & RSI v4MACD-X, RSI & Volume Indicator & Alerts Study - Version 4
Overview
This study and it's associated strategy were modeled after the famous Philakone described algorithms on his now defunct instructional video series.
This indicator allows for full customisation of parameters and interaction between three indicators that allow users to shape their trading methods to their desired goals.
This associated strategy also allows users to backtest the study alerts script and find the best settings towards that end.
MACD + RSI + VOLUME - are of the most powerful and widely usded indicators, MACD/Histogram crosses, coupled with RSI & Volume increases/decreases will detects areas of deeply oversold / overbought and buys/sells on the reversal
Features
Full customisation - All parameters are open for customising to allow the trader to build their own strategy and adapt from market to market.
Clean/Simple UI - Facilitating ease of use.
Enable Buying OR Selling, - or have them both active at the same time.
Toggle off and on ALTERNATING Buy and Sell feature (pyramiding) - to allow for consecutive DCA style buys or SCALING out of an entry (partial sell).
Customizable Stop-Loss plot - to enable users to create a STOP-LOSS alert option or other alert(s) based on the plot location. See settings screenshot.
Toggle Auto Stop-Loss sell option - to enable users choose whether or not to automatically issue a sell signal when close crosses stop loss plot, or choose to toggle off if not profitable.
Customizable Take-Profit plot - to enable users to create a TAKE-PROFIT alert option or other alert(s) based on the plot location.
Study and associated Strategy - to use the TradingView โStrategy Testerโ back-testing features to find the best alert settings for specific coins in bear, bull and sideways markets.
Changes Version 4
Improved STOP-LOSS plot draw (red line).
Added the option to automatically sell when stop-loss cross triggered or have the option disabled, in the event a better profit can be achieved.
Added new TAKE-PROFIT plot (aqua line) to visually guide users where to place the TAKE-PROFIT parameter as well as give users options to create alerts based on the TAKE-PROFIT plot.
Access
Full Access is 0.1 ETH , one time fee for LIFETIME access to the STUDY indicator, STRATEGY and future updates as well as support and SETTINGS for various markets on the Binance Exchange.
Settings
SCREENSHOT LINKS:
BUY SETTINGS: prntscr.com
SELL SETTINGS: prntscr.com
GBTC Premium to NAV IndicatorWhen bitcoin is in an uptrend, a very profitable strategy is to buy GBTC when premium to NAV is low, and sell when it reaches extremes. This can be far more profitable than buying bitcoin itself.
SignalToSignal.com Volume Trend AdvisorThe Signal to Signal Volume Trend Advisor is a proprietary volume and priced-based trend predictor. Leveraging over 20 years of volume-price trading and systems development, we utilize proprietary Volume Spread Analysis ( VSA ) concepts and internal market dynamics to alert you visually and in real time of an imminent trend change.
The indicator was developed to keep autonomous trading systems on track while a trader is away from their charts. While it is meant to be used in conjunction with other trading systems and methods as a filter or as confluence, VTA also stands strongly on its own.
The trend analysis algorithm indicates trend changes visually and in realtime based on static, non-lagging market information. This means that the Volume Trend Advisor does not and cannot repaint, ensuring any signal received is valid and actionable.
Large moves are captured and even trades that result in a small loss when taken to the next signal generally move some significant amount in the direction of the signal, meaning that given proper trade management, even a failed trend can still be profitable.
Because the indicator works using volume and price data, the Volume Trend Advisor works well on any chart. We personally use the indicator to successfully trade Stocks, Forex, Commodities, and Crypto Charts such as Bitcoin ( BTC ).
To gain access to the Volume Trend Advisor, please visit our website - signaltosignal.com
If you have any questions, please contact us through the Contact link on our website - signaltosignal.com
DARVAS BOX by KIVANร fr3762What Is the Darvas Box?
The Darvas Box strategy was developed by Nicholas Darvas. Aside from being a well known dancer, he began trading stock in the 1950s. Based on his success in trading, he was approached to write a book on his strategy. The book, โHow I Made $2,000,000 in the Stock Market,โ outlines his rather simple approach โฆ simple once you understand the basic concepts and rationale of the strategy.
Darvas Box is an indicator that simply draws lines along highs and lows, and then adjusts them as new highs and lows form. The indicator is available on many trading platforms, such as Thinkorswim. Traders may wish to draw their own boxes though, based on recent highs and lows; Darvas was able to do so (based on telegram quotes) more than half a century ago.
Darvas Box Rules
I shall not follow advisory services.
I shall be cautious of broker advice.
I shall ignore Wall Street sayings or truisms, no matter how ancient or revered.
I shall only trade stocks on major exchanges with adequate volume .
I shall not listen to (or trade off of) rumors or tips, no matter how well researched they may sound.
I will use a sound strategy instead of gambleโฆI must study this strategy (originally this approach was fundamental analysis , which didnโt work for him, so he developed his Darvas Box trading method).
I will hold one position for longer, as opposed to juggling a bunch of positions for a short period of time.
Darvas looked for increasing volume when selecting stocks to trade; this alerted him to stocks that were being accumulated and were likely to see strong trends.
Darvas believed in buying stocks that presented an upper box limit breakout, but also had an upward Earnings trend. This was especially the case when the major indexes had experienced a decline.
When an upper box limit is broken, buy. From his book, the entry price was usually about 1 to 2% above the upper box limit.
If you enter a trade and the price proceeds to drop out of the new box, and back into the old box, exit the trade.
Entry and stop loss orders should be set in advance, so trades arenโt missed and risk is controlled.
Place, and trail the stop loss order to below the low of the most recent box. This initial stop loss was pretty tight, because Darvas assumed when a price broke out of an old box, it was entering a new box. Therefore, the stop was placed just below the high of old box which was just broken (low of new box).
Record trades, including reasons why you entered and exited.
General conditions of the market must favor buying. Donโt buy stocks when the major indexes are in a bear market, or when volume is flat or declining.
If you are stopped out, but the price moves back into the higher box again providing another buy signal, buy again, using the same stop loss location.
Since the stop is being trailed up, more funds can be added on each consecutive breakout.
The Bottom Line
Nicholas Darvas was a dancer, but committed a great deal of time to developing and then mastering his stock trading method. Itโs a trend following method based on breakouts to higher boxes. Risk is controlled by placing a stop below new higher boxes as they form. During choppy conditions the strategy wonโt be profitable. This is why Darvas also attempted to only trade stocks with increasing volume and rising Earnings . Trading his method requires a lot of discipline, but can produce big profits when strong trends develop.
source: traderhq.com
Creator: Nicholas DARVAS
Gambit Trading Suite v3.0Gambit Trading Suite v3.0
New features:
* Better trading algorithms
* Every feature and candle color can now be fully customized
* Better RSI Divergence logic
* Built in trading alerts
* Cleaner code
& more!
The Gambit Trading Suite was designed to combine all of the best signals into one single indicator. This suite should tell you everything you need to know about price.
Try this indicator for FREE! Leave a comment below and we will give you access to the trading suite generally within 72 hours.
Quick Setup (after you have been granted access):
1. Navigate to any chart and right click on the background. Click on "Insert Indicator."
2. Click on "Invite-Only Scripts" and you will see the Gambit Trading Suite as an option. Click it to add it to your chart.
3. By default, the majority of the indicators are disabled. Click the gear icon to the right of the indicator name at the top left of your chart. It should be the second button after "Gambit Trading Suite v3.0."
4. After opening the config menu, you can enable whichever indicators you want.
(For the complete step-by-step setup guide & full indicator documentation, please send me a message)
Confirmed Reversals
These offer the best locations to buy/long with the least risk. The majority of the time they turn out to be the reversals from bearish price action. If the trade does not turn profitable immediately, the algorithm is designed to fail as soon as possible so you can close at breakeven or a very small loss. The profitable trades can be left to run. Over time and when stacked with other indicators, these entries can increase the profitability of your trades and reduce your losing ones. Confirmed Reversals on the chart show up as the letter C with an arrow upwards. They are blue in the example above.
Colored Candles
Helps you to see the strength of the trend in real-time, and helps you to make smarter trade entries and exits.
Bullish Breakout = Blue
Bullish Unconfirmed Reversal = Yellow
Bullish Trend (Weak) = Pistachio Green
Bullish Trend (Strong) = Lime Green
Bearish Breakdown = Dark Purple
Bearish Pivot (1 to 3 candles bearish bias) = Orange, shown with a downward arrow and the letter B on the chart. The signal fails if a future candle closes above the orange one.
Bearish Trend = Red
Stalled After Price Breakout = Olive Green
Neutral Pivot , Minor Bullish Bias = Bright Purple
Neutral / No Trend = Gray
Gambit Daily & Weekly Levels
These provide dynamically-updated daily and weekly support and resistance levels. It is very common to see price retest these levels, so it offers a decent place to set alarms or bids.
RSI Divergences
The Gambit Trading Suite posts green flags for bullish RSI divs, and red flags for bearish RSI divs. Both hidden and regular divergences are marked.
Gambit StochRSI Grid (This indicator is listed separately. Please visit my profile page to get it)
This indicator highlights StochRSI overbought/oversold values for 1D, 2H, 1H, & 30m timeframes (From top to bottom. Timeframes can be changed in settings).
If the lower three timeframes are all overbought/oversold, a direction arrow will show, suggesting the direction of the trend. By default, there are four available timeframes tracked, three of which are low timeframe and one is for a quick-glance at the 1D. Only the lower three are utilized for printing arrow signals.
Public indicators:
For your convenience, we have bundled the most commonly requested indicators inside the suite. They include:
Ichimoku Cloud (Optimized for the cryptocurrency markets by default but it can be optimized to any settings)
EMA #1 (Shown as purple and pink crosses in the example above)
EMA #2 (Shown as pink crosses)
Bollinger Bands
Pivot Points
For a detailed step-by-step setup guide & full documentation on the indicators, feel free to message me.
TZv420simplified version of TZ original. With Alert function
Transient Zones (v420)
I drew the trades on the arrow signals so you can see, its not all win, but with good money management and other ways of finding Target points (MA's or Pivots or Fib or Structure etc)
It is profitable. No repaint, No offset
Gambit Trading Suite v2.49Gambit Trading Suite v2.49
The Gambit Trading Suite was designed to combine all of the best signals into one single indicator. This suite should tell you everything you need to know about price.
Try this indicator for FREE! Leave a comment below and we will give you access to the trading suite generally within 24 hours.
Quick Setup (after you have been granted access):
1. Navigate to any chart and right click on the background. Click on "Insert Indicator."
2. Click on "Invite-Only Scripts" and you will see the Gambit Trading Suite as an option. Click it to add it to your chart.
3. By default, the majority of the indicators are disabled. Click the gear icon to the right of the indicator name at the top left of your chart. It should be the second button after "Gambit Trading Suite v2.49."
4. After opening the config menu, you can enable whichever indicators you want.
(For the complete step-by-step setup guide & full indicator documentation, please send me a message)
Private indicators:
Confirmed Reversals
These offer the best locations to buy/long with the least risk. The majority of the time they turn out to be the reversals from bearish price action. If the trade does not turn profitable immediately, the algorithm is designed to fail as soon as possible so you can close at breakeven or a very small loss. The profitable trades can be left to run. Over time and when stacked with other indicators, these entries can increase the profitability of your trades and reduce your losing ones.
Colored Candles
Helps you to see the strength of the trend in real-time, and helps you to make smarter trade entries and exits.
Bullish Breakout = Blue
Bullish Unconfirmed Reversal = Yellow
Bullish Trend (Weak) = Pistachio Green
Bullish Trend (Strong) = Lime Green
Bearish Breakdown = Dark Purple
Bearish Pivot (1 to 3 candles bearish bias) = Orange
Bearish Trend = Red
Stalled After Price Breakout = Olive Green
Neutral Pivot, Minor Bullish Bias = Bright Purple
Neutral / No Trend = Gray
Daily & Weekly S&R Levels
These provide dynamically-updated daily and weekly support and resistance levels. It is very common to see price retest these levels, so it offers a decent place to set alarms or bids.
Candle Structure Labeling
For newer traders, we offer the ability to have every candle automatically labeled by its structure, whether it is a bullish harami, bearish engulfing, etc. We also offer a small bar at the bottom for price hints so you can see a quick summary of whether the current candle is bullish or bearish.
RSI Divergences
The Gambit Trading Suite posts green flags for bullish RSI divs, and red flags for bearish RSI divs. Both hidden and regular divergences are marked.
Gambit StochRSI Grid (This indicator is listed separately. Please visit my profile page to get it)
This indicator highlights StochRSI overbought/oversold values for 1D, 2H, 1H, & 30m timeframes (From top to bottom. Timeframes can be changed in settings).
If the lower three timeframes are all overbought/oversold, a direction arrow will show, suggesting the direction of the trend. By default, there are four available timeframes tracked, three of which are low timeframe and one is for a quick-glance at the 1D. Only the lower three are utilized for printing arrow signals.
Public indicators:
For your convenience, we have bundled the most commonly requested indicators inside the Gambit suite in order to allow you to get up to 10 indicators enabled at once. The public included indicators are:
Ichimoku Cloud
EMA #1
EMA #2
Bollinger Bands
Pivot Points
For a detailed step-by-step setup guide and complete documentation on the indicators (as well as best practices on how to use the Gambit Trading Suite), feel free message me.
Leave a comment below to try the Gambit Trading Suite for FREE.
I_Heikin Ashi CandleWhen apply a strategy to Heikin Ashi Candle chart (HA candle), the strategy will use the open/close/high/low values of the Heikin Ashi candle to calculate the Profit and Loss, hence also affecting the Percent Profitable, Profit Factor, etc., often resulting a unrealistic high Percent Profitable and Profit Factor, which is misleading. But if you want to use the HA candle's values to calculate your indicator / strategy, but pass the normal candle's open/close/high/low values to the strategy to calculate the Profit / Loss, you can do this:
1) set up the main chart to be a normal candle chart
2) use this indicator script to plot a secondary window with indicator looks exactly like a HA-chart
3) to use the HA-candle's open/close/high/low value to calculate whatever indicator you want (you may need to create a separate script if you want to plot this indicator in a separate indicator window)
Ichimoku EMA BandsSome find Ichimoku Clouds bit complicated. This simplified version is combined with EMA Bands may be profitable. Give a try!. I recommend hourly timeframe for good results. Aye! :D
BACKTEST SCRIPT 0.999 ALPHATRADINGVIEW BACKTEST SCRIPT by Lionshare (c) 2015
THS IS A REAL ALTERNATIVE FOR LONG AWAITED TV NATIVE BACKTEST ENGINE.
READY FOR USE JUST RIGHT NOW.
For user provided trading strategy, executes the trades on pricedata history and continues to make it over live datafeed.
Calculates and (plots on premise) the next performance statistics:
profit - i.e. gross profit/loss.
profit_max - maximum value of gross profit/loss.
profit_per_trade - each trade's profit/loss.
profit_per_stop_trade - profit/loss per "stop order" trade.
profit_stop - gross profit/loss caused by stop orders.
profit_stop_p - percentage of "stop orders" profit/loss in gross profit/loss.
security_if_bought_back - size of security portfolio if bought back.
trades_count_conseq_profit - consecutive gain from profitable series.
trades_count_conseq_profit_max - maxmimum gain from consecutive profitable series achieved.
trades_count_conseq_loss - same as for profit, but for loss.
trades_count_conseq_loss_max - same as for profit, but for loss.
trades_count_conseq_won - number of trades, that were won consecutively.
trades_count_conseq_won_max - maximum number of trades, won consecutively.
trades_count_conseq_lost - same as for won trades, but for lost.
trades_count_conseq_lost_max - same as for won trades, but for lost.
drawdown - difference between local equity highs and lows.
profit_factor - profit-t-loss ratio.
profit_factor_r - profit(without biggest winning trade)-to-loss ratio.
recovery_factor - equity-to-drawdown ratio.
expected_value - median gain value of all wins and loss.
zscore - shows how much your seriality of consecutive wins/loss diverges from the one of normal distributed process. valued in sigmas. zscore of +3 or -3 sigmas means nonrandom realitonship of wins series-to-loss series.
confidence_limit - the limit of confidence in zscore result. values under 0.95 are considered inconclusive.
sharpe - sharpe ratio - shows the level of strategy stability. basically it is how the profit/loss is deviated around the expected value.
sortino - the same as sharpe, but is calculated over the negative gains.
k - Kelly criterion value, means the percentage of your portfolio, you can trade the scripted strategy for optimal risk management.
k_margin - Kelly criterion recalculated to be meant as optimal margin value.
DISCLAIMER :
The SCRIPT is in ALPHA stage. So there could be some hidden bugs.
Though the basic functionality seems to work fine.
Initial documentation is not detailed. There could be english grammar mistakes also.
NOW Working hard on optimizing the script. Seems, some heavier strategies (especially those using the multiple SECURITY functions) call TV processing power limitation errors.
Docs are here:
docs.google.com
CM Stochastic POP Method 1 - Jake Bernstein_V1A good friend ucsgears recently published a Stochastic Pop Indicator designed by Jake Bernstein with a modified version he found.
I spoke to Jake this morning and asked if he had any updates to his Stochastic POP Trading Method. Attached is a PDF Jake published a while back (Please read for basic rules, which also Includes a New Method). I will release the Additional Method Tomorrow.
Jake asked me to share that he has Updated this Method Recently. Now across all symbols he has found the Stochastic Values of 60 and 30 to be the most profitable. NOTE - This can be Significantly Optimized for certain Symbols/Markets.
Jake Bernstein will be a contributor on TradingView when Backtesting/Strategies are released. Jake is one of the Top Trading System Developers in the world with 45+ years experience and he is going to teach how to create Trading Systems and how to Optimize the correct way.
Below are a few Strategy Results....Soon You Will Be Able To Find Results Like This Yourself on TradingView.com
BackTesting Results Example: EUR-USD Daily Chart Since 01/01/2005
Strategy 1:
Go Long When Stochastic Crosses Above 60. Go Short When Stochastic Crosses Below 30. Exit Long/Short When Stochastic has a Reverse Cross of Entry Value.
Results:
Total Trades = 164
Profit = 50, 126 Pips
Win% = 38.4%
Profit Factor = 1.35
Avg Trade = 306 Pips Profit
***Most Consecutive Wins = 3 ... Most Consecutive Losses = 6
Strategy 2:
Rules - Proprietary Optimization Jake Will Teach. Only Added 1 Additional Exit Rule.
Results:
Total Trades = 164
Profit = 62, 876 Pips!!!
Win% = 38.4%
Profit Factor = 1.44
Avg Trade = 383 Pips Profit
***Most Consecutive Wins = 3 ... Most Consecutive Losses = 6
Strategy 3:
Rules - Proprietary Optimization Jake Will Teach. Only added 1 Additional Exit Rule.
Results:
Winning Percent Increases to 72.6%!!! , Same Amount of Trades.
***Most Consecutive Wins = 21 ...Most Consecutive Losses = 4
Indicator Includes:
-Ability to Color Candles (CheckBox In Inputs Tab)
Green = Long Trade
Blue = No Trade
Red = Short Trade
-Color Coded Stochastic Line based on being Above/Below or In Between Entry Lines.
Link To Jakes PDF with Rules
dl.dropboxusercontent.com
Vervoort Heiken Ashi Candlestick OscillatorHeiken-Ashi Candlestick Oscillator (HACO), by Sylvian Vervoort, is a digital oscillator version of the colored candlesticks.
Explanation from Vervoort:
"HACO is not meant to be an automatic trading system, so when there is a buy or sell signal from HACO, make sure it is confirmed by other TA techniques. HACO will certainly aid in signaling buy/sell opportunities and help you hold on to a trade, making it more profitable. The behavior of HACO is closely related to the level and speed of price change. It can be used on charts of any time frame ranging from intraday to monthly."
HACO has 2 configurable length parameters - "UP TEMA length" and "Down TEMA length". Vervoort suggests having them the same value.
I have also added an option to color the bars (overlay mode).
More info:
Trading with the Heiken-Ashi Candlestick Oscillator - Sylvian Vervoort
List of my other indicators:
- GDoc: docs.google.com
- Chart:
DEnvelope [Better Bollinger Bands]*** ***
Bollinger Bands (BB) usually expand quickly after a volatility increase but contract more slowly as volatility declines. This extended time it takes for BB to contract after a volatility drop can make trading some instruments using BB alone difficult or less profitable.
In the October 1998 issue of "Futures" there is an article written by Dennis McNicholl called "Better Bollinger Bands", in which the author recommends improving BB by modifying:
- the center line formula &
- different equations for calculating the bands.
These bands, called "DEnvelope", follow price more closely and respond faster to changes in volatility with these modifications.
Fore more indicators, check out my "Master Index of indicators" (Also check my published charts page for new ones I haven't added to that list):
More scripts related to DEnvelope:
------------------------------------------------
- DEnvelope Bandwidth: pastebin.com
- DEnvelope %B : pastebin.com
Sample chart with above indicators: www.tradingview.com
Gann Volume Swing (GVS)## **Gann Volume Swing (GVS) Indicator**
*Professional Hybrid Volume-Gann Reversal Detector*
### **Core Concept & Purpose**
The Gann Volume Swing (GVS) indicator is a sophisticated trading tool designed to identify high-probability reversal points by integrating three key market dimensions: **volume dynamics**, **geometric price levels**, and **momentum confirmation**. Developed for serious technical traders, GVS addresses the common challenge of distinguishing meaningful breakouts/reversals from temporary noise.
The indicator operates on the principle that **significant volume expansions** at **precise geometric support/resistance levels** (derived from Gann theory) often precede substantial price movements. By combining these elements with traditional momentum filters (RSI, MACD), GVS provides a multi-factor approach to market timing.
### **Theoretical Foundation**
The methodology synthesizes:
1. **Wyckoff's Volume-Price Relationship**: Volume precedes and confirms price action
2. **Gann's Geometric Trading**: Price moves in predictable angular patterns from swing points
3. **Modern Momentum Filters**: Additional confirmation from established oscillators
This creates a robust framework that respects both classical technical analysis and contemporary trading psychology.
---
## **TECHNICAL ARCHITECTURE**
### **1. Volume Engine Module**
```
Inputs:
โข Volume MA Period (20): Smoothing window for volume baseline
โข Volume Multiplier (2.0): Threshold for "abnormal" volume detection
Calculation Logic:
Current Volume > AND
Current Volume >
Output: Boolean flag signaling institutional-grade participation
```
### **2. Gann Geometry Module**
```
Pivot Detection:
โข Swing Highs: PivotHigh(25,25) - Identifies significant peaks
โข Swing Lows: PivotLow(25,25) - Identifies significant troughs
Line Generation:
โข 1x1 Lines: Base angular lines from pivots (45-degree equivalents)
โข 2x1 Lines: Secondary steeper/flatter lines (dynamic angles)
Key Parameter:
โข Gann Sensitivity (0.5): Controls line steepness (0.1=flat, 1.0=steep)
```
### **3. Signal Generation Logic**
```
Long Signal =
+ + + +
Short Signal =
+ + + +
Anti-Whipsaw Protection:
โข 5-bar cooldown between same-direction signals
โข Proximity threshold: 0.5รATR from Gann lines
```
### **4. Visualization System**
```
Primary Elements:
โข Real-time Gann lines (4 colors, 2 styles)
โข Signal markers (โฒ/โผ triangles)
โข Bar coloring (lime/red highlights)
Display Control:
โข Toggle Gann lines on/off
โข Adjust transparency levels
โข Custom alert configurations
```
---
## **QUICK REFERENCE CARD**
**GANN VOLUME SWING (GVS)**
*Volume-Powered Geometric Reversal Indicator*
### **๐ง PARAMETER SETTINGS**
**VOLUME GROUP**
`Volume MA Period`: 20 (14-30 range)
`Volume Multiplier`: 2.0 (1.5-2.5 optimal)
**GANN GROUP**
`Swing Period`: 50 bars (pivot sensitivity)
`Gann Sensitivity`: 0.3-0.5 (adjust for market type)
**FILTERS GROUP**
`RSI Period`: 14 (standard)
`Use Filters`: ON (recommended)
**DISPLAY GROUP**
`Show Gann Levels`: ON
`Cooldown Bars`: 5 (prevents signal flooding)
### **๐ฏ SIGNAL INTERPRETATION**
**LONG SETUP (Green โฒ)**
- Volume spike (2ร average) + Price at Gann support + Bullish candle
- Entry: Close of signal bar
- SL: 1.5รATR below support line
- TP: Next Gann resistance or 2:1 R/R
**SHORT SETUP (Red โผ)**
- Volume spike + Price at Gann resistance + Bearish candle
- Entry: Close of signal bar
- SL: 1.5รATR above resistance line
- TP: Next Gann support or 2:1 R/R
### **๐ VISUAL ELEMENTS KEY**
**LINES**
- `Solid Green`: 1x1 Support (primary)
- `Solid Red`: 1x1 Resistance (primary)
- `Blue Dots`: 2x1 Support (secondary)
- `Orange Dots`: 2x1 Resistance (secondary)
**MARKERS**
- `โฒ Below Bar`: Long signal
- `โผ Above Bar`: Short signal
- `Bar Coloring`: Confirmation highlight
### **โ๏ธ OPTIMIZATION GUIDE**
**TRENDING MARKETS**
- Sensitivity: 0.2-0.3 (shallower angles)
- Volume Multiplier: 1.8-2.0
- Filters: Strict (RSI 65/35)
**RANGING MARKETS**
- Sensitivity: 0.6-0.8 (steeper angles)
- Volume Multiplier: 2.2-2.5
- Filters: Moderate (RSI 70/30)
**HIGH VOLATILITY**
- Increase ATR multiplier to 0.7-1.0
- Extend cooldown to 7-10 bars
- Require stronger volume confirmation
### **๐ซ LIMITATIONS & NOTES**
**KNOWN CONSTRAINTS**
- Less effective in extremely choppy markets
- Requires adequate historical data (200+ bars)
- Volume reliability varies by asset class
- Gann lines repaint as new pivots form
**BEST PRACTICES**
- Combine with higher timeframe trend analysis
- Use on 1H+ charts for reliability
- Wait for close confirmation before acting
- Track win rate by market condition
**ALERT CONFIGURATION**
- Enable both Long/Short alerts
- Set to "Once Per Bar Close"
- Include ATR distance in alert message
- Log all signals for performance review
---
## **TRADING SYSTEM INTEGRATION**
### **Recommended Confluence Factors**
1. **Trend Alignment** (Higher timeframe direction)
2. **Market Structure** (Support/Resistance clusters)
3. **Economic Context** (News event proximity)
4. **Session Timing** (High-volume trading hours)
### **Risk Management Protocol**
- Maximum risk: 1% per trade
- Correlation limit: 2 simultaneous GVS signals
- Daily loss cap: 3% of portfolio
- Weekly review of signal accuracy
### **Performance Metrics to Track**
- Signal-to-Noise ratio (profitable signals/total)
- Average Reward/Risk achieved
- Best/worst market conditions
- Optimal parameter sets per asset
---
## **SUMMARY**
The **Gann Volume Swing** indicator represents a sophisticated approach to technical analysis, blending time-tested principles with modern computational techniques. By focusing on the confluence of **unusual volume**, **geometric price levels**, and **momentum confirmation**, it provides traders with a structured framework for identifying high-quality setups.
**Ideal User Profile**: Intermediate to advanced traders comfortable with multi-factor analysis, geometric concepts, and disciplined risk management.
**Disclaimer**: This tool generates probabilities, not certainties. Always combine with comprehensive market analysis and strict risk control measures.
---
**Version**: 5.0
**Category**: Volume + Geometric Analysis
**Complexity**: Advanced
**Best Timeframe**: 1H - Daily
**Recommended Assets**: Liquid stocks, major Forex pairs, indices
Session Trader - Optimal Hours๐ Overview
Never miss the best trading hours again! This indicator provides a comprehensive, real-time session tracker that shows you EXACTLY when to trade crypto and when to stay out of the market. Automatically converts all times to your local timezone, highlights the current active session, and shows what's coming next.
Perfect for crypto traders who want to maximize profits by trading during high-liquidity, high-volume sessions while avoiding choppy, low-liquidity periods that lead to losses.
โจ Key Features
๐ฏ Real-Time Session Tracking
LIVE indicator shows which session is currently active with bright highlighting
NEXT UP feature highlights the upcoming session when between trading periods
Smart header displays current status at a glance
Real-time countdown timers for every session (opens/closes)
๐ 6 Critical Trading Sessions Covered
โ
BEST TRADING SESSIONS (Green):
London Open (07:00-09:00 UTC) - High volatility kickoff, institutional orders
London-NY Overlap (13:30-15:30 UTC) - THE BEST period! Maximum liquidity & volume
NY Momentum (15:30-18:00 UTC) - Strong trending moves, continuation plays
โ AVOID TRADING SESSIONS (Red):
4. Pre-Asia Quiet (21:00-00:00 UTC) - Low liquidity, erratic moves, wide spreads
5. Asia Lunch (03:30-05:00 UTC) - Choppy markets, whipsaws, unreliable patterns
6. Post-US Drift (20:00-21:00 UTC) - Market slows, unpredictable behavior
๐ Automatic Timezone Conversion
Times display in YOUR chart timezone - no manual conversion needed!
Works in Berlin, New York, Tokyo, Sydney, or anywhere in the world
Switch between 12-hour and 24-hour formats
๐จ Visual Clarity
Active TRADE sessions = Bright green background, impossible to miss
Active AVOID sessions = Bright red background, clear warning
NEXT UP session = Orange highlight when between sessions
Inactive sessions = Faded gray, stays out of your way
Color-coded status column with clear โ TRADE or โ AVOID indicators
โ๏ธ Fully Customizable
9 table positions (top-left, top-right, bottom-center, etc.)
6 text sizes (tiny to huge) for any screen size
Toggle individual sessions on/off
Show/hide descriptions for cleaner view
Custom colors for each session type
Countdown timer toggle
๐ Built-In Alerts
Automatic alerts when TRADE sessions start
Alerts when AVOID sessions begin (so you don't enter bad conditions)
Customizable per session
๐ How To Use
Basic Setup:
Add indicator to any crypto chart (BTC, ETH, etc.)
Times automatically convert to your chart's timezone
Watch the header - shows current session or next upcoming
Look for bright colors:
๐ข Bright green = TRADE NOW
๐ด Bright red = AVOID NOW
๐ Orange = NEXT UP (coming soon)
Trading Strategy:
Focus on GREEN sessions (London Open, London-NY Overlap, NY Momentum)
Avoid RED sessions (Pre-Asia Quiet, Asia Lunch, Post-US Drift)
Prepare for ORANGE sessions (next up - get ready!)
Use countdown timers to plan entries/exits perfectly
Pro Tips:
London-NY Overlap is the BEST - highest volume, tightest spreads, cleanest trends
First 30 minutes of London can have quick reversals - use caution
NY Momentum is perfect for riding trends with trailing stops
NEVER trade during Asia Lunch - choppy, unpredictable, costs you money
Post-US Drift looks tempting but often leads to whipsaws
๐ง Indicator Settings
Display Options:
Table Position: Choose from 9 positions on your chart
Text Size: Auto, Tiny, Small, Normal, Large, Huge
Time Format: 12-hour (AM/PM) or 24-hour format
Show Countdown: Toggle real-time countdown timers
Show Description: Toggle detailed session descriptions
Highlight Next Session: Orange highlight for upcoming session
Session Toggles:
Enable/disable any of the 6 sessions individually:
London Open
London-NY Overlap
NY Momentum
Pre-Asia Quiet
Asia Lunch
Post-US Drift
Color Customization:
Active TRADE session color (default: bright green)
Active AVOID session color (default: bright red)
NEXT UP session color (default: orange)
Inactive session color (default: faded gray)
Alerts:
Individual alert toggles for each session
Alerts fire when sessions start (not every bar)
Includes context in alert message
๐ Session Details
๐ข London Open (07:00-09:00 UTC)
Status: TRADE โ
Characteristics:
London opens with high volatility as European traders enter
Major institutional orders create significant price movements
Perfect for breakout and trend-following strategies
Watch for quick reversals in first 30 minutes
Good liquidity and volume
๐ข London-NY Overlap (13:30-15:30 UTC)
Status: TRADE โ
THE BEST TRADING PERIOD!
Maximum liquidity as London & NY markets overlap
Institutional volume peaks, creating clean trends
Reliable technical setups, tightest spreads
Best execution quality
Focus on momentum and breakout trades
๐ข NY Momentum (15:30-18:00 UTC)
Status: TRADE โ
Characteristics:
Strong directional moves as US market dominates
Trending behavior ideal for position trades
Continuation patterns highly reliable
Major news impact is highest during this period
Use trailing stops to ride trends effectively
๐ด Pre-Asia Quiet (21:00-00:00 UTC)
Status: AVOID โ
WARNING:
Pre-Asian session with minimal liquidity
Thin order books cause erratic price action
Fake breakouts and stop-hunting common
Wide spreads increase trading costs
High risk, low reward - wait for better conditions
๐ด Asia Lunch (03:30-05:00 UTC)
Status: AVOID โ
WARNING:
Asian lunch break creates choppy, directionless markets
Low volume leads to whipsaws and false signals
Market makers widen spreads significantly
Technical patterns unreliable
Not worth the risk - take a break!
๐ด Post-US Drift (20:00-21:00 UTC)
Status: AVOID โ
WARNING:
Post-US session as major markets close
Liquidity dries up, causing unpredictable moves
High slippage risk
Market enters consolidation before Asian open
Better to wait for next quality session
๐ฏ Who Is This For?
Perfect for:
โ
Crypto day traders who want to maximize profits by timing the markets
โ
Scalpers who need high liquidity and tight spreads
โ
Swing traders who want to enter during optimal conditions
โ
Beginners who need clear guidance on when to trade
โ
Anyone tired of choppy sessions that eat away profits
Ideal Markets:
Bitcoin (BTC/USD, BTC/USDT)
Ethereum (ETH/USD, ETH/USDT)
Major altcoins (SOL, XRP, ADA, etc.)
Any 24/7 crypto market
๐ก Why Session Timing Matters
Trading crypto during low-liquidity sessions is one of the biggest mistakes traders make:
โ Trading during bad sessions causes:
Wider spreads (higher costs per trade)
Choppy, unpredictable price action
Fake breakouts and stop-hunting
Poor trade execution and slippage
Emotional frustration and overtrading
โ
Trading during optimal sessions gives you:
Tight spreads (lower costs)
Clean, trending price action
Reliable technical patterns
Better execution quality
Higher win rates and confidence
The difference between a profitable trader and a losing trader is often WHEN they trade, not HOW they trade.
๐ Technical Details
Version: Pine Script v6
Type: Overlay indicator (table display)
Repainting: Non-repainting (all times are fixed to session schedules)
Updates: Real-time on every bar
Performance: Lightweight, no lag
Compatibility: Works on any timeframe (1m to 1D+)
๐ Best Practices
Plan your trading schedule around GREEN sessions
Set alerts for session starts so you never miss opportunities
Use the countdown to prepare entries/exits in advance
Combine with your strategy - this indicator tells you WHEN, your strategy tells you WHAT
Respect the RED sessions - discipline is profit
Keep descriptions ON when learning, turn OFF for cleaner charts later
๐ Updates & Support
This indicator is actively maintained. Future updates may include:
Session volume statistics
Historical session performance tracking
Additional regional sessions
More customization options
Beast Mode PRO v4.0# Beast Mode PRO v4.0 - Advanced Multi-Regime Trading System
## Overview
Beast Mode PRO v4.0 is a sophisticated technical analysis indicator designed for active traders seeking high-probability setups across multiple timeframes. This system combines machine learning-inspired clustering algorithms with traditional technical analysis to identify market regimes and generate precision entry signals. The indicator adapts to different trading styles through intelligent preset configurations and multiple trading modes.
---
## Core Methodology
### Signal Generation Framework
The indicator employs a **multi-component voting system** that analyzes market conditions through several independent technical perspectives:
**Technical Components:**
- **RSI (Relative Strength Index)**: Momentum oscillator measuring overbought/oversold conditions
- **Fisher Transform**: Price transformation technique that normalizes price distributions for clearer turning points
- **DMI (Directional Movement Index)**: Trend strength indicator measuring directional pressure
- **Z-Score Analysis**: Statistical measure identifying price deviations from historical norms
- **Moving Average Ratio**: Price relationship to its moving average baseline
- **MFI (Money Flow Index)**: Volume-weighted momentum indicator
- **Stochastic Oscillator**: Momentum indicator comparing closing price to price range
- **CCI (Commodity Channel Index)**: Measures current price level relative to average price level
### Clustering Engine
The system utilizes a **k-means inspired clustering algorithm** that categorizes each technical indicator's normalized values into distinct market regimes (bullish, bearish, neutral). This approach:
1. **Normalizes** all indicators using z-score transformation over a historical lookback window
2. **Clusters** normalized values using percentile-based thresholds
3. **Aggregates** individual votes into a composite score ranging from -100 to +100
4. **Smooths** the composite score using selectable methods (SMA, EMA, WMA, HMA, TEMA, DEMA)
The clustering percentiles adapt dynamically based on current market volatility (ATR-normalized), ensuring the system remains responsive across different market conditions.
---
## Trading Modes
### 1. Normal Mode
Standard crossover-based signals using fixed thresholds (+10/-10). Suitable for balanced trading with moderate signal frequency.
### 2. Scalper Mode
Dynamic threshold adjustment based on recent score volatility. Generates more frequent signals by adapting to short-term price movements.
### 3. Aggressive Mode
Reversal-focused approach that triggers signals when the composite score crosses extreme levels (+80/-80), targeting major trend reversals.
### 4. Hybrid Mode
Combines Normal and Aggressive signals, capturing both standard crossovers and extreme reversals for comprehensive market coverage.
### 5. Super Scalper Mode
Ultra-responsive mode using signal line crossovers (14-period HMA of composite score) for maximum trade frequency.
### 6. Sniper Mode (Premium Feature)
Multi-confirmation system requiring alignment of:
- Composite score threshold breach
- Positive fast momentum (10-period SMI)
- Positive trend momentum (200-period SMI)
- Price above/below smart trend filter MA
This mode prioritizes precision over frequency, filtering out low-probability setups.
---
## Timeframe Presets
Pre-optimized configurations for common trading timeframes:
### 1 Minute Preset
- Fast smoothing (10-period WMA)
- Tight chop filter (61.8 threshold)
- Optimized for rapid scalping with minimal lag
### 2 Minute Preset
- Balanced smoothing (12-period EMA)
- Enhanced volume filtering
- Moderate cooling period (5 bars)
### 3 Minute Preset
- HMA smoothing for reduced lag
- Stochastic and CCI enabled
- Balanced approach for intraday trading
### 5 Minute Preset
- TEMA smoothing for trend following
- Stronger filters to reduce noise
- Extended lookback (1000 bars)
### 15 Minute Preset
- DEMA smoothing for swing positions
- Maximum filtering configuration
- All technical indicators enabled
- Suitable for swing trading and position building
Users can also select "Custom" to manually configure all parameters.
---
## Advanced Filtering System
### 1. Choppy Market Filter
Uses Choppiness Index calculation to identify consolidating markets. When CI exceeds the threshold, signals are suppressed to avoid whipsaw trades.
### 2. Smart Trend Filter
Configurable moving average (SMA/EMA/WMA/HMA/TEMA/DEMA/VWMA/RMA) that prevents counter-trend signals. Long signals require price above the MA, shorts require price below.
### 3. Volume Filter
Compares current volume to its moving average. Signals are suppressed when volume falls below the specified multiplier of average volume.
### 4. ATR Volatility Filter
Prevents trading during low volatility periods when ATR falls below its moving average multiplied by the specified factor.
### 5. Session Filter
Time-based filtering for Asia, London, New York, or combined sessions. Ensures trading only during preferred market hours.
### 6. Multi-Timeframe Confirmation
Optionally requires higher timeframe alignment before generating signals, adding confluence for higher probability trades.
### 7. Cooling Off Period
Prevents signal clustering by enforcing a minimum number of bars between consecutive signals.
---
## Smart Money Concepts Integration
### Order Block Detection
Identifies institutional supply/demand zones using multi-timeframe analysis:
- Detects strong directional candles followed by breakout moves
- Volume confirmation ensures significance
- Customizable timeframe selection (current TF or higher TF: 5m, 15m, 30m, 1H, Daily)
- Visual boxes mark active order blocks with automatic expiration after lookback period
- Price interaction alerts when touching active zones
### Liquidity Zones
Marks equal highs (EQH) and equal lows (EQL) where stop losses typically cluster, indicating potential reversal or breakout points.
---
## Momentum Analysis
### Fast Momentum (Default: 10-period)
Short-term momentum oscillator using Stochastic Momentum Index (SMI) calculation. Provides early warning of momentum shifts.
### Trend Momentum (Default: 200-period)
Long-term momentum gauge confirming overall trend direction. Used in Sniper Mode for multi-confirmation.
### Momentum Divergence Detection
Automatically identifies:
- **Regular Divergence**: Price makes new high/low but momentum doesn't (reversal signal)
- **Hidden Divergence**: Price makes higher low/lower high but momentum doesn't (continuation signal)
---
## Visual Components
### Price Chart Overlay
- **Smart Trend MA**: Dynamically colored moving average based on price position
- **EMA Cloud**: 50/200 EMA cloud showing long-term trend (background shading)
- **Trend Background**: Subtle background coloring based on composite score
- **Order Block Boxes**: Institutional supply/demand zones
- **Entry/Exit Markers**: Clear visual signals with emoji labels
- **Liquidity Markers**: EQH/EQL identification
### Bar Coloring
Bars change color based on active mode and market regime:
- **Sniper Mode**: Purple (bull) / Pink (bear)
- **Aggressive Mode**: Bright Green / Bright Red
- **Super Scalper**: Neon Green / Neon Red
- **Timeframe Presets**: Unique color schemes per preset
- **Choppy/Neutral**: Always gray regardless of mode
### Oscillator Pane
- **Composite Score Line**: Gradient-colored stepline showing current regime strength
- **Fast/Trend Momentum**: Optional overlays (gold/cyan colors)
- **Divergence Markers**: Visual alerts for regular, hidden, and momentum divergences
- **Power Zones**: Overbought/oversold regions (80/-80 levels)
- **Dynamic/Fixed Thresholds**: Visual reference lines based on active mode
### Interactive Dashboards
**Main Dashboard** displays:
- Active preset/mode configuration
- Real-time indicator values and votes
- Current market status (active/choppy/counter-trend/low volume/low ATR/MTF misalignment)
- Regime classification (Strong Long/Long/Neutral/Short/Strong Short)
- Smart Trend MA status
**Performance Dashboard** shows:
- Exit strategy (Fixed TP/SL, Trailing Stop, Opposite Signal)
- Total trades and win rate
- Total points and average per NY session
- Profit factor and recovery factor
- Best/worst trades and max drawdown
- Maximum winning/losing streaks
- Sharpe ratio and average risk:reward
**TP Optimizer** (33 variations tested):
- Tests take profit levels from 40 to 200 ticks (5-tick increments)
- Sortable by: Profit Factor, Win Rate, Total Points, Sharpe Ratio
- Displays top 5 configurations with full metrics
- Real-time optimization during backtesting
---
## Backtest Engine
### Exit Strategies
**1. Fixed TP/SL**
- Configurable in Ticks, ATR multiples, or Percentage
- Precise risk management with predefined targets
**2. Exit on Opposite Signal**
- Closes position when counter-signal appears
- Adapts to changing market conditions
- Useful for trend-following approaches
**3. Trailing Stop**
- Dynamic stop loss that follows profitable moves
- Configurable trailing offset percentage
- Locks in profits while allowing trends to develop
### Risk Management
- Optional minimum risk:reward filter
- Prevents trades below specified R:R threshold
- Date range filtering for historical analysis
- Session-based performance tracking
### Performance Metrics
- Win rate, profit factor, Sharpe ratio
- Maximum drawdown and recovery factor
- Consecutive win/loss streaks
- Average win/loss analysis
- Gross profit vs gross loss breakdown
---
## Alert System
Comprehensive alert conditions for:
- Entry signals (Long/Short)
- Exit events (TP/SL/Opposite/Trailing)
- Trend signals (Strong bullish/bearish)
- Divergences (Regular/Hidden/Momentum)
- Order block detection and touches
- Multi-condition strong signals (all confirmations aligned)
---
## How to Use
### Quick Start
1. Select your preferred timeframe preset (1m, 2m, 3m, 5m, 15m, or Custom)
2. Choose a trading mode (Normal, Scalper, Aggressive, Hybrid, Super Scalper, or Sniper)
3. Configure session filter to match your trading hours
4. Enable desired filters (choppy, trend, volume, ATR, MTF)
5. Set your exit strategy and TP/SL levels
6. Monitor signals on price chart and oscillator pane
### Optimization Workflow
1. Enable "Run TP Optimizer" in backtest settings
2. Run backtest on historical data
3. Review Optimizer Dashboard for best TP levels
4. Sort by preferred metric (Profit Factor, Win Rate, Total Points, Sharpe)
5. Apply winning configuration to live trading
### Advanced Configuration
- Customize individual indicator lengths and enable/disable specific components
- Adjust clustering parameters (lookback window, percentiles, cluster count)
- Fine-tune smoothing methods and lengths
- Configure order block detection timeframe and sensitivity
- Set cooling off period to control signal frequency
---
## Unique Features
1. **Adaptive Clustering**: Volatility-adjusted percentiles ensure consistent performance across market conditions
2. **Multi-Mode Architecture**: Six distinct trading modes from conservative to ultra-aggressive
3. **Timeframe Intelligence**: Pre-optimized presets eliminate guesswork for common timeframes
4. **Smart Money Integration**: Order block detection and liquidity zone marking
5. **Comprehensive Backtesting**: Three exit strategies with 33-variation TP optimization
6. **Visual Clarity**: Mode-specific bar coloring and clean chart presentation
7. **Filter Stack**: Seven-layer filtering system prevents low-quality signals
8. **Real-Time Metrics**: Live performance tracking with advanced statistics
---
## Benefits
- **Reduced False Signals**: Multi-confirmation clustering approach filters noise
- **Adaptability**: Works across timeframes and market conditions through preset system
- **Transparency**: Open visualization of all component votes and filtering status
- **Risk Management**: Built-in TP/SL optimization and R:R filtering
- **Time Efficiency**: Preset configurations save hours of manual optimization
- **Educational Value**: Dashboard shows exactly why signals trigger or get filtered
- **Professional Tools**: Institutional concepts (order blocks, liquidity zones) accessible to retail traders
---
## Best Practices
- Use Sniper Mode for high-probability setups during volatile markets
- Enable choppy filter during consolidation periods
- Combine Smart Trend Filter with MTF confirmation for swing trades
- Run TP Optimizer monthly to adapt to changing market dynamics
- Monitor Sharpe Ratio in addition to win rate for risk-adjusted performance
- Use session filters to avoid low-liquidity hours
- Start with preset configurations before custom optimization
---
## Technical Requirements
- TradingView Premium/Pro/Pro+ for full feature access
- Minimum chart history: 500 bars (adjustable in clustering settings)
- Works on all instruments (stocks, forex, crypto, futures)
- Compatible with standard candles (Heikin Ashi optional but not recommended for backtesting)
---
## Disclaimer
This indicator is a technical analysis tool designed to assist trading decisions. It does not guarantee profits and should be used in conjunction with proper risk management, fundamental analysis, and personal trading experience. Past performance does not indicate future results. Users should thoroughly test the indicator on demo accounts before live trading.
---
**Version**: 4.0
**Language**: Pine Script v6
**Type**: Overlay Indicator with Oscillator Pane
**Calculation**: On bar close (default) or real-time (configurable)
SuperTrend Long/Short Signals With FibonacciโBy using the updated version of the previously published indicator with a Fibonacci extension, you can obtain multiple take-profit levels and make profitable trades.
Wishing you plenty of profits.
Star V12โญ Star Engine โ Multi-Component, Multi-Timeframe Trade Execution System
The Star Engine is a stateful trade execution and analytics system designed to transform indicator confluence into structured, measurable trade runs. Rather than producing isolated buy/sell signals, the engine decomposes market behavior into pressure, confirmation, event grouping, and trade lifecycle management. Each component plays a specific role, and no single component is sufficient on its own. Below is a detailed breakdown of each subsystem and why it exists.
๐ฃ Bomb Engine โ Directional Pressure Measurement
The Bomb Engine is responsible for identifying directional pressure in the market. It evaluates whether price action exhibits sustained momentum in one direction, independent of whether that direction is immediately tradable.
What Bomb Uses
Bomb aggregates momentum- and trend-oriented inputs such as MACD-based momentum direction, momentum persistence and continuation logic, directional bias filters, and impulse strength evaluation. All inputs are evaluated across multiple timeframes, with each timeframe contributing independently.
How Bomb Works
Each timeframe produces a directional contribution (bullish, bearish, or neutral). Contributions are aggregated into a net Bomb total. The total is mapped into discrete tone buckets (blue, green, red, black, etc.). Higher totals indicate stronger directional dominance.
What Bomb Tells You
Bomb answers one question: Is there directional pressure building or persisting? It does not determine entry timing, exhaustion, or trade quality. Bomb is context, not execution. This allows Bomb to be early without being responsible for precision.
โจ Golden Engine โ Structural Confirmation & Regime Filtering
The Golden Engine evaluates whether the directional pressure detected by Bomb is structurally supported. Golden exists to prevent entries during momentum exhaustion, conflicting timeframe regimes, and counter-structure moves.
What Golden Uses
Golden relies on a different indicator stack than Bomb, focused on confirmation and balance, including RSI regime classification (not simple overbought/oversold), momentum agreement vs divergence, trend-following vs counter-trend positioning, overextension detection, and compression and rotational behavior. Each timeframe is evaluated independently using the same logic.
The Role of RSI in Golden
RSI in Golden is used to identify regimes, not signals. It answers questions such as: Is momentum expanding or decaying? Is the move early, mid-structure, or extended? Do multiple timeframes share compatible RSI states? If RSI regimes conflict across timeframes, Golden will not confirm. This is one of the main mechanisms that makes Golden selective.
Momentum & Alignment Logic
Golden evaluates whether momentum supports continuation, is fragmenting, is diverging from price, or is contradicting higher-timeframe structure. If lower-timeframe impulses are not supported by higher-timeframe structure, Golden suppresses confirmation โ even if Bomb remains strong.
What Golden Guarantees
Golden does not guarantee profitable trades. Golden guarantees that the detected directional pressure is not internally contradictory across RSI regimes, momentum behavior, and timeframe structure. This replaces vague terms like โcleanโ with explicit structural conditions.
๐ Multi-Timeframe Aggregation (MTF)
Both Bomb and Golden operate on a multi-timeframe voting system. Lower timeframes capture early impulses, higher timeframes enforce structural context, each timeframe votes independently, conflicts weaken totals, and alignment strengthens totals. This creates temporal confluence, not just price-based confluence.
โญ Star Events โ Qualified Market Impulses
A Star (โญ) is created only when Bomb is active, Golden is active, both agree on direction, and all gating rules pass (thresholds, time filters, modes). A Star represents a qualified impulse, not a trade. Stars are atomic events used by the execution layer.
โฑ Star Clusters โ Trade Run State
The Star Cluster groups Stars into runs. The first Star starts a cluster, anchor price, bar, and time are recorded, each additional Star increments the cluster count, and all Stars belong to the same run until exit. This prevents duplicate entries, signal spam, and overtrading in volatile conditions.
โ Reset Gap Logic โ Temporal Control
To prevent rapid re-entry, a minimum time gap is required to start a new run. Stars occurring too close together are merged. Reset does not terminate active runs. This enforces time-based discipline, not indicator-based guessing.
1โก๏ธ Entry Logic โ Confirmation-Based Execution
The engine never enters on the first Star. Instead, the user defines ๐ข N (Entry Star Index). Entry occurs only on the Nth Star, and that bar is marked 1โก๏ธ๐ขN. This ensures entries occur after persistence, not detection. At ENTRY, Best = 0.00 and Worst = 0.00. Statistics measure real trade performance, not early signal noise.
๐ STAT Engine โ Live Trade Measurement
Once entry is active, the STAT engine tracks โฑ run progression, ๐
maximum favorable excursion, and ๐ maximum adverse excursion. Mechanics: uses highs and lows, not closes; updates every bar; entry bar resets stats; historical bars marked ๐จ. This creates an objective performance envelope for every trade.
๐ Exit Engine โ Deterministic Outcomes
Trades are exited using explicit rules: ๐
WIN โ profit threshold reached, ๐ LOSE โ risk threshold breached, โฑ QUIT โ structural or safety exit.
Safety Exits
๐ข Idle Stop โ no Stars for N bars.
๐งฏ Freeze Failsafe โ STAT inactivity.
QUIT is a controlled termination, not failure. Each exit is recorded with a short cause tag.
๐งพ Trade Memory & Journaling
Every trade produces immutable records. Entry: time, price, side, confirmation index. Exit: time, price, PnL, result, cause. These records power tables, alerts, JSON output, and external automation.
๐ Time-Block Performance (NY Clock)
Performance is grouped by real time, not bar count. Rolling NY blocks (e.g. 3 hours). Independent statistics per block. Live trades persist across block boundaries. This enables session-based analysis.
๐ Alerts & Automation
Alerts are state-based: Entry confirmed โ Long / Short alert. Trade closed โ Exit alert. Optional JSON output allows integration with bots, journals, and dashboards.
Summary
The Star Engine is a component-based trade execution system, where Bomb measures pressure, Golden validates structure, Stars qualify impulses, clusters define runs, entry is delayed by confirmation, stats measure reality, exits are deterministic, and results are time-aware. It is not designed to โpredict the marketโ, but to control how trades are formed, managed, and evaluated.
Seasonality Screener Best Long & Short Patterns Auto-ScanThe Seasonality Screener automatically scans a marketโs history to find the most profitable seasonal patterns in the days ahead.
It searches for both long and short setups and shows you the two best patterns based on historical performance.
For each pattern, the screener looks back over past years and calculates:
Average return
Hit rate (win rate)
Winning years vs. total years
The results are displayed in a compact on-chart table with:
Entry date & exit date (calendar days)
Pattern length
Average return & hit rate
Win/trade count
Optionally, the indicator can also draw highlighted boxes in the chartโs history for the selected long and/or short pattern, so you can visually inspect how the seasonal window performed in each year.
You can:
Define how far ahead the screener should look (e.g. next X days),
Control the minimum and maximum pattern length,
Choose how many years of history to use,
And filter by simple regimes such as US election cycle years.
Internally, all calculations are based on daily data, so the seasonal analysis has to be done on the daily timeframe.
This tool is designed as a research and idea generator for seasonal tendencies and should be used together with your own risk management and trading plan.
Dynamic MAs Zscore | Lyro RSThe Dynamic MAs Zscore is an adaptive momentum and valuation oscillator built around advanced moving averages and statistical Z-Score normalization. By combining a wide selection of moving average types with dynamic deviation bands, this indicator delivers clear insights into trend strength , directional bias , and relative valuation โ all in a clean, visually intuitive format.
โโโโโโโโโโโโโโโ
Key Features
โโโโโโโโโโโโโโโ
Dynamic Moving Average Engine
Applies one of 12 selectable moving average types (SMA, EMA, WMA, VWMA, HMA, ALMA, TEMA, etc.) to the chosen source. This allows fine-tuning between responsiveness and smoothness depending on market conditions.
Z-Score Normalization
Transforms the selected moving average into a standardized Z-Score:
(MA โ mean) / standard deviation
This normalization makes momentum strength comparable across assets and timeframes.
Adaptive Deviation Bands
Upper and lower bands are derived from the rolling standard deviation of the Z-Score:
Custom band length
Independent positive and negative multipliers
These bands dynamically expand and contract with volatility.
Dual Signal Modes
Trend Mode โ Focuses on directional continuation. Color changes and signals occur when Z-Score breaks above or below deviation bands.
Valuation Mode โ Highlights relative overvaluation and undervaluation using a gradient color scale and predefined value zones.
Advanced Visual System
Includes bold layered plots, gradient fills, background shading, and candle/bar coloring to clearly reflect current market state.
Custom Color Palettes
Choose from multiple preset themes (Classic, Mystic, Accented, Royal) or define your own bullish and bearish colors.
โโโโโโโโโโโโโโโ
How It Works
โโโโโโโโโโโโโโโ
MA Calculation โ The selected moving average type is applied to the chosen price source.
Z-Score Computation โ The MA is normalized over a user-defined lookback period to quantify deviation from its mean.
Band Construction โ Standard deviation of the Z-Score is calculated over the band length and scaled by positive/negative multipliers.
Mode-Dependent Logic
Trend Mode โ Breaks above the upper band signal bullish momentum; breaks below the lower band signal bearish momentum.
Valuation Mode โ A gradient reflects relative valuation from undervalued to overvalued, with background highlights at extreme Z-Score levels.
โโโโโโโโโโโโโโโ
Signal Interpretation
โโโโโโโโโโโโโโโ
Trend Confirmation
In Trend Mode, sustained moves beyond deviation bands indicate strong directional bias.
Momentum Strength
The distance of the Z-Score from zero reflects the intensity of trend momentum.
Relative Valuation
In Valuation Mode, deep negative Z-Scores suggest undervaluation, while high positive Z-Scores suggest overvaluation.
Visual Clarity
Bar and candle coloring aligned with oscillator state allows for rapid assessment of market conditions.
โโโโโโโโโโโโโโโ
Customization
โโโโโโโโโโโโโโโ
Adjust MA type and length to balance speed vs. smoothness.
Modify Z-Score length to control sensitivity.
Tune band length and multipliers for volatility adaptation.
Switch between Trend and Valuation modes depending on strategy.
Personalize visuals using preset or custom color palettes.
โโโโโโโโโโโโโโโ
Alerts
โโโโโโโโโโโโโโโ
Bullish condition when Z-Score > 0
Bearish condition when Z-Score < 0
Overvalued and undervalued valuation alerts
โ ๏ธ Disclaimer
This indicator is intended for technical analysis and educational purposes only. It does not guarantee profitable outcomes and should be used alongside other tools, confirmation methods, and sound risk management. The author is not responsible for any financial decisions made using this indicator.
SNIPER ORB V3# ๐ฏ SNIPER ORB TRADING CHEAT SHEET
## Quick Reference Guide for Live Trading
---
## ๐ VISUAL IDENTIFICATION GUIDE
```
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
YOUR CHART AT A GLANCE
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ต BRIGHT BLUE LINES (3px) โ 5min ORB High/Low
๐ท CYAN LINES (2px) โ 15min ORB High/Low
๐ฃ PURPLE LINES (2px) โ 30min ORB High/Low (PRIMARY)
๐ข GREEN DASHED LINES (1px) โ Upside targets (1x, 2x, 3x from 30min ORB)
๐ด RED DASHED LINES (1px) โ Downside targets (1x, 2x, 3x from 30min ORB)
๐ก GOLD LINE (2px) โ Anchored VWAP (9:30 AM anchor for NY, 3:00 AM for London)
๐ INFO TABLE (top-right) โ Shows live ORB ranges, VWAP price, status
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
```
**KEY DIFFERENCE FROM OTHER ORB INDICATORS:**
- You see **ALL 3 ORB PERIODS SIMULTANEOUSLY** (5min, 15min, 30min)
- Targets calculated from **30min ORB ONLY** (not 5min or 15min)
- **NO BOX FILLS** - clean line-only display for sniper precision
- Auto-disappears at session end (no clutter from old sessions)
---
## ๐ NEW FEATURE: ORB DISPLAY TOGGLES
**You now have FULL CONTROL over which ORB periods to display!**
```
In indicator settings โ "ORB Display" section:
โ Show 5min ORB โ Toggle blue lines ON/OFF
โ Show 15min ORB โ Toggle cyan lines ON/OFF
โ Show 30min ORB โ Toggle purple lines ON/OFF
USE CASES:
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
1. FOCUS MODE (30min only)
โ 5min โ 15min โ 30min
โ Clean chart, just your primary trading range
โ Best for beginners or minimalist traders
2. EARLY WARNING MODE (5min + 30min)
โ 5min โ 15min โ 30min
โ See early breaks with 5min, trade 30min confirmation
โ Reduces visual noise from 15min
3. CONFLUENCE MODE (all 3 ORBs)
โ 5min โ 15min โ 30min
โ Maximum information, all alignment signals
โ For advanced traders seeking highest probability
4. INTRADAY SCALP MODE (5min only)
โ 5min โ 15min โ 30min
โ Ultra-fast entries on 5min breaks
โ High-risk, high-frequency approach
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ก PRO TIP: Start with 30min only, then add 5min/15min as you gain experience
```
---
## ๐ฏ FIXED: ANCHORED VWAP (TIMESTAMP-BASED)
**The VWAP now anchors with SURGICAL PRECISION to the exact session start candle!**
```
LONDON SESSION:
โข Anchors at the EXACT 3:00 AM ET candle
โข Uses timestamp checking: hour == 3 AND minute == 0
โข Resets every morning at London Open
NEW YORK SESSION:
โข Anchors at the EXACT 9:30 AM ET candle
โข Uses timestamp checking: hour == 9 AND minute == 30
โข Resets every day at NY Open
WHAT THIS MEANS:
โ
VWAP starts accumulating from the first tick of the session
โ
No more "off by one bar" errors
โ
Institutional-grade VWAP anchoring
โ
Perfect alignment with your ORB start times
HOW TO VERIFY IT'S WORKING:
1. Load indicator on 1min or 5min chart
2. Find the exact 9:30 AM candle (NY) or 3:00 AM candle (London)
3. VWAP should START appearing from that exact bar
4. Not the bar before, not the bar after - THAT EXACT BAR
```
---
## โฐ SESSION TIMING MATRIX
| Session | Start Time | 5min Complete | 15min Complete | 30min Complete | Session End |
|---------|-----------|---------------|----------------|----------------|-------------|
| **London** | 3:00 AM ET | 3:05 AM | 3:15 AM | 3:30 AM | 9:30 AM ET (disappears) |
| **New York** | 9:30 AM ET | 9:35 AM | 9:45 AM | 10:00 AM | 5:00 PM ET (disappears) |
**๐ก GOLDEN RULES:**
1. **WAIT FOR 30MIN ORB TO COMPLETE** before trading targets (10:00 AM NY / 3:30 AM London)
2. Use 5min and 15min ORBs as **early warning signals** only
3. All ORB lines + VWAP **auto-delete** at session end (clean chart)
---
## ๐ฏ THE 3-ORB SYSTEM: HOW IT WORKS
### **Hierarchical ORB Structure**
```
TIME: 9:30 AM โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ> 10:00 AM โโโโโโ> 5:00 PM
โ โ
SESSION START 30min ORB COMPLETE
(all 3 ORBs begin forming) (targets appear)
๐ 5min ORB (9:30-9:35 AM): โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ>
Purpose: EARLY breakout signal, fastest-moving boundary
๐ 15min ORB (9:30-9:45 AM): โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ>
Purpose: MID-TERM institutional reference level
๐ 30min ORB (9:30-10:00 AM): โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ>
Purpose: PRIMARY TRADING RANGE - all targets calculated from this
๐ฏ TARGETS (10:00 AM onward): โช โช โช โช โช (1x, 2x, 3x from 30min ORB)
Purpose: Profit-taking levels based on 30min range
```
**Why 3 ORBs Instead of 1?**
- **5min ORB**: Captures early institutional positioning (first 5 minutes)
- **15min ORB**: Confirms directional bias (more stable than 5min)
- **30min ORB**: Full market digestion of overnight news + opening orders
- **Confluence = Higher Win Rate**: When all 3 align, breakouts are extremely reliable
---
## ๐ฏ THE 5 HIGH-PROBABILITY SETUPS
### **SETUP #1: TRIPLE ORB BREAKOUT CONFLUENCE** โญโญโญโญโญ
```
CONDITIONS:
โ
30min ORB complete (10:00 AM NY / 3:30 AM London)
โ
Price breaks ALL 3 ORBs simultaneously:
โข 5min high/low (blue line)
โข 15min high/low (cyan line)
โข 30min high/low (purple line)
โ
VWAP confirms direction (below price = bullish, above = bearish)
โ
Volume spike on breakout candle
ENTRY: Close of breakout candle (must close beyond ALL 3 ORBs)
STOP: Inside 30min ORB at 30m low (long) or 30m high (short)
TARGET 1: First green/red dashed line (0.5x 30m range)
TARGET 2: Second target (1x 30m range)
TARGET 3: Third target (1.5x 30m range)
WIN RATE: 75-85% | R:R = 1:2.5 minimum
NOTES: When all 3 ORBs align, institutional order flow is unanimous
```
---
### **SETUP #2: 5MIN EARLY BREAKOUT โ 30MIN CONFIRMATION** โญโญโญโญ
```
CONDITIONS:
โ
Price breaks 5min ORB first (blue line crossed)
โ
15min ORB holds initially (cyan line not crossed yet)
โ
After 30min ORB completes, price breaks 30min boundary (purple)
โ
VWAP alignment confirms direction
โ
All 3 ORBs now broken in same direction
ENTRY: When 30min ORB breaks (purple line) + 5min/15min already broken
STOP: 30min ORB opposite boundary
TARGET 1-3: Standard targets from 30min ORB
WIN RATE: 70-80% | R:R = 1:2+
NOTES: 5min gave early warning, 30min confirms institutional commitment
```
---
### **SETUP #3: FALSE 5MIN BREAKOUT โ 30MIN REVERSAL** โญโญโญโญโญ
```
CONDITIONS:
โ
Price breaks 5min ORB (blue line)
โ
Fails to break 15min or 30min ORBs (cyan/purple lines hold)
โ
Price reverses back inside 5min ORB
โ
Then breaks OPPOSITE side of 30min ORB (purple line)
โ
VWAP flips to confirm new direction
ENTRY: When 30min ORB breaks in OPPOSITE direction of failed 5min break
STOP: Failed 5min breakout high/low (now a liquidity grab zone)
TARGET 1-3: Standard targets
WIN RATE: 80-90% | R:R = 1:3+ (trapped traders forced to exit)
NOTES: Most profitable setup - 5min breakout was liquidity hunt
```
---
### **SETUP #4: TIGHT COMPRESSION โ EXPLOSION** โญโญโญโญ
```
CONDITIONS:
โ
All 3 ORBs tightly overlapping (5m, 15m, 30m within 50 points on YM)
โ
Range < 0.3% of price (very tight consolidation)
โ
VWAP sitting in middle of compression
โ
30min ORB complete, price still inside all 3
ENTRY: Simultaneous break of ALL 3 ORBs + VWAP cross
STOP: Middle of compression zone
TARGET: 2x-4x normal targets (volatility expansion)
WIN RATE: 65-75% | R:R = 1:5+ (explosive breakout)
NOTES: Low volatility โ high volatility shift, institutions coiling spring
```
---
### **SETUP #5: VWAP BOUNCE WITHIN 30MIN ORB** โญโญโญโญ
```
CONDITIONS:
โ
Price stayed inside 30min ORB for 1+ hours post-formation
โ
VWAP acting as dynamic support (long) or resistance (short)
โ
Price bouncing between VWAP and 30min ORB boundaries
โ
Clear rejection candles at VWAP
ENTRY: When price bounces off VWAP toward 30min ORB boundary
โข Long: VWAP bounce up toward 30m high (purple)
โข Short: VWAP rejection down toward 30m low (purple)
STOP: Beyond VWAP by 20 points
TARGET: 30min ORB opposite boundary
WIN RATE: 70-80% | R:R = 1:1.5-2
NOTES: Range-bound play, NOT for breakout traders
```
---
## ๐ก๏ธ RISK MANAGEMENT RULES
### **Position Sizing by ORB Range**
```
30min ORB Range | Stop Distance | Risk $500 (1%) | YM Contracts
-----------------|------------------|-----------------|-------------
< 50 points | 50 pts | $500 รท $250 = | 2 contracts
50-100 points | 100 pts | $500 รท $500 = | 1 contract
100-150 points | 150 pts | $500 รท $750 = | 0.66 (use 1)
150-200 points | 200 pts | $500 รท $1000 = | 0.5 (use 1)
> 200 points | Don't trade | Too wide | Skip setup
Formula: Risk $ รท (Stop Distance ร $5 per YM point) = Max Contracts
```
### **The 3-Strike Rule (MANDATORY)**
```
โ
Trade 1: Full position size (based on 30m ORB range)
โ Stop hit โ Trade 2: HALF position size
โ Stop hit โ Trade 3: QUARTER position size
โ Stop hit โ DONE FOR THE DAY (no exceptions)
```
### **Profit Taking Ladder**
```
TARGET 1 (0.5x 30m range): Take 50% off, move stop to breakeven
TARGET 2 (1.0x 30m range): Take 30% off, trail stop by 25 points
TARGET 3 (1.5x 30m range): Take 15% off, let 5% run with 50pt trail
```
---
## โ ๏ธ DO NOT TRADE IF...
```
๐ซ 30min ORB incomplete (< 10:00 AM NY / < 3:30 AM London)
๐ซ 30min ORB range < 40 points YM (too tight, likely chop)
๐ซ 30min ORB range > 250 points YM (too wide, unpredictable)
๐ซ All 3 ORBs wildly divergent (5m=100pts, 15m=180pts, 30m=240pts)
๐ซ Major news release within 30 minutes (wait for ORB to reform)
๐ซ You've hit 3 losses in the session (3-strike rule)
๐ซ You're tired, emotional, revenge trading, or distracted
๐ซ Time > 12:00 PM ET (lunch, avoid until 1:00 PM)
๐ซ Time > 3:00 PM ET unless Power Hour (3:00-4:00 PM) momentum
```
---
## ๐ PRE-SESSION CHECKLIST
**15 Minutes Before London (2:45 AM ET) or NY (9:15 AM ET):**
```
โก Check economic calendar (FOMC? NFP? CPI? โ extra caution)
โก Review previous session's ORB ranges (context for today's volatility)
โก Load SNIPER ORB on 1min or 5min chart
โก Select correct session: "London" or "New York"
โก Verify indicator settings:
โข Number of Targets: 3
โข Target % of 30min Range: 50%
โข Show Anchored VWAP: ON
โก Set TradingView alerts:
โข 30min ORB complete (10:00 AM or 3:30 AM)
โข Price crossing 30min high/low
โข VWAP crosses
โก Prepare bracket orders mentally (entry, stop, 3 targets)
โก Review yesterday's P&L and lessons learned
โก Set phone to "Do Not Disturb" mode
```
---
## ๐จ INDICATOR SETTINGS GUIDE
### **Core Settings (Updated with Toggles)**
```
SESSION SETTINGS:
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โข Active Session: "London" or "New York"
ORB DISPLAY (NEW!):
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ Show 5min ORB (toggle blue lines)
โ Show 15min ORB (toggle cyan lines)
โ Show 30min ORB (toggle purple lines)
๐ก Turn OFF any ORB to declutter your chart!
TARGET SETTINGS:
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โข Number of Targets: 3 (default)
โข Target % of 30min Range: 50% (default)
VWAP SETTINGS:
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ Show Anchored VWAP
โข VWAP Color: Gold (#FFC107)
โข VWAP Width: 2px
```
### **Color Customization (Optimized for Dark Charts)**
```
DEFAULT COLORS:
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
5min ORB: Bright Blue (#2196F3) - 3px wide
15min ORB: Cyan (#00BCD4) - 2px wide
30min ORB: Purple (#9C27B0) - 2px wide
Upside Targets: Green (#4CAF50) - 1px dashed
Downside Targets: Red (#F44336) - 1px dashed
VWAP: Gold (#FFC107) - 2px solid
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
WHY THESE COLORS?
โข Blue family (5m/15m) = short-term, high-frequency
โข Purple (30m) = primary, institutional level
โข Green/Red = universal up/down
โข Gold VWAP = fair value anchor (stands out)
```
### **Settings by Trading Style**
**BEGINNER (Clean & Simple):**
```
ORB Display:
โ Show 5min ORB
โ Show 15min ORB
โ Show 30min ORB (30min only - focus mode)
Number of Targets: 2-3
Target % of 30min Range: 50%
Chart Timeframe: 5-minute
```
**SCALPER (5-15 min holds):**
```
ORB Display:
โ Show 5min ORB (early signals)
โ Show 15min ORB
โ Show 30min ORB (confirmation)
Number of Targets: 5
Target % of 30min Range: 30-40%
Label Size: Tiny
Chart Timeframe: 1-minute
```
**DAY TRADER (30-90 min holds):**
```
ORB Display:
โ Show 5min ORB
โ Show 15min ORB
โ Show 30min ORB (all 3 - confluence mode)
Number of Targets: 3
Target % of 30min Range: 50%
Label Size: Small
Chart Timeframe: 5-minute (RECOMMENDED)
```
**SWING TRADER (2-4 hour holds):**
```
ORB Display:
โ Show 5min ORB (too noisy for swings)
โ Show 15min ORB
โ Show 30min ORB
Number of Targets: 2-3
Target % of 30min Range: 75-100%
Label Size: Normal
Chart Timeframe: 15-minute
```
---
## ๐ TIMEFRAME SELECTION GUIDE
| Your Timeframe | What You See | Best For |
|---------------|--------------|----------|
| **1-minute** | Every tick, high noise | Scalping, precision entries |
| **5-minute** | Balanced clarity | Day trading (RECOMMENDED) |
| **15-minute** | Clean structure | Swing positions |
| **30-minute** | Too compressed | Not recommended (can't see ORB form) |
**๐ก PRO TIP:**
- **Primary chart: 5-minute** (for entries and monitoring)
- **Secondary chart: 1-minute** (for precise timing)
- **Never go above 15-minute** (ORBs won't form properly)
---
## ๐ง READING THE 3-ORB STRUCTURE
### **Bullish Alignment Patterns**
```
PATTERN 1: "Staircase Expansion"
5min: โโโโ (tight, 60 pts)
15min: โโโโโโ (wider, 90 pts)
30min: โโโโโโโโ (widest, 120 pts)
โ Bullish expansion, expect upside breakout
PATTERN 2: "Nested Compression"
5min: โโ (30 pts)
15min: โโโ (35 pts)
30min: โโโโ (40 pts)
โ All tight, explosive breakout likely
PATTERN 3: "Early Commitment"
5min: โโโโโโ (100 pts, already broken up)
15min: โโโโโ (80 pts, holding)
30min: โโโโโ (110 pts, about to break)
โ 5min led the way, 30min confirmation coming
```
### **Bearish Alignment Patterns**
```
PATTERN 1: "Waterfall Setup"
5min: โโโโ (50 pts, broke down)
15min: โโโโโ (70 pts, broke down)
30min: โโโโโโ (90 pts, about to break)
โ Sequential breakdown, strong bearish momentum
PATTERN 2: "Failed Highs"
5min: โโโโโโ (upper wick rejections)
15min: โโโโโโ (couldn't break)
30min: โโโโโโโ (topped out)
โ All 3 rejecting highs, bearish reversal likely
```
### **Neutral/Chop Patterns (AVOID TRADING)**
```
PATTERN 1: "Wide Divergence"
5min: โโ (30 pts)
15min: โโโโโโโ (120 pts)
30min: โโโโโโโโโโโ (200 pts)
โ No consensus, unpredictable, skip
PATTERN 2: "Whipsaw City"
โข Price breaking 5min up, then down, then up again
โข 15min and 30min not aligned
โข VWAP getting crossed every 5 minutes
โ Chop day, step aside, wait for clarity
```
---
## ๐ INTEGRATION WITH YM ULTIMATE SNIPER v8.1
**The 2-System Confluence Method:**
```
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ STEP 1: SNIPER ORB โ Defines "Zones That Matter" โ
โ โข 30min ORB = primary institutional range โ
โ โข VWAP = fair value anchor โ
โ โข Targets = profit zones โ
โ โข 5min/15min = early warning signals โ
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ STEP 2: YM ULTIMATE SNIPER โ Triggers precise entry โ
โ โข Wait for GOD MODE signal AT 30min ORB boundary โ
โ โข 6-gate filter: Score โฅ9, fat body โฅ70%, delta โฅ70% โ
โ โข Candle Dominance Index (CDI) โฅ7 โ
โ โข Intrabar pressure consistent throughout formation โ
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ STEP 3: EXECUTE TRADE โ
โ โข ORB breakout + GOD MODE = MAXIMUM PROBABILITY โ
โ โข Enter ONLY when BOTH systems align โ
โ โข This is TRUE "sniper" trading (2-5 trades/day max) โ
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
```
**Confluence Scoring for Combined System:**
```
SNIPER ORB Criteria:
โก 30min ORB complete (10:00 AM+) +2 points
โก All 3 ORBs broken in same direction +2 points
โก VWAP alignment (below=bull, above=bear) +1 point
โก Volume spike on breakout candle +1 point
โก Tight 3-ORB compression (<100pt divergence) +1 point
YM ULTIMATE SNIPER Criteria:
โก GOD MODE signal at ORB boundary +3 points
โก Score โฅ9.0 (tier classification) +1 point
โก Candle Dominance Index (CDI) โฅ8 +1 point
TOTAL POSSIBLE: 12 points
TRADE EXECUTION RULES:
โข 10-12 points = MAX SIZE (this is the holy grail setup)
โข 8-9 points = FULL SIZE (high probability)
โข 6-7 points = HALF SIZE (moderate probability)
โข <6 points = NO TRADE (wait for better alignment)
```
---
## ๐ก COMMON MISTAKES & FIXES
```
โ MISTAKE: Trading before 30min ORB completes
โ
FIX: Wait until 10:00 AM (NY) or 3:30 AM (London), NO EXCEPTIONS
โ MISTAKE: Ignoring 5min and 15min ORBs (only watching 30min)
โ
FIX: Use all 3 for confluence - they're your early warning system
โ MISTAKE: Chasing breakouts 100+ points beyond 30min ORB
โ
FIX: Wait for pullback to VWAP or 30min boundary for re-entry
โ MISTAKE: Not adjusting target % for market conditions
โ
FIX: Volatile day (ORB >200pts)? Use 75-100% targets
Calm day (ORB <80pts)? Use 30-40% targets
โ MISTAKE: Trading when all 3 ORBs are wildly different sizes
โ
FIX: Skip the day if 5m/15m/30m diverge by >100pts - no consensus
โ MISTAKE: Forgetting VWAP position
โ
FIX: VWAP MUST confirm bias:
โข Long: price > VWAP
โข Short: price < VWAP
โข If VWAP contradicts, skip the trade
โ MISTAKE: Not respecting the 3-strike rule
โ
FIX: 3 losses = DONE for the session, no rationalization
โ MISTAKE: Trading during lunch (12:00-1:00 PM ET)
โ
FIX: Volume dies, ORBs lose relevance, false signals increase
```
---
## ๐ ALERT SETUP (ESSENTIAL)
**TradingView Alerts You MUST Set:**
```
ALERT 1: "30min ORB Complete"
โข Type: Time-based
โข Trigger: 10:00 AM ET (NY) or 3:30 AM ET (London)
โข Message: "๐ฏ 30min ORB complete - targets now active"
ALERT 2: "30min ORB High Breakout"
โข Type: Crossing Up
โข Value 1: Close
โข Value 2: 30min ORB High (purple line)
โข Message: "๐ 30m ORB HIGH broken - check for long setup"
ALERT 3: "30min ORB Low Breakdown"
โข Type: Crossing Down
โข Value 1: Close
โข Value 2: 30min ORB Low (purple line)
โข Message: "๐ 30m ORB LOW broken - check for short setup"
ALERT 4: "VWAP Cross"
โข Type: Crossing
โข Value 1: Close
โข Value 2: VWAP
โข Message: "โก VWAP crossed - check institutional bias shift"
ALERT 5: "Target 1 Hit"
โข Type: Crossing
โข Value 1: High (for longs) or Low (for shorts)
โข Value 2: First target line
โข Message: "๐ฏ Target 1 hit - take 50% off, move stop to BE"
```
---
## ๐ฑ MOBILE TRADING WORKFLOW
**TradingView Mobile App Setup:**
```
1. SAVE LAYOUT
โข Chart: 5-minute timeframe
โข SNIPER ORB indicator loaded
โข YM Ultimate SNIPER v8.1 loaded (if using)
โข Save as "SNIPER ORB - YM"
2. ENABLE NOTIFICATIONS
โข Settings โ Notifications โ Push Alerts: ON
โข All 5 alerts above configured
3. QUICK ACCESS
โข Add YM futures to Watchlist: "MYM" or "YM1!"
โข Pin SNIPER ORB layout to favorites
4. EXECUTION READY
โข Broker app (TastyTrade, NinjaTrader, etc.) logged in
โข Preset bracket orders:
- Entry: market order
- Stop: 30m ORB opposite boundary
- Targets: 3 levels (50%, 30%, 20% of position)
5. BATTERY & CONNECTIVITY
โข Phone charged 100% before session
โข Stable WiFi or LTE connection
โข Backup power bank available
```
---
## ๐ DAILY PERFORMANCE JOURNAL
**After Each Trading Session (MANDATORY):**
```
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
DATE: __________ SESSION: โก London โก New York
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
ORB DATA:
โข 5min ORB Range: ______ points
โข 15min ORB Range: ______ points
โข 30min ORB Range: ______ points
โข Alignment: โก Tight โก Moderate โก Wide (skip if wide)
VWAP BEHAVIOR:
โข Opening position: โก Above price โก Below price โก Mixed
โข Did VWAP act as support/resistance? โก Yes โก No
TRADES TAKEN:
Total Setups Identified: _____
Trades Executed: _____
Win/Loss Record: _____ W / _____ L
Win Rate: _____%
Gross P&L: $_______
Net P&L (after commissions): $_______
BEST TRADE:
โข Setup: ____________________ (which of the 5 setups?)
โข Entry Price: ______ Exit Price: ______
โข Profit: $_______
โข What went RIGHT: _________________________________
_________________________________________________
WORST TRADE:
โข Setup: ____________________
โข Entry Price: ______ Exit Price: ______
โข Loss: $_______
โข What went WRONG: _________________________________
_________________________________________________
โข Lesson Learned: ___________________________________
3-STRIKE RULE STATUS:
โก No losses (great day)
โก 1 loss (still in game)
โก 2 losses (caution, half size)
โก 3 losses (stopped for day, as required)
TOMORROW'S ADJUSTMENTS:
โก _________________________________________________
โก _________________________________________________
โก _________________________________________________
EMOTIONAL STATE TODAY:
โก Calm & focused (optimal)
โก Anxious/rushed (need to work on patience)
โก Overconfident (dial back position size)
โก Fearful (review winning trades to build confidence)
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
```
---
## ๐ YOUR FIRST LIVE TRADE WALKTHROUGH
**Step-by-Step for New York Session (Most Common):**
```
โฐ 9:15 AM ET - PREPARATION
โก Load SNIPER ORB on YM 5-minute chart
โก Select "New York" session in indicator settings
โก Verify VWAP is showing (gold line)
โก Check economic calendar (any big news at 9:30?)
โก Prepare mentally: "I will wait for 30min ORB to complete"
โฐ 9:30 AM ET - SESSION OPENS
โก Watch 3 ORBs begin forming:
โข Blue lines (5min) will lock in at 9:35 AM
โข Cyan lines (15min) will lock in at 9:45 AM
โข Purple lines (30min) will lock in at 10:00 AM
โก Observe VWAP anchoring at 9:30 AM candle
โก DO NOT TRADE YET - just observe
โฐ 9:35 AM - 5MIN ORB COMPLETE
โก Note 5min high/low (blue lines locked)
โก Check info table: "5m Range = XX points"
โก If 5min ORB breaks early, note direction but DON'T ENTER
โฐ 9:45 AM - 15MIN ORB COMPLETE
โก Note 15min high/low (cyan lines locked)
โก Compare to 5min ORB: Aligned? Expanding?
โก Still waiting... patience pays
โฐ 10:00 AM - 30MIN ORB COMPLETE (TARGETS APPEAR!)
โก Purple lines locked (30m high/low)
โก Green/red dashed target lines appear automatically
โก Info table shows "Status: โ Complete"
โก NOW you can trade breakouts
โฐ 10:00 AM - 11:30 AM - TRADING WINDOW
โก Wait for price to break purple line (30m ORB high or low)
โก Confirm:
1. All 3 ORBs broken in same direction?
2. VWAP confirming (below=bullish, above=bearish)?
3. Volume spike visible?
4. YM SNIPER GOD MODE signal? (if using)
โก If all YES โ ENTER TRADE:
โข Market order at breakout close
โข Stop at 30m ORB opposite boundary
โข Targets at green/red dashed lines
โฐ TARGET MANAGEMENT
โก Price hits first target (1x) โ Take 50% off, move stop to BE
โก Price hits second target (2x) โ Take 30% off, trail stop
โก Price hits third target (3x) โ Take 15% off, let 5% run
โฐ 12:00 PM - LUNCH (AVOID TRADING)
โก Volume dies down
โก ORBs become less relevant
โก Take a break, review morning trades
โฐ 1:00 PM - 3:00 PM - AFTERNOON SESSION
โก ORBs still valid but less reliable
โก Consider waiting for Power Hour (3:00-4:00 PM)
โฐ 5:00 PM - SESSION END
โก All ORB lines disappear automatically
โก VWAP disappears automatically
โก Chart cleans itself - ready for tomorrow
โก Fill out daily journal
```
---
## ๐ WINNING MINDSET AFFIRMATIONS
Read these BEFORE each trading session:
```
"I trade ORBs, not chaos. Structure gives me edge."
"3 high-quality trades beat 20 mediocre ones."
"The 30min ORB is my anchor. I wait for it. Every. Single. Time."
"When all 3 ORBs align, institutions are unified. I follow."
"VWAP is my institutional compass. I respect its guidance."
"3 strikes and I'm out. Discipline > Ego."
"I am a SNIPER, not a machine gunner. Precision wins."
"My edge is patience. Let the ORBs complete."
"I don't predict. I react to proven structure."
"One perfect setup is worth waiting all morning."
```
---
## ๐ TROUBLESHOOTING
**"ORB lines not showing on chart!"**
โ Check timeframe: Must be 1min-30min (not daily/weekly)
โ Verify session time: Must be during London (3AM-9:30AM) or NY (9:30AM-5PM)
โ Check indicator status: Should say "โณ Forming" or "โ Complete" in table
**"Targets not appearing!"**
โ 30min ORB must be complete (10:00 AM NY / 3:30 AM London)
โ Check "Number of Targets" setting (must be โฅ1)
โ Verify "Target % of 30min Range" is set (default 50%)
**"VWAP disappeared!"**
โ Normal behavior: VWAP auto-deletes at session end (5PM NY / 9:30AM London)
โ Toggle "Show Anchored VWAP" OFF then ON to reset
โ Check if you're viewing chart outside session hours
**"All 3 ORBs look the same!"**
โ This is actually GOOD - means tight alignment (high-probability setup)
โ If they're diverging wildly (>100pts difference), that's a skip signal
**"Info table blocking my view!"**
โ Info table is in top-right corner by default
โ Drag it to a different position (TradingView allows moving)
โ Or minimize it by clicking the small arrow
**"Colors are hard to see on my chart!"**
โ Go to indicator settings:
โข "5min ORB", "15min ORB", "30min ORB" color pickers
โข "Upside Targets", "Downside Targets" color pickers
โข Recommended: Use contrasting colors vs your chart background
---
## ๐ ADVANCED INTEGRATION TECHNIQUES
### **Combining with Market Profile**
```
โข Use Volume Profile to identify Value Area High (VAH) and Low (VAL)
โข If 30min ORB aligns with VAH/VAL โ extra confluence
โข POC (Point of Control) acts similar to VWAP
```
### **Combining with Cumulative Delta**
```
โข Check if delta is positive on 30min ORB high break (bullish confirmation)
โข Negative delta on low break confirms bearish institutional flow
โข Your YM SNIPER already tracks this - use together!
```
### **Combining with Options Flow**
```
โข Large call buying near 30min ORB high? Institutions positioning for breakout
โข Large put buying near 30min ORB low? Smart money hedging/shorting
โข Tools: Unusual Whales, Cheddar Flow, OptionStrat
```
---
## ๐ฏ FINAL PRE-LIVE CHECKLIST
**DO NOT GO LIVE UNTIL ALL CHECKED:**
```
โก Practiced on TradingView Replay for 2+ weeks
โก Can identify all 5 setups by pattern recognition
โก Understand why targets come from 30min ORB only
โก Know difference between 5min/15min/30min roles
โก Risk management rules memorized (position sizing, 3-strike)
โก YM Ultimate SNIPER v8.1 loaded (optional but recommended)
โก All 5 TradingView alerts configured
โก Broker platform tested with demo account
โก Stop/target orders can be placed in <10 seconds
โก Daily journal template prepared
โก Emotional state: calm, patient, focused
โก Account size: Minimum $10,000 recommended
โก Understand auto-disappear behavior (ORBs delete at session end)
โก Know NOT to trade before 30min ORB complete
โก Comfortable with looking at chart and seeing 6+ lines (3 ORBs + targets)
IF ALL CHECKED โ YOU'RE READY TO SNIPE! ๐ฏ
IF ANY UNCHECKED โ KEEP PRACTICING, DON'T RUSH
```
---
## ๐ THE CORE PRINCIPLE
```
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ โ
โ "The ORB doesn't predict the market. โ
โ The ORB reveals where institutions are positioned. โ
โ โ
โ When you see all 3 ORBs align and break, โ
โ you're not guessing directionโ โ
โ you're following the billion-dollar order flow." โ
โ โ
โ THAT'S YOUR EDGE. โ
โ โ
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
```
**๐ฏ Good luck, stay patient, and happy sniping! ๐ฏ**
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
END OF SNIPER ORB TRADING CHEAT SHEET v3.0
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Quality Detector (Buffett Style) + Beta [Solid]This indicator acts as an on-chart fundamental screener, designed to instantly evaluate the quality and financial health of a company directly on your price chart.
The concept is inspired by "Buffettology" principles: looking for large, profitable companies with low debt. Additionally, it includes a Beta calculation to assess market volatility risk.
The tool displays a panel in the bottom-right corner featuring four key metrics and a final verdict.
How it Works & Metrics Used
The script retrieves quarterly fundamental data ("FQ") and performs calculations to verify if the asset meets specific criteria.
1. Market Cap (Size)
What it is: The total market value of the company's outstanding shares.
Goal: To identify established, large-cap companies.
Default Threshold: Must be greater than $10 Billion.
2. ROE - Return on Equity (Quality)
What it is: A measure of financial performance calculated by dividing net income by shareholders' equity.
Goal: To find companies that are efficient at generating profits from shareholders' capital.
Default Threshold: Must be higher than 15%.
3. Total Debt to Equity (Health)
What it is: A ratio indicating the relative proportion of shareholders' equity and debt used to finance a company's assets.
Calculation: This script manually calculates this ratio by fetching TOTAL_DEBT and dividing it by TOTAL_EQUITY from fundamental data to ensure robustness across different symbols.
Goal: To ensure the company is not overly leveraged.
Default Threshold: Must be lower than 1.5.
4. Beta (Risk/Volatility)
What it is: A measure of a stock's volatility in relation to the overall market (S&P 500).
Calculation: It is calculated by comparing the asset's returns against SPY (S&P 500 ETF) returns over a 252-day period (approx. 1 trading year).
Goal: To understand if the stock is more volatile (Beta > 1) or less volatile (Beta < 1) than the market.
Note: Beta does not affect the final "Quality" score but serves as an extra risk indicator, highlighting in orange if Beta > 1.
The Verdict (Scoring System)
The indicator assigns a score from 0 to 3 based on the first three fundamental metrics (Size, ROE, and Debt/Equity).
If a metric passes the threshold, it gets a green background and +1 point.
If it fails, it gets a red background.
Final Verdict:
๐ QUALITY GEM: The company passed all 3 fundamental checks (Score = 3/3).
โ ๏ธ DISCARD: The company failed one or more fundamental checks.
Settings
You can customize the thresholds to fit your own investment strategy in the indicator settings:
Minimum Market Cap (in Billions).
Minimum ROE (%).
Maximum Debt/Equity Ratio.
Disclaimer: This tool is for informational and educational purposes only. It relies on third-party fundamental data which may sometimes be delayed or unavailable. Do not base investment decisions solely on this indicator.






















