Opening Path Selector (EMA200 Context Tool)📝 Description
Opening Path Selector is a context-based indicator designed to help traders quickly identify which asset may offer the cleanest directional path at the market open.
This tool does not generate entry or exit signals.
Its purpose is to reduce decision fatigue during the first minutes of the session by ranking a small set of high-liquidity assets based on higher-timeframe EMA200 structure.
🔍 What this indicator evaluates
The dashboard compares a predefined group of major symbols and ranks them according to:
• Proximity to the nearest EMA200
• Relative position versus higher-timeframe EMA200 levels
• Directional context inferred from EMA structure
The result is a priority-based list that highlights which asset may present:
• Less immediate EMA resistance
• Clearer directional context
• Lower probability of early-session chop
📊 How to read the dashboard
• Priority – Ranking based on opening context
• Symbol – Evaluated instrument
• Nearest EMA200 – Distance and side relative to price
• Possible Path – Direction with less immediate EMA resistance
• Bias – Strength of the higher-timeframe context
Colored markers are used to provide fast visual identification of the highest-priority assets.
⚠️ Important notes
• This is a context and selection tool, NOT a trading system
• No buy/sell signals, alerts, TP, or SL logic are included
• Designed to be used alongside your own execution methodology
🔧 Compatibility
Due to Pine Script multi-symbol and multi-timeframe constraints, this public version is intentionally limited to a small set of symbols.
TradingView Pro / Premium or higher is recommended for consistent performance.
🔗 Complementary tools
This indicator can be complemented with Multi-Tool VWAP + EMAs (Multi-Timeframe) + Key Levels , which provides detailed visibility of multiple EMA levels, VWAP structure, and higher-timeframe reference zones directly on the chart.
While Opening Path Selector helps decide which asset to focus on at the open, the complementary tool can assist with in-chart context and confirmation once an asset has been selected.
Both tools are designed to serve different stages of the decision process and can be used independently.
Analisis Tren
Dimensional Support ResistanceDimensional Support Resistance
Overview
Dimensional Support Resistance is an open-source overlay indicator that automatically detects and displays clean, non-overlapping support and resistance levels using pivot-based analysis with intelligent filtering. It identifies significant swing highs and lows, filters them by minimum distance to prevent visual clutter, and provides volume-confirmed bounce signals.
What This Indicator Does
The indicator calculates and displays:
Dynamic Pivot Levels - Automatically detected swing highs and lows based on configurable pivot strength
Distance Filtering - Ensures levels are spaced apart by a minimum percentage to prevent overlap
S/R Zones - Visual zones around each level showing the price area of significance
Bounce Detection - Identifies when price reverses at support or resistance levels
Volume Confirmation - Strong signals require above-average volume for confirmation
How It Works
Pivot detection scans for swing highs and lows using a configurable strength parameter. A pivot low requires the low to be lower than all surrounding bars within the strength period.
Signal Generation
The indicator generates bounce signals using TradingView's built-in pivot detection combined with candle reversal confirmation:
Support Bounce: Pivot low forms with bullish close (close > open)
Resistance Bounce: Pivot high forms with bearish close (close < open)
Strong Bounce: Bounce occurs with volume 1.5x above 20-period average
A cooldown period of 15 bars prevents signal spam.
Dashboard Panel
A compact dashboard displays:
Support - Count of active support levels
Resistance - Count of active resistance levels
Dashboard position is configurable (Top Left, Top Right, Bottom Left, Bottom Right).
Visual Elements
Support Lines - Green horizontal lines at support levels
Resistance Lines - Red horizontal lines at resistance levels
S/R Zones - Semi-transparent boxes around levels showing zone width
Price Labels - S: and R: labels showing exact price of nearest levels
BOUNCE Markers - Triangle shapes with text when price bounces at a level
STRONG Markers - Label shapes when bounce occurs with high volume
Input Parameters
Lookback Period (default: 100) - Historical bars to scan for pivots
Pivot Strength (default: 8) - Bars on each side required for valid pivot (higher = fewer but stronger levels)
Max Levels Each Side (default: 2) - Maximum support and resistance levels displayed
Zone Width % (default: 0.15) - Width of zones around each level as percentage of price
Min Distance Between Levels % (default: 1.0) - Minimum spacing between levels to prevent overlap
Show S/R Zones (default: true) - Toggle zone visualization
Show Bounce Signals (default: true) - Toggle signal markers
Support Color (default: #00ff88) - Color for support elements
Resistance Color (default: #ff3366) - Color for resistance elements
Suggested Use Cases
Identify key support and resistance levels for entry and exit planning
Use bounce signals as potential reversal confirmation
Combine with other indicators for confluence-based trading decisions
Monitor strong signals for high-probability setups with volume confirmation
Timeframe Recommendations
Works on all timeframes. Higher timeframes (4H, Daily) provide more significant levels with fewer signals. Lower timeframes show more granular structure but may produce more noise.
Limitations
Pivot detection requires lookback bars, so very recent pivots may not be immediately visible
Bounce signals are based on pivot formation and may lag by the pivot strength period
Levels are recalculated on each bar, so they may shift as new pivots form
Open-Source and Disclaimer
This script is published as open-source under the Mozilla Public License 2.0 for educational purposes. It does not constitute financial advice. Past performance does not guarantee future results. Always use proper risk management and conduct your own analysis before trading.
- Made with passion by officialjackofalltrades
MTF MomentumThis script identifies momentum for the following three timeframes: 1 minute, 5 minutes, and 15 minutes.
UT decision engine v2.0 very much more accurate and up to date version of ut decision engine 1.0.
ive only tested on forex so far and the best settings i find to be are when the pivot strength is set to 8, Rsi length is set to 20 and Rsi slope smooth is set to 6. fires very accurate and consistant buy and sell signals. but feel free to mess around with the settings.
The cantillon terminal [Lite] - Visual SuiteThe ultimate discretionary toolkit. Visualizes Institutional Value (VP), Trend (AVWAP), and Structure (Fibs). For automated signals, see the Pro Strategy."
Institutional Bias [Lite] - Visual SuiteThe ultimate discretionary toolkit. Visualizes Institutional Value (VP), Trend (AVWAP), and Structure (Fibs). For automated signals, see the Pro Strategy."
Institutional Bias [Lite] - Visual SuiteThe ultimate discretionary toolkit. Visualizes Institutional Value (VP), Trend (AVWAP), and Structure (Fibs). For automated signals, see the Pro Strategy."
Gann Pyramid Time Cycles [PyraTime]Gann Pyramid Time Cycle by PyraTime is a specialized technical analysis tool based on the harmonic theories of W.D. Gann. Unlike standard indicators that smooth price with averages (like EMAs or RSIs), PyraTime focuses on Time-Price Geometry, operating on the principle that specific time intervals dictate market structure.
This script allows traders to anchor a starting point (a major high or low) and project "Pyramid" time cycles forward. It uses esoteric counts (such as the 27-minute Lunar cycle and the Square of 144) to identify potential pivot points and structural breakout zones.
Key Features
Custom Time Anchoring: Set a specific historical date and time as your "Zero Point." All analysis projects mathematically from this single anchor.
Harmonic Intervals: Includes specific Gann intervals (Lunar 27m, Solar 33m, Master 22m) alongside standard timeframes.
Cycle Confluence Detector: Automatically highlights the chart background when multiple independent time cycles align, indicating a high-probability volatility window.
Structural Breakout Signals: Identifies "Time-Price Boxes" by capturing the High/Low range at the start of a major harmonic cycle. Signals are generated only when price breaks this defined structure.
Smart Dashboard: A monitor panel that tracks active cycles and counts down to the next major time pivot.
Comprehensive Tutorial
1. The Concept: Squaring Time and Price
The core utility of this script is to visualize the "Rhythm" of the market. It does not use moving averages. Instead, it waits for a "Time Beat" to complete and then marks the price range of that moment as a critical zone for the future.
2. Setting Your Anchor (Crucial Step)
The accuracy of this tool depends entirely on your Origin Pivot.
Identify a significant Major High or Major Low.
Open Settings and set the "Origin Pivot (Anchor)" to that exact Date and Time.
The script will immediately recalculate all geometry from that point.
3. Selecting Your Cycles
The script offers two cycle categories:
Standard Intervals: 4H, Daily (Good for macro trends).
Gann Intervals:
27m (Lunar): (Default ON) Effective for high-volatility assets like Crypto/Indices.
33m (Solar): Often tracks institutional algorithmic flows.
144m: The "Square of 12" master cycle.
4. How to Trade the Signals
The Vertical Lines (Time Pivots) These represent purely Time. When price hits a line, expect a shift in behavior (reversal or acceleration).
Confluence: If the background turns Gold, 3+ cycles are peaking simultaneously. This is a major alert.
The Price Boxes (Breakout Logic) At a "Harmonic" count (e.g., 180, 360), the script draws a box based on that specific candle's High and Low.
Red Line: The High of the Time-Pivot candle.
Green Line: The Low of the Time-Pivot candle.
Buy Signal: Generated when a candle closes above the Red Line.
Sell Signal: Generated when a candle closes below the Green Line.
This filters out noise by ensuring you only trade when price breaks the structure defined by the Time Cycle.
Settings Guide
Show Dashboard: Toggles the countdown panel.
Show Cycle S/R Levels: Toggles the horizontal support/resistance lines.
Show Breakout Signals: Toggles "BUY" and "SELL" labels (Default: OFF).
Show Labels on Lines: Toggles text on vertical lines (Default: OFF for cleaner charts).
Risk Disclaimer
Trading financial markets involves high risk. This script is a technical analysis tool for projecting time cycles and historical price structures. It does not guarantee future performance or profits. Past cycle alignment does not ensure future market movement. Always manage your risk.
EMA MACD Swing Set upUsed EMA and MACD, Targeted to help you simply identify the trending stocks. Can be used for Buy and Sell side trades
AOZ v1.0AOZ v1.0 is an invite-only indicator.
It highlights areas where traders should start thinking, not entering.
This indicator does not provide entry or exit signals and does not guarantee profits.
Liquidity Strain Detector [MarkitTick]💡 This indicator provides a specialized method for detecting market anomalies where price movement becomes disconnected from typical volume profiles, signaling potential exhaustion events. By combining statistical analysis of liquidity (price impact) with a directional trend filter, the tool aims to highlight moments of extreme market stress, such as panic selling or euphoric buying, that often precede mean reversions or trend pauses.
● Originality and Utility
Standard volume indicators often look at raw volume levels, which can be misleading during different times of the day or across different assets. This script calculates the efficiency of moving price (Illiquidity) and normalizes it statistically. This allows the trader to see when the market is becoming thin or stressed relative to recent history. It is particularly useful for contrarian traders looking for capitulation points within established trends, offering a unique perspective beyond standard RSI or MACD divergence.
● Methodology
The core mechanism drives a custom Liquidity Engine that performs the following steps:
Price Impact Calculation: It computes the ratio of the True Range to Volume. High values indicate that price is moving significant distances on relatively low volume or that volatility is extreme relative to participation.
Normalization: The raw impact data is smoothed using a logarithmic scale to handle the wide variance in volume data.
Statistical Scoring (Z-Score): The script calculates the Z-Score of this normalized data over a user-defined lookback period. This determines how many standard deviations the current liquidity stress is away from the mean.
Trend Filtering: A standard Exponential Moving Average (EMA) determines the dominant market direction to contextualize the stress signal.
● How to Use
The indicator plots labels on the chart when specific High Stress conditions are met during a trend:
SE (Seller Exhaustion - Green Label): Appears when the market is in a downtrend (price below EMA), the current candle is bearish, and the liquidity stress Z-Score breaches the upper threshold. This suggests panic selling or a liquidity gap down, often marking a temporary bottom or reversal point.
BE (Buyer Exhaustion - Red Label): Appears when the market is in an uptrend (price above EMA), the current candle is bullish, and the liquidity stress Z-Score breaches the upper threshold. This suggests a melt-up or buying climax into thin liquidity, often preceding a pullback.
● Inputs
Trend Filter Length: The period for the EMA used to determine the baseline trend direction.
Statistical Lookback: The number of bars used to calculate the mean and standard deviation for the Z-Score.
Stress Threshold (Sigma): The Z-Score value required to trigger a high-stress signal. Higher values result in fewer, more extreme signals.
● Disclaimer
All provided scripts and indicators are strictly for educational exploration and must not be interpreted as financial advice or a recommendation to execute trades. I expressly disclaim all liability for any financial losses or damages that may result, directly or indirectly, from the reliance on or application of these tools. Market participation carries inherent risk where past performance never guarantees future returns, leaving all investment decisions and due diligence solely at your own discretion.
Bull Market Pro Trend Strategy proBull Market Pro Trend Strategy is a trend-following trading system specifically optimized for bullish market conditions. It is designed to help traders enter trends more efficiently, reduce unnecessary stop-outs, and systematically capture extended bullish moves.
The strategy features loose yet structured entry conditions, allowing participation in early or mid-stage trends without being overly restrictive. Risk management is handled through an ATR-based dynamic stop-loss, which adapts to market volatility and provides more realistic and flexible protection compared to fixed stop levels.
As the trend develops, the strategy supports scaled position building, enabling gradual position increases under controlled risk, aiming to maximize gains during sustained bullish trends.
This strategy is best suited for:
Clear bullish trend environments
Markets with moderate to high volatility
Traders seeking rule-based and systematic trend-following approaches
It can be used for live market analysis, strategy backtesting, and trend trading studies.
Disclaimer:
This strategy is for educational and research purposes only.
Past performance does not guarantee future results.
Always apply proper risk management when using any trading strategy.
Golden Vector Trend Orchestrator (GVTO)Golden Vector Trend Orchestrator (GVTO) is a composite trend-following strategy specifically engineered for XAUUSD (Gold) and volatile assets on H4 (4-Hour) and Daily timeframes.
This script aims to solve a common problem in trend trading: "Whipsaws in Sideways Markets." Instead of relying on a single indicator, GVTO employs a Multi-Factor Confluence System that filters out low-probability trades by requiring alignment across Trend Structure, Momentum, and Volatility.
🛠 Methodology & Logic
The strategy executes trades only when four distinct technical conditions overlap (Confluence). If any single condition is not met, the trade is filtered out to preserve capital.
1. Market Structure Filter (200 EMA)
Indicator: Exponential Moving Average (Length 200).
Logic: The 200 EMA acts as the baseline for the long-term trend regime.
Bullish Regime: Price must close above the 200 EMA.
Bearish Regime: Price must close below the 200 EMA.
Purpose: Prevents counter-trend trading against the macro direction.
2. Signal Trigger & Trailing Stop (Supertrend)
Indicator: Supertrend (ATR Length 14, Factor 3.5).
Logic: Uses Average True Range (ATR) to detect trend reversals while accounting for volatility.
Purpose: Provides the specific entry signal and acts as a dynamic trailing stop-loss to let profits run while cutting losses when the trend invalidates.
3. Volatility Gatekeeper (ADX Filter)
Indicator: Average Directional Index (Length 14).
Threshold: > 25.
Logic: A high ADX value indicates a strong trend presence, regardless of direction.
Purpose: This is the most critical filter. It prevents the strategy from entering trades during "choppy" or ranging markets (consolidation zones) where trend-following systems typically fail.
4. Momentum Confirmation (DMI)
Indicator: Directional Movement Index (DI+ and DI-).
Logic: Checks if the buying pressure (DI+) is physically stronger than selling pressure (DI-), or vice versa.
Purpose: Ensures that the price movement is backed by genuine momentum, not just a momentary price spike.
📋 How to Use This Strategy
🟢 LONG (BUY) Setup
A Buy signal is generated only when ALL of the following occur simultaneously:
Price Action: Price closes ABOVE the 200 EMA (Orange Line).
Trigger: Supertrend flips to GREEN (Bullish).
Strength: ADX is greater than 25 (Strong Trend).
Momentum: DI+ (Plus Directional Indicator) is greater than DI- (Minus).
🔴 SHORT (SELL) Setup
A Sell signal is generated only when ALL of the following occur simultaneously:
Price Action: Price closes BELOW the 200 EMA (Orange Line).
Trigger: Supertrend flips to RED (Bearish).
Strength: ADX is greater than 25 (Strong Trend).
Momentum: DI- (Minus Directional Indicator) is greater than DI+ (Plus).
🛡 Exit Strategy
Stop Loss / Take Profit: The strategy utilizes the Supertrend Line as a dynamic Trailing Stop.
Exit Long: When Supertrend turns Red.
Exit Short: When Supertrend turns Green.
Note: Traders can also use the real-time P/L Dashboard included in the script to manually secure profits based on their personal Risk:Reward ratio.
📊 Included Features
Real-Time P/L Dashboard: A table in the top-right corner displays the current trend status, ADX strength, and the Unrealized Profit/Loss % of the current active position.
Smart Labeling: Buy/Sell labels are coded to appear only on the initial entry trigger. They do not repaint and do not spam the chart if the trend continues (no pyramiding visualization).
Visual Aids: Background color changes (Green/Red) to visually represent the active trend based on the Supertrend status.
⚠️ Risk Warning & Best Practices
Asset Class: Optimized for XAUUSD (Gold) due to its high volatility nature. It also works well on Crypto (BTC, ETH) and Major Forex Pairs.
Timeframe: Highly recommended for H4 (4 Hours) or D1 (Daily). Using this on lower timeframes (M5, M15) may result in false signals due to market noise.
News Events: Automated strategies cannot predict economic news (CPI, NFP). Exercise caution or pause trading during high-impact economic releases.
Ghost Scalp Protocol By [@Ash_TheTrader]👻 GHOST SCALP PROTOCOL
💀 Stop Getting Trapped. Start Tracking the Banks.
Most retail traders lose because they enter exactly where institutions are exiting. They get caught in "Stop Hunts" and "Fake-Outs."
The Ghost Scalp Protocol is not just an indicator; it is a complete institutional trading system designed for M1 & M5 Scalpers . It combines Smart Money Concepts (SMC) with a Physics-Based Momentum Engine (p=mv) to detect high-probability reversals.
⚛️ THE LOGIC: 3-STAGE CONFIRMATION
This algorithm does not rely on lagging indicators. It uses a 3-step "Protocol" to validate every trade:
1. THE GHOST TRAP (Liquidity Sweeps)
The script automatically draws "Ghost Lines" at key Swing Highs/Lows where retail Stop Losses are hiding. It waits for price to sweep these levels.
The Signal: A Neon Skull (☠️) appears only if price aggressively rejects the level with high volume. This is the "Turtle Soup" pattern.
2. THE PHYSICS ENGINE (p = mv)
Momentum is not just price speed; it is Mass (Volume) x Velocity (Range) . The dashboard calculates the "Force" of every candle.
The Signal: An Arrow (⬆/⬇) appears when momentum surges 5x above the average. This confirms the banks are pushing the move.
3. BANK BIAS (Elasticity Filter)
Markets move like a rubber band. The script calculates a hidden "Fair Value" baseline to create a trading Bias. It only looks for Shorts in PREMIUM (Shorting) zones and Longs in DISCOUNT (Accumulating) zones.
📊 THE SMART DASHBOARD (HUD)
A futuristic, non-intrusive Heads-Up Display keeps you focused on the data that matters:
• 🏦 BANK BIAS: Tells you if Institutions are likely Accumulating or Shorting .
• 📈 HTF TREND: Automatically checks the 1-Hour Trend . Don't fight the tide.
• 🚀 MOMENTUM: Real-time Physics calculation. Green Text = Acceleration, Red Text = Deceleration.
• 🌍 SESSION: Shows active Bank Sessions (Tokyo, London, NY). It flashes ⚠️ OVERLAP ALERT (Gold) when London & New York are open simultaneously.
🔥 STRATEGY: HOW TO TRADE
Use this checklist to execute high-probability scalps:
📉 SHORT SETUP (SELL)
1. Liquidity: Wait for price to break above a Red Ghost Line (Sweep Highs).
2. Signal: Wait for the Pink Skull ☠️ (Trap Detected).
3. Confluence: Dashboard Bias says "SHORTING" and HTF Trend is "BEARISH."
4. Entry: On the Close of the Skull candle.
5. Stop Loss: Just above the wick swing high.
📈 LONG SETUP (BUY)
1. Liquidity: Wait for price to break below a Blue Ghost Line (Sweep Lows).
2. Signal: Wait for the Blue Skull ☠️ (Trap Detected).
3. Confluence: Dashboard Bias says "ACCUMULATING" and HTF Trend is "BULLISH."
4. Entry: On the Close of the Skull candle.
5. Stop Loss: Just below the wick swing low.
🏆 RECOMMENDED PAIRS & TIMEFRAMES
• ⚡ Best Timeframes: M1 (Sniper) and M5 (Standard Scalping).
• 💎 Best Assets: Gold (XAUUSD), Nasdaq (US100), Bitcoin (BTCUSD), and Volatile Forex Pairs (GBPUSD).
🛠️ SETTINGS & CUSTOMIZATION
• Surge Factor: Default is 5.0x for high-conviction signals. Lower to 3.0 for more frequency.
• Smart Sessions: Automatically converts to New York Time (EST) regardless of your location.
• Visuals: Designed with "Ghost Glow" technology—97% transparent backgrounds that look classy and don't clutter your chart.
"The Ghost Algo sees what you can't."
~ Ash_TheTrader
Adaptive Cycle & Trend StrategyThe Adaptive Cycle & Trend Strategy is a fully rules-based trading strategy designed to adapt dynamically to changing market conditions.
Instead of relying on a single static exit model, the strategy continuously evaluates market volatility and trend structure to determine the most appropriate exit behavior for the current regime. This allows it to respond differently in trending environments than in high-volatility or corrective phases.
The strategy is optimized for the 1W timeframe and focuses on capturing meaningful market cycles rather than short-term noise. Entries and exits are generated algorithmically and remain consistent across assets, making the system applicable to both low-volatility markets (such as Bitcoin) and higher-volatility instruments.
Key characteristics:
Adaptive exit logic based on volatility regimes
Cycle- and trend-aware trade management
Fully rule-based, no discretionary inputs
Designed for higher timeframes (1W, 1M) and long-term market structure
No indicators required for interpretation
This strategy is intended for systematic analysis and backtesting purposes only. It does not constitute financial or investment advice.
DAX-30 ATRX V2Updated DAX-30 ATRX strategy with visuals to manually trade the strategy.
FX:GER30
Optimized settings:
HTF timeframe for trend bias: 4 hours
HTF EMA length: 24
Min HA body size (pts): 0.5
- Use RSI filter
RSI length: 14
RSI threshold: 50
- Use Fisher filter
Fisher length: 18
- Use Volume filter
Volume lookback: 20
Volume spike multiplier: 1.2
ATR length: 13
ATR mean length: 80
SL = ATR x: 0.9
TP = Risk x: 2.1
- Use NY session filter
NY session start hour: 9
NY session end hour: 18
Max trades per day: 2
☑ Show SL/TP Boxes
☑ Show Entry Label
SL/TP Line Length (bars): 5
Liquidity Trap Detector Pro [PyraTime]The Problem: Why You Get Stopped Out
90% of retail traders place their stop-losses at obvious swing highs and lows. Institutional algorithms ("Smart Money") are programmed to push price through these levels to trigger liquidity, fill their heavy orders, and then immediately reverse the market.
If you have ever had your stop hit right before the market moves exactly where you predicted—you were the victim of a Liquidity Trap.
The Solution: Visualizing the "Stop Hunt"
Liquidity Trap Detector Pro is not just a support/resistance indicator. It is a comprehensive Reversal Scoring Engine.
Unlike standard indicators that spam signals on every wick, this tool uses a proprietary 5-Star Scoring System to analyze the quality of the trap. It validates every signal using Wick Symmetry, RSI Divergence, and Volume Analysis to separate a true reversal from a trend continuation.
Key Features (USP)
- 5-Star Scoring Engine: Every signal is rated from 1 to 5 stars. Stop guessing if a signal is valid; let the algorithm check the confluence for you.
- Glassmorphism Visuals: Gone are the messy lines. We use modern, semi-transparent "Liquidity Zones" that keep your chart clean and professional.
- Smart Terminology: Automatically identifies Bull Traps (Buyers trapped at highs) and Bear Traps (Sellers trapped at lows).
- Heads-Up Display (HUD): A professional dashboard monitors the market state, active filters, and recent trap statistics in real-time.
- Strict Non-Repainting: (Technical Note) This script uses strict non-repainting logic. All Higher Timeframe (HTF) data is confirmed and closed before a signal is generated, ensuring historical accuracy.
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Tutorial: How to Trade This Indicator
1. Understanding the Signals
We use correct institutional terminology to describe the market mechanics:
GREEN Signal (BEAR TRAP):
- What happened: Price swept a Swing Low, enticing sellers (Bears) to enter. The candle then reversed and closed back inside the range, trapping those sellers.
- The Trade: This is a Bullish Reversal setup (Long).
RED Signal (BULL TRAP):
- What happened: Price swept a Swing High, enticing buyers (Bulls) to breakout. The candle reversed and closed lower, trapping the buyers.
- The Trade: This is a Bearish Reversal setup (Short).
2. The 5-Star Scoring System
Not all traps are created equal. The stars tell you how much "Confluence" exists:
- 1 Star: A basic structure sweep. Risky.
- 3 Stars: A solid setup backed by either Volume or Divergence.
- 5 Stars: The "Perfect" Trap. Structure Sweep + RSI Divergence + Volume Spike + Wick Symmetry. High Probability.
3. The Strategy
- Wait for the Zone: Watch price approach a coloured Liquidity Zone.
- Observe the Reaction: Do not trade blindly. Wait for the candle to close.
- Check the Stars: Look for at least 3 Stars before considering an entry.
- Confirm with HUD: Glance at the Dashboard to ensure the "RSI Filter" and "Vol Filter" agree with your analysis.
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Settings Guide
Structure Settings:
- Pivot Lookback: Adjusts how sensitive the zones are (Default: 10/5).
- HTF Confirmation: Optional filter to only show traps that align with Higher Timeframe structure (e.g., 1H or 4H).
Quality Filters:
- RSI Divergence: Requires momentum to disagree with price (classic reversal sign).
- Volume Spike: Requires volume to be higher than average (Smart Money footprint).
Visuals:
- Clean Mode: A presenter-favorite feature. Hides all historical zones and leaves only the active setup—perfect for taking screenshots or sharing analysis.
Disclaimer
This tool is designed to assist with technical analysis and identifying potential areas of interest. It does not guarantee profits. Trading involves significant risk; always use proper risk management.
Pro Traders Group🔥 Free Trading Indicator & Strategy on TradingView
By www.pro-traders-group.com
If you’re looking for a clear, professional, and rule-based trading strategy built on the logic of institutions and market makers, this is exactly what you need 👇
🔍 This strategy is based on:
✔️ Professional Japanese candlestick analysis
✔️ Accurate market trend identification
✔️ Buying and selling from institutional & smart money zones
✔️ Filtering weak signals and focusing only on high-probability setups
✔️ Clear and precise entry & exit rules
📊 Win Rate:
➡️ Up to 95% when fully following the rules and conditions
(No impulsive entries – No counter-trend trades – No overtrading)
🎯 Suitable for:
✅ Beginners looking for a simple and structured trading system
✅ Advanced traders using Smart Money Concepts
✅ Forex – Gold – Indices – Crypto
💡 Indicator & strategy are 100% FREE
But real success comes from:
✔️ Discipline
✔️ Proper risk management
✔️ Psychological control
📌 Presented by:
🌐 www.pro-traders-group.com
Experts in trading education and institutional-based market strategies
👊 Test the strategy, follow the rules, and experience the difference for yourself.
Swing Momentum TrendSwing Momentum Trend - Confirm Momentum Strategy Concept
English (English)
Core Concept: Confirm Momentum Trading
The Swing Momentum Trend strategy is not about catching falling knives or finding the exact bottom. Instead, it focuses on "Confirmation." It waits for both price action and momentum to align in an uptrend, ensuring a high-probability environment for trend-following entries.
Momentum Confirmation via Indicators
The strategy explains momentum by looking at the synergy between various technical tools:
1. Trend Zone Confirmation (EMA High/Low Switch) :
- Utilizes EMA calculated from Highs and Lows to define a "Trend Territory."
- Bullish momentum is confirmed when the price closes above the EMA High band, signalling that the market has transitioned into a strong trending phase.
2. Momentum Engine (RSI Smoothing MA) :
- RSI is treated as a momentum engine rather than a simple oscillator.
- Strength is confirmed when RSI remains above its own Smoothing Moving Average (MA), and that MA exhibits a positive upward slope, indicating accelerating buying pressure.
3. Structural Integrity (HH/HL Swings) :
- The strategy monitors market structure (Higher Highs and Higher Lows) on both Daily and Weekly timeframes.
- True momentum must be supported by a trend that builds higher floors and ceilings, distinguishing a sustainable trend from a temporary price spike.
4. Relative Strength Analysis (Trend Cycle Logic) :
- Current momentum is validated against the previous uptrend cycle's performance.
- By requiring the price to stay above the previous cycle's average close or low, the strategy ensures the current move has sufficient structural backing.
5. Visual Momentum Feedback (Bar Coloring) :
- Dynamic bar coloring provides instant clarity. Strong momentum is visually represented (e.g., Blue), while fading strength is flagged (e.g., Yellow), allowing for a quick assessment of momentum health at a glance.
Summary : This approach emphasizes "Patience for Confirmation" — entering only when all layers of momentum are in sync, thereby riding the strongest part of the trend.
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ภาษาไทย (Thai)
แนวคิดหลัก: การเทรดด้วยการยืนยันโมเมนตัม (Confirm Momentum)
กลยุทธ์ Swing Momentum Trend ไม่ใช่การพยายามหาจุดต่ำสุดเพื่อเข้าซื้อ (Bottom Fishing) แต่เป็นกลยุทธ์ที่เน้น "ความชัวร์" โดยการรอให้ราคาและแรงส่ง (Momentum) ยืนยันแนวโน้มขาขึ้นอย่างชัดเจนก่อนที่จะเข้าเกาะไปกับเทรน (Trend Following)
การยืนยันโมเมนตัมผ่านตัวชี้วัด (Indicator-Based Confirmation)
บทสรุปของแนวคิดนี้คือการใช้ความสอดคล้องของ Indicator หลายตัวในการอธิบายพลังของ Momentum:
1. การยืนยันโซนแนวโน้ม (EMA High/Low Switch) :
- ใช้เส้น EMA ของราคา High และ Low เพื่อสร้าง "เขตแดน" ของเทรน
- การยืนยัน Momentum ขาขึ้นจะเกิดขึ้นเมื่อราคาปิดสามารถยืนเหนือเส้น EMA High ได้อย่างมั่นคง ซึ่งถือเป็นด่านแรกของการคอนเฟิร์มว่าแนวโน้มหลักกำลังเปลี่ยนเป็นขาขึ้น
2. พลังของแรงส่ง (RSI Smoothing MA) :
- ไม่ได้มอง RSI เพียงแค่การ Overbought/Oversold แต่ใช้ RSI ร่วมกับเส้นค่าเฉลี่ย (Smoothing MA)
- โมเมนตัมจะถูกคอนเฟิร์มเมื่อ RSI อยู่เหนือเส้นค่าเฉลี่ยของตนเอง และเส้นค่าเฉลี่ยนั้นมีความชันเป็นบวก (Slope Up) แสดงถึงแรงซื้อที่กำลังเร่งเครื่อง (Acceleration)
3. โครงสร้างราคาเพื่อความยั่งยืน (HH/HL Structure) :
- มีการตรวจสอบโครงสร้างราคา (Market Structure) ทั้งในระดับวันและระดับสัปดาห์
- Momentum ที่แข็งแกร่งต้องมาพร้อมกับโครงสร้างที่ "ยกตัว" คือการทำจุดสูงสุดใหม่ที่สูงขึ้น (Higher High) และจุดต่ำสุดใหม่ที่สูงขึ้น (Higher Low) เพื่อยืนยันว่าไม่ใช่เพียงการรีบาวด์ระยะสั้น
4. การเปรียบเทียบกับรอบก่อนหน้า (Trend Cycle Analysis) :
- วิเคราะห์ความแข็งแกร่งโดยเทียบกับรอบขาขึ้นก่อนหน้า (Previous Up Trend Cycle)
- ราคาปัจจุบันควรยืนเหนือระดับราคาเฉลี่ยหรือฐานราคาต่ำสุดของรอบก่อน เพื่อยืนยันว่าแรงส่งในรอบนี้มีคุณภาพมากกว่ารอบที่ผ่านมา
5. การตอบสนองผ่านสีแท่งเทียน (Visual Bar Coloring) :
- ใช้สีช่วยในการตัดสินใจแบบ Real-time เช่น สีน้ำเงินเมื่อโมเมนตัมแข็งแกร่ง (RSI > Smoothing MA) และสีเหลืองเพื่อเตือนเมื่อแรงส่งเริ่มอ่อนกำลังลง (Momentum Weak)
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123_HH_LL//2025/12/28
1. 請手動切至平均K線圖, 觀察K棒走向變化:HH、HL、LH、LL。
2. 尋找多頭趨勢的進場點。
// 2025/12/28
1. Please note that you need to manually switch to the and open the indicator , then observe the changes in the candlestick patterns: HH, HL, LH, LL.
2. Find the best entry point in an uptrend.
Mizan Golden Ratioescription:
The Mizan Golden Ratio (MGR) is a specialized quantitative oscillator designed to identify high-probability market reversals by filtering out noise and focusing on "True Market Sentiment."
Unlike traditional indicators that react to every price tick, the MGR engine uses a weighted hybrid formula that combines Momentum Velocity (derived from CCI) and Structural Equilibrium (derived from RSI). This data is processed through a unique normalization algorithm and a smoothing filter to eliminate false signals caused by market panic or euphoria.
Key Features:
Hybrid Engine: 86% RSI Dominance for structural integrity + 14% CCI influence for momentum sensitivity.
Golden Ratio Tuning: The indicator is pre-tuned with specific weights and thresholds (32.98 / 67.92) that have been mathematically back-tested to find optimal reversal points.
Noise Cancellation: A 5-bar smoothing filter removes "sawtooth" price action, delivering clean and readable curves.
Dual Visualization: Displays the oscillator in the bottom pane while projecting dynamic Support/Resistance bands directly onto the price chart.
How to Use:
LONG Signal (Blue Triangle): Generated when the Sentiment Score recovers from the "Oversold Zone" (crossing above 32.98). This indicates a potential bottom formation.
SHORT Signal (Red Triangle): Generated when the Sentiment Score falls from the "Overbought Zone" (crossing below 67.92). This indicates a potential local top.
Philosophy: MGR does not predict price; it measures the ontological state of the market—determining whether the current price action is sustainable or overextended.
No complex setup required. The algorithm is pre-configured for optimal performance.
Disclaimer: This tool is for analytical purposes only and does not constitute financial advice. Past performance of the algorithm does not guarantee future results
PSP Gann Major Low Expansion LevelsPSP Gann Major Low Expansion Levels
Overview
This indicator identifies the major low price within a user-defined lookback period (default: 25 years) and projects Gann-inspired expansion levels upward from that low. These levels represent percentage multiples of the base low, helping traders spot potential resistance/support zones, breakout targets, and harmonic expansion points in trending markets. Ideal for swing and positional trading in stocks, indices, or forex.
Key Features
Dynamic Lookback & Intervals: Automatically adjusts expansion granularity based on lookback years:
≤5 years: 50% multiples (finer for short-term analysis).
≤15 years: 100% multiples.
≤20 years: 500% multiples.
20 years: 1000% multiples (coarser for long-term cycles).
Major Low Detection: Scans historical bars to pinpoint the absolute lowest close within the lookback, with exact date tracking.
Smart Level Drawing: Plots unlimited levels below/equal to current price for full historical context, but limits to exactly 3 levels above CMP to avoid chart clutter (e.g., useful for high-growth stocks like HBL).
Manual Override: Optionally input custom growth percentages (e.g., "100,200,300") for tailored projections.
Visual Aids:
Color-coded horizontal lines (green to teal cycling) with extend-both for future projections.
Labels showing % growth and price value.
Top-Right Table: Displays lookback range, major low price, and low date.
Bottom-Left Rules Box: Highlights active interval and a quick note: Use with PSP Suite for algo-based CE/PE entry signals in options trading.
How to Use
Add to your chart (works on any timeframe, best on daily/weekly).
Adjust "Strict Lookback Years" to focus on relevant cycles (shorter = more sensitive).
Enable "Use Manual Growth % Levels" for custom targets (comma-separated, no % sign).
Watch for price interactions: Confluence with Gann squares, Fib extensions, or volume spikes signals high-probability trades.
Pro Tip: Pair with momentum oscillators (e.g., RSI) to time entries at lower levels or exits near upper projections.
Customization Ideas
For volatile cryptos: Shorten lookback to 1-2 years with manual 25-50% steps.
For blue-chip stocks: Use full 25-year view for generational targets.
Extend via alerts: Set notifications when price crosses a labeled level.
This script draws from W.D. Gann's principles of geometric expansions while optimizing for modern platforms
The Scalping Ant: Zenith RSI Bias PRO🟦 Zenith RSI Bias PRO
Institutional Momentum Bias & Execution Framework
Product Category: Momentum Bias, Confirmation & Execution Intelligence
Designed For: Traders who demand clarity, structure, and disciplined RSI-based decision support
🟦 PURPOSE & ROLE OF THE INDICATOR
Zenith RSI Bias PRO is a premium RSI evolution framework engineered to transform RSI into a professional decision engine. Instead of treating RSI as a simple oscillator, the system provides clear momentum bias, disciplined confirmation logic, and precise execution clarity.
It helps traders confidently identify directional bias, momentum strength and continuation, exhaustion and reversal zones, and validated entry timing.
Built for crypto, forex, indices, stocks, commodities, and futures, Zenith RSI Bias PRO delivers meaningful structure, reliability, and execution confidence.
🟦 CORE CONCEPT & INTELLIGENCE MODEL
Zenith RSI Bias PRO is designed around three key trading principles.
▶ Enhanced RSI Momentum Core
An optimized RSI model captures adaptive momentum displacement, delivering smoother, more stable readings while maintaining responsiveness.
▶ Bias-Oriented Interpretation
Market narrative transforms from random RSI fluctuation into structured bias analysis based on RSI vs Signal dynamics and midline positioning.
▶ Confirmation Discipline
Strict confirmation-at-close validation minimizes noise and prevents misleading signals, supporting professional-grade reliability.
🟦 FEATURE SET
Zenith RSI Bias PRO includes a comprehensive, professional feature suite:
✔ Enhanced RSI momentum engine
✔ Adaptive signal smoothing (EMA / SMA / RMA / TMA)
✔ Bullish & Bearish Momentum Cloud
✔ Clear entry signal circles
✔ Structured RSI Zones including Overbought, Oversold, Extremes, and Midline control
✔ Bias Dashboard with live RSI values and current bias
✔ Candle-close confirmation logic
✔ Alerts included
✔ Lightweight and highly optimized performance
This is not a cosmetic RSI upgrade. It is a functional execution framework.
🟦 CUSTOMIZATION & FLEXIBILITY
Zenith RSI Bias PRO adapts to your trading style with fully configurable controls:
RSI length, smoothing method, signal styling, bullish and bearish cloud colors, RSI transparency, confirmation behavior, dashboard visibility, dashboard positioning, and theme controls.
It is suitable for scalping, day trading, and swing trading environments.
🟦 PRACTICAL USAGE FRAMEWORK
This indicator is ideal for directional bias confirmation, pullback versus reversal detection, disciplined reversal identification, and structured execution clarity.
It works effectively on Crypto, Forex, Stocks, Indices, Commodities, and Futures.
🟦 PRACTICAL EXECUTION EXAMPLES
Bullish Concept
1️⃣ RSI rises above signal
2️⃣ Green momentum cloud forms
3️⃣ RSI maintains above 50
4️⃣ Bullish entry circle confirms trigger
Consider long opportunities when aligned with your strategy
Bearish Concept
1️⃣ RSI falls below signal
2️⃣ Red cloud forms
3️⃣ RSI maintains below 50
4️⃣ Bearish entry circle confirms
Consider short opportunities when structurally aligned
Extreme Zones
Above 70 → strong bullish momentum strength area
Below 30 → oversold reversal interest area
🟦 SETTINGS OVERVIEW
Settings are structured for professional clarity including Dashboard visibility and positioning, RSI core engine controls, Signal Line configuration, Visual display customization, and Confirmation logic control.
Everything is clean, logical, and intuitive.
🟦 CONCLUSION
Zenith RSI Bias PRO elevates RSI from a simple indicator to a complete bias, structure, and execution framework.
It enhances market understanding, strengthens discipline, and supports confident execution.
For traders who require reliability and intelligence, Zenith RSI Bias PRO delivers clarity instead of noise.
🟦 DISCLAIMER
This indicator is designed for analytical and educational purposes. It does not guarantee profit or provide financial advice. Trading involves risk. Users remain responsible for their decisions and risk management. Past performance does not guarantee future results.






















