[ICT Sebo Lite] Trend Point / HH/LH/HL/LLOverview
This indicator identifies and labels structural trend points based on swing highs and swing lows. It classifies each confirmed swing as Higher High, Lower High, Higher Low or Lower Low, providing a clear visual representation of market structure directly on the chart.
The script is designed as a lightweight market structure reference tool and does not generate trade signals.
How it works
Swing highs and swing lows are detected using simple price turn conditions based on consecutive candle closes. When a directional change is confirmed, the indicator evaluates the current swing relative to the previous swing of the same type.
Each new swing is classified according to its relationship with the prior level. Swing highs are labeled as Higher High, Lower High or Equal High, while swing lows are labeled as Higher Low, Lower Low or Equal Low. Initial swings are used for reference and are not labeled.
Visualization
Trend points are plotted directly on the chart using small labels placed at the corresponding swing price. High-based labels are displayed above price, while low-based labels are displayed below price, allowing quick visual identification of structural changes.
The indicator updates dynamically as new swing points form and does not repaint previously confirmed labels.
Intended use
This tool supports market structure analysis, trend identification and contextual price interpretation. It is suitable for intraday and swing analysis and is intended to be used alongside broader market context and risk management.
Notes
This indicator does not predict price direction, does not provide entry or exit signals and is intended purely as a visual aid for structure recognition.
Analisis Tren
Ultra Pulse KAMAThis package focuses on **simplicity** and **usability**, specifically recommending the **15-minute timeframe and above** as requested.
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**Overview**
"This engine is built upon the foundational work of Perry J. Kaufman. We have modernized his Adaptive Moving Average (KAMA) architecture to create a more responsive volatility-gated signal system."
**TX Ultra Pulse** is a smart momentum indicator designed to help you catch clear trends while avoiding choppy markets. Unlike standard indicators that always move at the same speed, this engine "adapts" to market volatility. It speeds up when the market is moving fast and slows down when the market is sideways, giving you higher-quality signals.
**Who is this for?**
* **Beginners:** Easy-to-read BUY/SELL labels and colored candles.
* **Pro Traders:** Advanced filtering to streamline your chart analysis.
* **Best Timeframes:** Optimized for **15m, 1H, 4H, and Daily** charts.
**Key Features**
* **🛡️ Noise Cancellation:** The script detects "messy" price action and hides signals that are likely to fail.
* **🌊 Trend Cloud:** Built-in EMA filters ensure you only trade in the direction of the main trend.
* **🚦 Visual Market condition:** Candles change color to show the market state (Aqua = Bullish, Yellow = Bearish, Gray = Neutral).
**Settings & Presets (Easy Tuning)**
You don't need to understand complex math. Just choose a **Mode** in the settings:
1. **Normal (Default):** The best balance for most assets (Crypto/Forex/Indices).
2. **Aggressive:** Reacts faster. Good for active trading but has higher risk.
3. **Swing:** Reacts slower. Best for holding positions longer on higher timeframes (4H+).
**How to Use (Step-by-Step)**
1. **Set Timeframe:** Switch your chart to **15 minutes or higher**.
2. **Check Color:** Look at the candle colors.
* **Aqua:** Uptrend (Look for Buys).
* **Yellow:** Downtrend (Look for Sells).
3. **Wait for Signal:** Enter when a **"BUY"** or **"SELL"** label appears.
4. **Confirm:** Make sure the signal matches the candle color (e.g., A **BUY** signal on an **Aqua** candle is a strong setup).
5. **Exit:** Consider closing the trade when the candle color changes or an opposite signal appears.
**Disclaimer**
This tool is for educational purposes and market analysis. It does not guarantee profits. Always use stop-losses and manage your risk properly.
**Recommended Settings Layout:**
* **⚡ ENGINE MODE:**
* *Option:* Normal / Aggressive / Swing
* **🌊 TREND FILTER:** (On/Off switch for the cloud)
* **⚙️ ADVANCED TUNING:** (Hidden at the bottom for pros)
* **🎨 VISUALS:** (Colors and Labels)
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Here is the **Advanced Tuning Guide** in English. I have removed specific numbers and focused solely on **Cause & Effect**—what happens to your chart when you raise or lower these values.
This guide is designed to be copy-pasted into your documentation or used as a reference for users.
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### ⚙️ Advanced Calibration Guide
This menu controls the "core engine" of the indicator. It allows you to fine-tune how the algorithm reacts to price changes.
#### 1. Use Heikin Ashi Calculation
* **What it does:** Calculates the formula using "averaged" price data instead of raw candle prices.
* **Effect on Chart:**
* **Enabled (Checked):** Signals become smoother. It filters out small wicks and market noise effectively, but signals might appear slightly later. Best for volatile assets (like Crypto).
* **Disabled (Unchecked):** Signals are calculated on raw price action. It reacts faster but risks more "false alarms" in choppy markets.
#### 2. Volatility Lookback
* **What it does:** Determines how far back into the past the indicator looks to decide if the market is "Trending" or "Choppy."
* **Effect on Chart:**
* **Increasing the value:** Makes the indicator more **stable**. It ignores sudden, short-term spikes. Signals become rarer but more reliable.
* **Decreasing the value:** Makes the indicator more **reactive**. It adapts quickly to recent changes in volatility. You will see signals appear faster, but with higher risk.
#### 3. Reaction Speed (Fastest / Slowest)
* **What it does:** Sets the speed limits for the Adaptive Moving Average (KAMA) line.
* **Fastest Reaction Speed:**
* **Lowering the value:** The line hugs the price very tightly during trends.
* **Raising the value:** The line gives the price a bit more "breathing room" during trends.
* **Slowest Reaction Speed:**
* **Raising the value:** The line becomes flatter and stops moving during sideways/choppy markets (filtering out fake signals).
* **Lowering the value:** The line continues to drift and move even when the market is flat.
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### ⚠ Manual Override Tuning
*If you enable Manual Override, the specific "Buy/Sell" settings below take full control.*
#### 4. Buy / Sell: Length
* **What it does:** Controls how many candles of momentum are required to confirm a reversal.
* **Effect on Chart:**
* **Increasing the value:** You need a **longer** sustained move to trigger a signal. This results in **safer, confirmed entries** but you might miss the absolute bottom or top.
* **Decreasing the value:** You need only a **short** burst of momentum. This results in **earlier entries** (sniping the top/bottom), but increases the chance of being trapped in a fakeout.
#### 5. Buy / Sell: Deviation
* **What it does:** The "Strictness" filter. It sets how violent the price move must be to trigger a signal.
* **Effect on Chart:**
* **Increasing the value (Stricter):** Harder to trigger. You will see **fewer signals**, but they will only appear during very strong, explosive moves. High accuracy, low frequency.
* **Decreasing the value (Looser):** Easier to trigger. You will see **many signals**, catching even small scalping opportunities. High frequency, requires better risk management.
QuantSniper: Volatility Shield V1.1 [Leverage & Risk Guard]The Problem: Leveraged traders often face two major issues: being stopped out by market "noise" (wicks) and failing to secure profits as the trend progresses.
The Solution: QuantSniper: Volatility Shield is a professional execution HUD designed to manage your Stop-Loss through a 3-stage mechanical process. It removes emotional guesswork and provides a mathematically backed "Recommended SL" for your exchange terminal.
How It Works (3-Stage Sentinel Logic):
Defensive Stage (Shield): A static 2.6 ATR buffer anchored to the most recent market structure. It gives your trade room to breathe during high volatility.
Safe Zone Stage (Warning): Once the price reaches +0.06% profit (covering typical fees), the dashboard updates your Recommended SL to the Warning level (1.5 ATR).
House Profit Stage (Lock): When the trade moves significantly (1.5 ATR distance), a neon-green Trailing Lock activates. This level follows the trend based on candle closes, ensuring you secure your "House Profit."
Key Features:
✅ Auto-Direction: Detects Long/Short requirements automatically.
✅ Execution HUD: Shows the exact price to enter into your Bitget/Binance terminal.
✅ Leverage Input: Visualizes real-time PnL impact based on your chosen leverage.
✅ Advanced Mode: Full control over ATR multipliers and structural lookback for pro traders.
Rany Sniper Signals v1.1 (polish)🇮🇹 Descrizione (Italiano)
Rany Sniper Signals v1.1 (polish) è un indicatore avanzato per TradingView progettato per individuare segnali BUY e SELL ad alta qualità, riducendo il rumore di mercato e migliorando il timing operativo.
Lo script combina in modo strutturato:
• VWAP
• SuperTrend
• ATR dinamico
• Filtro volume
• Market Context multi-timeframe
• Sistema di Confidence (0–100)
• No-Trade Zone intelligente
• Snapshot informativo sopra la candela
• Pannello “LAST SIGNAL” sempre sincronizzato
Ogni segnale viene filtrato attraverso più livelli di conferma, con un approccio orientato a qualità > quantità, offrendo segnali puliti, leggibili e coerenti, anche su mobile.
⏱️ Timeframe consigliati
• Scalp presets: 1m – 15m
Ideali: 3m / 5m / 15m
• Swing presets: 1H – 1D
Ideali: 4H / 1D
L’utilizzo su timeframe diversi è possibile, ma le prestazioni ottimali si ottengono sui timeframe consigliati, poiché filtri, ATR e Market Context sono ottimizzati per tali condizioni.
Lo script è pensato come strumento di supporto decisionale, non come trading automatico, ed è adatto a trader discrezionali che cercano conferme strutturate e affidabili.
⚠️ Disclaimer
Il trading sui mercati finanziari comporta un rischio elevato e può portare a perdite parziali o totali del capitale investito.
Questo indicatore non fornisce consulenza finanziaria e non garantisce risultati.
I segnali generati devono essere utilizzati esclusivamente come supporto decisionale, sempre in combinazione con una corretta gestione del rischio e una valutazione personale.
L’utente è l’unico responsabile delle proprie decisioni operative.
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🇬🇧 Description (English)
Rany Sniper Signals v1.1 (polish) is an advanced TradingView indicator designed to detect high-quality BUY and SELL signals, reducing market noise and improving execution timing.
The script combines:
• VWAP
• SuperTrend
• Dynamic ATR
• Volume filtering
• Multi-timeframe Market Context
• Confidence scoring system (0–100)
• Smart No-Trade Zone
• Snapshot info box above candles
• Always-synced “LAST SIGNAL” panel
Each signal is filtered through multiple confirmation layers, with a clear focus on quality over quantity, delivering clean, structured, and readable setups — even on mobile devices.
⏱️ Recommended timeframes
• Scalp presets: 1m – 15m
Best: 3m / 5m / 15m
• Swing presets: 1H – 1D
Best: 4H / 1D
The script can be used on other timeframes, but optimal performance is achieved on the recommended ones, as filters, ATR and Market Context are optimized for those conditions.
This indicator is designed as a decision-support tool, not an automated trading system, and is suitable for discretionary traders looking for structured and reliable confirmations.
⚠️ Disclaimer
Trading financial markets involves substantial risk and may result in partial or total loss of capital.
This indicator does not provide financial advice and does not guarantee any results.
Signals are intended as decision-support only and should always be used together with proper risk management and personal evaluation.
The user is solely responsible for all trading decisions.
AIO Pivot MasterAIO Pivot Master is a comprehensive, all-in-one solution for traders who rely on Pivot Points for support and resistance analysis. This indicator solves the common problem of needing multiple indicators to view different pivot types or timeframes simultaneously. It allows you to plot up to three independent pivot sets on a single chart, each with its own fully customizable timeframe and calculation method.
Whether you are a scalper looking for intraday Camarilla levels or a swing trader analyzing Weekly Fibonacci retracements, this tool adapts to your specific workflow without cluttering your chart or hitting TradingView's plot limits.
Key Features
3 Independent Pivot Sets: Configure up to three separate instances of pivot points within one indicator.
Multi-Timeframe (MTF) Capability: Select any timeframe for each set (e.g., 4-Hour, Daily, Weekly, Monthly, 6-Month). You can view higher timeframe levels on lower timeframe charts to spot major structural zones.
6 Calculation Modes: Choose from the most popular pivot calculation methods for each set:
Traditional: The standard (High + Low + Close) / 3 calculation.
Fibonacci: Uses Fibonacci ratios (0.382, 0.618) for support and resistance extensions.
Woodie: Places heavier weight on the open and close of the session.
Classic: A variation of the traditional formula with distinct multipliers.
DM : Focuses on the relationship between the open and close to predict the next session's range.
Camarilla: Excellent for mean reversion and range-bound trading strategies.
Optimized for Clean Charts:
Smart Labeling: Labels are plotted dynamically at the end of the lines to keep the chart clean.
Plot Limit Efficient: The script is coded to stay well within TradingView's plot limits, ensuring stability even when all features are active.
Custom Visibility: Easily toggle specific sets on or off depending on your immediate analysis needs.
How It Works
Pivot points are calculated based on the price action of the previous period. For example, "Daily" pivots are calculated using yesterday's High, Low, and Close. These levels act as predictive support and resistance zones for the current period.
The Pivot (P): The central line. Price trading above this generally indicates bullish sentiment, while price below indicates bearish sentiment.
Resistance (R1, R2, R3): Levels above the pivot where selling pressure may increase.
Support (S1, S2, S3): Levels below the pivot where buying pressure may increase.
Settings & Configuration
You can access the settings menu to configure the three available slots:
Show Set : Toggle the visibility of the entire pivot set.
Timeframe: Choose the timeframe for calculation (e.g., "D" for Daily, "W" for Weekly).
Type: Select the calculation logic (Traditional, Fibonacci, etc.).
Color: Assign a unique color to each set to easily distinguish between them (e.g., Orange for Daily, Blue for Weekly).
General Display:
Show Labels: Toggle the text labels on the right side of the chart.
Line Width: Adjust the thickness of the pivot lines for better visibility.
Visual Examples (See Screenshots Below)
Screenshot 1 (Bitcoin 5m Chart): This shows a complex setup with 3 active pivot sets: 60-minute Fibonacci (Orange), 240-minute DM (Blue), and Daily Camarilla (Purple). Notice how the indicator handles multiple overlapping levels cleanly without cluttering the price action.
Screenshot 2 (Gold/USD 1h Chart): A clear example of Weekly Woodie Pivots (Blue) overlaid with Monthly Camarilla (Purple) and Daily Fibonacci (Orange). This demonstrates the Multi-Timeframe capability, allowing you to see long-term support levels on an hourly chart.
Screenshot 3 (EUR/USD 15m Chart): Displays a 240-minute Traditional Pivot set alongside Daily Fibonacci and 480-minute Woodie pivots. This highlights how different calculation methods can provide confluence zones for intraday entries.
Disclaimer
This tool is for informational purposes only and DOES NOT constitute financial advice. Pivot points are lagging indicators based on historical data . Always manage your risk appropriately.
LiveFinTech Indicator🚀 LiveFinTech Indicator – Precision Trend Trading System
Welcome to the LiveFinTech Indicator an institutional grade trading suite designed for precision trend identification and advanced risk management. Whether you are scalping Gold (XAUUSD), trading Indices (NIFTY/BANKNIFTY) Forex or Crypto this tool provides a clear, data driven edge.
💎 Key Professional Features:
✅ Non-Repainting Core
Signals are confirmed only after the candle closes. Once a +Smart Buy or +Smart Sell appears, it is fixed on the chart forever. No lagging, no disappearing signals.
✅ Multi Timeframe Trend Dashboard
Monitor the trend direction across all major timeframes (1m, 5m, 15m, 1H, 1D) simultaneously. Stay on the right side of the market without switching tabs.
✅ Dynamic Position Tracking Table
A built-in professional table at the bottom right that tracks your most recent trades, showing:
Entry Price
Closed Price (Target Hit Price)
Live Trade Status (Active, TP1 Hit, TP2 Hit, ALL TP Hits or SL Hit)
✅ Advanced Risk Management (Independent Targets)
Set your Stop Loss and Take Profit targets (TP1, TP2, TP3) using independent multipliers. Adjusting your Stop Loss won't affect your Profit targets, allowing for complete strategy customization.
✅ Institutional Visuals
Features a custom Trend Ribbon and Background Cloud logic to filter out market noise and identify high-probability entries.
✅ Smart Alert System
Get instant notifications on your mobile app or email for:
Confirmed Entry Signals
Target (TP) Reach notifications
Stop Loss (SL) triggers
📈 How to Use:
Timeframes: Optimized for 1-minute, 5-minute and 15-minute charts for intraday trading.
Alerts: Set alerts using the "Any alert() function call" condition for real-time updates.
🔒 Access & Security:
This is a Private Invite-Only script. The core logic is protected and obfuscated to ensure the highest level of intellectual property security.
For Access: Please contact us with your TradingView username.
Disclaimer: LiveFinTech Indicator is for educational and informational purposes only. Trading involves risk. Past performance does not guarantee future results. Please trade responsibly.
ICT Flow Matrix [Ultimate]🔷 ICT FLOW MATRIX v6.0 🔷
Multi-Timeframe Smart Money Concepts Framework
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📌 OVERVIEW
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ICT Flow Matrix is the most comprehensive Smart Money Concepts (SMC) indicator available, combining all essential ICT methodologies into a single, highly customizable tool. Designed for serious traders who understand institutional order flow and want a clean, professional charting experience.
This indicator automatically detects and tracks:
- Fair Value Gaps (FVG) with intelligent mitigation
- Order Blocks with Breaker Block conversion
- Liquidity pools and sweep detection
- Market Structure Shifts
- ICT Macro Time windows
- Session-based analysis (Asia/London/NY)
- Multi-timeframe orderflow context
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⚡ CORE FEATURES
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📊 FAIR VALUE GAPS (FVG)
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Fair Value Gaps represent price imbalances where institutional orders may rest. These zones often act as magnets for price or provide high-probability entry areas.
Features:
✓ Automatic bullish/bearish detection
✓ Consequent Encroachment (CE) midlines
✓ Three mitigation types: Wick Touch, 50% CE, Full Close
✓ Inverse FVG (iFVG) formation on violation
✓ Auto-extending zones until mitigated
✓ Visual fade effect on mitigation
🏛️ ORDER BLOCKS (OB)
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Order Blocks mark the last opposing candle before a strong impulsive move—the footprint of institutional accumulation or distribution.
Features:
✓ Configurable impulse strength (2-10 candles)
✓ Optional volume confirmation filter
✓ 50% level targeting line
✓ Automatic Breaker Block conversion when invalidated
✓ Border-only or filled display styles
◈ BREAKER BLOCKS (BB)
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When an Order Block fails, it transforms into a Breaker Block—a powerful concept for understanding failed auctions and potential reversal zones.
Features:
✓ Automatic generation from failed OBs
✓ Independent mitigation tracking
✓ Dashed border styling for easy identification
▤ REJECTION BLOCKS (RB)
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Rejection Blocks identify candles with significant wicks relative to body size, indicating institutional defense at specific price levels.
Features:
✓ Customizable wick-to-body ratio threshold
✓ Automatic bullish/bearish classification
✓ Mitigation state tracking
▣ VOLUME IMBALANCE (VIMB)
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Volume Imbalances are gaps between consecutive candle bodies (not wicks), signaling aggressive institutional activity.
Features:
✓ Gap detection between body close and open
✓ Directional classification
✓ Auto-extending with mitigation tracking
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📐 STRUCTURE & LIQUIDITY
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📈 MARKET STRUCTURE SHIFTS (MSS)
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Market Structure Shifts occur when price breaks a significant swing point, potentially signaling a change in the prevailing trend.
Features:
✓ Real-time swing point tracking
✓ Configurable swing length
✓ Visual line and label confirmation
✓ Dashboard bias indicator
💧 EQUAL HIGHS / LOWS (EQH/EQL)
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Double or triple tops/bottoms represent liquidity pools where stop losses accumulate above highs or below lows.
Features:
✓ Smart matching with tolerance percentage
✓ Confirmed vs. unconfirmed visual distinction
✓ Sweep detection with alerts
✓ Automatic line extension
🌊 LIQUIDITY LEVELS (BSL/SSL)
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Buyside and Sellside Liquidity levels mark swing points where stop losses cluster, creating targets for institutional activity.
Features:
✓ Customizable swing length detection
✓ Sweep tracking with visual feedback
✓ Maximum level management
📏 PREMIUM / DISCOUNT ZONES
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Price trading above equilibrium (50%) is in Premium territory; below is Discount. These zones help identify optimal entry areas relative to the current range.
Features:
✓ Automatic structure-based calculation
✓ Visual background shading
✓ Age-based visibility to reduce stale zones
🎯 OPTIMAL TRADE ENTRY (OTE)
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The OTE zone (61.8%-79% retracement) represents the highest probability entry area within a retracement.
Features:
✓ Dynamic calculation based on structure
✓ Bias-adjusted positioning
✓ Clear visual box with boundary lines
⚡ CONFLUENCE DETECTION
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The confluence system scores areas where multiple ICT concepts align, highlighting high-probability zones.
Factors scored:
- Premium/Discount position
- OTE zone proximity
- Active FVG nearby
- Active OB nearby
- Macro time active
- Equilibrium proximity
Features:
✓ Configurable minimum threshold
✓ Background highlighting
✓ Dashboard score display
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⏰ TIME-BASED ELEMENTS
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🌍 KILLZONE SESSIONS
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Institutional activity concentrates during specific time windows. This indicator tracks and visualizes these critical sessions.
Sessions:
- 🌏 Asia: 20:00-00:00 ET
- 🇬🇧 London: 02:00-05:00 ET
- 🇺🇸 NY AM: 08:30-11:00 ET
- 🌆 NY PM: 13:30-16:00 ET
Features:
✓ Customizable session times
✓ Session boxes with H/L tracking
✓ Extendable H/L reference lines
✓ Dashboard session indicator
⏱️ ICT MACRO TIMES
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ICT Macro Times are specific 30-minute windows where algorithms are known to trigger significant market moves.
Windows:
02:45-03:15 | 03:45-04:15 | 04:45-05:15
09:45-10:15 | 10:45-11:15 | 13:45-14:15
14:45-15:15 | 15:15-15:45 | 15:45-16:15
Features:
✓ Individual window toggles
✓ Three display styles: Brackets, Background, Both
✓ Session high/low tracking
✓ Real-time dashboard status
📏 DEALING RANGES
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Dealing Ranges define the high-low range for various periods, with equilibrium serving as a key decision point.
Ranges available:
- 21-Day
- 3-Day
- Daily
- Asia Session
- London Session
- NY Session
Features:
✓ Premium/Discount shading
✓ Equilibrium line
✓ Fib boundary levels
✓ Optional price labels
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🕯️ HTF ORDERFLOW
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Higher Timeframe candles provide context for the dominant orderflow direction, helping align trades with larger market forces.
Features:
✓ Auto-timeframe selection or manual override
✓ Up to 6 historical candles
✓ Three visual styles: Modern, Classic, Hollow
✓ O/H/L reference lines
✓ Live countdown timer to next candle close
✓ Configurable positioning
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📋 SMART DASHBOARD
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Real-time status panel providing instant market context:
- Market Structure Bias (Bullish/Bearish/Neutral)
- Premium/Discount Zone Status
- Active Killzone Session
- OTE Zone Proximity
- Confluence Score
- Macro Time Status
- Active Zone Counts
Three display modes: Minimal | Compact | Detailed
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🎨 CUSTOMIZATION
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🎭 THEME PRESETS
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Five built-in themes plus full custom color control:
- Dark Pro (default)
- Light Clean
- Neon
- Classic
- Custom
⚙️ DISPLAY OPTIONS
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- Label size: Tiny/Small/Normal/Large
- Zone opacity control
- Mitigation fade effects
- History bar limits
- Individual element toggles
- Price display options
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🔔 35+ BUILT-IN ALERTS
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ZONE FORMATION:
- Bullish/Bearish FVG Created
- Inverse FVG Formed
- Bullish/Bearish Order Block
- Bullish/Bearish Breaker Block
- Rejection Blocks
- Volume Imbalances
LIQUIDITY EVENTS:
- EQH/EQL Swept
- BSL/SSL Swept
STRUCTURE EVENTS:
- Bullish/Bearish MSS
- OTE Zone Entry
- High Confluence Zone
TIME-BASED:
- Macro Time Start/End
- Session Opens (Asia/London/NY)
COMBO ALERTS:
- Bullish/Bearish Setup (FVG + OB)
- Macro + Confluence
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📚 HOW TO USE
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1️⃣ IDENTIFY BIAS
Check dashboard for structure direction and zone position
2️⃣ WAIT FOR KILLZONE
Trade during active sessions for highest institutional activity
3️⃣ SEEK CONFLUENCE
Look for areas where multiple concepts align (score ≥ 3)
4️⃣ TIME YOUR ENTRY
Execute during ICT Macro windows when possible
5️⃣ TARGET LIQUIDITY
Use EQH/EQL and BSL/SSL levels for take-profit zones
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💡 BEST PRACTICES
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- Start with default settings before customizing
- Disable features you don't actively use to reduce visual clutter
- Use confluence scoring to filter for higher probability setups
- Combine with your existing strategy rather than relying solely on zones
- Pay attention to HTF orderflow for directional bias
- Practice on historical data before live trading
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⚠️ DISCLAIMER
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This indicator is for educational and informational purposes only. Trading financial instruments involves substantial risk of loss and is not suitable for all investors. Past performance does not guarantee future results.
The concepts presented are based on publicly available trading methodologies and should not be construed as financial advice. Always conduct your own research and use proper risk management. Never trade with funds you cannot afford to lose.
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📧 FEEDBACK & SUPPORT
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Found a bug? Have a feature request? Leave a comment below!
If you find this indicator valuable, please consider:
✓ Leaving a like 👍
✓ Following for updates
✓ Sharing with fellow traders
Your support helps improve this tool for the entire community.
Elite Market PredictorAfter years of struggle, I have created a secret sauce for sniper entries with high win rate
Jk Colorful Signal Dashboard RSI ADX EMA MACD📊 Mini Impact Signal Dashboard PRO
Clean BUY / SELL / HOLD dashboard with multi-timeframe trend confirmation
🔍 Overview
Mini Impact Signal Dashboard PRO is a clean, clutter-free TradingView indicator designed for traders who want clear decisions without noisy charts.
Instead of plotting multiple indicators, this script runs a powerful multi-indicator logic in the background and displays the result as a small, high-impact dashboard at the top-center of the chart.
It answers only three important questions:
What should I do now? → BUY / SELL / HOLD
What is the higher-timeframe trend?
Is the trend strong enough (ADX)?
⚙️ Signal Logic (Behind the Scenes)
The dashboard signal is generated using a confluence-based system:
BUY signal when:
RSI > 60
ADX > 20 with +DI > −DI
MACD line above signal & histogram positive
Fast EMA above Slow EMA
Both Daily and Weekly trends are bullish
SELL signal when:
RSI < 40
ADX > 20 with −DI > +DI
MACD line below signal & histogram negative
Fast EMA below Slow EMA
Both Daily and Weekly trends are bearish
If neither condition is met, the dashboard shows HOLD.
🧠 Higher Timeframe Confirmation
To avoid false signals:
Trend is confirmed using Daily + Weekly EMA (50 vs 200)
BUY signals are allowed only in bullish higher-timeframe trends
SELL signals are allowed only in bearish higher-timeframe trends
This makes the indicator suitable for swing, positional, and disciplined intraday trading.
🎯 Dashboard Features
🟢 BUY → Green
🔴 SELL → Red
🟡 HOLD → Yellow
📍 Dashboard stays small, centered, and unobtrusive
No arrows, no lines, no repainting visuals.
🔔 Alerts
Popup & sound alerts
Alerts trigger only when the signal changes
No repeated or noisy alerts on every candle
👌 Best Use Cases
Swing trading (15m, 1H, Daily)
Positional trading
Trend-following strategies
Traders who prefer decision dashboards over cluttered charts
⚠️ Disclaimer
This indicator is a decision-support tool, not financial advice.
Always use proper risk management and confirm signals with your own analysis.
US ISM MNO/Business CycleVisual indicator tracking the US ISM Manufacturing New Orders Index across business cycle phases. Features four color-coded zones: Over Expansion (red, ≥60), Expansion (green, 50-60), Contraction (blue, 45-50), and Recession (yellow, <45). Includes reference lines at key thresholds (45, 50, 60) and automated alerts for zone transitions. Useful for monitoring economic cycles and timing investment decisions based on manufacturing sector momentum.
A01_Smartify_Flip_v.01 (Gold_XAUUSD_TF_15_Min)📌 Indicator Name
A01_Smartify_Flip_v.01 (Gold_XAUUSD_TF_15_Min)
🟡 Description
A01_Smartify_Flip_v.01 is a directional flip-signal indicator designed specifically for Gold (XAUUSD) on the 15-minute timeframe.
The indicator is powered by a proprietary price-action engine that analyzes internal market structure and momentum shifts to generate precise BUY / SELL flip signals, while an optional Moving Average direction filter helps align trades with the dominant trend.
This tool is built for traders who prefer clean signals, minimal noise, and disciplined execution.
⚙️ Key Features
🔹 Proprietary Signal Engine
Uses an internal, non-disclosed calculation model
Identifies directional momentum shifts
Generates flip-based BUY and SELL signals
Designed to reduce over-trading and sideways noise
🔹 Directional MA Filter (Optional)
Allows trades only in the direction of the selected Moving Average
Supported MA types:
EMA
SMA
WMA
VWMA
HMA
ALMA
Helps improve signal quality during trending conditions
🔹 Clean & Informative Visuals
Clear BUY / SELL labels
Optional PnL labels for visual reference
Optional MA plot on the chart
No clutter, no repainting visuals
🎯 Recommended Usage
Instrument: Gold (XAUUSD)
Timeframe: 15 Minutes
Best suited for intraday and short-term directional trading
Performs best during active market sessions
⚠️ Using this indicator on other symbols or timeframes may produce different results.
⚠️ Important Notes
This is a technical indicator, not an automated strategy.
All signals are visual guidance only.
No trade execution or order management is included.
Always combine with proper risk management.
📢 Disclaimer
This indicator is provided for educational and informational purposes only.
It does not constitute financial advice or a recommendation to trade.
Trading involves substantial risk.
You are solely responsible for your trading decisions and outcomes.
📞 Support / Premium Access
For questions, feedback, or premium / invite-only access:
📱 WhatsApp: +91 92388 23825
Keltner Sniper V3.3.4 - iron GuardExecutive Overview
The Keltner Sniper V3.3.4 is an institutional-grade quantitative tool designed for professional mean-reversion traders. Unlike standard indicators, the Sniper utilizes a proprietary TQ Score (Trade Quality) engine to filter out "market noise" and identify high-probability exhaustion points in both trending and ranging markets.
Core Innovation: The TQ Score (1-10)
The heart of the system is a multi-factor analysis engine that evaluates:
Relative Strength Index (RSI) for extreme oversold/overbought conditions.
Volume Ratio (V/V_avg) to detect institutional climax or exhaustion.
Candle Efficiency (Body vs. Range) to measure the conviction of the move.
Note: A TQ Score of 8+ represents a high-conviction setup where math and momentum align for a reversal.
Key Features of the "Iron Guard" Edition
1. Smart Market Regime Detection
The Sniper doesn't just look at price; it understands the context. Over the price action, you will see real-time labels:
⚠️ ROCKET MODE: Extreme momentum detected. The system warns you to stay away or wait for a blow-off climax.
DISTRIBUTION/ACCUMULATION: Traditional zones of interest for mean reversion.
STABLE REGIME: Standard volatility conditions.
2. The Iron Guard (Hard Stop Loss)
Based on lessons from high-volatility assets (like RIVER/USDT), V3.3.4 features a Hard Stop Loss logic. Unlike trailing stops that might get "squeezed," the Iron Guard anchors your SL to the entry price with an ATR-based buffer, ensuring a clear "risk ceiling" from the moment you enter.
3. Elite Dashboard
A transparent HUD providing real-time data on:
Quality Score: The final math output.
Strategy Suggestion: Dynamic guidance (TP2 Focus, Split 50/50, or Scalp).
Vol Ratio: Measuring the "weight" of the current move.
How to Trade with Keltner Sniper
Identify the Signal: Wait for a BUY or SELL label with a TQ Score of 5 or higher.
Check the State: Ensure the system is NOT in "Rocket Mode" if you are looking for a quick reversion.
Execute: Follow the TP1 (Fast) and TP2 (Moon) targets plotted on your chart.
Manage: The STOP LOSS (HARD) line is your ultimate safety net.
Access & Licensing
This is a Proprietary Invite-Only script. It is part of a private quantitative suite. To request access, please contact the author or visit our official channel.
GEMA SYSTEMBuilt to catch REAL momentum — not noise.
GEMA A++ Momentum Catcher is a momentum & power-shift indicator designed to identify high-probability trend moves and big swings, while keeping you out of low-quality chop and false continuation.
This indicator is NOT a scalping tool.
It is built for traders who want to:
• Ride strong momentum
• Exit before power fades
• Avoid overtrading
MonFri Indicator Educational analysis Practice Purpose Only
MonFri Indicator Educational Practice Demo Purpose Only.
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This is a more concise version to save time for traders simple learn easy to understand - Everything looks good Made For Trade Devloped by ParthTraderAlerts.
Used by Traders A tool Relied Trusted Designed for Trading.
Trading mein success paane ke liye, discipline aur control ke sath apne mindset ko majboot banayein. Aapka psychology aapke results ko shape karega har decision ko calmly aur confidently lein, aur apne confidence ko har step ke saath build karein. Saath hi, risk management aur focus ko apne trading rules ka hissa banayein. Apni losses ko manage karna utna hi zaroori hai jitna apni profits ko maximize karna.
Risk-reward ratio, stop-loss, aur position sizing jaise principles ko follow karte hue apne strategy ko consistent banayein. Jab aap apne decisions ko ek clear aur disciplined mindset ke saath lete hain, toh aap apne trading results ko long-term success ki direction mein steer kar paayenge. Wishing u Have a great life journey ahead!
Disclaimer: This Indicator is for Educational & Research Testing Purpose Only. Use it as a Tool for Analysis Not a Guarantee as Financial or Investment Advice.
Indicator is Hypothetical & for Learning Use Only. Results may vary depending on market conditions. Use at your own risk – Results may Vary Depending on Market Conditions.
Copyright © 2025 ParthTraderAlerts All rights reserved.
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// Disclaimer & copyright (unchanged)
// The MonFri Indicator Created by "ParthTraderAlerts" Educational Practice Demo Purpose Only" indicator is designed for paper trading practice purposes only and should not be considered financial advice.
// The signals and indicators provided by this script are based on technical analysis and do not guarantee profits.
// Trading involves significant risk, and past performance is not indicative of future results.
// The author is not responsible for any financial losses or other consequences resulting from the use of this script.
// Always perform your own research and risk management before making any trading decisions.
// Use this script at your own risk.
// The creator of this script does not guarantee its accuracy, reliability, or effectiveness for trading.
// Use this script at your own risk. The creator is not responsible for any financial loss or damages resulting from the use of this script.
// This is an "Invite-Only" script and is accessible only by invite. Unauthorized sharing or redistribution of this script is prohibited.
// Trading involves substantial risk and may not be suitable for all investors. Always perform your own research and consult with a professional financial advisor before making any investment decisions.
// The (MonFri Indicator By ParthTraderAlerts - Educational Purpose Only No any Advice Buy/Sell Recondition Trade your own Rick Author Are Not Responsible any Profit aur Loss please Consider Your Financial Advisor - Thankyou.
// Copyright © 2025 "ParthTrderAlerts" All rights reserved.
NVentures Yale Hirschs Trifecta🎯 OVERVIEW
The NVentures January Trifecta System is an institutional-grade seasonality dashboard that combines the three most important January indicators from Yale Hirsch's Stock Trader's Almanac into a single, comprehensive tool.
The January Trifecta combines:
🎅 Santa Claus Rally (last 5 trading days of Dec + first 2 trading days of Jan)
📅 First Five Days (first 5 trading days of January)
📊 January Barometer ("As goes January, so goes the year")
Enhanced with a Context Layer:
📈 200-Day Moving Average (trend regime)
📉 Year-to-Date Reference Line (performance tracking)
🐻 Prior Year Performance (bear market multiplier)
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📈 HISTORICAL STATISTICS (S&P 500, 1950-2024)
Trifecta 3/3 Bullish → 90.6% Accuracy → Avg +17.7%
Trifecta 3/3 after Bear Year → 100.0% Accuracy → Avg +22.1% ⭐
First Five Days ≥ +2% → 100.0% Accuracy → Avg +16.8% ⭐
Santa Claus Rally positive → 78.0% Accuracy → Avg +10.4%
January Barometer positive → 86.5% Accuracy → Avg +16.2%
Mixed Signals (1-2/3) → ~60% Accuracy → Avg +2.9%
Santa Claus Rally FAILURE → ⚠️ WARNING : "Bears may come to Broad and Wall"
⚠️ BASE RATE REMINDER: The S&P 500 closes positive in approximately 71% of all years . Trifecta statistics must be evaluated against this baseline.
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🎅 SANTA CLAUS RALLY
Period: Last 5 trading days of December + First 2 trading days of January (7 trading days total)
"If Santa Claus should fail to call, bears may come to Broad and Wall." - Yale Hirsch
The Santa Claus Rally is less of a buy signal and more of a WARNING SYSTEM . When the rally fails (negative performance), historically 5 out of 6 extreme failures preceded negative or below-average market years.
Historical Win Rate: 78%
Average Return when positive: +1.3%
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📅 FIRST FIVE DAYS (Early Warning System)
Period: First 5 trading days of January
Reference: Close of the last trading day in December
The "First Five Days Early Warning System" is particularly meaningful with STRONG signals:
First Five Days ≥ +2.0% → 100% of years ended positive!
First Five Days > 0% → 83% accuracy for positive full year
First Five Days < 0% → Only 54% accuracy (barely better than a coin flip)
⚠️ IMPORTANT: The predictive power is ASYMMETRIC - positive signals are significantly more reliable than negative ones.
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📊 JANUARY BAROMETER
Period: Entire month of January
Reference: Close of the last trading day in December
"As goes January, so goes the year" - this market wisdom was first documented by Yale Hirsch in the 1972 Stock Trader's Almanac .
The theoretical basis: The 20th Amendment to the U.S. Constitution (1933) concentrates important political activities in January:
Start of new Congressional sessions
State of the Union Address
Budget presentations
This creates market impulses that can shape the entire year.
Accuracy when January positive: 86.5%
Accuracy when January negative: ~54% (coin flip!)
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📊 CONTEXT LAYER
The system enhances the classic Trifecta with three context factors:
📈 200-DAY MOVING AVERAGE
The institutional standard for determining long-term trend.
Price > 200 MA = Bullish regime ✅
Price < 200 MA = Bearish regime ❌
Displayed as an orange line on the chart.
📉 YEAR-TO-DATE REFERENCE LINE
Horizontal line at the close level of the previous year's end. Enables immediate visual assessment of YTD performance.
Price > YTD line = Year in profit ✅
Price < YTD line = Year in loss ❌
Displayed as a gold line on the chart.
🐻 PRIOR YEAR PERFORMANCE (Bear Market Multiplier)
⭐ THE STRONGEST SIGNAL IN THE ENTIRE SYSTEM! ⭐
When the prior year was negative (bear market) AND the Trifecta is 3/3 bullish:
Historical Accuracy: 100% (13 out of 13 cases since 1949)
Average Annual Return: +22.1%
EVERY single case delivered double-digit gains
Examples:
2023: After bear year 2022 (-19.4%) → Trifecta bullish → +24.2%
2019: After Q4/2018 correction → Trifecta bullish → +28.9%
2009: After 2008 crash (-38.5%) → Trifecta bullish → +23.5%
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📋 DASHBOARD
The dashboard displays in real-time:
TRIFECTA COMPONENTS
🎅 Santa Claus Rally - Status (Pending/Bullish/Failed) + Return %
📅 First Five Days - Status (Day X/5) + Return %
📊 January Barometer - Status (Pending/Bullish/Bearish) + Return %
CONTEXT LAYER
📈 Price vs 200 MA - Above/Below + Distance %
📉 YTD Performance - Positive/Negative + Return %
🐻 Prior Year - Bull/Bear Year + Return %
TRIFECTA SCORE
Score: X/3 (with pending count)
Context Score: X/3
Historical probability and expected return when components complete
Special signals highlighted (Post-Bear Trifecta, Santa Failure, Strong F5D)
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🔔 ALERT SYSTEM
The indicator provides 5 pre-configured alert types:
🔴 SANTA CLAUS RALLY FAILURE (Highest Priority)
Trigger: Santa Rally Return < -1%
"If Santa fails to call, bears may come to Broad and Wall"
🔥 POST-BEAR TRIFECTA (Highest Confidence)
Trigger: Prior year negative + Trifecta 3/3 bullish
Historical Accuracy: 100% | Avg Return: +22.1%
🔥 FIRST FIVE DAYS STRONG (≥2%)
Trigger: First Five Days Return ≥ 2%
Historical: 100% of years positive
✅ TRIFECTA COMPLETE (Bullish)
Trigger: All 3 components positive
Accuracy: 90.6% | Avg Return: +17.7%
⚠️ MIXED SIGNALS
Trigger: 1-2 of 3 components positive
Accuracy: ~60% - elevated uncertainty
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⚙️ SETTINGS
TRIFECTA SETTINGS
First 5 Days Strong Signal (%): Threshold for "strong" signal (Default: 2%)
CONTEXT LAYER
Show 200-Day MA: Toggle 200 MA display
Show YTD Reference Line: Toggle year-start reference line
MA Length: Moving average length (Default: 200)
DASHBOARD
Show Dashboard: Toggle dashboard visibility
Dashboard Position: Top Right/Left, Bottom Right/Left
Dashboard Size: Small/Normal/Large
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📌 USAGE NOTES
✅ RECOMMENDED USE:
Timeframe: DAILY (1D) - The indicator is designed for daily candles
Instruments: US indices ( AMEX:SPY , NASDAQ:QQQ , AMEX:DIA , AMEX:IWM ) for validated statistics
Also applicable to: Individual stocks, FX, Crypto (trend layer is universal)
⚠️ IMPORTANT LIMITATIONS:
Historical statistics are primarily validated for US indices
International markets show weaker/no January effects (DAX: only 45.5% accuracy)
Negative Trifecta signals have only ~54% accuracy (coin flip!)
The Trifecta is a CONFIRMATION tool , not a timing system
Remember the base rate: Markets are positive ~71% of years anyway
🎯 BEST PRACTICES:
Use the Trifecta for RISK CALIBRATION , not market timing
The strongest signal is the POST-BEAR TRIFECTA (100% historical)
Santa Failures are WARNINGS - increase cash/hedges on failure
First Five Days ≥ 2% is rare but very powerful
Combine with other analysis methods - never use in isolation
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📚 SOURCES & METHODOLOGY
Yale Hirsch: Stock Trader's Almanac (since 1968)
Jeff Hirsch: Almanac Investor (current research)
Cooper, McConnell, Ovtchinnikov (2006): "The Other January Effect" - Journal of Financial Economics (Fama-DFA Prize Winner)
LPL Financial Research: Seasonal Pattern Analysis
Ned Davis Research: Bull/Bear Market Definitions
Calculation methodology follows the exact definitions from the Stock Trader's Almanac. All returns are calculated close-to-close on trading days.
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⚠️ DISCLAIMER
This indicator is for informational and educational purposes only . It does not constitute investment advice or a solicitation to buy/sell financial instruments.
Past performance is not a reliable indicator of future results
Seasonal patterns can change or disappear
Academic studies show weakening of the January effect since 2000
Every investor is responsible for their own decisions
Investments in financial instruments involve risks and can lead to loss of invested capital.
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NVentures. Unconventional Alpha.
67 Imbalance67 Imbalnce is a volatility-structure overlay built to help traders read fair value vs. extension and spot potential regime shifts after statistically meaningful moves.
Dynamic Fair-Value Baseline: A central anchor that represents the market’s current “balance point.” Price relative to this baseline provides a quick read on directional regime (bullish/bearish bias).
Multi-Layer Volatility Envelopes: A ladder of bands above and below fair value that expand/contract with volatility. These zones act as adaptive extension maps—useful for identifying when price is operating in a normal rotation area vs. a stretched state.
Visual Regime Cues: Bar coloring and band styling reinforce trend state and volatility conditions at a glance.
Smoothed Heikin Ashi OverlayPlots Smoothed Heikin Ashi candles directly on your chart to reduce noise and clarify trend structure. Choose a source timeframe (or use the chart timeframe), apply pre-smoothing to OHLC, optionally post-smooth the HA values, and customize candle colors. Includes alert conditions for bullish/bearish flips.
All-3of3All-3of3 - Wave Trend Environment Analyzer
This indicator is designed for analyzing "Wave 3 of Wave 3" opportunities in Elliott Wave theory - the most powerful impulse waves in trend reversals and continuations.
◆ Key Features
1. Dynamic SMA/EMA Band System (200 Band)
Visualizes trend strength through automatic gradient coloring based on SMA-EMA divergence.
Strong divergence = Deeper color = Strong trend momentum.
Band convergence = Fading color = Potential reversal or consolidation.
Supports multiple timeframe analysis with 9 different MA lengths (5, 9, 20, 26, 52, 75, 200, 300, 500).
2. Pivot-Based Resistance/Support with Fibonacci
Automatically detects pivot highs above SMA200 (Resistance) and pivot lows below SMA200 (Support).
Dynamic Fibonacci retracement levels (0.236, 0.382, 0.618, 0.786) drawn between R/S pivots.
Two-segment line system: Initial segment (confirmation period) + Extended segment (validated level).
3. Range Detector with Alert Integration
Identifies consolidation zones using ATR-based calculations.
Color-coded breakout direction (Up/Down/Unbroken).
Special alert when range forms within Fibonacci zones (high-probability setups).
◆ Trading Application
Entry Identification:
When Band 200 shows deep color (strong divergence) → Trend is accelerating (Wave 3).
When price approaches Fib 0.618-0.786 zone with strong band color → Prime Wave 3 of 3 entry.
When Range Detector shows consolidation in Fib zone → High-probability continuation setup.
Environment Analysis:
Band color intensity indicates trend strength/weakness.
Fib levels provide objective support/resistance targets.
Range detection identifies accumulation/distribution phases.
◆ Why This Indicator is Unique
This indicator combines three complementary analysis methods into a unified environment recognition system:
Trend Strength Quantification: Band divergence auto-gradient (not just direction, but intensity).
Dynamic Level Detection: SMA200-relative pivot filtering (context-aware S/R).
Consolidation Pattern Recognition: ATR-normalized range detection with Fib zone alerts.
◆ Settings Overview
Master Display Toggle: Enable/disable each component independently.
RS/Fib: Pivot period, line styles, Fibonacci level customization.
SMA/EMA Bands: All MA lengths adjustable, visibility toggles, color customization.
Range Detector: Range length, ATR-based width, breakout colors.
📌 Companion Indicator: 3of3 Alert
For precise entry timing, I recommend using this indicator together with "3of3 Alert ", available in the Scripts tab of my profile.
Role Comparison:
All-3of3: Environment analysis - WHERE you are in the trend.
3of3 Alert: Entry timing - WHEN to enter.
Synergy Benefits:
Confirm trend strength with Band 200 color before acting on 3of3 Alert signals.
Use Fibonacci levels for profit targets after entry.
Identify high-probability setups when Range Detector consolidation aligns with signals.
Supertrend BUY Only - Optimized for Gold M15 TimeframeOverview
The Supertrend BUY Only - Production Optimized is a high-performance trend-following indicator specifically tuned for XAUUSD (Gold) on the 15-minute timeframe. Unlike standard Supertrend scripts, this version focuses exclusively on bullish cycles to align with long-term upward bias and uses parameters discovered through deep data analysis of over 20,000 bars of historical market data.
Key Features
Data-Optimized Parameters: Defaults are set to ATR Period 7 and Multiplier 2.1, which backtesting has shown to provide a superior balance between sensitivity and noise reduction for Gold.
Production-Ready Alerts: Includes built-in alertcondition triggers for both BUY (Trend Flip) and STOP BUY (Trend Exit), complete with dynamic messages that include price and interval.
Trailing Support Band: Uses a trailing logic that locks in support levels during upward moves, preventing the band from dropping until the trend officially reverses.
Clean Visuals: Focuses on chart clarity by only plotting the support line during active uptrends and utilizing clean shape labels for entries and exits.
How to Use
Entry (BUY): When the Supertrend line flips from Red to Green and a "BUY" label appears. This indicates bullish momentum has overcome recent volatility.
Exit (STOP BUY): When the price closes below the Green support line. The indicator will plot a red "X" and clear the green background.
Setting Alerts: * Click the Alerts icon in TradingView.
Select this indicator under "Condition."
Choose "BUY Signal" for entries and "STOP BUY / EXIT" for managing your trade or taking profit.
Technical Details
The script allows users to toggle between the TradingView (RMA) ATR calculation and the Standard (SMA) method. For production and live trading, the RMA method is recommended as it provides a smoother response to volatility spikes common in the Gold market.
SMC Area Mapping - Akbar KasriSMC Mapping Area is a professional-grade technical analysis tool based on Smart Money Concepts (SMC). This indicator is designed to automate the identification of high-probability Supply and Demand zones (Order Blocks) while filtering out low-quality setups through a rigorous Multi-Factor Confluence Scoring system.
Unlike standard OB indicators that plot every reversal candle, this script evaluates each zone on a scale of 1 to 6, ensuring you only focus on areas where institutional interest is most likely present.
🌟 Key Features
Automated Order Block (OB) Detection: Dynamically identifies Bullish and Bearish OBs based on impulsive price movement.
Confluence Scoring System (Rank 1-6): Each zone is weighted based on technical "Checkpoints":
Imbalance/FVG (⚡): Confirms price inefficiency.
Market Structure (BOS/CHoCH): Ensures the zone aligns with a break or change in market character.
M5 Historical S/R (📊): Validates the zone's strength using lower timeframe historical touches.
H1 Context (⭐): Syncs the zone with significant H1 Support/Resistance levels.
HTF Trend Alignment (🎯): Confirms if the setup is "Pro-Trend" relative to the H1 timeframe.
Star Rating System: Instant visual feedback with stars (⭐⭐⭐) to help you distinguish between "A-Plus" setups and secondary zones.
Continuation Patterns: Automatically detects RBR (Rally-Base-Rally) and DBD (Drop-Base-Drop) zones for trend following.
Real-time Dashboard: A clean UI in the top-right corner tracking active zones, H1 trend direction, and current confluence requirements.
📊 Understanding the Score
Score 6 (⭐⭐⭐): Premium Setup. All confluences align, including HTF trend and historical S/R.
Score 5 (⭐⭐): High Probability. A very strong zone with significant structural backing.
Score 3-4 (⭐): Standard Setup. Valid for confirmation entries or scalping.
⚙️ How to Use
Define Your Context: Use the "H1 Context" input to align the indicator with your higher timeframe bias.
Filter Quality: Adjust the "Min Confluence Score" to only show zones that meet your personal risk appetite.
Wait for Mitigation: Look for price to return to the highlighted boxes. High-score zones often act as a magnet for price before a reversal.
Alerts: Set alerts for "Score 5" or "Score 6" zones to ensure you never miss a high-probability trade.
🔔 Integrated Alerts
Stay away from the screen! This indicator includes smart alerts that trigger only when high-ranking Bullish or Bearish OBs are formed, saving you from "chart fatigue."
Disclaimer: Trading involves significant risk. This indicator is a tool to assist analysis and does not constitute financial advice. Always use proper stop-loss management.
ADR%, LoD Price, RS RatingGet the Values of ADR%, LoD Price, RS Rating on Daily Charts.
For RS Ratings, Benchmark Symbol and look back period need to be adjusted manually as per your requirement.
MarketFlow PROMarketFlow PRO — Institutional Session Engine
MarketFlow PRO is a professional market structure and session-based trading framework designed to expose institutional behavior during the most important trading windows.
It highlights where institutions are active, accumulating, distributing, and reversing — with a strong focus on the New York session, where real liquidity enters the market.
This tool helps traders stop chasing price and start understanding who controls the market and when.
🔍 What MarketFlow PRO Reveals
• Institutional accumulation & distribution zones
• High-probability session breakouts
• Smart money reversals & exhaustion
• Session-driven market structure shifts
• Clear contextual BUY / SELL decision zones
⚙️ Core Features
✔ New York & London session intelligence
✔ Institutional market structure mapping
✔ Clean, non-repainting signals
✔ Session bias detection
✔ Optimized for discretionary trading
🧠 How to Use
MarketFlow PRO is not a mechanical trading system.
It is a context & structure engine.
Use it to:
• Identify high-quality trading windows
• Align with institutional flow
• Avoid low-liquidity traps
• Improve timing and trade location
• Combine with your own strategy & risk model
Best results when used with price action, support & resistance, and proper risk management.
⚠️ Risk Disclaimer
Trading involves risk.
This indicator is an analytical tool and does not provide financial advice.
All trading decisions remain the responsibility of the user.






















