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Whale Activity Tracker Enhanced

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"Whale Activity Tracker Enhanced: Multi-Timeframe Adaptive Trading Signals"

Description:

The Whale Activity Tracker Enhanced (WAT+) is an innovative, multi-dimensional indicator designed to detect and visualize significant market moves likely driven by large players ("whales"). It combines volume analysis, price action, volatility, and momentum to provide traders with a comprehensive view of potential high-impact market events.

Key Features:
1. Adaptive Volume Spike Detection: Dynamically adjusts to market conditions, identifying unusual volume surges relative to recent activity.
2. Multi-Factor Confirmation: Combines volume spikes with price movements, RSI levels, and volatility measures for higher-probability signals.
3. Liquidity Grab Detection: Identifies potential stop-loss raids and liquidity sweeps through wick-to-body ratio analysis.
4. Customizable Signal Strength: Provides a visual representation of signal intensity, allowing traders to focus on the most significant events.
5. Flexible Timeframe Usage: Optimized settings for both scalp and swing trading, making it versatile across different trading styles.

How It Works:
- Volume Spike Analysis: Compares current volume to a user-defined multiple of the average volume.
- Price Move Threshold: Flags significant percentage price changes to filter out minor fluctuations.
- RSI Integration: Uses RSI to identify potential overbought/oversold conditions coinciding with other signals.
- Volatility Measurement: Incorporates ATR to detect periods of increased market volatility.
- Wick Analysis: Detects potential liquidity grabs by analyzing the ratio of candle wicks to bodies.

Originality:
Unlike standard volume or price action indicators, WAT+ synthesizes multiple market factors to provide a holistic view of potential whale activity. Its adaptive nature and customizable parameters allow it to work across various market conditions and trading styles.

Usage Guide:
1. Scalp Trading Setup:
- Use shorter lookback periods (12-15 bars) and tighter RSI levels (75/25).
- Focus on quick, high-probability trades triggered by volume spikes and price moves.
- Utilize the signal strength indicator for entry confirmation.

2. Swing Trading Setup:
- Extend lookback periods (20-30 bars) and use standard RSI levels (70/30).
- Look for sustained signals over multiple candles for trend confirmation.
- Combine with broader market trend analysis for higher-probability setups.

3. General Tips:
- Use the info panel to analyze the components of each signal.
- Adjust volume and price thresholds based on the specific asset's volatility.
- Combine with support/resistance levels for optimal entry and exit points.

By providing a multi-faceted approach to market analysis, the Whale Activity Tracker Enhanced empowers traders to identify and capitalize on significant market moves across various timeframes and trading styles.

Swing Trading Settings:
General Settings
Lookback Period: 20 to 30 bars. This provides a smoother signal and better context for swing trading.

Volume Spike Multiplier: 2.5 to 3.0. Higher thresholds ensure only significant volume spikes are considered.

Price Move % Threshold: 2.0 to 3.0%. Larger price move thresholds align with swing trading objectives.

RSI Period: 14 to 21. Longer periods smooth out short-term fluctuations.

RSI Overbought/Oversold Levels: 70/30. These levels work well for identifying potential reversals in swing trading.

Signal Detection
Enable Volume Spike Signal: True

Enable Price Move Signal: True

Enable Volatility Signal: True (important for identifying strong trends)

Enable Liquidity Grab Signal: True

Visualization
Show Volume Threshold Line: True

Show Signal Strength: True

Show Info Panel: True (useful for detailed analysis of swing setups)

Colors
Bullish Color: Green

Bearish Color: Red

Liquidity Color: Purple

Additional Parameters
ATR Period: 14 to 20. This helps identify volatility and set stop-loss levels.

Wick-to-Body Ratio: 2.0 or higher. This ensures only significant liquidity grabs are flagged.

Signal Strength Smoothing: 3 to 5 bars for steadier signals.

Scalp Trading:
General Settings
Lookback Period: 12 to 15 bars. This allows for a balance between responsiveness and noise reduction.

Volume Spike Multiplier: 2.0 to 2.2. This setting helps detect significant volume spikes without overreacting to minor fluctuations.

Price Move % Threshold: 1.0 to 1.2%. This captures substantial price movements suitable for scalp trading.

RSI Period: 7 to 9. Shorter periods provide quicker signals, ideal for scalp trading.

RSI Overbought/Oversold Levels: 75/25. Tighter levels help identify potential reversals sooner.

Signal Detection
Enable Volume Spike Signal: True

Enable Price Move Signal: True

Enable Volatility Signal: False (optional, depends on market conditions)

Enable Liquidity Grab Signal: True

Visualization
Show Volume Threshold Line: True

Show Signal Strength: True

Show Info Panel: False (optional, for cleaner charts)

Colors
Bullish Color: Green

Bearish Color: Red

Liquidity Color: Purple

Additional Tips
ATR Period: Keep it around 14 for volatility assessment.

Wick-to-Body Ratio: Adjust to 1.8 or higher for clearer liquidity grabs.

Signal Strength Smoothing: Use 2 to 3 bars for a responsive yet stable signal.

Notes de version
Whale Activity Tracker Pro v5 – What Makes It Special

🔒 Production-Ready Stability

Bar index validation & parameter limits prevent errors

Optimized math for faster, more accurate calculations

Pine Script v5 for maximum reliability

🏦 Institutional-Grade Analysis

11 confirmation layers with multi-timeframe validation

Z-score filtering removes ~95% of noise

Adaptive thresholds adjust to changing market conditions

Real-time dashboard with 12 metrics

🔧 Core Parameters

Lookback (20), Volume Spike (2.5x), Price Move (1.5%)

RSI (14), ATR Volatility (1.5x), Wick/Body (2.0)

🎯 Advanced Features

Multi-Timeframe Confluence – up to 3 TFs must align (~80% fewer false signals)

Volume Profile (POC) – signals only near high-volume institutional levels

Market Structure – filters by support/resistance proximity

Z-Score Filtering – true anomalies only (>2σ)

Order Flow – detects buy/sell pressure imbalance

Adaptive Parameters – auto-tunes thresholds per volatility

Signal Clustering – groups weak signals into strong ones

Whale Exhaustion – exit warnings when big players fade

Smart Money Divergence – price/volume mismatch → early reversals

Institutional Hours Weighting – 1.5x focus during core hours

📊 Visualization & Alerts

Bullish/Bearish Whale, Liquidity Grabs, Exhaustion, Divergence

Reference lines: adaptive thresholds & POC

Info Panel: live Z-scores, order flow, confirmations, exhaustion, divergence, clustering

Customizable alerts for all signal types

⚙️ Usage & Optimization

Scalpers: 1m–15m, tighter proximity & lower thresholds

Day Traders: 5m–1h, balanced settings (default)

Swing Traders: 15m–4h, higher proximity & Z-score sensitivity

Troubleshooting: adjust Z-score, confirmations, or level proximity

📈 Key Improvements in v5

Stronger safety checks, smarter math, Pine v5 stability

Faster, cleaner, error-proof execution

More efficient algorithms for heavy use

🏁 Conclusion
Whale Activity Tracker Pro v5 turns raw volume analysis into institutional-grade, multi-layered market intelligence. It adapts automatically, filters noise, validates across timeframes, and provides clear, reliable signals—giving retail traders a toolset that rivals hedge fund analytics.

Do you want me to make this even tighter (like a one-pager product sheet style), or keep it at this “executive summary” level?

You said:
youre missing a lot of key points like trouble shooting version history and improvements configurations should be more detailed
ChatGPT said:
Thought for 7s

Nice — thanks for the note. I tightened the summary and added the missing sections you asked for: detailed configurations, troubleshooting, and version history/improvements — all kept compact so it’s still an executive-style brief. 🚀

Whale Activity Tracker Pro v5 — Executive Summary

Stability & Safety

Bar-index validation + parameter min/max limits prevent early-bar and config errors.

Optimized math (SMA×Period approach), null checks, and Pine Script v5 ensure production-ready reliability.

Institutional-Grade Detection

11 confirmation layers (multi-timeframe, Volume Profile/POC, market structure, order flow, Z-score, clustering, etc.).

Z-score filtering removes ~95% noise; adaptive parameters auto-tune to market regime.

Real-time dashboard with 12 metrics and customizable alerts.

Core Parameters (defaults & recommended ranges)

Lookback Period: 20 (range 10–500)

Volume Spike Multiplier: 2.5× (1.5–5.0)

Price Move Threshold: 1.5% (0.5–5%)

RSI Period: 14 (7–30)

Volatility (ATR) Multiplier: 1.5× (1.0–3.0)

Wick-to-Body Ratio: 2.0 (1.0–4.0)

VP Lookback: 50 (10–500) | POC Proximity: % distance setting (0.1–5%)

Z-Score Period: 50 (20–500) | Threshold: 2.0 (1.5–3.0)

Advanced Features (condensed)

MTF Confluence: 3 TFs (5m/15m/60m default). Require 1–3 confirmations (default 2). ~80% fewer false signals.

Volume Profile (POC): Signals only when near POC; orange POC line visualization.

Market Structure: Auto pivots, up to 10 key levels, updates every 20 bars.

Z-Score Filter: Triggers only when |Z| > threshold. Live Z values in panel.

Order Flow: Buying vs selling pressure metric; imbalance threshold default 1.5×.

Adaptive System: Auto-adjusts threshold by volume stddev & volatility (Adaptive Period default 100).

Signal Clustering: 1.5× weight when 2+ signals cluster in default 5-bar window.

Whale Exhaustion, Smart Money Divergence & Institutional Hours Weighting (9:30–16:00 EST; 1.5× weight).

Detailed Configurations (by playstyle)

Scalpers (1–5m): TFs 1m/5m/15m | MTF confirmations 2 | Level proximity 0.3% | Z-score 1.8 | VP Lookback 50 | Focus: institutional hours only.

Day Traders (5m–1h): TFs 5m/15m/1h | Confirmations 2 | Proximity 0.5% | Z-score 2.0 | Adaptive ON.

Swing Traders (1–4h): TFs 15m/1h/4h | Confirmations 2–3 | Proximity 1.0% | Z-score 2.5 | VP lookback ↑ (100+).

Troubleshooting (quick fixes)

Too Many Signals: raise Z-score (e.g., 2.0 → 2.5); require more MTF confirmations (2 → 3); reduce proximity (0.5% → 0.3%).

Too Few Signals: lower Z-score (2.0 → 1.5); reduce confirmations (2 → 1); increase proximity (0.5% → 1.0%).

Signals Not Appearing: verify features enabled, ensure TF compatibility, confirm sufficient historical bars, enable VP/POC data.

Performance Issues: decrease lookbacks (VP/Z periods), disable unused features (POC, clustering), reduce panel update frequency, limit stored key levels.

Unexpected Errors: check console logs for null/NaN, ensure Pine v5 environment, reset parameter bounds to defaults.

Version History & Key Improvements (v5)

v5 Optimizations: bar-index safety checks, parameter validation limits, mathematical precision fixes, optimized calculation algorithms (SMA×Period), robust null/error handling, Pine Script v5 compatibility.

Key differences from original: stronger safety-first design, fewer edge-case errors, measurable performance gains, production-ready robustness.

Alerts, UX & Best Practices

Alerts customizable per signal; only fire when selected filters are met.

Start with defaults, backtest for 3+ market regimes, then tweak one parameter at a time. Use exhaustion as exits and combine with risk management.

Clause de non-responsabilité

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