Indicateurs d'étendue
On Balance Volume (with Candles)OBV+ is an enhanced On Balance Volume indicator that visualizes volume flow either as a line or candlestick-style OBV bars. It shows whether volume is accumulating or distributing, and includes optional moving-average smoothing and Bollinger Bands on OBV to identify trend direction, consolidation, and breakout strength.
Use-Cases
This indicator is especially useful for:
Bullish setup:
Price sideways + OBV rising → accumulation
Bearish setup:
Price rising + OBV flat/falling → distribution
Breakout confirmation:
Price breakout + OBV breaking BB → high conviction move
Options selling filter:
Flat OBV + compressed BB → range-bound market
US30 (DJIA 30 Stocks) Money Flow Tracker V1.2www.tradingview.com
Unlock the hidden strength of the Dow Jones Industrial Average with this powerful multi-stock money flow tracker!
Dive deep into the real-time performance of all 30 DJIA components – visualize individual money flow lines with dynamic gradient coloring, track the overall DJIA average MA, and instantly spot leaders/laggards via a live ranking table.
Whether you're analyzing breadth, detecting rotations, or hunting for early signs of market turns, this indicator reveals the true "under the hood" dynamics of the US30 that single-index charts can't show.
Features include customizable calculation modes (Money Flow, OBV, A/D Line, VWOBV, % Change), periodic resets, labels with highlights, and error detection – all optimized for smooth performance.
Perfect for swing traders, breadth enthusiasts, and anyone trading US indices!
github.com
github.com
How to Use
1. Add to Chart Apply the indicator to any timeframe (recommended: 1H, 4H, Daily for best performance). It works standalone in a separate pane (overlay = false).
2. Key Settings (General Group)
o Calculation Mode: Choose your preferred method: • Money Flow Volume (default – classic volume × price direction) • OBV Standard • VWOBV (volume-weighted for momentum sensitivity) • PriceChangePct (% change from reset – great for relative strength) • A/D Line (Accumulation/Distribution)
o Reset Cumulative Mode: Reset values periodically (None, Daily, Weekly, Monthly, 3/6 Months, Yearly) to focus on recent flows.
o Smoothing options for cleaner lines.
3. Appearance Controls
o Show Average MA: Toggle the white DJIA overall strength line (highly recommended).
o Show 30 Individual Lines: Toggle all stock lines (disable for cleaner view – labels will hide automatically).
o Show Labels: Stock ticker labels at chart end (with highlight backgrounds for top/bottom performers).
o Gradient colors automatically shift from red (weak) → gray (neutral) → lime (strong).
4. Table & Highlights
o Show Table: Live ranking of visible stocks with Rank, % Price Change since reset, and current Value.
o Highlight Top/Bottom N stocks with background glow on labels
5. Tips for Best Experience
o Use on US30 or SPX charts for context.
o Disable individual stocks via checkboxes if focusing on sectors.
o For low timeframes, turn off lines/table if needed – script is optimized but multi-security calls can add slight load.
Enjoy deeper insights into DJIA internals – happy trading!
DISCLAIMER
This script is intended for informational and educational purposes only. It does not constitute financial, investment, or trading advice. All trading decisions made based on its output are solely the responsibility of the user.
BK AK-Momentum Pivot Wolf🐺⚔️ BK AK–Momentum Pivot Wolf — The Court of Price. ⚔️🐺
Not prophecy. Procedure. Not prediction. Judgment.
Most tools try to “call direction.” Pivot Wolf does something harder: it forces proof.
It treats every move like a case that must be supported by boundary + witness + pressure before you’re allowed to act.
Above all: all glory to G-d—the true source of wisdom, restraint, and endurance.
AK is honor for my mentor A.K. (clarity, patience, no shortcuts).
What This Indicator Is
Pivot Wolf is a rule-based momentum court built from 3 layers that work together:
1) Momentum (the witness)
A TSI-based momentum engine with a signal line, including an adaptive volatility-weighted blend (fast/slow TSI are blended based on volatility regime).
2) Bands / Extremes (the testimony standard)
It frames momentum inside dynamic or static bands, including robust band options (StdDev or MAD) and optional smoothing to reduce noise and false extremes.
3) Pivots + Divergence (the boundary + contradiction check)
It detects oscillator pivots and uses them to mark pivot events and divergence states (regular + hidden) within a controlled bar window, optionally requiring extremes.
How the Components Work Together (why it’s not “just an oscillator”)
Pivot Wolf’s signals are not a single condition. They’re the result of a stacked decision chain:
A) Base Pivot Events
The oscillator identifies pivot highs/lows and extreme conditions. These are the candidates (not automatic trades).
B) Context Gates (permission to act)
Signals can be gated/weighted by:
VWAP gate (position and/or slope modes)
Multi-timeframe bias (HTF momentum confirmation)
Gann-style swing structure
Volume confirmation
Consolidation filter
SNR filter (signal-to-noise)
Whipsaw guard (minimum bars between opposite pivots)
C) Scoring Engine (judgment)
Instead of hard “yes/no” filters, Pivot Wolf can run a dynamic scoring system that computes bull and bear scores in real time, including MTF confluence boosts and VWAP credit logic.
Final signals require the pivot plus quality (ex: score threshold + SNR + whipsaw constraints).
D) ML Historical Learning (accountability + calibration)
Optional backlearning evaluates historical pivot outcomes and can auto-optimize key thresholds (ex: minScore / SNR / volume thresholds / whipsaw spacing) using a training/validation approach to avoid obvious overfitting traps.
E) Proto Warnings (early pressure alerts)
Optional “proto” warnings trigger before key events (approaching signal cross, approaching extremes, regime switch risk) with cooldown logic and optional derivative gating. This is early awareness—not a trade trigger by itself.
What You See On Chart (so it’s usable in real time)
Info Panel (War Room)
An on-chart meter dashboard (horizontal or vertical) displays the live state: bull/bear score, net bias, oscillator position, MTF alignment, signal quality, velocity, VWAP pressure, regime power—plus an ML status indicator.
Alerts (throttled + context-aware)
Built-in alert conditions for bullish/bearish pivots, divergences, regime peak flashes, and proto warnings—with optional throttling so you don’t get spammed.
How to Use It (execution framework)
1) Campaign Mode (trend continuation)
Trade only when MTF + VWAP + score agree. Use pivots as timing, not bias.
2) Verdict Mode (turns / reversals)
Reversals are “proved” when momentum fails at a boundary and divergence/pressure flips.
3) Stand-Down Mode (capital preservation)
If the tool won’t grant permission (low score / poor SNR / consolidation / whipsaw risk), that’s not “missed trades”—that’s disallowed conditions.
Why This Script Is Protected (and why it deserves it)
Protected source isn’t about hiding a momentum formula.
What’s being protected is the integrated decision framework—the parts that take the tool from “indicator” to “court system,” including:
the multi-factor scoring model (and how each factor is weighted and shaped),
the historical learning / validation logic that calibrates thresholds over time,
the proto warning + derivative/cooldown mechanics that manage early signals without noise,
the way the dashboard + tooltips + alerts are wired to the decision chain so the output stays consistent.
If those internals are copied piecemeal, the result is usually a broken clone: same visuals, worse logic, and traders get hurt because the “rules” aren’t actually the rules anymore.
Protected keeps the doctrine intact.
📜 King Solomon Lens
“Solomon didn’t predict. He judged. He built tests that made truth show itself. Pivot Wolf is that: pivots as boundary stones, momentum as witness, acceleration as the confession. No hammer in the Temple — rules are cut before entry. When it’s quiet, it’s saving you. When it speaks, it’s a ruling.”
This is not financial advice. This is structure. If you wanted a fortune teller, you’ll hate this script. If you wanted a system that makes the market prove itself before you strike—welcome to the Wolf.
All glory to G-d—the source of all wisdom and every true edge.
MoBo Bands - Momentum Breakout IndicatorDESCRIPTION
MoBo Bands (Momentum Breakout Bands) is a volatility-based breakout detection indicator that helps traders identify potential momentum shifts in the market. The indicator uses dynamic bands calculated from standard deviation to signal when price breaks above or below established ranges, indicating potential bullish or bearish momentum changes.
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KEY FEATURES
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- Dynamic upper and lower bands based on standard deviation
- Color-coded bands that change based on breakout direction (green for bullish, red for bearish)
- Visual breakout arrows marking entry points above/below bands
- Optional colored fill zones between bands showing current momentum state
- Customizable displacement for band projection
- Built-in alert system for breakout and breakdown signals
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HOW IT WORKS
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The indicator calculates a middle line using a Simple Moving Average (SMA) with upper and lower bands positioned using standard deviation multipliers. When price closes above the upper band, a bullish breakout (green) is signaled. When price closes below the lower band, a bearish breakdown (red) is signaled. The bands and fill zones remain colored until the opposite signal occurs, providing clear visual confirmation of the current momentum state.
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CUSTOMIZABLE INPUTS
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CALCULATION PARAMETERS:
- Price Source - Select which price data to use (default: close)
- Length - Period for SMA and standard deviation calculation (default: 10)
- Num Dev Up - Standard deviation multiplier for upper band (default: 0.8)
- Num Dev Down - Standard deviation multiplier for lower band (default: -0.8)
- Displace - Shift bands forward for projection analysis (default: 0)
DISPLAY OPTIONS:
- Colored Mobo - Enable/disable color-coded bands
- Colored Fill - Enable/disable fill zones between bands
- Break Arrows - Show/hide breakout and breakdown arrows
ALERT OPTIONS:
- Show Alerts - Enable/disable alert conditions
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USAGE GUIDE
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Watch for price to close outside the bands as potential breakout signals:
BULLISH BREAKOUT: Green arrow appears below the lower band when price closes above the upper band, indicating upward momentum shift.
BEARISH BREAKDOWN: Red arrow appears above the upper band when price closes below the lower band, indicating downward momentum shift.
The bands also serve as dynamic support and resistance levels. When bands are green, momentum is bullish. When bands are red, momentum is bearish.
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BEST PRACTICES
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- This indicator works well on liquid futures contracts (MNQ, MES, MYM, MGC, MCL) and major
currency pairs across multiple timeframes
- Lower deviation values (0.5-1.0) produce more frequent signals suitable for scalping
- Higher deviation values (1.5-2.5) filter for stronger breakouts ideal for swing trading
- Combine with volume indicators for additional confirmation
- Use with momentum oscillators to validate breakout strength
- Best results in trending market conditions
- Consider the overall market context and trend direction
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ALERT CONFIGURATION
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Configure custom alerts for automated notifications:
- "MoBo BreakOUT" - Triggers on bullish breakout signals
- "MoBo BreakDOWN" - Triggers on bearish breakdown signals
Set alerts to "Once Per Bar Close" for confirmed signals and avoid false triggers during bar development.
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IDEAL FOR
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- Day traders and scalpers on futures markets
- Swing traders looking for momentum shifts
- Breakout trading strategies
- Trend following systems
- Works on stocks, forex, crypto, and commodities
- Effective across multiple timeframes (1min to daily)
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Perfect for traders seeking clear visual breakout signals with minimal lag. The color-coded system and arrow markers make it easy to identify momentum changes at a glance.
© 2024 NPR21 | Mozilla Public License 2.0
Open-source script
NPR21
Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by
Sessions + Kill Zones 🔹 Description (UA)
Індикатор для інтрадею, що автоматично показує торгові сесії (Tokyo, Frankfurt, London, New York) та Kill Zones з чітким початком і кінцем. Підтримує кастомну таймзону, гнучкі налаштування та працює лише на intraday таймфреймах.
🔹 Short Description (EN)
Intraday indicator that automatically displays major trading sessions (Tokyo, Frankfurt, London, New York) and Kill Zones with clear start and end points. Supports custom timezones, flexible settings, and works on intraday timeframes only.
Marketing Description (EN)
🔥Trade when the market really moves.
Sessions + Kill Zones is a powerful intraday tool designed to highlight the most important market hours — when liquidity enters and volatility expands.
✔ Instantly visualize Tokyo, Frankfurt, London, and New York sessions
✔ Clearly mark London & New York Kill Zones
✔ Fully customizable colors, labels, and line styles
✔ Perfect for ICT, Smart Money Concepts, scalping, and day trading
No clutter. No guesswork.
Just clean session structure and precise timing — exactly what professional traders focus on.
🔥 Marketing Description (UA)
Торгуй тоді, коли ринок справді рухається.
Sessions + Kill Zones — це інструмент для інтрадею, який показує ключові години ліквідності та волатильності.
✔ Візуалізація сесій Tokyo, Frankfurt, London, New York
✔ Чіткі межі London та New York Kill Zones
✔ Повна кастомізація кольорів, підписів і стилів
✔ Ідеально для ICT, Smart Money, скальпінгу та day trading
Жодного шуму.
Лише структура ринку та точний таймінг.
ttb check listThe strip is a visual discipline tool — not a signal generator.
It sits in the top-right of your TradingView chart as a small table and acts like a pre-flight checklist before you take a trade.
Think of it as your sniper scope HUD.
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.
Volume Anomaly Reversal DetectionVolume Anomaly Reversal Detection (VARD System)
🎯 What This Indicator Does
This indicator identifies potential trend reversals by detecting abnormal volume activity that often precedes significant price movements. It combines volume anomaly detection with dynamic trend analysis to generate actionable BUY/SELL signals.
📊 Core Concept & Methodology
Volume Anomaly Detection
The indicator analyzes directional volume (buying vs selling pressure) from a lower timeframe and calculates Z-scores to identify statistically significant volume spikes.
Z-Score Formula:
Z = (Current Volume - Average Volume) / Standard Deviation
When volume exceeds the threshold (default: 3 standard deviations above mean), it signals unusual market activity - often caused by forced liquidations or capitulation.
Dynamic Trend Filter
A custom trend-following algorithm based on ATR (Average True Range) bands determines the current market direction:
Price above lower band = Uptrend
Price below upper band = Downtrend
Signal Logic
Volume anomaly detected during an existing trend
Trend reversal confirmed within the confirmation window
Signal generated = BUY or SELL label appears
⚙️ Settings Explained
SettingDefaultDescriptionAnalysis Timeframe15minLower timeframe for volume samplingStatistical Lookback200Bars used for Z-score calculationAnomaly Sensitivity3.0Z-score threshold (lower = more signals)Confirmation Window50Max bars between anomaly and trend flipATR Multiplier2.0Trend band widthTrend Period10ATR calculation length
📖 How To Use
Entry Signals
BUY: Green label appears below bar - consider long positions
SELL: Red label appears above bar - consider short positions
Volume Anomaly Markers (⬥)
Small diamonds indicate detected volume spikes
These are early warnings before confirmed signals
Useful for anticipating potential reversals
Trend Bands
Colored zones show active signal direction
Stay with the trend until opposite signal appears
Best Practices
Confirm with price action - Look for support/resistance levels
Use appropriate timeframes - Works on all timeframes, but 1H-4H recommended
Manage risk - Always use stop losses
Avoid ranging markets - Best in trending/volatile conditions
⚠️ Important Notes
No indicator is perfect - Use as part of a complete trading strategy
Volume data required - Will show warning if volume unavailable
Not financial advice - Always do your own research
🔔 Alerts Available
BUY Signal Confirmed
SELL Signal Confirmed
Volume Anomaly (Buy Setup)
Volume Anomaly (Sell Setup)
Peak Breakout - Pro - Auto LinkThe mechanism works by using a peak line, a trough line, and Fibonacci levels. Upon breaking through the peak, the entry signal is triggered; upon breaking the 0.5 Fibonacci line, the exit signal is triggered. The remaining settings are filtered to confirm the trend and momentum.
3 EMA Multi-TimeframeSure! Here is the English version of the indicator description, formatted professionally so you can use it in the "Description" field on TradingView or for your own documentation.
Indicator Description: 3 EMA Multi-Timeframe (Customizable)
The 3 EMA Multi-Timeframe indicator is a versatile technical analysis tool designed to plot three independent Exponential Moving Averages (EMA) on a single chart. Its core strength lies in the ability to bridge different timeframes, allowing traders to maintain a "big picture" perspective without switching tabs.
1. Key Features
Fully Customizable Lengths: Users can define the period for each EMA (e.g., the classic 20, 50, and 200 setup or any custom values tailored to specific strategies).
Multi-Timeframe (MTF) Capability: This feature allows you to overlay EMAs from higher timeframes (e.g., Daily or Weekly) onto your current lower timeframe chart (e.g., 5-minute or 15-minute).
Visual Smoothness: Built with barmerge.gaps_on logic, the indicator prevents "stair-stepping" visual artifacts, ensuring the higher timeframe lines appear smooth and readable on lower timeframe bars.
Color Coordination: Each line can be color-coded and adjusted for thickness to improve visual hierarchy and chart clarity.
2. Default Parameters
EMA 1 (Short-term): Defaulted to 20 periods. Ideal for identifying short-term momentum and potential entry points during pullbacks.
EMA 2 (Medium-term): Defaulted to 50 periods. Acts as a primary dynamic support or resistance level in trending markets.
EMA 3 (Long-term): Defaulted to 200 periods. Used to define the "Major Trend" or the overall bias of the asset.
3. Trading Applications
Trend Identification: A strong uptrend is confirmed when price stays above all three EMAs and the lines are stacked in order (20 > 50 > 200).
Crossovers: Traders can monitor "Golden Crosses" (short-term crossing above long-term) or "Death Crosses" (short-term crossing below long-term) as signals for potential trend reversals.
Dynamic Support/Resistance: Higher timeframe EMAs often act as "magnets" or "floors" for price action on lower timeframes, providing high-probability zones for trade setups.
Advanced RS Ranking & Peer ComparisonAdvanced RS Rating & Sector Comparison
Original Concept & Logic by Dr. Chintan Joshi
Overview
This indicator is designed to help traders identify Market Leaders by quantifying Relative Strength (RS) on a standardized 1-99 scale. Unlike standard RSI (which looks at internal momentum), this RS Rating measures a stock's performance relative to a Benchmark (default: NIFTY 50) over a specific lookback period.
The tool goes a step further by comparing the stock's RS Rating against its Market Cap Index (e.g., Smallcap) and its Sector Index (e.g., CNX Metal, CNX IT) to determine if the stock is a "Leader" or a "Laggard" within its own category.
Key Features
RS Rating (0-99 Scale):
Calculates the ratio of the Stock Price vs. Benchmark (Nifty).
Normalizes this ratio over a lookback period (Default: 90 bars) to produce a score between 1 and 99.
A score of 90+ indicates the stock is in the top tier of relative performance against the benchmark.
Sector & Cap Comparison:
Auto-Sector Detection: The script automatically attempts to detect the sector of the current symbol (e.g., "Tata Motors" -> "CNXAUTO") and compares the stock's RS against the Sector Index's RS.
Market Cap Context: Compares the stock against a broader Market Cap index (Default: CNXSMALLCAP) to see if it is outperforming its capitalization peers.
Leader vs. Laggard Status:
The dashboard calculates the "Lead/Lag" spread.
Green (Leader): The stock's RS Rating is higher than the comparison index.
Red (Laggard): The stock's RS Rating is lower than the comparison index.
How to Use
Add to Chart: The indicator displays a compact table (movable and resizable).
Settings:
RS Lookback Length: Default is 90 (approx 1 quarter for daily charts). Adjust based on your trading style (e.g., 21 for short term, 250 for long term).
Benchmark: Set your base market index (Default: NSE:NIFTY).
Market Cap Index: Set the index relevant to your stock (e.g., NSE:CNXSMALLCAP or NSE:CNX500).
Sector Logic: Keep "Auto-Detect" on for NSE stocks. If the sector is not detected, you can manually define a sector ticker (e.g., NSE:CNXREALTY).
Visuals:
You can change the table size (Tiny to Huge) and position (e.g., Bottom Right) in the settings to fit your screen layout.
Interpreting the Dashboard
RS Rating: The raw strength score of the current symbol.
Lead/Lag: The points difference between the Stock's score and the Index's score.
Example: If Stock RS is 95 and Sector RS is 80, the Lead is +15.0.
Status: Text indication of "Leader" or "Laggard".
Credits:
This script and the underlying Relative Strength ranking logic are based on the concepts developed by Dr. Chintan Joshi.
Kash SignalThis indicator uses mooving averges to time buy and sell for stocks.
- Blue dot Buy Signal
- Black dot Sell Signal
8x EMA + Labels + Trend + Volume Arrows + Developing VAH/VALThis indicator is a comprehensive trend, structure, and momentum tool designed for intraday and swing traders.
It combines multi-timeframe EMAs, dynamic EMA labels, developing Value Area High/Low, and volume-based entry signals into a single clean overlay.
SMC Single EQH / EQL (Clean)Equal High Equal Low: This chart mark equal high/ Equal low with utmost accuracy.
AMMOUSSA XAUUSD Professional Intraday SwingAMMOUSSA XAUUSD Professional Intraday Swing
AMMOUSSA XAUUSD Professional Intraday Swing
AMMOUSSA XAUUSD Professional Intraday Swing
AMMOUSSA XAUUSD Professional Intraday Swing
Daily Percentage Oscillator### Daily Percentage Oscillator – Indicator Description
The **Daily Percentage Oscillator** transforms intraday price action into a clean, normalized percentage-based view, using the previous trading day's closing price as the fixed 0% baseline. Each new trading day automatically resets the axis to that prior close, allowing you to visualize true daily price oscillation without the distortion of absolute price levels or cumulative trends.
Key features:
- **Percentage-based OHLC display**: All bars or candlesticks represent percentage change from the previous day’s close, creating a consistent oscillation around the 0% line.
- **Daily reset**: The baseline updates every session, making it ideal for intraday traders focusing on relative strength, mean reversion, or daily momentum patterns.
- **Toggle between bars and candlesticks**: Choose your preferred visual style.
- **Simple Moving Average (SMA)**: Optional SMA applied directly to the percentage close values (default 20-period, fully customizable).
- **Daily-resetting VWAP**: Volume-Weighted Average Price calculated on the percentage series, resetting at the start of each trading day for precise intraday anchoring.
- **Clean presentation**: No clutter from scale labels or status line values — only the essential visuals appear in the pane.
This indicator is particularly useful for:
- Comparing intraday momentum across different assets or timeframes on equal footing.
- Identifying overbought/oversold conditions relative to the prior close.
- Enhancing mean-reversion and range-bound trading strategies.
- Overlaying percentage-based anchors (SMA, VWAP) that respect the daily session structure.
Works on any intraday timeframe (1m, 5m, 15m, etc.) and is designed to stay lightweight and responsive. Perfect for day traders and scalpers seeking a clearer, more intuitive view of daily price behavior.
SNIPER Initial Balance V1SNIPER INITIAL BALANCE V1
### What It Does
Draws the first hour's high/low range with extensions and breakout signals.
### IB Times (Auto-Selected)
| Market Type | IB Period (ET) |
|-------------|----------------|
| Index (ES/NQ/YM) | 9:30 - 10:30 |
| Gold (GC/MGC) | 8:30 - 9:30 |
| Energy (CL) | 9:00 - 10:00 |
### Levels Drawn
| Level | Style | Purpose |
|-------|-------|---------|
| IB High | Solid | Resistance |
| IB Low | Solid | Support |
| IB Mid | Dashed | Mean reversion |
| 50% Ext | Dotted | Target 1 |
| 100% Ext | Dotted | Target 2 |
| 1SD (1.28x) | Dashed | 80% range |
| 2SD (2.0x) | Dashed | 95% range |
### Signals
| Signal | Meaning | Action |
|--------|---------|--------|
| `IB↑` | Breakout above IB High | Look for long |
| `IB↓` | Breakout below IB Low | Look for short |
| `RT↑` | Retest long entry | **BEST ENTRY** - Go long |
| `RT↓` | Retest short entry | **BEST ENTRY** - Go short |
| `FK` | Fakeout warning | **AVOID** - Don't enter |
### Entry Requirements (All Must Be True)
- ✅ Close above/below level (not just wick)
- ✅ Volume ≥ 1.3x average
- ✅ Body ≥ 60% of candle
- ✅ Minimal adverse wick
### Quick Trade Plan
```
LONG: Wait for RT↑ → SL below IB Low → TP at 50% or 100% ext
SHORT: Wait for RT↓ → SL above IB High → TP at 50% or 100% ext
```
---
Paavvrri Nifty Gainers/Losers DashboardPaavvrri® Nifty Gainers/Losers Dashboard
Introduced an advanced Nifty Gainers/Losers Dashboard with top gainer & loser highlights, page-wise Nifty 50 support, Prev Close / Open based % change, customizable row limits, flexible table positioning & text size, and improved sorting for faster market breadth analysis. 🚀
Paavvrri Sectors Returns Dashboard📊 Paavvrri® Sectors Returns Dashboard — Update Release Notes
Enhanced sector returns dashboard with multi-timeframe performance, auto-sorted rankings, and Top Gainer / Loser highlights. Added custom table positioning & text sizing, improved visuals, and optimized performance. 🚀
GS WedgeWedge automatically detects confirmed swing highs and lows and draws clean wedge trendlines directly from the true pivot bars. The indicator uses non-repainting pivots and extends the lines forward to highlight contracting price structures, potential breakouts, and compression zones.
Designed for traders who value structure over noise, it works best on higher timeframes and pairs naturally with support, resistance, and volume analysis. This tool focuses on clarity and reliability, not prediction.
Multi-Timeframe ATR & RSI Panel v2.0Multi-Timeframe ATR & RSI Panel v2.0
A powerful overlay indicator combining multi-timeframe analysis of volatility (ATR %), RSI, and Keltner Channel trend direction.
Key Features:
Multi-TF Table: Displays ATR (absolute and %), ATR % change (Δ), RSI, KC middle line value, and KC trend (↑/↓) for up to 7 customizable timeframes.
Average Row (AVG): Shows aggregated values across all selected TFs, including dominant KC trend with strength indication (↑ / ↑↑ / ↑↑↑ or ↓ / ↓↓ / ↓↓↓ based on majority vote).
Smart Signals: Tiny "B" (Buy) and "S" (Sell) markers appear only when conditions align:
Dominant multi-TF KC trend confirmation (optional).
Volatility filter: signals on high volatility (> threshold) or low volatility (< threshold) — user-selectable mode.
Optional filters: touch of Keltner Channel bands and RSI overbought/oversold zones.
Clean Chart: Minimal visual clutter — only small triangles with "B"/"S" labels.
Fully Customizable: Choose timeframes, toggle columns, adjust colors, thresholds, and all filters independently.
Ideal for traders who want clear multi-timeframe confluence, volatility-aware entries, and clean visual feedback. Works on any instrument and timeframe.
Settings grouped for ease of use — perfect balance between flexibility and simplicity.
Enjoy precise, high-probability setups! 🚀
------------------------
Русское описание для публикации на TradingView
Multi-Timeframe ATR & RSI Panel v2.0
Мощный оверлей-индикатор, объединяющий мульти-таймфреймовый анализ волатильности (ATR %), RSI и направления тренда по Keltner Channel.
Основные возможности:
Мульти-ТФ таблица: Отображает ATR (абсолютное и %), изменение ATR % (Δ), RSI, значение средней линии KC и тренд по KC (↑/↓) для до 7 настраиваемых таймфреймов.
Строка среднего (AVG): Показывает агрегированные значения по всем выбранным ТФ, включая доминирующий тренд KC с указанием силы (↑ / ↑↑ / ↑↑↑ или ↓ / ↓↓ / ↓↓↓ в зависимости от большинства).
Умные сигналы: Маленькие метки "B" (Buy) и "S" (Sell) появляются только при совпадении условий:
Подтверждение доминирующего мульти-ТФ тренда KC (опционально).
Фильтр по волатильности: сигналы на высокой волатильности (> порога) или низкой (< порога) — выбираемый режим.
Опциональные фильтры: касание границ Keltner Channel и зоны перепроданности/перекупленности RSI.
Чистый график: Минимальный визуальный шум — только маленькие треугольники с буквами "B"/"S".
Полная кастомизация: Выбор таймфреймов, включение/выключение столбцов, настройка цветов, порогов и всех фильтров независимо.
Идеален для трейдеров, которые ищут чёткое мульти-таймфреймовое подтверждение, входы с учётом волатильности и чистую визуальную обратную связь. Работает на любом инструменте и таймфрейме.
Настройки сгруппированы для удобства — идеальный баланс между гибкостью и простотой.
Удачных и точных сделок! 🚀






















