SV Spread FilterAdditional chart for Silver spread, which highlights not relevant periods (clearings and night time)
Motifs graphiques
BOX THEORY V2 - SHOVONThis theory is a Daily Session Range strategy that focuses on identifying institutional supply and demand zones within a specific 24-hour trading window.
The core logic is built on three main components:
The Daily Box: This establishes the "playing field" for the day, defined by the session's absolute high and low. It treats the entire day's price action as a single contained unit of volatility.
Mean Reversion (The Midline): The center line represents the Fair Value or median price of the day. Price often gravitates toward this level when it is not trending strongly, serving as a pivot point for the session.
Premium & Discount Zones (Buy/Sell Zones):
The Sell Zone (Top 10%): Located at the extreme high, this represents a Premium area where the asset is considered "expensive" for that day. Traders look for signs of exhaustion here to take short positions.
The Buy Zone (Bottom 10%): Located at the extreme low, this represents a Discount area where the asset is considered "cheap." Traders look for bullish reversals here to take long positions.
How it is Used
Traders use this to avoid "chasing" price in the middle of the range. The theory suggests that high-probability trades occur at the edges (the zones), while the midline acts as the primary target for profit-taking.
ZeeFx AlgoZeeFx Algo is a smart, rule-based trading algorithm designed for MT4/MT5 traders who want precision without emotions. It follows clear market structure, trend logic, and strict risk management to deliver clean, disciplined entries and exits. ZeeFx Algo executes trades exactly as programmed, removing overtrading and human errors. With optimized stop loss and take profit logic, it focuses on consistency rather than hype. Ideal for traders who value automation, control, and reliability, ZeeFx Algo helps you trade the markets with confidence, speed, and a professional edge—whether you’re busy or simply want a more systematic trading approach.
Use it on M15 (Recommended)
SIGMA 2026 V1📌 الوصف باللغة العربية
SIGMA 2026 – نظام تحليل وتداول احترافي
مؤشر SIGMA 2026 هو نظام تداول متكامل يركّز على السياق السعري (Market Context) بدل الاعتماد على إشارات شراء وبيع عشوائية.
تم تصميمه خصيصًا للتداول داخل اليوم (Intraday) ويعمل على الأطر الزمنية من الدقيقة حتى الساعة (H1).
🔹 ما الذي يميز SIGMA؟
لا يعتمد على مؤشر واحد فقط
يدمج بين الزمن، السعر، الاتجاه، والزخم
يمنح المتداول أفضلية في اتخاذ القرار بدل إعطائه إشارة جاهزة
🎯 فلسفة المؤشر
SIGMA لا يخبرك متى تدخل الصفقة،
بل يساعدك على معرفة متى لا يجب عليك التداول.
⚠️ ملاحظات مهمة
المؤشر يعمل فقط على الأطر الزمنية حتى H1
لا يُنصح باستخدامه على H4 أو الأطر الأعلى
أفضل نتائجه تتحقق عند توافق 3 عناصر أو أكثر من مكونات النظام
📌 Description in English
SIGMA 2026 – Professional Market Analysis & Trading System
SIGMA 2026 is a comprehensive trading system focused on market context rather than random buy and sell signals.
It is specifically designed for intraday trading, operating on timeframes from 1 minute up to 1 hour (H1).
🔹 What Makes SIGMA Different?
Not based on a single indicator
Combines time, price, trend, and momentum
Provides a decision-making edge, not just trade signals
🎯 Indicator Philosophy
SIGMA doesn’t tell you when to enter a trade,
it helps you understand when you should NOT trade.
⚠️ Important Notes
Designed to work only on timeframes up to H1
Not recommended for H4 or higher timeframes
Best performance occurs when 3 or more system elements align
AIE Crypto BoxAIE Crypto Box
The AIE Crypto Box highlights the previous day’s high, low, and midpoint directly on your chart.
It draws a clean, light-blue range box with optional midline, extending into the current session to help traders identify key liquidity zones, support & resistance, and breakout levels.
Designed for intraday traders and scalpers, the box provides a clear market framework for session opens, range trading, and break-and-retest setups.
Best used on lower timeframes (1m–15m).
Rany Sniper SignalsRany Sniper Signals is a professional TradingView indicator designed to identify high-quality BUY and SELL opportunities using trend, volume, and confidence-based filters.
The script prioritizes signal quality over frequency, helping traders reduce market noise and focus on higher-probability market conditions.
Visual tools such as confidence snapshots and early market warnings are intended to support discretionary analysis and market awareness.
This indicator does not generate automated trades and should be used strictly as a decision-support tool.
Key Features
• Trend-based BUY and SELL signal detection
• Confidence scoring system to filter low-quality setups
• Volume-aware market filtering
• Early market condition warnings for situational awareness
• Visual confidence snapshot to support discretionary analysis
• Designed for manual trading and decision support
• Suitable for multiple markets and timeframes
Legal Disclaimer
Rany Sniper Signals is provided for educational and informational purposes only.
It does not constitute financial advice, investment recommendations, or a solicitation to buy or sell any financial instrument.
Trading involves risk, and past performance is not indicative of future results.
The author is not responsible for any losses incurred from the use of this script.
Users are solely responsible for their own trading decisions and risk management.
HoneG_TrendMode3HoneG_TrendMode3
This is a trend-detection tool incorporating proprietary trend-judgment logic.
It reacts faster to trend reversals than tools that merely observe moving average perfect orders.
As a handy feature, it also changes the candle color to yellow when the candle touches the Bollinger Bands 2-sigma level.
独自のトレンド判断ロジックを組み込んだトレンド把握用ツールです。
移動平均線のパーフェクトオーダーを見るといった類のツールよりも、トレンド転換時の反応が早いです。
小技としてローソク足がボリバン2シグマにタッチすると、ローソク足の色が黄色に変わる機能も付けてます。
CST-Stoic Trader (Gaurav Vashisht)1. The Core Concept
This indicator is a "Structure & Time" tool. It does not provide buy/sell signals. Instead, it automates the three most critical components of Candle Range Theory:
Liquidity Boundaries: The previous day's range (PDH/PDL).
Time Windows: The specific sessions (London/NY) where volatility occurs.
Weekly Cycle: Clear day separation to identify weekly profiles (e.g., "Tuesday Low of Week").
2. Visual Guide: What You Are Seeing
A. The Horizontal Lines (The "Battlefield")
The indicator automatically plots three dotted lines based on yesterday's data. In CRT, these are your primary Support & Resistance zones.
Green Dotted Line (PDH): Previous Day High.
CRT Significance: Buy-side liquidity resides here. If price sweeps this and rejects, it's a short signal. If it closes above, it's a breakout.
Red Dotted Line (PDL): Previous Day Low.
CRT Significance: Sell-side liquidity resides here. A "sweep and reclaim" of this level is a classic long entry.
Orange Dotted Line (PDC): Previous Day Close.
CRT Significance: This acts as a "magnet" or equilibrium point for the current day.
B. The Colored Boxes (The "Killzones")
The indicator highlights two time specific sessions. Crucially, these boxes stretch vertically from PDH to PDL, helping you visualize where the current price sits relative to the total daily range.
Blue Box (London Session | 03:00 - 11:00 NY):
CRT Role: The Manipulation. London often creates the "Judas Swing"—a fake move in the wrong direction to trap traders before the real trend begins.
Orange Box (New York Session | 08:00 - 17:00 NY):
CRT Role: The Expansion. New York typically pairs with London to either reverse the London move or continue the trend aggressively.
3. How to Trade: The "Range Sweep" Strategy
Here is a standard CRT strategy you can execute using only the visuals provided by this indicator.
Phase 1: Analysis (Pre-Session)
Look at the Green (PDH) and Red (PDL) lines.
Is the current price inside these lines? If yes, we are in a "Range Day."
Phase 2: The Setup (London - Blue Box)
Wait for the Blue Box to appear.
Watch for price to aggressively move toward the Red Line (PDL).
The Trigger: Does price pierce the Red Line but fail to close below it on the 15m or 1H timeframe? (This is a "Liquidity Sweep").
Phase 3: The Entry & Target
Entry: If price re-enters the range (moves back above the Red Line), enter Long.
Target 1: The Orange Line (PDC) (The daily equilibrium).
Target 2: The Green Line (PDH) (The opposing liquidity).
4. Indicator Settings Optimization
To ensure this works perfectly for your trading style, adjust these inputs in the settings menu:
Session Times:
The default is set to New York time (UTC-4/5). Ensure your TradingView chart time zone is set to "New York" (bottom right of the screen) so the boxes align with real market hours.
Visual Clutter:
If the boxes are too dark, go to Session Settings > Click the color > Adjust "Opacity" to 5-10%. This keeps the chart clean.
Label Positioning:
If the "Monday/Tuesday" text is overlapping with your candles, increase the Vertical Offset setting (e.g., from 0.1 to 0.3) to push the text higher up the screen.
ICT Flow Matrix [Ultimate]📊 Overview
ICT Flow Matrix is a comprehensive, all-in-one Smart Money Concepts (SMC) indicator built for traders who follow ICT (Inner Circle Trader) methodology. This indicator consolidates over 15 institutional trading concepts into a single, highly customizable tool—eliminating chart clutter from multiple indicators while providing deep market structure analysis.
Whether you're identifying liquidity pools, tracking order flow, or timing entries during ICT Macro windows, this indicator delivers institutional-grade analysis directly on your chart.
Pro Tip: use with ICT Market Regime Detector for clear language reads on everything.
⚡ Key Features
🎯 Price Delivery Arrays (PDAs)
Fair Value Gaps (FVG) — Automatic detection with customizable mitigation tracking (Wick Touch, 50% CE, Full Close)
Inverse FVGs (iFVG) — Identifies when FVGs fail and flip, creating new tradeable zones
Order Blocks (OB) — Last opposing candle before impulsive moves with adjustable impulse strength
Breaker Blocks (BB) — Automatically generated when Order Blocks fail
Rejection Blocks (RB) — Strong wick rejections indicating institutional defense
Volume Imbalances (VIMB) — Gaps between candle bodies showing aggressive institutional activity
📐 Market Structure & Liquidity
Market Structure Shifts (MSS) — Real-time detection of bullish/bearish structure breaks
Equal Highs/Lows (EQH/EQL) — Liquidity pools where stop losses accumulate
Buy-Side/Sell-Side Liquidity (BSL/SSL) — Swing point liquidity levels with sweep detection
Premium/Discount Zones — Visual shading showing institutional buying/selling areas
OTE Zone (61.8%-79%) — Optimal Trade Entry zone for high-probability entries
⏰ Time-Based Analysis
ICT Macro Times — All nine 30-minute algorithmic windows (02:45, 03:45, 04:45, 09:45, 10:45, 13:45, 14:45, 15:15, 15:45 NY Time)
Killzone Sessions — Asia, London, NY AM, NY PM with customizable times
Session Opens — Weekly, Monthly, Daily opening prices
Previous Period H/L — PDH/PDL, PWH/PWL, PMH/PML levels
📏 Dealing Ranges
Multi-Timeframe Ranges — 21-Day, 3-Day, Daily dealing ranges
Session Ranges — Asia, London, NY dealing ranges with equilibrium
Fibonacci Structure — 0%, 50% (EQ), 100% levels with P/D shading
🕯️ HTF Orderflow
Higher Timeframe Candles — Display up to 6 HTF candles with auto-timeframe selection
Candle Timer — Countdown to next HTF candle close
O/H/L Reference Lines — Current HTF open, high, low levels extended on chart
🎨 Visual Customization
5 Theme Presets — Dark Pro, Light Clean, Neon, Classic, Custom
Full Color Control — Customize every element individually
Zone Styles — Filled or Border Only options
Mitigation Effects — Visual fade when zones are mitigated
📋 Smart Dashboard
Real-Time Status — Structure bias, zone position, active session, OTE status
Confluence Score — Algorithmic scoring when multiple concepts align
Zone Counters — Active FVG, OB, BB, RB, VIMB, liquidity levels
3 Display Modes — Minimal, Compact, Detailed
🔔 Comprehensive Alert System
40+ Alert Conditions including:
FVG/OB/BB/RB/VIMB formation
Liquidity sweeps (EQH, EQL, BSL, SSL)
Market Structure Shifts
OTE zone entry
Macro time windows
Session opens
High confluence zones
Combo alerts (Macro + Confluence)
📖 How To Use
For Swing/Position Traders:
Enable HTF Orderflow to identify dominant trend direction
Use Dealing Ranges (3D, 21D) to find premium/discount zones
Look for OB/FVG confluence in discount (longs) or premium (shorts)
Confirm with MSS for trend alignment
For Day/Intraday Traders:
Mark the Asian Range during pre-market
Wait for London or NY AM Killzone
Enter during ICT Macro windows when price reaches FVG/OB in OTE zone
Target opposite liquidity (BSL for longs, SSL for shorts)
Confluence Trading:
Dashboard shows real-time confluence score
Score ≥ 3 indicates multiple ICT concepts aligned
Higher scores = higher probability setups
⚙️ Recommended Settings
Trading Style FVG Max OB Max History Bars HTF Candles
Scalping 3-5 2-3 100-200 3-4 Day Trading 5-8 3-5 200-400 4-5
Swing Trading 8-12 5-8 400-800 5-6
🎯 Best Practices
✅ Do:
Use HTF bias before taking LTF entries
Wait for Macro time windows for highest probability
Combine MSS + FVG/OB + OTE for A+ setups
Let mitigated zones fade (use Mitigation Fade setting)
❌ Avoid:
Trading against HTF structure
Entries outside Killzones (lower probability)
Ignoring liquidity targets
Over-cluttering chart (disable unused features)
📝 Version History
v6.0 (Current)
Complete rewrite in PineScript v6
Added ICT Macro Times with bracket/background styles
Enhanced confluence detection algorithm
Improved HTF candle rendering with multiple styles
Added Inverse FVG detection
Session-based Dealing Ranges
Performance optimizations
40+ alert conditions
⚠️ Disclaimer
This indicator is a technical analysis tool designed to visualize ICT/SMC concepts. It does not provide financial advice or guarantee profitable trades. Past performance is not indicative of future results. Always use proper risk management and trade responsibly.
💬 Support & Feedback
If you find this indicator valuable, please leave a comment or boost! Your feedback helps improve future updates.
Questions? Drop a comment below—I actively respond to all questions about the indicator's features and usage.
200DMA ATH Break Alert + Screener200 DMA Break in Swing tracking Buy and Sell points for long term swing
ICT iFVG Detector + Checklist + Killzones & Pivots (Merged)ZOE IFVG + Sessions + CISD (Multi-Timeframe) is an all-in-one ICT-style toolkit designed to simplify bias, timing, and execution by combining the most important market delivery concepts into one indicator.
This script merges:
🔥 1) IFVG (Inversion Fair Value Gaps)
Automatically detects and draws Inversion Fair Value Gaps
Helps highlight high-probability reversal / continuation delivery zones
Clean visual zones for entries + mitigation-based logic
⏰ 2) ICT Sessions / Killzones & Pivots
Fully integrated from the open-source ICT Killzones & Pivots toolset:
Asia, London, NY AM, NY Lunch, NY PM Killzones
Session high/low pivot lines + optional midpoint lines
Opening price lines and timestamp markers
Optional Day/Week/Month open + previous highs/lows
Day-of-week labels + session range table
This helps you time entries based on where you are in the day, and identify session liquidity levels that price reacts to.
📌 3) CISD (Change In State of Delivery) — Multi-Timeframe
Detects CISD levels using body-based market structure logic
Marks bullish and bearish CISD levels cleanly on chart
cg - Absorption + High VolumeThis indicator is designed to assist traders in identifying potential limit entry zones along with confirmation signals based on price behavior and technical conditions. It highlights areas where price may react, helping traders plan entries with a structured and disciplined approach.
The indicator provides both Buy Limit and Sell Limit levels, as well as confirmation signals to improve timing and trade confidence. Users can select from four different signal options, allowing flexibility for conservative or aggressive trading styles.
All signals are generated using predefined logic based on historical price data and market structure. This indicator does not predict future price movement and should be used as a decision-support tool, not as a standalone system.
Key features include multi-timeframe compatibility, customizable signal options, and broad market support including Forex, Crypto, Indices, and Stocks. It is suitable for scalping, day trading, and swing trading when combined with proper risk management.
Call the Curve #1 - Dynamic Renko Overlay StrategyBacktest looks phenomenal... but will the forward curve hold?
Poll your call below!
Welcome to "Call the Curve" – A New Educational Series
This is the first installment of a new public series I'm starting to help others (and myself) learn algorithmic trading the hard way: through transparent, real-time experimentation.
I'll be posting strategies with full backtests, equity curves, and forward-testing updates. The goal is educational – to reinforce what I'm learning, put ideas into practice publicly (accountability helps!), and show the reality of strategy development. Most beautiful backtests don't survive live markets... let's see which ones do.
You get to play along:
Predict the curve's future!
- Where will the equity be in 1 week?
- 1 month?
- 3 months?
- 6 months?
Drop your bold calls in the comments (e.g., "Up 15% in 1 month, then flatlines at 3 months"). I'll track the best predictions and cheer coins to the top prophets in future updates.
(Click "Strategy Report" above the chart to see the curve ^^^)
***Important disclaimer***: I will NOT recommend trading any of these strategies live until (and unless) they prove robust over at least 6 months of forward testing. This is purely educational and experimental. Past performance ≠ future results. Trade at your own risk.
Strategy Overview & How It Evolved
This script is a direct evolution of the basic Renko strategy I posted about a week ago (the simple alternating brick color entry system). I took that core idea and upgraded it significantly:
- Dynamic ATR-based brick sizing instead of fixed bricks → adapts to volatility
- Added overlay logic on regular candles for clearer visualization
- Proper risk management with fixed-dollar risk sizing
- Dual take-profit targets
- A safety killswitch
How the Strategy Works (Step by Step)
1. Chart Basis: Uses Renko bricks with brick size calculated dynamically from ATR (Average True Range). This makes the chart adapt to current volatility – larger bricks in wild markets, smaller in calm ones. Designed and tested on XRP/USD (crypto perpetuals or spot).
2. Entry Rule – Alternating Brick Confirmation:
The strategy waits for a clear trend reversal signal via alternating brick colors:
- For longs: A red (down) brick must fully form, followed by a green (up) brick. Entry on close of the confirming green brick.
- For shorts: A green (up) brick followed by a red (down) brick. Entry on close of the confirming red brick.
This filters out noise and only trades confirmed momentum shifts.
3. Stop Loss:
Placed at the low of the most recent brick (for longs) or high of the most recent brick (for shorts). Simple, logical, and directly tied to the Renko structure.
4. Position Sizing:
Fixed $1000 USD risk per trade. The script dynamically calculates the position size (quantity of XRP coins) based on the distance to the stop loss, ensuring every trade risks exactly $1000 regardless of volatility or stop distance.
5. Take Profit Targets:
Two partial exits for better reward capture:
- TP1: 50% of position closed at 1:1 risk-reward
- TP2: Remaining 50% closed at 2:1 risk-reward
This locks in profits early while letting the rest run.
6. Killswitch:
A global safety feature – if strategy loses X trades in a row, the strategy stops taking new trades until a winner forms. Prevents catastrophic losses during market shifts.
The result? A clean, adaptive Renko system that looks amazing in backtest... but we all know how that usually goes.
What do you think happens next? Moonshot continuation? Slow bleed? Epic collapse?
Make your call in the poll and comments. I'll post weekly forward-testing updates.
Let's see who calls the curve best.
Follow for the journey if you're into this kind of transparent algo experimentation.
(Not financial advice. For educational purposes only.)
Screenshot of curve Jan 15/25: img.sanishtech.com
Double BB Touch Alert캔들이 기본 볼린저밴드(20,2,종가)와 사용자밴드(4,4,시가)를 동시에 닿았을 때 알람 발생시키는 스크립트
"A script that triggers an alert when the candle simultaneously touches both the default Bollinger Bands (20, 2, close) and a custom band (4, 4, open)."
Infinity Trader TDSTDS – Trend Direction Structure Strategy
TDS (Trend Direction Structure) is a rule-based trading strategy that focuses on market structure and directional bias to identify high-probability trade setups.
The strategy is designed to trade only in the direction of the confirmed trend, reducing false entries and improving consistency.
🔹 Core Principle
Markets move in trends and structures.
TDS identifies:
Current trend direction
Internal structure continuations
Confirmed trend reversals
Trades are executed only when structure and direction align.
🔹 Trend Classification
Buy Trend – Higher highs and higher lows
Sell Trend – Lower highs and lower lows
🔹 Structure Signals Used
Internal Continuation
ICB (Internal Continuation Buy)
Entry during pullback in a buy trend
ICS (Internal Continuation Sell)
Entry during pullback in a sell trend
Internal Change of Trend
iCBT – Early change to buy trend
iCST – Early change to sell trend
External Change of Trend
CBT – Confirmed buy trend reversal
CST – Confirmed sell trend reversal
🔹 Entry Logic
Trade only after structure confirmation
Entries occur on pullbacks or continuation zones
Avoid ranging and low-momentum markets
🔹 Risk Management
Structure-based Stop Loss
Fixed or dynamic Take Profit
Risk-to-Reward ratio typically 1:2 or higher
🔹 Best Suitable For
Forex (major pairs like EUR/USD)
Intraday & swing trading
Manual trading and AI/robot automation
🔹 Objective
TDS aims to deliver consistent profits, controlled drawdowns, and disciplined execution by following trend direction and market structure.
Advanced Trading IndicatorKING INDICATOR👑
I develop scripts and indicators for TradingView from real work with the market
Not theoretical experiments and not a “magic indicator”.
The scripts published here are intermediate and useful versions, designed to:
Give real value
Illustrate the thinking method
And allow you to test the logic on the chart yourself
🔍 The more complete and complex systems
(including depth layers, advanced filters, situation management, extensive market logic and additional tools)
are not published here publicly and are only available through external links.
🎯 If this script feels accurate, clean, and not “just another copy” to you
You will probably find significant value in the advanced tools as well.
For direct and VIP reservations:
professional-trading-system-three-decision-layers-with-9fbb39df.landy-ai.com
For orders on the website:
ofektoval.co.il
Sample Indicator with SL and TPKING INDICATOR👑
I develop scripts and indicators for TradingView from real work with the market
Not theoretical experiments and not a “magic indicator”.
The scripts published here are intermediate and useful versions, designed to:
Give real value
Illustrate the thinking method
And allow you to test the logic on the chart yourself
🔍 The more complete and complex systems
(including depth layers, advanced filters, situation management, extensive market logic and additional tools)
are not published here publicly and are only available through external links.
🎯 If this script feels accurate, clean, and not “just another copy” to you
You will probably find significant value in the advanced tools as well.
For direct and VIP reservations:
professional-trading-system-three-decision-layers-with-9fbb39df.landy-ai.com
For orders on the website:
ofektoval.co.il
Xtreme Fly TrendKING INDICATOR👑
I develop scripts and indicators for TradingView from real work with the market
Not theoretical experiments and not a “magic indicator”.
The scripts published here are intermediate and useful versions, designed to:
Give real value
Illustrate the thinking method
And allow you to test the logic on the chart yourself
🔍 The more complete and complex systems
(including depth layers, advanced filters, situation management, extensive market logic and additional tools)
are not published here publicly and are only available through external links.
🎯 If this script feels accurate, clean, and not “just another copy” to you
You will probably find significant value in the advanced tools as well.
For direct and VIP reservations:
professional-trading-system-three-decision-layers-with-9fbb39df.landy-ai.com
For orders on the website:
ofektoval.co.il
Adaptive EMA Selector Neo Fast by TheTradingSmurfWhat the dashboard is doing
This indicator is not “predicting”. It’s continuously scanning many EMAs and selecting the EMA that price is respecting the most right now, then it locks it so it does not jump around and confuse you. It only shows targets when there is a real setup.
The panel is built like a checklist in three stages. If any stage fails, the panel tells you to wait.
1) ACTION row
ACTION
TRADE ✓ means all requirements are aligned and the setup is worth taking.
WAIT ✕ means do nothing.
DIR
LONG (cyan) or SHORT (violet) is the direction we are allowed to trade based on higher EMA alignment.
NONE means bias is neutral and we skip.
WHY
This is the most important line for beginners.
It tells the main reason you are not trading, for example:
ENTRY BROKEN
HOLD NOT MET
ADX TOO LOW
CHOP REGIME
RR TOO LOW
NO LIQ TARGET
If it says WAIT, you fix the first blocker, not everything.
2) MARKET CONDITIONS stage
This answers: “Is the market even worth scalping right now?”
REGIME
TREND ✓ means trend conditions are favored.
RANGE means chop risk is higher.
ADX
WEAK: avoid
TRANS: caution
HEALTHY: good
STRONG: very good
For scalping, you want HEALTHY or STRONG.
BIAS
BULL = LONGS allowed
BEAR = SHORTS allowed
NEUTRAL = skip
Bias is based on multi EMA alignment, so you avoid taking longs inside bearish structure.
If Market Conditions fails, you do not trade even if price touches the entry EMA.
3) SETUP QUALITY stage
This answers: “Even if the market is good, is this entry stable and clean?”
MODE
LOCK means the entry EMA is stable and not changing every candle.
ENTRY STATE
VALID means the entry EMA is still being respected.
BROKEN means price violated the entry EMA with enough strength and we invalidate the setup.
If ENTRY is broken, do not force it.
CONFIDENCE
This is how strongly the selected EMA is being respected.
LOW: skip
MED: caution
HIGH: good
BAND
This is the ATR based “touch zone” around the entry EMA.
IDEAL means the EMA is not too tight or too loose.
Tight can cause lots of fake touches. Loose becomes late and sloppy.
HOLD
This prevents the EMA from switching too fast.
If HOLD says early, the system is still stabilizing. Let it settle.
4) TRADE VIABILITY stage
This answers: “Is the trade worth it from a risk reward perspective?”
RR
This is reward to risk using the liquidity target and the hard stop estimate.
If RR is below your minimum, it will say LOW and you skip.
FAVORABLE
This is the final risk filter.
If it says NO, skip. Even if confidence is high.
How to take a trade with this panel
This is the exact playbook.
Step 1: Wait for ACTION = TRADE ✓
Do nothing until you see TRADE.
Step 2: Trade only in DIR
If DIR is SHORT, you only short.
If DIR is LONG, you only long.
No countertrend scalps.
Step 3: Enter on the entry EMA reaction
Your entry trigger is a bounce off the selected entry EMA zone.
Practical rules:
For LONG: price taps the EMA touch band, then closes back above it.
For SHORT: price taps the EMA touch band, then closes back below it.
Step 4: Stop concept
Your stop is not random.
You manage risk using the stop EMA logic and ATR buffer concept.
Simple version:
LONG: stop goes below the stop EMA buffer zone
SHORT: stop goes above the stop EMA buffer zone
If ENTRY STATE breaks, you exit or avoid entry.
Step 5: Target concept
Targets are based on liquidity pools.
When a valid signal happens, you will see a dashed line labeled “Potential target”.
That is the first objective.
If price hits the target, you can scale out.
Best beginner rules
If ACTION says WAIT, do not take any trade.
If BIAS is neutral, skip the session.
If ADX is weak or transitional, expect chop and fakeouts.
If ENTRY STATE is broken, do not keep trying.
If RR is low, even a perfect setup is not worth it.
Ultimate Trading SystemKING INDICATOR👑
I develop scripts and indicators for TradingView from real work with the market
Not theoretical experiments and not a “magic indicator”.
The scripts published here are intermediate and useful versions, designed to:
Give real value
Illustrate the thinking method
And allow you to test the logic on the chart yourself
🔍 The more complete and complex systems
(including depth layers, advanced filters, situation management, extensive market logic and additional tools)
are not published here publicly and are only available through external links.
🎯 If this script feels accurate, clean, and not “just another copy” to you
You will probably find significant value in the advanced tools as well.
For direct and VIP reservations:
professional-trading-system-three-decision-layers-with-9fbb39df.landy-ai.com
For orders on the website:
ofektoval.co.il
ORB + FVG KING INDICATORKING INDICATOR👑
I develop scripts and indicators for TradingView from real work with the market
Not theoretical experiments and not a “magic indicator”.
The scripts published here are intermediate and useful versions, designed to:
Give real value
Illustrate the thinking method
And allow you to test the logic on the chart yourself
🔍 The more complete and complex systems
(including depth layers, advanced filters, situation management, extensive market logic and additional tools)
are not published here publicly and are only available through external links.
🎯 If this script feels accurate, clean, and not “just another copy” to you
You will probably find significant value in the advanced tools as well.
For direct and VIP reservations:
professional-trading-system-three-decision-layers-with-9fbb39df.landy-ai.com
For orders on the website:
ofektoval.co.il






















