Multi-Asset Cycles with SMTMulti-Asset Cycles SMT Indicator v6.1
Detects Smart Money Technique (SMT) divergences across three correlated assets (default: NQ, ES, YM) during intraday cycles.
Features:
Cycle Types: Quarters (90min), Sessions (Asia/London/NY AM/NY PM), Daily, Weekly
SMT Detection: Tracks High, Low, and Close divergences between assets
Customizable Display: Choose which SMT types to show (Bearish High/HC, Bullish Low/LC)
Multi-Cycle Analysis: Compare current cycle against up to 3 past cycles
Auto-Detection: Automatically shows lines only for the current asset chart
Smart Alerts: Individual alert controls for each SMT type
Clean Visualization: Maximum 2 lines per cycle with labeled comparisons
How It Works:
The indicator tracks extremes across cycles and detects when assets diverge (one makes higher high while another makes lower high = bearish SMT). Lines connect the extreme points with labels showing which cycles are being compared.
Settings:
Select cycle type and assets to track
Enable/disable specific SMT types
Choose how many past cycles to check for divergences
Customize line colors, widths, and styles
Configure alerts per SMT type
Perfect for ICT traders tracking smart money divergences across index futures.
Forecasting
QQQ Daily Levels V2 (GateKept Trading)QQQ Daily Levels V2 (GateKept Trading) is a daily structure and execution-level overlay built exclusively for the GateKept Trading community, designed to standardize how members read QQQ behavior around the same key level functions every session. Users input the day’s prices (as lines or zones), and the indicator plots them cleanly from the 9:00am ET anchor with on-chart behavior tags that explain what each level typically does (e.g., pull, stall, defend, accelerate, or exhaust) without predictions or trade language. The visual hierarchy makes the most important boundaries instantly obvious, collision rules prevent duplicate meanings at the same price, and optional price-scale markers ensure your daily levels are always visible on the right scale for fast, clutter-free decision-making.
SPY Daily Permission Levels V2 (GateKept Trading)SPY Daily Levels V2 (GateKept Trading) is a precision-built market structure and permission indicator designed exclusively for the GateKept Trading community. It defines SPY’s key control points that govern market tone and behavior — from regime confirmation to exhaustion. Each level is intentionally simplified and visually intuitive: 🟦 Market Switchpoint (risk-on/risk-off pivot), 🟥 Market Cap (rally stall zone), 📌 Market Pin (momentum slowdown point), ⚠️ Market Failure (speed trigger), and 🟣 Market Exhaustion (extension risk area). This script does not predict direction — it clarifies where control shifts occur so traders can read market intent with zero clutter and full authority.
The Samurai by MonedaFX (Beta)🥷🟪 The Samurai By MonedaFX
"The Samurai By MonedaFX" indicator a cutting-edge trading strategy designed to help traders identify precise trades within the markets. Developed exclusively for Moneda Lifestyle LTD, this indicator offers clear entry and exit logic along with stop-loss (SL) and take-profit (TP) templates, enabling traders to practice trading effectively and simplify their trading plan.
🔑 Key Features:
- Trade Generation: Accurately identifies and plots potential buy and sell opportunities following the pre-determined strategy.
- Risk Management: Automatically calculates and displays the stop-loss levels for each trade following the pre-determined strategy.
- Visual Aids: Incorporates graphical buy/sell plots for clear visualisation of every trade.
🌐 Visit us at: monedafx.com
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How to Use the The Samurai By MonedaFX
1️⃣ 📖 Add the Indicator to Your Chart:
- Open your TradingView chart.
- Click on "Indicators" at the top of the screen.
- Search for "The Samurai By MonedaFX" and add it to your chart.
2️⃣ ⚙️ Select the correct timeframe & pair:
- Choose the 5 minute timeframe.
- Select one of the approved pairs.
3️⃣ 🚦 Follow the strategy:
- Be active inside the MonedaFX Discord Community.
- Watch the full video course on how to use this strategy to it's maximum potential!
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❗ Important Information ❗
# The Samurai By MonedaFX
📲 Contact Information
- Email: info@monedafx.com
- Phone: +44 7367 106550
- Website: monedafx.com
ICT Finatic: Session Ranges & Macro Alerts (Cristian)This indicator is designed to assist ICT traders by automating the visualization of key session ranges and time-based macro events. It focuses on the Asia and London sessions and provides timely alerts for specific macro times.
Features:
Dynamic Session Ranges (Asia & London):
Instead of simple High/Low of the session, this script identifies Swing Highs and Swing Lows based on a 3-candle fractal pattern (High/Low of the central candle is higher/lower than its neighbors).
It calculates these swings using 15-minute timeframe data (via request.security), ensuring stability regardless of the chart timeframe used.
The lines extend dynamically and update only when a new, more significant swing is formed during the session.
Macro Time Vertical Lines:
The script monitors specific NY-time macros (09:45, 10:15, 10:45, 11:15, 11:45, 12:15).
Pre-warning System: 5 minutes before a macro time occurs (e.g., at 09:40 for the 09:45 macro), a temporary vertical line appears on the future time slot.
Auto-Cleanup: Once the macro time is reached, the vertical line is automatically removed to keep the chart clean. This feature is active on timeframes lower than 1 hour.
Bias Table:
Includes a customizable dashboard to manually input and visualize your directional bias for multiple timeframes (Daily to 5m).
How to use:
Add the indicator to your chart (works best on M1 or M5 timeframes).
Adjust the session times in the settings if needed (Default is NY time).
Use the dashboard to track your daily bias.
Watch for the orange vertical lines appearing 5 minutes before macro events to prepare for potential volatility.
Projected Astro Map for $SPX - 2026This indicator projects the astrological turn dates for SP:SPX (S&P 500) for the year 2026.
Planetary influence of the market is a less known fact and not much research has gone into that subject. I have done extensive analysis on this subject for the past 20 years and this indicator is a result of that research.
This indicator projects the turns for the entire year of 2026. The projected curve in Blue indicates potential turns in $SPX. Projected curve for 2025 has been added for you to verify. 2025 Projection was posted on my X feed (@traderastro) at the beginning of Year 2025 itself. You can see for how tightly the actual price action has followed the projected curve of Year 2025. Once we know the turns in the market ahead of time, we can position our trades accordingly. This can serve as a road map so that you can avoid the potholes in the market as you navigate through Year 2026
This indicator is for purchase only. Please contact SKumar@finastrotrader.com (+1-510-363-5055) if you are interested
You can check out my website for more information about how the Planets influence the market. My website is finastrotrader.com
finastrotrader.com
X : x.com/TraderAstro
FB : facebook.com/finastrotrader
IG : instagram.com/finastrotrader
TWIX TRAP V2 - Ultimate Signal Engine# TWIX TRAP V2 - Ultimate Signal Engine
## 🎯 Professional Multi-Layer Trading System
TWIX TRAP V2 is a sophisticated trading signal system that combines **liquidity analysis**, **exhaustion detection**, and **momentum triggers** to identify high-probability trade setups.
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## 🔥 How It Works
The indicator uses a **4-step confirmation process** before generating any signal:
**Step 1: Liquidity Purge Detection**
Monitors key price levels (Daily, Weekly, Monthly highs/lows) and detects when smart money hunts stop losses.
**Step 2: Exhaustion Analysis (Heavy Matrix)**
Uses weighted Z-score calculations to identify when the market is overextended and due for a reversal.
**Step 3: Ready State Confirmation**
Only when BOTH liquidity purge AND exhaustion align does the system enter a "ready" state.
**Step 4: Precision Trigger (Light Matrix)**
Times the exact entry when momentum begins reversing, ensuring optimal entry points.
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## ⚡ Key Features
✅ **4 Quality Modes** - From Sniper (1 signal/week) to Scalper (10+ signals/day)
✅ **Multi-Timeframe Liquidity** - Tracks Monthly, Weekly, Daily, 4H, and 1H levels
✅ **Dynamic Zones** - Self-adjusting thresholds based on market conditions
✅ **Signal Strength Rating** - 1-4 rating based on liquidity level significance
✅ **Visual Dashboard** - Real-time status of all system components
✅ **Strong Signal Alerts** - Special markers for high-probability setups
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## 📊 Signal Quality Options
| Quality Mode | Signals | Best For |
|--------------|---------|----------|
| Sniper (1/week) | ~1/week | Swing trading, major reversals |
| High (1/day) | ~1/day | Day trading (recommended) |
| Medium (3-5/day) | 3-5/day | Active trading |
| Scalper (10+/day) | 10+/day | Scalping, high frequency |
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## 🎨 Visual Guide
- **X Marker (Green/Red)** - Liquidity purge detected
- **Background Color** - Green = BUY ready, Red = SELL ready
- **Triangle** - Normal signal (strength 1-2)
- **Dot + Label** - STRONG signal (strength 3-4) ⭐
---
## 📈 Works Best On
- Cryptocurrencies (SOL, BTC, ETH)
- Forex pairs
- Indices
- Any liquid market
**Recommended Timeframes:** 15m, 30m, 1H, 4H
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## ⚠️ Risk Disclaimer
This indicator is a trading tool, not financial advice. Always manage your risk properly and never trade with money you cannot afford to lose. Past performance does not guarantee future results.
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## 🔑 Access
This is an **invite-only** indicator. Contact me for access details.
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**Happy Trading! 🎯**
Multi-Timeframe Trend AnalysisThis indicator is a comprehensive 6-timeframe trend analysis tool designed to provide traders with a bird's-eye view of market direction. By aggregating data across multiple intervals, it helps identify when the broader market sentiment is in alignment, reducing the risk of trading against the primary trend.
Trend Engine Pro (E+X+C)Trend Engine Pro (E+X+C)
Short Description
Trend Engine Pro is an institutional-grade trend system that combines early trend entries (E), smart exits on momentum exhaustion (X), and confirmed reversals (C).
Built with volatility-normalized momentum and state-machine logic, it helps traders enter trends early, manage risk efficiently, and avoid noise across all timeframes.
Key Signals
E (Early Entry): Enter trends when momentum and structure align
X (Exit): Exit on momentum exhaustion before trend breakdown
C (Confirmed): Confirm real trend reversals with persistence
Disclaimer:
This indicator is for educational and informational purposes only and does not constitute financial advice, investment recommendations, or an offer to buy or sell any financial instrument.
Trading involves risk, and past performance is not indicative of future results.
Always test strategies thoroughly and manage risk appropriately.
No repaint.
Works on all timeframes and assets.
Finastrotrader - Two Drive Harmonic Pattern Indicator V4_2512_28This indicator identified when the price comes down for a 2nd retest of the low/high and paints the pattern accordingly. The indicator identifies the following
1) The next direction of the move
2) Paints where the reversal could occur to enter the trade
3) Two Target Zones following a reversal to book profits
Pro Value Master - All in One: Fundamentals 10Y, CAGR, DCF, Debt
Stop guessing. Start investing like an institution. The Pro Value Master transforms your chart into a professional financial terminal. It provides the crucial data you need to assess Quality, Valuation, and Risk in seconds. You get 3 indicators in one.
🔥 THE KILLER FEATURE: 2-3-5-7-10-YEAR CAGR for all our fundamentals 🔥
TradingView gives you raw data. We give you the truth. This indicator automatically calculates the Compound Annual Growth Rate (CAGR) for 2, 3, 5, 7, and 10 years — a feature you won't find in standard tools.
📊 Table 1: The Quality Matrix (Top Right)
A complete 10-year snapshot (2016–2025) plus our exclusive CAGR analysis.
ROIC %: The king of quality metrics. Shows management efficiency.
Free CF / Share: The real cash profit. The basis for all valuations.
EPS & Revenue: Track the top and bottom line growth instantly.
Gross Margin %: The ultimate indicator for pricing power.
Rule of 40: The quick-check for Tech/SaaS health (Growth + Margin > 40).
Tang. Book Val/Sh: Your hard downside protection.
💰 Table 2: Value & Risk Check (Bottom Right)
Protect your capital with the "Buffett Check".
Market Cap & EV: The true price tag of the business.
Net Debt / EBITDA: Can the company pay its bills?
🟢 < 2x / Negative: Safe / Net Cash Position.
🔴 > 4x / Neg. EBITDA: Danger Zone.
🚀 Table 3: Auto-DCF Calculator (Middle Right)
A dynamic Discounted Cashflow model built right in.
Uncapped Auto-Growth: If input is 0, the script automatically calculates and applies the 5-Year Free Cashflow CAGR without limits.
Fair Value: The calculated intrinsic value per share.
Buy Price: Your entry point including a safety margin (default 30%).
Invest in data, not stories.
⚠️ Disclaimer This script and the data presented are for educational and informational purposes only. It does not constitute financial advice, an investment recommendation, or an offer to buy or sell securities.
Theoretical Nature: All calculations (including DCF Fair Value and CAGR) are theoretical estimates based on historical data and specific mathematical models. They do not guarantee future performance.
No Liability: The author assumes no responsibility for any trading losses or damages incurred as a result of using this tool.
Do Your Own Research: Markets are volatile. Always conduct your own due diligence and consult with a certified financial advisor before making any investment decisions.
Use at your own risk.
PSP Gann Major Low Expansion LevelsPSP Gann Major Low Expansion Levels
Overview
This indicator identifies the major low price within a user-defined lookback period (default: 25 years) and projects Gann-inspired expansion levels upward from that low. These levels represent percentage multiples of the base low, helping traders spot potential resistance/support zones, breakout targets, and harmonic expansion points in trending markets. Ideal for swing and positional trading in stocks, indices, or forex.
Key Features
Dynamic Lookback & Intervals: Automatically adjusts expansion granularity based on lookback years:
≤5 years: 50% multiples (finer for short-term analysis).
≤15 years: 100% multiples.
≤20 years: 500% multiples.
20 years: 1000% multiples (coarser for long-term cycles).
Major Low Detection: Scans historical bars to pinpoint the absolute lowest close within the lookback, with exact date tracking.
Smart Level Drawing: Plots unlimited levels below/equal to current price for full historical context, but limits to exactly 3 levels above CMP to avoid chart clutter (e.g., useful for high-growth stocks like HBL).
Manual Override: Optionally input custom growth percentages (e.g., "100,200,300") for tailored projections.
Visual Aids:
Color-coded horizontal lines (green to teal cycling) with extend-both for future projections.
Labels showing % growth and price value.
Top-Right Table: Displays lookback range, major low price, and low date.
Bottom-Left Rules Box: Highlights active interval and a quick note: Use with PSP Suite for algo-based CE/PE entry signals in options trading.
How to Use
Add to your chart (works on any timeframe, best on daily/weekly).
Adjust "Strict Lookback Years" to focus on relevant cycles (shorter = more sensitive).
Enable "Use Manual Growth % Levels" for custom targets (comma-separated, no % sign).
Watch for price interactions: Confluence with Gann squares, Fib extensions, or volume spikes signals high-probability trades.
Pro Tip: Pair with momentum oscillators (e.g., RSI) to time entries at lower levels or exits near upper projections.
Customization Ideas
For volatile cryptos: Shorten lookback to 1-2 years with manual 25-50% steps.
For blue-chip stocks: Use full 25-year view for generational targets.
Extend via alerts: Set notifications when price crosses a labeled level.
This script draws from W.D. Gann's principles of geometric expansions while optimizing for modern platforms
HTF Bias Detector=== HUD DISPLAY ITEMS ===
1. **HTF (Timeframe Label)**
Shows the selected higher timeframe being monitored (e.g., "4h", "1D", "1W"). This confirms which timeframe data you're viewing above your current chart.
2. **Open, High, Low, Close (OHLC Values)**
Displays the candlestick values from the higher timeframe:
• Open: Entry price when the HTF candle opened
• High: Highest price reached during the HTF period
• Low: Lowest price during the HTF period
• Close: Most recent closing price on the HTF
Use these to identify key HTF price levels and support/resistance zones.
3. **TP (True Price Range)**
Shows the maximum price movement within the HTF candle. Calculated as: max(High - Low, |High - Previous Close|, |Low - Previous Close|)
Higher TP indicates greater volatility; lower TP suggests a consolidation period.
4. **ATR (Average True Range)**
Displays the average volatility over the last 14 HTF periods (customizable).
Use this to gauge typical price movement on the higher timeframe and set realistic profit targets and stop losses.
5. **MACD Value**
Shows the MACD momentum indicator (difference between 12 and 26-period EMAs) on the HTF.
Positive values suggest upward momentum; negative values indicate downward momentum on the higher timeframe.
6. **Signal Line**
The 9-period EMA of MACD on the HTF.
When MACD crosses above the signal line, it indicates bullish momentum confirmation on the higher timeframe.
7. **Histogram**
The difference between MACD and its Signal Line, visualized as bars.
Expanding bars show increasing momentum; shrinking bars show weakening momentum.
8. **Price Deviation**
Displays how far current price deviates from the HTF close in percentage terms.
Helps identify overbought/oversold conditions relative to the higher timeframe context.
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=== HOW TO USE ===
• Select your chart timeframe (e.g., 5m, 15m, 1h)
• Set the HTF to a higher timeframe (e.g., 4h, 1D) in indicator settings
• Look for confluence: when both timeframes align, trades are stronger
• Use HTF volatility (ATR) to size positions appropriately
• Combine HTF MACD direction with your current chart setup for confirmation
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=== SETTINGS ===
• HTF Period: Choose the higher timeframe to monitor
• ATR Length: Adjust sensitivity of volatility measurement (default: 14)
• MACD Settings: Customize fast/slow/signal periods for momentum analysis
TP & SL Indicator PRO [TheScalpingAnt]🟦 P & SL Indicator PRO
Precision Execution. Institutional Risk Control. Zero Guesswork.
Product Category: Trade Execution & Risk Architecture
Designed For: Professional-minded retail traders who demand structure, clarity, and disciplined execution
🟦 PURPOSE & ROLE OF THE INDICATOR
P & SL Indicator PRO is a professional execution framework, built to help traders plan, structure, and manage trades correctly — before pressing the Buy or Sell button.
Instead of guessing where to place stops or randomly choosing targets, the indicator automatically builds a visual execution architecture directly on the chart, including Entry, Stop Loss, and multiple Take Profits, supported by clear risk metrics and visual confirmation tools.
This tool is designed for traders who want:
• Professional execution discipline
• Accurate risk visualization
• Consistency in trade planning
• Faster and more confident decision-making
It does not generate trading signals.
It ensures that when you trade — you trade properly.
🟦 EXECUTION PHILOSOPHY
P & SL Indicator PRO is built around institutional execution principles:
• Trading success is not only based on analysis — it is deeply dependent on execution quality
• Risk must be measured before entering, not after
• Stop placement and Take Profits must be structured, not emotional
• Position sizing must reflect account risk tolerance
• Multiple Take Profits promote disciplined management instead of greed or panic
The indicator reinforces execution discipline by:
• Structuring every trade into Entry → Risk → Reward components
• Showing clear Stop Loss allocation
• Visually mapping Reward targets
• Building logical price progression between TP levels
• Presenting clean visual Risk vs Reward zones
You do not “hope”.
You execute — with clarity and intention
🟦 CORE CAPABILITIES
The indicator automatically calculates and displays:
• Entry price architecture
• Stop Loss placement (multiple calculation options)
• Take Profit progression (TP1 / TP2 / TP3)
• Real-time Risk metrics
• Risk-to-Reward measurements
• Position size approximation
• Visualized Risk & Profit zones
• Clean execution labelling on chart
This transforms trade execution from guesswork into a structured, rule-based process.
🟦 FEATURE SET
✔ Entry Line Placement System
✔ Automatic Stop Loss Engine (Percent or ATR Mode)
✔ Three Take Profit Levels with independent control
✔ Real-time RR visualization
✔ Position Size approximation engine
✔ Dedicated Risk Panel
✔ Visual Profit & Risk shaded zones
✔ Clean on-chart labels
✔ Fully customizable behavior & visuals
✔ Works on ALL markets and ALL timeframes
🟦 CUSTOMIZATION & CONTROL
The trader remains fully in control.
Every execution element can be shaped to match personal style, account size, and strategy type.
▶ Entry Mode
• Manual input
• Last close
• Candle open
▶ Risk Engine
• Balance input
• Risk % per trade
• Leverage consideration
▶ Stop Loss Options
• Percentage mode
• ATR mode
▶ Take Profits
• Independent percentage configuration
• Toggle TP2
• Toggle TP3
▶ Risk Panel
• Show / Hide
▶ Background Zones
• Enable / Disable
• Color selection
• Opacity control
This makes the tool suitable for:
Scalpers • Day Traders • Swing Traders • Crypto • Forex • Indices • Equities
🟦 TYPICAL WORKFLOW
A normal user flow looks like this:
1️⃣ Define Entry
2️⃣ Select LONG or SHORT
3️⃣ Choose Stop methodology (Percent or ATR)
4️⃣ Adjust risk settings
5️⃣ Review Stop distance & Position Size
6️⃣ Verify RR ratios
7️⃣ Execute with confidence
Instead of randomly placing levels, you execute structured plans.
🟦 PRACTICAL USE EXAMPLE
BTC LONG Scenario:
• Entry: 89,000
• Stop Loss: 1.2%
• TP1: 1%
• TP2: 2%
• TP3: 3%
• Risk: 1% account
The indicator immediately displays:
• Entry line
• Stop Loss in red
• TP1 / TP2 / TP3 in green
• Position Size estimation
• Risk-Reward ratios
• Profit shading zones
Instantly — you know:
• Is the risk acceptable?
• Is the RR structure logical?
• Does the trade make sense?
If YES → Execute with discipline.
If NO → You just avoided a bad trade.
This is what professional execution looks like.
🟦 SETTINGS SUMMARY
Key adjustable controls include:
• Entry Mode
• Manual Entry Price
• Trade Direction
• Risk Engine toggle
• Account Balance
• Risk %
• Leverage
• Stop Loss mode
• Stop Loss % / ATR / Multiplier
• TP1 / TP2 / TP3 %
• TP visibility toggles
• Risk Panel toggle
• Background enable
• Background colors
• Opacity controls
Every parameter exists to support real trading decisions — not aesthetics.
🟦 CONCLUSION
P & SL Indicator PRO is not “just another indicator”.
It is a trade execution framework.
It helps traders:
• Reduce emotional decisions
• Enforce structure
• Improve discipline
• Improve long-term consistency
• Execute with institutional-style clarity
Professionals plan trades before entering them.
Now retail traders finally have a tool engineered for the same standard.
🟦 DISCLAIMER
This indicator is a risk-management and execution support tool.
It does not provide financial advice or guarantee profitability.
Trading involves risk. Users remain fully responsible for their decisions.
SMC Ultra-Fast: ALL-IN & Auto-Signal [Fixed]buy sell
📊 SMC Ultra-Fast: ALL-IN & Auto-Signal - Pine Script V5 Code Analysis
This code is a TradingView indicator designed to identify accurate and fast trading signals, specifically "ALL-IN" signals generated by pivot point breakouts combined with unusually high volume. It also automatically sets Take Profit (TP) and Stop Loss (SL) based on a defined Risk:Reward (RR) ratio.
SMC Ultra-Fast: ALL-IN & Auto-Signal [Fixed]How to Use the SMC Pro Indicator: ALL-IN & Dynamic S/R is designed to help you trade following the "Smart Money" quickly and accurately. The usage steps are as follows:
1. Reading Entry Signals
🔥 ALL-IN BUY/SELL: This is the most accurate signal, generated by a breakout of a key support level (Pivot) combined with unusually high trading volume (1.5 times higher) and confirmation from the EMA trend.
Fast Buy/Sell (Small Triangle): This is a supplementary signal when the EMA Fast line crosses the EMA Slow line. It's suitable for finding opportunities to "Follow the Trend" or add to positions when the trend strengthens.
2. Managing Targets (TP/SL/Entry)
When the ALL-IN signal appears, the system will immediately draw three lines to the right of the graph:
Gray line (ENTRY): The price point where you should open an order.
Blue line (TP): Profit target. Calculated using a Risk:Reward Ratio of 2.0 (adjustable).
Red line (SL): Stop-loss point calculated from the ATR value for safety.
3. Using Support and Resistance Boxes (Dynamic Zones)
Green box (Support): Zone with strong buying pressure. If the price tests this level and doesn't break below, there's a high chance of a rebound.
Red box (Resistance): Zone with accumulated selling pressure. If the price tests this level and fails to break through, there's a chance of a pullback.
Disappearance of boxes: When the price "breaks through" the bar, these boxes automatically disappear to indicate that the zone has been broken, and the system will immediately start looking for a new, stronger zone.
4. Auto-Reset System (Completion of Trade)
When the price hits the TP or SL line, the system will mark an "X" on the screen.
The old target line will be immediately deleted to clear the position, making the chart look clean and ready for a new ALL-IN signal.
💡 Additional Tip:
Candlestick color: Trade Buy when the candlestick is green, and trade Sell when the candlestick is red.
If the candlestick is orange, it means the market is sideways. It is recommended to wait for a clear ALL-IN signal before entering a trade.
SMC Ultra-Fast: ALL-IN & Auto-Signal [Fixed]How to Use the SMC Pro Indicator: ALL-IN & Dynamic S/R is designed to help you trade following the "Smart Money" quickly and accurately. The usage steps are as follows:
1. Reading Entry Signals
🔥 ALL-IN BUY/SELL: This is the most accurate signal, generated by a breakout of a key support level (Pivot) combined with unusually high trading volume (1.5 times higher) and confirmation from the EMA trend.
Fast Buy/Sell (Small Triangle): This is a supplementary signal when the EMA Fast line crosses the EMA Slow line. It's suitable for finding opportunities to "Follow the Trend" or add to positions when the trend strengthens.
2. Managing Targets (TP/SL/Entry)
When the ALL-IN signal appears, the system will immediately draw three lines to the right of the graph:
Gray line (ENTRY): The price point where you should open an order.
Blue line (TP): Profit target. Calculated using a Risk:Reward Ratio of 2.0 (adjustable).
Red line (SL): Stop-loss point calculated from the ATR value for safety.
3. Using Support and Resistance Boxes (Dynamic Zones)
Green box (Support): Zone with strong buying pressure. If the price tests this level and doesn't break below, there's a high chance of a rebound.
Red box (Resistance): Zone with accumulated selling pressure. If the price tests this level and fails to break through, there's a chance of a pullback.
Disappearance of boxes: When the price "breaks through" the bar, these boxes automatically disappear to indicate that the zone has been broken, and the system will immediately start looking for a new, stronger zone.
4. Auto-Reset System (Completion of Trade)
When the price hits the TP or SL line, the system will mark an "X" on the screen.
The old target line will be immediately deleted to clear the position, making the chart look clean and ready for a new ALL-IN signal.
💡 Additional Tip:
Candlestick color: Trade Buy when the candlestick is green, and trade Sell when the candlestick is red.
If the candlestick is orange, it means the market is sideways. It is recommended to wait for a clear ALL-IN signal before entering a trade.
วิธีใช้งานอินดิเคเตอร์ SMC Pro: ALL-IN & Dynamic S/R นี้ออกแบบมาเพื่อให้คุณเทรดตามรอย "เจ้ามือ" (Smart Money) ได้อย่างรวดเร็วและแม่นยำที่สุด โดยมีขั้นตอนการใช้งานดังนี้ครับ:
1. การอ่านสัญญาณจุดเข้า (Entry Signals)
🔥 ALL-IN BUY/SELL: เป็นสัญญาณที่มีความแม่นยำสูงสุด เกิดจากการเบรคเอาท์แนวสำคัญ (Pivot) ร่วมกับมีแรงซื้อขาย (Volume) สูงกว่าปกติ 1.5 เท่า และเทรนด์ของ EMA ยืนยัน
Fast Buy/Sell (สามเหลี่ยมเล็ก): เป็นสัญญาณเสริมเมื่อเส้น EMA Fast ตัดกับ EMA Slow เหมาะสำหรับใช้หาจังหวะ "Follow Trend" หรือเข้าเพิ่มไม้เมื่อเทรนด์เริ่มแข็งแกร่ง
2. การจัดการเป้าหมาย (TP/SL/Entry)
เมื่อสัญญาณ ALL-IN ปรากฏ ระบบจะวาดเส้น 3 เส้นไปทางด้านขวาของกราฟทันที:
เส้นสีเทา (ENTRY): จุดราคาที่คุณควรเปิดออเดอร์
เส้นสีน้ำเงิน (TP): เป้าหมายทำกำไร ซึ่งคำนวณจากค่า Risk:Reward Ratio ที่ 2.0 เท่า (ตั้งค่าได้)
เส้นสีแดง (SL): จุดตัดขาดทุนที่คำนวณจากค่า ATR เพื่อความปลอดภัย
3. การใช้งานกล่องแนวรับ-แนวต้าน (Dynamic Zones)
กล่องสีเขียว (Support): โซนที่มีแรงซื้อหนาแน่น หากราคาลงมาทดสอบแล้วไม่หลุด มีโอกาสเด้งกลับสูง
กล่องสีแดง (Resistance): โซนที่มีแรงขายสะสม หากราคาวิ่งขึ้นไปทดสอบแล้วไม่ผ่าน มีโอกาสย่อตัวลง
การหายไปของกล่อง: เมื่อราคา "ปิดแท่งทะลุ" กล่องเหล่านี้จะหายไปโดยอัตโนมัติ เพื่อบอกว่าโซนนั้นถูกทำลายแล้ว และระบบจะเริ่มหาโซนใหม่ที่แข็งแกร่งกว่าให้ทันที
4. ระบบ Auto-Reset (จบงาน)
เมื่อราคาเคลื่อนที่ไปชนเส้น TP หรือ SL ระบบจะทำเครื่องหมาย "X" บนหน้าจอ
เส้นเป้าหมายเก่าจะถูกลบออกทันที เพื่อล้างสถานะให้กราฟดูสะอาดและพร้อมสำหรับสัญญาณ ALL-IN รอบใหม่ครับ
💡 เคล็ดลับเพิ่มเติม:
สีแท่งเทียน: เทรดหน้า Buy เมื่อแท่งเทียนสีเขียว และเทรดหน้า Sell เมื่อแท่งเทียนสีแดง
หากแท่งเทียนเป็น สีส้ม หมายถึงตลาดกำลังเลือกทาง (Sideway) แนะนำให้รอสัญญาณ ALL-IN ที่ชัดเจนก่อนเข้าเทรดครับ
SMC Ultra-Fast: ALL-IN & Auto-Signal [Fixed]Designed to help traders who know absolutely nothing about the market.
And for those whose signals don't disappear, once it goes up, it stays up. 90 percent chance of beating the market.
Liquidity Retest Strategy (Apicode) - TP/SL Lines FixedTechnical Documentation:
1. Purpose and underlying concept
This strategy targets a common behavior in liquid markets: liquidity sweeps around meaningful support/resistance levels, followed by a retest and rejection (reversal) with confirmation.
The core thesis is that many initial “breaks” are not continuation moves, but rather stop-runs and order harvesting. After the sweep, price reclaims the level and closes back on the opposite side, offering a structured entry with defined risk.
The strategy includes:
Support/Resistance detection via pivots
Dynamic selection of the “working” level using an ATR-based proximity window
Rejection validation via candle structure (wick + close)
Optional filters: volume, VWAP-like bias, and EMA trend
Risk management with static TP/SL (ATR-based or %), plus trailing stop (ATR-based or %), with per-trade lines plotted
2. Main components
2.1. Volatility metric: ATR
atr = ta.atr(atrLength) is used in two essential places:
Level selection (proximity to S/R): prevents trading levels that are too far from current price.
Sweep validation (minimum wick size): requires the wick to extend beyond the level by a volatility-relative amount.
Optionally, ATR can also be used for:
Static TP/SL (when usePercent = false)
Trailing stop (when useTrailPercent = false)
2.2. Building S/R levels with pivots
Pivots are detected using:
pivotHigh = ta.pivothigh(pivotLookback, rightBars)
pivotLow = ta.pivotlow(pivotLookback, rightBars)
Each confirmed pivot is stored in arrays:
resistanceLevels for resistance
supportLevels for support
The array size is capped by maxLevels, which reduces noise and manages chart resource usage (lines).
2.3. Selecting the “best” level each bar
On each bar, a single support S and/or resistance R candidate is chosen:
Support: nearest level below price (L < price)
Resistance: nearest level above price (L > price)
Only levels within atr * maxDistATR are considered
This produces dynamic “working levels” that adapt to price location and volatility.
2.4. Rejection pattern (retest + sweep)
After selecting the working level:
Support rejection (long setup)
Conditions:
Low touches/crosses support: low <= S
Close reclaims above: close > S
Bullish candle: close > open
Sufficient wick below the level (liquidity sweep): (S - low) >= atr * minWickATR
This aims to capture a stop sweep below support followed by immediate recovery.
Resistance rejection (short setup)
Symmetric conditions:
High touches/crosses resistance: high >= R
Close rejects back below: close < R
Bearish candle: close < open
Sufficient wick above the level: (high - R) >= atr * minWickATR
2.5. Optional filters
Final signals are the rejection pattern AND enabled filters:
1.- Volume filter
High volume is defined as: volume > SMA(volume, 20) * volMult
When useVolFilter = true, setups require relatively elevated participation
2.- VWAP-like bias filter
A VWAP-like series is computed over vwapLength (typical price weighted by volume)
When useVWAPFilter = true:
- Longs only if close > vwap
- Shorts only if close < vwap
3.- EMA trend filter
Uptrend if EMA(fast) > EMA(slow)
When useTrendFilter = true:
- Longs only in uptrend
- Shorts only in downtrend
2.6. Backtest time window (time filter)
To keep testing focused and reduce long-history noise:
useMaxLookbackDays enables the filter
maxLookbackDays defines how many days back from timenow entries are allowed
Entries are permitted only when time >= startTime.
3. Entry rules and position control
3.1. Entries
strategy.entry('Long', strategy.long) when longSetup and no long position is open
strategy.entry('Short', strategy.short) when shortSetup and no short position is open
No pyramiding is allowed (pyramiding = 0). Position gating is handled by:
Long allowed if strategy.position_size <= 0
Short allowed if strategy.position_size >= 0
4. Risk management: TP/SL and trailing (with plotted lines)
4.1. Detecting entry/exit events
Events are identified via changes in strategy.position_size:
LongEntry: transition into a long
shortEntry: transition into a short
flatExit: transition back to flat
This drives per-trade line creation, updates, and cleanup of state variables.
4.2. Static TP/SL
On entry, entryPrice := strategy.position_avg_price is stored.
Percent mode (usePercent = true)
Long:
staticSL = entryPrice*(1 - slPerc/100)
staticTP = entryPrice*(1 + tpPerc/100)
Short:
staticSL = entryPrice*(1 + slPerc/100)
staticTP = entryPrice*(1 - tpPerc/100)
ATR mode (usePercent = false)
Long:
staticSL = entryPrice - atrAtEntry*slATR
staticTP = entryPrice + atrAtEntry*tpATR
Short:
staticSL = entryPrice + atrAtEntry*slATR
staticTP = entryPrice - atrAtEntry*tpATR
4.3. Trailing stop (custom)
While a position is open, the script tracks the most favorable excursion:
Long: hhSinceEntry = highest high since entry
Short: llSinceEntry = lowest low since entry
A trailing candidate is computed:
Percent trailing (useTrailPercent = true)
Long: trailCandidate = hhSinceEntry*(1 - trailPerc/100)
Short: trailCandidate = llSinceEntry*(1 + trailPerc/100)
ATR trailing (useTrailPercent = false)
Long: trailCandidate = hhSinceEntry - atr*trailATR
Short: trailCandidate = llSinceEntry + atr*trailATR
Then the effective stop is selected:
Long: slUsed = max(staticSL, trailCandidate) when useTrail is enabled
Short: slUsed = min(staticSL, trailCandidate) when useTrail is enabled
If useTrail is disabled, slUsed remains the static stop.
Take profit remains static:
tpUsed = staticTP
Exit orders are issued via:
strategy.exit(..., stop=slUsed, limit=tpUsed)
4.4. Per-trade TP/SL lines
On each entry, two lines are created (SL and TP) via f_createLines().
During the trade, the SL line updates when trailing moves the stop; TP remains fixed.
On exit (flatExit), both lines are finalized on the exit bar and left on the chart as historical references.
This makes it straightforward to visually audit each trade: entry context, intended TP, and trailing evolution until exit.
5. Visualization and debugging
BUY/SELL labels with configurable size (xsize)
Debug mode (showDebug) plots the chosen working support/resistance level each bar
Stored pivot levels are drawn using reusable line slots, projected a fixed 20 bars to the right to keep the chart readable and efficient
6. Parameter guidance and practical notes
pivotLookback / rightBars: controls pivot significance vs responsiveness. Lower rightBars confirms pivots earlier but can increase noise.
maxDistATR: too low may reject valid levels; too high may select distant, less relevant levels.
minWickATR: key quality gate for “real” sweeps. Higher values reduce frequency but often improve signal quality.
Filters:
Volume filter tends to help in ranges and active sessions.
VWAP bias is useful intraday to align trades with session positioning.
EMA trend filter is helpful in directional markets but may remove good mean-reversion setups.
Percent TP/SL: provides consistent behavior across assets with variable volatility, but is less adaptive to sudden regime shifts.
Percent trailing: can capture extensions well; calibrate trailPerc per asset/timeframe (too tight = premature exits).
7. Known limitations
Pivot-derived levels are a heuristic; in strong trends, valid retests may be limited.
The time filter uses timenow; behavior may vary depending on historical context and how the platform evaluates “current time.”
TP/SL and trailing are computed from bar OHLC; in live trading, intrabar sequencing and fills may differ from bar-close simulation.
Yearly Projection ExplorerThis indicator helps you understand how the current market period has behaved historically by overlaying the same date window from previous years and projecting it forward from today’s price.
The script works the following way:
Aligns past years to today’s calendar date
Normalizes all paths to the last close at the start
Projects historical performance X bars forward
Displays each year as a separate performance path
Calculates and plots the mean (average) projection for quick reference
🔧 How It Works
Number of Years: choose how many past years to include (e.g. last 10, 20, or 25 years)
Projection Length: choose how many bars (days) ahead to project
Each line shows how the market moved during the same period in a specific year
Labels show the year and total return at the projection end
The mean line highlights the average historical outcome
🧠 Why This Is Useful
Identify seasonal tendencies
Compare current price action to historical analogs
Visualize best / worst historical outcomes
Set realistic expectations for short-term moves
Add context to discretionary or systematic decisions
This tool does not predict the future, but it provides a powerful historical framework to assess what has been typical, rare, or extreme for the current market window.
⚠️ Notes
Script works on timenow variable for now, and you might see unexpected periods if today is a day off.
Results depend on the selected timeframe and instrument
Past performance is not a guarantee of future results
Designed for analysis and context, not standalone signals
Flash Crash Level [10 Oct]Who Survived the Crash?
On October 10, 2025, the crypto market experienced a massive flash crash that left deep wicks across almost every asset. That specific low is now the most critical "Line in the Sand" for determining strength vs. weakness in the current market.
This script automates the assessment process. It scans history for that specific date, locks onto the absolute lowest price of the panic wick, and draws a permanent structural level on your chart.
How It Works:
Auto-Detection: Instantly finds the October 10th crash low on any asset (BTC, ETH, SOL, Alts).
Status Color-Coding:
🟢 GREEN (Reclaimed): Price is trading above the crash low. This indicates strength, successful absorption of supply, and a bullish structural recovery.
🔴 RED (Failed): Price is trading below the crash low. This indicates extreme weakness ("Zombie Coin"). Sellers from the panic event are still in control.
How to Trade It: Use this tool to filter your watchlist immediately.
The "Strong" Setup: Look for assets with a Green Line. These coins have proven they can climb out of the grave. Look for longs on retests of this green line.
The "Avoid" List: If an asset has a Red Line, it is technically broken. Do not try to catch the knife until it reclaims this level.
Simple. Visual. Effective. Stop guessing which coins are strong. Let the market structure tell you.






















