SMM By SagarSMM by Sagar. It marks almost all the important levels used in the strategy CMM taught by my mentor the OG Fahad Siddiqui from TWS.
Multitimeframe
Fractal Market Geometry [JOAT]
Fractal Market Geometry
Overview
Fractal Market Geometry is an open-source overlay indicator that combines fractal analysis with harmonic pattern detection, Fibonacci retracements and extensions, Elliott Wave concepts, and Wyckoff phase identification. It provides traders with a geometric framework for understanding market structure and identifying potential reversal patterns with multi-factor signal confirmation.
What This Indicator Does
The indicator calculates and displays:
Fractal Detection - Identifies fractal highs and lows using Williams-style pivot analysis with configurable period
Fractal Dimension - Calculates market complexity using range-based dimension estimation
Harmonic Patterns - Detects Gartley, Butterfly, Bat, Crab, Shark, Cypher, and ABCD patterns using Fibonacci ratios
Fibonacci Retracements - Key levels at 38.2%, 50%, and 61.8%
Fibonacci Extensions - Projection level at 161.8%
Elliott Wave Count - Simplified wave counting based on pivot detection (1-5)
Wyckoff Phase - Volume-based phase identification (Accumulation, Markup, Distribution, Neutral)
Golden Spiral Levels - ATR-based support and resistance levels using phi (1.618) ratio
Trend Detection - EMA crossover trend identification (20/50 EMA)
How It Works
Fractal detection uses a configurable period to identify swing points:
detectFractalHigh(simple int period) =>
bool result = true
float centerVal = high
for i = 0 to period - 1
if high >= centerVal or high >= centerVal
result := false
break
Harmonic pattern detection uses Fibonacci ratio analysis between swing points. Each pattern has specific ratio requirements:
Gartley: AB 0.382-0.618, BC 0.382-0.886, CD 1.27-1.618
Butterfly: AB 0.382-0.5, BC 0.382-0.886, CD 1.618-2.24
Bat: AB 0.5-0.618, BC 1.13-1.618, CD 1.618-2.24
Crab: AB 0.382-0.618, BC 0.382-0.886, CD 2.24-3.618
Shark: AB 0.382-0.618, BC 1.13-1.618, CD 1.618-2.24
Cypher: AB 0.382-0.618, BC 1.13-1.414, CD 0.786-0.886
Wyckoff phase detection analyzes volume relative to price movement:
wyckoffPhase(simple int period) =>
float avgVol = ta.sma(volume, period)
float priceChg = ta.change(close, period)
string phase = "NEUTRAL"
if volume > avgVol * 1.5 and math.abs(priceChg) < close * 0.02
phase := "ACCUMULATION"
else if volume > avgVol * 1.5 and math.abs(priceChg) > close * 0.05
phase := "MARKUP"
else if volume < avgVol * 0.7
phase := "DISTRIBUTION"
phase
Signal Generation
Signals use multi-factor confirmation for accuracy:
BUY Signal: Fractal low + Uptrend (EMA20 > EMA50) + RSI 30-55 + Bullish candle + Volume confirmation
SELL Signal: Fractal high + Downtrend (EMA20 < EMA50) + RSI 45-70 + Bearish candle + Volume confirmation
Pattern Detection: Label appears when harmonic pattern completes at current bar
Dashboard Panel (Top-Right)
Dimension - Fractal dimension value (market complexity measure)
Last High - Most recent fractal high price
Last Low - Most recent fractal low price
Pattern - Current harmonic pattern name or NONE
Elliott Wave - Current wave count (Wave 1-5) or OFF
Wyckoff - Current market phase or OFF
Trend - BULLISH, BEARISH, or NEUTRAL based on EMA crossover
Signal - BUY, SELL, or WAIT status
Visual Elements
Fractal Markers - Small triangles at fractal highs (down arrow) and lows (up arrow)
Geometry Lines - Dashed lines connecting the most recent fractal high and low
Fibonacci Levels - Clean horizontal lines at 38.2%, 50%, and 61.8% retracement levels
Fibonacci Extension - Horizontal line at 161.8% extension level
Golden Spiral Levels - Support and resistance lines based on ATR x 1.618
3D Fractal Field - Optional depth layers around swing levels (OFF by default)
Harmonic Pattern Markers - Small diamond shapes when Crab, Shark, or Cypher patterns detected
Pattern Labels - Text label showing pattern name when detected
Signal Labels - BUY/SELL labels on confirmed multi-factor signals
Input Parameters
Fractal Period (default: 5) - Bars on each side for fractal detection
Geometry Depth (default: 3) - Complexity of geometric calculations
Pattern Sensitivity (default: 0.8) - Tolerance for pattern ratio matching
Show Fibonacci Levels (default: true) - Display retracement levels
Show Fibonacci Extensions (default: true) - Display extension level
Elliott Wave Detection (default: true) - Enable wave counting
Wyckoff Analysis (default: true) - Enable phase detection
Golden Spiral Levels (default: true) - Display spiral support/resistance
Show Fractal Points (default: true) - Display fractal markers
Show Geometry Lines (default: true) - Display connecting lines
Show Pattern Labels (default: true) - Display pattern name labels
Show 3D Fractal Field (default: false) - Display depth layers
Show Harmonic Patterns (default: true) - Display pattern markers
Show Buy/Sell Signals (default: true) - Display signal labels
Suggested Use Cases
Identify potential reversal zones using harmonic pattern completion
Use Fibonacci levels for entry, stop-loss, and target planning
Monitor Wyckoff phases for accumulation/distribution awareness
Track Elliott Wave counts for trend structure analysis
Use fractal dimension to gauge market complexity
Wait for multi-factor signal confirmation before entering trades
Timeframe Recommendations
Best on 1H to Daily charts. Lower timeframes produce more fractals but with less significance. Higher timeframes provide stronger levels and more reliable signals.
Limitations
Harmonic pattern detection uses simplified ratio ranges and may not match all textbook definitions
Elliott Wave counting is basic and does not include all wave rules
Wyckoff phase detection is volume-based approximation
Fractal dimension calculation is simplified
Signals require fractal confirmation which has inherent lag equal to the fractal period
Open-Source and Disclaimer
This script is published as open-source under the Mozilla Public License 2.0 for educational purposes. It does not constitute financial advice. Past performance does not guarantee future results. Always use proper risk management.
- Made with passion by officialjackofalltrades
PA SystemPA System - Price Action Trading System
价格行为交易系统
📊 概述 / Overview
PA System is a comprehensive price action trading indicator that combines Smart Money Concepts (SMC), market structure analysis, and multi-timeframe confirmation to identify high-probability trade setups. Designed for both manual traders and algorithmic trading systems.
PA System 是一个综合性价格行为交易指标,结合了Smart Money概念(SMC)、市场结构分析和多时间框架确认,用于识别高概率交易机会。适用于手动交易者和算法交易系统。
✨ 核心特性 / Key Features
🎯 Four-Phase Signal System / 四阶段信号系统
H1 (First Pullback) - Initial bullish retracement in uptrend
H2 (Confirmed Entry) - Breakout confirmation for long entries
L1 (First Bounce) - Initial bearish bounce in downtrend
L2 (Confirmed Entry) - Breakdown confirmation for short entries
中文说明:
H1(首次回调) - 上升趋势中的初次回撤信号
H2(确认入场) - 突破确认的做多入场点
L1(首次反弹) - 下降趋势中的初次反弹信号
L2(确认入场) - 跌破确认的做空入场点
📐 Market Structure Detection / 市场结构识别
HH (Higher High) - Uptrend confirmation / 上升趋势确认
HL (Higher Low) - Bullish pullback / 多头回调
LH (Lower High) - Bearish bounce / 空头反弹
LL (Lower Low) - Downtrend confirmation / 下降趋势确认
💎 Smart Money Concepts (SMC) / 智能资金概念
BoS (Break of Structure) - Trend continuation signal / 趋势延续信号
CHoCH (Change of Character) - Potential trend reversal / 潜在趋势反转
📈 Dynamic Trendlines / 动态趋势线
Auto-drawn support and resistance trendlines / 自动绘制支撑阻力趋势线
Real-time extension to current bar / 实时延伸至当前K线
Slope-filtered for accuracy / 斜率过滤确保准确性
🎚️ Multi-Timeframe Analysis / 多时间框架分析
Higher timeframe trend filter (default 4H) / 大周期趋势过滤(默认4小时)
Prevents counter-trend trades / 防止逆势交易
Configurable timeframe / 可配置时间周期
📊 Volume Confirmation / 成交量确认
Filters signals based on volume strength / 基于成交量强度过滤信号
20-period volume MA comparison / 与20期成交量均线对比
High-volume bars highlighted / 高成交量K线高亮显示
🎯 Risk Management Tools / 风险管理工具
Automatic SL/TP calculation and display / 自动计算并显示止损止盈
Visual stop loss and take profit lines / 可视化止损止盈线条
Risk percentage and R:R ratio display / 显示风险百分比和盈亏比
Dynamic stop loss sizing (0.3% - 1.5%) / 动态止损范围(0.3% - 1.5%)
📱 Real-Time Alerts / 实时警报
Instant notifications on H2/L2 signals / H2/L2信号即时通知
Webhook support for automation / 支持Webhook自动化
Mobile, email, and popup alerts / 手机、邮件和弹窗警报
📊 Professional Dashboard / 专业仪表盘
Real-time market state (CHANNEL/RANGE/BREAKOUT) / 实时市场状态
Local and MTF trend indicators / 本地及大周期趋势指标
Order flow status (HIGH VOL / LOW VOL) / 订单流状态
Last signal tracker / 最新信号追踪
🔧 参数设置 / Parameter Settings
Structure Settings / 结构设置
Parameter Default Range Description
Swing Length / 摆动长度 5 2-20 Pivot detection sensitivity / 枢轴点检测灵敏度
Trend Confirm Bars / 趋势确认根数 3 2-10 Consecutive bars for breakout / 突破所需连续K线数
Channel ATR Mult / 通道ATR倍数 2.0 1.0-5.0 Range detection threshold / 区间检测阈值
Signal Settings / 信号设置
Parameter Default Description
Enable H2 Longs / 启用H2做多 ✅ Toggle long signals / 开关做多信号
Enable L2 Shorts / 启用L2做空 ✅ Toggle short signals / 开关做空信号
Micro Range Length / 微平台长度 3 Breakout detection bars / 突破检测K线数
Close Strength / 收盘强度 0.6 Minimum close position in bar / K线内最小收盘位置
Filter Settings / 过滤设置
Parameter Default Description
Use MTF Filter / 大周期过滤 ✅ Enable higher timeframe filter / 启用大周期过滤
MTF Timeframe / 大周期时间框架 240 (4H) Higher timeframe period / 大周期时间
Use Volume Filter / 成交量过滤 ✅ Require high volume confirmation / 需要高成交量确认
Volume MA Length / 成交量均线周期 20 Volume comparison period / 成交量对比周期
Fast EMA / 快速EMA 20 Short-term trend / 短期趋势
Slow EMA / 慢速EMA 50 Long-term trend / 长期趋势
Risk Management / 风险管理
Parameter Default Description
Risk % / 风险百分比 1.0% Risk per trade / 每笔交易风险
R:R Ratio / 盈亏比 2.0 Reward to risk ratio / 盈亏比率
Max SL ATR / 最大止损ATR 3.0 Maximum stop loss in ATR / 最大止损ATR倍数
Min SL % / 最小止损百分比 0.3% Minimum stop loss percentage / 最小止损百分比
Max SL % / 最大止损百分比 1.5% Maximum stop loss percentage / 最大止损百分比
📖 使用方法 / How to Use
1. 基础设置 / Basic Setup
For Day Trading (5-15 min charts) / 日内交易(5-15分钟图)
text
Swing Length: 5
MTF Timeframe: 240 (4H)
Risk %: 1.0%
R:R: 2.0
For Swing Trading (1-4H charts) / 波段交易(1-4小时图)
text
Swing Length: 8
MTF Timeframe: D (Daily)
Risk %: 0.5%
R:R: 3.0
For Scalping (1-5 min charts) / 剥头皮(1-5分钟图)
text
Swing Length: 3
MTF Timeframe: 60 (1H)
Risk %: 0.5%
R:R: 1.5
Use Volume Filter: ✅
2. 信号识别 / Signal Identification
Long Entry / 做多入场
✅ Dashboard shows "Local Trend: BULL" / 仪表盘显示"本地趋势:多头"
✅ MTF Trend shows "BULLISH" / 大周期趋势显示"看涨"
✅ Green circle (H1) appears below bar / 绿色圆点(H1)出现在K线下方
⏳ Wait for H2 signal (green triangle ▲) / 等待H2信号(绿色三角▲)
📊 Check volume bar is cyan (HIGH VOL) / 检查成交量柱为青色(高成交量)
🎯 Enter at close of H2 bar / 在H2 K线收盘价入场
🛡️ Set SL at red dashed line / 止损设在红色虚线位置
🎁 Set TP at green dashed line / 止盈设在绿色虚线位置
Short Entry / 做空入场
✅ Dashboard shows "Local Trend: BEAR" / 仪表盘显示"本地趋势:空头"
✅ MTF Trend shows "BEARISH" / 大周期趋势显示"看跌"
✅ Red circle (L1) appears above bar / 红色圆点(L1)出现在K线上方
⏳ Wait for L2 signal (red triangle ▼) / 等待L2信号(红色倒三角▼)
📊 Check volume bar is cyan (HIGH VOL) / 检查成交量柱为青色(高成交量)
🎯 Enter at close of L2 bar / 在L2 K线收盘价入场
🛡️ Set SL at red dashed line / 止损设在红色虚线位置
🎁 Set TP at green dashed line / 止盈设在绿色虚线位置
3. 警报设置 / Alert Setup
Step-by-Step / 分步操作
Click the "⏰" alert icon on chart / 点击图表上的"⏰"警报图标
Select "PA System - Indicator Version" / 选择"PA System (V1.1) - Indicator Version"
Condition: "Any alert() function call" / 条件:选择"Any alert() function call"
Choose notification method: / 选择通知方式:
📱 Mobile Push / 手机推送
📧 Email / 邮件
🔗 Webhook URL (for automation) / Webhook网址(用于自动化)
Set frequency: "Once Per Bar Close" / 频率:选择"Once Per Bar Close"
Click "Create" / 点击"创建"
Webhook Example for IBKR API / IBKR API的Webhook示例
json
{
"signal": "{{strategy.order.action}}",
"ticker": "{{ticker}}",
"entry": {{close}},
"stop_loss": {{plot_0}},
"take_profit": {{plot_1}},
"timestamp": "{{timenow}}"
}
4. 交易管理 / Trade Management
Position Sizing / 仓位计算
text
Account: $10,000
Risk per Trade: 1% = $100
Entry Price: $690.45
Stop Loss: $687.38
Risk per Share: $690.45 - $687.38 = $3.07
Position Size: $100 / $3.07 = 32 shares
Partial Profit Taking / 部分止盈
Close 50% position at 1:1 R:R / 在1:1盈亏比时平仓50%
Move SL to breakeven / 移动止损至保本位
Let remaining 50% run to 2R target / 让剩余50%跑向2R目标
🎨 视觉元素说明 / Visual Elements Guide
Chart Markers / 图表标记
Symbol Color Meaning
⚫ Small Circle / 小圆点 🟢 Green / 绿色 H1 - First bullish pullback / 首次多头回调
▲ Triangle / 三角形 🟢 Green / 绿色 H2 - Confirmed long entry / 确认做多入场
⚫ Small Circle / 小圆点 🔴 Red / 红色 L1 - First bearish bounce / 首次空头反弹
▼ Inverted Triangle / 倒三角 🔴 Red / 红色 L2 - Confirmed short entry / 确认做空入场
Structure Labels / 结构标签
Label Position Meaning
HH Above high / 高点上方 Higher High - Bullish / 更高的高点-看涨
HL Below low / 低点下方 Higher Low - Bullish / 更高的低点-看涨
LH Above high / 高点上方 Lower High - Bearish / 更低的高点-看跌
LL Below low / 低点下方 Lower Low - Bearish / 更低的低点-看跌
BoS/CHoCH Lines / 破位线条
Type Color Width Meaning
BoS 🔵 Teal / 青色 2px Break of Structure - Trend continues / 结构突破-趋势延续
CHoCH 🔴 Red / 红色 2px Change of Character - Trend reversal / 性质改变-趋势反转
Trendlines / 趋势线
Type Color Style Meaning
Bullish / 看涨 🔵 Teal / 青色 Solid / 实线 Uptrend support / 上升趋势支撑
Bearish / 看跌 🔴 Red / 红色 Solid / 实线 Downtrend resistance / 下降趋势阻力
Risk Lines / 风险线条
Type Color Style Meaning
Stop Loss / 止损 🔴 Red / 红色 Dashed / 虚线 Suggested stop loss level / 建议止损位
Take Profit / 止盈 🟢 Green / 绿色 Dashed / 虚线 Suggested take profit level / 建议止盈位
Dashboard Colors / 仪表盘颜色
Status Color Meaning
BULL / 多头 🟢 Green / 绿色 Bullish trend / 看涨趋势
BEAR / 空头 🔴 Red / 红色 Bearish trend / 看跌趋势
NEUTRAL / 中性 ⚪ Gray / 灰色 No clear trend / 无明确趋势
BREAKOUT / 突破 🟡 Lime / 黄绿 Strong momentum / 强劲动能
HIGH VOL / 高成交量 🔵 Cyan / 青色 High volume confirmation / 高成交量确认
💡 交易策略建议 / Trading Strategy Tips
✅ High Probability Setups / 高概率设置
Trend Alignment / 趋势一致
Local Trend = BULL + MTF Trend = BULLISH / 本地多头 + 大周期看涨
Or: Local Trend = BEAR + MTF Trend = BEARISH / 或:本地空头 + 大周期看跌
Volume Confirmation / 成交量确认
H2/L2 signal appears with cyan volume bar / H2/L2信号伴随青色成交量柱
Volume > 20-period MA / 成交量 > 20期均线
Trendline Support / 趋势线支撑
H2 appears near bullish trendline / H2出现在看涨趋势线附近
L2 appears near bearish trendline / L2出现在看跌趋势线附近
BoS Confirmation / BoS确认
Recent BoS in same direction / 最近同方向的BoS
No CHoCH against the trade / 无逆向的CHoCH
❌ Avoid These Setups / 避免这些情况
Conflicting Trends / 趋势冲突
Local BULL but MTF BEARISH / 本地多头但大周期看跌
Market State = RANGE / 市场状态 = 区间
Low Volume / 低成交量
Order Flow shows "LOW VOL" / 订单流显示"低成交量"
Volume bar is red (below MA) / 成交量柱为红色(低于均线)
Against Trendline / 逆趋势线
Shorting at bullish trendline support / 在看涨趋势线支撑处做空
Buying at bearish trendline resistance / 在看跌趋势线阻力处做多
Recent CHoCH / 近期CHoCH
CHoCH appeared within 10 bars / 10根K线内出现CHoCH
Potential trend reversal zone / 潜在趋势反转区域
🔄 优化建议 / Optimization Tips
For Different Markets / 针对不同市场
Stocks / 股票
text
Swing Length: 5-8
MTF: 240 (4H) or D (Daily)
Risk %: 0.5-1.0%
Best on: SPY, QQQ, AAPL, TSLA
Forex / 外汇
text
Swing Length: 5
MTF: 240 (4H)
Risk %: 1.0-2.0%
Best on: EUR/USD, GBP/USD, USD/JPY
Use Volume Filter: OFF (Forex volume is unreliable)
Crypto / 加密货币
text
Swing Length: 3-5
MTF: 240 (4H)
Risk %: 0.5-1.0% (high volatility)
Max SL %: 2.0-3.0%
Best on: BTC, ETH, SOL
Futures / 期货
text
Swing Length: 5
MTF: 240 (4H)
Risk %: 1.0-1.5%
Best on: ES, NQ, RTY, CL
🤖 自动化集成 / Automation Integration
Python + IBKR API Example / Python + IBKR API示例
python
import requests
from ib_insync import *
def handle_tradingview_alert(alert_data):
"""
Receives webhook from TradingView alert
接收来自TradingView警报的webhook
"""
signal = alert_data # "H2 LONG" or "L2 SHORT"
ticker = alert_data # "SPY"
entry = alert_data # 690.45
stop_loss = alert_data # 687.38
take_profit = alert_data # 696.59
# Connect to IBKR
ib = IB()
ib.connect('127.0.0.1', 7497, clientId=1)
# Create contract
contract = Stock(ticker, 'SMART', 'USD')
# Calculate position size (1% risk)
account_value = ib.accountValues() .value
risk_amount = float(account_value) * 0.01
risk_per_share = abs(entry - stop_loss)
quantity = int(risk_amount / risk_per_share)
# Place order
if "LONG" in signal:
order = MarketOrder('BUY', quantity)
else:
order = MarketOrder('SELL', quantity)
trade = ib.placeOrder(contract, order)
# Set stop loss and take profit
ib.placeOrder(contract, StopOrder('SELL', quantity, stop_loss))
ib.placeOrder(contract, LimitOrder('SELL', quantity, take_profit))
ib.disconnect()
TradersPost Integration / TradersPost集成
Create TradersPost account / 创建TradersPost账户
Connect IBKR broker / 连接IBKR券商
Get Webhook URL / 获取Webhook网址
Add to TradingView alert / 添加到TradingView警报
Test with paper trading / 用模拟账户测试
📊 性能指标 / Performance Metrics
Expected Performance (Backtested) / 预期表现(回测)
Metric Value Notes
Win Rate / 胜率 60-75% With all filters enabled / 启用所有过滤器
Avg R:R / 平均盈亏比 1.8-2.2 Using 2R target / 使用2R目标
Max Drawdown / 最大回撤 8-12% 1% risk per trade / 每笔1%风险
Profit Factor / 盈利因子 1.8-2.5 Trend-following bias / 趋势跟随偏向
Best Markets / 最佳市场 Trending Avoid ranging markets / 避免区间市场
⚠️ Disclaimer: Past performance does not guarantee future results. Always test in paper trading first.
⚠️ 免责声明:历史表现不保证未来结果。请先在模拟账户测试。
🛠️ 故障排除 / Troubleshooting
Problem: No signals appearing / 问题:没有信号出现
Solution / 解决方案:
Disable MTF Filter temporarily / 暂时关闭大周期过滤
Disable Volume Filter / 关闭成交量过滤
Reduce Swing Length to 3 / 将摆动长度降至3
Check if market is ranging (no clear trend) / 检查市场是否处于区间(无明确趋势)
Problem: Too many signals / 问题:信号太多
Solution / 解决方案:
Enable MTF Filter / 启用大周期过滤
Enable Volume Filter / 启用成交量过滤
Increase Swing Length to 8 / 将摆动长度增至8
Enable Break Filter / 启用破位过滤
Problem: Alerts not working / 问题:警报不工作
Solution / 解决方案:
Check "Enable Alerts" is ON / 检查"启用警报"已开启
Verify alert condition is "Any alert() function call" / 确认警报条件为"Any alert() function call"
Check notification settings in TradingView / 检查TradingView通知设置
Test alert with "Test" button / 用"测试"按钮测试警报
Problem: SL/TP lines not showing / 问题:止损止盈线不显示
Solution / 解决方案:
Enable "Show SL/TP Labels" in settings / 在设置中启用"显示止损止盈标签"
Check if signal is recent (lines expire after 10 bars) / 检查信号是否近期(线条在10根K线后消失)
Zoom in to see lines more clearly / 放大图表以更清楚地看到线条
📚 常见问题 FAQ
Q1: Can I use this on any timeframe? / 可以在任何时间框架使用吗?
A: Yes, but works best on 5min-4H charts. Recommended: 15min (day trading), 1H (swing trading).
可以,但在5分钟-4小时图表效果最佳。推荐:15分钟(日内交易),1小时(波段交易)。
Q2: Do I need to enable all filters? / 需要启用所有过滤器吗?
A: No. Start with all enabled, then disable based on your risk tolerance. MTF filter is highly recommended.
不需要。从全部启用开始,然后根据风险承受能力禁用。强烈推荐MTF过滤器。
Q3: Can I automate this with IBKR? / 可以与IBKR自动化吗?
A: Yes! Use TradingView alerts + Webhook + Python script + IBKR API. See automation example above.
可以!使用TradingView警报 + Webhook + Python脚本 + IBKR API。参见上方自动化示例。
Q4: What's the difference between Strategy and Indicator version? / 策略版和指标版有什么区别?
A: Strategy = backtesting only. Indicator = real-time alerts + automation. Use both: backtest with strategy, trade with indicator.
策略版=仅回测。指标版=实时警报+自动化。两者结合使用:用策略版回测,用指标版交易。
Q5: Why does H2 appear but no trade? / 为什么出现H2但没有交易?
A: This is an indicator, not a strategy. You need to manually place orders or use automation via alerts.
这是指标,不是策略。你需要手动下单或通过警报使用自动化。
⚖️ 免责声明 / Disclaimer
IMPORTANT / 重要提示:
This indicator is for educational purposes only. Trading involves substantial risk of loss. Past performance does not guarantee future results. Always:
本指标仅供教育目的。交易涉及重大亏损风险。历史表现不保证未来结果。请务必:
✅ Test in paper trading first / 先在模拟账户测试
✅ Use proper risk management (1-2% max per trade) / 使用适当风险管理(每笔最多1-2%)
✅ Never risk more than you can afford to lose / 永远不要冒超出承受能力的风险
✅ Understand the strategy before using / 使用前理解策略原理
Not financial advice. Trade at your own risk.
非投资建议。交易风险自负。
Precision EMA Position Engine PRO🟦 Precision EMA Position Engine PRO
Structured Long-Term Trend Interpretation & Position Discipline Framework
Product Class: Trend Structure Framework, Position Trading Support, Momentum Exit Awareness
Designed For: Long-term traders, position investors, disciplined trend followers across Crypto, Forex, Stocks, Commodities, and Indices
🟦 Overview
Precision EMA Position Engine PRO is a professional trend interpretation framework engineered to bring clarity, structure, and disciplined awareness to long-term trading and position management.
Using layered EMA structure, visual environmental confirmation, and momentum exit awareness, it helps traders understand when markets transition from neutral to structured bullish phases — and when strength begins weakening.
The purpose is not to predict markets, but to provide a calm, organized, easy-to-read visual environment that encourages rational decisions instead of emotional reactions.
🟦 Concepts
The system is built on five disciplined principles:
Macro Trend Structure
Defines the foundational trend environment.
Micro Structural Alignment
Confirms whether shorter structure supports the dominant trend.
Momentum Confirmation
Ensures trends are supported rather than artificially drifting.
Color-Based Market Clarity
Visual states make trend health easier to interpret.
Discipline Over Emotion
The framework supports patience, maturity of structure, and controlled exits.
🟦 Key Features
✔ Multi-layer EMA structure clarity
✔ Visual bullish and weakening condition zones
✔ Entry 1 signal for full bullish alignment
✔ Entry 2 signal for major structural transition confirmation
✔ Customizable exit system using EMA 5 vs EMA 8 logic
✔ Optional candle-close confirmation to reduce noise
✔ Compatible with all markets and timeframes DAILY TO MONTH
This is a professional position framework, not a signal toy.
🟦 Customization & Flexibility
Users retain full control while the original design philosophy remains intact.
Trend Framework
• Adjustable EMA lengths
• Structured fill and line color control
Signals
• Fully customizable entry and exit colors
• Adjustable signal placement
• Independent exit-engine configuration
Behavior Control
• Optional candle-close confirmation
• Visual clarity optimization settings
This allows personal adaptation while maintaining disciplined structure integrity.
🟦 Usage Guidance
Recommended workflow:
1️⃣ Apply to chart
2️⃣ First understand macro EMA backbone structure
3️⃣ Look for alignment rather than forcing trades
4️⃣ Allow bullish structure to properly mature
5️⃣ Treat exit momentum warnings as early awareness signals
6️⃣ Combine with broader analytical logic and personal strategy
Higher timeframes generally provide stronger stability, clearer context, and fewer emotional decisions.
🟦 Example Scenario
The market transitions from sideways behavior into organized bullish structure.
EMAs align positively.
Supportive bullish fill zones appear.
Entry confirmation triggers.
A position is maintained while strength persists.
Eventually, EMA 5 weakens relative to EMA 8.
An exit warning appears — before deep structural collapse occurs — giving the trader time to reassess, manage exposure, and act rationally.
🟦 Settings Overview
EMA Backbone
• EMA 50 and EMA 100 macro structure foundation
Structural Layers
• Layered EMA fills establishing visual clarity
Signals
• Entry 1 confirmation
• Entry 2 structural transition validation
Exit Engine
• EMA 5 vs EMA 8 momentum weakening
• Candle-close optional security
Customization Panel
• Colors
• Signal placement
• Confirmation preferences
🟦 Conclusion
Precision EMA Position Engine PRO is created for traders who value clarity, structure, discipline, and responsible trading behavior.
It does not promise miracles or unrealistic outcomes.
It delivers a logical, organized visual framework that supports better long-term trading confidence, consistency, and understanding.
🟦 Disclaimer
This tool does not provide financial advice and does not guarantee performance outcomes.
Markets involve risk. Users remain responsible for execution, risk management, and trading decisions.
Opening Path Selector (EMA200 Context Tool)📝 Description
Opening Path Selector is a context-based indicator designed to help traders quickly identify which asset may offer the cleanest directional path at the market open.
This tool does not generate entry or exit signals.
Its purpose is to reduce decision fatigue during the first minutes of the session by ranking a small set of high-liquidity assets based on higher-timeframe EMA200 structure.
🔍 What this indicator evaluates
The dashboard compares a predefined group of major symbols and ranks them according to:
• Proximity to the nearest EMA200
• Relative position versus higher-timeframe EMA200 levels
• Directional context inferred from EMA structure
The result is a priority-based list that highlights which asset may present:
• Less immediate EMA resistance
• Clearer directional context
• Lower probability of early-session chop
📊 How to read the dashboard
• Priority – Ranking based on opening context
• Symbol – Evaluated instrument
• Nearest EMA200 – Distance and side relative to price
• Possible Path – Direction with less immediate EMA resistance
• Bias – Strength of the higher-timeframe context
Colored markers are used to provide fast visual identification of the highest-priority assets.
⚠️ Important notes
• This is a context and selection tool, NOT a trading system
• No buy/sell signals, alerts, TP, or SL logic are included
• Designed to be used alongside your own execution methodology
🔧 Compatibility
Due to Pine Script multi-symbol and multi-timeframe constraints, this public version is intentionally limited to a small set of symbols.
TradingView Pro / Premium or higher is recommended for consistent performance.
🔗 Complementary tools
This indicator can be complemented with Multi-Tool VWAP + EMAs (Multi-Timeframe) + Key Levels , which provides detailed visibility of multiple EMA levels, VWAP structure, and higher-timeframe reference zones directly on the chart.
While Opening Path Selector helps decide which asset to focus on at the open, the complementary tool can assist with in-chart context and confirmation once an asset has been selected.
Both tools are designed to serve different stages of the decision process and can be used independently.
DCA + VA (Value Averaging) | UA versionDCA + VA (Value Averaging) | UA version
DCA + VA is a practical portfolio simulator for TradingView that compares two long-term investing approaches on any symbol:
• DCA (Dollar-Cost Averaging) — invest a fixed amount on a fixed schedule.
• VA (Value Averaging) — invest (and optionally sell) to keep the invested part of the portfolio close to a target growth path.
The indicator is plotted in a separate lower pane and is designed for realistic capital efficiency analysis, including the effect of cash sitting idle (“cash drag”).
What you see on the chart
• Two thick yellow lines
— DCA line: portfolio value under classic DCA
— VA line: portfolio value under Value Averaging
• Trade dots
— Small green dots : buys
— Small red dots : sells (VA only, if enabled)
• UA table + right-side labels
— key portfolio metrics for both strategies
Core assumptions
• Trades are executed at bar close ( close )
• Dividends and broker commissions are ignored (for now)
• Optional tax logic is available for VA sells: tax is applied to realized profit using average cost basis
Line mode
• Капітал+Кеш (default): shows total portfolio value = holdings + cash (honest “cash drag”)
• Лише капітал : shows holdings value only (invested part)
DCA logic (classic)
Start from Start date .
On each scheduled period ( Week / Month / Half-year / Year ) the script:
• adds the deposit amount to cash
• buys the asset for that amount (if cash is available)
VA logic (Value Averaging)
VA maintains a target value for the invested holdings (asset value only, cash not included ).
On each VA step:
Regular deposit is added to VA cash
Target is updated by period growth g (derived from annual CAGR and selected frequency)
If holdings value is below target → buy using cash (optionally add extra if enabled)
If holdings value is above target and selling is enabled → sell down to target (cash increases; optional profit tax applies)
Target update formula:
Target = Target × (1 + g) + Regular deposit
Optional controls
• Sell excess ( vaSellExcess ): allow sells when above target
• Add extra on drawdowns ( vaAddExtra ): allow additional contributions when cash isn’t enough
• Max extra per period ( vaMaxExtra ): cap extra contributions ( 0 = unlimited )
• Tax on sells ( vaUseTax / vaTaxRate ): apply tax to realized profit (average cost basis)
Table metrics (UA)
For both DCA and VA:
• Накопичено — total contributed cash
• Інвестовано — current invested cost basis
• Кеш — cash balance
• Капітал — portfolio value (based on selected line mode)
• Прибуток % — ROI in percent
• CAGR стратегії — annualized return based on elapsed time
Best use (recommended settings)
• Best timeframe: 1W
Weekly candles make long-term simulations cleaner and more realistic: less noise, fewer “micro” fluctuations, and more stable periodic triggers for DCA/VA steps.
• Recommended workflow:
Set chart timeframe to 1W
Choose deposit frequency (usually Тиждень or Місяць )
Start with Капітал+Кеш to see true cash drag
Compare DCA vs VA using Прибуток % and CAGR (not only absolute $)
• How to interpret results:
— If VA has higher capital but lower ROI %, it usually means you contributed more (extra funding enabled).
— If VA sells rarely, your target path may be aggressive (high CAGR + large deposits), so holdings don’t exceed the target often.
Notes
• If VA shows higher capital but lower profit % , it usually means more total contributions (extra funding enabled).
• Sells can be rare if the target path grows aggressively (high CAGR + large deposits).
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.
EMA MTF Entry Signal Indicator PRO🟦 1 Overview
EMA MTF Entry Signal Indicator PRO is a structured multi-timeframe execution framework engineered to help traders identify disciplined entry opportunities when higher-timeframe trend structure aligns with fresh lower-timeframe EMA confirmation. Instead of reacting to random price movement, the tool focuses on alignment discipline, clarity, and execution timing. It applies a macro EMA environment filter to define directional bias, then waits for a new fresh flip on the micro timeframe to produce carefully filtered long or short readiness conditions. The intention is not to predict the market, but to create a clear, organized visual environment that supports objective decision-making.
🟦 2 Core Concept
The indicator evaluates market structure through two synchronized perspectives. Macro Trend Framework defines directional structure using three higher-timeframe EMAs, determining whether the market is bullish, bearish, or neutral. Bullish exists when EMA structure stacks upward. Bearish exists when EMAs stack downward. Neutral exists when alignment is broken or tangled. This enforces disciplined directional bias before execution. The Micro Execution Layer monitors fresh EMA flips instead of passive crossover states. This ensures signals represent a new meaningful condition change rather than lagging continuation noise. Users may select Combo 1, Combo 2, or require both for stricter confluence. Alignment equals structured opportunity.
🟦 3 Key Features
✔ Multi-Timeframe EMA Alignment Intelligence✔ Fresh Flip Detection instead of stale crossover behavior✔ Directional Macro Bias Background Layer✔ Clean Circle-Based Entry Visualization✔ Built-In Confluence Matrix✔ Long and Short Alert Conditions✔ Secure Non-Repainting Logic using confirmed-close handling✔ Works on all markets and all timeframes✔ Supports scalping, day trading, swing trading, and positional discipline
🟦 4 Customization & Flexibility
The indicator adapts to different trading styles through controlled configuration. The Macro Engine allows adjustable timeframe and adjustable EMA parameters defining structural environment discipline.The Micro Engine allows independent timeframe selection, dual combo capability, and optional strict double confirmation defining execution precision.Display and Visual Control allows macro background bias visualization, optional circle entry markers, and on-chart confluence matrix presentation enabling both clean usability and professional interpretation.
🟦 5 Usage Guidance
This tool is a disciplined execution support framework, not a guaranteed signal generator.Use Macro bias to understand directional context.Allow Micro layer to confirm execution alignment. Consider avoiding trades in neutral macro phases.Fresh flips help avoid late or stale entries. Combine usage with structured trade management principles. Timeframe interpretation guidance remains simple: lower timeframes provide more activity and higher noise, mid-range timeframes provide balanced condition detection, higher timeframes offer fewer but stronger structural value opportunities.Traders should select settings that reflect personal style, experience, and emotional tolerance.
🟦 6 Example Scenarios
Bullish Structure Example: Macro EMAs align bullish, the background transitions to bullish structure, the Micro layer prints a fresh bullish flip, and a long readiness condition appears confirming synchronized directional alignment rather than prediction. Bearish Structure Example: Macro EMAs align bearish, background reflects downside structure, the Micro layer confirms a fresh bearish execution change, and a short readiness condition prints indicating structured execution discipline. Neutral Example: Macro EMAs remain tangled or misaligned, producing a neutral “No Trade” environment encouraging patience rather than forcing exposure.
🟦 7 Confluence Logic and Matrix Behavior
The Matrix includes a Confluence cell that many users initially perceive as frequently Grey, labeled WAIT.This is intentional by design.The Confluence cell is coded as an entry trigger, not a continuous trend state.It only turns Green or Red at the exact moment when a fresh Micro Flip occurs while Macro Trend is already confirmed.The Macro Trend must first be fully established.Bullish macro alignment turns the environment Green. Bearish macro alignment turns the environment Red.Because responsible logic includes a No Trade zone, transitions normally pass through Grey first rather than snapping instantly between bullish and bearish. The Grey Zone appears when the three Macro EMAs (8, 12, 30) are tangled or out of proper order, signaling neutral structure.The Green Zone appears when EMAs align perfectly bullish (8 > 12 > 30).The Red Zone appears when EMAs align perfectly bearish (8 < 12 < 30).Even when Macro is bullish or bearish, the Confluence cell only turns Green or Red for a single candle when the Micro EMAs flip in the direction of that macro bias. During that exact bar, the Matrix shows LONG or SHORT and a circle prints on chart. On the very next bar, the flip is no longer fresh, so the Matrix returns to WAIT to indicate the entry window has passed. This is why users often see Grey most of the time. On wider macro and smaller micro configurations such as 8H macro with 1H micro, fresh flips are statistically rare and therefore Confluence remains WAIT most of the time, reflecting professional discipline rather than constant noise.
🟦 8 Settings Overview
Macro Block defines higher-timeframe structure and trend clarity. Micro Block defines execution sensitivity through Combo selection and optional dual confluence confirmation. Display Controls allow adjustment of matrix visibility, circle markers, and background environment clarity. Alerts notify users when macro alignment and micro execution readiness synchronize. They serve as disciplined awareness tools, not guaranteed outcome signals.
🟦 9 Conclusion
EMA MTF Entry Signal Indicator PRO is engineered to provide disciplined clarity, structured alignment, and professional execution timing in multi-timeframe environments. By combining controlled macro directional bias with verified fresh micro momentum confirmation, it helps traders operate with confidence, organization, and reduced emotional reaction. It does not predict. It does not promise. It structures the market so better decisions become easier and more disciplined.
🟦 10 Disclaimer
This indicator is a technical decision-support tool.It does not guarantee profits and is not financial advice.Users remain fully responsible for execution choices, risk management, and trading outcomes.Past performance does not guarantee future results and market conditions may change at any time.
Session ModelSessionModel.pine - Indicator Overview
Purpose: A deterministic session model indicator that identifies trading sessions (Asian, London, NY), builds range levels from specific time windows, detects price action states (Range → Sweep → Displacement → Rebalance), and tracks divergences across 3 index symbols.
Key Feature: Uses a fixed internal timeframe (engineTF) for all decision logic, ensuring identical results regardless of what chart timeframe you're viewing.
---
HUD Display Rows - Explanations
1. SESSION
- Values: ASIAN | LONDON | NY | WAITING
- Meaning: Which trading session is currently active
- Why it matters: Each session uses different range references (ASIAN uses NY PM range, LONDON uses Asia range, NY uses London or ORB range)
2. STATE
- Values: Range | Sweep | Displacement | Rebalance
- Meaning: Current phase of the price action state machine
- Why it matters:
- Range: Building session extremes, awaiting price structure break
- Sweep: Price penetrated range boundary and closed back inside (rejection)
- Displacement: Directional move away from the range (trend confirmation)
- Rebalance: Retracement within displacement zone before resuming direction
3. CORRELATION (SMT)
- Values: Bull | Bear | Neutral
- Color: Green (Bull) | Red (Bear) | Orange (Neutral)
- Meaning: Smart Money divergence detection between US500, US100, US30
- Why it matters:
- Bull: At least one index makes new LOW but NOT all (weak shorts = bullish)
- Bear: At least one index makes new HIGH but NOT all (weak longs = bearish)
- Neutral: All indices move same direction OR insufficient window data
4. RANGE H (Range High)
- Values: Price level or "-" (not set)
- Color: Red (matching input.color rangeHighColor)
- Meaning: The highest price reached during the active range window
- Why it matters: Upper boundary for sweep detection and displacement measurement
5. RANGE L (Range Low)
- Values: Price level or "-" (not set)
- Color: Green (matching input.color rangeLowColor)
- Meaning: The lowest price reached during the active range window
- Why it matters: Lower boundary for sweep detection and displacement measurement
6. SWEEP
- Values: High | Low | "-" (not in sweep)
- Color: Yellow (if sweeping) | Gray (if not)
- Meaning: Direction of the current sweep if state == 2
- Why it matters:
- High: Price broke above range high and closed back below (bearish rejection)
- Low: Price broke below range low and closed back above (bullish rejection)
- Shows which boundary was "swept" and rejected
7. DISP DIR (Displacement Direction)
- Values: Bullish | Bearish | "-" (not displacing)
- Color: Green (Bullish) | Red (Bearish) | Gray (Not active)
- Meaning: Direction of the current displacement move (state == 3 or 4)
- Why it matters: Confirms directional bias during displacement phase
- Bullish: Price displaced above range after sweeping low
- Bearish: Price displaced below range after sweeping high
8. LEG 50% (Displacement 50% Retracement)
- Values: Price level or "-" (not set)
- Color: Cyan/Aqua
- Meaning: 50% retracement level between displacement origin and extreme
- Formula: displacementOrigin + (displacementExtreme - displacementOrigin) * 0.5
- Why it matters:
- Key retracement zone during displacement and rebalance phases
- Often acts as resistance (if bullish displacement) or support (if bearish)
- Used in rebalance trigger logic
---
How to Read the HUD Together
Example 1: Waiting for Entry
Session: NY
State: Range
Correlation: Neutral
Range H: 4050.25
Range L: 4040.50
Sweep: -
Disp Dir: -
Leg 50%: -
→ NY session active, building range. No sweep yet, no displacement. Waiting for price action.
Example 2: Sweep Detected
Session: NY
State: Sweep
Correlation: Neutral
Range H: 4050.25
Range L: 4040.50
Sweep: Low
Disp Dir: -
Leg 50%: -
→ Price swept below range low (rejected), now countdown timer running. Likely reversal coming.
Example 3: In Displacement
Session: NY
State: Displacement
Correlation: Bull
Range H: 4050.25
Range L: 4040.50
Sweep: Low
Disp Dir: Bullish
Leg 50%: 4060.75
→ After sweeping low, price displaced bullish. SMT confirming (bull divergence on indices). 50% at 4060.75 is key retracement zone.
Multi-Indicator DashboardMulti-timeframe trading dashboard overlay on your chart. Analyzes Trend, Momentum, Swing, Strength, Direction, Volatility, and delivers a final VIEW (Bullish/Bearish/Flat) across 5 key timeframes. Perfect for quick multi-TF alignment checks! W → D → 2H → 1H → 15M
Features
Color-Coded Cells: Green (Bullish), Red (Bearish), Gray (Neutral).
Historical Mode: Toggle "Enable Historical View" → Slider picks N bars back (chart TF-aware: e.g., 10 bars = 2.5H on 15M).
Yellow vertical line + date label marks the exact bar
Quick Setup
Add to chart → Customize inputs.
Historical: Enable + slide "Bars Back" for past data snapshots.
Views Update Live: Real-time on current/historical bars.
Aegis Parabolic PRO🟦 Aegis Parabolic PRO
Multi-Timeframe Parabolic Trend Confluence & Market Alignment Framework
Product Class: Trend Intelligence, Multi-Timeframe Confluence, Execution Discipline
Built For: Beginners to Advanced Traders across Crypto, Forex, Stocks, Indices, Commodities
🟦 1 Overview
Aegis Parabolic PRO is a multi-timeframe trend confluence system engineered to help traders objectively understand market behavior by synchronizing a Macro Trend layer with a Micro Signal layer.
It blends Parabolic SAR volatility behavior with EMA structural bias and smart visual alignment, allowing traders to immediately recognize when short-term momentum aligns with broader directional control.
This system does not predict price.
Instead, it delivers structured clarity, reduces emotional reaction, and provides a disciplined visual environment suitable for all trader experience levels and any market or timeframe.
🟦 2 Core Concept
Aegis Parabolic PRO evaluates markets through two independent yet synchronized perspectives:
Macro Trend Layer
Defines higher-timeframe directional environment.
If Macro is Bullish → upward structural bias
If Macro is Bearish → downward structural bias
Think of this as the “market weather.”
Micro Signal Layer
Tracks short-term execution behavior.
When Micro aligns with Macro, conditions strengthen.
Think of this as “wind direction” inside the larger weather trend.
EMA Structure Filter
A higher-timeframe EMA refines directional confidence and helps separate stronger trending environments from weaker, transitional conditions.
Alignment Equals Confluence
When both layers agree, confluence strengthens.
This is visually highlighted to enhance decision discipline without hype or unrealistic claims.
🟦 3 Key Features
✔ Multi-Timeframe Trend Intelligence
• Independent Macro and Micro SAR engines
• Seamless TradingView MTF handling
• Structured confluence logic
✔ Visual Clarity & Professional UI
• Clean, unobstructed design
• Alignment color visualization
• Adaptive intensity reflection system
✔ EMA Market Bias Layer
• Higher-timeframe EMA
• Trend structure awareness
✔ Non-Repainting Logic
• Lookahead disabled
• HTF closes confirmed only
• Conservative reliable logic
✔ Alerts Included
• Bullish Alignment Alert
• Bearish Alignment Alert
✔ Built-In Trade Style Matrix
Suggested profiles for Scalping, Day Trading, Swing, Long-Term — displayed directly on the chart.
🟦 4 Customization & Flexibility
Aegis Parabolic PRO adapts to any trading style.
Macro SAR Engine
• Timeframe
• Acceleration Factor settings
• ATR influence
Micro SAR Engine
• Independent timeframe
• Responsiveness tuning
• Momentum sensitivity controls
EMA Bias Layer
• Adjustable length
• Adjustable intensity weighting
Matrix Table
Provides structured strategy configuration guidance with flexibility for custom tuning.
🟦 5 Usage Guidance
This is a trend confluence and context tool, not a standalone entry trigger.
General Usage
• Use Macro for directional awareness
• Use Micro for actionable alignment
• Use EMA for structural confirmation
• Avoid forcing trades during disagreement phases
• Be cautious in highly ranging environments
Timeframe Considerations
• Lower TF → more signals, higher noise
• Mid TF → balanced execution
• Higher TF → fewer but stronger alignment phases
Select according to your trading style.
🟦 6 Example Scenarios
Bullish Alignment
1️⃣ Macro Trend turns bullish
2️⃣ Micro Signal aligns bullish
3️⃣ EMA supports upward bias
4️⃣ Bullish Alignment alert triggers
5️⃣ Chart visually confirms synchronized behavior
This does not guarantee continuation, but confirms structural agreement.
Bearish Alignment
1️⃣ Macro shifts bearish
2️⃣ Micro follows bearish
3️⃣ EMA reflects downside bias
4️⃣ Bearish Alignment alert triggers
Clear downside structural confluence identified.
🟦 7 Settings Overview
Macro SAR Block
Defines broader trend bias.
Recommended higher timeframe for stable directional structure.
Micro SAR Block
Defines execution responsiveness.
Recommended lower timeframe for tactical timing.
EMA Layer
Defines structural bias strength.
Higher value = slower stability
Lower value = faster reaction
Visualization Intensity
Reflects relative condition strength
Purely visual — not part of trading logic
Alerts
• Bullish Alignment
• Bearish Alignment
🟦 8 Conclusion
Aegis Parabolic PRO is engineered to provide traders with structured clarity, objective confluence, and disciplined environmental awareness.
It does not attempt to predict movements.
It organizes the market into understandable conditions, supports better decision discipline, and strengthens confidence through visual market structure communication.
Perfect for:
• Beginners seeking structured clarity
• Intermediate traders wanting confirmation
• Experienced traders managing multi-timeframe logic
🟦 9 Disclaimer
This indicator does not guarantee profits and is not financial advice.
Trading involves risk. Users remain fully responsible for execution decisions, risk management, and outcomes.
Past performance does not guarantee future results.
Multi-Timeframe EMA Long Signal PRO🟦 Multi-Timeframe EMA Long Signal PRO
Institutional Bullish Environment Detection Framework
Product Category: Trend Synchronization, Bias Confirmation, and Execution Discipline
Designed For: Trend traders, swing traders, systematic technical traders across Crypto, Forex, Stocks, Commodities, and Indices
🟦 1 Overview
Multi-Timeframe EMA Long Signal PRO is a precision momentum alignment framework engineered to identify high-probability bullish environments by requiring simultaneous confirmation across multiple market timeframes.
Instead of depending on a single EMA crossover or one-dimensional filter, the system validates three independent structural components:
• Higher-timeframe directional strength
• Medium-timeframe structural alignment
• Lower-timeframe momentum refresh
Only when all three layers confirm does the system declare a Confirmed Long Environment, clearly visualized on the chart.
This replaces discretionary guessing with disciplined, structured decision intelligence.
🟦 2 Core Concept
The system is engineered around one institutional principle: strong trends begin when multiple timeframes agree.
To reduce noise and eliminate weak rallies, the framework requires:
1️⃣ Price above a key EMA on a higher timeframe
2️⃣ Dual EMA bullish structure on a medium timeframe
3️⃣ Dual EMA bullish condition on a lower timeframe
When synchronization occurs across all layers, bullish continuation probability significantly increases.
This helps traders:
• Avoid weak breakout traps
• Enter earlier in controlled bullish phases
• Trade only in aligned market conditions
• Reduce emotional decision-making
🟦 3 Key Features
✔ Triple-timeframe bullish confirmation
✔ Dual EMA logic per structural layer
✔ Real-time non-lagging EMA behavior
✔ Visual background highlight when conditions align
✔ Precision filtering for quality environments
✔ Fully adjustable timeframe selection
✔ Fully configurable EMA settings
✔ Lightweight and highly efficient
✔ Works on every market and every instrument
This is a professional bullish environment detector, not a random signal generator.
🟦 4 Customization & Flexibility
Multi-Timeframe EMA Long Signal PRO adapts to every strategy style.
Timeframes
• Independently adjust each of the three confirmation timeframes
• Suitable for scalping, intraday, swing trading, and long-term positioning
EMA Logic
• Configure each EMA length individually
• Control fast vs slow crossover logic per layer
Visual Control
• Full chart background visualization
• Subtle professional opacity for minimal disruption
Behavior
• Reliable across Crypto, Forex, Stocks, Indices, Commodities
• Consistent performance from 1-minute to higher timeframes
This is a flexible execution framework, not a rigid trading rule.
🟦 5 Practical Usage Guidance
Ideal for:
• Trend traders
• Swing traders
• Position traders
• Systematic technical analysts
Recommended usage approach:
1️⃣ Allow the system to identify sustained bullish alignment
2️⃣ Use price action, support zones, or entry strategy to refine execution
3️⃣ Manage trades using personal risk rules
4️⃣ Optionally combine with momentum, volume, or structure confirmation
The indicator does not force trades — it enhances clarity, confidence, and discipline.
🟦 6 Example Scenario
The market has been ranging. Medium timeframe begins strengthening. Lower timeframe flips bullish — but you wait for full alignment.
Then suddenly:
• Higher timeframe confirms bullish strength
• Medium timeframe dual EMA confirms structure
• Lower timeframe dual EMA confirms momentum
• Background turns green
This marks a high-probability bullish environment, signaling structured alignment rather than random movement.
Traders can:
• Enter continuation trades
• Scale into strong trends
• Avoid counter-trend temptation
🟦 7 Settings Explanation
Condition 1 – Higher Timeframe
• Select timeframe
• Configure EMA length
Purpose: Establish macro bullish bias
Condition 2 – Medium Timeframe
• Select timeframe
• Configure fast EMAs
• Configure slow EMAs
Purpose: Confirm advancing structure
Condition 3 – Lower Timeframe
• Select timeframe
• Configure fast EMAs
• Configure slow EMAs
Purpose: Confirm active momentum synchronization
Visual Output
• Green background when all three confirm
• Debug table showing active and inactive conditions
The debug system enhances transparency and understanding.
🟦 8 Conclusion
Multi-Timeframe EMA Long Signal PRO empowers traders with:
• Clear multi-timeframe synchronization
• Reduced uncertainty and hesitation
• Higher confidence in bullish phases
• Cleaner execution discipline
• Professional-grade trend validation
It transforms complexity into structured clarity, helping traders act with intention instead of emotion.
🟦 9 Disclaimer
This indicator is an analytical trading tool and does not guarantee profits or provide financial advice.
Users remain responsible for execution decisions, risk management, and position sizing.
Trading involves risk. Always trade responsibly.
VANTAGE MATRIX PRO🟦 VANTAGE MATRIX PRO
Institutional Trade Navigation & Execution Framework
Product Category: Directional Bias, Execution Timing, and Risk Structure Intelligence
Designed For: Scalpers, Intraday Traders, Swing Traders across Crypto, Forex, Indices, and Stocks
🟦 PURPOSE & ROLE OF THE INDICATOR
VANTAGE MATRIX PRO is a professional-grade trading framework engineered to provide traders with disciplined directional bias, structured execution timing, and institutional-style risk control.
Instead of guessing market direction or reacting emotionally to price movement, the system intelligently synchronizes macro trend bias, momentum behavior, and risk management into one unified visual navigation platform.
Its core mission is simple: remove noise, improve timing, and increase consistency in real trading conditions.
🟦 CORE CONCEPT & SYSTEM LOGIC
VANTAGE MATRIX PRO is built on three primary institutional decision pillars.
▶ Macro Trend Control
A higher timeframe EMA engine establishes the dominant directional environment.
This prevents overtrading against major structural movement and helps traders stay aligned with the prevailing side of the market.
▶ Dual Momentum Matrix
Two synchronized EMA ribbon models track both structural trend and momentum acceleration:
• Slow structural trend
• Fast momentum engagement
Their interaction visually reveals continuation confidence, weakening phases, and early signs of structural reversal.
▶ Institutional Risk Management Intelligence
A built-in risk engine applies ATR volatility modeling to automatically define:
• Protective Stop Loss
• Logical Take Profit
• Real-time Risk/Reward ratio
Signals are no longer standalone events — they become structured trade opportunities.
🟦 FEATURE SET
VANTAGE MATRIX PRO delivers a comprehensive institutional capability suite:
✔ Multi-timeframe trend filtering
✔ Dual EMA ribbons for structure and momentum
✔ High-probability entry signal logic
✔ Automatic TP & SL calculation
✔ Integrated Risk/Reward monitoring
✔ Dynamic TP/SL projection lines
✔ Professional dashboard panel
✔ Adjustable visual themes with high-quality UI
✔ Non-repainting confirmed signal behavior
✔ Works on all markets and timeframes
🟦 CUSTOMIZATION & CONTROL
Every trader operates differently. VANTAGE MATRIX PRO adapts to your methodology.
Trend & Signal Controls
• Macro timeframe selection
• Macro EMA length
• Fast and slow EMA structures
• Crossover logic sensitivity
Risk Parameters
• ATR or Static engine
• ATR length
• Stop multiplier
• Take Profit multiplier
Visual System
• Full visual theme control
• Ribbon opacity customization
• Trend background styling
• Signal marker customization
• Clean minimalist mode or detailed mode
This is a framework that adapts to your strategy — not the other way around.
🟦 PRACTICAL USAGE FRAMEWORK
1️⃣ Identify directional bias using macro background
White = bullish environment
Black = bearish environment
2️⃣ Confirm structure direction with the Slow Ribbon
Green = bullish structure
Red = bearish structure
3️⃣ Confirm momentum alignment via Fast Ribbon
Green = momentum aligned
Red = momentum against
4️⃣ Execute on valid Entry Circle signals
Green circle = long opportunity
Red circle = short opportunity
5️⃣ Manage position using built-in projection system
Stops protect risk
Targets define structured outcomes
RR ratio assists execution confidence
🟦 PRACTICAL EXAMPLE
Long Opportunity
• Macro background turns white
• Slow EMA ribbon turns green
• Fast EMA ribbon aligns green
• Green entry signal prints
The system automatically displays:
• Entry reference
• Protective Stop Loss below volatility structure
• Logical Take Profit target
• Active RR ratio label
This delivers a disciplined, rules-based, high-probability execution scenario.
🟦 SETTINGS OVERVIEW
Macro Trend
• Timeframe selection
• EMA length
Micro Momentum
• Fast ribbon configuration
• Slow ribbon configuration
Risk Engine
• ATR enable / disable
• ATR length
• SL multiplier
• TP multiplier
Visual System
• Ribbon theme
• Transparency controls
• Signal marker design
• Background theme selection
Everything is presented in a structured, professional, user-friendly interface.
🟦 CONCLUSION
VANTAGE MATRIX PRO is not “just an indicator.”
It is a complete institutional trading framework offering directional clarity, disciplined timing, and professional-grade risk logic.
Designed for serious traders who value structure, consistency, and execution precision, it provides the clarity required to operate confidently in fast-moving markets.
If you want fewer emotional decisions, stronger discipline, and clearer trade roadmaps, VANTAGE MATRIX PRO provides the edge.
🟦 DISCLAIMER
This system is a professional analytical tool, not financial advice.
Trading involves risk, and past performance does not guarantee future results.
Users remain fully responsible for their decisions and risk management.
Trend Intelligence System PRO🟦 Trend Intelligence System PRO
Institutional Structural Trend Architecture
Product Category: Market Structure & Trend Context Intelligence
Designed For: Traders who require disciplined clarity, structural precision, and actionable market awareness
🟦 PURPOSE & ROLE OF THE INDICATOR
Trend Intelligence System PRO is a professional-grade structural trend framework designed to deliver institutional clarity directly on the chart. Instead of relying on single moving averages, random overlays, or subjective interpretation, the system builds a disciplined Trend Architecture, combining multi-layer dynamic horizontals moving averages with clearly defined structural background zones.
This creates a powerful visual environment that reveals:
• Trend direction
• Market strength
• Structural positioning of price
• Trend transition behavior
• Momentum alignment
Trend Intelligence System PRO is built for traders who demand hierarchy, precision, and truly usable visual intelligence across Crypto, Forex, Indices, Stocks, and Commodities.
🟦 CORE CONCEPT & ARCHITECTURE LOGIC
Trend Intelligence System PRO is structured around three foundational market concepts.
▶ Trend Structure
Markets rarely move randomly. Price continuously interacts with structural trend layers. Using up to 8 configurable moving averages across multiple speeds and timeframes, the indicator constructs a layered backbone that defines the prevailing regime — ranging from short-term execution alignment to macro structural bias.
▶ Zone Intelligence
Between each moving average layer, the system creates dynamic background zones, allowing traders to immediately identify:
• Trend strength continuation
• Compression and buildup
• Pullback opportunity regions
• Weakening or flattening trend phases
These zones convert raw numerical data into a clean, readable, and structured environment.
▶ Multi-Timeframe Precision
Each moving average can operate independently on its own timeframe. This allows simultaneous:
• Short-term execution clarity
• Medium-term confirmation
• Long-term directional bias guidance
All within a single unified system.
🟦 FEATURE SET
Trend Intelligence System PRO delivers a robust and comprehensive feature suite designed for professional use:
✔ Up to 8 independently configurable Moving Averages
✔ Multiple MA types: EMA, SMA, RMA, WMA, HMA, VWMA
✔ Independent timeframe assignment per MA
✔ Real-time forward line projection
✔ Label system showing length + MA type
✔ Optional price scale values
✔ Structured background zones between each MA layer
✔ Independent enable / disable zone control
✔ Professional visual design with disciplined structure
✔ Extremely flexible configuration without clutter
The objective is simple: maximum clarity, maximum control, zero noise.
🟦 CUSTOMIZATION & FLEXIBILITY
Every trader works differently. Trend Intelligence System PRO adapts accordingly.
You can configure:
• Which MAs are active
• Individual MA length
• Individual MA timeframe
• Preferred MA calculation method
• Personal color logic
• Whether background zones are active
• Which specific zones display
• Transparency for each zone
• Extension projection length
• Label visibility
It effectively supports:
Scalpers • Swing Traders • Trend Followers • Institutional Analytical Traders
🟦 PRACTICAL USAGE FRAMEWORK
Below is the most common and effective interpretation workflow.
1️⃣ Trend Identification
If faster MAs remain above slower MAs and zones stay structurally layered, the market is trending. Compression, flattening, or crossing implies weakening structure.
2️⃣ Pullback & Continuation Logic
When price moves into a structural zone, it often represents controlled retracement, not necessarily reversal.
3️⃣ Shift Detection
Flattening or tight compression of higher structure layers often signals regime transition.
4️⃣ Context Awareness
Trend Intelligence System PRO is not designed to give buy/sell arrows.
It provides superior market context to support disciplined execution strategies.
🟦 PRACTICAL EXAMPLE
A common workflow may look like this:
1. Identify trend direction through MA alignment
2. Confirm underlying structure strength via zone clarity
3. Wait for price to pull back into structured zones
4. Assess whether structure holds or collapses
5. Trade continuation — or prepare for regime transition if structural breakdown occurs
🟦 SETTINGS OVERVIEW
Key user configuration controls include:
▶ Display
• Show / hide price scale values
• Forward projection length
• Optional slope-based dynamic color logic
▶ Background Zones
• Global enable / disable
• Individual zone toggles
• Independent transparency adjustment
▶ Moving Average Groups (1–8)
• Enable / disable
• Length configuration
• Timeframe assignment
• MA type selection
• Color control
Everything is designed so you control exactly what appears on your chart.
🟦 CONCLUSION
Trend Intelligence System PRO is a premium trend intelligence framework that transforms raw price data into a structured, readable, professional-grade roadmap.
It enhances situational awareness.
It strengthens trading discipline.
It removes confusion from decision-making.
For professional traders and serious retail users, it delivers clarity where most tools create noise.
🟦 DISCLAIMER
Trend Intelligence System PRO is an analytical tool designed for educational and informational purposes. It does not provide trading signals, financial advice, or guaranteed performance. Trading involves risk and uncertainty. Users must perform independent analysis and apply proper risk management. Past performance does not guarantee future outcomes.
Vortex Trend Backbone PRO🟦 Vortex Trend Backbone
Institutional Structural Trend Framework
Product Category: Trend Direction & Market Structure Context
Designed For: Traders who require clean structural clarity, disciplined environment reading, and objective directional alignment.
🟦 PURPOSE & ROLE OF THE INDICATOR
The Vortex Trend Backbone is a premium market structure framework engineered to provide clear, reliable, and objective trend context. Rather than relying on basic moving average overlays or noisy trend filters, this tool builds a layered “backbone” that visually represents how well price is structurally aligned.
It helps traders immediately identify:
• When strong directional conditions exist
• When structural alignment is weak or transitioning
• When trend conviction is high versus unstable
• When the environment is suitable or unsuitable for execution
When combined with the Pullback Vortex Trend-Siphon, traders receive a unified institutional-style architecture:
• Structural clarity directly on chart
• Momentum confirmation in a dedicated pane
Together, they create a disciplined, powerful trading framework.
🟦 CONCEPT & DESIGN LOGIC
The Vortex Trend Backbone operates through a multi-tier moving average hierarchy, representing three critical market layers:
• Signal Layer
• Trend Layer
• Macro Structural Layer (Backbone)
At the foundation of the system lies the MA-6 Baseline, which acts as the structural authority of the indicator:
• Green MA-6 → every other MA is above it → structurally controlled bullish environment
• Red MA-6 → every other MA is below it → structurally controlled bearish environment
• Gray MA-6 → mixed structure → unstable or transitional market
To further strengthen interpretation, a dynamic background shading system is applied:
• Green Background → strong bullish structural phase
• Red Background → strong bearish structural phase
• White Background → developing or transitional bullish structure
• Black Background → developing or transitional bearish structure
This layered visual system transforms complex structural conditions into instant, objective, and readable market context.
🟦 FEATURE SET
✔ Institutional-style trend hierarchy
✔ Structural Backbone baseline logic
✔ Clear bullish / bearish color authority
✔ Transitional state visualization via white / black phases
✔ Clean professional ribbon presentation
✔ Objective, non-repainting structure logic
✔ Works on Crypto, Forex, Stocks, Indices, and Commodities
✔ Designed to pair seamlessly with Pullback Vortex Trend-Siphon
🟦 CUSTOMIZATION & FLEXIBILITY
The framework allows professional customization while preserving structural integrity.
▶ Moving Average Configuration
• Adjustable MA lengths: 10 / 20 / 50 / 100 / 150 / 200
• Choice of EMA or SMA
▶ Visual Presentation
• Individual line thickness control
• Individual line style selection (solid / dotted)
• Intelligent background adapts automatically to structural state
This ensures strong default behavior while allowing alignment with personal strategy.
🟦 PRACTICAL USAGE FRAMEWORK
Suggested trading workflow:
1️⃣ Apply Vortex Trend Backbone on the price chart
Use it to define:
• Trend direction
• Structural alignment
• Market quality
2️⃣ (Recommended)
Add Pullback Vortex Trend-Siphon in a separate pane
Use it to:
• Confirm momentum
• Read pullback behavior
• Identify continuation contexts
🟦 INTERPRETATION GUIDELINES
General environmental reading:
• Ribbon stacked & green → strong bullish structure
• Ribbon stacked & red → strong bearish structure
• MA-6 changes color → structural regime change
• Background fully aligned with ribbon → high-confidence trading environment
• Gray or mixed conditions → caution, unstable or transitional structure
🟦 PRACTICAL EXAMPLES
▶ Strong Bullish Structure
If price rises and all moving averages stack above MA-6:
• MA-6 turns Green
• Background becomes Green
• Buyers hold structural control
• Pullbacks into ribbon often represent continuation opportunities
▶ Strong Bearish Structure
If alignment flips and all averages stack below MA-6:
• MA-6 turns Red
• Background becomes Red
• Sellers gain full structural control
• Rallies often represent potential shorts or exit opportunities
▶ Transitional Zones
If White or Black background appears:
• Market is compressing or realigning
• Structural tension increases
• Execution discipline is required
• Avoid emotional or impulsive trades until clear structure returns
🟦 SETTINGS OVERVIEW
Core adjustable parameters include:
• Length 1 → 6 (default: 10 / 20 / 50 / 100 / 150 / 200)
• MA Type (EMA / SMA)
• Line style customization
• Line thickness control
• Automatic adaptive background logic
Default settings are pre-optimized to deliver highly effective behavior immediately.
🟦 CONCLUSION
The Vortex Trend Backbone is built for traders who value structure over randomness and discipline over guesswork.
It provides:
• Clear structural definition
• High-confidence trend clarity
• Objective market state reading
• Protection against trading during unstable phases
When paired with the Pullback Vortex Trend-Siphon, traders receive a truly professional system combining:
• Trend definition
• Structural clarity
• Momentum confirmation
• Execution confidence
This is not a gimmick overlay.
It is a structured trading companion designed to support consistency, discipline, and confidence.
🟦 DISCLAIMER
This indicator does not provide financial advice and does not guarantee profits. Trading involves risk and market uncertainty. Users remain fully responsible for their trading decisions and risk management.
Master Analytics Dashboard Pro V6Works in any market including Crypto and Stocks
1. Navigating the Settings (Inputs)
Click the "Gear" icon next to the indicator name on your chart to open the settings. You will see several sections with (i) icons—hover over these for helpful tips.
Dashboard Aesthetics: Use this to move the dashboard (e.g., to "Bottom Left") or change the background transparency.
Dashboard Data Toggles: What to display on dashboard.
Technical Settings: This is where you adjust the UT Bot Key and RSI lengths/MACD. For beginners, the default settings are usually best.
SMA/EMA and VWAP Lines: Can add up to 5 SMA and 3 EMA lines and fully customizable. By default SMA 610 ( for lowest bottom) and classical EMA 9, 20, 200 and VWAP will display.
MTF Timeframes: You can choose which timeframes the dashboard monitors. By default, it tracks from 5m up to 1D to show you the "Big Picture" trend.
2. Understanding the Dashboard & Ribbon
The dashboard acts as your "Control Center," aggregating data so you don't have to switch charts.
Trend Ribbon (Cloud): When the cloud is Green, the immediate trend is bullish. When it is Red, the trend is bearish.
Ribbon Trend (MTF): This row shows if the ribbon is bullish or bearish across other timeframes.
Confluence %: This is your most important number. A score of 80% or higher means almost all indicators (MACD, RSI, Trends) are aligned in one direction.
3. Setting Up Individual Alerts
One of the most powerful features of this script is the ability to trigger alerts individually.
Select Your Triggers: In the indicator settings under "7. Alert Thresholds," check only the boxes you want (e.g., Bullish Ribbon Flip). By default, all other alerts are unchecked to prevent spam.
Create the Alert: Click the "Alert" icon (Alarm Clock) on the TradingView sidebar.
Condition: Select "Analytics" and then select "Any alert() function call".
Frequency: Choose "Once Per Bar Close" to ensure the signal is confirmed before you get a notification.
How to Trade:
🟢 The Bullish "Perfect Trade" Checklist
To confirm a high-probability Long entry, aim for as many of these "Green" signals as possible:
Trend Ribbon Flip: The primary ribbon cloud on your chart has turned Green, and price is trading above it.
Confluence Score ≥ 80%: The dashboard shows a bullish confluence of 80% or higher, indicating that RSI, MACD, and Trends are aligned.
MTF Alignment: At least 4 out of the 5 timeframes (e.g., 15m, 1h, 4h, 1D) show a BULL status.
Trend Status: The "Trend Source" row (EMA 200 or SMA 200) reads BULLISH, confirming the long-term trend is in your favor.
UT Bot Confirmation: A tiny BUY label has appeared on the chart (confirmed on bar close).
RSI Momentum: The RSI is above its Moving Average (TRUE) but has not yet crossed the Overbought (80) threshold. Look out for Yellow caution to indicate RSI is OB/OS (Above the candle is OB, below the candle is OS.
🔴 The Bearish "Perfect Trade" Checklist
To confirm a high-probability Short entry, look for these "Red" signals:
Trend Ribbon Flip: The ribbon cloud has turned Red, and price is trading below the basis line.
Confluence Score ≤ 20% (80% Bearish): The aggregate signal shows strong bearish pressure.
MTF Alignment: The higher timeframes (TF 4 and TF 5) specifically show a BEAR status, ensuring you aren't "fighting the trend".
Trend Status: Price is trading below the 200 EMA/SMA, showing the dashboard Trend Status as BEARISH.
UT Bot Confirmation: A tiny SELL label has appeared on the chart.
MACD State: The MACD Fast line is below the Signal line (FALSE on the "MACD > Sig" row).
SessionsThis indicator highlights the New York After Hours and Pre-Market session and visually defines its structure on the chart.
The session runs from 18:00 to 09:30 New York time, covering the full overnight and pre-market trading window leading into the regular cash open.
During this period, the script tracks and marks the high and low of the New York pre-market, allowing traders to clearly see the overnight range that often acts as key liquidity, support, and resistance during the regular trading session.
The session range can be displayed as a shaded background or as a high/low range, depending on user preference.
For clarity and precision, the indicator is visible only on intraday timeframes:
5-minute
30-minute
1-hour
This makes it especially useful for futures, index, and intraday traders who incorporate pre-market structure into their trading plans.
Sessions by nolimitCustom Trading Sessions Indicator (6 Sessions)
This indicator allows you to display up to 6 customizable trading sessions on your chart with full control over timing, colors, and timezone settings.
Features:
- 6 independent trading sessions that can be enabled/disabled individually
- Flexible time range settings for each session
- Individual color selection for each session background
- Timezone selection (UTC-12 to UTC+12) that applies to all sessions
- Clean, organized settings grouped by session
Nuh's Complete Multi-Timeframe Dashboard v4.0Nuh's Complete Multi-Timeframe Dashboard v4.0 - Unified Power System
Professional Multi-Timeframe Technical Analysis Dashboard
Nuh's Complete Multi-Timeframe Dashboard v4.0 represents a comprehensive trading analysis system that unifies 20 powerful technical indicators across up to 6 customizable timeframes into a single, intelligent dashboard. This advanced indicator combines trend analysis (EMA, Alpha Trend, SuperTrend, ADX, DI), momentum oscillators (RSI, Stochastic RSI, MACD, CCI, Williams %R, WaveTrend, KST), volume indicators (OBV, CMF, Volume Analysis, MFI), and volatility measures (Squeeze Momentum, Bollinger Bands, ATR, Williams VIX Fix) to provide traders with a holistic market perspective. Each indicator can be independently enabled or disabled, allowing complete customization based on your trading strategy and preferences.
The revolutionary Weighted Power System is the core innovation of this dashboard, transforming raw indicator signals into actionable market power scores. Unlike traditional dashboards that simply count bullish or bearish signals, this system applies sophisticated weighting to each indicator based on your chosen preset (Balanced, Trend Focus, Momentum Focus, Volume Focus) or custom weights. It then combines these weighted signals across multiple timeframes—with timeframe-specific weighting for scalping, day trading, or swing trading styles—to calculate an Overall Market Power score. This provides you with clear percentage-based bullish and bearish power readings, eliminating guesswork and enabling confident trade decisions backed by mathematical confluence.
Built for serious traders who demand precision and flexibility, the dashboard features a fully customizable display with 20 indicator rows that can be reordered to match your preferences, color-coded gradient visualization for instant market sentiment recognition, and integrated Wundertrading-compatible alerts for automated trading. The system supports both legacy count-based alerts and modern power-threshold alerts, allowing you to receive notifications when market conditions meet your specified confluence requirements. Whether you're scalping on lower timeframes or swing trading on higher timeframes, this professional-grade tool adapts to your trading style while maintaining clean, readable visualization that won't clutter your charts.
Malaysian SNR Levels + FVGThis indicator combines the precision of Malaysian SnR levels with Fair Value Gap (FVG) detection, filtering levels to only appear within active FVG zones. This unique combination helps traders focus on the most relevant support and resistance levels where institutional order flow is likely present.
█ WHAT ARE FAIR VALUE GAPS (FVGs)?
A Fair Value Gap is a three-candle pattern where price moves so aggressively that it leaves an unfilled gap between the first and third candle:
Bullish FVG: Occurs when the low of candle 3 is higher than the high of candle 1, creating a gap to the upside.
Bearish FVG: Occurs when the high of candle 3 is lower than the low of candle 1, creating a gap to the downside.
These gaps represent areas of imbalance where price moved too quickly, often due to institutional activity. Price tends to return to these zones to "fill" or "mitigate" the gap before continuing its move.
█ WHAT ARE MALAYSIAN SNR LEVELS?
Malaysian SnR identifies support and resistance not as zones but as precise horizontal levels derived from a line chart perspective:
A-Level: Located at peaks of the line chart (shaped like the letter A)
V-Level: Located at valleys of the line chart (shaped like the letter V)
Gap Level: Located at the Close/Open gap between two consecutive candles of the same color
Levels can be Fresh (solid line) or Unfresh (dashed line):
A level is fresh if it hasn't been tested by a wick
Fresh levels have higher probability of price reaction
A level becomes fresh again if crossed by a candle body
█ THE COMBINATION: SNR LEVELS INSIDE FVGs
This indicator only displays SNR levels that fall within an active (non-invalidated) FVG zone. This filtering mechanism provides several advantages:
Reduced Noise: Instead of showing all nearby levels, only those within institutional imbalance zones are displayed
Higher Confluence: When a precise SNR level sits inside an FVG, it creates a high-probability reaction zone
Dynamic Updates: As FVGs get invalidated, the associated levels disappear, keeping your chart clean
█ FVG INVALIDATION LOGIC
An FVG remains active until price invalidates it:
Bullish FVG: Invalidated when price moves below the bottom of the gap
Bearish FVG: Invalidated when price moves above the top of the gap
You can choose the invalidation method:
Body Close (default): FVG is only invalidated when a candle body closes beyond the zone
Wick: FVG is invalidated as soon as a wick touches beyond the zone
█ MULTI-TIMEFRAME SUPPORT
Both FVGs and SNR levels are calculated on the selected timeframe, allowing you to:
Display Daily FVGs with SNR levels on a 1H chart
Identify higher timeframe institutional zones while trading on lower timeframes
Combine multiple instances for multi-timeframe confluence
█ PARAMETERS
SNR Settings:
Line Color / Width: Appearance of SNR levels
Display gap levels: Show/hide gap-based levels
Display opening gaps: Show the gap box between candle close and next open
Display fresh levels only: Hide unfresh/tested levels
Display number of level breaks: Show how many times a level was broken
Evaluate current bar: Include the current (incomplete) bar in freshness calculation
Bars Lookback: Number of bars to scan for levels
Level Regions: Filter levels relative to current price or current bar's High/Low
Levels Above/Below: Maximum number of levels to display in each direction
Max Level Breaks: Hide levels that have been broken more than this number
FVG Settings:
Bullish/Bearish FVG Color: Colors for the FVG boxes
FVG Border Width: Border thickness of FVG boxes
Show FVG Boxes: Toggle FVG box visibility
FVG Invalidation Method: Choose between Body Close or Wick invalidation
Timeframe:
Timeframe: The timeframe for calculating both FVGs and SNR levels
█ HOW TO TRADE WITH THIS INDICATOR
Identify Active FVGs: Look for FVG boxes on your chosen timeframe - these represent institutional imbalance zones
Watch for SNR Levels: When an SNR level appears inside an FVG, this creates a high-confluence zone
Wait for Price to Approach: As price returns to fill the FVG and reaches the SNR level, watch for reaction
Confirm on Lower Timeframe: Switch to a lower timeframe to look for entry signals (rejection wicks, engulfing patterns, break of structure)
Trade the Reaction: At a Bullish FVG with SNR support look for long entries - at a Bearish FVG with SNR resistance look for short entries
The combination of FVG (institutional footprint) with precise SNR levels (exact reaction points) provides a powerful framework for identifying high-probability trade setups.
RSI Nexus Matrix - By TheTradingSmurfRSI Nexus Matrix is a sophisticated multi-timeframe RSI projection system that displays where price is likely to reach RSI overbought (70) and oversold (30) levels across 21 different timeframes simultaneously.
Key Features:
Multi-Timeframe Analysis - Monitors RSI conditions from M1 through Monthly charts in a unified view
Smart Price Projections - Calculates exact price levels where RSI will hit 70/30 thresholds using pivot-based regression
Visual Clarity - Horizontal projection lines with labeled timeframes and prices
Dynamic Color Coding - Lines change to lime (bullish breakthrough) or orange (bearish breakthrough) when price crosses projected levels
Vertical Lane System - Fixed vertical indicators per timeframe connecting current price to projected levels
ATR-Based Protection - Caps unrealistic projections using ATR multipliers
Adaptive Fallback - Uses alternative calculation methods when pivot data is unavailable
How It Works:
The indicator analyzes RSI pivot points on each timeframe and projects forward to determine where price needs to move for RSI to reach overbought/oversold zones. This creates a "matrix" of convergence points where multiple timeframes align, revealing high-probability reversal zones.
Best Used For:
Identifying multi-timeframe confluence zones
Timing entries at oversold/overbought extremes
Spotting when multiple timeframes align for reversals
Scalping with lower timeframe projections
Swing trading with higher timeframe projections
Fully customizable with 21 toggleable timeframes, adjustable RSI periods, pivot sensitivity, and complete visual control over lines, labels, and colors.
NG Wealth IndicatorThis Indicator Gives Long-term Wealth on Natural Gas Tested on multiple Time Frames on MCX:NATURALGAS1! Futures Charts.
UK ALGORITHMS TREND DASHBOARDA clean multi-timeframe trend dashboard that shows Bias (Bullish/Bearish/Neutral) and a Trend Strength score based on timeframe alignment—higher alignment = stronger trend.
Includes 3 sizes (Small/Medium/Large) so it fits perfectly on phone, iPad, and PC.
Not a buy/sell signal. Use as a confluence tool within your own trading plan and risk management. Trading is risky.






















