Avengers Ultimate V5 (Watch Profit)"Designed as a trend-following system, this strategy integrates the core principles of legends like Mark Minervini, Stan Weinstein, William O'Neil, and Jesse Livermore. It has been fine-tuned for the Korean market and provides distinct entry and exit protocols for different market scenarios."
Indicateurs et stratégies
Meu scriptPricemap CONTROL (2, 1, 1, 5, 15, 60, 3, 50, 200, 14, 12, 26, 9, bottom_right, 21, 14, 14, 1, 1,5)
Gould 10Y + 4Y patternDescription:
Overview This indicator is a comprehensive tool for macro-market analysis, designed to visualize historical market cycles on your chart. It combines Edson Gould’s famous Decennial Pattern with a Customizable 4-Year Cycle (e.g., 2002 base) to help traders identify long-term trends, potential market bottoms, and strong bullish years.
This tool is ideal for long-term investors and analysts looking for cyclical confluence on monthly or yearly timeframes (e.g., SPX, NDX).
Key Concepts
Edson Gould’s Decennial Pattern (10-Year Cycle)
Based on the theory that the stock market follows a psychological cycle determined by the last digit of the year.
5 (Strongest Bull): Historically the strongest performance years.
7 (Panic/Crash): Years often associated with market panic or crashes.
2 (Bottom/Buy): Years that often mark major lows.
Custom 4-Year Cycle (Target Year Strategy)
Identify recurring 4-year opportunities based on a user-defined base year.
Default Setting (Base 2002): Highlights years like 2002, 2006, 2010, 2014, 2018, 2022... which have historically been significant market bottoms or excellent buying opportunities.
When a "Target Year" arrives, the indicator highlights the background and displays a distinct Green "Target Year" Label.
Features
Real-time Dashboard: A table in the top-right corner displays the current year's status for both the 10-Year and 4-Year cycles, including a countdown to the next target year.
Dynamic Labels: Automatically marks every year on the chart with its Decennial status (e.g., "Strong Bull (5)", "Panic (7)").
Visual Highlighting:
Target Years: Distinct green background and labels for easy identification of the 4-year cycle.
Significant Decennial Years: Special small markers for years ending in 5 and 7.
Fully Customizable: You can change the base year for the 4-year cycle, toggle the dashboard, and adjust colors via the settings menu.
How to Use
Apply this indicator to high-timeframe charts (Weekly or Monthly) of major indices like S&P 500 or Nasdaq.
Look for confluence between the 10-Year Pattern (e.g., Year 6 - Bullish) and the 4-Year Cycle (Target Year) to confirm long-term bias.
Disclaimer This tool is for educational and research purposes only based on historical cycle theories. Past performance is not indicative of future results. Always manage your risk.
Highlight Running 30m CandleThis script highlight 30 minute running candle.
mostly used for crypto trading
NIFTY Futures Premium %WEALTHCON inspired NIFTY FAD % indicator . Please use Nifty spot chart in overlaying chart
Risk On/Risk Off by Gary# Risk On/Risk Off Indicator (RORO)
## Overview
The Risk On/Risk Off (RORO) Indicator is a comprehensive market sentiment gauge that measures the balance between risk-seeking and risk-averse behavior across multiple asset classes. This indicator helps traders identify shifts in market sentiment and potential trend changes.
## How It Works
The RORO indicator aggregates normalized price movements (Z-scores) from eight major asset classes:
**Risk-On Assets (Bullish Sentiment):**
- Bitcoin Futures (BTC1!) - Cryptocurrency risk appetite
- WTI Crude Oil Futures (CL1!) - Energy sector strength
- AUD/JPY Exchange Rate - Carry trade indicator
- Emerging Markets ETF (EEM) - Global growth proxy
**Risk-Off Assets (Defensive Sentiment):**
- Gold Futures (GC1!) - Safe haven demand
- 10-Year Treasury Bonds (ZN1!) - Flight to quality
- US Dollar Index (DXY) - Reserve currency strength
- VIX Index - Market fear gauge (inverted)
## Key Features
- **Z-Score Normalization**: Standardizes different asset classes for fair comparison
- **Customizable Weights**: Adjust the influence of each asset class
- **Dynamic Coloring**: Green indicates rising risk appetite, red shows declining risk appetite
## Interpretation
- **Rising RORO (Green)**: Increasing risk appetite - favorable for equities, commodities, and growth assets
- **Falling RORO (Red)**: Decreasing risk appetite - rotation into safe havens
- **Divergences**: When RORO and price move in opposite directions, potential reversal signal
## Use Cases
1. **Market Regime Identification**: Determine current risk environment
2. **Divergence Trading**: Spot when price action contradicts underlying sentiment
3. **Portfolio Management**: Time defensive vs. aggressive positioning
4. **Confirmation Tool**: Validate breakouts and trend changes
## Settings
- **Lookback Period**: Controls Z-score calculation sensitivity (default: 50)
- **Asset Weights**: Fine-tune the contribution of each asset class
- **Color Scheme**: Customize rising/falling colors
## Best Practices
- Use on daily or higher timeframes for most reliable signals
- Combine with price action and volume analysis
- Watch for sustained moves rather than single-bar changes
---
*This indicator is designed for educational purposes. Always conduct your own analysis and risk management.*
Fat Tony Composite Histogram Dual SettingsThis is an adaptation of Rob Booker's Fat Tony Composite Histogram which allows you to put two levels for signals.
Khmer Tamleung Gold Price# Khmer Tamleung Gold Price Converter (ឧបករណ៍បំប្លែងតម្លៃមាសជាតម្លឹង)
នេះគឺជាឧបករណ៍ជំនួយដ៏ពិសេសសម្រាប់អ្នកវិនិយោគមាសនៅក្នុងប្រទេសកម្ពុជា។ Indicator នេះនឹងជួយលោកអ្នកក្នុងការគណនាតម្លៃមាសពីទីផ្សារអន្តរជាតិ (XAUUSD) មកជាតម្លៃ **"តម្លឹង"** និងគិតជាប្រាក់ **"រៀល"** ដោយស្វ័យប្រវត្តិ និងបង្ហាញនៅលើតារាងរបស់លោកអ្នកផ្ទាល់។
លោកអ្នកមិនចាំបាច់ចំណាយពេលគណនាដោយដៃទៀតទេ!
### លក្ខណៈពិសេស (Features):
1. **បំប្លែងខ្នាតមាស**: គណនាតម្លៃពី 1 Troy Ounce (31.1035g) ទៅជា 1 តម្លឹង (37.5g) ដោយស្វ័យប្រវត្តិ។
2. **គណនាតម្លៃប្រាក់រៀល**: បង្ហាញតម្លៃមាសជាប្រាក់រៀល (KHR) ដោយផ្អែកលើអត្រាប្តូរប្រាក់ជាក់ស្តែង។
3. **អត្រាប្តូរប្រាក់ស្វ័យប្រវត្តិ (Auto Exchange Rate)**:
* អាចទាញយកអត្រាប្តូរប្រាក់ USD/KHR ពីទីផ្សារផ្ទាល់ (FX_IDC:USDKHR) ដើម្បីភាពសុក្រិត។
* ឬអាចកំណត់អត្រាប្តូរប្រាក់ដោយខ្លួនឯងបាន (ឧទាហរណ៍: 4100)។
4. **ការបង្ហាញ (Display)**: បង្ហាញស្លាកតម្លៃ (Label) នៅជាប់នឹងតម្លៃបច្ចុប្បន្ន ដើម្បីងាយស្រួលមើល។
5. **ការកំណត់ (Customization)**:
* អាចប្តូរពណ៌ផ្ទៃខាងក្រោយ និងពណ៌អក្សរ។
* អាចកំណត់ទីតាំងស្លាក (Offset) ឲ្យនៅឆ្ងាយ ឬជិត។
* អាចជ្រើសរើសបង្ហាញតែតម្លៃរៀល ឬដុល្លារ ឬទាំងពីរ។
### របៀបប្រើប្រាស់:
1. បើកតារាង **XAUUSD** (Gold Spot)។
2. ដាក់ Indicator នេះចូល។
3. លោកអ្នកនឹងឃើញតម្លៃមាសគិតជា **តម្លឹង** នៅខាងស្តាំដៃ។
### រូបមន្តគណនា:
* 1 តម្លឹង = 37.5 ក្រាម
* 1 Troy Ounce = 31.1035 ក្រាម
* តម្លៃតម្លឹង (USD) = (តម្លៃ XAUUSD / 31.1035) * 37.5
* តម្លៃតម្លឹង (KHR) = តម្លៃតម្លឹង (USD) * អត្រាប្តូរប្រាក់
---
**English Summary:**
This indicator converts the international Gold price (XAUUSD) into the traditional Cambodian unit "Tamleung" (37.5g) and displays the price in both USD and KHR (Cambodian Riel). It features automatic USD/KHR exchange rate fetching and fully customizable display settings. Perfect for Cambodian gold traders.
Super-AO with Risk Management Alerts Template - 11-29-25Super-AO with Risk Management: ALERTS & AUTOMATION Edition
Signal Lynx | Free Scripts supporting Automation for the Night-Shift Nation 🌙
1. Overview
This is the Indicator / Alerts companion to the Super-AO Strategy.
While the Strategy version is built for backtesting (verifying profitability and checking historical performance), this Indicator version is built for Live Execution.
We understand the frustration of finding a great strategy, only to realize you can't easily hook it up to your trading bot. This script solves that. It contains the exact same "Super-AO" logic and "Risk Management Engine" as the strategy version, but it is optimized to send signals to automation platforms like Signal Lynx, 3Commas, or any Webhook listener.
2. Quick Action Guide (TL;DR)
Purpose: Live Signal Generation & Automation.
Workflow:
Use the Strategy Version to find profitable settings.
Copy those settings into this Indicator Version.
Set a TradingView Alert using the "Any Alert() function call" condition.
Best Timeframe: 4 Hours (H4) and above.
Compatibility: Works with any webhook-based automation service.
3. Why Two Scripts?
Pine Script operates in two distinct modes:
Strategy Mode: Calculates equity, drawdowns, and simulates orders. Great for research, but sometimes complex to automate.
Indicator Mode: Plots visual data on the chart. This is the preferred method for setting up robust alerts because it is lighter weight and plots specific values that automation services can read easily.
The Golden Rule: Always backtest on the Strategy, but trade on the Indicator. This ensures that what you see in your history matches what you execute in real-time.
4. How to Automate This Script
This script uses a "Visual Spike" method to trigger alerts. Instead of drawing equity curves, it plots numerical values at the bottom of your chart when a trade event occurs.
The Signal Map:
Blue Spike (2 / -2): Entry Signal (Long / Short).
Yellow Spike (1 / -1): Risk Management Close (Stop Loss / Trend Reversal).
Green Spikes (1, 2, 3): Take Profit Levels 1, 2, and 3.
Setup Instructions:
Add this indicator to your chart.
Open your TradingView "Alerts" tab.
Create a new Alert.
Condition: Select SAO - RM Alerts Template.
Trigger: Select Any Alert() function call.
Message: Paste your JSON webhook message (provided by your bot service).
5. The Logic Under the Hood
Just like the Strategy version, this indicator utilizes:
SuperTrend + Awesome Oscillator: High-probability swing trading logic.
Non-Repainting Engine: Calculates signals based on confirmed candle closes to ensure the alert you get matches the chart reality.
Advanced Adaptive Trailing Stop (AATS): Internally calculates volatility to determine when to send a "Close" signal.
6. About Signal Lynx
Automation for the Night-Shift Nation 🌙
We are providing this code open source to help traders bridge the gap between manual backtesting and live automation. This code has been in action since 2022.
If you are looking to automate your strategies, please take a look at Signal Lynx in your search.
License: Mozilla Public License 2.0 (Open Source). If you make beneficial modifications, please release them back to the community!
Nexural Fisher ProNexural Fisher Transform Ultimate
This is my take on what the Fisher Transform should have been from the start. Not a repaint of the standard indicator with a fresh coat of paint, but a ground-up rebuild using techniques from John Ehlers and quantitative finance that actually make a difference.
What This Indicator Does
The Fisher Transform converts price into a Gaussian normal distribution, which sounds complicated but really just means it gives you clear overbought and oversold readings with sharp turning points. The problem with the standard Fisher Transform is that it was designed decades ago and has some serious limitations. This version addresses those limitations directly.
The Core Improvements
Adaptive Period via Dominant Cycle Measurement
Instead of guessing what lookback period works best, this indicator measures the dominant cycle in the market using autocorrelation and adjusts itself automatically. In choppy markets it becomes more responsive. In smooth trends it slows down to avoid false signals. You no longer have to optimize the length setting for every instrument and timeframe because the indicator
does it for you.
Tanh Normalization
The standard Fisher Transform has a nasty habit of spiking to extreme values during volatile moves. You have probably seen Fisher readings of plus or minus 8 or even higher which makes the indicator almost unreadable. This version uses hyperbolic tangent normalization to mathematically bound the output. The indicator stays within a consistent range regardless of market conditions so your overbought and oversold levels actually mean something.
Efficiency Ratio Regime Detection
This is the feature that changes how you use the indicator. The Efficiency Ratio measures whether the market is trending or ranging on a scale from zero to one. A high reading means price is moving efficiently in one direction which indicates a trend. A low reading means price is chopping around which indicates a range.
Why does this matter? Because oscillators work completely differently in trends versus ranges. In a ranging market you want to fade overbought and oversold readings. In a trending market those same signals will destroy you as the market stays overbought or oversold for extended periods while continuing in the trend direction.
The info panel shows you the current regime so you know how to interpret the signals. When it says Trending you trust the direction and ignore the zones. When it says Ranging you trust the zones and fade the extremes.
Volume Weighted Calculation
High volume bars have more influence on the Fisher calculation than low volume bars. This means the indicator responds more to moves that have real participation behind them and filters out low volume noise. The weighting is clamped to prevent any single bar from dominating the calculation.
Ehlers Super Smoother
Rather than using a simple moving average or exponential moving average for smoothing, this indicator uses the Ehlers Super Smoother which is a two pole filter specifically designed to remove noise without adding lag. The math behind it is based on signal processing theory and it genuinely works better than traditional smoothing methods.
How To Use It
The indicator shows two lines. The main Fisher line changes color based on direction. Green means bullish momentum and red means bearish momentum. The white trigger line is the previous bar value and crossovers between the two lines indicate momentum shifts.
The info panel in the corner gives you everything at a glance. State tells you the current direction. Zone tells you if the indicator is overbought, oversold, or neutral. Regime tells you if the market is trending, ranging, or mixed. ER shows you the raw Efficiency Ratio value. Period shows you the current adaptive lookback being used. Fisher shows you the exact indicator
value.
For ranging markets look for bullish crosses when the indicator is in oversold territory and bearish crosses when the indicator is in overbought territory. These are mean reversion setups.
For trending markets use the indicator to confirm trend direction and look for pullback entries when the indicator dips toward the zero line without reaching oversold or overbought extremes.
Strengths
The adaptive period is the biggest advantage. Most traders either use a default setting that works sometimes or spend hours optimizing settings that stop working when market conditions change. This indicator handles that problem automatically.
The regime detection is genuinely useful. Knowing whether to fade extremes or ride momentum is half the battle with any oscillator and this indicator tells you directly.
The bounded output means your levels are consistent. When the indicator hits 1.5 it means the same thing today as it did last month. You are not constantly adjusting your interpretation based on recent volatility.
The volume weighting adds a layer of confirmation that most oscillators lack entirely. Moves on high volume carry more weight which aligns with how markets actually work.
Weaknesses
No indicator predicts the future. This indicator tells you about momentum and regime but it does not tell you where to place your stop or what your target should be. It is a tool not a strategy.
The adaptive period can occasionally shift during volatile transitions which may cause the indicator to behave slightly differently than expected. The smoothing minimizes this but it can still happen.
Like all oscillators this indicator is better at identifying conditions than timing exact entries. A cross into oversold does not mean price stops falling immediately. It means conditions favor a bounce but the timing of that bounce requires additional analysis.
The regime detection has a slight lag because it needs data to determine whether the market is trending or ranging. At the exact moment of a regime change the indicator may still show the previous state for a few bars.
What This Is Not
This is not a signal service. There are no buy and sell arrows because markets are more nuanced than that. A bullish cross in a range means something completely different than a bullish cross in a trend and treating them the same is how traders lose money.
This is not a holy grail. It will not turn a losing trader into a winning trader on its own. It is a well built tool that gives you better information than the standard Fisher Transform.
This is not overfitted to historical data. The techniques used here are based on principles that have been validated across decades of market data. There is no curve fitting or optimization to make backtests look good.
Final Thoughts
I built this because I got tired of indicators that looked good in marketing but fell apart in live trading. The standard Fisher Transform has real value but the standard implementation has real problems. This version solves those problems using math that actually makes sense.
If you understand what the indicator is telling you and combine it with solid risk management and market structure analysis, it will serve you well. If you are looking for something to tell you exactly when to buy and sell, keep looking because that does not exist.
This is an excellent indicator on the 5-15 time frame. Use it wisely.
Smart Money Concepts + Liquidity + SignalsSmart Money Concepts – Liquidity + OB/FVG Signals
This script is an enhanced version of Smart Money Concepts (SMC) built on top of internal & swing structure, order blocks, fair value gaps, and liquidity.
Key Features
Internal & Swing Market Structure
Real-time internal structure (fast leg)
Swing structure (external / higher-level leg)
Labels HH, HL, LH, LL, BOS, CHoCH
Order Blocks
Internal and swing order blocks
Auto detection and boxed zones
“OB / iOB” labels on the origin candle for quick identification
Fair Value Gaps (FVG)
Bullish and bearish FVG detection
Optional higher-timeframe FVGs
Boxed display with extend option
Liquidity Tools
Equal Highs / Equal Lows (EQH / EQL) as liquidity pools
Liquidity sweeps:
LQH – sweep above recent highs, close back below
LQL – sweep below recent lows, close back above
Dotted lines at swept levels for quick visual reference
Smart Buy/Sell Signals
Signals are based on SMC confluence:
External (swing) trend direction
Internal BOS / CHoCH
Price inside latest internal Order Block
Recent bullish / bearish FVG
Optional liquidity filter (only long after LQL, only short after LQH)
Clean BUY / SELL markers on the chart
Ready-to-use alert conditions for automation
Premium / Discount & HTF Levels (Optional)
Premium / Discount / Equilibrium zones
Daily / Weekly / Monthly highs & lows
How to Use
Add the script to your chart and choose your style (colored / monochrome).
Use:
Swing structure for main trend
Internal structure for entry timing
OB + FVG + liquidity sweeps as confluence
Turn the “Signals” and “Liquidity filter” ON/OFF depending on how aggressive or conservative you want the entries.
This tool is designed for traders who follow SMC / ICT concepts and want a clean visual map of structure, OB, FVG and liquidity, plus optional algorithmic Buy/Sell signals on top.
MaruMaroo's Multi-MA & BB & Ichimoku매매할 때 가장 기본적으로 세팅하는 이동평균선, 볼린저 밴드, 일목균형표를 스크립트 하나로 합쳤습니다.
무료 계정이라 지표 개수 제한(3개) 때문에 불편하셨거나, 이것저것 추가해서 차트 지저분해지는 거 싫으신 분들 쓰시면 됩니다. 복잡한 거 싹 빼고 딱 필요한 기능만 넣어서 최적화했습니다.
7줄 이동평균선 (Rainbow MA): 단기부터 장기까지 7개 라인을 한 번에 보여줍니다. 설정에서 단순(SMA), 지수(EMA)뿐만 아니라 가중(WMA), 거래량가중(VWMA) 등으로 바꿀 수 있습니다.
헷갈림 방지 라벨: 이평선이 많으면 뭐가 60일선이고 120일선인지 헷갈리는데, 선 끝자락에 숫자(기간)가 뜨도록 해서 보기 편하게 만들었습니다. (글자 크기도 키워둠)
볼린저 밴드 & 일목균형표: 표준편차 1, 2배수 밴드랑 일목 구름대까지 다 포함되어 있습니다.
커스텀: 안 쓰는 기능은 설정에서 체크 해제하면 깔끔하게 사라집니다. 입맛대로 세팅해서 쓰세요.
I combined the most essential trading indicators into a single script to keep the chart clean and bypass the indicator limit.
If you are tired of switching between indicators or have a cluttered screen, this "All-in-One" setup is for you. It includes everything you need for trend and volatility analysis.
7 Moving Averages: Covers short to long-term trends (Rainbow setup). You can switch types between SMA, EMA, SMMA, WMA, and VWMA in the settings.
Smart Labels: Added labels at the end of each MA line so you can instantly see which line corresponds to which period (e.g., 20, 60, 120).
Bollinger Bands & Ichimoku: Includes Double Bollinger Bands (StdDev 1 & 2) and the full Ichimoku Cloud system.
Fully Customizable: You can toggle each component ON or OFF in the settings.
RSI + EMA Dynamic Zones + Volume + Divergence (with RSI 50 line)RSI + EMA Dynamic Zones + Volume + Divergence (with RSI 50 line)
TETRIS PRO JorgeChutoFXTETRIS PRO JORGECHUTOFX
This indicator detects a highly accurate three-candle pattern based on pure price action structure.
The pattern forms when:
Candle 1: sets the direction (green = bullish, red = bearish).
Candle 2: is the opposite color and wicks above/below Candle 1 (its close doesn’t matter; it can close inside, below, or far below).
Candle 3: confirms the original direction by breaking the body of Candle 2 with body, matching the color of Candle 1.
When all three conditions are met, the indicator draws a box around the three candles and displays the corresponding signal (TETRIS BULL or TETRIS BEAR).
Buy Sell Signal — Ema crossover [© gyanapravah_odisha]Professional EMA Crossover + ATR Risk Control
Trade with confidence using a complete system that gives you clear entries, smart exits, and full automation.
Includes:
Precision 5/13 EMA crossover signals
ATR-based adaptive stop-loss
Multiple take-profit levels (with intermediate targets)
Fully customizable R:R ratios
ATR + volume filters to avoid choppy markets
Real-time trade dashboard
All alerts included
Built for: Crypto, Forex, Stocks • Scalping & Swing Trading
Built for you: Free, open-source & made for real-world trading.
VWAP & EMA9 Cross AlertAlerts the user when VWAP and EMA 9 cross. It gives a general direction of the market to help make decisions.
VWAP & EMA9 Cross AlertAlerts when EMA9 and VWAP Cross. This provides an indicator of general market direction based on these 2 indicators.
Abdu Trading SystemThis private indicator combines swing signals, overlays, trend tracing, and reversal zones.
It is an invite-only script and accessible only to authorized users.
Call Put on same chart [PRO]Description:
This is the PRO version of all ready free available indicator on tradingview
Call Put on same chart
In vesrion you will get AFMA and REMA .
This innovative indicator provides a unique, real-time visualization of both Call and Put option prices for the same strike price directly on your TradingView chart. Designed for active options traders, it simplifies the analysis of price action for specific strikes, helping you quickly identify significant levels and potential shifts in market interest.
important : choose only put strike call strike automatically plot on chart
This indicator works with Indian market (nifty , banknifty ,sensex ,crudeoil , naturalgas )
Key Features:
Integrated Call & Put Prices: Clearly displays the prices of both Call and Put options for a user-defined strike price within the same indicator pane, offering an immediate side-by-side comparison.
Real-time Data: Plots live option price updates, allowing you to monitor the dynamic interplay between Calls and Puts throughout the trading session.
Intuitive Visualization: Transforms complex options data into easily digestible lines on your chart, making it easier to spot trends, relative strength, and support/resistance levels at crucial strikes.
User-Friendly Inputs: Simple input fields allow you to easily select the underlying symbol, expiry date, and the specific strike price you wish to monitor.
Enhanced Options Analysis: A valuable tool for gauging market participants' expectations and positioning at key psychological or technical levels.
Important Note:
This indicator provides a visual tool for options analysis and does not constitute financial advice.
Options trading involves significant risk and may not be suitable for all investors.
Users are encouraged to combine this tool with their own comprehensive analysis and risk management strategies.
UNDETECTED FX - PSYCHOLOGIC LEVELSThis indicator automatically plots major 250-pip psychological levels on XAUUSD and highlights the price zones around them. These levels act as strong reaction points where liquidity, reversals, and institutional activity commonly occur.
What the Indicator Does
✔ Plots every 250-pip level starting from a user-defined base (e.g., 4050 → 4075 → 4100 → 4125 → …)
✔ Each level is represented by a thick black horizontal line for maximum visual clarity
✔ Around every 250-pip level, the indicator draws a liquidity zone
Top of zone: +200 pips
Bottom of zone: –200 pips
(configured as ± zoneHalf in settings)
✔ Uses extend: both, so levels stretch across the entire chart and stay fixed, no matter how far you scroll
✔ Zones are filled with a customizable color for clear premium/discount visualization
✔ The indicator never repaints and requires no updates after drawing — all levels are fixed on their price coordinates
Why It’s Useful
🔹 Helps quickly identify institutional levels where gold often reacts
🔹 Acts as a framework for scalping, intraday trading, and swing bias
🔹 Makes it easy to spot liquidity sweeps, rejections, and premium/discount areas
🔹 Clearly shows market structure breaks around key psychological levels
🔹 Forces discipline by creating predefined, fixed levels for trading decisions
Best Use Case
XAUUSD scalpers
Intraday traders who rely on precision entries
Traders who use psychological levels, liquidity grabs, or smart-money concepts
Anyone wanting a clean, non-cluttered chart with high-impact levels only






















