TG Capital Trident (Strict + Debug) v6 - plotshape fixedthe tg capital 30m timeframe kill zone chart check thing
Indicateurs et stratégies
TG Capital Trident Setup Finder (v6, no-functions)backtest label for FVG setups of the trident pattern which TG capital talks about on chart fanatics
The Scalping Ant: Zenith RSI Bias PRO🟦 Zenith RSI Bias PRO
Institutional Momentum Bias & Execution Framework
Product Category: Momentum Bias, Confirmation & Execution Intelligence
Designed For: Traders who demand clarity, structure, and disciplined RSI-based decision support
🟦 PURPOSE & ROLE OF THE INDICATOR
Zenith RSI Bias PRO is a premium RSI evolution framework engineered to transform RSI into a professional decision engine. Instead of treating RSI as a simple oscillator, the system provides clear momentum bias, disciplined confirmation logic, and precise execution clarity.
It helps traders confidently identify directional bias, momentum strength and continuation, exhaustion and reversal zones, and validated entry timing.
Built for crypto, forex, indices, stocks, commodities, and futures, Zenith RSI Bias PRO delivers meaningful structure, reliability, and execution confidence.
🟦 CORE CONCEPT & INTELLIGENCE MODEL
Zenith RSI Bias PRO is designed around three key trading principles.
▶ Enhanced RSI Momentum Core
An optimized RSI model captures adaptive momentum displacement, delivering smoother, more stable readings while maintaining responsiveness.
▶ Bias-Oriented Interpretation
Market narrative transforms from random RSI fluctuation into structured bias analysis based on RSI vs Signal dynamics and midline positioning.
▶ Confirmation Discipline
Strict confirmation-at-close validation minimizes noise and prevents misleading signals, supporting professional-grade reliability.
🟦 FEATURE SET
Zenith RSI Bias PRO includes a comprehensive, professional feature suite:
✔ Enhanced RSI momentum engine
✔ Adaptive signal smoothing (EMA / SMA / RMA / TMA)
✔ Bullish & Bearish Momentum Cloud
✔ Clear entry signal circles
✔ Structured RSI Zones including Overbought, Oversold, Extremes, and Midline control
✔ Bias Dashboard with live RSI values and current bias
✔ Candle-close confirmation logic
✔ Alerts included
✔ Lightweight and highly optimized performance
This is not a cosmetic RSI upgrade. It is a functional execution framework.
🟦 CUSTOMIZATION & FLEXIBILITY
Zenith RSI Bias PRO adapts to your trading style with fully configurable controls:
RSI length, smoothing method, signal styling, bullish and bearish cloud colors, RSI transparency, confirmation behavior, dashboard visibility, dashboard positioning, and theme controls.
It is suitable for scalping, day trading, and swing trading environments.
🟦 PRACTICAL USAGE FRAMEWORK
This indicator is ideal for directional bias confirmation, pullback versus reversal detection, disciplined reversal identification, and structured execution clarity.
It works effectively on Crypto, Forex, Stocks, Indices, Commodities, and Futures.
🟦 PRACTICAL EXECUTION EXAMPLES
Bullish Concept
1️⃣ RSI rises above signal
2️⃣ Green momentum cloud forms
3️⃣ RSI maintains above 50
4️⃣ Bullish entry circle confirms trigger
Consider long opportunities when aligned with your strategy
Bearish Concept
1️⃣ RSI falls below signal
2️⃣ Red cloud forms
3️⃣ RSI maintains below 50
4️⃣ Bearish entry circle confirms
Consider short opportunities when structurally aligned
Extreme Zones
Above 70 → strong bullish momentum strength area
Below 30 → oversold reversal interest area
🟦 SETTINGS OVERVIEW
Settings are structured for professional clarity including Dashboard visibility and positioning, RSI core engine controls, Signal Line configuration, Visual display customization, and Confirmation logic control.
Everything is clean, logical, and intuitive.
🟦 CONCLUSION
Zenith RSI Bias PRO elevates RSI from a simple indicator to a complete bias, structure, and execution framework.
It enhances market understanding, strengthens discipline, and supports confident execution.
For traders who require reliability and intelligence, Zenith RSI Bias PRO delivers clarity instead of noise.
🟦 DISCLAIMER
This indicator is designed for analytical and educational purposes. It does not guarantee profit or provide financial advice. Trading involves risk. Users remain responsible for their decisions and risk management. Past performance does not guarantee future results.
Bli-Rik - Script 6 : Stoch RSI + RSI Signals (1 Hr)Bli-Rik - Script 6 : Stoch RSI + RSI Signals (1 Hr) : Provide accurate Equity based buy / sell signals
PSP BTST StocksPSP BTST Stocks Indicator
Overview
This Pine Script v6 indicator identifies high-potential BTST (Buy Today, Sell Tomorrow) opportunities on the daily timeframe for stocks exhibiting strong bullish momentum. It's designed for swing traders looking for quick overnight holds with 1-5% target gains, triggering only once per symbol to avoid noise. Ideal for scanning Nifty/Bank Nifty constituents or individual stocks.
Key Signals & Logic are based on RSI, Volumes, Open and Close prices & Highest prices
Visual Alerts:
Green upward label at low with "BTST", date (DD-MMM-YYYY), and close price.
Bar colors lime on signal bars (70% transparency).
Info Table (Bottom-Left): Static overview of strategy rules, plus dynamic "BTST ACTIVE" status on trigger. Notes potential next-day short-selling (SS) if reversal occurs.
Usage Tips
Apply to daily charts only (ignores lower timeframes).
Set alerts for "BTST BUY" to get notifications with symbol, date, and price.
Backtest on volatile markets like Indian indices; combine with stop-loss at 0.5-1% below entry.
Risk Note: BTST involves overnight risk—use position sizing <2% of capital. Not financial advice; test thoroughly.
Bli-Rik - Equity - SMA + RSI (0.8% profit) 1 HrBli-Rik - Equity - SMA + RSI (0.8% profit) 1 Hr, This Indicator uses SMA and RSI to provide signals for Buy / sell and get 0.8% profit
HTF Bias Detector=== HUD DISPLAY ITEMS ===
1. **HTF (Timeframe Label)**
Shows the selected higher timeframe being monitored (e.g., "4h", "1D", "1W"). This confirms which timeframe data you're viewing above your current chart.
2. **Open, High, Low, Close (OHLC Values)**
Displays the candlestick values from the higher timeframe:
• Open: Entry price when the HTF candle opened
• High: Highest price reached during the HTF period
• Low: Lowest price during the HTF period
• Close: Most recent closing price on the HTF
Use these to identify key HTF price levels and support/resistance zones.
3. **TP (True Price Range)**
Shows the maximum price movement within the HTF candle. Calculated as: max(High - Low, |High - Previous Close|, |Low - Previous Close|)
Higher TP indicates greater volatility; lower TP suggests a consolidation period.
4. **ATR (Average True Range)**
Displays the average volatility over the last 14 HTF periods (customizable).
Use this to gauge typical price movement on the higher timeframe and set realistic profit targets and stop losses.
5. **MACD Value**
Shows the MACD momentum indicator (difference between 12 and 26-period EMAs) on the HTF.
Positive values suggest upward momentum; negative values indicate downward momentum on the higher timeframe.
6. **Signal Line**
The 9-period EMA of MACD on the HTF.
When MACD crosses above the signal line, it indicates bullish momentum confirmation on the higher timeframe.
7. **Histogram**
The difference between MACD and its Signal Line, visualized as bars.
Expanding bars show increasing momentum; shrinking bars show weakening momentum.
8. **Price Deviation**
Displays how far current price deviates from the HTF close in percentage terms.
Helps identify overbought/oversold conditions relative to the higher timeframe context.
---
=== HOW TO USE ===
• Select your chart timeframe (e.g., 5m, 15m, 1h)
• Set the HTF to a higher timeframe (e.g., 4h, 1D) in indicator settings
• Look for confluence: when both timeframes align, trades are stronger
• Use HTF volatility (ATR) to size positions appropriately
• Combine HTF MACD direction with your current chart setup for confirmation
---
=== SETTINGS ===
• HTF Period: Choose the higher timeframe to monitor
• ATR Length: Adjust sensitivity of volatility measurement (default: 14)
• MACD Settings: Customize fast/slow/signal periods for momentum analysis
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.
Bli-Rik - Script 4 BankNifty (SMA based - Intraday - 5 mins)Bli-Rik - Script 4 BankNifty (SMA based - Intraday - 5 mins)
3 EMA Multi-TimeframeSure! Here is the English version of the indicator description, formatted professionally so you can use it in the "Description" field on TradingView or for your own documentation.
Indicator Description: 3 EMA Multi-Timeframe (Customizable)
The 3 EMA Multi-Timeframe indicator is a versatile technical analysis tool designed to plot three independent Exponential Moving Averages (EMA) on a single chart. Its core strength lies in the ability to bridge different timeframes, allowing traders to maintain a "big picture" perspective without switching tabs.
1. Key Features
Fully Customizable Lengths: Users can define the period for each EMA (e.g., the classic 20, 50, and 200 setup or any custom values tailored to specific strategies).
Multi-Timeframe (MTF) Capability: This feature allows you to overlay EMAs from higher timeframes (e.g., Daily or Weekly) onto your current lower timeframe chart (e.g., 5-minute or 15-minute).
Visual Smoothness: Built with barmerge.gaps_on logic, the indicator prevents "stair-stepping" visual artifacts, ensuring the higher timeframe lines appear smooth and readable on lower timeframe bars.
Color Coordination: Each line can be color-coded and adjusted for thickness to improve visual hierarchy and chart clarity.
2. Default Parameters
EMA 1 (Short-term): Defaulted to 20 periods. Ideal for identifying short-term momentum and potential entry points during pullbacks.
EMA 2 (Medium-term): Defaulted to 50 periods. Acts as a primary dynamic support or resistance level in trending markets.
EMA 3 (Long-term): Defaulted to 200 periods. Used to define the "Major Trend" or the overall bias of the asset.
3. Trading Applications
Trend Identification: A strong uptrend is confirmed when price stays above all three EMAs and the lines are stacked in order (20 > 50 > 200).
Crossovers: Traders can monitor "Golden Crosses" (short-term crossing above long-term) or "Death Crosses" (short-term crossing below long-term) as signals for potential trend reversals.
Dynamic Support/Resistance: Higher timeframe EMAs often act as "magnets" or "floors" for price action on lower timeframes, providing high-probability zones for trade setups.
Bli-Rik - Strategy 3 : Nifty (RSA + SMA)Bli-Rik - Strategy 3 : Nifty (RSA + SMA) - Only for Nifty Futures
Reverse RSI//@version=6
indicator("Reverse RSI", overlay=false)
rsi_length = input.int(14, title="RSI Length", minval=1)
ob_level = input.int(75, title="Overbought Level")
os_level = input.int(25, title="Oversold Level")
invRSI(target, length) =>
target_rs = target / (100 - target)
up = math.max(close-close , 0)
down = math.max(close -close, 0)
prev_avg_up = ta.rma(up, length)
prev_avg_down = ta.rma(down, length)
price_up = target_rs * (prev_avg_down * (length - 1)) - (prev_avg_up * (length - 1)) + close
price_down = (prev_avg_down * (length - 1) - (prev_avg_up * (length - 1)) / target_rs) + close
current_rsi = ta.rsi(close, length)
price = target > current_rsi ? price_up : price_down
price
price_ob = invRSI(ob_level, rsi_length)
price_mid = invRSI(50, rsi_length)
price_os = invRSI(os_level, rsi_length)
upside = (price_ob-close)/close*100
downside = (close-price_os)/close*100
net = upside-downside
plot(upside, title="Upside Line", color=color.green)
plot(downside, title="Downside Line", color=color.red)
plot(net, title="Net Line", color=net>0?color.new(color.green, 30):color.new(color.red, 30), style=plot.style_columns)
hline(0, "Zero Line")
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.
Bli-Rik - Script 2 Bank Nifty (SMA based - Intraday - 5 mins) Bli-Rik - Script 2 BankNifty (SMA based - Intraday - 5 mins) Uses SMA and RSA again, get 50 points in bank nifty futures
Vortex Trend-Siphon PRO🟦 Pullback Vortex Trend-Siphon
Institutional Re-Entry Intelligence Engine
Product Category: Momentum Re-Entry & Trend Continuation Execution
Designed For: Traders who prioritize disciplined timing, structured continuation logic, and high-probability precision entries
🟦 PURPOSE & ROLE OF THE INDICATOR
The Pullback Vortex Trend-Siphon is an institutional-grade re-entry engine engineered to identify when a pullback has exhausted and the dominant trend is resuming. Instead of reacting emotionally to price swings, the system mathematically tracks structural alignment across six key moving-average horizons and converts complex momentum dynamics into a precise, disciplined execution roadmap.
It is designed to be used together with the Vortex Trend Backbone for optimal clarity:
• Backbone = structural market definition on price
• Siphon = momentum exhaustion + re-engagement confirmation in dedicated oscillator pane
Together, they create a unified institutional-style execution framework.
Important Clarification
This is a Strategic Re-Entry Indicator.
It does not provide exit signals. Its purpose is to help traders enter or scale into positions at the most statistically favorable continuation moments.
🟦 CORE CONCEPT & INTELLIGENCE MODEL
The Pullback Vortex operates using Multi-Timeframe Harmonic Alignment, going beyond simple momentum readings. Rather than analyzing a single momentum speed, it evaluates the interaction between:
• Macro-Flow → institutional directional control
• Micro-Pullback → temporary corrective movement
At the center of the system is a proprietary Zero-Line Transition Logic, which powers two critical components:
▶ The Vortex
A normalized 0 → 100 structural conviction engine, measuring:
• Trend maturity
• Directional strength
• Momentum quality
▶ The Siphon
A smart color-coded liquidity logic, showing when market energy is being “pulled back” into the dominant trend after a correction.
The result is a disciplined structure for continuation trading — not random entry chasing.
🟦 FEATURE SET
✔ Zero-Repaint Execution Logic
Signals are locked based on “Wait for Close” confirmation.
✔ Institutional Trend Intelligence
Analyzes structural alignment rather than shallow volatility spikes.
✔ Optimized for Higher Timeframes
Particularly powerful for swing trading, position building, and long-term investing.
✔ Dynamic Color Heatmap
Transforms complex momentum conditions into intuitive clarity.
✔ Transition Shelf (White / Black Zone)
Highlights uncertainty zones to prevent emotional execution decisions.
✔ Real-Time Interpretation HUD
On-pane display summarizing current structural and momentum state.
✔ Perfect Ecosystem Pairing
Designed to integrate seamlessly with Vortex Trend Backbone to complete structure → confirmation → execution.
🟦 CUSTOMIZATION & ADAPTABILITY
The Vortex Trend-Siphon adapts to your methodology while maintaining institutional integrity.
▶ Structural & Sensitivity Control
• Adjustable MA horizons
• EMA or SMA structural model
▶ Adaptive Engine
• Auto-Scaling normalization for consistency across market volatility
▶ User Interface Control
• HUD display toggle
• Clear visual logic without clutter
Suitable for:
Crypto • Forex • Stocks • Indices • Commodities
This is not a toy indicator — it is a professional execution instrument designed for serious decision-making.
🟦 PRACTICAL WORKFLOW & EXECUTION MODEL
Trading the Vortex requires discipline, patience, and precision timing.
1️⃣ Establish Structural Trend
Histogram must maintain structural bias:
• Above 0 → Bullish structural environment
• Below 0 → Bearish structural environment
2️⃣ Identify Pullback
In a bull trend:
• Green → turns Red
Represents emotional selling and weak-hand exit behavior.
In a bear trend:
• Red → turns Green
Temporary relief rally counter to dominant direction.
3️⃣ Execute “The Strike”
The execution trigger occurs when:
• Red → Green inside bullish environment
• Green → Red inside bearish environment
This marks:
• Pullback exhaustion
• Liquidity realignment
• Trend re-engagement
This is the high-probability continuation entry moment.
Avoid the Gray / Transition Zones
White or Black shading represents:
• Structural uncertainty
• Market compression
• Regime transition risk
Discipline means waiting for structural clarity to return.
🟦 PRACTICAL EXAMPLE
“The Long-Term Investor Play”
A market is in a strong multi-month uptrend:
• Structural alignment confirmed
• Vortex deeply Green
A correction occurs:
• Price declines
• Fear increases
• Vortex flips Red
Retail panic begins.
Professional traders wait.
Once the histogram shifts back Green:
• Macro trend re-asserts control
• Liquidity realigns upward
• Next expansion phase begins
That is The Strike — the high-probability continuation re-entry.
🟦 SETTINGS OVERVIEW
Key configuration controls include:
• Wait for Candle Close (recommended ON)
• Length 1 → 6 adjustable trend engines
• Higher values recommended for position trading (20 / 50 / 100 / 200)
• EMA Mode → responsiveness
• SMA Mode → traditional stability
• HUD Matrix toggle
• Auto-Scaling for volatility normalization
Defaults are optimized for institutional-style clarity.
🟦 CONCLUSION
The Pullback Vortex Trend-Siphon is built for traders who value discipline, precision, and structural intelligence.
It eliminates emotional reaction, reduces impulsive execution, and provides mathematically grounded re-entry timing only when structural alignment and momentum truly agree.
Combined with Vortex Trend Backbone, traders receive a complete ecosystem:
• Trend Structure (Backbone)
• Pullback Intelligence (Siphon)
• High-Probability Execution Workflow
Trade with structure.
Act with confidence.
Think like an institution.
🟦 DISCLAIMER
This tool does not constitute financial advice and does not guarantee profitability. Trading involves risk. The indicator provides re-entry timing intelligence and does not handle exits, stop-loss management, or overall portfolio risk. Users remain responsible for their trading decisions and risk management.
CRSI-TSA Colored RSI Entry Exit signals PRO🟦 CRSI-TSA Colored RSI Entry Exit Signals PRO
Institutional Momentum Precision System
Product Category: Momentum Reversal & Continuation Execution Intelligence
Designed For: Traders who require disciplined RSI execution, zero-repaint confidence, and professional-grade reliability
🟦 PURPOSE & ROLE OF THE INDICATOR
CRSI-TSA Colored RSI Entry Exit Signals PRO is a next-generation RSI execution framework engineered to transform RSI from a basic momentum oscillator into a structured professional decision system.
Built on an enhanced adaptive RSI engine with institutional-grade confirmation logic, it identifies:
• High-probability reversal opportunities
• Structured continuation entries
• Reliable momentum transitions
• Action-ready entry confirmations
With strict candle-close validation and zero-repaint enforcement, signals remain locked, stable, and trustworthy — even in volatile environments.
Designed for scalpers, swing traders, crypto, forex, indices, stocks, and futures traders, CRSI-TSA PRO converts traditional RSI usage into disciplined market intelligence.
🟦 CORE CONCEPT & INTELLIGENCE MODEL
The indicator integrates three foundational pillars.
▶ Enhanced RSI Engine
A mathematically optimized RSI variant increases momentum sensitivity while maintaining structural smoothness, resulting in clearer directional bias and superior responsiveness compared to standard RSI.
▶ Smart Signal Crossover Logic
Signals are generated only when momentum alignment confirms strength, not noise. Internal confirmation logic ensures entries appear only at validated market decision points.
▶ Institutional-Grade Stability
Reliability is a core priority. CRSI-TSA PRO includes:
• Candle-close validation to prevent repaint
• Optional higher-timeframe RSI with freeze-lock protection
• Strict Institutional Mode providing 100% zero-repaint guarantee
Result: signals you can trust — not illusions.
🟦 FEATURE SET
CRSI-TSA PRO delivers professional capability through a disciplined feature suite:
✔ Zero-Repaint Confirmation Engine
✔ Optional Higher Timeframe RSI with Lock Protection
✔ Strict Institutional Mode ensuring absolute signal integrity
✔ Bull/Bear Momentum Ribbon visualization
✔ Fully colored RSI structure for clarity
✔ Clear Entry Circles for instant execution awareness
✔ Dynamic Overbought & Oversold Levels
✔ Optional Trend Filter for directional discipline
✔ Alert system included
✔ Lightweight and highly optimized performance
This is not a decorative RSI enhancement.
It is a serious execution instrument.
🟦 CUSTOMIZATION & FLEXIBILITY
CRSI-TSA PRO adapts naturally to your strategy and trading style.
You can configure:
• RSI length
• Smoothing method (EMA / SMA / RMA / TMA)
• Background visibility
• Ribbon color logic
• Trend filtering behavior
• Higher Timeframe Mode activation
• Strict Institutional Mode
• Overbought & Oversold thresholds
• Confirmation sensitivity
Every trader can tune the system to match their execution discipline.
🟦 PRACTICAL USAGE FRAMEWORK
This indicator is ideal for multiple trading methodologies.
▶ Reversal Trading
Identifies exhaustion zones and structured momentum shifts.
▶ Trend Trading
Supports disciplined pullback re-entries when used with trend filtering.
▶ Scalping
Provides fast, precise lower-timeframe momentum entries.
▶ Swing Trading
Delivers clear mid-term directional transitions.
Compatible with:
Crypto • Forex • Indices • Commodities • Stocks • Futures
🟦 PRACTICAL EXECUTION EXAMPLES
Bullish Execution Logic
1️⃣ Price above optional trend filter
2️⃣ RSI crosses above signal line
3️⃣ Green entry circle prints
4️⃣ Ribbon turns bullish
5️⃣ Execute according to strategy
Bearish Execution Logic
1️⃣ Price below optional trend filter
2️⃣ RSI crosses below signal
3️⃣ Red entry circle prints
4️⃣ Ribbon confirms bearish bias
5️⃣ Execute short logic
Interpretation remains simple. Execution remains disciplined.
🟦 SETTINGS OVERVIEW
Primary configurable controls include:
• RSI length
• Signal smoothing & method
• No-repaint confirmation mode
• Higher timeframe RSI + freeze lock
• Strict Institutional Mode
• Trend Filter / EMA Length
• Ribbon visualization controls
• Overbought / Oversold thresholds
• Alerts
All controls are structured for intuitive workflow inside TradingView.
🟦 CONCLUSION
CRSI-TSA Colored RSI Entry Exit Signals PRO is designed for traders who demand clarity, trust, and execution confidence.
Whether operating in fast environments or structured swing conditions, it provides:
• Actionable entries
• Visual intelligence
• Zero-repaint assurance
• Institutional-grade discipline
If you are tired of repainting indicators, unreliable RSI tools, and noisy signals, this is the professional upgrade.
🟦 DISCLAIMER
This indicator is for educational and analytical purposes only. It does not guarantee profits or provide financial advice. Trading involves risk, and users remain responsible for their decisions and risk management. Past performance does not guarantee future outcomes.
Vegas Double ChannelThe indicator utilizes the 144 and 169 channels as the minor level, and the 576 and 676 channels as the major level. The EMA12 serves as a filter.
Translation for the complete definition of the “Vegas Double Channel” indicator:
The “Vegas Double Channel” indicator is designed to analyze market trends and identify potential trading opportunities. It employs the following parameters:
Minor Level: The indicator considers the 144 and 169 channels as the minor level, which are used to identify short-term market movements.
Major Level: The 576 and 676 channels are classified as the major level, indicating longer-term market trends.
Filter: The EMA12 (Exponential Moving Average with a period of 12) acts as a filter to smooth out short-term noise and provide a clearer picture of the overall market trend.
TP & SL Indicator PRO [TheScalpingAnt]🟦 P & SL Indicator PRO
Precision Execution. Institutional Risk Control. Zero Guesswork.
Product Category: Trade Execution & Risk Architecture
Designed For: Professional-minded retail traders who demand structure, clarity, and disciplined execution
🟦 PURPOSE & ROLE OF THE INDICATOR
P & SL Indicator PRO is a professional execution framework, built to help traders plan, structure, and manage trades correctly — before pressing the Buy or Sell button.
Instead of guessing where to place stops or randomly choosing targets, the indicator automatically builds a visual execution architecture directly on the chart, including Entry, Stop Loss, and multiple Take Profits, supported by clear risk metrics and visual confirmation tools.
This tool is designed for traders who want:
• Professional execution discipline
• Accurate risk visualization
• Consistency in trade planning
• Faster and more confident decision-making
It does not generate trading signals.
It ensures that when you trade — you trade properly.
🟦 EXECUTION PHILOSOPHY
P & SL Indicator PRO is built around institutional execution principles:
• Trading success is not only based on analysis — it is deeply dependent on execution quality
• Risk must be measured before entering, not after
• Stop placement and Take Profits must be structured, not emotional
• Position sizing must reflect account risk tolerance
• Multiple Take Profits promote disciplined management instead of greed or panic
The indicator reinforces execution discipline by:
• Structuring every trade into Entry → Risk → Reward components
• Showing clear Stop Loss allocation
• Visually mapping Reward targets
• Building logical price progression between TP levels
• Presenting clean visual Risk vs Reward zones
You do not “hope”.
You execute — with clarity and intention
🟦 CORE CAPABILITIES
The indicator automatically calculates and displays:
• Entry price architecture
• Stop Loss placement (multiple calculation options)
• Take Profit progression (TP1 / TP2 / TP3)
• Real-time Risk metrics
• Risk-to-Reward measurements
• Position size approximation
• Visualized Risk & Profit zones
• Clean execution labelling on chart
This transforms trade execution from guesswork into a structured, rule-based process.
🟦 FEATURE SET
✔ Entry Line Placement System
✔ Automatic Stop Loss Engine (Percent or ATR Mode)
✔ Three Take Profit Levels with independent control
✔ Real-time RR visualization
✔ Position Size approximation engine
✔ Dedicated Risk Panel
✔ Visual Profit & Risk shaded zones
✔ Clean on-chart labels
✔ Fully customizable behavior & visuals
✔ Works on ALL markets and ALL timeframes
🟦 CUSTOMIZATION & CONTROL
The trader remains fully in control.
Every execution element can be shaped to match personal style, account size, and strategy type.
▶ Entry Mode
• Manual input
• Last close
• Candle open
▶ Risk Engine
• Balance input
• Risk % per trade
• Leverage consideration
▶ Stop Loss Options
• Percentage mode
• ATR mode
▶ Take Profits
• Independent percentage configuration
• Toggle TP2
• Toggle TP3
▶ Risk Panel
• Show / Hide
▶ Background Zones
• Enable / Disable
• Color selection
• Opacity control
This makes the tool suitable for:
Scalpers • Day Traders • Swing Traders • Crypto • Forex • Indices • Equities
🟦 TYPICAL WORKFLOW
A normal user flow looks like this:
1️⃣ Define Entry
2️⃣ Select LONG or SHORT
3️⃣ Choose Stop methodology (Percent or ATR)
4️⃣ Adjust risk settings
5️⃣ Review Stop distance & Position Size
6️⃣ Verify RR ratios
7️⃣ Execute with confidence
Instead of randomly placing levels, you execute structured plans.
🟦 PRACTICAL USE EXAMPLE
BTC LONG Scenario:
• Entry: 89,000
• Stop Loss: 1.2%
• TP1: 1%
• TP2: 2%
• TP3: 3%
• Risk: 1% account
The indicator immediately displays:
• Entry line
• Stop Loss in red
• TP1 / TP2 / TP3 in green
• Position Size estimation
• Risk-Reward ratios
• Profit shading zones
Instantly — you know:
• Is the risk acceptable?
• Is the RR structure logical?
• Does the trade make sense?
If YES → Execute with discipline.
If NO → You just avoided a bad trade.
This is what professional execution looks like.
🟦 SETTINGS SUMMARY
Key adjustable controls include:
• Entry Mode
• Manual Entry Price
• Trade Direction
• Risk Engine toggle
• Account Balance
• Risk %
• Leverage
• Stop Loss mode
• Stop Loss % / ATR / Multiplier
• TP1 / TP2 / TP3 %
• TP visibility toggles
• Risk Panel toggle
• Background enable
• Background colors
• Opacity controls
Every parameter exists to support real trading decisions — not aesthetics.
🟦 CONCLUSION
P & SL Indicator PRO is not “just another indicator”.
It is a trade execution framework.
It helps traders:
• Reduce emotional decisions
• Enforce structure
• Improve discipline
• Improve long-term consistency
• Execute with institutional-style clarity
Professionals plan trades before entering them.
Now retail traders finally have a tool engineered for the same standard.
🟦 DISCLAIMER
This indicator is a risk-management and execution support tool.
It does not provide financial advice or guarantee profitability.
Trading involves risk. Users remain fully responsible for their decisions.
Bli-Rik - 1 Banknifty (RSI)For bank Nifty using RSI and SMA with volume considerations for guaranteed successes in futures
ABO LANA-MMالشرح بالعربية:
المؤشر ABO LANA-MM هو مؤشر متقدم جدًا ومتكامل على منصة TradingView مبني بلغة Pine Script v5.
يوفر هذا المؤشر مجموعة شاملة من الأدوات التحليلية التي يستخدمها محترفو التداول المؤسسي ومتبعو منهجية ICT/SMC، وتشمل:
هيكل السوق (Market Structure):
كشف نقاط BOS (Break of Structure) و CHoCH (Change of Character) الداخلية والخارجية (Swing).
المناطق الزمنية المتعددة (MTF):
رسم مستويات الصعود/الهبوط اليومية، الأسبوعية، الشهرية، والسَنَوِيّة.
كتل الأوامر الحجمية (Volumetric Order Blocks):
كشف مناطق الطلب والعرض مع عرض الحجم ونسبة التأكيد، وخيارات تصفية متقدمة.
فجوة القيمة العادلة (Fair Value Gap - FVG):
اكتشاف الفجوات السعرية وعرضها كمناطق توازن محتملة.
مناطق العرض والطلب (Supply & Demand Zones):
رسم صناديق ذكية للمناطق مع تمديد تلقائي وفلترة التداخل.
خطوط الاتجاه والدعم/المقاومة التلقائية.
قناة سعرية تلقائية تعتمد على انحدار خطي وانحراف معياري.
مستويات فيبوناتشي التلقائية (من أعلى إلى أدنى خلال فترة مستخدم).
لوحة معلومات (Dashboard) تعرض:
الاتجاه، الزخم، RSI، ADX، OBV، واتجاهات الأطر الزمنية المتعددة.
📌 Summary in English:
ABO LANA-MM is a comprehensive, all-in-one Pine Script v5 indicator for TradingView, designed for ICT/SMC and institutional-style price action traders. Key features include:
Market Structure Detection:
Identifies BOS (Break of Structure) and CHoCH (Change of Character) on both internal and swing levels.
Multi-Timeframe Highs/Lows:
Plots daily, weekly, monthly, and yearly pivot levels.
Volumetric Order Blocks:
Detects bullish/bearish order blocks with volume metrics, mitigation logic, and filtering (by BOS/CHoCH).
Fair Value Gaps (FVG):
Highlights imbalance zones (FVG, VI, or OG types) with customizable mitigation and extension.
Smart Supply & Demand Zones:
Automatically draws zones with ATR-based height, overlap filtering, and breakout detection.
Auto Trendlines & Support/Resistance:
Based on pivot detection over user-defined lookback periods.
Adaptive Price Channel:
Uses linear regression and standard deviation to plot a dynamic channel.
Auto Fibonacci Levels:
Plots retracement/extensions from recent swing highs/lows.
Live Trading Dashboard:
Displays real-time trend, momentum, RSI, ADX, OBV, and multi-timeframe bias in a compact table.
Telgram: oio38
SMC Ultra-Fast: ALL-IN & Auto-Signal [Fixed]Entry Points: 🔥 signals occur when buying and selling pressure is 1.5 times stronger than normal and breaks through a key resistance level.
Dynamic S/R Box: This box displays the price at the right edge and will "disappear immediately" if the closing price breaks through the zone, showing only the active support and resistance levels.
TP/SL Targets: Lines are drawn to the right to indicate clear entry and exit points.
Large Marks: When the price hits the target, the system will display large text 🎯 TP SUCCESS or ❌ SL HIT to summarize the trade result.
Darvas Box Strategy (Long & Short) + Bollinger Filter - XabierLDarvas Box Strategy with Bollinger Bands Filter
📊 Overview
A breakout strategy based on the classic Darvas Box method, enhanced with Bollinger Bands proximity filter to reduce false signals. This strategy identifies key support and resistance levels (the "box") and takes trades when price breaks out of these zones, but only when price is near the Bollinger Bands moving average to ensure quality entries.
Fully compatible with Bitget Webhook for automated trading.
🎯 How It Works
Entry Logic
LONG Entry:
Price breaks above the Top Box (resistance level)
Price is within X% distance from Bollinger Bands moving average
No existing position
SHORT Entry:
Price breaks below the Bottom Box (support level)
Price is within X% distance from Bollinger Bands moving average
No existing position
SMC Ultra-Fast: ALL-IN & Auto-Signal [Fixed]//@version=5
indicator("SMC Ultra-Fast: ALL-IN & Auto-Signal ", overlay=true, max_bars_back=5000)
// ================= Settings =================
group_fast = "Fast Entry Settings"
rr_ratio = input.float(2.0, "Risk:Reward Ratio", group=group_fast)
atr_mult = input.float(1.0, "Tight SL (ATR)", group=group_fast)
line_len = input.int(35, "Line Extension", group=group_fast)
group_vol = "High Volume Accumulation"
vol_look = input.int(100, "Volume Lookback", group=group_vol)
// ================= State Management =================
var float cur_tp = na
var float cur_sl = na
var bool in_trade = false
var line entL = na, var line tpL = na, var line slL = na
var label entLb = na, var label tpLb = na, var label slLb = na
var box res_box = na, var box sup_box = na
var label res_lbl = na, var label sup_lbl = na
// ================= Calculations =================
emaFast = ta.ema(close, 8)
emaSlow = ta.ema(close, 21)
atr = ta.atr(10)
vol_ma = ta.sma(volume, 20)
// --- 1. กล่องแนวรับ-แนวต้าน (High Volume Zones) พร้อมราคา ---
hi_v = ta.highest(high, vol_look)
lo_v = ta.lowest(low, vol_look)
if ta.change(hi_v)
box.delete(res_box), label.delete(res_lbl)
res_box := box.new(bar_index , hi_v, bar_index + 15, hi_v - (atr * 0.3), bgcolor=color.new(color.red, 80), border_color=color.red)
res_lbl := label.new(bar_index + 15, hi_v, "แนวต้าน: " + str.tostring(hi_v, "#.#####"), color=color.red, style=label.style_label_left, textcolor=color.white, size=size.small)
if ta.change(lo_v)
box.delete(sup_box), label.delete(sup_lbl)
sup_box := box.new(bar_index , lo_v, bar_index + 15, lo_v + (atr * 0.3), bgcolor=color.new(color.green, 80), border_color=color.green)
sup_lbl := label.new(bar_index + 15, lo_v, "แนวรับ: " + str.tostring(lo_v, "#.#####"), color=color.green, style=label.style_label_left, textcolor=color.white, size=size.small)
// --- 2. ระบบสีแท่งเทียนแยกเทรนด์ ---
is_bull = close > emaFast and close > emaSlow
is_bear = close < emaFast and close < emaSlow
barcolor(is_bull ? color.green : is_bear ? color.red : color.orange)
// --- 3. สัญญาณ ALL-IN & Extra Buy/Sell (Fast & Precise) ---
ph = ta.pivothigh(high, 2, 2)
pl = ta.pivotlow(low, 2, 2)
var float last_h = na
var float last_l = na
if not na(ph)
last_h := ph
if not na(pl)
last_l := pl
// จุด ALL-IN: เบรค Pivot + เทรนด์ชัด + โวลุ่มสูง
all_in_buy = ta.crossover(close, last_h) and is_bull and volume > vol_ma * 1.2 and not in_trade
all_in_sell = ta.crossunder(close, last_l) and is_bear and volume > vol_ma * 1.2 and not in_trade
// สัญญาณ Buy/Sell เพิ่มเติม (Fast Signals)
fast_buy = ta.crossover(emaFast, emaSlow) and not all_in_buy
fast_sell = ta.crossunder(emaFast, emaSlow) and not all_in_sell
plotshape(fast_buy, "Fast Buy", shape.triangleup, location.belowbar, color.lime, size=size.tiny, title="Fast Buy Signal")
plotshape(fast_sell, "Fast Sell", shape.triangledown, location.abovebar, color.orange, size=size.tiny, title="Fast Sell Signal")
// ================= 4. การจัดการ TP/SL/Entry (Auto-Reset) =================
if all_in_buy or all_in_sell
line.delete(entL), line.delete(tpL), line.delete(slL)
label.delete(entLb), label.delete(tpLb), label.delete(slLb)
float ep = close
cur_sl := all_in_buy ? (low - (atr * atr_mult)) : (high + (atr * atr_mult))
cur_tp := all_in_buy ? (ep + (math.abs(ep-cur_sl) * rr_ratio)) : (ep - (math.abs(ep-cur_sl) * rr_ratio))
in_trade := true
entL := line.new(bar_index, ep, bar_index + line_len, ep, color=color.gray, style=line.style_dashed, width=2)
tpL := line.new(bar_index, cur_tp, bar_index + line_len, cur_tp, color=color.blue, width=2)
slL := line.new(bar_index, cur_sl, bar_index + line_len, cur_sl, color=color.red, width=2)
entLb := label.new(bar_index + line_len, ep, "ENTRY: " + str.tostring(ep, "#.#####"), color=color.gray, style=label.style_label_left, textcolor=color.white)
tpLb := label.new(bar_index + line_len, cur_tp, "TP: " + str.tostring(cur_tp, "#.#####"), color=color.blue, style=label.style_label_left, textcolor=color.white)
slLb := label.new(bar_index + line_len, cur_sl, "SL: " + str.tostring(cur_sl, "#.#####"), color=color.red, style=label.style_label_left, textcolor=color.white)
label.new(bar_index, all_in_buy ? low : high, all_in_buy ? "🔥 ALL-IN BUY" : "🔥 ALL-IN SELL", color=all_in_buy ? color.green : color.red, style=all_in_buy ? label.style_label_up : label.style_label_down, textcolor=color.white)
// ระบบล้างสถานะอัตโนมัติเมื่อชนเป้าหมาย
if in_trade
hit = (high >= cur_tp and cur_tp > cur_sl) or (low <= cur_tp and cur_tp < cur_sl) or (low <= cur_sl and cur_tp > cur_sl) or (high >= cur_sl and cur_tp < cur_sl)
if hit
label.new(bar_index, close, "X", color=color.white, style=label.style_label_center, size=size.small)
in_trade := false






















