Dow Theory - ManitThis Pine Script implements a Dow Theory swing-structure indicator that:
• Detects pivot highs and lows using left/right bar sensitivity
• Filters them into a zigzag-style structure (removing weak swings)
• Classifies market structure as:
HH (Higher High)
HL (Higher Low)
LH (Lower High)
LL (Lower Low)
• Automatically builds dynamic support and resistance levels from valid swing points
• Tracks trend direction:
– Above resistance → uptrend
– Below support → downtrend
• Draws extending horizontal S/R lines that update only when structure changes
Indicateurs et stratégies
Farjeat Liquidity HeatmapEncuentra las zonas de liquidez y te muestra donde podría dirigirse el precio.
Three EMA Scalp ProThree EMA Scalp Pro
1. Three EMA Scalp Pro is a precision-focused EMA scalping indicator built for traders who value stability, clarity, and execution discipline.
Unlike indicators that constantly repaint or shift levels mid-trade, this script is designed around a single principle:
--- Once a trade is active, its context must not change ---
2. Why This Indicator Stands Out
> Robust Fast / Medium / Slow EMA trend structure
> High-quality setups based on:
> Consecutive EMA break candles
> Controlled pullback into EMA structure
> Automatic and immediate plotting of:
> Entry
> Take Profit
> Stop Loss
> All levels are locked after entry and remain unchanged until TP or SL is hit
> New setups are intentionally ignored while a trade is active
> Full historical level preservation for review and journaling
3. Trade Awareness Table
A minimal, non-intrusive table provides real-time trade context:
> Current status (FLAT / LONG / SHORT)
> Entry, Take Profit, Stop Loss
> Background highlights only during active trades
> LONG: subtle green
> SHORT: subtle red
Fully configurable position and text size
This allows instant confirmation of trade state without shifting focus away from price.
4. Designed For
> Serious discretionary scalpers
> Intraday EMA trend-followers
> Traders who want visual certainty during execution
This is not a signal-spamming indicator and not an automated strategy.
It is a professional-grade execution aid built to reduce hesitation, confusion, and mid-trade second-guessing.
5. Best Practices
> Use alongside higher-timeframe trend context
> Avoid low-volatility, range-bound conditions
A stable, no-repaint, no-drift EMA scalping tool engineered for disciplined execution.
Farjeat Price Action FractalIt automatically detects market fractality and provides a projection of potential price movements, helping you make more informed buying and selling decisions!
VWAP Pullback System Restrictive Alerts# VWAP Pullback System
A mechanical mean-reversion indicator for futures scalping (MNQ/NQ, 5-min chart). Signals fire only when **all 5 conditions** are met simultaneously.
---
## Entry Conditions (ALL must be true)
**Long:** Price above VWAP → pulls back within X points → bullish candle close → volume below 20-SMA → within trading window
**Short:** Mirror opposite — price below VWAP, rallies back, bearish close, low volume, valid window.
### ADX Regime Filter (15-Min)
- **ADX < 25** → RANGING — signals enabled
- **ADX 25–35** → CAUTION — signals fire but lower confidence
- **ADX ≥ 35** → TRENDING — signals disabled
### Signal Grading
- **A+** — All conditions + ADX < 20 + EMA 9/21 aligned + within 5 pts of VWAP
- **A** — All conditions + ADX < 25 + EMA aligned
- **B** — All conditions + ADX < 25, no EMA alignment
- **C** — All conditions + ADX in caution zone
---
## Visuals
- VWAP (blue) with 1σ / 2σ standard deviation bands
- EMA 9/21 cloud (green = bullish, red = bearish)
- Signal arrows with grade labels (A+, A, B, C)
- Entry/stop/target dashed lines (auto-cleanup after 20 bars)
- Trading window background shading (green = valid, red = lunch chop zone)
- Volume-based bar coloring
## Dashboard (Top Right)
- Market regime + ADX value
- Live 5-condition checklist — watch setups build before they trigger
- Risk levels: stop, targets, R:R ratio, signal grade
- Daily signal counter
---
## ⚠️ Important: TPs and SLs Are Loose Targets
The stop loss and target levels shown on the chart (VWAP ± buffer, 1σ/2σ bands) are **reference levels, not hard exits.** They give you a framework, but you should adjust based on the price action leading into the signal. A clean pullback on declining volume into a key level deserves a tighter stop and more ambitious target. A choppy, indecisive setup warrants a wider stop or a quicker exit at T1. Use the levels as a starting point — your read on context and momentum should determine the actual trade management.
---
## Defaults (MNQ 5-Min)
Pullback distance: 10 pts · Stop buffer: 15 pts · T1: 1σ band · T2: 2σ band · Morning: 8:45–10:00 CT · Afternoon: 1:00–2:10 CT · Max signals/day: 4. All adjustable.
## Alerts
A+ Long/Short · A Long/Short · Any Signal · Regime Change
---
*PineScript v6. Non-repainting HTF ADX. Signal deduplication built in. This indicator generates signals — it does not place trades.*
GoldenCube HMA FlowThis indicator builds a six‑line HMA system from a single base integer you enter. Each subsequent HMA period is generated by multiplying the previous period by φ³ ≈ 4.23606797749979 and rounding. The six HMAs are plotted on the chart, colored by slope, and grouped into three pairs with filled areas and an optional alignment alert.
Sequence Generation
Input: one integer called Base number (example: 55).
Sequence rule: next = round(previous × φ³).
Example: .
The script computes these six integer lengths automatically and uses them as HMA periods.
HMA Calculation and Timeframe Handling
Standard HMA: each HMA is on the chart timeframe.
Large-length handling: if HMA length > 5000 and the chart is intraday, the indicator computes that HMA on a timeframe that is 3× the current intraday period (for example 1m → 3m) using , then brings that higher‑TF HMA back onto the current chart. This avoids impractical minute‑level smoothing for extremely large periods.
Visuals and Coloring
Per-line coloring: each HMA line is colored green when its slope (current value − previous bar value) is non‑negative and red when negative.
Plots: six HMA lines are plotted with fixed titles (HMA 1 … HMA 6).
Label: a status label on the last bar shows the six lengths and each group’s bullish/bearish state.
Group Logic and Alerts
Groups: HMAs are paired into three groups — Group 1 = HMA1 & HMA2, Group 2 = HMA3 & HMA4, Group 3 = HMA5 & HMA6.
Bull/Bear definition: a group is bullish when the first HMA in the pair is above the second, bearish otherwise.
Fills: the area between each pair is filled green when bullish and red when bearish; fill colors are configurable.
Alignment alert: an input toggle enables an alert condition that fires when Group 2 and Group 3 share the same trend direction (both bullish or both bearish). The script defines the alert condition; TradingView’s Alerts dialog is used to create notifications.
EMA Crossover Buy/Sell Signals//@version=5
indicator("EMA Crossover Buy/Sell Signals", overlay=true)
// ─── Inputs ───────────────────────────────────────────────
emaFastLength = input.int(5, "Fast EMA Length", minval=1)
emaSlowLength = input.int(20, "Slow EMA Length", minval=1)
// ─── EMA Calculations ─────────────────────────────────────
emaFast = ta.ema(close, emaFastLength)
emaSlow = ta.ema(close, emaSlowLength)
// ─── Entry & Exit Conditions ──────────────────────────────
buySignal = ta.crossover(emaFast, emaSlow) // Fast EMA crosses above Slow EMA
sellSignal = ta.crossunder(emaFast, emaSlow) // Fast EMA crosses below Slow EMA
// ─── Alerts ───────────────────────────────────────────────
alertcondition(buySignal, title="Buy Signal", message="Buy Signal")
alertcondition(sellSignal, title="Sell Signal", message="Sell Signal")
// ─── Display EMA Lines ────────────────────────────────────
plot(emaFast, color=color.green, title="Fast EMA")
plot(emaSlow, color=color.red, title="Slow EMA")
// ─── Signal Arrows ────────────────────────────────────────
plotshape(buySignal, title="Buy Arrow", style=shape.labelup, color=color.green, text="Buy", location=location.belowbar, size=size.tiny)
plotshape(sellSignal, title="Sell Arrow", style=shape.labeldown, color=color.red, text="Sell", location=location.abovebar, size=size.tiny)
// ─── Highlight Active Signals ─────────────────────────────
bgcolor(buySignal ? color.new(color.green, 85) : sellSignal ? color.new(color.red, 85) : na)
Gold Zones - Static Simplified1. The "Memory" of the Market
Each zone is created by clustering multiple Pivot Points (swing highs and lows). A zone with "10 touches" is significantly more powerful than one with "3 touches" because it shows that every time Gold reached that price, a large number of orders were triggered.
2. The "Break and Retest" Mechanism
This is the core logic of the strategy.
The Break: When Gold moves with high momentum through a zone (e.g., breaking above a Resistance zone), it signals that the balance of power has shifted to the buyers.
The Retest: Once the breakout happens, "trapped" sellers often close their positions, and new buyers wait for a better price. Price usually returns to the top edge of the broken zone. What was once a "Ceiling" (Resistance) now becomes a "Floor" (Support).
3. Zone Strength & Interpretation
Support Zones (Price is above): These are "Buying Floors." You look for the price to dip into these gray boxes and show rejection (long wicks) before entering a long position.
Resistance Zones (Price is below): These are "Selling Ceilings." You look for the price to rally into these boxes and stall before considering a short position.
Thickness of the Zone: A wider zone indicates a highly volatile area where price struggled to find a clear direction. A thinner, tighter zone represents a very precise level where the market reacted instantly.
Ticker Dashboard [rogman]TICKER DASHBOARD INDICATOR
Overview
A comprehensive real-time market dashboard that displays critical trading information in a compact, color-coded table overlay. Designed for quick at-a-glance analysis of price action, trend direction, market conditions, and relative performance. Automatically detects asset type (stocks, futures, CFDs, forex, crypto) and adjusts session display accordingly.
Table Layout
ROW 1: PRICE & MARKET STATUS
Trend Dot: 🟢 when 8 EMA > 21 EMA (bullish), 🔴 when below (bearish)
Ticker: Current symbol, colored green/red based on change from previous close
Price: Real-time price, updates during extended hours
Chg $: Dollar change from previous day's close (updates in afterhours)
VWAP: ▲V (green) if price above VWAP, ▼V (red) if below
S:/Q:: SPY and QQQ real-time status — 🟢 up from previous close, 🔴 down from previous close
ROW 2: MOVING AVERAGES & RELATIVE STRENGTH
RS 8 EMA 21 EMA 50 SMA
RS (Relative Strength vs SPY):
⊕ (green): Outperforming SPY by >0.5%
⊖ (red): Underperforming SPY by >0.5%
⊜ (gray): Neutral (within ±0.5%)
8/21/50 MAs: Values color-coded green if price above, red if below
ROW 3: SESSION, RANGE & VOLUME
Session - Low - Range Bar - High - Vol:██████
Session Indicator (Auto-detects Asset Type)
Stocks:
IconStatusHours (ET)🔔Market Open9:30am - 4:00pm⏰Pre-Market4:00am - 9:29am🌙After-Hours4:01pm - 8:00pm⛔️Closed8:00pm - 4:00am, Weekends
Futures & CFDs:
IconStatusHours (ET)🔔OpenSunday 6pm - Friday 5pm (with daily 5-6pm break)⛔️ClosedFriday 5pm - Sunday 6pm, Daily 5-6pm maintenance
Forex & DXY:
IconStatusHours (ET)🔔OpenSunday 5pm - Friday 5pm (24/5, no daily break)⛔️ClosedFriday 5pm - Sunday 5pm
Crypto:
IconStatus🔔Always Open (24/7)
Range Bar
Visual representation showing current price position within daily high/low range using a ║ marker.
Volume Blocks
6 blocks compared to 30-day average volume:
Volume % Color Block Fill
<75% avg🔴 RedFills 1 block per 10% below 75% (e.g., 24% = 6 red blocks)
75-125% avg⬜ GrayFills 1-6 blocks as volume increases through normal range
>125% avg🟢 GreenFills 1 block per 10% above 125%
ROW 4: VOLUME DETAILS (Optional)
Vol: XXM 30D Avg: XXM Ratio: X%
Vol: Current daily volume (in millions)
30D Avg: 30-day average volume (in millions)
Ratio: Current volume as percentage of average
Toggle on/off in settings via "Show Volume Row"
Settings
Customize table background and border colors
Position table in multiple locations on chart
Customize text color and size
Asset Type Detection
The indicator automatically detects the asset type and adjusts behavior
Example Displays
Stock During Market Hours
┌────┬──────┬────────┬─────────┬────┬─────────────┐
│ 🟢 │ TSLA │ 421.81 │ +$12.50 │ ▲V │ S:🟢 Q:🟢 │
├────┼──────┼────────┼─────────┼────┼─────────────┤
│ ⊕ │ 8: 418.50│ 21: 415.20 │ 50: 410.35 │
├────┼──────┼────────┼─────────┼────┼─────────────┤
│ 🔔 │ 409 │ ─────║──│ 425 │Vol: │ ███░░░ │
└────┴──────┴────────┴─────────┴────┴─────────────┘
Stock During Pre-Market
┌────┬──────┬────────┬─────────┬────┬─────────────┐
│ 🔴 │ AAPL │ 178.25 │ -$2.30 │ ▼V │ S:🔴 Q:🔴 │
├────┼──────┼────────┼─────────┼────┼─────────────┤
│ ⊖ │ 8: 179.80│ 21: 181.50 │ 50: 183.20 │
├────┼──────┼────────┼─────────┼────┼─────────────┤
│ ⏰ │ 177 │ ──║──── │ 180 │Vol: │ █░░░░░ │
└────┴──────┴────────┴─────────┴────┴─────────────┘
Crypto (Always Open)
┌────┬──────┬──────────┬─────────┬────┬─────────────┐
│ 🟢 │ BTC │ 67,450 │ +$1,250 │ ▲V │ S:🟢 Q:🟢 │
├────┼──────┼──────────┼─────────┼────┼─────────────┤
│ ⊕ │ 8: 66,800│ 21: 65,500 │ 50: 63,200 │
├────┼──────┼──────────┼─────────┼────┼─────────────┤
│ 🔔 │ 65,000 │ ──────║── │ 68,000 │Vol: │ ████░░ │
└────┴──────┴──────────┴─────────┴────┴─────────────┘
Futures (Closed)
┌────┬──────┬─────────┬─────────┬────┬─────────────┐
│ 🔴 │ ES1! │ 5,425 │ -$15.00 │ ▼V │ S:🔴 Q:🔴 │
├────┼──────┼─────────┼─────────┼────┼─────────────┤
│ ⊜ │ 8: 5,430 │ 21: 5,445 │ 50: 5,480 │
├────┼──────┼─────────┼─────────┼────┼─────────────┤
│ ⛔️ │ 5,400 │ ───║──── │ 5,450 │Vol: │ ██░░░░ │
└────┴──────┴─────────┴─────────┴────┴─────────────┘
Technical Notes
Session detection uses timenow for real-time accuracy (not bar time)
All session times are based on America/New_York timezone
Volume calculations use daily timeframe regardless of chart timeframe
Moving averages calculated on current chart timeframe
Price color reflects change from previous close (not day open)
Previous Close Percentage Ladder Compounding LevelsThis indicator plots a dynamic percentage-based price ladder using the previous day’s closing price as the anchor. Levels are calculated in user-defined percentage increments and compound step-by-step rather than being measured only from the base price. This creates realistic expansion targets that better reflect how price moves during strong trend days.
Each session, the script automatically draws support and resistance levels above and below the prior close. Major percentage milestones (such as ±1%, ±2%, etc.) are visually emphasized with thicker lines, helping traders quickly identify high-probability reaction zones.
Labels display both the percentage move and the exact price level, making it ideal for intraday traders, options traders, and volatility-based strategies.
Key Features:
Uses previous daily close as the anchor
Compounding percentage levels (not flat offsets)
Customizable number of levels
User-controlled colors and line thickness
Major level highlighting at whole percent intervals
Automatic daily reset
Clean chart labeling with percent + price
Best For:
Intraday trading, SPY/QQQ index trading, options scalping, volatility expansion targets, and structured profit-taking.
GRAND CHAMPIONGRAND CHAMPION is a comprehensive, multi-layered trading system designed to align specific scalping entries with the macro trend and institutional market structure. It combines three powerful methodologies into a single chart overlay: Trend Following (Grand Champ), Market Structure (Liquidity Trails), and Institutional Price Action (Purple Heart).
This indicator is built for traders who need to see the "Full Picture"—from the overall direction down to the specific candle imbalance or Fibonacci retracement level.
1. Module Breakdown & Logic
A. Grand Champ (Trend & Scalp Engine)
This module acts as the primary filter for direction and entry timing.
Supertrend Cloud: Generates a background fill based on a "Slow" Supertrend (ATR 10, Factor 3.0) and generates Buy/Sell signals based on a "Mid" Supertrend (ATR 10, Factor 2.7).
Green Cloud: Bullish Bias.
Red Cloud: Bearish Bias.
Fibonacci Scalper (0.618): Automatically identifies valid swing highs and lows. Once a range is defined, it plots the Golden Pocket (0.618) entry level and the 1.272 extension target.
Signal: A "BUY 0.618" label appears when price tests this level during a defined swing.
Close Line Filter: A smoothed Heikin Ashi Moving Average that helps filter out noise. If the line is Teal, momentum is up; if Red, momentum is down.
B. Liquidity Trails (Structure Protection)
This module visualizes "Protected Highs and Lows" to help you trail your stop loss or invalidate a trade idea.
Bullish Trail (Red Line): Draws a line at the previous swing low when a higher high is made. If price breaks this line, the bullish structure is broken.
Bearish Trail (Green Line): Draws a line at the previous swing high when a lower low is made.
C. Purple Heart (Institutional Price Action)
This module focuses on "Smart Money" concepts.
OTE (Optimal Trade Entry): Identifies the most recent impulse leg (Length 5) and highlights the Discount/Premium zone between the 0.62 and 0.79 Fibonacci levels.
FVG (Fair Value Gaps): Automatically detects and draws boxes around imbalances (where Price Action skipped a level).
Green Box: Bullish Imbalance.
Red Box: Bearish Imbalance.
Equilibrium & Liquidity: Plots the 50% (Equilibrium) line of the current dealing range and labels distinct swing points as "LIQ" (Liquidity) targets.
How to Use This Strategy
The power of GRAND CHAMPION lies in Confluence. Do not take every signal; look for the overlapping layers:
1. The High Probability Long Setup:
Trend: The Supertrend Background is Green.
Structure: Price is above the Red "Liquidity Trail" line.
Entry: Price retraces down into a Green FVG or the Purple OTE Box.
Trigger: You get a "BUY 0.618" signal or the "Close Line" turns Teal.
2. The High Probability Short Setup:
Trend: The Supertrend Background is Red.
Structure: Price is below the Green "Liquidity Trail" line.
Entry: Price rallies up into a Red FVG or the Purple OTE Box.
Trigger: You get a "SELL 0.618" signal or the "Close Line" turns Red.
3. Target Selection:
Target the opposing "LIQ" labels (Liquidity pools) or the 1.272 Fibonacci extension line.
Settings & Configuration
The settings menu is organized into three distinct groups for easy customization:
Grand Champ: Adjust Supertrend sensitivity, Fib Scalp pivot lookback, and visual colors.
Liquidity Trails: Adjust the trail length and line width.
Purple Heart: Toggle OTE, FVGs, and Liquidity labels on/off depending on your chart cleanliness preference.
Advanced Trend Strength AnalyzerTrend Strength Analyzer is an all‑in‑one tool designed to quickly show you how strong a trend is, which side is in control, and whether conditions favor continuation or reversal.
This indicator blends multiple components into a single, intuitive view:
ADX for trend strength (filters out choppy, sideways markets).
RSI for momentum, overbought/oversold context, and exhaustion.
MACD for trend direction and confirmation.
EMAs as a higher‑timeframe style trend filter and bias.
All of these are normalized into a combined Trend Strength Score that ranges from -100 to +100:
Strong bullish trend: score closer to +100.
Strong bearish trend: score closer to -100.
Neutral/choppy conditions: score near 0.
Key features:
Clear visual trend bias with color‑coded backgrounds to highlight strong trending vs ranging environments.
Modular design: you can enable/disable ADX, RSI, MACD, or EMA filters individually to fit your strategy.
On‑chart labels and/or table readout (depending on how you set it up) summarizing:
Current trend direction (bullish/bearish/neutral).
Trend strength level (weak, moderate, strong).
Individual indicator statuses (e.g., ADX above/below threshold, RSI overbought/oversold, MACD in agreement or divergence).
Built‑in alert conditions for:
Strong bullish trend detected.
Strong bearish trend detected.
Transition from range to trend or trend to range.
How traders can use it:
As a filter: only take entries in the direction of a strong trend and avoid low‑strength environments.
For timing: combine the trend score with your own entry triggers (price action, breakouts, etc.).
For risk management: tighten stops or take partial profits when trend strength begins to fade toward neutral.
This indicator is suitable for intraday, swing, and position traders across any market (forex, indices, crypto, stocks) and on any timeframe, with user‑friendly settings to adapt sensitivity to your style.
SPX Internals Bias by BullishSoulThis indicator shows intraday market bias using market internals.
Green signal indicates bullish conditions and potential upside momentum.
Red signal indicates bearish conditions and potential downside momentum.
The tool is designed to help traders quickly identify market direction during the trading session and support intraday decision-making.
SMC M5 Entry PROMC M5 Entry PRO is a Smart Money Concepts (SMC) signal tool designed for quick decision-making on M5, with optional H1 + M15 trend alignment and a built-in TP/SL ladder
How signals are generated
Market Structure Detection (M5)
The script detects BOS (Break of Structure) and CHoCH (Change of Character) using swing pivots.
You can choose the signal type:
BOS only
CHoCH only
Both
MTF Trend Filter (Optional)
If enabled, the script will only signal trades when H1 and M15 are aligned in the same structural bias direction.
Candle Strength Filter
The script checks the candle body percentage on the signal candle:
𝐵
𝑜
𝑑
𝑦
%
=
∣
𝐶
𝑙
𝑜
𝑠
𝑒
−
𝑂
𝑝
𝑒
𝑛
∣
𝐻
𝑖
𝑔
ℎ
−
𝐿
𝑜
𝑤
×
100
Body%=
High−Low
∣Close−Open∣
×100
A signal will only trigger if Body% ≥ the threshold you set.
Entry display
A BUY/SELL marker appears on the M5 signal candle
A small Entry dot is drawn at the exact entry price (based on the confirmed signal candle).
TP / SL
When a signal triggers, the script draws:
ENTRY
TP1 / TP2 / TP3
SL
TP/SL levels are calculated from ENTRY using your point settings:
Default targets: TP1 400 / TP2 800 / TP3 1200 points
SL can be fixed or set to RR 1:1 (SL = TP1 distance)
✅ When price reaches a TP level, the script marks it with ✓
❌ If price hits SL, it marks it with ✕
MOM RESTEST SIGNAL BY REGENTThis combined indicator merges Trend Identification (Ribbon) with Price Action Signals (Retests) to create a complete trading system.
MTF DashMulti-Timeframe Dashboard: MACD, ADX, Stochastic, and RSI
This indicator is a Multi-Timeframe (MTF) Dashboard. It creates a table directly on your trading chart that summarizes the market condition across 7 different timeframes (from 3-minute to Daily) using 4 popular technical indicators.
It allows you to see the "big picture" trend without having to switch charts or apply multiple indicators manually.
How to Read the Dashboard
The table is organized with Timeframes as rows and Indicators as columns. Here is what each column tells you:
1. MACD (Trend Direction)
What it checks: It compares the MACD line to the Signal line.
Bullish (Green): The MACD line is above the Signal line (momentum is up).
Bearish (Red): The MACD line is below the Signal line (momentum is down).
2. ADX (Trend Strength)
What it checks: It looks at the strength of the current trend, regardless of direction.
Trending (Blue): The ADX value is higher than your set threshold (default is 25). This means the market has a strong trend.
Sideway (Gray): The ADX value is lower than the threshold. This implies a ranging or choppy market.
3. Stoch (Momentum)
What it checks: It compares the Stochastic %K line to the %D line.
Bullish (Green): The %K line is above the %D line.
Bearish (Red): The %K line is below the %D line.
4. RSI (Overbought/Oversold)
What it checks: It displays the raw RSI value.
Green Background: RSI is above 50 (generally bullish territory).
Red Background: RSI is below 50 (generally bearish territory).
The Timeframes Monitored
The script requests data for the specific ticker you are viewing across these fixed timeframes:
3 Minutes
15 Minutes
30 Minutes
1 Hour
2 Hours
4 Hours
Daily
RSI Exhaustion Gate (Visual Flip)An RSI-based indicator that highlights potential overbought and oversold exhaustion points with visual dots. Provides clear signals when RSI reaches extreme levels and flips, helping traders identify short-term reversal opportunities. Includes customizable colors, RSI levels, and alerts for both long and short exhaustion triggers.
Detailed Description (for Publishing):
RSI Exhaustion Gate (Visual Flip) is designed to help traders identify potential overbought and oversold exhaustion levels on any timeframe.
Key Features:
Plots RSI with standard overbought (70) and oversold (30) levels.
Visually flipped exhaustion dots appear when RSI crosses into extreme zones and reverses, signaling potential trade entries.
Customizable colors for overbought and oversold dots.
Option to toggle visibility of RSI levels and dots.
Alerts for both long and short exhaustion points, so you can set TradingView notifications.
Works on any chart timeframe.
This tool is intended as a visual guide for spotting RSI-based exhaustion signals and can be used in conjunction with your trading strategy for improved timing and clarity.
10 Timeframe MSS/BOS with Pending Breaks## 10 Timeframe MSS/BOS with Pending Breaks
A multi-timeframe market structure indicator that tracks Break of Structure (BOS) and Market Structure Shift (MSS) across 10 timeframes simultaneously — from 1-minute to 1-week — all on a single chart.
The key feature is **Pending Breaks**: forward-looking levels that show you exactly where the next MSS or BOS will trigger before it happens, giving you time to plan entries, exits, and risk levels in advance.
### What It Does
**Multi-Timeframe Structure Detection**
Detects BOS and MSS signals across 1M, 3M, 5M, 15M, 30M, 1H, 4H, 12H, 1D, and 1W timeframes. Each signal is drawn on your chart with customizable colors, and you can toggle which timeframes display lines independently.
**Pending Break Levels**
Draws horizontal lines to the right of current price showing where the next potential BOS or MSS will occur for each timeframe. Labels at the end of each line identify the timeframe and break type (e.g., "4H MSS ↑", "1D BOS ↓"). When multiple pending levels are close together, only the highest timeframe is displayed to keep the chart clean. You can control which timeframes show pending levels and filter by MSS only, BOS only, or both.
**Summary Table**
A compact dashboard showing the current signal state (BOS ↑, BOS ↓, MSS ↑, MSS ↓) for every timeframe at a glance. Supports horizontal or vertical layouts with adjustable positioning. Optional rows include:
- **% Move** — Percentage move from the break level to current price
- **Average %** — Compares the current move to the historical average or last break, with color coding to show whether the move is above or below the comparison value
**Performance Mode**
A master toggle that limits how far back signals are drawn based on timeframe group. Lower timeframes show fewer days of history while higher timeframes show more. This keeps the chart clean during live trading. Turn it off to see all historical signals for backtesting.
Default lookback values:
- Scalp (1M, 3M, 5M): 14 days
- Intraday (15M, 30M): 30 days
- Swing (1H, 4H): 90 days
- Position (12H, 1D): 180 days
- Macro (1W): 365 days
**Alerts**
20 individual alert conditions — Bullish and Bearish for each of the 10 timeframes. No configuration needed. Just create an alert, select the condition you want, and you're set. Alert messages include the ticker symbol and price.
### Settings Overview
- **Performance Mode** — ON/OFF toggle with adjustable lookback days per timeframe group
- **Pending Levels** — Line style, width, offset, colors, label size, overlap threshold, and per-timeframe MSS/BOS/Both/Off controls with Min/Max TF visibility
- **Summary Table** — Position, orientation, text size, offset, and per-timeframe visibility toggles
- **% Move & Average** — Optional rows showing current percentage move and comparison to historical average or last break
- **Per-Timeframe Colors** — Individual BOS/MSS bull/bear color settings for all 10 timeframes
- **Min/Max TF Range** — Controls which chart timeframes each signal appears on
- **Alerts** — 20 always-available conditions: Bullish and Bearish MSS/BOS for each timeframe
### How To Use
1. Add the indicator to your chart — the summary table immediately shows structure state across all 10 timeframes
2. Pending break levels show where the next breaks will occur — use these for planning entries, exits, and stop levels
3. Enable Performance Mode for cleaner charts during live trading, disable it for full backtesting history
4. Set alerts on any combination of timeframes and directions
5. Use the Min TF / Max TF settings per timeframe to control what appears at each chart zoom level
Works on any instrument and any chart timeframe.
ICT Essentials By @PatekFynnipThis indicator shows ICT essentials such as Midnight Opening Price, Midnight Opening Range, Asia Range, Previous Day High & Low
This is a cosmetic indicator. It's fully adjustable.
Indices Futures: Key Levels By @PatekFynnipThis indicator shows key levels like New Week Openings Gaps, New Day Opening Gaps, Opening Range Gaps & 1st Presentations.
It auto-plots NWOG, NDOG, ORG, 1st Pres and calculates and draws Quadrants + Eights inside every key level
This is a cosmetic indicator. It's fully adjustable.
Mainly for Indices like Nasdaq (NQ), S&P (ES) and Dow Jones (YM).






















