Finanja Fib Zones📊 Finanja Fib Zones :: Study Most of the stock related things in this website
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This indicator provides essential trading signals and market analysis tools to help with your trading decisions.
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Custom alert systems
Additional features
Exclusive trading tools
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Note: This is the basic/free version. For full features and enhanced performance, consider the Advanced Pro version available on our website.
Points pivots et niveaux
Ict Core //@bajgos.nqFLOW IS THE GOAT
## ## Key Features
**Author: bajgos.nq //discord**
### ### 1. Key Market Open Levels
The indicator tracks and plots horizontal lines for significant market opening times across various timeframes.
- **Custom Key Opens**: Supports up to seven user-defined daily timestamps (e.g., 8:30, 9:30, 10:00) with individual toggles, custom colors, and unique labels.
- **Higher Timeframe (HTF) Opens**: Automatically plots current and previous levels for Daily (DO/PDO), Weekly (WO/PWO), Monthly (MO/PMO), Quarterly (QO/PQO), and Yearly (YO/PYO) opens.
- **Intersection Confluence Logic**: A specialized algorithm that identifies when multiple timeframe opens coincide at the same price level. It dynamically updates the label to show all overlapping opens, such as "DO / WO / MO" or "PDO / PMO".
- **Lookback & Visual Control**: Users can define a lookback period (up to 20 days) for historical lines and adjust the label/line distance to the right of the current bar.
### ### 2. Session Tracking & Asia "Vodo"
Provides automated visual boxes and levels for major trading sessions and "Kill Zones" (KZ).
- **Institutional Sessions**: Visualizes London (lokz), New York AM, New York PM, and Asia (askz) sessions.
- **Dynamic Range Visuals**: Sessions are drawn with "legs" that connect the session high/low range to the price action for clear visual reference.
- **Asia Range + Vodo Levels**: Beyond standard session highs and lows, this module plots specific **"Vodo" Fibonacci-style deviations**. These include fixed offsets at 0.225, 0.25, and 0.272, with an optional 0.35 deviation toggle for both upper and lower expansions.
### ### 3. Wick Theory & Quadrant Levels
This feature identifies pivot highs and lows to highlight price "wicks" as potential institutional reaction zones.
- **Wick Detection**: Uses a customizable "Wick Aggression" length to identify pivot points.
- **Mitigation Logic**: Areas can be set to "mitigate" (disappear) once price retraces into the 50% midpoint of the wick.
- **Quadrant Analysis**: Displays 25%, 50%, and 75% levels within a detected wick to pinpoint precise internal institutional levels.
- **Future Extension**: Wick boxes and quadrant lines are extended into the future by a user-defined bar count.
### ### 4. New Week Opening Gaps (NWOG)
The indicator detects and tracks the physical price gaps created between the previous week's close and the new week's open.
- **Visual Tracking**: Displays a user-defined number of the most recent weekly gaps on the chart.
- **Gap Anatomy**: Each gap includes visual levels for the Gap Top, Gap Bottom, and the Midline (Consequent Encroachment).
### ### 5. SDM Time Window Highlight
The **SDM** feature serves as a specialized **time window highlight** designed to mark specific institutional periods.
- **Visual Zones**: Creates a vertical highlight for specific time windows, such as 9:30 AM to 11:00 AM New York Time.
- **Infinite Vertical Span**: These highlights use a "practically infinite" vertical span, ensuring the highlight remains visible across all price levels regardless of market volatility.
- **History Management**: Automatically manages a history of these windows based on a "Maximum Days Lookback" setting to prevent chart clutter.
### ### 6. Technical Utilities & Customization
- **GMT Offset**: Includes a GMT offset input to align key market opens with specific broker or local time settings.
- **Global Visual Settings**: Users can customize line widths, label sizes, and colors for all session boxes and timeframe opens.
- **Multi-Timeframe Security**: Utilizes `request.security` with `lookahead_on` to ensure accurate and reliable historical data for higher timeframe opens.
dextrades smt+cisd+liquidity poolsThis Pine Script indicator, the Institutional Sweep Suite + Dashboard, is a comprehensive technical analysis tool designed for Inner Circle Trader (ICT) and SMC (Smart Money Concepts) traders. It focuses on identifying liquidity raids, session highs/lows, and Intermarket Divergence (SMT).
Here is a breakdown of how the indicator works and how you can integrate it into your trading strategy.
## Core Features
1. Liquidity Pool Tracking
The script automatically identifies and tracks key institutional liquidity levels from higher timeframes (HTF):
* Daily: Previous Day High (PDH) and Low (PDL).
* Weekly: Previous Week High (PWH) and Low (PWL).
* Monthly: Previous Month High (PMH) and Low (PML).
2. Session Range Mapping
It tracks specific price boundaries for the major trading sessions (mapped to New York time):
* Asia Range: 8:00 PM – 12:00 AM (20:00–00:00).
* London Range: 2:00 AM – 5:00 AM (02:00–05:00).
* New York: Monitors for sweeps of the Asia/London ranges during the NY session.
3. SMT Divergence & CISD
* SMT (Smart Money Technique): It compares the current asset (e.g., NQ) with a correlated symbol (e.g., ES). If one makes a new high/low while the other fails to do so, it signals an SMT divergence, suggesting institutional manipulation.
* CISD (Change in State of Delivery): Marked by small white triangles, these indicate an immediate shift in price momentum following a sweep, signaling that the "state of delivery" has likely flipped.
4. Real-Time Dashboard
A clean table in the top-right corner summarizes which liquidity pools have been "Swept" and which remain "Untouched" for the current day.
## How to Use It
Step 1: Identify the Sweep
Watch for price to trade above a high (like PDH or Asia High) or below a low. The script will generate a label if the price pierces the level but closes back within the range (a "Stop Run").
Step 2: Look for Confirmation
A sweep alone is just a hint. Look for the script to add:
* +SMT Label: This is a high-conviction signal indicating that the correlated markets are de-syncing at a key level.
* CISD Triangle: After the sweep, look for the white triangle. This confirms that price is moving away from the liquidity pool with intent.
Step 3: Execution
* Bearish Setup: Price sweeps a High (PDH/PWH/Asia H), an SMT divergence appears, and a bearish CISD (downward triangle) forms. Target the opposing liquidity (e.g., Asia Low).
* Bullish Setup: Price sweeps a Low (PDL/PWL/Asia L), an SMT divergence appears, and a bullish CISD (upward triangle) forms. Target the opposing liquidity (e.g., London High).
## Recommended Settings
* Correlated Symbol: If you are trading Nasdaq (NQ), set the SMT Comparison Symbol input to CME_MINI:ES1! (S&P 500). If trading EURUSD, set it to DXY (US Dollar Index).
* Timeframe: This suite is most effective on the 1-minute to 15-minute timeframes for intra-day entries.
> Note: The script uses New York time (America/New_York) for session calculations. Ensure your chart's timezone is synced or adjust the input if you operate in a region with different daylight savings rules.
IMPORTANT set pivot look back to 10, set nq settings to smt alert and set es settings to liquidity sweep must have indicator on both tickers
ICT Sessions & Levels Pro |MC|💎 ICT Sessions & Levels Pro™ |MC| 💎
🔸 This Indicator is a comprehensive intraday market structure and session analysis tool inspired by ICT concepts.
It automatically plots key Daily and Weekly reference levels such as:
🔹 PDH/PDL, PD.EQ, PD Quarter Levels (25% / 75%),
🔹 Day Open (D.O),
🔹 Week Open (W.O),
🔹 Midnight True Open (M.O),
🔹 Previous Week High/Low and EQ (PWH/PWL, PW.EQ),
all based on true higher-timeframe data.
🔸 In addition, the script highlights major trading sessions (Asia, London, New York AM, Lunch, and New York PM) with configurable ranges, boxes, lines, and extended levels, including optional alerts when session highs or lows are breached.
🔸 Designed for intraday traders, this indicator helps visualize liquidity, equilibrium, and session context with clean labeling, customizable styles, and controlled historical depth — keeping the chart informative without clutter.
🔹 Warning: Do not trade based on this indicator alone. Always use it in combination with other
analysis and risk management techniques.
⚠️ Disclaimer ⚠️
This indicator is for educational and analytical purposes only.
It does not provide financial advice or trading signals.
Always apply proper risk management.
Happy Trading!
High Breakout PRO - Huy Hoang Trader
# High Breakout PRO - Huy Hoang Trader - Strategy Description
## 🚀 Overview
**High Breakout PRO** is a professional-grade Trend Following strategy designed to capture major market moves while strictly managing risk. Built on the core philosophy of "Price Action Breakouts," this script enhances the classic Donchian Channel breakout method with modern risk management tools like the **Hybrid Exit** and **EMA Trend Filter**.
This strategy is optimized for **Gold (XAUUSD)**, **Bitcoin (BTC)**, and **Major Stocks (AAPL, AMZN)** on **H4 and Daily** timeframes.
## 💎 Key Features
1. **Trend Filter (EMA):** Only takes long positions when the price is above the 200-period EMA. This filters out counter-trend noise and significantly improves winning probability.
2. **Hybrid Exit Mechanism ("Holy Grail"):** A unique dynamic trailing stop that combines:
* **Price Structure:** Uses the lowest low of the last Y bars (Donchian Support).
* **Volatility:** Uses ATR-based trailing (Chandelier Exit logic).
* *Logic:* The system automatically chooses the **tighter** (higher) stop level between the two, ensuring you lock in profits rapidly during strong volatility while giving the trade room to breathe during accumulation.
3. **Professional Visuals:** A refined "Wealth & Earth" themes (Gold/Silver/Brown) specifically designed to reduce eye strain and provide clear, professional signal visibility without chart clutter.
## 🛠 Strategy Logic
### entry rules
* **Breakout:** Price closes above the Highest High of the last `X` bars (Default: 20).
* **Trend Confirmation:** Closing Price > EMA 200 (Configurable).
### Exit Rules
* **Dynamic Stop Loss:** The trade is closed when price breaches the **Hybrid Trailing Stop**.
* The Trailing Stop never moves down. It only moves up as price increases.
* It effectively adapts to both slow-grinding trends and explosive spikes.
## ⚙️ Best Settings (Recommended)
* **Timeframe:** H4 (Swing Trading) or Daily (Position Trading).
* **Entry Period (X):** 20
* **Exit Period (Y):** 10
* **Trend Filter:** ON (EMA 200)
* **Risk Management:** Hybrid Mode (ATR Multiplier 3.0)
## ⚠️ Disclaimer
This strategy follows trends. It may experience drawdowns during choppy/sideways markets. Always use proper risk management (position sizing) and backtest on your specific asset before live trading.
---
*Developed by Antigravity. Empowering traders with institutional-grade tools.*
Contact for work: www.facebook.com
ORB + Smart Level Manager [FINAL V9.2 - CD Universal Cycle]Professional Intraday Level Manager for Indian Indices:
Overview Index Smart Levels is a comprehensive technical suite designed for Nifty 50, Bank Nifty, and Sensex traders. Unlike standard pivot indicators, this script uses a mathematical "ladder" logic and multi-timeframe ORB analysis to identify high-probability institutional support and resistance zones.
🚀 Key Features Bulletproof Stability Logic (6HR Auto-Hold):
Engineered to handle special trading sessions (like Muhurat or Budget days). The script locks strikes to the previous settlement price and only "flips" to new data 6 hours after market close (09:30 PM IST), ensuring your levels remain static and updates the revised settlement price reliable during live trading.
Mathematical T & L Series Ladders:
Uses ORB to project dynamic "Target" (T) and "Level" (L) series support/resistance lines. Sure targets. Shows only current day.
Hybrid Option Cross-Plotting:
Automatically detects the correct ATM strike for both CALL and PUT, which will decide the market moving levels and shown as dashed reference lines. This concept works most efficiently.
Smart Market Status Table:
A real-time dashboard tracking Trend (Day/2H/1H/15M), RSI, ADX Trend Strength, SMC (Break of Structure), and Momentum in one compact view. It will show in first 15 mins, whether the market is trending bullish/bearish or Range.
📖 How to Use Opening Range:
Watch for price action relative to ORB. Mostly MID lines will confirm the direction, if the first 15 mins is above MID then it may be bullish then watch for the Targets and if the first 15 mins is below MID then it may be bearish then watch for the negative Targets. Side ways, refer to day trend status in the market status table for trending or range.
Ladder Targets:
Use the T-Series for short-term scalp targets and the L-Series for major intraday reversals. if the Target lines been broken strongly then it will reach next target for sure except, if L series lines are not before the target lines. Even market can go multiple targets, this script will automatically show the next targets/levels.
Cross-Plot Confirmation:
Use the dashed purple/red/green lines to see where the market is trapped or finding strength. If any Low has been broken then it has high probability to reach or break the high.
ICC Scanner Pro X🔬 ICC SCANNER PRO X
Trade with the same logic that moves markets.
This professional-grade Institutional Cycle scanner fuses ICC (Indication → Correction → Continuation), Smart Money structure, and multi-timeframe confluence into one precision engine built for serious traders.
Automatically maps institutional market structure, highlights high-probability phases of the cycle, and delivers non-repainting signals with structure-based stops, dynamic targets, and real-time objective tracking.
Built for Gold, Futures, Forex, and Crypto, this tool doesn’t chase price — it positions you alongside institutional flow, giving you clarity, confidence, and a decisive edge in any market condition.
🎯 WHAT IT DOES
ICC Scanner Pro X detects institutional market structure by tracking three phases:
1️⃣ INDICATION - New swing breaks structure (HH or LL)
2️⃣ CORRECTION - Price retraces, smart money accumulates
3️⃣ CONTINUATION - Breakout signal fires (BUY/SELL)
The indicator automatically identifies these phases and alerts you to high-probability continuation entries that align with institutional flow.
⚡ KEY FEATURES
✅ Non-Repainting Signals - All entries confirmed on bar close only
✅ Multi-Timeframe Analysis - HTF alignment filter for higher win rates
✅ Adaptive Profiles - Auto-adjusts to Scalping, Intraday, Swing, or Entry mode
✅ Real-Time Target Tracking - Visual ✓TP1, ✓✓TP2, ✗SL markers when targets hit
✅ Structure-Based Stops - Intelligent SL placement at swing structure
✅ Dynamic Support/Resistance - Current zones + historical levels as dotted lines
✅ Consolidation Detection - Shaded correction boxes during pullbacks
✅ Live Phase Display - Info table shows current ICC state in real-time
✅ 15+ Alert Conditions - Entry, phase change, and target hit notifications
✅ Full Customization - Every color, size, and position adjustable
📊 THE ICC CYCLE
The market moves in repeating phases across all timeframes:
▸ INDICATION PHASE
A higher high (bullish) or lower low (bearish) breaks previous structure. This signals institutional intent and sets the directional bias. Marked with "IND" label at the swing point.
▸ CORRECTION PHASE
Price retraces against the indication direction. This is the accumulation zone where smart money builds positions. You'll see waiting arrows (↑ or ↓) and a gray consolidation box overlay.
▸ CONTINUATION PHASE
Price breaks back through the indication level or out of the correction range. BUY/SELL signals fire here - the optimal entry point with defined risk.
▸ NO SETUP / TREND DRIFT
Between cycles, the indicator waits for new structure. "Trend Drift" appears when price continues in the prior trend direction without a formal setup.
🚦 SIGNAL TYPES
CONTINUATION ENTRIES (Primary Signals):
🟢 BUY - Bullish continuation, correction complete
🟢 BUY+ - Bullish continuation WITH HTF alignment (strongest)
🔴 SELL - Bearish continuation, correction complete
🔴 SELL+ - Bearish continuation WITH HTF alignment (strongest)
REVERSAL ENTRIES (Optional - Off by default):
🟡 ⚠BUY - Counter-trend bullish breakout
🟡 ⚠SELL - Counter-trend bearish breakout
STRUCTURE MARKERS:
🔺 Green Triangle - Swing Low detected (support)
🔻 Red Triangle - Swing High detected (resistance)
IND - Indication label at confirmed swing point
↑ / ↓ - Waiting arrows during correction phase
TARGET HIT MARKERS:
✓TP1 - First take profit reached (with horizontal line)
✓✓TP2 - Full target reached (with horizontal line)
✗SL - Stop loss triggered (with horizontal line)
⚙️ ADAPTIVE PROFILES
The indicator auto-adjusts swing detection based on your selected profile:
ENTRY PROFILE
→ For examining entry precision on lower timeframes
→ Tighter swing detection, faster correction recognition
→ Best on: 1-5 minute charts
SCALPING PROFILE
→ More signals, faster structure detection
→ Quicker to recognize corrections and continuations
→ Best on: 1-15 minute charts
INTRADAY PROFILE (Default)
→ Balanced ICC behavior
→ Standard swing lengths and consolidation timing
→ Best on: 5-30 minute charts
SWING PROFILE
→ Fewer but stronger signals
→ Requires more bars to confirm structure
→ Best on: 30min - Daily charts
Each profile automatically adjusts:
• Swing Length (bars to confirm swing high/low)
• Consolidation Bars (bars before correction is recognized)
• Wiggle Percentage (buffer around S/R levels)
🎯 MULTI-TIMEFRAME ANALYSIS
HIGHER TIMEFRAME FILTER
Enable "Filter Entries by HTF Direction" to only take signals that align with the higher timeframe trend:
• BUY signals only fire when HTF is bullish
• SELL signals only fire when HTF is bearish
• Aligned signals show as BUY+ / SELL+ (brighter colors)
HTF VISUAL ELEMENTS
• HTF Support/Resistance boxes (dashed borders)
• HTF Bias label showing current HTF direction
• Configurable HTF timeframe (default: 4H)
*This filter significantly improves win rate by avoiding counter-trend trades.
📐 RISK MANAGEMENT
TP/SL LINES & LABELS
After each confirmed entry, the indicator displays:
• ENTRY line (blue) - Your entry price
• SL line (red dashed) - Stop loss level
• TP1 line (green dashed) - First target
• TP2 line (green dotted) - Full target
Lines remain visible for configurable duration (default: 10 bars).
STOP LOSS OPTIONS
Structure-Based Stop (Recommended):
• Longs: SL below recent swing low
• Shorts: SL above recent swing high
• Tightness factor: 1.0 = at swing, 0.5 = halfway to entry
• Max ATR cap prevents oversized stops
ATR-Based Stop (Fallback):
• Uses ATR multiple when structure unavailable
• Default: 1.0x ATR
TAKE PROFIT LEVELS
• TP1: Default 1:1 risk/reward (1R)
• TP2: Default 2:1 risk/reward (2R)
• Both configurable via R-multiple inputs
🔔 ALERTS AVAILABLE
ENTRY ALERTS:
• 🟢 Any BUY Signal
• 🔴 Any SELL Signal
• 🟢 BUY (Continuation)
• 🟢 BUY+ (HTF Aligned)
• 🔴 SELL (Continuation)
• 🔴 SELL+ (HTF Aligned)
• 🟡 ⚠BUY (Reversal)
• 🟡 ⚠SELL (Reversal)
PHASE ALERTS:
• 📈 Bullish Indication Detected
• 📉 Bearish Indication Detected
• 📊 Entered Correction Phase
• ⬜ Entered Neutral Range
SETUP ALERTS:
• ⏳ Waiting for BUY Entry
• ⏳ Waiting for SELL Entry
TARGET ALERTS:
• 🎯 TP1 Hit
• 🎯🎯 TP2 Hit (Full Target)
• 🛑 Stop Loss Hit
• 🎯 Any TP Hit
Alert frequency options: Every Tick, Once Per Bar, Once Per Bar Close
📈 VISUAL ELEMENTS
SUPPORT/RESISTANCE ZONES
• Current zones shown as filled boxes (green = support, red = resistance)
• Historical zones shown as dotted horizontal lines
• Configurable number of historical levels (0-10)
CONSOLIDATION BOX
• Gray dashed box appears during correction phase
• Shows the correction range boundaries
• Helps visualize breakout levels
PHASE BACKGROUND
• Subtle background shading by market phase
• Green tones = bullish phases
• Red tones = bearish phases
• Gray = neutral/consolidation
• Tan = continuation entry bar
• Auto-hides on ≤15min charts for cleaner view
INFO TABLE
• Real-time ICC phase display
• Current indication level
• Last swing high/low values
• Active swing length setting
• Last signal direction
• HTF phase status
• 9 position options, adjustable size
• Vertical or horizontal orientation
🎨 CUSTOMIZATION
LABEL SETTINGS:
• Independent sizing for TP/SL, Signals, and IND labels
• All label colors fully customizable
• TP/SL label offset distance
• Target hit label positioning (left/right)
• Target hit line length
• Show/hide prices on TP/SL labels
TABLE SETTINGS:
• 9 position options (corners, edges, center)
• 6 size options (Tiny to Huge)
• Vertical or Horizontal orientation
• Full color scheme customization
• High-contrast dark theme by default
DISPLAY OPTIONS:
• Show/hide reversal entries
• Show/hide indication labels
• Show/hide phase background
• Number of historical S/R zones
• Phase background transparency
📚 HOW TO USE
1. Add indicator to your chart
2. Select your Profile (Scalping / Intraday / Swing)
3. Watch for INDICATION (IND label at new swing)
4. Wait for CORRECTION (↑ or ↓ arrows, gray box)
5. Enter on CONTINUATION (BUY / SELL label)
6. Set stop at SL line, target TP1 or TP2
7. Watch for ✓TP1, ✓✓TP2, or ✗SL markers
PRO TIPS:
✓ Start with HTF Filter ON for higher win rate trades
✓ BUY+ and SELL+ signals are highest probability
✓ Use structure-based stops for better risk placement
✓ Take profit at TP1 for consistency, TP2 for trends
✓ Reduce historical zones if chart feels cluttered
📈 RECOMMENDED MARKETS
BEST PERFORMANCE:
• Gold Futures (GC, MGC)
• Index Futures (ES, NQ, YM, RTY)
• Forex Majors (EUR/USD, GBP/USD, USD/JPY)
• Crypto (BTC, ETH)
• Stocks with good liquidity
TIMEFRAME GUIDELINES:
• Entry Profile: 1-5 min
• Scalping Profile: 1-15 min
• Intraday Profile: 5-30 min
• Swing Profile: 30min - Daily
🔧 SETTINGS QUICK REFERENCE
CORE SETTINGS:
• Auto Profile: Scalping / Intraday / Swing / Entry
• Use Manual Settings: Override auto-detection
• Manual Swing Length: 3-50 bars
• Manual Consolidation Bars: 3-100 bars
• Consolidation Wiggle: 0-5%
MULTI-TIMEFRAME:
• Show HTF S/R Boxes: On/Off
• Higher Timeframe: Default 240 (4H)
• Filter Entries by HTF: On/Off
RISK MANAGEMENT:
• Show TP/SL Lines: On/Off
• TP/SL Display Duration: 1-100 bars
• Use Structure Based Stop: On/Off
• Structure SL Tightness: 0.1-1.0
• Max Structure SL (ATR): 0.1-10.0
• ATR SL Multiple: 0.1+
• TP1 R-Multiple: 0.1+
• TP2 R-Multiple: 0.1+
⚠️ DISCLAIMER
This indicator is for educational and informational purposes only. It does not constitute financial advice. Past performance does not guarantee future results. Trading involves substantial risk of loss. Always use proper risk management and never trade with capital you cannot afford to lose.
🔬 Trade smarter. Trade with structure.
---------------------------------------------------------------
RELEASE NOTES:
---------------------------------------------------------------
Version 1.0 - Initial Release
• Institutional Cycle Concepts (ICC) market structure detection
• Adaptive profiles: Entry, Scalping, Intraday, Swing
• Multi-timeframe HTF alignment filtering (BUY+/SELL+)
• Non-repainting signals confirmed on bar close
• Structure-based and ATR-based TP/SL calculation
• Real-time target hit markers (✓TP1, ✓✓TP2, ✗SL)
• Dynamic S/R zones with configurable historical levels
• Consolidation box overlay during correction phase
• Live info table with phase display
• 15+ alert conditions (entry, phase, target)
• Full visual customization (labels, table, colors)
• High-contrast dark theme table design
Multi Dashboard 10 Assets - Heatmap and AlertsMulti-Asset Dashboard & Master Alert System
Description
This indicator is designed for traders who monitor multiple assets simultaneously and want to centralize their key levels (Support & Resistance) into one single view. Instead of opening 10 different charts to draw lines and set individual alerts, you can manage everything from one master interface.
The script features a real-time Heatmap Dashboard that calculates the percentage distance to your predefined levels and highlights assets that are approaching a point of interest.
Key Features
* Centralized Management: Input symbols and levels (R1, R2, S1, S2) for up to 10 assets in one place.
* Smart Dashboard: A top-right table showing current prices and the % distance to each level.
* Proximity Heatmap: Cells light up (Red for Resistance, Green for Support) when the price is within a user-defined threshold (e.g., 0.5% from the level).
* Master Alert System: Uses a single trigger variable to monitor all 40 levels across all 10 assets simultaneously.
* Dynamic Charting: Automatically plots the relevant R1/R2/S1/S2 lines and labels ONLY for the asset you are currently viewing.
How to set up the Alert (Step-by-Step)
To activate the background monitoring for all assets, you must create a manual alert in TradingView:
1. Open the Alert Menu: Click the Clock icon in the right-hand sidebar or press Alt + A.
2. Condition: Select this indicator: "Master Dashboard 10 Assets - Heatmap Final".
3. Trigger Variable: In the second dropdown, select "Master Alert Trigger".
4. Operator: Select "Greater Than" and set the value to 0.
5. Frequency: Select "Once Per Bar" to prevent spam if the price lingers on a level.
6. Notification: Choose your preferred method (Notify in App, Desktop Popup, or Email).
7. Create: Click "Create".
Now, regardless of which chart you are currently looking at, the system will monitor all 10 assets and alert you the moment any of them crosses a predefined level.
User Settings
* Dashboard Warning Distance %: Adjust how close the price needs to be before the dashboard cells light up.
* Enable/Disable: Use the checkbox for each asset to include/exclude it from the dashboard and alert system.
* Symbol Input: Use the search icon to find the correct ticker (e.g., BINANCE:BTCUSDT or OANDA:XAUUSD).
Technical Information
* Pine Script Version: 5
* Resource Management: Uses optimized request.security calls (max 10) to ensure high performance and stability without exceeding TradingView's limits.
* Compatibility: Works on all timeframes. For the most accurate proximity alerts, the 1-minute or 5-minute timeframe is recommended.
This script was developed to solve the frustration of missing levels on secondary tickers while focused on a main chart.
A huge thanks to @clashcharts for the inspiration and levels.
CapitalFlowsResearch: CB LevelsCapitalFlowsResearch: CB Levels — Policy Path Mapping for STIR & Rates Traders
CapitalFlowsResearch: CB Levels provides a structured, policy-anchored framework for interpreting short-term interest rate futures. Instead of treating STIR pricing as an abstract number, the indicator converts central bank settings—such as the official cash rate, expected hike/cut increments, and basis adjustments—into a clear ladder of explicit rate levels. These levels are then projected directly onto the price chart as horizontal reference bands.
The tool automatically builds a series of future policy steps (e.g., +25bp, +50bp, –25bp, etc.) based on user-defined increments and direction, allowing traders to visualise where the current contract sits relative to hypothetical central bank actions. By plotting settlement levels and multiple forward steps, the script creates a transparent “policy grid” that traders can anchor against when evaluating mispricings, risk/reward asymmetry, or scenario outcomes.
Discreet labels—placed periodically to avoid clutter—identify each policy step in bp terms, making the chart readable even when zoomed out. Whether the mode is set to Cuts or Hikes, the tool instantly recalibrates the entire ladder, offering a consistent structure for comparing different contracts or central bank paths.
In practice, CB Levels acts as a policy-path overlay for futures traders, helping them contextualise market pricing relative to central bank intent, quantify potential repricing ranges, and understand where key inflection levels lie—without revealing the underlying calculation methods that generate the steps.
Trend Pro by ysfgnrADVANCED MARKET STRUCTURE & TECHNICAL ANALYSIS TOOL
This indicator is a comprehensive technical analysis tool designed to combine market structure behavior, trend dynamics, liquidity-aware price action, momentum analysis, and risk management into a single, highly configurable system.
Its modular design allows traders to enable only the components they need, keeping the chart clean and focused.
🔹 STYLE
MA → MA (Smoothing)
Applies a secondary smoothing moving average over the main moving average to reduce noise and provide a clearer visualization of trend direction and strength.
🔹 MONEY STRUCTURE ANALYSIS
BOS (Break of Structure)
Automatically detects structural breaks in price action, highlighting continuation or strengthening of the current trend.
CHoCH (Change of Character)
Identifies key moments where the behavior of price changes, often signaling potential trend reversals or transitions.
Order Blocks
Automatically marks significant supply and demand zones formed after structural breaks. These areas can act as potential reaction or continuation zones.
Equal High / Equal Low (EQH / EQL)
Detects equal highs and equal lows, highlighting liquidity concentration areas often associated with stop runs and breakout scenarios.
Fair Value Gap (FVG)
Identifies price imbalance zones created by strong impulsive moves. Mitigated gaps are automatically removed to keep the chart clean.
🔹 MOVING AVERAGES
Moving Average One
Moving Average Two
Moving Average Three
Up to three fully customizable moving averages with selectable source, type, length, and color. Suitable for short-, mid-, and long-term trend analysis.
🔹 PIVOT HIGH / LOW ANALYSIS
Pivot High / Low Points
Displays swing high and swing low points directly on the chart for clear structural reference.
Pivot High / Low Support & Resistance
Generates dynamic support and resistance zones based on pivot points and tracks price interaction with these zones.
Pivot High / Low Trendlines
Automatically draws High→High and Low→Low trendlines. Breakouts can be confirmed by candle close and used for alerts.
🔹 PIVOT POINTS STANDARD | TYPE: FIBONACCI
Plots Fibonacci-based standard pivot levels using a selectable timeframe, providing key reference levels for intraday and higher-timeframe trading.
🔹 RANGE DETECTOR
Identifies consolidation ranges based on price and volatility. Clearly distinguishes between unbroken ranges and upward/downward breakouts using color coding.
🔹 RSI-BASED CANDLE COLORING
Colors candles based on RSI values to visually represent momentum, overbought, oversold, and neutral conditions directly on price.
🔹 BREAKOUT CONFIRMATION & ALERT LOGIC
Allows confirmation of breakouts based on candle close. Includes alert conditions for:
Trendline breakouts
Support and resistance zone entries
🔹 RISK MANAGEMENT → ATR
Displays ATR-based volatility information in both price and percentage terms to assist with position sizing and risk awareness.
🔹 TREND CONFIRMATION
MA → MA (Smoothing)
Multi-timeframe trend confirmation using moving average alignment, summarized in a compact table.
RSI
Multi-timeframe RSI values with bullish and bearish thresholds to assess trend strength and momentum alignment.
🔹 TABLE
Summarizes trend, momentum, and risk data in a single table with adjustable position and size for optimal chart placement.
⚠️ Disclaimer
This indicator is not a trading strategy. It is intended for analysis and decision support only and does not constitute financial advice.
ICT Liquidity Engine Free ICT Liquidity Engine is a clean and reliable indicator designed to automatically track key liquidity levels from the Asia and London sessions, based on ICT concepts.
It helps traders clearly identify where liquidity is building and where it is being taken, in real time, without repainting or manual drawing.
🔍 Key Features
Asia High / Low LIVE (02:00–06:00 Paris)
London High / Low LIVE (08:00–11:00 Paris)
Real-time updates during each session
Automatic freeze at session close
Independent removal of High or Low once liquidity is taken
No repaint – replay-safe (1m-based calculations)
Works on all timeframes
🎯 Why use ICT Liquidity Engine?
Save time: no more manual session levels
Cleaner charts, clearer context
Ideal for spotting:
liquidity sweeps
session reactions
high-probability ICT environments
This free version is intentionally simple, fast, and robust, serving as a foundation tool for more advanced ICT models (FVG, IFVG, market structure, etc.).
📈 Markets
Futures (ES, NQ, DAX, etc.)
Forex
Indices
(Works on all assets – optimized for institutional markets)
ℹ️ Notes
This indicator is 100% free and will continue to evolve.
An advanced version with FVG / IFVG detection, multi-timeframe filters, and smart alerts is currently in development.
🔥 Use it as a base. Build your edge on top of it.
RJC MTF High/Low Liquidity Levels ORBA multi-timeframe liquidity map designed for intraday futures trading (especially US open) with UK-session context. It automatically plots key HTF highs/lows, Asia and London session extremes, and a 13:00–13:15 UK Opening Range (ORB) with midpoint. It also estimates “bounce likelihood” and a directional lean using simple, transparent proxies (confluence, rejection, relative extreme volume, and ATR-based distance).
What it shows
1) Higher-Timeframe Liquidity Levels (MTF High/Low)
4H High / Low
Daily High / Low
Weekly High / Low
Monthly High / Low
Quarterly High / Low
Yearly High / Low (computed using a daily engine for reliability on intraday charts)
These levels plot as line breaks so they extend cleanly without clutter.
2) Session High/Low Levels (UK time)
Asia session: 23:00–06:00
London session: 08:00–12:00
Each session records:
Session High & Low
The volume on the bar that set the high and the volume on the bar that set the low
A relative “liquidity ratio” for each side (high-side vs low-side), based on an EMA-style average of past extremes
3) ORB: 13:00–13:15 UK (15m)
Draws the ORB range box
Plots ORB high, ORB low, and midpoint (dashed)
Extends the ORB structure across the session (to 21:00 UK in this script)
4) New York window shading
Optional shading for 14:30–21:00 UK (light white background) to keep you visually anchored to the main trading window.
Bounce Likelihood (table + labels)
For each level, the script produces a Bounce % score (1–95%) using:
Base weight (higher TF levels carry more weight than lower TF)
Confluence bonus: nearby levels within a threshold (ATR15-based)
Rejection bonus: if the current 15m candle shows a rejection at that level
Extreme volume bonus: if the bar that set the high/low had unusually high volume vs its rolling extreme average (separate for highs and lows)
Distance penalty: if price is far from the level (ATR15-based)
This is not a prediction engine. It’s a quick way to prioritise which levels are most “relevant” right now.
Direction column (quick lean)
The Direction column combines:
Whether the level is currently acting as support (below price) or resistance (above price)
Nearby candle behaviour (rejection/acceptance/break logic)
A simple 15m EMA trend filter (9 vs 21)
Outputs include:
↑ Bounce / ↓ Bounce
↑ Break / ↓ Break
↑ Lean / ↓ Lean
Or neutral arrows when conditions are mixed
Inputs (key ones)
Display
Toggle each HTF level set (4H/D/W/M/Q/Y)
Toggle Asia + London sessions
Toggle ORB drawing and NY shading
Toggle labels on chart and the info table
Behaviour + Liquidity Proxies
Confluence Threshold (ATR15 multiplier): how close levels must be to count as confluence
Relevance Distance (ATR15 multiplier): how quickly far-away levels get penalised
Extreme Vol Avg Length: the smoothing length for “extreme volume” averages
Recommended usage
Use the plotted highs/lows as targets, decision points, and areas to expect stops/liquidity.
Use the table to quickly spot:
Which levels have strong confluence
Which extremes were set on unusually high volume
Which levels are closest and most relevant right now
Pair with your price action rules (sweeps, reclaim, midpoints, ORB logic) rather than trading the score alone.
Notes / limitations
“Liquidity ratio” here is a proxy using volume-at-extreme vs a rolling average of extreme volumes. It is not order book data.
Session and ORB calculations are done using 1m data for precision; the HTF extreme engine runs on 15m (and yearly uses daily) to stay stable and performant.
Best results on intraday charts (1m–15m) where the ORB/session logic matters most.
Version
v6 – MTF highs/lows, session extremes with separate high/low volume ratios, ORB 13:00–13:15 UK with midpoint + session shading, plus bounce scoring and direction lean table.
INCEPTEDGE NIFTY OPTIONSMarkets move with structure, not chaos — if you know where to look.
Our Pivot, SMA & VWAP–based indicator is designed to identify institutional levels, trend direction, and high-probability trade zones with absolute clarity.
Pivot Points highlight key support & resistance where price reacts again and again.
SMA (Simple Moving Average) defines the true market trend — no lagging noise, no guesswork.
VWAP (Volume Weighted Average Price) reveals fair value, showing where smart money is active.
ORB + Index Smart Level Manager [FINAL V8.40 - Historical Days]Professional Intraday Level Manager for Indian Indices:
Overview Index Smart Levels is a comprehensive technical suite designed for Nifty 50, Bank Nifty, and Sensex traders. Unlike standard pivot indicators, this script uses a mathematical "ladder" logic and multi-timeframe ORB analysis to identify high-probability institutional support and resistance zones.
🚀 Key Features Bulletproof Stability Logic (6HR Auto-Hold):
Engineered to handle special trading sessions (like Muhurat or Budget days). The script locks strikes to the previous settlement price and only "flips" to new data 6 hours after market close (09:30 PM IST), ensuring your levels remain static and updates the revised settlement price reliable during live trading.
Mathematical T & L Series Ladders:
Uses ORB to project dynamic "Target" (T) and "Level" (L) series support/resistance lines. Sure targets.
Hybrid Option Cross-Plotting:
Automatically detects the correct ATM strike for both CALL and PUT, which will decide the market moving levels and shown as dashed reference lines. This concept works most efficiently.
Smart Market Status Table:
A real-time dashboard tracking Trend (Day/2H/1H/15M), RSI, ADX Trend Strength, SMC (Break of Structure), and Momentum in one compact view. It will show in first 15 mins, whether the market is trending bullish/bearish or Range.
📖 How to Use Opening Range:
Watch for price action relative to ORB. Mostly MID lines will confirm the direction, if the first 15 mins is above MID then it may be bullish then watch for the Targets and if the first 15 mins is below MID then it may be bearish then watch for the negative Targets. Side ways, refer to day trend status in the market status table for trending or range.
Ladder Targets:
Use the T-Series for short-term scalp targets and the L-Series for major intraday reversals. if the Target lines been broken strongly then it will reach next target for sure except, if L series lines are not before the target lines. Even market can go multiple targets, this script will automatically show the next targets/levels.
Cross-Plot Confirmation:
Use the dashed purple/red/green lines to see where the market is trapped or finding strength. If any Low has been broken then it has high probability to reach or break the high.
DRAW MULTIPLE HORIZONTAL LINES WITH FORMATTING OPTIONSUse these tool developed by Lawrence Mendonca, to draw multiple horizontal lines, separated by a comma and retains the functionality to format the lines
ROBOTRADINGISFUN GROUPThe Premium Reversal Strategy is a systematic analysis of market sentiment based on the confluence of multiple fundamental market variables. This strategy consolidates multiple variables into a single trifecta indicator (Alert 1, Alert 2, and Signal) to anticipate market reversals at pivot points. This strategy does not predict a 'bottom' or 'top' of the market; rather, it anticipates changes in market sentiment between bullish and bearish price action across any time frame and any financial instrument. This strategy is protected by the U.S. Copyright Office.
The trifecta indicator incorporates several important steps in determining a probable market pivot reversal. The free Playbook explaining this strategy and how to follow it is available in the description of our YouTube livestream at youtube.com/@robotradingisfun2021.
CME GAP finderThis indicator automatically detects and displays CME gaps on Bitcoin charts. A CME gap occurs when the CME futures market closes on Friday and reopens on Monday, creating a price gap that often gets filled later.
How it works
Friday 23:00 (Paris time): Marks the CME futures close
Monday 00:00 (Paris time): Marks the CME futures open
The gap zone between these two price levels is displayed as a box
Features
✅ Automatic gap detection – Works on all timeframes
✅ Gap fill tracking – Box turns gray when both levels are touched
✅ Unfilled gap line – Shows a horizontal line while waiting for Monday open
✅ Customizable appearance – Colors, border width, label text
✅ Minimum gap filter – Only display gaps above a certain percentage
✅ Show/hide filled gaps – Option to remove filled gaps from chart
Usage
CME gaps are often used as potential support/resistance zones. Traders watch for price to "fill" these gaps by returning to the pre-weekend levels.
OTE PRO FuturesOTE PRO – Futures HighFreq PRO (SMC)
OTE PRO is a Smart Money Concepts (SMC)–based futures strategy designed to capture institutional displacement moves followed by precise Optimal Trade Entry (OTE) retracements.
The strategy focuses on identifying intent, liquidity displacement, and premium/discount re-entries rather than indicators or lagging signals.
Market StrucLogic
ture
A Market Structure Shift (MSS) is confirmed when price breaks internal structure
- The MSS candle must show strong body expansion relative to ATR, filtering weak or engineered breaks
. MSS defines the directional bias and activates the setup window
Displacement & Liquidity Expansion
- Following MSS, the strategy waits for impulsive displacement
- Displacement is validated by:
- Large candle range relative to ATR
- Optional volume expansion (institutional participation filter)
- This displacement defines the dealing range used for execution
Optimal Trade Entry (OTE)
- After displacement, the impulse high/low is locked
- Entry is placed in the 0.618 Fibonacci retracement zone
- A configurable tolerance accounts for fast, high-frequency market conditions
- If price fails to retrace within the allowed time window, the setup is invalidated
Risk & Trade Management
- Stop Loss: Protected structure (origin of the displacement)
- Partial Take Profit: 50% at the 0.382 Fibonacci level
- Final Take Profit: Liquidity target at the displacement high/low
- All risk parameters are fixed at entry to prevent dynamic repainting
Additional Context
- 200 EMA plotted for higher-timeframe directional awareness
- ATR normalization ensures consistency across instruments
- MSS markers visualize structural shifts clearly
Usage Notes
- Built for futures markets and lower timeframes
- Performs best during high-liquidity sessions
- Not designed for ranging or low-volatility environments
OTE PROOTE PRO – Futures HighFreq PRO (SMC)
OTE PRO is a Smart Money Concepts (SMC)–based futures strategy designed to capture institutional displacement moves followed by precise Optimal Trade Entry (OTE) retracements.
- The strategy focuses on identifying intent, liquidity displacement, and premium/discount re-entries rather than indicators or lagging signals.
Market Structure Logic
- A Market Structure Shift (MSS) is confirmed when price breaks internal structure
- The MSS candle must show strong body expansion relative to ATR, filtering weak or engineered breaks
- MSS defines the directional bias and activates the setup window
Displacement & Liquidity Expansion
- Following MSS, the strategy waits for impulsive displacement
- Displacement is validated by:
- Large candle range relative to ATR
- Optional volume expansion (institutional participation filter)
- This displacement defines the dealing range used for execution
Optimal Trade Entry (OTE)
- After displacement, the impulse high/low is locked
- Entry is placed in the 0.618 Fibonacci retracement zone
- A configurable tolerance accounts for fast, high-frequency market conditions
- If price fails to retrace within the allowed time window, the setup is invalidated
Risk & Trade Management
- Stop Loss: Protected structure (origin of the displacement)
- Partial Take Profit: 50% at the 0.382 Fibonacci level
- Final Take Profit: Liquidity target at the displacement high/low
- All risk parameters are fixed at entry to prevent dynamic repainting
Additional Context
- 200 EMA plotted for higher-timeframe directional awareness
- ATR normalization ensures consistency across instruments
- MSS markers visualize structural shifts clearly
Usage Notes
- Built for futures markets and lower timeframes
- Performs best during high-liquidity sessions
- Not designed for ranging or low-volatility environments
Support and Resistance [tambangEA]Support and Resistance is a multi-level Support/Resistance indicator that automatically maps the nearest price levels above and below the current market using a fractal/pivot-based approach and ATR-adaptive clustering.
Instead of drawing random lines, the script collects pivot highs/lows on your selected timeframe, groups them into dynamic ATR “bins” (so the level spacing adapts to volatility), and then outputs the closest Resistance levels (R1, R2, …) and closest Support levels (S1, S2, …). To avoid flickering when price hovers near a level, it uses an ATR-percentage hysteresis so levels don’t instantly “flip sides” on small moves.
Key Features
Automatic multi-level S/R: draws multiple nearest Supports and Resistances (configurable).
Timeframe to Analyze: calculate levels from a higher/lower timeframe while viewing any chart.
ATR-Adaptive Accuracy: level clustering uses ATR so results stay relevant across low/high volatility markets.
Anti-Flicker Hysteresis (ATR%): reduces rapid switching of S/R when price is near a level.
Optional Dashboard Panel: shows R1/S1, distance to levels in “pips”, bin count, and hysteresis info.
Customizable Visuals: colors, line thickness, and panel styling (corner, colors, borders, transparency, text size).
Performance Controls: limit bars analyzed and cap bin count for faster loading.
How to Use
Choose the Timeframe to Analyze (or leave blank for current).
Adjust Accuracy (High/Medium/Low) to control how tightly levels are clustered.
Set Levels per side to control how many Support and Resistance lines are displayed.
Tune Hysteresis ATR % to reduce level “flicker” (higher = more stable, lower = more reactive).
(Optional) Enable the Panel and set your preferred Pip Mode for distance display.
Notes
“Pip” display depends on symbol type. Use Custom Pip Size for non-FX markets (Gold, indices, crypto) if needed.
No indicator can guarantee profits. Use proper risk management.
ICT Pro [KTY]Hi, I'm Kim Thank You 👋
KTY = Kim Thank You (김땡큐)
【ICT Pro】📊
Essential ICT tools for Smart Money trading.
5 core features to identify institutional order flow and high-probability trade setups.
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💡 NEW TO THIS INDICATOR?
Open Settings and hover over the (i) icon on each feature for detailed tooltips.
Check the 📚 User Guide section at the bottom of Settings for quick reference.
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📊 FEATURES
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✅ Order Block (OB)
Price zones where Smart Money executed large buy/sell orders, acting as strong support/resistance levels.
- Bullish OB: Last bearish candle before an up move → Support
- Bearish OB: Last bullish candle before a down move → Resistance
📈 Box Display Info
- Vol: Volume at OB formation
- (%): Upper/Lower volume balance ratio
- Closer to 100% = Balanced buy/sell
- Lower = Strong one-sided order flow → Stronger S/R zone
📍 OB Body Lines
- Dotted lines showing candle body position within OB
- Use for precise entry points
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✅ Liquidity Zone
Areas where stop-loss orders are clustered around swing highs/lows, becoming targets for Smart Money.
- Buyside Liquidity: Stop-losses above highs where shorts get liquidated
- Sellside Liquidity: Stop-losses below lows where longs get liquidated
- Liquidity Sweep: Price hunts stops then reverses sharply
📈 Box Display Info
- (%): Relative size compared to recent volume
- Higher = More stop orders clustered
- More likely to be a major target for Smart Money
💡 Quick reversal after liquidity break = Reversal signal
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✅ Fair Value Gap (FVG)
A gap created when price moves rapidly between 3 candles, where price tends to return to fill this zone.
- Bullish FVG: Forms during sharp rallies → Acts as support on pullbacks
- Bearish FVG: Forms during sharp drops → Acts as resistance on bounces
- CE (Consequent Encroachment): 50% level of FVG, key reaction level
📈 Box Display Info
- (%): Relative size compared to recent volume
- Higher = FVG formed by stronger move
- Acts as stronger S/R zone
💡 FVG overlapping with OB = Higher reliability
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✅ Market Structure
Analyzes price swing highs/lows to identify current trend and reversal points.
- CHoCH (Change of Character): Trend reversal signal - first sign of direction change
- BOS (Break of Structure): Trend continuation signal - structure break in existing direction
⚙️ Structure Options
- INTERNAL: Short-term structure (fast reaction, more signals)
- EXTERNAL: Long-term structure (slower reaction, higher reliability)
- ALL: Display both internal + external structure
💡 CHoCH = Look for reversal | BOS = Trend continues
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✅ Trend Candles
Candle colors change based on market structure (BOS/CHoCH) direction.
- Bullish Color: After bullish structure break
- Bearish Color: After bearish structure break
💡 Color change = Potential trend shift
💡 Quickly identify overall market direction at a glance
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📈 HIGHER RELIABILITY SETUPS
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- Higher timeframe = More reliable signals
- Multiple features pointing to same price zone
(e.g. OB + FVG overlap = Strong confluence)
- Trend Candles + Market Structure direction aligned
- Quick reversal after Liquidity sweep
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💡 TRADING TIPS
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1. Identify Liquidity targets first
2. Wait for price to reach OB or FVG zone
3. Confirm with Market Structure (CHoCH/BOS)
4. Enter at OB body lines or FVG CE level
5. Stop loss below/above the zone
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⚠️ DISCLAIMER
This indicator is for educational purposes only.
Not financial advice. Always do your own research.
Past performance does not guarantee future results.
DOL [Ricoyda]This indicator is built around the concept of Draw on Liquidity, focusing on how price is naturally attracted to areas where liquidity is resting. It automatically identifies and visualizes key liquidity levels based on market structure, highs and lows, and unfilled price zones.
By highlighting these liquidity pools, the indicator helps traders anticipate potential price targets, reversals, and continuations. Price often seeks liquidity before making its next directional move, and this tool is designed to make that behavior visible and easy to read.






















