Pro Pullback Trading System - All-in-One Multi-Method Indicator Pro Pullback Trading System (PPTS) - All-in-One Multi-Method Indicator with Confluence Scoring
Short Description
A comprehensive pullback trading system combining EMA, Fibonacci, and Structure/Order Block analysis with multi-timeframe confluence, automated risk management, and intelligent scoring—all in one indicator.
Main Description
📊 Overview
The Pro Pullback Trading System (PPTS) is a complete, all-in-one trading solution designed for swing and position traders who want professional-grade analysis without cluttering their charts with multiple indicators. This system intelligently combines three proven pullback detection methods—EMA Pullback (82% win rate), Fibonacci retracements, and Structure/Order Block analysis—with advanced confluence scoring to identify high-probability trade setups.
Whether you're a beginner looking for clear buy/sell signals with automated risk management, or an experienced trader wanting granular control over multi-timeframe analysis and confluence filters, PPTS adapts to your trading style. The indicator automatically calculates entry points, stop losses, and three take-profit targets based on ATR-based risk management, while the optional Chandelier trailing stop helps you lock in profits. The built-in confluence scoring system (out of 100) evaluates trend alignment, RSI, volume, ADX strength, support/resistance proximity, and multi-timeframe agreement to filter out low-quality setups and focus only on the best opportunities.
With customizable candle coloring, real-time dashboards showing multi-timeframe alignment and position sizing, support/resistance zones, order blocks, and session filters for Forex traders, PPTS replaces 10+ separate indicators with one intelligent, unified system.
✨ Key Features
🎯 Triple Detection Methods (Choose Your Style)
EMA Pullback: High win-rate method for clean trend retracements
Fibonacci Levels: 38.2%, 50%, and 61.8% retracement zones
Structure/Order Blocks: ICT-style pivot analysis with automatic order block detection
All Methods Combined: Requires confluence from multiple methods for ultra-selective signals
📈 Advanced Confluence Scoring System
100-point scoring algorithm evaluating 6 factors: trend, RSI, volume, ADX, S/R proximity, MTF alignment
Customizable minimum score threshold (default 60-70 for quality setups)
Real-time dashboard showing score breakdown and bias direction
⏱️ Multi-Timeframe Analysis
Analyzes 3 higher timeframes simultaneously (default: 1H, 4H, Daily)
Optional requirement for all timeframe alignment before signals
Live MTF dashboard with trend direction, ADX strength, and alignment status
🎯 Automated Risk Management
ATR-based stop loss and take profit calculations (3 TP levels)
Customizable risk/reward ratios (default 1.5:1, 2.5:1, 3.5:1)
Chandelier Exit trailing stop for profit protection
Position sizing calculator based on account size and risk percentage
📊 Support/Resistance & Order Blocks
Automatic detection and visualization of key S/R zones
Bullish and bearish order blocks with invalidation tracking
Touch alerts when price approaches critical levels
Structure labels (HH, HL, LH, LL) for market structure analysis
🔍 Smart Filters & Session Control
RSI filter for pullback confirmation
Volume filter (minimum vs average)
ADX trend strength filter (default >20)
Forex session filters (London, NY, Asian) with ICT Kill Zones option
🎨 Visual Clarity
Customizable candle coloring (4 methods: Trend Only, Trend+ADX, Trend+MTF, Full Confluence)
Purple candles for consolidation phases
Clean buy/sell labels with confluence scores
Automated TP/SL line visualization on signals
🔔 Comprehensive Alert System
Buy/Sell signals with entry, SL, and all TP levels
Multi-timeframe alignment alerts
Support/Resistance proximity warnings
Customizable alert frequency (once per bar or all)
💰 Position Sizing Dashboard
Real-time calculation of position size based on account risk
Risk amount in dollars and percentages
Adapts to current ATR and market conditions
🎯 Best For
Swing traders looking for clean pullback entries in established trends
Position traders needing multi-timeframe confirmation
Forex traders using session filters and ICT concepts
Anyone wanting to replace multiple indicators with one comprehensive system
⚙️ Recommended Settings
Swing Trading: 200 Trend MA, 20 Pullback MA, 2.0-2.5x ATR SL
Position Trading: 200 Trend MA, 50 Pullback MA, 2.5-4.0x ATR SL
Confluence Score: 60-70 for balanced selectivity
MTF: 1H/4H/D for swing, 4H/D/W for position trading
📝 Notes
Works on all timeframes and markets (Forex, Stocks, Crypto, Indices)
Non-repainting multi-timeframe analysis
All visual elements customizable (colors, sizes, visibility)
Compatible with TradingView's alert system for automation
🚀 Transform your chart into a complete trading system—analyze, signal, and manage risk all in one indicator.
Points pivots et niveaux
Multilivello - Tandem 15:30
These are levels valid for a period on the reference timeframe. They are updated automatically at the end of the timeframe.
input Multi-Periodo - STABILEcon inserimento OHLC. si tratta di livelli con durata per un periodo di tempo di riferimento
Quantum Wave StructureQuantum Wave Structure (QWS) - Quick Start Guide
The Quantum Wave Structure indicator is designed to find high-probability trade entries by combining Institutional Support Levels (Wave Theory) with Fundamental Quality (Nexus Alpha).
Here is the simple workflow optimized for the 1H - 4H timeframes:
1. Look at the Chart (The "Hunt")
The Levels: The indicator draws blue lines labeled L1 through L8. These are your "Institutional Support Levels."
The Trend:
If the price is above a level and pulling back to it, look for a Buy.
If the price is breaking out (8% above the level), the indicator will trigger an entry.
2. The Entry Rule (Simple Version)
Wait for the Pullback: Don't buy when the price is mooning. Wait for it to touch or sit near an "L" Support Line.
The "Double Green" Signal:
Level Touch: Price is at a Support Level.
RMI Momentum: If the background/cloud turns blue (RMI Buy), your entry probability is highest.
The Entry: Buy when the price breaks 8% above a confirmed support level.
3. Confirm with Nexus Alpha (Fundamental Filter)
Before entering, look at the Nexus Alpha Table (the bottom-right fundamental score).
Score > 70 (Green): Institutional Quality Stock. Safe for longer holds and larger positions.
Score 50-70 (Yellow): Speculative. Use smaller position sizes.
Score < 50 (Red): Avoid, or trade with very tight stop losses.
4. Risk Management (1H-4H Settings)
For the 1H-4H timeframes, these are the recommended "Sweet Spot" settings in the indicator inputs:
Take Profit (TP): 8% to 15%.
Stop Loss (SL): 5% to 8% (below the Support Level).
Rebuy Mode: Enable this if you want the indicator to automatically alert you for a 2nd entry if the price pulls back after a 15% breakout.
# Vantage Wave S/R - Strategy Overview
The **Vantage Wave** is a premium market analysis tool designed to identify high-probability trading opportunities by analyzing long-term market structures. Instead of focusing on day-to-day noise, it looks for significant price movements and identifies the key "resting places" where the market is likely to find support.
## 1. How the Strategy Works
The indicator works in a simple three-step cycle:
1. **The Big Move (Wave 1):** The script first looks for a major "Expansion" move. This is a significant price increase or decrease that represents a change in market direction.
2. **The Validation (Stability Check):** To ensure we aren't chasing "fake" moves, the tool ignores any move that isn't significant enough. It requires:
* A large price range (at least 40% difference between top and bottom).
* A long-term trend (the move must have developed over at least one month).
3. **The Pullback (The Opportunity):** Once a major move is validated, the tool automatically calculates 8 specific horizontal levels (L1 to L8). These are areas where price has historically slowed down or reversed.
## 2. Trading Signals
* **Initial Entry:** The strategy waits for the price to drop/pull back to one of these major levels. It doesn't just buy the level; it waits for a specific price interaction to ensure there is a solid entry point.
* **The "Re-buy" Logic:** Markets are messy. If a price level is broken through, or if a trade closes early, the indicator stays "active" to look for a recovery. It waits for the price to show strength again before issuing a new entry signal.
* **Momentum Filter:** A built-in momentum engine checks the "speed" and "energy" of the market. It tries to ensure you are entering when the wind is at your back, not when the trend is dying.
## 3. Visuals & Table
* **Clean Chart:** The indicator intentionally hides messy data points. It only shows you the most important Support lines and your active Trade lines (Entry, Take Profit, and Stop Loss).
* **The Stats Table:** Located at the bottom-right, this table gives you a "Quick Look" at:
* **Status:** What the indicator is doing right now (Waiting for a break, in an active trade, etc.).
* **Target Prices:** Exactly where your entry point and safety exits should be.
## 4. Safety & Risk Management
The strategy is built with capital preservation in mind:
* **Automatic Stop Loss:** Every trade has a predefined safety exit to prevent large losses.
* **Take Profit:** It calculates high-probability exit points based on the size of the move.
* **Cooldown Period:** To prevent "revenge trading" or jumping back into a volatile situation too quickly, it enforces a waiting period after a signal is triggered.
---
### **In Summary**
This is a **High-Quality Only** strategy. It is designed for traders who want to ignore market noise and focus on major levels where the "big money" moves occur. It stays patient, validates every move, and only signals an entry when multiple mathematical conditions align.
% Levels ToolAnchor levels front a pivot point price level that you enter. Useful for backtesting when no other tools are available.
TMT ShortTermSnRShortTermSnR identifies near-term (intraday) and short-term (daily) price structure to support tactical decision-making. The levels adapt to changing participation and are intended to frame areas of acceptance or rejection rather than precise turning points.
The zones can be used to evaluate entries, manage risk, and define trade exits as price interacts with structure. Their primary purpose is to help separate routine price noise from meaningful responses at key levels during active markets.
When interpreted alongside broader market condition—such as volatility and regime state—the zones provide clearer context for whether price is more likely to resolve through a level or reject back into balance.
TMT IT Support-Resistance ZonesIntermediate term (IT) Support-Resistance Zones map adaptive price levels derived from weekly price structure rather than static pivots. The zones evolve with market behavior and are intended to frame decision areas, not exact turning points.
Primary interpretation is through the marlet's acceptance through a zone favoring continuation; or the rejection increasing the odds of rotation back toward balance. Particularly effective for identifying where trades should be evaluated, invalidated, or reduced — rather than where they must be entered.
Works across long intra day bars (360 min,) daily and weekly bars.
MS TRADING (STRATEGY)This indicator is designed to help traders identify market trend, key support & resistance levels, and high-probability trade zones.
It combines moving averages and price structure to provide clear visual signals directly on the chart.
This tool can be used for scalping, intraday, and swing trading across Forex, Crypto, and Indices.
⚠️ Disclaimer: This indicator is for educational purposes only and should not be considered financial advice. Always use proper risk management.
BK AK-HA Window🖥️ BK AK-HA Window 🖥️
All glory to G-d — the true source of wisdom, restraint, and right timing.
And every indicator I create is in AK’s honor and respect: discipline, patience, clean execution. May he rest in peace in the presence of the Almighty.
Credits & lineage
Script author: Ki11a_B
HA concept inside the window: inspired by uniGram’s GCM Heikin Ashi with Pivots (reference):
What it is
This tool is not a signal factory.
It’s a micro-window — a focused battlefield monitor that compresses Heikin Ashi structure into a clean, readable space so you can see rhythm, pivots, and participation without losing the main chart.
What it’s doing under the hood
1) Window Engine (positioning + UI)
You get two placement modes:
🔒 Lock to Last Bar (default): the window floats a fixed number of bars ahead of the last candle (clean, always visible).
Anchor Mode: uses time/price handles so you can drag it into place.
2) HA → Oscillator Conversion (clean compression)
Instead of plotting HA candles in normal price space, the script:
Finds HA range over oscLookback
Converts HA OHLC into a bounded oscillator (minLevel → maxLevel)
Then renders candles inside the window box
Result: you can compare “shape” and “turns” consistently, even as price regimes change.
3) Structure & Triggers (what matters)
Pivots: confirmed highs/lows using left/right strength
Buy/Sell flips: HA color flips (down→up = buy flip, up→down = sell flip)
Volume spikes (VROC): highlights candles when volume ROC exceeds threshold
→ you instantly see when a turn happens with force, not just shape
4) Scalper Bar (one-second bias)
A thin bar at top/bottom of window shows current HA direction.
It’s not “entry/exit.” It’s immediate regime.
How to read it like an operator
Inside the bands (between OB/OS): rotation / chop risk → don’t force trades.
Touching OB/OS zones: stretch conditions → watch for pivots + flip.
Pivot markers: structure prints → “a level was defended/failed.”
Flip markers: direction change → not a command, a change in control.
VROC highlights: participation surge → “this move has weight.”
If you only use it for one thing:
use it to tell the difference between a pretty turn and a turn with participation.
Quick start setup (clean defaults)
Keep Lock to Last Bar = ON
Put OB/OS at levels you respect (default ±12 is a good “tight lens”)
Turn on:
Zone fills
Level lines
VROC spike highlighting
Add pivots only when you’re studying structure (they can clutter fast)
Old Testament lens
“It is the glory of God to conceal a thing: but the honour of kings is to search out a matter.”
— Proverbs 25:2
The market hides motive. Price hides intent.
Your job isn’t to predict — it’s to search out the matter: structure, participation, and timing… then act with restraint.
Farjeat Perfect Buy/SeelEntradas y salidas perfectas en compras y ventas, úsalas para mejorar tu efectividad.
Farjeat Fibonacci RangesAutomatic Fibonacci levels on the chart will help you easily find reaction points in price pullbacks.
Phoenix 2.0's SPY Sniper Scalp LevelsThis is automated level marking tools which marks various critical levels from Pre-Market, Previous Day, ORB, High and Low of the day
EDY Pivot ProThe EDY Pivot Pro indicator is a professional technical analysis tool designed to provide traders with a structured and comprehensive view of market trends.
Key Features
Pivot Points: Supports Fibonacci, Traditional, Woodie, Classic, DM, and Camarilla types.
Timeframe Mapping (Auto Anchor):
10-second candles → 15-minute pivots
1-minute candles → 1-hour pivots
5-minute candles → 4-hour pivots
1-hour and 4-hour candles → Weekly pivots
Daily candles → Monthly pivots
Weekly candles → Quarterly (calendar-based) or 13-week rolling pivots
Monthly candles → Yearly pivots
Moving Averages (SMA & EMA): Tracks trend direction using 21, 50, 100, and 200-period averages.
Slope & Flat Alerts: Detects changes in moving average slopes and identifies sideways conditions.
Pivot + 200 SMA Trend Analysis: Combines pivot levels with the 200 SMA to highlight major trend reversals.
ATR-Based Stop Levels: Establishes dynamic stop-loss levels based on volatility, with alerts when price breaches these thresholds.
Combined Trend Strength Alerts: Generates signals for strong positive or negative trends by analyzing pivot direction, 200 SMA slope, and ATR values together.
This framework provides traders with a disciplined and professional approach to monitoring both short-term price movements and long-term market trends.
StructureX Order Flow SystemStructureX Order Flow System
A comprehensive Smart Money Concepts (SMC) and ICT-based indicator designed for NQ, ES, and other futures/forex markets. This system identifies institutional order flow patterns to help traders align with smart money positioning.
Key Features
📦 Order Blocks (OB)
Automatically detects bullish and bearish order blocks - zones where institutions have placed significant orders.
📊 Fair Value Gaps (FVG)
Identifies imbalances in price action where institutions may look to rebalance.
📈 Market Structure (BOS/CHoCH)
Break of Structure (BOS): Confirms trend continuation
Change of Character (CHoCH): Signals potential trend reversals
💧 Liquidity Levels & Sweeps
Marks swing highs and lows as liquidity targets. Optional sweep detection shows when liquidity has been grabbed - a key institutional entry pattern.
🎯 Premium/Discount Zones
Premium Zone: Where smart money looks to sell
Discount Zone: Where smart money looks to buy
Equilibrium Line: The 50% level of the current range
📍 VWAP
Volume Weighted Average Price - a key institutional reference level.
⏱️ Higher Timeframe (HTF) Confirmation
Optional multi-timeframe filter ensures signals align with the higher timeframe trend direction for higher probability setups.
Signal Generation
LONG/SHORT signals for potential entry
How To Possibly Use
For Entries:
Wait for a LONG or SHORT signal
Check if price is in Discount (for longs) or Premium (for shorts)
Look for confluence with FVG zones
Confirm with BOS/CHoCH direction
For Context:
Use Premium/Discount zones to understand where price is in the range
Watch for liquidity sweeps before reversals
Monitor VWAP as dynamic support/resistance
For Higher Probability:
Enable HTF Confirmation to filter signals with the higher timeframe trend
Trade only when multiple confluences align (OB + FVG + Discount/Premium)
Best For
-Scalping (1-5 minute charts)
-Day Trading
-NQ, ES, and other index futures
-Forex pairs
-Any liquid market
Tips
Don't chase signals - Wait for price to come to your zones
Confluence is key - More factors aligned = higher probability
Respect the trend - Trade with structure, not against it
Manage risk - No indicator is 100% accurate; always use stops
This indicator is a tool to assist your analysis, not a standalone trading system. Always combine with proper risk management and your own market understanding.
Happy Trading! 🎯📈
Not Financial Advice-Educational Purpose Only-User is fully responsible for indicator use.
Manual Fibonacci Retracement Levels [txt]Allows you to select points 0 and 100 to build a correction Fibonacci grid and receive notifications when levels are crossed
Quadrant Theory LevelsThis indicator is designed for SPY intraday trading. It is looking at the prior day highs and lows and separating them into four quadrants. These levels can tend to act as support and resistance. This is also useful in having the prior days high price, low price and close price on the chart visually.
P73 Smart Liquidity ZonesDescription in English and Russian (below)
English:
P73 Smart Liquidity Zones is a Supply & Demand Zones indicator with a built-in trend filter (same trend logic as P73 Trend & Target Dynamics ).
Its goal is simple: highlight high-attention areas where price often reacts, slows down, retests, or reverses - and visually show which zones matter more in the current trend context.
What it draws
- Demand Zones (Green) - areas where buyers previously showed strength. Often act as support / buy-side interest.
- Supply Zones (Red) - areas where sellers previously dominated. Often act as resistance / sell-side interest.
These are zones, not single lines - because markets rarely “turn” at one exact number. A range is more realistic for execution and risk management.
Trend context (built-in filter)
The indicator automatically adjusts zone emphasis:
- Zones aligned with the current trend are highlighted stronger (higher priority).
- Zones against the trend are displayed as background (lower priority / potential targets).
How traders use it (practical workflows)
1) Trend continuation (primary use-case)
- In an uptrend : focus on Demand zones for pullback entries and Supply zones as potential take-profit / friction areas.
- In a downtrend : focus on Supply zones for pullback entries and Demand zones as potential take-profit / friction areas.
2) Risk management
A common approach is to place stops beyond the zone , not inside it, to avoid noise.
3) Confluence
Zones work best when combined with market structure, key horizontals, or lower timeframe confirmation.
Strong Signals (optional)
P73 Smart Liquidity Zones also includes Strong Signals for potential HIGH/LOW in trend - markers that highlight extreme trend extensions.
Use them as take-profit / caution signals , not as a blind reversal trigger.
Settings
- Zones Density : High / Normal / Low / Very Low - controls how many zones are shown (cleaner vs. more detail).
- Toggle Zone Level Labels and Strong Signals as needed.
Notes
Zones can be invalidated when price closes through them. This tool doesn’t predict the future - it helps you read context and plan trades with clearer structure.
Russian:
P73 Smart Liquidity Zones - индикатор зон спроса/предложения с встроенным трендовым фильтром (логика определения тренда такая же, как в P73 Trend & Target Dynamics ).
Задача простая: показать на графике зоны повышенного внимания , где цена часто реагирует, замедляется, делает ретест или разворот , и сразу подсказать, какие зоны приоритетнее в текущем рыночном контексте.
Что он рисует
- Demand Zones / Зоны спроса (зеленые) - области, где покупатели ранее проявляли силу. Часто работают как поддержка / зона интереса покупателей.
- Supply Zones / Зоны предложения (красные) - области, где ранее доминировали продавцы. Часто работают как сопротивление / зона интереса продавцов.
Это именно зоны, а не линии : рынок редко разворачивается ровно в одном числе. Диапазон лучше отражает реальность исполнения и риск-менеджмента.
Трендовый контекст (встроенный фильтр)
Индикатор автоматически расставляет акценты:
- Зоны по направлению текущего тренда выделяются сильнее (выше приоритет).
- Зоны против тренда отображаются более "фоново" (ниже приоритет / потенциальные цели).
Как используют в трейдинге (практические сценарии)
1) Продолжение тренда (основной сценарий)
- В восходящем тренде: приоритет - Demand для входов на откате, а Supply - как возможные зоны фиксации/торможения.
- В нисходящем тренде: приоритет - Supply для входов на откате, а Demand - как возможные зоны фиксации/торможения.
2) Риск-менеджмент
Частая практика - прятать стоп за границей зоны , а не внутри нее, чтобы не выбивало "шумом".
3) Усиление сигналов (confluence)
Зоны лучше работают в связке со структурой рынка, ключевыми горизонтальными уровнями и подтверждением на младшем ТФ.
Strong Signals (опционально)
P73 Smart Liquidity Zones также включает Strong Signals потенциального HIGH/LOW в тренде - маркеры сильных экстремумов в рамках текущего тренда.
Их логичнее использовать как повод для фиксации/осторожности, а не как "железный" сигнал разворота.
Настройки
Zones Density: High / Normal / Low / Very Low - управляет количеством зон на графике (больше деталей vs чище картинка).
Можно включать/выключать подписи уровней зон и Strong Signals.
Важно
Зона может быть инвалидирована , если цена уверенно проходит её закрытием. Индикатор не "предсказывает будущее" - он помогает структурировать контекст и планировать сделки более дисциплинированно.
MightyRSIMightyRSI by 10xTrading
MightyRSI is a professional-grade oscillator designed to turn market context into a single, readable 0–100 score (“xScore”) with an optional compact HUD. It blends mean-reversion, momentum/extension, price action positioning, and flow/volume context, then adds a confirmed structure layer (divergences + sweeps) to highlight when conditions become unusually meaningful.
This script is built for clean decision support: one normalized scale, clear zones, and optional confirmation layers — without requiring a chart full of indicators.
- Core concept: the xScore (0–100)
0 = strongly oversold / BUY area
100 = strongly overbought / SELL area
- Default zones:
Buy Zone: 25 and below
Sell Zone: 75 and above
The score is smoothed (T3/HMA/EMA options) to reduce noise and improve readability.
Structure layer (confirmed context, not hype)
MightyRSI includes a Structure Engine to provide context around potential tops/bottoms:
What it detects
- Confirmed divergences using up to three sources:
xScore divergence
RSI divergence
MACD histogram divergence
Liquidity sweeps (SFP-style) around confirmed pivots (sweep-and-reclaim behavior)
- What you see
Struct (Bull/Bear): direction of the most recent confirmed structure event
Impact (0–100): how strongly structure is currently influencing the xScore
Higher = structure bias has more weight right now
Lower = structure influence is near zero
These are meant as context enhancers, not standalone “signals”.
Confidence (0–100): market condition quality filter
A separate Confidence value summarizes “how clean” current conditions are (trend/range clarity, volatility environment, alignment).
Higher Confidence generally means cleaner conditions
Lower Confidence means choppier/noisier conditions
Confidence is displayed in the HUD and can optionally gate structure influence.
- HUD: compact decision panel
The optional HUD is designed for fast reading and consistent workflow. It shows:
xScore + label (BUY / NEUTRAL / SELL)
Struct (Bull/Bear/None)
Impact (0–100)
Confidence (0–100)
3 RSI values from higher timeframes (via the Timeframe Matrix)
MTF RSI Timeframe Matrix (power feature, safe by design)
The RSI Timeframe Matrix lets you map your chart timeframe to 3 additional RSI timeframes shown in the HUD.
- Basic RSI Add-on (optional)
If you prefer classic RSI on top of the xScore framework:
Optional Basic RSI line
Optional RSI moving average
Optional right-side value label with background color matching your RSI color thresholds
- Alerts (non-spam, bar-close stable)
Built-in alerts for:
xScore crossing into Buy/Sell zones
Strong conditions when a zone cross occurs shortly after a confirmed structure event
- Non-repainting option
You can toggle Non-repainting (bar close):
OFF (default): live updating for discretionary use
ON: updates only after bar close for maximum stability
- Recommended use
Works on all markets (crypto, forex, indices, equities)
Default tuning is especially comfortable on higher timeframes (4H and above)
For lower timeframes, consider adjusting smoothing and structure sensitivity to match volatility/noise.
- Disclaimer
This indicator is provided for educational and informational purposes only and does not constitute financial advice. Trading involves risk. Always test on your own charts, validate with your own process, and use appropriate risk management. Past performance is not indicative of future results.
AER0_LEVELSAero Levels + use it with RSI 14 and SMA21 and MACD.
- In uptrend rsi range should be 80-40
- In downtrend rsi range should be 60-20
LOTS: Zone Interception EngineA high-performance institutional confluence tracker using dynamic array-based price segmentation to identify and track overlapping order blocks in real-time.
Overview
The Liquidity & Overlap Tracking System (LOTS) is an advanced order flow diagnostic tool built for Pine Script v6. Unlike conventional supply and demand indicators that rely on static pivot points, LOTS utilizes a proprietary Dual-Rule Validation process to identify displacement zones and a high-performance Interception Engine to find price-level confluence.
The Methodology
To ensure high-signal accuracy, the script tracks price action through two distinct algorithmic rules:
Rule 1: Displacement Identification – Detects immediate institutional "footprints" where price displacement creates a clear imbalance.
Rule 2: Expansion & Liquidity Tracking – A rolling-window logic that monitors price expansion and updates the zone boundaries dynamically until a counter-displacement occurs.
Key Innovation: The Interception Engine
The primary utility of this script—and what differentiates it from open-source alternatives—is its Intra-Side Interception Algorithm.
Array-Based Processing: The script maintains real-time arrays of active zones.
Mathematical Set Intersection: For every new bar, the engine performs a cross-calculation between all active zones of the same side (Buy+Buy or Sell+Sell).
Confluence Mapping: When two or more zones occupy the same price range, the script calculates the exact Intersection Set and renders a "Confluence Zone." This highlights "stacked" institutional orders where multiple order flow signals align, providing a much higher probability of a price reaction.
Technical Features & Optimization
Dynamic Pruning: To maintain chart clarity and performance, zones are automatically removed from the calculation array once price action mitigates the zone (closes beyond the extremity).
V6 Performance: Optimized for the latest Pine Script engine to handle complex nested loops efficiently, even with a high Calculation Depth.
Visual Clarity: Includes an "Only Confluence" mode which filters out single zones to display only the high-density interception areas.
How to Use
Gray/Red Zones: Primary displacement zones (potential supply/demand).
High-Opacity Overlaps: These are the Interceptions. Look for these areas as high-probability reversal or continuation points where institutional liquidity is most concentrated.






















