SmartManiacSmartManiac — Smart Money Liquidity & Sentiment Indicator
Overview
SmartManiac is a comprehensive Smart Money Concepts (SMC) indicator that combines liquidity structure analysis with volume delta sentiment detection. It automatically maps key liquidity levels, identifies Fair Value Gaps (FVGs) across multiple timeframes, and detects potential reversal points using a multi-factor scoring system based on volume delta, liquidations, and price action.
Features
Liquidity Structure Mapping
Previous Day/Week/Month High & Low (PDH/PDL, PWH/PWL, PMH/PML) — automatically detected and drawn with priority-based labeling
Buy-Side & Sell-Side Liquidity (BSL/SSL) — swing highs and lows that act as liquidity targets
Session High/Low — Asia, London, and New York session levels with customizable times
Smart level merging — nearby levels are consolidated using ATR-based tolerance to reduce clutter
Swept level tracking — lines change to dashed/dotted when price sweeps through them
Fair Value Gap (FVG) Zones
Multi-timeframe FVG detection: 5m, 15m, 1H, 4H, Daily, Weekly
Auto-filtering based on chart timeframe — prevents lower TF clutter on higher TF charts
Status tracking: Untouched → Touched → Half-filled → Fully filled
Sweep FVGs — special zones created when FVG forms immediately after a liquidity sweep
Sweep Imbalances
Detects FVGs that form right after liquidity sweeps
Shows pending zones in gray, changes to green (bullish setup) or red (bearish setup) when price returns to the zone
Helps identify potential reversal entries after stop hunts
Volume Delta & Sentiment Analysis
Aggregated volume from multiple exchanges for accurate delta calculation
Z-score based extreme detection for buying/selling pressure
Cumulative Volume Delta (CVD) tracking
Peak FOMO / Depression Signals
4-factor percentile scoring system:
Factor 1: Delta Z-score before reversal (buying/selling pressure buildup)
Factor 2: Volume spike + price reversal bar
Factor 3: Delta reversal confirmation
Factor 4: Liquidations spike (requires external data source)
Signals show as 🔥 (FOMO top) or 💎 (Depression bottom)
Size varies by strength (tiny = moderate, small = strong)
Requires prior price move + reversal bar confirmation to reduce false signals
Sweep Visualization Boxes
Visual representation of liquidations and delta at sweep points
Box length normalized by √(line_length) for fair comparison
Helps assess sweep "quality" — stronger sweeps may lead to stronger reversals
Sweep Confirmation Markers
After a sweep, watches for 3 confirmation factors within 5 bars:
Opposite candle color
Opposite-side liquidations
Opposite-side delta
Shows - marker when all 3 confirm
Risk State Background
Optional background coloring for Risk-Off (selling + long liqs) and Risk-On (buying + short liqs) states
Helps identify broader market sentiment regime
Debug Inspector
Moveable vertical line to inspect any bar's factor values
Useful for understanding why signals triggered or didn't trigger
How to Use
Liquidity Levels — Watch for price approaching PDH/PDL/PWH/PWL/PMH/PML and BSL/SSL levels. These are likely targets for stop hunts.
Sweep + FVG — After a sweep (level turns dashed), look for an FVG to form in the opposite direction. Gray sweep FVG turning green/red indicates potential entry zone.
Peak Signals — 🔥 appears at potential tops after strong rallies with extreme buying that reverses. 💎 appears at potential bottoms after drops with extreme selling that reverses. Hover over labels to see factor breakdown.
Confirmation Dots — Green - below price = bullish sweep confirmed. Red - above price = bearish sweep confirmed.
Settings
The indicator offers extensive customization:
Toggle each feature on/off independently
Customize colors and transparency for all elements
Adjust sensitivity thresholds for signals
Configure session times for your timezone
Set liquidations data source from external indicator
External Data
For Factor 4 (Liquidations), connect an external liquidations indicator:
Add a liquidations indicator to your chart (e.g., TradingView's native Liquidations indicator)
In SmartManiac settings, select the Long and Short liquidation plots as sources
Note: TradingView's native indicator has inverted labels — swap if needed
Notes
Best used on liquid markets with volume data (BTC, ETH, major forex pairs)
Higher timeframes (1H, 4H) tend to produce more reliable signals
Combine with your own analysis — no indicator is 100% accurate
Liquidations data significantly improves signal quality but is optional
Credits
Developed by @cybermediaboy, 2025. Methodology partially based on CryptoVolium's Smart Money approach.
Analyse de la tendance
MarketMind LITEM🜁rketMind LITE ────────────────────
Essential Market Awareness, Reduced to Its Core
M🜁rketMind LITE is a lightweight market awareness tool designed to display essential situational context .
It provides basic orientation and movement awareness without interpretation, risk framing, diagnostics, or decision guidance.
This script is designed as a standalone awareness layer. It does not evaluate trade quality, issue signals, or influence decision-making.
WHAT IT DOES ────────────────────
M🜁rketMind LITE presents a minimal, static view of current market conditions focused entirely on awareness rather than analysis.
The system displays only essential context, allowing traders to stay oriented without introducing judgment, noise, or implied direction.
The script provides visibility into:
Time-of-day session context
Basic market regime classification (trending, range-bound, mixed)
Short-term momentum direction only (up, down, neutral)
A clean, static HUD display
M🜁rketMind LITE also includes a minimal visual state indicator that reflects recent price responsiveness, intended to be observed over time alongside the trader’s own experience.
The goal is to support awareness without influence .
HOW TO USE IT ────────────────────
M🜁rketMind LITE is not a signal generator.
It is designed to remain visible in the background of any chart, offering quiet orientation while traders rely entirely on their own process for analysis and execution.
Common use cases include:
Maintaining session awareness
Preserving context during focused trading periods
Reducing cognitive load while monitoring markets
M🜁rketMind LITE does not evaluate risk, alignment, or opportunity.
It simply shows what is happening.
DESIGN PHILOSOPHY ────────────────────
M🜁rketMind LITE is intentionally minimal.
It includes only essential awareness elements and excludes all interpretive or evaluative logic:
Situational context only
Directional momentum (up / down / neutral)
No diagnostics, confidence, or conviction framing
No process, risk, or quality assessment
Presentation controls only (HUD on/off, size, position)
Nothing is inferred.
Nothing is suggested.
This script shows market state without interpretation.
WHO IT IS FOR ────────────────────
M🜁rketMind LITE is suited for traders who:
Want passive situational awareness
Prefer minimal on-chart information
Already operate with a defined decision process
It is not designed for:
Analytical or diagnostic use
Risk evaluation or context synthesis
Traders seeking guidance or confirmation
IMPORTANT NOTES ────────────────────
M🜁rketMind LITE does not provide financial advice
No system can predict future price behavior
This tool is designed for awareness only
Used appropriately, M🜁rketMind LITE helps traders stay oriented without interference.
The Navigator Fortress (ORB M15 + H4 Filter)To read The Navigator Fortress (v1.4), you simply follow a "top-down" sequence of filters. It moves from the macro-trend (The Compass) to the local boundary (The Harbor) and finally to your execution signal (The Beam).
1. The H4 Compass (The Strategy Filter)
Before you look at the price, look at the Dashboard in the top-right corner.
🧭 COMPASS: BULLISH (Blue): The "Big Ships" are moving up. You are only authorized to take LONG breakouts.
🧭 COMPASS: BEARISH (Orange): The "Big Ships" are moving down. You are only authorized to take SHORT breakouts.
🧭 COMPASS: IN JAWS (Gray): Price is stuck between the H4 10 and 50 EMAs. This is "The Fog." Do not trade, as the win rate drops significantly in this zone.
2. The M15 Harbor (The Field of Play)
At 8:45 AM CST, the script will finish drawing two horizontal lines:
Blue Line (Top): The high of the 8:30–8:45 AM window. This is your resistance wall.
Orange Line (Bottom): The low of that same window. This is your support floor.
The Rule: You are waiting for a candle to close completely outside these lines. A "wick" poking through is not a signal; it is a trap.
3. The Beam & State (The Execution)
When a valid breakout happens that matches your H4 Compass:
The Label: A label will appear above or below the candle saying "LONG" or "SHORT".
The Background: The entire chart background will turn faint Blue or Orange. This tells you the "Harbor is Open" in that direction until the 10:00 AM CST session close.
The Moat (Stop Loss): Check your Alerts tab or phone notification. The script will give you a specific price (e.g., 1.08552). This is your 2.0x ATR "Moat"—place your stop loss here to stay safe from market noise.
🛡️ Summary of the Workflow
Check Compass: Is it Blue, Orange, or Gray?
Wait for 8:45: Let the M15 Harbor lines form.
Wait for the Beam: Did a candle close outside the line?
Drop Anchor: Execute the trade, set your stop at the "Moat" price from the alert, and aim for the next major Daily S/R level or a 2:1 reward.
The Navigator Fortress (ORB M15 + H4 Filter)The Navigator Fortress is a high-probability execution engine designed specifically for the EUR/USD New York open. It utilizes a professional maritime approach to trading, moving away from retail "breakout" guessing and focusing on institutional trend alignment and volatility-based risk management.
The script automates the Opening Range Breakout (ORB) logic, but with a rigorous multi-timeframe "Compass" to filter out low-quality signals and "market noise".
🛡️ Core Pillars of the Script
The H4 Compass (Trend Alignment): The script pulls 4-hour EMA data to ensure you are only trading in the direction of the macro-trend.
Longs: Only authorized if the H4 10 EMA is above the H4 50 EMA and price is trading above both.
Shorts: Only authorized if the H4 10 EMA is below the H4 50 EMA and price is trading below both.
The Jaws: If price is oscillating between the EMAs, the script identifies this as "The Fog" (No-Trade Zone) and suppresses alerts.
The M15 Harbor (Automatic Range Mapping): The script automatically identifies and plots the high and low of the first 15 minutes of the New York session (8:30 AM – 8:45 AM CST).
The 90-Minute Window: Strictly calibrated for the highest volume period. The "Session Gates" close at 10:00 AM CST to prevent overtrading during the mid-day liquidity drop.
The Moat (Volatility-Based Risk): When a "Beam" (alert) fires, the script calculates a dynamic Stop Loss based on 2.0x ATR. This places your exit point beyond normal market noise, protecting you from standard "stop-hunts."
⚓ How to Execute
Alignment: Check the top-right Dashboard. Only look for trades if the Compass is "Bullish" or "Bearish."
The Beam: Wait for a candle to close outside the M15 Harbor lines.
The Entry: Upon a valid close and trend alignment, the script fires a "Beam" alert.
Risk Management: Follow the alert’s specific "Moat" price for your Stop Loss and risk no more than 1% of your account capital.
Technical Specifications
Asset: Optimized for EUR/USD.
Timeframe: M1, M5, or M15 for execution.
Timezone: Hardcoded for America/Chicago (CST) to handle Daylight Savings automatically.
Indicators Used: H4 10/50 EMA, 15-minute Opening Range, 14-period ATR.
CRT + IA Signals (FREENEZIZ EAS)Only use on the "EURUSD" pair.
Indicator developed with a solid strategy combining a continuation CRT with an entry scanner. It scans and sends buy and sell signals in real time with their respective SL and TP points. Suitable for all types of traders, with great care from a trader for traders.
- Developed by FREENEZIZ EAS: t.me
ARM-EMA COLOR BUY SELLPrice action trading is about reading what the market is doing, so you can deploy the right trading strategy to reap the maximum benefits. In simple words, price action is a trading technique in which a trader reads the market and makes subjective trading decisions based on the price movements, rather than relying on technical indicators or other factors.
At its most simplistic, it attempts to describe the human thought processes invoked by experienced, non-disciplinary traders as they observe and trade their markets. Price action is simply how prices change - the action of price. It is most noticeable in markets with high liquidity and price volatility, but anything that is traded freely (in price) in a market will per se demonstrate price action.
Magical Lines (Dot-to-Dot)Automatically Support/Resistance as Magical Lines calculate from Daily ATR Range. This Indicator works with all Stocks/FnO/Index/Commodity.
ARM-EMA TREND BARSPrice action trading is about reading what the market is doing, so you can deploy the right trading strategy to reap the maximum benefits. In simple words, price action is a trading technique in which a trader reads the market and makes subjective trading decisions based on the price movements, rather than relying on technical indicators or other factors.
At its most simplistic, it attempts to describe the human thought processes invoked by experienced, non-disciplinary traders as they observe and trade their markets. Price action is simply how prices change - the action of price. It is most noticeable in markets with high liquidity and price volatility, but anything that is traded freely (in price) in a market will per se demonstrate price action.
AperonFx ATR Pivot Points 1.0This indicator combines classic pivot levels with ATR-based extensions and a refined weekly timing logic. The objective is to provide clean, robust support and resistance levels that remain consistent across all chart timeframes.
MarketMind PRO+M🜁rketMind PRO+ ────────────────────
Advanced Market Interpretation & Conviction Context
M🜁rketMind PRO+ is an advanced market interpretation system designed for traders who require structured insight into alignment, stability, and contextual agreement — without alerts, signals, or hindsight-based indicators.
Rather than issuing instructions or trade direction, M🜁rketMind PRO+ focuses on interpreting how market conditions relate to one another , whether internal agreement is present, and whether the environment supports conviction or restraint.
This script is designed as a standalone interpretive analysis tool. It does not provide execution guidance or predictive guarantees.
WHAT IT DOES ────────────────────
M🜁rketMind PRO+ evaluates current market conditions across multiple analytical dimensions — including macro environment, sector behavior, momentum, structure, liquidity, stability, and session dynamics — and synthesizes them into a structured, human-readable HUD.
In addition to describing what is happening, the system interprets internal agreement and contextual coherence , helping traders understand whether conditions appear supportive, fragile, or transitional.
The script provides insight into:
Market bias and directional alignment
Regime and phase behavior across sessions
Momentum quality, degradation, and stall dynamics
Internal agreement and alignment consistency
Structural stability and transition risk
Contextual factors that may support or undermine conviction
The goal is to clarify how well conditions agree internally , not to tell traders what action to take.
HOW TO USE IT ────────────────────
M🜁rketMind PRO+ is not a signal generator.
It is designed to complement discretionary price action, rule-based systems, or systematic strategies by helping traders evaluate higher-order context, such as:
How aligned are current conditions, and how broad is that agreement?
Is momentum supported, fragile, or deteriorating?
Does the environment appear stable, transitional, or deceptive?
Does this context justify conviction, or suggest restraint?
M🜁rketMind PRO+ emphasizes synthesis over reaction, preserving chart clarity while providing interpretive depth.
DESIGN PHILOSOPHY ────────────────────
M🜁rketMind PRO+ is intentionally interpretive.
It focuses on contextual agreement and stability , rather than isolated signals or prescriptive outputs:
Multi-dimensional context and alignment interpretation
Internal agreement and coherence awareness
Stability and transition sensitivity
Session-aware interpretive framing
No alerts, entries, or execution logic
No forward performance claims or guarantees
Nothing is instructed.
Nothing is promised.
This script explains how conditions relate , not what to trade.
WHO IT IS FOR ────────────────────
M🜁rketMind PRO+ is suited for traders who:
Require interpretive context beyond surface-level awareness
Manage exposure across changing regimes
Value understanding alignment, stability, and agreement
Prefer synthesis over single-indicator workflows
It is not designed for:
Buy or sell alerts
Automated execution systems
Traders seeking prescriptive instructions
IMPORTANT NOTES ────────────────────
M🜁rketMind PRO+ does not provide financial advice
No system can predict future price behavior with certainty
This tool is designed to support judgment, not replace it
Used appropriately, M🜁rketMind PRO+ helps traders operate with greater selectivity, contextual clarity, and risk awareness
RiskyInvesting Algo v1.0.0 - BasicA multi‑layer trend‑following and momentum‑confirmation system designed around dual adaptive baselines, and smart candle‑strength filtering. This indicator blends volatility‑based trailing logic with macro trend bias tools (EMA + SMMA) to identify clean directional flips and filter out weak signals.
This indicator uses 5 parameters to determine the trend direction.
Disclaimer:
- Please use this in conjunction with other tools and confirmations. Labels are not meant to be used as financial advice.
Core features include:
- Two Adaptive Trailing Baselines: ATR‑adjusted equations (Parameter 1 & 2) that flip direction based on baseline breaks.
- Directional Shift Detection: Buy markers on bullish dual‑baseline flip; sell markers on bearish dual‑baseline flip.
- Trend Bias Filtering: Uses EMA vs SMMA relationship to color signals and provide market bias context.
- Candle Strength Filter: Ensures signals only trigger on meaningful momentum candles relative to ATR.
- Clean Visual Display: Auto‑coloring buy/sell labels, baseline plots, and signal triangles.
🟩/🟥 = Strong Directional Bias
🟦/🟧 = Neutral Directional Bias
Built for traders who want a structured trend‑flip system that avoids noise, highlights strong directional moments, and maintains visual clarity even on volatile intraday charts.
Whale Dash + Colored CandlesIstruzioni per l'uso:
Analisi Rapida: Guarda la dashboard per capire il trend generale e la potenza del volume.
Analisi Visiva: Quando vedi una candela colorata, sai che l'istituzionale ha lasciato l'impronta. Se una candela Oro appare sopra la SMA 50 (Trend Bullish), la probabilità di continuazione è molto alta.
Come usarla per le tue analisi:
Se vedi Potenza > 3.0x e Stato Balena: ATTIVA, guarda la candela corrente. Se è oro ed il trend è BULLISH, è un segnale di acquisto istituzionale.
Se vedi TREND: BEARISH e lo stato balena diventa attivo su una candela viola, le balene stanno scaricando posizioni.
Ingresso Long: Aspetta una candela Oro. Guarda la dashboard: se il Vol. Balena è molto alto (>3.0x), la forza del movimento è reale.
Ingresso Short: Aspetta una candela Viola. Guarda la dashboard: se il Vol. Balena è molto alto (>3.0x), la forza del movimento è reale.
Stop Loss: Posizionalo appena sotto la linea Oro/Viola creata dalla candela balena. Se il prezzo la rompe, l'istituzionale è uscito.
Consiglio:
Attendi sempre la fine dalla candela colorata per capire l'intenzione.
Instructions for use:
Quick Analysis: Look at the dashboard to understand the overall trend and volume strength.
Visual Analysis: When you see a colored candle, you know that the institutional player has left its mark. If a Gold candle appears above the SMA 50 (Bullish Trend), the probability of continuation is very high.
How to use it for your analyses:
If you see Power > 3.0x and Whale Status: ACTIVE, look at the current candle. If it is gold and the trend is BULLISH, it is a signal of institutional buying.
If you see TREND: BEARISH and the whale status becomes active on a purple candle, the whales are offloading positions.
Long Entry: Wait for a Gold candle. Check the dashboard: if Whale Vol. is very high (>3.0x), the strength of the movement is real.
Short Entry: Wait for a Purple candle. Check the dashboard: if Whale Vol. is very high (>3.0x), the strength of the movement is real.
Stop Loss: Place it just below the Gold/Purple line created by the whale candle. If the price breaks it, the institution has exited. Tip: always wait for the colored candle to close to understand the intention.
Auto TrendLine ProAuto TrendLine Pro is a smart, automated trendline tool designed for traders who value quality over quantity.
Most indicators draw too many lines, making the chart messy and confusing. This engine solves that by filtering out the " noise. " It hunts for mathematically precise connections between market pivots. It gives you a clean view of the strongest Support and Resistance levels that the market is actually respecting.
Menu Options Explained
Here is how you can control the indicator using the settings menu:
1. Swing Length
This setting controls the "eyes" of the engine—how it finds the Highs and Lows.
Swing Length determines how far back the engine looks.
Small numbers (1 or 2): It finds more short-term swings.
Big numbers(3 to 10): It ignores small moves and only looks for major market turns.
2. Trendline Strength
This shows how strong the trendline is. 1 is a good score for a valid trendline. If you increase this number you will get stronger trendlines.
3. Touch Threshold
How strict should the engine be?
Low value: Very strict. Price must touch the line perfectly.
High value: More relaxed. Near-misses are counted as touches.
4. Breakout Threshold
This prevents false alarms. If a candle wick pokes through the line just a little bit but closes back inside, this setting tells the engine to ignore it and keep the trendline alive.
5. Source
This controls where a trendline starts.
Wick: The line must start at the very tip of the candle's Wick (High/Low). This usually gives the most precise touches.
Body: The line starts from the candle's Body (Close). This is usually recommended for line charts.
Best Match(Recommended): The engine tries both and picks the one that fits the math better.
6. Display Mode
This controls how many lines you see on the screen.
Oldest Line: Shows only the single best Support and Resistance line.
Recent Lines: Shows the top 2 or 3 best lines.
Only Specific Line: Shows only a specific line(e.g., only the 2nd best line).
7. Lines to Display
This option controls exactly how many trendlines appear on your chart at the same time, such as showing only the single oldest line or the top 3. It helps declutter your view by hiding weaker lines so you can focus only on the most critical support and resistance levels.
Trendline Types:
1. Confirmed Trendlines
These are solid, established lines that have been tested by price enough times to be locked in as reliable barriers. Unlike live lines, they are permanent and will not disappear or move, providing a trustworthy reference for Support and Resistance.
2. Live Trendlines
These are tentative lines that have just started to form but have not been fully confirmed yet. They show you potential setups early, but they are risky because they might disappear if the price invalidates them before they become strong.
3. Broadening Trendlines
Broadening Trendlines open up wider like a Loudspeaker as they move forward, instead of squeezing together like a normal triangle.
4. Freeze on Live
This option stops the trendlines from moving or flickering while the current candle is still forming. The lines will only update once the candle finishes and closes, keeping your chart stable. Trade-off: You are sacrificing Real-time Reaction to get Stability.
Breached Trendlines, Visuals and Alerts are self Explanatory.
Future updates will have lots of other features.
⚠️ DISCLAIMER
This indicator is for educational purposes only and does not constitute financial advice. Trading involves substantial risk of loss. Past performance does not guarantee future results. Use at your own risk.
© Auto TrendLine Pro - All rights reserved. Copying, redistribution, or reverse-engineering is prohibited without written consent.
Hybrid Drift Allocation EngineThis script works like an automated personal allocation engine for long term non expiring investments. This will allow recurring deposits to be allocated with hybrid weighting that allocates according to user inputs , it will self adjust to keep even weight. it will also not cut allocation to overperformers to bring underperformers into correction (it wont water the weeds while starving the runners). it is set and forget with minimal input after setup with almost complete automation 95% automated.
BK AK-Ghost Ladder⚔️ BK AK-Ghost Ladder — Smart Money Gaps. True Support/Resistance. ⚔️
There are already some excellent FVG tools out there—built by traders who’ve put in real work studying imbalance, liquidity, and smart money behavior.
BK AK-Ghost Ladder is simply my version of that idea: my attempt to take what I learned from those great frameworks and push it further into volume, structure, lifecycle, and accountability—so every zone is treated as a living, graded object, not just a static box on a chart.
Why “Ghost Ladder”? Because the real market is full of invisible rungs—thin pockets of liquidity, imbalance steps, and defended boundaries that price climbs and falls through like a ladder you can’t see until it matters. This tool is built to reveal those rungs before you get punished by them.
“AK” in the name is not branding—it’s honor. It belongs to my mentor A.K., whose standard of discipline and clarity sits behind every decision in this tool. Above that, all glory and gratitude to Gd—the real source of any wisdom, edge, or endurance we have in this game.
🧠 What BK AK-Ghost Ladder Actually Does
This is a full institutional FVG/SR system, not a paintbrush. It:
Detects and manages bullish & bearish FVG zones using ATR/percent filters and aging logic
Assigns a 0–100 institutional strength score and 1–5★ rating to every zone
Builds a per-zone lower-timeframe volume profile with POC, volume delta, and optional volume text
Tracks historical touches, breaks, role reversals, merging, clustering, and divergence at the zone
Runs per-zone backtest stats and feeds that into an adaptive/ML-style confidence weight
Compresses the whole environment into a real-time Info Table: bias, market position, nearest S/R, risk, session
Fires alerts only when something actually matters: strong FVGs, magnetic pull, divergence at a level
If price is the map, this is the layer that tells you which levels are real and which are noise.
🧱 Core Engine — Institutional Zone Logic
Smart FVG Detection
Clean 3-bar gap logic for bullish & bearish FVGs
ATR or % based minimum gap size + optional distance filter from price
Zone aging with max life in bars and optional “reset on touch”
Overlap & proximity control:
Prevent overlapping zones
Enforce minimum bar spacing
Or keep only the strongest zone in a cluster
Institutional Strength & Rating
Each zone gets a score (0–100) + star rating (1–5★) based on:
Volume vs average (with optional lower timeframe split)
Gap size vs ATR
Pivot confluence
Historical meaningful touches
Role reversal (support ↔ resistance)
MTF FVG alignment
Session weighting (Asian / London / NY / overlaps)
Order block overlap & imbalance behavior
VWAP proximity/extremes
Fib level alignment
Delta divergence
Zone clustering & consolidation
Adaptive “performance weight” from historical reactions
Bad zones don’t just look weaker—they literally get filtered out when you enable minimum star / institutional filters.
📊 In-Zone Volume & Profile Intelligence
Each zone can be backed by lower-timeframe volume:
Per-zone volume histogram inside the gap
POC line at the most traded price in that zone
Optional total volume label
POC line color shifts with volume delta (buy vs sell pressure)
Additional bull/bear volume bars alongside the zone and/or numeric volume text inside the box
You’re not just staring at a gap—you’re seeing the liquidity pocket inside the gap.
🎯 Structure, Confluence & Role Reversal
The engine includes deep structural context:
Pivots: stored swing highs/lows for S/R confluence
MTF FVG Confluence: two extra timeframes for higher-timeframe alignment
Fibonacci Levels: auto-mapped 0.236 / 0.382 / 0.5 / 0.618 / 0.786 with optional lines & labels
Order Blocks & Imbalance: engulfing OB detection + volume/imbalance filters
VWAP Intelligence: VWAP proximity/extreme bonuses, optional short-form plotting
Delta Divergence: volume-based confirmation flags for zones under real internal pressure
Smart S/R Positioning & Role Flip
Hide “wrong side” zones or auto-flip roles when broken & retested
Track broken zones for N bars, then retire them
Mark role reversals with badges and strength bonuses
Support/resistance is treated like behavior, not just lines.
🤖 Adaptive Learning & Backtesting
Each zone is monitored when price touches it:
Checks if price respects the zone and moves X points away (success)
Or violates beyond failure threshold (failure)
Tracks successes, failures, and win rate per zone
Feeds a confidence score into an adaptive weight so consistently performing zones matter more
Zones that meet the bar get ML/🤖 marking when enabled
The script doesn’t just say “this looks strong”—it tracks how it actually behaved.
📋 Info Table & Sessions — On-Chart War Room
On the latest bar, an Info Table summarizes:
Zone count (bull vs bear)
Market position (NEAR SUPPORT / NEAR RESISTANCE / ABOVE RESISTANCE / BELOW SUPPORT / NEUTRAL)
Nearest S/R levels
Trade bias (BULLISH / BEARISH / NEUTRAL)
Active session (ASIAN / LONDON / NY / OVERLAP / OFF)
Risk level (LOW / MED / HIGH)
Sessions are coded in EST with multipliers so you can weight London/NY more heavily than Asia if that matches your playbook.
Hover the table for a strategy tooltip: live market posture, suggested behavior near the zones, and context around the current environment.
⚠ Divergence & Alerts
Real-time RSI/OBV/ADX divergence detection at the zone
Flexible visual modes: border, icon, color change, or combinations
Alerts included:
Magnetic Zone Pull (price entering ATR-based “field” of a strong zone)
Strong Bullish FVG
Strong Bearish FVG
Divergence at Zone
Let the chart call you when a real decision point appears, instead of forcing you to stare all day.
🕹 How to Use BK AK-Ghost Ladder
1️⃣ Build Bias With Structure
Use the Info Table, star ratings, and where the 4–5★ zones cluster relative to price to decide which side of the tape you’re allowed to trade on.
2️⃣ Only Trade From Strong, Aligned Zones
Focus on 4–5★ zones with confluence (pivots, Fib, OB, VWAP, clustering).
Use the zone body/wick region as your execution area, not some random mid-air candle.
3️⃣ Treat Role Reversal & Clusters as Campaign Nodes
When a strong zone breaks, flips role, and collects touches, that’s campaign territory—not scalp noise.
4️⃣ Use Divergence/Delta as a Brake, Not a Toy
If divergence lights up at your level, respect it: size down, wait for confirmation, or stand down.
5️⃣ Let the Engine Filter Junk For You
Tune volMultiplier, star thresholds, session multipliers, distance filters, and min star rating to match your timeframe and instrument.
This script’s job is to remove your excuse for taking low-quality trades.
📜 Boundaries & Wisdom
King Solomon wrote:
“Do not remove the ancient boundary stone that your fathers have set.”
This tool is built around that idea. It maps where the real boundaries live—where smart money defends, attacks, traps, and reverses.
It will not give you discipline. It will simply remove the illusion that “you didn’t know the level was there.”
⚔️ BK AK-Ghost Ladder — Map the Smart Money Gaps. Trade Only the Real Levels.
May Gd bless your vision, your patience, and every decision you make at the edge. 🙏
Techno Signals Pro ⚡ QUICK SETUP
FOR BEGINNERS:
Keep all defaults
Trade only A+ signals
Use provided TP/SL levels
Wait for volume confirmation
FOR ADVANCED:
Adjust confluence threshold (higher = fewer but better signals)
Toggle divergence optional for more flexibility
Use MTF alignment for higher timeframes
Enable slippage buffer for realistic risk
🚀 GETTING STARTED
Add indicator to your chart
Check table for current signal
Verify conditions match your timeframe
Set orders at TP/SL levels
Manage trade according to grade
Remember: No indicator is perfect. Always use proper risk management and combine with price action confirmation. Start with paper trading to understand the system before real money.
Session Volume Profile - Asia London NYSession Volume Profile – Asia, London, NY
Description
OVERVIEW
Session Volume Profile is a technical analysis indicator designed to visualize how volume is distributed during the three primary global trading sessions: Asia, London, and New York. The script separates intraday volume data into time-defined sessions to help traders observe where trading activity concentrated and how value areas evolve as liquidity transitions between regions.
This indicator is intended for market structure and contextual analysis, not signal generation.
TECHNICAL OUTPUT
For each enabled session, the indicator calculates and displays:
Point of Control (POC)
The price level with the highest traded volume during the session.
Value Area High / Low (VAH / VAL)
The price range containing a user-defined percentage of total session volume (commonly 70%).
Session Volume Histogram
A horizontal volume-at-price visualization showing relative participation across price levels, highlighting high- and low-volume areas.
CALCULATION FRAMEWORK
Session Segmentation
Sessions are identified using exchange-based time boundaries. Each session is processed independently to prevent overlap and ensure clean separation of volume data.
Volume Binning
Intraday volume is allocated into discrete price buckets using an array-based structure. The resolution of these buckets is controlled by the Histogram Density input.
Value Area Expansion
The script identifies the session’s POC and expands outward in both directions until the selected percentage of total volume is reached, defining the Value Area High and Low.
HOW TO USE
Session Context
Observe how price reacts to prior-session POC and value areas when a new session begins.
Customization Controls
Individual sessions can be enabled or disabled, and visual opacity can be adjusted to maintain clarity on lower timeframes.
Session Awareness
An optional countdown timer displays remaining session time to help traders stay aware of upcoming liquidity transitions.
DESIGN NOTES
This indicator visualizes historical volume distribution only. It does not identify specific participants or predict future price behavior. All calculations are derived exclusively from price and volume data available on the chart.
DISCLAIMER
This script is provided for educational and analytical purposes only. It does not generate trade signals, alerts, or financial advice. Historical volume distributions do not guarantee future market behavior.
Candle Strength Analyzer by The Ultimate Bull Run🎯 WHAT IT MEASURES
The score combines 4 key factors:
1️⃣ BODY RATIO (30%)
How much of the candle is "body" vs "wicks"
• 90%+ = Marubozu (very strong)
• 70%+ = Strong
• <30% = Weak/Indecision
2️⃣ CLOSE POSITION (25%)
Where the candle closed within its range
• Bullish closing near high = Strong
• Bearish closing near low = Strong
• Closing in middle = Weak
3️⃣ RELATIVE VOLUME - RVOL (25%)
Current volume compared to average
• RVOL 2.0+ = Very high activity
• RVOL 1.5+ = High (confirmed move)
• RVOL <0.7 = Low (unconfirmed)
4️⃣ SIZE vs ATR (20%)
Candle size compared to typical volatility
• 2x ATR = Large, significant
• 1x ATR = Normal
• 0.5x ATR = Small, insignificant
ADP Heiken Ashi [Wonra]**Heiken Ashi candles dynamically colored by Accumulation/Distribution Pressure (ADP) zones for enhanced trend visualization**
---
## 📝 Full Description:
### ADP Heiken Ashi
This indicator combines **Heiken Ashi candles** with **Accumulation/Distribution Pressure (ADP)** analysis to provide enhanced trend visualization through dynamic candle coloring.
---
### 🔬 How It Works
**Accumulation/Distribution Pressure (ADP)** is a volume-weighted momentum oscillator that measures buying and selling pressure on a 0-100 scale:
- **ADP < 45**: Accumulation Zone (buying pressure dominant)
- **ADP > 55**: Distribution Zone (selling pressure dominant)
- **ADP 45-55**: Neutral Zone (balanced pressure)
**The Calculation:**
1. Price change is compared to True Range to determine directional strength
2. Volume is applied as a weight to amplify significant moves
3. RMA smoothing creates a stable 0-100 oscillator
4. A JMA (Jurik Moving Average) signal line provides trend context
**Heiken Ashi candles** are then colored based on the ADP zone:
- **Bright Green**: Bullish HA candle in Accumulation Zone with rising ADP
- **Bright Red**: Bearish HA candle in Distribution Zone with falling ADP
- **Orange**: Bullish HA in Distribution (potential exhaustion warning)
- **Blue**: Bearish HA in Accumulation (potential reversal brewing)
---
### 🎨 Visual Guide
| Candle Color | Meaning |
|--------------|---------|
| **Bright Green** | Strong bullish momentum + smart money accumulating |
| **Light Green** | Bullish but neutral zone - proceed with caution |
| **Bright Red** | Strong bearish momentum + distribution underway |
| **Light Red** | Bearish but neutral zone - watch for changes |
| **Orange** | Bullish price but distribution detected - warning |
| **Blue** | Bearish price but accumulation detected - reversal possible |
---
### ⚙️ Settings
**ADP Settings:**
- `ADP Period` (default: 14): Lookback period for pressure calculation
- `AD Weight`: Balance between pure AD ratio and signed weighting
- `Price Weighted Volume`: Apply price as additional volume weight
**JMA Signal Settings:**
- `JMA Length` (default: 21): Smoothing period for signal line
- `JMA Phase`: Overshoot control (-100 to +100)
- `JMA Power`: Smoothness factor (1-5)
**Zone Settings:**
- `Accumulation Zone`: ADP level below which accumulation is detected
- `Distribution Zone`: ADP level above which distribution is detected
---
### 📊 Info Panel
The top-right panel displays:
- Current ADP value with zone coloring
- JMA signal line value
- Current zone status (Accumulation/Distribution/Neutral)
- ADP momentum direction (Rising/Falling)
---
### 📈 Best Use Cases
- **Trend Confirmation**: Verify trend strength through zone analysis
- **Divergence Detection**: Price vs ADP zone divergence
- **Momentum Analysis**: Track accumulation/distribution phases
- **Context Overlay**: Use alongside other analysis tools
---
### ⚠️ Important Notes
- This is a **visualization tool**, not a trading signal generator
- Heiken Ashi candles smooth price action and may lag real prices
- Always combine with other analysis methods
- Past performance does not guarantee future results
---
### 🔄 Version History
**v1.1**
- Simplified to pure visualization tool
- Enhanced ADP zone coloring
- Added JMA signal line for context
- Streamlined info panel
---
**Created by Wonra | 2025**
Project AETHER v3.1 - The Chronos Interface [Ghost Edition]**Advanced price action indicator with Ghost Candles, Smart Zones, and Momentum-Based Entry Signals**
**Project AETHER v3.1: The Chronos Interface **
A sophisticated multi-layered trading system designed to identify high-probability entry points by combining structural analysis with momentum confirmation.
---
#### 🌟 KEY FEATURES
**Ghost Candle Technology**
- Hollow candles reveal the true nature of price action
- Color-coded visualization: Neon glow indicates strength, transparency shows absorption
- Instantly distinguish between impulse moves and liquidity traps
**Context-Aware Structure Analysis**
- Automatic detection of Market Structure Shifts (MSS)
- Break of Structure (BOS) identification with clean visual markers
- Narrative-based approach: Know when you're trading with or against the trend
**Counter-Attack Zones (Breaker Blocks)**
- Identifies potential reversal zones where trapped traders exist
- Semi-transparent boxes mark areas of interest
- Perfect for planning entries at key institutional levels
**Golden Pocket Integration**
- Dynamic support/resistance zones based on price swings
- Automatic pivot detection adapts to any timeframe
- Optional inverted zones for both bullish and bearish scenarios
**W Power Confirmation System**
- Proprietary momentum algorithm for signal validation
- Customizable sensitivity levels for different market conditions
- Filters out weak signals, highlights high-conviction entries
**Smart Signal Generation**
- ⚡ **GP LONG/SHORT**: Zone touch + momentum confirmation
- 🔄 **REVERSAL**: Rejection signals when price fails to hold zones
- Built-in cooldown prevents signal spam
- ATR-based label positioning for clean charts
---
#### ⚙️ CUSTOMIZATION
**Context Settings**
- Structure sensitivity adjustment
- BOS/MSS visualization toggle
**Defense (Breaker) Settings**
- Counter-attack zone visibility
- Volume and efficiency thresholds
**Golden Pocket Settings**
- Pivot detection length
- Bullish/Bearish zone toggles
- Signal cooldown period
- Normal and Reversal signal modes
- ATR-based reversal zone sizing
**W Power Settings**
- Enable/disable momentum filter
- Channel and average length tuning
- Custom level thresholds for long/short entries
- Precise control over signal sensitivity
---
#### 📈 BEST USE CASES
- **Swing Trading**: Identify key reversal zones
- **Scalping**: Quick entries with momentum confirmation
- **Trend Following**: Structure-based entries in direction of trend
- **Reversal Trading**: Catch failed breakouts with reversal signals
---
#### 💡 HOW TO USE
1. **Add indicator to chart** - Ghost candles will automatically overlay
2. **Watch for structure** - Green/Red backgrounds show bullish/bearish bias
3. **Wait for zone touches** - Price approaching golden zones
4. **Confirm with momentum** - ⚡ or 🔄 signals appear when conditions align
5. **Manage trades** - Use zone boundaries for stop-loss placement
---
#### ⚠️ DISCLAIMER
This indicator is for educational purposes only. Trading involves risk of loss. Past performance is not indicative of future results. Always use proper risk management and never risk more than you can afford to lose.
---
#### 🔄 VERSION HISTORY
**v3.1 - Ghost Edition**
- Complete visual overhaul with Ghost Candle technology
- Added W Power momentum confirmation system
- Improved GP zone detection
- Added Reversal signal mode
- Enhanced signal timing with Touch & Wait system
- ATR-based label positioning
- Multiple cooldown mechanisms
---
**Tags**: `price-action` `momentum` `reversal` `support-resistance` `swing-trading` `scalping` `structure` `breaker-blocks` `smart-money`
Phantom Trend Filter [BOSWaves]Phantom Trend Filter - Volatility-Gated Trend Mapping with Fake Move Suppression
Overview
Phantom Trend Filter is a market-state and trend-validation framework designed to help traders distinguish between directional opportunity and structural noise. Rather than attempting to predict price or generate constant entry signals, Phantom focuses on identifying when trend information is reliable and when it should be ignored.
Most indicators attempt to remain active at all times. Phantom does the opposite. It is built around the idea that markets frequently enter conditions where directional interpretation is misleading - whether through consolidation, volatility expansion, artificial momentum bursts, or weak underlying trend participation. In these phases, acting on trend information often leads to poor trade quality. Phantom is designed to recognize these environments and deliberately suppress bias during them.
The result is an indicator that spends a meaningful amount of time telling the trader not to trade.
Conceptual Alignment and Regime Philosophy
Phantom operates on a regime-aware philosophy similar to advanced volatility frameworks: markets transition through identifiable states, and not all states are suitable for directional interpretation.
Rather than measuring opportunity by price movement alone, Phantom evaluates whether participation, volatility behavior, and directional imbalance are aligned. When these elements diverge, trend interpretation becomes statistically fragile. Phantom reframes trend analysis away from constant engagement and toward conditional relevance. It does not ask where price is likely to go, but whether directional reasoning is currently justified at all.
Structural Trend Framework
At its core, Phantom Trend Filter employs a low-lag filtering mechanism designed to model price behavior across two distinct temporal sensitivities. One component responds rapidly to immediate price pressure, while the other captures broader directional context. Together, they form an adaptive structure that tracks price fluidly without relying on fixed bands, static smoothing, or conventional averaging assumptions.
Rather than treating these components as isolated signals, Phantom interprets their interaction as a cohesive trend framework. The space between them defines an active zone where price engagement conveys information about market participation, continuation strength, or emerging exhaustion. A dynamically calculated balance reference within this structure reflects the equilibrium between short-term pressure and higher-order directional force.
Trend direction is derived strictly from relative structural positioning, not exaggerated slope changes or reactive trigger events. This design minimizes over-responsiveness and maintains structural integrity during consolidation phases, avoiding the constant recalibration common in traditional trend tools.
Market State Awareness and Filtering Philosophy
Trend indicators often fail not because their logic is incorrect, but because they are applied indiscriminately across all market states. Phantom is built around the assumption that trend logic is only meaningful when certain conditions are met.
To address this, Phantom incorporates multiple independent measurements designed to assess whether current price movement represents genuine directional intent or transient distortion. These measurements do not attempt to forecast price; instead, they evaluate quality.
Volatility is assessed relative to historical baselines rather than absolute expansion. Momentum is normalized to avoid reacting to short-lived impulses. Trend strength is evaluated through directional imbalance rather than price slope alone. Price behavior is examined for whipsaw characteristics, where range expansion lacks follow-through. Consolidation is detected when price variance collapses relative to recent volatility.
Each of these components serves a single purpose: to decide whether trend interpretation should be trusted.
State-Based Regime Transitions
Phantom internally classifies market behavior into functional states rather than continuous gradients. These states are expressed visually through color, structure, and suppression rather than explicit labels.
A validated trend state emerges only when structural alignment, normalized volatility behavior, and directional imbalance agree. In contrast, when destabilizing forces dominate — such as volatility distortion, weak participation, compression, or whipsaw behavior - Phantom enters a suppressed state and removes directional bias entirely.
Transitions between these states are deliberately conservative. Phantom requires stabilization before re-enabling trend interpretation, preventing rapid flip-flopping during unstable market phases.
Fake Move Identification
When one or more destabilizing conditions are detected, Phantom classifies the environment as unreliable. These situations often correspond to what traders colloquially refer to as fake pumps, fake dumps, stop hunts, or algorithmic noise - though Phantom does not rely on labels or narrative.
In these states, Phantom intentionally removes directional bias. The indicator does not attempt to guess the eventual outcome of the move. Instead, it signals that any directional interpretation at that moment is statistically weaker.
This design choice is intentional and conservative. Phantom prioritizes capital protection and decision clarity over constant engagement.
Relationship to Volatility and Participation
Although Phantom is not a volatility oscillator, volatility behavior plays a critical contextual role in its filtering logic.
Rather than reacting to absolute volatility expansion, Phantom evaluates volatility relative to recent structural norms and directional participation. Elevated volatility without directional imbalance is treated as noise. Directional imbalance without supportive volatility structure is treated as fragile. This allows Phantom to suppress visually convincing but structurally weak moves - the type most commonly responsible for overtrading and stop-outs.
Visual Communication and Interpretation
Phantom communicates market state primarily through color and structure rather than symbols, markers, or signal arrows. This is a deliberate design decision aimed at reducing cognitive load.
When conditions validate a bullish environment, the Phantom structure and candles adopt a bullish color (green). When bearish conditions are validated, the structure reflects that state, adopting a bearish color (red). When filtering conditions dominate, the indicator shifts into a neutral gray state across bands, fills, and candles.
Gray is not indecision — it is information. It communicates that the system’s internal conditions do not support directional conviction. Traders are expected to interpret this as a stand-aside environment or as a warning against aggressive execution.
Adaptive Behavior and Trading Styles
Phantom offers two operational modes that adjust its sensitivity without altering its underlying philosophy. A faster mode responds more quickly to changes in price structure and is more suitable for lower timeframes or scalping environments. A slower mode increases stability, favoring higher timeframes and swing-based decision-making.
Importantly, neither mode attempts to optimize for signal frequency. Both prioritize environment validation first and directional interpretation second.
Use Cases
Use Case 1: Trend Participation With Built-In Noise Suppression
Phantom Trend Filter is designed for traders who want directional exposure without getting chopped to death. The adaptive trend structure highlights when price is being accepted within a dominant directional regime, while automatically muting conditions associated with weak participation, consolidation, or engineered volatility.
When the Phantom zone is colored and stable, it signals that price is operating within a structurally supported trend environment. When the zone turns neutral, it’s not indecision — it’s a warning that directional assumptions are statistically weak and capital should be protected. This makes Phantom especially effective as a trend permission filter rather than a trigger generator.
Use Case 2: Fake Pump / Dump Avoidance in High-Volatility Markets
In fast-moving or thin-liquidity conditions, Phantom excels at identifying structurally invalid moves - sharp expansions driven by volatility spikes, momentum bursts, or whipsaw price behavior that lack trend integrity. Instead of chasing candles, traders can use Phantom’s neutral state to stand aside during manipulated or exhaustion-driven moves, then re-engage only when price behavior realigns with sustained directional pressure.
Alerts and Practical Integration
Alerts within Phantom are intentionally conservative. Directional alerts only trigger when trend conditions are met and filtering logic is inactive. This ensures alerts correspond to structurally valid environments rather than transient fluctuations.
An additional alert notifies the user when Phantom detects unreliable conditions. This is not an entry or exit signal, but a contextual warning that trend-based logic may be compromised.
Phantom is best used as a filtering and confirmation layer rather than a standalone strategy. It pairs naturally with execution-based systems, structure tools, or discretionary price action approaches that benefit from knowing when trend bias is valid.
Design Intent and Limitations
Phantom Trend Filter is not designed to call tops or bottoms. It is not optimized for maximum trade frequency. It will intentionally keep traders out of the market during extended periods of uncertainty.
This is not a flaw. It reflects a design philosophy centered on reducing poor-quality decisions rather than maximizing engagement.
Traders who expect constant activity will find Phantom restrictive. Traders who prioritize clarity, patience, and structural alignment will find it useful.
What Phantom Is Not
Phantom is not a signal generator. It is not a predictive model. It is not designed to extract profit from every phase of the market.
Its value emerges through omission - by identifying when trend logic should not be applied.
Integration With Execution and Structure Tools
Phantom is most effective when paired with tools that answer how to execute rather than whether to engage. In this role, Phantom acts as a gating mechanism, conditioning execution logic rather than replacing it.
Operational Expectations
Phantom will spend extended periods in a neutral state. This behavior is intentional.
Markets spend more time transitioning, compressing, and distorting than trending cleanly. Phantom reflects this reality rather than obscuring it.
Final Notes
No indicator removes risk. No filter eliminates losses. Phantom does not attempt to outperform the market; it attempts to improve the conditions under which decisions are made.
Used correctly, it helps traders trade less - but trade better.
Risk Disclaimer
Phantom Trend Filter is a professional-grade trend-regime and volatility-filtering tool provided for educational and informational purposes only and does not constitute financial advice. It does not predict future price movement and does not guarantee profitability. Trading involves significant risk, and past performance is not indicative of future results. Performance depends on market conditions, parameter selection, disciplined execution, and proper risk management. Users are solely responsible for their own analysis, risk controls, and execution decisions.
FairValueGap [Tradeuminati]Tradeuminati – (i)FVG is a free Fair Value Gap indicator for TradingView, built on a precise 3-candle structure and extended with Inverted Fair Value Gaps (iFVG) and an optional structure-based trend overview.
The indicator focuses exclusively on confirmed market structure, avoiding repainting and intrabar signals.
🔹 Features Overview
Fair Value Gaps (FVG)
- Detection of bullish and bearish Fair Value Gaps using a 3-candle formation
- FVGs are only displayed after the confirming candle has closed
- A Fair Value Gap remains valid until it is invalidated by a candle close
- Fully customizable colors, labels, and right-side extension
Fair Value Gaps (FVG)
- Detection of bullish and bearish Fair Value Gaps using a 3-candle formation
- FVGs are only displayed after the confirming candle has closed
- A Fair Value Gap remains valid until it is invalidated by a candle close
- Fully customizable colors, labels, and right-side extension
Trend Detection (Optional)
- Structure-based trend analysis on the 15-minute and 1-hour timeframes
- Trend is defined using Swing Highs and Swing Lows:
--> Higher Highs + Higher Lows → Uptrend
--> Lower Highs + Lower Lows → Downtrend
- Swing definition: center candle with X candles to the left and right (default: 1, fully adjustable)
- Trend is displayed in a compact trend table in the top-right corner
- Visual trend representation:
▲ Green = Uptrend
▼ Red = Downtrend
– Neutral / not yet confirmed
- Trend table can be enabled or disabled via settings
🔹 Technical Characteristics
- No repainting
- No intrabar signals
- Only confirmed candle closes are used
- Works on all markets and all timeframes
- Lightweight and performance-friendly
🔹 Use Case
This indicator is designed for traders who work with Price Action, Smart Money Concepts, market structure, or liquidity-based trading models, and who require a clear and reliable visualization of Fair Value Gaps and market trend.
⚠️ Disclaimer
This indicator does not provide trading or investment advice.
It is intended solely for technical chart analysis and decision support.
KINETIC GOLD NQ Velocity Breakout [Ash_TheTrader]
🚀 Stop Guessing. Start Scalping with Physics.
Introducing the KINETIC GOLD NQ ⚡ VELOCITY BREAKOUT System
Author: Ash_TheTrader
Assets: Gold (XAUUSD), Nasdaq (US100), Bitcoin (BTC)
Style: High-Frequency Scalping (M1/M5)
---
🛑 The Problem: Why Most Indicators Fail
You’ve been there. The RSI says "Oversold," so you buy. But price keeps crashing. The Moving Average crosses over, so you enter. But the trend is already over.
Why? Because those indicators are lagging . They tell you what happened 10 candles ago.
⚡ The Solution: The "Physics" of Price
Markets move like objects in the real world. They have Velocity (Speed) and Momentum (Mass).
The Kinetic Velocity Breakout (KMB) system doesn't look at "Overbought" or "Oversold." It looks for FORCE .
It answers one simple question: Is the market moving fast enough to pay me?
---
🧠 The 4 "Smart Logic" Features
1. The Velocity Speedometer 🏎️
Most candles are "noise." This system ignores them. It uses a Normalized Volatility Engine to detect when price hits "WARP SPEED".
• Blue: Slow (Cruising). Don't touch.
• Yellow: Accelerating. Get ready.
• Red: WARP SPEED. Institutional money is entering.
2. The 1.5x Impulse Rule 💥
The algorithm strictly enforces the "1.5x Law." A signal ONLY fires if the breakout candle is 1.5 times larger than the average of the last 3 candles.
• Result? No more fakeouts. We only trade real expansions.
3. "Smart Mode" AI Dashboard 🖥️
A heads-up display (HUD) lives on your chart, auto-detecting your trading environment:
• Auto-Session: Tells you if you are in London, New York, or Asia.
• Risk Mode: Shows if you are using "Aggressive" or "Normal" logic.
• Status: Gives you a text readout like "READY ⚡" or "WAIT..."
4. Auto-Pilot Risk Management 🛡️
Scalping is fast. You don't have time to calculate Pips.
• The script draws the lines for you.
• As soon as a "ROCKET" signal appears, a Green TP Line (2x Reward) and Red SL Line appear instantly.
---
🎮 How to Trade: The 3-Step "Kinetic" Strategy
This strategy is designed for Gold (XAUUSD) and Nasdaq (US100) on the 5-Minute Timeframe .
Step 1: The "Yellow" Warning ⚠️
Watch the Smart Structure Lines (Dashed Lines).
• If the candles turn Yellow or the Dashboard says "FAST" , wake up.
• This means pressure is building against a key level.
Step 2: The "Warp" Trigger 🚀
Wait for a Confirmed Breakout . You are looking for:
1. A candle closes OUTSIDE the dashed structure line.
2. The candle color is NEON CYAN (Bullish) or NEON MAGENTA (Bearish).
3. The Signal Label appears: "ROCKET" (Buy) or "DROP" (Sell).
👉 Rule: No Label? No Trade. The 1.5x Logic saves you from bad trades.
Step 3: The Execution 💰
1. Enter at the close of the signal candle.
2. Stop Loss: Place it exactly on the Red Line provided by the indicator.
3. Take Profit: Place it on the Green Line .
4. Walk away. Let the physics work.
---
⚙️ Customizing Your Style
The script comes with two built-in "Personalities":
🛡️ Normal Scalper (Default)
• Best for: New traders, Funded Accounts.
• Logic: Waits for strong confirmation. High Win Rate.
• Risk: 1:2 Risk/Reward.
⚠️ QuickScalper (Aggressive)
• Best for: Gold M1, Volatility Hunters.
• Logic: Enters earlier on 1.2x Impulse. More signals, faster exits.
• Risk: 1:1.5 Risk/Reward (Grab the cash and go).
---
👇 Get the Code
Search for: KINETIC ⚡ in the TradingView library.
"Markets are physics. Trade the Velocity, not the noise." — @Ash_TheTrader






















